Safety of Water Power Projects and Project Works, 1490-1520 [2021-27736]
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Federal Register / Vol. 87, No. 7 / Tuesday, January 11, 2022 / Rules and Regulations
DEPARTMENT OF ENERGY
Federal Energy Regulatory
Commission
18 CFR Part 12
[Docket No. RM20–9–000; Order No. 880]
Safety of Water Power Projects and
Project Works
Federal Energy Regulatory
Commission.
ACTION: Final rule.
AGENCY:
In this final rule, the Federal
Energy Regulatory Commission
(Commission) is amending its
regulations governing the safety of
hydroelectric projects licensed by the
Commission under the Federal Power
SUMMARY:
Act. These regulations will promote the
safe operation, effective maintenance,
and efficient repair of licensed
hydroelectric projects and project works
to ensure the protection of life, health,
and property in surrounding
communities. Specifically, the
Commission is revising its regulations
to: incorporate two tiers of project safety
inspections by independent consultants,
codify existing guidance requiring
certain licensees to develop an owner’s
dam safety program and a public safety
plan, update existing regulations related
to public safety incident reporting, and
make various minor revisions.
DATES:
The rule is effective April 11,
Ken Fearon (Technical Information),
Office of Energy Projects, Federal
Energy Regulatory Commission, 888
First Street NE, Washington, DC
20426, (202) 502–6015,
kenneth.fearon@ferc.gov
Doug Boyer (Technical Information),
Office of Energy Projects, Federal
Energy Regulatory Commission, 805
SW Broadway, Suite 550, Portland,
OR 97205, (503) 552–2709,
douglas.boyer@ferc.gov
Tara DiJohn (Legal Information), Office
of the General Counsel, Federal
Energy Regulatory Commission, 888
First Street NE, Washington, DC
20426, (202) 502–8671, tara.dijohn@
ferc.gov
2022.
SUPPLEMENTARY INFORMATION:
FOR FURTHER INFORMATION CONTACT:
Table of Contents
Paragraph
Nos.
I. Background ..........................................................................................................................................................................................
II. Notice of Proposed Rulemaking ........................................................................................................................................................
III. Engineering Guidelines ....................................................................................................................................................................
IV. Discussion .........................................................................................................................................................................................
A. Review, Inspection, and Assessment by Independent Consultants ........................................................................................
B. Owner’s Dam Safety Program ....................................................................................................................................................
C. Public Safety and Miscellaneous Updates ................................................................................................................................
V. Regulatory Requirements ..................................................................................................................................................................
A. Information Collection Statement .............................................................................................................................................
B. Environmental Analysis .............................................................................................................................................................
C. Regulatory Flexibility Act ..........................................................................................................................................................
D. Document Availability ...............................................................................................................................................................
E. Effective Date and Congressional Notification ..........................................................................................................................
Order No. 880
Final Rule
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(Issued December 16, 2021)
1. The Federal Energy Regulatory
Commission (Commission or FERC),
under Part I of the Federal Power Act
(FPA), licenses hydroelectric projects
that are developed by non-Federal
entities including individuals, private
entities, Indian Tribes, states,
municipalities, electric cooperatives,
and others. Under section 10(c) of the
FPA, the licensee of any hydroelectric
project under the jurisdiction of the
Commission must conform to ‘‘such
rules and regulations as the Commission
may from time to time prescribe for the
protection of life, health, and
property.’’ 1
2. Since early 2017, the Commission
has solicited, received, and reviewed
expert opinions on the structure and
implementation of the Commission’s
dam safety program, particularly the
provisions for independent consultants’
safety inspections required under part
12, subpart D of the Commission’s
1 16
U.S.C. 803(c).
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regulations.2 These independent
consultant safety inspections,
commonly referred to as part 12
inspections, are facilitated by licensees
and are in addition to the dam safety
inspections conducted by Commission
staff.
3. To address expert
recommendations on the part 12
inspection process, and to codify
guidance issued by the Commission’s
Office of Energy Projects, Division of
Dam Safety and Inspections (D2SI) over
the past several years, the Commission
is revising its dam safety regulations
found in Title 18, part 12 of the Code
of Federal Regulations. In this final rule,
the Commission is revising part 12 by
replacing subpart D in its entirety,
adding new subpart F, and making
minor revisions to subparts A, B, C, and
E, as further described below.
I. Background
4. Section 10(c) of the FPA requires
licensees, in pertinent part, to ‘‘maintain
the project works in a condition of
repair adequate . . . for the efficient
operation of said works in the
2 18
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development and transmission of
power,’’ to ‘‘make all necessary
renewals and replacements,’’ and to
‘‘conform to such rules and regulations
as the Commission may from time to
time prescribe for the protection of life,
health, and property.’’ 3
5. Pursuant to FPA section 10(c), on
December 27, 1965, the Commission’s
predecessor agency, the Federal Power
Commission (FPC), in Order No. 315,
promulgated regulations that require
licensees to provide complete safety
inspections of licensed water power
project works by independent
consultants at five-year intervals, or
more frequently if necessary.4 Order No.
315 was intended to supplement D2SI
staff’s inspections of project works with
detailed periodic inspections overseen
by an independent consultant.5
6. On January 21, 1981, the
Commission issued Order No. 122 to
consolidate the Commission’s orders,
regulations, and practices relating to
3 16
U.S.C. 803(c).
Licensed Projects—Inspections to
Insure Safe Operation, Order No. 315, 34 FPC 1551
(1965).
5 Id.
4 Hydroelectric
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Federal Register / Vol. 87, No. 7 / Tuesday, January 11, 2022 / Rules and Regulations
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project safety under part 12 of the
Commission’s rules and to revise the
existing project safety inspection
regulations.6 The Commission’s rules
related to independent consultant safety
inspections have not been substantially
revised or amended since 1981.
7. To ensure that the Commission’s
dam safety program remains current
with the evolving nature of the dam
safety field, D2SI staff issues, and
periodically updates, Engineering
Guidelines for the Evaluation of
Hydropower Projects (Engineering
Guidelines).7 D2SI staff has also
augmented the part 12 inspection
process over the years by adding
additional inspection components (e.g.,
the Potential Failure Mode Analysis, the
Supporting Technical Information
Document, and the Dam Safety
Surveillance and Monitoring Program
and Report).
8. In June 2002, D2SI began a licensee
pilot program for conducting a Potential
Failure Mode Analysis 8 as a component
of a part 12 inspection and issued for
comment a draft Chapter 14 of the
Engineering Guidelines, which would
guide licensees in performing this type
of dam safety analysis. In April 2003,
D2SI issued a final Chapter 14 of the
Engineering Guidelines and required a
Potential Failure Mode Analysis to be
performed during all part 12
inspections. Consistent with this
requirement, licensees have conducted
over a thousand Potential Failure Mode
Analyses. The Commission is codifying
the Potential Failure Mode Analysis as
part of the scope of a part 12 inspection,
specifically during a comprehensive
assessment and typically at a 10-year
interval.
9. On December 14, 2005, the upper
reservoir of the Taum Sauk
Hydroelectric Project No. 2277, a
pumped storage project, was overtopped
during the final pumping cycle, causing
a breach of the upper reservoir which
released over 1 billion gallons of water,
resulting in personal injury and
significant environmental and property
6 Water Power Projects and Project Works Safety,
Order No. 122, 46 FR 9029 (Jan. 28, 1981), FERC
Stats. & Regs. ¶ 30,225 (1981) (cross-referenced at 14
FERC ¶ 61,041).
7 D2SI’s Engineering Guidelines are available on
the Commission’s website at https://www.ferc.gov/
industries-data/hydropower/dam-safety-andinspections/eng-guidelines.
8 A Potential Failure Mode Analysis is a method
to evaluate the various ways a dam and its
components could possibly fail. Generally, this
involves identifying possible failure scenarios and
evaluating those factors that could make the failure
mode scenario more or less likely to occur. Next,
the significance of each potential failure mode is
determined and a prioritized plan is developed to
address the most significant potential failure
modes.
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damage.9 Following the December 2005
failure of Taum Sauk Dam, D2SI began
requiring licensees to develop and
maintain an Owner’s Dam Safety
Program, with the goal of ensuring that
licensees have a robust and focused dam
safety program to protect public safety,
the environment, and project facilities.
In August 2012, D2SI staff required all
owners of high and significant hazard
potential dams 10 to submit an Owner’s
Dam Safety Program.11 The Commission
is codifying this requirement by adding
a new subpart F to the Commission’s
part 12 regulations.
10. On February 7, 2017, high flows
in the Feather River basin caused the
water level in the Feather River
Hydroelectric Project No. 2100 reservoir
to rise at Oroville Dam and, for the first
time in project history, flow down the
emergency spillway, resulting in
extensive erosion and damage to
Oroville Dam’s main spillway and
emergency spillway area.12 This event
precipitated the evacuation of nearly
188,000 residents from the town of
Oroville and from other downstream
communities north of Sacramento,
California. Following the February 2017
Oroville Dam spillway incident, the
Commission required the project
licensee, California Department of Water
Resources (California DWR), to convene
a team of independent, third-party
consultants to complete a forensic
analysis to determine the cause of the
incident.13 The Oroville Independent
Forensic Team Report documented the
team’s findings, conclusions, and
9 More information about the Taum Sauk Dam
Breach Incident can be found on the Commission’s
website at https://www.ferc.gov/industries-data/
hydropower/dam-safety-and-inspections/taumsauk-pumped-storage-project-p-2277-dam.
10 Hazard potential is a classification based on the
potential consequences in the event of failure or
misoperation of the dam, canal, or water
conveyance, and is subdivided into categories (e.g.,
Low, Significant, High). High hazard potential
generally indicates that failure or misoperation of
the project work will probably cause loss of human
life. Significant hazard potential and low hazard
potential generally indicate that failure or
misoperation will probably not cause loss of human
life but may have some amount of economic,
environmental, or other consequences. Hazard
classifications are based solely on the consequences
of dam failure and do not in any way reflect the
condition of the rated dams.
11 See Commission staff’s August 15, 2012 letter
to owners of high and significant hazard potential
dams, https://www.ferc.gov/sites/default/files/202004/letter-submit-odsp.pdf.
12 More information about the Oroville Dam
spillway incident can be found on the
Commission’s website at https://cms.ferc.gov/
industries-data/hydropower/dam-safety-andinspections/oroville-dam-service-spillway-p-2100.
13 See Commission staff’s letter to California DWR
regarding the emergency repair and board of
consultants for Oroville Dam spillway, Project No.
2100 (Feb. 13, 2017), https://cms.ferc.gov/sites/
default/files/2020-04/Orovilledam.pdf.
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recommendations.14 Several of the
Oroville Independent Forensic Team’s
observations related to potential areas
for improvement in the Commission’s
dam safety program, particularly the
part 12 inspection process.
11. Separately, the Commission
convened a FERC After Action Panel to
review and evaluate the Commission’s
dam safety program in the months
following the Oroville Dam spillway
incident. The D2SI Director’s mandate
to the FERC After Action Panel was to:
‘‘review project documents and history
for Oroville Dam . . . .;’’ ‘‘review the
performance of the FERC dam safety
program at the Oroville Dam Project,
which includes both work and actions
by FERC staff, and the program
requirements on the dam owner, such as
the [p]art 12 process, the [Potential
Failure Mode Analyses] process, the
Instrumentation and Monitoring
Program, and Owners Dam Safety
Program . . . .;’’ ‘‘make conclusions
regarding any shortcomings in the FERC
dam safety program implementation at
Oroville Dam;’’ and if shortcomings are
identified, recommend ‘‘improvement
or changes to the FERC dam safety
program to ensure that future incidents
like Oroville can be avoided.’’ 15
12. The FERC After Action Panel
Report documented several
shortcomings of the Commission’s dam
safety program with respect to its
implementation at the Oroville Dam
Project, and recommended several
improvements to the part 12 inspection
process that could increase the
likelihood that design and operational
deficiencies are detected in advance of
a major incident.
13. In light of the Oroville
Independent Forensic Team Report and
the FERC After Action Panel Report
findings, the desire to codify existing
dam safety guidance, and the
Commission’s authority under FPA
section 10(c) to promulgate rules
protecting life, health, and property, the
Commission is revising its part 12 dam
safety regulations, as discussed further
below.16
14 Independent Forensic Team Report, Oroville
Dam Spillway Incident (Jan. 5, 2018), https://
damsafety.org/content/oroville-independentforensic-team-releases-final-investigative-report.
15 See FERC After Action Panel Assessment of
Oroville Spillway Incident Causes and
Recommendations to Improve Effectiveness of the
FERC Dam Safety Program (Nov. 23, 2018), https://
www.ferc.gov/sites/default/files/2020-04/
reportdamsafety.pdf.
16 The May 2020 failures of the Edenville and
Sanford Dams in Michigan have resulted in
substantial hardship and economic damage. A
forensic investigation is being undertaken to
understand the root causes of those failures. The
NOPR was substantially complete prior to the
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II. Notice of Proposed Rulemaking
14. On July 16, 2020, the Commission
issued a Notice of Proposed Rulemaking
proposing to revise its part 12
regulations to incorporate two tiers of
independent consultant safety
inspections, codify existing guidance on
developing owner’s dam safety
programs and public safety plans,
modify public safety incident reporting
requirements, and make various minor
revisions throughout part 12.17 The
Commission received 16 comment
letters in response to the NOPR.18
Comments were submitted by licensees
and individuals, some as part of
submissions from trade associations,
including the National Hydropower
Association (NHA) and the Dam Safety
Interest Group of CEATI International
(CEATI).19 The Commission has
considered all comments in formulating
the final rule.
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III. Engineering Guidelines
15. The Commission is also in the
process of updating its Engineering
Guidelines by adding new Chapters 15
through 18. On July 16, 2020,
concurrently with issuance of the
NOPR, the Commission solicited public
review and comment by issuing the new
guidelines in draft format in four
separate advisory dockets accessible on
the Commission’s eLibrary website.
Chapter 15, in Docket No. AD20–20–
000, provides licensee guidance for
Michigan dam failures and was not intended to
address any findings or recommendations that may
result from the forensic investigation. The
Commission will review the findings once the
investigation is complete.
17 Safety of Water Power Projects and Project
Works, 85 FR 45,032 (July 24, 2020), 172 FERC
¶ 61,061 (2020) (NOPR).
18 The following entities filed comments on the
NOPR: Central Nebraska Public Power and
Irrigation District; Wisconsin Power and Light
Company; Alaska Electric Light and Power
Company; Copper Valley Electric Association; City
of North Little Rock Electric; Alaska Power
Association; National Hydropower Association;
United States Society on Dams; CEATI
International, Dam Safety Interest Group; American
Association for Laboratory Accreditation;
Hydropower Reform Coalition; Sierra Club;
Michigan Department of Environment, Great Lakes,
and Energy; Schnabel Engineering, Inc.; David L.
Mathews; and U.S. Senator Lisa Murkowski. Some
of these comments, such as those filed by American
Association for Laboratory Accreditation,
Hydropower Reform Coalition, and Sierra Club,
raise issues that are outside the scope of this
rulemaking proceeding and are not addressed
further in this final rule.
19 NHA and NextEra Energy Resources, LLC, each
filed motions to intervene in Docket No. RM20–9–
000. Intervention is not necessary in order to
request rehearing of a rulemaking. See, e.g.,
Limiting Authorizations to Proceed with
Construction Activities Pending Rehearing, Order
No. 871–B, 86 FR 26150 (May 13, 2021), 175 FERC
¶ 61,098, at n.14 (2021). Accordingly, these motions
are unnecessary.
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developing and maintaining a
Supporting Technical Information
Document.20 Chapter 16, in Docket No.
AD20–21–000, provides licensee
guidance on the scope of the part 12D
independent consultant inspection
program. Chapter 17, in Docket No.
AD20–22–000, provides licensee
guidance for conducting a Potential
Failure Mode Analysis. Chapter 18, in
Docket No. AD20–23–000, provides
licensee guidance for conducting a
Level 2 Risk Analysis. Entities that filed
comments on the draft chapters
included: Licensees, consultants, and
other individuals through trade and
other professional societies including
the United States Society on Dams,
NHA, and CEATI. The U.S. Army Corps
of Engineers (Corps) also submitted
comments. The Commission has
considered all comments in finalizing
Chapters 15 through 18 of the
Engineering Guidelines. The final
versions of these chapters are available
on the FERC Division of Dam Safety and
Inspections website.21
IV. Discussion
16. As explained in the NOPR, the
Commission evaluated potential
revisions to its part 12 regulations by
considering the findings of the Oroville
Independent Forensic Team and FERC
After Action Panel; reviewing the
inspection practices of other Federal
agencies responsible for ensuring the
safety of a large number of dams,
including those of the Bureau of
Reclamation (Reclamation) 22 and the
Corps; 23 and reviewing the Federal
Emergency Management Agency’s
(FEMA) Federal Guidelines for Dam
Safety.24
17. In addition to making various
minor revisions and updates to our part
12 regulations, this final rule
accomplishes four overarching
objectives that are integral to
strengthening the Commission’s dam
20 As explained in Chapter 15 of the Engineering
Guidelines, the Supporting Technical Information
Document is a ‘‘living’’ document that serves as a
compendium of existing project information,
including information about a project’s design,
construction history, operating procedures, and
engineering analyses.
21 Available at https://www.ferc.gov/industriesdata/hydropower/dam-safety-and-inspections/engguidelines.
22 Reclamation, Review/Examination Program for
High and Significant Hazard Dams (Sept. 2018),
https://www.usbr.gov/recman/fac/fac01-07.pdf.
23 Corps, Safety of Dams—Policy and Procedures
(Mar. 2014), https://
www.publications.usace.army.mil/Portals/76/
Publications/EngineerRegulations/ER_1110-21156.pdf.
24 FEMA, Federal Guidelines for Dam Safety (Apr.
2004), https://www.fema.gov/sites/default/files/
2020-08/fema_dam-safety_P-93.pdf (FEMA Dam
Safety Guidelines).
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safety program and addressing
shortcomings identified by the forensic
investigations that followed the Oroville
Dam spillway incident. First, the final
rule implements two tiers of part 12
independent consultant safety
inspections, in addition to Commission
staff’s regular inspections. The two-tier
structure includes two types of
inspections: a comprehensive
assessment and a periodic inspection.
Each type of inspection will be
performed at a 10-year interval, with the
periodic inspection occurring midway
between comprehensive assessments.
The two-tier inspection structure retains
the current five-year interval between
part 12 inspections and mirrors FEMA’s
recommendation that formal inspections
be conducted at intervals not to exceed
five years.25 The alternating two-tier
structure is similar to those used by
Reclamation and the Corps. Because the
existing five-year interval between part
12 inspections remains the same, the
revised regulations do not increase the
likelihood that undiscovered safety
issues will persist for longer periods of
time. The comprehensive assessment
requires a more in-depth review than
the current part 12 inspection, formally
incorporates the existing Potential
Failure Mode Analysis process, and
requires a semi-quantitative risk
analysis, as recommended by the
Oroville Independent Forensic Team
and FERC After Action Panel. The
periodic inspection is narrower in scope
than the current part 12 inspection and
focuses primarily on the performance of
project works between comprehensive
assessments.
18. Second, the final rule changes the
process by which D2SI reviews and
evaluates the qualifications of
independent consultants that conduct
part 12 inspections. Currently, § 12.34 of
the Commission’s regulations requires
the licensee to submit to the Director of
D2SI for approval a resume describing
the independent consultant’s
experience.26 FEMA recommends that
‘‘the inspection team should be chosen
on a site-specific basis considering the
nature and type of dam . . . [and]
should comprise individuals having
appropriate specialized knowledge in
structural, mechanical, electrical,
hydraulic, and embankment design;
geology; concrete materials; and
construction procedures.’’ 27
19. Accordingly, the process adopted
in the final rule requires licensees to
submit to the Director of D2SI an
independent consultant team proposal,
25 Id.
at 42.
CFR 12.34.
27 FEMA Dam Safety Guidelines at 42.
26 18
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comprising one or more independent
consultants and additional engineering
or scientific personnel, as needed,
which must demonstrate that the
members of that team possess an
appropriate level of expertise for the
specific project under consideration.
This change reflects the reality that, for
many of the projects under the
Commission’s jurisdiction, a single
independent consultant will not possess
the appropriate degree and diversity of
technical proficiency necessary to
evaluate all aspects of the project. The
current requirement that an
independent consultant be a licensed
professional engineer with a minimum
of 10 years’ experience in ‘‘dam design
and construction and in the
investigation of the safety of existing
dams’’ is retained, but will apply only
to the designated independent
consultants, and not to other supporting
members of the independent consultant
team.28
20. Third, the final rule codifies
existing guidance related to the Owner’s
Dam Safety Program. Currently, the
Commission’s part 12 regulations do not
explicitly require a licensee to develop
an Owner’s Dam Safety Program.
However, § 12.4 of our existing
regulations provides that the
Commission may require an applicant
or licensee to submit reports or
information on any condition affecting
the safety of the project.29 Since the
initial request for an Owner’s Dam
Safety Program in August 2012,30
approximately 250 have been developed
by licensees and submitted to the
Commission. This final rule codifies the
requirement that licensees of one or
more high or significant hazard
potential dams 31 must prepare,
maintain, file with the Commission, and
periodically review and update an
Owner’s Dam Safety Program. Licensees
must designate a person responsible for
overseeing day-to-day implementation
of the dam safety program.
21. Fourth, the final rule modifies
licensee reporting and preparedness
requirements related to public safety at
or near hydroelectric projects.
Currently, licensees are required to
install and maintain public safety
devices and to report deaths or serious
injuries at their projects.32 The final rule
revises the definition of a ‘‘projectrelated’’ incident to clarify that
licensees are required to report those
28 18
CFR 12.31(a).
CFR 12.4(b)(2)(ii)(B).
supra P 9.
31 See supra note 10 (defining high hazard and
significant hazard potentials).
32 See 18 CFR 12.10(b) (death or serious injury
reporting) and 12.42 (warning and safety devices).
29 18
30 See
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public safety incidents that are related
to project operation; to report rescues in
addition to deaths and serious injuries;
and to prepare, maintain, and submit a
public safety plan to D2SI, which is the
current practice required by existing
D2SI guidance.
22. A section-by-section analysis,
describing the proposal set forth in the
NOPR, the comments received on the
NOPR, and the Commission’s
determinations, follows.
A. Review, Inspection, and Assessment
by Independent Consultants
23. In response to the findings and
recommendations in the Oroville
Independent Forensic Team Report and
FERC After Action Panel Report, the
Commission is revising its regulations
under 18 CFR part 12, subpart D, to
enhance the program for independent
consultant inspections. The regulations
adopted here will replace existing
subpart D in its entirety. Due to the final
rule’s implementation of two tiers of
part 12 inspections (periodic
inspections and comprehensive
assessments), subpart D will now
include §§ 12.30 through 12.42, which
results in changes to the numbering of
subpart E (existing §§ 12.40 through
12.44 will become §§ 12.50 through
12.54).
1. Section 12.30—Applicability
24. Section 12.30 establishes the
applicability of subpart D’s independent
consultant inspection requirement and
identifies three conditions that result in
a project being subject to the provisions
of subpart D. Subpart D currently
applies to any project development that
has a dam: (1) Greater than a specified
height; (2) with an impoundment
exceeding a specific gross storage
capacity; or (3) that has a high hazard
potential and is determined by the
Regional Engineer to require inspection
by an independent consultant. Although
the subpart D regulations could be
interpreted as only applying to dams,
D2SI has in practice applied the
requirements of this subpart to those
portions of canals and penstocks judged
to have a high hazard potential and this
rule adopts that interpretation.
25. The NOPR proposed revisions to
§ 12.30 to align subpart D’s applicability
with existing D2SI practices and to
make clear that the provisions of
subpart D apply to project works other
than dams and could apply to projects
that do not have a dam. Specifically, the
Commission proposed revisions to
§ 12.30 to clarify that while the existing
height and storage thresholds apply
only to project developments with a
dam, the high hazard potential criterion
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1493
applies to all project works (i.e., if any
portion of a project work has a high
hazard potential, the project
development would be subject to
subpart D). Additionally, as revised,
subpart D would apply to a project
development if the Regional Engineer or
other Commission representative
determines that an inspection is
required for reasons not listed. For
example, the Regional Engineer may
conclude that an independent
consultant inspection is warranted for a
project that is otherwise not subject to
subpart D where the dam or other
project work poses significant safety
concerns.
26. Certain commenters suggested that
further distinction should be made to
distinguish the requirements for low
hazard potential works and high hazard
potential works within a licensed
project development that is subject to
part 12.33 NHA also suggested that
recreational access to project lands
should be excluded from the
consideration of the hazard potential or
that the applicability of this revision
should be narrowed.34 CEATI asked for
clarity regarding who is considered an
‘‘other authorized Commission
representative’’ as that term is used in
§ 12.30(c).35
27. All project works function as a
system. Even low hazard potential
project works have the potential to
adversely impact high hazard potential
works; therefore, as has been D2SI’s
current practice, low hazard potential
works of projects meeting the
applicability provisions of § 12.30 must
also meet the requirements of subpart D.
This is not a change from the
interpretation of the existing
regulations, but rather a clarification.
Regarding the second comment, as is
current practice in evaluating
downstream hazard potential, high
usage areas of any type, including
recreational areas, should be considered
in determining hazard potential.36 Last,
§ 12.30(c)’s use of the term ‘‘other
authorized Commission representative’’
is consistent with § 12.3(b)(3), which
defines ‘‘authorized Commission
representative’’ as the Director of the
Office of Energy Projects, the Director of
D2SI, the Regional Engineer, or any
33 See, e.g., CEATI’s September 9, 2021
Comments at 5 (CEATI Comments); NHA’s
September 22, 2021 Comments at 4 (NHA
Comments).
34 See NHA Comments at 4.
35 CEATI Comments at 5.
36 See FEMA Dam Safety Guidelines supra note
24. Consistent with FEMA guidance, high usage
areas of any type should be considered
appropriately in evaluating hazard potential and it
has been D2SI’s practice to consider the
implications of recreation use on hazard potential.
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other member of the Commission staff
whom the Commission may specifically
designate. Apart from updating cross
references within part 12 and a minor
clarifying edit, no substantive revisions
were made to this section following the
NOPR.
2. Section 12.31—Definitions
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28. Current § 12.31 defines
‘‘independent consultant,’’ ‘‘high hazard
potential,’’ ‘‘height above streambed,’’
and ‘‘gross storage capacity’’ for the
purposes of the provisions of subpart D.
Section 12.31 also provides the D2SI
Director the authority to grant a waiver
from the 10-year experience
requirement in the definition of
independent consultant.
29. The NOPR proposed revisions to
§ 12.31 to update the definition of an
‘‘independent consultant’’ and to add
definitions for the terms ‘‘independent
consultant team,’’ ‘‘periodic
inspection,’’ and ‘‘comprehensive
assessment.’’
30. Our regulations currently define
‘‘independent consultant’’ as a licensed
professional engineer, with at least ten
years of experience and expertise
related to dams, who is not, and has not
been within two years, an employee of
the licensee or its affiliates or an agent
acting on behalf of the licensee. As
proposed in the NOPR, the revised
definition of ‘‘independent consultant’’
would retain the licensure and 10-year
experience requirements. However, the
restrictions regarding the professional
relationship between the independent
consultant and licensee would be
separated into three separate elements,
requiring that an independent
consultant: (1) Is not an employee of the
licensee or its affiliates; (2) has not been
an employee of the licensee or its
affiliates within two years prior to
performing a periodic inspection or
comprehensive assessment; and (3) has
not been an agent acting on behalf of the
licensee or its affiliates before
performing services under this part.37
The NOPR explained that the
Commission intends to narrowly apply
this restriction, with a primary goal of
ensuring that independent consultants
are not responsible for reviewing work
to which they contributed substantially.
31. The NOPR also proposed to define
‘‘independent consultant team’’ as
37 Because the circumstances will vary and
require evaluation by Commission staff on a caseby-case basis, the definition proposed in the NOPR
and adopted in this final rule does not attempt to
set specific thresholds for scope or duration of
services. Chapter 16 of the guidelines provides
examples of the type of information Commission
staff will consider when making these
determinations.
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comprising one or more independent
consultants and additional engineering
and scientific personnel, as needed.
Collectively, the independent
consultant team must have expertise
commensurate with the scale,
complexity, and relevant technical
disciplines of the project and type of
review being performed (periodic
inspection or comprehensive
assessment). As the NOPR explained,
this approach ensures that each
inspection and review is conducted by
qualified personnel such that the
Commission can reasonably expect that
potential issues relating to project safety
or stability will be identified. The
Commission intends to place greater
emphasis on the qualifications of the
personnel on an independent consultant
team, and their collective experience
and expertise, for comprehensive
assessments compared to periodic
inspections; projects with higher
consequences or total project risk;
projects with a greater number of, or
more technically diverse or challenging,
project works; and projects with a
history of unusual or adverse
performance. Currently, § 12.34 requires
licensees to submit resumes for
independent consultants for
Commission approval. As further
discussed below, the final rule revises
§ 12.34 to require licensees to submit an
independent consultant team proposal
for the Director of D2SI’s approval.
32. Commenters requested
clarification of the definition of an
independent consultant team and asked
that the 10-year experience requirement
be limited to just the independent
consultant and not the entire team.38
Some commenters expressed general
concern about the relatively limited
pool of qualified independent
consultants,39 and that the provisions
on independence might disqualify those
who have performed prior work on the
project.40 CEATI recommended that the
reference to qualified dam design and
construction personnel should be
broadened to include other critical
project works such as penstocks, gates,
and other structures.41
33. Based on the comments received,
we revised the definition of
independent consultant team to clarify
38 See, e.g., NHA Comments at 4; CEATI
Comments at 6; Central Nebraska Public Power and
Irrigation District’s September 22, 2020 Comments
at 1–2 (Central Nebraska Comments).
39 See, e.g., NHA Comments at 4; CEATI
Comments at 6; Central Nebraska Comments at 1–
2; Wisconsin Power and Light Company’s
September 18, 2020 Comments at 5–7 (Wisconsin
Power Comments).
40 See, e.g., NHA Comments at 4; CEATI
Comments at 6; Wisconsin Power Comments at 6.
41 See CEATI Comments at 7.
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that the ten-year experience requirement
applies only to the independent
consultant and does not apply to the
additional independent consultant team
members. The final rule requires that an
independent consultant team must
include at least one independent
consultant, as defined in paragraph (a)
of this section, and that supporting team
members must meet the requirements of
paragraphs (a)(3) through (a)(5) of this
section regarding the professional
relationship between the team member
and the licensee. In addition, former
paragraph (i) regarding the granting of a
waiver of the 10-year requirement was
relocated to § 12.34 for clarity.
34. In response to the general
concerns about the limited pool of
qualified independent consultants or
team members, the restrictions listed in
paragraphs (a)(3) through (a)(5) are
designed to ensure that independent
consultants and team members are not
responsible for reviewing work to which
they substantially contributed. This
limiting provision is essential in
ensuring independence of the
independent consultant and
independent consultant teams.42
Examples of what constitutes
independence is provided in Chapter 16
of the Engineering Guidelines.43 This
provision clarifies previous guidance
and practice and in staff’s opinion will
not reduce the pool of independent
consultants performing this work. On
the contrary, the inclusion of
independent consultant team members
provides more opportunity to develop
the experience of more junior
professionals to be qualified as future
independent consultants.
‘‘Appurtenances’’ has been added to the
required expertise of the independent
42 CEATI asks whether a licensee may appeal a
determination under § 12.31(a)(5) of a possible
conflict of interest based on an independent
consultant’s prior work on a project. CEATI
Comments at 6. As explained in Chapter 16 of the
Engineering Guidelines, if there is a situation that
could disqualify an independent consultant or team
member under § 12.31(a)(5), it is the licensee’s
responsibility to demonstrate in the inspection plan
that any potential conflict of interest will be
avoided. In any event, any staff action is subject to
a request for rehearing, see 18 CFR 385.1902(a),
although it is unclear to what extent we would
entertain such an interlocutory matter.
43 With respect to the limitation in § 12.31(a)(5)
that an independent consultant has not been ‘‘an
agent acting on behalf of the licensee or its
affiliates,’’ we do not find it necessary to define the
term ‘‘agent’’ as some commenters suggest. See
NHA Comments at 5; CEATI Comments at 6. The
term agent is commonly used to refer to a person
with authority to act on another’s behalf. As we
have explained, the purpose of the limitation is to
ensure the independent consultant’s independence.
Chapter 16 of the Engineering Guidelines provides
example scenarios and guidance to help licensees
navigate the independent consultant approval
process.
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consultant team to broaden the
experience of the team beyond that of
just the dam.
35. The NOPR proposed and the final
rule updates the definition of ‘‘hazard
potential’’ to ensure consistency with
FEMA’s Hazard Potential Classification
System for Dams,44 and relocates the
definition of ‘‘high hazard potential’’ to
§ 12.3(b)(13)(i).45 The updated
definition applies to dams, canals, and
other water conveyances, or any portion
thereof. The final rule further defines
‘‘significant hazard potential’’ and ‘‘low
hazard potential classifications’’ in
§§ 12.3(b)(ii) and (iii).
36. The NOPR also proposed and the
final rule in § 12.31 includes definitions
for ‘‘periodic inspection’’ and
‘‘comprehensive assessment.’’ No
further revisions were made to this
section following the NOPR.
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3. Section 12.32—General Inspection
Requirement
37. Existing § 12.32 requires that an
independent consultant perform a
periodic inspection of the project works
of each development,46 subject to the
provisions of subpart D.
38. The NOPR proposed to retain the
general requirement that an
independent consultant inspection be
performed, to revise § 12.32 to
incorporate the terms ‘‘periodic
inspection’’ and ‘‘comprehensive
assessment,’’ and to require the filing of
a report following each type of
inspection. The NOPR also proposed to
relocate the general requirement to file
an inspection report from existing
§ 12.37 to revised § 12.32.
39. Commenters requested that
‘‘generating equipment’’ be added to the
list of project works excluded from
inspections and further clarity be
provided to distinguish between the
inspection requirements for high hazard
potential and low hazard potential
project works.47 Generating equipment
is a critical element in the passage and
discharge of water through a
powerhouse. Because the failure of
generating equipment to pass discharge
can result in operational and life safety
concerns, it is imperative that
generating equipment be inspected for
44 See FEMA, Federal Guidelines for Dam Safety:
Hazard Potential Classification System for Dams
(Apr. 2004), https://www.ferc.gov/sites/default/
files/2020-04/fema-333.pdf (FEMA Hazard Potential
Classification System).
45 See infra P 123.
46 Development means that part of a project
comprising an impoundment and its associated
dams, forebays, water conveyance facilities, power
plants, and other appurtenant facilities. A project
may comprise one or more developments. 18 CFR
12.3(b)(7).
47 See NHA Comments at 5–6.
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mechanical reliability and operational
concerns. Therefore, we decline to
revise § 12.32 to add generating
equipment to the list of project works
excluded from inspections. The subject
of inspection requirements for high and
low hazard potential project works is
discussed in § 12.30 above. No revisions
to the section were made based on this
comment. The final rule eliminates two
general references to the Engineering
Guidelines from this section and adds a
sentence to clarify that the licensee
must ensure that the independent
consultant team’s report complies with
all the requirements set forth in subpart
D.
4. Section 12.33—Exemption
40. Existing § 12.33 grants the Director
of D2SI the authority to exempt projects
from the provisions of subpart D for
good cause and provides an example of
what may constitute good cause. At the
Director of D2SI’s discretion, the
exemption may be granted in perpetuity
or may require periodic reevaluation of
the exemption justification (e.g., by
reviewing and confirming that the
project has a low hazard potential).
41. The NOPR, which in § 12.33(a)
retained the Director of D2SI’s authority
to exempt projects from subpart D,
proposed revisions to § 12.33(b) to
update the example of good cause to
include canals and other water
conveyances. In addition, the NOPR
proposed in § 12.33(c) to rescind any
exemption from subpart D that was
issued prior to the effective date of this
rule. Existing subpart D exemptions
have been granted over several decades
and, as the state of the practice of dam
safety has evolved, have not been
reconsidered consistently. For this
reason, the NOPR contemplated that an
entity desiring a continued exemption
would be required to reapply to ensure
that any justification for a subpart D
exemption is reviewed based on the
current state of the practice, considering
potential failure modes, consequences,
and total project risk.
42. NHA requested that the
Commission reconsider rescinding all
previously approved exemptions from
the requirements of subpart D.48
43. Based on the comments received
and after further consideration, the
blanket rescission of all previously
approved exemptions has been removed
from the regulations. Instead, we have
revised § 12.33 to clarify that the
Director of D2SI, for good cause shown,
may rescind a previously approved
exemption from the requirements of
subpart D. This determination will be
48 NHA
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1495
made on a case-by-case basis. In
addition, for future exemption requests,
the Director of D2SI may require the
licensee to complete a comprehensive
assessment prior to considering the
exemption request.
5. Section 12.34—Approval of
Independent Consultant Team
44. Prior to performing an inspection,
existing § 12.34 requires a licensee to
submit for the Director of the Office of
Energy Projects’ approval a detailed
resume for an independent consultant.
In the NOPR, the Commission proposed
several revisions to § 12.34 to address
concerns raised in the Oroville
Independent Forensic Team report, the
FERC After Action Panel Report, and
issues related to implementation of the
existing rule over the past several
years.49
45. In § 12.34(a), the NOPR proposed
to require licensees to obtain written
approval of the independent consultant
team, from the Director of D2SI instead
of the Director of the Office of Energy
Projects, prior to performing a periodic
inspection or comprehensive
assessment. While in practice D2SI has
granted approval of independent
consultants prior to inspections, the
regulation as currently written does not
stipulate that D2SI approval must be
obtained.
46. As proposed in the NOPR,
§ 12.34(b) would require licensees to
submit a detailed independent
consultant team proposal to the Director
of D2SI at least 180 days prior to
performing a periodic inspection or
comprehensive assessment. This
involves two primary changes. As we
explained in the NOPR, while the
current text of § 12.34(b) requires
licensees to submit an independent
consultant’s detailed resume 60 days in
advance, increasing the submittal time
to 180 days in advance does not
represent a change in practice. D2SI
staff routinely issues reminder letters to
licensees approximately 18 months in
advance of any inspection required
under subpart D, and for several years
has requested that independent
consultants’ resumes be submitted six
months in advance to ensure that all
parties are aware of their roles and
responsibilities, and have sufficient
time to prepare for the inspection. The
49 In particular, the improvements to the
independent consultant team approval process
include: broadening the composition of
independent consultant team members to include
representation from varied technical disciplines;
ensuring thorough review of project works by
qualified individuals with the appropriate technical
disciplines; and performing comprehensive reviews
of the original project design, construction, and
subsequent performance.
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final rule codifies D2SI’s current
practice.
47. Second, existing § 12.34 requires
that resumes be submitted only for any
independent consultant, to demonstrate
that they meet the requirements
provided in § 12.31. In the NOPR, we
proposed revisions to § 12.34(b)
directing licensees to submit
documentation of the experience and
qualifications for all members of the
independent consultant team, including
one or more independent consultants
and additional contributing members, as
needed. This change will allow
Commission staff to more fully evaluate
the independent consultant team’s
experience and ensure it is
commensurate to the scale, complexity,
and technical disciplines of the project
and type of review being performed.
The Commission intends to require a
higher level of experience and expertise
for a comprehensive assessment than a
periodic inspection, due to the broader
scope of the comprehensive assessment.
48. The NOPR proposed changes to
§ 12.34(c) that would permit the
Director of D2SI to disapprove of an
independent consultant team member,
regardless of demonstrated experience
and qualifications, for good cause, such
as having a report rejected by the
Commission within the preceding five
years. This provision allows the
Commission to ensure that independent
consultants’ inspections are performed
by qualified parties.
49. In response to the NOPR,
commenters requested further clarity
on: (1) The independent consultant
team proposal information that should
be provided in the inspection plan; (2)
grounds for disapproval of an
independent consultant; and (3) the
timing for submitting the inspection
plan.50
50. Based on comments received, the
final rule further revises § 12.34 to:
• Clarify that the independent consultant
team proposal must identify the technical
disciplines and level of expertise required to
perform the inspection and show that each
member of the independent consultant team
who is not designated as an independent
consultant meets the requirements of
§ 12.31(a)(3) through (5);
• clarify that the D2SI Director may
disapprove an individual who is identified as
the independent consultant in the
independent consultant team proposal, and
that grounds for disapproval may include
rejection by the Commission of one or more
reports on an inspection under this subpart
within the preceding five years;
• clarify that the 180-day timing is
measured from the scheduled date of the
field inspection or other designated activity
such as a Potential Failure Mode Analysis or
risk analysis;
• add a requirement that the independent
consultant team proposal clearly delineate
team members’ roles and responsibilities to
ensure no team member will be responsible
for reviewing and evaluating their own
previous work on the project;
• add a requirement that if required
information about any supporting team
member is not available at the time of the
independent consultant team proposal, the
missing information must be included in the
preliminary report required by § 12.42;
• clarify that written approval of the
facilitator(s) of the Potential Failure Mode
Analysis or risk analysis must also be
obtained; and
• relocate information on granting of a
waiver of the 10-year requirement from
§ 12.32 to § 12.34 for clarity.
6. Section 12.35—Periodic Inspection
51. Existing § 12.35 establishes the
scope of the independent consultant’s
inspection. In the NOPR, the
Commission proposed to revise § 12.35
in its entirety such that it establishes the
scope of a periodic inspection, the less
intensive of the two tiers of part 12
inspections.
52. The final rule adopts this change.
As revised, § 12.35 establishes the scope
of a periodic inspection, which includes
review of prior reports, a field
inspection, review of the surveillance
and monitoring plan and data, and
review of dam and public safety
programs. A periodic inspection has a
reduced scope compared to the existing
independent consultant’s inspection.
53. In response to the NOPR,
commenters recommended: broadening
the scope of the periodic inspection to
include a review of the Supporting
Technical Information Document; 51
adding a review of security protocols of
the operating system to the
inspection; 52 eliminating the
requirement that the independent
consultant team must have a full
understanding of all the project
works; 53 and deleting the requirement
for the team to inspect all accessible
project works with no consideration for
the risk/hazard potential of the project
work.54
54. Adding a review of the Supporting
Technical Information Document would
provide little benefit to the periodic
inspection and would result in
increased burden and cost. Adding a
review of the security protocols is
outside the scope of a periodic
inspection and would be best handled
51 See
NHA Comments at 7.
CEATI Comments at 10.
53 See id.
54 See NHA Comments at 7.
52 See
50 See, e.g., NHA Comments at 7; CEATI
Comments at 8–9.
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separately by others with specialized
experience. For these reasons, neither
recommendation was incorporated into
the scope of a periodic inspection.
55. Eliminating the requirement for
the independent consultant team to
have a full understanding of the project
works would negate the team’s ability to
adequately understand the technical
and operational aspects of the project
and therefore be unable to provide
meaningful observations, conclusions,
and recommendations from the
inspection. Limiting the inspection to
only those project works that are
considered high risk or high hazard
would be subjective, could overlook
project works whose potential hazard or
risk could change over time, and would
result in an incomplete inspection and
assessment of the project works. The
final rule adds a sentence to § 12.35(a)
to clarify that it is the licensee’s
responsibility to provide to the
independent consultant team all
information and reports necessary to
fulfill the requirements of this section.
In addition, a few minor revisions for
clarity were made to this proposed
section following the NOPR.55
7. Section 12.36—Report on Periodic
Inspection
56. Existing § 12.36 deals with
emergency corrective measures. As
discussed further below,56 the NOPR
proposed to combine the requirements
for emergency corrective measures
contained in existing § 12.36 and the
requirements for corrective measures
after the report as outlined in existing
§ 12.39 under a single ‘‘corrective
measures’’ heading in § 12.41.
57. As proposed in the NOPR, new
§ 12.36 establishes the requirements for
the periodic inspection report, which
serves a similar purpose to existing
§ 12.37 (report of the independent
consultant) with several notable
changes. Existing § 12.37(b) currently
requires initial reports filed under
subpart D to include general project
information (e.g., project descriptions,
maps, design summary information,
geologic information) and allows
licensees to incorporate by reference
existing information and analyses
contained in previously-prepared
independent consultant reports (existing
§ 12.37(b)(2)). The final rule eliminates
55 Section 12.35(a), which requires the
independent consultant team to review prior
reports ‘‘to have, at the time of the periodic
inspection, a full understanding of the . . .
downstream hazard . . . of the project works’’ was
revised to add ‘‘upstream and downstream hazard.’’
Section 12.35(d)(3), addressing review of dam and
public safety programs, was revised to specify
review of ‘‘public access restrictions.’’
56 See infra PP 93–96.
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the practice of differentiating between
initial and subsequent reports and will
require every periodic inspection report
to meet the same standard, without
relying on the practice of incorporating
by reference information or analyses
contained in earlier reports.
58. Section 12.36(b) of the final rule
lists specific evaluations that must be
documented in a periodic inspection
report. These pertain to the surveillance,
monitoring, and performance of the
project, with a focus on whether any
potential failure modes, previously
identified or not, are active, developing,
or warrant further evaluation at the time
of the periodic inspection.
59. As proposed in the NOPR, the
final rule eliminates the provisions that
previously allowed independent
consultants to incorporate the previous
independent consultant’s report by
reference and document only
information that has changed since the
previous report. Section 12.36(c)
provides a list of items which require a
status update and an evaluation of any
changes since the previous inspection.
60. Existing provisions in
§§ 12.37(c)(4) through (8) are retained in
§§ 12.36(d) through (h) with minor
changes to ensure consistency with
other revisions.
61. In response to the NOPR,
commenters sought clarity on the
independent consultant team’s review
and assessment of previous engineering
analyses and reports.57 Specifically,
commenters questioned whether
independent consultants may, after
reviewing previous reports, conclude
that they concur with the analyses and
results and that the content of the
previous reports need not be recreated.
