Airport Safety Management System, 11642-11674 [2023-03597]
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 139
[Docket No.: FAA–2010–0997; Amdt. No.
139–28]
RIN 2120–AJ38
Airport Safety Management System
Federal Aviation
Administration (FAA), DOT.
ACTION: Final rule.
AGENCY:
This final rule requires
certain airport certificate holders to
develop, implement, maintain, and
adhere to an airport safety management
system (SMS). Certificated airports that
qualify under one or more of the
following triggering criteria (triggers) are
required to develop a SMS under this
final rule: are classified as large,
medium, or small hubs based on
passenger data extracted from the FAA
Air Carrier Activity Information System;
have a 3-year rolling average of 100,000
or more total annual operations,
meaning the sum of all arrivals and
departures; or serve any international
operation other than general aviation.
This rule would expand the safety
benefits of SMS to certain certificated
airports and further the FAA’s aviationwide approach to SMS implementation
in order to address safety at an
organizational level.
DATES: This rule is effective April 24,
2023.
SUMMARY:
For information on where to
obtain copies of rulemaking documents
and other information related to this
final rule, see ‘‘How to Obtain
Additional Information’’ in SECTION VI
of this document.
FOR FURTHER INFORMATION CONTACT: For
technical questions about this action,
contact James Schroeder, Airport Safety
and Operations Division, AAS–300,
Office of Airport Safety and Standards,
Federal Aviation Administration, 800
Independence Avenue SW, Washington,
DC 20591; telephone (202) 267–4974;
email james.schroeder@faa.gov.
SUPPLEMENTARY INFORMATION:
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ADDRESSES:
3. Authority To Implement Triggers
4. Annual Review of Applicability
B. Implementation
1. Phased Implementation
2. Staggered Implementation
3. FAA Review of Documents
4. Timeline for Document Submission and
Full Implementation
5. Timeline for New Airports Qualifying
After the Effective Date of This Final
Rule, or Due to Changes in Status
C. Non-Movement Area
1. Regulatory Authority in the NonMovement Area
2. Inclusion of Fuel Farms, BaggageMakeup, and Military Areas
3. Inconsistency With ICAO Standard
4. Air Carrier Operations in NonMovement Areas
D. Data Protection
1. State-Level Fix
2. Federal-Level Protection
3. Creation of a National Data Repository
4. De-Identified Data
E. Safety Reporting and Interoperability
1. Change in Terminology
2. Data Sharing and Reporting Plan
3. Crewmembers Accessing Non-Movement
Areas
F. Training and Orientation
1. Identification of Roles, Responsibilities,
and Minimum Training Elements
2. Training Estimates Used in Regulatory
Evaluation calculations
3. Safety Awareness Orientation
4. Development of Training Materials
5. Clarification of ‘‘Comprehensive SMS
Training’’
6. Clarification of ‘‘Access’’
G. Accountable Executive
1. Amendment or Elimination of the
Accountable Executive Requirement
2. Delegation
3. Personal Liability and Oversight
H. Definitions
1. ‘‘Hazard’’ Definition
2. ‘‘Non-Movement Area’’ Definition
3. Harmonization of ‘‘Safety Policy,’’
‘‘Safety Risk Management,’’ ‘‘Safety
Assurance,’’ and ‘‘Safety Promotion’’
Definitions
I. Miscellaneous Topics
1. FAA’s Rulemaking Authority
2. Applicability to Non-Certificated
Airports
3. FAA Oversight
4. Safety Risk Management
5. Record Retention
6. SMS Manual Updates
7. Guidance and Work Groups
IV. Regulatory Notices and Analyses
V. Executive Order Determinations
VI. How To Obtain Additional Information
Table of Contents
List of Abbreviations and Acronyms
Frequently Used in This Document
I. Executive Summary
II. Background
III. Discussion of Public Comments and Final
Rule
A. Applicability
1. General Applicability
2. Triggers
i. Hub Trigger
ii. Operations Trigger
iii. International Trigger
AC Advisory Circular
ACAIS Air Carrier Activity Information
System
ACM Airport Certification Manual
AOC Airport operating certificate
ARP FAA Office of Airports
ATO FAA Air Traffic Organization
AVS FAA Aviation Safety Organization
CFR Code of Federal Regulations
CBP Customs and Border Protection
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DSR Plan Data Sharing and Reporting Plan
E.O. Executive Order
FAA Federal Aviation Administration
FOIA Freedom of Information Act
ICAO International Civil Aviation
Organization
NPIAS National Plan of Integrated Airport
Systems
NPRM Notice of Proposed Rulemaking
NTSB National Transportation Safety Board
OMB Office of Management and Budget
OpsNet FAA Operations Network
SBREFA Small Business Regulatory
Enforcement Fairness Act of 1996
SMS Safety Management System
SNPRM Supplemental Notice of Proposed
Rulemaking
SRM Safety Risk Management
SSI Sensitive Security Information
I. Executive Summary
A. Purpose of the Regulatory Action
SMS has generated wide support in
the aviation community as an effective
approach that can deliver real safety and
financial benefits.1 SMS integrates
modern safety concepts into repeatable,
proactive processes in a single system,
emphasizing safety management as a
fundamental business process to be
considered in the same manner as other
aspects of business management. The
development and implementation of
SMS improves safety at the
organizational level and is the next step
in the continuing evolution of aviation
safety. Therefore, the FAA is pursuing
an aviation-wide approach that would
require the implementation of SMS by
those organizations in the best position
to prevent future accidents. As part of
that process, the FAA is expanding
SMS’s benefits to certain certificated
airports by requiring them to proactively
identify and mitigate safety hazards,
thereby reducing the possibility or
recurrence of incidents or accidents in
air transportation. The purpose of this
final rule is to require certain Title 14
Code of Federal Regulations (CFR) part
139 2 certificate holders to develop,
1 See, e.g., National Transportation Safety Board,
NTSB Calls for Enhanced Safety Standards in Some
Revenue Passenger-Carrying General Aviation
Operations (Mar. 23, 2021), https://www.ntsb.gov/
news/press-releases/Pages/NR20210323.aspx;
Transportation Research Board, Airport Cooperative
Research Program (ACRP) Synthesis 37: Lessons
Learned from Airport Safety Management Systems
Pilot Studies at 46 (2012) (explaining that airports
that participated in the SMS program reported
increased safety awareness and improved
collaboration).
2 Part 139 requires airports serving scheduled air
carrier aircraft with more than 9 seats or
unscheduled air carrier aircraft with more than 30
seats to hold an Airport Operating Certificate
(AOC). Under part 139, a certificate holder must
develop and maintain an Airport Certification
Manual (ACM). The ACM contains the processes
and procedures the airport uses to comply with part
139 requirements, and the FAA approves the ACM
and updates to it.
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implement, maintain, and adhere to an
airport safety management system
(SMS).
A SMS is a formal means for
organizations to identify and manage
safety risks in their operations. It
includes systematic procedures,
practices, and policies for the
management of safety risk. SMS
enforces the concept that safety should
be managed with as much emphasis,
commitment, and focus as any other
critical area of an organization. It
prompts organizations to develop
decision-making processes and
procedures and use effective safety risk
controls to proactively identify and
mitigate or address any detected
noncompliant or unsafe conditions in
their operations. As discussed in the
FAA Airport SMS Pilot Study report,3
airports that voluntarily implemented
SMS have reported better efficiency in
identifying and mitigating hazards in
daily activities such as pedestrian safety
on ramps and operations with ground
support equipment.4 These airports also
used SMS processes for significant
events, such as construction safety and
phasing planning, to proactively
identify and mitigate hazards before the
start of the project. This proactive
approach, along with the
communication of safety issues,
provides a robust mechanism for
airports to improve safety. The FAA has
not formally tracked the number of
airports that have implemented SMS
since it is not yet a required element
under part 139.
The purpose of a SMS is to reduce
incidents, accidents, and fatalities in the
airfield operations environment. A
specific example cited in the RIA was
the FOD damage to 14 aircraft in 2007
(NTSB Accident No: DEN07IA069). The
advanced communication procedures in
a SMS could have expedited the
reporting, assessment and mitigation of
the FOD hazard, thus limiting the
likelihood and severity of this hazard.
Expanding SMS to certain certificated
airports is the best strategy to continue
to reduce incidents and accidents, and
improve safety in aviation. ICAO, other
Civil Aviation Authorities, industry
advisory groups, and the NTSB all
support the use of SMS to improve
safety. In the U.S., safety management
3 Federal Aviation Administration, Airport Safety
Management Systems (SMS) Pilot Studies, https://
www.faa.gov/sites/faa.gov/files/airports/airport_
safety/safety_management_systems/external/
smsPilotTechReportMay2011.pdf (May 2011).
4 FAA has not evaluated an airport’s safety record
prior to participating in SMS under the pilot
program. In general, however, the FAA recognizes
that airports participating in the pilot studies were
proactive about the safety of their operations.
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systems have been implemented by part
121 operators and the FAA has
voluntary programs designed to expand
the use of SMS throughout the aviation
system. The FAA has even implemented
SMS within many of its organizations.
Further, expansion of SMS would also
align the U.S. with current ICAO
Standards and Recommended Practices.
This final rule requires airport
certificate holders that qualify under
one or more of the following triggering
criteria (triggers) to develop a SMS:
airports: (a) classified as large, medium,
or small hubs, based on passenger data
extracted from the FAA Air Carrier
Activity Information System; (b) that
have a 3-year rolling average of 100,000
or more total annual operations,
meaning the sum of all arrivals and
departures; 5 or (c) that serve any
international operation other than
general aviation. The FAA applied a
primarily risk-based approach to the
final rule’s applicability. The criteria are
designed to maximize SMS’s safety
benefits to stakeholders in the least
burdensome manner. Instead of
requiring SMS at all certificated
airports, only certificated airports with
the highest passenger enplanements, the
largest total operations, and those
hosting international air traffic must
have a SMS under this rule. This final
rule applies to approximately 265
certificated airports. These airports
cover over 90 percent of all U.S.
passenger enplanements and include
the facilities with the largest number of
commercial air transportation
operations. This allows safety benefits
to flow to airports with the majority of
aircraft operations in the United States
in addition to airports with
international passenger operations to
ensure conformity with international
standards and recommended practices
with the least regulatory burden. This
rule does not require SMS
implementation at small airports with
fewer resources where creating a SMS
may be a larger proportional burden and
may not be cost beneficial.
This final rule includes an exception
to the applicability of the SMS
requirement. If a certificate holder
qualifies exclusively under the
international services trigger, then it
may file a waiver request to seek relief
from the regulatory requirement to
5 For the purposes of this trigger, the FAA will
use the following sources of data to determine
number of operations: (a) traffic counts reported by
the Air Traffic Control Tower through FAA
Operations Network (OpsNet), for airports with
FAA or contract towers; (b) FAA Form 5010–1 data
for non-towered airports; or (c) other FAA-validated
counting systems. Historical OpsNet data is
publicly available through FAA.gov.
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implement SMS. To do so, it must
certify that it does not host any
operation by any tenant 6 that is
required to implement SMS under the
applicable laws or regulations of its
country of origin (i.e., the jurisdiction
that issued the tenant’s air carrier
certificate, air operator certificate, or
equivalent) or any other governing
jurisdiction. For example, if
international services at an airport are
solely provided for operators engaged in
general aviation operations, then—
absent another trigger—the FAA will
not require the airport to implement
SMS. By linking the international trigger
for part 139 airports to the presence of
international tenants with SMS
requirements, the FAA supports a
holistic approach that encourages the
sharing of data and proactive risk
management inherent to SMS. Without
this linkage, neither SMS reaches its full
potential safety benefit. However, if an
air carrier tenant commences
international service to or from such
airport, and the country of origin of
such air carrier tenant requires that it
adhere to a SMS, then the exception
does not apply and the airport must
implement SMS.
In the interest of safety, this final rule
requires the implementation of SMS in
both the movement and non-movement
areas 7 of qualifying airports. This rule
allows airports to enter into data sharing
and reporting arrangements with certain
air carrier tenants. Such arrangements
allow tenants to share with part 139
certificate holders any hazard report
submitted though the tenants’
confidential employee reporting
systems. This reduces the burden of
having to report hazards under two
different reporting systems and fosters
cooperation and increased
communication of safety issues among
interested parties, while avoiding gaps
in SMS coverage. Separately, this final
rule adds an authority citation
inadvertently omitted from a previous
final rule and amends § 139.101 by
removing paragraph (c), which no
longer applies.
Airport SMS will help FAA develop
its oversight processes so that FAA
6 As discussed later in this document, tenant
refers to any person or entity occupying space or
property under a lease or other agreement (such as
an air carrier or maintenance repair and overhaul
company) that does business at the airport.
7 ‘‘Movement area’’ is defined as the runways,
taxiways, and other areas of an airport that are used
for taxiing, takeoff, and landing of aircraft,
exclusive of loading ramps and aircraft parking
areas, and that are under the control of an air traffic
control tower. ‘‘Non-movement Area’’ is defined as
taxiways, aprons, and other areas not under the
control of air traffic or at airports without an
operating airport traffic control tower.
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targets its involvement on the areas of
highest safety risk. For airports with a
fully implemented SMS and that have a
consistent history of compliance with
the requirements of part 139, the FAA
will transition to system-based
inspections, thereby allowing inspectors
to focus on areas of greater risk and the
FAA to modify the duration of time
between inspections for those airports.
In addition to focusing FAA’s resources
to best address safety needs, the FAA
anticipates this approach will create
government cost savings from reduced
inspector time and travel costs.
B. Summary of the Major Provisions of
the Regulatory Action
In its most general form, SMS is a set
of decision-making tools that a
certificate holder uses to plan, organize,
direct, and control its everyday
activities in a manner that enhances
safety. An airport SMS must include, at
a minimum, four components: (a) safety
policy, (b) safety risk management, (c)
safety assurance, and (d) safety
promotion.
Certificate holders must identify their
plans for developing and implementing
SMS through an FAA-approved
Implementation Plan (see § 139.403).
Pursuant to § 139.401(f), certificate
holders may choose to either document
their airport SMS in a separate SMS
Manual or in their FAA-approved ACM
(see also §§ 139.201–139.203).
The submission of SMS
Implementation Plans is staggered based
on which trigger prompts certificate
holders to comply with this final rule.
Airports qualifying under the hub
trigger must submit their
Implementation Plans first, within 12
months of the effective date of this rule.
Certificate holders qualifying under the
annual operations trigger must submit
Implementation Plans within 18
months, and airports qualifying under
the international trigger must submit
their Implementation Plans within 24
months.
All certificate holders subject to this
final rule must submit their SMS
Manual and/or revised ACM to the FAA
within the 12 months immediately
following the FAA’s approval of the
Implementation Plan. Certificate holders
have 36 months following approval of
the Implementation Plan to fully
implement their SMS.
Table 1 provides a brief summary of
the major provisions of this final rule
and changes from the SNPRM.
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TABLE 1—SUMMARY OF MAJOR PROVISIONS
Issue
Proposed requirement
(from the SNPRM)
Adopted requirement
Applicability of SMS requirements ..
Limited to certificate holders:
(a) Classified as large, medium, or
small hub; or
(b) Having more than 100,000
total annual operations; or
(c) Classified as a port of entry,
designated international airport,
landing rights airport, or user fee
airport.
Limited to certificate holders:
(a) Classified as large, medium, or small hub; or
(b) Having an average of 100,000 or more total annual operations
(the sum of all arrivals and departures) over the previous three calendar years; or
(c) Classified as a port of entry, designated international airport, landing rights airport, or user fee airport.
Waiver for International Trigger ......
NONE ............................................
Scope ..............................................
SAME AS ADOPTED ....................
Scale ...............................................
SAME AS ADOPTED ....................
Implementation Plan .......................
SAME AS ADOPTED ....................
Documenting
ments.
require-
SAME AS ADOPTED ....................
Document Submission and Implementation Deadlines.
Submit Implementation Plan on or
before 12 months.
Submit SMS Manual and/or ACM
update on or before 24 months.
Fully implement the SMS on or
before 24 months.
Accountable executive ....................
SAME AS ADOPTED ....................
the
SMS
8 The FAA anticipates that some airports will
provide routine updates to their accountable
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§ 139.401(a).
Allow a certificate holder that qualifies exclusively under the international trigger to obtain a waiver from complying with the SMS requirements if it has no tenants that are required to comply with
SMS requirements of any jurisdiction.
§ 139.401(d).
Encompass aircraft operations in the movement and non-movement
areas (and other airport operations addressed in part 139).
§ 139.401(b).
Correspond in size, nature, and complexity to the operations, activities, and risks associated with the airport’s operations.
§ 139.401(c).
Detail how the airport will meet the requirements of this final rule; include a schedule for implementing the SMS components; describe
any existing programs or policies the airport will use to meet the
SMS requirements.
§ 139.403(b).
Include methods of compliance contained within the ACM or a separate SMS Manual with incorporation by reference in the ACM.
§ 139.401(f).
Submit Implementation Plan on or before:
• 12 months for hub triggers;
• 18 months for operations triggers; and
• 24 months for international triggers.
§ 139.403(a).
Submit SMS Manual and/or ACM update on or before 12 months
after FAA-approval of the Implementation Plan.
§ 139.403(c).
Fully implement the SMS no later than 36 months after FAA-approval
of the Implementation Plan.
§ 139.403(d).
Identify the accountable executive; report pertinent safety information
and data on a regular basis to the accountable executive.8
§ 139.402(a)(1); § 139.402(c)(3).
executive, such as through a continuously updated
dashboard.
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TABLE 1—SUMMARY OF MAJOR PROVISIONS—Continued
Issue
Proposed requirement
(from the SNPRM)
Adopted requirement
Safety Policy Statement ..................
SAME AS ADOPTED ....................
Safety Objectives ............................
SAME AS ADOPTED ....................
Safety Risk Management ................
SAME AS ADOPTED ....................
Safety Reporting System ................
SAME AS ADOPTED ....................
Data Sharing and Reporting Plan ...
NONE ............................................
Training and Orientation .................
SAME AS ADOPTED ....................
Safety Communications ..................
SAME AS ADOPTED ....................
Record Keeping ..............................
SAME AS ADOPTED ....................
Establish and maintain a safety policy statement signed by the accountable executive.
§ 139.402(a)(2).
Establish and maintain safety objectives; define methods, processes,
and organizational structure necessary to meet those safety objectives; monitor safety performance.
§ 139.402(a)(6) & (7); § 139.402(c)(1).
Establish a system to identify operational safety issues and a process
to analyze hazards and their risks.
§ 139.402(b).
Establish and maintain a reporting system that provides for reporter
confidentiality.
§ 139.402(c)(2).
Provides option to develop data sharing and reporting plan with tenant(s) required to maintain a SMS subject to requirements of 14
CFR part 5. When such a plan exists, relieves airport from providing safety awareness orientation to applicable tenants or their
employees.
§ 139.401(e).
Provide all persons authorized access to movement and non-movement areas safety awareness orientation; provide all employees
with responsibilities under the SMS training appropriate to their
roles.
§ 139.402(d)(1) & (3).
Develop and maintain formal means for communicating important
safety information.
§ 139.402(d)(5).
Retain:
• SMS training records and orientation materials for 24 consecutive calendar months;
• SRM documentation for the longer of 36 consecutive calendar
months after the risk analysis has been completed or 12 consecutive calendar months after mitigations completed; and
• Safety communications for 12 consecutive calendar months.
§ 139.301(b)(1) & (9) & (10).
C. Summary of Costs and Benefits
The goal of this rule is to improve the
safety of the airfield environment
(including movement and nonmovement areas) by providing an
airport with decision-making tools to
plan, organize, direct, and control its
everyday activities in a manner that
enhances safety. The FAA envisions
airports being able to use all of the
components of a SMS to enhance their
ability to identify safety issues and spot
trends before they result in a near-miss
incident or accident. While the FAA’s
use of prescriptive regulations and
technical operating standards has been
effective, such regulations may leave
gaps best addressed through
performance-based management
practices. For example, pilots and
controllers may be required to report
incidents (such as bird-strikes or
runway incursions) under their
respective SMS. However, they may not
be required to notify the airport of the
incident. Because the airport operator
best understands its own operating
environment, it is in the best position to
address many of its own safety issues
providing it has sufficient data to
address the hazard. A SMS may provide
an airport with the capacity to
anticipate and address safety issues
before they lead to an incident or
accident. Table 2 shows quantified
present value and annualized benefits
and costs over 10 years. The FAA
anticipates additional benefits at
airports with an implemented Airport
SMS in the form of cost savings from
reductions in the frequency and breadth
of the traditional airport inspection and
inspection cycle. Table 2 also includes
the FAA’s estimated cost savings of
changing the traditional inspection
cycle at airports with a fully
implemented SMS.
TABLE 2—COMPARISON OF COSTS AND BENEFITS OVER 10 YEARS
[Millions of 2020 dollars]
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Present value
(3%)
Benefits ............................................................................................................
Costs ................................................................................................................
Cost Savings ....................................................................................................
Net Benefits (includes mitigation benefits, but excludes mitigation costs) .....
Annualized
(3%)
$199.2
179.8
3.1
22.5
$23.4
21.1
0.4
2.6
Present value
(7%)
$144.1
139.0
2.2
7.3
Annualized
(7%)
$20.5
19.8
0.3
1.0
Table notes: The sum of the individual items may not equal totals due to rounding. Estimates are provided at three and seven percent discount rates per Office of Management and Budget (OMB) guidance.
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II. Background
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A. Authority for This Rulemaking
The FAA’s authority to issue rules on
aviation safety is found in Title 49 of the
United States Code. This rulemaking is
promulgated under the authority
described in: (a) 49 U.S.C. 44702, which
authorizes the Administrator to issue
airport operating certificates; (b) 49
U.S.C. 44706, which authorizes the
Administrator to (i) issue an AOC to a
person desiring to operate an airport if
the person properly and adequately is
equipped and able to operate safely; and
(ii) include in such AOC all necessary
terms to ensure safety in air
transportation; and (c) 49 U.S.C. 44701,
which requires the Administrator to—
among other things—promote safety,
prescribe minimum safety standards,
and carry out functions that best tend to
reduce or eliminate the possibility or
recurrence of accidents in air
transportation. This regulation is within
the scope of the aforementioned
authorities because it requires certain
certificated airports to develop and
maintain a SMS to improve the safety of
operations conducted at such airports.
The development and implementation
of SMS ensures safety in air
transportation by helping airports
proactively identify and mitigate safety
hazards, thereby reducing the
possibility or recurrence of accidents in
air transportation.
B. Statement of the Problem
The FAA has determined that there
are unmitigated risks and safety gaps in
the airport environment necessitating a
systems approach to improve safety at
part 139 certificated airports. The goal
of this rule is to improve the safety of
the airfield environment (including
movement and non-movement areas).
The FAA intends to evolve the current
part 139 compliance program into a
proactive, and ultimately predictive
approach using the structured discipline
of SMS principles.
The increasing demands on the U.S.
air transportation system, including
additional air traffic and surface
operations, and airport construction,
present a potential increased presence
of operational hazards in the airfield
environment. However, many accidents
and incidents that may be mitigated
under SMS may not be shared outside
the organization, especially in regards to
the non-movement area, thus limiting
FAA’s insight into the breadth or scale
of near-miss and other types of
potentially hazardous incidents. While
the FAA’s use of prescriptive
regulations and technical operating
standards has been effective, such
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regulations may leave gaps best
addressed through improved
management practices. As the certificate
holder best understands its own
operating environment, it is in the best
position to address many of its own
safety issues. A SMS may provide an
airport with the capacity to anticipate
and address safety issues before they
lead to an incident or accident.
C. Related Actions
In 2015, the FAA issued a final rule
requiring 14 CFR part 119 certificate
holders authorized to conduct
operations under 14 CFR part 121 to
develop and implement a SMS (see 14
CFR part 5, Safety Management
Systems).9 The part 5 rule established a
general framework and minimum
requirements for designing and
implementing SMS and allowed air
carriers to adapt the SMS to ensure it
appropriately dealt with the size, scope,
and complexity of their part 121
operations. Additionally, under FAA
Order 8000.369, the FAA uses SMS
internally in offices such as Airports,
Air Traffic Organization, Aviation
Safety, Security and Hazardous
Materials, Next Generation Air
Transportation, and Commercial Space
Transportation.
As of the effective date of this final
rule, part 5 applies to part 119
certificate holders authorized to conduct
operations in accordance with part 121.
The FAA acknowledges, however, that
the applicability of part 5 may be
expanded in the future, which could
impact this final rule by allowing
greater coordination between part 139
certificate holders and tenants through
increased use of data sharing and
reporting plans (as discussed later).
This final rule targets part 139
certificated airport operators. It follows
a similar framework and harmonizes
definitions and requirements with the
SMS requirements established under
part 5 SMS, when and if appropriate.
9 Part 119 refers to the Certification of Air Carriers
and Commercial Operators. Part 121 refers to
Operating Requirements for Domestic, Flag, and
Supplemental operations. Operations that occur
under part 121 with a part 119 certificate are
scheduled commercial air carrier operations. On
January 8, 2015, the FAA published the Safety
Management Systems for Domestic, Flag, and
Supplemental Operations Certificate Holders final
rule requiring operators authorized to conduct
operations under part 121 to develop and
implement a SMS. The rule added a new part 5 to
Title 14 of the CFR, creating the set of requirements
for SMS that a part 121 certificate holder must
meet. The rule also modified part 119 to specify
applicability and implementation of the new SMS
framework. Part 119 refers to the certification of
part 121 air carriers and commercial operators. Part
121 air carriers are regularly scheduled air carriers
and are generally large, U.S.-based airlines, regional
air carriers, and all cargo operators.
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Nonetheless, this final rule recognizes
that there might be differences in SMS
requirements depending on the scope
and complexity of the operations and
types of regulated parties subject to 14
CFR. For example, the FAA recognizes
that an airport operation is inherently
different from the operation of an air
carrier and that the vast majority of part
139 certificate holders are public
entities (owned and/or operated by a
State or local government or a
department, agency, special purpose
district, political subdivision, or other
instrumentality of a State or local
government) rather than private entities
like those operating as part 121 air
carriers. The revised definition
proposed in the SNPRM, and adopted in
this final rule of an accountable
executive eliminates the substantive
differences between the part 121 and
part 139 definitions, and clarifies that
the accountable executive should not be
personally liable to the FAA through
certificate action or civil penalty. Thus,
in the interest of safety, harmonization
is not feasible in all instances and
differences in the SMS framework,
definitions, and requirements are
warranted to best deal with the types
and varying degrees of operation of the
part 139 certificate holders subject to
SMS.
This final rule imposes a SMS
requirement on certain airports
certificated under part 139. It does not
impose any additional SMS requirement
on part 119 certificate holders, nor does
it expand, revise, or amend the
provisions, requirements, or
responsibilities established in part 5. A
Part 139 airport may choose to update
its contractual agreements with
applicable tenants. However, in most
cases, airport operators have additional
means to direct critical safety actions
through other controlling documents
including airport rules and regulations
or minimum standards. Usually,
contractual agreements with tenants
point to, or incorporate by reference,
those other documents to allow for more
timely implementation of procedures
and actions without the need for
changes to the agreement. While the
final rule does not impose additional
SMS requirements on tenants, it is
plausible that to achieve its own SMS
requirements under part 139, an airport
will use these controlling documents to
extend certain SMS requirements onto
part 119 certificate holders or other
tenants.
For the purposes of this final rule, the
terms ‘‘certificate holder’’ (when used
without part 139 before) and ‘‘operator’’
refer to any entity holding an AOC
under part 139. The term ‘‘tenant’’ refers
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to any person or entity occupying space
or property under a lease or other
agreement (such as an air carrier or
maintenance repair and overhaul
company) that does business at the
airport.
D. National Transportation Safety Board
(NTSB) Recommendations
The NTSB has recommended SMS as
a means to prevent future accidents and
improve safety in air transportation. The
NTSB has cited organizational factors
contributing to aviation accidents and
has recommended SMS for several
sectors of the aviation industry,
including aircraft operators and
aerodromes (airports). The FAA agrees
with the NTSB, concluding the
organizational factors and benefits of
SMS apply across the aviation industry,
including airports.
NTSB submitted comments to the
SNPRM concurring with the FAA’s
‘‘proposal that implementation of SMS
at airports is warranted and that SMS
should apply to the entire airfield
environment, including non-movement
areas.’’ 10 NTSB approved of the FAA’s
proposal to include non-movement
areas by stating: ‘‘[they] have
investigated accidents that clearly
demonstrate that the potential for
significant events is not limited to only
the movement areas.’’
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E. International Movement Toward SMS
ICAO’s Annex 19—Safety
Management document establishes a
framework for member States to develop
and implement SMS requirements. State
Safety Programs, as implemented by
member States, require SMS for the
management of safety risk. Many
member States, including the U.S.,
started developing and implementing
in-country SMS requirements after
Annex 19 became applicable in
November 2013 (amended Annex 19
applicable November 2019). ICAO
requires SMS requirements for
international commercial air
transportation, international general
aviation, design and manufacturing,
maintenance, air traffic services,
training organizations, and certified
aerodromes. It is FAA policy to comply
with ICAO standards to the maximum
extent practicable. This rule would
further align U.S. safety management
system requirements for airports with
international standards, which are
recognized and followed by many
international product and service
10 National Transportation Safety Board response
to SNPRM, September 6th, 2016, Docket Number
FAA–2010–0997–0179, Christopher A. Hart,
Chairman, page 2.
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providers also complying with ICAO
Standards and Recommended Practices.
F. Summary of the NPRM and SNPRM
On October 7, 2010, the FAA
published in the Federal Register a
notice of proposed rulemaking (NPRM)
titled ‘‘Safety Management System for
Certificated Airports’’ (75 FR 62008).
The NPRM proposed to require all part
139 certificate holders to establish a
SMS for the entire airfield environment,
including movement and nonmovement areas, to improve safety at
airports hosting air carrier operations.
While reviewing the comments
received in response to the NPRM, the
FAA began to re-evaluate whether
requiring a SMS at all part 139
certificated airports was the appropriate
approach. As part of the re-evaluation,
the FAA assessed various combinations
of criteria that could trigger the
requirement to implement the SMS rule
and to maximize safety benefits in the
least burdensome manner.
On July 14, 2016, the FAA published
a supplemental notice of proposed
rulemaking (SNPRM) titled ‘‘Safety
Management System for Certificated
Airports’’ (81 FR 45872). The SNPRM
proposed creating triggers for SMS and
proposed the FAA’s preferred
alternative to impose a SMS
requirement on airports that (a) are
large, medium, or small hubs; (b) serve
international air traffic; or (c) have more
than 100,000 total annual operations.
The FAA also revised the proposed
implementation schedule to extend the
implementation period from 18 months
to 24 months and requires the
submission of an Implementation Plan
within 12 months (instead of 6 months)
from the effective date of the rule. The
SNPRM clarified the training
requirements and revised certain
definitions to ensure consistency—
when deemed appropriate—among
various FAA SMS initiatives. The
SNPRM comment period closed on
September 12, 2016.
In 2021, the FAA decided to reopen
the comment period in order to solicit
comments on any new information or
data generated since the close of the
2016 comment period. The FAA was
aware of many airports that had
voluntarily implemented SMS since
2016 that might provide additional
insight to the SNPRM. The FAA also
took into account the Covid–19
pandemic and the five years that had
elapsed since the close of the 2016
comment period, and determined that
these factors taken together warranted
reopening the comment period.
Accordingly, the FAA reopened the
comment period for the SNPRM,
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published at 81 FR 45872, for 30 days.
When the FAA reopened the comment
period, the agency stated that the most
helpful comments would: provide only
data and information that was not
previously submitted to the rulemaking
docket; reference a specific portion of
the proposal; and explain the reason for
any recommended change, including
supporting data. The reopened SNPRM
comment period closed on September
23, 2021.
G. General Overview of Comments
The FAA received submissions from
commenters in 2016 and 2021 in
response to the SNPRM. The FAA
received comments from 38 commenters
during the 2016 comment period, and
17 commenters during the comment
period that it reopened in 2021. In
general, the 2021 comments were
similar to the 2016 comments, and were
from many of the same commenters that
commented during the 2016 comment
period. This preamble identifies
comments that were received in 2021
and comments that were received in
both 2016 and 2021 by indicating the
year the comment was received. Any
comments for which the preamble does
not note a year were received in 2016.
Although most commenters were
certificate holders, some were air
carriers, consultants, academics, and
individuals. The following industry
associations submitted comments:
Airlines for America (A4A), Airports
Council International-North America
(ACI–NA), American Association of
Airport Executives (AAAE), Helicopter
Association International (HAI), and the
National Business Aviation Association
(NBAA). The comments addressed the
following areas of the proposal:
• Applicability;
• Implementation;
• Non-movement area;
• Data protection;
• Safety reporting and
interoperability;
• Training and orientation;
• Accountable executive;
• Definitions; and
• Miscellaneous topics.
III. Discussion of Public Comments and
Final Rule
A. Applicability
(1) General Applicability
The majority of airport and industry
commenters submitted comments about
the FAA’s preferred alternative for the
applicability of the rule. Instead of
applying the SMS rule to all certificated
airports, the SNPRM amended the
proposed applicability to cover only
certificate holders identified as (a) large,
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medium, or small hubs; (b) having more
than 100,000 total annual operations; or
(c) having international services
(triggers (a) through (c) are hereinafter
referred to collectively as, the ‘‘preferred
alternative’’).
Most commenters generally supported
the use of the hub classification as a
trigger for the applicability of this final
rule. However, smaller airports and
industry associations questioned the
operational and international triggers.
One commenter disagreed with the
FAA’s revised approach, instead
suggesting the FAA require SMS for all
certificated airports, as proposed in the
NPRM. The commenter believed that
applying SMS to a select number of
airports could create two levels of safety
for airports. The FAA disagrees. The
FAA has determined that its approach
achieves the most safety benefits in the
least burdensome manner, while also
strengthening its alignment with
international standards. Consistent with
other provisions of part 139, this
approach relieves relatively small
airports from compliance costs when
the safety benefits are lower. These
small airports have the opportunity to
voluntarily implement a SMS, if they
believe it is beneficial to their
operations.
The FAA continues to encourage
airports not certificated under part 139
and part 139 certificate holders that are
not subject to this final rule to
voluntarily implement SMS and has
made Federal funding available for SMS
Manuals and Implementation Plan
development.
Commenters also proposed alternate
frameworks for SMS applicability. For
example, some commenters suggested
SMS be required on a case-by-case basis.
The FAA disagrees with these
suggestions because these alternative
frameworks would generally cause
ambiguity as to when a certificate
holder would be required to comply
with the SMS requirements. In the caseby-case example referenced above,
suggested application of SMS may be
regarded as a punitive measure FAA
could use to address a certificate holder
failing to comply with part 139
requirements. The perception of using
SMS as an enforcement tool, contradicts
the non-punitive, safety culture critical
to a SMS. The FAA’s actual intent is for
SMS to serve as a risk-based tool
targeting highest-risk areas. A case-bycase approach would also be highly
subjective because of the unique
conditions of each non-compliance
issue.
Another commenter suggested that
the FAA exclude airports holding a
Class IV AOC from the preferred
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alternative. A Class IV airport is an
airport certificated to serve unscheduled
passenger operations of large air carrier
aircraft. A Class IV airport cannot serve
scheduled large or small air carrier
aircraft. The FAA disagrees that Class IV
airports should be completely excluded,
as they serve air carrier aircraft. If a
Class IV airport meets one of the triggers
because it could serve a large number of
air carrier 11 operations or host
international operations, it meets the
standard identified through the riskbased approach. As discussed later, if a
Class IV airport is only identified under
the international trigger, the certificate
holder may obtain a waiver from the
SMS requirements if it meets all of the
conditions established in § 139.401(d).
One comment received during the
2021 comment period recommended
allowing for a single SMS for use in
multi-airports systems. The FAA agrees
with this recommendation, and notes
that the regulations allow this use,
provided that each airport can still meet
the requirements of this final rule.
Finally, one commenter observed the
preferred alternative could result in
certain airports used by air carriers as
alternate or emergency airports not
being subject to the SMS requirement.
This observation is correct: airports
designated as an alternate airport are
subject to part 139 requirements only if
they fulfill one of the triggers.
(2) Triggers
(i) Hub trigger: In the SNPRM, the
FAA proposed using data from the
National Plan of Integrated Airport
Systems (NPIAS) to identify which
certificate holders would qualify under
the hub trigger. One commenter stated
that there is a lag between when NPIAS
data is gathered, published, and
becomes publicly available. While the
commenter requested the FAA use a
different data source to determine hub
applicability, it also asked the FAA to
report SMS applicability within the
biennial NPIAS Report to Congress. The
FAA partially agrees with these
requests. The FAA will use the annually
updated Enplanements at All Airports
(Primary, Non-primary Commercial
Service, and General Aviation) by State
and Airport data available on FAA.gov
to determine hub applicability. The
FAA pulls this data from the Air Carrier
Activity Information System (ACAIS),
an FAA database containing data
reported by the air carriers to the U.S.
Department of Transportation, Bureau of
Transportation Statistics. The FAA has
used ACAIS since the 1980s to
11 See § 139.5, definition of large air carrier
aircraft.
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categorize airports based on
enplanements and determine
entitlement funding under the Airport
Improvement Program. The FAA shares
this data with airports annually and
uses it to inform the NPIAS report. The
FAA does not plan to add information
about SMS applicability to the NPIAS
(e.g., adding a column/field to indicate
whether the airport is required to
implement SMS) as inconsistencies
might exist due to a reporting lag.
Instead, the FAA will maintain a
separate list of airports required to
implement SMS on our public website,
FAA.gov.
(ii) Operations trigger: In the SNPRM,
the FAA proposed using operational
data submitted through FAA Form
5010–1, Airport Master Record. To
determine which airports would be
subject to the SMS requirement under
this trigger, the FAA used a ‘‘snapshot’’
approach, gathering operational data
reported in the system on August 1,
2012. Commenters requested changes to
either the operations trigger or the
source data. Commenters also expressed
concerns about the FAA’s snapshot
approach, explaining that multiple
factors could cause airport operations to
vary on a yearly basis, causing an
airport to exceed 100,000 operations for
a particular year but fall below the
trigger threshold in the preceding or
following years.
The FAA agrees with commenters’
concerns about the snapshot approach.
Therefore, the FAA will use a 3-year
rolling average to determine
applicability under the operations
trigger.
Accordingly, this final rule retains the
operations trigger with minor
modifications. This final rule will not
use FAA Form 5010–1 as the sole source
of data used to determine who qualifies
under the operations trigger. Instead, the
FAA will use the following: (a) traffic
counts reported by the Air Traffic
Control Tower through FAA Operations
Network (OpsNet) for airports with FAA
or contract towers; (b) FAA Form 5010–
1 data for non-towered airports; or c)
other FAA-validated counting systems.
Historical OpsNet data is publicly
available through FAA.gov.
Lastly, the final rule adds a clause to
§ 139.401(a)(2) to clarify that operations
for the purposes of this trigger mean the
sum of all arrivals and departures. This
addition does not change the meaning of
operations as it is used in the context of
the operations trigger and as it was
proposed in the SNPRM, but merely
provides additional clarity.
(iii) International trigger: In the
SNPRM, the FAA proposed requiring
SMS at all airports with international
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services, specifically: (a) those
identified as a port of entry (under 19
CFR 101.3), (b) designated international
airports (under 19 CFR 122.13), (c)
landing rights airports (under 19 CFR
122.14), or (d) user fee airports (under
19 CFR 122.15). Seven commenters
expressed general concern that small
airports with Customs and Border
Protection (CBP) facilities
accommodating international general
aviation traffic, not scheduled air carrier
operations, are unnecessarily included
in the international trigger. Several
commenters recommended that the FAA
should only require airports with
scheduled international service to have
SMS. In 2021, commenters reiterated
concerns about the SMS requirements
that would apply to airports under this
particular trigger.
The FAA requested comments on
alternate methods for identifying
international airports, since the FAA no
longer maintains Advisory Circular 150/
5000–5, Designated U.S. International
Airports.
Commenters had mixed responses to
the Agency’s use of CBP’s Guide for
Private Flyers list. Many requested the
FAA not use the list because it is
outdated and is not hosted by the
Agency. One commenter recommended
the FAA modify FAA Form 5010–1 to
include a new field for certificate
holders to self-report the availability of
international services. Some
commenters requested the FAA
establish a joint government/industry
task force to assess the accuracy of
CBP’s lists and develop another method
to identify international status, which
could include self-reporting by airports.
The FAA also agrees with
commenters’ concerns about the data
source for international applicability. It
does not appear that any one data
source document contains the most upto-date list of airports with international
services. Therefore, this final rule
removes reference to CBP regulations.
Instead, the FAA will use appropriate
available sources of data to determine
applicability under this trigger. In
addition to CBP regulations, the Agency
will use CBP website information and
the private flyers list of available
airports. The combined use of these lists
provides a more comprehensive source
of information to determine which
airports host international services. The
FAA determined that it is unnecessary
to establish a joint government/industry
task force to develop this information
since it is available directly from CBP.
The FAA will defer to the expert agency
and will not question the accuracy, data
gathering systems, analysis, or processes
of CBP. As previously stated, the FAA
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intends to maintain the master list of
qualified airports. The FAA determined
that it is unnecessary to note this
applicability in other lists such as the
FAA Form 5010–1 database or the
NPIAS because doing so could lead to
inconsistent data due to potential
reporting lags.
The FAA also agrees with comments
submitted in 2016 and 2021 that the
intent of the international trigger is not
to impose a burdensome regulation on
certificate holders with international
service capabilities aimed exclusively at
general aviation traffic. Thus, the FAA
incorporated a provision into this final
rule allowing airports hosting
international services exclusively for
general aviation traffic to obtain a
waiver from the SMS requirement. An
airport may obtain a waiver as long as
there is no tenant at the airport that is
required to comply with a SMS
requirement imposed by any applicable
law or regulation of its country of origin
(i.e., the jurisdiction that issued the
operator’s air carrier certificate, air
operator certificate, or equivalent) or
any other applicable governing
jurisdiction.12 To obtain a waiver, a
certificate holder must submit a formal,
written request to the appropriate FAA
Regional Airports Division Manager
justifying its waiver request, pursuant to
§ 139.401(d). As discussed later in the
preamble, FAA estimates that
approximately 74 airports would meet
this provision and be eligible to apply
for a waiver.
The FAA recognizes that an airport’s
status could change based on the
turnover of tenants conducting business
at any given moment. For certificate
holders granted a waiver, this final rule
(§ 139.401(d)) requires the certificate
holder to report to the FAA whether it
has had any change in international air
carrier service that affects the
applicability of part 139 SMS
requirements every 2 years.
The FAA also received comments in
2016 and 2021 alleging the framework
did not comply with ICAO standards.
The FAA concludes that ICAO Annex
14 identifies standards and
recommended practices that address
certificated airports with international
air carrier service. This final rule’s
international trigger framework is
consistent with the overarching intent of
the international standards.
12 If an airport has any tenant required to
implement a SMS pursuant to any foreign law or
regulation, such foreign jurisdiction could prevent
the tenant from operating into, or out of, a U.S.
airport that does not have a SMS.
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(3) Authority To Implement Triggers
Several commenters asserted that the
FAA does not have sufficient authority
to implement the proposed triggers. As
stated in the SNPRM, the FAA has
sufficient statutory authority under Title
49 of the United States Code, Subtitle
VII, part A, subpart III, section 44706,
‘‘Airport operating certificates,’’ as well
as section 44701, ‘‘General
requirements,’’ and section 44702,
‘‘Issuance of certificates,’’ to require
SMS at any certificated airport—
including those identified as having
international services.
(4) Annual Review of Applicability
The FAA was asked to clarify: (a) the
timeline and process for reviewing the
final rule’s applicability to an airport;
(b) how the FAA will review each
airport’s status including when the
review will occur; and (c) how much
time a newly identified airport would
have to comply with this final rule.
The FAA plans to conduct its annual
applicability review at the end of each
calendar year after this final rule
becomes effective. After each annual
review, the FAA will post a list of
qualifying airports on FAA.gov and send
airports that qualify due to a status
change a letter notifying them of their
qualification.
This final rule requires a newly
qualified airport to submit its
Implementation Plan within 18 months
from notification of qualification by the
FAA (see § 139.403(a)(4)). After the FAA
approves the Implementation Plan, the
certificate holder has 12 months to
submit its SMS Manual and/or ACM
update and 36 months to fully
implement SMS.
For an airport that initially qualified
under any of the triggers but no longer
qualifies due to a status change, the
certificate holder will be required under
§ 139.401(h) to continue to develop,
implement, maintain, and adhere to the
SMS for the longest of either 24
consecutive calendar months after full
implementation; or 24 consecutive
calendar months from the date it no
longer qualifies under § 139.401(a).
