Procedures for Transportation Workplace Drug and Alcohol Testing Programs: Addition of Oral Fluid Specimen Testing for Drugs, 27596-27653 [2023-08041]
Download as PDF
27596
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 120
Office of the Secretary
49 CFR Part 40
Federal Railroad Administration
49 CFR Parts 219, 240, and 242
Federal Motor Carrier Safety
Administration
49 CFR Part 382
Federal Transit Administration
49 CFR Part 655
[Docket DOT–OST–2021–0093]
RIN 2105–AE94
Procedures for Transportation
Workplace Drug and Alcohol Testing
Programs: Addition of Oral Fluid
Specimen Testing for Drugs
Office of the Secretary of
Transportation (OST), Federal Aviation
Administration (FAA), Federal Motor
Carrier Safety Administration (FMCSA),
Federal Railroad Administration (FRA),
and Federal Transit Administration
(FTA); U.S. Department of
Transportation (DOT).
ACTION: Final rule.
AGENCY:
This final rule amends the
U.S. Department of Transportation’s
regulated industry drug testing program
to include oral fluid testing. This
additional methodology for drug testing
will give employers a choice that will
help combat employee cheating on
urine drug tests and provide a less
intrusive means of achieving the safety
goals of the program. In order for an
employer to implement oral fluid testing
under the Department’s regulation, the
U.S. Department of Health and Human
Services will need to certify at least two
laboratories for oral fluid testing, which
has not yet been done. The final rule
includes other provisions to update the
Department’s regulation and to
harmonize, as needed, with the
Mandatory Guidelines for Federal
Workplace Drug Testing Programs using
Oral Fluid established by the U.S.
Department of Health and Human
Services. In addition, this rule amends
the FAA, FMCSA, FRA and FTA
regulations to ensure consistency within
the Department of Transportation and
by removing or adjusting references to
ddrumheller on DSK120RN23PROD with RULES2
SUMMARY:
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
the word ‘‘urine’’ and/or add references
to oral fluid, as well as removing or
amending some definitions for
conformity and to make other
miscellaneous technical changes or
corrections.
DATES: This final rule is effective on
June 1, 2023.
FOR FURTHER INFORMATION CONTACT: For
OST, Patrice M. Kelly, JD, Office of Drug
and Alcohol Policy and Compliance,
1200 New Jersey Avenue SE,
Washington, DC 20590; telephone
number 202–366–3784;
ODAPCwebmail@dot.gov. For FAA,
Nancy Rodriguez-Brown, Deputy
Director, Office of Aerospace Medicine,
Drug Abatement Division, AAM–800,
FAA, 800 Independence Avenue SW,
Washington, DC 20591 (telephone: 202–
267–8442; drugabatement@faa.gov). For
FMCSA, Bryan Price, Chief, Drug and
Alcohol Programs Division, Office of
Safety Programs, FMCSA, 1200 New
Jersey Avenue SE, Washington, DC
20590–0001 (telephone: 202–366–2995;
email: bryan.price@dot.gov). For FRA,
Gerald Powers, Drug and Alcohol
Program Manager, Office of Railroad
Safety—Office of Program Management,
FRA RRS–25, 1200 New Jersey Avenue
SE, Washington, DC 20590–0001
(telephone: 202–493–6313; email:
gerald.powers@dot.gov). For FTA, Iyon
Rosario, Senior Drug and Alcohol
Program Manager, Office of Transit
Safety and Oversight (TSO), FTA, 1200
New Jersey Avenue SE, Washington, DC
20590–0001 (telephone: 202–366–2010;
email: iyon.rosario@dot.gov).
SUPPLEMENTARY INFORMATION:
I. Authority for This Rulemaking
This rulemaking is promulgated
under the authority originally enacted
in the Omnibus Transportation
Employee Testing Act (OTETA) of 1991,
codified at 49 U.S.C. 45102 and 45104
(aviation industry testing), 49 U.S.C.
20140 (rail), 49 U.S.C. 31306 (motor
carrier), and 49 U.S.C. 5331 (transit).
OTETA requires that the Department
incorporate the Department of Health
and Human Services’ (HHS) Mandatory
Guidelines, including amendments, into
the Department’s regulations for testing
and laboratory requirements for
aviation, rail (except for rail postaccident testing),1 motor carrier, and
transit testing. Additional authority at 5
U.S.C. 7301 note and Executive Order
12564, establish HHS as the agency that
1 As will be discussed further below, postaccident toxicological testing conducted under FRA
authority is not subject to the OTETA mandate and
therefore does not follow Part 40 procedures. See
49 U.S.C. 20140(f), 40.1(c), 219.205(a), and
219.701(a)–(b).
PO 00000
Frm 00002
Fmt 4701
Sfmt 4700
establishes scientific and technical
guidelines for Federal workplace drug
testing programs and standards for
certification of laboratories engaged in
such drug testing. While DOT has
discretion concerning many aspects of
its regulations governing testing in the
transportation industries’ regulated
programs, DOT follows the HHS
Mandatory Guidelines for the laboratory
and specimen testing procedures.
On October 25, 2019, HHS published
a final rule establishing the Mandatory
Guidelines for Federal Workplace Drug
Testing Programs using Oral Fluid
(OFMG), which became effective
January 1, 2020. (84 FR 57554, Oct. 25,
2019). As of the time of the publication
of this final rule, there have been no
laboratories yet certified by HHS for oral
fluid testing.
II. Background
On November 21, 1988, the
Department first published its drug
testing program regulation, ‘‘Procedures
for Transportation Workplace Drug and
Alcohol Testing Programs’’, part 40 of
Title 49 of the Code of Federal
Regulations (part 40), as an interim final
rule (53 FR 47002). The Department
based the scientific requirements in that
rule on the 1988 HHS Mandatory
Guidelines for Federal Agency
Employee Drug Testing Programs (53 FR
11970, Apr. 11, 1988), which set forth
the scientific procedures for laboratories
to analyze urine specimens for the
presence of specified drugs at the HHSrequired cutoff levels for the initial and
confirmation tests for each specific drug
in urine testing. These cutoff levels for
urine were established at levels to show
use of the specified prohibited drugs.
When the Department adopted its first
drug testing final rule, we established a
procedure for urine collections
generally to take place with visual and
aural privacy afforded to each
employee, unless suspicious activity
under 49 CFR 40.25(f)(14), (16) and (23)
called for a direct observed collection
(i.e., body-to-bottle observation). (53 FR
47002, Nov. 21, 1988). In December
2000, the Department comprehensively
rewrote part 40 into plain language. The
direct observation provisions for urine
were placed in 49 CFR 40.67, with the
body-to-bottle observation requirement
remaining unchanged. (65 FR 79462,
Dec. 19, 2000).
Urine collections of private citizens
are potentially invasive searches and
seizures subject to scrutiny under the
Fourth Amendment of the United States
Constitution. Consequently, the
Department has always approached the
collection of urine from transportation
safety-sensitive employees with a
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
concern for employee privacy, which
must be balanced carefully against the
Department’s need to protect
transportation safety. The Department
protects individual rights by ensuring
privacy for employees undergoing urine
testing. Allowing directly observed
urine collections only for ‘‘cause’’ (e.g.,
suspicious activity at the collection site,
previous violations, or irregularities
determined by the laboratory testing of
a specimen), but not for all urine
collections under part 40, is another
protection for employees undergoing
testing.
In June 2008, the Department
strengthened direct observation
collection requirements to include more
effective observation procedures and
expanded the circumstances that would
warrant a direct observation procedure
to address cheating on drug tests. (73 FR
35961, Jun. 25, 2008). Although the
2008 final rule was challenged in court
and initially stayed, the stay was lifted,
and the final rule was reinstated. (74 FR
37949, Jul. 30, 2019). The United States
Court of Appeals for the District of
Columbia Circuit unanimously affirmed
the Department’s enhanced direct
observation procedures to prevent the
use of prosthetic devices used for
cheating and to expand direct
observation to tests of people who had
already violated the rules (e.g., returnto-duty and follow-up tests for persons
who had tested positive or refused to
test). See BNSF Railway Company v.
Department of Transportation, 566 F.3d
200 (D.C. Cir. 2009).
Before the Department’s move to
expand the direct observation
procedures, HHS was aware of the
potential for cheating on urine tests and
had begun its own rulemaking to
explore alternative testing methods. In
2004, HHS solicited public comment on
the following alternative testing
methods, all of which would be directly
observed: oral fluid, hair, and sweat
testing. (69 FR 19673, Apr. 13, 2004).
HHS stated: ‘‘Addition of these
specimens to the Federal Workplace
Drug Testing Program would
complement urine drug testing and aid
in combating the threat from industries
devoted to subverting drug testing
through adulteration, substitution, and
dilution.’’ (Id. at 19675). HHS noted that
there were problems with all three of
the proposed alternative matrices but
asked for additional scientific
information and sought information on
appropriate levels for proficiency testing
for these alternatives.
While the science supporting oral
fluid testing did not meet the standards
of HHS in 2004, science and research
studies have now reached the point
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
where HHS has been able to determine
that oral fluid testing is an appropriate
alternate testing method for identifying
illicit drug use in the Federal
workplace. The scientific viability of
oral fluid testing has greatly advanced
since 2004 to the point where HHS
determined, in 2019, that the
methodology is accurate and
appropriate for Federal employee
testing.
In its 2019 final rule, HHS stated that
‘‘[t]he scientific basis for the use of oral
fluid as an alternative specimen for drug
testing has now been broadly
established and the advances in the use
of oral fluid in detecting drugs have
made it possible for this alternative
specimen to be used in Federal
programs with the same level of
confidence that has been applied to the
use of urine.’’ (84 FR 57554; Oct. 25,
2019). Importantly, HHS stated that its
‘‘OFMG provide the same scientific and
forensic supportability of drug test
results as the Mandatory Guidelines for
Federal Workplace Drug Testing
Programs using Urine. . . .’’ Id.
In evaluating the progress of science
of oral fluid testing and its scientific
viability, HHS also looked at its forensic
defensibility in workplace testing.
Specifically, in its preamble to the
OFMG, HHS addressed concerns about
passive exposure as the result of
someone else’s drug use (e.g., from
second-hand smoke) in the context of
cutoffs or metabolites used in oral fluid
testing, particularly with regard to
marijuana. (84 FR 57557, 57558; Oct. 25,
2019). HHS concluded that a 4 ng/mL
screening test cutoff for THC would
detect marijuana use while eliminating
possibilities of positive tests resulting
from passive exposure, as directed by
the SUPPORT for Patients and
Communities Act, Public Law 115–271,
§ 8107(b). (See 84 FR at 57558; Oct. 25,
2019).
We recognize directly observed urine
specimen collections have long been the
most effective method for preventing
individuals from cheating on their drug
tests by substituting or adulterating their
specimens, but directly observed urine
collection may only be done in certain
circumstances due to employee privacy
concerns (see 49 CFR 40.67). All oral
fluid collections are directly observed
because they are always collected in
front of the collector. Unlike a directly
observed urine collection, an oral fluid
collection is much less intrusive on the
tested employee’s privacy. Therefore,
adding oral fluid testing as an option is
consistent with the careful balancing of
an individual’s right to privacy with the
Department’s strong interest in
PO 00000
Frm 00003
Fmt 4701
Sfmt 4700
27597
preserving transportation safety by
deterring illicit drug use.
OTETA specifically requires the
Department to follow the HHS
Mandatory Guidelines, which are the
scientific and technical guidelines that
establish comprehensive standards for
all aspects of laboratory-controlled
substances testing to ensure full
reliability and accuracy in testing.
Consequently, the Department
published a notice of proposed
rulemaking (NPRM) that proposed to
revise part 40 to add the oral fluid
testing procedures to its existing urine
drug testing procedures for safetysensitive transportation employees
subject to drug testing under part 40
(hereinafter referred to as ‘‘employees’’).
(87 FR 11156; Feb. 28, 2022). In
response to public comments requesting
an extension of the comment period, we
provided additional time through April
29, 2022. (87 FR 16160; Mar. 22, 2022).
Like HHS in its OFMG, we proposed,
and are now including in this final rule,
the option for employers to use either
urine or oral fluid testing (except for
FRA post-accident toxicological
testing).2 By providing the option for an
employer to choose collecting an oral
fluid specimen or a urine specimen,
DOT is broadening options for the
testing of safety-sensitive employees in
the transportation industries.
Importantly, in order for an employer
to implement oral fluid testing there
must be at least two HHS-certified
laboratories for oral fluid testing. There
must be one HHS-certified laboratory to
conduct the screening and confirmation
drug testing on the primary specimen.
There must be a different HHS-certified
laboratory to conduct the split specimen
drug testing on the secondary specimen,
if the employee requests split specimen
testing for a non-negative result. As of
the date of the publication of this final
rule, HHS has not yet certified any
laboratories to conduct oral fluid
testing. The following is a link to HHScertified laboratories: https://
www.samhsa.gov/workplace/drugtesting-resources/certified-lab-list As a
reminder, if the employee requests the
testing of their split specimen and there
is not a second HHS-certified laboratory
to test it, then the positive/adulterated/
substituted test result would be
cancelled per § 40.187(e) because there
2 Because FRA post-accident toxicological testing
requirements in part 219, subpart C are not subject
to the OTETA mandate and do not follow Part 40
procedures, this rule does not allow oral fluid
testing for FRA post-accident toxicological testing,
which still requires urine and blood specimens, as
well as body fluid and tissue specimens for postmortem tests. See §§ 40.1(c), 219.203(a)(1),
219.205(a), and 219.207(a).
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27598
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
would not be a way for the employee to
have their split specimen tested and this
would undermine the fairness and
accuracy of the underlying test. Thus,
for the reasons set forth above, oral fluid
testing under part 40 cannot be fully
implemented until HHS certifies at least
two laboratories.
The Department has amended some
provisions of part 40 to harmonize with
pertinent sections of the urine and oral
fluid HHS Mandatory Guidelines. We
have clarified certain existing part 40
provisions that cover the handling of
urine specimens, removed provisions
that are no longer necessary (such as
erroneous compliance dates), added
clarifying language to other provisions
(such as updated definitions and web
links where necessary), and modified a
few substantive provisions to address
issues that have arisen in practice (such
as whether a test cancelled by a medical
review officer (MRO) can ever be
uncancelled, and whether a Substance
Abuse Professional (SAP) can conduct
evaluations virtually and across State
lines). We have also modified some
proposed revisions and added some
new provisions to part 40, in response
to public comments. This final rule also
makes changes to the regulations of
some DOT agencies, to ensure
harmonization within the Department
with the part 40 regulation.
There were 417 commenters, most of
whom provided multiple substantive
and valuable points within each
comment. The Department appreciates
the time and effort the commenters
expended in providing literally
thousands of meaningful points. As we
explained in our final rule in December
of 2000, what matters the most is not a
count of how many commenters favored
or opposed a particular proposal.
Instead, the Department’s ‘‘central
concern is with the substance of the
comments. In discussing comments on
this rule and our response to them, we
will focus on the substance of positions
that commenters expressed, and on why
we did or did not make changes in
response to various comments.’’ (65 FR
79462, Dec. 19, 2000). Similarly, in this
preamble, with thousands of substantive
comments, we have not ‘‘counted the
number of comments supporting a given
position except in the most general way,
believing that doing so would distract
from the discussion of substantive
issues.’’ Id. However, we have
attempted to meaningfully address all
comments, including the questions and
concerns expressed therein.
As the final part of this Background
section, we are providing readers with
a Redesignation Table to provide what
sections in the existing part 40 are
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
changing and what their new
redesignations are.
Redesignation Table
Beginning with subpart D (see below),
the Department is redesignating (i.e.,
renumbering and reordering) numerous
sections of part 40 to provide a more
easily followed flow for users of the
regulation provisions specific to oral
fluid drug testing.
REDESIGNATIONS OF SECTIONS IN
PART 40
Old section
40.35 .........................
40.41 .........................
40.45 .........................
40.47 .........................
40.49 .........................
40.51 .........................
40.73 .........................
40.85 .........................
40.87 .........................
40.89 .........................
40.91 .........................
40.93 .........................
40.95 .........................
40.96 .........................
40.99 .........................
Appendix B ................
Appendix C ...............
Appendix D ...............
Appendix E ................
Appendix F ................
Appendix G ...............
Appendix H ...............
New section
40.36.
40.42.
40.40.
40.41.
40.44.
40.45.
40.79.
40.82.
40.85.
40.86.
40.87.
40.88.
40.89.
40.90.
40.84.
Appendix
Appendix
Appendix
Appendix
Appendix
Appendix
Appendix
D.
E.
F.
G.
H.
I.
J.
III. Principal Policy Considerations
Oral Fluid as an Alternate Drug Testing
Method for Workplace Testing
When the HHS finalized its OFMG in
2019, it opened oral fluid testing to
Federal agencies as an alternate
methodology to choose and not as a
replacement for urine drug testing.
Similarly, the Department has
determined that oral fluid testing will be
an option for regulated employers and
not a replacement for urine testing.
The commenters expressed many
different opinions on whether oral fluid
testing should be mandated in some or
all circumstances; whether it should be
purely the employer’s choice; whether it
should be the employee’s choice; and
whether it should be the collector’s
choice. There were suggestions to allow
only oral fluid testing for reasonable
suspicion and post-accident testing.
Some commenters wanted to see oral
fluid testing prohibited for preemployment and random testing
because they preferred the potentially
longer windows of detection of urine
versus oral fluid testing. Individuals
who were concerned with paruresis
wanted the employee to be able to
PO 00000
Frm 00004
Fmt 4701
Sfmt 4700
choose oral fluid for every test and some
of those commenters wanted urine
testing banned. Some commenters were
concerned that, if we mandated oral
fluid testing in any circumstances, then
every collector would need to be trained
in oral fluid collections and every
collection site would need to purchase
oral fluid testing kits at an additional
expense to such small businesses. The
commenters who opposed oral fluid
testing generally said they were
concerned that oral fluid specimens
would be used for DNA testing, or the
commenters wanted drug testing of
safety sensitive employees to stop.
As discussed earlier, HHS has
determined oral fluid drug testing, like
urine drug testing, is accurate and
defensible. With both drug testing
methodologies being scientifically
accurate and forensically defensible,
there is no reason to eliminate either
methodology. Similarly, we see no
reason to mandate either methodology.
However, we will discuss below, in
reference to problem collection
scenarios covered by § 40.67 (direct
observation collections) and § 40.193
(insufficient specimen ‘‘shy bladder’’
cases), that we strongly suggest
employers consider moving to an oral
fluid testing methodology. Employers
should communicate to their
consortium/third party administrator
(C/TPA) and to their collection sites
whether they want to utilize urine
testing, oral fluid testing, or some
combination of both. Employers should
also provide their service agents with
the specific instances that would trigger
a different methodology (e.g., an
insufficient oral fluid collection should
immediately become a urine collection
or vice-versa).
If we were to mandate an alternate
methodology be used, but the collection
kit was not available at the collection
site, the test would likely not occur at
that site. If no test occurs, that would
not be in the best interest of safety.
Those who commented that not every
collection site will offer oral fluid
testing have a valid point. It is possible
a collection site will make a business
decision not to offer oral fluid testing
because of costs or training issues.
Although it is the ultimate duty of the
employer to ensure their collection sites
are able and available to perform testing
in accordance with part 40, it would be
helpful for collections sites to notify
their DOT-regulated clients that they
will not offer oral fluid collections.
It is also important to remember that
under § 40.209(b)(3), if an unqualified
collector were to conduct a collection, it
would not cancel the test. As we said in
our 2000 preamble to § 40.209, ‘‘a test is
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
not invalidated because a collector has
not fulfilled a training requirement. For
example, suppose someone collects a
specimen correctly but has not
completed required training or
retraining. The test would not be
cancelled because the training
requirement was not met.’’ 65 FR 79472.
To reflect this point, we have updated
§ 40.209(b)(3) to add a reference to
§ 40.35 for oral fluid collector training,
in addition to the existing reference to
§ 40.33 for urine collector training.
Although it would not cancel the test
result if the collector has not been
trained in accordance with part 40, the
collector, other service agents, and
employer involved might be found in
noncompliance as the result of the
failure to meet training requirements.
Since the inception of DOT-regulated
alcohol testing in 1994, we have
allowed screening testing to be
conducted using saliva testing devices,
and we have required all confirmation
testing to be conducted on an evidential
breath testing (EBT) device. See 49 CFR
40.231. A facility that conducts alcohol
saliva screening but that does not have
an EBT must work expeditiously with
the employer to ensure that the
confirmation test takes place on an EBT.
Similarly, if a collection site only
offers urine collections and an
insufficient specimen is presented or if
a direct observation collection is
triggered, that collection site is expected
to work expeditiously with the
employer to ensure that the oral fluid
collection occurs if the employer wants
an oral fluid collection performed for an
employee. Collection sites need to make
business decisions about whether they
will offer urine collections, oral fluid
collections or both. Thus, not every
collector needs to be trained on both
urine and oral fluid collections unless
they offer both.
The Owner-Operator Independent
Drivers Association (OOIDA) asked that
we ‘‘continue educating industry
stakeholders about the scientific and
forensic supportability of oral fluid
testing . . . (and) about how oral fluid
testing would be implemented and
administered.’’ OOIDA reminded us that
State and local law enforcement execute
roadside testing, and OOIDA wanted us
to differentiate and address concerns in
the trucking industry about the
differences between roadside oral fluid
drug tests and DOT’s regulated
laboratory tests.
The Department will continue
educating industry stakeholders, as we
have always done, for urine testing and
for part 40 compliance. Traditionally,
State and local law enforcement have
implemented their own testing entirely
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
outside DOT-regulated drug testing and
will continue to do so. Often, law
enforcement entities have chosen pointof-collection testing (POCT) devices that
provide initial screening test results,
instead of laboratory-based screening
testing. The POCT testing can cover the
same drugs for which we test and more
(or fewer) substances. The cutoff levels
of the drugs being tested for in POCT
devices differ widely among POCT
devices. Thus, the differences are
varying and may be significant. We will
educate our regulated industries about
DOT’s regulated oral fluid testing alone.
However, we welcome our industry
partners to continue to educate their
memberships about the differences they
are encountering beyond DOT-regulated
testing.
In buffered collections, the
employee’s oral fluid is collected on a
device and then the device is
subdivided into Bottles A and B, which
contain a buffering solution. The
buffering solution draws the oral fluid
from the device, so that the liquid can
be analyzed by the laboratory for the
drugs for which we test. OOIDA raised
concerns about whether drugs
sufficiently enter the buffering solution.
In its oversight of laboratory testing
under the OFMG, HHS sets the
standards for the devices and recovery
of drug from the same. These are
assessed two times: first, by the
manufacturer and second, during
laboratory validation of the collection
device. While HHS does not certify or
validate the collection devices or the
buffer, the NLCP laboratory inspection
process does ensure accuracy of the
results obtained by the laboratories as
evidenced by each laboratory’s method
of validation documentation which
must specify the collection device(s)
used. HHS will approve each specific
HHS-certified oral fluid laboratory to
use only one or more specific devices
for which the laboratory can ensure the
accuracy of the results. For further
discussion of this subject, see the HHS
final rule on oral fluid testing at 84 FR
57559, 57584 (Oct. 25, 2019).
Also, OOIDA stated they do not want
hair testing in the DOT regulated
program. It is important to note hair
testing is outside the scope of this
rulemaking, as we will discuss further
in this preamble.
Finally, in response to the
commenters who opposed the proposal
to allow oral fluid testing due to
concerns about DNA information or
who oppose the principle of drug testing
of safety-sensitive employees, we
disagree on both points. As for DNA
testing, part 40 already prohibits the
DNA testing of any specimen collected
PO 00000
Frm 00005
Fmt 4701
Sfmt 4700
27599
for a DOT-regulated test. In fact, this
rulemaking proposed to update the
prohibitions on DNA testing contained
in §§ 40.13(c) and (e) (now §§ 40.13(c)
and (f)) to ensure that they extend to
oral fluid testing.
As for the commenters who generally
opposed drug testing, they offered no
data to support why eliminating drug
testing would be in the best interest of
transportation safety. Instead, they
merely said that transportation safetysensitive employees should be
permitted to use marijuana. However, it
is important to remember that the
beginning of DOT-regulated testing in
1988 was prompted by marijuanarelated accidents that occurred in 1985
(two New York City subway accidents)
and 1987 (one railroad accident in
Chase, Maryland).
Whether Using Oral Fluid Testing as an
Alternate Method Can Reduce Costs
In the proposal for this rulemaking,
we stated that oral fluid testing is
generally less expensive than urine
testing. We said an oral fluid test can
cost between $10 to $20 less than a
urine test (e.g., about $50 for a typical
urine testing process, vs. about $35 for
an oral fluid testing process, with the
largest part of the difference being
attributable to the collection process).
We asked for public comment on the
costs of oral fluid testing as compared
to urine testing to affirm or adjust this
cost assumption.
The majority of commenters on this
point said the cost of an oral fluid test
would be more expensive than a urine
test, but that there were other, mostly
unquantifiable benefits that oral fluid
testing would bring. Specifically, those
benefits included: eliminating the costs
of shy bladder evaluations; alleviating
the burden on individuals who cannot
produce a sufficient urine specimen due
to a psychological and/or physical
medical condition; opening
transportation safety-sensitive
employment possibilities to many who
have disabilities rendering them unable
to produce an adequate urine specimen;
and the thwarting of cheating. Many
commenters said these benefits would
outweigh the additional costs of
conducting an oral fluid specimen
collection.
Several commenters who conduct
non-DOT collections said laboratories
currently conducting oral fluid testing
charge about $4.00 per buffered
collection device, versus urine
collection devices that are provided at
no charge. A number of commenters in
the laboratory and manufacturing
businesses explained the need to charge
because the buffering solutions included
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27600
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
in the oral fluid collection tubes are an
added expense. Urine specimen
collection devices are empty plastic
containers, with no solutions involved,
and are thus less expensive to provide
and need no Food and Drug
Administration (FDA) approval. In
addition, the oral fluid collection kits
expire, often as soon as twelve months
after manufacturing because of the
limited shelf life of the buffering
solution and sometimes the collection
pads themselves, which are included in
the collection kits. Collection sites
noted that they not only pay the $4.00
per oral fluid collection kit, but then
they must discard each kit that expires
before it is used. Of course, urine
collection kits do not expire.
We proposed the use of a single oral
fluid collection device that would be
subdivided in the presence of the donor,
as required by OTETA. Some
commenters expressed appreciation that
DOT would use a single device versus
two separate devices. Those
commenters noted that even if the single
device were to be subdivided, it might
cost more than $4.00, but was not likely
to be the same expense as two separate
kits at $4.00 each, which could have
different expiration dates. Some
commenters suggested the new devices
would cost no more than $4.00 each,
giving the new devices appeal in the
non-DOT oral fluid market, also. They
said the oral fluid device manufacturers
and the laboratories would want to keep
up with the DOT’s requirements for
DOT-regulated testing and they would
not want to price themselves out of the
market for non-DOT testing, since many
in the non-DOT market would follow
DOT’s requirements, as they now do.
We had a tremendous number of
comments from individuals who have
an inability to provide a sufficient
quantity of urine due to a psychological
condition known as paruresis.
Individuals in this group told stories of
losing their careers due to an inability
to provide a sufficient quantity of urine.
Others said they chose not to pursue
transportation safety-sensitive careers
because of the requirements of urine
testing. Some commenters told of
aspirations of becoming commercial
truck drivers or airline pilots, once the
perceived barrier of urine testing is
removed. With the option of oral fluid
testing methodology, these individuals
emphasized their marketability in the
transportation workplace would
increase.
While part 40 has a process for a
medical evaluation to be conducted to
determine if one’s inability to provide
urine is legitimate under § 40.193, the
commenters noted the process was
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
arduous for them and expensive. In
addition, such individuals often do not
have a diagnosis of a pre-existing
psychological condition that would
substantiate their inability to provide a
sufficient quantity of urine. We received
comments from the International
Paruresis Association (IPA), who
thoroughly explained the condition of
paruresis. The IPA and the individual
commenters applauded DOT for
proposing to allow oral fluid testing.
Many asked for the Department to end
urine testing or to allow employees to
choose the methodology that would be
used for their testing. By allowing the
employee to choose the methodology,
they believed those with paruresis could
receive a reasonable accommodation
without needing to disclose their
disability to their respective employer
or prospective employer.
We asked for public comment about
the number of shy bladder evaluations
that are occurring and how much they
cost. We did not receive any public
comment to add clarity to those points.
Overall, the commenters did not
provide specific data on the numbers we
sought clarification on through the
public notice and comment process, but
they did provide many comments about
the qualitative improvements to DOT
drug testing that would be added
through the adoption of oral fluid
testing. Consequently, we adjusted our
approach to the economic analysis for
this rule. Instead of the quantitative
economic analysis we began in the
NPRM, we have conducted a qualitative
analysis for this final rule.
As discussed above under Oral Fluid
as an Alternate Methodology section, we
have decided to make oral fluid testing
available to employers as an alternate
methodology to urine testing. We are
not eliminating urine testing. We are
including oral fluid testing as an option
available to employers. Whether an oral
fluid or urine test is administered is the
employer’s choice and not the choice of
the employee, for the reasons explained
in this preamble.
Who will perform the oral fluid
collection?
Recognizing that employers often
utilize the services of external qualified
collectors for urine testing, we asked for
comment as to whether this would
continue for oral fluid testing, or if
employers would train their own
company personnel to become qualified
collectors for oral fluid testing purposes.
We also specifically asked if companies
thought they would train internal
personnel instead of contracting with
external providers, whether this would
this be due to costs, convenience or
PO 00000
Frm 00006
Fmt 4701
Sfmt 4700
other reasons, and what would be the
cost implications of the two approaches.
The majority of commenters disagreed
with the concept of employers
conducting their own collections. The
commenters cited concerns such as
invasion of privacy by supervisors and
a lack of professionalism if an
employer’s own staff conducted oral
fluid collections. Other commenters
said allowing a co-worker to conduct
oral fluid collections would lead to
fraud because an employee with a
substance use disorder might influence
the objectivity of a colleague who is
collecting. Some employers said that
they would not want to incur the
training costs or liability for their
corporate employees to conduct
collections. Some commenters
wondered if internal collectors would
thwart the testing process so that their
fellow employees would not test
positive. A few external collectors
worried that in-house collections would
lead to less demand for external
collectors, thereby driving up costs for
those who still want to use external
collectors. One collection company
polled its clients and found that 90
percent of their clients would continue
to use external collectors.
Even those who favored internal
collections agreed that there should be
limitations on internal collectors within
an employer’s organization. They
supported the proposal to make it clear
that employees, relatives, and close
friends of the employees cannot conduct
collections, consistent with existing
guidance in the Department’s Urine
Specimen Collection Guidelines, which
can be found at: https://
www.transportation.gov/odapc/urinespecimen-collection-guidelines.