In addition, certain commenters, such as
CEATI and Central Nebraska, advocated
for the removal of paragraph (b)(5)(iii),
which would require the independent
consultant team to review the adequacy
of the Owner’s Dam Safety Program.58
Central Nebraska and NHA reiterated
similar concerns with respect to the
independent consultant team’s review
of the Public Safety Plan, noting that the
review should be limited to the
licensee’s compliance with the plan
rather than a review of the plan’s
adequacy.59
62. In reviewing and assessing
previous engineering analyses and
57 See, e.g., CEATI Comments at 10; Central
Nebraska Comments at 2.
58 See CEATI Comments at 11; Central Nebraska
Comments at 2; see also NHA Comments at 7
(expressing concern that the scope of the periodic
inspection includes review of the Owner’s Dam
Safety Plan and Public Safety Plan).
59 See Central Nebraska Comments at 2; NHA
Comments at 7.
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reports, the independent consultant
team’s summary must not simply state
that the team agrees with the report
findings, but instead must provide a
clear rationale or basis for why the team
agrees with the report findings. The
independent consultant team’s review
of the Owner’s Dam Safety Program, a
required component of the periodic
inspection (as well as the
comprehensive assessment) is not the
same as the external audit of the
Owner’s Dam Safety Program described
in § 12.65.60 For the purposes of the
periodic inspection or comprehensive
assessment, the Owner’s Dam Safety
Program review is intended to provide
the independent consultant team an
opportunity to provide their
observations and findings from their
interactions with the licensee staff (e.g.,
managers, dam safety engineers, and
operators) related to the licensee’s
implementation of and compliance with
its Owner’s Dam Safety Program at the
particular project being inspected.61 The
same is true of the independent
consultant team’s review of the Public
Safety Plan. The final rule revises this
section to specify that the report must
be sealed with a professional engineer’s
seal (§ 12.36(h)), to delete informational
references to the Engineering
Guidelines, and to incorporate other
minor edits. No other substantive
revisions were made to this proposed
section following the NOPR.
8. Section 12.37—Comprehensive
Assessment
63. Existing § 12.37 establishes
requirements for independent
consultant-prepared reports. As
discussed elsewhere in this final rule,
the revisions to §§ 12.36 and 12.38
incorporate this information for reports
on periodic inspections and
comprehensive assessments,
respectively.
60 The purpose of the external audit or peer
review is to provide a holistic review of the
Owner’s Dam Safety Program by evaluating its
efficacy across the owner’s portfolio of projects to
which the program applies. This review is to be
conducted every five years and should focus on the
owner’s corporate program for dam safety,
including, but not limited to, communication,
training, and organizational structure and risk
reduction strategies intended to foster a strong dam
safety culture within the owner’s organization as a
whole.
61 NHA suggests that requiring review of the
Owner’s Dam Safety Program as part of the periodic
inspection ‘‘could create significant exposure to
liability for an [independent consultant] who is
highly qualified with respect to the technical and
operational aspects of the project, but not with
respect to evaluating organizational programs and
effectiveness.’’ NHA Comments at 7. However, in
Commission staff’s experience this has not been an
issue.
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1497
64. Section 12.37 of the final rule
establishes the scope of a
comprehensive assessment, the more
intensive of the two tiers of part 12
inspection. As many components of the
comprehensive assessment are identical
to or build upon the periodic
inspection, several paragraphs of this
section cross-reference the
corresponding periodic inspection
requirements in § 12.35.
65. In addition to those elements
required for a periodic inspection set
forth in § 12.35, a comprehensive
assessment must include a review of
prior reports and analyses of record, a
review of the Supporting Technical
Information Document, a Potential
Failure Mode Analysis, and a risk
analysis. A comprehensive assessment
has an expanded scope compared to the
existing independent consultant’s
inspection. Section 12.37(a)(2) requires
the independent consultant team to
perform a more detailed review of
existing documentation, including asbuilt drawings, monitoring data, and
analyses of record, than required by the
current independent consultant’s
inspection.
66. Section 12.37(f) requires a
comprehensive assessment to include a
Potential Failure Mode Analysis, which
is already standard practice for part 12
inspections. D2SI has developed draft
Chapter 17 of the Engineering
Guidelines, which describes how to
conduct a Potential Failure Mode
Analysis. As discussed above, the
Commission has solicited and received
public comments on draft Chapter 17 in
Docket No. AD20–22–00.62 The final
version of Chapter 17 is available on the
FERC Division of Dam Safety and
Inspections website.63
67. Section 12.37(g) incorporates a
semi-quantitative risk analysis as part of
the scope of a comprehensive
assessment. Other Federal agencies,
including Reclamation, the Corps, and
the Tennessee Valley Authority, have
incorporated this type of analysis into
their systematic comprehensive dam
safety reviews. FEMA also provides
recommendations and guidance for the
performance of semi-quantitative risk
analysis.64 D2SI developed draft
Chapter 18 of the Engineering
Guidelines to provide guidance
describing the process of, and
procedures for performing, a semiquantitative risk analysis. As discussed
above, the Commission has solicited
62 See
supra P 15.
supra note 21.
64 FEMA, Federal Guidelines for Dam Safety Risk
Management (Jan. 2015), https://www.fema.gov/
sites/default/files/2020-08/fema_dam-safety_riskmanagement_P-1025.pdf.
63 See
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and received public comments on draft
Chapter 18 in Docket No. AD20–23–
00.65 The final version of Chapter 18 is
available on the FERC Division of Dam
Safety and Inspections website.66
68. Section 12.37(g) permits the
Regional Engineer to waive the
requirement that a comprehensive
assessment must include performance of
a risk analysis. This waiver provision
allows the Commission to focus its
efforts on projects that present greater
risk to life, health, and property, and
provides flexibility for D2SI staff to
gradually phase in the risk analysis
component of a comprehensive
assessment, allowing sufficient time for
D2SI staff to develop and deliver
training on the risk analysis procedures
to D2SI staff, licensees, and consultants.
It also can provide regulatory relief to
licensees, where appropriate.
69. In response to the NOPR,
commenters requested clarity on
performing a Potential Failure Mode
Analysis,67 questioned the
appropriateness of requiring a risk
analysis as part of a comprehensive
assessment for owners with a small
number of dams,68 and commented on
the scope and cost to perform a risk
analysis.69
70. As more fully described in the
Engineering Guidelines, the Potential
Failure Mode Analysis is a process used
to identify, describe, and evaluate the
credibility and significance of potential
failure modes.70 A Potential Failure
Mode Analysis is the first step in
conducting a risk analysis, which
evaluates significance from a risk
perspective by categorizing potential
failure modes by likelihood and
consequence in an effort to prioritize
dam safety activities. Chapters 17 and
18 of the Engineering Guidelines
provide procedural guidance for
performing a Potential Failure Mode
Analysis and a risk analysis for a
comprehensive assessment,
respectively.
71. As to concerns about requiring a
risk analysis as part of a comprehensive
65 See
supra P 15.
supra note 21.
67 See, e.g., NHA Comments at 10; CEATI
Comments at 11.
68 See CEATI Comments at 11.
69 See, e.g., NHA Comments at 10; CEATI
Comments at 11.
70 Chapter 17 of the Engineering Guidelines
explains that a potential failure mode is a way that
failure could occur and defines failure, for the
purposes of the potential failure mode analysis, as
an uncontrolled release of the reservoir, in whole
or in part; the inability of project works or
components to perform their intended function; or
project works or components performing in an
impaired or compromised fashion; any of which
results in an adverse consequence.
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assessment for owners with a small
portfolio of dams, risk is not a function
of the number of dams an entity owns.
Moreover, the scope of the risk analysis
has been designed so that it may be
tailored to specific project conditions.
The guidance in Chapter 18 of the
Engineering Guidelines provides for a
scalable approach to performing the risk
analysis depending on the type,
complexity, and size of the project
works. Larger and more complex project
works will generally take more effort to
analyze than projects with smaller and
less complex works. The appropriate
scope of a risk analysis, as well as
associated costs for performing such
analysis, have been carefully considered
to provide only that level of effort
needed to obtain the information
necessary to prioritize risk measures.
The final rule adds a sentence to
§ 12.37(a) to clarify that it is the
licensee’s responsibility to provide to
the independent consultant team all
information, reports, and analyses of
record necessary to fulfill the
requirements of this section and deletes
informational references to the
Engineering Guidelines. No other
substantive revisions were made to
proposed § 12.37 following the NOPR.
9. Section 12.38—Report on
Comprehensive Assessment
72. Existing § 12.38 describes the
timeline for submitting reports on an
independent consultant’s inspection.
These requirements are relocated to
§ 12.40, discussed below.
73. As proposed in the NOPR, § 12.38
of the final rule establishes the
requirements for the report on a
comprehensive assessment. As with the
corresponding section regarding a report
on a periodic inspection, the
Commission is eliminating the
difference between initial and
subsequent reports and will require
every comprehensive assessment report
to meet the same standard.
74. Section 12.38(b) references
§ 12.36(b) and identifies additional
items that require specific evaluation in
the comprehensive assessment report. In
addition to those elements required for
a periodic inspection, a comprehensive
assessment report must include an
evaluation of: Spillway adequacy; the
potential for internal erosion and/or
piping of embankments, foundations,
and abutments; structural integrity and
stability of all structures under credible
loading conditions; any other analyses
of record pertaining to geology,
seismicity, hydrology, hydraulics, or
project safety; and the Supporting
Technical Information Document,
Potential Failure Mode Analysis, and
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risk analysis. An evaluation of an
analysis of record must include an
evaluation of the accuracy, relevance,
and consistency with the current state of
the practice of dam engineering, and the
comprehensive assessment report must
include clear documentation of the
independent consultant team’s
rationale. If the independent consultant
team is unable to review any analysis of
record or disagrees with the analysis of
record in any way, the independent
consultant must recommend new
analyses.
75. In the NOPR, the Commission also
proposed to eliminate provisions that
allow independent consultants to
incorporate the previous independent
consultant’s report by reference and
document only that information that has
changed since the previous report. By
referencing the periodic inspection
report requirements (§ 12.36(c)) (i.e.,
report on periodic inspection),
§ 12.38(c) requires the independent
consultant to provide, across seven
categories, a status update and
evaluation of any changes since the
previous inspection.
76. The existing provisions in
§§ 12.37(c)(4) through (8) are retained in
§§ 12.38(d) through (h) of the final rule
with minor changes to ensure
consistency with other revisions
adopted herein.
77. In response to the NOPR,
commenters requested clarity on
appropriate actions to take when the
analyses of record are unavailable.71
78. Section 12.38(c)(3) requires the
independent consultant to provide
recommendations to perform new
analyses if the analyses of record are not
available to be reviewed. It is incumbent
on licensees to either locate the analysis
of record or provide a plan and schedule
to complete a new analysis. Additional
guidance on reviewing and evaluating
the analyses of record and how that
information should be documented and
classified is provided in Chapter 16 of
the Engineering Guidelines. As
discussed above, the Commission has
solicited and received public comments
on draft Chapter 16 in Docket No.
AD20–21–00.72 The final version of
Chapter 16 is available on the FERC
Division of Dam Safety and Inspections
website.73 Apart from eliminating
informational references to the
Engineering Guidelines, no substantive
revisions were made to proposed § 12.38
following the NOPR.
71 See, e.g., NHA Comments at 10; CEATI
Comments at 12.
72 See supra P 15.
73 See supra note 21.
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10. Section 12.39—Evaluation of
Spillway Adequacy
79. Existing § 12.39 describes the
process for taking corrective measures
after the independent consultant’s
report is filed with the Regional
Engineer. As proposed in the NOPR,
this procedure is relocated to § 12.41,
discussed below. The requirement to
evaluate spillway adequacy is an
existing component of the part 12
inspection and is currently found in
§ 12.35(b) of our regulations. However,
providing this information in a
standalone section will highlight the
importance of evaluating spillway
adequacy. Accordingly, the final rule
relocates the requirement to evaluate
spillway adequacy to § 12.39.
80. As proposed in the NOPR, § 12.39
of the final rule would expand the
existing requirements for evaluating
spillway adequacy to address scenarios
similar to the 2017 Oroville Dam
spillway incident. When assessing
spillway adequacy, independent
consultants must evaluate the potential
for misoperation of, failure to operate,
blockage of, or debilitating damage to, a
spillway, and the resulting effects on the
maximum reservoir level and the
potential for overtopping.
81. In response to the NOPR, NHA
requested clarity on how the hydraulic
adequacy evaluations will be
consistently implemented and whether
the credible loading conditions are
standards based or risk based.74 Central
Nebraska expressed concerns that
§ 12.39 could result in ‘‘efforts that
could be overly broad and lead[] to the
review or assumption of unreasonable
levels of unlikelihood,’’ and suggested
instead that spillway performance be
evaluated through the Potential Failure
Mode Analysis process.75
82. The evaluation of spillway
adequacy has been a longstanding
assessment requirement of subpart D
independent consultant inspections.
The final rule requires the independent
consultant as part of the spillway
adequacy assessment to consider
specific conditions that could limit or
impact spillway discharge. Commission
staff will monitor and review how these
conditions are assessed and provide
additional guidance on the assessment
process, if needed, on a case-by-case
basis. In response to NHA’s question
about appropriate flood loading
conditions, paragraph (a) has been
revised to clarify that floods up to and
including the probable maximum flood
must be considered in the evaluation. In
74 See
NHA Comments at 10–11.
Nebraska Comments at 2.
75 Central
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addition, we have deleted the word
‘‘structural’’ from paragraphs (a) and (b)
to clarify that failures could be more
than structural failures and eliminated
from this section an informational
reference to the Engineering Guidelines.
11. Section 12.40—Time for Inspections
and Reports
83. This final rule relocates the
provisions regarding timelines for
performing independent consultant
inspections and submitting inspection
reports, previously found in § 12.38, to
revised § 12.40. Our existing rules
maintain a five-year cycle for
inspections and include provisions for
initial inspections of existing licensed
projects, projects licensed but not yet
constructed, and all other projects;
include a separate set of provisions
related to projects inspected by an
independent consultant prior to March
1, 1981; and authorize the Regional
Engineer to grant extensions of time to
file an independent consultant’s
inspection report.
84. Section 12.40 revises the timeline
for submitting reports on inspections by
independent consultants. While the
current five-year interval between
inspections and reports is maintained,
the inspections will alternate between
periodic inspections and comprehensive
assessments; thus, there is a ten-year
interval between any pair of consecutive
comprehensive assessments or periodic
inspections, but a significant project
review every five years.
85. Section 12.40(a) consolidates the
timing of inspections and reports for
projects previously inspected by an
independent consultant. Section
12.40(a)(1) maintains the five-year cycle
for an independent consultant’s
inspection of each project development.
Section 12.40(a)(2) grants the Regional
Engineer the authority to require that
any report due 18 months after the
effective date of the final rule be either
a comprehensive assessment or periodic
inspection, enabling D2SI to balance the
number of comprehensive assessments
due each year over the 10-year cycle.
Section 12.40(a)(3) requires that the first
comprehensive assessment be
completed, and the report on it filed, by
December 31, 2038.76
76 This date is based on an anticipated final rule
effective date in early 2022 with a corresponding
first report due 18 months later in late 2023. A fouryear phased implementation period (2024 through
2027) is assumed to attain full annual
implementation. Full implementation should be
complete after a full 10-year cycle (2027–2036). An
additional two years (2037 and 2038) are provided
for possible extension of time requests and any
other reports that may have been delayed from the
phased implementation period.
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1499
86. Section 12.40(b) retains and
updates the terminology related to
existing provisions for existing licensed
projects previously inspected, projects
licensed but not yet constructed, and
other projects.
87. Section 12.40(c) establishes the
ten-year interval between
comprehensive assessments and
requires that a periodic inspection be
performed within five years following a
comprehensive assessment.
88. Sections 12.40(d) and 12.40(e)
allow the Regional Engineer to extend
the time to file an independent
consultant’s report, for good cause
shown, and to require that any
inspection scheduled to be performed
be a periodic inspection or
comprehensive assessment. For
example, where a project is scheduled
for a periodic inspection but a dam
safety incident, extreme loading
condition (e.g., unprecedented flood,
large earthquake, etc.), or other
significant change in condition has
occurred since the previous
comprehensive assessment, the Regional
Engineer may require that the project
undergo a comprehensive assessment
rather than a periodic inspection.
Alternatively, for projects that have no
life safety consequences and a low total
project risk, the Regional Engineer may
allow comprehensive assessments to be
performed at an interval greater than
every 10 years.
89. In response to the NOPR,
commenters recommend changing the
effective date to 18 months following
the date of the final rule,77 extending
the due date for projects not previously
inspected under Part 12 from two years
to three years,78 limiting the Regional
Engineer’s ability to unilaterally change
the type of report to be filed,79 and
further clarifying the purpose of the
preliminary report.80
90. Section 12.40(a)(2) has been
revised to reflect that the date for a
report to be filed under this subpart will
be 18 months after the effective date of
the final rule. Commission staff has
evaluated the scope of the effort
required to complete a comprehensive
assessment and is confident that two
years is sufficient time to complete this
work and file a report. Extending this
work effort over a three-year duration
would provide no benefits and could
negatively impact the process by
extending the time between the review
77 See
CEATI Comments at 13.
id.
79 See, e.g., NHA Comments at 11; CEATI
Comments at 13.
80 See, e.g., NHA Comments at 11; CEATI
Comments at 13.
78 See
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of project information; conducting the
inspections and performing Potential
Failure Mode Analysis and semiquantitative risk analysis meetings; and
preparing the report, thus prolonging
the period before corrective action could
be identified and implemented. Section
12.40(e) was revised to include ‘‘for
good cause’’ for the Regional Engineer to
change the type of report due.
91. The purpose of the preliminary
report is to demonstrate whether the
independent consultant team has
adequately prepared for their
inspection, including the review of
background material and
instrumentation data. This requirement
is intended to help the independent
consultant team identify areas in the
field that may require additional
attention or effort.
92. In the NOPR, the Commission
proposed to include information about
the preliminary report in § 12.40(f).
However, because that section covers
different material, the final rule
relocates the preliminary report
requirement to § 12.42, which is a new,
standalone section.
12. Section 12.41—Corrective Measures
93. The procedures for addressing
items identified during a part 12
inspection that require corrective
measures are currently set forth in
§ 12.39. This final rule relocates these
corrective measure procedures to new
§ 12.41. Currently, licensees are
required to submit to the Regional
Engineer a plan and schedule within 60
days of filing an independent
consultant’s report with the
Commission, and to complete all
corrective measures in accordance with
the plan and schedule as approved or
modified by the Regional Engineer.
Under the existing regulations, the
Regional Engineer may extend the time
for filing the plan and schedule. The
final rule does not modify or eliminate
these requirements.
94. Section 12.41 of the final rule
incorporates the requirements of
existing § 12.36 (emergency corrective
measures) and § 12.39 (post-inspection
corrective measures) into a single
section titled ‘‘corrective measures.’’
The revisions in § 12.41(a)(1)(i) clarify
that the licensee’s plan and schedule
must address the recommendations of
the independent consultant and include
investigation as an option for the
licensee to implement. Section
12.41(b)(2) is added to ensure that
emergency corrective measures are
documented in the corrective plan and
schedule required by § 12.41(a)(1).
95. In response to the NOPR, CEATI
recommends limiting the corrective
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plan to only those items that relate to a
potential failure mode or will improve
or change the understanding of risk
associated with the project works.81
Commenters further recommend
eliminating the requirement to submit
an annual status report,82 and creating
an appeals board to offer technical
guidance to the Part 12 process.83
96. Section 12.41(a)(1)(ii) already
includes provisions for taking no action
for recommended corrective measures
in those cases where it is justifiable. The
annual status report provides an
opportunity to periodically review and
update the status (e.g., completed, in
progress, outstanding, etc.) of
previously-identified corrective
measures and provides an opportunity
to revisit the priority and status of the
measures to ensure that they are acted
upon. We do not consider an annual
status update to be too frequent.
Commission staff has access to other
resources for technical advice and
review and therefore there is no need to
create a separate appeals board or board
of consultants. Based on a comment
received from CEATI on Chapter 16 of
the Engineering Guidelines,84 § 12.41(b)
was revised to reference § 12.3(b)(4) of
this part, which defines a condition
affecting the safety of a project or project
works, to demonstrate conditions that
would be considered appropriate for the
reporting of an emergency corrective
measure. In addition, the final rule
revises the first sentence of § 12.41(b) to
emphasize that it is the licensee’s
responsibility to ensure that the
independent consultant complies with
the notification requirements of this
paragraph. No other substantive
revisions were made to proposed § 12.41
following the NOPR.
13. Section 12.42—Preliminary Reports
97. As discussed above, the final rule
relocates requirements regarding
preliminary reports that the NOPR had
proposed for inclusion in § 12.40(f) to a
new section of subpart D, § 12.42.85 This
section requires the independent
consultant team, at least 30 days before
performing a periodic inspection or
comprehensive assessment, to prepare
and file a preliminary report. The
purpose of the preliminary report is
two-fold: (1) It documents the
independent consultant team’s initial
findings after reviewing the project
81 See
CEATI Comments at 14.
e.g., NHA Comments at 12; CEATI
Comments at 14.
83 See NHA Comments at 12.
84 See CEATI’s September 15, 2020 Comments on
Chapter 16 of the Engineering Guidelines at 28
(filed in Docket No. AD20–21–000).
85 See supra P 92.
82 See,
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information; and (2) it demonstrates the
team’s preparation for conducting the
site inspection. If the preliminary report
does not clearly demonstrate that the
independent consultant team is
adequately prepared for the inspection,
the Regional Engineer may require the
inspection be postponed.
14. Alaska-Specific Concerns
98. A few commenters asserted that in
broadening the scope of independent
consultant dam safety inspections, the
NOPR takes a one-size-fits-all approach
that will place an unfair burden on
Alaska’s smaller, less complex
projects.86 The Alaska commenters
further suggest that the NOPR
underestimated the costs to small
projects of the proposed changes to
independent consultant inspections,
particularly by failing to consider the
costs associated with a larger inspection
team traveling to project sites in Alaska,
including the cost of remote travel.87
99. The Commission did not take a
one-size-fits-all approach to the changes
to the project safety inspection program
proposed in the NOPR and adopted,
with modifications, in this final rule. As
explained above, the revised inspection
approach provides for a two-tier
inspection structure, consisting of a
periodic inspection (§ 12.35) and a more
robust comprehensive assessment
(§ 12.37). The size of the inspection
team is dependent on the project so that
it is ‘‘commensurate with the scale,
complexity, and relevant technical
disciplines of the project and type of
review, inspection, and assessment
being performed.’’ 88 Moreover,
§ 12.31(b) of the final rule defines an
independent consultant team as
consisting of one or more people. For
less complex projects, one individual
may be able to satisfy the requirements
of an independent consultant team.
Finally, the final rule incorporates
provisions to allow less complex project
licensees to seek an exemption from the
requirements of subpart D (§ 12.33(a)), a
waiver of the 10-year requirement to
perform a comprehensive assessment
(§ 12.34), or a waiver of the requirement
to perform a risk analysis as part of the
comprehensive assessment (§ 12.37(g)).
Each of these provisions is designed to
allow independent consultant
86 See, e.g., Alaska Power Association’s
September 18, 2020 Comments (Alaska Power
Comments); Cooper Valley Electric’s September 14,
2020 Comments (Cooper Valley Comments); Alaska
Electric Light & Power Company’s September 18,
2020 Comments (Alaska Electric Comments); see
also U.S. Senator Lisa Murkowski’s November 5,
2020 letter (supporting Alaska Power Association’s
comments).
87 See, e.g., Alaska Power Comments at 3.
88 18 CFR 12.31(b)(3).
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inspections to be tailored to the unique
circumstances and safety issues of each
project and, if circumstances warrant, to
eliminate or reduce the frequency of
certain subpart D requirements.
Comments specific to burden and costs
estimates for the information collection
activities associated with this final rule
are addressed below.89
B. Owner’s Dam Safety Program
100. As the NOPR explained, the
Commission began developing its
Owner’s Dam Safety Program guidance
following the December 2005 failure of
Taum Sauk Dam, in an effort to
encourage licensees to foster and
prioritize a strong dam safety culture
among their organizations and to help
decrease the likelihood of preventable
dam safety incidents. In August 2012,
the Director of D2SI issued letters to all
owners of high or significant hazard
potential dams requiring them to
develop and submit an Owner’s Dam
Safety Program.90 Additional
information and guidance on the
development of an Owner’s Dam Safety
Program has been available on the
Commission’s website since this time.
New subpart F consolidates and codifies
that guidance.
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1. Section 12.60—Applicability
101. Section 12.60 specifies that an
Owner’s Dam Safety Program must be
submitted by any licensee that has a
dam or other project work with a high
or significant hazard potential. This
does not represent a change from
existing practice.
102. No comments were received on
this section. Following the NOPR, the
cross-reference to the definitions of high
or significant hazard potential was
updated based on the revised
definitions contained in § 12.3(b)(13)(i)
and (ii). No other revisions were made
to proposed § 12.60 following the
NOPR.
2. Section 12.61—Definitions
103. Section 12.61 defines the terms
‘‘Chief Dam Safety Engineer’’ and ‘‘Chief
Dam Safety Coordinator,’’ as used in
subpart F. The Chief Dam Safety
Engineer or Chief Dam Safety
Coordinator is defined as the person
who oversees the implementation of the
Owner’s Dam Safety Program and has
primary responsibility for ensuring the
safety of the licensee’s dams and other
project works. The only difference
89 See
discussion infra Part V.A.
to All Licensees and Exemptees of High
and Significant Hazard Potential Dams Requiring
Submittal of an Owner’s Dam Safety Program,
August 2012, https://www.ferc.gov/sites/default/
files/2020-04/letter-submit-odsp.pdf.
90 Letter
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between the definitions is that a Chief
Dam Safety Engineer must be a licensed
professional engineer.
104. In response to the NOPR,
commenters requested clarification of
professional engineer licensure,91 and
suggested that flexibility should be built
in to allow licensees to use different
terms than those provided in this
section.92
105. Individual states determine the
requirements for the licensure of
professional engineers. Those
performing professional engineering
services are responsible for following
applicable state regulations. The final
rule revises § 12.61(a) to indicate that
the Chief Dam Safety Engineer must be
a licensed professional engineer with
experience in dam safety. For
consistency, the final rule also revises
§ 12.61(b) to clarify that the Chief Dam
Safety Coordinator in ‘‘is not required to
be a licensed professional engineer.’’
The terms Chief Dam Safety Engineer
and Chief Dam Safety Coordinator
should be used consistently in
documentation and correspondence
with the Commission. No other
substantive revisions were made to
proposed § 12.61 following the NOPR.
3. Section 12.62—General Requirements
106. Section 12.62 establishes three
general requirements for an Owner’s
Dam Safety Program. Section 12.62(a)
requires an Owner’s Dam Safety
Program to designate either a Chief Dam
Safety Engineer or a Chief Dam Safety
Coordinator. Any Owner’s Dam Safety
Program that applies to one or more
dams or other project works with a high
hazard potential must designate a Chief
Dam Safety Engineer. Section 12.62(b)
requires the Owner’s Dam Safety
Program to be signed by the owner and
the Chief Dam Safety Engineer or Chief
Dam Safety Coordinator, as applicable.
Section 12.62(c) requires the Owner’s
Dam Safety Program to be reviewed and
updated on a periodic basis. Although
§ 12.62(d) permits the owner to
designate outside parties, such as
consultants, to serve as Chief Dam
Safety Engineer or Chief Dam Safety
Coordinator, the owner retains ultimate
responsibility for the safety and day-today implementation of the projects.
107. Commenters on the NOPR
requested clarity as to who from the
owner’s organization should sign the
Owner’s Dam Safety Program,93
recommended adding a requirement to
provide formal documentation of any
agreement delegating an individual
1501
outside the owner’s organization to
serve as a Chief Dam Safety Engineer or
Chief Dam Safety Coordinator,94 and
stated that the dam safety industry
might not have sufficiently qualified
individuals to perform the
requirements.95
108. Owner’s organizations vary
widely in type and size, from sole
proprietorships to corporations to
municipalities. The requirement in
§ 12.62(b) that the owner, along with the
Chief Dam Safety Engineer or Chief Dam
Safety Coordinator, sign the Owner’s
Dam Safety Program ensures that the
legal entity responsible for the dam(s) or
other project works accepts the program
that is established to promote dam
safety within their organization in order
to help decrease the likelihood of
preventable dam safety incidents. It is
up to each organization to determine the
appropriate signatory for signing the
Owner’s Dam Safety Program.
109. The final rule revises § 12.62 to
include a statement that any delegation
of authority made in accordance with
the requirements of this section must be
documented in the Owner’s Dam Safety
Program and to clarify that the
responsibilities that may be delegated
include program implementation. In
response to commenters’ concerns about
a lack of qualified individuals,
provisions for developing and
implementing an Owner’s Dam Safety
Program have been in place as guidance
for many years and industry has been
able to provide adequate resources and
training to satisfy the requirements of
this section. Moreover, it is crucial that
licensees accept responsibility for, and
take all reasonable steps to implement,
an effective safety program. The crossreference to the definition of high
hazard potential was updated based on
the revised definition contained in
§ 12.3(b)(13)(i). No other substantive
revisions were made to proposed § 12.62
following the NOPR.
4. Section 12.63—Contents of Owner’s
Dam Safety Program
110. Section 12.63 establishes the
minimum contents of an Owner’s Dam
Safety Program. Sections 12.63(a)–(f)
each correspond to a topic area that
should be addressed in an Owner’s Dam
Safety Program document and identified
in the document’s table of contents, as
provided in current D2SI guidance
available on the Commission’s
website.96 Under § 12.63(g), the NOPR
94 Id.
95 NHA
91 CEATI
Comments at 14–15.
92 Id. at 15.
93 Id.
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Comments at 12.
Outline for Owner’s Dam Safety
Program—Table of Contents, https://www.ferc.gov/
96 FERC,
Continued
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also proposed that the Owner’s Dam
Safety Program should include any
additional information that may be
recommended by the Engineering
Guidelines, a draft chapter of which is
in development and will be provided at
a later date for public review and
comment.
111. In response to the NOPR,
commenters recommended minor
editorial changes and requested
clarification of what is meant by ‘‘other
information described by the
Guidelines’’ in § 12.63(g).97 Existing
guidance pertaining to the content of an
Owner’s Dam Safety Program is
available on the Commission’s website.
To eliminate any confusion, the final
rule deletes the references to the
Engineering Guidelines. No other
substantive revisions were made to
proposed § 12.63 following the NOPR.
5. Section 12.64—Annual Review and
Update
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112. Section 12.64 requires licensees
to review and update an Owner’s Dam
Safety Program. This section specifies
that any Owner’s Dam Safety Program
must be reviewed by the licensee’s dam
safety staff and discussed with senior
management on an annual basis, and
that any findings, analysis, corrective
measures, or revisions be submitted to
the Regional Engineer.
113. In response to the NOPR,
commenters recommended deleting the
entire section as it appears to duplicate
submittal of this information
elsewhere,98 requested clarification as
to whether the annual review of the
Owner’s Dam Safety Program will take
the place of the existing annual internal
audit,99 and requested clarification as to
which Regional Engineer the Owner’s
Dam Safety Program should be
submitted for owners with dams in
more than one Regional Office’s
territory.100
114. The annual review and update
will replace what commenters, such as
NHA, refer to as the existing annual
internal audit. Further, the report on the
annual review of the Owner’s Dam
Safety Program should not be conflated
with the Owner’s Inspection Preparation
Form.101 These are not duplicative
sites/default/files/2020-04/outline-withdiscussion.pdf.
97 See, e.g., CEATI Comments at 16; NHA
Comments at 12.
98 See, e.g., NHA Comments at 12–13.
99 Id. at 13.
100 CEATI Comments at 16.
101 The Owner’s Inspection Preparation Form is
an outline of specific items related to the Owner’s
Dam Safety Program to be discussed during a field
inspection conducted by D2SI staff. This form is
available on the Commission’s website at https://
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efforts. The Owner’s Inspection
Preparation Form is an optional form
that an owner may choose to complete
to help their staff prepare for a field
inspection conducted by D2SI staff. This
form is not typically submitted to the
Commission. Clarification of the annual
review process and how Owner’s Dam
Safety Programs should be filed for
owners with dams in multiple Regional
Offices will be provided in future
Commission guidance. No revisions
were made to proposed § 12.64
following the NOPR.
6. Section 12.65—Independent External
Audit and Peer Review
115. Section 12.65 describes the
requirements for independent external
audits and peer reviews, which must be
completed at least once every five years
for any Owner’s Dam Safety Program
that applies to one or more dams or
other project works having a high
hazard potential classification. The
qualifications of the review team must
be submitted to the Regional Engineer in
advance, and the Regional Engineer’s
acceptance must be obtained prior to
performing the audit or peer review.
The Commission will review the
qualifications to ensure that the review
team has sufficient expertise and a
defined plan to review the Owner’s Dam
Safety Program. The findings of the
external audit or peer review team must
be documented in a report to be
reviewed by licensee staff, including
senior management, and submitted to
the Regional Engineer.
116. In response to the NOPR, NHA
requested that the external audit of the
Owner’s Dam Safety Program remain
separate from the periodic inspection
and comprehensive assessment,102 and
CEATI recommended identifying a
baseline date to be used for the first
audit from which the deadlines for all
subsequent audits could be
determined.103 Commenters also asked
about the difference between an
independent external audit and a peer
review,104 and suggested adding
information for terms which ensure the
independence of the proposed auditor
or peer review team.105
117. As explained above, the external
audit of the Owner’s Dam Safety
Program is distinct from the
independent consultant team’s review
of the Owner’s Dam Safety Program
during the periodic inspection
www.ferc.gov/sites/default/files/2020-04/what-dowe-see.pdf.
102 NHA Comments at 13.
103 CEATI Comments at 16.
104 Id.
105 Id. at 17.
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(§ 12.35(d)(4)) and comprehensive
assessment (§ 12.37(d)).106 Per existing
practice, the date of the initial external
audit report of the Owner’s Dam Safety
Program establishes the date of the
subsequent five-year audit reports.
Generally, an external audit would be
more limited in scope and the minimum
level of effort compared to the peer
review process. A licensee may elect to
complete a more detailed peer review
performed by a team of at least three
reviewers. If necessary, the difference
between an external audit and a peer
review will be further clarified in future
Commission guidance. The final rule
revises § 12.65(b) to include a
requirement that the statement of
qualifications for the proposed auditor
must also demonstrate the
independence of the auditor or peer
review team from the licensee and its
affiliates.
118. Finally, the final rule updates an
internal cross-reference to the definition
of hazard potential and removes the
statement that additional guidance is
provided in the guidelines. No other
substantive revisions were made to
§ 12.65 following the NOPR.
C. Public Safety and Miscellaneous
Updates
119. In the NOPR, the Commission
proposed several changes to subparts A,
B, C, and E of 18 CFR part 12, most of
which are minor in nature and
necessary to ensure consistency with
the replaced subpart D and new subpart
F. The two most notable changes relate
to the reporting of public safety
incidents and the development and
submittal of public safety plans.
1. Subpart A—General Provisions
120. Subpart A describes the general
provisions and definitions that apply
under part 12 of the regulations. The
NOPR proposed to update or add
several definitions and make other
minor changes to ensure consistency
with replaced subpart D and new
subpart F. Section 12.3(b)(4) provides a
list of conditions affecting the safety of
project works. The NOPR proposed to
update two of these conditions to ensure
their definitions are consistent as
applied in current practice. In addition,
the NOPR proposed to add ‘‘overtopping
of any dam, abutment, canal, or water
conveyance’’ to the list of conditions
that could affect project safety and new
definitions for ‘‘Water Conveyance,’’
‘‘Engineering Guidelines,’’ and
‘‘Owner’s Dam Safety Program.’’ The
NOPR proposed additional minor
revisions in subpart A to ensure
106 See
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consistent terminology and to update
internal cross-references.
121. In addition, the Commission
proposed to add § 12.4(d) to make clear
that licensee non-compliance with any
dam safety directive issued by the
Commission, a Regional Engineer, or
other authorized Commission
representative could result in sanctions
such as the Commission issuing a cease
generation order, assessing civil
penalties, or revoking a project’s license
pursuant to section 31 of the FPA.107
122. In response to the NOPR, NHA
recommended that the Commission
further clarify the definitions of
significant and low hazard potential and
asked why the phrase ‘‘including
recreation’’ was added to § 12.3(b)(4)’s
definition of ‘‘condition affecting the
safety of a project or project works.’’ 108
CEATI recommended defining the terms
‘‘Project,’’ ‘‘Project Works,’’ ‘‘Dam,’’ and
‘‘Development’’ and suggested that the
Commission develop a different hazard
potential scheme for canals and water
conveyance facilities.109
123. Section 12.3(b)(13) of the final
rule adds separate definitions for
‘‘Significant hazard potential’’
(§ 12.3(b)(13)(ii)) and ‘‘Low hazard
potential’’ (§ 12.3(b)(13)(iii)). Adding the
phrase ‘‘including recreation’’ clarifies
§ 12.3(b)(4)’s definition of ‘‘Condition
affecting the safety of a project or project
works’’ by providing a statutorilydefined example of ‘‘other beneficial
public uses.’’ 110 This addition does not
expand the original definition nor does
it represent a departure from D2SI’s
current practice. The terms ‘‘Dam’’ and
‘‘Development’’ are defined in
§§ 12.3(b)(6) and 12.3(b)(7),
respectively. The terms ‘‘Project’’ and
‘‘Project Works’’ are defined in section
3 of the FPA,111 as stated in § 12.3(a).
For consistency with the statute’s
terminology, the final rule eliminates
references in proposed § 12.3 to ‘‘project
feature’’ by substituting in its place the
107 See NOPR, 172 FERC ¶ 61,061 at P 78; 16
U.S.C. 823b, 825h. In response to a request to clarify
§ 12.4(c)–(d)’s use of the phrase ‘‘any order or
directive,’’ see NHA Comments at 3, we note that
by adding new § 12.4(d), the final rule does not
create new penalty authority. Rather, this addition
simply serves as a reminder that the Commission’s
existing penalty authority, derived from FPA
section 31, applies to the requirements of part 12
of the Commission’s regulations.
108 NHA Comments at 3.
109 CEATI Comments at 3–4.
110 As revised, the first sentence of 12.4(b)
clarifies that the definition of Condition affecting
the safety of a project or project works includes any
condition, event, or action at the project which
might compromise the ability of any project work
to function safely for its intended purposes,
including other beneficial public uses such as
recreation.
111 16 U.S.C. 796.
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term ‘‘project work.’’ 112 For the
purposes of defining hazard potential,
the Commission believes it is
appropriate to extend the current
approach used to define hazard
potential for dams to canals and other
water conveyances. The emphasis on
the definition of hazard potential is
based on the resulting consequences
should the structure fail and not on the
structure itself. Therefore, the
Commission does not agree with the
recommendation to develop a different
hazard potential definition or approach
for canals and water conveyance
structures.
124. The final rule deletes the
definition of and an additional reference
to the ‘‘Guidelines.’’ The Engineering
Guidelines remain available on the
Commission’s website.
125. The term ‘‘canal’’ is deleted in
§§ 12.3(b)(4)(xiii) and 12.3(b)(13) as its
usage is redundant with the term ‘‘water
conveyance’’ also used in each
paragraph. For clarity, one of the
conditions affecting safety, found in
§ 12.3(b)(4)(xi), was revised from
‘‘Significant instances of vandalism or
sabotage’’ to read ‘‘Security incidents
(physical and/or cyber).’’ No other
substantive changes were made to
subpart A following the NOPR.
2. Subpart B—Reports and Records
126. Subpart B describes the
requirements for reporting, verifying,
and providing records to the
Commission regarding dam safetyrelated matters, including public safety
incidents. The NOPR proposed minor
revisions to ensure consistency with
other sections of the regulations and the
dam safety program as implemented. In
addition, the NOPR proposed additional
reporting of public safety-related
incidents that involve deaths, serious
injuries, or rescues.
127. Revised § 12.10(a)(1) expresses
the Commission’s preference that initial
reports of conditions affecting the safety
of a project or its works are made within
72 hours of discovery of the condition.
The reporting of an incident to the
Commission must not in any way
inhibit an emergency response to that
incident.
128. Revised § 12.10(b) requires
licensees to report rescues in addition to
deaths and serious injuries, and clarifies
the definition of ‘‘project-related’’ for
the purpose of complying with the
mandatory reporting of deaths, serious
injuries, and rescues that are considered
112 To ensure consistent use of the terms ‘‘project
works’’ or ‘‘project work’’ (if referring to a singular
structure), the final rule makes similar revisions in
§§ 12.30, 12.35, 12.60, 12.61, 12.62, and 12.65.
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1503
or alleged to be project-related. For
precision and to use terminology that is
generally accepted in the dam safety
community, the NOPR proposed to
replace the term ‘‘project-related
accident’’ with ‘‘project-related
incident.’’
129. Currently, § 12.10(b)(4) defines
‘‘project-related,’’ as ‘‘any deaths or
serious injuries involving a dam,
spillway, intake, or power line, or which
take place at or immediately above or
below a dam.’’ 113 In D2SI staff’s
experience, the final clause of the
definition has been the most
problematic for licensees to apply, often
leading licensees to report as projectrelated those deaths or serious injuries
that occur near a dam but are wholly
unrelated to the project or its operation.
The NOPR proposed to revise the
definition of ‘‘project-related’’ to make
clear that an incident is project-related
only if it occurs at project works,
involves changes in water levels
resulting from operations of project
works, or is otherwise attributable to the
project or its operation.
130. In response to the NOPR, CEATI
suggested that a threshold for reporting
rescues and serious injuries should be
established by excluding minor
incidents not requiring treatment at a
medical facility.114 NHA requested
clarification of the reporting
requirements for safety related incidents
and clarification of safety related
incidents related to changes in water
levels or flows.115
131. For clarity, the final rule revises
the general structure of § 12.10(b) to
follow § 12.10(a). Section 12.10(b)(1)
provides the reporting requirements for
initial reports of deaths, serious injuries,
or rescues. The initial report can be
made by email or telephone. This is a
change from the initial written reporting
requirements proposed in the NOPR.
For consistency, the final rule applies
this same change to § 12.10(a)’s
reporting requirements for initial reports
of conditions affecting the safety of a
project or its works to make clear that
initial reports can be made by email or
telephone. Accordingly, the final rule
deletes from § 12.10(a) all references to
‘‘oral reports’’ and adds in its place
‘‘initial reports.’’
132. Section 12.10(b)(2) provides the
requirements for written reports by
outlining three categories of incidents
and indicating whether a written report
is required: (i) Any death, serious
injury, or rescue that is considered or
alleged to be project-related (written
113 18
CFR 12.10(b)(4) (emphasis added).
Comments at 4–5.
115 NHA Comments at 3–4.
114 CEATI
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report required); (ii) any death that is
not project-related (copy of media
article or law enforcement report
accepted); and (iii) any serious injury or
rescue that is not project-related (no
written report required). This structure
should clarify the written reporting
requirements for each type of incident.
133. In addition, proposed
§ 12.10(b)(3) from the NOPR was
deleted, as it provided an outdated form
of hard copy submittal (newspaper
clipping); proposed § 12.10(b)(4) was
relocated to § 12.10(b)(3) of the final
rule. The final rule further revises
§ 12.10(b)(3)(iii) to clarify that the
definition of ‘‘project-related’’ also
includes any deaths, serious injuries, or
rescues that involve a licensee
employee, contractor, or other person
performing work at a licensed project
facility and are related in whole or in
part to the work being performed. The
final rule also adds new § 12.10(b)(4) to
clarify that, for incident reporting
purposes, a serious injury includes any
injury that results in treatment at a
medical facility or a response by
licensee staff or another trained
professional.
134. Finally, the NOPR proposed and
the final rule adopts two changes to
existing requirements concerning the
maintenance of records. First, the final
rule revises § 12.12(b)(3) to permit
storage media other than microform,
consistent with part 125 of the
Commission’s regulations. Second, the
final rule adds § 12.12(d) to require the
licensee to provide, to the Regional
Engineer, physical and electronic
records necessary to ensure the safety of
project works, for all projects subject to
subpart D or as otherwise requested by
the Regional Engineer. Under
§ 12.12(b)(2)(ii)(A) of our existing
regulations, which remains unchanged,
the Regional Engineer has the authority
to require an applicant or licensee to
submit such reports or information.
NHA suggests that there is no need to
require physical records in addition to
electronic copies and recommends
deleting the reference to ‘‘physical’’ in
§ 12.12(d).116 We decline to adopt
NHA’s recommendation because hard
copies of certain records are necessary
in case of a power outage or for those
instances when electronic files might
not be available. No changes were made
to proposed § 12.12 following the
NOPR.
3. Subpart C—Emergency Action Plans
135. Emergency action plans, which
must be developed in consultation with
federal, state, and local public health
116 NHA
Comments at 4.
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and safety officials, are designed to
provide early warning to upstream and
downstream inhabitants, property
owners, operators of water-related
facilities, recreational users, and others
in the vicinity who might be affected in
the event of a project emergency.117
Subpart C describes the general
requirement that applicants and
licensees develop and submit
emergency action plans, explains when
an exemption from this requirement
may be warranted, identifies the
required contents of the plans, and
describes the timing for plan filing and
regular updating.
136. In the NOPR, the Commission
proposed only minor revisions to
§§ 12.20, 12.22, and 12.24 to ensure
consistency with the filing guidelines
available on the Commission’s website
and to update terminology with respect
to the Engineering Guidelines.
137. The Commission received no
comments on its proposed revisions to
subpart C. The final rule deletes from
§ 12.22 two references to the
Engineering Guidelines. No other
revisions were made to proposed
subpart C following the NOPR.
4. Subpart E—Other Responsibilities of
Applicant or Licensee
138. Subpart E describes other
applicant and licensee responsibilities,
including the requirement to install
warning and public safety devices, and
test spillway gates. In the NOPR, the
Commission proposed to replace one
section and update another to codify a
function of the dam safety program as
currently implemented and to ensure
the use of consistent terminology in
conjunction with the proposed
replacement of subpart D. The
Commission further explained that
subpart E would be renumbered to now
include §§ 12.50 to 12.54 to
accommodate the proposed inclusion of
additional sections in subpart D, and
that the proposed revisions to subpart E
would not represent a change in
practice.