Additionally, some airports may cross
the threshold of the 100,000 operations
criteria from one year to the next. The
24 consecutive calendar months ensure
greater continuity and predictability in
the airport’s SMS. The FAA determined
24 calendar months was the minimum
time that would be necessary to
accurately validate the withdrawal of
the triggering requirements. FAA
believes a period beyond 24 consecutive
calendar months would be overly
burdensome to airport operators.
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If at any time during the application
process for an AOC, an airport operator
becomes subject to this final rule under
any of the triggers identified in
§ 139.401(a), then the FAA expects that
such airport operator will develop a
SMS simultaneously with the
development of its certification
program. The FAA does not expect the
Implementation Plan requirement for
airport operators seeking an AOC under
§ 139.103 to create an additional burden
because the FAA anticipates that the
process will occur simultaneously with
the certification process.
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B. Implementation
Nearly every commenter from both
2016 and 2021, including certificate
holders, industry associations, and
consultants, commented on the FAA’s
proposed timeline for submission of the
certificate holder’s Implementation
Plan, SMS Manual, ACM update, and
full implementation. While most agreed
the amended proposal for submitting
the Implementation Plan and SMS
Manual was acceptable, none thought a
certificate holder could be fully
implemented within 2 years.
Commenters from the 2021 comment
period requested further clarity on how
the final rule would affect existing SMS
programs. The final rule supplemental
guidance incorporates more detail for
airports implementing an existing SMS
into their part 139 compliance program.
(1) Phased Implementation
In the SNPRM, the FAA addressed
comments to the NPRM requesting the
FAA mandate a phased approach to
implementation. This would entail
setting different regulatory timelines for
implementation based upon, for
example, each SMS component, or
requiring the implementation of the
SMS in the movement area prior to nonmovement areas. As explained in the
SNPRM, to facilitate maximum
flexibility and scalability, the FAA did
not propose a one-size-fits-all
implementation approach. A certificate
holder is granted flexibility in
structuring and fine-tuning its
Implementation Plan to best fit its
operations and capabilities. Certificate
holders are therefore able to phase
implementation, either by SMS
component or by movement versus nonmovement area, as long as they fully
implement SMS by the required
deadline.
During both the 2016 and 2021
comment periods, commenters
reiterated previous comments to the
NPRM asking the FAA to require a
phased approach and permit more time
for implementation.
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The FAA maintains that it will not
require airports to use a phased
approach. This final rule is
performance-based and allows
flexibility in how the certificate holder
implements SMS within the required
deadlines. A certificate holder could
choose to phase its implementation, as
long as that phasing occurs within the
full implementation deadline. The FAA
addresses potential phasing options and
considerations in the related AC, which
takes into account experiences from
pilot studies and other implementing
countries. The AC is a guidance
document and the FAA stresses that
certificate holders may choose to pursue
a phased approach—or not—and to
structure their implementation to best
fit their operations, needs, and
capabilities.
The FAA also acknowledges that
safety assurance processes and
procedures, including program
evaluation and auditing, would require
experience under the SMS to be
meaningful. By the deadline for full
implementation, the FAA expects a
certificate holder to identify those safety
assurance processes and procedures and
a timeline for rolling out those activities
identified in the SMS Manual or ACM;
not actually apply those practices prior
to full implementation.
(2) Staggered Implementation
In addition to requesting a phased
implementation, numerous commenters
requested the FAA impose a staggered
approach to implementation. The
meaning and scope of ‘‘staggered’’
varied per commenter, but commenters
focused on staggering by size and
complexity of airport operations, by
applicability triggers, or based on
airport human and financial resources.
The FAA agrees that a staggered
approach will benefit industry
implementation as well as FAA review
and oversight. Therefore, this final rule
staggers rollout of document submission
and implementation requirements based
on the applicability triggers. This
approach conforms to commenters’
requests to implement a staggered
approach based on size and complexity
of the airport’s operation. By being the
last to implement, smaller, less complex
operations gain the ability to learn and
seek advice from larger, more complex
airports that already underwent the
process. They will also have more time
to identify resources and program
appropriate funding, where needed.
(3) FAA Review of Documents
The majority of commenters requested
the FAA provide a detailed timeline for
FAA review, and approval or
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acceptance, of the certificate holder’s
Implementation Plan and SMS Manual/
ACM update. Several commenters
specifically requested that this final rule
include regulatory text imposing
deadlines for FAA review. Commenters
also requested the FAA conclude that if
a certificate holder receives no feedback
from the FAA Regional staff within a
certain number of days after document
submission (e.g., 60 or 90), then the
Implementation Plan or SMS Manual
should be deemed approved or
accepted.
Lastly, the FAA was asked to explain
whether it expects a certificate holder
who has already voluntarily
implemented (or begun implementation
of) a SMS to submit an Implementation
Plan. The commenter suggested these
airports conduct a gap analysis to
determine gaps between their
established programs and this final rule
and submit a letter to the FAA
summarizing those gaps.
The FAA acknowledges the
importance of approval of the
Implementation Plan to full SMS
implementation. Therefore, the
deadlines for submission of the SMS
Manual and/or ACM update and full
implementation dates are calculated
based on the FAA’s approval of the
Implementation Plan, rather than the
effective date of this final rule. This
approach is similar to the one used in
part 5, except that it does not provide
an absolute deadline by which the FAA
must approve each Implementation
Plan.
On average, the FAA estimates it will
take an inspector 60 days to review an
Implementation Plan and 90 days to
review a SMS Manual and/or ACM
update. The FAA deems these estimates
reasonable and achievable under the
staggered implementation approach.
FAA Regional inspectors will work
closely with their team leads, managers,
and Headquarters liaisons should any
problem or question arise about the
submission or review process.
Furthermore, the change to how the
deadlines are calculated (i.e., based on
the Implementation Plan approval date)
allows for more communication
between the inspector and certificate
holder, should changes be required.
The FAA intends to leverage existing
long-standing processes, whereby the
FAA Regional inspectors work closely
with the airport operator to review and
approve submitted changes to their
ACM. These processes are typically
explained in FAA Orders, which are
publicly available documents. FAA
Order 5280.5, ‘‘Airport Certification
Program Handbook,’’ will provide
inspectors with guidance on how to
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review, approve, and accept document
submissions, and also inspect SMS
implementation. Part 139 does not
include a process for certificate holders
to resolve disapproval of changes to
their ACM, and the FAA has not added
such a process in this final rule.13 The
ACM review processes have historically
been successful under the part 139
program.
The FAA developed a standardized
Implementation Plan template in AC
150/5200–37A and has updated the
material along with this final rule.
Certificate holders are not required to
use the template but are encouraged to
do so to simplify and expedite FAA
review and approval.
A certificate holder is not required to
submit changes to its approved
Implementation Plan. As discussed in
the SNPRM, the Implementation Plan
serves as a tool to help certificate
holders develop and implement the
various components and elements of
SMS within the prescribed and/or
approved deadlines. Once approved, the
FAA expects the certificate holder to
make necessary adjustments to ensure
compliance with the prescribed
deadlines.
Airports that have already voluntarily
implemented SMS also must provide an
Implementation Plan detailing how they
will comply with this final rule. The
FAA has determined that the
Implementation Plan requirements are
scalable, flexible and not overly
burdensome. The certificate holder
could use the AC guidance material and
template to identify whether it has
already completed the elements
required under this final rule to assess
any gaps between the final rule and its
existing programs. Certificate holders
may use an existing gap analysis as the
basis for their Implementation Plan.
However, the FAA would not accept a
gap analysis alone, in lieu of the
Implementation Plan.
(4) Timeline for Document Submission
and Full Implementation
The SNPRM proposed an amended
schedule for submission of a certificate
holder’s-Implementation Plan (12
months after the rule’s effective date)
and the SMS Manual and/or ACM
update (24 months after the rule’s
effective date). The SNPRM implied that
full implementation would be
completed as of the date the SMS
Manual was submitted. Most
commenters agreed the amount of time
proposed for submitting the
Implementation Plan and SMS Manual
was acceptable. However, many
commenters from the 2016 and 2021
comment periods believed that full
implementation was unachievable
within 2 years. Numerous comments
supported ICAO’s model allowing 3
years for full implementation, while
others supported alternate timelines
ranging from 3 to 8 years. One
commenter during the 2021 comment
period argued that the implementation
period of 2 years was too long.
Commenters during both the 2016 and
2021 comment periods stated that by
extending the timeline for full
implementation, certificate holders
would have more time to (a) amend
existing tenant leases in non-movement
areas, and change applicable leaseholds,
contracts, policies and procedures; (b)
work with State legislatures to protect
SMS-related data; (c) implement based
on FAA review and approval of the
Implementation Plan; (d) effectively
manage the number of hazards reported;
(e) garner support and buy-in, hold
partnering sessions with all
stakeholders, and ensure that the
written program will be positively
received and accepted upon
implementation; and (f) obtain local,
state, or Federal funding to meet SMS
requirements (e.g., to obtain consultant
services, acquire software systems, etc.).
One commenter from the 2021 comment
period recommended that the FAA
11651
reconsider its submittal timelines for
SMS Implementation Plans and
Manuals/ACM SMS sections.
The FAA agrees it is appropriate to
increase the time allotted for full
implementation. Thus, under this final
rule, certificate holders qualifying under
the hub trigger must be fully
implemented approximately 4 years
from the effective date of this final rule,
plus any additional time that is required
for FAA approval of the Implementation
Plan. Because the FAA is using a
staggered approach to submission of the
Implementation Plan, certificate holders
qualifying under the operations trigger
have over 4.5 years and those qualifying
under the international trigger have over
5 years to fully implement from this
final rule’s effective date.
Table 3 depicts the timeline for
submission of the Implementation Plan,
SMS Manual and/or ACM update, and
full implementation based on a trigger.
It also provides an estimated full
implementation date based on a 60-day
FAA review and approval of the
Implementation Plan. The only
documents required for submission are
the Implementation Plan and SMS
Manual and/or ACM update.
During the 2021 comment period, the
FAA received several comments urging
the FAA to reconsider SMS rulemaking
and required implementation at this
time due to the economic impact
airports are facing as a result of the
COVID–19 pandemic. The FAA
recognizes the pandemic’s impact on
many airports; however, this rule’s
triggering criteria in § 139.401(a)
account for factors that influence the
triggers, such as the COVID–19
pandemic. The final rule also includes
an implementation schedule based on
the trigger and continues to be scalable
and flexible to accommodate changes in
airport operations. As previously
addressed, Federal funding is also
available for SMS Manuals and
Implementation Plan development.
TABLE 3—TIMELINE FOR SUBMISSION OF THE IMPLEMENTATION PLAN, SMS MANUAL AND/OR ACM UPDATE, AND FULL
IMPLEMENTATION BASED ON TRIGGER
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Triggers
Large, medium, and
small hubs.
+100,000 average annual operations.
International airports .....
Submit implementation
plan
12 months from effective
date.
18 months from effective
date.
24 months from effective
date.
Submit SMS Manual and/or
ACM update
Fully implement *
12 months from date on which the FAA
approves the Implementation Plan.
12 months from date on which the FAA
approves the Implementation Plan.
12 months from date on which the FAA
approves the Implementation Plan.
36 months from the date on which the FAA
approves the Implementation Plan.
36 months from the date on which the FAA
approves the Implementation Plan.
36 months from the date on which the FAA
approves the Implementation Plan.
*Approximate dates assume 60-day FAA review of Implementation Plan.
13 The FAA notes that part 5 also does not detail
resolution of disapproval or non-acceptance.
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
(5) Timeline for New Airports
Qualifying After the Effective Date of
This Final Rule, or Due to Changes in
Status
In the SNPRM, the FAA discussed
SMS requirements imposed on: (a)
airports that were subject to the rule at
the time of the effective date of this final
rule, and (b) airport operators requesting
an AOC (newly certificated airports)
after the effective date of this final rule.
The FAA failed to address certain
circumstances that could arise after the
effective date of this final rule;
particularly, when a certificate holder
could become subject to, or no longer
subject to, the requirements of this final
rule due to a change in its hub,
operations, or international status. In
these instances, two commenters
requested clarification of the timelines
for submission of Implementation Plans,
SMS Manuals and/or ACM updates, and
full implementation.
As further discussed in section A,
‘‘Applicability,’’ this final rule addresses
these circumstances and requires the
certificate holder to: (a) submit an
Implementation Plan within 18 months
of notification of qualification by the
FAA; (b) submit a SMS Manual and/or
ACM update within 12 months of
Implementation Plan approval; and (c)
fully implement a SMS within 36
months of Implementation Plan
approval. This final rule also addresses
circumstances in which a certificate
holder no longer meets any of the
qualification triggers. Section 139.401(h)
requires the certificate holder to
continue to develop, implement,
maintain, and adhere to its SMS for the
longest of either twenty-four
consecutive calendar months after full
implementation; or twenty-four
consecutive calendar months from the
date it no longer qualifies under
§ 139.401(a). For illustration purposes
only, assume a certificated airport
qualified only under the international
trigger due to the presence of a part 129
international carrier. If the international
air carrier ceases operations at the
airport, and if there are no other
commercial international operations,
then the airport no longer will be
subject to the SMS requirements, but
§ 139.401(h) requires the airport to
continue to develop, implement,
maintain, and adhere to its SMS for the
longest of either twenty-four
consecutive calendar months after full
implementation; or twenty-four
consecutive calendar months from the
date it no longer qualifies under
§ 139.401(a). Some airports may cross
the threshold of the international flights
criteria frequently. The FAA determined
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responsibilities (e.g., infrastructure
condition, driving, airport-provided or
required marking and lighting, and
public protection), and let air carriers or
other third parties address other
functions (e.g., pushback and towing,
aircraft servicing, jet bridge operation,
and baggage/cargo handling);
C. Non-Movement Area
3. Encourage (or require) part 139
The FAA believes it is essential that
certificate holders to implement SMS
SMS regulatory requirements apply to
first in the movement area and then in
non-movement areas through part 139
the non-movement areas (phasing in
because. . . . We received comments
areas in which the airport has complete
during the 2016 and 2021 comment
control, areas in which the airport
periods from numerous entities,
shares control, and areas in which a
including associations, certificate
third-party has control);
holders, and air carriers, on the
4. Permit part 139 certificate holders
proposed application of SMS to nonto exclude SMS applicability from areas
movement areas. Except for a few
specifically identified in the SMS
notable exceptions, most disagreed with Manual that are under the control of one
the FAA’s proposal to include nonor more air carrier tenants with part 5
movement areas in an airport’s SMS.
SMS;
Nearly all of these commenters
5. Allow part 139 certificate holders
suggested ways—through either
to delegate their authority to their
regulatory text or preamble discussion— tenants to implement SMS in certain
for the FAA to clarify its intentions with non-movement areas where the
respect to applicability of SMS to noncertificate holder can show the tenant
movement areas and to improve the
has greater control, or limit the role of
requirements to reflect the practicalities the airport operator in such areas to that
of airport operations.
of a ‘‘coordinator’’;
Several of these commenters from
6. Permit part 139 certificate holders
both the 2016 and 2021 comment
to delegate SMS oversight and
periods also urged the FAA to resolve
responsibility to a designated senior
potential duplication and conflicts
official of each affected tenant; and
between the SMS of an air carrier tenant
7. Clarify whether the part 139
(i.e., a part 119 certificate holder subject certificate holder SMS or the air carrier
to part 5 SMS) and the SMS of an airport tenant SMS has precedence for safety
operator for activities conducted in
issues in non-movement areas, subject
leased facilities located in nonto the SMS requirements of parts 5 and
movement areas. Commenters from both 139 (e.g., gate operations near aircraft,
comment periods suggested that airport
ground servicing vehicles, etc.).
involvement in air carrier tenant leased
(1) Regulatory Authority in the Nonareas could introduce new risks for air
Movement Area
carriers because the air carriers would
One commenter reasserted its
have to ensure compliance with
argument—first brought forth in its
different procedural mitigations at each
comments to the NPRM—that the FAA
airport they fly into. Commenters from
lacks the necessary authority to regulate
both comment periods also addressed
non-movement areas pursuant to 49
potential duplication and conflict for
U.S.C. 44706. Another commenter
passenger operations in non-movement
stated the FAA has not offered a
areas. However, both airport and cargo
compelling reason to substantiate the
operators indicated that operations on
proposed expansion of its regulatory
cargo ramps are unique since they are
managed exclusively by cargo operators. oversight to non-movement areas.
The FAA has broad authority under
Lastly, commenters from both comment
49 U.S.C. 44702 to issue AOCs. Under
periods asked the FAA to exclude non49 U.S.C. 44706, the FAA can issue an
movement areas subject to exclusive
area agreements with the Transportation AOC to a person desiring to operate an
airport if it finds that the certificate
Security Administration (TSA), when
holder ‘‘properly and adequately is
the certificate holders have
equipped and able to operate safely
implemented SMS.
The FAA received and considered the under this part and regulations and
standards prescribed under this part.’’
following suggestions to address the
implementation in non-movement areas: Furthermore, 49 U.S.C. 44701(c) allows
1. Make SMS implementation in non- the FAA to regulate to ‘‘reduce or
eliminate the possibility or recurrence
movement areas voluntary for part 139
of accidents in air transportation.’’
certificate holders;
The FAA acknowledges that the
2. Apply SMS in the non-movement
majority of the quantified benefits
areas only for ‘‘traditional’’ airport
twenty-four calendar months was the
minimum time that would be necessary
to accurately validate the withdrawal of
the triggering requirements. FAA
believes a period beyond twenty-four
consecutive calendar months would be
overly burdensome to airport operators.
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
related to wildlife strikes are primarily
occurring in the movement area, which
make up about 50 percent of benefits.
However, the FAA has identified
numerous safety concerns, events,
accidents, and incidents in nonmovement areas that constitute hazards
and may reasonably contribute or lead
to accidents in air transportation
(examples of which are discussed both
later in the preamble as well as in the
accompanying RIA). Instituting SMS in
movement and non-movement areas is
consistent with the FAA’s authority and
safety mission, because it provides
significant benefits and contributes to
the reduction or elimination of the
possibility of recurrent air
transportation related accidents.
In one example, discussed further in
the RIA, an airport identified a hazard
to passengers walking on a ramp
between parked aircraft and the
terminal. The airport mitigated the
hazard by adding pavement markings to
guide passengers along a safe path
between aircraft and the terminal. In
another example, an airport identified a
trend regarding collisions between
moving aircraft wingtips or service
vehicles and the tails of stationary
aircraft parked at gates. The airport
mitigated the hazard using pavement
markings as a clear indicator for ramp
wing-walkers and marshallers to
maintain proper clearances.
The regulatory evaluation of this final
rule provides additional examples of
past events that justify the need for
implementation of SMS in nonmovement areas. See Section IV,
Benefits, in the regulatory evaluation for
this rule. Accidents and incidents
continue to occur. For example, during
the 2-month period encompassing
January and February 2017, a large hub
airport reported four damaging
incidents in the non-movement area.
Two of the incidents occurred during
pushback, and all four incidents
involved vehicle movements or safety
personnel required to monitor such
movements. In February, May, and July
2017, a second large hub airport (owned
and operated by the same entity)
reported three more damaging incidents
in the non-movement area, similar to
those experienced at the first airport.
Furthermore, as discussed in the
SNPRM, and in direct support for
instituting SMS in non-movement areas,
pilot studies found that it was difficult
to apply SMS concepts only to the
movement area because aircraft and
airside personnel routinely flow
between movement and non-movement
areas. Airport operators and/or airport
owners currently have sufficient
authority to implement the training,
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safety reporting, and Safety Risk
Management (SRM) processes required
in this final rule, as well as to undertake
the additional responsibility and burden
in the non-movement area that will
result from this rule, including potential
development of new expertise in this
area.
(2) Inclusion of Fuel Farms, BaggageMakeup, and Military Areas
A commenter argued against the
inclusion of fuel farms as part of the
SMS requirements. The FAA disagrees
that SMS implementation in fuel farms
should be voluntary for airports. As
stated in the SNPRM, fuel farms are
regulated under § 139.321 as part of the
certificate holder’s AOC. Therefore, it is
a natural progression to implement
relevant portions of the SMS in the fuel
farm environment.
Another commenter requested the
FAA include baggage-makeup areas
within the definition of non-movement
area. The FAA previously responded to
issues about applicability to baggagemakeup areas in both the ‘‘Responses to
Clarifying Questions (to the NPRM)’’
and the SNPRM. The FAA continues to
disagree with including baggagemakeup areas explicitly within the
definition of non-movement areas. At
the majority of airports, these areas are
located in the terminal environment.
The purpose of addressing nonmovement areas in SMS is to address
conditions, events, incidents, or
accidents that could potentially
threaten, or harm, passenger-carrying
operations, and to reduce or eliminate
the possibility of recurrence of accidents
in air transportation (as authorized by
49 U.S.C. 44701, 49 U.S.C. 44702, and
49 U.S.C. 44706). However, if a baggagemakeup area is located outside the
landside facilities—in proximity to air
carrier operations—the certificate holder
would need to ensure the
implementation of relevant portions of
this final rule, like awareness of the
safety reporting system for individuals
working in the external baggage-makeup
areas. The ‘‘non-movement area’’
definition covers these rare instances
without explicitly identifying baggagemakeup areas.
The FAA addressed certain issues
about joint-use airport facilities in the
NPRM and SNPRM. Notwithstanding,
several commenters—including various
certificate holders—stated the SNPRM
was unclear with respect to nonmovement areas that are under the
exclusive control of the military or other
governmental entities. The FAA
maintains its position that nonmovement areas under the exclusive
control of military units or other
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11653
governmental agencies are excluded
from the applicability of SMS
requirements. This exclusion will apply
to military facilities at joint-use airports
or leased areas at joint-use airports. All
such areas must be identified in the
SMS Manual and/or ACM update, and
the certificate holders should include
the exclusion in any ‘‘lease and use
agreement’’—or similar legal
instrument—with applicable military
units or governmental agencies.
Certificate holders can—at their own
initiative—promote the voluntary
inclusion of the military and
governmental bodies in SMS-related
activities and programs.
(3) Inconsistency With ICAO Standard
A commenter noted that ICAO Annex
19, Appendix 2, states an
‘‘organization’s SMS should identify
hazards and mitigate risks associated
with its products or services.’’ It argued
that an airport’s SMS should only be
applicable to products or services
provided by the airport or its
contractors, meaning that services
provided in non-movement areas by
parties other than the airport operator
would not be covered (e.g., baggage
handlers or provisioning crews). The
commenter believed the FAA’s proposal
is inconsistent with this international
standard and may lead to negative
consequences.
The FAA does not agree with the
commenter’s interpretation. ‘‘Note 2’’ of
Amendment 1 to ICAO’s Annex 19
states: ‘‘the service provider’s interface
with other organizations can have a
significant contribution to the safety of
its products or services.’’ Section 2.1.1
of Appendix 2 states: ‘‘the service
provider shall develop and maintain a
process to identify hazards associated
with its aviation products or services.’’
Furthermore, pursuant to section 2.1.2:
‘‘hazard identification shall be based on
a combination of reactive and proactive
methods.’’
The sections referenced above
evidence and recognize the complexity
of certain operations (i.e., airport
operations). The interface between a
service provider and other organizations
can significantly contribute to the safety
of the service provider’s products or
services. Airport operations are
complex, and certain actions occurring
in movement and non-movement areas
could pose a threat to the safety of
aircraft and air transportation. Airports
should consider all conditions that
could pose a threat or hazard to the
airport’s operations, whether partly or
completely located in the movement or
non-movement areas. This is not an
issue of where the hazard occurs, but if
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it could occur. Conditions in the nonmovement areas could constitute
hazards because they can foreseeably
lead—or be part of a chain of events that
leads—to aircraft accidents (e.g., An
aircraft taxis over wheel chocks left on
the ramp, causing damage to the
aircraft’s nose wheel spray deflector.
The damaged deflector prevents
extension or retraction of nose gear after
takeoff, causing an emergency diversion
and nose gear-up landing.14
Based on the above, and on the FAA’s
authority to regulate the non-movement
area pursuant to 49 U.S.C. 44701, 44702,
and 44706, the FAA determined the
regulation of the non-movement area for
SMS purposes is consistent with ICAO
standards.
(4) Air Carrier Operations in NonMovement Areas
Commenters that commented during
both the 2016 and 2021 comment
periods were confused about the
applicability of SMS regulatory
requirements in non-movement areas.
Some air carriers and airport operators
believed the SMS requirements
proposed in the SNPRM would
duplicate requirements already imposed
on air carriers through part 5. These
entities believed the part 139 final rule
should exclude non-movement areas
under the exclusive control of air
carriers since they are already covered
through the air carrier’s SMS.
The part 5 final rule limited the
FAA’s oversight of the air carrier’s SMS
to aviation activities conducted under
part 121. The FAA acknowledged in the
preamble of the part 5 final rule that
some air carriers may opt to extend their
SMS to other aviation and non-aviationrelated activities. The FAA clarified that
it would only conduct oversight of SMS
activities related to aviation operations
that the air carriers conduct under part
121. Many air carriers have voluntarily
extended their SMS to include ramp
operations, but these programs are not
required to comply with part 5, nor are
they inspected by the FAA.
The part 5 final rule also narrowed
the definition of the term ‘‘hazard’’ to
ensure consistency with the NTSB’s
definition of ‘‘aircraft accident.’’
Accordingly, the part 5 definition of
‘‘hazard’’ involves a condition that
could foreseeably cause or contribute to
an aircraft accident as defined in 49 CFR
830.2. An ‘‘aircraft accident’’ is defined
as: ‘‘an occurrence associated with the
operation of an aircraft which takes
place between the time any person
14 Ref. https://www.asias.faa.gov/apex/
f?p=100:17:::NO::AP_BRIEF_RPT_
VAR:CHI01FA270.
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boards the aircraft with the intention of
flight and all such persons have
disembarked, and in which any person
suffers death or serious injury, or in
which the aircraft receives substantial
damage.’’ By limiting the scope of the
definition of ‘‘hazard’’ in part 5, the
FAA’s oversight is narrowed to the air
carrier’s operation.
The FAA notes that certain aspects of
an air carrier’s operations conducted in
non-movement areas are not subject to
the provisions of part 121. Similarly,
unfavorable occurrences, which could
lead to an accident, injury, or damage,
may not involve an aircraft with the
intention of flight but could still be of
concern to an airport operator. As
previously discussed, the need for
proactive safety management in the nonmovement area is evidenced by the large
number of safety accidents and
incidents in non-movement areas.
Therefore, the FAA believes it is
essential that SMS regulatory
requirements apply to non-movement
areas through part 139.
The FAA Office of Airports’ (ARP)
oversight and inspection related to
application of the SMS to nonmovement areas will focus on the
airport operator’s processes and
practices to ensure proactive safety
management, since ARP inspectors are
not authorized to inspect air carrier
operations for compliance with part 5,
119, or 121.
As for implementation of SMS in nonmovement areas, the FAA does not
agree that it should be voluntary or
dictated by regulation (see section B,
‘‘Implementation’’). However, the FAA
agrees that additional flexibility—to
facilitate compliance with the
requirements for SMS implementation
in non-movement areas—will be
beneficial to account for unique
contractual, business, or operational
arrangements involving air carrier
tenants required to implement SMS. For
example, the airport operator could
establish a means for air carriers’
tenants to share with the airport any
reports, safety information, and analysis
relevant to the air carrier’s operations in
the movement and non-movement areas
of the airport. The air carrier tenant
employees could file the information
through the airport’s safety reporting
system. However, the flexibility of this
final rule allows for—but does not
require—the certificate holders to enter
into an arrangement in which air carrier
tenant employees continue using their
employer’s confidential employee
reporting system (See 14 CFR 5.71(a)(7))
to communicate relevant safety data and
reports, as long as the air carrier tenant
shares relevant information derived
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from such reports or findings with the
airport. Section 139.401(e) affords
certificate holders such flexibility by
alleviating duplicative reporting and
encourages sharing of information by
addressing interoperability issues
between the regulated entities. If the
part 139 certificate holder chooses to
develop a Data Sharing and Reporting
(DSR) Plan, this option is available.
A certificate may develop a DSR Plan
as a means of compliance with
§ 139.401(e). If the certificate holder
chooses this means of compliance, the
DSR Plan must include, as a minimum:
(a) the types of information (e.g., hazard
reports, investigation findings, etc.) the
airport operator expects the air carrier
tenants to share if they are reported
through their part 5 confidential
employee reporting system or other
hazard collection means; (b) the
timeliness of sharing relevant safety
data and reports; (c) the process for
analyzing joint safety issues or hazards;
(d) other processes, procedures, and
policies to aid the part 139 certificate
holder’s compliance with its obligations
under the airport SMS; and (e) the
identification of means by which the
requirements of the plan will be
executed (e.g., private agreement,
internal bylaws, internal regulations,
internal policies, memorandums of
understanding, etc.). The part 139
certificate holder may choose to
incorporate the DSR Plan into the ACM
or SMS Manual.
Establishing a DSR does not
necessarily require any additional
capital investment by the airport or the
tenant to facilitate data sharing as
§ 139.401(e) does not prescribe how data
sharing should occur (for example, data
sharing could be achieved through
routine meetings between the airport
and the part 121 air carrier). A DSR
might also reduce the total amount of
incidents that would otherwise be
reported to the airport, as the DSR Plan
may allow for a tenant, through its own
internal reporting system and SMS, to
analyze and mitigate reported hazards
that it determines do not require further
analysis or mitigation by the airport.
Airport operators must work with air
carrier tenants that chose to participate
in the DSR Plan to ensure they agree to
the terms it established. The FAA
stresses that the development and
participation in the DSR Plan is
voluntary both for the airport operator
and air carrier tenants. Airports that
develop a DSR Plan may encourage
participation by, among other things,
reminding air carrier tenants of the
benefits afforded through the DSR Plan,
such as relief from duplicative
reporting.
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The DSR Plan affords the airport
operator flexibility in how it engages
applicable air carrier tenants. This final
rule does not dictate the means by
which the airport operator must carry
out the provisions; rather, it requires
airport operators choosing this option to
describe how they will implement the
provisions. For example, an airport
operator may have sufficient rights and
powers to institute requirements such as
data sharing through airport issued
rules, regulations, or policies. In other
cases, an airport operator may need to
enter into a private agreement or
amendment to an agreement or an
internal directive or guideline to
implement such provisions. The part
139 certificate holder will simply
identify the means by which it will
implement the minimum requirements
of the DSR Plan to allow for the sharing
of information (e.g., private agreement,
rules and regulations, memorandum of
understanding, etc.). It will not have to
incorporate the agreements, rules, or
other provisions into the DSR Plan.
Regardless of the existence or form of
delegation, the FAA emphasizes that the
burden of compliance with the
regulatory requirements established by
this final rule rests solely on the part
139 certificate holder. Any failure of an
air carrier tenant to uphold any term or
condition established in an arrangement
or agreement between the air carrier
tenant and the part 139 certificate
holder that is used to carry out the
provisions of the DSR Plan is not a valid
or reasonable justification for lack of
compliance with the regulation.15
Further, an FAA inspector could
request to inspect the optional
documentation (e.g., private agreement,
internal bylaws, internal regulations,
internal policies, memorandums of
understanding, etc.) referenced in the
DSR Plan, whenever the FAA
determines—or has reasonable belief—
that the airport is not complying with
related provisions of the regulation. The
inspection of the documentation
facilitates the FAA’s assessment of
compliance with the regulation and the
FAA’s understanding of the delegation
of responsibilities among the parties.
15 The FAA notes that the scope of oversight
burden under this final rule is not different than
current requirements in part 139. Airports are
currently responsible for compliance in all areas
covered under part 139 and the airport ACM.
Moreover, almost every part 139 airport is federally
obligated through the federal grant program and is
required to meet certain federal grant assurances
including the requirement to operate in a safe and
serviceable manner. The oversight expectations
present under existing part 139 rules are sustained
in this final rule; the SMS process simply
establishes a systematic approach to the airport’s
already-existing responsibilities and helps mitigate
incidents or accidents that may occur.
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Therefore, the FAA recommends that
certificate holders include a clause or
provision in such agreements or
documents that all parties involved
facilitate access to the FAA for the
review of the agreements or
documents—at the FAA’s request—so
the FAA can assess compliance with all
applicable regulatory requirements
when in question. As discussed in
Section D, Data Protection, the FAA
may request additional SMS-related
data or information under existing
regulatory oversight processes to ensure
that systemic or national compliance
issues are reported when appropriate. In
most cases, the FAA will review
requested documents while on the
airport. The only time the FAA will take
physical possession of SMS-related data
off airport will be as part of an
investigation. Otherwise, the part 139
certificate holder will retain all other
SMS-related information.
Airport operators executing a DSR
Plan with a tenant would not be
required to make their safety reporting
systems available to the tenants or
tenant’s employees for safety reporting
purposes. The airport operators would
also not be required to extend their SMS
training or make available SMS
materials to the tenant’s employees if
the tenant’s SMS covers such training or
materials.
D. Data Protection
Most commenters to the SNPRM that
commented during both the 2016 and
the 2021 comment periods, including
certificate holders, associations, and air
carriers, claim the FAA has not
adequately considered the effects that a
lack of data protection will have on
SMS implementation. Commenters
asked the FAA to take action to protect
from public disclosure SMS-related
information such as hazard reports,
safety risk management documentation,
investigations, and Safety Assurance
reports. Without Federal action, these
commenters believed a lack of data
protection could significantly impact
the effectiveness of the certificate
holder’s safety reporting system and
overall SMS.
A commenter noted that airport
operators generally have greater
difficulty than air carriers in protecting
against the disclosure of safety
information because most airports are
owned and operated by governmental
entities that may be subject to a state’s
freedom of information laws. In the
absence of effective protection
mechanisms, most certificate holders
could be required to disclose safety data
gathered as part of their SMS.
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The FAA was asked to provide
guidance on the appropriate way to
handle open records act and Freedom of
Information Act (FOIA) obligations if an
airport operator comes into possession
of, or has access to, air carrier SMS
information. A commenter stated that if
the FAA intends for safety reporting to
be independent of other governmental
functions, it must explicitly include
language in this final rule that prohibits
the airport operator from sharing
information with other government
entities, notwithstanding any contrary
local or State requirements or law.
Another commenter mentioned that
airport operators may not have authority
to ignore non-safety implications of data
they receive in connection with shared
SMS data. A commenter from the 2021
comment period requested that the FAA
codify a FOIA exemption for SMS
reporting.
The FAA assessed various suggestions
for dealing with potential data
protection issues:
(1) State-Level Fix
Two commenters believed that if the
FAA finds a way to provide Federal
protection, existing state legislation (in
some states) would grant similar
protection. One of the commenters
stated that the FAA would have to opine
that grant-obligated airports are required
to keep confidential those records
collected in compliance with a SMS
rule, thus allowing protection under its
state’s open records laws. However,
another commenter explained that its
state’s existing public records laws are
broad and would not protect any data
submitted to the airport’s safety
reporting system. While these
commenters are not averse to working
with their state legislatures to ensure
protections, they request additional time
for implementation to address these
issues. In 2021, one commenter
requested an exclusion of SMS-related
data from state level public records
requests in the final regulation,
provided the FAA determines it has the
authority to create such an exclusion.
In contrast, two commenters
disagreed with the State-level fix,
explaining that the FAA has
underestimated the monetary and
schedule challenges posed by putting
the onus on the certificate holder to
work with state authorities. The
commenter also believes a patchwork of
different protection standards is not
conducive to the success of the SMS
effort.
The FAA recognizes that most
certificate holders are owned by public
entities, whether it is a State, a
subdivision of a State, a local
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governmental body or other similar
entity. Certificate holders are in the best
position to seek legal guidance to
determine the most appropriate way to
handle and protect data and information
gathered. They should assess applicable
State legal frameworks to determine
how to comply with data privacy laws
and reporting requirements. (For
example, SMS data that is required to be
redacted as part of a disclosure
requirement might also be subject to
applicable State law.) Furthermore,
certificate holders have the ability to
evaluate whether States afford data and
information protection mechanisms
through local statutes and regulations or
through other legal or contractual
arrangements such as confidential
disclosure agreements. Notably, the
FAA does not have the authority to
preempt State freedom on information
laws without a congressional mandate.
The FAA is also not in a position to
assess any State’s legal framework, to
impose any requirement to create or
implement State laws and regulations to
protect data and information, or to
counsel about handling and protection
of data shared amongst third parties.
Thus, the FAA cannot determine
whether FOIA exceptions preclude
disclosure requirements under
applicable State laws, or if other laws,
regulations, or contractual arrangements
would preclude disclosures made
amongst third parties.
(2) Federal-Level Protection
Commenters from the 2016 and 2021
comment period re-stressed their
assertions that existing Federal
protections could be used to protect
SMS data. Commenters disagreed with
the FAA’s finding that data protection
under SSI provisions is inapplicable
and may be impermissible because
those procedures are for information
obtained or developed in the conduct of
security activities as described in 49
CFR part 1520. The commenters argued
that hazard reports and SRM processes
could identify airport vulnerabilities.
Another commenter believed the FAA
should commit to using the provisions
of 49 U.S.C. 44735(b)(4) to assist
certificate holders in securing
exemptions from state law. One
commenter argued that the FAA already
has the legal authority to exempt SMSdata from disclosure under Federal,
state, and local freedom of information
and sunshine laws. The commenter
stated that Congress imposed on the
FAA the responsibility of overseeing
and regulating aviation safety in the
U.S., and that pursuant to that authority,
the FAA adopted a comprehensive
regulatory scheme for certain activities.
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As such, the commenter maintained that
Federal protection could be afforded
since, whenever the FAA preempts the
field, U.S. courts tend to invalidate state
laws and regulations that conflict with
the FAA safety regulations.
Commenters that commented during
both the 2016 and 2021 comment
periods agreed that a single Federal
standard or statutory exemption should
apply to all airports regarding data and
information protection. Some
commenters wanted the FAA to seek
legislative protection to address data
protection. Numerous commenters
believed that the FAA should explicitly
address data protection in this final
rule’s regulatory text and pressed for
Federal legislation to protect such
information.
Pursuant to 49 U.S.C. 44735, as
amended, the FAA must protect certain
voluntarily submitted reports, data, or
other information produced or collected
for purposes of developing and
implementing a safety management
system acceptable to the Administrator;
however, this protection is not afforded
to any SMS information required to be
submitted to the FAA. Consequently,
the FAA is limiting the SMS
information that certificate holders are
required provide the Agency (i.e.,
certificate holder’s implementation plan
and SMS Manual, and/or ACM update).
Specifically, the FAA is not
incorporating regulatory language
requiring certificate holders to report to
the FAA any safety-related data
developed under a SMS. This approach
should have no repercussions under
FOIA and is consistent with the
authority under 49 U.S.C. 44735. It
should also not affect the FAA’s ability
to review a certificate holder’s
documentation to assess compliance
with part 139; meaning, the FAA might
take possession of such documentation
when investigating a potential issue of
non-compliance.
Certificate holders are not prohibited
from voluntarily sharing information
with other governmental entities. The
protection under 44735 only safeguards
against release by the FAA, and does not
extend to other governmental entities
nor to private entities. This means that
whenever a certificate holder releases or
submits information to any other
governmental entity, the information
rendered is not protected from release
by such governmental entity, absent
other applicable law.
The information might also not be
protected from discovery in civil
litigation, although the certificate holder
could request that a court extend
additional or ancillary protections
available under the laws of the relevant
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jurisdiction. Furthermore, the FAA
cannot protect data that is shared by and
among third parties; such protection
would have to be granted statutorily or
under a legally-binding agreement to
protect the information that is
recognized as protected under state or
local law.
As previously stated in the SNPRM,
data protection under SSI provisions is
inapplicable and may be impermissible
because those procedures are for
information obtained or developed in
the conduct of security activities, as
described in 49 CFR part 1520.
(3) Creation of a National Data
Repository
Numerous commenters from both the
2016 and 2021 comment periods
believed data could be protected under
existing Federal protections if the FAA
established a national repository for
certificate holders to voluntarily submit
hazard data. Two commenters during
the 2021 comment period suggested that
such a repository would be
advantageous and reduce the financial
burden to airports. One commenter
explained that while the FAA may have
little to no need for such information,
the approach would allow certificate
holders to take advantage of the narrow
legislative provision.
Regarding the request for the creation
of a national data repository, the FAA
acknowledges that such a database
would allow it to protect all SMS data
submitted voluntarily to the FAA.
Notwithstanding, the FAA has
concluded that a national data
repository will not provide an
immediate solution to data protection.
As one of the commenters accurately
stated, certificate holders could
inundate the FAA with hazard reports
and documentation to gain Federal
protection. Further, a national database
would not prevent disclosure under
State or local laws. Certificate holders
would still be in possession of the data
before submitting it to the national
database.
The FAA remains interested in the
long-term idea of a national database, as
a means to identify systemic safety
issues and hazards. The FAA will reexplore this option after certificate
holders’ SMS mature, and the FAA has
more time to analyze and consider the
types of information that could be
submitted as well as all resource
requirements regarding collection.
When deemed appropriate, the FAA
may consider implementing a national
data repository, pursuant to the
provisions of 49 U.S.C. 44735, which
allows the FAA to protect from
disclosure all ‘‘reports, data, or other
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information produced or collected for
purposes of developing and
implementing a safety management
system’’ as long as the data is furnished
voluntarily and is not required to be
submitted to the FAA pursuant to other
provisions of law. In addition, the
implementing regulations to 49 U.S.C.
40123, codified at 14 CFR part 193,
afford the FAA the option of designating
voluntarily submitted safety information
as ‘‘protected’’ information, thereby
preventing its disclosure to
unauthorized third parties.
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(4) De-Identified Data
During the part 139 SMS pilot studies,
certain participants explored the use of
third parties to de-identify hazard
reports before these were filed with the
certificate holder. One commenter noted
that such a system would add cost and
complexity to SMS implementation and
operation, although it did not address
whether the option would result in the
protection of SMS data.
As a clarification, the FAA realizes
that some confusion exists regarding the
information that a certificate holder
must submit to the FAA. One
commenter from the 2021 comment
period stated that the requirement for
airports to share de-identified data with
the FAA was unreasonable.
As stated in the SNPRM, the FAA
decided not to propose data reporting
requirements for safety-related data
created under a SMS. The only
documents or information that must be
submitted to the FAA under the SMS
provisions are the certificate holder’s
Implementation Plan and SMS Manual
and/or ACM update. While at the
entity’s facility, the FAA may request to
review additional SMS-related data or
information under existing regulatory
oversight processes to ensure that
systemic or national compliance issues
are reported when appropriate. The only
time the FAA will take physical
possession of SMS-related data off
airport will be as part of an
investigation. Otherwise, the certificate
holder will retain all other SMS-related
information.
E. Safety Reporting and Interoperability
The SNPRM proposed to require
certificate holders to establish and
maintain a confidential hazard reporting
system and to encourage all persons
accessing the movement and nonmovement areas to report hazards to the
certificate holders. The SNPRM also
acknowledged the numerous ongoing
SMS efforts (e.g., part 5 and internal
efforts to implement SMS within the
FAA) and the overlapping
responsibilities related to hazard
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reporting. Commenters to the SNPRM—
including certificate holders, air
carriers, an association, and a
consultant—commented on the
proposed requirement to establish and
maintain a confidential hazard reporting
system.
In addition to concerns about data
protection (see section D. ‘‘Data
Protection’’), commenters sought
clarification on how SMS reporting
systems are meant to work and how
they should be implemented. These
commenters requested the FAA address
how it expects information and data to
flow between the airport tenants
(including those required to implement
reporting systems under their own
certificate programs) and certificate
holders. Multiple commenters,
including certificate holders and air
carriers, believed that requiring
employees to report to multiple SMS
systems is duplicative and could cause
confusion. A commenter also expressed
concerns about how hazard reporting
would be implemented for
crewmembers or air carriers operating
into multiple part 139 airports, stating
that it is not reasonable to expect the
crewmembers to be trained to comply
with each individual airport’s SMS and
reporting systems. Another commenter
requested the FAA clarify whether it
considers a confidential hazard
reporting system to be the same as an
operational safety issues system.
One commenter from the 2021
comment period asked whether this rule
would apply to air carriers, and whether
airports would be expected to
investigate airline incidents or only act
as a repository of lessons learned and
corrective actions to be shared with all
employees and employers.
(1) Change in Terminology
As stated in the SNPRM, the FAA
agrees the term ‘‘hazard reporting
system’’ is confusing and does not
adequately address the genesis of the
requirement. The intent of the reporting
system is to ensure a transparent means
of reporting safety issues within the
movement and non-movement areas. As
such, this final rule changes the
terminology in § 139.402(c)(2) from
‘‘hazard reporting system’’ to ‘‘safety
reporting system.’’
(2) Data Sharing and Reporting Plan
The FAA agrees that, for air carriers
or other tenants that are required to
maintain a SMS, the reporting system as
proposed in the SNPRM could be
duplicative. The FAA believes that the
DSR Plan (See section C. ‘‘NonMovement Area’’), could alleviate the
duplicative reporting burden.