Interestingly, many of those
commenters appeared not to realize that
employers have been allowed to collect
urine specimens in-house for more than
30 years. For example, some of the large
employers in the transportation
industries have on-site clinics and
regularly conduct many urine
collections, including those requiring
direct observation collections. Thus, we
were asking more about whether oral
fluid collections would occur externally
or in-house, and were separately
proposing the existing constraints
regarding employees, relatives, and
close friends of the employees as we
have in urine testing.
We have amended § 40.31 to
separately specify the requirements for
collectors of urine and oral fluid
specimens, respectively. We have
adopted wording to require oral fluid
collectors to be qualified. The final rule
clarifies that employees, relatives, and
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
close friends of the employees cannot
conduct collections, consistent with
existing guidance in the Department’s
Urine Specimen Collection Guidelines.
ddrumheller on DSK120RN23PROD with RULES2
Allowing Alternate Specimens Provides
Flexibility to Employers
The Department proposed to offer
employers flexibility in the type of
specimen they collect. This final rule
provides flexibility to employers in
most situations, although we strongly
encourage employers to consider having
an alternate methodology ready and
available to plan for contingencies (e.g.,
an employee’s inability to produce a
sufficient specimen as a permanent,
long-term, or short-term condition;
direct observation urine collections that
could be handled easily by switching to
oral fluid testing; reasonable
accommodation requests; etc.).
In addition, when an employer offers
both oral fluid and urine testing, this
can afford flexibility and other benefits.
For example, when an employer
determines that a DOT post-accident or
a reasonable cause/suspicion test is
needed, an oral fluid collection could be
done at the scene of the accident or the
workplace without the need to provide
access to a bathroom. Oral fluid testing
allows the collection to be done by any
oral fluid collector qualified under part
40—either an external contractor or an
employee the DOT-regulated employer
dispatches to the scene of the accident
or incident. In addition, offering both
urine and oral fluid testing would
permit an employer and its service agent
to efficiently deal with situations when
an employee cannot provide a sufficient
specimen. Finally, having the flexibility
of both options allows an employer and
its service agent the ability to perform
a directly observed collection as an oral
fluid test, without concerns about the
gender of the observer.
Understanding Windows of Detection
As discussed earlier, like urine
testing, oral fluid testing is scientifically
accurate and forensically defensible. As
our scientific authority for drug testing
under OTETA, HHS has determined that
oral fluid testing, set at the cutoffs
established by HHS, meets the
requirements for accurate Federal drug
testing.
Urine and oral fluid specimen testing
each offer different benefits and
limitations in assisting employers in
detecting and deterring illegal drug use,
and no single specimen type is perfect
for every situation. In an effort to assist
employers in understanding some
benefits and limitations to each
methodology, we reviewed and
referenced various scientific sources in
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
compiling a table of the windows of
detection. This table provided
information regarding the specific
timeframe in which an oral fluid or a
urine drug test could identify the
presence of the drugs for which we test.
We asked for public comment on the
accuracy and completeness of the
information in the windows of detection
table we provided.
We received a few public comments
on the actual information in the table.
A couple of commenters believed that
the windows of detection we had listed
for oral fluid testing were too long.
Several commenters suggested that we
remove the table from the final rule,
saying that it caused confusion. Another
commenter cautioned that windows of
detection should be interpreted
carefully because the results depend on
study design and context. They noted
that the window of detection ‘‘for a
single dose may differ from those
observed in individuals who are regular
users. In addition, route of
administration has significant impact on
concentrations and detection of drugs in
oral fluid over time.’’ That commenter,
a laboratory, also noted, ‘‘in general,
detection windows in oral fluid are
shorter than those in urine, but it should
not be inferred that the cutoffs are
equivalent’’. Another laboratory
cautioned against including a windows
of detection table in the final rule
because ‘‘the Federal Register is not
updated each time a new scientific
reference becomes available that may or
may not support the duration and
literature referenced was very limited
and not very recently published.’’ Quest
Diagnostics discussed the complexity in
understanding windows of detection
due to ‘‘numerous variables in play
including: drug dose, drug purity, route
of administration, time since dosing,
individual metabolic rate variability and
hydration state (for urine).’’ As the
study of oral fluid continues, Quest
Diagnostics noted ‘‘more data will be
forthcoming as oral fluid testing is
instituted across the United States that
will provide more detailed information
about oral fluid detection windows
which will make these stated detection
windows obsolete and likely
misleading.’’
Many commenters relied on the
shorter windows of detection for oral
fluid testing listed in the table from the
preamble to the NPRM to reach the
assumption that oral fluid test results
are more akin to impairment tests. That
is not a correct assumption. While oral
fluid testing may provide a better
indicator of an employee’s recent use of
the drug, it also detects frequent users.
Furthermore, there is no definitive drug
PO 00000
Frm 00007
Fmt 4701
Sfmt 4700
27601
impairment test. Importantly, the DOT
testing program is a deterrence-based
program to prevent illegal drug use, not
an impairment testing program.
We agree with the commenters who
cautioned against including a windows
of detection table in the final rule. Any
information that is accurate today in a
table of windows of detection may not
be accurate shortly thereafter, as oral
fluid testing is deployed by DOTregulated employers and related
research on the windows of detection
continues. For the reasons stated above,
we have removed the windows of
detection table and we note that oral
fluid windows of detection will likely
be shorter than for urine. Employers,
working in conjunction with their
service agents, should determine
whether urine or oral fluid collection is
best for their program and in what
contexts.
Substance Abuse Professional Issues
For more than twenty years, part 40
has been clear that all evaluations with
a Substance Abuse Professional (SAP)
must be face-to-face and in-person.
During the COVID–19 public health
emergency, we realized conducting faceto-face in-person evaluations may not be
possible or advisable for certain
individuals. As a result, the Department
issued a notice of enforcement
discretion on April 4, 2020, to allow
SAPs to conduct, for a specified period
of time, what we called ‘‘face-to-face
remote evaluations’’. We extended that
notice several times from 2020–2022,
and on December 20, 2022, we extended
the notice to remain in effect until the
effective date of this final rule. (https://
www.transportation.gov/odapc/
Statement_of_Enforcement_Discretion_
SAPs)
To make a remote evaluation as
effective as possible, within the notice
of enforcement discretion we provided,
we said the technology the SAP uses
should permit a real-time two-way
audio and visual communication and
interaction between the SAP and the
employee. We said the SAP should
determine if the quality of the
technology (e.g., speed of the internet
connection, clarity of the display,
application being used, etc.) is sufficient
for the SAP to gather all the visual (e.g.,
non-verbal physical cues) and audible
information you would normally
observe in an in-person face-to-face
interaction. In other words, the SAP
must be able to objectively evaluate
verbal, non-verbal and physical
characteristics to a sufficient extent
through the chosen technology. We
added that SAPs should document the
format of the assessment in the final
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27602
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
SAP report. We also stated we would
not consider a remote evaluation to be
an act of serious noncompliance
meriting resort to the Public Interest
Exclusion (PIE) process.
We proposed amendments to several
sections of subpart O of part 40 to make
the notice of enforcement discretion
permanent. We proposed and are
adopting modifications to § 40.291(a)(1)
to allow the SAP to conduct the
evaluations either in-person or
remotely, with criteria based on those
from the COVID–19 notice as conditions
for remote evaluations. First, the
revisions require the technology used to
permit real-time two-way audio and
visual interaction between the SAP and
the employee (i.e., a conversation
without video would not meet this
criterion). Second, the quality of the
technology (e.g., speed of the internet
connection, clarity of the display) must
be sufficient to allow the SAP to gather
all the visual and audible information
the SAP would normally observe in a
face-to-face in-person interaction. In
addition, the technology must
incorporate sufficiently robust security
to protect the confidentiality of the
conversation. Third, a SAP can only use
the technology in question if the SAP’s
State-issued license authorizes the SAP
to do so (e.g., a State license may permit
a practitioner to work only with clients
in the State of licensure).
On a second but related topic, we
asked for public comment about
whether a SAP’s respective ‘‘qualifying
credential’’ (i.e., State license or other
credential under § 40.281) would allow
them to evaluate individuals who live in
a different State from where the SAP is
licensed. We asked if this was already
allowed, especially since virtual video
evaluations are often done outside of the
DOT-regulated context. We also asked
for public comment about what steps a
SAP, who is remotely evaluating an
individual outside of the SAP’s locality,
could take to ensure a working
knowledge of quality programs and
qualified counselors available to the
employee when recommending a course
of treatment and/or education.
The comments we received on SAP
remote evaluations and crossing ‘‘State
lines’’ were thought-provoking and
abundant. There were many supporting,
opposing, qualifying and suggesting
improvements to the proposals. We will
discuss them in-depth.
Regarding remote SAP evaluations,
the majority of commenters
enthusiastically supported the proposal.
Many commenters who identified
themselves as qualified SAPs who have
practiced for years said remote
evaluations offered unforeseen benefits.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
Several said they had learned to use
technology to better study the
employee’s mannerisms, facial
expressions, and nonverbal cues as
effectively as they could for their inperson consultations. One SAP admitted
to not being receptive to remote
evaluations before the COVID–19 public
health emergency, but acknowledged
that ‘‘everything has changed, including
people’s receptivity to virtual
interactions . . . even extensive
treatment is often virtual.’’ That same
SAP acknowledged reading comments
from other SAPs who do not support
virtual evaluations, but strongly
disagreed with those fellow commenters
because of the advances in telehealth
and the skills SAPs are developing for
evaluating clients virtually as effectively
as in-person. Specifically, this SAP and
many others recognized that they had
built skill in assessing eye movement,
involuntary body twitches, and other
aspects of nonverbal indicators that are
key to accurate and complete
evaluations. One SAP pointed out there
would be no difference between a
virtual and an in-person evaluation if
the technology is ‘‘sufficient to allow
the SAP to gather all visual and audible
information that would be apparent in
a face-to-face interaction.’’ One
commenter wanted DOT to gather more
information on the effectiveness of
remote evaluations, believing the SAP
will miss too many details if the
evaluation is not conducted in-person.
However, with the advances in
telehealth and the robust comments by
the many SAPs who took the time to
comment, we believe that we have
reliable information from practicing
SAPs who are confident that face-to-face
remote evaluations are as effective as inperson face-to-face evaluations.
In addition, several practicing SAPs
said they learn more about the employee
and circumstances in virtual
assessments in the home of the
employee, because the SAP can ‘‘speak
to family members and obtain other
collateral information that is not always
readily available in the office setting.’’
Some said that the employees seem to
be more relaxed and communicative
when they can participate from the
comfort of their home. Several SAPs
believed it is less stressful for
employees in remote areas to be able to
see a SAP without having to travel to
the SAP’s office. Many SAPs expressed
gratitude about the reduction in cost to
the employees, who often needed to
travel significant distances to see the
SAP in-person. Several SAPs said that
this innovation that arose temporarily
during 2020–2022 should be finalized
PO 00000
Frm 00008
Fmt 4701
Sfmt 4700
because it created access to evaluation
for many employees who were at a loss
for where to go to seek help, especially
for those who live in remote rural areas.
Some SAPs mentioned multiple
‘‘safety’’ factors as a reason to allow
remote evaluations. One said, ‘‘If
someone has been removed from safetysensitive duties . . . meeting remotely
keeps them off the road further
lessening the potential for harm to the
public.’’ Another SAP pointed out that,
after an employee was ‘‘drinking and
driving, does it really make sense to say
‘hey I know you were under the
influence while driving, but can you get
in your car and come see me?’ ’’ Some
of the SAPs said that there are
occasional personal safety issues with
employees who are angry because of
their non-negative results or refusals.
One commenter who has been involved
with SAP evaluations and training for
more than 30 years said, ‘‘virtual
assessments have increased personal
safety for SAPs dealing with belligerent
employees.’’ Multiple SAP commenters
noted the personal safety issues are
significantly lessened when the contact
between the employee and the SAP can
be conducted virtually.
A number of SAPs noted a reduction
in cost for themselves. Although there
was an initial cost of setting up the
details for conducting remote
evaluations generally (e.g., subscribing
to HIPAA-compliant software platforms,
obtaining the right equipment for audio
and visual interactions), the costs of not
needing to conduct evaluations in a
formal office setting was a significant
cost savings. One SAP asked if we could
allow post office boxes for the SAP’s
address because many SAPs no longer
maintain a professional office space
outside their home.
Regarding the use of a post office box
instead of a physical address, we will
not consider that change at this time.
While many SAPs conduct a significant
number of evaluations virtually, we are
still maintaining the option for inperson evaluations. In some situations,
in-person evaluations may be the best
choice and we want to ensure that SAPs
consider that. Also, having a physical
location where DOT can inspect, audit,
or investigate a SAP and their records is
important, and we require this of service
agents in part 40. If the SAP chooses to
run their operations from their home,
they must furnish the address from that
place of business on their letterhead. If
using one’s home address is not
acceptable to an individual SAP, they
must continue to provide a physical
commercial location address for part 40
purposes.
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
In not allowing SAPs to use post
office boxes, we are being consistent
with our Question and Answer from
September of 2001, which reads, in
pertinent part, as follows: ‘‘May the
MRO’s address entered on the CCF be a
post-office box number only? . . . No.
The address must contain at least a
number and street address. . . . The
post-office box can be included, but not
in lieu of the number and street
address.’’ https://www.transportation.
gov/odapc/part40QA/40-311 We are
also adding this reminder to
§ 40.40(c)(2), to note MRO addresses
must not be simply a post office box.
The SAP commenters who favored
allowing remote evaluations agreed the
technology must provide real-time
audio and visual interaction between
the SAP and the employee. We agree
that an audio call, alone, will not satisfy
the requirements of part 40 or the
expectations of these professionals.
Technology security concerns were on
the mind of some commenters, also.
Many SAPs suggested that we require a
HIPAA-compliant software or platform
for these audio-visual interactions.
Commenters also recommended using
high-level platforms to ensure
confidentiality, and not merely
commercial platforms that are available
for video calls.
It is important to note that HIPAA
does not apply to the DOT testing,
which involves searches and seizures
under the Fourth Amendment of the
United States Constitution. However,
we recognize SAPs may be required by
the State that licenses the SAP to follow
HIPAA as part of their clinical
evaluations. While we will not require
specific software and we will not
reference HIPAA compliance as a
criteria, we have specified in
§ 40.291(a)(1)(ii) of the final rule the
performance standard that the
technology must provide ‘‘security to
protect the confidentiality of the
communication.’’ We also added
language to § 40.291 to explain that the
technology needs to be at the expected
level of confidentiality and security as
is required for substance abuse
evaluations. It is important to note that
this is a performance standard. We did
not prescribe exact measures, which
may currently be appropriate, because
those standards will change, and we
want to ensure the most effective
standards continue to be applied.
Often, the individual State’s licensing
and/or private credentialing authority
set ethical and confidentiality criteria
for licensed professionals who are
performing their duties via virtual
platforms. Some of the SAP commenters
have noted that there are additional
VerDate Sep<11>2014
20:15 May 01, 2023
Jkt 259001
ethical guidelines and standards that
they follow in order to provide remote
evaluation services. Sometimes these
additional requirements are set by the
qualifying credential authorities, other
times these are guidelines the SAPs
follow because they are recommended
by the professional organizations with
which they affiliate. We urge SAPs to
continue to follow their respective
codes of ethics and confidentiality. The
ethics of using video technology is an
evolving field, and we expect SAPs to
keep up with their ethical requirements
as this aspect of their profession
continues to improve and evolve.
One SAP suggested that we make
telehealth education part of SAP
training. We will not require that
because not all SAPs will offer remote
evaluations. Also, SAP training should
continue to focus upon part 40
requirements and not about generally
how to practice more effectively.
SAPs who opposed the proposal
varied in wanting to see remote
evaluations prohibited versus allowed
in special circumstances. Some
commenters only wanted to see remote
evaluations when there is a pandemic,
while others would support remote
evaluations in a national crisis or in
situations where the employee was
located hundreds of miles from the
nearest SAP. Other SAPs disliked
remote evaluations because ‘‘paperwork
and payment’’ are better collected in
person. Some SAP commenters were
concerned about employees ‘‘shopping
for less expensive SAPs’’ outside their
own high-cost zip code. Conversely, one
commenter who favored the remote
evaluation option said that this
reduction in cost for the out-of-work
employee was exactly why the
Department should allow an employee
to seek a SAP outside their home area.
Also, SAPs who opposed remote
evaluations said it would be difficult to
find qualified and appropriate treatment
resources outside the SAP’s local area,
while other SAPs said this would not be
a problem because of the ability to
search for treatment resources on the
internet. Those SAPs who suggested
using the internet also said the SAP
would then call the treatment facility to
establish communication and determine
if the treatment resource was
appropriate for the employee’s needs.
One employer’s association provided
a reply to other commenters who
wanted the SAP to justify why a remote
evaluation is being held instead of an
in-person evaluation. The employer’s
association recommended allowing the
SAP to choose remote or in-person
without the need to justify one over the
other ‘‘because ‘DOT cannot predict and
PO 00000
Frm 00009
Fmt 4701
Sfmt 4700
27603
codify the wide range of circumstances
that could reasonably justify remote
SAP evaluation, nor could employers
effectively determine whether a
particular circumstance is appropriate if
the DOT applies an ambiguous
standard, like ‘extraordinary
circumstances’.’’ Reply comments such
as this are very helpful to us as
regulators, and we thank this
commenter and others who took the
time to read and respond to the
comments of others.
Commenters who favored and those
who opposed the proposal were almost
unanimous in wanting in-person
evaluations to continue as an option.
That option should be decided by the
SAP, many of the commenters said.
We had proposed and agree with
allowing SAPs the option of choosing to
conduct face-to-face evaluations
remotely in lieu of in-person meetings,
and never proposed for the in-person
evaluations to be eliminated. We have
decided to adopt the proposed provision
with minor modifications. We agree
with the commenters and will permit
both evaluations in-person or via virtual
technology meeting the requirements of
part 40. The choice of which option to
use will be the decision of the SAP,
without any need to justify the use of
one or the other.
With SAPs being permitted to
conduct remote evaluations, we
anticipated the issue of SAPs providing
evaluations across State lines would be
something we needed to address. On
this subject, we received a few favorable
comments, but most commenters
disagreed with the Department taking
action in this area.
Some commenters had no objections
to a SAP providing part 40 services
outside the State in which the SAP is
licensed. One of these commenters
noted the MROs are licensed in one
State but are permitted to provide MRO
services under part 40 in all 50 States,
the U.S. Territories, Canada and Mexico.
Other commenters said they had no
objections to allowing SAPs to practice
across State lines, as long as part 40
clarified that the SAP could specifically
do so as a qualified SAP under part 40.
Some told us their certifications as
‘‘national’’ or ‘‘international’’ drug and
alcohol counselors, which they received
through larger organizations that
administer the SAP examinations,
already allow them to practice
throughout the United States. Also,
several commenters, who are practicing
SAPs, told us their licensing States
already allowed them to practice across
State lines. Consequently, within the
parameters of their own State’s
licensure, they have been conducting
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27604
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
SAP evaluations of DOT-regulated
employees for approximately two years.
Another SAP told us the licensure from
their State ‘‘does not permit me to
conduct assessments across state lines,
however, I have an additional
certification for telemental health (BC–
TMH). Together, my credentials permit
me to practice both counseling and my
SAP assessments remotely.’’ One
commenter asserted that ‘‘SAP is a
federal qualification and I believe we
should be permitted by federal
designation to see a DOT-governed
employee from anywhere.’’ Another
commenter stated, ‘‘As a federal
program, drug testing requirements for
transportation workers already span
jurisdictions; it follows that an SAP
should likewise be able to conduct
evaluations across jurisdictions . . .’’
An MRO association characterized the
SAP as ‘‘not a treatment provider, just
as the MRO is not a treatment provider
for donors. . . . Thus, performing a
substance abuse assessment and
recommending treatment and a plan, the
SAP would unlikely be in violation of
any state practice act.’’
The commenters who opposed
allowing practice across State lines said
there was value in State licensing and
overseeing counselors who provide
services to individuals within the State.
Others who disfavored the proposal
raised the argument addressed above
about a distant SAP not knowing the
treatment facilities that offer the
appropriate treatment for an individual
employee.
The commenters have made it clear
that there is much confusion about
whether a SAP can practice across State
lines. It is also clear that this is an
evolving topic, having nothing to do
with part 40. The States, individually,
are addressing needs that have arisen
during the past two years and the
resulting evolution of telehealth
options. The SAP certification
organizations (see § 40.283) should
make their own determinations about
whether those individuals who hold
their respective qualifying credential
can practice throughout the United
States. SAPs should continue to keep
informed about the permissions and
jurisdictional limitations of their
qualifying credentials. If a State
licensing authority or DOT-recognized
credentialing organization decides that
it is appropriate for one or more of their
authorized practitioner categories that
qualifies a person to be a SAP to
practice across State lines, DOT will
defer to that granting authority.
With that said, in the short-term, the
current inconsistency as to where a SAP
can practice remotely is creating
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
problems for some DOT-regulated
employees who are seeking SAP
services. With an in-person SAP
evaluation, the employee sits in the
SAP’s own office, and there is no
question that the SAP is licensed to
practice in their own office. Unique to
a remote SAP evaluation, an employee
may not be located in the same
geographic jurisdiction where the SAP
is authorized to practice, thereby
making the SAP’s underlying qualifying
credential not valid for that particular
evaluation. Under the DOT COVID–19
notice allowing remote evaluations, we
stated: ‘‘You may only utilize the
technology if your State-issued license
authorizes you to do so and within the
parameters of that authority.’’
Consequently, any SAP who evaluates
an employee outside the parameters of
the SAP’s State-issued license or other
credential is acting without authority
and violating part 40. To address this,
we have added a new § 40.281(f) to
create a limitation on an otherwise
qualified SAP under this part who
conducts evaluations outside the
geographic limitations applicable to
their credential.
Some otherwise qualified SAPs have
acted outside their authority and created
problems for employees who received
evaluations under the DOT COVID–19
notice. When we have learned that a
qualified SAP evaluated an employee
outside the SAP’s authorized geographic
jurisdiction, we have asked the
employee to seek the services of a
different SAP who is qualified and can
conduct the evaluation as permitted by
their credential. There has been no other
option under part 40 until this final
rule.
However, we acknowledge the costs
of having an out-of-work employee seek
and pay for a second SAP evaluation is
an unfair and unintended consequence
of allowing remote evaluations.
Therefore, we are adding a new
§ 40.297(c) to notify the otherwise
qualified SAP (see § 40.281(a) through
(d)) that they must not perform
evaluations outside the geographic
jurisdiction of their credential(s). If the
SAP who made the evaluation exceeds
their geographic jurisdiction, the
employee will not be required to seek
the evaluation of a second SAP. The
evaluation and assessment of the SAP is
still valid for the employee, even if the
SAP has failed to follow § 40.297(c) by
exceeding their geographic jurisdiction.
The employer must carry out the followup testing plan of the SAP, even though
the SAP was acting outside their
geographic jurisdiction. We have added
a new § 40.303(d) to let employers know
they can utilize such evaluations and
PO 00000
Frm 00010
Fmt 4701
Sfmt 4700
follow-up plans, if they choose to return
the employee to work. We believe that
these new sections, along with new
§ 40.281(f), address the unintended
consequences of costs and stress to
employees.
The new §§ 40.281(f) and 40.297(c)
also require that a qualified SAP must
not evaluate any employee outside the
jurisdiction in which the SAP can
practice. In other words, the intention is
to prohibit the SAP from crossing
geographic lines without authority and
to relieve the employee from the need
to pay the cost of seeking a new SAP
evaluation. If the SAP engages in
evaluations outside the limits of their
credential, then this activity could
constitute serious noncompliance and
the SAP could be subject to a PIE.
Finally, as a compliance reminder:
Every SAP is expected to be aware of
the specific requirements of their State
or credentialing authority and may not
be authorized to practice across State
lines. Some of the SAPs who
commented that they have national and
international credentials through certain
organizations may not be correct and
should check with those organizations
who, previously, have told us their
credentials are not nationwide. It will
benefit both the SAP and every DOTregulated employee they evaluate to
know what their geographic jurisdiction
is.
Using Identification Numbers Other
Than a Social Security Number or
Employee Identification Number
Since the inception of the DOT’s drug
testing program, the Federal Drug
Testing Custody and Control Form
(CCF) has included a space for the
Social Security Number or Employee
Identification Number (SSN or
Employee ID No.). We proposed to add
a new definition for ‘‘SSN or Employee
ID No.’’, and some minor changes to
rule language that mentioned ‘‘SSN’’ in
§§ 40.14, 40.45, 40.97, 40.163, and
40.311. The rationale for the change
includes privacy concerns and identity
theft considerations that arose over the
years since the 1988 inception of part
40. Also prompting these amendments
was a final rule in 2016, in which the
Federal Motor Carrier Safety
Administration (FMCSA) changed the
information Commercial Driver’s
License (CDL) holders and Commercial
Learner’s Permit (CLP) holders must
provide on the CCF and Alcohol Testing
Form (ATF). Specifically, in 2016,
FMCSA amended 49 CFR 382.123(a)
and (b) to require FMCSA-regulated
drivers undergoing DOT-regulated
testing and their employers to use the
CDL number and State of issuance,
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
instead of the SSN or other employee ID
number, on the CCF and ATF for all
drug and alcohol tests conducted under
49 CFR part 382 (part 382). See
FMCSA’s Commercial Driver’s License
Drug and Alcohol Clearinghouse
(Clearinghouse) final rule (81 FR 87686;
Dec. 5, 2016). The Clearinghouse final
rule did not affect or otherwise allow
use of the CDL number for a CDL driver
operating under another DOT agency’s
regulation and subject to a test not
under part 382 (e.g., employers of CDL
drivers under the Pipeline and
Hazardous Materials Safety
Administration (PHMSA) or FTA).
To address the concerns about using
SSNs and to conform to the existing
requirement for CDL numbers to be used
for employees regulated by FMCSA, we
proposed changing the provisions of
part 40 requiring the use of the
employee’s SSN or an employee ID
number. We proposed a definition of the
term ‘‘SSN or Employee ID No.’’ in
§ 40.3, as well as amendments to
sections pertaining to the CCF and/or
the Alcohol Testing Form (ATF), and in
SAP reports. We proposed to require
CDL numbers for FMCSA-regulated
employees, for consistency with part
382. We proposed to add that
identification numbers issued by States
or the Federal government would also
be allowed for employees not regulated
by the FMCSA.
We received several public comments
on this issue. The majority of those
commenters favored allowing alternate
identification numbers, citing concerns
about the employee’s security, privacy,
and wanting to protect employees from
potential identity theft. Some
commenters suggested we only allow
the last four digits of the SSN to be
used. Those opposed to the proposed
changes thought the only modification
to part 40 should be to allow FMCSAregulated employees to use their CDL
numbers. Those commenters thought
allowing others to use their driver’s
license number would result in
violations unrelated to FMCSA-required
testing erroneously being reported to the
FMCSA’s Clearinghouse. Finally, some
of the commenters asked what to do
when presented with a form of
identification that has ‘‘expired’’.
Switching to using the last four digits
of the SSN would not resolve the
concerns about privacy and identity
fraud adequately because some part of
the SSN would still be used. In
addition, for laboratories that receive
thousands, and in some cases tens of
thousands, of CCFs each day, it is not
uncommon for those labs to receive
multiple CCFs with the same last four
digits.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
We acknowledge the concerns about
violations being incorrectly entered into
the FMCSA Clearinghouse if an
employee who is not regulated by the
FMCSA provides their driver’s license
number. Some States use the same
number format for a CDL as for any
private driver’s license number issued
by the State. In some States, the CDL
holder does not have a separate private
license for driving their own car—only
the CDL is issued. However, the essence
of the concern is not so much about the
number being used as it is about the
entry of incorrect data into the FMCSA’s
Clearinghouse by program participants.
We have weighed the various
considerations raised by the
commenters and have adopted the
proposed language in each section
because the confusion the commenters
are concerned about can be addressed
with the program participants who may
incorrectly enter data into the FMCSA’s
Clearinghouse. We will not remove the
option for an employee to provide their
SSN because that specific term currently
appears on the CCF. In the future, if that
term is ever removed from the CCF,
which belongs to HHS, we would
consider amending these part 40
provisions to exclude the SSN.
The new definition ‘‘SSN or
Employee No.’’ will allow a collector,
MRO, SAP, Breath Alcohol Technician
(BAT), Screening Test Technician (STT)
or other service agent or employer to
utilize only the CDL number and State
of issuance for FMCSA-regulated drivers
tested under part 382, and to allow the
CDL number to be used as an option on
tests conducted under the authority of
the other DOT agencies. The definition
also allows any other State- or federally
issued identification number to fulfill
the part 40 requirement for a unique
identification number.
Since States often do not differentiate
between CDL numbers and private
driver’s license numbers, we will
continue to remind employers and
collectors to be very specific about the
exact DOT agency regulation under
which the employee will be tested. An
employer directly, or through its service
agent, must check the block for the
‘‘Specific DOT Agency’’ on Step 1.D. of
the CCF. The name of each agency is
provided in Step 1.D. (i.e., FMCSA,
FAA, FRA, FTA, PHMSA, USCG). When
the employer sends the employee to the
collection site, the employer must be
clear with the collector as to what
specific DOT agency regulates the test,
as required by § 40.14(g). The collector,
in turn, is expected to ensure that the
correct DOT agency is checked, unless
the employer has already checked the
box. If unsure, without delaying
PO 00000
Frm 00011
Fmt 4701
Sfmt 4700
27605
conducting the actual test, the collector
should contact the employer to ask what
specific DOT agency regulates the test.
Checking the correct block in Step 1.D.’s
‘‘Specific DOT Agency’’ block is as
important as checking the correct box
for the ‘‘Reason for Test’’ in Step 1.E.
Employers and collectors are, and
should be, aware that not knowing the
correct reason for the test may subject
an employee wrongfully to a direct
observation collection or may fail to
ensure that an employee is subject to a
direct observation when they need to be
observed. Similarly, checking the wrong
box in Step 1.D. will have potentially
incorrect consequences if the employee
has a non-negative result. We will
continue to educate and remind
employers and collectors to appreciate
the need for identifying the correct DOT
agency on the testing form.
If an employee is wrongfully
identified as an FMCSA-regulated
employee during the collection process,
the MRO is likely to discover this in the
verification interview for a non-negative
result. For example, during the
verification interview some MROs
simply ask the employee what they do
for the employer. In any case, if the
MRO finds the FMCSA box was
incorrectly checked, the MRO must not
report the verified non-negative result to
the FMCSA’s Clearinghouse. The only
employees whose results are ever
reported to the FMCSA’s Clearinghouse
are those employees who have taken an
FMCSA-regulated test.