139. The revisions to § 12.52 (warning
and safety devices, previously § 12.42)
preserve the current regulatory
requirement that licensees must install,
operate, and maintain warning and
safety devices to protect the public, with
a minor revision to ensure consistency
with the rest of part 12. Revised
§ 12.52(b) codifies existing D2SI
guidance that the Commission may
require a licensee to submit a public
safety plan that documents the
117 18
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installation, operation, and maintenance
of public safety devices.118
140. Finally, the NOPR proposed to
revise § 12.54 (testing spillway gates,
currently § 12.44) to replace the term
‘‘periodic inspection’’ with the more
generic term ‘‘an inspection.’’ This
terminology change ensures that
Commission staff can continue to verify
the operability of spillway gates during
their routine inspections, and is
intended to prevent this section from
being misconstrued as applying only to
a periodic inspection as it is defined
and described in subpart D of this final
rule.
141. In response to the NOPR, NHA
asks whether the public safety plan is
required to be developed in accordance
with the Commission’s Guidelines for
Public Safety.119 Other commenters
suggested minor revisions to the text of
§ 12.52(a) related to protecting the
public from project operations.120
142. Section 12.52(b) provides the
provision that the Regional Engineer
may require a licensee to file a public
safety plan. The Guidelines for Public
Safety at Hydropower Projects, available
on the Commission’s website, provide
helpful guidance for developing and
submitting public safety plans. The last
sentence in § 12.52(b) was deleted to
remove the reference to the guidelines.
No changes to § 12.52(a) are necessary
as the existing text (formerly located in
§ 12.42) is sufficient to ensure that
licensees take appropriate warning and
safety measures to protect the public
from changes in flow due to project
operations.121 No substantive revisions
were made to subpart E following the
NOPR.
V. Regulatory Requirements
A. Information Collection Statement
143. The Paperwork Reduction Act 122
requires each federal agency to seek and
obtain the Office of Management and
Budget’s (OMB) approval before
undertaking a collection of information
(including reporting, record keeping,
and public disclosure requirements)
directed to ten or more persons or
contained in a rule of general
applicability. OMB regulations require
approval of certain information
collection requirements contained in
118 FERC, Guidelines for Public Safety at
Hydropower Projects (Mar. 1992), https://
www.ferc.gov/sites/default/files/2020-04/publicsafety.pdf.
119 NHA Comments at 12.
120 See, e.g., CEATI Comments at 14.
121 The existing text, which this final rule
relocates to § 12.52(a), requires licensees to install,
operate, and maintain safety devices to warn the
public of fluctuations in flow from the project.
122 44 U.S.C. 3501–3521.
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final rules published in the Federal
Register (including deletion, revision, or
implementation of new
requirements).123 Upon approval of a
collection of information, OMB will
assign an OMB control number and an
expiration date. Respondents subject to
the filing requirements of a rule will not
be penalized for failing to respond to the
collection of information unless the
collection of information displays a
valid OMB control number.
144. The following discussion
describes and analyzes the collections of
information modified by this final rule.
145. The Commission solicited
comments on the Commission’s need for
the proposed information collection in
the NOPR and in draft Chapters 15
through 18 of the Engineering
Guidelines,124 whether the information
will have practical utility, the accuracy
of the burden estimates, ways to
enhance the quality, utility, and clarity
of the information to be collected or
retained, and any suggested methods for
minimizing respondents’ burden,
including the use of automated
information techniques. All burden
estimates for all information collection
activities (including those in Chapters
15 through 18 of the Engineering
Guidelines) are discussed in this final
rule and in the Paperwork Reduction
Act supporting statement.
146. Public Reporting Burden: In this
final rule, the Commission establishes
two tiers of independent consultant
safety inspection reports, codifies
existing guidance related to the Owner’s
Dam Safety Program, and requires
reporting of rescues that occur at
hydroelectric projects. The final rule, in
conjunction with the corresponding
updates to the Engineering Guidelines,
revises and adds information collection
activities in 18 CFR part 12.
1. Subpart D: Independent Consultant
Inspections
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147. The revisions to 18 CFR part 12,
subpart D do not affect the current fiveyear filing cycle for independent
consultant’s safety inspection reports.
However, they do modify the scope of
reports on an alternating cycle, such
that the reports alternate between a
periodic inspection (a reduction in
scope compared to the previous
inspection requirement) and a
123 See
5 CFR 1320.12.
with issuance of the NOPR, the
Commission issued for public comment the draft
chapters of the Engineering Guidelines in Docket
Nos. AD20–20–000 (Chapter 15—Supporting
Technical Information Document), AD20–21–000
(Chapter 16—Part 12D Program), AD20–22–000
(Chapter 17—Potential Failure Mode Analysis), and
AD20–23–000 (Chapter 18—Level 2 Risk Analysis).
124 Concurrently
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comprehensive assessment (an increase
in scope compared to the previous
inspection requirement). The
hydroelectric facilities regulated by the
Commission vary greatly in size and
complexity, and there is no single
representative project. To evaluate the
burden associated with the revisions to
independent consultant safety
inspection reports, Commission staff
developed separate cost estimates for
‘‘Simple’’ and ‘‘Complex’’ hydroelectric
facilities, which are listed in the tables
below. Commission staff recognizes that
there are projects with annualized costs
less than the ‘‘Simple’’ estimate or
greater than the ‘‘Complex’’ estimate,
but Commission staff believes the values
presented are appropriately
representative when averaged across the
total inventory of hydroelectric projects
and respondents. The assumption
underlying these burden estimates is
that one-half of licensed projects can be
represented by each category.125
148. The Commission received
comments on some of the information
collection activities proposed for
subpart D. A few commenters raised
general concerns about the cost
estimates provided for independent
consultant inspections and reports,
suggesting that the Commission’s
estimates underestimate the costs to
small, less complex projects located in
Alaska.126 The Commission recognizes
the unique challenges faced by Alaska
licensees, but continues to find that the
cost estimates provided represent
average values that are appropriately
representative when averaged across the
total inventory of hydroelectric projects
and respondents. As described above,
the final rule includes several
provisions that will allow the project
safety inspection requirements to be
tailored to the unique needs and safety
considerations of individual projects.127
CEATI comments that the cost for
performing a risk analysis can exceed
the estimates provided in the NOPR and
notes that cost estimates of $83 per hour
are not representative of consulting
engineers’ fees, which can exceed $150
per hour.128 Commission staff remains
125 The cost data presented in the tables reflect
the change in annualized cost based on the changes
described in the final rule. The annualized costs are
based on the total cost, in 2021 dollars, over the
typical 10-year Part 12D inspection cycle, which
comprises one Comprehensive Assessment and one
Periodic Inspection, and the associated activities.
The scope of each inspection and associated
reporting requirements are defined in the final rule.
126 See Alaska Power Comments; Cooper Valley
Comments; Alaska Electric Comments; see also U.S.
Senator Lisa Murkowski’s November 5, 2020 letter
(supporting Alaska Power Association’s comments).
127 See supra P 99.
128 See CEATI Comments at 2, 3.
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1505
confident that the burden and cost
estimates presented in the NOPR are
representative of the implementation
efforts described in the final rule. To
date, Commission staff has performed
nearly 30 pilot risk analyses alongside
licensees. This experience has
confirmed that the effort required to
complete risk analyses closely aligns
with the estimates included in the
NOPR and updated in this final rule. We
agree with CEATI that the $83 per hour
rate is not representative of consulting
engineers’ fees.129 In fact, Commission
staff’s detailed cost breakdowns, which
informed the burden and cost estimates
for professional services contracting
costs (see Table 2 below), used a range
of unit rates up to and including $300
per hour for consulting engineers.
149. Some commenters requested that
‘‘generating equipment’’ be added to the
list of project works excluded from
inspections at 18 CFR 12.32. As
discussed above, the Commission is not
adopting this requested modification
because generating equipment is a
critical element in the passage and
discharge of water through a
powerhouse and the failure of such
equipment can result in operational and
life safety concerns.
150. Some commenters requested
further clarity in subpart D to
distinguish between the inspection
requirements for high hazard potential
and low hazard potential project works.
Because the inspection requirements for
high and low hazard potential project
works are discussed in § 12.30, no
revisions to 18 CFR 12.32 were made
based on this comment.
151. A commenter requested that the
Commission reconsider the proposal to
revise 18 CFR 12.33 by rescinding all
previously approved exemptions from
the requirements of subpart D. The final
rule does not retain the blanket
rescission of all previously approved
exemptions and instead provides that
the Director of D2SI on a case-by-cases
basis may rescind a previously
approved exemption for good cause
shown. In addition, for future
exemption requests, the Director of D2SI
may require the licensee to complete a
comprehensive assessment prior to
considering the exemption request.
129 The $83 per hour figure ($87 per hour in 2021
dollars) represents direct costs (generally labor
costs) associated with licensee staff’s performance
of efforts related to the changes contemplated in the
NOPR and adopted in this final rule. These costs
do not include costs for professional services, such
as consulting engineers’ fees, aside from the costs
associated with the licensee’s administration and
execution of contracts for professional services.
Burden and cost estimates for professional services
contracting are provided in Table 2.
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152. With regard to the revised
information collection activities in 18
CFR 12.40, some commenters
recommend changing the effective date
to 18 months following the date of the
final rule, extending the due date for
projects not previously inspected under
Part 12 from two years to three years,
limiting the Regional Engineer’s ability
to unilaterally change the type of report
to be filed, and further clarifying the
purpose of the preliminary report. In
response to these comments, the final
rule revises § 12.40(a)(2) so that the date
for a report to be filed under this
subpart will be 18 months after the
rule’s effective date. The final rule does
not, however, change the frequency of
the required reports. As noted above,
Commission staff is confident that two
years is sufficient time to complete a
comprehensive assessment and a file a
report. Any potential benefits of
extending this work over a three-year
period would be outweighed by the
negative impacts that would result if too
much time elapses between reviewing
the project information, conducting the
inspection and performing the Potential
Failure Mode Analysis and semiquantitative risk analysis, and preparing
the report.
153. In response to comments, the
final rule revises § 12.40(e) to include a
required finding of ‘‘good cause’’ for the
Regional Engineer to change the type of
report due.
154. In response to requests for
further clarity regarding preliminary
reports, the Commission explains above
that the preliminary report’s purpose is
to demonstrate whether the
independent consultant team has
adequately prepared for their
inspection, including the review of
background material and
instrumentation data. This requirement
helps the independent consultant team
identify areas in the field that may
require additional attention or effort. In
the NOPR, the Commission proposed to
include information about the
preliminary report in § 12.40(f).
However, because it covers different
material, the final rule relocates the
preliminary report requirement to
§ 12.42, which is a new, standalone
section.
2. Subpart F: Owner’s Dam Safety
Program
155. The addition of 18 CFR part 12,
subpart F codifies existing requirements
for the preparation or collection of
information. As we explained in the
NOPR, those licensees who are required
to prepare an Owner’s Dam Safety
Program, due to the hazard potential
classification of their licensed project(s),
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have already done so. When a new
license is issued for a non-constructed
or previously unlicensed project, the
Commission includes a license article
requiring an Owner’s Dam Safety
Program if warranted. There may be
situations in which a project’s hazard
potential classification increases from
low to either significant or high (e.g.,
due to new housing development within
the hypothetical inundation area). In
that case, if that licensee has no other
projects classified as significant or high
(i.e., does not have an Owner’s Dam
Safety Program), then the licensee
would be required to prepare a new
Owner’s Dam Safety Program. However,
this is not expected to occur frequently
or with any regularity.
156. The Commission received
comments on 18 CFR 12.62 (General
Requirements for Owner’s Dam Safety
Program), including:
• Requests to clarify who from the
owner’s organization should sign the
Owner’s Dam Safety Program;
• Recommendations to require formal
documentation of any agreement
delegating the position of Chief Dam
Safety Engineer or Chief Dam Safety
Coordinator to an individual outside the
owner’s organization; and
• Statements that the dam safety
industry may lack sufficiently qualified
individuals to perform the requirements
of subpart F.
157. As explained above, because dam
owner’s organizations vary widely in
type and size, from sole proprietorships
to corporations to municipalities, it is
up to each organization to determine the
appropriate signatory for the Owner’s
Dam Safety Program. As to delegating
the role of Chief Dam Safety Engineer or
Chief Dam Safety Coordinator to an
outside party, the final rule revises
§ 12.62(d) to require that any such
delegation of authority be documented
in the Owner’s Dam Safety Program. In
response to commenters’ concerns about
a lack of qualified individuals,
provisions for developing and
implementing an Owner’s Dam Safety
Program have been in place as guidance
for many years and industry has been
able to provide adequate resources and
training to satisfy the requirements of
this section. Moreover, as we explain
above, it is crucial that licensees accept
responsibility for, and take all
reasonable steps to implement, an
effective safety program.
158. Other comments on subpart F
asked about the difference between a
review of an Owner’s Dam Safety
Program performed during an
independent consultant inspection and
an independent external audit of the
Owner’s Dam Safety Program and
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suggested adding provisions to ensure
the independence of the proposed
auditor or peer review team.
159. As explained above, the external
audit of the Owner’s Dam Safety
Program, described in 18 CFR 12.65, is
distinct from the review of the Owner’s
Dam Safety Program performed as part
of the periodic inspection and
comprehensive assessment described in
subpart D. Per existing practice, the date
of the initial external audit report of the
Owner’s Dam Safety Program
establishes the date of the subsequent
five-year audit reports. As explained
above, an external audit would
generally be more limited in scope and
the minimum level of effort compared to
the peer review process. A licensee may
elect to complete a more detailed peer
review performed by a team of at least
three reviewers. If necessary, the
difference between an independent
external audit and a peer review of the
Owner’s Dam Safety Program will be
further clarified in future Commission
guidance. The final rule revises
§ 12.65(b) to include a requirement that
the statement of qualifications must
demonstrate the independence of the
auditor or peer review team from the
licensee and its affiliates.
160. The Commission also received
comments on 18 CFR 12.64 (Annual
Review and Update of the Owner’s Dam
Safety Program), including:
• A recommendation that the entire
section be deleted, since it appears to
duplicate other information collection
activities;
• A request to clarify whether the
annual review of the Owner’s Dam
Safety Program will take the place of the
existing annual internal audit; and
• A request to clarify to which
Regional Engineer the Owner’s Dam
Safety Program should be submitted for
owners with dams located in more than
one Regional Office’s territory.
161. As explained above, the report
on the annual review of the Owner’s
Dam Safety Program should not be
conflated with the Owner’s Inspection
Preparation Form. The Owner’s
Inspection Preparation Form is an
optional form that can be completed by
the owner to help their staff prepare for
a field inspection; this form is not
typically submitted to the Commission.
Clarification of the annual review
process and how Owner’s Dam Safety
Programs should be filed for owners
with dams in multiple Regional Offices
will be provided in future Commission
guidance.
162. As stated above, subpart F
codifies previous existing requirements
for the preparation or collection of
Owner’s Dam Safety Program
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information. Licensees who are required
to prepare an Owner’s Dam Safety
Program, due to the hazard potential
classification of their licensed project(s),
have already done so. For this reason,
we estimated in the NOPR that no
incremental burden or cost would result
from the proposed addition of subpart F.
163. However, for informational
purposes, this final rule now provides
burden and cost estimates for the
information collection activities
associated with the Owner’s Dam Safety
Program. The Commission recognizes
that licensee dam safety programs vary
widely from large utilities with tens or
hundreds of dams to small programs
with only a single dam. Therefore, to
evaluate the burden and cost estimates
for the Owner’s Dam Safety Program
and to capture differences between large
and small programs, Commission staff
developed separate estimates for ‘‘Small
Programs’’ and ‘‘Large Programs,’’
reflected in Tables 1 through 3 below.
The ‘‘Small Programs’’ category is
intended to represent licensees with
smaller dam safety programs based on
the number of dams in their inventory
(i.e., less than three high or significant
hazard potential dams). The
Commission estimates that
approximately 80% of licensee dam
safety programs are considered Small
Programs.
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3. Subpart B: Reports and Records
164. The minor revisions to 18 CFR
part 12, subpart B require licensees to
report the rescue of any person that
occurs at hydroelectric facilities, which
is in addition to the previous
requirements that licensees report
public safety incidents that result in the
death or serious injury of any person.
165. With respect to changes to
subpart B’s information collection
requirements, the Commission received
the following comments on 18 CFR
12.10:
• A suggestion that a threshold for
reporting rescues and serious injuries
should be established by excluding
minor incidents not requiring treatment
at a medical facility; and
• A request to clarify the reporting
requirements for safety related
incidents, including those related to
changes in water levels or flows.
166. In response to the suggestion
regarding a threshold for reporting
rescues and serious injuries, the final
rule adds new § 12.10(b)(4) to clarify
that a serious injury includes any injury
that results in treatment at a medical
facility or an on-site response by
licensee staff or another trained
professional.
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1507
167. To clarify the reporting of safetyrelated incidents, the Commission
explains that § 12.10(b)(1) provides that
an initial report must be made promptly
following any drowning or other
incident resulting in death, serious
injury, or rescue that occurs at the
project works or involves project
operations. The initial report can be
made by email or telephone. This is a
change from the initial written reporting
requirements included in the NOPR. For
consistency, the final rule applies this
same change to the reporting
requirements for initial reports of
conditions affecting the safety of a
project or its works, found in § 12.10(a)
to make clear that initial reports can be
made by email or telephone. Section
12.10(b)(2) provides the requirements
for written reports by outlining three
categories of incidents and indicating
whether a written report is required: (i)
Any death, serious injury, or rescue that
is considered or alleged to be projectrelated (written report required); (ii) any
death that is not project-related (copy of
media article or law enforcement report
accepted); and (iii) any serious injury or
rescue that is not project-related (no
written report required). The revisions
to § 12.10(b) should clarify the reporting
requirements for each type of incident.
In addition, the final rule deletes
§ 12.10(b)(3) from the NOPR as it
provided an outdated form of hard copy
submittal (newspaper clipping). The
final rule also revises § 12.10(b)(3)(iii) to
include in the definition of ‘‘projectrelated,’’ any deaths, serious injuries, or
rescues that ‘‘involve of a licensee
employee, contractor, or other person
performing work at a licensed project
facility and are related in whole or in
part to the work being performed.’’
required for a risk analysis at this level
of study and that both will increase
costs for licensees.
169. Regarding the scope of the
Potential Failure Mode Analysis, the
Commission carefully evaluated specific
weaknesses in the current Potential
Failure Mode Analysis process
identified by the Oroville Forensic
Team and their recommendations for
improvements to the process.130 The
improvements to the Potential Failure
Mode Analysis process, described in
Chapter 17 of the Engineering
Guidelines, are necessary to reduce
identified shortcomings in the existing
process and to provide a comprehensive
and systematic approach to identifying
and evaluating potential failure modes
to discover and mitigate future dam
safety concerns and incidents.
170. In response to the comment that
the risk analysis process described in
Chapter 18 of the Engineering
Guidelines goes beyond what should be
required for a risk analysis at this level,
the Commission has reviewed risk
analysis approaches and procedures
used by other federal agencies for
conducting risk analysis for similar
levels of studies. The Commission has
modeled the scope and detail of the
Level 2 risk analysis process in Chapter
18 of the Engineering Guidelines after
the Corps and Reclamation’s semiquantitative risk analysis process
documented in their Best Practices in
Dam and Levee Safety Risk Analysis
document.131 The scope and detail of
the Level 2 risk analysis process also
closely follows the periodic risk
analysis described in FEMA’s Federal
Guidelines for Dam Safety Risk
Management.132
4. Engineering Guidelines
168. The Commission also received
comments on the four draft chapters of
the Engineering Guidelines (Chapters
15–18) that were issued concurrently
with the NOPR. Some of these
comments were similar to those
received on the NOPR and have been
addressed above (e.g., additional cost
and effort related to new requirements
for preparing preliminary reports,
conducting a comprehensive assessment
review meeting, and reviewing and
providing supplemental record analyses
included in draft Chapter 16 of the
Engineering Guidelines). A few
commenters stated that the scope of the
Potential Failure Mode Analysis in draft
Chapter 17 of the Engineering
Guidelines is too encompassing and the
risk analysis process described in draft
Chapter 18 of the Engineering
Guidelines goes beyond what should be
5. Annual Burden and Cost Estimates
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171. The Commission has considered
all comments on the NOPR and the four
draft chapters of the Engineering
Guidelines in estimating the
incremental burden and cost associated
with the revised regulations adopted in
this final rule. Aside from adding the
burden and cost estimates associated
with subpart F’s Owner’s Dam Safety
Program for informational purposes and
updating the cost estimates to reflect
2021 dollars, no revisions were made to
the burden and cost estimates provided
in the NOPR.
130 See
supra note 14.
and the Corps, Chapter A–04
Semi-Quantitative Risk Analysis, Best Practices in
Dam and Levee Safety Risk Analysis (July 2019).
https://www.iwrlibrary.us/#/series/
Best%20Practices-Manual.
132 See supra note 24.
131 Reclamation
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172. Table 1 itemizes the estimated
annual burden 133 and direct cost 134 of
the changes resulting from this final
rule. Record keeping requirements are
included in the burden and cost
estimates for the development and
collection of the data and reports. The
final rule’s direct cost estimates have
been updated to reflect 2021 dollars.
TABLE 1—ANNUAL BURDEN AND DIRECT COST CHANGES RESULTING FROM THE FINAL RULE
IN DOCKET NO. RM20–9–000 135
Type of
respondent
Type of
response
Number of
respondents
Average
number of
annual
responses per
respondent
Average
annual burden
hours and
cost per
response
Total number
of annual
responses
(Col. C × Col. D)
Total annual
burden hours
and cost
(Col. E × Col. F)
A.
B.
C.
D.
E.
F.
G.
Applicant 136
or
Licensee 137
.......
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Licensee of Simple Hydro Facility 141.
Licensee of Complex Hydro Facility.
Licensee ......................................
Licensee of a Small Program 148
with a High or Significant Hazard Potential Dam or Other
Project Work.
Reports
of
Project-Related
Deaths, Serious Injuries, or
Rescues138.
Ind. Cons. Team Proposals and
Reports on PIs and CAs 142.
Ind. Cons. Team Proposals and
Reports on PIs and CAs 145.
Exemption Requests 147 .............
Owner’s Dam Safety Program
(ODSP) Document.
133 ‘‘Burden’’ is the total time, effort, or financial
resources expended by persons to generate,
maintain, retain, or disclose or provide information
to or for a Federal agency. For further explanation
of what is included in the information collection
burden, refer to Title 5 Code of Federal Regulations
1320.3.
134 Direct costs are those costs (generally labor
costs) associated with the applicant’s or licensee’s
staff in the performance of the efforts related to the
final rule. These do not include the costs for
professional services, although the direct costs do
include the costs associated with the applicant’s or
licensee’s administration and execution of contracts
for professional services.
135 Commission staff believes that, in terms of
cost for wages and benefits, industry is similarly
situated to Commission staff. Therefore, we are
using the FERC 2021 average cost (for wages plus
benefits) for one FERC full-time equivalent (FTE) of
$180,703 (or $87.00 per hour). We note that the
NOPR provided cost estimates in 2020 dollars.
136 As defined by 18 CFR 12.1(a)(2).
137 As defined by 18 CFR 12.1(a)(1) and (a)(3).
138 Revisions of 18 CFR 12.10(b)(1), 12.10(b)(2),
and 12.10(b)(4) for written reports of project-related
deaths, serious injuries, or rescues at project works
or involving project operations.
139 Commission staff assumes the average number
of respondents who will file a 12.10(b) public safety
incident report documenting a rescue at a
hydroelectric project will equal the average number
of respondents who filed a 12.10(b) public safety
incident report documenting a death or serious
injury over the 10-year period from January 1, 2009
through December 31, 2018.
140 Commission staff assumes the average number
of 12.10(b) public safety incident reports
documenting rescues at hydroelectric projects will
equal the average number of 12.10(b) reports for
deaths and serious injuries over the 10-year period
from January 1, 2009 through December 31, 2018.
141 Commission staff estimates no incremental
change in direct costs due to the final rule change
as compared to the current burden and costs.
142 Includes direct costs associated with the
preparation and submittal of Independent
Consultant Team Proposals (18 CFR 12.34) and
Reports for Periodic Inspections and
Comprehensive Assessments (18 CFR 12.36 and
12.38).
143 Approximately 750 project developments
licensed by the Commission will be subject to the
reporting requirement changes resulting from this
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21:22 Jan 10, 2022
Jkt 256001
139 65
140 2.14
143 375
144 0.1
375
0.1
10
1
149 180
150 0.2
2 hrs.; $174 ......
139
278 hrs.; $24,186.
0 hrs.; $0 ..........
37.5
0 hrs.; $0.
146 0.6
37.5
22.5 hrs.; $1,957.50.
10
36
20 hrs.; $1,740.
2160 hrs.; $187,920.
hrs.;
$52.20.
2 hrs.; $174 ......
151 60 hrs.;
$5,220.
final rule. This table defines a single response as the
consolidated filings associated with the typical 10year cycle for Independent Consultant’s Safety
Inspections, which would take effect following
implementation of a final rule. A single response
includes one each of the reports and other filings
required under the scope of a Periodic Inspection
and a Comprehensive Assessment. Thus, the total
number of responses over a 10-year period will be
the number of projects (750), divided equally
between the ‘‘Simple’’ and ‘‘Complex’’ categories of
hydroelectric facilities.
144 As previously noted, this table defines a single
response as the consolidated filings associated with
the typical 10-year cycle for Independent
Consultant’s Safety Inspections. Therefore, the
number of annual responses is averaged over the
10-year period, or 0.1 responses on average per
year.
145 See supra note 141.
146 Burden costs include hourly wages estimated
based on complexity of project, scope of inspection,
experience and number of assigned staff, and were
compared to industry estimates provided by fewer
than nine industry representatives who were
contacted by Commission staff.
147 18 CFR 12.33(a) includes a provision for
licensees to submit a written request to be excluded
from the requirements of Subpart D.
148 A small program is a licensee with less than
three high or significant hazard potential dams or
other project works.
149 Commission staff assumes the number of
respondents who will file an Owner’s Dam Safety
Program document will equal the number of
respondents who filed an original Owner’s Dam
Safety Program document over the period from
January 1, 2013, through December 31, 2019.
Commission staff estimates that 80% of the
respondents are from small programs. Thus, the
total number of responses (225) times 0.8 is the
number of responses from licensees from small
programs.
150 The number of annual responses is averaged
over the five-year period, or 0.2 responses on
average per year.
151 Burden costs include hourly wages estimated
based on complexity of project, size of program, and
scope based on Commission staff estimate.
152 A large program is a licensee with three or
more high or significant hazard potential dams or
other project works.
153 Commission staff assumes the number of
respondents who will file an Owner’s Dam Safety
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Fmt 4701
Sfmt 4700
Program document will equal the number of
respondents who filed an original Owner’s Dam
Safety Program document over the period from
January 1, 2013, through December 31, 2019.
Commission staff estimates that 20% of the
respondents are from large programs. Thus, the total
number of responses (225) times 0.2 is the number
of responses from licensees from large programs.
154 See supra note 149.
155 See supra note 150.
156 Commission staff assumes the number of
respondents who will file an Owner’s Dam Safety
Program document will equal the number of
respondents that filed an original Owner’s Dam
Safety Program document over the period from
January 1, 2013, through December 31, 2019.
157 Commission staff assumes the number of
respondents who will file an Owner’s Dam Safety
statement of qualification for external audit or peer
review will equal the total number of respondents
that filed an original statement of qualification for
external audit or peer review over the period from
January 1, 2013, through December 31, 2019.
158 See supra note 149.
159 Commission staff assumes the number of
respondents that will file an Owner’s Dam Safety
report of external audit or peer review will equal
the number of respondents that filed an original
Owner’s Dam Safety Program report of external
audit or peer review over the period from January
1, 2013, through December 31, 2019. Commission
staff estimates that 80% of the respondents are from
small programs. Thus, the total number of
responses (225) times 0.8 is the number of
responses from licensees from small programs.
160 Commission staff assumes the number of
respondents that will file an Owner’s Dam Safety
report of external audit or peer review will equal
the number of respondents that filed an original
Owner’s Dam Safety Program report of external
audit or peer review over the period from January
1, 2013, through December 31, 2019. Commission
staff estimates that 20% of the respondents are from
large programs. Thus, the total number of responses
(225) times 0.2 is the number of responses from
licensees from large programs.
161 Commission staff assumes the average number
of respondents that will file a request for an
extension of time to file an Owner’s Dam Safety
Program submittal will equal the average number of
respondents that filed such a request from January
1, 2013, through December 31, 2019.
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TABLE 1—ANNUAL BURDEN AND DIRECT COST CHANGES RESULTING FROM THE FINAL RULE—Continued
IN DOCKET NO. RM20–9–000 135
Type of
respondent
Type of
response
Number of
respondents
Average
number of
annual
responses per
respondent
Average
annual burden
hours and
cost per
response
Total number
of annual
responses
(Col. C × Col. D)
Total annual
burden hours
and cost
(Col. E × Col. F)
A.
B.
C.
D.
E.
F.
G.
Licensee of a Large Program 152
with a High or Significant Hazard Potential Dam or Other
Project Work.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
Licensee of Small Program with
a High or Significant Hazard
Potential Dam or Other Project
Work.
Licensee of Large Program with
a High or Significant Hazard
Potential Dam or Other Project
Work.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
ODSP Document ........................
153 45
154 0.2
ODSP Document Revisions .......
156 225
1
6 hrs.; $522 ......
225
ODSP External Audit or Peer
Review Qualification Statement.
ODSP External Audits or Peer
Review Report.
157 225
158 0.2
2 hrs.; $174 ......
45
90 hrs.; $7,830.
159 180
0.2
2 hrs.; $174 ......
36
72 hrs.; $6,264.
ODSP External Audits or Peer
Review Report.
160 45
0.2
2 hrs.; $174 ......
9
18 hrs.; $1,566.
ODSP Extension of Time Request.
161 5
1
4 hrs.; $348 ......
5
20 hrs.; $1,740.
Totals ...................................
.....................................................
1,730
........................
..........................
589
5,110.5 hrs.;
$444,613.50.
155 120
hrs.;
$10,440.
9
1080 hrs.; $93,960.
1350 hrs.; $117,450.
173. Table 2 itemizes the estimated
annual burden and annual contracting
costs for professional services 162 of the
information collections that are affected
by this final rule. Record keeping
requirements are included in the burden
and cost estimates for the development
and collection of the data and reports.
The final rule’s cost estimates for
professional services have been updated
to reflect 2021 dollars.
162 Contracting costs include costs for
professional services, including labor, travel and
subsistence, and other indirect costs incurred by the
contractor or consultant. Contracting costs do not
include direct costs incurred by the applicant or
licensee in the administration or execution of the
contract for professional services; those are
included in the previous table, as applicable.
163 As defined by 18 CFR 12.1(a)(2).
164 As defined by 18 CFR 12.1(a)(1) and (a)(3).
165 Revisions of 18 CFR 12.10(b)(1), (b)(2), and
(b)(4) for written reports of project-related deaths,
serious injuries, or rescues at project works or
involving project operations.
166 Includes contracting costs for professional
services associated with the preparation and
submittal of Independent Consultant Team
Proposals (18 CFR 12.34) and Reports for Periodic
Inspections and Comprehensive Assessments (18
CFR 12.36 and 12.38).
167 Approximately 750 project developments
licensed by the Commission will be subject to the
reporting requirement changes resulting from this
final rule. This table defines a single response as the
consolidated filings associated with the typical 10year cycle for Independent Consultant’s Safety
Inspections, which would take effect following
implementation of a final rule. A single response
includes one each of the reports and other filings
required under the scope of a Periodic Inspection
and a Comprehensive Assessment. Thus, the total
number of responses over a 10-year period will be
the number of projects (750), divided equally
between the ‘‘Simple’’ and ‘‘Complex’’ categories of
hydroelectric facilities.
168 As previously noted, this table defines a single
response as the consolidated filings associated with
the typical 10-year cycle for Independent
Consultant’s Safety Inspections. Therefore, the
number of annual responses is averaged over the
10-year period, or 0.1 responses on average per
year.
169 Burden costs include hourly wages estimated
based on complexity of project, scope of inspection,
experience and number of assigned staff, and were
compared to industry estimates provided by fewer
than nine industry representatives. 2020 cost
information escalated by five percent to 2021 costs.
170 See supra note 165.
171 See supra note 168.
172 18 CFR 12.33(a) includes a provision for
licensees to submit a written request to be excluded
from the requirements of subpart D.
173 Commission staff assumes the number of
respondents that will file an Owner’s Dam Safety
Program statement of qualification for external
audit or peer review will equal the number of
respondents that filed an original statement of
qualification for external audit or peer review over
the period from January 1, 2013, through December
31, 2019.
174 The number of annual responses is averaged
over the five-year period, or 0.2 responses on
average per year.
175 Commission staff assumes the number of
respondents that will file an Owner’s Dam Safety
report of audit or peer review will equal the number
of respondents who filed an original Owner’s Dam
Safety Program report of audit or peer review over
the period from January 1, 2013, through December
31, 2019. Commission staff estimates that 80% of
the respondents are from small programs. Thus, the
total number of responses (225) times 0.8 is the
number of responses from licensees from small
programs.
176 Burden costs include hourly wages estimated
based on complexity of project, size of program, and
scope based on Commission staff estimate.
177 Commission staff assumes the number of
respondents who will file an Owner’s Dam Safety
report of external audit or peer review will equal
the number of respondents that filed an original
Owner’s Dam Safety Program report of external
audit or peer review over the period from January
1, 2013, through December 31, 2019. Commission
staff estimates that 20% of the respondents are from
large programs. Thus, the total number of responses
(225) times 0.2 is the number of responses from
licensees from large programs.
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TABLE 2—ANNUAL BURDEN AND CONTRACTING COST FOR PROFESSIONAL SERVICES CHANGES RESULTING FROM THE
FINAL RULE IN DOCKET NO. RM20–9–000
Type of
respondent
Type of
response
Number of
respondents
Average
number of
annual
responses per
respondent
Average
annual burden
hours and
cost per
response
Total number
of annual
responses
(Col. C × Col. D)
Total annual
burden hours
and cost
(Col. E × Col. F)
C.
D.
E.
F.
G.
A.
B.
Applicant 163 or Licensee 164 .......
Reports
of
Project-Related
Deaths, Serious Injuries, or
165
Rescues .
Licensee of Simple Hydro Facility
Ind. Cons. Team Proposals and
Reports on PIs and CAs 166.
Ind. Cons. Team Proposals and
Reports on PIs and CAs 170.
Exemption Requests 172 .............
12 hrs.; 169
37.5 450 hrs.;
$2,651.
$99,412.50.
171
375
0.1 32 hrs.;
37.5 1,200 hrs.;
$7,329.
$274,837.50.
There are no anticipated costs for contracted professional services affected by this final rule.
Licensee of a Small Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
ODSP Document ........................
There are no anticipated costs for contracted professional services affected by this final rule
change.
Licensee of a Large Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
ODSP Document ........................
There are no anticipated costs for contracted professional services affected by this final rule
change.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
ODSP Document Revisions .......
There are no anticipated costs for contracted professional services affected by this final rule
change.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
Licensee of a Small Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
Licensee of a Large Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
ODSP External Audit or Peer
Review Qualification Statement.
ODSP External Audit or Peer
Review Report.
173 225
174 0.2
175 180
ODSP External Audits or Peer
Review Report.
177 45
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
ODSP Extension of Time Request.
Totals ...................................
.....................................................
Licensee of Complex Hydro Facility.
Licensee ......................................
174. Table 3 itemizes the estimated
annual burden and total cost (direct
costs [from Table 1] and costs for
contracted professional services [from
There are no anticipated costs for contracted professional services affected by this final rule.
167 375
168 0.1
6 hrs; $522 .......
45
270 hrs; $23,490.
0.2
60 176 hrs;
$15,750.
36
2160 hrs; $567,000.
0.2
240 hrs;
$75,600.
9
2160 hrs; $680,400.
There are no anticipated costs for contracted professional services affected by this final rule
change.
1200
........................
..........................
Table 2]), of the changes due to this
final rule. Record keeping requirements
are included in the burden and cost
165
6,240 hrs.;
$1,645,140
estimates for the development and
collection of the data and reports.
TABLE 3—TOTAL ANNUAL BURDEN AND COST CHANGES RESULTING FROM THE FINAL RULE IN DOCKET NO. RM20–9–
000
Type of
response
Number of
respondents
Average
number of
annual
responses per
respondent
A.
B.
C.
D.
Applicant 178 or Licensee 179 .......
Reports
of
Project-Related
Deaths, Serious Injuries, or
180
Rescues .
Ind. Cons. Team Proposals and
Reports on PIs and CAs 182.
Ind. Cons. Team Proposals and
Reports on PIs and CAs.
Exemption Requests 184 .............
Type of
respondent
khammond on DSKJM1Z7X2PROD with RULES2
Licensee of Simple Hydro Facility 181.
Licensee of Complex Hydro Facility 183.
Licensee ......................................
178 As
defined by 18 CFR 12.1(a)(2).
defined by 18 CFR 12.1(a)(1) and (a)(3).
180 Revisions of 18 CFR 12.10(b)(1), (b)(2), and
(b)(4) for written reports of project-related deaths,
serious injuries, or rescues at project works or
involving project operations.
181 Includes direct and contracting burden and
cost.
182 Includes direct costs associated with the
preparation and submittal of Independent
179 As
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65
2.14
Frm 00022
Fmt 4701
Total number
of annual
responses
(Col. C × Col. D)
E.
F.
2 hrs.; $174 ......
G.
278 hrs.; $24,186.
450 hrs.;
$99,412.50.
1,222.5 hrs.;
$276,795.
20 hrs.; $1,740.
375
0.1
12 hrs.; $2,651
37.5
0.1
37.5
10
1
32.6 hrs.;
$7,381.20.
2 hrs.; $174 ......
Sfmt 4700
185 Includes
Total annual
burden hours
and cost
(Col. E × Col. F)
139
375
Consultant Team Proposals (18 CFR 12.34) and
Reports for Periodic Inspections and
Comprehensive Assessments (18 CFR 12.36 and
12.38).
183 Includes direct and contracting burden and
cost.
184 18 CFR 12.33(a) includes a provision for
Licensees to submit a written request to be
excluded from the requirements of subpart D.
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Average
annual burden
hours and
cost per
response
10
direct and contracting burden and
cost.
186 Includes
direct and contracting burden and
cost.
187 Includes
direct and contracting burden and
cost.
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TABLE 3—TOTAL ANNUAL BURDEN AND COST CHANGES RESULTING FROM THE FINAL RULE IN DOCKET NO. RM20–9–
000—Continued
Type of
respondent
Type of
response
Number of
respondents
Average
number of
annual
responses per
respondent
Average
annual burden
hours and
cost per
response
Total number
of annual
responses
(Col. C × Col. D)
Total annual
burden hours
and cost
(Col. E × Col. F)
A.
B.
C.
D.
E.
F.
G.
Licensee of a Small Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
Licensee of a Large Program
with a High or Significant Hazard Potential Dam or Other
Project Work.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work 185.
Licensee of a Small Program
with a High or Significant Hazard Potential Dam or Other
Project Work 186.
Licensee of a Large Program
with a High or Significant Hazard Potential Dam or Other
Project Work 187.
Licensee with a High or Significant Hazard Potential Dam or
Other Project Work.
ODSP Document ........................
180
0.2
60 hrs.; $5,220
ODSP Document ........................
45
0.2
120 hrs.;
$10,440.
ODSP Document Revisions .......
225
1
6 hrs.; $522 ......
225
ODSP External Audit or Peer
Review Qualification Statement.
ODSP External Audits or Peer
Review Report.
225
0.2
8 hrs.; $696 ......
45
360 hrs; $31,320.
180
0.2
62 hrs.; $15,924
36
2232 hrs.; $573,264.
ODSP External Audit or Peer
Review Report.
45
0.2
242 hrs.;
$75,774.
9
2178 hrs.; $681,966.
ODSP Extension of Time Request.
5
1
4 hrs.; $348 ......
5
20 hrs.; $1,740.
Total Direct Costs & Con- .....................................................
tracting Costs due to Final
Rule in RM20–9–000 &
AD20–20, –21, –22, & –23.
1730
........................
..........................
589
175. Title: FERC–517, Safety of Water
Power Projects and Project Works.
176. Action: Revision to the scope of
independent consultant safety
inspections and reports, codification of
the Owner’s Dam Safety Program, and
addition of reporting requirements
related to public safety incidents at
hydroelectric projects.
177. OMB Control No.: 1902–TBD.
178. Respondents: Hydroelectric
licensees (and applicants, as
applicable), including municipalities,
businesses, private citizens, and forprofit and not-for-profit institutions.
179. Frequency of Information: On
occasion, except for reports on periodic
inspections and comprehensive
assessment, which must be submitted
under 18 CFR 12.40:
• For any project that was inspected
in accordance with 18 CFR part 12 prior
to January 1, 2022, a periodic inspection
or comprehensive assessment must be
completed, and a report on it filed,
within five years of the due date of the
most recent report. In addition, the first
comprehensive assessment must be
completed, and the report on it filed, by
December 31, 2038.
• A licensed project development is
subject to a different set of deadlines if
the development was not inspected in
accordance with 18 CFR part 12 prior to
January 1, 2022, under the
Commission’s rules in effect on January
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21:22 Jan 10, 2022
Jkt 256001
1, 2020. In these circumstances, the first
comprehensive assessment and the
report on it are due:
Æ Not later than two years after the
date of issuance of the order licensing
a development or amending a license to
include that development, if the
development meets the criteria specified
in §§ 12.30(a)(1) or 12.30(a)(2), and was
constructed before the date of issuance
of such order.
Æ Not later than five years after the
date of issuance of the order licensing
that development, or amending a license
to include that development, if the
development was constructed after the
date of issuance of such order.
Æ No later than two years after a date
specified by the Regional Engineer, for
other developments that were not
inspected prior to January 1, 2022,
under the Commission’s rules in effect
on January 1, 2020.
180. Necessity of Information: The
revisions in this final rule are necessary
to enhance the ability of Commission
staff to protect the safety of dams and
the public; to reduce the risk to life,
health, and property associated with
hydroelectric projects; and to comply
with guidance from FEMA’s Interagency
Committee on Dam Safety.
181. Internal Review: The
Commission has reviewed the revisions
and has determined that they are
necessary. These requirements conform
PO 00000
Frm 00023
Fmt 4701
Sfmt 4700
36
2160 hrs.; $187,920.
9
1080 hrs.; $93,960.
1350 hrs.; $117,450.
11,350.5 hrs.;
$2,089,753.50.
to the Commission’s need for efficient
information collection, communication,
and management within the energy
industry. The Commission has specific,
objective support for the burden
estimates associated with the
information collection requirements.188
182. Interested persons may obtain
information on the reporting
requirements by contacting the Federal
Energy Regulatory Commission at one of
the following methods:
• USPS: Federal Energy Regulatory
Commission, Ellen Brown, Office of the
Executive Director, 888 First Street NE,
Washington, DC 20426.
• Hard copy communication other
than USPS: Federal Energy Regulatory
Commission, Ellen Brown, Office of the
Executive Director, 12225 Wilkins
Avenue, Rockville, Maryland 20852.
• Email: DataClearance@ferc.gov.
• Phone: (202) 502–8663, or by fax:
(202) 273–0873.
183. Please send comments
concerning the collection of information
and the associated burden estimates to:
Office of Information and Regulatory
Affairs, Office of Management and
Budget [Attention: Federal Energy
Regulatory Commission Desk Officer].
Due to security concerns, comments
should be sent directly to
188 Commission staff contacted fewer than nine
parties to obtain supporting information in order to
benchmark burden estimates.
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www.reginfo.gov/public/do/PRAMain.
Comments submitted to OMB should be
sent within 30 days of publication of
this notice in the Federal Register and
refer to FERC–517 and OMB Control No.
1902–TBD.
khammond on DSKJM1Z7X2PROD with RULES2
current size standards, a hydroelectric
power generator (NAICS code
221111) 196 is small if, including its
affiliates, it employs 500 or fewer
people.197
187. The final rule’s revisions to part
12, subpart D would directly affect all
B. Environmental Analysis
licensees that are currently required to
184. The Commission is required to
file independent consultant safety
prepare an environmental assessment or inspection reports. Since the number of
licensed projects per respondent varies
an environmental impact statement for
from one to more than 50, the number
any action that may have a significant
of respondents does not correlate
effect on the human environment.189
directly to the number of responses.
Excluded from this requirement are
Based on data over the preceding 10rules that are clarifying, corrective, or
year-period, Commission staff estimated
procedural, or that do not substantially
the expected number of responses from
change the effect of legislation or the
regulations being amended.190 This final entities that qualify as small. In total,
approximately 132 entities qualify as
rule revises the Commission’s dam
small and would be expected to file
safety regulations by incorporating a
approximately 225 responses (30%)
two-tier structure for independent
consultant safety inspections, codifying with the Commission over the 10-year
guidance requiring licensees to develop cycle. The remaining 525 responses
(70%) would be filed by 106 entities
an owner’s dam safety program and a
public safety plan; expanding the scope that do not qualify as small.