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Under § 139.402(c)(2), the airport
operator is required to maintain a
confidential safety reporting system.
The system must be accessible by all
individuals with access to the
movement and non-movement areas
(except those excluded through an
optional DSR Plan). The certificate
holder needs access to this type of data
to proactively address safety issues in
the movement and non-movement areas.
While the FAA acknowledges that the
majority of incidents related to wildlife
strikes account for about 50 percent of
the estimated benefits primarily
occurring in the movement area, the
FAA finds that the conditions for
events, accidents, and incidents that
occur are originating in the nonmovement area. The majority of
conditions, events, accidents, and
incidents that occur in an airport
transpire in the non-movement area.
These conditions that—if unreported,
unanalyzed, or unmitigated—could
directly result or indirectly contribute to
a chain of events that lead to accidents
in air transportation.
The FAA reiterates that part 5 works
in parallel to this final rule, as it
encourages air carriers and airports to
communicate with one another when
hazards and safety issues are identified
through their respective SMS
procedures and processes. Consistent
with the intent of this rule and the
FAA’s SMS policy, the part 5 final rule
also recommended that air carriers
notify airports of hazards identified in
airport facilities, so all certificate
holders are aware of issues, analyze the
risks, and take appropriate remedial
action.
One commenter from the 2021
comment period recommended that the
FAA speed up the development of SMS
software to enable data sharing with an
FAA-supported vendor in a manner
similar to how the FAA implemented
the SMS requirements under part 5. The
FAA does not intend to develop data
sharing software at this time, but
reiterates that Federal funding may be
available for SMS software
development.
(3) Crewmembers Accessing NonMovement Areas
The FAA agrees that it is
unreasonable to expect that all air
carrier crewmembers would have
knowledge of the reporting systems of
all airports they fly into. For air carriers
or other tenants not addressed through
an optional DSR Plan, the FAA
recommends, but does not require, that
all crewmembers based at a particular
airport and those crewmembers most
often accessing an airport’s non-
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movement area receive safety awareness
orientation and report safety issues to
the airport’s safety reporting system.
The FAA anticipates that crewmembers
who are not based at an airport, or with
limited access to the non-movement
area of other airports, will continue to
report safety issues through their air
carrier’s employee reporting system.16
The FAA deems it crucial for all
individuals with access to the
movement and non-movement areas to
have a means of reporting safety issues
and hazards, since there are limited
numbers of certificate holder employees
with access to these areas at any given
time. The availability of alternate
reporting venues increases the
possibility that an air carrier employee
or an employee of another tenant
located at the airport will, upon
witnessing safety issues not readily
visible to certificate holder employees,
report those observations. This, in turn,
allows the certificate holder to analyze
the situation and take prompt action to
fix any problems found or implement
ancillary measures to enhance safety at
the airport.
F. Training and Orientation
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The SNPRM identified a 2-prong
approach to training requirements. First,
a small number of certificate holder
employees (those involved in the
implementation and compliance with
the SMS) would be required to receive
SMS-specific training. Second, all other
individuals with access to the
movement and non-movement areas of
the airport would not have to undergo
SMS-specific training, but would
instead receive hazard (safety)
awareness orientation (e.g., they could
be provided with brochures or be
required to complete training modules
that discuss what a hazard is and how
to report it to the airport’s safety
reporting system).17
Most commenters agreed with the
FAA, but some from both the 2016 and
2021 comment periods requested that
the FAA provide clarification.
16 FAA anticipates that most air carriers with part
5 SMS programs will develop DSRs between
tenants and airports; however, this rule does not
establish a regulatory requirement for an airport to
develop a DSR. Non-DSR agreement airports will
continue to operate as they do currently to meet
current requirements of other established
regulations. In situations where a DSR does not
exist, a pilot, for example, would continue to report
hazards through their company’s reporting
mechanism, or through the airport’s Safety
Management System.
17 Airport SMS safety awareness/orientation can
be accomplished through such methods as written
communication, presentation, or brochures.
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(1) Identification of Roles,
Responsibilities, and Minimum
Training Elements
Most commenters requested that this
final rule include job roles,
responsibilities, and minimum training
elements for compliance. Comments
received during the 2021 comment
period reiterated these requests.
The FAA finds it would be overly
prescriptive to (a) identify specific roles
or job titles, or (b) set the minimum
elements of SMS-specific training in
regulatory text. This rule is
performance-based and grants latitude
to certificate holders in establishing and
tailoring their SMS to their particular
operations.
Although the FAA requires the
certificate holder to identify an
accountable executive, it grants airport
operators discretion as to how to
allocate resources to comply with the
remaining requirements of the rule.
Smaller airports may use their
accountable executive to implement
other provisions of the rule. For
example, the certificate holder can
require the accountable executive to be
responsible for both SRM and
continuous oversight under safety
assurance, instead of acting exclusively
as the overarching decision maker or
figurehead. Accordingly, the FAA has
determined it would be overly
restrictive or burdensome to identify
certain roles or job titles warranting
training and orientation.
The FAA does not identify minimum
elements of SMS-specific training for
the same reason it does not identify
specific roles or job titles. As explained
above, the FAA wants certificate holders
to have maximum flexibility in
implementing the SMS, in such a way
that it can be tailored to their unique
operating environment, and to facilitate
their compliance with the broad
requirements and intent of the rule.
Notwithstanding, in the interest of
addressing commenters’ concerns, the
FAA decided to incorporate a nonbinding, non-exhaustive list of examples
of training programs implemented by
pilot study participants in the AC.
The FAA received several comments
in 2021 concerning the training,
qualifications, and deployment of
qualified FAA SMS inspectors. Some
commenters from the 2021 comment
period were also concerned that FAA’s
oversight would encroach into
certificate holders’ decision-making and
the judgments certificate holders make
during the safety risk assessment
process, including the proposed and
implemented mitigations. The FAA
intends to train current part 139
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inspectors on overseeing compliance
with this rule in the current inspection
process, and on how to provide
additional guidance to assist certificate
holders with complying with the rule.
Commenters also questioned whether
the FAA would accept the completion
of SMS-related coursework to
demonstrate compliance with the FAA
SMS requirements.
Training received in support of the
FAA Air Traffic Organization (ATO) or
ARP SMS does not meet the intent of
the SMS-specific training requirements
identified in this final rule. Any existing
training provided by ATO or ARP
would be specific to compliance with
the FAA’s internal SMS efforts and not
specific to the individual airport’s SMS.
(2) Training Estimates Used in
Regulatory Evaluation Calculations
A few commenters from both the 2016
and 2021 comment periods requested
that the FAA provide clarification on
how it developed the training estimates.
Many of these commenters offered an
approximation of the number of
employees that would require training
at their airport.
The FAA agrees that the number of
employees requiring SMS-specific
training will vary per certificate holder.
The FAA requested training information
from the airports that participated in the
pilot study programs.18 That data was
used to develop an average for largesized (large, medium, and small hub
airports) and small-sized (all other
airports) operations. The FAA analyzed
those responses and included the
number of employees needing training
based on the specific requirements of
this final rule. The FAA notes that many
of the pilot study airports appeared to
provide training on topics outside the
scope of this rulemaking and those
courses were not included as part of the
analysis.
In the 2016 comment period, four
airport operators (one of which holds
two AOCs) provided estimated numbers
of employees needing training. One
airport operator, who operates a large
hub airport, agreed with the FAA’s
average estimates of 3 and 10
employees. The other three airport
operators provided their own estimates.
One operator, who holds AOCs for a
large hub and a reliever airport,
estimated a total of 40 employees in
these airports will require training.
Another large hub airport estimated 30
to 40 employees will require training. A
18 External SMS Efforts—Part 139 Rulemaking,
Airport SMS Pilot Studies (Sept. 22, 2020),
available at https://www.faa.gov/airports/airport_
safety/safety_management_systems/external/pilot_
studies/./
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third large hub airport estimated
approximately 2 to 3 people per
division will require training. In the
2021 comment period, one commenter
stated that it believed the FAA estimate
of 10 employees requiring
comprehensive SMS training at large
airports was low. Another commenter
noted that some airports are expanding
SRM training to include Planning,
Engineering, and Capital Development
teams, which increases the total
anticipated trainees to more than 50 at
some airports (as many as 80 total).
The FAA affirms its preliminary
estimates as averages for the regulated
community’s unique operations. The
FAA recognizes that some airport
operators may have to train more
employees than others to ensure
compliance with the rule. The FAA also
understands that some certificate
holders may train employees in topics
that are well beyond the scope of this
regulation—such as occupational health
and safety issues—but those programs
are separate from this final rule (as
violations of other regulations would
not necessarily result in part 139
violations). If a certificate holder elects
to include training on topics beyond the
scope of this regulation, the FAA would
only conduct oversight of the SMS
activities related to the applicable
provisions of part 139. For example, an
airport could be cited for a violation of
an OSHA requirement if compliance
with OSHA requirements was
incorporated into its ACM, or if the
OSHA violation also resulted in a
failure to comply with its SMS process.
However, the basis for the
noncompliance would be failure to
comply with the SMS process, not noncompliance with the OSHA
requirement.
(3) Safety Awareness Orientation
Commenters expressed concerns
about the potential duplicate
requirements already imposed on air
carriers through part 5. As addressed in
section C of the preamble, ‘‘NonMovement Area,’’ certificate holders
executing a DSR Plan with a tenant are
not required to duplicate safety
awareness orientation materials
provided in the tenant’s SMS to that
tenant’s employees. Those employees
would be reporting to the tenant’s part
5 confidential employee reporting
system and would not need to be
advised of how to report to the airport’s
safety reporting system.
One commenter requested that the
FAA revise the proposed requirement to
‘‘update’’ awareness materials every
twenty-four months (§ 139.402(d)(1)).
The FAA agrees and this final rule
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requires the airport operator to review
and update the safety awareness
orientation materials every twenty-four
months or sooner when necessary. An
earlier review and update of the
orientation material is necessary when
there has been a change in the material.
(4) Development of Training Materials
Numerous commenters requested the
FAA develop and make available SMSrelated training materials that would be
compliant with SMS training
requirements.
The FAA notes that the certificate
holder is in the best position to
determine the competencies necessary
for the individuals with roles and
responsibilities under its SMS. The FAA
plans to provide briefings and guidance
materials, including conducting
webinars, to help communicate this
information.
While the FAA believes that most
certificate holders will rely upon
industry-developed training materials,
certificate holders may develop their
own training materials based on
industry publications and guidance. For
example, the Airports Cooperative
Research Program of the Transportation
Research Board has published
numerous reports on SMS-related
topics. Some of these reports provide
detailed information, processes, and
examples associated with each of the
four components of SMS. Airport
operators could use these publications,
as well as other publicly available SMS
material, to develop their own training
materials.
(5) Clarification of ‘‘Comprehensive
SMS Training’’
The FAA received comments
requesting clarification of
‘‘comprehensive SMS training’’ as it
relates to the training and orientation
requirements. While not in the
regulatory text, the term was used in the
SNPRM preamble to identify all training
that is necessary to ensure personnel
overseeing the SMS are competent to
perform their roles and responsibilities.
Individuals responsible for analyzing
hazard (safety) reports to determine
appropriate mitigation actions must be
properly trained in SRM and hazard
assessment procedures. Similarly,
individuals with responsibility for daily
oversight of the SMS must be trained in
all requirements of the SMS. The
certificate holder may use train-thetrainer formats where necessary.
(6) Clarification of ‘‘Access’’
Commenters requested the FAA
clarify or define the term ‘‘access,’’ as it
is used in § 139.402(d)(1). The term
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‘‘access’’ applies to both vehicular and
pedestrian access to the movement and
non-movement areas. The intent of this
requirement is to ensure that all
individuals who may have an
opportunity to witness a safety issue
understand what they should be
reporting, when, and how.
G. Accountable Executive
In the SNPRM, the FAA proposed a
new definition for ‘‘accountable
executive.’’ The new definition
addressed the diversity of business
structures and varying degrees of
complexity of certificate holders. The
FAA explained that it anticipated most
certificate holders would designate an
airport manager or airport director as
the accountable executive, and that
accountability could not be delegated.
Numerous entities, including
associations, certificate holders, and air
carriers, commented on the revised
definition of ‘‘accountable executive.’’
(1) Amendment or Elimination of the
Accountable Executive Requirement
While most commenters agreed with
the concept of an accountable executive,
the FAA received requests for revisions
or explanations. One 2021 commenter
incorrectly interpreted the FAA’s
proposal to allow certificate holders to
designate an accountable organization
structure instead of one executive. This
commenter further stated that while
there is a need for an Accountable
Executive, in many cases, airport
structure could call for one or more
‘‘responsible executive(s)’’ to oversee
the implementation and operation of the
SMS.
The FAA is not persuaded by
arguments recommending changes to, or
elimination of, the ‘‘accountable
executive.’’ The concept of an
accountable executive is key to the
successful development and
implementation of a SMS and consistent
with international standards.
Additionally, this rule requires the
identification of an individual as an
accountable executive, rather than the
designation of an accountable
organization structure in place of an
accountable executive or one or more
responsible executives. A certificate
holder may choose to identify support
staff to assist the accountable executive,
as discussed further in the supplemental
guidance AC.
(2) Delegation
Commenters asserted that certificate
holders should have the option to
delegate the accountable executive’s
roles and responsibilities to a lowerlevel or operational manager with direct
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oversight of the SMS. As stated in the
SNPRM, accountability cannot be
delegated. The accountable executive’s
role is meant to instill safety as a core
organizational value and to ensure that
SMS is properly implemented and
maintained through the allocation of
resources and tasks. By designating an
accountable executive, responsibility for
the certificate holder’s overall safety
performance is placed at a high level
within the organization. Some airports
may choose to designate additional
positions to implement the daily
operation of the SMS. However, such
designations are left to the discretion of
the certificate holders, based on their
unique operating environments and
management structures. For guidance
purpose, the FAA has included in the
AC examples of accountable executive
designations and addressed the issue of
‘‘responsible executive or manager’’ for
the day-to-day oversight of SMS
activities.
(3) Personal Liability and Oversight
Commenters from both the 2016 and
2021 comment periods believed the
FAA should make stronger statements
limiting the personal liability of
accountable executives. They requested
the FAA include preamble language: (a)
stating that the accountable executive is
not personally liable to the FAA through
certificate action or civil penalty, and
(b) establishing a clear regulatory intent
that this final rule is not intended to
increase or create personal liability for
the accountable executive. Additionally,
one 2021 commenter requested that the
rule be revised to allow the accountable
executive to seek indemnification from
tenants in respect to SMS compliance
issues within their leaseholds, and to
appoint a tenant accountable executive
for that purpose.
The definition of ‘‘accountable
executive’’ also limits both control and
responsibility to ‘‘operations conducted
under the certificate holder’s Airport
Operating Certificate.’’ As ‘‘an
individual designated by the certificate
holder,’’ the FAA does not expect the
definition to usurp the oversight role of
the legislative body or authority that is
the certificate holder.
Concerns regarding the accountable
executive’s personal liability for the
actions of tenant organizations, air
carriers, or leaseholds, are misplaced.
As stated in the SNPRM, the new
definition clarifies that accountable
executives are not personally liable to
the FAA, through either certificate
action or civil penalty. The FAA limited
the ‘‘control’’ and ‘‘responsibility’’ of an
accountable executive to operations
conducted under the certificate holder’s
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AOC. Since the scope of action and
responsibility of an accountable
executive is limited, the FAA decided
not to include nor require
indemnification by the accountable
executive to any third party under this
final rule. While the FAA does not
intend for accountable executives acting
within the scope of their powers and
duties to have personal liability to any
third party, the FAA must stress that
liability issues are typically controlled
by state law, and the parties remain
subject to applicable state law with
regard to liability issues and remedial
action.
Generally speaking, the airport
manager or director’s role of ensuring
compliance with the AOC does not
change under this final rule. Prior to
this final rule, violations of part 139
requirements would be found against
the certificate holder. The same logic
holds true under the SMS final rule.
Along the same lines, while the FAA
allows an airport operator to establish a
DSR Plan (See section C. ‘‘NonMovement Area’’) to address reporting
and data sharing with applicable tenants
required to comply with part 5, if the
certificate holder discovers that the
tenant is not complying with the terms
of the agreement, or policy and relevant
safety issues or findings are not being
properly or timely conveyed to the
airport operator, the onus for
compliance remains with the airport
operator. The airport operator is
responsible for ensuring the airport’s
safety reporting system is accessible for
reports by tenant employees and that
those employees receive safety
awareness orientation materials.
H. Definitions
In the SNPRM, the FAA revised the
definitions of numerous terms, either in
response to comments or to conform to
agency policy at the time of the
proposal. The FAA received many
comments regarding the new definitions
of hazard and non-movement area. The
FAA also received suggestions during
both the 2016 and the 2021 comment
periods to revise other terms related to
this final rule.
(1) ‘‘Hazard’’ Definition
Commenters from the 2016 and 2021
comment periods disagreed with the
FAA’s use of the part 5 definition of the
term ‘‘hazard.’’ They believed that the
term is not applicable to the airport
environment since it is centered on the
operation of an aircraft and aircraft
accidents, as defined by the NTSB.
These commenters recommended the
FAA use the ‘‘hazard’’ definitions
included in FAA Order 5200.11, FAA
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Airports (ARP) Safety Management
System (SMS), FAA Order 8040.4,
Safety Risk Management Policy, and the
ICAO Safety Management Manual (3rd
edition).
The FAA understands the confusion
arising from the SNPRM definition of
‘‘hazard’’ and the limited reporting that
may occur through a strict reading of the
regulatory text. To ensure consistent
application and reporting across the
airport-airline industry, as well as to
ensure applicability to the nonmovement area, the FAA amends the
definition in this final rule. For this
rule, we define the term ‘‘hazard’’ as ‘‘a
condition that could foreseeably cause
or contribute to: (a) injury, illness,
death, damage to or loss of system,
equipment, or property, or (b) an aircraft
accident as defined in 49 CFR 830.2.’’
The FAA determined this revised
definition establishes a suitable
parameter that encompasses the wide
range of conditions that airports may
encounter and deem as hazards, and it
enables airports to include conditions
that are not necessarily related to an
aircraft accident. For example, part (a)
of the definition allows for ramp
incidents; accidents and fatalities
involving aircraft ground service
equipment and other vehicles;
construction-related fatalities; and
damage to airfield facilities including
lighting, signage, pavement, safety areas,
and navigational aids to qualify as a
hazard. These incidents would not
constitute ‘‘hazards’’ if the definition
was limited to part (b) (conditions that
could foreseeably cause or contribute to
an aircraft accident). As a result, the
FAA revised the definition to more
broadly encompass the myriad of
conditions in the airport environment,
including in movement and nonmovement areas and conditions
involving and not involving aircraft.
The FAA notes that this definition will
also provide flexibility to airport
organizations for defining what a
reportable hazard is for their
organization, and as a part of developing
their SMS they may define thresholds
for what might entail a reportable
incident. This will allow, for example,
a small airport to treat an incident that
results in $1,000 in damage as a
potentially reportable incident, whereas
a large airport may consider property
damage at that level to be de minimis.
(2) ‘‘Non-Movement Area’’ Definition
Commenters requested the FAA retain
a more generic definition of the term
‘‘non-movement area’’ as opposed to a
definition that specifies the types of
areas included. The FAA was asked: (a)
to exclude ‘‘fuel farms’’ from the
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definition of ‘‘non-movement area’’ or to
at a minimum allow their inclusion at
the option of the certificate holder, and
(b) to re-evaluate its decision not to
include baggage-makeup areas in the
definition of ‘‘non-movement area.’’
As discussed in section C. ‘‘NonMovement Area,’’ the FAA is adopting
the definition for ‘‘non-movement area’’
as proposed.
(3) Harmonization of ‘‘Safety Policy,’’
‘‘Safety Risk Management,’’ ‘‘Safety
Assurance,’’ and ‘‘Safety Promotion’’
Definitions
The FAA agrees with commenters’
request from the 2016 comment period
to update the definitions of ‘‘safety
policy’’ and ‘‘safety assurance.’’ One
commenter from the 2021 comment
period emphasized the need for
consistent terminology related to the
SRM process. Any revision must be
carefully assessed since both definitions
sync with part 5 instead of internal FAA
Orders. Where commenters requested
the FAA use ICAO definitions, the
FAA’s intent is to first synchronize
these definitions with part 5 or other
Agency definitions—if possible—to
ensure the industry uses similar
taxonomy. Therefore, this final rule
revises the definitions of the terms
‘‘safety policy,’’ ‘‘safety assurance,’’ and
‘‘safety promotion,’’ to sync with the
current definitions in part 5. This final
rule also updates the definition of the
term ‘‘safety risk management’’ to more
closely align it to the definition in part
5. The notable difference is that airports
typically use the term ‘‘risk mitigation,’’
whereas air carriers use the term ‘‘risk
control.’’ To address this difference, this
final rule uses both terms for the
definition of ‘‘safety risk management.’’
I. Miscellaneous Topics
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(1) FAA’s Rulemaking Authority
A commenter stated that the FAA
Aviation Act of 1958 does not give the
Administrator the power to require
regulated parties to self-analyze, selfdisclose, self-report, and self-implement
procedures beyond those stipulated
through legislative and administrative
processes.
The FAA’s authority to issue rules
regarding aviation safety is found in
Title 49 of the U.S.C. The FAA proposed
this rulemaking under the authority
described in 49 U.S.C. 106(f), 44701,
44702, and 44706 (See section II. A. of
this preamble). In the Federal Aviation
Act of 1958, as amended and recodified,
49 U.S.C. 40101, et seq., Congress
provided the FAA with (a) exclusive
authority to regulate safety, (b) the
efficient use of the airspace, (c)
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protection of people and property on the
ground, (d) air traffic control, (e)
navigational facilities, and (f) the
regulation of aircraft noise at its source.
Title 49 of the U.S.C., section 44706,
provides for the FAA to regulate airport
safety through the issuance of airport
operating certificates. Under this statute,
Congress requires the certificate to
contain the terms necessary to ensure
safety in air transportation.
Under the implementing regulations
for section 44706, codified at 14 CFR
part 139, the FAA regulates airport
certificate holders in many areas,
including: (a) records, (b) personnel, (c)
paved areas, (d) unpaved areas, (e)
safety areas, (f) airport marking/signs/
lighting, (g) aircraft rescue and
firefighting, (h) snow and ice control, (i)
handling and storing hazardous
substances and materials, (j) traffic and
wind indicators, (k) airport emergency
plans, (l) self-inspection programs, (m)
pedestrian and ground vehicles, (n)
obstructions, (o) protection of
navigation aids, (p) public protection,
(q) wildlife hazard management, (r)
airport condition reporting, (s)
identifying, marking, and lighting
construction and other unserviceable
areas, and (t) noncomplying conditions.
Requiring certain certificated airports
to implement a SMS for the entire
airfield environment is consistent with
the FAA’s statutory and regulatory
framework described above. The
primary purpose of section 44706 and
its implementing regulations is to
ensure safety in air transportation and
such safety is advanced by the
additional safety measures applicable to
airports subject to this final rule. The
FAA has the authority to implement
regulations to improve safety at airports
hosting air carrier operations including
requiring certificate holders to develop
and implement measures to ensure
safety in air transportation by
proactively identifying and mitigating
safety hazards, thereby reducing the
possibility or recurrence of accidents in
air transportation. This final rule is a
performance-based regulation that
requires certificated airports that meet
pre-established qualification criteria
(triggers) to develop and maintain a
SMS to improve the safety of operations
conducted at such airports; therefore, it
is within the scope of authority of the
Agency.
(2) Applicability to Non-Certificated
Airports
The FAA stated in the SNPRM that
the proposed rule would only apply to
holders of a part 139 AOC. Commenters
asked The FAA to (a) confirm that it
did, and (b) clarify whether the SMS
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requirement was voluntary for general
aviation airports that are not certificated
under part 139.
The FAA confirms that this final rule
does not apply to non-certificated
airports, but continues to encourage
such airports to voluntarily adopt SMS.
The rule is not affected by, nor does it
depend on, whether an airport has
accepted Federal financial assistance or
property conveyances. Further, this
final rule does not require airport
tenants to have a separate SMS because
it only applies to holders of part 139
AOCs. As previously discussed, this fact
does not prevent certificate holders from
engaging with tenants to implement
alternatives that facilitate compliance
with the requirements of the SMS.
(3) FAA Oversight
The SNPRM included a discussion of
the FAA’s role and oversight of
certificate holders under the proposed
SMS rule. This discussion noted SMS is
not a substitute for compliance with
existing regulations and provided
general expectations about inspections
in a SMS environment, emphasizing the
importance of implementing a systemsbased approach to oversight.
Commenters from both the 2016 and
2021 comment periods asked the FAA
to clarify certain aspects of its oversight
activities, particularly: (a) how SMS fits
in relation to other federal regulations
such as the Occupational Safety and
Health Administration (OSHA) rules,
National Environmental Policy Act
(NEPA) rules, State regulations, and
other local ordinances; (b) how SMS
brings value beyond standards imposed
elsewhere, and (c) whether hazards
identified through their SMS will
qualify as items of concern. Commenters
also requested the FAA state that the
SMS rule will not alter existing State
laws regarding standards of care or duty
of care.
Commenters from both the 2016 and
2021 comment periods requested that
the FAA clarify its oversight approach
in either the final rule preamble or the
regulatory text.
The FAA does not intend for the
implementation of SMS at an airport to
implicate regulations issued by other
agencies. In some instances, airport
SMS may complement compliance with
other regulations (such as OSHA,
NEPA). An airport SMS is the next
critical step in the FAA’s ongoing
transition to a more streamlined and
performance-based regulatory
framework for airports. Airport SMS
will evolve the FAA’s oversight
processes so FAA involvement targets
the areas of highest safety risk. For
airports with a fully implemented SMS
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and that have a consistent history of
compliance with the requirements of
part 139, the FAA will transition to a
system-based inspection allowing an
inspector to focus on areas of greater
risk. As a consistent history of
compliance under SMS develops, the
FAA will have data to support
modifying the duration of time between
an airport’s periodic inspections. The
FAA will continue to use a traditional
approach and cycle for inspections at
airports without a SMS, with higher
risks, or a history of non-compliance.
The FAA retains the ability to use a
traditional inspection cycle for airports
with a fully implemented SMS when
deemed necessary (e.g., increase in
number of discrepancies with part 139
requirements).
A comment received in 2021
emphasized that the FAA should be
flexible and less prescriptive in its
approach. Another comment received in
2021 emphasized that the FAA should
provide training and resources for SMS
education. The FAA acknowledges that
shifting from a prescriptive to
performance-based regulation and
systems-based oversight will take time
and require educating and guiding both
FAA inspectors and airport operators.
The FAA will update FAA inspector
guidance, provide training to the FAA
inspectors on the requirements of this
final rule, and provide outreach to the
industry regarding the final rule
requirements.
The FAA received comments during
both the 2016 and 2021 comment
periods asking the FAA to: (a)
collaborate with airports with existing
voluntary SMS and other stakeholders
to develop SMS oversight guidelines
based on lessons learned that explicitly
define the systems-based approach and
how it changes inspector
responsibilities and activities; (b)
commit to a timetable and process for
training its inspectors on the new
approach and clarify that no SMS
inspections will take place until
inspectors have been trained; (c) cross
train all part 121 and part 139
inspectors in the respective SMS
requirements; and (d) invite airport
industry representatives to participate
in the training of FAA inspectors.
The FAA does not normally invite
industry representatives to participate
in the training of FAA inspectors and
does not believe SMS requirements
would cause it to change this position.
While the FAA does not agree that part
139 and part 121 inspectors require
cross-training in the respective SMS
requirements, ARP and AVS will
identify the various SMS requirements
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and areas of connectivity in Agency
materials.
The SMS final rule will not alter the
responsibilities of the FAA’s regional
inspector staff. Like other part 139
related activities, the regional inspector
staff is responsible for reviewing,
approving, accepting, and inspecting the
airport’s SMS documents and program.
As discussed in the SNPRM, FAA
Headquarters staff will supplement
these activities—by providing support
and guidance to our regional inspection
staff—to ensure national consistency
and timely program implementation.
Questions regarding federal financial
assistance for SMS related activities
should be directed to the appropriate
FAA Regional Office or Airport District
Office personnel.
(4) Safety Risk Management
The SNPRM proposed minimum
requirements for SRM, including
establishing a systematic process for
analyzing hazards and related risks,
using a standard five-step process. As
part of the SRM component, the SNPRM
also included standard documentation
and record retention requirements.
The FAA was asked to re-evaluate the
requirement to handle all hazards
through the five-step process, in light of
a comment that certificate holders
should have the flexibility to determine
which hazards require analysis using
the five-step process and which hazards
only need review and mitigation.
Commenters questioned (a) the FAA
inspector’s role in the risk
determination process, and (b) whether
the FAA will be able to overrule a
certificate holder’s determination, even
when safety standards are met.
The SNPRM did not propose to
require the use of a predictive risk
matrix for hazard assessment, but
suggested its use as an effective method
to analyze and prioritize risk. The FAA
was asked whether a specific matrix
must be used, or if airport operators will
be allowed to modify the risk matrix
included in the NPRM to better fit the
airport’s needs and goals. While
encouraged, this final rule does not
require the use of a predictive risk
matrix.
Commenters from both the 2016 and
2021 comment periods: (a) noted that
many large hub and international
airports have existing, comprehensive
safety and risk management programs;
(b) requested the FAA explain how
these existing programs will be
integrated into SMS processes; and (c)
recommended that the FAA accept or
provide credit to airports with existing
processes similar to those outlined in
the proposal.
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This final rule provides airport
operators flexibility in how they resolve
safety issues and hazards. It does not
require certificate holders to use the
five-step process to address all safety
concerns. Instead, the regulatory text
requires certificate holders to use the
five-step process to analyze ‘‘hazards.’’
The FAA acknowledges that not all
reports through the airports’ safety
reporting system or other sources
constitute hazards. Therefore, certificate
holders would only need to use the
systematic analysis for identified
hazards.
Nothing in this final rule requires
consensus decision making. While the
FAA encourages certificate holders to
work with affected stakeholders, it is
not a requirement of this final rule. If
the airport operator develops a DSR
Plan, the FAA expects it to identify
when and how the airport and tenant
will work together to analyze and
resolve joint safety issues. In most cases,
the certificate holder is also the airport
owner and, as owner, has ultimate
control over their airport’s decisions.
Similarly, the FAA expects that
whenever the certificate holder is an
entity other than the airport owner, the
agreement allowing the certificate
holder to operate the airport should
have adequate controls and provisions
(i.e. sufficient authority and resources)
to allow them to make all pertinent
decisions to enable compliance with
part 139 and the FAA-approved ACM
(the FAA notes that this scope of
oversight is similar to existing
expectations under part 139 and the
FAA-approved ACM). In extreme cases,
if the airport identifies hazard
mitigations under the SRM process that
a tenant is unwilling to implement, an
airport might be expected to restrict or
break its contract and cease operations
with the tenant to ensure that the
hazardous condition does not continue.
Regardless of the existence of any
agreement, policy, or arrangement, and
regardless of the decision-making
process or determinations made under
them, the certificate holder remains
solely responsible before the FAA for
full compliance with the SMS
requirements of this final rule.
Notwithstanding, the FAA committed in
the NPRM and SNPRM to not second
guess certificate holder decisions under
SRM processes, and the FAA’s position
has not changed in this final rule. The
only time the FAA will weigh in is if the
certificate holder uses SRM processes to
circumvent regulation or standards.
The certificate holder may identify in
its FAA-approved Implementation Plan
any existing programs, policies, or
activities it plans to use as a means of
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compliance with the rule. Where an
existing program is used as a
foundation, the certificate holder will
explain what additional actions will be
put in place to ensure the programs
fully meet the intent of the requirement.
As long as existing safety and risk
management programs meet the
requirements of this final rule, they can
be used ‘‘as is’’ to comply. However, if
there are gaps between the existing
program and this final rule
requirements, the certificate holder
would still be required to comply with
this final rule and must identify in its
Implementation Plan how it will
address those gaps prior to the full
implementation deadline.
In the SNPRM, the FAA
acknowledged that the definition of
‘‘risk mitigation’’ did not harmonize
with part 5’s ‘‘risk control’’ terminology.
The FAA’s conclusion was that the term
‘‘mitigate’’ was straightforward and
aligned with other guidance certificate
holders have received related to FAA
SMS initiatives. While this final rule
retains the definition of ‘‘risk
mitigation,’’ it expands the definition of
‘‘safety risk management’’ and ‘‘safety
assurance’’ to incorporate the term
‘‘control’’ or ‘‘controlling’’ to provide
better harmonization with part 5.
A commenter from the 2021 comment
period recommended that the FAA
create an FAA ‘‘Airport Safety’’ web
page, similar in format to the FAA web
page ‘‘Airline Safety.’’ Once the rule is
published, the Office of Airports intends
to update the public facing web page to
contain current and relevant part 139
SMS material.
(5) Record Retention
Under the SRM component, the FAA
proposed to require a certificate holder
to develop processes to identify hazards
that may impact the airport’s operations.
The certificate holder will use these
processes to analyze those hazards and
risks and retain any documentation
developed through these processes to
assist in trend and root cause analysis.
The FAA proposed to require a
certificate holder to retain records
associated with SRM processes for the
longer of (a) 36 months after the risk
analysis of identified hazards has been
completed or (b) 12 months after
required mitigations have been
implemented. Under the Safety
Promotion component (see
§ 139.402(d)), the FAA proposed to
require certificate holders to also retain
training records and hazard awareness
orientation briefing materials.
Commenters asked the FAA to clarify
how long a certificate holder should
retain data.
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The record retention requirements
proposed in the NPRM and SNPRM
sync with existing record retention
requirements under part 139. In this
case, the FAA found it more useful to
apply existing part 139 retention
standards for ease of document
retention instead of syncing
requirements with part 5. A certificate
holder may always choose to retain
records for longer, especially where
State laws require longer retention. This
final rule provides the minimum
requirement for compliance.
(6) SMS Manual Updates
While drafting this final rule, the FAA
recognized some confusion regarding
the requirement in § 139.401(g) to
provide the FAA with copies of any
changes to the Airport SMS Manual, on
an annual basis. This final rule retains
this provision but adds the caveat ‘‘or
upon FAA request.’’ One commenter
from the 2021 comment period
incorrectly interpreted the SNPRM as
requiring FAA approval of SMS
manuals, and noted that such approval
will impede SMS development.
Unlike the ACM, the SMS Manual is
not approved; rather, it is accepted by
the FAA. The certificate holder could
implement new provisions in the SMS
Manual without previously sharing
those changes with the FAA, unlike the
requirement for changes to the FAAapproved ACM. Therefore, regulatory
text was necessary to ensure that the
FAA has the most up-to-date version of
the SMS Manual prior to conducting the
annual certification inspection, or
during any other surveillance activities.
If no changes have been made to the
SMS Manual over the past year (or upon
FAA request), the certificate holder can
simply send an electronic or written
message to the FAA stating no changes
have been made.
(7) Guidance and Work Groups
The FAA received numerous
comments during both the 2016 and
2021 comment periods from certificate
holders and associations, requesting
clarification on how the FAA would (a)
update existing draft guidance with
publication of this final rule, and (b)
provide timely updates to guidance,
during implementation.
The FAA received comments during
the 2021 comment period inquiring
about industry participation in
development of the final rule. The FAA
provided industry an opportunity to
participate in the development of the
final rule through the 2016 and 2021
comment periods, in accordance with
the Administrative Procedure Act.
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11663
AC 150/5200–37A has been updated
to address requirements contained in
this final rule and is being published
simultaneously with this final rule. All
comments related to AC material were
catalogued and adjudicated during the
update to AC 150/5200–37A. Industry
was given additional time to submit
comments on the AC and the FAA
received detailed comments within the
comment period. Regarding comments
received during the 2016 and 2021
comment periods on guidance updates,
the FAA has several existing methods
for disseminating timely updates
including Policy Guidance Letters and
Cert Alerts that could be used to
disseminate implementation and
oversight guidance as the programs
evolve.
One commenter from the 2021
comment period recommended the
addition of an awards and recognition
section in the FAA’s guidance to
provide existing examples of SMS, in an
effort to encourage the growth of SMS.
The FAA encourages certificate holders
to explore means of developing their
SMS safety culture at their airport and
currently considers the available
guidance publications sufficient.
IV. Regulatory Notices and Analyses
Changes to Federal regulations must
undergo several economic analyses.
First, Executive Order 12866 and
Executive Order 13563 direct that each
Federal agency shall propose or adopt a
regulation only upon a reasoned
determination that the benefits of the
intended regulation justify its costs.
Second, the Regulatory Flexibility Act
of 1980 (Pub. L. 96–354) requires
agencies to analyze the economic
impact of regulatory changes on small
entities. Third, the Trade Agreements
Act (Pub. L. 96–39 as amended)
prohibits agencies from setting
standards that create unnecessary
obstacles to the foreign commerce of the
United States. In developing U.S.
standards, the Trade Agreements Act
requires agencies to consider
international standards and, where
appropriate, that they be the basis of
U.S. standards. Fourth, the Unfunded
Mandates Reform Act of 1995 (Pub. L.
104–4) requires agencies to prepare a
written assessment of the costs, benefits,
and other effects of proposed or final
rules that include a Federal mandate
likely to result in the expenditure by
State, local, or tribal governments, in the
aggregate, or by the private sector, of
$100 million or more (adjusted annually
for inflation) in any one year. The FAA
has provided a more detailed Regulatory
Impact Analysis of this final rule in the
docket of this rulemaking. This portion
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of the preamble summarizes the FAA’s
analysis of the economic impacts of this
rule.
In conducting these analyses, the FAA
has determined that this final rule: (1)
has benefits that justify its costs; (2) is
not an economically ‘‘significant
regulatory action’’ as defined in section
3(f) of Executive Order 12866; (3) is
‘‘significant’’ as defined in DOT’s
Regulatory Policies and Procedures; (4)
will have a significant economic impact
on a substantial number of small
entities; (5) will not create unnecessary
obstacles to the foreign commerce of the
United States; and (6) will not impose
an unfunded mandate on state, local, or
tribal governments, or on the private
sector by exceeding the threshold
identified above. These analyses are
summarized below.
A. Regulatory Evaluation
Total Benefits and Costs of This Rule
The rule requires a SMS at certain
U.S. airports in an effort to improve
airport safety, complement existing
airport safety regulations in part 139,
and meet the intent of the ICAO
standard.
The goal of this rule is to improve the
safety of the airfield environment
(including movement and nonmovement areas) by providing an
airport with decision-making tools to
plan, organize, direct, and control its
everyday activities in a manner that
enhances safety. Table 4 shows benefits
and costs over ten years. Table 4 also
includes the FAA’s estimated cost
savings of changing the traditional
inspection cycle at airports with a fully
implemented SMS. The benefits
discussed below are only achievable
through airports implementing
mitigation measures identified through
their SMS processes; however, the
regulatory evaluation does not quantify
the potential costs to implement these
mitigations. There are no available
empirical retrospective analyses of
existing SMS programs that the FAA
could leverage to quantitatively estimate
the benefits related to the potential
effectiveness of airport SMSs at
mitigating accidents and incidents.
Transport Canada’s initial 2019 report
on airport SMS implementation notes,
in part, ‘‘we were not able to quantify
the extent of SMS’s contribution to
aviation safety,’’ although it does
discuss perceived qualitative benefits,
particularly at larger airports.19
Similarly, not enough time has elapsed
since the implementation of Part 121
SMS to measure the potential
effectiveness of SMS for air carriers,
particularly in light of disruptions to air
travel due to the COVID–19 pandemic.
As a result, to estimate some potential
benefits related to accident and incident
mitigation, FAA used a panel of subject
matter experts to assign quantitative
probabilities to the mitigation
effectiveness in each selected event. As
described in further detail in the
Regulatory Impact Analysis, of the 1,840
accidents and incidents used for this
analysis, the FAA assumed a 20–39
percent chance of preventing similar
accidents or incidents for 81 percent of
these events through a SMS, and for the
other 19 percent of events the FAA
assumed between a 40–59 percent
chance of effective mitigation.
TABLE 4—COMPARISON OF COSTS AND BENEFITS OVER 10 YEARS
[Millions of 2020 dollars]
Present value
(3%)
Benefits ............................................................................................................
Costs ................................................................................................................
Cost Savings ....................................................................................................
Net Benefits (includes mitigation benefits, but excludes mitigation costs) .....
Annualized
(3%)
$199.2
179.8
3.1
22.5
$23.4
21.1
0.4
2.6
Present value
(7%)
$144.1
139.0
2.2
7.3
Annualized
(7%)
$20.5
19.8
0.3
1.0
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Note: The sum of the individual items may not equal totals due to rounding.
Over the ten-year period of analysis,
the estimated present value benefit of
the final rule is $144.1 million at a
seven percent discount rate with an
annualized benefit of $20.5 million. At
a three percent discount rate, the
present value benefit is $199.2 million
with an annualized benefit of $23.4
million. Excluding mitigation costs, the
estimated present value cost of the final
rule is $139 million at a seven percent
discount rate with an annualized cost of
$19.8 million. At a three percent
discount rate, the cost in present value
is $179.8 million with an annualized
cost of $21.1 million. The cost savings,
at a seven percent discount rate, is $2.2
million with an annualized cost savings
of $0.3 million and $3.1 million, at a
three percent discount rate, with
annualized cost savings of $0.4 million.
19 (Evaluation summary—Evaluation of Safety
Management Systems in Civil Aviation—July 2019
(canada.ca)).
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Who is potentially affected by this rule?
After updating the list to account for
the new data sources, there are 191
applicable airports (as of February
2017). Part 139 certificated airports that
meet one or more of the following
triggering criteria: (a) classified as a
small, medium, or large hub airport
based on passenger data extracted from
the Air Carrier Activity Information
System, (b) has a three-year rolling
average of 100,000 or more total annual
operations 20 or (c) serves any
international operation other than
general aviation. Table 5 below provides
an estimated number of impacted
airports by the three different triggering
criteria.
TABLE 5—ESTIMATED NUMBER OF
AFFECTED AIRPORTS BY CATEGORY
Airport categories
Large, Medium, and Small Hub
>100,000 Operations ..................
International Traffic .....................
Frm 00024
Fmt 4701
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132
27
32
General Assumptions:
• Cost and benefit estimates are in
2020 dollars.
• Costs and benefits are estimated
over a ten-year period.
• Costs to airports begin to accrue in
year 1.
• Benefits of SMS begin to accrue in
year 5 or year 6 after full
implementation.
• The present value discount rates of
seven percent and three percent are
20 In the context of the operations trigger, the term
operations means the sum of all arrivals and
departures.
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airports
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applied per Office of Management and
Budget guidance.21
Benefits of This Rule
The objective of SMS is to proactively
manage safety, identify potential
hazards or risks, and implement
measures that mitigate those risks. The
FAA envisions airports being able to use
all of the components of SMS to
enhance the airport’s ability to identify
safety issues and spot trends before they
result in a near-miss, incident, or
accident. Anecdotally, based on the
FAA Airport SMS Pilot Study, airports
indicate benefits from increased
communication and reporting that are
all fundamental components of SMS.
These efforts are expected to prevent
accidents and incidents. Over the tenyear period of analysis, the benefits of
the rule are estimated to be $144.1
million at seven percent present value
or $20.5 million annualized. At a 3
percent discount rate, the benefit in
present value is $199.2 million or $23.4
million annualized.
Costs of This Rule
The rule requires certain part 139
certificated airports to establish a SMS
based on the four components: (i) safety
policy; (ii) safety risk management
(SRM); (iii) safety assurance; and (iv)
safety promotion. These components
include costs to document an airport’s
Implementation Plan and SMS manual,
staffing, equipment/material, training,
update training records, and recording
potential hazards over ten years. The
costs vary based on the size of the
airport. The total cost, over 10 years, in
present value at a seven percent
discount rate is $139 million or $19.8
million annualized. At a three percent
discount rate, the cost in present value
is $179.8 million or $21.1 million
annualized.
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Alternatives Considered
The FAA analyzed the following
applicability alternatives in the SNPRM:
1. All part 139 airports;
2. Airport operators holding a Class I
AOC;
3. Certificated international airports;
4. Large, medium, and small hub
airports and certificated airports with
more than 100,000 total annual
operations; and
5. Large, Medium, and Small hub
airports, certificated airports with more
than 100,000 total annual operations,
and certificated international airports.
The SNPRM identified the last
alternative as the preferred alternative.
21 https://www.whitehouse.gov/sites/
whitehouse.gov/files/omb/circulars/A4/a-4.pdf.
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Upon receiving comments on how
affected airports were selected, the FAA
reviewed the selection process and
refined some of the triggering criteria.
This final rule will continue to apply to
large, medium, and small hub airports,
certificated airports with more than
100,000 total annual operations, and
certificated airports that serve any
international operation other than
general aviation. The change in this
final rule further reduces the number of
applicable airports from approximately
265 impacted airports to 191.
B. Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980
(Pub. L. 96–354) (RFA) establishes ‘‘as a
principle of regulatory issuance that
agencies shall endeavor, consistent with
the objectives of the rule and of
applicable statutes, to fit regulatory and
informational requirements to the scale
of the businesses, organizations, and
governmental jurisdictions subject to
regulation. To achieve this principle,
agencies are required to solicit and
consider flexible regulatory proposals
and to explain the rationale for their
actions to assure that such proposals are
given serious consideration.’’ The RFA
covers a wide range of small entities,
including small businesses, not-forprofit organizations, and small
governmental jurisdictions.
Section 604 of the Act requires
agencies to prepare a final regulatory
flexibility analysis (FRFA) describing
the impact of final rules on small
entities. After preparing the FRFA, the
FAA estimates that a substantial number
of small-entity airports will be affected
by the final rule and does not certify
that there will not be a significant effect
on a substantial number of small
entities.
(i) A Statement of the Need for, and
Objectives of, the Rule
The FAA remains committed to
continuously improving safety in air
transportation. The FAA believes that a
SMS can address potential safety gaps
that are not completely eliminated
through effective FAA regulations and
technical operating standards. The
certificate holder best understands its
own operating environment and,
therefore, is in the best position to
address safety issues through improved
management practices.
Both the NTSB and ICAO support
SMS as a means to prevent future
accidents and improve safety. The
NTSB has cited organizational factors
contributing to aviation accidents and
has recommended SMS for several
sectors of the aviation industry,
including aircraft operators. The FAA
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11665
has concluded those same
organizational factors and benefits of
SMS apply across the aviation industry,
including airports. In 2001, ICAO
adopted a standard in Annex 14 that all
member states establish SMS
requirements for airport operators
hosting international operations. The
FAA supports conformity of U.S.
aviation safety regulations with ICAO
standards and recommended practices.
(ii) A Statement of the Significant Issues
Raised by the Public Comments in
Response to the Initial Regulatory
Flexibility Analysis, a Statement of the
Assessment of the Agency of Such
Issues, and a Statement of Any Changes
Made in the Proposed Rule as a Result
of Such Comments
Many commenters reported an
additional burden on small airports that
they believe was not included on the
Initial Regulatory Evaluation.
FAA Response: The FAA reevaluated
the impact by class to assess the burden
on smaller airports. While the FAA
originally believed that Class II, III, IV
certificate holders would gain benefits
similar to Class I certificate holders from
formalized hazard identification, risk
analysis, training and communications
processes; the cost impact is substantial
on these certificate holders. Based on
this analysis the FAA changed the scope
of this final rule to affect a smaller
population of small airports. The change
in this requirement still advances the
FAA’s safety goals by targeting airports
with over 90 percent of all passenger
enplanements.
Additionally, SMS is scalable. Airport
characteristics, such as size,
organization and governance structures,
type of air carrier operations, and
number of operations, are all factors that
affect a certificate holder’s version of
SMS. This final rule further clarifies the
scalability of SMS, which the FAA
believes mitigates the burden on smaller
airports and this final rule also increases
the time for implementation.
A commenter disputes the definition
of a small airport by operation and class.
FAA Response: The FAA maintains
that the number of operations and class
help determine the size of an airport.
Effectively all non-Class I airports are
treated as small. The FAA agrees that a
substantial number of small-entity
airports will be affected. Many of the
smaller airport employees have broad
responsibilities—an airport employee
could cut the grass, remove foreignobject debris, and drive the fire truck.
The classification of small in the
regulatory evaluation was done based
on operation and size. The regulatory
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flexibility analysis uses the SBA
definition.
(iii) The Response of the Agency to Any
Comments Filed by the Chief Counsel
for Advocacy of the Small Business
Administration in Response to the
Proposed Rule, and a Detailed
Statement of Any Change Made to the
Proposed Rule in This Final Rule as a
Result of the Comments
The FAA did not receive comments to
the SNPRM from the Small Business
Administration.
(iv) A Description of an Estimate of the
Number of Small Entities to Which the
Rule Will Apply or an Explanation of
Why No Such Estimate Is Available
There are an estimated 191 part 139
certificated airports impacted by the
rule. From the 191 airports, the FAA
identified at least 32 airports that meet
the Small Business Administration
(SBA) definition of small governmental
jurisdictions such as governments of
cities, counties, towns, townships,
villages, school districts, or special
districts with populations of less than
50,000.22 The FAA considers this a
substantial number of small entities.
The 2015 revenue, for these airports,
ranges from about $123 thousand to
$41.0 million. Using the preceding
information, the FAA estimates that
their ratio of annualized costs to annual
revenues is higher than 2 percent for
several of the airports, as shown in
Table 6 below.
TABLE 6—BREAKOUT OF AIRPORTS MEETING SBA DEFINITION
Number
Airport ident.
1 .........
2 .........
3 .........
4 .........
5 .........
6 .........
7 .........
8 .........
9 .........
10 .......
11 .......
12 .......
13 .......
14 .......
15 .......
16 .......
17 .......
18 .......
19 .......
20 .......
21 .......
22 .......
23 .......
24 .......
25 .......
26 .......
27 .......
28 .......
29 .......
30 .......
31 .......
32 .......
ACK .............................
ACY .............................
BGM ............................
BGR .............................
BTV ..............................
BZN .............................
CIU ..............................
COE .............................
DRT .............................
ECP .............................
EGE .............................
ELM .............................
FAI ...............................
FRG .............................
GCN .............................
GSP .............................
IAG ..............................
INL ...............................
JNU ..............................
KTN .............................
MDT .............................
MLI ...............................
MRY .............................
MYR .............................
PGD .............................
PRC .............................
PSP .............................
SGJ ..............................
TEB ..............................
TIX ...............................
TRI ...............................
VRB .............................
2015
Population
estimate 23
New part 139
classification
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
Class
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
IV .......................
I .........................
I .........................
I .........................
I .........................
I .........................
IV .......................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
I .........................
IV .......................
IV .......................
I .........................
IV .......................
10,858
39,091
46,058
32,309
42,477
43,399
13,787
49,131
36,000
37,495
6,840
28,291
32,453
8,685
585
28,340
48,888
6,172
32,603
8,176
49,070
42,636
28,394
31,027
18,155
41,603
47,201
14,061
69
45,278
26,651
16,343
2015 NPIAS
classification
Non Hub ......................
Small Hub ....................
Non Hub ......................
Non Hub ......................
Small Hub ....................
Small Hub ....................
Non Hub ......................
GA ...............................
Non Hub ......................
None ............................
Non Hub ......................
Non Hub ......................
Small Hub ....................
Reliever .......................
Non Hub ......................
Small Hub ....................
Reliever .......................
Non Hub ......................
Small Hub ....................
Non Hub ......................
Small Hub ....................
Small Hub ....................
Non Hub ......................
Small Hub ....................
Non Hub ......................
Comm Serv .................
Small Hub ....................
Non Hub ......................
Reliever .......................
GA ...............................
Non Hub ......................
GA ...............................
2015 Revenue 24
$7,744,371
12,012,655
3,185,093
12,036,215
16,639,848
8,918,137
1,031,955
not available
not available
10,320,416
4,860,347
3,002,954
9,971,203
not available
1,359,481
8,309,709
2,559,262
123,838
6,224,563
not available
26,150,106
11,064,089
8,468,100
18,799,347
7,048,500
1,448,110
19,063,440
3,657,899
41,039,253
not available
6,583,279
not available
Total
annualized
costs 25
$85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
85,175
Ratio
(%)
not
not
not
not
not
not
1.10.
0.71.
2.67.
0.71.
0.51.
0.96.
8.25.
available.
available.
0.83.
1.75.
2.84.
0.85.
available.
6.27.
1.03.
3.33.
68.78.
1.37.
available.
0.33.
0.77.
1.01.
0.45.
1.21.
5.88.
0.45.
2.33.
0.21.
available.
1.29.
available.
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(v) A description of the Projected
Reporting, Recordkeeping and Other
Compliance Requirements of the Rule,
Including an Estimate of the Classes of
Small Entities Which Will Be Subject to
the Requirement and the Type of
Professional Skills Necessary for
Preparation of the Report or Record
22 https://www.sba.gov/sites/default/files/
advocacy/How-to-Comply-with-the-RFA-WEB.pdf.
23 Data retrieved 10/4/2017 from https://
data.census.gov/cedsci/
table?tid=GOVSTIMESERIES.CG00ORG01.
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Jkt 259001
24 Revenue data from Compliance Activity
Tracking System (CATS) accessed on 10/5/2017
from https://cats.airports.faa.gov/.
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25 Annualized using a capital recovery factor of
0.14238, over 10 years, using a 7 percent rate of
interest.
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11667
TABLE 7—SMALL AIRPORT
[Costs over 10 years]
Small airport costs
Total cost per
airport
Total hours
Description
Manual & Implementation Plan
(One-time).
Manual Revisions (Annually) ...........
Staffing .............................................
Initial Software (One-time) ...............
Recurrent Software (Annually) ........
Initial Training fee (One-time) ..........
N/A
$138,150
One-time cost of $138,150 per small airport.
72
N/A
N/A
N/A
N/A
1,990
774,918
26,074
32,595
810
Initial Training Time (One-time) .......
Recurrent Training Fee (Biennial) ...
9
NA
462
540
Recurrent Training Time (Biennial)
9
462
Hazard
Awareness
Orientation
(One-time).
Hazard Awareness Orientation (Biennial).
Promotional Material (Biennial) .......
Record Potential Hazards (Annually).
Reporting Potential Hazards (Annually).
Update Distribution Log (Biennial) ...
Update Training Records (Biennial)
8
692
Clerical Employee Wage × 12 hours × 6 years.
129,159 staffing cost per airport × 6 years.
Initial Software Cost of $26,074 per airport.
Recurring Software Cost of $6519 per airport × 5 years.
1 Manager, 1 Maintenance Person, 1 Clerical × $270 training fee per
person.
1 Manager, 1 Maintenance Person, 1 Clerical × 3 hours for each.
1 Manager, 1 Maintenance Person, 1 Clerical × $90 training fee per
person × 2 years.
1 Manager, 1 Maintenance Person, 1 Clerical × 1.5 hours for each × 2
years.
SMS Manager × 8 hours.
4
346
SMS Manager × 2 hours to update awareness orientation × 2 Years.
N/A
65
7,020
1,797
2340 spent every other year on promotional material × 3 years.
Clerical Wage × 15 min × 52 hazards per year × 5 years.
65
4,668
2.5
0.8
69
22
Documenting Safety Risk Management (Annually).
Reporting Safety Information under
Safety Assurance (Annually).
130
5,188
10
631
Blended Wage × 15 min × 52 hazards per year × 5 years for small airports.
Clerical Wage × 5 min × 10 tenants per small airport × 3 years.
Clerical Wage × 5 min × 3 employee training records per airport × 3
years.
Operations Specialist Wage × 30 min × 52 documents per year × 5
years.
Operations Research Wage × 1 hour × 2 reports per year × 5 years.
Total ..........................................
375
996,434
Table notes:
Clerical Employee 26 $27.64.
Operation Research Analyst 27 $63.12.
General and Operations Manager 28 $86.50.
Airfield Operations Specialist 29 $39.31.
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield Ops Specialist) 30
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Small airport costs
$71.82.
Total cost per
airport
Total hours
Description
Manual & Implementation Plan
(One-time).
Manual Revisions (Annually) ...........
Staffing .............................................
Initial Software (One-time) ...............
Recurrent Software (Annually) ........
Initial Training fee (One-time) ..........
N/A
$138,150
72
N/A
N/A
N/A
N/A
1,990
774,918
26,074
32,595
810
Initial Training Time (One-time) .......
Recurrent Training Fee (Biennial) ...
9
NA
462
540
Recurrent Training Time (Biennial)
9
462
Hazard
Awareness
Orientation
(One-time).
Hazard Awareness Orientation (Biennial).
Promotional Material (Biennial) .......
8
692
Clerical Employee Wage × 12 hours × 6 years.
$129,159 staffing cost per airport × 6 years.
Initial Software Cost of $26,074 per airport.
Recurring Software Cost of $6,519 per airport × 5 years.
1 Manager, 1 Maintenance Person, 1 Clerical × $270 training fee per
person.
1 Manager, 1 Maintenance Person, 1 Clerical × 3 hours for each.
1 Manager, 1 Maintenance Person, 1 Clerical × $90 training fee per
person × 2 years.
1 Manager, 1 Maintenance Person, 1 Clerical × 1.5 hours for each × 2
years.
SMS Manager × 8 hours.
4
346
SMS Manager × 2 hours to update awareness orientation × 2 Years.
N/A
7,020
26 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 43–6014; May 2020. This
wage includes compensation information from BLS.
27 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 15–2031; May 2020. This
wage includes compensation information from BLS.
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One-time cost of $138,150 per small airport.
$2,340 spent every other year on promotional material × 3 years.
28 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 11–1021; May 2020. This
wage includes compensation information from BLS.
29 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 53–2022; May 2020. This
wage includes compensation information from BLS.
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30 Blended wage: Bureau of Labor Statistic (BLS);
Annual Mean Wage, Occupation Code 53–2022;
May 2020. This wage includes compensation
information from BLS.
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
Small airport costs
Total hours
Record Potential Hazards (Annually).
Reporting Potential Hazards (Annually).
Update Distribution Log (Biennial) ...
Update Training Records (Biennial)
Total cost per
airport
65
$1,797
65
4,150
2.5
0.8
69
22
Documenting Safety Risk Management (Annually).
Reporting Safety Information under
Safety Assurance (Annually).
130
5,188
10
631
Total ..........................................
375
995,916
Description
Clerical Wage × 15 min × 52 hazards per year × 5 years.
Blended Wage × 15 min × 52 hazards per year × 5 years for small airports.
Clerical Wage × 5 min × 10 tenants per small airport × 3 years.
Clerical Wage × 5 min × 3 employee training records per airport × 3
years.
Operations Specialist Wage × 30 min × 52 documents per year × 5
years.
Operations Research Wage × 1 hour × 2 reports per year × 5 years.
Table notes:
Clerical Employee 31 $27.64.
Operation Research Analyst 32 $63.12.
General and Operations Manager 33 $86.50.
Airfield Operations Specialist 34 $39.31.
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield Ops Specialist) 35
(vi) A Description of the Steps the
Agency Has Taken To Minimize the
Significant Economic Impact on Small
Entities Consistent With the Stated
Objectives of Applicable Statutes,
Including a Statement of the Factual,
Policy, and Legal Reasons for Selecting
the Alternative Adopted in This Final
Rule and Why Each One of the Other
Significant Alternatives to the Rule
Considered by the Agency Which Affect
the Impact on Small Entities Was
Rejected
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The FAA analyzed the following four
alternatives in the SNPRM: (a) all part
139 airports; (b) airport operators
holding a Class I AOC; (c) certificated
international airports; (d) large,
medium, and small hub airports and
certificated airports with more than
100,000 total annual operations; and (e)
large, medium, and small hub airports,
certificated airports with more than
100,000 total annual operations (the
sum of all arrivals and departures), and
certificated international airports. The
fourth alternative was identified as the
preferred alternative in the SNPRM.
This alternative reduced the qualified
population of airports from all 531 part
139 airports to approximately 265 by
31 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 43–6014; May 2020. This
wage includes compensation information from BLS.
32 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 15–2031; May 2020. This
wage includes compensation information from BLS.
33 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 11–1021; May 2020. This
wage includes compensation information from BLS.
34 Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 53–2022; May 2020. This
wage includes compensation information from BLS.
35 Blended wage computed by taking the average
of four occupation wages: Bureau of Labor Statistic
(BLS); Annual Mean Wage, Occupation Codes 53–
2022, 53–2011, 49–3011, 53–2031; May 2020. This
wage includes compensation information from BLS.
VerDate Sep<11>2014
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Jkt 259001
$63.85.
eliminating a number of small airports.
This alternative focused on airports
with high passenger traffic and included
facilities with the largest number of
arrivals and departures so that safety
benefits would flow to the
overwhelming majority of aircraft
operations.
This final rule will continue to apply
to large, medium, and small hub
airports, certificated airports with
100,000 or more total annual operations
using a three-year rolling average, and
certificated airports that serve any
international operation other than
general aviation. However, after
reviewing public comments to the
SNPRM, the FAA modified the
preferred alternative to allow airports
identified under the international trigger
with no international commercial traffic
to obtain a waiver from this regulation.
This change in this final rule reduces
the number of airports from
approximately 265 to 191 qualified
airports. The additional estimated 74
airports that the FAA projects will
obtain waivers are also small airports.
C. International Trade Impact
Assessment
The Trade Agreements Act of 1979
(Pub. L. 96–39), as amended by the
Uruguay Round Agreements Act (Pub.
L. 103–465), prohibits Federal agencies
from establishing standards or engaging
in related activities that create
unnecessary obstacles to the foreign
commerce of the United States.
Pursuant to these Acts, the
establishment of standards is not
considered an unnecessary obstacle to
the foreign commerce of the United
States, so long as the standard has a
legitimate domestic objective, such as
the protection of safety, and does not
operate in a manner that excludes
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imports that meet this objective. The
statute also requires consideration of
international standards and, where
appropriate, that they be the basis for
U.S. standards. The FAA has assessed
the potential effect of this final rule and
determined that it will have only a
domestic impact and, therefore, will not
create unnecessary obstacles to the
foreign commerce of the United States.
D. Unfunded Mandates Assessment
Title II of the Unfunded Mandates
Reform Act of 1995 (Pub. L. 104–4)
requires each Federal agency to prepare
a written statement assessing the effects
of any Federal mandate in a proposed or
final agency rule that may result in an
expenditure of $100 million or more (in
1995 dollars) in any one year by State,
local, and tribal governments, in the
aggregate, or by the private sector; such
a mandate is deemed to be a ‘‘significant
regulatory action.’’ The FAA uses an
inflation-adjusted value of $158.0
million in lieu of $100 million. This
final rule does not contain such a
mandate; therefore, the requirements of
Title II of the Act do not apply.
E. Paperwork Reduction Act
The Paperwork Reduction Act of 1995
(44 U.S.C. 3507(d)) requires that the
FAA consider the impact of paperwork
and other information collection
burdens imposed on the public.
According to the 1995 amendments to
the Paperwork Reduction Act (5 CFR
1320.8(b)(2)(vi)), an agency may not
collect or sponsor the collection of
information, nor may it impose an
information collection requirement
unless it displays a valid Office of
Management and Budget (OMB) control
number.
This final rule will impose the
following amended information
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certificate holder will describe its means
for complying with this final rule by
either developing a SMS Manual and
updating its ACM with cross-references,
or documenting the SMS requirements
directly in the ACM.
This final rule also requires
applicable certificate holders to
maintain records related to formalized
hazard identification and analysis under
Safety Risk Management, training
records under Safety Promotion, and
other Safety Promotion materials (also
referred to as safety communications).
Public comments: The FAA received
a few comments in the 2016 and 2021
comment periods that expressed
concern that the initial SMS planning,
data collection, software,
documentation, and implementation
process were underestimated. Another
commenter stated that the regulatory
evaluation did not account for the cost
of attrition on training records.
The FAA used information from pilot
study participants before and after the
initial regulatory evaluation to estimate
costs and cannot validate the cost
estimates provided above. Additionally,
the FAA had no basis to account for
attrition on the small number of
employees that are estimated to require
training under the rule. Attrition is a
normal course of business cost. The
FAA expects little to no attrition solely
due to SMS.
Use: While the Implementation Plan’s
main purpose is to guide a certificate
collection requirements to the existing
information collection requirements
previously approved under OMB
Control Number 2120–0675. As required
by the Paperwork Reduction Act of 1995
(44 U.S.C. 3507(d)), the FAA submitted
these information collection
amendments for its review and OMB
approved the amended information
collection requirements under existing
OMB Control Number 2120–0675.
Summary: This final rule requires
certain certificate holders to establish a
SMS for the entire airfield environment
(including movement and nonmovement areas) to improve safety at
airports hosting air carrier operations. A
SMS is a formalized approach to
managing safety by developing an
organization-wide safety policy,
developing formal methods for
identifying hazards, analyzing and
mitigating risk, developing methods for
ensuring continuous safety
improvement, and creating
organization-wide safety promotion
strategies.
Under this final rule, applicable
certificate holders are required to
submit an Implementation Plan, SMS
Manual and/or ACM update under a
staggered implementation schedule. The
intent of the Implementation Plan is for
a certificate holder to identify its plan
for implementing SMS within
applicable areas, and map its schedule
for implementing requirements. The
11669
holder’s implementation, the plan also
provides a basis for the FAA’s oversight
during the development and
implementing phases. The FAA’s
review and approval of the
Implementation Plan ensures that a
certificate holder is given feedback early
and before it may make significant
capital improvements as part of its SMS
development and implementation.
The ACM update and/or the SMS
Manual establishes the foundation for a
SMS. Like the Implementation Plan, the
FAA will approve the ACM update (a
current practice under the existing rule).
However, the FAA will accept the
certificate holder’s SMS Manual.
Collection and analysis of safety data
is an essential part of a SMS. Types of
data to be collected, retention
procedures, analysis processes, and
organizational structures for review and
evaluation will be documented in either
the ACM or SMS Manual, with crossreferences in the ACM. These records
will be used by a certificate holder in
the operation of its SMS and to facilitate
continuous improvement through
evaluation and monitoring. While this
final rule does not require a certificate
holder to submit these records to the
FAA, it is required to make these
records available upon request.
Respondents (including number of):
The FAA estimates that 191 part 139
certificated airports will be impacted by
the paperwork requirements in this rule.
TABLE 8—AFFECTED POPULATION
Airport* categories
Number of
airports
Data source
Large, Medium, and Small Hub
132
>100,000 Operations ................
27
International Traffic ...................
32
Frequency and Annual Burden
Estimate: The FAA used the information
2015 annual passenger boarding (enplanements) and all-cargo data from Air Carrier Activity
Information System (ACAIS) available on FAA.gov.
Rolling average of 2013 to 2015 FAA Form 5010–1, Airport Master Record for non-towered
airports and Operations Network (OPSNET) data for towered airports.
All available CBP data sources including CBP regulations, public website information, and the
private flyers list of available airports to determine international applicability (excludes airports with no commercial international traffic).
below to estimate the paperwork burden
for the approximately 132 large and 59
small part 139 certificated airports
impacted by the rule.
TABLE 9—WAGES
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Clerical Employee ......................................................................................................................................................................................
Operation Research Analyst ......................................................................................................................................................................
Management Occupations .........................................................................................................................................................................
Airfield Operations Specialist .....................................................................................................................................................................
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield Operations Specialist ....................................................................................
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E:\FR\FM\23FER3.SGM
23FER3
$27.64
63.12
86.50
39.91
63.85
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
TABLE 10—IMPACT ON SMALL AIRPORTS
[Over 10 years]
Hours per
airport
Paperwork requirements
Small airport
Manual & Implementation Plan (Onetime).
Manual Revisions (Annually) ..................
Initial Software (One-time) ......................
Recurrent Software (Annually) ................
NA
$138,150
72
NA
NA
1,990
26,074
32,595
Promotional Material (Biennially) ............
Record Potential Hazards (Annually) .....
NA
65
7,020
1,797
Reporting Potential Hazards (Annually)
65
4,150
Update Distribution Log (Biennially) .......
Update Training Records (Biennially) .....
2.5
0.8
69
22
Documenting Safety Risk Management
(Annually).
Reporting Safety Information under
Safety Assurance (Annually).
130
5,188
10
631
345.3
217,686
Total .................................................
Description
One-time cost of $138,150 per small airport.
Clerical Employee Wage × 12 hours × 6 years for small airports.
Initial Software Cost of $26,074 per airport.
Recurring Software Cost of $6,519 per airport × 5 years for small
airports.
$2,340 spent every other year on promotional material × 3 years.
Clerical Wage × 15 min × 52 hazards per year × 5 years for small
airports.
Blended Wage × 15 min × 52 hazards per year × 5 years for small
airports.
Clerical Wage × 5 min × 10 tenants per small airport × 3 years.
Clerical Wage × 5 min × 3 employee training records per airport ×
3 years.
Operations Specialist Wage × 30 min × 52 documents per year × 5
years for small airports.
Operations Research Wage × 1 hour × 2 reports per year × 5
years for small airports.
TABLE 11—IMPACT ON LARGE AIRPORTS
[Over 10 years]
Hours per
airport
Paperwork requirements
Manual & Implementation Plan (Onetime).
Manual Revisions (Annually) ..................
Initial Software (One-time) ......................
Recurrent Software (Annually) ................
NA
$250,460
84
NA
NA
2,322
26,074
39,114
Promotional Material (Biennially) ............
Record Potential Hazards (Annually) .....
NA
78
7,020
2,156
Reporting Potential Hazards (Annually)
78
4,980
Update Distribution Log (Biennially) .......
Update Training Records (Biennially) .....
37.5
3.3
1,037
91
Documenting Safety Risk Management
(Annually).
Reporting Safety Information under
Safety Assurance (Annually).
156
6,226
12
757
448.8
340,237
Total .................................................
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Large airport
The hourly burden, over 10 years, for
small airports is 345.3 hours multiplied
by 59 airports for a total of 20,373 hours.
Annually, this is equivalent to 2,037
hours per year. For the 132 large
airports, the hourly burden is 59,242
over 10 years or 5,924 hours per year.
While Tables 8 and 9 identify the cost
per airport, there are a few airports that
will not purchase software. For small
airports, there are 44 airports with a per
airport cost of $217,686 and 15 airports
with a per airport cost of $191,612
(excluding the $26,074 initial software
cost). For large airports, there are 99
airports with an estimated per airport
cost of $340,237. The remaining 33
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Jkt 259001
Description
One-time cost of $250,460 per large airport.
Clerical Employee Wage × 12 hours × 7 years for large airports.
Initial Software Cost of $26,074 per airport.
Recurring Software Cost of $6,519 per airport × 6 years for large
airports.
$2,340 spent every other year on promotional material × 3 years.
Clerical Wage × 15 min × 52 hazards per year × 6 years for large
airports.
Blended Wage × 15 min × 52 hazards per year × 6 years for large
airports.
Clerical Wage × 15 min × 50 tenants per large airport × 3 years.
Clerical Wage × 5 min × 10 employee training records per airport ×
4 years.
Operations Specialist Wage × 30 min × 52 documents per year × 6
years for large airports.
Operations Research Wage × 1 hour × 2 reports per year × 6
years for large airports.
airports have a per airport cost of
$314,163 (excluding the $26,074 initial
software cost). The total cost burden
combined over a 10-year period, for
small and large airports, sums to $556.4
million ($51 million at 7 percent present
value).
F. International Compatibility and
Cooperation
In keeping with U.S. obligations
under the Convention on International
Civil Aviation, it is FAA policy to
conform to International Civil Aviation
Organization (ICAO) Standards and
Recommended Practices to the
maximum extent practicable. The FAA
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has reviewed the corresponding ICAO
Standards and Recommended Practices
and has identified no differences with
these proposed regulations.
G. Environmental Analysis
FAA Order 1050.1F identifies FAA
actions that are categorically excluded
from preparation of an environmental
assessment or environmental impact
statement under the National
Environmental Policy Act in the
absence of extraordinary circumstances.
The FAA has determined this
rulemaking action qualifies for the
categorical exclusion identified in
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
paragraph 5–6.6 and involves no
extraordinary circumstances.
V. Executive Order Determinations
A. Executive Order 13132, Federalism
The FAA has analyzed this final rule
under the principles and criteria of
Executive Order 13132, Federalism.
Most airports subject to this final rule
are owned, operated, or regulated by a
local government body (such as a city or
council government), which, in turn, is
incorporated by or as part of a State. The
FAA determined that this action will
not have a substantial direct effect on
the States, or the relationship between
the Federal Government and the States,
or on the distribution of power and
responsibilities among the various
levels of government, and, therefore,
does not have Federalism implications.
B. Executive Order 13211, Regulations
That Significantly Affect Energy Supply,
Distribution, or Use
The FAA analyzed this final rule
under Executive Order 13211, Actions
Concerning Regulations that
Significantly Affect Energy Supply,
Distribution, or Use (May 18, 2001). The
FAA has determined that it is not a
‘‘significant energy action’’ under the
executive order and it is not likely to
have a significant adverse effect on the
supply, distribution, or use of energy.
C. Executive Order 13609, Promoting
International Regulatory Cooperation
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Executive Order 13609, Promoting
International Regulatory Cooperation,
promotes international regulatory
cooperation to meet shared challenges
involving health, safety, labor, security,
environmental, and other issues and
reduce, eliminate, or prevent
unnecessary differences in regulatory
requirements. The FAA has analyzed
this action under the policy and agency
responsibilities of Executive Order
13609, Promoting International
Regulatory Cooperation. The FAA has
determined that this action would
eliminate differences between U.S.
aviation standards and those of other
civil aviation authorities by requiring
certain certificated airports to have a
SMS.
2. Visit the FAA’s Regulations and
Policies web page at www.faa.gov/
regulations_policies/; or
3. Access the Government Printing
Office’s web page at www.GovInfo.gov.
Copies may also be obtained by
sending a request (identified by notice,
amendment, or docket number of this
rulemaking) to the Federal Aviation
Administration, Office of Rulemaking,
ARM–1, 800 Independence Avenue SW,
Washington, DC 20591, or by calling
(202) 267–9680.
B. Comments Submitted to the Docket
Comments received may be viewed by
going to www.regulations.gov and
following the online instructions to
search the docket number for this
action. Anyone is able to search the
electronic form of all comments
received into any of the FAA’s dockets
by the name of the individual
submitting the comment (or signing the
comment, if submitted on behalf of an
association, business, labor union, etc.).
C. Small Business Regulatory
Enforcement Fairness Act
The Small Business Regulatory
Enforcement Fairness Act (SBREFA) of
1996 requires FAA to comply with
small entities’ requests for information
or advice about compliance with
statutes and regulations within its
jurisdiction. A small entity with
questions regarding this document may
contact its local FAA official or the
person listed under the FOR FURTHER
INFORMATION CONTACT heading at the
beginning of the preamble. To find out
more about SBREFA on the internet,
visit https://www.faa.gov/regulations_
policies/rulemaking/sbre_act/.
List of Subjects in 14 CFR Part 139
Air carriers, Airports, Aviation safety,
Reporting and recordkeeping
requirements, Safety Management
Systems (SMS).
The Amendment
In consideration of the foregoing, the
Federal Aviation Administration
amends chapter I of title 14, Code of
Federal Regulations as follows:
PART 139—CERTIFICATION OF
AIRPORTS
VI. How To Obtain Additional
Information
■
A. Rulemaking Documents
Authority: 49 U.S.C. 106(f), 106(g), 40113,
44701–44706, 44709, 44719, 47175.
1. The authority citation for part 139
is revised to read as follows:
An electronic copy of a rulemaking
document may be obtained by using the
internet—
1. Search the Federal eRulemaking
Portal (www.regulations.gov);
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2. Amend § 139.5 by adding in
alphabetical order definitions for
‘‘Accountable executive’’, ‘‘Airport
Safety Management System (SMS)’’,
‘‘Hazard’’, ‘‘Non-movement area’’,
■
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11671
‘‘Risk’’, ‘‘Risk analysis’’, ‘‘Risk
mitigation’’, ‘‘Safety assurance’’, ‘‘Safety
policy’’, ‘‘Safety promotion’’, and
‘‘Safety risk management’’ to read as
follows:
§ 139.5
Definitions.
*
*
*
*
*
Accountable executive means an
individual designated by the certificate
holder to act on its behalf for the
implementation and maintenance of the
Airport Safety Management System. The
accountable executive has control of the
certificate holder’s human and financial
resources for operations conducted
under an Airport Operating Certificate.
The accountable executive has ultimate
responsibility to the FAA, on behalf of
the certificate holder, for the safety
performance of operations conducted
under the certificate holder’s Airport
Operating Certificate.
*
*
*
*
*
Airport Safety Management System
(SMS) means an integrated collection of
processes and procedures that ensures a
formalized and proactive approach to
system safety through risk management.
*
*
*
*
*
Hazard means a condition that could
foreseeably cause or contribute to: (1)
injury, illness, death, damage to or loss
of system, equipment, or property, or (2)
an aircraft accident as defined in 49 CFR
830.2.
*
*
*
*
*
Non-movement area means the area,
other than that described as the
movement area, used for the loading,
unloading, parking, and movement of
aircraft on the airside of the airport
(including ramps, apron areas, and onairport fuel farms).
*
*
*
*
*
Risk means the composite of
predicted severity and likelihood of the
potential effect of a hazard.
Risk analysis means the process
whereby a hazard is characterized for its
likelihood and the severity of its effect
or harm. Risk analysis can be either a
quantitative or qualitative analysis;
however, the inability to quantify or the
lack of historical data on a particular
hazard does not preclude the need for
analysis.
Risk mitigation means any action
taken to reduce the risk of a hazard’s
effect.
*
*
*
*
*
Safety assurance means processes
within the SMS that function
systematically to ensure the
performance and effectiveness of risk
controls or mitigations and that the
organization meets or exceeds its safety
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Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 / Rules and Regulations
objectives through the collection,
analysis, and assessment of information.
Safety policy means the certificate
holder’s documented commitment to
safety, which defines its safety
objectives and the accountabilities and
responsibilities of its employees in
regard to safety.
Safety promotion means a
combination of training and
communication of safety information to
support the implementation and
operation of a SMS in an organization.
Safety risk management means a
process within the SMS composed of
describing the system, identifying the
hazards, and analyzing, assessing, and
controlling or mitigating the risk.
*
*
*
*
*
§ 139.101
[Amended]
3. Amend § 139.101 by removing
paragraph (c).
■ 4. Amend § 139.103 by revising
paragraph (b) to read as follows:
■
§ 139.103
Application for certificate.
*
*
*
*
*
(b) Submit with the application, two
copies of an Airport Certification
Manual, and a Safety Management
System Manual (where applicable),
prepared in accordance with subparts C
and E of this part.
■ 5. Amend § 139.203, in the table in
paragraph (b) titled ‘‘Required Airport
Certification Manual Elements,’’ by
redesignating entry 29 as entry 30 and
adding a new entry 29.
The addition reads as follows:
§ 139.203
Manual.
*
Contents of Airport Certification
*
*
(b) * * *
*
*
REQUIRED AIRPORT CERTIFICATION MANUAL ELEMENTS
Airport certificate class
Manual elements
Class I
*
*
*
*
29. Policies and procedures for the development of, implementation of,
maintenance of, and adherence to, the Airport’s Safety Management System, as required under subpart E of this part. Section 139.401(1) prescribes which certificate holders are subject to this requirement. ...............
*
*
*
6. Amend § 139.301 by revising
paragraph (b)(1) and adding paragraphs
(b)(9) and (10) to read as follows:
■
§ 139.301
Records.
*
*
*
*
(b) * * *
(1) Personnel training. Twenty-four
consecutive calendar months for
personnel training records and
orientation materials, as required under
§§ 139.303, 139.327, and 139.402(d).
*
*
*
*
*
(9) Safety risk management
documentation. The longer of thirty-six
consecutive calendar months after the
risk analysis of identified hazards under
§ 139.402(b)(2) has been completed, or
twelve consecutive calendar months
after mitigations required under
§ 139.402(b)(2)(v) have been completed.
(10) Safety communications. Twelve
consecutive calendar months for safety
communications, as required under
§ 139.402(d).
*
*
*
*
*
■ 7. Amend § 139.303 by revising
paragraphs (e)(5) and (6) and adding
paragraph (e)(7) to read as follows:
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*
§ 139.303
Personnel.
*
*
*
*
*
(e) * * *
(5) § 139.337, Wildlife hazard
management;
(6) § 139.339, Airport condition
reporting; and
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Class II
*
X
*
Subpart E—Airport Safety
Management System
General requirements.
(a) Each certificate holder or applicant
for an Airport Operating Certificate
meeting at least one of the following
criteria must develop, implement,
maintain, and adhere to an Airport
Safety Management System pursuant to
the requirements established in this
subpart. If the certificate holder:
(1) Is classified as a large, medium, or
small hub based on passenger data
extracted from the Air Carrier Activity
Information System;
(2) Has an average of 100,000 or more
total annual operations, meaning the
sum of all arrivals and departures, over
the previous three calendar years; or
(3) Is classified as a port of entry,
designated international airport, landing
rights airport, or user fee airport.
(b) The scope of an Airport Safety
Management System must encompass
Frm 00032
Fmt 4701
Sfmt 4700
Class IV
*
X
*
Subpart E—Airport Safety Management
System
Sec.
139.401 General requirements.
139.402 Components of Airport Safety
Management System.
139.403 Airport Safety Management System
implementation.
PO 00000
*
X
(7) § 139.402, Components of airport
safety management system.
*
*
*
*
*
■ 8. Add subpart E to read as follows:
§ 139.401
Class III
*
X
*
aircraft operation in the movement area,
aircraft operation in the non-movement
area, and other airport operations
addressed in this part.
(c) The Airport Safety Management
System should correspond in size,
nature, and complexity to the
operations, activities, hazards, and risks
associated with the certificate holder’s
operations.
(d) If a certificate holder qualifies
exclusively under paragraph (a)(3) of
this section and has no tenants that are
required to comply with SMS
requirements of any jurisdiction, the
certificate holder is eligible for a waiver
from the requirements of paragraph (a)
of this section.
(1) To obtain the waiver, the
certificate holder must submit a written
request to the Regional Airports
Division Manager justifying its request.
(2) If FAA grants a certificate holder’s
request for a waiver, the certificate
holder must validate its waiver
eligibility to the Regional Airports
Division Manager every two years.
(e) If an airport has a tenant required
to maintain a SMS subject to the
requirements of part 5 of this title, then
the certificate holder may develop a
data sharing and reporting plan to
address the reporting and sharing of
hazard and safety data with the tenant.
(1) Any data sharing and reporting
plan must include, at a minimum:
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(i) The types of information the
certificate holder expects the tenant to
share;
(ii) The timeliness of sharing relevant
safety data and reports;
(iii) Processes for analyzing joint
safety issues or hazards;
(iv) Other processes, procedures, and
policies to aid the certificate holder’s
compliance with its obligations under
the Airport Safety Management System;
and
(v) Identification of the mechanisms
through which the certificate holder
will ensure compliance with the plan to
achieve the full implementation of the
requirements.
(2) With a data sharing and reporting
plan, the requirement for the certificate
holder to provide safety awareness
orientation to the tenants or their
employees under § 139.402(d)(1) is
waived.
(3) The certificate holder remains the
ultimate responsible party for
compliance with its Airport Safety
Management System.
(f) Each certificate holder required to
develop, implement, maintain, and
adhere to an Airport Safety Management
System under this subpart must
describe its compliance with the
requirements identified in § 139.402,
either:
(1) Within a separate section of the
certificate holder’s Airport Certification
Manual titled Airport Safety
Management System; or
(2) Within a separate Airport Safety
Management System Manual. If the
certificate holder chooses to use a
separate Airport Safety Management
System Manual, the Airport
Certification Manual must incorporate
by reference the Airport Safety
Management System Manual.
(g) On an annual basis or upon FAA
request, the certificate holder shall
provide the FAA copies of any changes
to the Airport Safety Management
System Manual.
(h) A certificate holder that starts
implementation of an Airport Safety
Management System but no longer
qualifies under paragraph (a) of this
section must continue to develop,
implement, maintain, and adhere to its
Airport Safety Management System for
the longest of the following periods:
(1) Twenty-four consecutive calendar
months after full implementation; or
(2) Twenty-four consecutive calendar
months from the date it no longer
qualifies under paragraph (a) of this
section.
§ 139.402 Components of Airport Safety
Management System.
An Airport Safety Management
System must include:
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Jkt 259001
(a) Safety Policy. A Safety Policy that,
at a minimum:
(1) Identifies the accountable
executive;
(2) Establishes and maintains a safety
policy statement signed by the
accountable executive;
(3) Ensures the safety policy statement
is available to all employees and
tenants;
(4) Identifies and communicates the
safety organizational structure;
(5) Describes management
responsibility and accountability for
safety issues;
(6) Establishes and maintains safety
objectives; and
(7) Defines methods, processes, and
organizational structure necessary to
meet safety objectives.
(b) Safety Risk Management. Safety
Risk Management processes and
procedures for identifying hazards and
their associated risks within airport
operations and for changes to those
operations covered by this part that, at
a minimum:
(1) Establish a system for identifying
operational safety issues.
(2) Establish a systematic process to
analyze hazards and their associated
risks, which include:
(i) Describing the system;
(ii) Identifying hazards;
(iii) Analyzing the risk of identified
hazards and/or analyzing proposed
mitigations;
(iv) Assessing the level of risk
associated with identified hazards; and
(v) Mitigating the risks of identified
hazards, when appropriate.
(3) Establish and maintain records
that document the certificate holder’s
Safety Risk Management processes.
(i) The records shall provide a means
for airport management’s acceptance of
responsibility for assessed risks and
mitigations.
(ii) Records associated with the
certificate holder’s Safety Risk
Management processes must be retained
for the longer of:
(A) Thirty-six consecutive calendar
months after the risk analysis of
identified hazards under paragraph
(b)(2) of this section has been
completed; or
(B) Twelve consecutive calendar
months after mitigations required under
paragraph (b)(2)(v) of this section have
been completed.
(c) Safety assurance. Safety assurance
processes and procedures to ensure
mitigations developed through the
certificate holder’s Safety Risk
Management processes and procedures
are adequate, and the Airport’s Safety
Management System is functioning
effectively. Those processes and
procedures must, at a minimum:
PO 00000
Frm 00033
Fmt 4701
Sfmt 4700
11673
(1) Provide a means for monitoring
safety performance including a means
for ensuring that safety objectives
identified under paragraph (a)(6) of this
section are being met.
(2) Establish and maintain a safety
reporting system that provides a means
for reporter confidentiality.
(3) Report pertinent safety
information and data on a regular basis
to the accountable executive. Reportable
data includes:
(i) Compliance with the requirements
under this subpart and subpart D of this
part;
(ii) Performance of safety objectives
established under paragraph (a)(6) of
this section;
(iii) Safety critical information
distributed in accordance with
paragraph (d)(5)(ii) of this section;
(iv) Status of ongoing mitigations
required under the Airport’s Safety Risk
Management processes as described
under paragraph (b)(2)(v) of this section;
and
(v) Status of a certificate holder’s
schedule for implementing the Airport
Safety Management System as described
under § 139.403.
(d) Safety Promotion. Safety
Promotion processes and procedures to
foster an airport operating environment
that encourages safety. Those processes
and procedures must, at a minimum:
(1) Provide all persons authorized to
access the airport areas regulated under
this part with a safety awareness
orientation, which includes hazard
identification and reporting. The safety
awareness orientation materials must be
readily available and must be reviewed
and updated every twenty-four calendar
months or sooner if necessary.
(2) Maintain a record of all safety
awareness orientation materials made
available under paragraph (d)(1) of this
section including any revisions and
means of distribution. Such records
must be retained for twenty-four
consecutive calendar months after the
materials are made available.
(3) Provide safety training on those
requirements of SMS and its
implementation to each employee with
responsibilities under the certificate
holder’s SMS that is appropriate to the
individual’s role. This training must be
completed at least every twenty-four
months.
(4) Maintain a record of all training by
each individual under paragraph (d)(3)
of this section that includes, at a
minimum, a description and date of
training received. Such records must be
retained for twenty-four consecutive
calendar months after completion of
training.
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(5) Develop and maintain formal
means for communicating important
safety information that, at a minimum:
(i) Ensures all persons authorized to
access the airport areas regulated under
this part are aware of the SMS and their
safety roles and responsibilities;
(ii) Conveys critical safety
information;
(iii) Provides feedback to individuals
using the airport’s safety reporting
system required under paragraph (c)(2)
of this section; and
(iv) Disseminates safety lessons
learned to relevant airport employees or
other stakeholders.
(6) Maintain records of
communications required under this
section for 12 consecutive calendar
months.
§ 139.403 Airport Safety Management
System implementation.
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(a) Each certificate holder required to
develop, implement, maintain, and
adhere to an Airport Safety Management
System under this subpart must submit
an Implementation Plan to the FAA for
approval according to the following
schedule:
(1) For certificate holders identified
under § 139.401(a)(1), on or before April
24, 2024;
(2) For certificate holders identified
under § 139.401(a)(2), on or before
October 24, 2024;
(3) For certificate holders identified
under § 139.401(a)(3), on or before April
24, 2025.
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(4) For a certificate holder that
qualifies under § 139.401(a) after April
24, 2023, on or before 18 months after
the certificate holder receives
notification from the Regional Airports
Division Manager of the change in its
status.
(b) An Implementation Plan must
provide:
(1) A detailed proposal on how the
certificate holder will meet the
requirements prescribed in this subpart.