Similarly, if the employer is
determining whether or not a collection
site refusal has taken place and finds
that the FMCSA box was incorrectly
checked, the employer must not report
the refusal to the FMCSA’s
Clearinghouse. Since only the employer
or the MRO can enter a violation into
the FMCSA’s Clearinghouse, these are
the only program participants who can
correct their own entries, including
when they have incorrectly identified
an employee as an FMCSA-regulated
individual when they are not.
Finally, we recognize the issue of
employees using expired forms of
identification at the collection site has
been an ongoing problem. As we have
advised for several years, we want
collectors to know it is acceptable to
accept an expired photo ID issued by a
Federal, State, or local government
agency, if the ID has not been expired
for more than 1 year. This information
is contained in the current Office of
Drug and Alcohol (ODAPC) Urine
Collection Guidelines and will be added
to the ODAPC Oral Fluid Specimen
Collection Guidelines.
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27606
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
Medical Review Officer Reversal of Test
Cancellations
In part 40, there are many instances
where an MRO would cancel a drug test
result. These are set forth in § 40.133
(when verifying an invalid result
without a donor interview), § 40.145 (if
there is a legitimate explanation for an
adulterated or substituted result),
§ 40.159 (for various specific
explanations for an invalid result),
§ 40.161 (after laboratory rejection of a
fatal flaw or an uncorrected flaw);
§ 40.187 (if a split fails to reconfirm or
bottle B is unavailable for testing);
§ 40.191 (if there is a refusal to go for a
medical examination where there is no
contingent offer of employment on a
pre-employment test); § 40.193 (where
there is an acceptable medical
explanation for an insufficient
specimen); § 40.195 (if a medical
examination reveals clinical evidence of
drug use), and § 40.199 (after the
laboratory reports a fatal flaw). We did
not propose any of these types of
cancellations as grounds for reversing a
cancelled test.
Instead, the proposal addressed
situations where a test is cancelled due
to paperwork errors, which would be
correctable flaws, but which were not
corrected before the MRO sent the
cancellation to the employer. Those are
specifically found in §§ 40.203 and
40.205. In the preamble to the NPRM
and in the proposed regulatory language
of § 40.207(d), we gave the example of
the MRO reversing the cancellation of a
test where the missing or delayed
paperwork is subsequently found and
provided to the MRO. We also said that
we did not intend for MROs to reverse
the cancellation of a test that was
rejected for testing by a laboratory.
There were several comments on this
proposal. The commenters supportive of
the proposal understood this as an
administrative fix to allow an MRO to
uncancel a test result involving a
correctible error the MRO decided was
not timely corrected. Many of those who
opposed the proposal were concerned
about DOT allowing MROs to reverse
cancellations that were related to the
fairness and accuracy of the test. Those
were not the intended cancelled tests
subject to the proposed change. Even so,
we understand the questions in the
preamble for public comment could
have led commenters to conclude
otherwise. The comments received have
helped to shape a better final rule for
this provision, which we have adopted
with modifications.
Some MROs and other service agents
said they already thought MROs could
reverse a cancelled test. They did not
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
see a need for a change because
reversing cancelled tests was already
part of their MRO practice. It is for
exactly this reason we needed to
consider modifying the regulation
because these MROs had no authority to
reverse cancellations. Throughout the
history of part 40, there has not been a
regulatory provision that allows an
MRO to ‘‘uncancel’’ a test that the MRO
has cancelled. We proposed a new
paragraph § 40.207(d) to allow an MRO
to reverse the cancellation of a test in
very specific and limited circumstances.
The American Trucking Association
supported the change as a useful
‘‘administrative fix’’ that would save
money for random tests. They gave a
solid example of the impact of the
problem when they said: ‘‘the employee
is sent for a random test; the paperwork
for the collection site is lost, so the MRO
cancels the test; the paperwork is
recovered, and the test is counted
toward the employer’s random testing
requirement.’’ As such, the proposal is
a ‘‘rational administrative fix that will
not have a detrimental impact on safety
. . . to address situations in which
administrative errors require a driver to
retake a drug test unnecessarily.’’
The Association of American
Railroads and American Short Line and
Regional Railroad Association
supported the proposal. They said this
‘‘proposed amendment would be
helpful in situations where an employer
requires a negative result (e.g., a preemployment, return-to-duty or followup test), and would avoid the burdens
and inconvenience of requiring an
employee to travel for, or otherwise
accommodate a test, more than once.’’
Several consortia/third party
administrators (C/TPAs) agreed with the
proposal. One C/TPA referred to
‘‘circumstances that missing paperwork
is located after the MRO has cancelled
the result. This would allow the MRO
to then report the result.’’ To illustrate
the benefits of the proposal, the
commenter described a frequently
occurring scenario they encounter: ‘‘a
delay in receiving information that was
inadvertently omitted from the custody
and control form. In these situations, if
the test has already been cancelled, a
driver must be sent back to the
collection facility to provide a new
sample constituting a significant
additional cost for motor carriers and
drivers. Allowing un-cancelling of tests
is a commonsense solution to an
unintended consequence.’’
Some who supported the proposal
wanted the Department to ensure it
would be used in narrow circumstances.
They supported reversals of
cancellations only in tests cancelled for
PO 00000
Frm 00012
Fmt 4701
Sfmt 4700
administrative errors that are correctible
flaws. We added language to the final
rule, in the form of a parenthetical, to
note correctible flaws arising under
§§ 40.203 and 40.205 would be
examples of what is reversible.
Several commenters, including the
National Drug and Alcohol Screening
Association (NDASA), C/TPAs, collector
trainers, and a transit agency noted an
existing issue within part 40: an MRO
cannot cancel a test without having
Copy 1 and Copy 2 of the CCF in the
MRO’s possession, per §§ 40.129(b),
40.161(a) and (c). These commenters
said, if the reason the MRO is cancelling
the test is because the CCF paperwork
is missing, then part 40 should allow
the MRO to cancel the test without
holding either or both Copies 1 and 2 of
the CCF. One commenter recommended
we allow the MRO to cancel the test by
noting on the bottom of Copy 1 that
Copy 2 is missing. Another commenter
suggested allowing the ‘‘MRO to issue a
report that the test is cancelled if the
MRO has not received a legible [CCF].’’
In response to the concerns from these
commenters about an MRO’s inability to
cancel a test without the proper
paperwork, we have made changes to
part 40. In § 40.129(b), as a logical
outgrowth of the comments, we have
struck the words ‘‘test cancelled’’ so that
cancelled tests do not require both
Copies 1 and 2, as the other verified
non-negative results listed would
require. We have modified §§ 40.161(a)
and (c) to allow an MRO to use either
copy or to issue a report, if Copy 1,
Copy 2, or both are missing. Also, we
have made a technical amendment to
insert quotation marks around ‘‘rejected
for testing’’ and the word ‘‘laboratory’’
in § 40.161(c). As in §§ 40.127(c)(1) and
40.129(b)(1), we remind the MRO of the
obligation to try to obtain Copy 2 or any
other CCF copy containing the
employee’s signature before cancelling a
test. If a copy of the CCF with the
employee’s signature cannot be
obtained, then the MRO can use the
report format set forth in § 40.163(c)(1)
through (9).
The commenters who opposed the
proposal to allow an MRO to uncancel
a test included organized labor (e.g., the
Transportation Trades Department
(TDD), the Airline Pilots Association
(ALPA), and the National Air Traffic
Controllers Union), Quest Diagnostics,
and others. One commenter thought this
would affect so few tests that it was not
worth doing. Another opposing
commenter objected to allowing
laboratories to cancel tests and
requested that the proposal restrict the
MROs to a 30-day window for reversing
a cancelled test. Another commenter
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
said the proposal will ‘‘undermine the
finality of these MRO administrative
determinations, and raise practical
concerns with undoing such actions.’’
That commenter also wanted DOT to
create a process for appealing MRO
decisions, which is outside the scope of
this rulemaking. One commenter said
the proposal ‘‘could in effect increase
the frequency of drug testing beyond
what is reasonable and justified. We are
also concerned that it would create
administrative burdens to the
employees being tested who would not
have the same finality they currently
have if a test is canceled.’’ Another
commenter was concerned that, ‘‘If an
individual is told the test is cancelled,
they may decide not to take steps to
protect themselves (that they would
otherwise have done had they been
notified of an ‘uncancelled’ test), only to
later learn that the test has been
‘uncancelled’.’’
We see no reason to limit the MRO’s
reversal to 30 days, but have maintained
the proposed requirement for an MRO to
consult ODAPC if the reversal of the
cancellation occurs more than 60 days
after the test was cancelled. We do not
have exact data on the number of
cancelled tests this will impact each
year because, as we said earlier and the
commenters supported, many MROs
were already reversing cancellations
because they mistakenly thought they
had this authority.
Quite often the cancellations occur
when an MRO is unable to get the
information needed from the collection
site. Often, MROs cannot reach the
collector. Sometimes, the MROs must
contact a general call center and wait
days, or longer, to reach the collector
who did not send the needed paperwork
(i.e., Copy 2 or a memorandum of
correction). This delay in reaching the
collector should be eliminated by the
change to § 40.40 to require the collector
to provide the telephone number where
they can be reached more directly and
promptly. Ensuring the MROs and their
staffs have timely access to the
collectors is likely to result in fewer
cancellations. So, this is effectively a
two-pronged approach to addressing the
cancellation problem.
Allowing an MRO to reverse a result
cancelled for administrative reasons
will not increase the frequency of drug
testing because there currently are many
reasons an employee may be called back
for a second test when an MRO cancels
a test. Also, reversing the cancellation of
a test would not reduce the finality of
an employee’s expectations because, if a
second test is needed because of the
reversal of the cancellation, an
employee would not necessarily know if
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
and when to expect a second test.
Examples of this include when a split
specimen is lost or damaged, then the
employee must come back in for another
test; or when a laboratory reports an
invalid result and the MRO tells the
employee to report for another
collection. At times, if a negative result
is needed (i.e., pre-employment, returnto-duty, or follow-up), a cancelled test
actually causes an employee to return
for an unanticipated second test. This
final rule will reduce the instances of
those second tests.
An employee must make themselves
available for an additional test when the
employer directs them to go. Thus, the
finality of a test has never been tied to
the employee’s expectations.
As for the concern that an employee
‘‘may decide not to take steps to protect
themselves’’, we respectfully submit
that the employee would not lose the
right to have a split specimen tested or
to request a litigation hold on the actual
urine specimen. We hope this
information eases that concern.
Another industry association and a
C/TPA opposed the proposal because
the employer may perform another test
after the first is cancelled on a preemployment, return-to-duty or followup test. On a similar note, another
commenter said ‘‘the ability to ‘uncancel’ a test will cause significant
confusion, particularly for those cases
where a negative result is required (e.g.,
for a pre-employment test) and the
donor has likely already submitted to a
second test.’’ To avoid this problem,
some commenters suggested only
allowing an MRO to uncancel a test
when the ‘‘cancelled test did not qualify
for recollection, [then] the MRO should
have the option to invoke the same
consultation requirement we have in [§ ]
40.149(a)(4).’’
We believe part 40 already addresses
these concerns. In a test where a
negative result is not required (i.e.,
random, reasonable cause/suspicion, or
post-accident), the employer has no
authority to send the employee for a
second test after the first test is
cancelled, unless the result of the first
test was cancelled due to an invalid
result. In a test where a negative test
result is required (i.e., pre-employment,
return-to-duty, or follow-up), the
employee should have been sent for a
second test after the cancellation. Under
§ 40.162, an MRO is provided clear
directions for handling multiple verified
results for the same testing event, which
the MRO can apply to reconciling a
second test result with the reversed
cancellation.
In the proposal, we included a
requirement for a party seeking to
PO 00000
Frm 00013
Fmt 4701
Sfmt 4700
27607
reverse a cancellation to consult ODAPC
if the decision is being made more than
60 days after the cancellation. This is
the same consultation requirement we
have in § 40.149(a)(4), where we allow
an MRO to reopen a verified test after
60 days. Providing this information
helps ODAPC to provide advice to
MROs regarding what to consider and
potential concerns. We received several
supportive comments on this part of the
proposal and have finalized it, as
proposed.
V. Section-by-Section Analysis
The Department made a deliberate
decision not to create a separate subpart
of part 40 or to designate another part
of Title 49 of the United States Code to
house oral fluid testing. Since many of
the provisions of part 40 can be applied
to urine, oral fluid and other potential
future testing matrices, we proposed to
integrate new provisions concerning
oral fluid testing within the current part
40 structure. In other sections, we
proposed to revise current sections and
their titles to specify they would only
apply to urine testing.
§ 40.3 What do the terms used in this
part mean?
We proposed to delete the definition
of ‘‘screening drug test’’ because the
term is not used in part 40. For
consistency with HHS terminology, we
have removed the defined term ‘‘invalid
drug test’’ in the definitions section,
§ 40.3, and have updated the wording in
the definition of ‘‘invalid result’’ to be
consistent with the current language in
the HHS mandatory guidelines for both
urine and oral fluid. We have also
updated §§ 40.123(c) and 40.129(a) and
(d) to use the term ‘‘invalid result’’.
To harmonize part 40 with the HHS
Guidelines and to update part 40, we
have added seven defined terms. We
have added ‘‘alternate specimen’’ as an
authorized specimen of a type other
than the one previously collected (e.g.,
in a case where the initial collection
was urine, oral fluid would be an
alternate specimen). ‘‘Cutoff’’ is the
quantitative point distinguishing a need
for further testing or whether a
laboratory result, for example, is
positive or negative (e.g., 2 ng/ml is the
confirmatory test cutoff for a positive vs.
negative oral fluid result reported by the
laboratory for THC). We have added
definitions for ‘‘oral fluid specimen’’
and ‘‘urine specimen.’’ We have added
a sentence to the definition of ‘‘oral
fluid specimen’’ to explicitly state that
an oral fluid collection is a direct
observation collection. ‘‘Specimen’’ is
the generic term for any fluid, breath or
material collected from someone for a
E:\FR\FM\02MYR2.SGM
02MYR2
27608
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
ddrumheller on DSK120RN23PROD with RULES2
drug or alcohol test. We have added
‘‘Undiluted (neat) oral fluid’’, using the
same language HHS uses in Section 1.5
of its Oral Fluid Mandatory Guidelines.
We have also added a definition for the
FMCSA’s Commercial Driver’s License
(CDL) Drug and Alcohol Clearinghouse
(Clearinghouse). For the reasons
explained in the Principal Policy
section, we added a new definition for
‘‘SSN or Employee ID No.’’.
We have modified seventeen
definitions in § 40.3. For the most part,
the changes are not substantive, and
conform part 40’s wording with that of
the HHS guidelines. For example,
‘‘collection container’’ refers to vessels
used in all collections, whether of urine
or oral fluid. In the definition of
‘‘specimen bottle,’’ we added that the
term could include ‘‘tube’’ or ‘‘vial’’
used in oral fluid testing.
One commenter requested we change
the definition of ‘‘split specimen’’ to
allow two separate specimen
collections. This would be inconsistent
with OTETA’s requirement for a single
specimen to be collected from and
subdivided in the presence of the tested
individual. Thus, we have adopted the
proposed definition of ‘‘split specimen’’
with no changes.
Most of the comments were
supportive of the proposed changes.
Thus, we have adopted the proposed
changes to § 40.3.
§ 40.13 How do DOT drug and alcohol
tests relate to non-DOT tests?
The Department has made minor
changes to paragraphs (b), (c), and (d) of
this section for clarification in the
context of oral fluid testing. For
example, paragraph (d) is applicable
only to urine testing, since oral fluid
testing is not part of the normal medical
examination procedure to which the
paragraph applies.
We have redesignated the current
paragraphs (e) and (f) as new paragraphs
(f) and (g). We have added a new
paragraph (e) to specify that a drug or
alcohol test administered as directed by
a medical examiner, exclusively as part
of a medical examination required for
an employee to qualify for a certificate
or license, is not a DOT drug or alcohol
test under part 40 and related DOT
agency drug and alcohol testing rules.
For example, if a certified medical
examiner decided to give a motor carrier
driver a drug test as part of an
examination for medical card purposes,
that would be a ‘‘non-DOT test.’’ An
employer could request a required DOT
pre-employment test be conducted
when the medical examination is being
conducted, as currently permitted under
49 U.S.C. 31306(d).
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
We have added a new paragraph (h)
to further emphasize that DOT drug and
alcohol tests are authorized to be
conducted only on safety-sensitive
employees as designated in the agency
drug and alcohol testing regulations.
DOT-regulated tests must not be
conducted on non-regulated persons
(i.e., those who do not perform DOTregulated safety-sensitive duties). DOT
testing is a legal warrantless search and
seizure permitted by the Fourth
Amendment of the Constitution and is
only applicable to regulated persons.
The DOT’s strong interest in
maintaining transportation safety, when
weighed against an individual’s right to
privacy, allows DOT’s regulated testing
to pass Constitutional scrutiny. See
Bluestein v. Skinner, 908 F.2d 451 (9th
Cir. 1990); Skinner v. Railway Labor
Executives’ Assn., 489 U.S. 682 (1989);
Treasury Employees v. Von Raab, 489
U.S. 656 (1989). There is no Federal
transportation safety interest in using
this testing for individuals other than
safety-sensitive employees.
Consequently, DOT testing cannot be
conducted on employees not regulated
by the DOT agencies. Companies do not
have the authority to conduct DOTregulated testing on non-regulated
employees. DOT regulations also do not
allow non-DOT testing to satisfy an
employer’s obligation to meet its
minimal annual random testing rate for
DOT testing.
Some individual commenters
supported the proposed modifications
to paragraphs (d), (e), and (f). Other
commenters noting the changes to
§ 40.13 were also supportive. We have
finalized the proposed changes.
can request a waiver to ‘‘stand down’’
an employee from performing safetysensitive functions based on a
laboratory confirmed non-negative
result (i.e., positive, adulterated,
substituted or any combination thereof)
until the MRO issues the employer a
verified result. The authority to stand
down an employee is very limited and
requires an employer to obtain an actual
waiver from the DOT agency before
implementing a stand down policy.
As with any laboratory-confirmed
positive, the MRO may verify the final
result as negative (e.g., if an employee
offers a legitimate medical explanation
such as a legal prescription). We
proposed to add a new paragraph
(c)(2)(vii)(C) of this section to prevent
the employer to send an employee back
in for another test using a different
specimen type after receiving a verified
negative result. We did not want the
employer to order a second test using a
different methodology to see if the
window of detection could later impact
the result. If the MRO cancelled the test
(e.g., per the requirements of § 40.159),
then the employer can send an
employee in for an alternate specimen
collection.
We received one comment on this
proposal. The combined commenter, a
C/TPA and MRO practice, asked us to
clarify in the final rule preamble that
this applies to more than laboratory
positives. Specifically, it also applies to
laboratory-confirmed adulterated and
substituted results. We have made this
distinction in the preamble, as it already
exists in § 40.21(b). Other than making
this change, we have finalized the
changes as proposed.
§ 40.14 What information must
employers provide to collectors?
We received one comment in support
of the modification we proposed to
§ 40.14(b). We have adopted this change
to add clarity and to recognize that, in
the motor carrier industry, FMCSA
requires the CDL to be used for purposes
of the Drug and Alcohol Clearinghouse
(Clearinghouse) (see 49 CFR 382.705).
We have adopted our proposal to add
a new paragraph (k) for ‘‘the specimen
type to be collected’’. We had proposed
to add paragraph (l) to specify if a urine
test is to be directly observed. Although
there were no comments on paragraphs
(k) and (l), we have decided to remove
the proposed paragraph (l) because it is
redundant with current paragraph (i).
§ 40.23 What actions do employers
take after receiving verified test results?
We proposed minor changes in this
section to account for the use of oral
fluid or urine in the event of an invalid
specimen. In § 40.23(f), we proposed
flexibility in allowing the subsequent
direct observation collection to either be
an oral fluid collection or a urine
collection under direct observation. In
paragraphs (f)(1) and (5), we offered
language to acknowledge a urine
collection would need to be directly
observed. As written, it is clear oral
fluid collections are directly observed.
We received two comments. One
commenter supported allowing the
employer to choose an alternate
specimen type for the directly observed
collection. The other commenter said an
employee could deliberately cause their
urine test to be invalid, then refrain
from drug use for a few days and test
negative on an oral fluid test. This
commenter was concerned employees
§ 40.21 May an employer stand down
an employee before the MRO has
completed the verification process?
Under part 40 and the corresponding
DOT agency regulations, an employer
PO 00000
Frm 00014
Fmt 4701
Sfmt 4700
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
ddrumheller on DSK120RN23PROD with RULES2
would use the windows of detection for
the different methodologies to their
advantage.
While we recognize the concern of the
second commenter, we want to
emphasize that oral fluid is a
scientifically valid form of testing for
the DOT-regulated drug testing program.
Our program is deterrence-based. With
established cutoffs, we do not seek to
detect the presence of every drug, we
only seek to detect drugs at their cutoffs
and deter illegal drug use. Since HHS
has determined oral fluid testing is
scientifically viable and forensically
defensible, we are willing to leave it to
the determination of the individual
employers to select the methodology
acceptable to them under given
circumstances. For this reason, we
encourage employers to look at all
aspects of using urine drug testing
versus oral fluid drug testing as their
choice for a particular test, in
accordance with part 40.
In consideration of the comments and
for the reasons set forth above, we have
finalized the proposed changes to
§ 40.23.
§ 40.25 Must an employer check on the
drug and alcohol testing record of
employees it is intending to use to
perform safety-sensitive duties?
Beginning January 6, 2020, FMCSA
implemented its Clearinghouse
regulation, set forth in part 382, subpart
G. As part of those requirements,
FMCSA-regulated employers with
drivers subject to the drug and alcohol
use and testing regulations set forth in
part 382 to query the Clearinghouse
drug and alcohol database for
information about an employee’s past
drug and alcohol violations that
occurred while the driver was employed
by another FMCSA-regulated employer.
The Clearinghouse regulations apply
only to employers and employees
subject to the requirements of part 382.
Until January 2023, FMCSA-regulated
employers had dual requirements. They
had to conduct a pre-employment query
of the Clearinghouse, as required by
§ 382.701(a), and continue to follow the
procedure of § 40.25, as set forth in
§ 382.413, to request a prospective
employee’s drug and alcohol violation
information from previous DOTregulated employers.
We have added § 40.25(a)(2) to reflect
that, beginning January 6, 2023, the
requirements changed for FMCSAregulated employers, who now must
rely solely on querying the
Clearinghouse, in accordance with
§ 382.413(b), to determine whether an
applicant violated FMCSA’s drug and
alcohol testing regulations while
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
employed by other FMCSA-regulated
employers. For example, after January 6,
2023, a motor carrier vetting a
prospective employee is required to
check the Clearinghouse to determine
whether the driver’s previous FMCSAregulated employer(s) reported drug and
alcohol testing program violations by
that driver.
However, since the Clearinghouse
does not include drug and alcohol
violations committed by employees of
other DOT agency-regulated employers,
FMCSA-regulated employers must
continue to comply with the
requirements of § 40.25 when hiring an
employee who has been employed by
another DOT agency-regulated
employer.
Under the new § 40.25(a)(3), we
remind FMCSA-regulated employers to
request the information about the
employee listed in paragraph (b)–(j) of
this section from any other DOT agencyregulated employer for whom the
employee previously worked, if the
employee was subject to another DOT
agency’s drug and alcohol testing
program. If an applicant’s past
employment was with an employer
regulated by, for example, the FTA or
the FAA, the gaining motor carrier
employer must continue to comply with
the requirements of § 40.25 by
requesting the required information
directly from those employers, in
accordance with § 382.413(c). This is
necessary since drug or alcohol
violations incurred while the driver was
employed by a DOT agency other than
FMCSA will not have been recorded in
the Clearinghouse.
Although FMCSA-regulated
employers must query the
Clearinghouse for an employee’s drug
and alcohol testing information,
employers regulated by the other DOT
agencies do not have access to the
Clearinghouse but must find out this
important safety information for
employees who previously worked for
motor carriers. For example, if an FAAregulated employer sends a § 40.25
inquiry to a motor carrier, the motor
carrier must respond to that inquiry in
accordance with § 40.25(h). Thus, the
Clearinghouse will address motor
carrier inquiries, but each FMCSAregulated employer is required to retain
the records and be ready to respond to
§ 40.25 inquiries from other DOTregulated employers.
We did not receive any substantive
public comments on these changes,
which merely conform to FMCSA’s
requirements. We have finalized the
proposed changes.
PO 00000
Frm 00015
Fmt 4701
Sfmt 4700
27609
§ 40.26 What form must an employer
use to report Management Information
System (MIS) data to a DOT Agency?
We proposed a simple editorial
change, substituting a reference to
appendix J for a reference to appendix
H. This conforms to a re-designation of
the appendix letters but would make no
substantive changes to the section or
form. We did not receive any public
comments on this change. We have
adopted this change as proposed.
§ 40.29 And Similar Sections
We proposed deleting several sections
(§§ 40.29, 40.37, 40.113, 40.169, 40.189,
40.217, and 40.313), which listed other
sections of part 40 touching on a given
topic (e.g., employer responsibilities in
§ 40.29). These lists of cross-references
were intended to assist readers in
finding other relevant information
before part 40 was searchable
electronically. In the more than 20 years
since we placed these sections into part
40, electronic search tools have become
sophisticated and ubiquitous, making
these sections no longer necessary.
A small number of commenters said
they liked these cross references, but the
majority of commenters said that the
cross-references have outlived their
usefulness because of electronic search
options. One commenter said, ‘‘Please
continue to make decisions about
organization of part 40 based on logic,
without regard to previous editions of
the rule. Those of us who look at it
every day need to do our jobs and learn
the new numbers.’’ Another commenter
noted, ‘‘it would not be a burden if the
cross referencing was removed because
the titles of the Subparts clearly identify
the subject matter and the title/s of the
section/s under those Subparts are
worded in the format of a question with
the answers found in that section.’’
Therefore, we have adopted the
changes. We removed the crossreference sections of §§ 40.29, 40.37,
40.113, 40.169, 40.189, 40.217, and
40.313, as proposed.
§§ 40.31 and 40.35—Collectors and
Their Qualifications—
We have updated § 40.31 to include
oral fluid collectors who can collect
DOT drug testing specimens. We have
added a new § 40.35 to separately
specify the requirements for collectors
of urine and oral fluid specimens,
respectively. Adding this section
required renumbering existing § 40.35 to
become § 40.36. We have paralleled the
new § 40.35 as closely as possible to our
existing training requirements for urine
specimen collectors in § 40.33. We have
added language to parallel § 40.213(b)
for training on the specific devices.
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27610
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
In addition, we have included a
clarification for both urine and oral
fluid collectors prohibiting relatives,
close friends, and certain employees
(e.g., co-worker or immediate
supervisor) from conducting collections.
This is consistent with existing
guidance in the Department’s Urine
Specimen Collection Guidelines. We
received substantive public comment on
these changes. Several comments
supported the following proposed
wording: ‘‘a collector must not be
related to the employee being tested
(e.g., spouse, ex-spouse, relative) or a
close personal friend.’’ Other
commenters, including Quest
Laboratories, NDASA, and the
Substance Abuse Program
Administrator’s Association (SAPAA)
agreed with the exact wording
proposed. An aviation employer, Flight
Safety International, said they thought
the list of specific relationships listed is
too limited and would prefer the
following wording: ‘‘the collector shall
have no conflict of interest with regard
to the donor’s result’’.
On SAP commenter asked that we not
allow supervisors or managers to serve
as collectors. The Aircraft Mechanics
Fraternal Association asked us to clarify
whether management is included in the
category of those prohibited from
collecting a specimen. The Passenger
Vessel Association supported the
existing prohibition on collections by
immediate supervisors in the current
§ 40.31(d) is sufficient. This commenter
said: ‘‘While the limitations proposed in
49 CFR 40.31(d) are problematic for
vessels that are often operated by a
small number of crew members with a
strict supervisor/subordinate
organization, that same paragraph
finishes with caveat ‘unless no other
collector is available and you are
allowed to do so under DOT Agency
drug and alcohol regulations,’. . .’’,
which this commenter supported.
We agree with the Passenger Vessel
Association and other commenters, who
supported the wording of the newly
renumbered § 40.31(d). We did not
change this long-standing provision
cautioning against collection by the
immediate supervisor of the employee
being tested, which is now found in
§ 40.31(d) (formerly in § 40.31(c)).
Regarding the qualifications for oral
fluid collectors in § 40.35, those who
commented generally supported the
proposal and we have, therefore,
adopted it as proposed. One C/TPA
wanted to see training similar to urine
specimen collectors plus completing the
manufacturer’s training for each oral
fluid testing device the collector will
use. A large C/TPA and MRO practice
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
said all collectors should be trained and
qualified to perform both oral fluid and
urine testing, and device-specific
training should come from the
manufacturer. One commenter, who
performs a large number of trainings
annually, said we should look at this the
way we view alcohol testing training,
which means there needs to be
comprehensive part 40 training plus
device-specific training. One commenter
suggested we call any qualified oral
fluid collector a ‘‘Drug Screening
Collector Technician (DSCT)’’ to be
consistent with Breath Alcohol
Technicians and Screening Test
Technicians. This commenter also
recommended having oral fluid
collectors: join the ODAPC list serve; be
trained to all steps of the CCF, and in
problem collections, fatal flaws, and
collection site integrity; undergo five
error-free mock collections; and have a
requirement to requalify every five
years. Similarly, NDASA and several C/
TPAs wanted oral fluid collector
training to include all of the proposed
training elements, which mirrored the
urine collector training with additions
specific to oral fluid collections. SAPAA
also commented in favor of devicespecific training. Several commenters
said there should not be five error-free
mock collections per device.
Regarding creating a model training
course for oral fluid testing and urine
testing similar to the one we have for
alcohol testing, we did not propose to
create and require such model courses
in this rulemaking. However, we will
take the requests of these commenters
into consideration in formulating future
guidance.
We asked for comment about who
should be considered appropriate for
monitoring the mock collections
necessary to qualify an oral fluid
collector. We modeled the criteria for
the oral fluid monitor after what we
have set for urine collections in
§ 40.33(c): one who has regularly
conducted DOT drug test collections for
a period of at least one year; has
conducted collector training under this
part for at least one year; or has
successfully completed a ‘‘train the
trainer’’ course. The commenters
supported keeping the same
requirements for the mock collection
monitors for oral fluid as for urine.
Several commenters noted it would be
inadvisable for the Department to allow
individuals who have been collecting
only non-DOT specimens to
automatically qualify to train oral fluid
collectors under part 40 but did not
provide a reason for their rationale.
Other commenters asked if virtual
training and virtual mock collections
PO 00000
Frm 00016
Fmt 4701
Sfmt 4700
were permissible. Both have been
allowed for urine collector initial
training, error correction training and
for requalification training.
Consequently, both will be permitted for
oral fluid collector initial training, error
correction training and for
requalification training.