188. The Commission notes that the
of public safety incident reporting; and
projects owned by entities that qualify
incorporating various minor revisions.
as small entities are typically smaller
Because this final rule does not
and/or less complex than those owned
substantially change the effect of the
by large entities. Thus, the annual
Commission’s part 12 regulations,
incremental cost to small entities would
preparation of an environmental
likely skew towards the ‘‘Simple
assessment or environmental impact
Hydroelectric Facility’’ category
statement is not required.
presented in the burden estimates
C. Regulatory Flexibility Act
provided above in the Information
185. The Regulatory Flexibility Act of Collection Statement section.198 In
addition, this final rule incorporates
1980 (RFA) 191 generally requires a
provisions that grant Commission staff
description and analysis of final rules
the authority, upon demonstration by
that will have significant economic
impact on a substantial number of small the licensee and Commission review
and acceptance of appropriate
entities. The RFA mandates
justification, to waive or reduce the
consideration of regulatory alternatives
scope of specific components of an
that accomplish the stated objectives of
independent consultant safety
a final rule and minimize any
inspection (e.g., waiving the
significant economic impact on a
requirement to perform a Potential
substantial number of small entities.192
Failure Mode Analysis or risk analysis)
In lieu of preparing a regulatory
or to change the type of inspection
flexibility analysis, an agency may
report (e.g., by allowing an inspection
certify that a final rule will not have a
scheduled as a comprehensive
significant economic impact on a
assessment to be performed instead as a
substantial number of small entities.193
periodic inspection). The Commission
186. The Small Business
has included these provisions to focus
Administration’s (SBA) Office of Size
effort on those projects that present
Standards develops the numerical
greater risk to life, health, and property,
definition of a small business.194 The
SBA size standard for electric utilities is and to alleviate the potential economic
impact on licensees of simple projects
based on the number of employees,
that present less risk. Since the burden
195
including affiliates.
Under SBA’s
estimates include all components of an
189 Regulations Implementing the National
Environmental Policy Act of 1969, Order No. 486,
52 FR 47897 (Dec. 17, 1987), FERC Stats. & Regs.
¶ 30,783 (1987) (cross-referenced at 41 FERC
¶ 61,284).
190 18 CFR 380.4(a)(2)(ii) (2021).
191 5 U.S.C. 601–612.
192 Id. 603(c).
193 Id. 605(b).
194 13 CFR 121.101 (2021).
195 Id. 121.201.
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196 The North American Industry Classification
System (NAICS) is an industry classification system
that Federal statistical agencies use to categorize
businesses for the purpose of collecting, analyzing,
and publishing statistical data related to the U.S.
economy. United States Census Bureau, North
American Industry Classification System, https://
www.census.gov/eos/www/naics/.
197 13 CFR 121.201 (Sector 22—Utilities).
198 See discussion and accompanying tables supra
Part V.A.
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Fmt 4701
Sfmt 4700
independent consultant safety
inspection, utilization of these
provisions may result in a lower
incremental cost for small entities.
189. The addition of part 12, subpart
F, which codifies the Owner’s Dam
Safety Program, would apply only to
entities that are responsible for one or
more projects classified as having a high
hazard potential. The Commission
expects the Owner’s Dam Safety
Program to improve communication and
understanding within licensee
organizations as to their responsibilities
for ensuring dam safety and protection
of the public, and may contribute to an
increased likelihood that preventable
dam safety issues are caught and
addressed before they present an
imminent danger to life safety or
property. Because those licensees
required to prepare an Owner’s Dam
Safety Program due to their project’s
hazard potential classification have
already done so,199 the Commission
does not anticipate that the addition of
subpart F will be unduly burdensome
on licensees, regardless of their status as
a small or large entity.
190. With respect to the filing of
public safety incidents involving the
rescue of any person at a hydroelectric
facility, the Commission estimates that
most affected entities qualify as small
entities. But, as reflected in the burden
and cost estimates provided above, the
Commission expects an additional two
burden hours (and corresponding $166,
an amount that would not be considered
significant) for licensees or applicants,
regardless of their status as small or
large.
191. While the revisions to subpart D
may have some increased economic
impact on a limited number of small
entities, these improvements to the
independent consultant safety
inspection process are necessary, and
the associated costs justified, by the
Commission’s Congressionallymandated mission to ensure the
protection of life, health, and property
from risks associated with licensed
hydroelectric facilities. In addition, the
revisions to subpart D are intended to
help prevent future dam safety incidents
that could potentially result in
significant economic impacts on small
entities (e.g., financial costs associated
with causing life loss or property
damage, major project repairs, lost
revenue due to the inability to operate
the project, etc.).
192. In summary, based on the
estimated costs included in Table 3
above, the estimated economic impacts
on small entities as a result of the final
199 See
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khammond on DSKJM1Z7X2PROD with RULES2
rule could range from approximately
$174 (for the submittal of a one-time
request for an exemption from part 12,
subpart D) to over $7,380 per year for
each complex project. A representative
cost for a typical small entity with one
or more simple projects would be
approximately $2,650 per year per
project subject to part 12, subpart D.200
Commission staff estimates that over
80% of the small entities have two or
fewer projects subject to subpart D. The
above estimates do not include the
burden and cost associated with the
Owner’s Dam Safety Program as those
licensees required to prepare an
Owner’s Dam Safety Program have
already done so. Generally, however,
the estimated costs associated with the
Owner’s Dam Safety Program for small
entities could range from approximately
$3,850 per year for a small program to
approximately $15,825 per year for a
large program. Commission staff
estimates that ninety percent of the
small entities have small programs.
193. Accordingly, pursuant to section
605(b) of the RFA, the Commission
certifies that this final rule will not have
a significant economic impact on a
substantial number of small entities.
D. Document Availability
194. In addition to publishing the full
text of this document in the Federal
Register, the Commission provides all
interested persons an opportunity to
view and print the contents of this
document via the internet through the
Commission’s Home Page (https://
www.ferc.gov). At this time, the
Commission has suspended access to
the Commission’s Public Reference
Room due to the President’s March 13,
2020 proclamation declaring a National
Emergency concerning the Novel
Coronavirus Disease (COVID–19).
195. From the Commission’s Home
Page on the internet, this information is
available on eLibrary. The full text of
this document is available on eLibrary
in PDF and Microsoft Word format for
viewing, printing, and/or downloading.
To access this document in eLibrary,
type the docket number excluding the
last three digits of this document in the
docket number field.
196. User assistance is available for
eLibrary and the Commission’s website
during normal business hours from the
Commission’s Online Support at (202)
502–6652 (toll free at 1–866–208–3676)
or email at ferconlinesupport@ferc.gov,
or the Public Reference Room at (202)
502–8371, TTY (202) 502–8659. Email
200 Commission staff estimates that more than half
of the 132 small entities have one or more simple
projects and no complex projects.
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Jkt 256001
the Public Reference Room at
public.referenceroom@ferc.gov.
E. Effective Date and Congressional
Notification
197. These regulations are effective
April 11, 2022. The Commission has
determined, with the concurrence of the
Administrator of the Office of
Information and Regulatory Affairs of
OMB, that this rule is not a major rule
as defined in section 251 of the Small
Business Regulatory Enforcement
Fairness Act of 1996.201 This rule is
being submitted to the Senate, House,
Government Accountability Office, and
Small Business Administration.
List of Subjects in 18 CFR Part 12
Electric power, Reporting and
recordkeeping requirements, Safety.
By direction of the Commission.
Commissioner Phillips is not participating.
Issued: December 16, 2021.
Debbie-Anne A. Reese,
Deputy Secretary.
In consideration of the foregoing, the
Federal Energy Regulatory Commission
amends part 12, chapter I, title 18, Code
of Federal Regulations, as follows:
PART 12—SAFETY OF WATER
POWER PROJECTS AND PROJECT
WORKS
1. The authority citation for part 12 is
revised to read as follows:
■
Authority: 16 U.S.C. 791a-825r; 42 U.S.C.
7101–7352.
Subpart A—General Provisions
2. Amend § 12.3 by:
a. Revising paragraphs (b)(3), (b)(4)
introductory text, and (b)(4)(ii), (v), and
(xi);
■ b. Redesignating paragraph (b)(4)(xiii)
as (b)(4)(xix);
■ c. Adding a new paragraph (b)(4)(xiii);
■ d. Redesignating paragraph (b)(11) as
(b)(14);
■ e. Adding new paragraph (b)(11), (12)
and (13).
The revisions and additions read as
follows:
■
■
§ 12.3
Definitions.
*
*
*
*
*
(b) * * *
(3) Authorized Commission
representative means the Director of the
Office of Energy Projects, the Director of
the Division of Dam Safety and
Inspections, the Regional Engineer, or
any other member of the Commission
staff whom the Commission may
specifically designate.
201 5
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1513
(4) Condition affecting the safety of a
project or project works means any
condition, event, or action at the project
which might compromise the safety,
stability, or integrity of any project work
or the ability of any project work to
function safely for its intended
purposes, including navigation, water
power development, or other beneficial
public uses, including recreation; or
which might otherwise adversely affect
life, health, or property. Conditions
affecting the safety of a project or project
works include, but are not limited to:
*
*
*
*
*
(ii) Failure of, misoperation of, or
failure to operate when attempted any
facility that controls the release or
storage of impounded water, such as a
gate or a valve;
*
*
*
*
*
(v) Internal erosion, piping, slides, or
settlements of materials in any dam,
foundation, abutment, dike, or
embankment;
*
*
*
*
*
(xi) Security incidents (physical and/
or cyber);
*
*
*
*
*
(xiii) Overtopping of any dam,
abutment, or water conveyance;
*
*
*
*
*
(11) Water conveyance means any
canal, penstock, tunnel, flowline, flume,
siphon, or other project work,
constructed or natural, which facilitates
the movement of water for the
generation of hydropower,
environmental benefit, or other purpose
required by the project license.
(12) Owner’s Dam Safety Program
means the written document that
formalizes a licensee’s dam safety
program, including, but not limited to,
the licensee’s dam safety policies;
objectives; expectations;
responsibilities; training program;
communication, coordination, and
reporting; record keeping; succession
planning; continuous improvement; and
audits and assessments.
(13) Hazard potential for any dam or
water conveyance is a classification
based on the potential consequences in
the event of failure or misoperation of
the dam or water conveyance, and is
subdivided into categories (e.g., Low,
Significant, High).
(i) High hazard potential generally
indicates that failure or misoperation
will probably cause loss of human life.
(ii) Significant hazard potential
generally indicates that failure or
misoperation will probably not cause
loss of human life but may have some
amount of economic, environmental, or
other consequences.
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(iii) Low hazard potential generally
indicates that failure or misoperation
will probably not cause loss of human
life but may have some amount of
economic, environmental, or other
consequences, typically limited to
project facilities.
*
*
*
*
*
■ 3. Amend § 12.4 by:
■ a. Revising paragraphs (b)(1)(i),
(b)(2)(ii)(B), and (b)(2)(iii)(A) and (B);
■ b. Adding paragraphs (b)(2)(iii)(C) and
(D);
■ c. Adding paragraphs (b)(2)(iii)(C) and
(D);
■ d. Revising paragraphs (c)(1), (c)(2)
introductory text, and (c)(3); and
■ e. Adding paragraph (d).
The revisions and addition read as
follows:
directive issued under this part must
contain a full explanation of why
granting the appeal or the request for
rescission or amendment of the order or
directive, or for stay for the period
requested, will not endanger life, health,
or property.
(d) Failure to comply. If a licensee
fails to comply with any order or
directive issued under this part by the
Commission, a Regional Engineer, or
other authorized Commission
representative, the licensee may be
subject to sanctions, including, but not
limited to, civil penalties, orders to
cease generation, or license revocation.
Subpart B—Reports and Records
§ 12.4 Staff administrative responsibility
and supervisory authority.
4. Amend § 12.10 by revising
paragraph (a)(1), the first sentence of
paragraph (a)(2), and paragraph (b) to
read as follows:
*
§ 12.10
*
*
*
*
(b) * * *
(1) * * *
(i) Achieving or protecting the safety,
stability, security, and integrity of the
project works or the ability of any
project work to function safely for its
intended purposes, including
navigation, water power development,
or other beneficial public uses; or
(ii) * * *
(2) * * *
(ii) * * *
(B) Any condition affecting the safety
of a project or project works or any
death, serious injuries, or rescues that
occur at, or might be attributable to, the
water power project;
(iii) * * *
(A) Any emergency action plan filed
under subpart C of this part;
(B) Any Owner’s Dam Safety Program
filed under subpart F of this part;
(C) Any plan of corrective measures,
including related schedules, submitted
after the report of an independent
consultant pursuant to § 12.36 or § 12.38
or any other inspection report; or
(D) Any public safety plan filed under
§ 12.52(b).
*
*
*
*
*
(c) * * *
(1) Any order or directive issued
under this part by a Regional Engineer
or other authorized Commission
representative may be appealed to the
Commission under § 385.207 of this
chapter.
(2) Any order or directive issued
under this part by a Regional Engineer
or other authorized Commission
representative is immediately effective
and remains in effect until:
*
*
*
*
*
(3) An appeal or motion for rescission,
amendment, or stay of any order or
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■
Reporting safety-related incidents.
(1) * * * Initial reports. An applicant
or licensee must report by email or
telephone to the Regional Engineer any
condition affecting the safety of a
project or projects works, as defined in
§ 12.3(b)(4). The initial report must be
made as soon as practicable after that
condition is discovered, preferably
within 72 hours, without unduly
interfering with any necessary or
appropriate emergency repair, alarm, or
other emergency action procedure.
(2) * * * Following the initial report
required in paragraph (a)(1), the
applicant or licensee must submit to the
Regional Engineer a written report on
the condition affecting the safety of the
project or project works verified in
accordance with § 12.13. * * *
*
*
*
*
*
(b) Deaths, serious injuries, or rescues.
(1) Initial reports. An applicant or
licensee must report to the Regional
Engineer any drowning or other
incident resulting in death, serious
injury, or rescue that occurs at the
project works or involves project
operation. The initial report must be
made promptly after the incident is
discovered, may be provided via email
or telephone, and must include a
description of the cause and location of
the incident.
(2) Written reports. Following the
initial report required in paragraph
(b)(1), the applicant or licensee must
submit to the Regional Engineer a
written report.
(i) For any death, serious injury, or
rescue that is considered or alleged to be
project-related, or occurs at the project
works, the applicant or licensee must
submit to the Regional Engineer a
written report that describes any
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remedial actions taken or proposed to
avoid or reduce the chance of similar
occurrences in the future. The written
report must be verified in accordance
with § 12.13.
(ii) For any death that is not projectrelated, the applicant or licensee may
report the death by providing a copy of
an article from print or electronic media
or a report from a law enforcement
agency, if available.
(iii) Serious injuries and rescues that
are not project-related do not require a
written report.
(3) For the purposes of this paragraph
(b), project-related includes any deaths,
serious injuries, or rescues that:
(i) Involve a project dam, spillway,
intake, outlet works, tailrace, power
canal, powerhouse, powerline, other
water conveyance, or other
appurtenances;
(ii) Involve changes in water levels or
flows caused by generating units,
project gates, or other flow regulating
equipment;
(iii) Involve a licensee employee,
contractor, or other person performing
work at a licensed project facility and
are related in whole or in part to the
work being performed; or
(iv) Are otherwise attributable to
project works and/or project operations.
(5) For the purposes of this paragraph
(b), serious injury includes any injury
that results in treatment at a medical
facility or a response by licensee staff or
another trained professional.
■ 5. Amend § 12.12 by revising
paragraphs (a)(1)(ii) and (b)(3) and
adding paragraph (d) to read as follows:
§ 12.12
Maintenance of records.
(a) * * *
(1) * * *
(ii) Instrumentation observations and
data collected during construction,
operation, or maintenance of the project,
including continuously maintained
tabular records and graphs illustrating
the data collected pursuant to § 12.51;
and
*
*
*
*
*
(b) * * *
(3) In accordance with the provisions
of part 125 of this chapter, the applicant
or licensee may select its own storage
media to maintain original records or
record copies at the project site,
provided that appropriate equipment is
available to view the records.
*
*
*
*
*
(d) Provision of records. If the project
is subject to subpart D of this part, or if
requested by the Regional Engineer, the
applicant or licensee must provide to
the Regional Engineer physical and
electronic copies of the documents
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listed in paragraph (a)(1) of this section,
except as provided in paragraph (a)(2) of
this section.
Subpart C—Emergency Action Plans
§ 12.20
[Amended]
6. Amend § 12.20 in paragraph (a) by
removing the words ‘‘three copies of’’.
■
§ 12.22
[Amended]
7. Amend § 12.22 as follows:
a. In paragraph (a)(1) introductory
text, remove the phrase ‘‘conform with
the guidelines established, and from
time to time revised, by the Director of
the Office of Energy Projects (available
from the division of Inspections or the
Regional Engineer) to’’; and
■ b. In paragraph (a)(2) introductory
text, remove ‘‘conforming with the
guidelines established by the Director of
the Office of Energy Projects’’.
■
■
§ 12.24
[Amended]
8. Amend § 12.24 in paragraph (c)(3)
by removing the words ‘‘three copies
of’’.
■ 9. Revise subpart D to read as follows:
■
Subpart D—Review, Inspection, and
Assessment by Independent Consultant
Sec.
12.30 Applicability.
12.31 Definitions.
12.32 General inspection requirement.
12.33 Exemption.
12.34 Approval of independent consultant
team.
12.35 Periodic inspection.
12.36 Report on a period inspection.
12.37 Comprehensive assessment.
12.38 Report on a comprehensive
assessment.
12.39 Evaluation of spillway adequacy.
12.40 Time for inspections and reports.
12.41 Corrective measures.
12.42 Preliminary reports.
Subpart D—Review, Inspection, and
Assessment by Independent
Consultant
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§ 12.30
Applicability.
This subpart D applies to any licensed
project development that:
(a) Has a dam
(1) That is more than 32.8 feet (10
meters) in height above streambed, as
defined in § 12.31(c); or
(2) With an impoundment gross
storage capacity of more than 2,000
acre-feet (2.5 million cubic meters), as
defined in § 12.31(d);
(b) Has a project work (dam or water
conveyance) or any portion thereof that
has a high hazard potential, as defined
in § 12.3(b)(13)(i); or
(c) Is determined by the Regional
Engineer or other authorized
Commission representative to require
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inspection by an independent
consultant under this subpart D.
§ 12.31
Definitions.
For purposes of this subpart D:
(a) Independent consultant means any
person who:
(1) Is a licensed professional engineer;
(2) Has at least 10 years of experience
and expertise in dam design and
construction and in the investigation of
the safety of existing dams;
(3) Is not an employee of the licensee
or its affiliates;
(4) Has not been an employee of the
licensee or its affiliates within two years
prior to performing engineering and/or
scientific services for an inspection or
assessment under this subpart D; and
(5) Has not been an agent acting on
behalf of the licensee or its affiliates,
prior to performing engineering and/or
scientific services for an inspection or
assessment under this subpart D.
(b) An independent consultant team
means a group of one or more people
that:
(1) Includes at least one independent
consultant, as defined in paragraph (a)
of this section;
(2) Includes additional qualified
engineering and scientific professionals
as supporting team members, as needed,
who meet the requirements of
paragraphs (a)(3) through (5) of this
section;
(3) Has demonstrable experience and
expertise in dam design, construction,
and the evaluation and assessment of
the safety of existing dams and their
appurtenances, commensurate with the
scale, complexity, and relevant
technical disciplines of the project and
type of review, inspection, and
assessment being performed (periodic
inspection or comprehensive
assessment, as defined in this section).
(c) Height above streambed means:
(1) For a dam with a spillway, the
vertical distance from the lowest
elevation of the natural streambed at the
downstream toe of the dam to the
maximum water storage elevation
possible without any discharge from the
spillway. The maximum water storage
elevation is:
(i) For gated spillways, the elevation
of the tops of the gates; and
(ii) For ungated spillways, the
elevation of the spillway crest or the top
of any flashboards, whichever is higher.
(2) For a dam without a spillway, the
vertical distance from the lowest
elevation of the natural streambed at the
downstream tow of the dam to the
lowest point on the crest of the dam.
(d) Gross storage capacity means the
maximum possible volume of water
impounded by a dam with zero spill,
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1515
that is, without the discharge of water
over the dam or a spillway.
(e) Periodic inspection means an
inspection that meets the requirements
of § 12.35 and is performed by an
independent consultant team.
(f) Comprehensive assessment means
a project review, inspection, and
assessment that meets the requirements
of § 12.37 and is performed by an
independent consultant team.
(g) Previous Part 12D Inspection
means the most recent inspection
performed in accordance with the
provisions of this subpart D (a periodic
inspection, comprehensive assessment,
or an inspection performed in
accordance with the rules established by
Order 122).
(h) Previous Part 12D Report means
the report on the Previous Part 12D
Inspection.
§ 12.32
General inspection requirement.
The project works of each
development to which this subpart
applies, excluding transmission and
transformation facilities, must be
inspected on a periodic basis by an
independent consultant team to identify
any actual or potential deficiencies that
might endanger life, health, or property,
including deficiencies that may be in
the condition of those project works or
in the quality or adequacy of project
maintenance, safety, methods of
operation, analyses, and other
conditions. A report must be prepared
by the independent consultant team, by
or under the direction of at least one
independent consultant, who may be a
member of a consulting firm, to
document the findings and evaluations
made during their inspection. The
inspection must be performed by the
independent consultant team, and the
report must be filed by the licensee, in
accordance with the procedures in this
subpart D. The licensee must ensure
that the independent consultant team’s
report meets all of the requirements set
forth in this subpart D.
§ 12.33
Exemption.
(a) Upon written request from the
licensee, the Director of the Division of
Dam Safety and Inspections may grant
an exemption from the requirements of
this subpart D in circumstances that
clearly establish good cause for
exemption.
(b) Good cause for exemption may
include the finding that the
development in question has no dam,
canal, or other water conveyance except
those that meet the criteria for low
hazard potential as defined in
§ 12.3(b)(13)(iii).
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(c) The Director of the Division of
Dam Safety and Inspections, for good
cause shown, may rescind any
exemption from this subpart D granted
by the Director, and may require that a
comprehensive assessment be
completed prior to considering a
subsequent request for exemption from
the licensee.
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§ 12.34 Approval of independent
consultant team.
(a) The licensee must obtain written
approval of the independent consultant
team, and the facilitator(s) for a
potential failure mode analysis or risk
analysis, from the Director of the
Division of Dam Safety and Inspections,
prior to the performance of a periodic
inspection or comprehensive
assessment under this subpart D.
(b) At least 180 days prior to
performing a periodic inspection or
comprehensive assessment under this
subpart D, the licensee must submit to
the Director of the Division of Dam
Safety and Inspections, with a copy to
the Regional Engineer, a detailed part
12D inspection plan that includes an
independent consultant team proposal
that describes the technical disciplines
and level of expertise required to
perform the inspection.
(1) If the independent consultant team
comprises one person, the detailed
independent consultant team proposal
must:
(i) Describe the experience of the
independent consultant; and
(ii) Show that the independent
consultant meets the requirements as
defined in §§ 12.31(a) and 12.31(b)(3).
(2) If the independent consultant team
comprises more than one person, the
detailed independent consultant team
proposal must:
(i) Designate one or more persons to
serve as independent consultant(s);
(ii) Describe the experience of each
member of the independent consultant
team;
(iii) Show that each independent
consultant meets the requirements as
defined in § 12.31(a);
(iv) Show that each member of the
independent consultant team who is not
designated as an independent
consultant meets the requirements as
defined in § 12.31(a)(3) through (5); and
(v) Show that the independent
consultant team meets the requirements
as defined in § 12.31(b)(3).
(3) If any member of the independent
consultant team has performed or
substantially contributed to any
previous investigation, analysis, or other
work product that is required to be
reviewed and evaluated by the
independent consultant team as part of
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the inspection being performed, the
independent consultant team proposal
must include a clear delineation of roles
and responsibilities that ensures no
team member will be responsible for
reviewing and evaluating their own
previous work.
(4) If required information about any
supporting team member(s) is not
available at the time the independent
consultant team proposal is submitted
to the Director of the Division of Dam
Safety and Inspections, the independent
consultant team proposal must state that
the information will be provided in the
preliminary report required by § 12.42.
(5) The 180-day period in paragraph
(b) is measured from the scheduled date
of the physical field inspection,
potential failure mode analysis, or risk
analysis, whichever occurs first.
(c) Regardless of experience and
qualifications, any independent
consultant may be disapproved by the
Director of the Division of Dam Safety
and Inspections for good cause, such as
having had one or more reports on an
inspection under this subpart D rejected
by the Commission within the
preceding five years.
(d) The Director of the Division of
Dam Safety and Inspections may, for
good cause shown, grant a waiver of the
10-year requirement in § 12.31(a)(2).
Any petition for waiver under this
paragraph must be filed in accordance
with § 385.207 of this chapter.
§ 12.35
Periodic inspection.
A periodic inspection must include:
(a) Review of prior reports. The
independent consultant team must
review and consider all relevant reports
on the safety of the development made
by or written under the direction of
Federal or state agencies, submitted
under Commission regulations, or made
by other consultants. The licensee must
provide to the independent consultant
team all information and reports
necessary to fulfill the requirements of
this section. The independent
consultant team must perform sufficient
review to have, at the time of the
periodic inspection, a full
understanding of the design,
construction, performance, condition,
upstream and downstream hazard,
monitoring, operation, and potential
failure modes of the project works.
(b) Physical field inspection. The
independent consultant team must
perform a physical field inspection of
accessible project works, including
galleries, adits, vaults, conduits, earthen
and concrete-lined spillway chutes, the
exterior of water conveyances, and other
non-submerged project works that may
require specialized access to facilitate
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inspection. The inspection shall include
review and assessment of all relevant
data concerning:
(1) Settlement;
(2) Movement;
(3) Erosion;
(4) Seepage;
(5) Leakage;
(6) Cracking;
(7) Deterioration;
(8) Hydraulics;
(9) Hydrology;
(10) Seismicity;
(11) Internal stress and hydrostatic
pressures in project structures and their
foundations and abutments;
(12) The condition and performance
of foundation drains, dam body drains,
relief wells, and other pressure-relief
systems;
(13) The condition and performance
of any post-tensioned anchors installed,
and other major modifications
completed, to improve the stability of
project works;
(14) The stability of critical slopes
adjacent to a reservoir or project works;
and
(15) Regional and site geological
conditions.
(c) Review of surveillance and
monitoring plan and data. The
independent consultant team must:
(1) Review the surveillance
procedures, instrumentation layout,
installation details, monitoring
frequency, performance history, data
history and trends, and relevance to
potential failure modes; and
(2) Review the frequency and scope of
other surveillance activities.
(d) Review of dam and public safety
programs. The independent consultant
team must review the programs
specified in this paragraph.
(1) Hazard potential. The
independent consultant team must
review the potential inundation area
and document any significant changes
in the magnitude and location of the
population at risk since the previous
inspection under this subpart D.
(2) Emergency Action Plan. If the
project development is subject to
subpart C of this part, the independent
consultant team must review the
emergency action plan, including the
emergency action plan document itself,
the licensee’s training program, and any
related time-sensitivity assessment(s).
(3) Public Safety Program. The
independent consultant team must
review the public access restrictions and
public safety warning signs and devices
near the project works pursuant to
§ 12.52.
(4) Owner’s Dam Safety Program. If
the project is subject to subpart F of this
part, the independent consultant team
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must review the implementation of the
licensee’s Owner’s Dam Safety Program
with respect to the project development
being inspected under this subpart D.
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§ 12.36
Report on a periodic inspection.
(a) Scope. The report must include
documentation of all the items listed in
§ 12.35.
(b) Specific evaluation. The report
must include specific evaluation of:
(1) The history of performance of the
project works through visual
observations, analysis of data from
monitoring instruments, and previous
inspections;
(2) The quality and adequacy of
maintenance, surveillance, methods of
project operations, and risk reduction
measures for the protection of public
safety and continued project operation;
(3) Potential failure modes, including:
(i) Each identified potential failure
mode associated with the project works
and whether any potential failure mode
is active or developing; and
(ii) Whether any inspection
observations or other conditions
indicate that an unidentified potential
failure mode is active, developing, or is
of sufficient concern to warrant
development through a supplemental
potential failure mode analysis;
(4) Whether any observed conditions
warrant reconsideration of the current
hazard potential classification; and
(5) The adequacy of the project’s:
(i) Emergency action plan;
(ii) Public safety program; and
(iii) Implementation of the Owner’s
Dam Safety Program with respect to the
project development being inspected
under this subpart D.
(c) Changes since the previous
inspection. The report must include a
status update and evaluation of any
changes since the Previous Part 12D
Inspection concerning:
(1) Hydrology. Identify any events that
may affect the conclusions of the
hydrologic or hydraulic analyses of
record and evaluate the effect on the
safety and stability of project works.
(2) Seismicity. Identify any seismic
events that may affect the conclusions of
the seismicity analyses of record and
evaluate the effect on the safety and
stability of project works.
(3) Modifications to project works.
Identify any modifications made to
project works and evaluate the
performance thereof with respect to the
design intent.
(4) Methods of operation. Describe
any changes to standard operating
procedures, equipment available for
project operation, and evaluate the
effect on the safety and stability of
project works.
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(5) Results of special inspections.
Summarize the findings of any special
inspections (dive inspection, ropeaccess gate inspection, toe drain
inspection, etc.), if any.
(6) Previous recommendations. List
and document the status of
recommendations made by the
independent consultant(s) in the
Previous Part 12D Report, and any
earlier recommendations that remained
incomplete at the time of the Previous
Part 12D Report.
(7) Outstanding studies and studies
completed since the previous
inspection. List and document the status
of any studies completed since the
Previous Part 12D Inspection and those
that remain outstanding at the time of
the periodic inspection.
(d) Recommendations. Based on the
independent consultant team’s field
observations, evaluations of the project
works, and the maintenance,
surveillance, and methods of operation
of the development, the report must
contain recommendations by the
independent consultant(s) regarding:
(1) Any corrective measures,
described in § 12.41, necessary for the
structures, maintenance or surveillance
procedures, or methods of operation of
the project works;
(2) A reasonable time to carry out
each corrective measure; and
(3) Any new or additional monitoring
instruments, periodic observations,
special inspections, or other methods of
monitoring project works or conditions
that may be required.
(e) Dissenting views. If the inspection
and report were conducted and
prepared by more than one independent
consultant, the report must clearly
identify and describe any dissenting
views concerning the evaluations or
recommendations of the report that
might be held by any individual
consultant.
(f) List of participants. The report
must identify all professional personnel
who have participated in the inspection
of the project or in preparation of the
report and the independent
consultant(s) who directed those
activities.
(g) Statement of independence. Each
independent consultant responsible for
the report must declare that all
conclusions and recommendations in
the report are made independently of
the licensee, its employees, and its
representatives.
(h) Signature. The report must be
signed and sealed, with a professional
engineer’s seal, by each independent
consultant responsible for the report.
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§ 12.37
1517
Comprehensive assessment.
A comprehensive assessment must
include:
(a) Review of prior reports and
analyses of record. The independent
consultant team must review and
consider all relevant reports on the
safety of the development made by or
written under the direction of Federal or
state agencies, submitted under
Commission regulations, or made by
other consultants. The licensee must
provide to the independent consultant
team all information, reports, and
analyses of record necessary to fulfill
the requirements of this section.
(1) In addition to the requirements of
§ 12.35(a), the independent consultant
team must have a full understanding of
the risk associated with the project
works.
(2) The independent consultant team
shall perform a detailed review of the
as-built drawings; monitoring data; and
the methods, assumptions, calculations,
results, and conclusions of the analyses
of record pertaining to:
(i) Geology and seismicity;
(ii) Hydrology and hydraulics;
(iii) Stability and structural integrity
of project works; and
(iv) Any other analyses relevant to the
safety, stability, and operation of project
works.
(b) Physical field inspection. The
independent consultant team must
perform a physical field inspection that
complies with § 12.35(b).
(c) Review of surveillance and
monitoring plan and data. The
independent consultant team must
perform a review of surveillance and
monitoring plan and data that complies
with § 12.35(c).
(d) Review of dam and public safety
programs. The independent consultant
team must perform a review of dam and
public safety programs that complies
with § 12.35(d).
(e) Supporting Technical Information
Document. The comprehensive
assessment shall include a review of the
Supporting Technical Information
Document.
(f) Potential failure mode analysis.
The comprehensive assessment shall
include a potential failure mode
analysis.
(g) Risk analysis. The comprehensive
assessment shall include a risk analysis.
The Regional Engineer may, for good
cause shown, grant a waiver of the
requirement to complete a risk analysis.
Any petition for waiver under this
paragraph must be filed in accordance
with § 385.207 of this chapter.
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§ 12.38 Report on a comprehensive
assessment.
(a) Scope. The comprehensive
assessment report must include
documentation of all the items listed in
§ 12.37.
(b) Specific evaluation. In addition to
the items listed in § 12.36(b)(1) through
§ 12.36(b)(5), the comprehensive
assessment report must evaluate:
(1) The adequacy of spillways,
including the effects of overtopping of
nonoverflow structures, as described in
§ 12.39;
(2) The structural adequacy and
stability of structures under all credible
loading conditions;
(3) The potential for internal erosion
and/or piping of embankments,
foundations, and abutments;
(4) The design and construction
practices used during original
construction and subsequent
modifications, in comparison with the
industry best practices in use at the time
of the inspection under this subpart D;
(5) The adequacy of the Supporting
Technical Information Document and
the attached electronic records; and
(6) The adequacy and findings of the
potential failure mode analysis and risk
analysis report(s).
(c) Analyses of record. The
comprehensive assessment report must
include the independent consultant
team’s evaluation of the assumptions,
methods, calculations, results, and
conclusions of the items listed in
§ 12.37(a)(2)(i) through (iv). The
evaluation must:
(1) Address the accuracy, relevance,
and consistency with the current state of
the practice of dam engineering;
(2) Be accompanied by sufficient
documentation of the independent
consultant team’s rationale, including,
as needed, new calculations by the
independent consultant team to verify
that the assumptions, methods,
calculations, results, and conclusions in
the analyses of record are correct; and
(3) If the independent consultant team
is unable to review the analyses of
record for any of the items listed in
§ 12.37(a)(2)(i) through (iv); or if the
independent consultant team disagrees
with the assumptions, methods,
calculations, results, or conclusions
therein; the independent consultant(s)
must recommend that the licensee
complete new analyses to address the
identified concerns.
(d) Changes since the previous
inspection. The requirements of this
section are the same as described in
§ 12.36(c).
(e) Recommendations. The
requirements of this section are the
same as described in § 12.36(d).
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(f) Dissenting views. The requirements
of this section are the same as described
in § 12.36(e).
(g) List of participants. The
requirements of this section are the
same as described in § 12.36(f).
(h) Statement of independence. The
requirements of this section are the
same as described in § 12.36(g).
(i) Signature. The requirements of this
section are the same as described in
§ 12.36(h).
§ 12.39
Evaluation of spillway adequacy.
The adequacy of any spillway must be
evaluated, as part of a comprehensive
assessment or as otherwise requested by
the Regional Engineer, by considering
hazard potential which would result
from failure of the project works during
normal and flood flows.
(a) If failure would present a hazard
to human life or cause significant
property damage, the independent
consultant team must evaluate the
following for floods up to and including
the probable maximum flood:
(1) The ability of project works to
withstand the loading or overtopping
which may occur during floods;
(2) The capacity of spillways to
prevent the reservoir from rising to an
elevation that would endanger the
project works; and
(3) The potential for misoperation of;
failure to operate; blockage of; or
debilitating damage to a spillway and its
appurtenances (including but not
limited to structural, mechanical, and
electrical components of gates, valves,
chutes, and training walls); and the
effect thereof on the maximum reservoir
level and potential for surcharged
loading or overtopping to occur during
floods.
(b) If failure would not present a
hazard to human life or cause
significant property damage, spillway
adequacy may be evaluated by means of
a design flood of lesser magnitude than
the probable maximum flood provided
that the most recent comprehensive
assessment report required by § 12.38
provides a detailed explanation of and
rationale for the finding that structural
failure would not present a hazard to
human life or cause significant property
damage.
§ 12.40
Time for inspections and reports.
(a) Projects previously inspected by
independent consultant. For any project
that was inspected under this subpart D
prior to April 11, 2022, under the
Commission’s rules in effect on January
1, 2022:
(1) A periodic inspection or
comprehensive assessment must be
completed, and the report on it filed,
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within five years of the due date of the
Previous Part 12D Report.
(2) For any report due to be filed
under this subpart D after October 11,
2023, the Regional Engineer may require
that it be a report on a comprehensive
assessment or a report on a periodic
inspection.
(3) The first comprehensive
assessment under this subpart must be
completed, and the report on it filed, by
December 31, 2038.
(b) Projects not previously inspected
by independent consultant. For any
project that was not inspected under
this subpart D prior to April 11, 2022,
under the Commission’s rules in effect
on January 1, 2022:
(1) For any development that meets
the criteria specified in § 12.30(a)(1) or
§ 12.30(a)(2), and was constructed
before the date of issuance of the order
licensing that development, or
amending a license to include that
development, the first comprehensive
assessment under this subpart D must
be completed, and the report on it filed,
not later than two years after the date of
issuance of the order licensing that
development or amending the license to
include that development.
(2) For any development that was
constructed after the date of issuance of
the order licensing that development, or
amending a license to include that
development, the first comprehensive
assessment under this subpart D must
be completed, and the report on it filed,
not later than five years after the date of
issuance of the order licensing that
development or amending the license to
include that development.
(3) For any development not set forth
in either paragraph (b)(1) or (b)(2) of this
section, the first comprehensive
assessment under this subpart D must
be completed, and the report on it filed,
by a date specified by the Regional
Engineer. The filing date must not be
more than two years after the date of
notification that a comprehensive
assessment and report under this
subpart D are required.
(c) Subsequent inspections and
reports. For subsequent reports filed
under this subpart D:
(1) A comprehensive assessment must
be completed, and the report on it filed,
within 10 years of the date the previous
comprehensive assessment report was
due to be filed.
(2) A periodic inspection must be
completed, and the report on it filed,
within five years of the date the
previous comprehensive assessment
report was due to be filed.
(d) Extension of time. For good cause
shown, the Regional Engineer may
extend the time for filing the report on
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a comprehensive assessment or periodic
inspection under this subpart D.
(e) Type of Report. For good cause, the
Regional Engineer may require that any
report due to be filed under this subpart
D be a report on a comprehensive
assessment or a report on a periodic
inspection, notwithstanding the type of
review (periodic inspection or
comprehensive assessment) scheduled
to be performed under paragraphs (c)(1)
and (c)(2) of this section.
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§ 12.41
Corrective measures.
(a) Corrective measures. For items
identified during a periodic inspection
or comprehensive assessment as
requiring corrective action, the
following conditions apply:
(1) Corrective plan and schedule. (i)
Not later than 60 days after a report on
a periodic inspection or comprehensive
assessment is filed with the Regional
Engineer, the licensee must submit to
the Regional Engineer a plan and
schedule for addressing the
recommendations of the independent
consultant(s) and for investigating,
designing, and carrying out any
corrective measures that the licensee
proposes to implement.
(ii) The plan and schedule may
include any proposal, including taking
no action, that the licensee considers a
preferable alternative to any corrective
measure recommended in the report of
the independent consultant(s). Any
proposed alternative must be
accompanied by the licensee’s complete
justification and detailed analysis and
evaluation in support of that alternative.
(2) Carrying out the plan. The licensee
must complete all corrective measures
in accordance with the plan and
schedule submitted to, and approved or
modified by, the Regional Engineer, and
on an annual basis must submit a status
report on the corrective measures until
all have been completed.
(3) Extension of time. For good cause
shown, the Regional Engineer may
extend the time for filing the plan and
schedule required by this section.
(b) Emergency corrective measures.
The licensee must provide that if, in the
course of a periodic inspection or
comprehensive assessment conducted
under this subpart D, an independent
consultant discovers any condition for
which emergency corrective measures
are advisable, such as a condition
affecting the safety of a project or project
works as defined in § 12.3(b)(4) of this
part, the independent consultant must
immediately notify the licensee and the
licensee must report that condition to
the Regional Engineer pursuant to
§ 12.10(a) of this part. Emergency
corrective measures must be included in
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the corrective plan and schedule
required by paragraph (a)(1) of this
section, and are also subject to
paragraphs (a)(2) and (a)(3) of this
section.
§ 12.42
Preliminary reports.
At least 30 days prior to the
performance of a periodic inspection or
comprehensive assessment, a
preliminary report prepared by the
independent consultant team must be
filed by the licensee with the Regional
Engineer to document the initial
findings, understanding, and
preparation of the independent
consultant team.
(a) For any periodic inspection, the
30-day period is measured from the
scheduled date of the physical field
inspection.
(b) For any comprehensive
assessment, the 30-day period is
measured from the scheduled date of
the physical field inspection, potential
failure mode analysis, or risk analysis,
whichever occurs first.
(c) If the Regional Engineer
determines that the preliminary report
does not clearly demonstrate that the
independent consultant team is
adequately prepared for the inspection,
the Regional Engineer may require the
inspection to be postponed. Any such
postponement shall not constitute good
cause for an extension of time under
§ 12.40(d).
(d) If any required supporting team
member information was not provided
with the independent consultant team
proposal required by § 12.34(b), it must
be provided with the preliminary report.
Subpart E—Other Responsibilities of
Applicant or Licensee
§ § 12.40 through 12.44 [Redesignated as
§§ 12.50 through 12.54]
10. Redesignate §§ 12.40 through
12.44 as §§ 12.50 through 12.54,
respectively.
■
§ § 12.55 through 12.59
[Reserved]
11. Add reserved §§ 12.55 through
12.59.
■ 12. Amend newly designated § 12.50
in paragraph (a) by removing ‘‘§ 12.39’’
and adding in its place ‘‘§ 12.41’’.
■ 13. Revise newly redesignated § 12.52
to read as follows:
■
§ 12.52
Warning and safety devices.
(a) To the satisfaction of, and within
a time specified by the Regional
Engineer, an applicant or licensee must
install, operate, and maintain any signs,
lights, sirens, barriers, or other safety
devices that may reasonably be
necessary or desirable to warn the
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1519
public of fluctuations in flow from the
project or otherwise to protect the
public in the use of project lands and
waters.
(b) The Regional Engineer may require
the applicant or licensee to prepare,
periodically update, and file with the
Commission a public safety plan that
formalizes the installation, operation,
and maintenance of all necessary public
safety devices.
§ 12.54
[Amended]
14. Amend newly redesignated
§ 12.54 as follows:
■ a. In paragraph (b)(2), remove ‘‘the
periodic’’ and add in its place ‘‘an’’ and
add ‘‘gate’’ directly following the second
appearance of the word ‘‘spillway’’; and
■ b. In paragraph (c)(2), remove ‘‘the
periodic’’ and add in its place ‘‘an’’.
■
15. Add subpart F, consisting of
§§ 12.60 through 12.65, to read as
follows:
■
Subpart F—Owner’s Dam Safety
Program
Sec.
12.60 Applicability.
12.61 Definitions.
12.62 General requirements.
12.63 Contents of Owner’s Dam Safety
Program.
12.64 Annual review and update of
Owner’s Dam Safety Program.
12.65 Independent external audit and peer
review.
§ 12.60
Applicability.
The licensee of any dam or other
project work classified as having a high
or significant hazard potential, as
defined in § 12.3(b)(13)(i) and (ii), is
required to submit an Owner’s Dam
Safety Program to the Regional
Engineer.
§ 12.61
Definitions.
For purposes of this subpart F:
(a) Chief Dam Safety Engineer means
the designated individual, who is a
licensed professional engineer with
experience in dam safety, who oversees
the implementation of the Owner’s Dam
Safety Program and has primary
responsibility for ensuring the safety of
the licensee’s dam(s) and other project
works.
(b) Chief Dam Safety Coordinator
means the designated individual, who is
not required to be a licensed
professional engineer, who oversees the
implementation of the Owner’s Dam
Safety Program and has primary
responsibility for ensuring the safety of
the licensee’s dam(s) and other project
works.
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§ 12.62
Federal Register / Vol. 87, No. 7 / Tuesday, January 11, 2022 / Rules and Regulations
General requirements.
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(a) The Owner’s Dam Safety Program
shall designate either a Chief Dam
Safety Engineer or Chief Dam Safety
Coordinator, as defined in § 12.61. Any
Owner’s Dam Safety Program that
includes one or more dams or other
project works classified as having a high
hazard potential, as defined in
§ 12.3(b)(13)(i), shall designate a Chief
Dam Safety Engineer.
(b) The Owner’s Dam Safety Program
must be signed by the Owner and, as
applicable, the Chief Dam Safety
Engineer or the Chief Dam Safety
Coordinator.
(c) The Owner’s Dam Safety Program
must be reviewed and updated on a
periodic basis as described in § 12.64
and, if applicable, must undergo an
independent external audit or peer
review as described in § 12.65.
(d) The Owner may delegate to others,
such as consultants, the work of
establishing and implementing the
Owner’s Dam Safety Program and the
role of Chief Dam Safety Engineer or
Chief Dam Safety Coordinator, as
applicable.
(1) If the role of Chief Dam Safety
Engineer or Chief Dam Safety
Coordinator is delegated to an outside
party who does not oversee the day-today implementation of the Owner’s Dam
Safety Program, the Owner must
designate an individual responsible for
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overseeing the day-to-day
implementation.
(2) Any delegation made in
accordance with paragraph (d) of this
section must be documented in the
Owner’s Dam Safety Program.
(3) The Owner retains ultimate
responsibility for the safety of the
dam(s) and other project works covered
by the Owner’s Dam Safety Program.
§ 12.63 Contents of Owner’s Dam Safety
Program.
The Owner’s Dam Safety Program
shall contain, at a minimum, the
following sections:
(a) Dam safety policy, objectives, and
expectations;
(b) Responsibilities for dam safety;
(c) Dam safety training program;
(d) Communication, coordination,
reporting, and reports;
(e) Record keeping and databases; and
(f) Continuous improvement.
§ 12.64 Annual review and update of
Owner’s Dam Safety Program.
The Owner’s Dam Safety Program,
and the implementation thereof, shall be
reviewed at least once annually by the
licensee’s dam safety staff and discussed
with senior management of the Owner’s
organization. The licensee shall submit
the results of the annual review,
including findings, analysis, corrective
measures, and/or revisions to the
Owner’s Dam Safety Program, to the
Regional Engineer.
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§ 12.65 Independent external audit and
peer review.
(a) Applicability. For licensees of one
or more dams or other project works
classified as having a high hazard
potential, as defined in § 12.3(b)(13)(i),
an independent external audit or peer
review of the Owner’s Dam Safety
Program, and the implementation
thereof, shall be performed at an
interval not to exceed five years.