(2) A schedule for implementing SMS
components and elements prescribed in
§ 139.402. The schedule must include
timelines for the following
requirements:
(i) Developing the safety policy
statement as prescribed in
§ 139.402(a)(2) and when it will be
made available to all employees and
tenants as prescribed in § 139.402(a)(3);
(ii) Identifying and communicating
the safety organizational structure as
prescribed in § 139.402(a)(4);
(iii) Establishing a system for
identifying operational safety issues as
prescribed in § 139.402(b)(1);
(iv) Establishing a safety reporting
system as prescribed in § 139.402(c)(2);
(v) Developing, providing, and
maintaining safety awareness
orientation materials as prescribed in
§ 139.402(d)(1);
(vi) Providing SMS-specific training
to employees with responsibilities
under the certificate holder’s SMS as
prescribed in § 139.402(d)(3); and
PO 00000
Frm 00034
Fmt 4701
Sfmt 9990
(vii) Developing, implementing, and
maintaining formal means for
communicating important safety
information as prescribed in
§ 139.402(d)(5).
(3) A description of any existing
programs, policies, or procedures that
the certificate holder intends to use to
meet the requirements of this subpart.
(c) Each certificate holder required to
develop, implement, maintain, and
adhere to an Airport Safety Management
System under this subpart must submit
its amended Airport Certification
Manual and Airport Safety Management
System Manual, if applicable, to the
FAA in accordance with its
Implementation Plan but not later than
12 months after receiving FAA approval
of the certificate holder’s
Implementation Plan.
(d) A certificate holder that qualifies
under § 139.401(a) must fully
implement its Airport Safety
Management System no later than 36
months after the approval of its
Implementation Plan.
Issued in Washington, DC, under authority
provided by 49 U.S.C. 106(f), 44701, 44702,
and 44706 on or about February 15, 2023.
Billy Nolen,
Acting Administrator.
[FR Doc. 2023–03597 Filed 2–22–23; 8:45 am]
BILLING CODE 4910–13–P
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Agencies
[Federal Register Volume 88, Number 36 (Thursday, February 23, 2023)]
[Rules and Regulations]
[Pages 11642-11674]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2023-03597]
[[Page 11641]]
Vol. 88
Thursday,
No. 36
February 23, 2023
Part V
Department of Transportation
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Federal Aviation Administration
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14 CFR Part 139
Airport Safety Management System; Final Rule
Federal Register / Vol. 88, No. 36 / Thursday, February 23, 2023 /
Rules and Regulations
[[Page 11642]]
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DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 139
[Docket No.: FAA-2010-0997; Amdt. No. 139-28]
RIN 2120-AJ38
Airport Safety Management System
AGENCY: Federal Aviation Administration (FAA), DOT.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This final rule requires certain airport certificate holders
to develop, implement, maintain, and adhere to an airport safety
management system (SMS). Certificated airports that qualify under one
or more of the following triggering criteria (triggers) are required to
develop a SMS under this final rule: are classified as large, medium,
or small hubs based on passenger data extracted from the FAA Air
Carrier Activity Information System; have a 3-year rolling average of
100,000 or more total annual operations, meaning the sum of all
arrivals and departures; or serve any international operation other
than general aviation. This rule would expand the safety benefits of
SMS to certain certificated airports and further the FAA's aviation-
wide approach to SMS implementation in order to address safety at an
organizational level.
DATES: This rule is effective April 24, 2023.
ADDRESSES: For information on where to obtain copies of rulemaking
documents and other information related to this final rule, see ``How
to Obtain Additional Information'' in SECTION VI of this document.
FOR FURTHER INFORMATION CONTACT: For technical questions about this
action, contact James Schroeder, Airport Safety and Operations
Division, AAS-300, Office of Airport Safety and Standards, Federal
Aviation Administration, 800 Independence Avenue SW, Washington, DC
20591; telephone (202) 267-4974; email [email protected].
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Executive Summary
II. Background
III. Discussion of Public Comments and Final Rule
A. Applicability
1. General Applicability
2. Triggers
i. Hub Trigger
ii. Operations Trigger
iii. International Trigger
3. Authority To Implement Triggers
4. Annual Review of Applicability
B. Implementation
1. Phased Implementation
2. Staggered Implementation
3. FAA Review of Documents
4. Timeline for Document Submission and Full Implementation
5. Timeline for New Airports Qualifying After the Effective Date
of This Final Rule, or Due to Changes in Status
C. Non-Movement Area
1. Regulatory Authority in the Non-Movement Area
2. Inclusion of Fuel Farms, Baggage-Makeup, and Military Areas
3. Inconsistency With ICAO Standard
4. Air Carrier Operations in Non-Movement Areas
D. Data Protection
1. State-Level Fix
2. Federal-Level Protection
3. Creation of a National Data Repository
4. De-Identified Data
E. Safety Reporting and Interoperability
1. Change in Terminology
2. Data Sharing and Reporting Plan
3. Crewmembers Accessing Non-Movement Areas
F. Training and Orientation
1. Identification of Roles, Responsibilities, and Minimum
Training Elements
2. Training Estimates Used in Regulatory Evaluation calculations
3. Safety Awareness Orientation
4. Development of Training Materials
5. Clarification of ``Comprehensive SMS Training''
6. Clarification of ``Access''
G. Accountable Executive
1. Amendment or Elimination of the Accountable Executive
Requirement
2. Delegation
3. Personal Liability and Oversight
H. Definitions
1. ``Hazard'' Definition
2. ``Non-Movement Area'' Definition
3. Harmonization of ``Safety Policy,'' ``Safety Risk
Management,'' ``Safety Assurance,'' and ``Safety Promotion''
Definitions
I. Miscellaneous Topics
1. FAA's Rulemaking Authority
2. Applicability to Non-Certificated Airports
3. FAA Oversight
4. Safety Risk Management
5. Record Retention
6. SMS Manual Updates
7. Guidance and Work Groups
IV. Regulatory Notices and Analyses
V. Executive Order Determinations
VI. How To Obtain Additional Information
List of Abbreviations and Acronyms Frequently Used in This Document
AC Advisory Circular
ACAIS Air Carrier Activity Information System
ACM Airport Certification Manual
AOC Airport operating certificate
ARP FAA Office of Airports
ATO FAA Air Traffic Organization
AVS FAA Aviation Safety Organization
CFR Code of Federal Regulations
CBP Customs and Border Protection
DSR Plan Data Sharing and Reporting Plan
E.O. Executive Order
FAA Federal Aviation Administration
FOIA Freedom of Information Act
ICAO International Civil Aviation Organization
NPIAS National Plan of Integrated Airport Systems
NPRM Notice of Proposed Rulemaking
NTSB National Transportation Safety Board
OMB Office of Management and Budget
OpsNet FAA Operations Network
SBREFA Small Business Regulatory Enforcement Fairness Act of 1996
SMS Safety Management System
SNPRM Supplemental Notice of Proposed Rulemaking
SRM Safety Risk Management
SSI Sensitive Security Information
I. Executive Summary
A. Purpose of the Regulatory Action
SMS has generated wide support in the aviation community as an
effective approach that can deliver real safety and financial
benefits.\1\ SMS integrates modern safety concepts into repeatable,
proactive processes in a single system, emphasizing safety management
as a fundamental business process to be considered in the same manner
as other aspects of business management. The development and
implementation of SMS improves safety at the organizational level and
is the next step in the continuing evolution of aviation safety.
Therefore, the FAA is pursuing an aviation-wide approach that would
require the implementation of SMS by those organizations in the best
position to prevent future accidents. As part of that process, the FAA
is expanding SMS's benefits to certain certificated airports by
requiring them to proactively identify and mitigate safety hazards,
thereby reducing the possibility or recurrence of incidents or
accidents in air transportation. The purpose of this final rule is to
require certain Title 14 Code of Federal Regulations (CFR) part 139 \2\
certificate holders to develop,
[[Page 11643]]
implement, maintain, and adhere to an airport safety management system
(SMS).
---------------------------------------------------------------------------
\1\ See, e.g., National Transportation Safety Board, NTSB Calls
for Enhanced Safety Standards in Some Revenue Passenger-Carrying
General Aviation Operations (Mar. 23, 2021), https://www.ntsb.gov/news/press-releases/Pages/NR20210323.aspx; Transportation Research
Board, Airport Cooperative Research Program (ACRP) Synthesis 37:
Lessons Learned from Airport Safety Management Systems Pilot Studies
at 46 (2012) (explaining that airports that participated in the SMS
program reported increased safety awareness and improved
collaboration).
\2\ Part 139 requires airports serving scheduled air carrier
aircraft with more than 9 seats or unscheduled air carrier aircraft
with more than 30 seats to hold an Airport Operating Certificate
(AOC). Under part 139, a certificate holder must develop and
maintain an Airport Certification Manual (ACM). The ACM contains the
processes and procedures the airport uses to comply with part 139
requirements, and the FAA approves the ACM and updates to it.
---------------------------------------------------------------------------
A SMS is a formal means for organizations to identify and manage
safety risks in their operations. It includes systematic procedures,
practices, and policies for the management of safety risk. SMS enforces
the concept that safety should be managed with as much emphasis,
commitment, and focus as any other critical area of an organization. It
prompts organizations to develop decision-making processes and
procedures and use effective safety risk controls to proactively
identify and mitigate or address any detected noncompliant or unsafe
conditions in their operations. As discussed in the FAA Airport SMS
Pilot Study report,\3\ airports that voluntarily implemented SMS have
reported better efficiency in identifying and mitigating hazards in
daily activities such as pedestrian safety on ramps and operations with
ground support equipment.\4\ These airports also used SMS processes for
significant events, such as construction safety and phasing planning,
to proactively identify and mitigate hazards before the start of the
project. This proactive approach, along with the communication of
safety issues, provides a robust mechanism for airports to improve
safety. The FAA has not formally tracked the number of airports that
have implemented SMS since it is not yet a required element under part
139.
---------------------------------------------------------------------------
\3\ Federal Aviation Administration, Airport Safety Management
Systems (SMS) Pilot Studies, https://www.faa.gov/sites/faa.gov/files/airports/airport_safety/safety_management_systems/external/smsPilotTechReportMay2011.pdf (May 2011).
\4\ FAA has not evaluated an airport's safety record prior to
participating in SMS under the pilot program. In general, however,
the FAA recognizes that airports participating in the pilot studies
were proactive about the safety of their operations.
---------------------------------------------------------------------------
The purpose of a SMS is to reduce incidents, accidents, and
fatalities in the airfield operations environment. A specific example
cited in the RIA was the FOD damage to 14 aircraft in 2007 (NTSB
Accident No: DEN07IA069). The advanced communication procedures in a
SMS could have expedited the reporting, assessment and mitigation of
the FOD hazard, thus limiting the likelihood and severity of this
hazard. Expanding SMS to certain certificated airports is the best
strategy to continue to reduce incidents and accidents, and improve
safety in aviation. ICAO, other Civil Aviation Authorities, industry
advisory groups, and the NTSB all support the use of SMS to improve
safety. In the U.S., safety management systems have been implemented by
part 121 operators and the FAA has voluntary programs designed to
expand the use of SMS throughout the aviation system. The FAA has even
implemented SMS within many of its organizations. Further, expansion of
SMS would also align the U.S. with current ICAO Standards and
Recommended Practices.
This final rule requires airport certificate holders that qualify
under one or more of the following triggering criteria (triggers) to
develop a SMS: airports: (a) classified as large, medium, or small
hubs, based on passenger data extracted from the FAA Air Carrier
Activity Information System; (b) that have a 3-year rolling average of
100,000 or more total annual operations, meaning the sum of all
arrivals and departures; \5\ or (c) that serve any international
operation other than general aviation. The FAA applied a primarily
risk-based approach to the final rule's applicability. The criteria are
designed to maximize SMS's safety benefits to stakeholders in the least
burdensome manner. Instead of requiring SMS at all certificated
airports, only certificated airports with the highest passenger
enplanements, the largest total operations, and those hosting
international air traffic must have a SMS under this rule. This final
rule applies to approximately 265 certificated airports. These airports
cover over 90 percent of all U.S. passenger enplanements and include
the facilities with the largest number of commercial air transportation
operations. This allows safety benefits to flow to airports with the
majority of aircraft operations in the United States in addition to
airports with international passenger operations to ensure conformity
with international standards and recommended practices with the least
regulatory burden. This rule does not require SMS implementation at
small airports with fewer resources where creating a SMS may be a
larger proportional burden and may not be cost beneficial.
---------------------------------------------------------------------------
\5\ For the purposes of this trigger, the FAA will use the
following sources of data to determine number of operations: (a)
traffic counts reported by the Air Traffic Control Tower through FAA
Operations Network (OpsNet), for airports with FAA or contract
towers; (b) FAA Form 5010-1 data for non-towered airports; or (c)
other FAA-validated counting systems. Historical OpsNet data is
publicly available through FAA.gov.
---------------------------------------------------------------------------
This final rule includes an exception to the applicability of the
SMS requirement. If a certificate holder qualifies exclusively under
the international services trigger, then it may file a waiver request
to seek relief from the regulatory requirement to implement SMS. To do
so, it must certify that it does not host any operation by any tenant
\6\ that is required to implement SMS under the applicable laws or
regulations of its country of origin (i.e., the jurisdiction that
issued the tenant's air carrier certificate, air operator certificate,
or equivalent) or any other governing jurisdiction. For example, if
international services at an airport are solely provided for operators
engaged in general aviation operations, then--absent another trigger--
the FAA will not require the airport to implement SMS. By linking the
international trigger for part 139 airports to the presence of
international tenants with SMS requirements, the FAA supports a
holistic approach that encourages the sharing of data and proactive
risk management inherent to SMS. Without this linkage, neither SMS
reaches its full potential safety benefit. However, if an air carrier
tenant commences international service to or from such airport, and the
country of origin of such air carrier tenant requires that it adhere to
a SMS, then the exception does not apply and the airport must implement
SMS.
---------------------------------------------------------------------------
\6\ As discussed later in this document, tenant refers to any
person or entity occupying space or property under a lease or other
agreement (such as an air carrier or maintenance repair and overhaul
company) that does business at the airport.
---------------------------------------------------------------------------
In the interest of safety, this final rule requires the
implementation of SMS in both the movement and non-movement areas \7\
of qualifying airports. This rule allows airports to enter into data
sharing and reporting arrangements with certain air carrier tenants.
Such arrangements allow tenants to share with part 139 certificate
holders any hazard report submitted though the tenants' confidential
employee reporting systems. This reduces the burden of having to report
hazards under two different reporting systems and fosters cooperation
and increased communication of safety issues among interested parties,
while avoiding gaps in SMS coverage. Separately, this final rule adds
an authority citation inadvertently omitted from a previous final rule
and amends Sec. 139.101 by removing paragraph (c), which no longer
applies.
---------------------------------------------------------------------------
\7\ ``Movement area'' is defined as the runways, taxiways, and
other areas of an airport that are used for taxiing, takeoff, and
landing of aircraft, exclusive of loading ramps and aircraft parking
areas, and that are under the control of an air traffic control
tower. ``Non-movement Area'' is defined as taxiways, aprons, and
other areas not under the control of air traffic or at airports
without an operating airport traffic control tower.
---------------------------------------------------------------------------
Airport SMS will help FAA develop its oversight processes so that
FAA
[[Page 11644]]
targets its involvement on the areas of highest safety risk. For
airports with a fully implemented SMS and that have a consistent
history of compliance with the requirements of part 139, the FAA will
transition to system-based inspections, thereby allowing inspectors to
focus on areas of greater risk and the FAA to modify the duration of
time between inspections for those airports. In addition to focusing
FAA's resources to best address safety needs, the FAA anticipates this
approach will create government cost savings from reduced inspector
time and travel costs.
B. Summary of the Major Provisions of the Regulatory Action
In its most general form, SMS is a set of decision-making tools
that a certificate holder uses to plan, organize, direct, and control
its everyday activities in a manner that enhances safety. An airport
SMS must include, at a minimum, four components: (a) safety policy, (b)
safety risk management, (c) safety assurance, and (d) safety promotion.
Certificate holders must identify their plans for developing and
implementing SMS through an FAA-approved Implementation Plan (see Sec.
139.403). Pursuant to Sec. 139.401(f), certificate holders may choose
to either document their airport SMS in a separate SMS Manual or in
their FAA-approved ACM (see also Sec. Sec. 139.201-139.203).
The submission of SMS Implementation Plans is staggered based on
which trigger prompts certificate holders to comply with this final
rule. Airports qualifying under the hub trigger must submit their
Implementation Plans first, within 12 months of the effective date of
this rule. Certificate holders qualifying under the annual operations
trigger must submit Implementation Plans within 18 months, and airports
qualifying under the international trigger must submit their
Implementation Plans within 24 months.
All certificate holders subject to this final rule must submit
their SMS Manual and/or revised ACM to the FAA within the 12 months
immediately following the FAA's approval of the Implementation Plan.
Certificate holders have 36 months following approval of the
Implementation Plan to fully implement their SMS.
Table 1 provides a brief summary of the major provisions of this
final rule and changes from the SNPRM.
---------------------------------------------------------------------------
\8\ The FAA anticipates that some airports will provide routine
updates to their accountable executive, such as through a
continuously updated dashboard.
Table 1--Summary of Major Provisions
------------------------------------------------------------------------
Proposed
Issue requirement (from Adopted requirement
the SNPRM)
------------------------------------------------------------------------
Applicability of SMS Limited to Limited to
requirements. certificate certificate holders:
holders: (a) Classified as
(a) Classified as large, medium, or
large, medium, small hub; or
or small hub; or. (b) Having an average
(b) Having more of 100,000 or more
than 100,000 total annual
total annual operations (the sum
operations; or. of all arrivals and
(c) Classified as departures) over the
a port of entry, previous three
designated calendar years; or
international (c) Classified as a
airport, landing port of entry,
rights airport, designated
or user fee international
airport.. airport, landing
rights airport, or
user fee airport.
Sec. 139.401(a).
Waiver for International NONE............. Allow a certificate
Trigger. holder that
qualifies
exclusively under
the international
trigger to obtain a
waiver from
complying with the
SMS requirements if
it has no tenants
that are required to
comply with SMS
requirements of any
jurisdiction.
Sec. 139.401(d).
Scope......................... SAME AS ADOPTED.. Encompass aircraft
operations in the
movement and non-
movement areas (and
other airport
operations addressed
in part 139).
Sec. 139.401(b).
Scale......................... SAME AS ADOPTED.. Correspond in size,
nature, and
complexity to the
operations,
activities, and
risks associated
with the airport's
operations.
Sec. 139.401(c).
Implementation Plan........... SAME AS ADOPTED.. Detail how the
airport will meet
the requirements of
this final rule;
include a schedule
for implementing the
SMS components;
describe any
existing programs or
policies the airport
will use to meet the
SMS requirements.
Sec. 139.403(b).
Documenting the SMS SAME AS ADOPTED.. Include methods of
requirements. compliance contained
within the ACM or a
separate SMS Manual
with incorporation
by reference in the
ACM.
Sec. 139.401(f).
Document Submission and Submit Submit Implementation
Implementation Deadlines. Implementation Plan on or before:
Plan on or 12 months
before 12 months. for hub triggers;
Submit SMS Manual 18 months
and/or ACM for operations
update on or triggers; and
before 24 months. 24 months
Fully implement for international
the SMS on or triggers.
before 24 months. Sec. 139.403(a).
Submit SMS Manual and/
or ACM update on or
before 12 months
after FAA-approval
of the
Implementation Plan.
Sec. 139.403(c).
Fully implement the
SMS no later than 36
months after FAA-
approval of the
Implementation Plan.
Sec. 139.403(d).
Accountable executive......... SAME AS ADOPTED.. Identify the
accountable
executive; report
pertinent safety
information and data
on a regular basis
to the accountable
executive.\8\
Sec. 139.402(a)(1);
Sec.
139.402(c)(3).
[[Page 11645]]
Safety Policy Statement....... SAME AS ADOPTED.. Establish and
maintain a safety
policy statement
signed by the
accountable
executive.
Sec. 139.402(a)(2).
Safety Objectives............. SAME AS ADOPTED.. Establish and
maintain safety
objectives; define
methods, processes,
and organizational
structure necessary
to meet those safety
objectives; monitor
safety performance.
Sec. 139.402(a)(6)
& (7); Sec.
139.402(c)(1).
Safety Risk Management........ SAME AS ADOPTED.. Establish a system to
identify operational
safety issues and a
process to analyze
hazards and their
risks.
Sec. 139.402(b).
Safety Reporting System....... SAME AS ADOPTED.. Establish and
maintain a reporting
system that provides
for reporter
confidentiality.
Sec. 139.402(c)(2).
Data Sharing and Reporting NONE............. Provides option to
Plan. develop data sharing
and reporting plan
with tenant(s)
required to maintain
a SMS subject to
requirements of 14
CFR part 5. When
such a plan exists,
relieves airport
from providing
safety awareness
orientation to
applicable tenants
or their employees.
Sec. 139.401(e).
Training and Orientation...... SAME AS ADOPTED.. Provide all persons
authorized access to
movement and non-
movement areas
safety awareness
orientation; provide
all employees with
responsibilities
under the SMS
training appropriate
to their roles.
Sec. 139.402(d)(1)
& (3).
Safety Communications......... SAME AS ADOPTED.. Develop and maintain
formal means for
communicating
important safety
information.
Sec. 139.402(d)(5).
Record Keeping................ SAME AS ADOPTED.. Retain:
SMS training
records and
orientation
materials for 24
consecutive calendar
months;
SRM
documentation for
the longer of 36
consecutive calendar
months after the
risk analysis has
been completed or 12
consecutive calendar
months after
mitigations
completed; and
Safety
communications for
12 consecutive
calendar months.
Sec. 139.301(b)(1)
& (9) & (10).
------------------------------------------------------------------------
C. Summary of Costs and Benefits
The goal of this rule is to improve the safety of the airfield
environment (including movement and non-movement areas) by providing an
airport with decision-making tools to plan, organize, direct, and
control its everyday activities in a manner that enhances safety. The
FAA envisions airports being able to use all of the components of a SMS
to enhance their ability to identify safety issues and spot trends
before they result in a near-miss incident or accident. While the FAA's
use of prescriptive regulations and technical operating standards has
been effective, such regulations may leave gaps best addressed through
performance-based management practices. For example, pilots and
controllers may be required to report incidents (such as bird-strikes
or runway incursions) under their respective SMS. However, they may not
be required to notify the airport of the incident. Because the airport
operator best understands its own operating environment, it is in the
best position to address many of its own safety issues providing it has
sufficient data to address the hazard. A SMS may provide an airport
with the capacity to anticipate and address safety issues before they
lead to an incident or accident. Table 2 shows quantified present value
and annualized benefits and costs over 10 years. The FAA anticipates
additional benefits at airports with an implemented Airport SMS in the
form of cost savings from reductions in the frequency and breadth of
the traditional airport inspection and inspection cycle. Table 2 also
includes the FAA's estimated cost savings of changing the traditional
inspection cycle at airports with a fully implemented SMS.
Table 2--Comparison of Costs and Benefits Over 10 Years
[Millions of 2020 dollars]
----------------------------------------------------------------------------------------------------------------
Present value Annualized Present value Annualized
(3%) (3%) (7%) (7%)
----------------------------------------------------------------------------------------------------------------
Benefits........................................ $199.2 $23.4 $144.1 $20.5
Costs........................................... 179.8 21.1 139.0 19.8
Cost Savings.................................... 3.1 0.4 2.2 0.3
Net Benefits (includes mitigation benefits, but 22.5 2.6 7.3 1.0
excludes mitigation costs).....................
----------------------------------------------------------------------------------------------------------------
Table notes: The sum of the individual items may not equal totals due to rounding. Estimates are provided at
three and seven percent discount rates per Office of Management and Budget (OMB) guidance.
[[Page 11646]]
II. Background
A. Authority for This Rulemaking
The FAA's authority to issue rules on aviation safety is found in
Title 49 of the United States Code. This rulemaking is promulgated
under the authority described in: (a) 49 U.S.C. 44702, which authorizes
the Administrator to issue airport operating certificates; (b) 49
U.S.C. 44706, which authorizes the Administrator to (i) issue an AOC to
a person desiring to operate an airport if the person properly and
adequately is equipped and able to operate safely; and (ii) include in
such AOC all necessary terms to ensure safety in air transportation;
and (c) 49 U.S.C. 44701, which requires the Administrator to--among
other things--promote safety, prescribe minimum safety standards, and
carry out functions that best tend to reduce or eliminate the
possibility or recurrence of accidents in air transportation. This
regulation is within the scope of the aforementioned authorities
because it requires certain certificated airports to develop and
maintain a SMS to improve the safety of operations conducted at such
airports. The development and implementation of SMS ensures safety in
air transportation by helping airports proactively identify and
mitigate safety hazards, thereby reducing the possibility or recurrence
of accidents in air transportation.
B. Statement of the Problem
The FAA has determined that there are unmitigated risks and safety
gaps in the airport environment necessitating a systems approach to
improve safety at part 139 certificated airports. The goal of this rule
is to improve the safety of the airfield environment (including
movement and non-movement areas). The FAA intends to evolve the current
part 139 compliance program into a proactive, and ultimately predictive
approach using the structured discipline of SMS principles.
The increasing demands on the U.S. air transportation system,
including additional air traffic and surface operations, and airport
construction, present a potential increased presence of operational
hazards in the airfield environment. However, many accidents and
incidents that may be mitigated under SMS may not be shared outside the
organization, especially in regards to the non-movement area, thus
limiting FAA's insight into the breadth or scale of near-miss and other
types of potentially hazardous incidents. While the FAA's use of
prescriptive regulations and technical operating standards has been
effective, such regulations may leave gaps best addressed through
improved management practices. As the certificate holder best
understands its own operating environment, it is in the best position
to address many of its own safety issues. A SMS may provide an airport
with the capacity to anticipate and address safety issues before they
lead to an incident or accident.
C. Related Actions
In 2015, the FAA issued a final rule requiring 14 CFR part 119
certificate holders authorized to conduct operations under 14 CFR part
121 to develop and implement a SMS (see 14 CFR part 5, Safety
Management Systems).\9\ The part 5 rule established a general framework
and minimum requirements for designing and implementing SMS and allowed
air carriers to adapt the SMS to ensure it appropriately dealt with the
size, scope, and complexity of their part 121 operations. Additionally,
under FAA Order 8000.369, the FAA uses SMS internally in offices such
as Airports, Air Traffic Organization, Aviation Safety, Security and
Hazardous Materials, Next Generation Air Transportation, and Commercial
Space Transportation.
---------------------------------------------------------------------------
\9\ Part 119 refers to the Certification of Air Carriers and
Commercial Operators. Part 121 refers to Operating Requirements for
Domestic, Flag, and Supplemental operations. Operations that occur
under part 121 with a part 119 certificate are scheduled commercial
air carrier operations. On January 8, 2015, the FAA published the
Safety Management Systems for Domestic, Flag, and Supplemental
Operations Certificate Holders final rule requiring operators
authorized to conduct operations under part 121 to develop and
implement a SMS. The rule added a new part 5 to Title 14 of the CFR,
creating the set of requirements for SMS that a part 121 certificate
holder must meet. The rule also modified part 119 to specify
applicability and implementation of the new SMS framework. Part 119
refers to the certification of part 121 air carriers and commercial
operators. Part 121 air carriers are regularly scheduled air
carriers and are generally large, U.S.-based airlines, regional air
carriers, and all cargo operators.
---------------------------------------------------------------------------
As of the effective date of this final rule, part 5 applies to part
119 certificate holders authorized to conduct operations in accordance
with part 121. The FAA acknowledges, however, that the applicability of
part 5 may be expanded in the future, which could impact this final
rule by allowing greater coordination between part 139 certificate
holders and tenants through increased use of data sharing and reporting
plans (as discussed later).
This final rule targets part 139 certificated airport operators. It
follows a similar framework and harmonizes definitions and requirements
with the SMS requirements established under part 5 SMS, when and if
appropriate. Nonetheless, this final rule recognizes that there might
be differences in SMS requirements depending on the scope and
complexity of the operations and types of regulated parties subject to
14 CFR. For example, the FAA recognizes that an airport operation is
inherently different from the operation of an air carrier and that the
vast majority of part 139 certificate holders are public entities
(owned and/or operated by a State or local government or a department,
agency, special purpose district, political subdivision, or other
instrumentality of a State or local government) rather than private
entities like those operating as part 121 air carriers. The revised
definition proposed in the SNPRM, and adopted in this final rule of an
accountable executive eliminates the substantive differences between
the part 121 and part 139 definitions, and clarifies that the
accountable executive should not be personally liable to the FAA
through certificate action or civil penalty. Thus, in the interest of
safety, harmonization is not feasible in all instances and differences
in the SMS framework, definitions, and requirements are warranted to
best deal with the types and varying degrees of operation of the part
139 certificate holders subject to SMS.
This final rule imposes a SMS requirement on certain airports
certificated under part 139. It does not impose any additional SMS
requirement on part 119 certificate holders, nor does it expand,
revise, or amend the provisions, requirements, or responsibilities
established in part 5. A Part 139 airport may choose to update its
contractual agreements with applicable tenants. However, in most cases,
airport operators have additional means to direct critical safety
actions through other controlling documents including airport rules and
regulations or minimum standards. Usually, contractual agreements with
tenants point to, or incorporate by reference, those other documents to
allow for more timely implementation of procedures and actions without
the need for changes to the agreement. While the final rule does not
impose additional SMS requirements on tenants, it is plausible that to
achieve its own SMS requirements under part 139, an airport will use
these controlling documents to extend certain SMS requirements onto
part 119 certificate holders or other tenants.
For the purposes of this final rule, the terms ``certificate
holder'' (when used without part 139 before) and ``operator'' refer to
any entity holding an AOC under part 139. The term ``tenant'' refers
[[Page 11647]]
to any person or entity occupying space or property under a lease or
other agreement (such as an air carrier or maintenance repair and
overhaul company) that does business at the airport.
D. National Transportation Safety Board (NTSB) Recommendations
The NTSB has recommended SMS as a means to prevent future accidents
and improve safety in air transportation. The NTSB has cited
organizational factors contributing to aviation accidents and has
recommended SMS for several sectors of the aviation industry, including
aircraft operators and aerodromes (airports). The FAA agrees with the
NTSB, concluding the organizational factors and benefits of SMS apply
across the aviation industry, including airports.
NTSB submitted comments to the SNPRM concurring with the FAA's
``proposal that implementation of SMS at airports is warranted and that
SMS should apply to the entire airfield environment, including non-
movement areas.'' \10\ NTSB approved of the FAA's proposal to include
non-movement areas by stating: ``[they] have investigated accidents
that clearly demonstrate that the potential for significant events is
not limited to only the movement areas.''
---------------------------------------------------------------------------
\10\ National Transportation Safety Board response to SNPRM,
September 6th, 2016, Docket Number FAA-2010-0997-0179, Christopher
A. Hart, Chairman, page 2.
---------------------------------------------------------------------------
E. International Movement Toward SMS
ICAO's Annex 19--Safety Management document establishes a framework
for member States to develop and implement SMS requirements. State
Safety Programs, as implemented by member States, require SMS for the
management of safety risk. Many member States, including the U.S.,
started developing and implementing in-country SMS requirements after
Annex 19 became applicable in November 2013 (amended Annex 19
applicable November 2019). ICAO requires SMS requirements for
international commercial air transportation, international general
aviation, design and manufacturing, maintenance, air traffic services,
training organizations, and certified aerodromes. It is FAA policy to
comply with ICAO standards to the maximum extent practicable. This rule
would further align U.S. safety management system requirements for
airports with international standards, which are recognized and
followed by many international product and service providers also
complying with ICAO Standards and Recommended Practices.
F. Summary of the NPRM and SNPRM
On October 7, 2010, the FAA published in the Federal Register a
notice of proposed rulemaking (NPRM) titled ``Safety Management System
for Certificated Airports'' (75 FR 62008). The NPRM proposed to require
all part 139 certificate holders to establish a SMS for the entire
airfield environment, including movement and non-movement areas, to
improve safety at airports hosting air carrier operations.
While reviewing the comments received in response to the NPRM, the
FAA began to re-evaluate whether requiring a SMS at all part 139
certificated airports was the appropriate approach. As part of the re-
evaluation, the FAA assessed various combinations of criteria that
could trigger the requirement to implement the SMS rule and to maximize
safety benefits in the least burdensome manner.
On July 14, 2016, the FAA published a supplemental notice of
proposed rulemaking (SNPRM) titled ``Safety Management System for
Certificated Airports'' (81 FR 45872). The SNPRM proposed creating
triggers for SMS and proposed the FAA's preferred alternative to impose
a SMS requirement on airports that (a) are large, medium, or small
hubs; (b) serve international air traffic; or (c) have more than
100,000 total annual operations. The FAA also revised the proposed
implementation schedule to extend the implementation period from 18
months to 24 months and requires the submission of an Implementation
Plan within 12 months (instead of 6 months) from the effective date of
the rule. The SNPRM clarified the training requirements and revised
certain definitions to ensure consistency--when deemed appropriate--
among various FAA SMS initiatives. The SNPRM comment period closed on
September 12, 2016.
In 2021, the FAA decided to reopen the comment period in order to
solicit comments on any new information or data generated since the
close of the 2016 comment period. The FAA was aware of many airports
that had voluntarily implemented SMS since 2016 that might provide
additional insight to the SNPRM. The FAA also took into account the
Covid-19 pandemic and the five years that had elapsed since the close
of the 2016 comment period, and determined that these factors taken
together warranted reopening the comment period. Accordingly, the FAA
reopened the comment period for the SNPRM, published at 81 FR 45872,
for 30 days. When the FAA reopened the comment period, the agency
stated that the most helpful comments would: provide only data and
information that was not previously submitted to the rulemaking docket;
reference a specific portion of the proposal; and explain the reason
for any recommended change, including supporting data. The reopened
SNPRM comment period closed on September 23, 2021.
G. General Overview of Comments
The FAA received submissions from commenters in 2016 and 2021 in
response to the SNPRM. The FAA received comments from 38 commenters
during the 2016 comment period, and 17 commenters during the comment
period that it reopened in 2021. In general, the 2021 comments were
similar to the 2016 comments, and were from many of the same commenters
that commented during the 2016 comment period. This preamble identifies
comments that were received in 2021 and comments that were received in
both 2016 and 2021 by indicating the year the comment was received. Any
comments for which the preamble does not note a year were received in
2016.
Although most commenters were certificate holders, some were air
carriers, consultants, academics, and individuals. The following
industry associations submitted comments: Airlines for America (A4A),
Airports Council International-North America (ACI-NA), American
Association of Airport Executives (AAAE), Helicopter Association
International (HAI), and the National Business Aviation Association
(NBAA). The comments addressed the following areas of the proposal:
Applicability;
Implementation;
Non-movement area;
Data protection;
Safety reporting and interoperability;
Training and orientation;
Accountable executive;
Definitions; and
Miscellaneous topics.
III. Discussion of Public Comments and Final Rule
A. Applicability
(1) General Applicability
The majority of airport and industry commenters submitted comments
about the FAA's preferred alternative for the applicability of the
rule. Instead of applying the SMS rule to all certificated airports,
the SNPRM amended the proposed applicability to cover only certificate
holders identified as (a) large,
[[Page 11648]]
medium, or small hubs; (b) having more than 100,000 total annual
operations; or (c) having international services (triggers (a) through
(c) are hereinafter referred to collectively as, the ``preferred
alternative'').
Most commenters generally supported the use of the hub
classification as a trigger for the applicability of this final rule.
However, smaller airports and industry associations questioned the
operational and international triggers.
One commenter disagreed with the FAA's revised approach, instead
suggesting the FAA require SMS for all certificated airports, as
proposed in the NPRM. The commenter believed that applying SMS to a
select number of airports could create two levels of safety for
airports. The FAA disagrees. The FAA has determined that its approach
achieves the most safety benefits in the least burdensome manner, while
also strengthening its alignment with international standards.
Consistent with other provisions of part 139, this approach relieves
relatively small airports from compliance costs when the safety
benefits are lower. These small airports have the opportunity to
voluntarily implement a SMS, if they believe it is beneficial to their
operations.
The FAA continues to encourage airports not certificated under part
139 and part 139 certificate holders that are not subject to this final
rule to voluntarily implement SMS and has made Federal funding
available for SMS Manuals and Implementation Plan development.
Commenters also proposed alternate frameworks for SMS
applicability. For example, some commenters suggested SMS be required
on a case-by-case basis. The FAA disagrees with these suggestions
because these alternative frameworks would generally cause ambiguity as
to when a certificate holder would be required to comply with the SMS
requirements. In the case-by-case example referenced above, suggested
application of SMS may be regarded as a punitive measure FAA could use
to address a certificate holder failing to comply with part 139
requirements. The perception of using SMS as an enforcement tool,
contradicts the non-punitive, safety culture critical to a SMS. The
FAA's actual intent is for SMS to serve as a risk-based tool targeting
highest-risk areas. A case-by-case approach would also be highly
subjective because of the unique conditions of each non-compliance
issue.
Another commenter suggested that the FAA exclude airports holding a
Class IV AOC from the preferred alternative. A Class IV airport is an
airport certificated to serve unscheduled passenger operations of large
air carrier aircraft. A Class IV airport cannot serve scheduled large
or small air carrier aircraft. The FAA disagrees that Class IV airports
should be completely excluded, as they serve air carrier aircraft. If a
Class IV airport meets one of the triggers because it could serve a
large number of air carrier \11\ operations or host international
operations, it meets the standard identified through the risk-based
approach. As discussed later, if a Class IV airport is only identified
under the international trigger, the certificate holder may obtain a
waiver from the SMS requirements if it meets all of the conditions
established in Sec. 139.401(d).
---------------------------------------------------------------------------
\11\ See Sec. 139.5, definition of large air carrier aircraft.
---------------------------------------------------------------------------
One comment received during the 2021 comment period recommended
allowing for a single SMS for use in multi-airports systems. The FAA
agrees with this recommendation, and notes that the regulations allow
this use, provided that each airport can still meet the requirements of
this final rule.
Finally, one commenter observed the preferred alternative could
result in certain airports used by air carriers as alternate or
emergency airports not being subject to the SMS requirement. This
observation is correct: airports designated as an alternate airport are
subject to part 139 requirements only if they fulfill one of the
triggers.
(2) Triggers
(i) Hub trigger: In the SNPRM, the FAA proposed using data from the
National Plan of Integrated Airport Systems (NPIAS) to identify which
certificate holders would qualify under the hub trigger. One commenter
stated that there is a lag between when NPIAS data is gathered,
published, and becomes publicly available. While the commenter
requested the FAA use a different data source to determine hub
applicability, it also asked the FAA to report SMS applicability within
the biennial NPIAS Report to Congress. The FAA partially agrees with
these requests. The FAA will use the annually updated Enplanements at
All Airports (Primary, Non-primary Commercial Service, and General
Aviation) by State and Airport data available on FAA.gov to determine
hub applicability. The FAA pulls this data from the Air Carrier
Activity Information System (ACAIS), an FAA database containing data
reported by the air carriers to the U.S. Department of Transportation,
Bureau of Transportation Statistics. The FAA has used ACAIS since the
1980s to categorize airports based on enplanements and determine
entitlement funding under the Airport Improvement Program. The FAA
shares this data with airports annually and uses it to inform the NPIAS
report. The FAA does not plan to add information about SMS
applicability to the NPIAS (e.g., adding a column/field to indicate
whether the airport is required to implement SMS) as inconsistencies
might exist due to a reporting lag. Instead, the FAA will maintain a
separate list of airports required to implement SMS on our public
website, FAA.gov.
(ii) Operations trigger: In the SNPRM, the FAA proposed using
operational data submitted through FAA Form 5010-1, Airport Master
Record. To determine which airports would be subject to the SMS
requirement under this trigger, the FAA used a ``snapshot'' approach,
gathering operational data reported in the system on August 1, 2012.
Commenters requested changes to either the operations trigger or the
source data. Commenters also expressed concerns about the FAA's
snapshot approach, explaining that multiple factors could cause airport
operations to vary on a yearly basis, causing an airport to exceed
100,000 operations for a particular year but fall below the trigger
threshold in the preceding or following years.
The FAA agrees with commenters' concerns about the snapshot
approach. Therefore, the FAA will use a 3-year rolling average to
determine applicability under the operations trigger.
Accordingly, this final rule retains the operations trigger with
minor modifications. This final rule will not use FAA Form 5010-1 as
the sole source of data used to determine who qualifies under the
operations trigger. Instead, the FAA will use the following: (a)
traffic counts reported by the Air Traffic Control Tower through FAA
Operations Network (OpsNet) for airports with FAA or contract towers;
(b) FAA Form 5010-1 data for non-towered airports; or c) other FAA-
validated counting systems. Historical OpsNet data is publicly
available through FAA.gov.
Lastly, the final rule adds a clause to Sec. 139.401(a)(2) to
clarify that operations for the purposes of this trigger mean the sum
of all arrivals and departures. This addition does not change the
meaning of operations as it is used in the context of the operations
trigger and as it was proposed in the SNPRM, but merely provides
additional clarity.
(iii) International trigger: In the SNPRM, the FAA proposed
requiring SMS at all airports with international
[[Page 11649]]
services, specifically: (a) those identified as a port of entry (under
19 CFR 101.3), (b) designated international airports (under 19 CFR
122.13), (c) landing rights airports (under 19 CFR 122.14), or (d) user
fee airports (under 19 CFR 122.15). Seven commenters expressed general
concern that small airports with Customs and Border Protection (CBP)
facilities accommodating international general aviation traffic, not
scheduled air carrier operations, are unnecessarily included in the
international trigger. Several commenters recommended that the FAA
should only require airports with scheduled international service to
have SMS. In 2021, commenters reiterated concerns about the SMS
requirements that would apply to airports under this particular
trigger.
The FAA requested comments on alternate methods for identifying
international airports, since the FAA no longer maintains Advisory
Circular 150/5000-5, Designated U.S. International Airports.
Commenters had mixed responses to the Agency's use of CBP's Guide
for Private Flyers list. Many requested the FAA not use the list
because it is outdated and is not hosted by the Agency. One commenter
recommended the FAA modify FAA Form 5010-1 to include a new field for
certificate holders to self-report the availability of international
services. Some commenters requested the FAA establish a joint
government/industry task force to assess the accuracy of CBP's lists
and develop another method to identify international status, which
could include self-reporting by airports.
The FAA also agrees with commenters' concerns about the data source
for international applicability. It does not appear that any one data
source document contains the most up-to-date list of airports with
international services. Therefore, this final rule removes reference to
CBP regulations. Instead, the FAA will use appropriate available
sources of data to determine applicability under this trigger. In
addition to CBP regulations, the Agency will use CBP website
information and the private flyers list of available airports. The
combined use of these lists provides a more comprehensive source of
information to determine which airports host international services.
The FAA determined that it is unnecessary to establish a joint
government/industry task force to develop this information since it is
available directly from CBP. The FAA will defer to the expert agency
and will not question the accuracy, data gathering systems, analysis,
or processes of CBP. As previously stated, the FAA intends to maintain
the master list of qualified airports. The FAA determined that it is
unnecessary to note this applicability in other lists such as the FAA
Form 5010-1 database or the NPIAS because doing so could lead to
inconsistent data due to potential reporting lags.
The FAA also agrees with comments submitted in 2016 and 2021 that
the intent of the international trigger is not to impose a burdensome
regulation on certificate holders with international service
capabilities aimed exclusively at general aviation traffic. Thus, the
FAA incorporated a provision into this final rule allowing airports
hosting international services exclusively for general aviation traffic
to obtain a waiver from the SMS requirement. An airport may obtain a
waiver as long as there is no tenant at the airport that is required to
comply with a SMS requirement imposed by any applicable law or
regulation of its country of origin (i.e., the jurisdiction that issued
the operator's air carrier certificate, air operator certificate, or
equivalent) or any other applicable governing jurisdiction.\12\ To
obtain a waiver, a certificate holder must submit a formal, written
request to the appropriate FAA Regional Airports Division Manager
justifying its waiver request, pursuant to Sec. 139.401(d). As
discussed later in the preamble, FAA estimates that approximately 74
airports would meet this provision and be eligible to apply for a
waiver.
---------------------------------------------------------------------------
\12\ If an airport has any tenant required to implement a SMS
pursuant to any foreign law or regulation, such foreign jurisdiction
could prevent the tenant from operating into, or out of, a U.S.
airport that does not have a SMS.
---------------------------------------------------------------------------
The FAA recognizes that an airport's status could change based on
the turnover of tenants conducting business at any given moment. For
certificate holders granted a waiver, this final rule (Sec.
139.401(d)) requires the certificate holder to report to the FAA
whether it has had any change in international air carrier service that
affects the applicability of part 139 SMS requirements every 2 years.
The FAA also received comments in 2016 and 2021 alleging the
framework did not comply with ICAO standards. The FAA concludes that
ICAO Annex 14 identifies standards and recommended practices that
address certificated airports with international air carrier service.
This final rule's international trigger framework is consistent with
the overarching intent of the international standards.