One commenter asked about whether
there must be two or three individuals
involved in the mock proficiency
demonstrations. Whether they are inperson or virtual, we have always
required at least two individuals to
interact during the mock collections,
while a best business practice is to have
a third person act as the donor, so that
the trainee could have the experience of
‘‘collecting from an employee’’ without
actually collecting a specimen during
the training. We believe this is an
extremely important requirement
because collectors must deal with real
people and real specimen collections. If
the monitor and trainee are the only
participants in the mock proficiency
collections, then the monitor must also
perform the role of the donor—by
interacting meaningfully with the
collector trainee to make certain the
trainee gets the experience of both
uneventful and problem collections.
The easiest way to achieve this result is
for there to be a third person playing the
part of the donor. However, if there are
only the monitor and the trainee, but the
monitor meaningfully plays the roles of
the cooperative and uncooperative
donors, the intent of part 40 is fulfilled.
There were comments recommending
oral fluid collectors be trained by the
manufacturer(s) of the respective oral
fluid device(s) the collector intends to
use. Some recommended collectors take
the manufacturer’s online course to get
qualified to use each specific device.
Others distrusted having specific device
training done through the
manufacturer’s website because they
said that would increase costs. One
commenter said not to allow
manufacturers to train for their own
devices because the manufacturer
would introduce bias, but a third-party
conducting training would not have that
bias. One commenter suggested the
collector instructor take the
manufacturer’s device-specific training
and use that as the basis for training
others. Similarly, a couple of
commenters recommended using
specific training approved by the
manufacturer for its own device.
Labcorp strongly encouraged us to
require ‘‘collectors to complete
manufacturers’ training on each
collection device that will be used for
DOT-regulated collections as individual
devices have unique features with
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
respect to proper placement in the
mouth, timing, and specimen
sufficiency indicators.’’ One C/TPA said
train the trainer courses will be widely
available, as they are for urine testing,
and oral fluid device manufacturers may
take the lead on this. Other commenters
discussed the user-friendly nature of the
devices (i.e., they usually come with
instructions for use or those instructions
can easily be read on the manufacturer’s
website prior to the collection).
We agree with the commenters who
were hesitant about specifically
requiring the manufacturer’s training be
used. Considering the user-friendly
nature of the devices and that
instructors will be teaching oral fluid
collectors to use each device the
collector is expected to deploy, we
amended the proposed language. We
have adopted the requirement for a
collector to obtain ‘‘training to
proficiency in the operation of the
particular oral fluid collection device(s)
you will be using.’’
The collector must demonstrate
proficiency for each device. We
acknowledge several commenters did
not want proficiency demonstrations for
each device on which a collector is
instructed. However, we disagree
because the point of the initial
proficiency demonstration is to prove
the collector was trained on a particular
device to full proficiency. If the
collector will use more than one device,
then the collector needs to prove initial
proficiency on each device.
The collector must check the
expiration date of the device in each
mock collection because using an
expired device or failing to enter the
‘‘Split Specimen Device Expiration
Date’’ on Step 4 of the CCF would be a
fatal flaw under § 40.199. Since the
collector will use an oral fluid device
that will collect a single specimen,
which is then subdivided in the
presence of the donor, only one device
is to be used. The collector must make
the entry on the option marked ‘‘Split
Specimen Device Expiration Date’’
instead of the option marked ‘‘Primary/
Single Specimen Device Expiration
Date’’. We have been clear that part 40
does not allow the use of a ‘‘primary’’
collection device, meaning one of two
collection devices. In addition, part 40
does not allow for a ‘‘single specimen’’
collection device because all devices
must be capable of collecting both a
primary and split specimen. For DOTregulated collections, all devices will
collect a split and have an expiration
date. The collector will enter the
expiration date of the single device in
Step 4 of the CCF, on the line marked
‘‘Split Specimen Device Expiration
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
Date,’’ which appears directly above
Step 5A. The collector would not fill in
the ‘‘Primary/Single Specimen Device
Expiration Date’’ in addition to the
‘‘Split Specimen Device Expiration
Date’’ on the CCF.
We consider proficiency
demonstrations to be extremely
important. It is one thing to receive
instruction on how to use a device, but
demonstrating proficiency is literally
where the ‘‘rubber hits the road.’’ If a
collector cannot demonstrate
proficiency on a device, then the
instruction received on the use of the
device will not remain with the
collector in real world collections.
§ 40.33 What training requirements
must a collector meet for urine
collection?
There were no comments to changing
the title of § 40.33 to reflect its focus on
urine collectors. We also proposed a
change to § 40.33(f) to clarify that
damage to a specimen resulting in it
being cancelled does not require
retraining of the collector, unless the
error actually occurred during the
collection process. When a specimen is
damaged by a delivery truck, sort
facility, or other part of the
transportation process, or is lost in
transit, it is not the result of an error by
the collector during the collection
process. However, when such damage
during the transportation process
occurred, some MROs had required
collector retraining.
Our proposal to clarify that a collector
is not subject to the time and costs of
retraining for errors outside the
collection process, such as in
transportation process events, was met
with only supportive comments. In
response to the following, we have
adopted the change to § 40.33(f).
One commenter, NDASA, said,
‘‘Unnecessary error correction has been
required for far too many circumstances
that are beyond the control of the
collector, costing time and cancelled
tests.’’ A combined MRO and C/TPA
comment supported the proposal,
saying ‘‘Previously this was too subtle of
a distinction and collectors have been
unnecessarily subjected to error
correction training when a situation was
not their fault. An example is when a
bottle leaks in transit where fault is
difficult to assign.’’ In further
agreement, Quest Diagnostics said,
‘‘Similar to urine collections, problems
that occur during shipping that are out
of the collector’s control should not be
held against the collector.’’ LabCorp also
agreed with this proposed change.
PO 00000
Frm 00017
Fmt 4701
Sfmt 4700
27611
Subpart D—Collection Sites, Forms,
Equipment and Supplies Used in DOT
Urine and Oral Fluid Collections
Some commenters appeared to be
confused about testing oral fluid
specimens for drugs versus testing
saliva for alcohol misuse. Oral fluid
drug testing and saliva alcohol testing
are completely distinct from each other.
The devices, procedures and outcomes
are never interchangeable. The
provisions applicable to oral fluid
testing procedures were proposed as
additions in subpart D. The saliva
alcohol testing provisions in subparts K
through L remain unchanged.
We proposed to reorganize subpart D
to accommodate the addition of
provisions pertaining to oral fluid drug
testing. Sections applying to the DOT
drug testing process generally,
regardless of specimen type, come first.
Renumbered §§ 40.40 and 40.41 contain
the content of previous §§ 40.45 and
40.47, concerning the use of the official
‘‘Federal Drug Testing Custody and
Control Form’’, which we continue to
refer as the ‘‘CCF’’ in all DOT
collections. The 2020 CCF and
instructions for completing the CCF for
both urine and oral fluid collections are
available on the HHS website, https://
www.samhsa.gov. The DOT has posted
the 2020 CCF on our website, https://
www.transportation.gov/odapc. Some
commenters specifically requested
ODAPC to provide Specimen Collection
Guidelines for both oral fluid and urine,
in one combined document. Since not
every collector intends to perform both
types of collections, we will provide an
ODAPC Oral Fluid Specimen Collection
Guidelines document, separate from our
Urine Specimen Collection Guidelines,
after the publication of this final rule.
We proposed changes to the sections
of subpart D, including the title of the
subpart, which contain the word
‘‘urine’’ or a derivative of that word, if
those sections would apply to both
urine and oral fluid testing. We added
the words ‘‘and Oral Fluid’’ to the title
of this section to emphasize subpart D
applies both forms of DOT-regulated
drug testing collections. We proposed
the language ‘‘any other appropriate
contact information’’ to permit the
inclusion of email addresses or other
means of contacting the appropriate
parties in the redesignated § 40.44(c)(2).
We asked for public comment regarding
removing requirements related to fax
numbers on the CCF, allowing the fax
number if the parties have one, or
whether fax numbers were still relevant.
We proposed a provision allowing the
Designated Employer Representative’s
(DER) name and contact information to
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27612
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
be preprinted on the CCF. We asked the
laboratories about the availability of
space on the CCF to pre-print the
information, as well as the logistics and
timeliness of sending out updated CCFs
with the new DER information. To
recognize the responsibility of
collectors, as well as collection site
operators, for proper collections, we
have added ‘‘collectors’’ to the title of
§ 40.43.
As amended, the newly reorganized
§§ 40.42–40.45 covers urine testing
(renumbered § 40.42 in the amended
rule contains the material previously
found in § 40.41, while renumbered
§§ 40.44 and 40.45 contain the material
previously found in §§ 40.49 and 40.51).
To parallel with their urine testing
counterparts, new §§ 40.47–40.51 have
been added to address oral fluid testing,
specifically.
We proposed to modify renumbered
§ 40.40 to clarify what address and
telephone number a collector must
provide on the CCF. In January 2002,
ODAPC issued a Question and Answer
(Q&A) explaining that the collection site
address should not be a corporate or
‘‘main office’’ address. In addition, the
Q&A stated that the collector’s
telephone number on the CCF should be
the number to directly reach the
individual collector and/or the
collector’s supervisor and not a
corporate ‘‘toll free’’ number to a call
center. With the modification to § 40.40,
if an MRO, laboratory, employer or any
DOT staff need to speak with the
collector, the telephone number
provided on the CCF must give access
directly to that collector and/or the
collector’s supervisor during the
collection site’s business hours. The
collector must not provide a number for
a call center. Since this amendment
makes the collection site address and
collector’s telephone number part of the
regulatory requirements, we will
withdraw the January 2002 Q&A
because it is now unnecessary.
If CCFs had already been printed
before this final rule was published, the
call center number may be on the forms.
Service agents (i.e., C/TPAs and
collectors) and employers can use these
preprinted forms, but they need to cross
out the incorrect telephone number and
write in the correct telephone number
and/or collection site address. There is
no need to incur the cost of destroying
these CCFs, but we would expect they
will no longer be generated with the call
center telephone numbers or incorrect
addresses after this final rule becomes
effective. However, we want to remind
collectors and collections sites that they
have the responsibility to keep their
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
information current with the
laboratories.
We did not receive comments strongly
opposing the addition of email
addresses, but there were strong
proponents for and against using fax
numbers. Some commenters said fax
machines are outmoded by more secure
electronic equipment. LabCorp
supported removing the fax number
requirement. One commenter said fax
machines tend to produce less legible
and sometimes illegible copies of the
recipient because some labs use lighter
ink on their CCFs. One commenter
specifically supported replacing the
requirement for fax numbers on the CCF
with the option and space to include a
either a fax number or email address to
transmit the CCF to others. In support
of using fax numbers, one commenter
said faxes are ‘‘still a consistent use of
transmitting information in a secure
manner. Not all organizations are set up
with secure transmittal methods and fax
still remains more secure than email
and is used between clinics, labs and
MROs as well as with employers.’’ A
large C/TPA and MRO practice
supported the continued use of faxes:
‘‘While some collection sites are getting
rid of fax numbers, we do not have
widely available access to their email
addresses. Fax is still commonly used to
communicate between collectors, MROs
and labs. Confidential communications
with collection site should be encrypted
yet some of their systems will not allow
for this. Faxing still plays a role in our
business world and systems are
available to keep the information secure
in transit.’’ Another C/TPA commenter
wanting us to keep fax numbers echoed,
‘‘maximizing the usage of electronic
mail and other digital means for
document transfer is the most efficient
method of communication available
today. However, fax communications
are still prevalent in the industry, and
at this point still an unfortunate
necessity.’’
In response to the comments, we have
decided to keep the option of including
a fax number on the CCF, but not
require its use. Since many entities no
longer use fax machines, it would be an
unintended cost to require them to
reinstate them. Consequently, in
§ 40.40(c)(2), we finalized the following
proposed language: ‘‘Fax numbers may
be included, but are not required.’’
There were only opposing comments
on the idea of including the DER’s name
and contact information pre-printed on
the CCFs. Laboratories, C/TPAs, MROs,
and collector trainers said that DERs
change too frequently to pre-print a
specific name on the CCF, and to fill
that information in on the CCF at the
PO 00000
Frm 00018
Fmt 4701
Sfmt 4700
time of the collection. One commenter
said that, even on an electronic CCF, it
can be confusing to need to change the
actual DER’s name if it is pre-set in the
electronic system. Many commenters
said pre-printing this would be a waste
of money and time because the preprinted DER names and contact
information would need to be crossed
out and the correct information written
over the cross-outs. This would lead to
further confusion.
Consequently, we have not included
any requirement for pre-printing the
DER’s name. It was interesting and
informative for us to know that using an
electronic system would have
difficulties adapting to changing DERs.
We asked for public comment on the
use of the term ‘‘dry mouth’’ in
§ 40.48(c)(1). We explained ‘‘dry
mouth’’ is shorthand, similar to the term
‘‘shy bladder’’ used for urine
collections, for a situation in which an
employee is unable to produce a
sufficient specimen. We received no
comments on this point, although many
commenters had already adopted the
term ‘‘dry mouth’’ in their own
comments.
One commenter with a nationwide
collection network said ‘‘multiple oral
tests can be conducted simultaneously
when in a controlled/supervised
environment. All while ensuring the
integrity of the individual tests.’’ That
was the only comment opposing the
proposal to require the collector to only
collect from one employee at a time. We
are concerned the distraction of
conducting multiple collections at the
same time could compromise the
security of the collection and potentially
impact the fairness and accuracy of the
oral fluid test. Consequently, we have
adopted this provision to allow the
collector to conduct only one collection
at a time.
§ 40.49 What materials are used to
collect oral fluid?
The Department proposed that all oral
fluid collection devices must meet the
requirements being set forth in a new
appendix B, which is consistent with
OTETA’s requirement that the specimen
must be subdivided from the original
specimen in the presence of the
employee being tested. See 49 U.S.C.
45104(5) (aviation industry testing), 49
U.S.C. 20140(c)(5) (rail), 49 U.S.C.
31306(c)(5) (motor carrier), and 49
U.S.C. 5331(d)(5) (transit). Importantly,
we noted not all the devices HHS would
allow for the OFMG will be allowed for
DOT-regulated collections under 49 CFR
part 40 because many would not be
consistent with OTETA.
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
Some commenters said DOT and HHS
should not allow different devices. One
commenter said HHS should only use
devices meeting the needs of the DOT
program. Another commenter said
laboratories charge four dollars per oral
fluid collection device, and since every
collection would require two devices to
create a split specimen, they thought
DOT’s proposal would save money by
mandating a single device, even though
it was a sub-dividable device.
Although we discussed the
requirements of OTETA in the preamble
to the NPRM, one commenter did not
realize it was a statutory requirement,
saying DOT did not have data to support
using a single specimen collection
device that gets subdivided. An industry
association said it could not find the
language in OTETA. One commenter
said there was no need to subdivide the
specimens, simply use a single
collection device, as is done in nonDOT testing. A couple of commenters
misunderstood OTETA’s requirements
and thought that a single specimen
subdivided was a concept that DOT
created separately from the statute.
Several commenters suggested the
mouth could be the collection container,
thereby allowing separate specimens
could be collected from different parts
of the mouth to collect a subdivided
specimen. Others said the Department
did not understand OTETA’s
requirements and were thereby creating
an obstacle that would delay oral fluid
testing because the Food and Drug
Administration (FDA) could take one to
two years to approve new devices.
Incidentally, some of these same
commenters participated in the public
comment period for proposed changes
to the HHS OFMG and said it would not
be a problem to change the devices and
obtain FDA approval in under one year,
even on an annual basis, if needed. (See
87 FR 20522, Apr. 7, 2022). That
inconsistency was notable, when
compared to the comments some of the
same commenters filed to this docket.
When Congress passed OTETA in
1991, it designated DOT as the agency
to interpret and carry out the
requirements of the statute. The
Secretary of Transportation, with certain
delegations to the aviation, rail, motor
carrier and transit administrations, was
charged with continuing its existing
drug testing regulations, but
enhancements were articulated in
OTETA. One of those enhancements
was to require ‘‘that each specimen
sample be subdivided, secured, and
labelled in the presence of the tested
individual.’’ Id. The Senate Committee
Report explained the testing programs
were to include ‘‘procedures designed to
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
safeguard individual rights and testing
procedures which shall . . . Provide
that each specimen sample be
subdivided, secured, and labeled in the
presence of the tested individual . . .’’
Senate Report: Omnibus Transportation
Employee Testing Act of 1991, S. Rpt.
102–54, pp. 20–21 (May 2, 1991). In
addition, the Senate Report explained,
‘‘These safeguards are critical to the
success of any testing program. They are
designed to ensure that an individual’s
basic rights to privacy are protected and
that there is accountability and accuracy
of testing.’’ Id.
Having a single specimen collected
and subdivided in the presence of the
tested individual is the core issue in the
decisions we have made regarding what
device features would be acceptable in
the DOT oral fluid testing program.
Congress clearly articulated collecting a
single specimen that is subdivided in
the presence of the tested individual is
a critical safeguard for the individual
and it provides assurance of the
accountability and accuracy of the
testing program. Furthermore, the
safeguard of a single specimen
subdivided in the presence of the
individual being tested is a right OTETA
ensured for individuals being tested. As
we said in our 2000 preamble to the
plain language rewrite of part 40,
‘‘When Congress guarantees a right to
employees (and we believe we must
treat all DOT-regulated employees in
our program alike, even if they are not
covered by the Omnibus Act), our
obligation as a Federal agency is to
faithfully execute that legislative
decision.’’ (65 FR 79467 Dec. 19, 2000).
Requiring a device that permits a
single specimen to be collected and
subdivided in the presence of the donor
is both a statutory requirement and a
reasonable expectation. The Department
is acting within its authority to carry out
such reasonable and clear requirements
in legislation entrusted to it.
Assuming in the alternative that the
statute is not considered to be clear on
its face, the DOT is the Federal agency
charged by Congress to interpret OTETA
and we are utilizing our ability to
interpret the statutory authority vested
in us. The precedent for this ability to
interpret statutes has been supported for
almost forty years in the cases following
Chevron v. Natural Resources Defense
Council, 467 U.S. 837 (1984). In
Chevron, the leading case on the
authority of agencies to interpret
statutes through rulemaking, the
Supreme Court articulated the following
standard:
When a court reviews an agency’s
construction of the statute it administers, it
PO 00000
Frm 00019
Fmt 4701
Sfmt 4700
27613
is confronted with two questions. First,
always, is the question of whether Congress
has directly spoken to the precise question at
issue. If the intent of Congress is clear, that
is the end of the matter; for the court, as well
as the agency, must give effect to the
unambiguously expressed intent of Congress.
If, however, the court determines Congress
has not directly addressed the precise
question at issue, the court does not simply
impose its own construction of the statute, as
would be necessary in the absence of an
administrative interpretation. Rather, if the
statute is silent or ambiguous with respect to
the specific issue, the question for the court
is whether the agency’s answer is based on
a permissible construction of the statute. (Id.
at 842–43).
In applying the Chevron analysis,
courts will strike down an agency
regulation or interpretation when there
is something in the statute specifically
precluding the action the agency had
taken. Actually, OTETA confirms the
Department’s broad authority to carry
out its drug and alcohol testing
responsibilities. When the intent of
Congress is clear, as is the case here, no
further inquiry is necessary.
Thus, the Department is acting within
its statutory authority to carry out such
reasonable requirements in legislation
entrusted to it. The statute
unambiguously provides that samples
for drug testing must be subdivided, or
‘‘split.’’ To the extent that that the
statute requires interpretation, the
DOT’s implementation of the statute is
reasonable and is, therefore, entitled to
deference. See Chevron v. Natural
Resources Defense Council, 467 U.S.
837 (1984).
Consequently, as we proposed, all
devices meeting the requirements in
Appendix B will allow a single
specimen to be subdivided in the
presence of the donor. For example, a
device could allow two specimens to be
collected simultaneously using a single
collection device, which directs the oral
fluid into two separate collection tubes;
or a specimen could be collected with
a single device, which is inserted into
the mouth and can be subdivided into
two separate collection tubes. We would
also allow a device to have two pads
joined together for the collection in the
same part of the mouth, as long as they
can be separated in the presence of the
employee being tested. We do not agree
with the creative suggestion of allowing
the mouth to be the collection container.
We have made slight modifications to
the proposed rule language in Appendix
B to encompass this broader intention of
what is acceptable under OTETA. We
think it is reasonable to allow a device
with either one or two pads that can be
subdivided and sealed in the presence
E:\FR\FM\02MYR2.SGM
02MYR2
27614
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
ddrumheller on DSK120RN23PROD with RULES2
of the employee to be consistent with
OTETA.
One commenter who is a collector
pointed out that there is already at least
one patented device that would meet
the requirements of OTETA. This
commenter said she has experience
using that device and it is far superior
to others on the market. She noted
problems with other oral fluid
collection devices ‘‘such as: inadequate
specimen for multiple drug
confirmations; sample-adequacy
indicators are not reliable indicators of
specimen volume as donors attempting
to ‘beat’ the test often suck on the device
to draw saliva out of the paddle or swab;
absorbent material in paddles/swabs
have no consistency in sample volume
collected; there is no standardization of
oral fluid collection devices that a offers
a reproducible, sufficient (1 mL) sample
. . .’’ As manufacturers develop new
devices capable of being subdivided in
the presence of the donor, we expect
that any such problematic issues with
oral fluid collection devices will be
resolved.
We have included below, in the
Section-by-Section analysis of
Appendix B, more comments regarding
the specifics of what we proposed for
collection device kits. A full discussion
of the specific comments can be found
there.
§ 40.61 What are the preliminary steps
in the drug testing collection process?
We proposed changes to § 40.61(a) to
remind C/TPAs for motor carrier owner/
operators of the C/TPA’s respective
nondelegable duty to make a
determination of whether a refusal has
occurred when an employee fails to
timely report for a test that is not for
pre-employment. We received only
supportive comments. We have adopted
the changes and have added similar
language to this section to remind
employers of their duty to make a
determination on refusals. We have
added language in the final rule to
reiterate the responsibility for the
employer or C/TPA of the owner/
operator to make the actual refusal
determination required under
§§ 40.191(a)(1) and 40.355(i) and (j).
There were no comments regarding
modifying § 40.61(b)(1) and (3), to use
the term ‘‘drug testing’’ or ‘‘drug test’’ in
place of ‘‘urine,’’ since the provision
applies to the testing of either specimen
type. We have adopted these changes as
proposed.
We proposed to split the existing
§ 40.61(b)(3) into (b)(3) and a revised
(b)(4), and there were no comments. We
have revised § 40.61(b)(3) to prohibit
collection of any kind of specimen from
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
an unconscious donor. The revision to
§ 40.61(b)(4) includes the remaining
sentences of the current § 40.61(b)(3),
with a change to the final sentence of
proposed subparagraph § 40.61(b)(4).
The final sentence in § 40.61(b)(4)
emphasizes the actual employer must
decide whether a given circumstance
constitutes a refusal, as is required by
§ 40.355(i). When a directly observed
test is needed, either a directly observed
urine collection or oral fluid collection
will suffice, and the collector will note
on the CCF whether a directly observed
urine or oral fluid test was conducted
under § 40.61(f)(5)(i).
There was a comment to
§ 40.61(f)(5)(i). The commenter said the
‘‘collector should have clear
instructions on when the type of sample
can be switched. Ideally the collector
would get instruction from the DER,
however the DER is rarely available
when a problem collection arises.’’ We
agree that this instruction should come
from the DER. That instruction should
be provided in advance of the tests
when possible. These are the kinds of
details employers and collection sites
should be discussing in their regular
course of business. We disagree that it
should be a regulatory requirement.
DOT-regulated entities are required to
use HHS’s OMB-approved CCF. DOT
worked closely with HHS on the current
CCF, which incorporated changes
necessary as a result of HHS’s
establishment of scientific and technical
guidelines for the inclusion of oral fluid
specimens in the Mandatory Guidelines
for Federal Workplace Drug Testing
Programs. The majority of changes to
the CCF were made to allow the
collection of oral fluid specimens,
which have not been authorized in the
DOT drug testing until this final rule
and will not be fully implemented until
HHS certifies at least two laboratories.
In response to the HHS revisions to
the CCF, we proposed changes to
§§ 40.61(e) and 40.79(a)(1) (formerly
§ 40.73(a)(1)). The instructions for
completing the old CCF were provided
on the back of Copy 5 of that form.
These instructions are not provided on
the revised CCF. Instead, instructions
for completing the form can be found on
the HHS and DOT (ODAPC) websites.
We proposed amending § 40.61(e) to
instruct the collector to tell the
employee they can find instructions for
completing the CCF on specific HHS
and DOT websites. We received the
following comments to these changes.
Airlines for America (A4A) supported
the amendment to require the collector
to ‘‘notify the employee that
instructions for . . . the CCF can be
found at the HHS . . . and DOT . . .
PO 00000
Frm 00020
Fmt 4701
Sfmt 4700
websites.’’ Quest Diagnostics suggested,
‘‘a printed and legible copy of the
instructions for completing the CCF
should be available to both the donor
and collector to follow as part of the
collection process during all collections.
Provision of a printed copy should be a
collector’s responsibility in the event
electronic access is not available.’’
While we agree with the spirit of this
latter comment and would encourage
collectors to have a legible copy of the
CCF instructions available, we envision
it as a good business practice and not a
regulatory provision. To require paper
copies of this to be provided to each
donor seems to be an unnecessary
paperwork burden to employers and
their collection personnel. Having a
laminated copy available at the
collection site is also a good idea. As
long as these directions are available
electronically through the DOT and
HHS websites, they will be available to
all employees. We have finalized
§ 40.61(e) as proposed.
We received a comment from a labor
organization asking for a new
requirement to be added to § 40.61(b).
Specifically, they asked us ‘‘to add a
requirement that for union represented
employees to be informed by the
collector that the employee being tested
has the right to have a union
representative present during the
process.’’ It is unlikely that collectors
would know this information. We
consider this comment outside the
scope of this rulemaking, but it can be
addressed in individual collective
bargaining agreements between unions
and their employers.
Also, we proposed amending
redesignated § 40.79(a)(1) to note the
employee must provide all information
required in Step 5 of the revised CCF.
This information includes the donor’s
printed name and signature, date of the
collection, date of birth, daytime and
evening phone numbers, and email
address (if the donor has one they are
willing to share).
One commenter asked that we not
require the collector to make a remark
on the CCF if the donor’s email address,
date of birth, or telephone numbers are
not in Step 5 of the CCF. This
commenter said requiring this notation
as a remark on the CCF ‘‘could have a
catastrophic impact on the collection
process, expose employers to privacy
complaints, create unnecessary test
cancelations, increase administrative
costs, and add another point of potential
conflict between the donor and
collector.’’ The commenter thought the
requirement to provide two phone
numbers and an email address would be
a violation of the employee’s privacy
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
rights. However, the commenter did not
have an issue with providing the
donor’s name, SSN and date of birth.
We disagree that additional
information on the CCF is a violation of
the employee’s privacy. If the
information required in Step 5 of the
CCF is not properly completed by the
employee, the collector has a duty to
attempt to get the employee to provide
the information or note in the remarks
section that this was not done. As with
all problems at the collection site, it is
best to document them as soon as
possible.
One commenter, NDASA, asked about
situations in which the employee does
not have a second phone number. This
commenter asked that we allow the
collector to write ‘‘Not applicable’’ or
some derivation of that phrase on the
CCF, to note the absence of the second
number was not available and not
simply an oversight. That is a
reasonable suggestion and commonsense approach. We have not included
this in the regulatory text. Instead, we
will include it in our collection
guidance. We have finalized
§ 40.79(a)(1) as proposed.
ddrumheller on DSK120RN23PROD with RULES2
§ 40.63 What steps does the collector
take in the collection process before the
employee provides a urine specimen?
We proposed to modify § 40.63(a) to
remind collectors to ensure that all
items in Step 1 of the CCF are
completed. Specifically, we proposed to
add a parenthetical to remind collectors
to check the box for the DOT agency in
Step 1.D, and to write an address for the
actual collection site in Step 1.G.
Quest Diagnostics commented in
support of ‘‘the reminder to collectors to
check the box for the DOT agency in
Step 1.D, and to write an address for the
actual collection site in Step 1.G.’’
Similarly, industry trade associations
supported the change. There were no
opposing comments. We have adopted
the changes as proposed.
§ 40.65 What does the collector check
for when the employee presents a urine
specimen?
We proposed to modify § 40.65 to
ensure that when an immediate recollection under direct observation is
needed (e.g., because the temperature of
a urine specimen is out of range or there
are signs of tampering), regardless of
whether the first specimen was urine or
oral fluid, the required directly observed
collection could be either urine or oral
fluid. For example, if a directly
observed collection is needed after a
urine collection, the second could be
either an oral fluid collection
(inherently directly observed) or a urine
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
collection carried out under the direct
observation procedures set forth in
§ 40.67. After the second collection is
done, each specimen collected must be
sent to the appropriate laboratory (i.e., a
laboratory certified by HHS for that
specimen type). We asked for public
comment about who should make the
decision as to the methodology for the
second collection.
ARCpoint Labs, a nationwide network
of collection sites, commented that the
collector should be the one ‘‘to
determine the type of second collection
that is performed. This will allow
maximum flexibility based on
environment, oral/urine kits available
for that client, and the collectors
experience.’’ This commenter also
pointed out that moving from a urine
collection to an oral fluid for the
purpose of obtaining a directly observed
collection would remove the need to
conduct a more invasive urine direct
observation.
Conversely, Labcorp, which is an
HHS-certified laboratory and owner of a
large network of collection sites,
opposed ‘‘allowing the collector to
independently determine when an
alternate specimen should be collected
or requiring that the collector contact
the employer each time an alternate
specimen type is collected.’’ Labcorp
also said the identification of what
specimen type is used and when it
should be used should not be in the
regulation and should be in the
agreement between the employer and
the collection site. A C/TPA requested
that a ‘‘collector should have clear
instructions on when the type of sample
can be switched.’’ Similarly, the New
York City Department of Transportation
recommended advance communication
between the DER and the service agent
‘‘to ensure that an alternate
methodology is authorized with devices
and laboratories as designated. In the
event an alternate methodology is
needed, the collector should contact the
employer (DER) and/or service agent
(TPA/MRO) immediately. They will
make the decision on which device to
use.’’
We agree there should be clear
communication between the employer
and their service agent(s) who conduct
the collection to ensure there is a
process set up in advance. That process
would determine whether the collection
would either continue with the same
methodology as the collection began or
switch to the alternate methodology to
complete the second test (e.g., under
direct observation or to complete the
test when there is a shy bladder
scenario). As Labcorp noted, moving to
oral fluid for a directly observed
PO 00000
Frm 00021
Fmt 4701
Sfmt 4700
27615
collection is less invasive than moving
to a urine collection under direct
observation.