(b) Qualifications. A statement of
qualifications for the proposed
auditor(s) or peer review team that
demonstrates independence from the
licensee and its affiliates shall be
submitted to the Regional Engineer for
review, and written acceptance thereof
must be obtained from the Regional
Engineer prior to performing the audit
or peer review.
(c) Reporting. (1) The auditor(s) or
peer review team shall document their
findings in a report.
(2) The report on the audit or peer
review shall be reviewed by the Owner,
Chief Dam Safety Engineer or Chief Dam
Safety Coordinator, and management
having responsibility in the area(s)
audited or reviewed.
(3) The report on the audit or peer
review shall be submitted to the
Regional Engineer.
[FR Doc. 2021–27736 Filed 1–10–22; 8:45 am]
BILLING CODE 6717–01–P
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Agencies
[Federal Register Volume 87, Number 7 (Tuesday, January 11, 2022)]
[Rules and Regulations]
[Pages 1490-1520]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2021-27736]
[[Page 1489]]
Vol. 87
Tuesday,
No. 7
January 11, 2022
Part II
Department of Energy
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Federal Energy Regulatory Commission
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18 CFR Part 12
Safety of Water Power Projects and Project Works; Final Rule
Federal Register / Vol. 87 , No. 7 / Tuesday, January 11, 2022 /
Rules and Regulations
[[Page 1490]]
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DEPARTMENT OF ENERGY
Federal Energy Regulatory Commission
18 CFR Part 12
[Docket No. RM20-9-000; Order No. 880]
Safety of Water Power Projects and Project Works
AGENCY: Federal Energy Regulatory Commission.
ACTION: Final rule.
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SUMMARY: In this final rule, the Federal Energy Regulatory Commission
(Commission) is amending its regulations governing the safety of
hydroelectric projects licensed by the Commission under the Federal
Power Act. These regulations will promote the safe operation, effective
maintenance, and efficient repair of licensed hydroelectric projects
and project works to ensure the protection of life, health, and
property in surrounding communities. Specifically, the Commission is
revising its regulations to: incorporate two tiers of project safety
inspections by independent consultants, codify existing guidance
requiring certain licensees to develop an owner's dam safety program
and a public safety plan, update existing regulations related to public
safety incident reporting, and make various minor revisions.
DATES: The rule is effective April 11, 2022.
FOR FURTHER INFORMATION CONTACT:
Ken Fearon (Technical Information), Office of Energy Projects, Federal
Energy Regulatory Commission, 888 First Street NE, Washington, DC
20426, (202) 502-6015, [email protected]
Doug Boyer (Technical Information), Office of Energy Projects, Federal
Energy Regulatory Commission, 805 SW Broadway, Suite 550, Portland, OR
97205, (503) 552-2709, [email protected]
Tara DiJohn (Legal Information), Office of the General Counsel, Federal
Energy Regulatory Commission, 888 First Street NE, Washington, DC
20426, (202) 502-8671, [email protected]
SUPPLEMENTARY INFORMATION:
Table of Contents
Paragraph
Nos.
I. Background.............................................. 4
II. Notice of Proposed Rulemaking.......................... 14
III. Engineering Guidelines................................ 15
IV. Discussion............................................. 16
A. Review, Inspection, and Assessment by Independent 23
Consultants...........................................
B. Owner's Dam Safety Program.......................... 100
C. Public Safety and Miscellaneous Updates............. 119
V. Regulatory Requirements................................. 143
A. Information Collection Statement.................... 143
B. Environmental Analysis.............................. 184
C. Regulatory Flexibility Act.......................... 185
D. Document Availability............................... 194
E. Effective Date and Congressional Notification....... 197
Order No. 880
Final Rule
(Issued December 16, 2021)
1. The Federal Energy Regulatory Commission (Commission or FERC),
under Part I of the Federal Power Act (FPA), licenses hydroelectric
projects that are developed by non-Federal entities including
individuals, private entities, Indian Tribes, states, municipalities,
electric cooperatives, and others. Under section 10(c) of the FPA, the
licensee of any hydroelectric project under the jurisdiction of the
Commission must conform to ``such rules and regulations as the
Commission may from time to time prescribe for the protection of life,
health, and property.'' \1\
---------------------------------------------------------------------------
\1\ 16 U.S.C. 803(c).
---------------------------------------------------------------------------
2. Since early 2017, the Commission has solicited, received, and
reviewed expert opinions on the structure and implementation of the
Commission's dam safety program, particularly the provisions for
independent consultants' safety inspections required under part 12,
subpart D of the Commission's regulations.\2\ These independent
consultant safety inspections, commonly referred to as part 12
inspections, are facilitated by licensees and are in addition to the
dam safety inspections conducted by Commission staff.
---------------------------------------------------------------------------
\2\ 18 CFR pt. 12 (2021).
---------------------------------------------------------------------------
3. To address expert recommendations on the part 12 inspection
process, and to codify guidance issued by the Commission's Office of
Energy Projects, Division of Dam Safety and Inspections (D2SI) over the
past several years, the Commission is revising its dam safety
regulations found in Title 18, part 12 of the Code of Federal
Regulations. In this final rule, the Commission is revising part 12 by
replacing subpart D in its entirety, adding new subpart F, and making
minor revisions to subparts A, B, C, and E, as further described below.
I. Background
4. Section 10(c) of the FPA requires licensees, in pertinent part,
to ``maintain the project works in a condition of repair adequate . . .
for the efficient operation of said works in the development and
transmission of power,'' to ``make all necessary renewals and
replacements,'' and to ``conform to such rules and regulations as the
Commission may from time to time prescribe for the protection of life,
health, and property.'' \3\
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\3\ 16 U.S.C. 803(c).
---------------------------------------------------------------------------
5. Pursuant to FPA section 10(c), on December 27, 1965, the
Commission's predecessor agency, the Federal Power Commission (FPC), in
Order No. 315, promulgated regulations that require licensees to
provide complete safety inspections of licensed water power project
works by independent consultants at five-year intervals, or more
frequently if necessary.\4\ Order No. 315 was intended to supplement
D2SI staff's inspections of project works with detailed periodic
inspections overseen by an independent consultant.\5\
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\4\ Hydroelectric Licensed Projects--Inspections to Insure Safe
Operation, Order No. 315, 34 FPC 1551 (1965).
\5\ Id.
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6. On January 21, 1981, the Commission issued Order No. 122 to
consolidate the Commission's orders, regulations, and practices
relating to
[[Page 1491]]
project safety under part 12 of the Commission's rules and to revise
the existing project safety inspection regulations.\6\ The Commission's
rules related to independent consultant safety inspections have not
been substantially revised or amended since 1981.
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\6\ Water Power Projects and Project Works Safety, Order No.
122, 46 FR 9029 (Jan. 28, 1981), FERC Stats. & Regs. ] 30,225 (1981)
(cross-referenced at 14 FERC ] 61,041).
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7. To ensure that the Commission's dam safety program remains
current with the evolving nature of the dam safety field, D2SI staff
issues, and periodically updates, Engineering Guidelines for the
Evaluation of Hydropower Projects (Engineering Guidelines).\7\ D2SI
staff has also augmented the part 12 inspection process over the years
by adding additional inspection components (e.g., the Potential Failure
Mode Analysis, the Supporting Technical Information Document, and the
Dam Safety Surveillance and Monitoring Program and Report).
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\7\ D2SI's Engineering Guidelines are available on the
Commission's website at https://www.ferc.gov/industries-data/hydropower/dam-safety-and-inspections/eng-guidelines.
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8. In June 2002, D2SI began a licensee pilot program for conducting
a Potential Failure Mode Analysis \8\ as a component of a part 12
inspection and issued for comment a draft Chapter 14 of the Engineering
Guidelines, which would guide licensees in performing this type of dam
safety analysis. In April 2003, D2SI issued a final Chapter 14 of the
Engineering Guidelines and required a Potential Failure Mode Analysis
to be performed during all part 12 inspections. Consistent with this
requirement, licensees have conducted over a thousand Potential Failure
Mode Analyses. The Commission is codifying the Potential Failure Mode
Analysis as part of the scope of a part 12 inspection, specifically
during a comprehensive assessment and typically at a 10-year interval.
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\8\ A Potential Failure Mode Analysis is a method to evaluate
the various ways a dam and its components could possibly fail.
Generally, this involves identifying possible failure scenarios and
evaluating those factors that could make the failure mode scenario
more or less likely to occur. Next, the significance of each
potential failure mode is determined and a prioritized plan is
developed to address the most significant potential failure modes.
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9. On December 14, 2005, the upper reservoir of the Taum Sauk
Hydroelectric Project No. 2277, a pumped storage project, was
overtopped during the final pumping cycle, causing a breach of the
upper reservoir which released over 1 billion gallons of water,
resulting in personal injury and significant environmental and property
damage.\9\ Following the December 2005 failure of Taum Sauk Dam, D2SI
began requiring licensees to develop and maintain an Owner's Dam Safety
Program, with the goal of ensuring that licensees have a robust and
focused dam safety program to protect public safety, the environment,
and project facilities. In August 2012, D2SI staff required all owners
of high and significant hazard potential dams \10\ to submit an Owner's
Dam Safety Program.\11\ The Commission is codifying this requirement by
adding a new subpart F to the Commission's part 12 regulations.
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\9\ More information about the Taum Sauk Dam Breach Incident can
be found on the Commission's website at https://www.ferc.gov/industries-data/hydropower/dam-safety-and-inspections/taum-sauk-pumped-storage-project-p-2277-dam.
\10\ Hazard potential is a classification based on the potential
consequences in the event of failure or misoperation of the dam,
canal, or water conveyance, and is subdivided into categories (e.g.,
Low, Significant, High). High hazard potential generally indicates
that failure or misoperation of the project work will probably cause
loss of human life. Significant hazard potential and low hazard
potential generally indicate that failure or misoperation will
probably not cause loss of human life but may have some amount of
economic, environmental, or other consequences. Hazard
classifications are based solely on the consequences of dam failure
and do not in any way reflect the condition of the rated dams.
\11\ See Commission staff's August 15, 2012 letter to owners of
high and significant hazard potential dams, https://www.ferc.gov/sites/default/files/2020-04/letter-submit-odsp.pdf.
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10. On February 7, 2017, high flows in the Feather River basin
caused the water level in the Feather River Hydroelectric Project No.
2100 reservoir to rise at Oroville Dam and, for the first time in
project history, flow down the emergency spillway, resulting in
extensive erosion and damage to Oroville Dam's main spillway and
emergency spillway area.\12\ This event precipitated the evacuation of
nearly 188,000 residents from the town of Oroville and from other
downstream communities north of Sacramento, California. Following the
February 2017 Oroville Dam spillway incident, the Commission required
the project licensee, California Department of Water Resources
(California DWR), to convene a team of independent, third-party
consultants to complete a forensic analysis to determine the cause of
the incident.\13\ The Oroville Independent Forensic Team Report
documented the team's findings, conclusions, and recommendations.\14\
Several of the Oroville Independent Forensic Team's observations
related to potential areas for improvement in the Commission's dam
safety program, particularly the part 12 inspection process.
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\12\ More information about the Oroville Dam spillway incident
can be found on the Commission's website at https://cms.ferc.gov/industries-data/hydropower/dam-safety-and-inspections/oroville-dam-service-spillway-p-2100.
\13\ See Commission staff's letter to California DWR regarding
the emergency repair and board of consultants for Oroville Dam
spillway, Project No. 2100 (Feb. 13, 2017), https://cms.ferc.gov/sites/default/files/2020-04/Orovilledam.pdf.
\14\ Independent Forensic Team Report, Oroville Dam Spillway
Incident (Jan. 5, 2018), https://damsafety.org/content/oroville-independent-forensic-team-releases-final-investigative-report.
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11. Separately, the Commission convened a FERC After Action Panel
to review and evaluate the Commission's dam safety program in the
months following the Oroville Dam spillway incident. The D2SI
Director's mandate to the FERC After Action Panel was to: ``review
project documents and history for Oroville Dam . . . .;'' ``review the
performance of the FERC dam safety program at the Oroville Dam Project,
which includes both work and actions by FERC staff, and the program
requirements on the dam owner, such as the [p]art 12 process, the
[Potential Failure Mode Analyses] process, the Instrumentation and
Monitoring Program, and Owners Dam Safety Program . . . .;'' ``make
conclusions regarding any shortcomings in the FERC dam safety program
implementation at Oroville Dam;'' and if shortcomings are identified,
recommend ``improvement or changes to the FERC dam safety program to
ensure that future incidents like Oroville can be avoided.'' \15\
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\15\ See FERC After Action Panel Assessment of Oroville Spillway
Incident Causes and Recommendations to Improve Effectiveness of the
FERC Dam Safety Program (Nov. 23, 2018), https://www.ferc.gov/sites/default/files/2020-04/reportdamsafety.pdf.
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12. The FERC After Action Panel Report documented several
shortcomings of the Commission's dam safety program with respect to its
implementation at the Oroville Dam Project, and recommended several
improvements to the part 12 inspection process that could increase the
likelihood that design and operational deficiencies are detected in
advance of a major incident.
13. In light of the Oroville Independent Forensic Team Report and
the FERC After Action Panel Report findings, the desire to codify
existing dam safety guidance, and the Commission's authority under FPA
section 10(c) to promulgate rules protecting life, health, and
property, the Commission is revising its part 12 dam safety
regulations, as discussed further below.\16\
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\16\ The May 2020 failures of the Edenville and Sanford Dams in
Michigan have resulted in substantial hardship and economic damage.
A forensic investigation is being undertaken to understand the root
causes of those failures. The NOPR was substantially complete prior
to the Michigan dam failures and was not intended to address any
findings or recommendations that may result from the forensic
investigation. The Commission will review the findings once the
investigation is complete.
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[[Page 1492]]
II. Notice of Proposed Rulemaking
14. On July 16, 2020, the Commission issued a Notice of Proposed
Rulemaking proposing to revise its part 12 regulations to incorporate
two tiers of independent consultant safety inspections, codify existing
guidance on developing owner's dam safety programs and public safety
plans, modify public safety incident reporting requirements, and make
various minor revisions throughout part 12.\17\ The Commission received
16 comment letters in response to the NOPR.\18\ Comments were submitted
by licensees and individuals, some as part of submissions from trade
associations, including the National Hydropower Association (NHA) and
the Dam Safety Interest Group of CEATI International (CEATI).\19\ The
Commission has considered all comments in formulating the final rule.
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\17\ Safety of Water Power Projects and Project Works, 85 FR
45,032 (July 24, 2020), 172 FERC ] 61,061 (2020) (NOPR).
\18\ The following entities filed comments on the NOPR: Central
Nebraska Public Power and Irrigation District; Wisconsin Power and
Light Company; Alaska Electric Light and Power Company; Copper
Valley Electric Association; City of North Little Rock Electric;
Alaska Power Association; National Hydropower Association; United
States Society on Dams; CEATI International, Dam Safety Interest
Group; American Association for Laboratory Accreditation; Hydropower
Reform Coalition; Sierra Club; Michigan Department of Environment,
Great Lakes, and Energy; Schnabel Engineering, Inc.; David L.
Mathews; and U.S. Senator Lisa Murkowski. Some of these comments,
such as those filed by American Association for Laboratory
Accreditation, Hydropower Reform Coalition, and Sierra Club, raise
issues that are outside the scope of this rulemaking proceeding and
are not addressed further in this final rule.
\19\ NHA and NextEra Energy Resources, LLC, each filed motions
to intervene in Docket No. RM20-9-000. Intervention is not necessary
in order to request rehearing of a rulemaking. See, e.g., Limiting
Authorizations to Proceed with Construction Activities Pending
Rehearing, Order No. 871-B, 86 FR 26150 (May 13, 2021), 175 FERC ]
61,098, at n.14 (2021). Accordingly, these motions are unnecessary.
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III. Engineering Guidelines
15. The Commission is also in the process of updating its
Engineering Guidelines by adding new Chapters 15 through 18. On July
16, 2020, concurrently with issuance of the NOPR, the Commission
solicited public review and comment by issuing the new guidelines in
draft format in four separate advisory dockets accessible on the
Commission's eLibrary website. Chapter 15, in Docket No. AD20-20-000,
provides licensee guidance for developing and maintaining a Supporting
Technical Information Document.\20\ Chapter 16, in Docket No. AD20-21-
000, provides licensee guidance on the scope of the part 12D
independent consultant inspection program. Chapter 17, in Docket No.
AD20-22-000, provides licensee guidance for conducting a Potential
Failure Mode Analysis. Chapter 18, in Docket No. AD20-23-000, provides
licensee guidance for conducting a Level 2 Risk Analysis. Entities that
filed comments on the draft chapters included: Licensees, consultants,
and other individuals through trade and other professional societies
including the United States Society on Dams, NHA, and CEATI. The U.S.
Army Corps of Engineers (Corps) also submitted comments. The Commission
has considered all comments in finalizing Chapters 15 through 18 of the
Engineering Guidelines. The final versions of these chapters are
available on the FERC Division of Dam Safety and Inspections
website.\21\
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\20\ As explained in Chapter 15 of the Engineering Guidelines,
the Supporting Technical Information Document is a ``living''
document that serves as a compendium of existing project
information, including information about a project's design,
construction history, operating procedures, and engineering
analyses.
\21\ Available at https://www.ferc.gov/industries-data/hydropower/dam-safety-and-inspections/eng-guidelines.
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IV. Discussion
16. As explained in the NOPR, the Commission evaluated potential
revisions to its part 12 regulations by considering the findings of the
Oroville Independent Forensic Team and FERC After Action Panel;
reviewing the inspection practices of other Federal agencies
responsible for ensuring the safety of a large number of dams,
including those of the Bureau of Reclamation (Reclamation) \22\ and the
Corps; \23\ and reviewing the Federal Emergency Management Agency's
(FEMA) Federal Guidelines for Dam Safety.\24\
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\22\ Reclamation, Review/Examination Program for High and
Significant Hazard Dams (Sept. 2018), https://www.usbr.gov/recman/fac/fac01-07.pdf.
\23\ Corps, Safety of Dams--Policy and Procedures (Mar. 2014),
https://www.publications.usace.army.mil/Portals/76/Publications/EngineerRegulations/ER_1110-2-1156.pdf.
\24\ FEMA, Federal Guidelines for Dam Safety (Apr. 2004),
https://www.fema.gov/sites/default/files/2020-08/fema_dam-safety_P-93.pdf (FEMA Dam Safety Guidelines).
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17. In addition to making various minor revisions and updates to
our part 12 regulations, this final rule accomplishes four overarching
objectives that are integral to strengthening the Commission's dam
safety program and addressing shortcomings identified by the forensic
investigations that followed the Oroville Dam spillway incident. First,
the final rule implements two tiers of part 12 independent consultant
safety inspections, in addition to Commission staff's regular
inspections. The two-tier structure includes two types of inspections:
a comprehensive assessment and a periodic inspection. Each type of
inspection will be performed at a 10-year interval, with the periodic
inspection occurring midway between comprehensive assessments. The two-
tier inspection structure retains the current five-year interval
between part 12 inspections and mirrors FEMA's recommendation that
formal inspections be conducted at intervals not to exceed five
years.\25\ The alternating two-tier structure is similar to those used
by Reclamation and the Corps. Because the existing five-year interval
between part 12 inspections remains the same, the revised regulations
do not increase the likelihood that undiscovered safety issues will
persist for longer periods of time. The comprehensive assessment
requires a more in-depth review than the current part 12 inspection,
formally incorporates the existing Potential Failure Mode Analysis
process, and requires a semi-quantitative risk analysis, as recommended
by the Oroville Independent Forensic Team and FERC After Action Panel.
The periodic inspection is narrower in scope than the current part 12
inspection and focuses primarily on the performance of project works
between comprehensive assessments.
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\25\ Id. at 42.
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18. Second, the final rule changes the process by which D2SI
reviews and evaluates the qualifications of independent consultants
that conduct part 12 inspections. Currently, Sec. 12.34 of the
Commission's regulations requires the licensee to submit to the
Director of D2SI for approval a resume describing the independent
consultant's experience.\26\ FEMA recommends that ``the inspection team
should be chosen on a site-specific basis considering the nature and
type of dam . . . [and] should comprise individuals having appropriate
specialized knowledge in structural, mechanical, electrical, hydraulic,
and embankment design; geology; concrete materials; and construction
procedures.'' \27\
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\26\ 18 CFR 12.34.
\27\ FEMA Dam Safety Guidelines at 42.
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19. Accordingly, the process adopted in the final rule requires
licensees to submit to the Director of D2SI an independent consultant
team proposal,
[[Page 1493]]
comprising one or more independent consultants and additional
engineering or scientific personnel, as needed, which must demonstrate
that the members of that team possess an appropriate level of expertise
for the specific project under consideration. This change reflects the
reality that, for many of the projects under the Commission's
jurisdiction, a single independent consultant will not possess the
appropriate degree and diversity of technical proficiency necessary to
evaluate all aspects of the project. The current requirement that an
independent consultant be a licensed professional engineer with a
minimum of 10 years' experience in ``dam design and construction and in
the investigation of the safety of existing dams'' is retained, but
will apply only to the designated independent consultants, and not to
other supporting members of the independent consultant team.\28\
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\28\ 18 CFR 12.31(a).
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20. Third, the final rule codifies existing guidance related to the
Owner's Dam Safety Program. Currently, the Commission's part 12
regulations do not explicitly require a licensee to develop an Owner's
Dam Safety Program. However, Sec. 12.4 of our existing regulations
provides that the Commission may require an applicant or licensee to
submit reports or information on any condition affecting the safety of
the project.\29\ Since the initial request for an Owner's Dam Safety
Program in August 2012,\30\ approximately 250 have been developed by
licensees and submitted to the Commission. This final rule codifies the
requirement that licensees of one or more high or significant hazard
potential dams \31\ must prepare, maintain, file with the Commission,
and periodically review and update an Owner's Dam Safety Program.
Licensees must designate a person responsible for overseeing day-to-day
implementation of the dam safety program.
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\29\ 18 CFR 12.4(b)(2)(ii)(B).
\30\ See supra P 9.
\31\ See supra note 10 (defining high hazard and significant
hazard potentials).
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21. Fourth, the final rule modifies licensee reporting and
preparedness requirements related to public safety at or near
hydroelectric projects. Currently, licensees are required to install
and maintain public safety devices and to report deaths or serious
injuries at their projects.\32\ The final rule revises the definition
of a ``project-related'' incident to clarify that licensees are
required to report those public safety incidents that are related to
project operation; to report rescues in addition to deaths and serious
injuries; and to prepare, maintain, and submit a public safety plan to
D2SI, which is the current practice required by existing D2SI guidance.
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\32\ See 18 CFR 12.10(b) (death or serious injury reporting) and
12.42 (warning and safety devices).
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22. A section-by-section analysis, describing the proposal set
forth in the NOPR, the comments received on the NOPR, and the
Commission's determinations, follows.
A. Review, Inspection, and Assessment by Independent Consultants
23. In response to the findings and recommendations in the Oroville
Independent Forensic Team Report and FERC After Action Panel Report,
the Commission is revising its regulations under 18 CFR part 12,
subpart D, to enhance the program for independent consultant
inspections. The regulations adopted here will replace existing subpart
D in its entirety. Due to the final rule's implementation of two tiers
of part 12 inspections (periodic inspections and comprehensive
assessments), subpart D will now include Sec. Sec. 12.30 through
12.42, which results in changes to the numbering of subpart E (existing
Sec. Sec. 12.40 through 12.44 will become Sec. Sec. 12.50 through
12.54).
1. Section 12.30--Applicability
24. Section 12.30 establishes the applicability of subpart D's
independent consultant inspection requirement and identifies three
conditions that result in a project being subject to the provisions of
subpart D. Subpart D currently applies to any project development that
has a dam: (1) Greater than a specified height; (2) with an impoundment
exceeding a specific gross storage capacity; or (3) that has a high
hazard potential and is determined by the Regional Engineer to require
inspection by an independent consultant. Although the subpart D
regulations could be interpreted as only applying to dams, D2SI has in
practice applied the requirements of this subpart to those portions of
canals and penstocks judged to have a high hazard potential and this
rule adopts that interpretation.
25. The NOPR proposed revisions to Sec. 12.30 to align subpart D's
applicability with existing D2SI practices and to make clear that the
provisions of subpart D apply to project works other than dams and
could apply to projects that do not have a dam. Specifically, the
Commission proposed revisions to Sec. 12.30 to clarify that while the
existing height and storage thresholds apply only to project
developments with a dam, the high hazard potential criterion applies to
all project works (i.e., if any portion of a project work has a high
hazard potential, the project development would be subject to subpart
D). Additionally, as revised, subpart D would apply to a project
development if the Regional Engineer or other Commission representative
determines that an inspection is required for reasons not listed. For
example, the Regional Engineer may conclude that an independent
consultant inspection is warranted for a project that is otherwise not
subject to subpart D where the dam or other project work poses
significant safety concerns.
26. Certain commenters suggested that further distinction should be
made to distinguish the requirements for low hazard potential works and
high hazard potential works within a licensed project development that
is subject to part 12.\33\ NHA also suggested that recreational access
to project lands should be excluded from the consideration of the
hazard potential or that the applicability of this revision should be
narrowed.\34\ CEATI asked for clarity regarding who is considered an
``other authorized Commission representative'' as that term is used in
Sec. 12.30(c).\35\
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\33\ See, e.g., CEATI's September 9, 2021 Comments at 5 (CEATI
Comments); NHA's September 22, 2021 Comments at 4 (NHA Comments).
\34\ See NHA Comments at 4.
\35\ CEATI Comments at 5.
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27. All project works function as a system. Even low hazard
potential project works have the potential to adversely impact high
hazard potential works; therefore, as has been D2SI's current practice,
low hazard potential works of projects meeting the applicability
provisions of Sec. 12.30 must also meet the requirements of subpart D.
This is not a change from the interpretation of the existing
regulations, but rather a clarification. Regarding the second comment,
as is current practice in evaluating downstream hazard potential, high
usage areas of any type, including recreational areas, should be
considered in determining hazard potential.\36\ Last, Sec. 12.30(c)'s
use of the term ``other authorized Commission representative'' is
consistent with Sec. 12.3(b)(3), which defines ``authorized Commission
representative'' as the Director of the Office of Energy Projects, the
Director of D2SI, the Regional Engineer, or any
[[Page 1494]]
other member of the Commission staff whom the Commission may
specifically designate. Apart from updating cross references within
part 12 and a minor clarifying edit, no substantive revisions were made
to this section following the NOPR.
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\36\ See FEMA Dam Safety Guidelines supra note 24. Consistent
with FEMA guidance, high usage areas of any type should be
considered appropriately in evaluating hazard potential and it has
been D2SI's practice to consider the implications of recreation use
on hazard potential.
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2. Section 12.31--Definitions
28. Current Sec. 12.31 defines ``independent consultant,'' ``high
hazard potential,'' ``height above streambed,'' and ``gross storage
capacity'' for the purposes of the provisions of subpart D. Section
12.31 also provides the D2SI Director the authority to grant a waiver
from the 10-year experience requirement in the definition of
independent consultant.
29. The NOPR proposed revisions to Sec. 12.31 to update the
definition of an ``independent consultant'' and to add definitions for
the terms ``independent consultant team,'' ``periodic inspection,'' and
``comprehensive assessment.''
30. Our regulations currently define ``independent consultant'' as
a licensed professional engineer, with at least ten years of experience
and expertise related to dams, who is not, and has not been within two
years, an employee of the licensee or its affiliates or an agent acting
on behalf of the licensee. As proposed in the NOPR, the revised
definition of ``independent consultant'' would retain the licensure and
10-year experience requirements. However, the restrictions regarding
the professional relationship between the independent consultant and
licensee would be separated into three separate elements, requiring
that an independent consultant: (1) Is not an employee of the licensee
or its affiliates; (2) has not been an employee of the licensee or its
affiliates within two years prior to performing a periodic inspection
or comprehensive assessment; and (3) has not been an agent acting on
behalf of the licensee or its affiliates before performing services
under this part.\37\ The NOPR explained that the Commission intends to
narrowly apply this restriction, with a primary goal of ensuring that
independent consultants are not responsible for reviewing work to which
they contributed substantially.
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\37\ Because the circumstances will vary and require evaluation
by Commission staff on a case-by-case basis, the definition proposed
in the NOPR and adopted in this final rule does not attempt to set
specific thresholds for scope or duration of services. Chapter 16 of
the guidelines provides examples of the type of information
Commission staff will consider when making these determinations.
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31. The NOPR also proposed to define ``independent consultant
team'' as comprising one or more independent consultants and additional
engineering and scientific personnel, as needed. Collectively, the
independent consultant team must have expertise commensurate with the
scale, complexity, and relevant technical disciplines of the project
and type of review being performed (periodic inspection or
comprehensive assessment). As the NOPR explained, this approach ensures
that each inspection and review is conducted by qualified personnel
such that the Commission can reasonably expect that potential issues
relating to project safety or stability will be identified. The
Commission intends to place greater emphasis on the qualifications of
the personnel on an independent consultant team, and their collective
experience and expertise, for comprehensive assessments compared to
periodic inspections; projects with higher consequences or total
project risk; projects with a greater number of, or more technically
diverse or challenging, project works; and projects with a history of
unusual or adverse performance. Currently, Sec. 12.34 requires
licensees to submit resumes for independent consultants for Commission
approval. As further discussed below, the final rule revises Sec.
12.34 to require licensees to submit an independent consultant team
proposal for the Director of D2SI's approval.
32. Commenters requested clarification of the definition of an
independent consultant team and asked that the 10-year experience
requirement be limited to just the independent consultant and not the
entire team.\38\ Some commenters expressed general concern about the
relatively limited pool of qualified independent consultants,\39\ and
that the provisions on independence might disqualify those who have
performed prior work on the project.\40\ CEATI recommended that the
reference to qualified dam design and construction personnel should be
broadened to include other critical project works such as penstocks,
gates, and other structures.\41\
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\38\ See, e.g., NHA Comments at 4; CEATI Comments at 6; Central
Nebraska Public Power and Irrigation District's September 22, 2020
Comments at 1-2 (Central Nebraska Comments).
\39\ See, e.g., NHA Comments at 4; CEATI Comments at 6; Central
Nebraska Comments at 1-2; Wisconsin Power and Light Company's
September 18, 2020 Comments at 5-7 (Wisconsin Power Comments).
\40\ See, e.g., NHA Comments at 4; CEATI Comments at 6;
Wisconsin Power Comments at 6.
\41\ See CEATI Comments at 7.
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33. Based on the comments received, we revised the definition of
independent consultant team to clarify that the ten-year experience
requirement applies only to the independent consultant and does not
apply to the additional independent consultant team members. The final
rule requires that an independent consultant team must include at least
one independent consultant, as defined in paragraph (a) of this
section, and that supporting team members must meet the requirements of
paragraphs (a)(3) through (a)(5) of this section regarding the
professional relationship between the team member and the licensee. In
addition, former paragraph (i) regarding the granting of a waiver of
the 10-year requirement was relocated to Sec. 12.34 for clarity.
34. In response to the general concerns about the limited pool of
qualified independent consultants or team members, the restrictions
listed in paragraphs (a)(3) through (a)(5) are designed to ensure that
independent consultants and team members are not responsible for
reviewing work to which they substantially contributed. This limiting
provision is essential in ensuring independence of the independent
consultant and independent consultant teams.\42\ Examples of what
constitutes independence is provided in Chapter 16 of the Engineering
Guidelines.\43\ This provision clarifies previous guidance and practice
and in staff's opinion will not reduce the pool of independent
consultants performing this work. On the contrary, the inclusion of
independent consultant team members provides more opportunity to
develop the experience of more junior professionals to be qualified as
future independent consultants. ``Appurtenances'' has been added to the
required expertise of the independent
[[Page 1495]]
consultant team to broaden the experience of the team beyond that of
just the dam.
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\42\ CEATI asks whether a licensee may appeal a determination
under Sec. 12.31(a)(5) of a possible conflict of interest based on
an independent consultant's prior work on a project. CEATI Comments
at 6. As explained in Chapter 16 of the Engineering Guidelines, if
there is a situation that could disqualify an independent consultant
or team member under Sec. 12.31(a)(5), it is the licensee's
responsibility to demonstrate in the inspection plan that any
potential conflict of interest will be avoided. In any event, any
staff action is subject to a request for rehearing, see 18 CFR
385.1902(a), although it is unclear to what extent we would
entertain such an interlocutory matter.
\43\ With respect to the limitation in Sec. 12.31(a)(5) that an
independent consultant has not been ``an agent acting on behalf of
the licensee or its affiliates,'' we do not find it necessary to
define the term ``agent'' as some commenters suggest. See NHA
Comments at 5; CEATI Comments at 6. The term agent is commonly used
to refer to a person with authority to act on another's behalf. As
we have explained, the purpose of the limitation is to ensure the
independent consultant's independence. Chapter 16 of the Engineering
Guidelines provides example scenarios and guidance to help licensees
navigate the independent consultant approval process.
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35. The NOPR proposed and the final rule updates the definition of
``hazard potential'' to ensure consistency with FEMA's Hazard Potential
Classification System for Dams,\44\ and relocates the definition of
``high hazard potential'' to Sec. 12.3(b)(13)(i).\45\ The updated
definition applies to dams, canals, and other water conveyances, or any
portion thereof. The final rule further defines ``significant hazard
potential'' and ``low hazard potential classifications'' in Sec. Sec.
12.3(b)(ii) and (iii).
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\44\ See FEMA, Federal Guidelines for Dam Safety: Hazard
Potential Classification System for Dams (Apr. 2004), https://www.ferc.gov/sites/default/files/2020-04/fema-333.pdf (FEMA Hazard
Potential Classification System).
\45\ See infra P 123.
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36. The NOPR also proposed and the final rule in Sec. 12.31
includes definitions for ``periodic inspection'' and ``comprehensive
assessment.'' No further revisions were made to this section following
the NOPR.
3. Section 12.32--General Inspection Requirement
37. Existing Sec. 12.32 requires that an independent consultant
perform a periodic inspection of the project works of each
development,\46\ subject to the provisions of subpart D.
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\46\ Development means that part of a project comprising an
impoundment and its associated dams, forebays, water conveyance
facilities, power plants, and other appurtenant facilities. A
project may comprise one or more developments. 18 CFR 12.3(b)(7).
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38. The NOPR proposed to retain the general requirement that an
independent consultant inspection be performed, to revise Sec. 12.32
to incorporate the terms ``periodic inspection'' and ``comprehensive
assessment,'' and to require the filing of a report following each type
of inspection. The NOPR also proposed to relocate the general
requirement to file an inspection report from existing Sec. 12.37 to
revised Sec. 12.32.
39. Commenters requested that ``generating equipment'' be added to
the list of project works excluded from inspections and further clarity
be provided to distinguish between the inspection requirements for high
hazard potential and low hazard potential project works.\47\ Generating
equipment is a critical element in the passage and discharge of water
through a powerhouse. Because the failure of generating equipment to
pass discharge can result in operational and life safety concerns, it
is imperative that generating equipment be inspected for mechanical
reliability and operational concerns. Therefore, we decline to revise
Sec. 12.32 to add generating equipment to the list of project works
excluded from inspections. The subject of inspection requirements for
high and low hazard potential project works is discussed in Sec. 12.30
above. No revisions to the section were made based on this comment. The
final rule eliminates two general references to the Engineering
Guidelines from this section and adds a sentence to clarify that the
licensee must ensure that the independent consultant team's report
complies with all the requirements set forth in subpart D.
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\47\ See NHA Comments at 5-6.
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4. Section 12.33--Exemption
40. Existing Sec. 12.33 grants the Director of D2SI the authority
to exempt projects from the provisions of subpart D for good cause and
provides an example of what may constitute good cause. At the Director
of D2SI's discretion, the exemption may be granted in perpetuity or may
require periodic reevaluation of the exemption justification (e.g., by
reviewing and confirming that the project has a low hazard potential).
41. The NOPR, which in Sec. 12.33(a) retained the Director of
D2SI's authority to exempt projects from subpart D, proposed revisions
to Sec. 12.33(b) to update the example of good cause to include canals
and other water conveyances. In addition, the NOPR proposed in Sec.
12.33(c) to rescind any exemption from subpart D that was issued prior
to the effective date of this rule. Existing subpart D exemptions have
been granted over several decades and, as the state of the practice of
dam safety has evolved, have not been reconsidered consistently. For
this reason, the NOPR contemplated that an entity desiring a continued
exemption would be required to reapply to ensure that any justification
for a subpart D exemption is reviewed based on the current state of the
practice, considering potential failure modes, consequences, and total
project risk.
42. NHA requested that the Commission reconsider rescinding all
previously approved exemptions from the requirements of subpart D.\48\
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\48\ NHA Comments at 6.
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43. Based on the comments received and after further consideration,
the blanket rescission of all previously approved exemptions has been
removed from the regulations. Instead, we have revised Sec. 12.33 to
clarify that the Director of D2SI, for good cause shown, may rescind a
previously approved exemption from the requirements of subpart D. This
determination will be made on a case-by-case basis. In addition, for
future exemption requests, the Director of D2SI may require the
licensee to complete a comprehensive assessment prior to considering
the exemption request.
5. Section 12.34--Approval of Independent Consultant Team
44. Prior to performing an inspection, existing Sec. 12.34
requires a licensee to submit for the Director of the Office of Energy
Projects' approval a detailed resume for an independent consultant. In
the NOPR, the Commission proposed several revisions to Sec. 12.34 to
address concerns raised in the Oroville Independent Forensic Team
report, the FERC After Action Panel Report, and issues related to
implementation of the existing rule over the past several years.\49\
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\49\ In particular, the improvements to the independent
consultant team approval process include: broadening the composition
of independent consultant team members to include representation
from varied technical disciplines; ensuring thorough review of
project works by qualified individuals with the appropriate
technical disciplines; and performing comprehensive reviews of the
original project design, construction, and subsequent performance.
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45. In Sec. 12.34(a), the NOPR proposed to require licensees to
obtain written approval of the independent consultant team, from the
Director of D2SI instead of the Director of the Office of Energy
Projects, prior to performing a periodic inspection or comprehensive
assessment. While in practice D2SI has granted approval of independent
consultants prior to inspections, the regulation as currently written
does not stipulate that D2SI approval must be obtained.
46. As proposed in the NOPR, Sec. 12.34(b) would require licensees
to submit a detailed independent consultant team proposal to the
Director of D2SI at least 180 days prior to performing a periodic
inspection or comprehensive assessment. This involves two primary
changes. As we explained in the NOPR, while the current text of Sec.
12.34(b) requires licensees to submit an independent consultant's
detailed resume 60 days in advance, increasing the submittal time to
180 days in advance does not represent a change in practice. D2SI staff
routinely issues reminder letters to licensees approximately 18 months
in advance of any inspection required under subpart D, and for several
years has requested that independent consultants' resumes be submitted
six months in advance to ensure that all parties are aware of their
roles and responsibilities, and have sufficient time to prepare for the
inspection. The
[[Page 1496]]
final rule codifies D2SI's current practice.
47. Second, existing Sec. 12.34 requires that resumes be submitted
only for any independent consultant, to demonstrate that they meet the
requirements provided in Sec. 12.31. In the NOPR, we proposed
revisions to Sec. 12.34(b) directing licensees to submit documentation
of the experience and qualifications for all members of the independent
consultant team, including one or more independent consultants and
additional contributing members, as needed. This change will allow
Commission staff to more fully evaluate the independent consultant
team's experience and ensure it is commensurate to the scale,
complexity, and technical disciplines of the project and type of review
being performed. The Commission intends to require a higher level of
experience and expertise for a comprehensive assessment than a periodic
inspection, due to the broader scope of the comprehensive assessment.
48. The NOPR proposed changes to Sec. 12.34(c) that would permit
the Director of D2SI to disapprove of an independent consultant team
member, regardless of demonstrated experience and qualifications, for
good cause, such as having a report rejected by the Commission within
the preceding five years. This provision allows the Commission to
ensure that independent consultants' inspections are performed by
qualified parties.
49. In response to the NOPR, commenters requested further clarity
on: (1) The independent consultant team proposal information that
should be provided in the inspection plan; (2) grounds for disapproval
of an independent consultant; and (3) the timing for submitting the
inspection plan.\50\
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\50\ See, e.g., NHA Comments at 7; CEATI Comments at 8-9.
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50. Based on comments received, the final rule further revises
Sec. 12.34 to:
Clarify that the independent consultant team proposal
must identify the technical disciplines and level of expertise
required to perform the inspection and show that each member of the
independent consultant team who is not designated as an independent
consultant meets the requirements of Sec. 12.31(a)(3) through (5);
clarify that the D2SI Director may disapprove an
individual who is identified as the independent consultant in the
independent consultant team proposal, and that grounds for
disapproval may include rejection by the Commission of one or more
reports on an inspection under this subpart within the preceding
five years;
clarify that the 180-day timing is measured from the
scheduled date of the field inspection or other designated activity
such as a Potential Failure Mode Analysis or risk analysis;
add a requirement that the independent consultant team
proposal clearly delineate team members' roles and responsibilities
to ensure no team member will be responsible for reviewing and
evaluating their own previous work on the project;
add a requirement that if required information about
any supporting team member is not available at the time of the
independent consultant team proposal, the missing information must
be included in the preliminary report required by Sec. 12.42;
clarify that written approval of the facilitator(s) of
the Potential Failure Mode Analysis or risk analysis must also be
obtained; and
relocate information on granting of a waiver of the 10-
year requirement from Sec. 12.32 to Sec. 12.34 for clarity.
6. Section 12.35--Periodic Inspection
51. Existing Sec. 12.35 establishes the scope of the independent
consultant's inspection. In the NOPR, the Commission proposed to revise
Sec. 12.35 in its entirety such that it establishes the scope of a
periodic inspection, the less intensive of the two tiers of part 12
inspections.
52. The final rule adopts this change. As revised, Sec. 12.35
establishes the scope of a periodic inspection, which includes review
of prior reports, a field inspection, review of the surveillance and
monitoring plan and data, and review of dam and public safety programs.
A periodic inspection has a reduced scope compared to the existing
independent consultant's inspection.
53. In response to the NOPR, commenters recommended: broadening the
scope of the periodic inspection to include a review of the Supporting
Technical Information Document; \51\ adding a review of security
protocols of the operating system to the inspection; \52\ eliminating
the requirement that the independent consultant team must have a full
understanding of all the project works; \53\ and deleting the
requirement for the team to inspect all accessible project works with
no consideration for the risk/hazard potential of the project work.\54\
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\51\ See NHA Comments at 7.
\52\ See CEATI Comments at 10.
\53\ See id.
\54\ See NHA Comments at 7.
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54. Adding a review of the Supporting Technical Information
Document would provide little benefit to the periodic inspection and
would result in increased burden and cost. Adding a review of the
security protocols is outside the scope of a periodic inspection and
would be best handled separately by others with specialized experience.
For these reasons, neither recommendation was incorporated into the
scope of a periodic inspection.
55. Eliminating the requirement for the independent consultant team
to have a full understanding of the project works would negate the
team's ability to adequately understand the technical and operational
aspects of the project and therefore be unable to provide meaningful
observations, conclusions, and recommendations from the inspection.
Limiting the inspection to only those project works that are considered
high risk or high hazard would be subjective, could overlook project
works whose potential hazard or risk could change over time, and would
result in an incomplete inspection and assessment of the project works.
The final rule adds a sentence to Sec. 12.35(a) to clarify that it is
the licensee's responsibility to provide to the independent consultant
team all information and reports necessary to fulfill the requirements
of this section. In addition, a few minor revisions for clarity were
made to this proposed section following the NOPR.\55\
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\55\ Section 12.35(a), which requires the independent consultant
team to review prior reports ``to have, at the time of the periodic
inspection, a full understanding of the . . . downstream hazard . .
. of the project works'' was revised to add ``upstream and
downstream hazard.'' Section 12.35(d)(3), addressing review of dam
and public safety programs, was revised to specify review of
``public access restrictions.''
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7. Section 12.36--Report on Periodic Inspection
56. Existing Sec. 12.36 deals with emergency corrective measures.
As discussed further below,\56\ the NOPR proposed to combine the
requirements for emergency corrective measures contained in existing
Sec. 12.36 and the requirements for corrective measures after the
report as outlined in existing Sec. 12.39 under a single ``corrective
measures'' heading in Sec. 12.41.
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\56\ See infra PP 93-96.
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57. As proposed in the NOPR, new Sec. 12.36 establishes the
requirements for the periodic inspection report, which serves a similar
purpose to existing Sec. 12.37 (report of the independent consultant)
with several notable changes. Existing Sec. 12.37(b) currently
requires initial reports filed under subpart D to include general
project information (e.g., project descriptions, maps, design summary
information, geologic information) and allows licensees to incorporate
by reference existing information and analyses contained in previously-
prepared independent consultant reports (existing Sec. 12.37(b)(2)).
The final rule eliminates
[[Page 1497]]
the practice of differentiating between initial and subsequent reports
and will require every periodic inspection report to meet the same
standard, without relying on the practice of incorporating by reference
information or analyses contained in earlier reports.
58. Section 12.36(b) of the final rule lists specific evaluations
that must be documented in a periodic inspection report. These pertain
to the surveillance, monitoring, and performance of the project, with a
focus on whether any potential failure modes, previously identified or
not, are active, developing, or warrant further evaluation at the time
of the periodic inspection.
59. As proposed in the NOPR, the final rule eliminates the
provisions that previously allowed independent consultants to
incorporate the previous independent consultant's report by reference
and document only information that has changed since the previous
report. Section 12.36(c) provides a list of items which require a
status update and an evaluation of any changes since the previous
inspection.
60. Existing provisions in Sec. Sec. 12.37(c)(4) through (8) are
retained in Sec. Sec. 12.36(d) through (h) with minor changes to
ensure consistency with other revisions.