(3) Authority To Implement Triggers
Several commenters asserted that the FAA does not have sufficient
authority to implement the proposed triggers. As stated in the SNPRM,
the FAA has sufficient statutory authority under Title 49 of the United
States Code, Subtitle VII, part A, subpart III, section 44706,
``Airport operating certificates,'' as well as section 44701, ``General
requirements,'' and section 44702, ``Issuance of certificates,'' to
require SMS at any certificated airport--including those identified as
having international services.
(4) Annual Review of Applicability
The FAA was asked to clarify: (a) the timeline and process for
reviewing the final rule's applicability to an airport; (b) how the FAA
will review each airport's status including when the review will occur;
and (c) how much time a newly identified airport would have to comply
with this final rule.
The FAA plans to conduct its annual applicability review at the end
of each calendar year after this final rule becomes effective. After
each annual review, the FAA will post a list of qualifying airports on
FAA.gov and send airports that qualify due to a status change a letter
notifying them of their qualification.
This final rule requires a newly qualified airport to submit its
Implementation Plan within 18 months from notification of qualification
by the FAA (see Sec. 139.403(a)(4)). After the FAA approves the
Implementation Plan, the certificate holder has 12 months to submit its
SMS Manual and/or ACM update and 36 months to fully implement SMS.
For an airport that initially qualified under any of the triggers
but no longer qualifies due to a status change, the certificate holder
will be required under Sec. 139.401(h) to continue to develop,
implement, maintain, and adhere to the SMS for the longest of either 24
consecutive calendar months after full implementation; or 24
consecutive calendar months from the date it no longer qualifies under
Sec. 139.401(a). Additionally, some airports may cross the threshold
of the 100,000 operations criteria from one year to the next. The 24
consecutive calendar months ensure greater continuity and
predictability in the airport's SMS. The FAA determined 24 calendar
months was the minimum time that would be necessary to accurately
validate the withdrawal of the triggering requirements. FAA believes a
period beyond 24 consecutive calendar months would be overly burdensome
to airport operators.
[[Page 11650]]
If at any time during the application process for an AOC, an
airport operator becomes subject to this final rule under any of the
triggers identified in Sec. 139.401(a), then the FAA expects that such
airport operator will develop a SMS simultaneously with the development
of its certification program. The FAA does not expect the
Implementation Plan requirement for airport operators seeking an AOC
under Sec. 139.103 to create an additional burden because the FAA
anticipates that the process will occur simultaneously with the
certification process.
B. Implementation
Nearly every commenter from both 2016 and 2021, including
certificate holders, industry associations, and consultants, commented
on the FAA's proposed timeline for submission of the certificate
holder's Implementation Plan, SMS Manual, ACM update, and full
implementation. While most agreed the amended proposal for submitting
the Implementation Plan and SMS Manual was acceptable, none thought a
certificate holder could be fully implemented within 2 years.
Commenters from the 2021 comment period requested further clarity on
how the final rule would affect existing SMS programs. The final rule
supplemental guidance incorporates more detail for airports
implementing an existing SMS into their part 139 compliance program.
(1) Phased Implementation
In the SNPRM, the FAA addressed comments to the NPRM requesting the
FAA mandate a phased approach to implementation. This would entail
setting different regulatory timelines for implementation based upon,
for example, each SMS component, or requiring the implementation of the
SMS in the movement area prior to non-movement areas. As explained in
the SNPRM, to facilitate maximum flexibility and scalability, the FAA
did not propose a one-size-fits-all implementation approach. A
certificate holder is granted flexibility in structuring and fine-
tuning its Implementation Plan to best fit its operations and
capabilities. Certificate holders are therefore able to phase
implementation, either by SMS component or by movement versus non-
movement area, as long as they fully implement SMS by the required
deadline.
During both the 2016 and 2021 comment periods, commenters
reiterated previous comments to the NPRM asking the FAA to require a
phased approach and permit more time for implementation.
The FAA maintains that it will not require airports to use a phased
approach. This final rule is performance-based and allows flexibility
in how the certificate holder implements SMS within the required
deadlines. A certificate holder could choose to phase its
implementation, as long as that phasing occurs within the full
implementation deadline. The FAA addresses potential phasing options
and considerations in the related AC, which takes into account
experiences from pilot studies and other implementing countries. The AC
is a guidance document and the FAA stresses that certificate holders
may choose to pursue a phased approach--or not--and to structure their
implementation to best fit their operations, needs, and capabilities.
The FAA also acknowledges that safety assurance processes and
procedures, including program evaluation and auditing, would require
experience under the SMS to be meaningful. By the deadline for full
implementation, the FAA expects a certificate holder to identify those
safety assurance processes and procedures and a timeline for rolling
out those activities identified in the SMS Manual or ACM; not actually
apply those practices prior to full implementation.
(2) Staggered Implementation
In addition to requesting a phased implementation, numerous
commenters requested the FAA impose a staggered approach to
implementation. The meaning and scope of ``staggered'' varied per
commenter, but commenters focused on staggering by size and complexity
of airport operations, by applicability triggers, or based on airport
human and financial resources.
The FAA agrees that a staggered approach will benefit industry
implementation as well as FAA review and oversight. Therefore, this
final rule staggers rollout of document submission and implementation
requirements based on the applicability triggers. This approach
conforms to commenters' requests to implement a staggered approach
based on size and complexity of the airport's operation. By being the
last to implement, smaller, less complex operations gain the ability to
learn and seek advice from larger, more complex airports that already
underwent the process. They will also have more time to identify
resources and program appropriate funding, where needed.
(3) FAA Review of Documents
The majority of commenters requested the FAA provide a detailed
timeline for FAA review, and approval or acceptance, of the certificate
holder's Implementation Plan and SMS Manual/ACM update. Several
commenters specifically requested that this final rule include
regulatory text imposing deadlines for FAA review. Commenters also
requested the FAA conclude that if a certificate holder receives no
feedback from the FAA Regional staff within a certain number of days
after document submission (e.g., 60 or 90), then the Implementation
Plan or SMS Manual should be deemed approved or accepted.
Lastly, the FAA was asked to explain whether it expects a
certificate holder who has already voluntarily implemented (or begun
implementation of) a SMS to submit an Implementation Plan. The
commenter suggested these airports conduct a gap analysis to determine
gaps between their established programs and this final rule and submit
a letter to the FAA summarizing those gaps.
The FAA acknowledges the importance of approval of the
Implementation Plan to full SMS implementation. Therefore, the
deadlines for submission of the SMS Manual and/or ACM update and full
implementation dates are calculated based on the FAA's approval of the
Implementation Plan, rather than the effective date of this final rule.
This approach is similar to the one used in part 5, except that it does
not provide an absolute deadline by which the FAA must approve each
Implementation Plan.
On average, the FAA estimates it will take an inspector 60 days to
review an Implementation Plan and 90 days to review a SMS Manual and/or
ACM update. The FAA deems these estimates reasonable and achievable
under the staggered implementation approach. FAA Regional inspectors
will work closely with their team leads, managers, and Headquarters
liaisons should any problem or question arise about the submission or
review process. Furthermore, the change to how the deadlines are
calculated (i.e., based on the Implementation Plan approval date)
allows for more communication between the inspector and certificate
holder, should changes be required.
The FAA intends to leverage existing long-standing processes,
whereby the FAA Regional inspectors work closely with the airport
operator to review and approve submitted changes to their ACM. These
processes are typically explained in FAA Orders, which are publicly
available documents. FAA Order 5280.5, ``Airport Certification Program
Handbook,'' will provide inspectors with guidance on how to
[[Page 11651]]
review, approve, and accept document submissions, and also inspect SMS
implementation. Part 139 does not include a process for certificate
holders to resolve disapproval of changes to their ACM, and the FAA has
not added such a process in this final rule.\13\ The ACM review
processes have historically been successful under the part 139 program.
---------------------------------------------------------------------------
\13\ The FAA notes that part 5 also does not detail resolution
of disapproval or non-acceptance.
---------------------------------------------------------------------------
The FAA developed a standardized Implementation Plan template in AC
150/5200-37A and has updated the material along with this final rule.
Certificate holders are not required to use the template but are
encouraged to do so to simplify and expedite FAA review and approval.
A certificate holder is not required to submit changes to its
approved Implementation Plan. As discussed in the SNPRM, the
Implementation Plan serves as a tool to help certificate holders
develop and implement the various components and elements of SMS within
the prescribed and/or approved deadlines. Once approved, the FAA
expects the certificate holder to make necessary adjustments to ensure
compliance with the prescribed deadlines.
Airports that have already voluntarily implemented SMS also must
provide an Implementation Plan detailing how they will comply with this
final rule. The FAA has determined that the Implementation Plan
requirements are scalable, flexible and not overly burdensome. The
certificate holder could use the AC guidance material and template to
identify whether it has already completed the elements required under
this final rule to assess any gaps between the final rule and its
existing programs. Certificate holders may use an existing gap analysis
as the basis for their Implementation Plan. However, the FAA would not
accept a gap analysis alone, in lieu of the Implementation Plan.
(4) Timeline for Document Submission and Full Implementation
The SNPRM proposed an amended schedule for submission of a
certificate holder's-Implementation Plan (12 months after the rule's
effective date) and the SMS Manual and/or ACM update (24 months after
the rule's effective date). The SNPRM implied that full implementation
would be completed as of the date the SMS Manual was submitted. Most
commenters agreed the amount of time proposed for submitting the
Implementation Plan and SMS Manual was acceptable. However, many
commenters from the 2016 and 2021 comment periods believed that full
implementation was unachievable within 2 years. Numerous comments
supported ICAO's model allowing 3 years for full implementation, while
others supported alternate timelines ranging from 3 to 8 years. One
commenter during the 2021 comment period argued that the implementation
period of 2 years was too long. Commenters during both the 2016 and
2021 comment periods stated that by extending the timeline for full
implementation, certificate holders would have more time to (a) amend
existing tenant leases in non-movement areas, and change applicable
leaseholds, contracts, policies and procedures; (b) work with State
legislatures to protect SMS-related data; (c) implement based on FAA
review and approval of the Implementation Plan; (d) effectively manage
the number of hazards reported; (e) garner support and buy-in, hold
partnering sessions with all stakeholders, and ensure that the written
program will be positively received and accepted upon implementation;
and (f) obtain local, state, or Federal funding to meet SMS
requirements (e.g., to obtain consultant services, acquire software
systems, etc.). One commenter from the 2021 comment period recommended
that the FAA reconsider its submittal timelines for SMS Implementation
Plans and Manuals/ACM SMS sections.
The FAA agrees it is appropriate to increase the time allotted for
full implementation. Thus, under this final rule, certificate holders
qualifying under the hub trigger must be fully implemented
approximately 4 years from the effective date of this final rule, plus
any additional time that is required for FAA approval of the
Implementation Plan. Because the FAA is using a staggered approach to
submission of the Implementation Plan, certificate holders qualifying
under the operations trigger have over 4.5 years and those qualifying
under the international trigger have over 5 years to fully implement
from this final rule's effective date.
Table 3 depicts the timeline for submission of the Implementation
Plan, SMS Manual and/or ACM update, and full implementation based on a
trigger. It also provides an estimated full implementation date based
on a 60-day FAA review and approval of the Implementation Plan. The
only documents required for submission are the Implementation Plan and
SMS Manual and/or ACM update.
During the 2021 comment period, the FAA received several comments
urging the FAA to reconsider SMS rulemaking and required implementation
at this time due to the economic impact airports are facing as a result
of the COVID-19 pandemic. The FAA recognizes the pandemic's impact on
many airports; however, this rule's triggering criteria in Sec.
139.401(a) account for factors that influence the triggers, such as the
COVID-19 pandemic. The final rule also includes an implementation
schedule based on the trigger and continues to be scalable and flexible
to accommodate changes in airport operations. As previously addressed,
Federal funding is also available for SMS Manuals and Implementation
Plan development.
Table 3--Timeline for Submission of the Implementation Plan, SMS Manual and/or ACM Update, and Full
Implementation Based on Trigger
----------------------------------------------------------------------------------------------------------------
Submit implementation Submit SMS Manual and/
Triggers plan or ACM update Fully implement *
----------------------------------------------------------------------------------------------------------------
Large, medium, and small hubs....... 12 months from 12 months from date on 36 months from the date
effective date. which the FAA approves on which the FAA
the Implementation approves the
Plan. Implementation Plan.
+100,000 average annual operations.. 18 months from 12 months from date on 36 months from the date
effective date. which the FAA approves on which the FAA
the Implementation approves the
Plan. Implementation Plan.
International airports.............. 24 months from 12 months from date on 36 months from the date
effective date. which the FAA approves on which the FAA
the Implementation approves the
Plan. Implementation Plan.
----------------------------------------------------------------------------------------------------------------
*Approximate dates assume 60-day FAA review of Implementation Plan.
[[Page 11652]]
(5) Timeline for New Airports Qualifying After the Effective Date of
This Final Rule, or Due to Changes in Status
In the SNPRM, the FAA discussed SMS requirements imposed on: (a)
airports that were subject to the rule at the time of the effective
date of this final rule, and (b) airport operators requesting an AOC
(newly certificated airports) after the effective date of this final
rule. The FAA failed to address certain circumstances that could arise
after the effective date of this final rule; particularly, when a
certificate holder could become subject to, or no longer subject to,
the requirements of this final rule due to a change in its hub,
operations, or international status. In these instances, two commenters
requested clarification of the timelines for submission of
Implementation Plans, SMS Manuals and/or ACM updates, and full
implementation.
As further discussed in section A, ``Applicability,'' this final
rule addresses these circumstances and requires the certificate holder
to: (a) submit an Implementation Plan within 18 months of notification
of qualification by the FAA; (b) submit a SMS Manual and/or ACM update
within 12 months of Implementation Plan approval; and (c) fully
implement a SMS within 36 months of Implementation Plan approval. This
final rule also addresses circumstances in which a certificate holder
no longer meets any of the qualification triggers. Section 139.401(h)
requires the certificate holder to continue to develop, implement,
maintain, and adhere to its SMS for the longest of either twenty-four
consecutive calendar months after full implementation; or twenty-four
consecutive calendar months from the date it no longer qualifies under
Sec. 139.401(a). For illustration purposes only, assume a certificated
airport qualified only under the international trigger due to the
presence of a part 129 international carrier. If the international air
carrier ceases operations at the airport, and if there are no other
commercial international operations, then the airport no longer will be
subject to the SMS requirements, but Sec. 139.401(h) requires the
airport to continue to develop, implement, maintain, and adhere to its
SMS for the longest of either twenty-four consecutive calendar months
after full implementation; or twenty-four consecutive calendar months
from the date it no longer qualifies under Sec. 139.401(a). Some
airports may cross the threshold of the international flights criteria
frequently. The FAA determined twenty-four calendar months was the
minimum time that would be necessary to accurately validate the
withdrawal of the triggering requirements. FAA believes a period beyond
twenty-four consecutive calendar months would be overly burdensome to
airport operators.
C. Non-Movement Area
The FAA believes it is essential that SMS regulatory requirements
apply to non-movement areas through part 139 because. . . . We received
comments during the 2016 and 2021 comment periods from numerous
entities, including associations, certificate holders, and air
carriers, on the proposed application of SMS to non-movement areas.
Except for a few notable exceptions, most disagreed with the FAA's
proposal to include non-movement areas in an airport's SMS. Nearly all
of these commenters suggested ways--through either regulatory text or
preamble discussion--for the FAA to clarify its intentions with respect
to applicability of SMS to non-movement areas and to improve the
requirements to reflect the practicalities of airport operations.
Several of these commenters from both the 2016 and 2021 comment
periods also urged the FAA to resolve potential duplication and
conflicts between the SMS of an air carrier tenant (i.e., a part 119
certificate holder subject to part 5 SMS) and the SMS of an airport
operator for activities conducted in leased facilities located in non-
movement areas. Commenters from both comment periods suggested that
airport involvement in air carrier tenant leased areas could introduce
new risks for air carriers because the air carriers would have to
ensure compliance with different procedural mitigations at each airport
they fly into. Commenters from both comment periods also addressed
potential duplication and conflict for passenger operations in non-
movement areas. However, both airport and cargo operators indicated
that operations on cargo ramps are unique since they are managed
exclusively by cargo operators. Lastly, commenters from both comment
periods asked the FAA to exclude non-movement areas subject to
exclusive area agreements with the Transportation Security
Administration (TSA), when the certificate holders have implemented
SMS.
The FAA received and considered the following suggestions to
address the implementation in non-movement areas:
1. Make SMS implementation in non-movement areas voluntary for part
139 certificate holders;
2. Apply SMS in the non-movement areas only for ``traditional''
airport responsibilities (e.g., infrastructure condition, driving,
airport-provided or required marking and lighting, and public
protection), and let air carriers or other third parties address other
functions (e.g., pushback and towing, aircraft servicing, jet bridge
operation, and baggage/cargo handling);
3. Encourage (or require) part 139 certificate holders to implement
SMS first in the movement area and then in the non-movement areas
(phasing in areas in which the airport has complete control, areas in
which the airport shares control, and areas in which a third-party has
control);
4. Permit part 139 certificate holders to exclude SMS applicability
from areas specifically identified in the SMS Manual that are under the
control of one or more air carrier tenants with part 5 SMS;
5. Allow part 139 certificate holders to delegate their authority
to their tenants to implement SMS in certain non-movement areas where
the certificate holder can show the tenant has greater control, or
limit the role of the airport operator in such areas to that of a
``coordinator'';
6. Permit part 139 certificate holders to delegate SMS oversight
and responsibility to a designated senior official of each affected
tenant; and
7. Clarify whether the part 139 certificate holder SMS or the air
carrier tenant SMS has precedence for safety issues in non-movement
areas, subject to the SMS requirements of parts 5 and 139 (e.g., gate
operations near aircraft, ground servicing vehicles, etc.).
(1) Regulatory Authority in the Non-Movement Area
One commenter reasserted its argument--first brought forth in its
comments to the NPRM--that the FAA lacks the necessary authority to
regulate non-movement areas pursuant to 49 U.S.C. 44706. Another
commenter stated the FAA has not offered a compelling reason to
substantiate the proposed expansion of its regulatory oversight to non-
movement areas.
The FAA has broad authority under 49 U.S.C. 44702 to issue AOCs.
Under 49 U.S.C. 44706, the FAA can issue an AOC to a person desiring to
operate an airport if it finds that the certificate holder ``properly
and adequately is equipped and able to operate safely under this part
and regulations and standards prescribed under this part.''
Furthermore, 49 U.S.C. 44701(c) allows the FAA to regulate to ``reduce
or eliminate the possibility or recurrence of accidents in air
transportation.''
The FAA acknowledges that the majority of the quantified benefits
[[Page 11653]]
related to wildlife strikes are primarily occurring in the movement
area, which make up about 50 percent of benefits. However, the FAA has
identified numerous safety concerns, events, accidents, and incidents
in non-movement areas that constitute hazards and may reasonably
contribute or lead to accidents in air transportation (examples of
which are discussed both later in the preamble as well as in the
accompanying RIA). Instituting SMS in movement and non-movement areas
is consistent with the FAA's authority and safety mission, because it
provides significant benefits and contributes to the reduction or
elimination of the possibility of recurrent air transportation related
accidents.
In one example, discussed further in the RIA, an airport identified
a hazard to passengers walking on a ramp between parked aircraft and
the terminal. The airport mitigated the hazard by adding pavement
markings to guide passengers along a safe path between aircraft and the
terminal. In another example, an airport identified a trend regarding
collisions between moving aircraft wingtips or service vehicles and the
tails of stationary aircraft parked at gates. The airport mitigated the
hazard using pavement markings as a clear indicator for ramp wing-
walkers and marshallers to maintain proper clearances.
The regulatory evaluation of this final rule provides additional
examples of past events that justify the need for implementation of SMS
in non-movement areas. See Section IV, Benefits, in the regulatory
evaluation for this rule. Accidents and incidents continue to occur.
For example, during the 2-month period encompassing January and
February 2017, a large hub airport reported four damaging incidents in
the non-movement area. Two of the incidents occurred during pushback,
and all four incidents involved vehicle movements or safety personnel
required to monitor such movements. In February, May, and July 2017, a
second large hub airport (owned and operated by the same entity)
reported three more damaging incidents in the non-movement area,
similar to those experienced at the first airport.
Furthermore, as discussed in the SNPRM, and in direct support for
instituting SMS in non-movement areas, pilot studies found that it was
difficult to apply SMS concepts only to the movement area because
aircraft and airside personnel routinely flow between movement and non-
movement areas. Airport operators and/or airport owners currently have
sufficient authority to implement the training, safety reporting, and
Safety Risk Management (SRM) processes required in this final rule, as
well as to undertake the additional responsibility and burden in the
non-movement area that will result from this rule, including potential
development of new expertise in this area.
(2) Inclusion of Fuel Farms, Baggage-Makeup, and Military Areas
A commenter argued against the inclusion of fuel farms as part of
the SMS requirements. The FAA disagrees that SMS implementation in fuel
farms should be voluntary for airports. As stated in the SNPRM, fuel
farms are regulated under Sec. 139.321 as part of the certificate
holder's AOC. Therefore, it is a natural progression to implement
relevant portions of the SMS in the fuel farm environment.
Another commenter requested the FAA include baggage-makeup areas
within the definition of non-movement area. The FAA previously
responded to issues about applicability to baggage-makeup areas in both
the ``Responses to Clarifying Questions (to the NPRM)'' and the SNPRM.
The FAA continues to disagree with including baggage-makeup areas
explicitly within the definition of non-movement areas. At the majority
of airports, these areas are located in the terminal environment. The
purpose of addressing non-movement areas in SMS is to address
conditions, events, incidents, or accidents that could potentially
threaten, or harm, passenger-carrying operations, and to reduce or
eliminate the possibility of recurrence of accidents in air
transportation (as authorized by 49 U.S.C. 44701, 49 U.S.C. 44702, and
49 U.S.C. 44706). However, if a baggage-makeup area is located outside
the landside facilities--in proximity to air carrier operations--the
certificate holder would need to ensure the implementation of relevant
portions of this final rule, like awareness of the safety reporting
system for individuals working in the external baggage-makeup areas.
The ``non-movement area'' definition covers these rare instances
without explicitly identifying baggage-makeup areas.
The FAA addressed certain issues about joint-use airport facilities
in the NPRM and SNPRM. Notwithstanding, several commenters--including
various certificate holders--stated the SNPRM was unclear with respect
to non-movement areas that are under the exclusive control of the
military or other governmental entities. The FAA maintains its position
that non-movement areas under the exclusive control of military units
or other governmental agencies are excluded from the applicability of
SMS requirements. This exclusion will apply to military facilities at
joint-use airports or leased areas at joint-use airports. All such
areas must be identified in the SMS Manual and/or ACM update, and the
certificate holders should include the exclusion in any ``lease and use
agreement''--or similar legal instrument--with applicable military
units or governmental agencies. Certificate holders can--at their own
initiative--promote the voluntary inclusion of the military and
governmental bodies in SMS-related activities and programs.
(3) Inconsistency With ICAO Standard
A commenter noted that ICAO Annex 19, Appendix 2, states an
``organization's SMS should identify hazards and mitigate risks
associated with its products or services.'' It argued that an airport's
SMS should only be applicable to products or services provided by the
airport or its contractors, meaning that services provided in non-
movement areas by parties other than the airport operator would not be
covered (e.g., baggage handlers or provisioning crews). The commenter
believed the FAA's proposal is inconsistent with this international
standard and may lead to negative consequences.
The FAA does not agree with the commenter's interpretation. ``Note
2'' of Amendment 1 to ICAO's Annex 19 states: ``the service provider's
interface with other organizations can have a significant contribution
to the safety of its products or services.'' Section 2.1.1 of Appendix
2 states: ``the service provider shall develop and maintain a process
to identify hazards associated with its aviation products or
services.'' Furthermore, pursuant to section 2.1.2: ``hazard
identification shall be based on a combination of reactive and
proactive methods.''
The sections referenced above evidence and recognize the complexity
of certain operations (i.e., airport operations). The interface between
a service provider and other organizations can significantly contribute
to the safety of the service provider's products or services. Airport
operations are complex, and certain actions occurring in movement and
non-movement areas could pose a threat to the safety of aircraft and
air transportation. Airports should consider all conditions that could
pose a threat or hazard to the airport's operations, whether partly or
completely located in the movement or non-movement areas. This is not
an issue of where the hazard occurs, but if
[[Page 11654]]
it could occur. Conditions in the non-movement areas could constitute
hazards because they can foreseeably lead--or be part of a chain of
events that leads--to aircraft accidents (e.g., An aircraft taxis over
wheel chocks left on the ramp, causing damage to the aircraft's nose
wheel spray deflector. The damaged deflector prevents extension or
retraction of nose gear after takeoff, causing an emergency diversion
and nose gear-up landing.\14\
---------------------------------------------------------------------------
\14\ Ref. https://www.asias.faa.gov/apex/f?p=100:17:::NO::AP_BRIEF_RPT_VAR:CHI01FA270.
---------------------------------------------------------------------------
Based on the above, and on the FAA's authority to regulate the non-
movement area pursuant to 49 U.S.C. 44701, 44702, and 44706, the FAA
determined the regulation of the non-movement area for SMS purposes is
consistent with ICAO standards.
(4) Air Carrier Operations in Non-Movement Areas
Commenters that commented during both the 2016 and 2021 comment
periods were confused about the applicability of SMS regulatory
requirements in non-movement areas. Some air carriers and airport
operators believed the SMS requirements proposed in the SNPRM would
duplicate requirements already imposed on air carriers through part 5.
These entities believed the part 139 final rule should exclude non-
movement areas under the exclusive control of air carriers since they
are already covered through the air carrier's SMS.
The part 5 final rule limited the FAA's oversight of the air
carrier's SMS to aviation activities conducted under part 121. The FAA
acknowledged in the preamble of the part 5 final rule that some air
carriers may opt to extend their SMS to other aviation and non-
aviation-related activities. The FAA clarified that it would only
conduct oversight of SMS activities related to aviation operations that
the air carriers conduct under part 121. Many air carriers have
voluntarily extended their SMS to include ramp operations, but these
programs are not required to comply with part 5, nor are they inspected
by the FAA.
The part 5 final rule also narrowed the definition of the term
``hazard'' to ensure consistency with the NTSB's definition of
``aircraft accident.'' Accordingly, the part 5 definition of ``hazard''
involves a condition that could foreseeably cause or contribute to an
aircraft accident as defined in 49 CFR 830.2. An ``aircraft accident''
is defined as: ``an occurrence associated with the operation of an
aircraft which takes place between the time any person boards the
aircraft with the intention of flight and all such persons have
disembarked, and in which any person suffers death or serious injury,
or in which the aircraft receives substantial damage.'' By limiting the
scope of the definition of ``hazard'' in part 5, the FAA's oversight is
narrowed to the air carrier's operation.
The FAA notes that certain aspects of an air carrier's operations
conducted in non-movement areas are not subject to the provisions of
part 121. Similarly, unfavorable occurrences, which could lead to an
accident, injury, or damage, may not involve an aircraft with the
intention of flight but could still be of concern to an airport
operator. As previously discussed, the need for proactive safety
management in the non-movement area is evidenced by the large number of
safety accidents and incidents in non-movement areas. Therefore, the
FAA believes it is essential that SMS regulatory requirements apply to
non-movement areas through part 139.
The FAA Office of Airports' (ARP) oversight and inspection related
to application of the SMS to non-movement areas will focus on the
airport operator's processes and practices to ensure proactive safety
management, since ARP inspectors are not authorized to inspect air
carrier operations for compliance with part 5, 119, or 121.
As for implementation of SMS in non-movement areas, the FAA does
not agree that it should be voluntary or dictated by regulation (see
section B, ``Implementation''). However, the FAA agrees that additional
flexibility--to facilitate compliance with the requirements for SMS
implementation in non-movement areas--will be beneficial to account for
unique contractual, business, or operational arrangements involving air
carrier tenants required to implement SMS. For example, the airport
operator could establish a means for air carriers' tenants to share
with the airport any reports, safety information, and analysis relevant
to the air carrier's operations in the movement and non-movement areas
of the airport. The air carrier tenant employees could file the
information through the airport's safety reporting system. However, the
flexibility of this final rule allows for--but does not require--the
certificate holders to enter into an arrangement in which air carrier
tenant employees continue using their employer's confidential employee
reporting system (See 14 CFR 5.71(a)(7)) to communicate relevant safety
data and reports, as long as the air carrier tenant shares relevant
information derived from such reports or findings with the airport.
Section 139.401(e) affords certificate holders such flexibility by
alleviating duplicative reporting and encourages sharing of information
by addressing interoperability issues between the regulated entities.
If the part 139 certificate holder chooses to develop a Data Sharing
and Reporting (DSR) Plan, this option is available.
A certificate may develop a DSR Plan as a means of compliance with
Sec. 139.401(e). If the certificate holder chooses this means of
compliance, the DSR Plan must include, as a minimum: (a) the types of
information (e.g., hazard reports, investigation findings, etc.) the
airport operator expects the air carrier tenants to share if they are
reported through their part 5 confidential employee reporting system or
other hazard collection means; (b) the timeliness of sharing relevant
safety data and reports; (c) the process for analyzing joint safety
issues or hazards; (d) other processes, procedures, and policies to aid
the part 139 certificate holder's compliance with its obligations under
the airport SMS; and (e) the identification of means by which the
requirements of the plan will be executed (e.g., private agreement,
internal bylaws, internal regulations, internal policies, memorandums
of understanding, etc.). The part 139 certificate holder may choose to
incorporate the DSR Plan into the ACM or SMS Manual.
Establishing a DSR does not necessarily require any additional
capital investment by the airport or the tenant to facilitate data
sharing as Sec. 139.401(e) does not prescribe how data sharing should
occur (for example, data sharing could be achieved through routine
meetings between the airport and the part 121 air carrier). A DSR might
also reduce the total amount of incidents that would otherwise be
reported to the airport, as the DSR Plan may allow for a tenant,
through its own internal reporting system and SMS, to analyze and
mitigate reported hazards that it determines do not require further
analysis or mitigation by the airport.
Airport operators must work with air carrier tenants that chose to
participate in the DSR Plan to ensure they agree to the terms it
established. The FAA stresses that the development and participation in
the DSR Plan is voluntary both for the airport operator and air carrier
tenants. Airports that develop a DSR Plan may encourage participation
by, among other things, reminding air carrier tenants of the benefits
afforded through the DSR Plan, such as relief from duplicative
reporting.
[[Page 11655]]
The DSR Plan affords the airport operator flexibility in how it
engages applicable air carrier tenants. This final rule does not
dictate the means by which the airport operator must carry out the
provisions; rather, it requires airport operators choosing this option
to describe how they will implement the provisions. For example, an
airport operator may have sufficient rights and powers to institute
requirements such as data sharing through airport issued rules,
regulations, or policies. In other cases, an airport operator may need
to enter into a private agreement or amendment to an agreement or an
internal directive or guideline to implement such provisions. The part
139 certificate holder will simply identify the means by which it will
implement the minimum requirements of the DSR Plan to allow for the
sharing of information (e.g., private agreement, rules and regulations,
memorandum of understanding, etc.). It will not have to incorporate the
agreements, rules, or other provisions into the DSR Plan.
Regardless of the existence or form of delegation, the FAA
emphasizes that the burden of compliance with the regulatory
requirements established by this final rule rests solely on the part
139 certificate holder. Any failure of an air carrier tenant to uphold
any term or condition established in an arrangement or agreement
between the air carrier tenant and the part 139 certificate holder that
is used to carry out the provisions of the DSR Plan is not a valid or
reasonable justification for lack of compliance with the
regulation.\15\
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\15\ The FAA notes that the scope of oversight burden under this
final rule is not different than current requirements in part 139.
Airports are currently responsible for compliance in all areas
covered under part 139 and the airport ACM. Moreover, almost every
part 139 airport is federally obligated through the federal grant
program and is required to meet certain federal grant assurances
including the requirement to operate in a safe and serviceable
manner. The oversight expectations present under existing part 139
rules are sustained in this final rule; the SMS process simply
establishes a systematic approach to the airport's already-existing
responsibilities and helps mitigate incidents or accidents that may
occur.
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Further, an FAA inspector could request to inspect the optional
documentation (e.g., private agreement, internal bylaws, internal
regulations, internal policies, memorandums of understanding, etc.)
referenced in the DSR Plan, whenever the FAA determines--or has
reasonable belief--that the airport is not complying with related
provisions of the regulation. The inspection of the documentation
facilitates the FAA's assessment of compliance with the regulation and
the FAA's understanding of the delegation of responsibilities among the
parties. Therefore, the FAA recommends that certificate holders include
a clause or provision in such agreements or documents that all parties
involved facilitate access to the FAA for the review of the agreements
or documents--at the FAA's request--so the FAA can assess compliance
with all applicable regulatory requirements when in question. As
discussed in Section D, Data Protection, the FAA may request additional
SMS-related data or information under existing regulatory oversight
processes to ensure that systemic or national compliance issues are
reported when appropriate. In most cases, the FAA will review requested
documents while on the airport. The only time the FAA will take
physical possession of SMS-related data off airport will be as part of
an investigation. Otherwise, the part 139 certificate holder will
retain all other SMS-related information.
Airport operators executing a DSR Plan with a tenant would not be
required to make their safety reporting systems available to the
tenants or tenant's employees for safety reporting purposes. The
airport operators would also not be required to extend their SMS
training or make available SMS materials to the tenant's employees if
the tenant's SMS covers such training or materials.
D. Data Protection
Most commenters to the SNPRM that commented during both the 2016
and the 2021 comment periods, including certificate holders,
associations, and air carriers, claim the FAA has not adequately
considered the effects that a lack of data protection will have on SMS
implementation. Commenters asked the FAA to take action to protect from
public disclosure SMS-related information such as hazard reports,
safety risk management documentation, investigations, and Safety
Assurance reports. Without Federal action, these commenters believed a
lack of data protection could significantly impact the effectiveness of
the certificate holder's safety reporting system and overall SMS.
A commenter noted that airport operators generally have greater
difficulty than air carriers in protecting against the disclosure of
safety information because most airports are owned and operated by
governmental entities that may be subject to a state's freedom of
information laws. In the absence of effective protection mechanisms,
most certificate holders could be required to disclose safety data
gathered as part of their SMS.
The FAA was asked to provide guidance on the appropriate way to
handle open records act and Freedom of Information Act (FOIA)
obligations if an airport operator comes into possession of, or has
access to, air carrier SMS information. A commenter stated that if the
FAA intends for safety reporting to be independent of other
governmental functions, it must explicitly include language in this
final rule that prohibits the airport operator from sharing information
with other government entities, notwithstanding any contrary local or
State requirements or law. Another commenter mentioned that airport
operators may not have authority to ignore non-safety implications of
data they receive in connection with shared SMS data. A commenter from
the 2021 comment period requested that the FAA codify a FOIA exemption
for SMS reporting.
The FAA assessed various suggestions for dealing with potential
data protection issues:
(1) State-Level Fix
Two commenters believed that if the FAA finds a way to provide
Federal protection, existing state legislation (in some states) would
grant similar protection. One of the commenters stated that the FAA
would have to opine that grant-obligated airports are required to keep
confidential those records collected in compliance with a SMS rule,
thus allowing protection under its state's open records laws. However,
another commenter explained that its state's existing public records
laws are broad and would not protect any data submitted to the
airport's safety reporting system. While these commenters are not
averse to working with their state legislatures to ensure protections,
they request additional time for implementation to address these
issues. In 2021, one commenter requested an exclusion of SMS-related
data from state level public records requests in the final regulation,
provided the FAA determines it has the authority to create such an
exclusion.
In contrast, two commenters disagreed with the State-level fix,
explaining that the FAA has underestimated the monetary and schedule
challenges posed by putting the onus on the certificate holder to work
with state authorities. The commenter also believes a patchwork of
different protection standards is not conducive to the success of the
SMS effort.
The FAA recognizes that most certificate holders are owned by
public entities, whether it is a State, a subdivision of a State, a
local
[[Page 11656]]
governmental body or other similar entity. Certificate holders are in
the best position to seek legal guidance to determine the most
appropriate way to handle and protect data and information gathered.
They should assess applicable State legal frameworks to determine how
to comply with data privacy laws and reporting requirements. (For
example, SMS data that is required to be redacted as part of a
disclosure requirement might also be subject to applicable State law.)
Furthermore, certificate holders have the ability to evaluate whether
States afford data and information protection mechanisms through local
statutes and regulations or through other legal or contractual
arrangements such as confidential disclosure agreements. Notably, the
FAA does not have the authority to preempt State freedom on information
laws without a congressional mandate. The FAA is also not in a position
to assess any State's legal framework, to impose any requirement to
create or implement State laws and regulations to protect data and
information, or to counsel about handling and protection of data shared
amongst third parties. Thus, the FAA cannot determine whether FOIA
exceptions preclude disclosure requirements under applicable State
laws, or if other laws, regulations, or contractual arrangements would
preclude disclosures made amongst third parties.
(2) Federal-Level Protection
Commenters from the 2016 and 2021 comment period re-stressed their
assertions that existing Federal protections could be used to protect
SMS data. Commenters disagreed with the FAA's finding that data
protection under SSI provisions is inapplicable and may be
impermissible because those procedures are for information obtained or
developed in the conduct of security activities as described in 49 CFR
part 1520. The commenters argued that hazard reports and SRM processes
could identify airport vulnerabilities. Another commenter believed the
FAA should commit to using the provisions of 49 U.S.C. 44735(b)(4) to
assist certificate holders in securing exemptions from state law. One
commenter argued that the FAA already has the legal authority to exempt
SMS-data from disclosure under Federal, state, and local freedom of
information and sunshine laws. The commenter stated that Congress
imposed on the FAA the responsibility of overseeing and regulating
aviation safety in the U.S., and that pursuant to that authority, the
FAA adopted a comprehensive regulatory scheme for certain activities.
As such, the commenter maintained that Federal protection could be
afforded since, whenever the FAA preempts the field, U.S. courts tend
to invalidate state laws and regulations that conflict with the FAA
safety regulations.
Commenters that commented during both the 2016 and 2021 comment
periods agreed that a single Federal standard or statutory exemption
should apply to all airports regarding data and information protection.
Some commenters wanted the FAA to seek legislative protection to
address data protection. Numerous commenters believed that the FAA
should explicitly address data protection in this final rule's
regulatory text and pressed for Federal legislation to protect such
information.
Pursuant to 49 U.S.C. 44735, as amended, the FAA must protect
certain voluntarily submitted reports, data, or other information
produced or collected for purposes of developing and implementing a
safety management system acceptable to the Administrator; however, this
protection is not afforded to any SMS information required to be
submitted to the FAA. Consequently, the FAA is limiting the SMS
information that certificate holders are required provide the Agency
(i.e., certificate holder's implementation plan and SMS Manual, and/or
ACM update).
Specifically, the FAA is not incorporating regulatory language
requiring certificate holders to report to the FAA any safety-related
data developed under a SMS. This approach should have no repercussions
under FOIA and is consistent with the authority under 49 U.S.C. 44735.
It should also not affect the FAA's ability to review a certificate
holder's documentation to assess compliance with part 139; meaning, the
FAA might take possession of such documentation when investigating a
potential issue of non-compliance.
Certificate holders are not prohibited from voluntarily sharing
information with other governmental entities. The protection under
44735 only safeguards against release by the FAA, and does not extend
to other governmental entities nor to private entities. This means that
whenever a certificate holder releases or submits information to any
other governmental entity, the information rendered is not protected
from release by such governmental entity, absent other applicable law.
The information might also not be protected from discovery in civil
litigation, although the certificate holder could request that a court
extend additional or ancillary protections available under the laws of
the relevant jurisdiction. Furthermore, the FAA cannot protect data
that is shared by and among third parties; such protection would have
to be granted statutorily or under a legally-binding agreement to
protect the information that is recognized as protected under state or
local law.
As previously stated in the SNPRM, data protection under SSI
provisions is inapplicable and may be impermissible because those
procedures are for information obtained or developed in the conduct of
security activities, as described in 49 CFR part 1520.
(3) Creation of a National Data Repository
Numerous commenters from both the 2016 and 2021 comment periods
believed data could be protected under existing Federal protections if
the FAA established a national repository for certificate holders to
voluntarily submit hazard data. Two commenters during the 2021 comment
period suggested that such a repository would be advantageous and
reduce the financial burden to airports. One commenter explained that
while the FAA may have little to no need for such information, the
approach would allow certificate holders to take advantage of the
narrow legislative provision.
Regarding the request for the creation of a national data
repository, the FAA acknowledges that such a database would allow it to
protect all SMS data submitted voluntarily to the FAA. Notwithstanding,
the FAA has concluded that a national data repository will not provide
an immediate solution to data protection. As one of the commenters
accurately stated, certificate holders could inundate the FAA with
hazard reports and documentation to gain Federal protection. Further, a
national database would not prevent disclosure under State or local
laws. Certificate holders would still be in possession of the data
before submitting it to the national database.
The FAA remains interested in the long-term idea of a national
database, as a means to identify systemic safety issues and hazards.
The FAA will re-explore this option after certificate holders' SMS
mature, and the FAA has more time to analyze and consider the types of
information that could be submitted as well as all resource
requirements regarding collection. When deemed appropriate, the FAA may
consider implementing a national data repository, pursuant to the
provisions of 49 U.S.C. 44735, which allows the FAA to protect from
disclosure all ``reports, data, or other
[[Page 11657]]
information produced or collected for purposes of developing and
implementing a safety management system'' as long as the data is
furnished voluntarily and is not required to be submitted to the FAA
pursuant to other provisions of law. In addition, the implementing
regulations to 49 U.S.C. 40123, codified at 14 CFR part 193, afford the
FAA the option of designating voluntarily submitted safety information
as ``protected'' information, thereby preventing its disclosure to
unauthorized third parties.
(4) De-Identified Data
During the part 139 SMS pilot studies, certain participants
explored the use of third parties to de-identify hazard reports before
these were filed with the certificate holder. One commenter noted that
such a system would add cost and complexity to SMS implementation and
operation, although it did not address whether the option would result
in the protection of SMS data.
As a clarification, the FAA realizes that some confusion exists
regarding the information that a certificate holder must submit to the
FAA. One commenter from the 2021 comment period stated that the
requirement for airports to share de-identified data with the FAA was
unreasonable.
As stated in the SNPRM, the FAA decided not to propose data
reporting requirements for safety-related data created under a SMS. The
only documents or information that must be submitted to the FAA under
the SMS provisions are the certificate holder's Implementation Plan and
SMS Manual and/or ACM update. While at the entity's facility, the FAA
may request to review additional SMS-related data or information under
existing regulatory oversight processes to ensure that systemic or
national compliance issues are reported when appropriate. The only time
the FAA will take physical possession of SMS-related data off airport
will be as part of an investigation. Otherwise, the certificate holder
will retain all other SMS-related information.
E. Safety Reporting and Interoperability
The SNPRM proposed to require certificate holders to establish and
maintain a confidential hazard reporting system and to encourage all
persons accessing the movement and non-movement areas to report hazards
to the certificate holders. The SNPRM also acknowledged the numerous
ongoing SMS efforts (e.g., part 5 and internal efforts to implement SMS
within the FAA) and the overlapping responsibilities related to hazard
reporting. Commenters to the SNPRM--including certificate holders, air
carriers, an association, and a consultant--commented on the proposed
requirement to establish and maintain a confidential hazard reporting
system.
In addition to concerns about data protection (see section D.
``Data Protection''), commenters sought clarification on how SMS
reporting systems are meant to work and how they should be implemented.
These commenters requested the FAA address how it expects information
and data to flow between the airport tenants (including those required
to implement reporting systems under their own certificate programs)
and certificate holders. Multiple commenters, including certificate
holders and air carriers, believed that requiring employees to report
to multiple SMS systems is duplicative and could cause confusion. A
commenter also expressed concerns about how hazard reporting would be
implemented for crewmembers or air carriers operating into multiple
part 139 airports, stating that it is not reasonable to expect the
crewmembers to be trained to comply with each individual airport's SMS
and reporting systems. Another commenter requested the FAA clarify
whether it considers a confidential hazard reporting system to be the
same as an operational safety issues system.
One commenter from the 2021 comment period asked whether this rule
would apply to air carriers, and whether airports would be expected to
investigate airline incidents or only act as a repository of lessons
learned and corrective actions to be shared with all employees and
employers.
(1) Change in Terminology
As stated in the SNPRM, the FAA agrees the term ``hazard reporting
system'' is confusing and does not adequately address the genesis of
the requirement. The intent of the reporting system is to ensure a
transparent means of reporting safety issues within the movement and
non-movement areas. As such, this final rule changes the terminology in
Sec. 139.402(c)(2) from ``hazard reporting system'' to ``safety
reporting system.''
(2) Data Sharing and Reporting Plan
The FAA agrees that, for air carriers or other tenants that are
required to maintain a SMS, the reporting system as proposed in the
SNPRM could be duplicative. The FAA believes that the DSR Plan (See
section C. ``Non-Movement Area''), could alleviate the duplicative
reporting burden.