When there is a need to determine
whether an alternate specimen should
be used, it is advisable for an employer
to have a standing order in place to deal
with such situations. The different
specimen type could be chosen by the
employer (through a standing order or a
discussion with the collector) or its
service agent (i.e., if there is no standing
order and the collector cannot contact
the DER) to complete the collection
process for the testing event.
As several commenters supported,
this should all be discussed and
arranged in advance. We do not believe
this is something the Department should
regulate. The employer and its service
agents are in the best position to assess
the costs and logistics of the collection,
set up the appropriate contracts with
collectors and laboratories, and
determine the most effective way to
conduct a second collection under
direct observation. The proposed
language sets up the performance
standard for the second collection to be
accomplished without interfering in
these contractual relationships between
employers and their service agents.
Consequently, we have finalized the
proposed language without further
changes.
§ 40.67 When and how is a directly
observed urine collection conducted?
We proposed to modify the title of the
section to add the word ‘‘urine’’. This
clarifies its applicability solely to how
and when directly observed urine
collections will occur. We received no
comments on this point and have
adopted the change to the title.
One commenter asked why we did
not include permission for an employer
to send an employee in for an
immediate recollection if the employer
discovered a direct observation should
have been conducted but was not. The
commenter pointed out the employer
could do this only when the service
agent noted this for the employer. We
agree with this commenter and, as a
logical outgrowth, we have added a
§ 40.67(a)(4) to permit this and to tie in
the action expected of the employer
when a service agent notifies the
employer under § 40.67(n) that a
required direct observation was not
done.
We proposed minor changes to
§ 40.67(c) and (d). We received a public
comment requesting an additional
modification to the proposed § 40.67(d).
That commenter asked for a language
change to have the collector inform the
employee a direct observation is
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27616
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
necessary because the specimen did not
meet Federal guidelines. We will not
make that change because we believe it
will cause confusion between the HHS
guidelines and DOT’s regulation, part
40. We have finalized the changes to
§ 40.67(c) and (d).
In the most substantive proposed
change to § 40.67, we offered an
amendment to § 40.67(g) to address
situations where a same gender observer
is not available for the collection of
urine specimens. We requested and
received public comment on whether a
licensed or certified medical
professional legally authorized to take
part in a medical examination in the
jurisdiction where the collection takes
place should be permitted to be
opposite gender observers. We
explained that we were proposing this
option to reduce the circumstances in
which an observed urine collection
might be delayed for lack of a samegender observer.
We received a significant number of
comments on proposed § 40.67(g). Some
commenters thought that it would be a
good idea to allow certain specified
medical professionals to be direct
observers regardless of gender because a
same-gender observer is not always
present in a collection site, and others
mentioned how transgender and
nonbinary gender individuals pose a
challenge for finding a same-gender
observer.
The majority of commenters on this
subject opposed the proposal. The
opposing comments included concerns
about sexual advances, stress to donors,
and accusations of assault that would
lead to liability for medical professional
serving as the observer. Some
commenters asked that we leave the
same gender direct observation
provision exactly as it is in § 40.67.
While we acknowledge the concerns
of the commenters who opposed the
proposal, we agree with the commenters
who wanted to see some changes made
to accommodate situations where a
same-gender observer cannot be easily
provided and in the less common
situations of transgender and nonbinary
gender individuals who will be subject
to a direct observation collection. Oral
fluid testing offers a completely
appropriate solution for all of these
scenarios because every oral fluid
collection is a directly observed
collection without the need for a same
gender individual to perform that
observation.
Consequently, we have not added the
proposed provision to allow a different
gender direct observer who is a medical
professional. If a directly observed urine
collection is required, the burden
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
remains on the employer to provide the
same-gender observer if the collection
site cannot do so, or to permit an oral
fluid test. The responsibility of ensuring
the collection takes place has always
been the employer’s requirement. If the
employer has a standing order that all
directly observed collections will be
conducted as oral fluid, then there is no
need for the collector to call the DER.
Otherwise, the collector will use the
telephone number listed on the CCF
where the DER can be reached at any
time of the day or night the testing is
being conducted. If a collector cannot
find a same-gender observer, the
collector needs to let the DER know that
one must be immediately provided for
the collection, unless an oral fluid
standing order exists.
In the case where the employee
identifies as transgender or nonbinary
gender, the burden remains on the
actual employer to ensure the direct
observed collection will take place. We
have added § 40.67(g)(3) to require that
when a same gender collector cannot be
found, unless the employer has a
standing order to allow oral fluid testing
in such situations, the collector must
contact the DER and either conduct an
oral fluid test because the collection site
is able to do so or send the employee to
a collection site acceptable to the
employer for the oral fluid test. Even if
an employer does not usually utilize
oral fluid testing, that employer should
have agreements or arrangements either
directly, or through its C/TPA, for oral
fluid testing to be used for directly
observed collections of transgender or
nonbinary employees. In the alternative,
the employer could establish in-house
collections for such situations. We
encourage employers to arrange for oral
fluid testing in advance, in order to plan
for such contingencies.
We want to clarify that the collector
does not enter the reason for the direct
observation in the ‘‘Remarks’’ section of
the CCF if the employer is sending the
employee in for a required directly
observed collection (e.g., a return-toduty test, a follow-up test, a test where
the MRO has instructed the employer to
send an employee in for a directly
observed collection). The ‘‘Remarks’’
section would be used only when the
collector moves to a directly observed
collection and the employer did not
know about it in advance (e.g.,
temperature out-of-range, or signs of
tampering). Thus, we have amended
§ 40.67(e)(2) to change a cross-reference
to § 40.67(b) to become a cross-reference
to § 40.67(c)(2) through (4). This is
because § 40.67(e)(2) is an instruction to
collectors to follow through with an
entry on the ‘‘Remarks’’ line on a CCF
PO 00000
Frm 00022
Fmt 4701
Sfmt 4700
when an event under § 40.67(c) takes
place. This has nothing to do with
§ 40.67(b), so this cross-reference has
been corrected. We also proposed to
make a technical amendment to
§ 40.67(c)(1) to strike the reference to
paragraph (b) because it is an incorrect
reference. There were no comments
opposing any of these edits to § 40.67,
so we have adopted them, as proposed.
§ 40.69 How is a monitored urine
collection conducted?
There were no comments on the
proposed new introductory language in
§ 40.69(a) to emphasize a monitored
collection will be conducted if the
collector is using a multi-stall restroom
and the collector cannot secure all
sources of water and other substances
that could be used for adulteration and
substitution (§ 40.42(f)(2)(ii)). Also,
there were no comments about the
proposed edits to § 40.69(e) to update
cross-references in part 40 that were
renumbered. We have adopted these
changes as proposed.
§ 40.71 How does the collector prepare
the urine specimens?
The final rule makes a minor
clarifying change, instructing the
collector of a urine specimen to check
both the boxes for ‘‘urine’’ and ‘‘split
specimen’’ on the CCF. We received one
comment, which requested we add the
words ‘‘after the collection’’ for the
purpose of reminding the collector to
check the boxes under Step 2 after the
collection takes place. We agree this
would be helpful. We have adopted the
change to § 40.71(b)(1), with this
modification.
§§ 40.72–40.74—Collection Procedures
for Oral Fluid Testing
These three new sections establish the
collection procedures for oral fluid
testing. They are consistent with the
HHS OFMG (84 FR 57554, Oct. 25,
2019).
There were many substantive points
discussed in the comments that were
extremely helpful to the Department.
Commenters in the medical field,
collectors experienced in non-DOT
collections, laboratories, associations,
and others discussed practical tips,
potential problems and other factors for
us to consider. In response to those
comments, we made the following
changes explained below.
The American College of
Occupational Medicine (ACOEM)
questioned whether oral fluid collectors
would be well-enough trained to
determine whether a donor is
‘‘cheeking’’, which they said is ‘‘a
practice of hiding medication or
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
contraband in the mouth between the
cheek and gums.’’ This association, with
a membership of very knowledgeable
health care professionals, warned of
‘‘substitute saliva (complete with the
proper amount of albumin or
immunoglobulin biomarker) which is
far easier to conceal and maintain at
body temp than 30 cc of urine’’ and the
rise of other products to cheat oral fluid
testing. They also asked whether
collectors would ‘‘be trained to carefully
examine the entire mouth, i.e., using a
dental mirror, to assure that the donor
has not concealed an adulterant or
substitute saliva sample in their
mouth?’’ ACOEM also encouraged us to
include such instructions in our Oral
Fluid Collection Guidelines to ‘‘make
sure that the proper initial inspection
process of the oral cavity is included.’’
To ensure proper training can be
done, we must first ensure the
regulatory text is clear and provides the
necessary details. Consequently, we
chose to address the substantive
concerns about substituting and
adulterating tests here, in § 40.72(a),
instead of the collector training
provisions of the regulation.
We agree with ACOEM about the
potential for adulterating, substituting,
or otherwise interfering with an oral
fluid test exists, even though all oral
fluid tests will be directly observed. The
final rule requires the employee to open
their mouth and allow the collector to
fully inspect the oral cavity. The
collector is required to check the oral
cavity to ensure that it is free of any
items that could impede or interfere
with the collection of an oral fluid
specimen. In § 40.72(a), we have
provided the examples of ‘‘candy, gum,
food, or tobacco’’, which is not an
exclusive list because there could be
more items that are inadvertently
present in a donor’s mouth. However,
we also included in § 40.72(a) that the
collector needs to be checking for
anything that could be used to
adulterate, substitute, or alter the
specimen. As this commenter suggested,
we will provide further guidance on
inspecting the oral cavity within our
oral fluid collection guidelines to
remind collectors to conduct oral fluid
testing in well-lit areas and recommend,
as a best business practice, the collector
have a flashlight available for oral cavity
inspection.
In response to the concerns of
ACOEM and other commenters, we have
amended the proposed § 40.72(a)(1) and
created a new § 40.72(a)(2). Specifically,
we have added ‘‘If the collector finds
indication(s) of anything identified
above, the collector will ask the
employee to lift their tongue and/or
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
separate their cheek from their gum to
permit full inspection.’’ Although we do
not believe every oral cavity inspection
will require the employee to lift their
tongue and/or separate their check from
their gum, we want to provide this as an
option for the collector to utilize within
their discretion. We also added a
sentence to allow the employee to
cleanse their hands if they need to touch
their own mouth to allow further
inspection by the collector.
On the specific subject of tobacco, one
commenter asked how oral fluid testing
‘‘interacts chemically with employees
who will use tobacco products via dip,
smoke or chew prior to testing and of
course various mouth washes to cover
up.’’ The HHS looked at this specific
subject when formulating its OFMG. See
84 FR 57565 (Oct.25, 2019). The dark
brown juice resulting from some forms
of tobacco use can cause discoloration
that may interfere with initial testing.
This is part of the reason why there is
a wait period prior to collection, so the
employee can clear their mouth of any
material that might stain the collected
oral fluid.
In § 40.72(a)(3), the Department
continues to emphasize the actual
employer must make the refusal
determination after the collection site
notes the circumstances in the Remarks
section of the CCF and reports these to
the DER. Determining whether a refusal
has occurred is a non-delegable duty of
the employer per § 40.355(i). The
collector will provide information to the
employer to reach a determination about
whether a refusal has occurred.
We asked for public comment about
whether the collector or the laboratory
should check the expiration date on the
device used. The comments, including
laboratories, industry associations, C/
TPAs and collectors were
overwhelmingly in support of having
the collector check the date and record
it, as in the proposed language in
§ 40.72(d)(3). Many pointed out the
collector could discard an expired
device and proceed with a new device
at the collection site, with no impact on
the collection. Conversely, if the
laboratory were responsible for checking
the expiration date on the oral fluid
collection device and the device were
expired, then the test would need to be
cancelled. Consequently, in this final
rule, we have required the collector to
check the expiration date on the device
and document it on the CCF.
It is important to note the CCF is a
document designed by HHS and is not
customized to the DOT-regulated drug
testing process. HHS allows two
separate devices to be used to collect a
primary and a secondary specimen. For
PO 00000
Frm 00023
Fmt 4701
Sfmt 4700
27617
the reasons set forth in the Principle
Policy section regarding the
requirements for a single specimen to be
collected and subdivided in the
presence of the donor, the collector will
not use two separate devices.
Consequently, we have added a new
§ 40.72(d)(5) to specify the collector
must enter the expiration date of the
device being used on the CCF line
marked in Step 4 of the CCF.
We chose the option designated as
‘‘Split Specimen Device Expiration
Date’’ instead of the option marked
‘‘Primary/Single Specimen Device
Expiration Date’’ for entry of the DOTregulated test’s expiration date because
part 40 does not allow the use of a
‘‘primary’’ collection device, meaning
one of two collection devices, nor does
it allow for a ‘‘single specimen’’
collection device because all devices
must be capable of collecting a primary
and split specimen. Consequently, to
avoid confusion, we require the
collector to enter the device expiration
date only in the second option in Step
4 of the CCF because it is entitled,
‘‘Split Specimen Device Expiration
Date’’ and all devices will collect a split
and have a single expiration date.
Some commenters asked whether an
expired collection device would be a
fatal flaw. We had proposed that in
§ 40.199(b)(8). We have adopted that
change, as proposed. We have also
added a new § 40.199(b)(9) to create a
fatal flaw when the collector fails to
note the expiration date for the device
in Step 4 of the CCF and the laboratory
confirms that the device was expired.
A commenter suggested we include a
new provision to allow corrective action
when a collector checked the expiration
date on the device but forgot to check
the box in Step 2 of the CCF to indicate
the device was not expired. The
documentation to prove the collector
checked the expiration date is the
collector’s notation in Step 4 of the CCF,
where the collector will document the
expiration date for the oral fluid
collection device. Consequently, we
agree with the spirit of the suggestion
and have amended § 40.208 to add the
situation where a collector has entered
the collection device expiration and
merely forgot to check the box in Step
2. We have also added language to
address when the collector enters the
expiration date in the wrong spot, as the
‘‘Primary Specimen Expiration Date’’,
instead of entering the date as the ‘‘Split
Specimen Device Expiration Date’’ in
Step 4 of the CCF. By adding these
points to § 40.208, we have made these
omissions the basis for creating a
memorandum for the record, but the
absence of this corrective
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27618
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
documentation will not cause the
cancellation of the test.
Commenters, including laboratories
and oral fluid device manufactures,
supported the provision in § 40.72(b) to
have the employee rinse with 8 ounces
of water, if something was in the mouth.
Several of these commenters noted a
rinse with 8 ounces of water for the
purpose of clearing the mouth is
consistent with current instructions and
practices in non-DOT testing.
More than one commenter was
hesitant to say consuming water would
remedy a dry mouth responsible for an
insufficient specimen volume. Quest
Diagnostics said, ‘‘the use of water may,
but is unlikely, to have a material
impact on the amount of oral fluid
collected.’’
The commenters were supportive of
the 10-minute wait and offered
comments to enhance the proposal. A4A
suggested ‘‘DOT provide a mechanism
or guidance regarding the performancebased documentation of the 10-minute
period so that collectors may
demonstrate compliance with the wait
time.’’ Since § 40.72 requires the 10minute wait occur in every collection,
the Department will not require the
collector to document this on the CCF.
However, the commenter raises a fair
point about addressing this in guidance.
Consequently, in the ODAPC Oral Fluid
Specimen Collection Guidelines, we
will include more suggestions for best
business practices for a collector to use
to demonstrate their compliance.
A commenter asked whether the
collector failing to give the employee
water and wait 10 minutes in a ‘‘dry
mouth situation’’ would be a ‘‘fatal
flaw.’’ It would not be a fatal flaw
because fatal flaws are laboratory issues.
Similarly, in urine testing, we did not
classify failure of a collector to make
fluids available to an employee during
the shy bladder process in § 40.193 as a
‘‘fatal flaw’’ in § 40.199.
Regarding proposed § 40.73, one
commenter questioned what we meant
by referring to conducting collections
‘‘correctly’’. We recognize there are
differences among the various oral fluid
collection kits on the market today and
those that will be developed in the
future. We expect all oral fluid
specimen collectors to follow both the
part 40 requirements for collections, as
well as the manufacturer’s instructions
on how to collect the specimen. Each
device will have its own instructions,
and when we refer to conducting the
collection ‘‘correctly’’ in this section, we
mean using the oral fluid device in the
manner described by its manufacturer.
The oral fluid collection must be done
under the observation of the collector.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
In addition, the employee must properly
position the device. We have added a
new § 40.73(c)(1) to reflect these
requirements.
We received a comment from Quest
Diagnostics regarding § 40.74.
Specifically, this commenter ‘‘agrees
with the requirement for a minimum of
1 mL of neat saliva for both the ‘‘A’’ and
‘‘B’’ (split) specimens.’’ In addition,
after further consultations with HHS, we
realized we had drafted this provision
too narrowly. There may be
scientifically valid and forensically
defensible devices that HHS determines
do not need a minimum measure of 1
mL of neat saliva. Therefore, we have
added the following language to
§ 40.74(b), ‘‘or an otherwise sufficient
amount of oral fluid to permit an HHScertified laboratory to analyze the
specimen(s).’’ With this additional
language added, we have adopted the
amended § 40.74.
As an overall concern, a commenter
suggested we refer to the individual
being tested as the ‘‘donor’’ and not the
‘‘employee’’ in §§ 40.72–40.74. To be
consistent with the urine collection
procedures, we will continue to refer to
the individual being tested as the
‘‘employee.’’
Subpart F
We are reorganizing subpart F
(§§ 40.81–40.97), which addresses drug
testing laboratories, to create a logical
progression of urine drug testing, oral
fluid drug testing, and provisions
common to both. This reorganization
involves renumbering several provisions
and, in some cases, adding language to
specify where a provision applies only
to urine drug testing. For example, the
title of renumbered § 40.86 would be
changed to read ‘‘§ 40.86 What is urine
validity testing, and are laboratories
required to conduct it?’’ We have made
a technical amendment to the second
footnote in the newly renumbered
§ 40.86.
As an outgrowth of the public
comments, we have added new fatal
flaws for the laboratories in § 40.83(c)(8)
and (9). We have not included a
requirement for the laboratories to enter
the expiration date on the CCF, as the
CCF currently indicates and as
commenters objected to in response to
the NPRM. Instead, the laboratory must
reject a specimen if the collector used
an expired device at the time of
collection or the collector failed to enter
the expiration date in Step 4 of the CCF,
but only if the laboratory confirms the
device was expired. This mirrors the
fatal flaws added to § 40.199(b)(8) and
(9). Importantly, it is not the
Department’s expectation that every
PO 00000
Frm 00024
Fmt 4701
Sfmt 4700
laboratory must check every vial for an
expiration date. Instead, the laboratory
will check the vials only when the
collector has not entered the expiration
date on the CCF or has entered an
expired date. In those hopefully
infrequent instances, by checking the
date on the vials and ensuring that the
expiration date has not passed, the
laboratory is saving the test and not
declaring it a fatal flaw.
In addition, we asked for comment on
decreasing the amount of time
laboratories would be required to keep
non-negative specimens from 1 year to
90 days, as required by § 40.84 (formerly
§ 40.99). We explained the change was
intended to reduce storage burdens on
laboratories. The proposed change
would not have affected the 2-year
record retention HHS requires for
documentation supporting the
laboratory’s analysis of a non-negative
specimen and it would not have
changed a litigation hold placed upon
the specimen and the paperwork.
We received many comments on this
proposal, with the vast majority of those
opposing the change. Several
commenters in favor of the change said
employees challenge the results within
90 days and those commenters
recognized that the litigation hold
would mean that the specimen would
be retained for what is sometimes years.
Others said that they appreciated the
cost and logistical benefits of having
laboratories retain the specimens for a
shorter time but suggested 180 days
instead of 90 days. Those commenters
said the introduction of oral fluid
collections will pose additional costs on
the laboratories for housing two
different kinds of specimens under
different preservation methods, so a
reduction in time was welcomed.
Those opposing the change cited
many substantive arguments for why
they thought reducing the time to 90
days would disadvantage employees
who want to challenge their result. The
most persuasive of the opposing
comments noted how an employee who
has a non-negative test result needs
more time to understand the process
and retain counsel who, in turn, would
formally place a litigation hold upon the
specimen.
We agree with the commenters that 90
days may be too short for the specimen
retention where there is no litigation
hold. Although we did not propose 180
days as the hold period, we
acknowledge that it is a logical
outgrowth of the comments. We could
adopt that period of time. However, it
would be more helpful if we had further
insight from public comment on that
specific point. Although multiple
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
commenters suggested 180 days would
be better, we did not receive any
rationale for the 180 days.
Consequently, we have not made any
change at this time to the one-year
retention period for non-negative test
result and have withdrawn the proposed
language. In a future rulemaking, it is
possible we may consider posing a 180day retention period instead of a oneyear period, but we would want full
public comment on such a proposal.
The most notable new portions of
subpart F are §§ 40.91–40.93, which
cover cutoff concentrations and
specimen validity testing (SVT) for oral
fluid specimens. These three new
sections are drawn from the HHS OFMG
and are intended to be consistent with
the HHS provisions. For information on
the parallel HHS provisions and the
HHS rationale for putting them into
effect, see the OFMG (84 FR 57554).
One commenter questioned whether
HHS had set the correct cutoffs to be as
sensitive to the presence of the drugs for
which we test as the urine cutoffs are
sensitive. While this commenter
acknowledged DOT must follow HHS
for the science, including the cutoffs for
screening and confirmation for oral
fluid testing, the commenter was
concerned about whether there could be
a lack of equivalence between the urine
and oral fluid test results and the
ultimate fairness of any difference
between the two methodologies.
OTETA requires the DOT to follow
HHS on the science of drug testing, as
the commenter noted, and we must
defer to HHS for their scientific
determinations. We consulted with HHS
regarding this commenter’s concerns
and were told there were many variable
factors that impact the ability to detect
a person’s drug use. Those factors
include biological differences, route of
administration, diet and, for urine,
hydration status. In addition, whether
someone is an occasional drug user or
a chronic drug user will impact
detection, regardless of methodology.
For example, someone’s body mass
index (BMI) may impact their urine test
results for marijuana because THC
adheres to fat cells. So, someone with a
lower BMI may be less likely to test
positive on a urine test than someone
with a higher BMI. We have always
accepted the impact on drug testing of
the various factors mentioned above.
Similarly, we acknowledge these factors
will impact both urine and oral fluid
testing in the future. Since the DOTregulated testing program is deterrencebased, we acknowledge our focus is on
prevention. When an employee abstains
from using drugs because they know
they will be drug tested, the true result
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
is a benefit to both the individual and
to transportation safety. There may be
some situations where urine testing may
not detect the same drug use as oral
fluid does, or vice versa. However, HHS
has set the cutoffs for both
methodologies to ensure accuracy and
fairness. In this approach, HHS and
DOT have made the decision to forfeit
detecting every single possible positive
test result in favor of ensuring accuracy
and fairness to each employee tested.
Far from a possible ‘‘arbitrary and
capricious’’ approach suggested by the
commenter, it is our carefully weighed
decision to ensure accurate and fair
testing.
Quest Diagnostics submitted a
comment in support of the SVT
provisions of §§ 40.92 and 40.93. This
commenter agrees with allowing SVT,
as long as DOT is consistent with HHS
requirements and ‘‘the specific
analyte(s) or whether it is performed at
all should be left to the discretion of the
laboratory.’’
In the text of § 40.97, several
requirements for laboratories are
specified to apply only to urine testing,
as they have no application to oral fluid
testing. We restated § 40.97 in its
entirety, given the number of individual
changes made for this purpose. We did
not receive any comments opposing
these editorial changes, which were not
intended to modify the substance of the
provisions in question. We have
finalized those changes.
We proposed a new data element in
§ 40.97(c)(1)(i)(I) to require a laboratory
to report the collection device
expiration date in a laboratory results
report for the MRO. An industry
association and a major laboratory
opposed the addition of this data
element. We disagree with the
commenters and have included this data
element because it applies only in the
circumstance where a laboratory wants
to report negative results to an MRO in
report format. If the laboratory chooses
to use Copy 1 of the CCF, the collection
device expiration date is included on
the CCF and no additional data element
is needed. If a laboratory chooses to
issue a report for one or more negative
results, then the data elements in
§ 40.97(c)(1) must be included.
An additional major laboratory
wanted the collector and not the
laboratory to check the expiration date,
saying that having the laboratory check
the expiration date would be another
20,000 hours of work for laboratories
each year. We agree, as we stated in the
preamble for § 40.72(d)(3), the collectors
and not the laboratories will have that
responsibility. However, we see two
different issues on the expiration date,
PO 00000
Frm 00025
Fmt 4701
Sfmt 4700
27619
neither of which should generate 20,000
hours of laboratory staff time annually.
The first issue is who will be
responsible for checking the expiration
date? This will be the collector per
§ 40.72(d)(3). The second issue on the
expiration date is its importance as a
data element, but only if the laboratory
chooses to generate its own report to the
MRO instead of reporting the result on
Copy 1 of the CCF. An expired device
could be the grounds for a fatal flaw, but
if the laboratory sends a report instead
of sending the MRO Copy 1 of the CCF,
on which the collector has already
provided the expiration date of the
device, the MRO would not know about
the fatal flaw. Thus, if the laboratory
wants to generate a report instead of
using Copy 1 of the CCF, then the
expiration date needs to be included to
ensure the MRO gets the same data as
if Copy 1 of the CCF were transmitted
by the laboratory. Since the report is
optional for laboratories, they could
choose to revert to Copy 1 of the CCF
for reporting each negative result to the
MROs with no burden at all.
In § 40.111, we proposed to add
language to paragraphs (a) and (d) to
clarify that in their statistical reports to
employers and DOT, laboratories need
to submit reports to employers for the
specimens for which the laboratory
tests. Also, we proposed language in
§ 40.111 to state a laboratory
withdrawing from National Laboratory
Certification Program (NLCP)
certification is required to file with both
employers and the DOT an aggregate
statistical summary for the last semiannual reporting period in which it
conducted DOT-regulated testing. This
data is important to the Department
because it helps DOT identify trends
regarding non-negative results (e.g.,
positives, adulterated, substituted and
invalid) and cancelled tests. We
received one supportive comment
regarding these changes and have
adopted them as proposed.
Subpart G—Medical Review Officers
With the addition of oral fluid testing,
for the most part, MROs would continue
to do their work as they have done
under the current regulation. Conferring
with laboratories, verifying test results
by interviewing donors, and the other
aspects of the MROs remain the same
because this final rule adds an
additional methodology, but does not
change the basics of the MRO’s role. We
asked for public comment on whether
existing and/or new MROs should
receive additional training specifically
with respect to their role in oral fluid
testing and, if so, what subjects should
such training cover. While we agree it
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27620
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
is important for MROs to learn about the
science of oral fluid drug testing, the
commenters said this is already covered
in MRO training.
Several very experienced MROs and
practices weighed in on this subject.
One large MRO practice did not want to
see additional training, but the other
commenters did. An active MRO and
MRO trainer said, ‘‘Yes training is
needed, especially in light of detection
windows, cutoffs and collection
processes.’’ Corporate Medical Services
commented, ‘‘MRO training should be
enhanced to include Oral Fluid
Specimen information during initial
training and recertification training, but
that the training should not be required
prior to reviewing oral specimen for
MROs who are currently certified.’’ The
American Association of Medical
Review Officers (AAMRO) said they
already instruct on non-DOT oral fluid
testing in their online training and their
current materials follow the HHS final
rule on oral fluid testing. They intend to
incorporate any requirements of this
DOT final rule. AAMRO said, ‘‘key areas
of concentration will be on managing
‘shy mouth’ and understanding the
factors that can result between
conflicting urine and oral fluid
confirmed results.’’ Vault Health
Workforce Screening, another MRO
practice wants to see oral fluid testing
addressed in MRO training and
certification. This commenter also noted
‘‘[t]he MRO is required to subscribe to
ODAPC’s list serve. Through this they
are notified of the new regulation once
finalized. This would provide them the
information on the collection and
laboratory process that additional
training prior to their re-certification
should not be needed.’’ We appreciate
that perspective on the usefulness of the
ODAPC list serve.
Additional commenters on this
subject included SAPAA and Quest
Diagnostics, who both said there should
be additional training required for
MROs to include the following,
‘‘differences in laboratory procedures
(e.g., cut-off levels) between urine and
oral fluid testing, the differences
between the detection of parent drugs
vs. metabolites where urine and oral
fluid differ, differences in windows of
detection, and any additional
requirements for the interpretation and
reporting of codeine and morphine
positive results in oral fluid testing.’’
Quest Diagnostics urged the Department
to require MRO training, echoing the
SAPAA comment and adding ‘‘While it
would not be practical to immediately
augment the training of all MROs, the
recognized certification and/or training
entities should consider making
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
available oral fluid modules to augment
the training of currently certified MROs
without having to wait for the next
recertification cycle.’’
We agree with the commenters who
said MROs should be trained on the
various aspects of oral fluid testing. We
particularly like the approach of
suggesting the MRO training
organizations offer oral fluid modules to
augment the training of MROs who are
already current on their training
certification requirements. As Vault
Health Workforce Screening noted, the
MROs will be notified through the
ODAPC list serve, and mandatory
training for MROs is not needed before
their next certification date.
We only proposed to modify a few
MRO provisions in subpart G.
Specifically, in § 40.121, we have
deleted the word ‘‘urine’’ from
subparagraph (c)(1)(i) because future
training for MROs should also include
familiarization with oral fluid testing.
By removing the word ‘‘urine’’ from
§ 40.121(c)(1)(i), we have opened the
section on MRO qualification training to
include oral fluid matters. We will not
require MROs to undergo recertification
training, but strongly suggest MROs seek
supplemental information about oral
fluid testing by the time HHS certifies
at least two laboratories to conduct oral
fluid testing.
In § 40.127, concerning MRO reviews
of negative results, we proposed
specifying that MROs need not review
more than 500 negative results ‘‘of all
specimen types combined’’ in any
quarter. This is to clarify that, by adding
oral fluid testing to the regulation, we
do not intend to increase MROs’
negative test result review requirements.
We received only supportive comments
on this proposal and have included it in
this final rule.
In § 40.129(d), we proposed deleting
‘‘drug test report’’ and adding the word
‘‘result’’ following ‘‘invalid test.’’ In
§ 40.135(d), we proposed deleting the
word ‘‘test’’ and adding the word
‘‘result.’’ This would keep the language
of that paragraph internally consistent
and consistent with the definition of the
term ‘‘invalid result’’ in § 40.3. In
§ 40.139(b), we proposed to add the
cutoffs for oral fluid laboratoryconfirmed results. This is important
because there are different cutoffs for
the MRO to consider when the
specimen is oral fluid versus urine.