61. In response to the NOPR, commenters sought clarity on the
independent consultant team's review and assessment of previous
engineering analyses and reports.\57\ Specifically, commenters
questioned whether independent consultants may, after reviewing
previous reports, conclude that they concur with the analyses and
results and that the content of the previous reports need not be
recreated. In addition, certain commenters, such as CEATI and Central
Nebraska, advocated for the removal of paragraph (b)(5)(iii), which
would require the independent consultant team to review the adequacy of
the Owner's Dam Safety Program.\58\ Central Nebraska and NHA reiterated
similar concerns with respect to the independent consultant team's
review of the Public Safety Plan, noting that the review should be
limited to the licensee's compliance with the plan rather than a review
of the plan's adequacy.\59\
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\57\ See, e.g., CEATI Comments at 10; Central Nebraska Comments
at 2.
\58\ See CEATI Comments at 11; Central Nebraska Comments at 2;
see also NHA Comments at 7 (expressing concern that the scope of the
periodic inspection includes review of the Owner's Dam Safety Plan
and Public Safety Plan).
\59\ See Central Nebraska Comments at 2; NHA Comments at 7.
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62. In reviewing and assessing previous engineering analyses and
reports, the independent consultant team's summary must not simply
state that the team agrees with the report findings, but instead must
provide a clear rationale or basis for why the team agrees with the
report findings. The independent consultant team's review of the
Owner's Dam Safety Program, a required component of the periodic
inspection (as well as the comprehensive assessment) is not the same as
the external audit of the Owner's Dam Safety Program described in Sec.
12.65.\60\ For the purposes of the periodic inspection or comprehensive
assessment, the Owner's Dam Safety Program review is intended to
provide the independent consultant team an opportunity to provide their
observations and findings from their interactions with the licensee
staff (e.g., managers, dam safety engineers, and operators) related to
the licensee's implementation of and compliance with its Owner's Dam
Safety Program at the particular project being inspected.\61\ The same
is true of the independent consultant team's review of the Public
Safety Plan. The final rule revises this section to specify that the
report must be sealed with a professional engineer's seal (Sec.
12.36(h)), to delete informational references to the Engineering
Guidelines, and to incorporate other minor edits. No other substantive
revisions were made to this proposed section following the NOPR.
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\60\ The purpose of the external audit or peer review is to
provide a holistic review of the Owner's Dam Safety Program by
evaluating its efficacy across the owner's portfolio of projects to
which the program applies. This review is to be conducted every five
years and should focus on the owner's corporate program for dam
safety, including, but not limited to, communication, training, and
organizational structure and risk reduction strategies intended to
foster a strong dam safety culture within the owner's organization
as a whole.
\61\ NHA suggests that requiring review of the Owner's Dam
Safety Program as part of the periodic inspection ``could create
significant exposure to liability for an [independent consultant]
who is highly qualified with respect to the technical and
operational aspects of the project, but not with respect to
evaluating organizational programs and effectiveness.'' NHA Comments
at 7. However, in Commission staff's experience this has not been an
issue.
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8. Section 12.37--Comprehensive Assessment
63. Existing Sec. 12.37 establishes requirements for independent
consultant-prepared reports. As discussed elsewhere in this final rule,
the revisions to Sec. Sec. 12.36 and 12.38 incorporate this
information for reports on periodic inspections and comprehensive
assessments, respectively.
64. Section 12.37 of the final rule establishes the scope of a
comprehensive assessment, the more intensive of the two tiers of part
12 inspection. As many components of the comprehensive assessment are
identical to or build upon the periodic inspection, several paragraphs
of this section cross-reference the corresponding periodic inspection
requirements in Sec. 12.35.
65. In addition to those elements required for a periodic
inspection set forth in Sec. 12.35, a comprehensive assessment must
include a review of prior reports and analyses of record, a review of
the Supporting Technical Information Document, a Potential Failure Mode
Analysis, and a risk analysis. A comprehensive assessment has an
expanded scope compared to the existing independent consultant's
inspection. Section 12.37(a)(2) requires the independent consultant
team to perform a more detailed review of existing documentation,
including as-built drawings, monitoring data, and analyses of record,
than required by the current independent consultant's inspection.
66. Section 12.37(f) requires a comprehensive assessment to include
a Potential Failure Mode Analysis, which is already standard practice
for part 12 inspections. D2SI has developed draft Chapter 17 of the
Engineering Guidelines, which describes how to conduct a Potential
Failure Mode Analysis. As discussed above, the Commission has solicited
and received public comments on draft Chapter 17 in Docket No. AD20-22-
00.\62\ The final version of Chapter 17 is available on the FERC
Division of Dam Safety and Inspections website.\63\
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\62\ See supra P 15.
\63\ See supra note 21.
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67. Section 12.37(g) incorporates a semi-quantitative risk analysis
as part of the scope of a comprehensive assessment. Other Federal
agencies, including Reclamation, the Corps, and the Tennessee Valley
Authority, have incorporated this type of analysis into their
systematic comprehensive dam safety reviews. FEMA also provides
recommendations and guidance for the performance of semi-quantitative
risk analysis.\64\ D2SI developed draft Chapter 18 of the Engineering
Guidelines to provide guidance describing the process of, and
procedures for performing, a semi-quantitative risk analysis. As
discussed above, the Commission has solicited
[[Page 1498]]
and received public comments on draft Chapter 18 in Docket No. AD20-23-
00.\65\ The final version of Chapter 18 is available on the FERC
Division of Dam Safety and Inspections website.\66\
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\64\ FEMA, Federal Guidelines for Dam Safety Risk Management
(Jan. 2015), https://www.fema.gov/sites/default/files/2020-08/fema_dam-safety_risk-management_P-1025.pdf.
\65\ See supra P 15.
\66\ See supra note 21.
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68. Section 12.37(g) permits the Regional Engineer to waive the
requirement that a comprehensive assessment must include performance of
a risk analysis. This waiver provision allows the Commission to focus
its efforts on projects that present greater risk to life, health, and
property, and provides flexibility for D2SI staff to gradually phase in
the risk analysis component of a comprehensive assessment, allowing
sufficient time for D2SI staff to develop and deliver training on the
risk analysis procedures to D2SI staff, licensees, and consultants. It
also can provide regulatory relief to licensees, where appropriate.
69. In response to the NOPR, commenters requested clarity on
performing a Potential Failure Mode Analysis,\67\ questioned the
appropriateness of requiring a risk analysis as part of a comprehensive
assessment for owners with a small number of dams,\68\ and commented on
the scope and cost to perform a risk analysis.\69\
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\67\ See, e.g., NHA Comments at 10; CEATI Comments at 11.
\68\ See CEATI Comments at 11.
\69\ See, e.g., NHA Comments at 10; CEATI Comments at 11.
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70. As more fully described in the Engineering Guidelines, the
Potential Failure Mode Analysis is a process used to identify,
describe, and evaluate the credibility and significance of potential
failure modes.\70\ A Potential Failure Mode Analysis is the first step
in conducting a risk analysis, which evaluates significance from a risk
perspective by categorizing potential failure modes by likelihood and
consequence in an effort to prioritize dam safety activities. Chapters
17 and 18 of the Engineering Guidelines provide procedural guidance for
performing a Potential Failure Mode Analysis and a risk analysis for a
comprehensive assessment, respectively.
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\70\ Chapter 17 of the Engineering Guidelines explains that a
potential failure mode is a way that failure could occur and defines
failure, for the purposes of the potential failure mode analysis, as
an uncontrolled release of the reservoir, in whole or in part; the
inability of project works or components to perform their intended
function; or project works or components performing in an impaired
or compromised fashion; any of which results in an adverse
consequence.
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71. As to concerns about requiring a risk analysis as part of a
comprehensive assessment for owners with a small portfolio of dams,
risk is not a function of the number of dams an entity owns. Moreover,
the scope of the risk analysis has been designed so that it may be
tailored to specific project conditions. The guidance in Chapter 18 of
the Engineering Guidelines provides for a scalable approach to
performing the risk analysis depending on the type, complexity, and
size of the project works. Larger and more complex project works will
generally take more effort to analyze than projects with smaller and
less complex works. The appropriate scope of a risk analysis, as well
as associated costs for performing such analysis, have been carefully
considered to provide only that level of effort needed to obtain the
information necessary to prioritize risk measures. The final rule adds
a sentence to Sec. 12.37(a) to clarify that it is the licensee's
responsibility to provide to the independent consultant team all
information, reports, and analyses of record necessary to fulfill the
requirements of this section and deletes informational references to
the Engineering Guidelines. No other substantive revisions were made to
proposed Sec. 12.37 following the NOPR.
9. Section 12.38--Report on Comprehensive Assessment
72. Existing Sec. 12.38 describes the timeline for submitting
reports on an independent consultant's inspection. These requirements
are relocated to Sec. 12.40, discussed below.
73. As proposed in the NOPR, Sec. 12.38 of the final rule
establishes the requirements for the report on a comprehensive
assessment. As with the corresponding section regarding a report on a
periodic inspection, the Commission is eliminating the difference
between initial and subsequent reports and will require every
comprehensive assessment report to meet the same standard.
74. Section 12.38(b) references Sec. 12.36(b) and identifies
additional items that require specific evaluation in the comprehensive
assessment report. In addition to those elements required for a
periodic inspection, a comprehensive assessment report must include an
evaluation of: Spillway adequacy; the potential for internal erosion
and/or piping of embankments, foundations, and abutments; structural
integrity and stability of all structures under credible loading
conditions; any other analyses of record pertaining to geology,
seismicity, hydrology, hydraulics, or project safety; and the
Supporting Technical Information Document, Potential Failure Mode
Analysis, and risk analysis. An evaluation of an analysis of record
must include an evaluation of the accuracy, relevance, and consistency
with the current state of the practice of dam engineering, and the
comprehensive assessment report must include clear documentation of the
independent consultant team's rationale. If the independent consultant
team is unable to review any analysis of record or disagrees with the
analysis of record in any way, the independent consultant must
recommend new analyses.
75. In the NOPR, the Commission also proposed to eliminate
provisions that allow independent consultants to incorporate the
previous independent consultant's report by reference and document only
that information that has changed since the previous report. By
referencing the periodic inspection report requirements (Sec.
12.36(c)) (i.e., report on periodic inspection), Sec. 12.38(c)
requires the independent consultant to provide, across seven
categories, a status update and evaluation of any changes since the
previous inspection.
76. The existing provisions in Sec. Sec. 12.37(c)(4) through (8)
are retained in Sec. Sec. 12.38(d) through (h) of the final rule with
minor changes to ensure consistency with other revisions adopted
herein.
77. In response to the NOPR, commenters requested clarity on
appropriate actions to take when the analyses of record are
unavailable.\71\
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\71\ See, e.g., NHA Comments at 10; CEATI Comments at 12.
---------------------------------------------------------------------------
78. Section 12.38(c)(3) requires the independent consultant to
provide recommendations to perform new analyses if the analyses of
record are not available to be reviewed. It is incumbent on licensees
to either locate the analysis of record or provide a plan and schedule
to complete a new analysis. Additional guidance on reviewing and
evaluating the analyses of record and how that information should be
documented and classified is provided in Chapter 16 of the Engineering
Guidelines. As discussed above, the Commission has solicited and
received public comments on draft Chapter 16 in Docket No. AD20-21-
00.\72\ The final version of Chapter 16 is available on the FERC
Division of Dam Safety and Inspections website.\73\ Apart from
eliminating informational references to the Engineering Guidelines, no
substantive revisions were made to proposed Sec. 12.38 following the
NOPR.
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\72\ See supra P 15.
\73\ See supra note 21.
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[[Page 1499]]
10. Section 12.39--Evaluation of Spillway Adequacy
79. Existing Sec. 12.39 describes the process for taking
corrective measures after the independent consultant's report is filed
with the Regional Engineer. As proposed in the NOPR, this procedure is
relocated to Sec. 12.41, discussed below. The requirement to evaluate
spillway adequacy is an existing component of the part 12 inspection
and is currently found in Sec. 12.35(b) of our regulations. However,
providing this information in a standalone section will highlight the
importance of evaluating spillway adequacy. Accordingly, the final rule
relocates the requirement to evaluate spillway adequacy to Sec. 12.39.
80. As proposed in the NOPR, Sec. 12.39 of the final rule would
expand the existing requirements for evaluating spillway adequacy to
address scenarios similar to the 2017 Oroville Dam spillway incident.
When assessing spillway adequacy, independent consultants must evaluate
the potential for misoperation of, failure to operate, blockage of, or
debilitating damage to, a spillway, and the resulting effects on the
maximum reservoir level and the potential for overtopping.
81. In response to the NOPR, NHA requested clarity on how the
hydraulic adequacy evaluations will be consistently implemented and
whether the credible loading conditions are standards based or risk
based.\74\ Central Nebraska expressed concerns that Sec. 12.39 could
result in ``efforts that could be overly broad and lead[] to the review
or assumption of unreasonable levels of unlikelihood,'' and suggested
instead that spillway performance be evaluated through the Potential
Failure Mode Analysis process.\75\
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\74\ See NHA Comments at 10-11.
\75\ Central Nebraska Comments at 2.
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82. The evaluation of spillway adequacy has been a longstanding
assessment requirement of subpart D independent consultant inspections.
The final rule requires the independent consultant as part of the
spillway adequacy assessment to consider specific conditions that could
limit or impact spillway discharge. Commission staff will monitor and
review how these conditions are assessed and provide additional
guidance on the assessment process, if needed, on a case-by-case basis.
In response to NHA's question about appropriate flood loading
conditions, paragraph (a) has been revised to clarify that floods up to
and including the probable maximum flood must be considered in the
evaluation. In addition, we have deleted the word ``structural'' from
paragraphs (a) and (b) to clarify that failures could be more than
structural failures and eliminated from this section an informational
reference to the Engineering Guidelines.
11. Section 12.40--Time for Inspections and Reports
83. This final rule relocates the provisions regarding timelines
for performing independent consultant inspections and submitting
inspection reports, previously found in Sec. 12.38, to revised Sec.
12.40. Our existing rules maintain a five-year cycle for inspections
and include provisions for initial inspections of existing licensed
projects, projects licensed but not yet constructed, and all other
projects; include a separate set of provisions related to projects
inspected by an independent consultant prior to March 1, 1981; and
authorize the Regional Engineer to grant extensions of time to file an
independent consultant's inspection report.
84. Section 12.40 revises the timeline for submitting reports on
inspections by independent consultants. While the current five-year
interval between inspections and reports is maintained, the inspections
will alternate between periodic inspections and comprehensive
assessments; thus, there is a ten-year interval between any pair of
consecutive comprehensive assessments or periodic inspections, but a
significant project review every five years.
85. Section 12.40(a) consolidates the timing of inspections and
reports for projects previously inspected by an independent consultant.
Section 12.40(a)(1) maintains the five-year cycle for an independent
consultant's inspection of each project development. Section
12.40(a)(2) grants the Regional Engineer the authority to require that
any report due 18 months after the effective date of the final rule be
either a comprehensive assessment or periodic inspection, enabling D2SI
to balance the number of comprehensive assessments due each year over
the 10-year cycle. Section 12.40(a)(3) requires that the first
comprehensive assessment be completed, and the report on it filed, by
December 31, 2038.\76\
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\76\ This date is based on an anticipated final rule effective
date in early 2022 with a corresponding first report due 18 months
later in late 2023. A four-year phased implementation period (2024
through 2027) is assumed to attain full annual implementation. Full
implementation should be complete after a full 10-year cycle (2027-
2036). An additional two years (2037 and 2038) are provided for
possible extension of time requests and any other reports that may
have been delayed from the phased implementation period.
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86. Section 12.40(b) retains and updates the terminology related to
existing provisions for existing licensed projects previously
inspected, projects licensed but not yet constructed, and other
projects.
87. Section 12.40(c) establishes the ten-year interval between
comprehensive assessments and requires that a periodic inspection be
performed within five years following a comprehensive assessment.
88. Sections 12.40(d) and 12.40(e) allow the Regional Engineer to
extend the time to file an independent consultant's report, for good
cause shown, and to require that any inspection scheduled to be
performed be a periodic inspection or comprehensive assessment. For
example, where a project is scheduled for a periodic inspection but a
dam safety incident, extreme loading condition (e.g., unprecedented
flood, large earthquake, etc.), or other significant change in
condition has occurred since the previous comprehensive assessment, the
Regional Engineer may require that the project undergo a comprehensive
assessment rather than a periodic inspection. Alternatively, for
projects that have no life safety consequences and a low total project
risk, the Regional Engineer may allow comprehensive assessments to be
performed at an interval greater than every 10 years.
89. In response to the NOPR, commenters recommend changing the
effective date to 18 months following the date of the final rule,\77\
extending the due date for projects not previously inspected under Part
12 from two years to three years,\78\ limiting the Regional Engineer's
ability to unilaterally change the type of report to be filed,\79\ and
further clarifying the purpose of the preliminary report.\80\
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\77\ See CEATI Comments at 13.
\78\ See id.
\79\ See, e.g., NHA Comments at 11; CEATI Comments at 13.
\80\ See, e.g., NHA Comments at 11; CEATI Comments at 13.
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90. Section 12.40(a)(2) has been revised to reflect that the date
for a report to be filed under this subpart will be 18 months after the
effective date of the final rule. Commission staff has evaluated the
scope of the effort required to complete a comprehensive assessment and
is confident that two years is sufficient time to complete this work
and file a report. Extending this work effort over a three-year
duration would provide no benefits and could negatively impact the
process by extending the time between the review
[[Page 1500]]
of project information; conducting the inspections and performing
Potential Failure Mode Analysis and semi-quantitative risk analysis
meetings; and preparing the report, thus prolonging the period before
corrective action could be identified and implemented. Section 12.40(e)
was revised to include ``for good cause'' for the Regional Engineer to
change the type of report due.
91. The purpose of the preliminary report is to demonstrate whether
the independent consultant team has adequately prepared for their
inspection, including the review of background material and
instrumentation data. This requirement is intended to help the
independent consultant team identify areas in the field that may
require additional attention or effort.
92. In the NOPR, the Commission proposed to include information
about the preliminary report in Sec. 12.40(f). However, because that
section covers different material, the final rule relocates the
preliminary report requirement to Sec. 12.42, which is a new,
standalone section.
12. Section 12.41--Corrective Measures
93. The procedures for addressing items identified during a part 12
inspection that require corrective measures are currently set forth in
Sec. 12.39. This final rule relocates these corrective measure
procedures to new Sec. 12.41. Currently, licensees are required to
submit to the Regional Engineer a plan and schedule within 60 days of
filing an independent consultant's report with the Commission, and to
complete all corrective measures in accordance with the plan and
schedule as approved or modified by the Regional Engineer. Under the
existing regulations, the Regional Engineer may extend the time for
filing the plan and schedule. The final rule does not modify or
eliminate these requirements.
94. Section 12.41 of the final rule incorporates the requirements
of existing Sec. 12.36 (emergency corrective measures) and Sec. 12.39
(post-inspection corrective measures) into a single section titled
``corrective measures.'' The revisions in Sec. 12.41(a)(1)(i) clarify
that the licensee's plan and schedule must address the recommendations
of the independent consultant and include investigation as an option
for the licensee to implement. Section 12.41(b)(2) is added to ensure
that emergency corrective measures are documented in the corrective
plan and schedule required by Sec. 12.41(a)(1).
95. In response to the NOPR, CEATI recommends limiting the
corrective plan to only those items that relate to a potential failure
mode or will improve or change the understanding of risk associated
with the project works.\81\ Commenters further recommend eliminating
the requirement to submit an annual status report,\82\ and creating an
appeals board to offer technical guidance to the Part 12 process.\83\
---------------------------------------------------------------------------
\81\ See CEATI Comments at 14.
\82\ See, e.g., NHA Comments at 12; CEATI Comments at 14.
\83\ See NHA Comments at 12.
---------------------------------------------------------------------------
96. Section 12.41(a)(1)(ii) already includes provisions for taking
no action for recommended corrective measures in those cases where it
is justifiable. The annual status report provides an opportunity to
periodically review and update the status (e.g., completed, in
progress, outstanding, etc.) of previously-identified corrective
measures and provides an opportunity to revisit the priority and status
of the measures to ensure that they are acted upon. We do not consider
an annual status update to be too frequent. Commission staff has access
to other resources for technical advice and review and therefore there
is no need to create a separate appeals board or board of consultants.
Based on a comment received from CEATI on Chapter 16 of the Engineering
Guidelines,\84\ Sec. 12.41(b) was revised to reference Sec.
12.3(b)(4) of this part, which defines a condition affecting the safety
of a project or project works, to demonstrate conditions that would be
considered appropriate for the reporting of an emergency corrective
measure. In addition, the final rule revises the first sentence of
Sec. 12.41(b) to emphasize that it is the licensee's responsibility to
ensure that the independent consultant complies with the notification
requirements of this paragraph. No other substantive revisions were
made to proposed Sec. 12.41 following the NOPR.
---------------------------------------------------------------------------
\84\ See CEATI's September 15, 2020 Comments on Chapter 16 of
the Engineering Guidelines at 28 (filed in Docket No. AD20-21-000).
---------------------------------------------------------------------------
13. Section 12.42--Preliminary Reports
97. As discussed above, the final rule relocates requirements
regarding preliminary reports that the NOPR had proposed for inclusion
in Sec. 12.40(f) to a new section of subpart D, Sec. 12.42.\85\ This
section requires the independent consultant team, at least 30 days
before performing a periodic inspection or comprehensive assessment, to
prepare and file a preliminary report. The purpose of the preliminary
report is two-fold: (1) It documents the independent consultant team's
initial findings after reviewing the project information; and (2) it
demonstrates the team's preparation for conducting the site inspection.
If the preliminary report does not clearly demonstrate that the
independent consultant team is adequately prepared for the inspection,
the Regional Engineer may require the inspection be postponed.
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\85\ See supra P 92.
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14. Alaska-Specific Concerns
98. A few commenters asserted that in broadening the scope of
independent consultant dam safety inspections, the NOPR takes a one-
size-fits-all approach that will place an unfair burden on Alaska's
smaller, less complex projects.\86\ The Alaska commenters further
suggest that the NOPR underestimated the costs to small projects of the
proposed changes to independent consultant inspections, particularly by
failing to consider the costs associated with a larger inspection team
traveling to project sites in Alaska, including the cost of remote
travel.\87\
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\86\ See, e.g., Alaska Power Association's September 18, 2020
Comments (Alaska Power Comments); Cooper Valley Electric's September
14, 2020 Comments (Cooper Valley Comments); Alaska Electric Light &
Power Company's September 18, 2020 Comments (Alaska Electric
Comments); see also U.S. Senator Lisa Murkowski's November 5, 2020
letter (supporting Alaska Power Association's comments).
\87\ See, e.g., Alaska Power Comments at 3.
---------------------------------------------------------------------------
99. The Commission did not take a one-size-fits-all approach to the
changes to the project safety inspection program proposed in the NOPR
and adopted, with modifications, in this final rule. As explained
above, the revised inspection approach provides for a two-tier
inspection structure, consisting of a periodic inspection (Sec. 12.35)
and a more robust comprehensive assessment (Sec. 12.37). The size of
the inspection team is dependent on the project so that it is
``commensurate with the scale, complexity, and relevant technical
disciplines of the project and type of review, inspection, and
assessment being performed.'' \88\ Moreover, Sec. 12.31(b) of the
final rule defines an independent consultant team as consisting of one
or more people. For less complex projects, one individual may be able
to satisfy the requirements of an independent consultant team. Finally,
the final rule incorporates provisions to allow less complex project
licensees to seek an exemption from the requirements of subpart D
(Sec. 12.33(a)), a waiver of the 10-year requirement to perform a
comprehensive assessment (Sec. 12.34), or a waiver of the requirement
to perform a risk analysis as part of the comprehensive assessment
(Sec. 12.37(g)). Each of these provisions is designed to allow
independent consultant
[[Page 1501]]
inspections to be tailored to the unique circumstances and safety
issues of each project and, if circumstances warrant, to eliminate or
reduce the frequency of certain subpart D requirements. Comments
specific to burden and costs estimates for the information collection
activities associated with this final rule are addressed below.\89\
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\88\ 18 CFR 12.31(b)(3).
\89\ See discussion infra Part V.A.
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B. Owner's Dam Safety Program
100. As the NOPR explained, the Commission began developing its
Owner's Dam Safety Program guidance following the December 2005 failure
of Taum Sauk Dam, in an effort to encourage licensees to foster and
prioritize a strong dam safety culture among their organizations and to
help decrease the likelihood of preventable dam safety incidents. In
August 2012, the Director of D2SI issued letters to all owners of high
or significant hazard potential dams requiring them to develop and
submit an Owner's Dam Safety Program.\90\ Additional information and
guidance on the development of an Owner's Dam Safety Program has been
available on the Commission's website since this time. New subpart F
consolidates and codifies that guidance.
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\90\ Letter to All Licensees and Exemptees of High and
Significant Hazard Potential Dams Requiring Submittal of an Owner's
Dam Safety Program, August 2012, https://www.ferc.gov/sites/default/files/2020-04/letter-submit-odsp.pdf.
---------------------------------------------------------------------------
1. Section 12.60--Applicability
101. Section 12.60 specifies that an Owner's Dam Safety Program
must be submitted by any licensee that has a dam or other project work
with a high or significant hazard potential. This does not represent a
change from existing practice.
102. No comments were received on this section. Following the NOPR,
the cross-reference to the definitions of high or significant hazard
potential was updated based on the revised definitions contained in
Sec. 12.3(b)(13)(i) and (ii). No other revisions were made to proposed
Sec. 12.60 following the NOPR.
2. Section 12.61--Definitions
103. Section 12.61 defines the terms ``Chief Dam Safety Engineer''
and ``Chief Dam Safety Coordinator,'' as used in subpart F. The Chief
Dam Safety Engineer or Chief Dam Safety Coordinator is defined as the
person who oversees the implementation of the Owner's Dam Safety
Program and has primary responsibility for ensuring the safety of the
licensee's dams and other project works. The only difference between
the definitions is that a Chief Dam Safety Engineer must be a licensed
professional engineer.
104. In response to the NOPR, commenters requested clarification of
professional engineer licensure,\91\ and suggested that flexibility
should be built in to allow licensees to use different terms than those
provided in this section.\92\
---------------------------------------------------------------------------
\91\ CEATI Comments at 14-15.
\92\ Id. at 15.
---------------------------------------------------------------------------
105. Individual states determine the requirements for the licensure
of professional engineers. Those performing professional engineering
services are responsible for following applicable state regulations.
The final rule revises Sec. 12.61(a) to indicate that the Chief Dam
Safety Engineer must be a licensed professional engineer with
experience in dam safety. For consistency, the final rule also revises
Sec. 12.61(b) to clarify that the Chief Dam Safety Coordinator in ``is
not required to be a licensed professional engineer.'' The terms Chief
Dam Safety Engineer and Chief Dam Safety Coordinator should be used
consistently in documentation and correspondence with the Commission.
No other substantive revisions were made to proposed Sec. 12.61
following the NOPR.
3. Section 12.62--General Requirements
106. Section 12.62 establishes three general requirements for an
Owner's Dam Safety Program. Section 12.62(a) requires an Owner's Dam
Safety Program to designate either a Chief Dam Safety Engineer or a
Chief Dam Safety Coordinator. Any Owner's Dam Safety Program that
applies to one or more dams or other project works with a high hazard
potential must designate a Chief Dam Safety Engineer. Section 12.62(b)
requires the Owner's Dam Safety Program to be signed by the owner and
the Chief Dam Safety Engineer or Chief Dam Safety Coordinator, as
applicable. Section 12.62(c) requires the Owner's Dam Safety Program to
be reviewed and updated on a periodic basis. Although Sec. 12.62(d)
permits the owner to designate outside parties, such as consultants, to
serve as Chief Dam Safety Engineer or Chief Dam Safety Coordinator, the
owner retains ultimate responsibility for the safety and day-to-day
implementation of the projects.
107. Commenters on the NOPR requested clarity as to who from the
owner's organization should sign the Owner's Dam Safety Program,\93\
recommended adding a requirement to provide formal documentation of any
agreement delegating an individual outside the owner's organization to
serve as a Chief Dam Safety Engineer or Chief Dam Safety
Coordinator,\94\ and stated that the dam safety industry might not have
sufficiently qualified individuals to perform the requirements.\95\
---------------------------------------------------------------------------
\93\ Id.
\94\ Id.
\95\ NHA Comments at 12.
---------------------------------------------------------------------------
108. Owner's organizations vary widely in type and size, from sole
proprietorships to corporations to municipalities. The requirement in
Sec. 12.62(b) that the owner, along with the Chief Dam Safety Engineer
or Chief Dam Safety Coordinator, sign the Owner's Dam Safety Program
ensures that the legal entity responsible for the dam(s) or other
project works accepts the program that is established to promote dam
safety within their organization in order to help decrease the
likelihood of preventable dam safety incidents. It is up to each
organization to determine the appropriate signatory for signing the
Owner's Dam Safety Program.
109. The final rule revises Sec. 12.62 to include a statement that
any delegation of authority made in accordance with the requirements of
this section must be documented in the Owner's Dam Safety Program and
to clarify that the responsibilities that may be delegated include
program implementation. In response to commenters' concerns about a
lack of qualified individuals, provisions for developing and
implementing an Owner's Dam Safety Program have been in place as
guidance for many years and industry has been able to provide adequate
resources and training to satisfy the requirements of this section.
Moreover, it is crucial that licensees accept responsibility for, and
take all reasonable steps to implement, an effective safety program.
The cross-reference to the definition of high hazard potential was
updated based on the revised definition contained in Sec.
12.3(b)(13)(i). No other substantive revisions were made to proposed
Sec. 12.62 following the NOPR.
4. Section 12.63--Contents of Owner's Dam Safety Program
110. Section 12.63 establishes the minimum contents of an Owner's
Dam Safety Program. Sections 12.63(a)-(f) each correspond to a topic
area that should be addressed in an Owner's Dam Safety Program document
and identified in the document's table of contents, as provided in
current D2SI guidance available on the Commission's website.\96\ Under
Sec. 12.63(g), the NOPR
[[Page 1502]]
also proposed that the Owner's Dam Safety Program should include any
additional information that may be recommended by the Engineering
Guidelines, a draft chapter of which is in development and will be
provided at a later date for public review and comment.
---------------------------------------------------------------------------
\96\ FERC, Outline for Owner's Dam Safety Program--Table of
Contents, https://www.ferc.gov/sites/default/files/2020-04/outline-with-discussion.pdf.
---------------------------------------------------------------------------
111. In response to the NOPR, commenters recommended minor
editorial changes and requested clarification of what is meant by
``other information described by the Guidelines'' in Sec.
12.63(g).\97\ Existing guidance pertaining to the content of an Owner's
Dam Safety Program is available on the Commission's website. To
eliminate any confusion, the final rule deletes the references to the
Engineering Guidelines. No other substantive revisions were made to
proposed Sec. 12.63 following the NOPR.
---------------------------------------------------------------------------
\97\ See, e.g., CEATI Comments at 16; NHA Comments at 12.
---------------------------------------------------------------------------
5. Section 12.64--Annual Review and Update
112. Section 12.64 requires licensees to review and update an
Owner's Dam Safety Program. This section specifies that any Owner's Dam
Safety Program must be reviewed by the licensee's dam safety staff and
discussed with senior management on an annual basis, and that any
findings, analysis, corrective measures, or revisions be submitted to
the Regional Engineer.
113. In response to the NOPR, commenters recommended deleting the
entire section as it appears to duplicate submittal of this information
elsewhere,\98\ requested clarification as to whether the annual review
of the Owner's Dam Safety Program will take the place of the existing
annual internal audit,\99\ and requested clarification as to which
Regional Engineer the Owner's Dam Safety Program should be submitted
for owners with dams in more than one Regional Office's territory.\100\
---------------------------------------------------------------------------
\98\ See, e.g., NHA Comments at 12-13.
\99\ Id. at 13.
\100\ CEATI Comments at 16.
---------------------------------------------------------------------------
114. The annual review and update will replace what commenters,
such as NHA, refer to as the existing annual internal audit. Further,
the report on the annual review of the Owner's Dam Safety Program
should not be conflated with the Owner's Inspection Preparation
Form.\101\ These are not duplicative efforts. The Owner's Inspection
Preparation Form is an optional form that an owner may choose to
complete to help their staff prepare for a field inspection conducted
by D2SI staff. This form is not typically submitted to the Commission.
Clarification of the annual review process and how Owner's Dam Safety
Programs should be filed for owners with dams in multiple Regional
Offices will be provided in future Commission guidance. No revisions
were made to proposed Sec. 12.64 following the NOPR.
---------------------------------------------------------------------------
\101\ The Owner's Inspection Preparation Form is an outline of
specific items related to the Owner's Dam Safety Program to be
discussed during a field inspection conducted by D2SI staff. This
form is available on the Commission's website at https://www.ferc.gov/sites/default/files/2020-04/what-do-we-see.pdf.
---------------------------------------------------------------------------
6. Section 12.65--Independent External Audit and Peer Review
115. Section 12.65 describes the requirements for independent
external audits and peer reviews, which must be completed at least once
every five years for any Owner's Dam Safety Program that applies to one
or more dams or other project works having a high hazard potential
classification. The qualifications of the review team must be submitted
to the Regional Engineer in advance, and the Regional Engineer's
acceptance must be obtained prior to performing the audit or peer
review. The Commission will review the qualifications to ensure that
the review team has sufficient expertise and a defined plan to review
the Owner's Dam Safety Program. The findings of the external audit or
peer review team must be documented in a report to be reviewed by
licensee staff, including senior management, and submitted to the
Regional Engineer.
116. In response to the NOPR, NHA requested that the external audit
of the Owner's Dam Safety Program remain separate from the periodic
inspection and comprehensive assessment,\102\ and CEATI recommended
identifying a baseline date to be used for the first audit from which
the deadlines for all subsequent audits could be determined.\103\
Commenters also asked about the difference between an independent
external audit and a peer review,\104\ and suggested adding information
for terms which ensure the independence of the proposed auditor or peer
review team.\105\
---------------------------------------------------------------------------
\102\ NHA Comments at 13.
\103\ CEATI Comments at 16.
\104\ Id.
\105\ Id. at 17.
---------------------------------------------------------------------------
117. As explained above, the external audit of the Owner's Dam
Safety Program is distinct from the independent consultant team's
review of the Owner's Dam Safety Program during the periodic inspection
(Sec. 12.35(d)(4)) and comprehensive assessment (Sec. 12.37(d)).\106\
Per existing practice, the date of the initial external audit report of
the Owner's Dam Safety Program establishes the date of the subsequent
five-year audit reports. Generally, an external audit would be more
limited in scope and the minimum level of effort compared to the peer
review process. A licensee may elect to complete a more detailed peer
review performed by a team of at least three reviewers. If necessary,
the difference between an external audit and a peer review will be
further clarified in future Commission guidance. The final rule revises
Sec. 12.65(b) to include a requirement that the statement of
qualifications for the proposed auditor must also demonstrate the
independence of the auditor or peer review team from the licensee and
its affiliates.
---------------------------------------------------------------------------
\106\ See supra P 62.
---------------------------------------------------------------------------
118. Finally, the final rule updates an internal cross-reference to
the definition of hazard potential and removes the statement that
additional guidance is provided in the guidelines. No other substantive
revisions were made to Sec. 12.65 following the NOPR.
C. Public Safety and Miscellaneous Updates
119. In the NOPR, the Commission proposed several changes to
subparts A, B, C, and E of 18 CFR part 12, most of which are minor in
nature and necessary to ensure consistency with the replaced subpart D
and new subpart F. The two most notable changes relate to the reporting
of public safety incidents and the development and submittal of public
safety plans.
1. Subpart A--General Provisions
120. Subpart A describes the general provisions and definitions
that apply under part 12 of the regulations. The NOPR proposed to
update or add several definitions and make other minor changes to
ensure consistency with replaced subpart D and new subpart F. Section
12.3(b)(4) provides a list of conditions affecting the safety of
project works. The NOPR proposed to update two of these conditions to
ensure their definitions are consistent as applied in current practice.
In addition, the NOPR proposed to add ``overtopping of any dam,
abutment, canal, or water conveyance'' to the list of conditions that
could affect project safety and new definitions for ``Water
Conveyance,'' ``Engineering Guidelines,'' and ``Owner's Dam Safety
Program.'' The NOPR proposed additional minor revisions in subpart A to
ensure
[[Page 1503]]
consistent terminology and to update internal cross-references.
121. In addition, the Commission proposed to add Sec. 12.4(d) to
make clear that licensee non-compliance with any dam safety directive
issued by the Commission, a Regional Engineer, or other authorized
Commission representative could result in sanctions such as the
Commission issuing a cease generation order, assessing civil penalties,
or revoking a project's license pursuant to section 31 of the FPA.\107\
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\107\ See NOPR, 172 FERC ] 61,061 at P 78; 16 U.S.C. 823b, 825h.
In response to a request to clarify Sec. 12.4(c)-(d)'s use of the
phrase ``any order or directive,'' see NHA Comments at 3, we note
that by adding new Sec. 12.4(d), the final rule does not create new
penalty authority. Rather, this addition simply serves as a reminder
that the Commission's existing penalty authority, derived from FPA
section 31, applies to the requirements of part 12 of the
Commission's regulations.
---------------------------------------------------------------------------
122. In response to the NOPR, NHA recommended that the Commission
further clarify the definitions of significant and low hazard potential
and asked why the phrase ``including recreation'' was added to Sec.
12.3(b)(4)'s definition of ``condition affecting the safety of a
project or project works.'' \108\ CEATI recommended defining the terms
``Project,'' ``Project Works,'' ``Dam,'' and ``Development'' and
suggested that the Commission develop a different hazard potential
scheme for canals and water conveyance facilities.\109\
---------------------------------------------------------------------------
\108\ NHA Comments at 3.
\109\ CEATI Comments at 3-4.
---------------------------------------------------------------------------
123. Section 12.3(b)(13) of the final rule adds separate
definitions for ``Significant hazard potential'' (Sec.
12.3(b)(13)(ii)) and ``Low hazard potential'' (Sec. 12.3(b)(13)(iii)).
Adding the phrase ``including recreation'' clarifies Sec. 12.3(b)(4)'s
definition of ``Condition affecting the safety of a project or project
works'' by providing a statutorily-defined example of ``other
beneficial public uses.'' \110\ This addition does not expand the
original definition nor does it represent a departure from D2SI's
current practice. The terms ``Dam'' and ``Development'' are defined in
Sec. Sec. 12.3(b)(6) and 12.3(b)(7), respectively. The terms
``Project'' and ``Project Works'' are defined in section 3 of the
FPA,\111\ as stated in Sec. 12.3(a). For consistency with the
statute's terminology, the final rule eliminates references in proposed
Sec. 12.3 to ``project feature'' by substituting in its place the term
``project work.'' \112\ For the purposes of defining hazard potential,
the Commission believes it is appropriate to extend the current
approach used to define hazard potential for dams to canals and other
water conveyances. The emphasis on the definition of hazard potential
is based on the resulting consequences should the structure fail and
not on the structure itself. Therefore, the Commission does not agree
with the recommendation to develop a different hazard potential
definition or approach for canals and water conveyance structures.
---------------------------------------------------------------------------
\110\ As revised, the first sentence of 12.4(b) clarifies that
the definition of Condition affecting the safety of a project or
project works includes any condition, event, or action at the
project which might compromise the ability of any project work to
function safely for its intended purposes, including other
beneficial public uses such as recreation.
\111\ 16 U.S.C. 796.
\112\ To ensure consistent use of the terms ``project works'' or
``project work'' (if referring to a singular structure), the final
rule makes similar revisions in Sec. Sec. 12.30, 12.35, 12.60,
12.61, 12.62, and 12.65.
---------------------------------------------------------------------------
124. The final rule deletes the definition of and an additional
reference to the ``Guidelines.'' The Engineering Guidelines remain
available on the Commission's website.
125. The term ``canal'' is deleted in Sec. Sec. 12.3(b)(4)(xiii)
and 12.3(b)(13) as its usage is redundant with the term ``water
conveyance'' also used in each paragraph. For clarity, one of the
conditions affecting safety, found in Sec. 12.3(b)(4)(xi), was revised
from ``Significant instances of vandalism or sabotage'' to read
``Security incidents (physical and/or cyber).'' No other substantive
changes were made to subpart A following the NOPR.
2. Subpart B--Reports and Records
126. Subpart B describes the requirements for reporting, verifying,
and providing records to the Commission regarding dam safety-related
matters, including public safety incidents. The NOPR proposed minor
revisions to ensure consistency with other sections of the regulations
and the dam safety program as implemented. In addition, the NOPR
proposed additional reporting of public safety-related incidents that
involve deaths, serious injuries, or rescues.
127. Revised Sec. 12.10(a)(1) expresses the Commission's
preference that initial reports of conditions affecting the safety of a
project or its works are made within 72 hours of discovery of the
condition. The reporting of an incident to the Commission must not in
any way inhibit an emergency response to that incident.
128. Revised Sec. 12.10(b) requires licensees to report rescues in
addition to deaths and serious injuries, and clarifies the definition
of ``project-related'' for the purpose of complying with the mandatory
reporting of deaths, serious injuries, and rescues that are considered
or alleged to be project-related. For precision and to use terminology
that is generally accepted in the dam safety community, the NOPR
proposed to replace the term ``project-related accident'' with
``project-related incident.''
129. Currently, Sec. 12.10(b)(4) defines ``project-related,'' as
``any deaths or serious injuries involving a dam, spillway, intake, or
power line, or which take place at or immediately above or below a
dam.'' \113\ In D2SI staff's experience, the final clause of the
definition has been the most problematic for licensees to apply, often
leading licensees to report as project-related those deaths or serious
injuries that occur near a dam but are wholly unrelated to the project
or its operation. The NOPR proposed to revise the definition of
``project-related'' to make clear that an incident is project-related
only if it occurs at project works, involves changes in water levels
resulting from operations of project works, or is otherwise
attributable to the project or its operation.
---------------------------------------------------------------------------
\113\ 18 CFR 12.10(b)(4) (emphasis added).
---------------------------------------------------------------------------
130. In response to the NOPR, CEATI suggested that a threshold for
reporting rescues and serious injuries should be established by
excluding minor incidents not requiring treatment at a medical
facility.\114\ NHA requested clarification of the reporting
requirements for safety related incidents and clarification of safety
related incidents related to changes in water levels or flows.\115\
---------------------------------------------------------------------------
\114\ CEATI Comments at 4-5.
\115\ NHA Comments at 3-4.
---------------------------------------------------------------------------
131. For clarity, the final rule revises the general structure of
Sec. 12.10(b) to follow Sec. 12.10(a). Section 12.10(b)(1) provides
the reporting requirements for initial reports of deaths, serious
injuries, or rescues. The initial report can be made by email or
telephone. This is a change from the initial written reporting
requirements proposed in the NOPR. For consistency, the final rule
applies this same change to Sec. 12.10(a)'s reporting requirements for
initial reports of conditions affecting the safety of a project or its
works to make clear that initial reports can be made by email or
telephone. Accordingly, the final rule deletes from Sec. 12.10(a) all
references to ``oral reports'' and adds in its place ``initial
reports.''
132. Section 12.10(b)(2) provides the requirements for written
reports by outlining three categories of incidents and indicating
whether a written report is required: (i) Any death, serious injury, or
rescue that is considered or alleged to be project-related (written
[[Page 1504]]
report required); (ii) any death that is not project-related (copy of
media article or law enforcement report accepted); and (iii) any
serious injury or rescue that is not project-related (no written report
required). This structure should clarify the written reporting
requirements for each type of incident.
133. In addition, proposed Sec. 12.10(b)(3) from the NOPR was
deleted, as it provided an outdated form of hard copy submittal
(newspaper clipping); proposed Sec. 12.10(b)(4) was relocated to Sec.
12.10(b)(3) of the final rule. The final rule further revises Sec.
12.10(b)(3)(iii) to clarify that the definition of ``project-related''
also includes any deaths, serious injuries, or rescues that involve a
licensee employee, contractor, or other person performing work at a
licensed project facility and are related in whole or in part to the
work being performed. The final rule also adds new Sec. 12.10(b)(4) to
clarify that, for incident reporting purposes, a serious injury
includes any injury that results in treatment at a medical facility or
a response by licensee staff or another trained professional.
134. Finally, the NOPR proposed and the final rule adopts two
changes to existing requirements concerning the maintenance of records.
First, the final rule revises Sec. 12.12(b)(3) to permit storage media
other than microform, consistent with part 125 of the Commission's
regulations. Second, the final rule adds Sec. 12.12(d) to require the
licensee to provide, to the Regional Engineer, physical and electronic
records necessary to ensure the safety of project works, for all
projects subject to subpart D or as otherwise requested by the Regional
Engineer. Under Sec. 12.12(b)(2)(ii)(A) of our existing regulations,
which remains unchanged, the Regional Engineer has the authority to
require an applicant or licensee to submit such reports or information.
NHA suggests that there is no need to require physical records in
addition to electronic copies and recommends deleting the reference to
``physical'' in Sec. 12.12(d).\116\ We decline to adopt NHA's
recommendation because hard copies of certain records are necessary in
case of a power outage or for those instances when electronic files
might not be available. No changes were made to proposed Sec. 12.12
following the NOPR.
---------------------------------------------------------------------------
\116\ NHA Comments at 4.
---------------------------------------------------------------------------
3. Subpart C--Emergency Action Plans
135. Emergency action plans, which must be developed in
consultation with federal, state, and local public health and safety
officials, are designed to provide early warning to upstream and
downstream inhabitants, property owners, operators of water-related
facilities, recreational users, and others in the vicinity who might be
affected in the event of a project emergency.\117\ Subpart C describes
the general requirement that applicants and licensees develop and
submit emergency action plans, explains when an exemption from this
requirement may be warranted, identifies the required contents of the
plans, and describes the timing for plan filing and regular updating.
---------------------------------------------------------------------------
\117\ 18 CFR 12.20(b).
---------------------------------------------------------------------------
136. In the NOPR, the Commission proposed only minor revisions to
Sec. Sec. 12.20, 12.22, and 12.24 to ensure consistency with the
filing guidelines available on the Commission's website and to update
terminology with respect to the Engineering Guidelines.