Under Sec. 139.402(c)(2), the airport operator is required to
maintain a confidential safety reporting system. The system must be
accessible by all individuals with access to the movement and non-
movement areas (except those excluded through an optional DSR Plan).
The certificate holder needs access to this type of data to proactively
address safety issues in the movement and non-movement areas. While the
FAA acknowledges that the majority of incidents related to wildlife
strikes account for about 50 percent of the estimated benefits
primarily occurring in the movement area, the FAA finds that the
conditions for events, accidents, and incidents that occur are
originating in the non-movement area. The majority of conditions,
events, accidents, and incidents that occur in an airport transpire in
the non-movement area. These conditions that--if unreported,
unanalyzed, or unmitigated--could directly result or indirectly
contribute to a chain of events that lead to accidents in air
transportation.
The FAA reiterates that part 5 works in parallel to this final
rule, as it encourages air carriers and airports to communicate with
one another when hazards and safety issues are identified through their
respective SMS procedures and processes. Consistent with the intent of
this rule and the FAA's SMS policy, the part 5 final rule also
recommended that air carriers notify airports of hazards identified in
airport facilities, so all certificate holders are aware of issues,
analyze the risks, and take appropriate remedial action.
One commenter from the 2021 comment period recommended that the FAA
speed up the development of SMS software to enable data sharing with an
FAA-supported vendor in a manner similar to how the FAA implemented the
SMS requirements under part 5. The FAA does not intend to develop data
sharing software at this time, but reiterates that Federal funding may
be available for SMS software development.
(3) Crewmembers Accessing Non-Movement Areas
The FAA agrees that it is unreasonable to expect that all air
carrier crewmembers would have knowledge of the reporting systems of
all airports they fly into. For air carriers or other tenants not
addressed through an optional DSR Plan, the FAA recommends, but does
not require, that all crewmembers based at a particular airport and
those crewmembers most often accessing an airport's non-
[[Page 11658]]
movement area receive safety awareness orientation and report safety
issues to the airport's safety reporting system. The FAA anticipates
that crewmembers who are not based at an airport, or with limited
access to the non-movement area of other airports, will continue to
report safety issues through their air carrier's employee reporting
system.\16\
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\16\ FAA anticipates that most air carriers with part 5 SMS
programs will develop DSRs between tenants and airports; however,
this rule does not establish a regulatory requirement for an airport
to develop a DSR. Non-DSR agreement airports will continue to
operate as they do currently to meet current requirements of other
established regulations. In situations where a DSR does not exist, a
pilot, for example, would continue to report hazards through their
company's reporting mechanism, or through the airport's Safety
Management System.
---------------------------------------------------------------------------
The FAA deems it crucial for all individuals with access to the
movement and non-movement areas to have a means of reporting safety
issues and hazards, since there are limited numbers of certificate
holder employees with access to these areas at any given time. The
availability of alternate reporting venues increases the possibility
that an air carrier employee or an employee of another tenant located
at the airport will, upon witnessing safety issues not readily visible
to certificate holder employees, report those observations. This, in
turn, allows the certificate holder to analyze the situation and take
prompt action to fix any problems found or implement ancillary measures
to enhance safety at the airport.
F. Training and Orientation
The SNPRM identified a 2-prong approach to training requirements.
First, a small number of certificate holder employees (those involved
in the implementation and compliance with the SMS) would be required to
receive SMS-specific training. Second, all other individuals with
access to the movement and non-movement areas of the airport would not
have to undergo SMS-specific training, but would instead receive hazard
(safety) awareness orientation (e.g., they could be provided with
brochures or be required to complete training modules that discuss what
a hazard is and how to report it to the airport's safety reporting
system).\17\
---------------------------------------------------------------------------
\17\ Airport SMS safety awareness/orientation can be
accomplished through such methods as written communication,
presentation, or brochures.
---------------------------------------------------------------------------
Most commenters agreed with the FAA, but some from both the 2016
and 2021 comment periods requested that the FAA provide clarification.
(1) Identification of Roles, Responsibilities, and Minimum Training
Elements
Most commenters requested that this final rule include job roles,
responsibilities, and minimum training elements for compliance.
Comments received during the 2021 comment period reiterated these
requests.
The FAA finds it would be overly prescriptive to (a) identify
specific roles or job titles, or (b) set the minimum elements of SMS-
specific training in regulatory text. This rule is performance-based
and grants latitude to certificate holders in establishing and
tailoring their SMS to their particular operations.
Although the FAA requires the certificate holder to identify an
accountable executive, it grants airport operators discretion as to how
to allocate resources to comply with the remaining requirements of the
rule. Smaller airports may use their accountable executive to implement
other provisions of the rule. For example, the certificate holder can
require the accountable executive to be responsible for both SRM and
continuous oversight under safety assurance, instead of acting
exclusively as the overarching decision maker or figurehead.
Accordingly, the FAA has determined it would be overly restrictive or
burdensome to identify certain roles or job titles warranting training
and orientation.
The FAA does not identify minimum elements of SMS-specific training
for the same reason it does not identify specific roles or job titles.
As explained above, the FAA wants certificate holders to have maximum
flexibility in implementing the SMS, in such a way that it can be
tailored to their unique operating environment, and to facilitate their
compliance with the broad requirements and intent of the rule.
Notwithstanding, in the interest of addressing commenters' concerns,
the FAA decided to incorporate a non-binding, non-exhaustive list of
examples of training programs implemented by pilot study participants
in the AC.
The FAA received several comments in 2021 concerning the training,
qualifications, and deployment of qualified FAA SMS inspectors. Some
commenters from the 2021 comment period were also concerned that FAA's
oversight would encroach into certificate holders' decision-making and
the judgments certificate holders make during the safety risk
assessment process, including the proposed and implemented mitigations.
The FAA intends to train current part 139 inspectors on overseeing
compliance with this rule in the current inspection process, and on how
to provide additional guidance to assist certificate holders with
complying with the rule.
Commenters also questioned whether the FAA would accept the
completion of SMS-related coursework to demonstrate compliance with the
FAA SMS requirements.
Training received in support of the FAA Air Traffic Organization
(ATO) or ARP SMS does not meet the intent of the SMS-specific training
requirements identified in this final rule. Any existing training
provided by ATO or ARP would be specific to compliance with the FAA's
internal SMS efforts and not specific to the individual airport's SMS.
(2) Training Estimates Used in Regulatory Evaluation Calculations
A few commenters from both the 2016 and 2021 comment periods
requested that the FAA provide clarification on how it developed the
training estimates. Many of these commenters offered an approximation
of the number of employees that would require training at their
airport.
The FAA agrees that the number of employees requiring SMS-specific
training will vary per certificate holder. The FAA requested training
information from the airports that participated in the pilot study
programs.\18\ That data was used to develop an average for large-sized
(large, medium, and small hub airports) and small-sized (all other
airports) operations. The FAA analyzed those responses and included the
number of employees needing training based on the specific requirements
of this final rule. The FAA notes that many of the pilot study airports
appeared to provide training on topics outside the scope of this
rulemaking and those courses were not included as part of the analysis.
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\18\ External SMS Efforts--Part 139 Rulemaking, Airport SMS
Pilot Studies (Sept. 22, 2020), available at https://www.faa.gov/airports/airport_safety/safety_management_systems/external/pilot_studies/./
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In the 2016 comment period, four airport operators (one of which
holds two AOCs) provided estimated numbers of employees needing
training. One airport operator, who operates a large hub airport,
agreed with the FAA's average estimates of 3 and 10 employees. The
other three airport operators provided their own estimates. One
operator, who holds AOCs for a large hub and a reliever airport,
estimated a total of 40 employees in these airports will require
training. Another large hub airport estimated 30 to 40 employees will
require training. A
[[Page 11659]]
third large hub airport estimated approximately 2 to 3 people per
division will require training. In the 2021 comment period, one
commenter stated that it believed the FAA estimate of 10 employees
requiring comprehensive SMS training at large airports was low. Another
commenter noted that some airports are expanding SRM training to
include Planning, Engineering, and Capital Development teams, which
increases the total anticipated trainees to more than 50 at some
airports (as many as 80 total).
The FAA affirms its preliminary estimates as averages for the
regulated community's unique operations. The FAA recognizes that some
airport operators may have to train more employees than others to
ensure compliance with the rule. The FAA also understands that some
certificate holders may train employees in topics that are well beyond
the scope of this regulation--such as occupational health and safety
issues--but those programs are separate from this final rule (as
violations of other regulations would not necessarily result in part
139 violations). If a certificate holder elects to include training on
topics beyond the scope of this regulation, the FAA would only conduct
oversight of the SMS activities related to the applicable provisions of
part 139. For example, an airport could be cited for a violation of an
OSHA requirement if compliance with OSHA requirements was incorporated
into its ACM, or if the OSHA violation also resulted in a failure to
comply with its SMS process. However, the basis for the noncompliance
would be failure to comply with the SMS process, not non-compliance
with the OSHA requirement.
(3) Safety Awareness Orientation
Commenters expressed concerns about the potential duplicate
requirements already imposed on air carriers through part 5. As
addressed in section C of the preamble, ``Non-Movement Area,''
certificate holders executing a DSR Plan with a tenant are not required
to duplicate safety awareness orientation materials provided in the
tenant's SMS to that tenant's employees. Those employees would be
reporting to the tenant's part 5 confidential employee reporting system
and would not need to be advised of how to report to the airport's
safety reporting system.
One commenter requested that the FAA revise the proposed
requirement to ``update'' awareness materials every twenty-four months
(Sec. 139.402(d)(1)). The FAA agrees and this final rule requires the
airport operator to review and update the safety awareness orientation
materials every twenty-four months or sooner when necessary. An earlier
review and update of the orientation material is necessary when there
has been a change in the material.
(4) Development of Training Materials
Numerous commenters requested the FAA develop and make available
SMS-related training materials that would be compliant with SMS
training requirements.
The FAA notes that the certificate holder is in the best position
to determine the competencies necessary for the individuals with roles
and responsibilities under its SMS. The FAA plans to provide briefings
and guidance materials, including conducting webinars, to help
communicate this information.
While the FAA believes that most certificate holders will rely upon
industry-developed training materials, certificate holders may develop
their own training materials based on industry publications and
guidance. For example, the Airports Cooperative Research Program of the
Transportation Research Board has published numerous reports on SMS-
related topics. Some of these reports provide detailed information,
processes, and examples associated with each of the four components of
SMS. Airport operators could use these publications, as well as other
publicly available SMS material, to develop their own training
materials.
(5) Clarification of ``Comprehensive SMS Training''
The FAA received comments requesting clarification of
``comprehensive SMS training'' as it relates to the training and
orientation requirements. While not in the regulatory text, the term
was used in the SNPRM preamble to identify all training that is
necessary to ensure personnel overseeing the SMS are competent to
perform their roles and responsibilities. Individuals responsible for
analyzing hazard (safety) reports to determine appropriate mitigation
actions must be properly trained in SRM and hazard assessment
procedures. Similarly, individuals with responsibility for daily
oversight of the SMS must be trained in all requirements of the SMS.
The certificate holder may use train-the-trainer formats where
necessary.
(6) Clarification of ``Access''
Commenters requested the FAA clarify or define the term ``access,''
as it is used in Sec. 139.402(d)(1). The term ``access'' applies to
both vehicular and pedestrian access to the movement and non-movement
areas. The intent of this requirement is to ensure that all individuals
who may have an opportunity to witness a safety issue understand what
they should be reporting, when, and how.
G. Accountable Executive
In the SNPRM, the FAA proposed a new definition for ``accountable
executive.'' The new definition addressed the diversity of business
structures and varying degrees of complexity of certificate holders.
The FAA explained that it anticipated most certificate holders would
designate an airport manager or airport director as the accountable
executive, and that accountability could not be delegated. Numerous
entities, including associations, certificate holders, and air
carriers, commented on the revised definition of ``accountable
executive.''
(1) Amendment or Elimination of the Accountable Executive Requirement
While most commenters agreed with the concept of an accountable
executive, the FAA received requests for revisions or explanations. One
2021 commenter incorrectly interpreted the FAA's proposal to allow
certificate holders to designate an accountable organization structure
instead of one executive. This commenter further stated that while
there is a need for an Accountable Executive, in many cases, airport
structure could call for one or more ``responsible executive(s)'' to
oversee the implementation and operation of the SMS.
The FAA is not persuaded by arguments recommending changes to, or
elimination of, the ``accountable executive.'' The concept of an
accountable executive is key to the successful development and
implementation of a SMS and consistent with international standards.
Additionally, this rule requires the identification of an individual as
an accountable executive, rather than the designation of an accountable
organization structure in place of an accountable executive or one or
more responsible executives. A certificate holder may choose to
identify support staff to assist the accountable executive, as
discussed further in the supplemental guidance AC.
(2) Delegation
Commenters asserted that certificate holders should have the option
to delegate the accountable executive's roles and responsibilities to a
lower-level or operational manager with direct
[[Page 11660]]
oversight of the SMS. As stated in the SNPRM, accountability cannot be
delegated. The accountable executive's role is meant to instill safety
as a core organizational value and to ensure that SMS is properly
implemented and maintained through the allocation of resources and
tasks. By designating an accountable executive, responsibility for the
certificate holder's overall safety performance is placed at a high
level within the organization. Some airports may choose to designate
additional positions to implement the daily operation of the SMS.
However, such designations are left to the discretion of the
certificate holders, based on their unique operating environments and
management structures. For guidance purpose, the FAA has included in
the AC examples of accountable executive designations and addressed the
issue of ``responsible executive or manager'' for the day-to-day
oversight of SMS activities.
(3) Personal Liability and Oversight
Commenters from both the 2016 and 2021 comment periods believed the
FAA should make stronger statements limiting the personal liability of
accountable executives. They requested the FAA include preamble
language: (a) stating that the accountable executive is not personally
liable to the FAA through certificate action or civil penalty, and (b)
establishing a clear regulatory intent that this final rule is not
intended to increase or create personal liability for the accountable
executive. Additionally, one 2021 commenter requested that the rule be
revised to allow the accountable executive to seek indemnification from
tenants in respect to SMS compliance issues within their leaseholds,
and to appoint a tenant accountable executive for that purpose.
The definition of ``accountable executive'' also limits both
control and responsibility to ``operations conducted under the
certificate holder's Airport Operating Certificate.'' As ``an
individual designated by the certificate holder,'' the FAA does not
expect the definition to usurp the oversight role of the legislative
body or authority that is the certificate holder.
Concerns regarding the accountable executive's personal liability
for the actions of tenant organizations, air carriers, or leaseholds,
are misplaced. As stated in the SNPRM, the new definition clarifies
that accountable executives are not personally liable to the FAA,
through either certificate action or civil penalty. The FAA limited the
``control'' and ``responsibility'' of an accountable executive to
operations conducted under the certificate holder's AOC. Since the
scope of action and responsibility of an accountable executive is
limited, the FAA decided not to include nor require indemnification by
the accountable executive to any third party under this final rule.
While the FAA does not intend for accountable executives acting within
the scope of their powers and duties to have personal liability to any
third party, the FAA must stress that liability issues are typically
controlled by state law, and the parties remain subject to applicable
state law with regard to liability issues and remedial action.
Generally speaking, the airport manager or director's role of
ensuring compliance with the AOC does not change under this final rule.
Prior to this final rule, violations of part 139 requirements would be
found against the certificate holder. The same logic holds true under
the SMS final rule.
Along the same lines, while the FAA allows an airport operator to
establish a DSR Plan (See section C. ``Non-Movement Area'') to address
reporting and data sharing with applicable tenants required to comply
with part 5, if the certificate holder discovers that the tenant is not
complying with the terms of the agreement, or policy and relevant
safety issues or findings are not being properly or timely conveyed to
the airport operator, the onus for compliance remains with the airport
operator. The airport operator is responsible for ensuring the
airport's safety reporting system is accessible for reports by tenant
employees and that those employees receive safety awareness orientation
materials.
H. Definitions
In the SNPRM, the FAA revised the definitions of numerous terms,
either in response to comments or to conform to agency policy at the
time of the proposal. The FAA received many comments regarding the new
definitions of hazard and non-movement area. The FAA also received
suggestions during both the 2016 and the 2021 comment periods to revise
other terms related to this final rule.
(1) ``Hazard'' Definition
Commenters from the 2016 and 2021 comment periods disagreed with
the FAA's use of the part 5 definition of the term ``hazard.'' They
believed that the term is not applicable to the airport environment
since it is centered on the operation of an aircraft and aircraft
accidents, as defined by the NTSB. These commenters recommended the FAA
use the ``hazard'' definitions included in FAA Order 5200.11, FAA
Airports (ARP) Safety Management System (SMS), FAA Order 8040.4, Safety
Risk Management Policy, and the ICAO Safety Management Manual (3rd
edition).
The FAA understands the confusion arising from the SNPRM definition
of ``hazard'' and the limited reporting that may occur through a strict
reading of the regulatory text. To ensure consistent application and
reporting across the airport-airline industry, as well as to ensure
applicability to the non-movement area, the FAA amends the definition
in this final rule. For this rule, we define the term ``hazard'' as ``a
condition that could foreseeably cause or contribute to: (a) injury,
illness, death, damage to or loss of system, equipment, or property, or
(b) an aircraft accident as defined in 49 CFR 830.2.'' The FAA
determined this revised definition establishes a suitable parameter
that encompasses the wide range of conditions that airports may
encounter and deem as hazards, and it enables airports to include
conditions that are not necessarily related to an aircraft accident.
For example, part (a) of the definition allows for ramp incidents;
accidents and fatalities involving aircraft ground service equipment
and other vehicles; construction-related fatalities; and damage to
airfield facilities including lighting, signage, pavement, safety
areas, and navigational aids to qualify as a hazard. These incidents
would not constitute ``hazards'' if the definition was limited to part
(b) (conditions that could foreseeably cause or contribute to an
aircraft accident). As a result, the FAA revised the definition to more
broadly encompass the myriad of conditions in the airport environment,
including in movement and non-movement areas and conditions involving
and not involving aircraft. The FAA notes that this definition will
also provide flexibility to airport organizations for defining what a
reportable hazard is for their organization, and as a part of
developing their SMS they may define thresholds for what might entail a
reportable incident. This will allow, for example, a small airport to
treat an incident that results in $1,000 in damage as a potentially
reportable incident, whereas a large airport may consider property
damage at that level to be de minimis.
(2) ``Non-Movement Area'' Definition
Commenters requested the FAA retain a more generic definition of
the term ``non-movement area'' as opposed to a definition that
specifies the types of areas included. The FAA was asked: (a) to
exclude ``fuel farms'' from the
[[Page 11661]]
definition of ``non-movement area'' or to at a minimum allow their
inclusion at the option of the certificate holder, and (b) to re-
evaluate its decision not to include baggage-makeup areas in the
definition of ``non-movement area.''
As discussed in section C. ``Non-Movement Area,'' the FAA is
adopting the definition for ``non-movement area'' as proposed.
(3) Harmonization of ``Safety Policy,'' ``Safety Risk Management,''
``Safety Assurance,'' and ``Safety Promotion'' Definitions
The FAA agrees with commenters' request from the 2016 comment
period to update the definitions of ``safety policy'' and ``safety
assurance.'' One commenter from the 2021 comment period emphasized the
need for consistent terminology related to the SRM process. Any
revision must be carefully assessed since both definitions sync with
part 5 instead of internal FAA Orders. Where commenters requested the
FAA use ICAO definitions, the FAA's intent is to first synchronize
these definitions with part 5 or other Agency definitions--if
possible--to ensure the industry uses similar taxonomy. Therefore, this
final rule revises the definitions of the terms ``safety policy,''
``safety assurance,'' and ``safety promotion,'' to sync with the
current definitions in part 5. This final rule also updates the
definition of the term ``safety risk management'' to more closely align
it to the definition in part 5. The notable difference is that airports
typically use the term ``risk mitigation,'' whereas air carriers use
the term ``risk control.'' To address this difference, this final rule
uses both terms for the definition of ``safety risk management.''
I. Miscellaneous Topics
(1) FAA's Rulemaking Authority
A commenter stated that the FAA Aviation Act of 1958 does not give
the Administrator the power to require regulated parties to self-
analyze, self-disclose, self-report, and self-implement procedures
beyond those stipulated through legislative and administrative
processes.
The FAA's authority to issue rules regarding aviation safety is
found in Title 49 of the U.S.C. The FAA proposed this rulemaking under
the authority described in 49 U.S.C. 106(f), 44701, 44702, and 44706
(See section II. A. of this preamble). In the Federal Aviation Act of
1958, as amended and recodified, 49 U.S.C. 40101, et seq., Congress
provided the FAA with (a) exclusive authority to regulate safety, (b)
the efficient use of the airspace, (c) protection of people and
property on the ground, (d) air traffic control, (e) navigational
facilities, and (f) the regulation of aircraft noise at its source.
Title 49 of the U.S.C., section 44706, provides for the FAA to
regulate airport safety through the issuance of airport operating
certificates. Under this statute, Congress requires the certificate to
contain the terms necessary to ensure safety in air transportation.
Under the implementing regulations for section 44706, codified at
14 CFR part 139, the FAA regulates airport certificate holders in many
areas, including: (a) records, (b) personnel, (c) paved areas, (d)
unpaved areas, (e) safety areas, (f) airport marking/signs/lighting,
(g) aircraft rescue and firefighting, (h) snow and ice control, (i)
handling and storing hazardous substances and materials, (j) traffic
and wind indicators, (k) airport emergency plans, (l) self-inspection
programs, (m) pedestrian and ground vehicles, (n) obstructions, (o)
protection of navigation aids, (p) public protection, (q) wildlife
hazard management, (r) airport condition reporting, (s) identifying,
marking, and lighting construction and other unserviceable areas, and
(t) noncomplying conditions.
Requiring certain certificated airports to implement a SMS for the
entire airfield environment is consistent with the FAA's statutory and
regulatory framework described above. The primary purpose of section
44706 and its implementing regulations is to ensure safety in air
transportation and such safety is advanced by the additional safety
measures applicable to airports subject to this final rule. The FAA has
the authority to implement regulations to improve safety at airports
hosting air carrier operations including requiring certificate holders
to develop and implement measures to ensure safety in air
transportation by proactively identifying and mitigating safety
hazards, thereby reducing the possibility or recurrence of accidents in
air transportation. This final rule is a performance-based regulation
that requires certificated airports that meet pre-established
qualification criteria (triggers) to develop and maintain a SMS to
improve the safety of operations conducted at such airports; therefore,
it is within the scope of authority of the Agency.
(2) Applicability to Non-Certificated Airports
The FAA stated in the SNPRM that the proposed rule would only apply
to holders of a part 139 AOC. Commenters asked The FAA to (a) confirm
that it did, and (b) clarify whether the SMS requirement was voluntary
for general aviation airports that are not certificated under part 139.
The FAA confirms that this final rule does not apply to non-
certificated airports, but continues to encourage such airports to
voluntarily adopt SMS. The rule is not affected by, nor does it depend
on, whether an airport has accepted Federal financial assistance or
property conveyances. Further, this final rule does not require airport
tenants to have a separate SMS because it only applies to holders of
part 139 AOCs. As previously discussed, this fact does not prevent
certificate holders from engaging with tenants to implement
alternatives that facilitate compliance with the requirements of the
SMS.
(3) FAA Oversight
The SNPRM included a discussion of the FAA's role and oversight of
certificate holders under the proposed SMS rule. This discussion noted
SMS is not a substitute for compliance with existing regulations and
provided general expectations about inspections in a SMS environment,
emphasizing the importance of implementing a systems-based approach to
oversight.
Commenters from both the 2016 and 2021 comment periods asked the
FAA to clarify certain aspects of its oversight activities,
particularly: (a) how SMS fits in relation to other federal regulations
such as the Occupational Safety and Health Administration (OSHA) rules,
National Environmental Policy Act (NEPA) rules, State regulations, and
other local ordinances; (b) how SMS brings value beyond standards
imposed elsewhere, and (c) whether hazards identified through their SMS
will qualify as items of concern. Commenters also requested the FAA
state that the SMS rule will not alter existing State laws regarding
standards of care or duty of care.
Commenters from both the 2016 and 2021 comment periods requested
that the FAA clarify its oversight approach in either the final rule
preamble or the regulatory text.
The FAA does not intend for the implementation of SMS at an airport
to implicate regulations issued by other agencies. In some instances,
airport SMS may complement compliance with other regulations (such as
OSHA, NEPA). An airport SMS is the next critical step in the FAA's
ongoing transition to a more streamlined and performance-based
regulatory framework for airports. Airport SMS will evolve the FAA's
oversight processes so FAA involvement targets the areas of highest
safety risk. For airports with a fully implemented SMS
[[Page 11662]]
and that have a consistent history of compliance with the requirements
of part 139, the FAA will transition to a system-based inspection
allowing an inspector to focus on areas of greater risk. As a
consistent history of compliance under SMS develops, the FAA will have
data to support modifying the duration of time between an airport's
periodic inspections. The FAA will continue to use a traditional
approach and cycle for inspections at airports without a SMS, with
higher risks, or a history of non-compliance. The FAA retains the
ability to use a traditional inspection cycle for airports with a fully
implemented SMS when deemed necessary (e.g., increase in number of
discrepancies with part 139 requirements).
A comment received in 2021 emphasized that the FAA should be
flexible and less prescriptive in its approach. Another comment
received in 2021 emphasized that the FAA should provide training and
resources for SMS education. The FAA acknowledges that shifting from a
prescriptive to performance-based regulation and systems-based
oversight will take time and require educating and guiding both FAA
inspectors and airport operators. The FAA will update FAA inspector
guidance, provide training to the FAA inspectors on the requirements of
this final rule, and provide outreach to the industry regarding the
final rule requirements.
The FAA received comments during both the 2016 and 2021 comment
periods asking the FAA to: (a) collaborate with airports with existing
voluntary SMS and other stakeholders to develop SMS oversight
guidelines based on lessons learned that explicitly define the systems-
based approach and how it changes inspector responsibilities and
activities; (b) commit to a timetable and process for training its
inspectors on the new approach and clarify that no SMS inspections will
take place until inspectors have been trained; (c) cross train all part
121 and part 139 inspectors in the respective SMS requirements; and (d)
invite airport industry representatives to participate in the training
of FAA inspectors.
The FAA does not normally invite industry representatives to
participate in the training of FAA inspectors and does not believe SMS
requirements would cause it to change this position. While the FAA does
not agree that part 139 and part 121 inspectors require cross-training
in the respective SMS requirements, ARP and AVS will identify the
various SMS requirements and areas of connectivity in Agency materials.
The SMS final rule will not alter the responsibilities of the FAA's
regional inspector staff. Like other part 139 related activities, the
regional inspector staff is responsible for reviewing, approving,
accepting, and inspecting the airport's SMS documents and program. As
discussed in the SNPRM, FAA Headquarters staff will supplement these
activities--by providing support and guidance to our regional
inspection staff--to ensure national consistency and timely program
implementation. Questions regarding federal financial assistance for
SMS related activities should be directed to the appropriate FAA
Regional Office or Airport District Office personnel.
(4) Safety Risk Management
The SNPRM proposed minimum requirements for SRM, including
establishing a systematic process for analyzing hazards and related
risks, using a standard five-step process. As part of the SRM
component, the SNPRM also included standard documentation and record
retention requirements.
The FAA was asked to re-evaluate the requirement to handle all
hazards through the five-step process, in light of a comment that
certificate holders should have the flexibility to determine which
hazards require analysis using the five-step process and which hazards
only need review and mitigation.
Commenters questioned (a) the FAA inspector's role in the risk
determination process, and (b) whether the FAA will be able to overrule
a certificate holder's determination, even when safety standards are
met.
The SNPRM did not propose to require the use of a predictive risk
matrix for hazard assessment, but suggested its use as an effective
method to analyze and prioritize risk. The FAA was asked whether a
specific matrix must be used, or if airport operators will be allowed
to modify the risk matrix included in the NPRM to better fit the
airport's needs and goals. While encouraged, this final rule does not
require the use of a predictive risk matrix.
Commenters from both the 2016 and 2021 comment periods: (a) noted
that many large hub and international airports have existing,
comprehensive safety and risk management programs; (b) requested the
FAA explain how these existing programs will be integrated into SMS
processes; and (c) recommended that the FAA accept or provide credit to
airports with existing processes similar to those outlined in the
proposal.
This final rule provides airport operators flexibility in how they
resolve safety issues and hazards. It does not require certificate
holders to use the five-step process to address all safety concerns.
Instead, the regulatory text requires certificate holders to use the
five-step process to analyze ``hazards.'' The FAA acknowledges that not
all reports through the airports' safety reporting system or other
sources constitute hazards. Therefore, certificate holders would only
need to use the systematic analysis for identified hazards.
Nothing in this final rule requires consensus decision making.
While the FAA encourages certificate holders to work with affected
stakeholders, it is not a requirement of this final rule. If the
airport operator develops a DSR Plan, the FAA expects it to identify
when and how the airport and tenant will work together to analyze and
resolve joint safety issues. In most cases, the certificate holder is
also the airport owner and, as owner, has ultimate control over their
airport's decisions. Similarly, the FAA expects that whenever the
certificate holder is an entity other than the airport owner, the
agreement allowing the certificate holder to operate the airport should
have adequate controls and provisions (i.e. sufficient authority and
resources) to allow them to make all pertinent decisions to enable
compliance with part 139 and the FAA-approved ACM (the FAA notes that
this scope of oversight is similar to existing expectations under part
139 and the FAA-approved ACM). In extreme cases, if the airport
identifies hazard mitigations under the SRM process that a tenant is
unwilling to implement, an airport might be expected to restrict or
break its contract and cease operations with the tenant to ensure that
the hazardous condition does not continue. Regardless of the existence
of any agreement, policy, or arrangement, and regardless of the
decision-making process or determinations made under them, the
certificate holder remains solely responsible before the FAA for full
compliance with the SMS requirements of this final rule.
Notwithstanding, the FAA committed in the NPRM and SNPRM to not second
guess certificate holder decisions under SRM processes, and the FAA's
position has not changed in this final rule. The only time the FAA will
weigh in is if the certificate holder uses SRM processes to circumvent
regulation or standards.
The certificate holder may identify in its FAA-approved
Implementation Plan any existing programs, policies, or activities it
plans to use as a means of
[[Page 11663]]
compliance with the rule. Where an existing program is used as a
foundation, the certificate holder will explain what additional actions
will be put in place to ensure the programs fully meet the intent of
the requirement. As long as existing safety and risk management
programs meet the requirements of this final rule, they can be used
``as is'' to comply. However, if there are gaps between the existing
program and this final rule requirements, the certificate holder would
still be required to comply with this final rule and must identify in
its Implementation Plan how it will address those gaps prior to the
full implementation deadline.
In the SNPRM, the FAA acknowledged that the definition of ``risk
mitigation'' did not harmonize with part 5's ``risk control''
terminology. The FAA's conclusion was that the term ``mitigate'' was
straightforward and aligned with other guidance certificate holders
have received related to FAA SMS initiatives. While this final rule
retains the definition of ``risk mitigation,'' it expands the
definition of ``safety risk management'' and ``safety assurance'' to
incorporate the term ``control'' or ``controlling'' to provide better
harmonization with part 5.
A commenter from the 2021 comment period recommended that the FAA
create an FAA ``Airport Safety'' web page, similar in format to the FAA
web page ``Airline Safety.'' Once the rule is published, the Office of
Airports intends to update the public facing web page to contain
current and relevant part 139 SMS material.
(5) Record Retention
Under the SRM component, the FAA proposed to require a certificate
holder to develop processes to identify hazards that may impact the
airport's operations. The certificate holder will use these processes
to analyze those hazards and risks and retain any documentation
developed through these processes to assist in trend and root cause
analysis. The FAA proposed to require a certificate holder to retain
records associated with SRM processes for the longer of (a) 36 months
after the risk analysis of identified hazards has been completed or (b)
12 months after required mitigations have been implemented. Under the
Safety Promotion component (see Sec. 139.402(d)), the FAA proposed to
require certificate holders to also retain training records and hazard
awareness orientation briefing materials. Commenters asked the FAA to
clarify how long a certificate holder should retain data.
The record retention requirements proposed in the NPRM and SNPRM
sync with existing record retention requirements under part 139. In
this case, the FAA found it more useful to apply existing part 139
retention standards for ease of document retention instead of syncing
requirements with part 5. A certificate holder may always choose to
retain records for longer, especially where State laws require longer
retention. This final rule provides the minimum requirement for
compliance.
(6) SMS Manual Updates
While drafting this final rule, the FAA recognized some confusion
regarding the requirement in Sec. 139.401(g) to provide the FAA with
copies of any changes to the Airport SMS Manual, on an annual basis.
This final rule retains this provision but adds the caveat ``or upon
FAA request.'' One commenter from the 2021 comment period incorrectly
interpreted the SNPRM as requiring FAA approval of SMS manuals, and
noted that such approval will impede SMS development.
Unlike the ACM, the SMS Manual is not approved; rather, it is
accepted by the FAA. The certificate holder could implement new
provisions in the SMS Manual without previously sharing those changes
with the FAA, unlike the requirement for changes to the FAA-approved
ACM. Therefore, regulatory text was necessary to ensure that the FAA
has the most up-to-date version of the SMS Manual prior to conducting
the annual certification inspection, or during any other surveillance
activities.
If no changes have been made to the SMS Manual over the past year
(or upon FAA request), the certificate holder can simply send an
electronic or written message to the FAA stating no changes have been
made.
(7) Guidance and Work Groups
The FAA received numerous comments during both the 2016 and 2021
comment periods from certificate holders and associations, requesting
clarification on how the FAA would (a) update existing draft guidance
with publication of this final rule, and (b) provide timely updates to
guidance, during implementation.
The FAA received comments during the 2021 comment period inquiring
about industry participation in development of the final rule. The FAA
provided industry an opportunity to participate in the development of
the final rule through the 2016 and 2021 comment periods, in accordance
with the Administrative Procedure Act.
AC 150/5200-37A has been updated to address requirements contained
in this final rule and is being published simultaneously with this
final rule. All comments related to AC material were catalogued and
adjudicated during the update to AC 150/5200-37A. Industry was given
additional time to submit comments on the AC and the FAA received
detailed comments within the comment period. Regarding comments
received during the 2016 and 2021 comment periods on guidance updates,
the FAA has several existing methods for disseminating timely updates
including Policy Guidance Letters and Cert Alerts that could be used to
disseminate implementation and oversight guidance as the programs
evolve.
One commenter from the 2021 comment period recommended the addition
of an awards and recognition section in the FAA's guidance to provide
existing examples of SMS, in an effort to encourage the growth of SMS.
The FAA encourages certificate holders to explore means of developing
their SMS safety culture at their airport and currently considers the
available guidance publications sufficient.
IV. Regulatory Notices and Analyses
Changes to Federal regulations must undergo several economic
analyses. First, Executive Order 12866 and Executive Order 13563 direct
that each Federal agency shall propose or adopt a regulation only upon
a reasoned determination that the benefits of the intended regulation
justify its costs. Second, the Regulatory Flexibility Act of 1980 (Pub.
L. 96-354) requires agencies to analyze the economic impact of
regulatory changes on small entities. Third, the Trade Agreements Act
(Pub. L. 96-39 as amended) prohibits agencies from setting standards
that create unnecessary obstacles to the foreign commerce of the United
States. In developing U.S. standards, the Trade Agreements Act requires
agencies to consider international standards and, where appropriate,
that they be the basis of U.S. standards. Fourth, the Unfunded Mandates
Reform Act of 1995 (Pub. L. 104-4) requires agencies to prepare a
written assessment of the costs, benefits, and other effects of
proposed or final rules that include a Federal mandate likely to result
in the expenditure by State, local, or tribal governments, in the
aggregate, or by the private sector, of $100 million or more (adjusted
annually for inflation) in any one year. The FAA has provided a more
detailed Regulatory Impact Analysis of this final rule in the docket of
this rulemaking. This portion
[[Page 11664]]
of the preamble summarizes the FAA's analysis of the economic impacts
of this rule.
In conducting these analyses, the FAA has determined that this
final rule: (1) has benefits that justify its costs; (2) is not an
economically ``significant regulatory action'' as defined in section
3(f) of Executive Order 12866; (3) is ``significant'' as defined in
DOT's Regulatory Policies and Procedures; (4) will have a significant
economic impact on a substantial number of small entities; (5) will not
create unnecessary obstacles to the foreign commerce of the United
States; and (6) will not impose an unfunded mandate on state, local, or
tribal governments, or on the private sector by exceeding the threshold
identified above. These analyses are summarized below.
A. Regulatory Evaluation
Total Benefits and Costs of This Rule
The rule requires a SMS at certain U.S. airports in an effort to
improve airport safety, complement existing airport safety regulations
in part 139, and meet the intent of the ICAO standard.
The goal of this rule is to improve the safety of the airfield
environment (including movement and non-movement areas) by providing an
airport with decision-making tools to plan, organize, direct, and
control its everyday activities in a manner that enhances safety. Table
4 shows benefits and costs over ten years. Table 4 also includes the
FAA's estimated cost savings of changing the traditional inspection
cycle at airports with a fully implemented SMS. The benefits discussed
below are only achievable through airports implementing mitigation
measures identified through their SMS processes; however, the
regulatory evaluation does not quantify the potential costs to
implement these mitigations. There are no available empirical
retrospective analyses of existing SMS programs that the FAA could
leverage to quantitatively estimate the benefits related to the
potential effectiveness of airport SMSs at mitigating accidents and
incidents. Transport Canada's initial 2019 report on airport SMS
implementation notes, in part, ``we were not able to quantify the
extent of SMS's contribution to aviation safety,'' although it does
discuss perceived qualitative benefits, particularly at larger
airports.\19\ Similarly, not enough time has elapsed since the
implementation of Part 121 SMS to measure the potential effectiveness
of SMS for air carriers, particularly in light of disruptions to air
travel due to the COVID-19 pandemic. As a result, to estimate some
potential benefits related to accident and incident mitigation, FAA
used a panel of subject matter experts to assign quantitative
probabilities to the mitigation effectiveness in each selected event.
As described in further detail in the Regulatory Impact Analysis, of
the 1,840 accidents and incidents used for this analysis, the FAA
assumed a 20-39 percent chance of preventing similar accidents or
incidents for 81 percent of these events through a SMS, and for the
other 19 percent of events the FAA assumed between a 40-59 percent
chance of effective mitigation.
---------------------------------------------------------------------------
\19\ (Evaluation summary--Evaluation of Safety Management
Systems in Civil Aviation--July 2019 (canada.ca)).
Table 4--Comparison of Costs and Benefits Over 10 Years
[Millions of 2020 dollars]
----------------------------------------------------------------------------------------------------------------
Present value Annualized Present value Annualized
(3%) (3%) (7%) (7%)
----------------------------------------------------------------------------------------------------------------
Benefits........................................ $199.2 $23.4 $144.1 $20.5
Costs........................................... 179.8 21.1 139.0 19.8
Cost Savings.................................... 3.1 0.4 2.2 0.3
Net Benefits (includes mitigation benefits, but 22.5 2.6 7.3 1.0
excludes mitigation costs).....................
----------------------------------------------------------------------------------------------------------------
Note: The sum of the individual items may not equal totals due to rounding.
Over the ten-year period of analysis, the estimated present value
benefit of the final rule is $144.1 million at a seven percent discount
rate with an annualized benefit of $20.5 million. At a three percent
discount rate, the present value benefit is $199.2 million with an
annualized benefit of $23.4 million. Excluding mitigation costs, the
estimated present value cost of the final rule is $139 million at a
seven percent discount rate with an annualized cost of $19.8 million.
At a three percent discount rate, the cost in present value is $179.8
million with an annualized cost of $21.1 million. The cost savings, at
a seven percent discount rate, is $2.2 million with an annualized cost
savings of $0.3 million and $3.1 million, at a three percent discount
rate, with annualized cost savings of $0.4 million.
Who is potentially affected by this rule?
After updating the list to account for the new data sources, there
are 191 applicable airports (as of February 2017). Part 139
certificated airports that meet one or more of the following triggering
criteria: (a) classified as a small, medium, or large hub airport based
on passenger data extracted from the Air Carrier Activity Information
System, (b) has a three-year rolling average of 100,000 or more total
annual operations \20\ or (c) serves any international operation other
than general aviation. Table 5 below provides an estimated number of
impacted airports by the three different triggering criteria.
---------------------------------------------------------------------------
\20\ In the context of the operations trigger, the term
operations means the sum of all arrivals and departures.
Table 5--Estimated Number of Affected Airports by Category
------------------------------------------------------------------------
Number of
Airport categories airports
------------------------------------------------------------------------
Large, Medium, and Small Hub................................ 132
>100,000 Operations......................................... 27
International Traffic....................................... 32
------------------------------------------------------------------------
General Assumptions:
Cost and benefit estimates are in 2020 dollars.
Costs and benefits are estimated over a ten-year period.
Costs to airports begin to accrue in year 1.
Benefits of SMS begin to accrue in year 5 or year 6 after
full implementation.
The present value discount rates of seven percent and
three percent are
[[Page 11665]]
applied per Office of Management and Budget guidance.\21\
---------------------------------------------------------------------------
\21\ https://www.whitehouse.gov/sites/whitehouse.gov/files/omb/circulars/A4/a-4.pdf.
---------------------------------------------------------------------------
Benefits of This Rule
The objective of SMS is to proactively manage safety, identify
potential hazards or risks, and implement measures that mitigate those
risks. The FAA envisions airports being able to use all of the
components of SMS to enhance the airport's ability to identify safety
issues and spot trends before they result in a near-miss, incident, or
accident. Anecdotally, based on the FAA Airport SMS Pilot Study,
airports indicate benefits from increased communication and reporting
that are all fundamental components of SMS. These efforts are expected
to prevent accidents and incidents. Over the ten-year period of
analysis, the benefits of the rule are estimated to be $144.1 million
at seven percent present value or $20.5 million annualized. At a 3
percent discount rate, the benefit in present value is $199.2 million
or $23.4 million annualized.
Costs of This Rule
The rule requires certain part 139 certificated airports to
establish a SMS based on the four components: (i) safety policy; (ii)
safety risk management (SRM); (iii) safety assurance; and (iv) safety
promotion. These components include costs to document an airport's
Implementation Plan and SMS manual, staffing, equipment/material,
training, update training records, and recording potential hazards over
ten years. The costs vary based on the size of the airport. The total
cost, over 10 years, in present value at a seven percent discount rate
is $139 million or $19.8 million annualized. At a three percent
discount rate, the cost in present value is $179.8 million or $21.1
million annualized.
Alternatives Considered
The FAA analyzed the following applicability alternatives in the
SNPRM:
1. All part 139 airports;
2. Airport operators holding a Class I AOC;
3. Certificated international airports;
4. Large, medium, and small hub airports and certificated airports
with more than 100,000 total annual operations; and
5. Large, Medium, and Small hub airports, certificated airports
with more than 100,000 total annual operations, and certificated
international airports.
The SNPRM identified the last alternative as the preferred
alternative. Upon receiving comments on how affected airports were
selected, the FAA reviewed the selection process and refined some of
the triggering criteria. This final rule will continue to apply to
large, medium, and small hub airports, certificated airports with more
than 100,000 total annual operations, and certificated airports that
serve any international operation other than general aviation. The
change in this final rule further reduces the number of applicable
airports from approximately 265 impacted airports to 191.
B. Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980 (Pub. L. 96-354) (RFA)
establishes ``as a principle of regulatory issuance that agencies shall
endeavor, consistent with the objectives of the rule and of applicable
statutes, to fit regulatory and informational requirements to the scale
of the businesses, organizations, and governmental jurisdictions
subject to regulation. To achieve this principle, agencies are required
to solicit and consider flexible regulatory proposals and to explain
the rationale for their actions to assure that such proposals are given
serious consideration.'' The RFA covers a wide range of small entities,
including small businesses, not-for-profit organizations, and small
governmental jurisdictions.
Section 604 of the Act requires agencies to prepare a final
regulatory flexibility analysis (FRFA) describing the impact of final
rules on small entities. After preparing the FRFA, the FAA estimates
that a substantial number of small-entity airports will be affected by
the final rule and does not certify that there will not be a
significant effect on a substantial number of small entities.
(i) A Statement of the Need for, and Objectives of, the Rule
The FAA remains committed to continuously improving safety in air
transportation. The FAA believes that a SMS can address potential
safety gaps that are not completely eliminated through effective FAA
regulations and technical operating standards. The certificate holder
best understands its own operating environment and, therefore, is in
the best position to address safety issues through improved management
practices.
Both the NTSB and ICAO support SMS as a means to prevent future
accidents and improve safety. The NTSB has cited organizational factors
contributing to aviation accidents and has recommended SMS for several
sectors of the aviation industry, including aircraft operators. The FAA
has concluded those same organizational factors and benefits of SMS
apply across the aviation industry, including airports. In 2001, ICAO
adopted a standard in Annex 14 that all member states establish SMS
requirements for airport operators hosting international operations.