These cutoffs trigger a clinical
examination for the use of the naturally
occurring opiates, codeine and
morphine. In addition, in § 40.139(c),
we proposed to delete a reference to
‘‘urine,’’ since the provision would
apply to all DOT drug tests. We received
PO 00000
Frm 00026
Fmt 4701
Sfmt 4700
no comments on these changes and have
adopted them as proposed.
We proposed a change to the MRO’s
responsibilities regarding contacting the
pharmacy to verify the authenticity of a
prescription in accordance with
§ 40.141(b). For more than twenty years,
MROs have been required to personally
contact pharmacies to verify a
prescription that an employee has cited
as a potential legitimate medical
explanation for a laboratory-confirmed
positive test. We proposed to allow
MRO staff to make these inquiries. This
would increase efficiency, lower costs,
and assist MRO office workflow. No part
of the MRO’s verification interview of
the donor would be changed, only the
subsequent checking with the pharmacy
to authenticate the prescription. The
proposal only addressed the
communication between the MRO’s staff
and the pharmacy to ensure that the
prescription the donor provided is or is
not authentic.
We received several comments in
support of this proposal to change
§ 40.141(b). Most of the commenters
agreed that this would increase
efficiency and decrease costs because
MRO time would not be spent waiting
to speak with pharmacists. One MRO
practice characterized calling the
pharmacy as ‘‘an administrative task to
‘confirm’ the information that was
presented to the MRO during the
interview.’’ AAMRO suggested the MRO
provide their staff ‘‘with an outline or
script and form for documentation. It
would also be a good idea for the MRO
to monitor a number of these calls to
assure the staff call is appropriate.’’
ACOEM was unsure this change would
be effective because pharmacists are
already hesitant to speak with the
MROs, who are actual physicians. If a
pharmacist does not want to speak with
the MRO, they would be less likely to
speak with staff. Instead, this
commenter wanted the Department to
instruct pharmacies that HIPAA does
not apply, and they must communicate
with the MRO.
We agree with the suggestion that
MROs should conduct some oversight of
their staff by providing instructions on
what to say and occasionally monitoring
some of these staff calls. We have added
language to § 40.141(b) to set a
performance standard for MROs to
ensure oversight and quality control
measures. While HIPAA does not apply
to MROs, who are functioning in DOTregulated drug testing, a search and
seizure process under the Fourth
Amendment to the U.S. Constitution,
pharmacists are functioning under
HIPAA because they are providing
healthcare services, often covered by
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
insurance. Thus, we cannot direct
pharmacists to comply. However, as
always, under § 40.137(c), the burden of
proof is on the employee to establish a
legitimate medical explanation. If the
pharmacist will not speak with the MRO
or the MRO staff, then the MRO practice
needs to let the donor know to authorize
the pharmacist to communicate the
information needed to verify the
authenticity of the prescription. If the
donor does not do this, then the MRO
must report the verified non-negative
result because the MRO could not
authenticate the prescription, thus the
donor did not provide a legitimate
medical explanation that could be
authenticated per § 40.137(c). Of course,
the MRO has the discretion to reopen
the verification within 60 days, if the
employee is able to provide them access
to the pharmacy. After 60 days, the
MRO must continue to notify ODAPC
before reopening the verification.
We have adopted two clarifying
changes to § 40.145 on which we
received no comments. In § 40.145(g)(3),
we have deleted the word ‘‘urine’’ and
substituted ‘‘drug,’’ since in this context
we apply the requirement to test in an
HHS-certified laboratory to any such
test, whether urine or oral fluid. In
§ 40.145(h), have added the word
‘‘urine’’ after ‘‘substituted’’.
In § 40.151(a), we proposed clarifying
the language to direct MROs not to
accept the result of any drug test not
collected and tested under part 40
procedures. If an employee goes to their
own doctor the next day and requests a
drug test, the MRO must not consider
the results of that non-DOT test. We also
proposed to delete language referring to
DNA tests since use of those tests is
prohibited elsewhere in the regulation
(see §§ 40.153(e) and 40.331(f)). In
§ 40.151(b), we proposed to change
‘‘urine’’ container to ‘‘collection’’
container in recognition of the advent of
oral fluid testing. In § 40.151(g), we
proposed to delete the reference to
‘‘MDEA’’, since it was removed in a
previous rulemaking (82 FR 52229 (Nov.
13, 2017)), after HHS deleted MDEA
from the drug testing panel. MDEA is a
Schedule I drug in the amphetamines
class and was previously a required
confirmatory test analyte before HHS
removed it from the HHS Mandatory
Guidelines.
In § 40.151(i), we proposed a
technical amendment to replace the
wording ‘‘with no detectable creatinine’’
with ‘‘when the creatinine level is
below the laboratory’s limit of
detection.’’ This would ensure
consistency with the requirement for
laboratories to provide a numerical
value for a substituted result (see
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
§ 40.97(e)(2)). Also, it is our
understanding that all HHS-certified
laboratories must have an established
limit of detection for creatinine of 1mg/
dL or less. Thus, when a laboratory
reports a creatinine concentration level
at less than its limit of detection, MROs
can be assured it falls below the
creatinine concentration of 2mg/dL for a
substituted specimen and an individual
cannot physiologically produce such a
urine specimen.
We received only one comment
regarding our proposed changes to
§ 40.151. SAPAA said it ‘‘appreciates
the clarification language as it will
allow the MRO to point to a clearer
explanation in the regulations when
they receive donor objections.’’ With
this supportive comment and no others,
we adopted all proposed changes to
§ 40.151.
In § 40.159(a)(1) we proposed to
correct the reference to § 40.96(c) to
become § 40.96(b) and we proposed
adding a new sentence to
§ 40.159(a)(5)(ii), which would require
re-collection when an invalid test is
cancelled. The added sentence would
direct that an alternate specimen be
collected if practicable (e.g., oral fluid,
if the specimen was urine). This could
result in a more efficient process and
reduce the likelihood of multiple
invalid specimens resulting from use of
the same specimen type.
We received a comment from a C/TPA
and MRO practice regarding
§ 40.159(a)(5)(ii), in which they said,
‘‘We agree with the concept of changing
specimen methodology if possible, but
feel that it is the employer’s decision to
do so.’’ An industry association
specifically supported the new sentence
in § 40.159(a)(5)(ii), ‘‘which would
require recollection when an invalid test
is canceled. However, clarification that
the proposed addition applies only to
results canceled without a valid medical
explanation or where a negative result is
required is needed.’’ Since § 40.159(a)(5)
already makes this clarification, no
further rule language is needed and we
have adopted it as proposed.
In § 40.163(c)(2), we proposed a small
change, substituting ‘‘employee’’ for
‘‘donor.’’ In § 40.163(e), we also
proposed minor wording changes to
clarify what records the MRO needs to
retain after having reported a result and
to clarify that when completing Copy 2
of the CCF, either the MRO must sign
and date it (for both negatives and nonnegatives) or MRO staff must stamp and
date it (for negatives only).
A C/TPA and MRO practice
specifically agreed with the changes to
§ 40.163(e) saying, ‘‘We agree with
stressing that the MRO needs to sign
PO 00000
Frm 00027
Fmt 4701
Sfmt 4700
27621
and date the CCF copy 2 for nonnegative results. The MRO staff may
stamp negative test results. All tests
must have signed/stamped MRO copy.’’
We have adopted the changes to
§ 40.163 as proposed.
Subpart H, Split Specimen Tests
We proposed a change to § 40.177 to
add a reference to the sections
pertaining to oral fluid testing. In
§ 40.179, we proposed to change
referenced section numbers in
accordance with renumbering and new
oral fluid provisions elsewhere in the
regulations. In § 40.181, we proposed
changing referenced section numbers in
accordance with renumbering and new
oral fluid provisions elsewhere in the
regulations. Another change to § 40.181
is to refer only to urine testing, since the
creatinine and specific gravity apply
only to urine testing. In § 40.187, we
proposed to change references to
Appendix D to Appendix F in
accordance with the redesignations. We
received no substantive comments
regarding these changes and have
adopted them, as proposed.
§ 40.191 What is a refusal to take a
DOT drug test, and what are the
consequences?
§ 40.261 What is a refusal to take an
alcohol test, and what are the
consequences?
The Department proposed edits to
§ 40.191(a) to add what can constitute a
refusal in an oral fluid collection to part
40’s existing refusals provisions. The
revisions included wording changes to
take oral fluid testing into account (e.g.,
in paragraph (a)(8)), ‘‘fail to permit an
inspection of the employee’s oral cavity,
or fail to remove objects from his or her
mouth’’), as well as specifying situations
that are applicable only to urine testing
(e.g., in paragraph (a)(9)), ‘‘fail to
comply with an instruction to permit
inspection to allow the observer to
determine whether there is a prosthetic
device in use’’).
Like the pre-employment urine and
alcohol collection processes, the oral
fluid pre-employment collection process
generally would not begin until the
device is unwrapped. If an employee
does not appear for a pre-employment
drug test or leaves the collection site
before receiving or unwrapping the
device, this is not a refusal under
§ 40.191(a)(1) and (2). However, as in
urine testing, certain blatant conduct by
the employee at the collection site could
constitute a refusal before the collection
device is chosen under § 40.191(a)(8).
For example, if an employee arriving for
a pre-employment test engages in
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27622
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
disruptive or combative conduct at the
collection site, a collector could report
a refusal event to the employer for
determination under § 40.191(a)(8).
Also, if the employee shows they are
possessing or wearing a prosthetic or
other device that could be used to
interfere with the collection process,
and this becomes evident before the
specimen container is unwrapped, a
collector could report a refusal event to
the employer for determination under
§ 40.191(a)(10).
Importantly, when an employee is
undergoing a pre-employment test and
the collector switches to an alternate
device, it is considered a continuation
of the original collection and is not
subject to the pre-employment
exception for leaving the collection site
before the second device is opened. For
example, if a collector begins with one
specimen methodology (e.g., urine) and
switches to oral fluid (e.g., because the
employee was unable to provide a
sufficient specimen), the employee must
not leave the collection site without
refusal consequences.
In addition, we would like to remind
employers that, under the existing
§ 40.23(g), if they receive a cancelled
test result on a pre-employment test, the
employer must direct the employee to
provide another specimen immediately.
This second specimen collection is a
continuation of the original preemployment test. This means, as we
said in our 2001 final rule on refusals,
‘‘once the collection has commenced,
the donor has committed to the process
and must complete it.’’ 66 FR 41948
(Aug. 9, 2001). As such, the employee
must take the second pre-employment
test and does not have the ability to
decide not to continue this preemployment testing requirement. In our
2003 final rule on the Drug and Alcohol
Management Information System (MIS),
we referred to the second test as ‘‘the
subsequent collection’’ and we
reminded employers to report only one
pre-employment test result (68 FR
43950, Jul. 25, 2003). Accordingly, the
employer would count the second test
result as the result of record for this preemployment test on the DOT’s MIS
form.
We have revised drug testing refusals
§ 40.191(d) and added a new
§ 40.261(c)(1) to alcohol testing refusals
to clarify an often-misunderstood point
about who has the authority to
determine if conduct at the collection
site constitutes a refusal to test.
Employers often automatically treat as a
refusal any situation in which the
collection site notes a refusal in the
remarks section of the CCF. This is not
correct. The new § 40.191(d) emphasizes
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
the role of the collector in a refusal is
to notify the employer about the
circumstances the collector believes
constitute a refusal, but the employer
must decide whether a refusal occurred.
The new § 40.261(c)(1) specifically
spells out the respective responsibilities
of the alcohol testing service agent(s) in
reporting and the DER in making
decisions about whether a situation
during an alcohol test constitutes a
refusal to test.
Under the long-existing § 40.355(i),
making collection site refusal decisions
is a ‘‘non-delegable’’ duty of the actual
employer. Service agents, such as
collectors, BATs or STTs, are not and
never have been authorized to make this
decision. The service agent’s role is to
provide information to the employer
concerning the circumstances of the
event. Then the employer, who must
make the ultimate decision should, as a
matter of responsible decision-making,
contact the collector or BAT to gather
information and consider anything the
employee brings to the employer’s
attention. Taking the entirety of the
circumstances into account, the
employer should then make the
decision about whether a refusal
occurred. The employer also has the
discretion to consider information from
the employee to determine if the
evidence satisfactorily excuses the
employee’s conduct. For FMCSAregulated owner-operators, C/TPAs
stand in the shoes of those employers
for the purposes of determining whether
the individual refused a test
(§ 382.705(b)(6)).
In this final rule, we emphasize the
already existing employer’s role in
making determinations about collection
site and other non-MRO-determined
refusals (e.g., failure to appear for a test,
failure to take an additional test, etc.).
We think it bears repeating that refusals
are violations that cannot be overturned
in a decision about personnel actions.
An arbitration, grievance, State court or
other non-Federal forum cannot
overturn the employer’s determination
of a refusal on a DOT-regulated test.
When a case proceeds to one of those
forums, it is because the employee
wants an adverse personnel action
reversed. None of those forums has
jurisdiction over DOT-regulated Federal
drug or alcohol testing, the
determination of a refusal under part 40,
or the regulatory consequences that
exist to ensure transportation safety is
served. In the part 40 final rule from
December 2000, (65 FR 79470–71), we
said, as has been true from the
beginning, all the Department requires
is that an employee who violates the
rule not perform safety-sensitive
PO 00000
Frm 00028
Fmt 4701
Sfmt 4700
functions until and unless he or she
successfully completes the return-toduty process. Decisions about discipline
and termination are left to the discretion
of the employer or labor-management
negotiations. Where employer policy, or
labor-management negotiations, have
delegated personnel decisions of this
kind to an arbitrator, the Department
intends that the arbitrator’s decision
determines the personnel action that the
employer takes. The Supreme Court has
affirmed these principles. Eastern
Associated Coal Corporation v. United
Mine Workers of America, District 17, et
al., 531 U.S. 57 (2000). Of course, an
arbitrator cannot order an employer to
return an employee to the performance
of safety-sensitive functions until the
employee has successfully completed
the return-to duty process. Nor can an
arbitrator or an employer change the
laboratory’s findings about a specimen
or an MRO’s decision about whether
there is a legitimate medical explanation
for a test result.
Therefore, we have added a second
sentence to §§ 40.191(c) and 40.261(b),
to remind the employee and employer
that the consequences specified under
DOT agency regulations for a violation
cannot be overturned or set aside by an
arbitration, grievance or State court
tasked with adjudicating the personnel
decisions the employer decides to take
against the employee. As we said in the
December 2000 preamble, the employee
must successfully complete the
federally required return-to-duty
process regardless of what the decision
is on the personnel action. This ensures
safety is not compromised. Importantly,
a refusal is a willful violation of the
Department’s drug and alcohol safety
regulations and is completely separate
and apart from employment decisions
the employer makes.
Some commenters asked for examples
of what would not be grounds for an
employer to determine a refusal. Of
course, the universe of examples is too
vast to capture. However, here are a few
examples that are not meant to be
exhaustive, they are only a tiny fraction
of what is possible. Example 1: An
employee provides an insufficient
quantity of urine, begins the ‘‘shy
bladder’’ process, but the process is cut
short because the collection site sent the
employee away because they were
closing before the employee had three
hours to produce a sufficient urine
specimen per § 40.193(b)(2). If the
collection site nevertheless reports this
to the employer as a refusal, the
employer could determine there was no
possibility the employee could have
completed the test, and therefore could
conclude there was no refusal. Example
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
2: When an employee leaves a collection
site due to a documented family
medical emergency, the employer could
determine the employee’s departure
from the collection site did not
constitute a refusal. Example 3: If an
employer sends an employee to report
for a DOT-regulated test, but the
collection site is closed or is about to
close and sends the employee away, the
employer would take this into
consideration in determining that a
refusal did not occur. Example 4: If an
employer requests an applicant take a
pre-employment test, and the employee
does not show for the test, this is not a
refusal under part 40 and the employer
would appropriately not consider this to
be a refusal to test. In all of the
examples above, an employer would not
report a ‘‘refusal’’ in response to a
records request made by a prospective
employer under § 40.25. Similarly, an
FMCSA-regulated employer would not
report a ‘‘refusal’’ to the Clearinghouse.
If the employer determines that a
refusal did not occur, the employer
would treat the test as an
administratively closed non-event. The
employer would not ‘‘cancel’’ the test
and would not enter it on the MIS report
required by DOT. For random, postaccident and reasonable cause/
suspicion tests administratively closed
as a non-event by the employer, no
further action is required, and the
employee would not be sent back in for
another test. For those testing events
that require a ‘‘negative’’ test result (e.g.,
return-to-duty, follow-up, preemployment), the employer would send
the employee back for another
collection. In all cases, the employer
should document the event and the
evidence relied upon to explain why the
employer concluded a refusal did not
occur.
The Aircraft Owners and Pilots
Association (AOPA) said it ‘‘supports
the change to § 40.191 that clarifies the
employer does not need to
automatically treat as a refusal any
situation in which the collection site
notes a refusal in the remarks section.’’
AOPA also asked for clarification in the
regulation to indicate ‘‘what the testing
center must explain to an individual.’’
For decades, it has been a requirement
of Federal law, per §§ 40.191(a)(2) and
40.261(a)(2), for an employee to ‘‘remain
at the testing site until the testing
process is complete.’’ With this explicit
statement of the requirement to remain
at the testing site, we have never put
additional requirements on the collector
to explain to the employee what the
employee’s legal requirements are.
ODAPC has provided guidance stating
the following: ‘‘There is no requirement
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
for a collector to inform an employee
that the failure to remain at the
collection site is a refusal. Therefore, if
the collector does not inform an
employee that failure to remain at the
collection site is a refusal, it does not
mean that the collector has given the
employee permission to leave the
collection site. If an employee leaves
prior to the completion of the testing
process, the employer must decide
whether the employee’s actions
constitute a refusal.’’ https://
www.transportation.gov/sites/dot.gov/
files/docs/resources/partners/drug-andalcohol-testing/323471/july-2014-part40-questions-and-answers.pdf. In
response to AOPA’s comment for
clarification, we have added the
following to § 40.191(a)(2) and (3), ‘‘The
collector is not required to inform an
employee that the failure to remain at
the collection site is a refusal. If an
employee leaves prior to the completion
of the testing process, per § 40.355(i) the
employer must decide whether the
employee’s actions constitute a refusal.’’
For consistency and as a logical
outgrowth of the comment, we have also
amended § 40.261(a)(2) and (3) to add
the same language.
Two commenters asked for specificity
about § 40.191(a)(2) because it deems
one ground for determining a refusal is
an employee’s failure to remain at a
‘‘testing site’’ until the process is
complete. One commenter noted part 40
does not state ‘‘what constitutes a
‘testing site’ for this purpose. Is it the
waiting room? Is it the building? Is it the
building and grounds?’’ Another
commenter asked for more explanation
from the Department about whether it
would be a refusal for an employee to
step out of a waiting room or to leave
a building during a collection.
Since part 40 covers the regulated
industries of aviation, motor carriers,
transit, railroads, pipelines and is
applied to the maritime industry, it
would be nearly impossible to define
what a ‘‘testing site’’ is for every
industry and in every circumstance. It
could be the clinic in a major airline’s
hub, the area around a portable toilet in
an oil field, an occupational health
clinic offering drug tests, or somewhat
of an improvised collection site near the
scene of an accident. In recognition of
the differences among and between
these transportation industry employers
and the testing sites they and their
contractors use, we will continue to
defer to the respective employers to
make the determination about what is
reasonable to construe as the ‘‘testing
site’’ in a particular circumstance, as
they determine whether or not their
PO 00000
Frm 00029
Fmt 4701
Sfmt 4700
27623
employee’s behavior constituted a
failure to remain at that testing site.
One commenter opposed the changes
to §§ 40.191(d)(1) and 40.261(c), saying
collectors should be the ones to
determine whether or not a collection
site refusal has occurred. This
commenter said most employers ‘‘do not
know what to do when the collector
informs them that there was an attempt
to tamper during the collection. The
only witness to the tampering is often
only the collector.’’ Conversely, another
commenter who is a seasoned collector
and collector trainer said, ‘‘Thank you
for clarifying that collectors do not have
the authority to make these. I appreciate
the two very common and distressing
examples (collection site closing, family
emergency for employee) and the
clarification that employers have
discretion in these cases.’’
Several commenters were pleased
with the additional clarity we proposed
to add to §§ 40.191(d)(1) and 40.261(c)
to remind employers that making
collection site refusal decisions
continues to be their ‘‘non-delegable’’
duty. Quest Diagnostics, which includes
multiple HHS-certified laboratories and
more than a thousand collection sites in
the United States, said it ‘‘appreciates
the clarification that it is only the
employer who can make the
determination that a donor refused to
take a DOT drug test. While a collector
can inform the donor that an employer
may view the donor’s action as a refusal
to test, that decision rests with the
employer.’’
One commenter noted the importance
of the employer making ‘‘the
determination regarding a test refusal
after seeking comments from the
collectors involved in the process.’’
Other supportive commenters requested
we go further and not say ‘‘the collector
could report a refusal to the employer
for determination . . .’’ A collector
training company said this language
‘‘implies that the collector has the
ability to make the determination. They
suggest better language would be: ‘‘note
the actions that may constitute a refusal
on the Remarks line . . .’ [and they
want] ‘‘more directive language’’ for
employers who must make refusal
determinations. Several commenters
asked us to amend this proposed rule
text ‘‘to be clear the collector will
‘notify’ an employer of the employee’s
actions’’, so the employer will make the
determination of whether or not a
refusal has occurred. One commenter
asked for more directive language for
employers who must make refusal
determinations.
In response to the comments, we have
amended §§ 40.191(d)(1) and 40.261(c)
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27624
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
to include the language some requested
to more clearly indicate that collectors
do not determine refusals. Both sections
now state, ‘‘As the collector, you must
note the actions that may constitute a
refusal in the ‘Remarks’ line (Step 2),
and sign and date the . . . [CCF for drug
testing or ATF for alcohol testing].’’ We
think we have been sufficiently
directive to employers in adding the
following to §§ 40.191(d)(1) and
40.261(c)(2): ‘‘the employer has the sole
responsibility to decide whether a
refusal occurred.’’
More than one commenter asked for
guidance on how a collection site
should handle an employee who is sent
back to the collection site after the
employer determines that a refusal did
not occur. Because every collector is
different and every employee is
different, this would be difficult for the
Department to include in guidance.
What collection site(s) an employer uses
would be up to the employer. If another
collection site is available for the
subsequent collection, the employer
might want to choose this collection site
for the second collection.
Another commenter asked for advice
about ‘‘What actions by the donor prior
to selecting the collection device
constitutes a refusal in a Preemployment setting? Which do not?’’
The preamble to the final rule
establishing exceptions for refusal
determinations when a donor leaves a
collection site in pre-employment tests
merits reiterating. It stated that i]n the
pre-employment test context, there can
be situations in which an employee
could legitimately leave a collection site
before the test actually commences (e.g.,
there is a long wait for the test and the
employee has another obligation). By
the commencement of the test, we mean
the actions listed in § 40.63(c), in which
the collector or employee selects a
collection container. Once the collection
has commenced, the donor has
committed to the process, and must
complete it. If the employee then leaves
before the process is complete, or takes
another action listed in this section as
a refusal, the consequences of a refusal
attach. However, if the employee leaves
the site before the test commences, then
the employee is in the same situation as
someone who does not appear at all for
the pre-employment test. The
consequences of a refusal do not attach
in this situation (§ 40.191(a)(2) and (3)).
68 FR 41948 (Aug. 9, 2001).
However, in a pre-employment
situation there could be a refusal to test
prior to selecting a collection container.
In § 40.191(a)(8) and (10), there are no
exceptions for pre-employment tests.
These sections address conduct at the
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
collection site that is disruptive or that
involves bringing in substituting or
adulterating products. Consequently,
there could be refusals reported to an
employer for a pre-employment
applicant. Here are some specific
examples, although not an exhaustive
list: refusing to empty one’s pockets;
refusing to wash one’s hands; acting
disruptively at the collection site;
threatening or attempting to bribe
collection site personnel; bringing to a
collection site a bag of urine or any
device that could be used to substitute
or adulterate a urine specimen.
§ 40.193 What happens when an
employee does not provide a sufficient
amount of specimen for a drug test?
We proposed the addition of oral fluid
testing to paragraph (a), adding
insufficient specimen provisions for oral
fluid testing, parallel to the existing
insufficient urine specimen procedures.
Due to the differences between the two
types of specimen collections, the oral
fluid insufficient specimen collection
procedure is shorter in duration than
the insufficient urine specimen
collection procedure (e.g., in an oral
fluid collection, there is no need for a
three-hour wait period). In paragraph
(e), we proposed adding examples of
conditions that might succeed as
medical explanations of providing an
insufficient quantity of oral fluid (e.g.,
autoimmune diseases), as well as
examples that would not constitute a
valid medical explanation (e.g.,
unsupported assertions of dehydration).
Although one commenter opposed
listing any examples of conditions that
could be legitimate medical
explanations because MROs should be
able to ascertain legitimate conditions,
we have kept the examples as proposed.
In addition, another commenter said
MROs are not qualified to assess the
legitimacy of shy bladders or dry mouth,
but we disagree and will continue to
have MROs, who are fully qualified
physicians, assess the legitimacy of the
conditions underlying an individual’s
inability to provide a sufficient
specimen under any approved testing
methodology.
With an alternate specimen
methodology now available, an
employer may authorize a collector to
use a different type of specimen
collection process in an insufficient
quantity case. If a urine specimen is
insufficient, the collector could follow
up with an oral fluid collection, or viceversa. In a case involving an insufficient
urine specimen, following the
insufficient urine specimen procedures
would become unnecessary since an
oral fluid collection would be
PO 00000
Frm 00030
Fmt 4701
Sfmt 4700
performed. We asked for public
comment on these changes and whether
allowing a donor to rinse with up to 8
ounces of water is an appropriate
amount of fluid for rinsing for the
purposes of both §§ 40.72(b) and
40.193(b)(2). We also asked for comment
about the questions of who would
decide what methodology to use after an
insufficient specimen occurs, and when
and how such a decision would be
made. Since so many oral fluid tests
occur each year in non-DOT testing, we
were eager to learn from those with
experience on what we should know.
We received robust public comment
on the above-mentioned subjects and
have discussed these in detail in the
Principle Policy section of this final
rule. As explained in the Principle
Policy section, the Department will not
mandate the use of the same or the
alternate testing methodology for an
insufficient urine specimen (‘‘shy
bladder’’) or an insufficient oral fluid
specimen (‘‘dry mouth’’). While not
required, it would be prudent for an
employer to offer more than one
methodology to address such scenarios.
The Department agrees there are
several advantages to switching from a
urine collection to an oral fluid
collection when an employee has
presented an insufficient specimen. For
example, once an employee provides an
insufficient urine specimen, they would
have up to three hours to provide a
sufficient specimen (during which time
the employee should be monitored). If at
the end of the three-hour period, the
employee still did not provide a
sufficient specimen, the employee is
required to prove (via a medical
evaluation by a referral physician) they
have a medical condition to explain
their inability to provide a sufficient
specimen.
We also acknowledge the
commenters’ concerns that shy bladder
situations merit attention, as we have
articulated in our discussion of § 40.193
below. Employers have legal obligations
separate and apart from part 40 for
providing reasonable accommodations
for employees with disabilities. If an
individual has a condition rendering
that person unable to produce urine
falling within the parameters of a
disability, this should not be considered
to be an effort to evade a test.
Whether the reason for failing to
provide a sufficient specimen is
substantiated by a medical condition or
not, there is a cost (e.g., lost work) to the
employer for having the employee wait
for up to three hours. Similarly, there is
a cost for the medical evaluation which,
in most instances, is at the employee’s
expense. The availability of oral fluid
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
drug testing means the costs associated
with the three-hour wait and the
medical evaluation could be avoided
while still affording the employee the
opportunity to provide a specimen.
Some commenters opposed allowing
an insufficient urine collection to go to
an oral fluid collection. These
commenters were concerned employees
who had used drugs several days before
the test would withhold their urine in
the hopes of having an oral fluid with
a shorter window of detection. Some
commenters wanted the decision of
whether to proceed with another urine
collection or to change to an oral fluid
collection left to the discretion of the
collector after the initial insufficient
urine specimen. Since the collector
could assess the facts at the collection
site, the collector would be the better
judge of the best method of testing to
deploy.
The majority of the commenters
supported the option of changing to a
different collection methodology if the
employee demonstrates (at the onset)
that she or he cannot provide a
sufficient specimen. For the reasons
outlined above, the Department agrees
with those commenters in theory, but
we have not mandated that change in
drug testing methodologies.
For employers including oral fluid
drug testing in their DOT-regulated drug
testing program, the Department will
allow the employer to switch to an oral
fluid collection when an employee does
not provide a sufficient urine specimen
on their first attempt. Similarly, the
Department will allow the employer to
switch to a urine collection when an
employee does not provide a sufficient
oral fluid specimen on their first
attempt. Under § 40.193, the employer
has this option and the employer should
communicate this option to the collector
or the collection site in advance of any
collection. The employer will need to
ensure the collector is a qualified urine
and/or oral fluid collector.
In either scenario when there is a
successful collection under § 40.193,
there is no requirement for the employer
to send the employee for an evaluation
of the first insufficient specimen type.
In the rare circumstance when the
employee is not able to provide a
sufficient oral fluid specimen after the
insufficient urine specimen or vice a
versa, the employee would be required
to only have an evaluation for the
collection of the specimen type
attempted under § 40.193. To be clear,
the employer must send the employee
for only a dry mouth medical evaluation
if the employee has not provided a
sufficient oral fluid specimen following
an insufficient urine specimen. The
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
MRO will only proceed with the dry
mouth evaluation and not proceed with
the shy bladder evaluation. Similarly,
the employer must not send the
employee for a dry mouth evaluation if
the employee has not provided a
sufficient urine specimen following an
insufficient oral fluid specimen. The
MRO will only proceed with the shy
bladder evaluation and not proceed
with the dry mouth evaluation. Only a
shy bladder medical evaluation is to be
done at that point. The final rule reflects
this requirement.
Employers should strongly consider
having oral fluid as an alternate
methodology available for employees
who need a reasonable accommodation
because of a physiological or preexisting psychological condition that
renders the employee unable to provide
a urine specimen. Similarly, if an
employee needs a reasonable
accommodation for dry mouth, it is
advisable for the employer to have urine
testing available.
In situations where the employee
provides a suspect urine specimen (e.g.,
temperature out of range, excess
foaming, etc.), which leads to a
successful oral fluid specimen
collection, or vice versa, the collector
would send both specimens to the
respective laboratories for testing. In
this scenario, the MRO would report the
multiple verified results from one
testing event in accordance with
§ 40.162. For example, if there were two
negative results, a single negative result
would be reported to the employer; if
there were a negative and a verified
non-negative result, only the verified
non-negative result would be reported.
In addition, we asked for public
comment as to whether the collector
should use the same CCF when
switching collection methodologies
from urine to oral fluid or vise-a-versa.