137. The Commission received no comments on its proposed revisions
to subpart C. The final rule deletes from Sec. 12.22 two references to
the Engineering Guidelines. No other revisions were made to proposed
subpart C following the NOPR.
4. Subpart E--Other Responsibilities of Applicant or Licensee
138. Subpart E describes other applicant and licensee
responsibilities, including the requirement to install warning and
public safety devices, and test spillway gates. In the NOPR, the
Commission proposed to replace one section and update another to codify
a function of the dam safety program as currently implemented and to
ensure the use of consistent terminology in conjunction with the
proposed replacement of subpart D. The Commission further explained
that subpart E would be renumbered to now include Sec. Sec. 12.50 to
12.54 to accommodate the proposed inclusion of additional sections in
subpart D, and that the proposed revisions to subpart E would not
represent a change in practice.
139. The revisions to Sec. 12.52 (warning and safety devices,
previously Sec. 12.42) preserve the current regulatory requirement
that licensees must install, operate, and maintain warning and safety
devices to protect the public, with a minor revision to ensure
consistency with the rest of part 12. Revised Sec. 12.52(b) codifies
existing D2SI guidance that the Commission may require a licensee to
submit a public safety plan that documents the installation, operation,
and maintenance of public safety devices.\118\
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\118\ FERC, Guidelines for Public Safety at Hydropower Projects
(Mar. 1992), https://www.ferc.gov/sites/default/files/2020-04/public-safety.pdf.
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140. Finally, the NOPR proposed to revise Sec. 12.54 (testing
spillway gates, currently Sec. 12.44) to replace the term ``periodic
inspection'' with the more generic term ``an inspection.'' This
terminology change ensures that Commission staff can continue to verify
the operability of spillway gates during their routine inspections, and
is intended to prevent this section from being misconstrued as applying
only to a periodic inspection as it is defined and described in subpart
D of this final rule.
141. In response to the NOPR, NHA asks whether the public safety
plan is required to be developed in accordance with the Commission's
Guidelines for Public Safety.\119\ Other commenters suggested minor
revisions to the text of Sec. 12.52(a) related to protecting the
public from project operations.\120\
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\119\ NHA Comments at 12.
\120\ See, e.g., CEATI Comments at 14.
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142. Section 12.52(b) provides the provision that the Regional
Engineer may require a licensee to file a public safety plan. The
Guidelines for Public Safety at Hydropower Projects, available on the
Commission's website, provide helpful guidance for developing and
submitting public safety plans. The last sentence in Sec. 12.52(b) was
deleted to remove the reference to the guidelines. No changes to Sec.
12.52(a) are necessary as the existing text (formerly located in Sec.
12.42) is sufficient to ensure that licensees take appropriate warning
and safety measures to protect the public from changes in flow due to
project operations.\121\ No substantive revisions were made to subpart
E following the NOPR.
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\121\ The existing text, which this final rule relocates to
Sec. 12.52(a), requires licensees to install, operate, and maintain
safety devices to warn the public of fluctuations in flow from the
project.
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V. Regulatory Requirements
A. Information Collection Statement
143. The Paperwork Reduction Act \122\ requires each federal agency
to seek and obtain the Office of Management and Budget's (OMB) approval
before undertaking a collection of information (including reporting,
record keeping, and public disclosure requirements) directed to ten or
more persons or contained in a rule of general applicability. OMB
regulations require approval of certain information collection
requirements contained in
[[Page 1505]]
final rules published in the Federal Register (including deletion,
revision, or implementation of new requirements).\123\ Upon approval of
a collection of information, OMB will assign an OMB control number and
an expiration date. Respondents subject to the filing requirements of a
rule will not be penalized for failing to respond to the collection of
information unless the collection of information displays a valid OMB
control number.
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\122\ 44 U.S.C. 3501-3521.
\123\ See 5 CFR 1320.12.
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144. The following discussion describes and analyzes the
collections of information modified by this final rule.
145. The Commission solicited comments on the Commission's need for
the proposed information collection in the NOPR and in draft Chapters
15 through 18 of the Engineering Guidelines,\124\ whether the
information will have practical utility, the accuracy of the burden
estimates, ways to enhance the quality, utility, and clarity of the
information to be collected or retained, and any suggested methods for
minimizing respondents' burden, including the use of automated
information techniques. All burden estimates for all information
collection activities (including those in Chapters 15 through 18 of the
Engineering Guidelines) are discussed in this final rule and in the
Paperwork Reduction Act supporting statement.
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\124\ Concurrently with issuance of the NOPR, the Commission
issued for public comment the draft chapters of the Engineering
Guidelines in Docket Nos. AD20-20-000 (Chapter 15--Supporting
Technical Information Document), AD20-21-000 (Chapter 16--Part 12D
Program), AD20-22-000 (Chapter 17--Potential Failure Mode Analysis),
and AD20-23-000 (Chapter 18--Level 2 Risk Analysis).
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146. Public Reporting Burden: In this final rule, the Commission
establishes two tiers of independent consultant safety inspection
reports, codifies existing guidance related to the Owner's Dam Safety
Program, and requires reporting of rescues that occur at hydroelectric
projects. The final rule, in conjunction with the corresponding updates
to the Engineering Guidelines, revises and adds information collection
activities in 18 CFR part 12.
1. Subpart D: Independent Consultant Inspections
147. The revisions to 18 CFR part 12, subpart D do not affect the
current five-year filing cycle for independent consultant's safety
inspection reports. However, they do modify the scope of reports on an
alternating cycle, such that the reports alternate between a periodic
inspection (a reduction in scope compared to the previous inspection
requirement) and a comprehensive assessment (an increase in scope
compared to the previous inspection requirement). The hydroelectric
facilities regulated by the Commission vary greatly in size and
complexity, and there is no single representative project. To evaluate
the burden associated with the revisions to independent consultant
safety inspection reports, Commission staff developed separate cost
estimates for ``Simple'' and ``Complex'' hydroelectric facilities,
which are listed in the tables below. Commission staff recognizes that
there are projects with annualized costs less than the ``Simple''
estimate or greater than the ``Complex'' estimate, but Commission staff
believes the values presented are appropriately representative when
averaged across the total inventory of hydroelectric projects and
respondents. The assumption underlying these burden estimates is that
one-half of licensed projects can be represented by each category.\125\
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\125\ The cost data presented in the tables reflect the change
in annualized cost based on the changes described in the final rule.
The annualized costs are based on the total cost, in 2021 dollars,
over the typical 10-year Part 12D inspection cycle, which comprises
one Comprehensive Assessment and one Periodic Inspection, and the
associated activities. The scope of each inspection and associated
reporting requirements are defined in the final rule.
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148. The Commission received comments on some of the information
collection activities proposed for subpart D. A few commenters raised
general concerns about the cost estimates provided for independent
consultant inspections and reports, suggesting that the Commission's
estimates underestimate the costs to small, less complex projects
located in Alaska.\126\ The Commission recognizes the unique challenges
faced by Alaska licensees, but continues to find that the cost
estimates provided represent average values that are appropriately
representative when averaged across the total inventory of
hydroelectric projects and respondents. As described above, the final
rule includes several provisions that will allow the project safety
inspection requirements to be tailored to the unique needs and safety
considerations of individual projects.\127\ CEATI comments that the
cost for performing a risk analysis can exceed the estimates provided
in the NOPR and notes that cost estimates of $83 per hour are not
representative of consulting engineers' fees, which can exceed $150 per
hour.\128\ Commission staff remains confident that the burden and cost
estimates presented in the NOPR are representative of the
implementation efforts described in the final rule. To date, Commission
staff has performed nearly 30 pilot risk analyses alongside licensees.
This experience has confirmed that the effort required to complete risk
analyses closely aligns with the estimates included in the NOPR and
updated in this final rule. We agree with CEATI that the $83 per hour
rate is not representative of consulting engineers' fees.\129\ In fact,
Commission staff's detailed cost breakdowns, which informed the burden
and cost estimates for professional services contracting costs (see
Table 2 below), used a range of unit rates up to and including $300 per
hour for consulting engineers.
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\126\ See Alaska Power Comments; Cooper Valley Comments; Alaska
Electric Comments; see also U.S. Senator Lisa Murkowski's November
5, 2020 letter (supporting Alaska Power Association's comments).
\127\ See supra P 99.
\128\ See CEATI Comments at 2, 3.
\129\ The $83 per hour figure ($87 per hour in 2021 dollars)
represents direct costs (generally labor costs) associated with
licensee staff's performance of efforts related to the changes
contemplated in the NOPR and adopted in this final rule. These costs
do not include costs for professional services, such as consulting
engineers' fees, aside from the costs associated with the licensee's
administration and execution of contracts for professional services.
Burden and cost estimates for professional services contracting are
provided in Table 2.
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149. Some commenters requested that ``generating equipment'' be
added to the list of project works excluded from inspections at 18 CFR
12.32. As discussed above, the Commission is not adopting this
requested modification because generating equipment is a critical
element in the passage and discharge of water through a powerhouse and
the failure of such equipment can result in operational and life safety
concerns.
150. Some commenters requested further clarity in subpart D to
distinguish between the inspection requirements for high hazard
potential and low hazard potential project works. Because the
inspection requirements for high and low hazard potential project works
are discussed in Sec. 12.30, no revisions to 18 CFR 12.32 were made
based on this comment.
151. A commenter requested that the Commission reconsider the
proposal to revise 18 CFR 12.33 by rescinding all previously approved
exemptions from the requirements of subpart D. The final rule does not
retain the blanket rescission of all previously approved exemptions and
instead provides that the Director of D2SI on a case-by-cases basis may
rescind a previously approved exemption for good cause shown. In
addition, for future exemption requests, the Director of D2SI may
require the licensee to complete a comprehensive assessment prior to
considering the exemption request.
[[Page 1506]]
152. With regard to the revised information collection activities
in 18 CFR 12.40, some commenters recommend changing the effective date
to 18 months following the date of the final rule, extending the due
date for projects not previously inspected under Part 12 from two years
to three years, limiting the Regional Engineer's ability to
unilaterally change the type of report to be filed, and further
clarifying the purpose of the preliminary report. In response to these
comments, the final rule revises Sec. 12.40(a)(2) so that the date for
a report to be filed under this subpart will be 18 months after the
rule's effective date. The final rule does not, however, change the
frequency of the required reports. As noted above, Commission staff is
confident that two years is sufficient time to complete a comprehensive
assessment and a file a report. Any potential benefits of extending
this work over a three-year period would be outweighed by the negative
impacts that would result if too much time elapses between reviewing
the project information, conducting the inspection and performing the
Potential Failure Mode Analysis and semi-quantitative risk analysis,
and preparing the report.
153. In response to comments, the final rule revises Sec. 12.40(e)
to include a required finding of ``good cause'' for the Regional
Engineer to change the type of report due.
154. In response to requests for further clarity regarding
preliminary reports, the Commission explains above that the preliminary
report's purpose is to demonstrate whether the independent consultant
team has adequately prepared for their inspection, including the review
of background material and instrumentation data. This requirement helps
the independent consultant team identify areas in the field that may
require additional attention or effort. In the NOPR, the Commission
proposed to include information about the preliminary report in Sec.
12.40(f). However, because it covers different material, the final rule
relocates the preliminary report requirement to Sec. 12.42, which is a
new, standalone section.
2. Subpart F: Owner's Dam Safety Program
155. The addition of 18 CFR part 12, subpart F codifies existing
requirements for the preparation or collection of information. As we
explained in the NOPR, those licensees who are required to prepare an
Owner's Dam Safety Program, due to the hazard potential classification
of their licensed project(s), have already done so. When a new license
is issued for a non-constructed or previously unlicensed project, the
Commission includes a license article requiring an Owner's Dam Safety
Program if warranted. There may be situations in which a project's
hazard potential classification increases from low to either
significant or high (e.g., due to new housing development within the
hypothetical inundation area). In that case, if that licensee has no
other projects classified as significant or high (i.e., does not have
an Owner's Dam Safety Program), then the licensee would be required to
prepare a new Owner's Dam Safety Program. However, this is not expected
to occur frequently or with any regularity.
156. The Commission received comments on 18 CFR 12.62 (General
Requirements for Owner's Dam Safety Program), including:
Requests to clarify who from the owner's organization
should sign the Owner's Dam Safety Program;
Recommendations to require formal documentation of any
agreement delegating the position of Chief Dam Safety Engineer or Chief
Dam Safety Coordinator to an individual outside the owner's
organization; and
Statements that the dam safety industry may lack
sufficiently qualified individuals to perform the requirements of
subpart F.
157. As explained above, because dam owner's organizations vary
widely in type and size, from sole proprietorships to corporations to
municipalities, it is up to each organization to determine the
appropriate signatory for the Owner's Dam Safety Program. As to
delegating the role of Chief Dam Safety Engineer or Chief Dam Safety
Coordinator to an outside party, the final rule revises Sec. 12.62(d)
to require that any such delegation of authority be documented in the
Owner's Dam Safety Program. In response to commenters' concerns about a
lack of qualified individuals, provisions for developing and
implementing an Owner's Dam Safety Program have been in place as
guidance for many years and industry has been able to provide adequate
resources and training to satisfy the requirements of this section.
Moreover, as we explain above, it is crucial that licensees accept
responsibility for, and take all reasonable steps to implement, an
effective safety program.
158. Other comments on subpart F asked about the difference between
a review of an Owner's Dam Safety Program performed during an
independent consultant inspection and an independent external audit of
the Owner's Dam Safety Program and suggested adding provisions to
ensure the independence of the proposed auditor or peer review team.
159. As explained above, the external audit of the Owner's Dam
Safety Program, described in 18 CFR 12.65, is distinct from the review
of the Owner's Dam Safety Program performed as part of the periodic
inspection and comprehensive assessment described in subpart D. Per
existing practice, the date of the initial external audit report of the
Owner's Dam Safety Program establishes the date of the subsequent five-
year audit reports. As explained above, an external audit would
generally be more limited in scope and the minimum level of effort
compared to the peer review process. A licensee may elect to complete a
more detailed peer review performed by a team of at least three
reviewers. If necessary, the difference between an independent external
audit and a peer review of the Owner's Dam Safety Program will be
further clarified in future Commission guidance. The final rule revises
Sec. 12.65(b) to include a requirement that the statement of
qualifications must demonstrate the independence of the auditor or peer
review team from the licensee and its affiliates.
160. The Commission also received comments on 18 CFR 12.64 (Annual
Review and Update of the Owner's Dam Safety Program), including:
A recommendation that the entire section be deleted, since
it appears to duplicate other information collection activities;
A request to clarify whether the annual review of the
Owner's Dam Safety Program will take the place of the existing annual
internal audit; and
A request to clarify to which Regional Engineer the
Owner's Dam Safety Program should be submitted for owners with dams
located in more than one Regional Office's territory.
161. As explained above, the report on the annual review of the
Owner's Dam Safety Program should not be conflated with the Owner's
Inspection Preparation Form. The Owner's Inspection Preparation Form is
an optional form that can be completed by the owner to help their staff
prepare for a field inspection; this form is not typically submitted to
the Commission. Clarification of the annual review process and how
Owner's Dam Safety Programs should be filed for owners with dams in
multiple Regional Offices will be provided in future Commission
guidance.
162. As stated above, subpart F codifies previous existing
requirements for the preparation or collection of Owner's Dam Safety
Program
[[Page 1507]]
information. Licensees who are required to prepare an Owner's Dam
Safety Program, due to the hazard potential classification of their
licensed project(s), have already done so. For this reason, we
estimated in the NOPR that no incremental burden or cost would result
from the proposed addition of subpart F.
163. However, for informational purposes, this final rule now
provides burden and cost estimates for the information collection
activities associated with the Owner's Dam Safety Program. The
Commission recognizes that licensee dam safety programs vary widely
from large utilities with tens or hundreds of dams to small programs
with only a single dam. Therefore, to evaluate the burden and cost
estimates for the Owner's Dam Safety Program and to capture differences
between large and small programs, Commission staff developed separate
estimates for ``Small Programs'' and ``Large Programs,'' reflected in
Tables 1 through 3 below. The ``Small Programs'' category is intended
to represent licensees with smaller dam safety programs based on the
number of dams in their inventory (i.e., less than three high or
significant hazard potential dams). The Commission estimates that
approximately 80% of licensee dam safety programs are considered Small
Programs.
3. Subpart B: Reports and Records
164. The minor revisions to 18 CFR part 12, subpart B require
licensees to report the rescue of any person that occurs at
hydroelectric facilities, which is in addition to the previous
requirements that licensees report public safety incidents that result
in the death or serious injury of any person.
165. With respect to changes to subpart B's information collection
requirements, the Commission received the following comments on 18 CFR
12.10:
A suggestion that a threshold for reporting rescues and
serious injuries should be established by excluding minor incidents not
requiring treatment at a medical facility; and
A request to clarify the reporting requirements for safety
related incidents, including those related to changes in water levels
or flows.
166. In response to the suggestion regarding a threshold for
reporting rescues and serious injuries, the final rule adds new Sec.
12.10(b)(4) to clarify that a serious injury includes any injury that
results in treatment at a medical facility or an on-site response by
licensee staff or another trained professional.
167. To clarify the reporting of safety-related incidents, the
Commission explains that Sec. 12.10(b)(1) provides that an initial
report must be made promptly following any drowning or other incident
resulting in death, serious injury, or rescue that occurs at the
project works or involves project operations. The initial report can be
made by email or telephone. This is a change from the initial written
reporting requirements included in the NOPR. For consistency, the final
rule applies this same change to the reporting requirements for initial
reports of conditions affecting the safety of a project or its works,
found in Sec. 12.10(a) to make clear that initial reports can be made
by email or telephone. Section 12.10(b)(2) provides the requirements
for written reports by outlining three categories of incidents and
indicating whether a written report is required: (i) Any death, serious
injury, or rescue that is considered or alleged to be project-related
(written report required); (ii) any death that is not project-related
(copy of media article or law enforcement report accepted); and (iii)
any serious injury or rescue that is not project-related (no written
report required). The revisions to Sec. 12.10(b) should clarify the
reporting requirements for each type of incident. In addition, the
final rule deletes Sec. 12.10(b)(3) from the NOPR as it provided an
outdated form of hard copy submittal (newspaper clipping). The final
rule also revises Sec. 12.10(b)(3)(iii) to include in the definition
of ``project-related,'' any deaths, serious injuries, or rescues that
``involve of a licensee employee, contractor, or other person
performing work at a licensed project facility and are related in whole
or in part to the work being performed.''
4. Engineering Guidelines
168. The Commission also received comments on the four draft
chapters of the Engineering Guidelines (Chapters 15-18) that were
issued concurrently with the NOPR. Some of these comments were similar
to those received on the NOPR and have been addressed above (e.g.,
additional cost and effort related to new requirements for preparing
preliminary reports, conducting a comprehensive assessment review
meeting, and reviewing and providing supplemental record analyses
included in draft Chapter 16 of the Engineering Guidelines). A few
commenters stated that the scope of the Potential Failure Mode Analysis
in draft Chapter 17 of the Engineering Guidelines is too encompassing
and the risk analysis process described in draft Chapter 18 of the
Engineering Guidelines goes beyond what should be required for a risk
analysis at this level of study and that both will increase costs for
licensees.
169. Regarding the scope of the Potential Failure Mode Analysis,
the Commission carefully evaluated specific weaknesses in the current
Potential Failure Mode Analysis process identified by the Oroville
Forensic Team and their recommendations for improvements to the
process.\130\ The improvements to the Potential Failure Mode Analysis
process, described in Chapter 17 of the Engineering Guidelines, are
necessary to reduce identified shortcomings in the existing process and
to provide a comprehensive and systematic approach to identifying and
evaluating potential failure modes to discover and mitigate future dam
safety concerns and incidents.
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\130\ See supra note 14.
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170. In response to the comment that the risk analysis process
described in Chapter 18 of the Engineering Guidelines goes beyond what
should be required for a risk analysis at this level, the Commission
has reviewed risk analysis approaches and procedures used by other
federal agencies for conducting risk analysis for similar levels of
studies. The Commission has modeled the scope and detail of the Level 2
risk analysis process in Chapter 18 of the Engineering Guidelines after
the Corps and Reclamation's semi-quantitative risk analysis process
documented in their Best Practices in Dam and Levee Safety Risk
Analysis document.\131\ The scope and detail of the Level 2 risk
analysis process also closely follows the periodic risk analysis
described in FEMA's Federal Guidelines for Dam Safety Risk
Management.\132\
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\131\ Reclamation and the Corps, Chapter A-04 Semi-Quantitative
Risk Analysis, Best Practices in Dam and Levee Safety Risk Analysis
(July 2019). https://www.iwrlibrary.us/#/series/Best%20Practices-Manual.
\132\ See supra note 24.
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5. Annual Burden and Cost Estimates
171. The Commission has considered all comments on the NOPR and the
four draft chapters of the Engineering Guidelines in estimating the
incremental burden and cost associated with the revised regulations
adopted in this final rule. Aside from adding the burden and cost
estimates associated with subpart F's Owner's Dam Safety Program for
informational purposes and updating the cost estimates to reflect 2021
dollars, no revisions were made to the burden and cost estimates
provided in the NOPR.
[[Page 1508]]
172. Table 1 itemizes the estimated annual burden \133\ and direct
cost \134\ of the changes resulting from this final rule. Record
keeping requirements are included in the burden and cost estimates for
the development and collection of the data and reports. The final
rule's direct cost estimates have been updated to reflect 2021 dollars.
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\133\ ``Burden'' is the total time, effort, or financial
resources expended by persons to generate, maintain, retain, or
disclose or provide information to or for a Federal agency. For
further explanation of what is included in the information
collection burden, refer to Title 5 Code of Federal Regulations
1320.3.
\134\ Direct costs are those costs (generally labor costs)
associated with the applicant's or licensee's staff in the
performance of the efforts related to the final rule. These do not
include the costs for professional services, although the direct
costs do include the costs associated with the applicant's or
licensee's administration and execution of contracts for
professional services.
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\135\ Commission staff believes that, in terms of cost for wages
and benefits, industry is similarly situated to Commission staff.
Therefore, we are using the FERC 2021 average cost (for wages plus
benefits) for one FERC full-time equivalent (FTE) of $180,703 (or
$87.00 per hour). We note that the NOPR provided cost estimates in
2020 dollars.
\136\ As defined by 18 CFR 12.1(a)(2).
\137\ As defined by 18 CFR 12.1(a)(1) and (a)(3).
\138\ Revisions of 18 CFR 12.10(b)(1), 12.10(b)(2), and
12.10(b)(4) for written reports of project-related deaths, serious
injuries, or rescues at project works or involving project
operations.
\139\ Commission staff assumes the average number of respondents
who will file a 12.10(b) public safety incident report documenting a
rescue at a hydroelectric project will equal the average number of
respondents who filed a 12.10(b) public safety incident report
documenting a death or serious injury over the 10-year period from
January 1, 2009 through December 31, 2018.
\140\ Commission staff assumes the average number of 12.10(b)
public safety incident reports documenting rescues at hydroelectric
projects will equal the average number of 12.10(b) reports for
deaths and serious injuries over the 10-year period from January 1,
2009 through December 31, 2018.
\141\ Commission staff estimates no incremental change in direct
costs due to the final rule change as compared to the current burden
and costs.
\142\ Includes direct costs associated with the preparation and
submittal of Independent Consultant Team Proposals (18 CFR 12.34)
and Reports for Periodic Inspections and Comprehensive Assessments
(18 CFR 12.36 and 12.38).
\143\ Approximately 750 project developments licensed by the
Commission will be subject to the reporting requirement changes
resulting from this final rule. This table defines a single response
as the consolidated filings associated with the typical 10-year
cycle for Independent Consultant's Safety Inspections, which would
take effect following implementation of a final rule. A single
response includes one each of the reports and other filings required
under the scope of a Periodic Inspection and a Comprehensive
Assessment. Thus, the total number of responses over a 10-year
period will be the number of projects (750), divided equally between
the ``Simple'' and ``Complex'' categories of hydroelectric
facilities.
\144\ As previously noted, this table defines a single response
as the consolidated filings associated with the typical 10-year
cycle for Independent Consultant's Safety Inspections. Therefore,
the number of annual responses is averaged over the 10-year period,
or 0.1 responses on average per year.
\145\ See supra note 141.
\146\ Burden costs include hourly wages estimated based on
complexity of project, scope of inspection, experience and number of
assigned staff, and were compared to industry estimates provided by
fewer than nine industry representatives who were contacted by
Commission staff.
\147\ 18 CFR 12.33(a) includes a provision for licensees to
submit a written request to be excluded from the requirements of
Subpart D.
\148\ A small program is a licensee with less than three high or
significant hazard potential dams or other project works.
\149\ Commission staff assumes the number of respondents who
will file an Owner's Dam Safety Program document will equal the
number of respondents who filed an original Owner's Dam Safety
Program document over the period from January 1, 2013, through
December 31, 2019. Commission staff estimates that 80% of the
respondents are from small programs. Thus, the total number of
responses (225) times 0.8 is the number of responses from licensees
from small programs.
\150\ The number of annual responses is averaged over the five-
year period, or 0.2 responses on average per year.
\151\ Burden costs include hourly wages estimated based on
complexity of project, size of program, and scope based on
Commission staff estimate.
\152\ A large program is a licensee with three or more high or
significant hazard potential dams or other project works.
\153\ Commission staff assumes the number of respondents who
will file an Owner's Dam Safety Program document will equal the
number of respondents who filed an original Owner's Dam Safety
Program document over the period from January 1, 2013, through
December 31, 2019. Commission staff estimates that 20% of the
respondents are from large programs. Thus, the total number of
responses (225) times 0.2 is the number of responses from licensees
from large programs.
\154\ See supra note 149.
\155\ See supra note 150.
\156\ Commission staff assumes the number of respondents who
will file an Owner's Dam Safety Program document will equal the
number of respondents that filed an original Owner's Dam Safety
Program document over the period from January 1, 2013, through
December 31, 2019.
\157\ Commission staff assumes the number of respondents who
will file an Owner's Dam Safety statement of qualification for
external audit or peer review will equal the total number of
respondents that filed an original statement of qualification for
external audit or peer review over the period from January 1, 2013,
through December 31, 2019.
\158\ See supra note 149.
\159\ Commission staff assumes the number of respondents that
will file an Owner's Dam Safety report of external audit or peer
review will equal the number of respondents that filed an original
Owner's Dam Safety Program report of external audit or peer review
over the period from January 1, 2013, through December 31, 2019.
Commission staff estimates that 80% of the respondents are from
small programs. Thus, the total number of responses (225) times 0.8
is the number of responses from licensees from small programs.
\160\ Commission staff assumes the number of respondents that
will file an Owner's Dam Safety report of external audit or peer
review will equal the number of respondents that filed an original
Owner's Dam Safety Program report of external audit or peer review
over the period from January 1, 2013, through December 31, 2019.
Commission staff estimates that 20% of the respondents are from
large programs. Thus, the total number of responses (225) times 0.2
is the number of responses from licensees from large programs.
\161\ Commission staff assumes the average number of respondents
that will file a request for an extension of time to file an Owner's
Dam Safety Program submittal will equal the average number of
respondents that filed such a request from January 1, 2013, through
December 31, 2019.
Table 1--Annual Burden and Direct Cost Changes Resulting From the Final Rule
in Docket No. RM20-9-000 \135\
--------------------------------------------------------------------------------------------------------------------------------------------------------
Average number Total number of
Number of of annual Average annual annual responses Total annual burden hours
Type of respondent Type of response respondents responses per burden hours and (Col. C x Col. and cost (Col. E x Col. F)
respondent cost per response D)
A. B.................. C. D. E.................. F. G.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Applicant \136\ or Licensee Reports of Project- \139\ 65 \140\ 2.14 2 hrs.; $174....... 139 278 hrs.; $24,186.
\137\. Related Deaths,
Serious Injuries,
or Rescues\138\.
Licensee of Simple Hydro Ind. Cons. Team \143\ 375 \144\ 0.1 0 hrs.; $0......... 37.5 0 hrs.; $0.
Facility \141\. Proposals and
Reports on PIs and
CAs \142\.
Licensee of Complex Hydro Ind. Cons. Team 375 0.1 \146\ 0.6 hrs.; 37.5 22.5 hrs.; $1,957.50.
Facility. Proposals and $52.20.
Reports on PIs and
CAs \145\.
Licensee........................ Exemption Requests 10 1 2 hrs.; $174....... 10 20 hrs.; $1,740.
\147\.
Licensee of a Small Program Owner's Dam Safety \149\ 180 \150\ 0.2 \151\ 60 hrs.; 36 2160 hrs.; $187,920.
\148\ with a High or Program (ODSP) $5,220.
Significant Hazard Potential Document.
Dam or Other Project Work.
[[Page 1509]]
Licensee of a Large Program ODSP Document...... \153\ 45 \154\ 0.2 \155\ 120 hrs.; 9 1080 hrs.; $93,960.
\152\ with a High or $10,440.
Significant Hazard Potential
Dam or Other Project Work.
Licensee with a High or ODSP Document \156\ 225 1 6 hrs.; $522....... 225 1350 hrs.; $117,450.
Significant Hazard Potential Revisions.
Dam or Other Project Work.
Licensee with a High or ODSP External Audit \157\ 225 \158\ 0.2 2 hrs.; $174....... 45 90 hrs.; $7,830.
Significant Hazard Potential or Peer Review
Dam or Other Project Work. Qualification
Statement.
Licensee of Small Program with a ODSP External \159\ 180 0.2 2 hrs.; $174....... 36 72 hrs.; $6,264.
High or Significant Hazard Audits or Peer
Potential Dam or Other Project Review Report.
Work.
Licensee of Large Program with a ODSP External \160\ 45 0.2 2 hrs.; $174....... 9 18 hrs.; $1,566.
High or Significant Hazard Audits or Peer
Potential Dam or Other Project Review Report.
Work.
Licensee with a High or ODSP Extension of \161\ 5 1 4 hrs.; $348....... 5 20 hrs.; $1,740.
Significant Hazard Potential Time Request.
Dam or Other Project Work.
--------------------------------------------------------------------------------------------------
Totals...................... ................... 1,730 .............. ................... 589 5,110.5 hrs.; $444,613.50.
--------------------------------------------------------------------------------------------------------------------------------------------------------
173. Table 2 itemizes the estimated annual burden and annual
contracting costs for professional services \162\ of the information
collections that are affected by this final rule. Record keeping
requirements are included in the burden and cost estimates for the
development and collection of the data and reports. The final rule's
cost estimates for professional services have been updated to reflect
2021 dollars.
---------------------------------------------------------------------------
\162\ Contracting costs include costs for professional services,
including labor, travel and subsistence, and other indirect costs
incurred by the contractor or consultant. Contracting costs do not
include direct costs incurred by the applicant or licensee in the
administration or execution of the contract for professional
services; those are included in the previous table, as applicable.
\163\ As defined by 18 CFR 12.1(a)(2).
\164\ As defined by 18 CFR 12.1(a)(1) and (a)(3).
\165\ Revisions of 18 CFR 12.10(b)(1), (b)(2), and (b)(4) for
written reports of project-related deaths, serious injuries, or
rescues at project works or involving project operations.
\166\ Includes contracting costs for professional services
associated with the preparation and submittal of Independent
Consultant Team Proposals (18 CFR 12.34) and Reports for Periodic
Inspections and Comprehensive Assessments (18 CFR 12.36 and 12.38).
\167\ Approximately 750 project developments licensed by the
Commission will be subject to the reporting requirement changes
resulting from this final rule. This table defines a single response
as the consolidated filings associated with the typical 10-year
cycle for Independent Consultant's Safety Inspections, which would
take effect following implementation of a final rule. A single
response includes one each of the reports and other filings required
under the scope of a Periodic Inspection and a Comprehensive
Assessment. Thus, the total number of responses over a 10-year
period will be the number of projects (750), divided equally between
the ``Simple'' and ``Complex'' categories of hydroelectric
facilities.
\168\ As previously noted, this table defines a single response
as the consolidated filings associated with the typical 10-year
cycle for Independent Consultant's Safety Inspections. Therefore,
the number of annual responses is averaged over the 10-year period,
or 0.1 responses on average per year.
\169\ Burden costs include hourly wages estimated based on
complexity of project, scope of inspection, experience and number of
assigned staff, and were compared to industry estimates provided by
fewer than nine industry representatives. 2020 cost information
escalated by five percent to 2021 costs.
\170\ See supra note 165.
\171\ See supra note 168.
\172\ 18 CFR 12.33(a) includes a provision for licensees to
submit a written request to be excluded from the requirements of
subpart D.
\173\ Commission staff assumes the number of respondents that
will file an Owner's Dam Safety Program statement of qualification
for external audit or peer review will equal the number of
respondents that filed an original statement of qualification for
external audit or peer review over the period from January 1, 2013,
through December 31, 2019.
\174\ The number of annual responses is averaged over the five-
year period, or 0.2 responses on average per year.
\175\ Commission staff assumes the number of respondents that
will file an Owner's Dam Safety report of audit or peer review will
equal the number of respondents who filed an original Owner's Dam
Safety Program report of audit or peer review over the period from
January 1, 2013, through December 31, 2019. Commission staff
estimates that 80% of the respondents are from small programs. Thus,
the total number of responses (225) times 0.8 is the number of
responses from licensees from small programs.
\176\ Burden costs include hourly wages estimated based on
complexity of project, size of program, and scope based on
Commission staff estimate.
\177\ Commission staff assumes the number of respondents who
will file an Owner's Dam Safety report of external audit or peer
review will equal the number of respondents that filed an original
Owner's Dam Safety Program report of external audit or peer review
over the period from January 1, 2013, through December 31, 2019.
Commission staff estimates that 20% of the respondents are from
large programs. Thus, the total number of responses (225) times 0.2
is the number of responses from licensees from large programs.
[[Page 1510]]
Table 2--Annual Burden and Contracting Cost for Professional Services Changes Resulting From the Final Rule in Docket No. RM20-9-000
--------------------------------------------------------------------------------------------------------------------------------------------------------
Average number Total number of
Number of of annual Average annual annual responses Total annual burden hours
Type of respondent Type of response respondents responses per burden hours and (Col. C x Col. and cost (Col. E x Col. F)
respondent cost per response D)
A. B.................. C. D. E.................. F. G.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Applicant \163\ or Licensee Reports of Project- There are no anticipated costs for contracted professional services affected by this final rule.
\164\. Related Deaths,
Serious Injuries,
or Rescues \165\.
--------------------------------------------------------------------------------------------------
Licensee of Simple Hydro Ind. Cons. Team \167\ 375 \168\ 0.1 12 hrs.; \169\ 37.5 450 hrs.; $99,412.50.
Facility. Proposals and $2,651.
Reports on PIs and
CAs \166\.
Licensee of Complex Hydro Ind. Cons. Team 375 0.1 32 hrs.; \171\ 37.5 1,200 hrs.; $274,837.50.
Facility. Proposals and $7,329.
Reports on PIs and
CAs \170\.
Licensee........................ Exemption Requests There are no anticipated costs for contracted professional services affected by this final rule.
\172\.
--------------------------------------------------------------------------------------------------
Licensee of a Small Program with ODSP Document...... There are no anticipated costs for contracted professional services affected by this final rule
a High or Significant Hazard change.
Potential Dam or Other Project
Work.
--------------------------------------------------------------------------------------------------
Licensee of a Large Program with ODSP Document...... There are no anticipated costs for contracted professional services affected by this final rule
a High or Significant Hazard change.
Potential Dam or Other Project
Work.
--------------------------------------------------------------------------------------------------
Licensee with a High or ODSP Document There are no anticipated costs for contracted professional services affected by this final rule
Significant Hazard Potential Revisions. change.
Dam or Other Project Work.
--------------------------------------------------------------------------------------------------
Licensee with a High or ODSP External Audit \173\ 225 \174\ 0.2 6 hrs; $522........ 45 270 hrs; $23,490.
Significant Hazard Potential or Peer Review
Dam or Other Project Work. Qualification
Statement.
Licensee of a Small Program with ODSP External Audit \175\ 180 0.2 60 \176\ hrs; 36 2160 hrs; $567,000.
a High or Significant Hazard or Peer Review $15,750.
Potential Dam or Other Project Report.
Work.
Licensee of a Large Program with ODSP External \177\ 45 0.2 240 hrs; $75,600... 9 2160 hrs; $680,400.
a High or Significant Hazard Audits or Peer
Potential Dam or Other Project Review Report.
Work.
--------------------------------------------------------------------------------------------------
Licensee with a High or ODSP Extension of There are no anticipated costs for contracted professional services affected by this final rule
Significant Hazard Potential Time Request. change.
Dam or Other Project Work.
--------------------------------------------------------------------------------------------------
Totals...................... ................... 1200 .............. ................... 165 6,240 hrs.; $1,645,140
--------------------------------------------------------------------------------------------------------------------------------------------------------
174. Table 3 itemizes the estimated annual burden and total cost
(direct costs [from Table 1] and costs for contracted professional
services [from Table 2]), of the changes due to this final rule. Record
keeping requirements are included in the burden and cost estimates for
the development and collection of the data and reports.
---------------------------------------------------------------------------
\178\ As defined by 18 CFR 12.1(a)(2).
\179\ As defined by 18 CFR 12.1(a)(1) and (a)(3).
\180\ Revisions of 18 CFR 12.10(b)(1), (b)(2), and (b)(4) for
written reports of project-related deaths, serious injuries, or
rescues at project works or involving project operations.
\181\ Includes direct and contracting burden and cost.
\182\ Includes direct costs associated with the preparation and
submittal of Independent Consultant Team Proposals (18 CFR 12.34)
and Reports for Periodic Inspections and Comprehensive Assessments
(18 CFR 12.36 and 12.38).
\183\ Includes direct and contracting burden and cost.
\184\ 18 CFR 12.33(a) includes a provision for Licensees to
submit a written request to be excluded from the requirements of
subpart D.
\185\ Includes direct and contracting burden and cost.
\186\ Includes direct and contracting burden and cost.
\187\ Includes direct and contracting burden and cost.
Table 3--Total Annual Burden and Cost Changes Resulting From the Final Rule in Docket No. RM20-9-000
--------------------------------------------------------------------------------------------------------------------------------------------------------
Average number Total number of
Number of of annual Average annual annual responses Total annual burden hours
Type of respondent Type of response respondents responses per burden hours and (Col. C x Col. and cost (Col. E x Col. F)
respondent cost per response D)
A. B.................. C. D. E.................. F. G.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Applicant \178\ or Licensee Reports of Project- 65 2.14 2 hrs.; $174....... 139 278 hrs.; $24,186.
\179\. Related Deaths,
Serious Injuries,
or Rescues \180\.
Licensee of Simple Hydro Ind. Cons. Team 375 0.1 12 hrs.; $2,651.... 37.5 450 hrs.; $99,412.50.
Facility \181\. Proposals and
Reports on PIs and
CAs \182\.
Licensee of Complex Hydro Ind. Cons. Team 375 0.1 32.6 hrs.; 37.5 1,222.5 hrs.; $276,795.
Facility \183\. Proposals and $7,381.20.
Reports on PIs and
CAs.
Licensee........................ Exemption Requests 10 1 2 hrs.; $174....... 10 20 hrs.; $1,740.
\184\.
[[Page 1511]]
Licensee of a Small Program with ODSP Document...... 180 0.2 60 hrs.; $5,220.... 36 2160 hrs.; $187,920.
a High or Significant Hazard
Potential Dam or Other Project
Work.
Licensee of a Large Program with ODSP Document...... 45 0.2 120 hrs.; $10,440.. 9 1080 hrs.; $93,960.
a High or Significant Hazard
Potential Dam or Other Project
Work.
Licensee with a High or ODSP Document 225 1 6 hrs.; $522....... 225 1350 hrs.; $117,450.
Significant Hazard Potential Revisions.
Dam or Other Project Work.
Licensee with a High or ODSP External Audit 225 0.2 8 hrs.; $696....... 45 360 hrs; $31,320.
Significant Hazard Potential or Peer Review
Dam or Other Project Work \185\. Qualification
Statement.
Licensee of a Small Program with ODSP External 180 0.2 62 hrs.; $15,924... 36 2232 hrs.; $573,264.
a High or Significant Hazard Audits or Peer
Potential Dam or Other Project Review Report.
Work \186\.
Licensee of a Large Program with ODSP External Audit 45 0.2 242 hrs.; $75,774.. 9 2178 hrs.; $681,966.
a High or Significant Hazard or Peer Review
Potential Dam or Other Project Report.
Work \187\.
Licensee with a High or ODSP Extension of 5 1 4 hrs.; $348....... 5 20 hrs.; $1,740.
Significant Hazard Potential Time Request.
Dam or Other Project Work.
--------------------------------------------------------------------------------------------------
Total Direct Costs & ................... 1730 .............. ................... 589 11,350.5 hrs.;
Contracting Costs due to $2,089,753.50.
Final Rule in RM20-9-000 &
AD20-20, -21, -22, & -23.
--------------------------------------------------------------------------------------------------------------------------------------------------------
175. Title: FERC-517, Safety of Water Power Projects and Project
Works.
176. Action: Revision to the scope of independent consultant safety
inspections and reports, codification of the Owner's Dam Safety
Program, and addition of reporting requirements related to public
safety incidents at hydroelectric projects.
177. OMB Control No.: 1902-TBD.
178. Respondents: Hydroelectric licensees (and applicants, as
applicable), including municipalities, businesses, private citizens,
and for-profit and not-for-profit institutions.
179. Frequency of Information: On occasion, except for reports on
periodic inspections and comprehensive assessment, which must be
submitted under 18 CFR 12.40:
For any project that was inspected in accordance with 18
CFR part 12 prior to January 1, 2022, a periodic inspection or
comprehensive assessment must be completed, and a report on it filed,
within five years of the due date of the most recent report. In
addition, the first comprehensive assessment must be completed, and the
report on it filed, by December 31, 2038.
A licensed project development is subject to a different
set of deadlines if the development was not inspected in accordance
with 18 CFR part 12 prior to January 1, 2022, under the Commission's
rules in effect on January 1, 2020. In these circumstances, the first
comprehensive assessment and the report on it are due:
[cir] Not later than two years after the date of issuance of the
order licensing a development or amending a license to include that
development, if the development meets the criteria specified in
Sec. Sec. 12.30(a)(1) or 12.30(a)(2), and was constructed before the
date of issuance of such order.
[cir] Not later than five years after the date of issuance of the
order licensing that development, or amending a license to include that
development, if the development was constructed after the date of
issuance of such order.
[cir] No later than two years after a date specified by the
Regional Engineer, for other developments that were not inspected prior
to January 1, 2022, under the Commission's rules in effect on January
1, 2020.
180. Necessity of Information: The revisions in this final rule are
necessary to enhance the ability of Commission staff to protect the
safety of dams and the public; to reduce the risk to life, health, and
property associated with hydroelectric projects; and to comply with
guidance from FEMA's Interagency Committee on Dam Safety.
181. Internal Review: The Commission has reviewed the revisions and
has determined that they are necessary. These requirements conform to
the Commission's need for efficient information collection,
communication, and management within the energy industry. The
Commission has specific, objective support for the burden estimates
associated with the information collection requirements.\188\
---------------------------------------------------------------------------
\188\ Commission staff contacted fewer than nine parties to
obtain supporting information in order to benchmark burden
estimates.
---------------------------------------------------------------------------
182. Interested persons may obtain information on the reporting
requirements by contacting the Federal Energy Regulatory Commission at
one of the following methods:
USPS: Federal Energy Regulatory Commission, Ellen Brown,
Office of the Executive Director, 888 First Street NE, Washington, DC
20426.
Hard copy communication other than USPS: Federal Energy
Regulatory Commission, Ellen Brown, Office of the Executive Director,
12225 Wilkins Avenue, Rockville, Maryland 20852.
Email: [email protected].
Phone: (202) 502-8663, or by fax: (202) 273-0873.
183. Please send comments concerning the collection of information
and the associated burden estimates to: Office of Information and
Regulatory Affairs, Office of Management and Budget [Attention: Federal
Energy Regulatory Commission Desk Officer]. Due to security concerns,
comments should be sent directly to
[[Page 1512]]
www.reginfo.gov/public/do/PRAMain. Comments submitted to OMB should be
sent within 30 days of publication of this notice in the Federal
Register and refer to FERC-517 and OMB Control No. 1902-TBD.
B. Environmental Analysis
184. The Commission is required to prepare an environmental
assessment or an environmental impact statement for any action that may
have a significant effect on the human environment.\189\ Excluded from
this requirement are rules that are clarifying, corrective, or
procedural, or that do not substantially change the effect of
legislation or the regulations being amended.\190\ This final rule
revises the Commission's dam safety regulations by incorporating a two-
tier structure for independent consultant safety inspections, codifying
guidance requiring licensees to develop an owner's dam safety program
and a public safety plan; expanding the scope of public safety incident
reporting; and incorporating various minor revisions. Because this
final rule does not substantially change the effect of the Commission's
part 12 regulations, preparation of an environmental assessment or
environmental impact statement is not required.
---------------------------------------------------------------------------
\189\ Regulations Implementing the National Environmental Policy
Act of 1969, Order No. 486, 52 FR 47897 (Dec. 17, 1987), FERC Stats.
& Regs. ] 30,783 (1987) (cross-referenced at 41 FERC ] 61,284).
\190\ 18 CFR 380.4(a)(2)(ii) (2021).
---------------------------------------------------------------------------
C. Regulatory Flexibility Act
185. The Regulatory Flexibility Act of 1980 (RFA) \191\ generally
requires a description and analysis of final rules that will have
significant economic impact on a substantial number of small entities.
The RFA mandates consideration of regulatory alternatives that
accomplish the stated objectives of a final rule and minimize any
significant economic impact on a substantial number of small
entities.\192\ In lieu of preparing a regulatory flexibility analysis,
an agency may certify that a final rule will not have a significant
economic impact on a substantial number of small entities.\193\
---------------------------------------------------------------------------
\191\ 5 U.S.C. 601-612.
\192\ Id. 603(c).
\193\ Id. 605(b).