The FAA supports conformity of U.S. aviation safety regulations with
ICAO standards and recommended practices.
(ii) A Statement of the Significant Issues Raised by the Public
Comments in Response to the Initial Regulatory Flexibility Analysis, a
Statement of the Assessment of the Agency of Such Issues, and a
Statement of Any Changes Made in the Proposed Rule as a Result of Such
Comments
Many commenters reported an additional burden on small airports
that they believe was not included on the Initial Regulatory
Evaluation.
FAA Response: The FAA reevaluated the impact by class to assess the
burden on smaller airports. While the FAA originally believed that
Class II, III, IV certificate holders would gain benefits similar to
Class I certificate holders from formalized hazard identification, risk
analysis, training and communications processes; the cost impact is
substantial on these certificate holders. Based on this analysis the
FAA changed the scope of this final rule to affect a smaller population
of small airports. The change in this requirement still advances the
FAA's safety goals by targeting airports with over 90 percent of all
passenger enplanements.
Additionally, SMS is scalable. Airport characteristics, such as
size, organization and governance structures, type of air carrier
operations, and number of operations, are all factors that affect a
certificate holder's version of SMS. This final rule further clarifies
the scalability of SMS, which the FAA believes mitigates the burden on
smaller airports and this final rule also increases the time for
implementation.
A commenter disputes the definition of a small airport by operation
and class.
FAA Response: The FAA maintains that the number of operations and
class help determine the size of an airport. Effectively all non-Class
I airports are treated as small. The FAA agrees that a substantial
number of small-entity airports will be affected. Many of the smaller
airport employees have broad responsibilities--an airport employee
could cut the grass, remove foreign-object debris, and drive the fire
truck. The classification of small in the regulatory evaluation was
done based on operation and size. The regulatory
[[Page 11666]]
flexibility analysis uses the SBA definition.
(iii) The Response of the Agency to Any Comments Filed by the Chief
Counsel for Advocacy of the Small Business Administration in Response
to the Proposed Rule, and a Detailed Statement of Any Change Made to
the Proposed Rule in This Final Rule as a Result of the Comments
The FAA did not receive comments to the SNPRM from the Small
Business Administration.
(iv) A Description of an Estimate of the Number of Small Entities to
Which the Rule Will Apply or an Explanation of Why No Such Estimate Is
Available
There are an estimated 191 part 139 certificated airports impacted
by the rule. From the 191 airports, the FAA identified at least 32
airports that meet the Small Business Administration (SBA) definition
of small governmental jurisdictions such as governments of cities,
counties, towns, townships, villages, school districts, or special
districts with populations of less than 50,000.\22\ The FAA considers
this a substantial number of small entities. The 2015 revenue, for
these airports, ranges from about $123 thousand to $41.0 million. Using
the preceding information, the FAA estimates that their ratio of
annualized costs to annual revenues is higher than 2 percent for
several of the airports, as shown in Table 6 below.
---------------------------------------------------------------------------
\22\ https://www.sba.gov/sites/default/files/advocacy/How-to-Comply-with-the-RFA-WEB.pdf.
\23\ Data retrieved 10/4/2017 from https://data.census.gov/cedsci/table?tid=GOVSTIMESERIES.CG00ORG01.
\24\ Revenue data from Compliance Activity Tracking System
(CATS) accessed on 10/5/2017 from https://cats.airports.faa.gov/.
\25\ Annualized using a capital recovery factor of 0.14238, over
10 years, using a 7 percent rate of interest.
Table 6--Breakout of Airports Meeting SBA Definition
--------------------------------------------------------------------------------------------------------------------------------------------------------
2015 Total
Number Airport ident. New part 139 Population 2015 NPIAS 2015 Revenue \24\ annualized Ratio (%)
classification estimate \23\ classification costs \25\
--------------------------------------------------------------------------------------------------------------------------------------------------------
1........... ACK................ Class I............ 10,858 Non Hub........... $7,744,371 $85,175 1.10.
2........... ACY................ Class I............ 39,091 Small Hub......... 12,012,655 85,175 0.71.
3........... BGM................ Class I............ 46,058 Non Hub........... 3,185,093 85,175 2.67.
4........... BGR................ Class I............ 32,309 Non Hub........... 12,036,215 85,175 0.71.
5........... BTV................ Class I............ 42,477 Small Hub......... 16,639,848 85,175 0.51.
6........... BZN................ Class I............ 43,399 Small Hub......... 8,918,137 85,175 0.96.
7........... CIU................ Class I............ 13,787 Non Hub........... 1,031,955 85,175 8.25.
8........... COE................ Class IV........... 49,131 GA................ not available 85,175 not available.
9........... DRT................ Class I............ 36,000 Non Hub........... not available 85,175 not available.
10.......... ECP................ Class I............ 37,495 None.............. 10,320,416 85,175 0.83.
11.......... EGE................ Class I............ 6,840 Non Hub........... 4,860,347 85,175 1.75.
12.......... ELM................ Class I............ 28,291 Non Hub........... 3,002,954 85,175 2.84.
13.......... FAI................ Class I............ 32,453 Small Hub......... 9,971,203 85,175 0.85.
14.......... FRG................ Class IV........... 8,685 Reliever.......... not available 85,175 not available.
15.......... GCN................ Class I............ 585 Non Hub........... 1,359,481 85,175 6.27.
16.......... GSP................ Class I............ 28,340 Small Hub......... 8,309,709 85,175 1.03.
17.......... IAG................ Class I............ 48,888 Reliever.......... 2,559,262 85,175 3.33.
18.......... INL................ Class I............ 6,172 Non Hub........... 123,838 85,175 68.78.
19.......... JNU................ Class I............ 32,603 Small Hub......... 6,224,563 85,175 1.37.
20.......... KTN................ Class I............ 8,176 Non Hub........... not available 85,175 not available.
21.......... MDT................ Class I............ 49,070 Small Hub......... 26,150,106 85,175 0.33.
22.......... MLI................ Class I............ 42,636 Small Hub......... 11,064,089 85,175 0.77.
23.......... MRY................ Class I............ 28,394 Non Hub........... 8,468,100 85,175 1.01.
24.......... MYR................ Class I............ 31,027 Small Hub......... 18,799,347 85,175 0.45.
25.......... PGD................ Class I............ 18,155 Non Hub........... 7,048,500 85,175 1.21.
26.......... PRC................ Class I............ 41,603 Comm Serv......... 1,448,110 85,175 5.88.
27.......... PSP................ Class I............ 47,201 Small Hub......... 19,063,440 85,175 0.45.
28.......... SGJ................ Class I............ 14,061 Non Hub........... 3,657,899 85,175 2.33.
29.......... TEB................ Class IV........... 69 Reliever.......... 41,039,253 85,175 0.21.
30.......... TIX................ Class IV........... 45,278 GA................ not available 85,175 not available.
31.......... TRI................ Class I............ 26,651 Non Hub........... 6,583,279 85,175 1.29.
32.......... VRB................ Class IV........... 16,343 GA................ not available 85,175 not available.
--------------------------------------------------------------------------------------------------------------------------------------------------------
(v) A description of the Projected Reporting, Recordkeeping and Other
Compliance Requirements of the Rule, Including an Estimate of the
Classes of Small Entities Which Will Be Subject to the Requirement and
the Type of Professional Skills Necessary for Preparation of the Report
or Record
[[Page 11667]]
Table 7--Small Airport
[Costs over 10 years]
----------------------------------------------------------------------------------------------------------------
Total cost per
Small airport costs Total hours airport Description
----------------------------------------------------------------------------------------------------------------
Manual & Implementation Plan (One-time).... N/A $138,150 One-time cost of $138,150 per small
airport.
Manual Revisions (Annually)................ 72 1,990 Clerical Employee Wage x 12 hours x
6 years.
Staffing................................... N/A 774,918 129,159 staffing cost per airport x
6 years.
Initial Software (One-time)................ N/A 26,074 Initial Software Cost of $26,074
per airport.
Recurrent Software (Annually).............. N/A 32,595 Recurring Software Cost of $6519
per airport x 5 years.
Initial Training fee (One-time)............ N/A 810 1 Manager, 1 Maintenance Person, 1
Clerical x $270 training fee per
person.
Initial Training Time (One-time)........... 9 462 1 Manager, 1 Maintenance Person, 1
Clerical x 3 hours for each.
Recurrent Training Fee (Biennial).......... NA 540 1 Manager, 1 Maintenance Person, 1
Clerical x $90 training fee per
person x 2 years.
Recurrent Training Time (Biennial)......... 9 462 1 Manager, 1 Maintenance Person, 1
Clerical x 1.5 hours for each x 2
years.
Hazard Awareness Orientation (One-time).... 8 692 SMS Manager x 8 hours.
Hazard Awareness Orientation (Biennial).... 4 346 SMS Manager x 2 hours to update
awareness orientation x 2 Years.
Promotional Material (Biennial)............ N/A 7,020 2340 spent every other year on
promotional material x 3 years.
Record Potential Hazards (Annually)........ 65 1,797 Clerical Wage x 15 min x 52 hazards
per year x 5 years.
Reporting Potential Hazards (Annually)..... 65 4,668 Blended Wage x 15 min x 52 hazards
per year x 5 years for small
airports.
Update Distribution Log (Biennial)......... 2.5 69 Clerical Wage x 5 min x 10 tenants
per small airport x 3 years.
Update Training Records (Biennial)......... 0.8 22 Clerical Wage x 5 min x 3 employee
training records per airport x 3
years.
Documenting Safety Risk Management 130 5,188 Operations Specialist Wage x 30 min
(Annually). x 52 documents per year x 5 years.
Reporting Safety Information under Safety 10 631 Operations Research Wage x 1 hour x
Assurance (Annually). 2 reports per year x 5 years.
--------------------------------
Total.................................. 375 996,434
----------------------------------------------------------------------------------------------------------------
Table notes:
Clerical Employee \26\ $27.64.
Operation Research Analyst \27\ $63.12.
General and Operations Manager \28\ $86.50.
Airfield Operations Specialist \29\ $39.31.
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield Ops Specialist) \30\ $71.82.
---------------------------------------------------------------------------
\26\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 43-6014; May 2020. This wage includes compensation
information from BLS.
\27\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 15-2031; May 2020. This wage includes compensation
information from BLS.
\28\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 11-1021; May 2020. This wage includes compensation
information from BLS.
\29\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 53-2022; May 2020. This wage includes compensation
information from BLS.
\30\ Blended wage: Bureau of Labor Statistic (BLS); Annual Mean
Wage, Occupation Code 53-2022; May 2020. This wage includes
compensation information from BLS.
----------------------------------------------------------------------------------------------------------------
Total cost per
Small airport costs Total hours airport Description
----------------------------------------------------------------------------------------------------------------
Manual & Implementation Plan (One-time).... N/A $138,150 One-time cost of $138,150 per small
airport.
Manual Revisions (Annually)................ 72 1,990 Clerical Employee Wage x 12 hours x
6 years.
Staffing................................... N/A 774,918 $129,159 staffing cost per airport
x 6 years.
Initial Software (One-time)................ N/A 26,074 Initial Software Cost of $26,074
per airport.
Recurrent Software (Annually).............. N/A 32,595 Recurring Software Cost of $6,519
per airport x 5 years.
Initial Training fee (One-time)............ N/A 810 1 Manager, 1 Maintenance Person, 1
Clerical x $270 training fee per
person.
Initial Training Time (One-time)........... 9 462 1 Manager, 1 Maintenance Person, 1
Clerical x 3 hours for each.
Recurrent Training Fee (Biennial).......... NA 540 1 Manager, 1 Maintenance Person, 1
Clerical x $90 training fee per
person x 2 years.
Recurrent Training Time (Biennial)......... 9 462 1 Manager, 1 Maintenance Person, 1
Clerical x 1.5 hours for each x 2
years.
Hazard Awareness Orientation (One-time).... 8 692 SMS Manager x 8 hours.
Hazard Awareness Orientation (Biennial).... 4 346 SMS Manager x 2 hours to update
awareness orientation x 2 Years.
Promotional Material (Biennial)............ N/A 7,020 $2,340 spent every other year on
promotional material x 3 years.
[[Page 11668]]
Record Potential Hazards (Annually)........ 65 $1,797 Clerical Wage x 15 min x 52 hazards
per year x 5 years.
Reporting Potential Hazards (Annually)..... 65 4,150 Blended Wage x 15 min x 52 hazards
per year x 5 years for small
airports.
Update Distribution Log (Biennial)......... 2.5 69 Clerical Wage x 5 min x 10 tenants
per small airport x 3 years.
Update Training Records (Biennial)......... 0.8 22 Clerical Wage x 5 min x 3 employee
training records per airport x 3
years.
Documenting Safety Risk Management 130 5,188 Operations Specialist Wage x 30 min
(Annually). x 52 documents per year x 5 years.
Reporting Safety Information under Safety 10 631 Operations Research Wage x 1 hour x
Assurance (Annually). 2 reports per year x 5 years.
--------------------------------
Total.................................. 375 995,916
----------------------------------------------------------------------------------------------------------------
Table notes:
Clerical Employee \31\ $27.64.
Operation Research Analyst \32\ $63.12.
General and Operations Manager \33\ $86.50.
Airfield Operations Specialist \34\ $39.31.
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield Ops Specialist) \35\ $63.85.
(vi) A Description of the Steps the Agency Has Taken To Minimize the
Significant Economic Impact on Small Entities Consistent With the
Stated Objectives of Applicable Statutes, Including a Statement of the
Factual, Policy, and Legal Reasons for Selecting the Alternative
Adopted in This Final Rule and Why Each One of the Other Significant
Alternatives to the Rule Considered by the Agency Which Affect the
Impact on Small Entities Was Rejected
---------------------------------------------------------------------------
\31\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 43-6014; May 2020. This wage includes compensation
information from BLS.
\32\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 15-2031; May 2020. This wage includes compensation
information from BLS.
\33\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 11-1021; May 2020. This wage includes compensation
information from BLS.
\34\ Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Code 53-2022; May 2020. This wage includes compensation
information from BLS.
\35\ Blended wage computed by taking the average of four
occupation wages: Bureau of Labor Statistic (BLS); Annual Mean Wage,
Occupation Codes 53-2022, 53-2011, 49-3011, 53-2031; May 2020. This
wage includes compensation information from BLS.
---------------------------------------------------------------------------
The FAA analyzed the following four alternatives in the SNPRM: (a)
all part 139 airports; (b) airport operators holding a Class I AOC; (c)
certificated international airports; (d) large, medium, and small hub
airports and certificated airports with more than 100,000 total annual
operations; and (e) large, medium, and small hub airports, certificated
airports with more than 100,000 total annual operations (the sum of all
arrivals and departures), and certificated international airports. The
fourth alternative was identified as the preferred alternative in the
SNPRM. This alternative reduced the qualified population of airports
from all 531 part 139 airports to approximately 265 by eliminating a
number of small airports. This alternative focused on airports with
high passenger traffic and included facilities with the largest number
of arrivals and departures so that safety benefits would flow to the
overwhelming majority of aircraft operations.
This final rule will continue to apply to large, medium, and small
hub airports, certificated airports with 100,000 or more total annual
operations using a three-year rolling average, and certificated
airports that serve any international operation other than general
aviation. However, after reviewing public comments to the SNPRM, the
FAA modified the preferred alternative to allow airports identified
under the international trigger with no international commercial
traffic to obtain a waiver from this regulation. This change in this
final rule reduces the number of airports from approximately 265 to 191
qualified airports. The additional estimated 74 airports that the FAA
projects will obtain waivers are also small airports.
C. International Trade Impact Assessment
The Trade Agreements Act of 1979 (Pub. L. 96-39), as amended by the
Uruguay Round Agreements Act (Pub. L. 103-465), prohibits Federal
agencies from establishing standards or engaging in related activities
that create unnecessary obstacles to the foreign commerce of the United
States. Pursuant to these Acts, the establishment of standards is not
considered an unnecessary obstacle to the foreign commerce of the
United States, so long as the standard has a legitimate domestic
objective, such as the protection of safety, and does not operate in a
manner that excludes imports that meet this objective. The statute also
requires consideration of international standards and, where
appropriate, that they be the basis for U.S. standards. The FAA has
assessed the potential effect of this final rule and determined that it
will have only a domestic impact and, therefore, will not create
unnecessary obstacles to the foreign commerce of the United States.
D. Unfunded Mandates Assessment
Title II of the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-
4) requires each Federal agency to prepare a written statement
assessing the effects of any Federal mandate in a proposed or final
agency rule that may result in an expenditure of $100 million or more
(in 1995 dollars) in any one year by State, local, and tribal
governments, in the aggregate, or by the private sector; such a mandate
is deemed to be a ``significant regulatory action.'' The FAA uses an
inflation-adjusted value of $158.0 million in lieu of $100 million.
This final rule does not contain such a mandate; therefore, the
requirements of Title II of the Act do not apply.
E. Paperwork Reduction Act
The Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) requires
that the FAA consider the impact of paperwork and other information
collection burdens imposed on the public. According to the 1995
amendments to the Paperwork Reduction Act (5 CFR 1320.8(b)(2)(vi)), an
agency may not collect or sponsor the collection of information, nor
may it impose an information collection requirement unless it displays
a valid Office of Management and Budget (OMB) control number.
This final rule will impose the following amended information
[[Page 11669]]
collection requirements to the existing information collection
requirements previously approved under OMB Control Number 2120-0675. As
required by the Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)),
the FAA submitted these information collection amendments for its
review and OMB approved the amended information collection requirements
under existing OMB Control Number 2120-0675.
Summary: This final rule requires certain certificate holders to
establish a SMS for the entire airfield environment (including movement
and non-movement areas) to improve safety at airports hosting air
carrier operations. A SMS is a formalized approach to managing safety
by developing an organization-wide safety policy, developing formal
methods for identifying hazards, analyzing and mitigating risk,
developing methods for ensuring continuous safety improvement, and
creating organization-wide safety promotion strategies.
Under this final rule, applicable certificate holders are required
to submit an Implementation Plan, SMS Manual and/or ACM update under a
staggered implementation schedule. The intent of the Implementation
Plan is for a certificate holder to identify its plan for implementing
SMS within applicable areas, and map its schedule for implementing
requirements. The certificate holder will describe its means for
complying with this final rule by either developing a SMS Manual and
updating its ACM with cross-references, or documenting the SMS
requirements directly in the ACM.
This final rule also requires applicable certificate holders to
maintain records related to formalized hazard identification and
analysis under Safety Risk Management, training records under Safety
Promotion, and other Safety Promotion materials (also referred to as
safety communications).
Public comments: The FAA received a few comments in the 2016 and
2021 comment periods that expressed concern that the initial SMS
planning, data collection, software, documentation, and implementation
process were underestimated. Another commenter stated that the
regulatory evaluation did not account for the cost of attrition on
training records.
The FAA used information from pilot study participants before and
after the initial regulatory evaluation to estimate costs and cannot
validate the cost estimates provided above. Additionally, the FAA had
no basis to account for attrition on the small number of employees that
are estimated to require training under the rule. Attrition is a normal
course of business cost. The FAA expects little to no attrition solely
due to SMS.
Use: While the Implementation Plan's main purpose is to guide a
certificate holder's implementation, the plan also provides a basis for
the FAA's oversight during the development and implementing phases. The
FAA's review and approval of the Implementation Plan ensures that a
certificate holder is given feedback early and before it may make
significant capital improvements as part of its SMS development and
implementation.
The ACM update and/or the SMS Manual establishes the foundation for
a SMS. Like the Implementation Plan, the FAA will approve the ACM
update (a current practice under the existing rule). However, the FAA
will accept the certificate holder's SMS Manual.
Collection and analysis of safety data is an essential part of a
SMS. Types of data to be collected, retention procedures, analysis
processes, and organizational structures for review and evaluation will
be documented in either the ACM or SMS Manual, with cross-references in
the ACM. These records will be used by a certificate holder in the
operation of its SMS and to facilitate continuous improvement through
evaluation and monitoring. While this final rule does not require a
certificate holder to submit these records to the FAA, it is required
to make these records available upon request.
Respondents (including number of): The FAA estimates that 191 part
139 certificated airports will be impacted by the paperwork
requirements in this rule.
Table 8--Affected Population
----------------------------------------------------------------------------------------------------------------
Number of
Airport* categories airports Data source
----------------------------------------------------------------------------------------------------------------
Large, Medium, and Small Hub.................. 132 2015 annual passenger boarding (enplanements)
and all-cargo data from Air Carrier Activity
Information System (ACAIS) available on
FAA.gov.
>100,000 Operations........................... 27 Rolling average of 2013 to 2015 FAA Form 5010-1,
Airport Master Record for non-towered airports
and Operations Network (OPSNET) data for
towered airports.
International Traffic......................... 32 All available CBP data sources including CBP
regulations, public website information, and
the private flyers list of available airports
to determine international applicability
(excludes airports with no commercial
international traffic).
----------------------------------------------------------------------------------------------------------------
Frequency and Annual Burden Estimate: The FAA used the information
below to estimate the paperwork burden for the approximately 132 large
and 59 small part 139 certificated airports impacted by the rule.
Table 9--Wages
------------------------------------------------------------------------
------------------------------------------------------------------------
Clerical Employee........................................... $27.64
Operation Research Analyst.................................. 63.12
Management Occupations...................................... 86.50
Airfield Operations Specialist.............................. 39.91
Blended Wage (Mechanic, Pilot, Flight Attendant, Airfield 63.85
Operations Specialist......................................
------------------------------------------------------------------------
[[Page 11670]]
Table 10--Impact on Small Airports
[Over 10 years]
----------------------------------------------------------------------------------------------------------------
Hours per
Paperwork requirements airport Small airport Description
----------------------------------------------------------------------------------------------------------------
Manual & Implementation Plan (One-time)....... NA $138,150 One-time cost of $138,150 per
small airport.
Manual Revisions (Annually)................... 72 1,990 Clerical Employee Wage x 12
hours x 6 years for small
airports.
Initial Software (One-time)................... NA 26,074 Initial Software Cost of $26,074
per airport.
Recurrent Software (Annually)................. NA 32,595 Recurring Software Cost of
$6,519 per airport x 5 years
for small airports.
Promotional Material (Biennially)............. NA 7,020 $2,340 spent every other year on
promotional material x 3 years.
Record Potential Hazards (Annually)........... 65 1,797 Clerical Wage x 15 min x 52
hazards per year x 5 years for
small airports.
Reporting Potential Hazards (Annually)........ 65 4,150 Blended Wage x 15 min x 52
hazards per year x 5 years for
small airports.
Update Distribution Log (Biennially).......... 2.5 69 Clerical Wage x 5 min x 10
tenants per small airport x 3
years.
Update Training Records (Biennially).......... 0.8 22 Clerical Wage x 5 min x 3
employee training records per
airport x 3 years.
Documenting Safety Risk Management (Annually). 130 5,188 Operations Specialist Wage x 30
min x 52 documents per year x 5
years for small airports.
Reporting Safety Information under Safety 10 631 Operations Research Wage x 1
Assurance (Annually). hour x 2 reports per year x 5
years for small airports.
--------------------------------
Total..................................... 345.3 217,686
----------------------------------------------------------------------------------------------------------------
Table 11--Impact on Large Airports
[Over 10 years]
----------------------------------------------------------------------------------------------------------------
Hours per
Paperwork requirements airport Large airport Description
----------------------------------------------------------------------------------------------------------------
Manual & Implementation Plan (One-time)....... NA $250,460 One-time cost of $250,460 per
large airport.
Manual Revisions (Annually)................... 84 2,322 Clerical Employee Wage x 12
hours x 7 years for large
airports.
Initial Software (One-time)................... NA 26,074 Initial Software Cost of $26,074
per airport.
Recurrent Software (Annually)................. NA 39,114 Recurring Software Cost of
$6,519 per airport x 6 years
for large airports.
Promotional Material (Biennially)............. NA 7,020 $2,340 spent every other year on
promotional material x 3 years.
Record Potential Hazards (Annually)........... 78 2,156 Clerical Wage x 15 min x 52
hazards per year x 6 years for
large airports.
Reporting Potential Hazards (Annually)........ 78 4,980 Blended Wage x 15 min x 52
hazards per year x 6 years for
large airports.
Update Distribution Log (Biennially).......... 37.5 1,037 Clerical Wage x 15 min x 50
tenants per large airport x 3
years.
Update Training Records (Biennially).......... 3.3 91 Clerical Wage x 5 min x 10
employee training records per
airport x 4 years.
Documenting Safety Risk Management (Annually). 156 6,226 Operations Specialist Wage x 30
min x 52 documents per year x 6
years for large airports.
Reporting Safety Information under Safety 12 757 Operations Research Wage x 1
Assurance (Annually). hour x 2 reports per year x 6
years for large airports.
--------------------------------
Total..................................... 448.8 340,237
----------------------------------------------------------------------------------------------------------------
The hourly burden, over 10 years, for small airports is 345.3 hours
multiplied by 59 airports for a total of 20,373 hours. Annually, this
is equivalent to 2,037 hours per year. For the 132 large airports, the
hourly burden is 59,242 over 10 years or 5,924 hours per year.
While Tables 8 and 9 identify the cost per airport, there are a few
airports that will not purchase software. For small airports, there are
44 airports with a per airport cost of $217,686 and 15 airports with a
per airport cost of $191,612 (excluding the $26,074 initial software
cost). For large airports, there are 99 airports with an estimated per
airport cost of $340,237. The remaining 33 airports have a per airport
cost of $314,163 (excluding the $26,074 initial software cost). The
total cost burden combined over a 10-year period, for small and large
airports, sums to $556.4 million ($51 million at 7 percent present
value).
F. International Compatibility and Cooperation
In keeping with U.S. obligations under the Convention on
International Civil Aviation, it is FAA policy to conform to
International Civil Aviation Organization (ICAO) Standards and
Recommended Practices to the maximum extent practicable. The FAA has
reviewed the corresponding ICAO Standards and Recommended Practices and
has identified no differences with these proposed regulations.
G. Environmental Analysis
FAA Order 1050.1F identifies FAA actions that are categorically
excluded from preparation of an environmental assessment or
environmental impact statement under the National Environmental Policy
Act in the absence of extraordinary circumstances. The FAA has
determined this rulemaking action qualifies for the categorical
exclusion identified in
[[Page 11671]]
paragraph 5-6.6 and involves no extraordinary circumstances.
V. Executive Order Determinations
A. Executive Order 13132, Federalism
The FAA has analyzed this final rule under the principles and
criteria of Executive Order 13132, Federalism. Most airports subject to
this final rule are owned, operated, or regulated by a local government
body (such as a city or council government), which, in turn, is
incorporated by or as part of a State. The FAA determined that this
action will not have a substantial direct effect on the States, or the
relationship between the Federal Government and the States, or on the
distribution of power and responsibilities among the various levels of
government, and, therefore, does not have Federalism implications.
B. Executive Order 13211, Regulations That Significantly Affect Energy
Supply, Distribution, or Use
The FAA analyzed this final rule under Executive Order 13211,
Actions Concerning Regulations that Significantly Affect Energy Supply,
Distribution, or Use (May 18, 2001). The FAA has determined that it is
not a ``significant energy action'' under the executive order and it is
not likely to have a significant adverse effect on the supply,
distribution, or use of energy.
C. Executive Order 13609, Promoting International Regulatory
Cooperation
Executive Order 13609, Promoting International Regulatory
Cooperation, promotes international regulatory cooperation to meet
shared challenges involving health, safety, labor, security,
environmental, and other issues and reduce, eliminate, or prevent
unnecessary differences in regulatory requirements. The FAA has
analyzed this action under the policy and agency responsibilities of
Executive Order 13609, Promoting International Regulatory Cooperation.
The FAA has determined that this action would eliminate differences
between U.S. aviation standards and those of other civil aviation
authorities by requiring certain certificated airports to have a SMS.
VI. How To Obtain Additional Information
A. Rulemaking Documents
An electronic copy of a rulemaking document may be obtained by
using the internet--
1. Search the Federal eRulemaking Portal (www.regulations.gov);
2. Visit the FAA's Regulations and Policies web page at
www.faa.gov/regulations_policies/; or
3. Access the Government Printing Office's web page at
www.GovInfo.gov.
Copies may also be obtained by sending a request (identified by
notice, amendment, or docket number of this rulemaking) to the Federal
Aviation Administration, Office of Rulemaking, ARM-1, 800 Independence
Avenue SW, Washington, DC 20591, or by calling (202) 267-9680.
B. Comments Submitted to the Docket
Comments received may be viewed by going to www.regulations.gov and
following the online instructions to search the docket number for this
action. Anyone is able to search the electronic form of all comments
received into any of the FAA's dockets by the name of the individual
submitting the comment (or signing the comment, if submitted on behalf
of an association, business, labor union, etc.).
C. Small Business Regulatory Enforcement Fairness Act
The Small Business Regulatory Enforcement Fairness Act (SBREFA) of
1996 requires FAA to comply with small entities' requests for
information or advice about compliance with statutes and regulations
within its jurisdiction. A small entity with questions regarding this
document may contact its local FAA official or the person listed under
the FOR FURTHER INFORMATION CONTACT heading at the beginning of the
preamble. To find out more about SBREFA on the internet, visit https://www.faa.gov/regulations_policies/rulemaking/sbre_act/.
List of Subjects in 14 CFR Part 139
Air carriers, Airports, Aviation safety, Reporting and
recordkeeping requirements, Safety Management Systems (SMS).
The Amendment
In consideration of the foregoing, the Federal Aviation
Administration amends chapter I of title 14, Code of Federal
Regulations as follows:
PART 139--CERTIFICATION OF AIRPORTS
0
1. The authority citation for part 139 is revised to read as follows:
Authority: 49 U.S.C. 106(f), 106(g), 40113, 44701-44706, 44709,
44719, 47175.
0
2. Amend Sec. 139.5 by adding in alphabetical order definitions for
``Accountable executive'', ``Airport Safety Management System (SMS)'',
``Hazard'', ``Non-movement area'', ``Risk'', ``Risk analysis'', ``Risk
mitigation'', ``Safety assurance'', ``Safety policy'', ``Safety
promotion'', and ``Safety risk management'' to read as follows:
Sec. 139.5 Definitions.
* * * * *
Accountable executive means an individual designated by the
certificate holder to act on its behalf for the implementation and
maintenance of the Airport Safety Management System. The accountable
executive has control of the certificate holder's human and financial
resources for operations conducted under an Airport Operating
Certificate. The accountable executive has ultimate responsibility to
the FAA, on behalf of the certificate holder, for the safety
performance of operations conducted under the certificate holder's
Airport Operating Certificate.
* * * * *
Airport Safety Management System (SMS) means an integrated
collection of processes and procedures that ensures a formalized and
proactive approach to system safety through risk management.
* * * * *
Hazard means a condition that could foreseeably cause or contribute
to: (1) injury, illness, death, damage to or loss of system, equipment,
or property, or (2) an aircraft accident as defined in 49 CFR 830.2.
* * * * *
Non-movement area means the area, other than that described as the
movement area, used for the loading, unloading, parking, and movement
of aircraft on the airside of the airport (including ramps, apron
areas, and on-airport fuel farms).
* * * * *
Risk means the composite of predicted severity and likelihood of
the potential effect of a hazard.
Risk analysis means the process whereby a hazard is characterized
for its likelihood and the severity of its effect or harm. Risk
analysis can be either a quantitative or qualitative analysis; however,
the inability to quantify or the lack of historical data on a
particular hazard does not preclude the need for analysis.
Risk mitigation means any action taken to reduce the risk of a
hazard's effect.
* * * * *
Safety assurance means processes within the SMS that function
systematically to ensure the performance and effectiveness of risk
controls or mitigations and that the organization meets or exceeds its
safety
[[Page 11672]]
objectives through the collection, analysis, and assessment of
information.
Safety policy means the certificate holder's documented commitment
to safety, which defines its safety objectives and the accountabilities
and responsibilities of its employees in regard to safety.
Safety promotion means a combination of training and communication
of safety information to support the implementation and operation of a
SMS in an organization.
Safety risk management means a process within the SMS composed of
describing the system, identifying the hazards, and analyzing,
assessing, and controlling or mitigating the risk.
* * * * *
Sec. 139.101 [Amended]
0
3. Amend Sec. 139.101 by removing paragraph (c).
0
4. Amend Sec. 139.103 by revising paragraph (b) to read as follows:
Sec. 139.103 Application for certificate.
* * * * *
(b) Submit with the application, two copies of an Airport
Certification Manual, and a Safety Management System Manual (where
applicable), prepared in accordance with subparts C and E of this part.
0
5. Amend Sec. 139.203, in the table in paragraph (b) titled ``Required
Airport Certification Manual Elements,'' by redesignating entry 29 as
entry 30 and adding a new entry 29.
The addition reads as follows:
Sec. 139.203 Contents of Airport Certification Manual.
* * * * *
(b) * * *
Required Airport Certification Manual Elements
----------------------------------------------------------------------------------------------------------------
Airport certificate class
Manual elements -------------------------------------------------------------------
Class I Class II Class III Class IV
----------------------------------------------------------------------------------------------------------------
* * * * * * *
29. Policies and procedures for the X X X X
development of, implementation of,
maintenance of, and adherence to, the
Airport's Safety Management System, as
required under subpart E of this part.
Section 139.401(1) prescribes which
certificate holders are subject to this
requirement................................
* * * * * * *
----------------------------------------------------------------------------------------------------------------
0
6. Amend Sec. 139.301 by revising paragraph (b)(1) and adding
paragraphs (b)(9) and (10) to read as follows:
Sec. 139.301 Records.
* * * * *
(b) * * *
(1) Personnel training. Twenty-four consecutive calendar months for
personnel training records and orientation materials, as required under
Sec. Sec. 139.303, 139.327, and 139.402(d).
* * * * *
(9) Safety risk management documentation. The longer of thirty-six
consecutive calendar months after the risk analysis of identified
hazards under Sec. 139.402(b)(2) has been completed, or twelve
consecutive calendar months after mitigations required under Sec.
139.402(b)(2)(v) have been completed.
(10) Safety communications. Twelve consecutive calendar months for
safety communications, as required under Sec. 139.402(d).
* * * * *
0
7. Amend Sec. 139.303 by revising paragraphs (e)(5) and (6) and adding
paragraph (e)(7) to read as follows:
Sec. 139.303 Personnel.
* * * * *
(e) * * *
(5) Sec. 139.337, Wildlife hazard management;
(6) Sec. 139.339, Airport condition reporting; and
(7) Sec. 139.402, Components of airport safety management system.
* * * * *
0
8. Add subpart E to read as follows:
Subpart E--Airport Safety Management System
Sec.
139.401 General requirements.
139.402 Components of Airport Safety Management System.
139.403 Airport Safety Management System implementation.
Subpart E--Airport Safety Management System
Sec. 139.401 General requirements.
(a) Each certificate holder or applicant for an Airport Operating
Certificate meeting at least one of the following criteria must
develop, implement, maintain, and adhere to an Airport Safety
Management System pursuant to the requirements established in this
subpart. If the certificate holder:
(1) Is classified as a large, medium, or small hub based on
passenger data extracted from the Air Carrier Activity Information
System;
(2) Has an average of 100,000 or more total annual operations,
meaning the sum of all arrivals and departures, over the previous three
calendar years; or
(3) Is classified as a port of entry, designated international
airport, landing rights airport, or user fee airport.
(b) The scope of an Airport Safety Management System must encompass
aircraft operation in the movement area, aircraft operation in the non-
movement area, and other airport operations addressed in this part.
(c) The Airport Safety Management System should correspond in size,
nature, and complexity to the operations, activities, hazards, and
risks associated with the certificate holder's operations.
(d) If a certificate holder qualifies exclusively under paragraph
(a)(3) of this section and has no tenants that are required to comply
with SMS requirements of any jurisdiction, the certificate holder is
eligible for a waiver from the requirements of paragraph (a) of this
section.
(1) To obtain the waiver, the certificate holder must submit a
written request to the Regional Airports Division Manager justifying
its request.
(2) If FAA grants a certificate holder's request for a waiver, the
certificate holder must validate its waiver eligibility to the Regional
Airports Division Manager every two years.
(e) If an airport has a tenant required to maintain a SMS subject
to the requirements of part 5 of this title, then the certificate
holder may develop a data sharing and reporting plan to address the
reporting and sharing of hazard and safety data with the tenant.
(1) Any data sharing and reporting plan must include, at a minimum:
[[Page 11673]]
(i) The types of information the certificate holder expects the
tenant to share;
(ii) The timeliness of sharing relevant safety data and reports;
(iii) Processes for analyzing joint safety issues or hazards;
(iv) Other processes, procedures, and policies to aid the
certificate holder's compliance with its obligations under the Airport
Safety Management System; and
(v) Identification of the mechanisms through which the certificate
holder will ensure compliance with the plan to achieve the full
implementation of the requirements.
(2) With a data sharing and reporting plan, the requirement for the
certificate holder to provide safety awareness orientation to the
tenants or their employees under Sec. 139.402(d)(1) is waived.
(3) The certificate holder remains the ultimate responsible party
for compliance with its Airport Safety Management System.
(f) Each certificate holder required to develop, implement,
maintain, and adhere to an Airport Safety Management System under this
subpart must describe its compliance with the requirements identified
in Sec. 139.402, either:
(1) Within a separate section of the certificate holder's Airport
Certification Manual titled Airport Safety Management System; or
(2) Within a separate Airport Safety Management System Manual. If
the certificate holder chooses to use a separate Airport Safety
Management System Manual, the Airport Certification Manual must
incorporate by reference the Airport Safety Management System Manual.
(g) On an annual basis or upon FAA request, the certificate holder
shall provide the FAA copies of any changes to the Airport Safety
Management System Manual.
(h) A certificate holder that starts implementation of an Airport
Safety Management System but no longer qualifies under paragraph (a) of
this section must continue to develop, implement, maintain, and adhere
to its Airport Safety Management System for the longest of the
following periods:
(1) Twenty-four consecutive calendar months after full
implementation; or
(2) Twenty-four consecutive calendar months from the date it no
longer qualifies under paragraph (a) of this section.
Sec. 139.402 Components of Airport Safety Management System.
An Airport Safety Management System must include:
(a) Safety Policy. A Safety Policy that, at a minimum:
(1) Identifies the accountable executive;
(2) Establishes and maintains a safety policy statement signed by
the accountable executive;
(3) Ensures the safety policy statement is available to all
employees and tenants;
(4) Identifies and communicates the safety organizational
structure;
(5) Describes management responsibility and accountability for
safety issues;
(6) Establishes and maintains safety objectives; and
(7) Defines methods, processes, and organizational structure
necessary to meet safety objectives.
(b) Safety Risk Management. Safety Risk Management processes and
procedures for identifying hazards and their associated risks within
airport operations and for changes to those operations covered by this
part that, at a minimum:
(1) Establish a system for identifying operational safety issues.
(2) Establish a systematic process to analyze hazards and their
associated risks, which include:
(i) Describing the system;
(ii) Identifying hazards;
(iii) Analyzing the risk of identified hazards and/or analyzing
proposed mitigations;
(iv) Assessing the level of risk associated with identified
hazards; and
(v) Mitigating the risks of identified hazards, when appropriate.
(3) Establish and maintain records that document the certificate
holder's Safety Risk Management processes.
(i) The records shall provide a means for airport management's
acceptance of responsibility for assessed risks and mitigations.
(ii) Records associated with the certificate holder's Safety Risk
Management processes must be retained for the longer of:
(A) Thirty-six consecutive calendar months after the risk analysis
of identified hazards under paragraph (b)(2) of this section has been
completed; or
(B) Twelve consecutive calendar months after mitigations required
under paragraph (b)(2)(v) of this section have been completed.
(c) Safety assurance. Safety assurance processes and procedures to
ensure mitigations developed through the certificate holder's Safety
Risk Management processes and procedures are adequate, and the
Airport's Safety Management System is functioning effectively. Those
processes and procedures must, at a minimum:
(1) Provide a means for monitoring safety performance including a
means for ensuring that safety objectives identified under paragraph
(a)(6) of this section are being met.
(2) Establish and maintain a safety reporting system that provides
a means for reporter confidentiality.
(3) Report pertinent safety information and data on a regular basis
to the accountable executive. Reportable data includes:
(i) Compliance with the requirements under this subpart and subpart
D of this part;
(ii) Performance of safety objectives established under paragraph
(a)(6) of this section;
(iii) Safety critical information distributed in accordance with
paragraph (d)(5)(ii) of this section;
(iv) Status of ongoing mitigations required under the Airport's
Safety Risk Management processes as described under paragraph (b)(2)(v)
of this section; and
(v) Status of a certificate holder's schedule for implementing the
Airport Safety Management System as described under Sec. 139.403.
(d) Safety Promotion. Safety Promotion processes and procedures to
foster an airport operating environment that encourages safety. Those
processes and procedures must, at a minimum:
(1) Provide all persons authorized to access the airport areas
regulated under this part with a safety awareness orientation, which
includes hazard identification and reporting. The safety awareness
orientation materials must be readily available and must be reviewed
and updated every twenty-four calendar months or sooner if necessary.
(2) Maintain a record of all safety awareness orientation materials
made available under paragraph (d)(1) of this section including any
revisions and means of distribution. Such records must be retained for
twenty-four consecutive calendar months after the materials are made
available.
(3) Provide safety training on those requirements of SMS and its
implementation to each employee with responsibilities under the
certificate holder's SMS that is appropriate to the individual's role.
This training must be completed at least every twenty-four months.
(4) Maintain a record of all training by each individual under
paragraph (d)(3) of this section that includes, at a minimum, a
description and date of training received. Such records must be
retained for twenty-four consecutive calendar months after completion
of training.
[[Page 11674]]
(5) Develop and maintain formal means for communicating important
safety information that, at a minimum:
(i) Ensures all persons authorized to access the airport areas
regulated under this part are aware of the SMS and their safety roles
and responsibilities;
(ii) Conveys critical safety information;
(iii) Provides feedback to individuals using the airport's safety
reporting system required under paragraph (c)(2) of this section; and
(iv) Disseminates safety lessons learned to relevant airport
employees or other stakeholders.
(6) Maintain records of communications required under this section
for 12 consecutive calendar months.
Sec. 139.403 Airport Safety Management System implementation.
(a) Each certificate holder required to develop, implement,
maintain, and adhere to an Airport Safety Management System under this
subpart must submit an Implementation Plan to the FAA for approval
according to the following schedule:
(1) For certificate holders identified under Sec. 139.401(a)(1),
on or before April 24, 2024;
(2) For certificate holders identified under Sec. 139.401(a)(2),
on or before October 24, 2024;
(3) For certificate holders identified under Sec. 139.401(a)(3),
on or before April 24, 2025.
(4) For a certificate holder that qualifies under Sec. 139.401(a)
after April 24, 2023, on or before 18 months after the certificate
holder receives notification from the Regional Airports Division
Manager of the change in its status.
(b) An Implementation Plan must provide:
(1) A detailed proposal on how the certificate holder will meet the
requirements prescribed in this subpart.
(2) A schedule for implementing SMS components and elements
prescribed in Sec. 139.402. The schedule must include timelines for
the following requirements:
(i) Developing the safety policy statement as prescribed in Sec.
139.402(a)(2) and when it will be made available to all employees and
tenants as prescribed in Sec. 139.402(a)(3);
(ii) Identifying and communicating the safety organizational
structure as prescribed in Sec. 139.402(a)(4);
(iii) Establishing a system for identifying operational safety
issues as prescribed in Sec. 139.402(b)(1);
(iv) Establishing a safety reporting system as prescribed in Sec.
139.402(c)(2);
(v) Developing, providing, and maintaining safety awareness
orientation materials as prescribed in Sec. 139.402(d)(1);
(vi) Providing SMS-specific training to employees with
responsibilities under the certificate holder's SMS as prescribed in
Sec. 139.402(d)(3); and
(vii) Developing, implementing, and maintaining formal means for
communicating important safety information as prescribed in Sec.
139.402(d)(5).
(3) A description of any existing programs, policies, or procedures
that the certificate holder intends to use to meet the requirements of
this subpart.
(c) Each certificate holder required to develop, implement,
maintain, and adhere to an Airport Safety Management System under this
subpart must submit its amended Airport Certification Manual and
Airport Safety Management System Manual, if applicable, to the FAA in
accordance with its Implementation Plan but not later than 12 months
after receiving FAA approval of the certificate holder's Implementation
Plan.
(d) A certificate holder that qualifies under Sec. 139.401(a) must
fully implement its Airport Safety Management System no later than 36
months after the approval of its Implementation Plan.
Issued in Washington, DC, under authority provided by 49 U.S.C.
106(f), 44701, 44702, and 44706 on or about February 15, 2023.
Billy Nolen,
Acting Administrator.
[FR Doc. 2023-03597 Filed 2-22-23; 8:45 am]
BILLING CODE 4910-13-P