Some commenters thought this would
be more efficient. Others thought it was
too confusing to list a urine collection
on the same form as an oral fluid
collection is listed, even if there is an
explanation in the ‘‘Remark’’ space on
the CCF.
We agree with the commenters who
said documenting the insufficient first
specimen on the same CCF used for the
second collection with a different
methodology is likely to cause
confusion. The laboratory for the urine
collection might not be the same
laboratory listed on the CCF for the
subsequent oral fluid collection. If the
specimen from the second collection is
sent to the wrong laboratory, it will add
confusion and delay, as the specimen
will need to be rerouted to the correct
laboratory. Not all HHS-certified
PO 00000
Frm 00031
Fmt 4701
Sfmt 4700
27625
laboratories for urine collections will be
HHS-certified for oral fluid collections,
and vice-versa.
For example, the CCF is designed for
the collector to complete and document
either an oral fluid or a urine collection
process (e.g., Step 2 identifies the
specimen type, the specimen labels can
be used for either type of specimen
container). The CCF from a urine-only
testing laboratory contains account and
billing information only for the
employer’s urine drug testing account.
The CCF from an oral fluid-only drug
testing laboratory will contain account
and billing information for the
employer’s oral fluid drug testing
account. The CCF from a laboratory that
conducts both urine and oral fluid drug
testing would contain account and
billing information for the employer’s
urine and oral fluid drug testing
accounts. The collector will use a new
CCF when switching collection
processes. The rule text will reflect the
need for the collector to ensure a correct
CCF is used. The rule text will also
reflect the requirement to document, in
the ‘‘Remarks’’ section of the CCF, the
reason for the changed collection
process. It will not be a fatal flaw or
correctable flaw if the collector does not
make notes in the ‘‘Remarks’’ section.
Oral Fluid Insufficient Specimen (‘‘Dry
Mouth’’) Specifics
Since oral fluid testing and ‘‘dry
mouth’’ for insufficient oral fluid
specimens are new concepts for DOTregulated testing, the commenters asked
many relevant questions. We appreciate
the time people took to call out the
details because their thoughts and
concerns have made this a better final
rule.
Some commenters asked exactly how
‘‘dry mouth’’ will be determined. The
commenters also wanted to know how
many attempts and/or how much time
would a donor be given before the
collector would end the collection and
send it on to the DER to provide the
contact information for an evaluation by
a referral physician.
In § 40.48(c)(1), we use the term ‘‘dry
mouth’’ to indicate an insufficient oral
fluid specimen. This is shorthand,
similar to the term ‘‘shy bladder’’ used
for urine collections, for a situation in
which an employee is unable to produce
a sufficient specimen. An employee may
tell a collector they think their mouth is
dry before the collection begins. If the
employee states their mouth is dry, then
§ 40.72(b)(1) requires the collector to
give the employee up to 8 ounces of
water to rinse their mouth. The
employee may drink the water. The
collector must then wait 10 minutes
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27626
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
before beginning the specimen
collection. Incidentally, the commenters
who responded to our question whether
10 minutes was an appropriate waiting
time responded unanimously in support
of this amount of time. Apparently, it is
the industry standard.
It is a dry mouth scenario if the oral
fluid device indicates the employee has
not provided a sufficient specimen. If
dry mouth occurs after the initial
collection is attempted, this will begin
a one-hour period to allow a sufficient
specimen. Also, this necessitates a
second oral fluid collection within one
hour, or the employer could have a
standing order to require the collector to
move on to an alternate methodology
(i.e., urine) to complete the collection
process for the testing event.
Some commenters asked how many
attempts at providing an oral fluid
specimen should be made before a
finding of dry mouth is determined and
a referral physician is needed. We were
asked to consider conducting research
concerning dry mouth. Some
commenters wondered if we would
require a specific period of time for
attempts for an oral fluid collection. In
addition, we were asked to describe or
define what we meant in
§ 40.193(b)(2)(i) by requiring that the
employee ‘‘remain at the collection site,
in a monitored area designated by the
collector, during the wait period.’’
We proposed procedures to go into
effect 15 minutes after an employee fails
to produce a sufficient specimen and
the procedures would continue for one
hour. We have adopted this proposal in
§ 40.193(b)(2)(i). If an employer has
provided for an alternate methodology
to be used in oral fluid insufficient
specimen situations, then the collector
would move on to the alternate
methodology, which is currently urine.
If the employer does not have this
option, then the collector would follow
the steps set forth in § 40.193(b)(2)(i)
when the employee demonstrates an
inability to provide a specimen after 15
minutes of using the collection device.
As in urine testing, the time clock
begins after the 15 minutes and when
the employee attempts but is unable to
provide a sufficient quantity of
specimen. If the employee states they
could provide a specimen after drinking
some fluids, the collector must urge the
employee to drink (up to 8 ounces) and
wait an additional 10 minutes before
beginning the next specimen collection
(a period of up to one hour must be
provided, or until the donor has
provided a sufficient oral fluid
specimen, whichever occurs first). The
employee is not required to drink
during the hour and their choice not to
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
drink is not a refusal. The collector must
provide a full hour for the employee to
attempt another oral fluid collection. If
the employee still cannot provide a
sufficient specimen, then the collector
must note this in the ‘‘Remarks’’ line in
Step 2 of the CCF, and immediately
contact the DER to begin the referral
physician process for the dry mouth
medical evaluation.
We will not be conducting our own
studies on dry mouth but will continue
to follow HHS for the science of oral
fluid testing, as required by OTETA. In
addition, a referral physician would
evaluate the employee to obtain and
provide to the MRO information about
whether a ‘‘medical condition has, or
with a high degree of probability could
have, precluded the employee from
providing a sufficient amount of
specimen’’, per § 40.193(d)(1). We rely
on the referral physician and the MRO
to remain versed in the current medical
studies to make these important
determinations, as they have done for
more than 30 years in shy bladder urine
testing cases.
To ‘‘monitor’’ an employee during a
wait period in an oral fluid collection,
we mean the employee must be
supervised or observed for security and
integrity of the collection process. This
ensures they cannot take any actions to
interfere with the integrity of the
specimen they are required to provide.
It does not need to be the actual
collector who monitors the employee
during the wait period. In fact, in
§ 40.48(c)(1), we say that the collector
can conduct a collection for another
employee during this wait period.
§ 40.195 What happens when an
individual is unable to provide a
sufficient amount of specimen for a preemployment follow-up or return-to-duty
test because of a permanent or longterm medical condition?
The only change we proposed in
§ 40.195 was in the title, where the more
general ‘‘specimen’’ is substituted for
‘‘urine,’’ in view of the addition of oral
fluid testing to the program. However,
there were several commenters who
wanted an oral fluid test conducted
whenever there is a permanent or longterm medical situation.
Section 40.195 is the mechanism for
an MRO to rule out the drug use of an
employee who has been found under
the clinical evaluation in § 40.193 to
have permanent or long-term medical
condition that renders that employee
otherwise unable to produce a sufficient
amount of urine required to yield a
negative drug test result. A negative
drug test result is required for a preemployment, return-to-duty, or follow-
PO 00000
Frm 00032
Fmt 4701
Sfmt 4700
up test. Historically, § 40.195 has not
applied to random, post-accident,
reasonable cause, or reasonable
suspicion tests.
We anticipate most employers will
embrace oral fluid testing for employees
they know have permanent or long-term
medical conditions that affect one’s
ability to urinate. However, we have not
mandated that employers use oral fluid
testing for employees with such medical
conditions. It would be prudent for an
employer to consider various cost
factors for an oral fluid test versus a
urine test in a shy bladder scenario. In
addition, if an alternate methodology is
not used, then when a negative drug test
result is needed, there is the cost of
having yet another evaluation for
clinical evidence of drug use so that the
MRO can determine whether a
‘‘negative’’ result can be issued under
§ 40.195. While an employer may not
want to use two different testing
methodologies on a regular basis, the
situations of an inability to provide a
sufficient specimen for either a urine
test or an oral fluid test are excellent
reasons for an employer to have a
second methodology in place to plan for
such contingencies.
One commenter acknowledged
§ 40.195 ‘‘has long provided relief to
employees with permanent or long-term
medical conditions preventing the
provision of a sufficient urine specimen
in the cases of pre-employment, followup, or return-to-duty tests, in which a
negative test is required.’’ This
commenter urged the Department to go
further to allow an employee to bypass
a urine specimen collection by
producing documentation of their
‘‘long-term medical conditions
preventing giving a complete specimen
[regardless of test type].’’
While the Department agrees with the
spirit of this commenter’s point, we do
not agree with allowing an employee to
produce documentation to avoid a urine
specimen collection. Individuals who
are unable to produce a sufficient urine
specimen, regardless of whether their
condition is short-term or long-term,
have the potential to undergo an oral
fluid specimen collection instead of a
urine collection, as long as their
employer allows oral fluid testing.
Prudent employers should take this into
consideration when determining what
testing methodologies to allow.
§ 40.197 What happens when an
employer receives a report of a dilute
urine specimen?
The only textual change in § 40.197 in
the proposed rule is in the title, where
the word ‘‘urine’’ would be inserted
because this section concerns situations
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
that arise only in urine testing. We
received no comments regarding this
change and have adopted it as proposed.
§ 40.199 What problems always cause
a drug test to be cancelled?
We proposed to add a new fatal flaw
for use of an expired oral fluid
collection device, in § 40.199(b)(8). In
§ 40.199 (b)(7) of, we proposed to
replace the term ‘‘urine’’ with
‘‘specimen,’’ to reflect the addition of
oral fluid testing to the program.
OraSure, a long-established oral fluid
device manufacturer, agreed that the use
of an expired device should be a fatal
flaw. Quest Diagnostics also agreed with
the addition of the new fatal flaw and
said ‘‘the use of an expired device (at
the time of collection) should be
considered a fatal flaw and collector
error.’’
We have adopted the proposed
changes to § 40.199 without further
change.
ddrumheller on DSK120RN23PROD with RULES2
§ 40.201 What problems always cause
a drug test to be cancelled and may
result in a requirement for another
collection?
In §§ 40.199(b)(7) and 40.201(f), we
proposed to replace the term ‘‘urine’’
with ‘‘specimen,’’ reflecting the addition
of oral fluid testing to the program. We
received no comments on this proposal
and have finalized it as proposed.
§ 40.210 What kinds of drug tests are
permitted under the regulations?
The proposal acknowledged that oral
fluid and/or urine specimens can be
collected, and must be tested at HHScertified laboratories. No other
specimen methodologies are currently
permitted. Furthermore, we proposed an
employer can use one or the other, but
not both urine and oral fluid
methodologies at the beginning of the
testing event. We offered an example ‘‘if
an employee is sent for a test, either a
urine or oral fluid specimen can be
collected, but not both simultaneously.’’
ALPA agrees ‘‘with DOT’s proposal to
require an employer to use one or the
other methodology at the beginning of a
testing event—but not both
simultaneously.’’ A consortium and
MRO practice also supported ‘‘using one
method of testing at the beginning of the
testing event, not both simultaneously.’’
In § 40.210, we also discussed what to
do if a problem arises that would
require a second collection. Such
problems would include when the
employee provides a specimen that is an
insufficient quantity of urine, has a
temperature out of range, or is an
insufficient oral fluid quantity. We
asked for comment on whether the
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
employer and/or its service agent would
be the correct one(s) to make the
decision as to which methodology to
use in the second collection.
One commenter suggested using urine
first in all collections and to use oral
fluid testing if a second collection is
needed. Another commenter said it
would be easier to finish the testing
event by using the same methodology
for the second collection. The
International Paruresis Association
cautioned against continuing with a
second urine collection after the
employee produced an insufficient
urine specimen unless the employee
requested this. Another commenter
asked ‘‘how things would proceed when
the alternate specimen was available
only at a different collection site. How
would the change of venue be handled?
Would someone have to accompany or
supervise the employee in transit
between Site 1 and Site 2?’’ Questions
such as these are valid and will be best
handled in the collection guidelines for
both urine and oral fluid.
The remaining comments on this
provision delved into the choices
between having the employer and
service agent make the choice as to what
to do when a second collection is
needed. NDASA said the employer
should decide what methodology to use
for the initial specimen ‘‘and only in
cases where an alternative is required to
complete the collection, should the
service agent make a determination.’’
The New York City Department of
Transportation commented in support
of allowing either the employer or
service agent to make a decision about
the second collection. An MRO practice,
Cynergy, said the employer’s ‘‘policy
should dictate what is permitted if there
is a problem in the collection that
necessitates a second collection.’’
Under § 40.210 we have retained the
flexibility for either the employer, the
service agent, or both working together,
to decide what methodology to use for
a second collection after a problematic
first collection. We think the ideal is for
the employer’s policy to dictate what
methodology should be used for the first
test and for the second test, should a
problem arise. However, if there is no
standing order and the collector cannot
contact the DER, then the service agent
will need to make the decision as to the
methodology to be used for the second
test. Thus, we have adopted § 40.210
with minor changes to emphasize the
flexibility discussed above.
§ 40.225 What form is used for an
alcohol test?
We made a conforming change to
§ 40.225 and redesignated appendix G to
PO 00000
Frm 00033
Fmt 4701
Sfmt 4700
27627
be appendix I. We received no
comments on this change.
§ 40.283 How does a certification
organization obtain recognition for its
members as SAPs?
In § 40.283, we made a conforming
change redesignating appendix E to
appendix G. We no comments received
on this change.
§ 40.285 When is a SAP evaluation
required?
In § 40.285, the word ‘‘urine’’ would
be removed if oral fluid testing is added.
Having received no comments on this
change, we have finalized it.
§ 40.291 What is the role of the SAP in
the evaluation, referral, and treatment
process of an employee who has
violated DOT Agency drug and alcohol
testing regulations?
As discussed in the Principal Policy
section of this final rule, the Department
proposed to permit SAPs to conduct
evaluations or assessments remotely by
amending § 40.291(a)(1) and (3) to
remove the requirement that SAP
evaluations be only ‘‘face-to-face’’ and
to explain what is required for remote
evaluations. The changes we adopted
are fully discussed and resolved in the
Principal Policy section.
§ 40.293 What is the SAP’s function in
conducting the initial evaluation of an
employee?
For the reasons discussed in the
Principal Policy section of this final
rule, we have removed the words ‘‘faceto-face’’ from paragraph (a) this
provision to remote evaluations. In the
context of remote evaluations and other
issues of concern to SAPs, many
commenters raised points that we have
decided merit changes to § 40.293, as a
logical outgrowth of their comments.
Specifically, some commenters
expressed concerns about SAPs who are
conducting remote assessments without
following the requirements of subpart O
of part 40. The commenters said some
SAPs are not evaluating employees
individually and are simply taking their
money. The commenters asserted these
purportedly noncompliant SAPs are
regularly or even exclusively requiring
employees to complete online
education, regardless of the substance
abuse issues the individual employee
presents. Additional commenters said
some SAPs offer low pricing for their
services online and, before evaluating
employees, allegedly promise the
employees will only need to complete
online education to satisfy the return-toduty requirements, when some of these
employees actually may need treatment
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27628
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
after an assessment and clinical
evaluation is performed.
We appreciate that these concerns are
serious, but we believe they potentially
apply to all SAPs, not only those SAPs
who conduct remote assessments. It is
important to break out the individual
points raised by the commenters, in
order to explain what is already
addressed in the existing subpart O of
part 40, what we will not address
through regulatory changes, and what
we can address through rulemaking, as
a logical outgrowth of these comments.
First, under § 40.293(a), each SAP
must perform an assessment and
clinical evaluation for each employee.
Any SAP who is not performing an
assessment and clinical evaluation for
an individual employee is in direct
violation of § 40.293(a). There is no
modification to § 40.293(a) needed
because the current regulatory language
is clear.
Second, if a SAP prescribes online
education for most or all of the
individual employees that SAP
evaluates, then the SAP would be in
violation of § 40.293(b) through (d).
These sections discuss the appropriate
education and/or treatment the SAP
would determine is necessary for each
employee. In the final rule establishing
subpart O, the Department said: ‘‘For
someone who performs safety-sensitive
transportation functions, the very fact of
a violation indicates a disregard of
safety that must be addressed, corrected,
and monitored in order to ensure safe
performance of those functions in the
future.’’ 65 FR 79470 (Dec. 19, 2000). As
a gatekeeper of transportation safety, the
SAP has an essential duty to evaluate
each employee and consider the
employee’s violation(s) in order to
determine what help that individual
needs and how to best address safety
through getting the employee the help
they need for their unique
circumstances. If the SAP were to
prescribe the same education and/or
treatment requirement for every
employee, the SAP would be violating
part 40 and failing to fulfill their role as
a gatekeeper of safety and enormous
responsibility to the public.
The Department recently became
aware that some SAPs were providing
return-to-duty timelines to employees
who violated the DOT drug and/or
alcohol regulations before conducting
the required initial assessment and
evaluation of the employee. In response,
we issued a list serve to remind SAPs
of their regulatory responsibilities and
the SAP’s role in evaluating each
individual employee and directing that
employee to get the specific help the
employee needs. https://
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
content.govdelivery.com/accounts/
USDOT/bulletins/3304b9a.
The SAP process was carefully
designed to utilize the clinical
evaluation and assessment skills and
expertise of the SAP practitioner to
evaluate each specific individual
employee. The SAP must address the
employee’s needs for rehabilitation for
the sake of the employee and give the
employee the tools the employee needs
to return to the performance of safetysensitive duties. Consistent with sound
clinical and established SAP standards
of care in clinical practice, and utilizing
reliable alcohol and drug abuse
assessment tools, the SAP must conduct
an assessment and evaluation, either inperson or remotely. As stated in
ODAPC’s SAP Guidelines, ‘‘The
evaluation should be comprised of a
review of the employee’s psychosocial
history, an in-depth review of the
employee’s drug and alcohol use history
(with information regarding onset,
duration, frequency, and amount of use;
substance(s) of use and choice;
emotional and physical characteristics
of use; and associated health, work,
family, personal, and interpersonal
problems); and an evaluation of the
employee’s current mental status.’’
https://www.transportation.gov/odapc/
substance-abuse-professionalguidelines.
In accordance with § 40.293, the SAP
must provide a comprehensive
assessment and clinical evaluation
unique to the employee. As required by
§ 40.293(b), the SAP must make a
recommendation for education and/or
treatment that will, to the greatest extent
possible, protect public safety in the
event that the employee returns to the
performance of safety-sensitive
functions. Providing estimated returnto-duty dates without such individual
assessments and recommendations
unique to the individual is yet another
concern recently arising.
As a logical outgrowth of the proposal
to add an option for remote evaluations
and, in response to the concerns about
some SAPs failing to individually
evaluate, assess and recommend
education or treatment, and a follow-up
testing plan unique to the needs of each
and every employee evaluated, we have
added a new paragraph to § 40.293(e).
This additional paragraph requires a
SAP to use their professional judgment
to individualize their assessment,
clinical evaluation, education and/or
treatment recommendations, and
follow-up testing recommendations
unique to each employee. In the
regulatory text, we provided the
example of not having the SAP require
the same and/or substantially similar
PO 00000
Frm 00034
Fmt 4701
Sfmt 4700
education, treatment and/or follow-up
testing plan for most of the employees
you assess. If the SAP prescribes the
same treatment for every marijuana
positive as a result of the SAP’s personal
philosophy about marijuana use and not
as a result of evaluating and clinically
assessing the needs of the individual
employee, then the SAP is not
exercising their professional judgment.
If the SAP requires only online training
for every employee who comes to the
SAP, then the SAP is not
individualizing their assessment and,
actually, may not even be making an
evaluation and assessment. Thus, this
would certainly not fall within the
bounds of using their professional
judgment.
The SAP has highly respected roles
and serious responsibilities under the
DOT’s regulations. The SAP is the key
to ensuring the employee receives the
education or treatment they need to
have meaningful rehabilitation and
treatment. In addition, the SAP has the
extremely important responsibility of
being the gatekeeper for transportation
safety. The SAP is required to use their
professional judgment to evaluate and
assess the employee and direct the
employee to get the individualized help
they need. When the SAP role is carried
out faithfully, the employee gets the
help they need toward the road to
recovery and toward being able to return
to safety-sensitive functions in a way
that will not pose a threat to safety. In
short, the individualized evaluations
and assessments carried out through the
SAP’s professional judgment as a safety
gatekeeper ensure employees get the
help they need, and transportation
safety is protected and preserved.
Finally, as to costs a SAP advertises
or charges, the Department will
continue to remain silent, as we do on
other questions of who pays and how
much one would pay for services
rendered to meet the requirements of
part 40. Any SAP can charge a fee they
determine is appropriate. Since the
Department remains silent on all pricing
issues, the marketplace controls what
SAPs can reasonably charge and what
individual employees with part 40
violations are willing to pay. We do not
see a reason to intervene in this free
market, which has been working
successfully for more than 20 years.
§ 40.301 What is the SAP’s function in
the follow-up evaluation of an
employee?
As discussed in Principal Policy
section of this final rule, we have
removed the words ‘‘face-to-face’’ from
paragraph (b)(2) this provision. We have
added the words ‘‘meeting the
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
requirements of § 40.291(a)(1) of this
part’’ to allow remote evaluations.
§ 40.307 What is the SAP’s function in
prescribing the employee’s follow-up
tests?
In the SAP comments, there were
discussions about follow-up testing, and
as a logical outgrowth, we are clarifying
several points. A follow-up testing plan
contains the SAP’s recommendation for
the number and duration of follow-up
tests to be conducted by the employer.
The SAP can recommend drug followup testing and alcohol follow-up testing
for a single drug violation or a single
alcohol violation if the SAP determines
that is necessary.
However, the SAP has no authority to
determine the dates when the testing is
to be done, that is up to the employer.
The SAP can indicate the follow-up
tests should be done close in time to
certain triggering events for the
employee (e.g., birthdays, anniversaries
of deaths, long weekends, etc.) or the
SAP can choose not to make such
suggestions.
The key to successful follow-up
testing is that it is not announced to the
employee in advance. If the employer,
the SAP, or another service agent
provides the follow-up testing plan to
the employee, the employee can
anticipate how many tests will take
place and ‘‘plan’’ the period of time they
need to abstain from illegal drug use or
alcohol misuse to successfully complete
their follow-up tests. Thus, it was
always the intent that no one provide
the follow-up testing schedule to the
employee. We have added a new
paragraph (g) to clarify this.
ddrumheller on DSK120RN23PROD with RULES2
§ 40.311 What are the requirements
concerning SAP reports?
For the reasons discussed in the
Principal Policy section of this final
rule, we have adopted the proposal to
add the words ‘‘and format (i.e., face-toface or remote)’’ to § 40.311(c)(4), (d)(4),
and (e)(4). In addition, we have
amended § 40.311 to direct SAPs to note
on their SAP reports whether a given
evaluation occurred face-to-face or
remotely.
Also as discussed in the Principal
Policy section, we have adopted the
proposal to change ‘‘SSN’’ to ‘‘SSN or
employee ID number’’ in § 40.311(c)(1),
(d)(1), and (e)(1) for consistency of terms
in part 40 and to allow the use of
additional identification numbers in
SAP reports, instead of solely the SSN.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
§ 40.327 When must the MRO report
medical information gathered in the
verification process?
In § 40.327, we proposed to add a
clarification requiring MROs not to use
the CCF to transmit information about
safety concerns to employers or other
authorized parties. Rather, a separate
communication (e.g., secure email or
letter) must be used and will specify
whether the MRO’s safety concern
relates to the use of a medication, the
type of medical condition for which
such a medication is typically
prescribed, or some combination of the
two. The purpose of providing this
information is to allow the employer
and/or any third parties to focus on the
MRO’s specific concern, rather than
having to make an open-ended inquiry.
This clarification echoes the
Department’s 2017 final rule preamble
discussion that medical information is
sent apart from the verified result
report. (82 FR 52229, 52236; Nov. 13,
2017).
Several commenters, including
NDASA and multiple MRO practices,
supported this clarification. The Drug
and Alcohol Testing Association
(DATIA) commented in support of the
proposal, saying: ‘‘The MRO must take
appropriate steps to balance public
safety concern and the right to privacy
of the individual that is subject to
testing. We support fully the
Department’s 2017 final rule preamble
discussion that medical information or
any other communication regarding a
safety sensitive concern should be
processed and reported separately from
the standard result report.’’
Another major industry association
opposed the proposal and appeared to
be confused about what is currently
required. The association said MROs
should continue to report a significant
safety risk with a negative test result.
However, MROs have not been
permitted to report the two
simultaneously since 2017. Under
§ 40.135(e), MROs have been required to
wait five business days between
reporting a negative test result and
reporting a significant safety risk they
have determined under § 40.327
regarding an employee who does not
hold DOT-regulated medical
certification. See 82 FR 52236 (Nov. 13,
2017).
One MRO practice thought the
clarification would allow the MRO ‘‘to
discuss specifics with the DER, avoiding
more vague references to safety
concerns thus enabling a more focused
fitness for duty process.’’ This
commenter supported the proposal.
PO 00000
Frm 00035
Fmt 4701
Sfmt 4700
27629
There is no duty of confidentiality
between the MRO and the employee, as
every MRO must declare to each
employee. Instead, per § 40.135(d), the
MRO is ‘‘required to provide third
parties drug testing information and
medical information affecting the
performance of safety-sensitive duties
that the employee gives . . .’’ Under
§ 40.135(d)(2), this includes
‘‘information on medicines or other
substances affecting the performance of
safety-sensitive duties that the employee
reports using or medical conditions the
employee reports having.’’ Thus, with
informed consent, the employee
provides such information to the MRO
who can share it with the employer.
However, what the employer does with
such information may impact the
Americans with Disabilities Act or other
Federal, State or local civil rights laws
and responsibilities. These are matters
outside the jurisdiction of the DOT.
Employers should consult with their
counsel to understand how they can use
such information received by the MRO
without violating the Americans with
Disabilities Act, the Rehabilitation Act
of 1973, or other State or Federal laws.
We are adopting § 40.327 as proposed.
§ 40.345 In what circumstances may a
C/TPA act as an intermediary in the
transmission of drug and alcohol testing
information to employers?
As a conforming change, we have
updated the reference from appendix F
to appendix H, § 40.345. There were no
comments on this point.
§ 40.355 What limitations apply to the
activities of service agents?
In § 40.355(n) (Example 3), we have
removed the word ‘‘urine’’ to allow the
section to apply to both approved
methodologies for testing. We received
no comments on this proposed change.
We received one comment regarding
§ 40.355(a), which we had not proposed
to change. The commenter asked us to
include the term ‘‘treatment provider’’
in list of the entities that must not
require an employee to sign a consent
form. The commenter noted the term
‘‘treatment provider’’ is included in the
DOT’s HIPAA statement (https://
www.transportation.gov/odapc/hipaastatement), and in the Release of
Information section of the DOT’s
Substance Abuse Guidelines (https://
www.transportation.gov/odapc/
substance-abuse-professionalguidelines). In the HIPAA statement, we
say ‘‘SAPs need no written
authorizations from employees to
conduct SAP evaluations, to confer with
employers, to confer with MROs, to
confer with appropriate education and
E:\FR\FM\02MYR2.SGM
02MYR2
27630
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
treatment providers, or to provide SAP
reports to employers.’’ We state this
because SAPs are performing a role as
a safety official within the bounds of
part 40 and not as a health care
provider. Thus, it would not be
appropriate for us to instruct treatment
providers, who are likely covered under
HIPAA when they accept insurance
payments, to communicate with third
parties without the consent of their
patient/client. It would also be outside
the jurisdiction of the Department to do
this. On page 10 of the SAP Guidelines,
we instruct SAPs to provide information
to treatment providers, but we lack
jurisdiction to require treatment
providers to provide information to
SAPs.
Section 40.355(a) would not restrict a
SAP from asking an employee to
execute a HIPAA waiver with the
treatment provider to provide the SAP
with information about treatment
progression and conclusion. That
information is essential to the SAP
being able to determine whether the
employee has successfully complied
with the education and/or treatment.
Without this information, the SAP
cannot complete the follow-up
evaluation of the employee. It is in the
best interests of the employee to execute
such a release for the treatment provider
to communicate. If the employee does
not provide the appropriate releases and
the information is not conveyed to the
SAP, then the employee will not be
permitted to return to work. We think
this natural progression of the process
has been successful and we have not
made the suggested change.
§ 40.365 What is the Department’s
policy concerning starting a PIE
proceeding?
We proposed to amend § 40.365 to say
a PIE could occur because a SAP failed
to conduct an evaluation using the
means provided in § 40.291(a)(1), rather
than because there was no face-to-face
evaluation. NDASA and several other
commenters concurred with the change.
We have adopted it as proposed.
ddrumheller on DSK120RN23PROD with RULES2
Appendices
Appendix A, concerning urine
collection kits remains unchanged. We
have added a new Appendix B,
establashing standards for oral fluid
collection kits, based on material in the
HHS OFMG and consistent with OTETA
requirements for a split specimen. The
remainder of the appendices have been
renumbered and reordered, as explained
below. For a summary of these changes,
see the redesignation table.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
Appendix B
Appendix B describes the
requirements for the contents of an oral
fluid collection kit. Where we could
conform to the HHS OFMG, we did so.
We differed from HHS in some aspects
of the collection kits because OTETA
requires a single collection that must be
subdivided in the presence of the
employee. This necessitated unique
requirements for DOT-regulated entities.
For a full discussion of the comments in
support of and opposing our approach
in appendix B, as well as the
Department’s responses, see the sectionby-section analysis above for § 40.49.
In viewing the public comments and
in consultation with HHS, we
restructured appendix B, section 1(a) to
address future devices that may be
invented, as well as neat collection
devices that currently exist in what we
now have as appendix B, section 1(a)(1).
We have a new appendix B, section
1(a)(2), similar to what we proposed, for
devices utilizing a buffering solution.
We have removed some specific
language from the proposal regarding
quantities of specimens and percentages
of undiluted (neat) oral fluid because
these do not need to be included in part
40. An oral fluid collection device will
not be permitted to be used in the DOTregulated drug testing program unless
HHS has approved a certified laboratory
to deploy a particular device. In other
words, unless HHS has approved an
HHS-certified laboratory to use a
particular oral fluid collection device,
that device will not be used. So, it is
unnecessary and inconsistent for part 40
to create device or volume
specifications separate from those of
HHS. This is part of the scientific aspect
of drug testing we defer to HHS.
Alere Toxicology provided comments
including language edits with which we
agree and have added to the final rule
language, with slight modification.
Specifically, this commenter
recommended a change in appendix B,
section 1(a) of ‘‘specimen bottle or tube’’
instead of merely ‘‘specimen bottle.’’
They also suggested a change to
appendix B, section 1(a) to add ‘‘a single
pad or dual pads’’ for a description of
the single collection which can be
subdivided into two separate collection
tubes. We have added these to appendix
B, section 1(a)(2) and have included a
slight modification to make it clear that
the dual pads must be joined for
insertion together into the same spot in
the mouth. This further clarifies details
about the single collection device that
would be subdivided in the presence of
the donor, which we must require under
OTETA.