---------------------------------------------------------------------------
186. The Small Business Administration's (SBA) Office of Size
Standards develops the numerical definition of a small business.\194\
The SBA size standard for electric utilities is based on the number of
employees, including affiliates.\195\ Under SBA's current size
standards, a hydroelectric power generator (NAICS code 221111) \196\ is
small if, including its affiliates, it employs 500 or fewer
people.\197\
---------------------------------------------------------------------------
\194\ 13 CFR 121.101 (2021).
\195\ Id. 121.201.
\196\ The North American Industry Classification System (NAICS)
is an industry classification system that Federal statistical
agencies use to categorize businesses for the purpose of collecting,
analyzing, and publishing statistical data related to the U.S.
economy. United States Census Bureau, North American Industry
Classification System, https://www.census.gov/eos/www/naics/.
\197\ 13 CFR 121.201 (Sector 22--Utilities).
---------------------------------------------------------------------------
187. The final rule's revisions to part 12, subpart D would
directly affect all licensees that are currently required to file
independent consultant safety inspection reports. Since the number of
licensed projects per respondent varies from one to more than 50, the
number of respondents does not correlate directly to the number of
responses. Based on data over the preceding 10-year-period, Commission
staff estimated the expected number of responses from entities that
qualify as small. In total, approximately 132 entities qualify as small
and would be expected to file approximately 225 responses (30%) with
the Commission over the 10-year cycle. The remaining 525 responses
(70%) would be filed by 106 entities that do not qualify as small.
188. The Commission notes that the projects owned by entities that
qualify as small entities are typically smaller and/or less complex
than those owned by large entities. Thus, the annual incremental cost
to small entities would likely skew towards the ``Simple Hydroelectric
Facility'' category presented in the burden estimates provided above in
the Information Collection Statement section.\198\ In addition, this
final rule incorporates provisions that grant Commission staff the
authority, upon demonstration by the licensee and Commission review and
acceptance of appropriate justification, to waive or reduce the scope
of specific components of an independent consultant safety inspection
(e.g., waiving the requirement to perform a Potential Failure Mode
Analysis or risk analysis) or to change the type of inspection report
(e.g., by allowing an inspection scheduled as a comprehensive
assessment to be performed instead as a periodic inspection). The
Commission has included these provisions to focus effort on those
projects that present greater risk to life, health, and property, and
to alleviate the potential economic impact on licensees of simple
projects that present less risk. Since the burden estimates include all
components of an independent consultant safety inspection, utilization
of these provisions may result in a lower incremental cost for small
entities.
---------------------------------------------------------------------------
\198\ See discussion and accompanying tables supra Part V.A.
---------------------------------------------------------------------------
189. The addition of part 12, subpart F, which codifies the Owner's
Dam Safety Program, would apply only to entities that are responsible
for one or more projects classified as having a high hazard potential.
The Commission expects the Owner's Dam Safety Program to improve
communication and understanding within licensee organizations as to
their responsibilities for ensuring dam safety and protection of the
public, and may contribute to an increased likelihood that preventable
dam safety issues are caught and addressed before they present an
imminent danger to life safety or property. Because those licensees
required to prepare an Owner's Dam Safety Program due to their
project's hazard potential classification have already done so,\199\
the Commission does not anticipate that the addition of subpart F will
be unduly burdensome on licensees, regardless of their status as a
small or large entity.
---------------------------------------------------------------------------
\199\ See supra P 155.
---------------------------------------------------------------------------
190. With respect to the filing of public safety incidents
involving the rescue of any person at a hydroelectric facility, the
Commission estimates that most affected entities qualify as small
entities. But, as reflected in the burden and cost estimates provided
above, the Commission expects an additional two burden hours (and
corresponding $166, an amount that would not be considered significant)
for licensees or applicants, regardless of their status as small or
large.
191. While the revisions to subpart D may have some increased
economic impact on a limited number of small entities, these
improvements to the independent consultant safety inspection process
are necessary, and the associated costs justified, by the Commission's
Congressionally-mandated mission to ensure the protection of life,
health, and property from risks associated with licensed hydroelectric
facilities. In addition, the revisions to subpart D are intended to
help prevent future dam safety incidents that could potentially result
in significant economic impacts on small entities (e.g., financial
costs associated with causing life loss or property damage, major
project repairs, lost revenue due to the inability to operate the
project, etc.).
192. In summary, based on the estimated costs included in Table 3
above, the estimated economic impacts on small entities as a result of
the final
[[Page 1513]]
rule could range from approximately $174 (for the submittal of a one-
time request for an exemption from part 12, subpart D) to over $7,380
per year for each complex project. A representative cost for a typical
small entity with one or more simple projects would be approximately
$2,650 per year per project subject to part 12, subpart D.\200\
Commission staff estimates that over 80% of the small entities have two
or fewer projects subject to subpart D. The above estimates do not
include the burden and cost associated with the Owner's Dam Safety
Program as those licensees required to prepare an Owner's Dam Safety
Program have already done so. Generally, however, the estimated costs
associated with the Owner's Dam Safety Program for small entities could
range from approximately $3,850 per year for a small program to
approximately $15,825 per year for a large program. Commission staff
estimates that ninety percent of the small entities have small
programs.
---------------------------------------------------------------------------
\200\ Commission staff estimates that more than half of the 132
small entities have one or more simple projects and no complex
projects.
---------------------------------------------------------------------------
193. Accordingly, pursuant to section 605(b) of the RFA, the
Commission certifies that this final rule will not have a significant
economic impact on a substantial number of small entities.
D. Document Availability
194. In addition to publishing the full text of this document in
the Federal Register, the Commission provides all interested persons an
opportunity to view and print the contents of this document via the
internet through the Commission's Home Page (https://www.ferc.gov). At
this time, the Commission has suspended access to the Commission's
Public Reference Room due to the President's March 13, 2020
proclamation declaring a National Emergency concerning the Novel
Coronavirus Disease (COVID-19).
195. From the Commission's Home Page on the internet, this
information is available on eLibrary. The full text of this document is
available on eLibrary in PDF and Microsoft Word format for viewing,
printing, and/or downloading. To access this document in eLibrary, type
the docket number excluding the last three digits of this document in
the docket number field.
196. User assistance is available for eLibrary and the Commission's
website during normal business hours from the Commission's Online
Support at (202) 502-6652 (toll free at 1-866-208-3676) or email at
[email protected], or the Public Reference Room at (202) 502-
8371, TTY (202) 502-8659. Email the Public Reference Room at
[email protected].
E. Effective Date and Congressional Notification
197. These regulations are effective April 11, 2022. The Commission
has determined, with the concurrence of the Administrator of the Office
of Information and Regulatory Affairs of OMB, that this rule is not a
major rule as defined in section 251 of the Small Business Regulatory
Enforcement Fairness Act of 1996.\201\ This rule is being submitted to
the Senate, House, Government Accountability Office, and Small Business
Administration.
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\201\ 5 U.S.C. 804(2).
---------------------------------------------------------------------------
List of Subjects in 18 CFR Part 12
Electric power, Reporting and recordkeeping requirements, Safety.
By direction of the Commission. Commissioner Phillips is not
participating.
Issued: December 16, 2021.
Debbie-Anne A. Reese,
Deputy Secretary.
In consideration of the foregoing, the Federal Energy Regulatory
Commission amends part 12, chapter I, title 18, Code of Federal
Regulations, as follows:
PART 12--SAFETY OF WATER POWER PROJECTS AND PROJECT WORKS
0
1. The authority citation for part 12 is revised to read as follows:
Authority: 16 U.S.C. 791a-825r; 42 U.S.C. 7101-7352.
Subpart A--General Provisions
0
2. Amend Sec. 12.3 by:
0
a. Revising paragraphs (b)(3), (b)(4) introductory text, and
(b)(4)(ii), (v), and (xi);
0
b. Redesignating paragraph (b)(4)(xiii) as (b)(4)(xix);
0
c. Adding a new paragraph (b)(4)(xiii);
0
d. Redesignating paragraph (b)(11) as (b)(14);
0
e. Adding new paragraph (b)(11), (12) and (13).
The revisions and additions read as follows:
Sec. 12.3 Definitions.
* * * * *
(b) * * *
(3) Authorized Commission representative means the Director of the
Office of Energy Projects, the Director of the Division of Dam Safety
and Inspections, the Regional Engineer, or any other member of the
Commission staff whom the Commission may specifically designate.
(4) Condition affecting the safety of a project or project works
means any condition, event, or action at the project which might
compromise the safety, stability, or integrity of any project work or
the ability of any project work to function safely for its intended
purposes, including navigation, water power development, or other
beneficial public uses, including recreation; or which might otherwise
adversely affect life, health, or property. Conditions affecting the
safety of a project or project works include, but are not limited to:
* * * * *
(ii) Failure of, misoperation of, or failure to operate when
attempted any facility that controls the release or storage of
impounded water, such as a gate or a valve;
* * * * *
(v) Internal erosion, piping, slides, or settlements of materials
in any dam, foundation, abutment, dike, or embankment;
* * * * *
(xi) Security incidents (physical and/or cyber);
* * * * *
(xiii) Overtopping of any dam, abutment, or water conveyance;
* * * * *
(11) Water conveyance means any canal, penstock, tunnel, flowline,
flume, siphon, or other project work, constructed or natural, which
facilitates the movement of water for the generation of hydropower,
environmental benefit, or other purpose required by the project
license.
(12) Owner's Dam Safety Program means the written document that
formalizes a licensee's dam safety program, including, but not limited
to, the licensee's dam safety policies; objectives; expectations;
responsibilities; training program; communication, coordination, and
reporting; record keeping; succession planning; continuous improvement;
and audits and assessments.
(13) Hazard potential for any dam or water conveyance is a
classification based on the potential consequences in the event of
failure or misoperation of the dam or water conveyance, and is
subdivided into categories (e.g., Low, Significant, High).
(i) High hazard potential generally indicates that failure or
misoperation will probably cause loss of human life.
(ii) Significant hazard potential generally indicates that failure
or misoperation will probably not cause loss of human life but may have
some amount of economic, environmental, or other consequences.
[[Page 1514]]
(iii) Low hazard potential generally indicates that failure or
misoperation will probably not cause loss of human life but may have
some amount of economic, environmental, or other consequences,
typically limited to project facilities.
* * * * *
0
3. Amend Sec. 12.4 by:
0
a. Revising paragraphs (b)(1)(i), (b)(2)(ii)(B), and (b)(2)(iii)(A) and
(B);
0
b. Adding paragraphs (b)(2)(iii)(C) and (D);
0
c. Adding paragraphs (b)(2)(iii)(C) and (D);
0
d. Revising paragraphs (c)(1), (c)(2) introductory text, and (c)(3);
and
0
e. Adding paragraph (d).
The revisions and addition read as follows:
Sec. 12.4 Staff administrative responsibility and supervisory
authority.
* * * * *
(b) * * *
(1) * * *
(i) Achieving or protecting the safety, stability, security, and
integrity of the project works or the ability of any project work to
function safely for its intended purposes, including navigation, water
power development, or other beneficial public uses; or
(ii) * * *
(2) * * *
(ii) * * *
(B) Any condition affecting the safety of a project or project
works or any death, serious injuries, or rescues that occur at, or
might be attributable to, the water power project;
(iii) * * *
(A) Any emergency action plan filed under subpart C of this part;
(B) Any Owner's Dam Safety Program filed under subpart F of this
part;
(C) Any plan of corrective measures, including related schedules,
submitted after the report of an independent consultant pursuant to
Sec. 12.36 or Sec. 12.38 or any other inspection report; or
(D) Any public safety plan filed under Sec. 12.52(b).
* * * * *
(c) * * *
(1) Any order or directive issued under this part by a Regional
Engineer or other authorized Commission representative may be appealed
to the Commission under Sec. 385.207 of this chapter.
(2) Any order or directive issued under this part by a Regional
Engineer or other authorized Commission representative is immediately
effective and remains in effect until:
* * * * *
(3) An appeal or motion for rescission, amendment, or stay of any
order or directive issued under this part must contain a full
explanation of why granting the appeal or the request for rescission or
amendment of the order or directive, or for stay for the period
requested, will not endanger life, health, or property.
(d) Failure to comply. If a licensee fails to comply with any order
or directive issued under this part by the Commission, a Regional
Engineer, or other authorized Commission representative, the licensee
may be subject to sanctions, including, but not limited to, civil
penalties, orders to cease generation, or license revocation.
Subpart B--Reports and Records
0
4. Amend Sec. 12.10 by revising paragraph (a)(1), the first sentence
of paragraph (a)(2), and paragraph (b) to read as follows:
Sec. 12.10 Reporting safety-related incidents.
(1) * * * Initial reports. An applicant or licensee must report by
email or telephone to the Regional Engineer any condition affecting the
safety of a project or projects works, as defined in Sec. 12.3(b)(4).
The initial report must be made as soon as practicable after that
condition is discovered, preferably within 72 hours, without unduly
interfering with any necessary or appropriate emergency repair, alarm,
or other emergency action procedure.
(2) * * * Following the initial report required in paragraph
(a)(1), the applicant or licensee must submit to the Regional Engineer
a written report on the condition affecting the safety of the project
or project works verified in accordance with Sec. 12.13. * * *
* * * * *
(b) Deaths, serious injuries, or rescues. (1) Initial reports. An
applicant or licensee must report to the Regional Engineer any drowning
or other incident resulting in death, serious injury, or rescue that
occurs at the project works or involves project operation. The initial
report must be made promptly after the incident is discovered, may be
provided via email or telephone, and must include a description of the
cause and location of the incident.
(2) Written reports. Following the initial report required in
paragraph (b)(1), the applicant or licensee must submit to the Regional
Engineer a written report.
(i) For any death, serious injury, or rescue that is considered or
alleged to be project-related, or occurs at the project works, the
applicant or licensee must submit to the Regional Engineer a written
report that describes any remedial actions taken or proposed to avoid
or reduce the chance of similar occurrences in the future. The written
report must be verified in accordance with Sec. 12.13.
(ii) For any death that is not project-related, the applicant or
licensee may report the death by providing a copy of an article from
print or electronic media or a report from a law enforcement agency, if
available.
(iii) Serious injuries and rescues that are not project-related do
not require a written report.
(3) For the purposes of this paragraph (b), project-related
includes any deaths, serious injuries, or rescues that:
(i) Involve a project dam, spillway, intake, outlet works,
tailrace, power canal, powerhouse, powerline, other water conveyance,
or other appurtenances;
(ii) Involve changes in water levels or flows caused by generating
units, project gates, or other flow regulating equipment;
(iii) Involve a licensee employee, contractor, or other person
performing work at a licensed project facility and are related in whole
or in part to the work being performed; or
(iv) Are otherwise attributable to project works and/or project
operations.
(5) For the purposes of this paragraph (b), serious injury includes
any injury that results in treatment at a medical facility or a
response by licensee staff or another trained professional.
0
5. Amend Sec. 12.12 by revising paragraphs (a)(1)(ii) and (b)(3) and
adding paragraph (d) to read as follows:
Sec. 12.12 Maintenance of records.
(a) * * *
(1) * * *
(ii) Instrumentation observations and data collected during
construction, operation, or maintenance of the project, including
continuously maintained tabular records and graphs illustrating the
data collected pursuant to Sec. 12.51; and
* * * * *
(b) * * *
(3) In accordance with the provisions of part 125 of this chapter,
the applicant or licensee may select its own storage media to maintain
original records or record copies at the project site, provided that
appropriate equipment is available to view the records.
* * * * *
(d) Provision of records. If the project is subject to subpart D of
this part, or if requested by the Regional Engineer, the applicant or
licensee must provide to the Regional Engineer physical and electronic
copies of the documents
[[Page 1515]]
listed in paragraph (a)(1) of this section, except as provided in
paragraph (a)(2) of this section.
Subpart C--Emergency Action Plans
Sec. 12.20 [Amended]
0
6. Amend Sec. 12.20 in paragraph (a) by removing the words ``three
copies of''.
Sec. 12.22 [Amended]
0
7. Amend Sec. 12.22 as follows:
0
a. In paragraph (a)(1) introductory text, remove the phrase ``conform
with the guidelines established, and from time to time revised, by the
Director of the Office of Energy Projects (available from the division
of Inspections or the Regional Engineer) to''; and
0
b. In paragraph (a)(2) introductory text, remove ``conforming with the
guidelines established by the Director of the Office of Energy
Projects''.
Sec. 12.24 [Amended]
0
8. Amend Sec. 12.24 in paragraph (c)(3) by removing the words ``three
copies of''.
0
9. Revise subpart D to read as follows:
Subpart D--Review, Inspection, and Assessment by Independent Consultant
Sec.
12.30 Applicability.
12.31 Definitions.
12.32 General inspection requirement.
12.33 Exemption.
12.34 Approval of independent consultant team.
12.35 Periodic inspection.
12.36 Report on a period inspection.
12.37 Comprehensive assessment.
12.38 Report on a comprehensive assessment.
12.39 Evaluation of spillway adequacy.
12.40 Time for inspections and reports.
12.41 Corrective measures.
12.42 Preliminary reports.
Subpart D--Review, Inspection, and Assessment by Independent
Consultant
Sec. 12.30 Applicability.
This subpart D applies to any licensed project development that:
(a) Has a dam
(1) That is more than 32.8 feet (10 meters) in height above
streambed, as defined in Sec. 12.31(c); or
(2) With an impoundment gross storage capacity of more than 2,000
acre-feet (2.5 million cubic meters), as defined in Sec. 12.31(d);
(b) Has a project work (dam or water conveyance) or any portion
thereof that has a high hazard potential, as defined in Sec.
12.3(b)(13)(i); or
(c) Is determined by the Regional Engineer or other authorized
Commission representative to require inspection by an independent
consultant under this subpart D.
Sec. 12.31 Definitions.
For purposes of this subpart D:
(a) Independent consultant means any person who:
(1) Is a licensed professional engineer;
(2) Has at least 10 years of experience and expertise in dam design
and construction and in the investigation of the safety of existing
dams;
(3) Is not an employee of the licensee or its affiliates;
(4) Has not been an employee of the licensee or its affiliates
within two years prior to performing engineering and/or scientific
services for an inspection or assessment under this subpart D; and
(5) Has not been an agent acting on behalf of the licensee or its
affiliates, prior to performing engineering and/or scientific services
for an inspection or assessment under this subpart D.
(b) An independent consultant team means a group of one or more
people that:
(1) Includes at least one independent consultant, as defined in
paragraph (a) of this section;
(2) Includes additional qualified engineering and scientific
professionals as supporting team members, as needed, who meet the
requirements of paragraphs (a)(3) through (5) of this section;
(3) Has demonstrable experience and expertise in dam design,
construction, and the evaluation and assessment of the safety of
existing dams and their appurtenances, commensurate with the scale,
complexity, and relevant technical disciplines of the project and type
of review, inspection, and assessment being performed (periodic
inspection or comprehensive assessment, as defined in this section).
(c) Height above streambed means:
(1) For a dam with a spillway, the vertical distance from the
lowest elevation of the natural streambed at the downstream toe of the
dam to the maximum water storage elevation possible without any
discharge from the spillway. The maximum water storage elevation is:
(i) For gated spillways, the elevation of the tops of the gates;
and
(ii) For ungated spillways, the elevation of the spillway crest or
the top of any flashboards, whichever is higher.
(2) For a dam without a spillway, the vertical distance from the
lowest elevation of the natural streambed at the downstream tow of the
dam to the lowest point on the crest of the dam.
(d) Gross storage capacity means the maximum possible volume of
water impounded by a dam with zero spill, that is, without the
discharge of water over the dam or a spillway.
(e) Periodic inspection means an inspection that meets the
requirements of Sec. 12.35 and is performed by an independent
consultant team.
(f) Comprehensive assessment means a project review, inspection,
and assessment that meets the requirements of Sec. 12.37 and is
performed by an independent consultant team.
(g) Previous Part 12D Inspection means the most recent inspection
performed in accordance with the provisions of this subpart D (a
periodic inspection, comprehensive assessment, or an inspection
performed in accordance with the rules established by Order 122).
(h) Previous Part 12D Report means the report on the Previous Part
12D Inspection.
Sec. 12.32 General inspection requirement.
The project works of each development to which this subpart
applies, excluding transmission and transformation facilities, must be
inspected on a periodic basis by an independent consultant team to
identify any actual or potential deficiencies that might endanger life,
health, or property, including deficiencies that may be in the
condition of those project works or in the quality or adequacy of
project maintenance, safety, methods of operation, analyses, and other
conditions. A report must be prepared by the independent consultant
team, by or under the direction of at least one independent consultant,
who may be a member of a consulting firm, to document the findings and
evaluations made during their inspection. The inspection must be
performed by the independent consultant team, and the report must be
filed by the licensee, in accordance with the procedures in this
subpart D. The licensee must ensure that the independent consultant
team's report meets all of the requirements set forth in this subpart
D.
Sec. 12.33 Exemption.
(a) Upon written request from the licensee, the Director of the
Division of Dam Safety and Inspections may grant an exemption from the
requirements of this subpart D in circumstances that clearly establish
good cause for exemption.
(b) Good cause for exemption may include the finding that the
development in question has no dam, canal, or other water conveyance
except those that meet the criteria for low hazard potential as defined
in Sec. 12.3(b)(13)(iii).
[[Page 1516]]
(c) The Director of the Division of Dam Safety and Inspections, for
good cause shown, may rescind any exemption from this subpart D granted
by the Director, and may require that a comprehensive assessment be
completed prior to considering a subsequent request for exemption from
the licensee.
Sec. 12.34 Approval of independent consultant team.
(a) The licensee must obtain written approval of the independent
consultant team, and the facilitator(s) for a potential failure mode
analysis or risk analysis, from the Director of the Division of Dam
Safety and Inspections, prior to the performance of a periodic
inspection or comprehensive assessment under this subpart D.
(b) At least 180 days prior to performing a periodic inspection or
comprehensive assessment under this subpart D, the licensee must submit
to the Director of the Division of Dam Safety and Inspections, with a
copy to the Regional Engineer, a detailed part 12D inspection plan that
includes an independent consultant team proposal that describes the
technical disciplines and level of expertise required to perform the
inspection.
(1) If the independent consultant team comprises one person, the
detailed independent consultant team proposal must:
(i) Describe the experience of the independent consultant; and
(ii) Show that the independent consultant meets the requirements as
defined in Sec. Sec. 12.31(a) and 12.31(b)(3).
(2) If the independent consultant team comprises more than one
person, the detailed independent consultant team proposal must:
(i) Designate one or more persons to serve as independent
consultant(s);
(ii) Describe the experience of each member of the independent
consultant team;
(iii) Show that each independent consultant meets the requirements
as defined in Sec. 12.31(a);
(iv) Show that each member of the independent consultant team who
is not designated as an independent consultant meets the requirements
as defined in Sec. 12.31(a)(3) through (5); and
(v) Show that the independent consultant team meets the
requirements as defined in Sec. 12.31(b)(3).
(3) If any member of the independent consultant team has performed
or substantially contributed to any previous investigation, analysis,
or other work product that is required to be reviewed and evaluated by
the independent consultant team as part of the inspection being
performed, the independent consultant team proposal must include a
clear delineation of roles and responsibilities that ensures no team
member will be responsible for reviewing and evaluating their own
previous work.
(4) If required information about any supporting team member(s) is
not available at the time the independent consultant team proposal is
submitted to the Director of the Division of Dam Safety and
Inspections, the independent consultant team proposal must state that
the information will be provided in the preliminary report required by
Sec. 12.42.
(5) The 180-day period in paragraph (b) is measured from the
scheduled date of the physical field inspection, potential failure mode
analysis, or risk analysis, whichever occurs first.
(c) Regardless of experience and qualifications, any independent
consultant may be disapproved by the Director of the Division of Dam
Safety and Inspections for good cause, such as having had one or more
reports on an inspection under this subpart D rejected by the
Commission within the preceding five years.
(d) The Director of the Division of Dam Safety and Inspections may,
for good cause shown, grant a waiver of the 10-year requirement in
Sec. 12.31(a)(2). Any petition for waiver under this paragraph must be
filed in accordance with Sec. 385.207 of this chapter.
Sec. 12.35 Periodic inspection.
A periodic inspection must include:
(a) Review of prior reports. The independent consultant team must
review and consider all relevant reports on the safety of the
development made by or written under the direction of Federal or state
agencies, submitted under Commission regulations, or made by other
consultants. The licensee must provide to the independent consultant
team all information and reports necessary to fulfill the requirements
of this section. The independent consultant team must perform
sufficient review to have, at the time of the periodic inspection, a
full understanding of the design, construction, performance, condition,
upstream and downstream hazard, monitoring, operation, and potential
failure modes of the project works.
(b) Physical field inspection. The independent consultant team must
perform a physical field inspection of accessible project works,
including galleries, adits, vaults, conduits, earthen and concrete-
lined spillway chutes, the exterior of water conveyances, and other
non-submerged project works that may require specialized access to
facilitate inspection. The inspection shall include review and
assessment of all relevant data concerning:
(1) Settlement;
(2) Movement;
(3) Erosion;
(4) Seepage;
(5) Leakage;
(6) Cracking;
(7) Deterioration;
(8) Hydraulics;
(9) Hydrology;
(10) Seismicity;
(11) Internal stress and hydrostatic pressures in project
structures and their foundations and abutments;
(12) The condition and performance of foundation drains, dam body
drains, relief wells, and other pressure-relief systems;
(13) The condition and performance of any post-tensioned anchors
installed, and other major modifications completed, to improve the
stability of project works;
(14) The stability of critical slopes adjacent to a reservoir or
project works; and
(15) Regional and site geological conditions.
(c) Review of surveillance and monitoring plan and data. The
independent consultant team must:
(1) Review the surveillance procedures, instrumentation layout,
installation details, monitoring frequency, performance history, data
history and trends, and relevance to potential failure modes; and
(2) Review the frequency and scope of other surveillance
activities.
(d) Review of dam and public safety programs. The independent
consultant team must review the programs specified in this paragraph.
(1) Hazard potential. The independent consultant team must review
the potential inundation area and document any significant changes in
the magnitude and location of the population at risk since the previous
inspection under this subpart D.
(2) Emergency Action Plan. If the project development is subject to
subpart C of this part, the independent consultant team must review the
emergency action plan, including the emergency action plan document
itself, the licensee's training program, and any related time-
sensitivity assessment(s).
(3) Public Safety Program. The independent consultant team must
review the public access restrictions and public safety warning signs
and devices near the project works pursuant to Sec. 12.52.
(4) Owner's Dam Safety Program. If the project is subject to
subpart F of this part, the independent consultant team
[[Page 1517]]
must review the implementation of the licensee's Owner's Dam Safety
Program with respect to the project development being inspected under
this subpart D.
Sec. 12.36 Report on a periodic inspection.
(a) Scope. The report must include documentation of all the items
listed in Sec. 12.35.
(b) Specific evaluation. The report must include specific
evaluation of:
(1) The history of performance of the project works through visual
observations, analysis of data from monitoring instruments, and
previous inspections;
(2) The quality and adequacy of maintenance, surveillance, methods
of project operations, and risk reduction measures for the protection
of public safety and continued project operation;
(3) Potential failure modes, including:
(i) Each identified potential failure mode associated with the
project works and whether any potential failure mode is active or
developing; and
(ii) Whether any inspection observations or other conditions
indicate that an unidentified potential failure mode is active,
developing, or is of sufficient concern to warrant development through
a supplemental potential failure mode analysis;
(4) Whether any observed conditions warrant reconsideration of the
current hazard potential classification; and
(5) The adequacy of the project's:
(i) Emergency action plan;
(ii) Public safety program; and
(iii) Implementation of the Owner's Dam Safety Program with respect
to the project development being inspected under this subpart D.
(c) Changes since the previous inspection. The report must include
a status update and evaluation of any changes since the Previous Part
12D Inspection concerning:
(1) Hydrology. Identify any events that may affect the conclusions
of the hydrologic or hydraulic analyses of record and evaluate the
effect on the safety and stability of project works.
(2) Seismicity. Identify any seismic events that may affect the
conclusions of the seismicity analyses of record and evaluate the
effect on the safety and stability of project works.
(3) Modifications to project works. Identify any modifications made
to project works and evaluate the performance thereof with respect to
the design intent.
(4) Methods of operation. Describe any changes to standard
operating procedures, equipment available for project operation, and
evaluate the effect on the safety and stability of project works.
(5) Results of special inspections. Summarize the findings of any
special inspections (dive inspection, rope-access gate inspection, toe
drain inspection, etc.), if any.
(6) Previous recommendations. List and document the status of
recommendations made by the independent consultant(s) in the Previous
Part 12D Report, and any earlier recommendations that remained
incomplete at the time of the Previous Part 12D Report.
(7) Outstanding studies and studies completed since the previous
inspection. List and document the status of any studies completed since
the Previous Part 12D Inspection and those that remain outstanding at
the time of the periodic inspection.
(d) Recommendations. Based on the independent consultant team's
field observations, evaluations of the project works, and the
maintenance, surveillance, and methods of operation of the development,
the report must contain recommendations by the independent
consultant(s) regarding:
(1) Any corrective measures, described in Sec. 12.41, necessary
for the structures, maintenance or surveillance procedures, or methods
of operation of the project works;
(2) A reasonable time to carry out each corrective measure; and
(3) Any new or additional monitoring instruments, periodic
observations, special inspections, or other methods of monitoring
project works or conditions that may be required.
(e) Dissenting views. If the inspection and report were conducted
and prepared by more than one independent consultant, the report must
clearly identify and describe any dissenting views concerning the
evaluations or recommendations of the report that might be held by any
individual consultant.
(f) List of participants. The report must identify all professional
personnel who have participated in the inspection of the project or in
preparation of the report and the independent consultant(s) who
directed those activities.
(g) Statement of independence. Each independent consultant
responsible for the report must declare that all conclusions and
recommendations in the report are made independently of the licensee,
its employees, and its representatives.
(h) Signature. The report must be signed and sealed, with a
professional engineer's seal, by each independent consultant
responsible for the report.
Sec. 12.37 Comprehensive assessment.
A comprehensive assessment must include:
(a) Review of prior reports and analyses of record. The independent
consultant team must review and consider all relevant reports on the
safety of the development made by or written under the direction of
Federal or state agencies, submitted under Commission regulations, or
made by other consultants. The licensee must provide to the independent
consultant team all information, reports, and analyses of record
necessary to fulfill the requirements of this section.
(1) In addition to the requirements of Sec. 12.35(a), the
independent consultant team must have a full understanding of the risk
associated with the project works.
(2) The independent consultant team shall perform a detailed review
of the as-built drawings; monitoring data; and the methods,
assumptions, calculations, results, and conclusions of the analyses of
record pertaining to:
(i) Geology and seismicity;
(ii) Hydrology and hydraulics;
(iii) Stability and structural integrity of project works; and
(iv) Any other analyses relevant to the safety, stability, and
operation of project works.
(b) Physical field inspection. The independent consultant team must
perform a physical field inspection that complies with Sec. 12.35(b).
(c) Review of surveillance and monitoring plan and data. The
independent consultant team must perform a review of surveillance and
monitoring plan and data that complies with Sec. 12.35(c).
(d) Review of dam and public safety programs. The independent
consultant team must perform a review of dam and public safety programs
that complies with Sec. 12.35(d).
(e) Supporting Technical Information Document. The comprehensive
assessment shall include a review of the Supporting Technical
Information Document.
(f) Potential failure mode analysis. The comprehensive assessment
shall include a potential failure mode analysis.
(g) Risk analysis. The comprehensive assessment shall include a
risk analysis. The Regional Engineer may, for good cause shown, grant a
waiver of the requirement to complete a risk analysis. Any petition for
waiver under this paragraph must be filed in accordance with Sec.
385.207 of this chapter.
[[Page 1518]]
Sec. 12.38 Report on a comprehensive assessment.
(a) Scope. The comprehensive assessment report must include
documentation of all the items listed in Sec. 12.37.
(b) Specific evaluation. In addition to the items listed in Sec.
12.36(b)(1) through Sec. 12.36(b)(5), the comprehensive assessment
report must evaluate:
(1) The adequacy of spillways, including the effects of overtopping
of nonoverflow structures, as described in Sec. 12.39;
(2) The structural adequacy and stability of structures under all
credible loading conditions;
(3) The potential for internal erosion and/or piping of
embankments, foundations, and abutments;
(4) The design and construction practices used during original
construction and subsequent modifications, in comparison with the
industry best practices in use at the time of the inspection under this
subpart D;
(5) The adequacy of the Supporting Technical Information Document
and the attached electronic records; and
(6) The adequacy and findings of the potential failure mode
analysis and risk analysis report(s).
(c) Analyses of record. The comprehensive assessment report must
include the independent consultant team's evaluation of the
assumptions, methods, calculations, results, and conclusions of the
items listed in Sec. 12.37(a)(2)(i) through (iv). The evaluation must:
(1) Address the accuracy, relevance, and consistency with the
current state of the practice of dam engineering;
(2) Be accompanied by sufficient documentation of the independent
consultant team's rationale, including, as needed, new calculations by
the independent consultant team to verify that the assumptions,
methods, calculations, results, and conclusions in the analyses of
record are correct; and
(3) If the independent consultant team is unable to review the
analyses of record for any of the items listed in Sec. 12.37(a)(2)(i)
through (iv); or if the independent consultant team disagrees with the
assumptions, methods, calculations, results, or conclusions therein;
the independent consultant(s) must recommend that the licensee complete
new analyses to address the identified concerns.
(d) Changes since the previous inspection. The requirements of this
section are the same as described in Sec. 12.36(c).
(e) Recommendations. The requirements of this section are the same
as described in Sec. 12.36(d).
(f) Dissenting views. The requirements of this section are the same
as described in Sec. 12.36(e).
(g) List of participants. The requirements of this section are the
same as described in Sec. 12.36(f).
(h) Statement of independence. The requirements of this section are
the same as described in Sec. 12.36(g).
(i) Signature. The requirements of this section are the same as
described in Sec. 12.36(h).
Sec. 12.39 Evaluation of spillway adequacy.
The adequacy of any spillway must be evaluated, as part of a
comprehensive assessment or as otherwise requested by the Regional
Engineer, by considering hazard potential which would result from
failure of the project works during normal and flood flows.
(a) If failure would present a hazard to human life or cause
significant property damage, the independent consultant team must
evaluate the following for floods up to and including the probable
maximum flood:
(1) The ability of project works to withstand the loading or
overtopping which may occur during floods;
(2) The capacity of spillways to prevent the reservoir from rising
to an elevation that would endanger the project works; and
(3) The potential for misoperation of; failure to operate; blockage
of; or debilitating damage to a spillway and its appurtenances
(including but not limited to structural, mechanical, and electrical
components of gates, valves, chutes, and training walls); and the
effect thereof on the maximum reservoir level and potential for
surcharged loading or overtopping to occur during floods.
(b) If failure would not present a hazard to human life or cause
significant property damage, spillway adequacy may be evaluated by
means of a design flood of lesser magnitude than the probable maximum
flood provided that the most recent comprehensive assessment report
required by Sec. 12.38 provides a detailed explanation of and
rationale for the finding that structural failure would not present a
hazard to human life or cause significant property damage.
Sec. 12.40 Time for inspections and reports.
(a) Projects previously inspected by independent consultant. For
any project that was inspected under this subpart D prior to April 11,
2022, under the Commission's rules in effect on January 1, 2022:
(1) A periodic inspection or comprehensive assessment must be
completed, and the report on it filed, within five years of the due
date of the Previous Part 12D Report.
(2) For any report due to be filed under this subpart D after
October 11, 2023, the Regional Engineer may require that it be a report
on a comprehensive assessment or a report on a periodic inspection.
(3) The first comprehensive assessment under this subpart must be
completed, and the report on it filed, by December 31, 2038.
(b) Projects not previously inspected by independent consultant.
For any project that was not inspected under this subpart D prior to
April 11, 2022, under the Commission's rules in effect on January 1,
2022:
(1) For any development that meets the criteria specified in Sec.
12.30(a)(1) or Sec. 12.30(a)(2), and was constructed before the date
of issuance of the order licensing that development, or amending a
license to include that development, the first comprehensive assessment
under this subpart D must be completed, and the report on it filed, not
later than two years after the date of issuance of the order licensing
that development or amending the license to include that development.
(2) For any development that was constructed after the date of
issuance of the order licensing that development, or amending a license
to include that development, the first comprehensive assessment under
this subpart D must be completed, and the report on it filed, not later
than five years after the date of issuance of the order licensing that
development or amending the license to include that development.
(3) For any development not set forth in either paragraph (b)(1) or
(b)(2) of this section, the first comprehensive assessment under this
subpart D must be completed, and the report on it filed, by a date
specified by the Regional Engineer. The filing date must not be more
than two years after the date of notification that a comprehensive
assessment and report under this subpart D are required.
(c) Subsequent inspections and reports. For subsequent reports
filed under this subpart D:
(1) A comprehensive assessment must be completed, and the report on
it filed, within 10 years of the date the previous comprehensive
assessment report was due to be filed.
(2) A periodic inspection must be completed, and the report on it
filed, within five years of the date the previous comprehensive
assessment report was due to be filed.
(d) Extension of time. For good cause shown, the Regional Engineer
may extend the time for filing the report on
[[Page 1519]]
a comprehensive assessment or periodic inspection under this subpart D.
(e) Type of Report. For good cause, the Regional Engineer may
require that any report due to be filed under this subpart D be a
report on a comprehensive assessment or a report on a periodic
inspection, notwithstanding the type of review (periodic inspection or
comprehensive assessment) scheduled to be performed under paragraphs
(c)(1) and (c)(2) of this section.
Sec. 12.41 Corrective measures.
(a) Corrective measures. For items identified during a periodic
inspection or comprehensive assessment as requiring corrective action,
the following conditions apply:
(1) Corrective plan and schedule. (i) Not later than 60 days after
a report on a periodic inspection or comprehensive assessment is filed
with the Regional Engineer, the licensee must submit to the Regional
Engineer a plan and schedule for addressing the recommendations of the
independent consultant(s) and for investigating, designing, and
carrying out any corrective measures that the licensee proposes to
implement.
(ii) The plan and schedule may include any proposal, including
taking no action, that the licensee considers a preferable alternative
to any corrective measure recommended in the report of the independent
consultant(s). Any proposed alternative must be accompanied by the
licensee's complete justification and detailed analysis and evaluation
in support of that alternative.
(2) Carrying out the plan. The licensee must complete all
corrective measures in accordance with the plan and schedule submitted
to, and approved or modified by, the Regional Engineer, and on an
annual basis must submit a status report on the corrective measures
until all have been completed.
(3) Extension of time. For good cause shown, the Regional Engineer
may extend the time for filing the plan and schedule required by this
section.
(b) Emergency corrective measures. The licensee must provide that
if, in the course of a periodic inspection or comprehensive assessment
conducted under this subpart D, an independent consultant discovers any
condition for which emergency corrective measures are advisable, such
as a condition affecting the safety of a project or project works as
defined in Sec. 12.3(b)(4) of this part, the independent consultant
must immediately notify the licensee and the licensee must report that
condition to the Regional Engineer pursuant to Sec. 12.10(a) of this
part. Emergency corrective measures must be included in the corrective
plan and schedule required by paragraph (a)(1) of this section, and are
also subject to paragraphs (a)(2) and (a)(3) of this section.
Sec. 12.42 Preliminary reports.
At least 30 days prior to the performance of a periodic inspection
or comprehensive assessment, a preliminary report prepared by the
independent consultant team must be filed by the licensee with the
Regional Engineer to document the initial findings, understanding, and
preparation of the independent consultant team.
(a) For any periodic inspection, the 30-day period is measured from
the scheduled date of the physical field inspection.
(b) For any comprehensive assessment, the 30-day period is measured
from the scheduled date of the physical field inspection, potential
failure mode analysis, or risk analysis, whichever occurs first.
(c) If the Regional Engineer determines that the preliminary report
does not clearly demonstrate that the independent consultant team is
adequately prepared for the inspection, the Regional Engineer may
require the inspection to be postponed. Any such postponement shall not
constitute good cause for an extension of time under Sec. 12.40(d).
(d) If any required supporting team member information was not
provided with the independent consultant team proposal required by
Sec. 12.34(b), it must be provided with the preliminary report.
Subpart E--Other Responsibilities of Applicant or Licensee
Sec. Sec. 12.40 through 12.44 [Redesignated as Sec. Sec. 12.50
through 12.54]
0
10. Redesignate Sec. Sec. 12.40 through 12.44 as Sec. Sec. 12.50
through 12.54, respectively.
Sec. Sec. 12.55 through 12.59 [Reserved]
0
11. Add reserved Sec. Sec. 12.55 through 12.59.
0
12. Amend newly designated Sec. 12.50 in paragraph (a) by removing
``Sec. 12.39'' and adding in its place ``Sec. 12.41''.
0
13. Revise newly redesignated Sec. 12.52 to read as follows:
Sec. 12.52 Warning and safety devices.
(a) To the satisfaction of, and within a time specified by the
Regional Engineer, an applicant or licensee must install, operate, and
maintain any signs, lights, sirens, barriers, or other safety devices
that may reasonably be necessary or desirable to warn the public of
fluctuations in flow from the project or otherwise to protect the
public in the use of project lands and waters.
(b) The Regional Engineer may require the applicant or licensee to
prepare, periodically update, and file with the Commission a public
safety plan that formalizes the installation, operation, and
maintenance of all necessary public safety devices.
Sec. 12.54 [Amended]
0
14. Amend newly redesignated Sec. 12.54 as follows:
0
a. In paragraph (b)(2), remove ``the periodic'' and add in its place
``an'' and add ``gate'' directly following the second appearance of the
word ``spillway''; and
0
b. In paragraph (c)(2), remove ``the periodic'' and add in its place
``an''.
0
15. Add subpart F, consisting of Sec. Sec. 12.60 through 12.65, to
read as follows:
Subpart F--Owner's Dam Safety Program
Sec.
12.60 Applicability.
12.61 Definitions.
12.62 General requirements.
12.63 Contents of Owner's Dam Safety Program.
12.64 Annual review and update of Owner's Dam Safety Program.
12.65 Independent external audit and peer review.
Sec. 12.60 Applicability.
The licensee of any dam or other project work classified as having
a high or significant hazard potential, as defined in Sec.
12.3(b)(13)(i) and (ii), is required to submit an Owner's Dam Safety
Program to the Regional Engineer.
Sec. 12.61 Definitions.
For purposes of this subpart F:
(a) Chief Dam Safety Engineer means the designated individual, who
is a licensed professional engineer with experience in dam safety, who
oversees the implementation of the Owner's Dam Safety Program and has
primary responsibility for ensuring the safety of the licensee's dam(s)
and other project works.
(b) Chief Dam Safety Coordinator means the designated individual,
who is not required to be a licensed professional engineer, who
oversees the implementation of the Owner's Dam Safety Program and has
primary responsibility for ensuring the safety of the licensee's dam(s)
and other project works.
[[Page 1520]]
Sec. 12.62 General requirements.
(a) The Owner's Dam Safety Program shall designate either a Chief
Dam Safety Engineer or Chief Dam Safety Coordinator, as defined in
Sec. 12.61. Any Owner's Dam Safety Program that includes one or more
dams or other project works classified as having a high hazard
potential, as defined in Sec. 12.3(b)(13)(i), shall designate a Chief
Dam Safety Engineer.
(b) The Owner's Dam Safety Program must be signed by the Owner and,
as applicable, the Chief Dam Safety Engineer or the Chief Dam Safety
Coordinator.
(c) The Owner's Dam Safety Program must be reviewed and updated on
a periodic basis as described in Sec. 12.64 and, if applicable, must
undergo an independent external audit or peer review as described in
Sec. 12.65.
(d) The Owner may delegate to others, such as consultants, the work
of establishing and implementing the Owner's Dam Safety Program and the
role of Chief Dam Safety Engineer or Chief Dam Safety Coordinator, as
applicable.
(1) If the role of Chief Dam Safety Engineer or Chief Dam Safety
Coordinator is delegated to an outside party who does not oversee the
day-to-day implementation of the Owner's Dam Safety Program, the Owner
must designate an individual responsible for overseeing the day-to-day
implementation.
(2) Any delegation made in accordance with paragraph (d) of this
section must be documented in the Owner's Dam Safety Program.
(3) The Owner retains ultimate responsibility for the safety of the
dam(s) and other project works covered by the Owner's Dam Safety
Program.
Sec. 12.63 Contents of Owner's Dam Safety Program.
The Owner's Dam Safety Program shall contain, at a minimum, the
following sections:
(a) Dam safety policy, objectives, and expectations;
(b) Responsibilities for dam safety;
(c) Dam safety training program;
(d) Communication, coordination, reporting, and reports;
(e) Record keeping and databases; and
(f) Continuous improvement.
Sec. 12.64 Annual review and update of Owner's Dam Safety Program.
The Owner's Dam Safety Program, and the implementation thereof,
shall be reviewed at least once annually by the licensee's dam safety
staff and discussed with senior management of the Owner's organization.
The licensee shall submit the results of the annual review, including
findings, analysis, corrective measures, and/or revisions to the
Owner's Dam Safety Program, to the Regional Engineer.
Sec. 12.65 Independent external audit and peer review.
(a) Applicability. For licensees of one or more dams or other
project works classified as having a high hazard potential, as defined
in Sec. 12.3(b)(13)(i), an independent external audit or peer review
of the Owner's Dam Safety Program, and the implementation thereof,
shall be performed at an interval not to exceed five years.
(b) Qualifications. A statement of qualifications for the proposed
auditor(s) or peer review team that demonstrates independence from the
licensee and its affiliates shall be submitted to the Regional Engineer
for review, and written acceptance thereof must be obtained from the
Regional Engineer prior to performing the audit or peer review.
(c) Reporting. (1) The auditor(s) or peer review team shall
document their findings in a report.
(2) The report on the audit or peer review shall be reviewed by the
Owner, Chief Dam Safety Engineer or Chief Dam Safety Coordinator, and
management having responsibility in the area(s) audited or reviewed.
(3) The report on the audit or peer review shall be submitted to
the Regional Engineer.
[FR Doc. 2021-27736 Filed 1-10-22; 8:45 am]
BILLING CODE 6717-01-P