PO 00000
Frm 00036
Fmt 4701
Sfmt 4700
We appreciate ALPA’s comments, in
which they supported the way we have
described neat and wet collections in
appendix B, section 1(a). They believe
we have met OTETA on the
requirements for these devices.
OraSure requested ‘‘additional
language should be added allowing for
the use of a single device, consisting of
2 cotton fiber pads, placed back-to-back
or side by side, which after the
collection, can be split into an A & B
samples.’’ We agree and the language
added to appendix B section 1(a)(2)
described above should address this.
OraSure asked us to leave room to allow
entirely different types of devices ‘‘that
could be pad based or non-pad-based
devices so long as they meet’’ what we
are asking for under OTETA. This is a
reasonable request, and we have added
the new appendix B, section 1(a)(1) to
include devices that we have not
contemplated as of this time.
Both buffered and undiluted (neat)
specimen collection devices must have
an expiration date. For clarity, we have
added a parenthetical to appendix B,
section 1(e) to indicate the expiration
date is the shortest expiration date of
any component. We recognize that this
date could be more than a decade after
an undiluted (neat) specimen collection
device is manufactured. However, we
proposed and there were no dissenting
comments regarding the need for an
expiration date. We want to ensure the
integrity of the testing process and that
collectors will always enter the device
expiration regardless of whether the
device is a buffered collection device or
an undiluted (neat) specimen collection
device.
We asked for public comments
specifically regarding whether devices
should be sufficiently transparent so the
collector can observe whether there is
anything unusual about the specimen
collected and take action to perform a
re-collection, if appropriate. We
proposed language in appendix B,
section 1(c) to ensure that transparency.
Several commenters including
DATIA, OraSure, Quest Diagnostics, the
New York City Department of
Transportation, and others commented
in favor of this proposal. Many
commenters said the tubes should be
sufficiently transparent, or at least semitransparent, to assist collectors in
detecting adulteration. Alere San Diego
also agreed, saying ‘‘the tube . . .
should be sufficiently transparent to
allow the collector the ability to ensure
the sample is visible.’’ We agree with
these commenters.
In addition, some commenters wanted
to see a minimum volume indicator
built into the device or vials to ensure
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
the collector has gathered enough
specimen for the laboratory to process.
One commenter noted that there are at
least two devices already on the market
with an indicator showing whether
enough fluid was collected. We agree
with these commenters and have
finalized the proposed language.
In appendix B, section 1(h), we
proposed to require the tamper-evident
bottle seals for bottles A and B ‘‘not
conceal printed information.’’ NDASA
urged that we not require the use of
‘‘clear security labels’’ because it would
be a cost increase. In addition, NDASA
said ‘‘clear label materials are an
untested technology, without evidence
of how a clear label product could affect
the collection device and its
components. For the collector to verify
the expiration date during the collection
process and then adhere paper-based
security seals which are already in use
and industry standard, should suffice in
the collection process.’’ Quest
Diagnostics also strongly stated we
should not require transparent seals
‘‘because of high costs of manufacturing
the transparent seals (estimated at an
increase of $300,000 annually) and the
intended purpose would be for the lab
to be better able to read the expiry dates,
which the collectors should do.’’ In
addition, Quest Diagnostics noted, ‘‘the
current seals stand up to heat of travel
and freezing in the lab, transparent
labels may not do as well.’’
We appreciate these concerns and
observations. We will only require that
the seals not conceal the printed
information on Bottles A and B and that
the seals not be damaged by the
employee initialing or the collector
signing them. This creates a
performance standard, and we are not
requiring more specific details for
compliance with this provision.
We have amended the proposed
appendix B, section 1(i) to state the oral
fluid collection device ‘‘must be
approved by HHS for use by the specific
HHS-certified laboratory that will test
the specimen gathered by this device.’’
As discussed above, if HHS approves
the use of a particular device by an
HHS-certified laboratory, we defer to
that approval.
ddrumheller on DSK120RN23PROD with RULES2
Appendix D
The resdesignated appendix D (the
former appendix B) concerns semiannual reports laboratories provide to
employers. The new appendix D sets
forth matters to be reported with respect
to urine and oral fluid testing
respectively. No comments were
received on these changes, and they are
adopted as proposed.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
Appendix E
In the redesignated appendix E (the
former appendix C), the Department
proposed to amend the data elements
that HHS-certified laboratories submit to
DOT semi-annually. With this change,
laboratories will continue to provide the
DOT with the drug testing data but to be
broken out by specimen type (i.e., urine
and oral fluid), DOT agency (i.e.,
FMCSA, FAA, FRA, FTA, PHMSA, the
US Coast Guard) and test reason (i.e.,
pre-employment, random, reasonable
suspicion/cause, post-accident, returnto-duty, other, and follow-up). The
proposal required each laboratory to
submit multiple data summaries as
opposed to the one data summary they
now provide. The additional data
elements will assist the Department in
evaluating the efficacy of testing by oral
fluid versus urine. In addition, we
anticipate developing a better
understanding of any trends in drug
testing by specimen type, DOT agency
and/or test reason(s).
There were very few comments to the
proposed biannual reporting changes.
One DOT-regulated employer opposed
the concept of collecting data from
laboratories at all because the collectors
make errors on the test type and the
DOT agency they list on the CCF. This
employer thought these mistakes would
make the data unreliable. We also
received public comments suggesting
there would be cost associated with
adding the proposed data elements, but
no costs were quantified by the
commenters.
While any change to searches set up
for data collection may have an initial
cost, the changes to the redesignated
appendix C fall within data elements
already collected by the laboratories. We
did not ask for new data to be collected.
It is our understanding that most, if not
all of the HHS-certified laboratories
capture these data elements either as a
result of implementing the electronic
Federal Drug Testing Custody and
Control Form, or in their Laboratory
Information Management System, as
part of tracking the specimens and
reporting out test results to the Medical
Review Officer.
The Department has required
laboratories to submit data biannually
since 2018. This data has proven to be
effective in analyzing drug use trends.
Even though there could be some
potential collector errors, there is still
great utility for this data collection. Due
to this value to DOT and since no
quantifiable burdens were identified
with adding the new data elements, we
have adopted the changes as proposed.
PO 00000
Frm 00037
Fmt 4701
Sfmt 4700
27631
Appendix F
Current appendix D, concerning
reports on split specimen failures to
reconfirm, will become appendix F
under this final rule. We proposed to
add the ‘‘specimen type’’ as another
element to the information the MRO
currently provides so we can track the
two specimen types. We received no
comments on this proposal, other than
to agree with the redesignation of the
appendices, and have adopted the
changes to appendix D.
Appendix G
Current appendix E, on SAP
equivalency requirements for
certification organizations, would
become appendix G. We received no
comments on this proposal, other than
to agree with the redesignation of the
appendices, and have adopted it as
proposed.
Appendix H
Current appendix F, concerning drug
and alcohol testing information can be
transmitted by C/TPAs, would become
appendix H. We received no comments
on this proposal, other than to agree
with the redesignation of the
appendices, and have adopted it as
proposed.
Appendix I
Current appendix G, the Alcohol
Testing Form, would become appendix
I. We received no comments on this
proposal, other than to agree with the
redesignation of the appendices, and
have adopted it as proposed.
Appendix J
Finally, appendix H, the MIS data
collection form, would be found in
appendix J. We received no comments
on this proposal, other than to agree
with the redesignation of the
appendices, and have adopted it as
proposed.
Miscellaneous Comments Outside the
Scope
We received many comments outside
the scope of this rulemaking. These
included a request for a new provision
to say, ‘‘if a test is given to an employee
who per the applicable agency rule
should not have been subjected to that
test, it must be treated for all purposes
as a non-DOT test.’’ We received several
comments about the PIE process. A few
commenters wanted to see an appeal
process for any positive or refusal
verified by an MRO, as well as any
employer-determined refusals.
Another commenter wanted guidance
or regulatory text to address how people
should proceed if the donor or collector
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27632
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
appears to be ill at the time of the test.
A standard approach cannot be applied
because each situation is different. In
§ 40.61(b)(2) we already say that
medical care for the employee is to be
provided before the drug test is
administered.
One commenter wanted us to have
collectors and collection sites
‘‘explicitly warn employees of the
consequences of non-cooperation or
leaving a collection site prematurely,
which could be done via posters or
words in the script collectors use to
begin the process with employees.’’ The
requirement to follow the DOT’s
regulations is a matter of Federal law, so
the collectors are not obligated to
remind employees of their duties under
the regulations that govern their work
responsibilities. However, we are aware
that many collectors, as a best practice
do warn employees. In addition,
ODAPC has issued several posters that
collection sites and workplaces can post
to remind employees ‘‘What You Can
Lose if You Refuse.’’
NDASA made several suggestions that
are outside the scope but are helpful
suggestions for revisions to our
collection guidelines. They suggested
including in our guidelines the
situations of ‘‘donors who enter the
facility claiming inability to provide a
specimen before an attempt to provide
is made, donors leaving before shy
bladder is complete, the point at which
the actual collection process begins,
who may and may not determine a
refusal to test.’’ NDASA also suggested
we ‘‘produce an updated collector
training video to include all specimen
types.’’ Another helpful suggestion was
to clarify if the collector can rely on an
expired identification as proof of their
identity. We will address that in our
collection guidelines.
We also received a comment
requesting refusal training for all
employers. This is outside the scope of
part 40. Instead, the DOT agency
regulations would need to include such
requirements for their respective
regulated employers.
Another commenter requested a
strengthening of and expansion for the
conflict-of-interest provisions in part 40.
This issue is outside the scope of this
regulation. Also, as this commenter
mentioned, ‘‘the provisions that already
exist in § 40.101 regarding prohibited
relationships and in other areas of part
40 that speak to improper actions on the
part of a service provider, and
retaliation for reporting improper
actions to employers and regulators’’.
Other comments outside the scope
included requests to remove urine
testing, add hair testing, include point
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
of collection testing (without laboratorybased testing included), removing
marijuana testing, and other matters
involving the science of DOT-regulated
testing. As we have said many times,
OTETA requires DOT to follow HHS for
the drugs for which we test, the
scientific and technical aspects, and that
we must use HHS-certified laboratories
for the screening and confirmation of
our regulated specimens. Thus, these
comments are outside the scope of this
rulemaking and have not been further
addressed.
Common Preamble
While part 40 provides the regulatory
provisions for how to administer drug
and alcohol testing, the DOT agency
regulations provide the specifics of what
employers and employees are subject to
testing and when to conduct the testing.
In order to allow oral fluid drug testing
across the DOT-regulated transportation
industries, we must make some minor
adjustments to some of the DOT agency
regulations. Specifically, we are making
conforming changes to 14 CFR part 120
(FAA), 49 CFR part 219 (FRA), 49 CFR
part 382 (FMCSA), and 49 CFR part 655
(FTA), all of which are directly subject
to the OTETA mandate to follow the
HHS Mandatory Guidelines for the
scientific and technical requirements for
oral fluid testing under part 40. Without
the changes explained in this Common
Preamble, these DOT agencies would
not be able to allow oral fluid testing.
Consequently, this final rule addresses
urine-specific provisions; adds, removes
and modifies definitions; and makes
other technical changes specifically set
forth below. Incidentally, PHMSA has
determined it does not need to make
any changes to its drug testing
regulations to permit oral fluid testing,
thus there are no changes to 49 CFR part
199 in this final rule. Part 199 utilizes
the testing procedures of part 40.
FAA
In 14 CFR part 120, the FAA has
revised the definitions of ‘‘Alcohol’’ to
be consistent with part 40. The FAA has
corrected the definition of ‘‘Refusal to
submit to drug test’’ to reference
covered employees. It is important to
note this is not a change in coverage, it
is only a technical change to phrasing.
The FAA has added the definition of
‘‘Alcohol misuse’’ to reference the
alcohol misuse prohibitions under
subparts C or D of part 120. The FAA
has removed the following definitions
because they are unnecessary and/or
already defined in part 40: ‘‘Alcohol
Concentration (or content)’’, ‘‘Alcohol
use’’, ‘‘DOT agency’’, ‘‘Verified negative
drug test result’’, and ‘‘Verified positive
PO 00000
Frm 00038
Fmt 4701
Sfmt 4700
drug test result’’. Due to the removal of
these definitions, several paragraphs of
§ 120.7 have been redesignated and the
definitions of ‘‘Covered employee’’ and
‘‘Employee’’ have been updated. In
§§ 120.119(b) and 120.219(b)(2), the
FAA has changed references to
‘‘Appendix H’’ to become references to
‘‘appendix J’’ because those appendices
are redesignated in part 40. In
§§ 120.111(d) and 120.221(d), the FAA
corrected references to ‘‘employee’’ to
‘‘covered employee.’’ All of these
changes are conforming only and do not
otherwise amend the underlying
provisions of 14 CFR part 120.
Federal Railroad Adimistration (FRA)
FRA has made the followings changes
to the regulatory text in part 219, which
are solely for purpose of either
conforming with part 40 or correcting an
error in the regulatory text, and do not
affect the substance of FRA’s rule.
In 49 CFR part 219, FRA amended
§§ 219.11(a)(2) and (h), 219.617(b)(2),
219.619, 219.621(a), and 219.903(a) to
conform with changes made today to
part 40. FRA’s revisions have generally
removed the term ‘‘urine’’ and replaced
it with references to body fluid
specimens to capture both the existing
urine specimens and the new alternate
oral fluids specimens.
FRA has made minor technical
corrections to § 219.4. To conform with
terminology used in part 40, FRA
replaced the term ‘‘return-to-service’’
with ‘‘return-to-duty’’ in § 219.4(a) and
(b)(1) and (2). FRA has further amended
§ 219.4(b)(2) to remove an incorrect
reference to ‘‘paragraph (d) of this
section’’ and replaced it with the correct
reference to ‘‘§ 219.104(d),’’ which
establishes the return-to-duty
requirements this paragraph addresses.
FRA has also made the following
technical changes to part 240—
Qualification and Certification of
Locomotive Engineers and part 242—
Qualification and Certification of
Conductors. The amended provisions
previously used the word ‘‘urine’’ when
referencing certain provisions of part
219 that a railroad must consider when
determining whether a person may be or
remain certified as a locomotive
engineer or conductor. These changes
are solely for the purpose of conforming
with part 40 and do not affect the
substance of FRA’s locomotive engineer
and conductor certification regulations.
Specifically, in part 240, FRA is
amending § 240.119(e)(4)(iv)(A) and
(f)(1)(iii) to replace the word ‘‘urine’’
with the words ‘‘body fluid.’’ In part
242, FRA is amending
§ 242.115(e)(4)(iv)(A) and (f)(1)(iii) to
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
replace the word ‘‘urine’’ with the
words ‘‘body fluid.’’
With respect to oral fluid and FRA
post-accident toxicological testing,
persons subject to part 219 should note
that FRA’s post-accident toxicological
testing requirements in part 219, subpart
C are not subject to the OTETA mandate
and therefore do not follow part 40
procedures. See §§ 40.1(c), 219.205(a),
and 219.701(a) and (b). This final rule
allowing for oral fluid testing therefore
does not apply to FRA post-accident
toxicological testing, which still
requires urine and blood specimens, as
well as body fluid and tissue specimens
for post-mortem tests. See
§§ 219.203(a)(1), 219.205(a), and
219.207(a).
ddrumheller on DSK120RN23PROD with RULES2
Federal Motor Carriers S* * *
Administration (FMCSA)
In part 382, the FMCSA has amended
§§ 382.107, 382.401(b) and (c),
382.403(b), 382.409(b), and 382.705(a)
to conform with changes made to part
40. The revised text includes references
to oral fluid specimens as an alternate
to urine specimens and added the term
‘‘oral fluid collectors’’ as necessary. The
FMCSA also updated references to
sections of part 40 (i.e., references to
appendices) that were redesignated in
the oral fluids final rule and has added
references to a Medical Review Officer’s
reversal of canceled drug test results.
These changes are conforming only and
do not otherwise amend the underlying
provisions of 49 CFR part 382.
Federal Transit Administration (FTA)
In 49 CFR part 655, FTA has amended
§ 655.53 to add ‘‘oral fluid collector’’.
FTA has modified § 655.71 to explicitly
add ‘‘oral fluid specimen’’ to conform
with changes made today to part 40 to
add oral fluid specimens as an alternate
to urine specimens, a small technical
change is being made to correct
‘‘breathe’’ to ‘‘breath’’, also. In §§ 655.47
and 655.61(a)(3), FTA revised the term
‘‘employee’’ to read as ‘‘covered
employee.’’ FTA has made technical
changes to conform with the rest of
Parts 40 and 655, including amending
§ 655.5(c) to update their street address;
revised § 655.15(e) by replacing
‘‘illegal’’ with ‘‘prohibited’’; and revised
§ 655.44(a)(1)(i) by correcting a
reference to ‘‘part 389’’. These changes
are technical or conforming only and do
not otherwise amend the underlying
provisions of 49 CFR part 655.
Good Cause for Adoption Without Prior
Notice and Comment
Section 553(b)(3)(B) of the
Administrative Procedure Act (APA) (5
U.S.C. 551 et seq.) authorizes agencies
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
to dispense with prior notice and
comment for rules when the agency for
‘‘good cause’’ finds that those
procedures are ‘‘impracticable,
unnecessary, or contrary to the public
interest.’’ Under this section, an agency,
upon finding good cause, may issue a
final rule without seeking comment
prior to the rulemaking.
The changes being made to the
regulations of FAA, FMCSA, FRA, and
FTA are all conforming technical edits
to conform with the OST part 40
regulations. Because the underlying part
40 regulations received the benefit of
notice and comment, further public
comment on the conforming edits is not
necessary.
IV. How To Obtain Additional
Information
A. Rulemaking Documents
An electronic copy of a rulemaking
document may be obtained by using the
internet—
1. Search regulations.gov (https://
www.regulations.gov) for the docket
number listed at the beginning of this
document; or
2. Search the Office of the Federal
Register’s web page (https://
www.federalregister.gov) for the RIN
listed at the beginning of this document.
V. Regulatory Analyses and Notices
Executive Order 12866 (Regulatory
Planning and Review)
The Office and Management and
Budget (OMB) has determined that the
rulemaking action is not significant
under Executive Order 12866
(‘‘Regulatory Planning and Review’’), as
supplemented by Executive Order
13563 (‘‘Improving Regulation and
Regulatory Review’’). Accordingly, OMB
has not reviewed it under that order.
The final rule allows transportation
employers and drug test collection sites
to use oral fluid testing instead of urine
testing for DOT-regulated drug tests.
Compared with the baseline scenario in
which employers must use urine testing
for all drug tests, the rule may reduce
costs for employers and collection sites,
improve the effectiveness of drug
testing, and reduce burdens for
individuals undergoing testing. Oral
fluid testing is optional in all but very
rare cases, and DOT expects that
employers would adopt it only when
benefits exceed costs.
The extent of the benefits depends on
the degree to which employers and
collection sites adopt oral fluid testing.
For non-DOT drug tests, an increasing
number of companies utilize oral fluid
testing. In 2022, 38% of respondents to
a drug testing industry survey reported
PO 00000
Frm 00039
Fmt 4701
Sfmt 4700
27633
that their company already offered oral
fluid testing.3 An additional 48%
expected that their company would
offer oral fluid testing after SAMHSA
and DOT establish guidelines. Some of
the respondents may not be involved in
DOT-regulated testing, but the results
demonstrate industry interest in
adopting oral fluid testing.
Cost Savings
Allowing employers to use oral fluid
testing may result in cost savings for
employers by reducing the time
individuals need to spend undergoing
testing. Most urine collections occur in
separate collection facilities, requiring
individuals to travel to and from the
facilities. Oral fluid collection could
occur at or near the workplace, reducing
travel time.
Oral fluid testing may also reduce
resources needed to administer tests.
Collectors administering urine tests
must secure the site to ensure the
integrity of the testing process. Securing
the site involves restricting access to
water sources and ensuring that
individuals cannot alter or switch urine
samples. Oral fluid testing, in contrast,
is directly observed and requires fewer
resources to ensure testing integrity.
Oral fluid testing may offer a less
time-consuming alternate to existing
procedures when an employee cannot
produce a sufficient urine specimen—
for example, in a ‘‘shy bladder’’
situation or when specimens show
evidence of tampering. Currently,
employers must give individuals up to
three hours to try producing a urine
specimen again. If an individual still
cannot produce a urine sample, the
employer must refer the individual to a
physician for further evaluation. The
rule would allow employers to switch
immediately to an oral fluid collection
after the first failed attempt. Employers
could similarly switch from oral fluid to
urine collection if, for example, an
employee has a ‘‘dry mouth’’ situation.
DOT estimated cost savings for
employers in the NPRM but has not
done so for the final rule. In the NPRM,
DOT used testing costs from industry
and projected adoption rates from the
HHS rule on oral fluid guidelines to
estimate annual net cost savings of
$25.0 million by the fourth year. As
detailed in ‘‘Principal Policy
Considerations,’’ commenters disputed
the information used. Some commenters
asserted that an oral fluid test has
slightly higher costs than a urine test, in
3 Current Consulting Group. 2022. ‘‘The 2022
Drug Testing Industry Survey.’’ https://
www.currentconsultinggroup.com/wp-content/
uploads/2022/07/2022-Drug-Testing-IndustrySurvey.pdf.
E:\FR\FM\02MYR2.SGM
02MYR2
27634
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
part because oral fluid collection kits
use chemical buffering solutions with a
limited shelf life. At the same time,
economies of scale may lead to lower
unit costs for oral fluid tests if the drug
testing industry increases its volume of
testing. Given the uncertainty of testing
costs and lack of data on other aspects
of testing, DOT has not estimated cost
savings or other benefits for the final
rule. Nonetheless, commenters
acknowledged the potential for cost
savings.
economic impact on a substantial
number of small entities. The rule
increases flexibility for small-entity
transportation employers and drug test
collection sites by allowing them to use
oral fluid testing instead of urine testing
to meet DOT testing requirements. Oral
fluid testing is a voluntary option for the
small entities. Accordingly, the
Department certifies that the rule would
not have a significant economic impact
on a substantial number of small
entities.
Improved Effectiveness of Testing
Allowing employers to use oral fluid
testing may improve the effectiveness of
drug testing. Oral fluid testing can
detect the recent use of some drugs,
including marijuana and cocaine,4 5
while urine drug testing has a longer
window of detection. More effective
drug testing could deter employee illicit
drug use and reduce safety risks from
drug use.
Unfunded Mandates
The Secretary has examined the
impact of the final rule under the
Unfunded Mandates Reform Act
(UMRA) of 1995 (Pub. L. 104–4). This
notice does not trigger the requirement
for a written statement under section
202(a) of the UMRA because this
rulemaking does not impose a mandate
that results in an expenditure of $100
million (adjusted annually for inflation)
or more by either State, local, and Tribal
governments in the aggregate or by the
private sector in any one year. In fact,
by providing a lower cost alternative to
urine drug testing, the final rule would
reduce costs to regulated parties,
including State and local entities (e.g.,
public transit authorities, public works
departments) whose employees are
subject to testing.
Reduced Burdens for Individuals
Undergoing Testing
Oral fluid testing can reduce anxiety,
discomfort, and other burdens for
individuals undergoing testing because
it is less intrusive and time-consuming
than urine testing. For example, while
most DOT-regulated urine tests are
unobserved, a small number require
direct observation. In observed tests, an
observer of the same gender as the
employee watches the employee urinate
into the collection container. Allowing
the alternative of oral fluid testing
would reduce discomfort and other
issues for individuals, including
potential civil rights issues for
transgender or non-binary individuals.
Reducing the burdens associated with
testing may also reduce barriers to
transportation employment for
individuals deterred by current testing
requirements.
ddrumheller on DSK120RN23PROD with RULES2
Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980
(5 U.S.C. 601 et seq.) requires Federal
agencies to consider the effects of their
regulatory actions on small businesses
and other small entities and minimize
any significant economic impact.
The Department does not expect that
the rule would have a significant
4 Edward J. Cone and Marilyn A. Huestis. 2007.
‘‘Interpretation of Oral Fluid Tests for Drugs of
Abuse.’’ Annals of the New York Academy of
Sciences 1098, 51–103. https://doi.org/10.1196/
annals.1384.037.
5 Rebecca Jufer, Sharon L. Walsh, Edward J. Cone,
and Angela Sampson-Cone. 2006. ‘‘Effect of
Repeated Cocaine Administration on Detection
Times in Oral Fluid and Urine.’’ Journal of
Analytical Toxicology 30(7): 458–462. https://
doi.org/10.1093/jat/30.7.458.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
Environmental Impact
The DOT has analyzed the
environmental impacts of this action
pursuant to the National Environmental
Policy Act of 1969 (NEPA) (42 U.S.C.
4321 et seq.) and has determined that it
is categorically excluded pursuant to
DOT Order 5610.1C, ‘‘Procedures for
Considering Environmental Impacts’’
(44 FR 56420, October 1, 1979).
Categorical exclusions are actions
identified in an agency’s NEPA
implementing procedures that do not
normally have a significant impact on
the environment and therefore do not
require either an environmental
assessment (EA) or environmental
impact statement (EIS). This final rule
amends the transportation industry drug
testing program procedures regulation to
include oral fluid testing. Paragraph
4(c)(5) of DOT Order 5610.1C
incorporates by reference the categorical
exclusions for all DOT Operating
Administrations. This action is covered
by the categorical exclusion listed in the
Federal Transit Administration’s
implementing procedures, ‘‘[p]lanning
and administrative activities that do not
involve or lead directly to construction,
such as: . . . promulgation of rules,
regulations, directives . . .’’ 23 CFR
771.118(c)(4). The Department does not
PO 00000
Frm 00040
Fmt 4701
Sfmt 4700
anticipate any environmental impacts,
and there are no extraordinary
circumstances present in connection
with this rulemaking.
Executive Order 13132: Federalism
The Secretary has analyzed the final
rule in accordance with Executive Order
13132: Federalism. Executive Order
13132 requires Federal agencies to
carefully examine actions to determine
if they contain policies that have
federalism implications or that preempt
State law. As defined in the order,
‘‘policies that have federalism
implications’’ refer to regulations,
legislative comments or proposed
legislation, and other policy statements
or actions that have substantial direct
effects on the States, on the relationship
between the national government and
the States, or on the distribution of
power and responsibilities among the
various levels of government.
Most of the regulated parties under
the Department’s drug testing program
are private entities. Some regulated
entities are public entities (e.g., transit
authorities, public works departments);
however, as noted above, this proposal
would reduce costs of the Department’s
drug testing program and provide
additional flexibility for regulated
parties. Accordingly, the Secretary has
determined that the final rule does not
contain policies that have federalism
implications.
Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
Executive Order 13175 (65 FR 67249,
November 9, 2000) requires Federal
agencies to develop an accountable
process to ensure ‘‘meaningful and
timely input by tribal officials in the
development of regulatory policies that
have tribal implications.’’ ‘‘Policies that
have tribal implications’’ as defined in
the Executive order, include regulations
that have ‘‘substantial direct effects on
one or more Indian tribes, on the
relationship between the Federal
Government and the Indian tribes, or on
the distribution of power and
responsibilities between the Federal
Government and Indian tribes.’’ This
final rule does not have tribal
implications. Nor will they have
substantial direct effects on Tribal
governments, on the relationship
between the Federal Government and
Indian Tribes, or on the distribution of
power and responsibilities between the
Federal Government and Indian tribes,
as specified in Executive Order 13175.
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
Paperwork Reduction Act
49 CFR Part 40
The PRA requires that DOT consider
the impact of paperwork and other
information collection burdens imposed
on the public. We will need a new data
collection section for oral fluid
specimens on the U.S. Department of
Transportation Drug and Alcohol
Testing MIS Data collection form (OMB
No. 2105–0529), which DOT-regulated
employers currently use to report their
urine drug testing data annually. There
will be no increase in the number of
tests conducted. For those employers
choosing to use oral fluid, in addition to
urine testing, there will simply be a
redistribution of the total number of
tests split between the drug testing
methodologies the employer uses. Thus,
for the employers who choose to use
both methodologies, we expect a
nominal increase in the burden hours
because they will have one more simple
section to fill out on the form. The
information collections for oral fluid
testing are covered by HHS under OMB
Control Number 0930–0158.
Notwithstanding any other provisions of
law, no person shall be subject to any
penalty for failing to comply with a
collection of information subject to the
Paperwork Reduction Act (PRA) that
does not display a currently valid OMB
control number.
Administrative practice and
procedures, Alcohol abuse, Alcohol
testing, Drug abuse, Drug testing,
Laboratories, Reporting and
recordkeeping requirements, Safety,
Transportation.
Privacy Act
49 CFR Part 655
Anyone is able to search the
electronic form of all comments
received in any of our 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.) For
information on DOT’s compliance with
the Privacy Act, please visit https://
www.transportation.gov/privacy.
Alcohol abuse, Alcohol testing, Drug
abuse, Drug testing, Grant programs—
transportation, Mass transportation,
Reporting and recordkeeping
requirements, Safety, Transportation.
For the reasons stated in the
preamble, the Department amends 14
CFR chapter 1 and 49 CFR chapters I
through III and VI as follows:
International Compatibility and
Cooperation
ddrumheller on DSK120RN23PROD with RULES2
In keeping with U.S. obligations
under the Convention on International
Civil Aviation (ICAO), it is FAA policy
to conform to ICAO Standards and
Recommended Practices to the
maximum extent practicable. The FAA
has determined that its portion of this
final rule does not conflict with any
international agreement of the United
States.
List of Subjects
14 CFR Part 120
Air carriers, Alcoholism, Alcohol
abuse, Aviation safety, Drug abuse, Drug
testing, Operators, Reporting and
recordkeeping requirements, Safety,
Safety-sensitive, Transportation.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
49 CFR Part 219
Alcohol abuse, Drug abuse, Drug
testing, Penalties, Railway safety,
Reporting and record keeping
requirements, Safety, Transportation.
49 CFR Part 240
Administrative practice and
procedure, Locomotive engineer,
Penalties, Railroad employees, Railroad
operating procedures, Railroad safety,
Reporting and recordkeeping
requirements.
49 CFR Part 242
Administrative practice and
procedure, Conductors, Penalties,
Railroad employees, Railroad operating
procedures, Railroad safety, Reporting
and recordkeeping requirements.
49 CFR Part 382
Administrative practice and
procedure, Alcohol abuse, Drug abuse,
Drug testing, Highway safety, Motor
carriers, Penalties, Safety,
Transportation.
Title 14—Aeronautics and Space
PART 120—DRUG AND ALCOHOL
TESTING PROGRAM
1. The authority citation for part 120
continues to read as follows:
■
Authority: 49 U.S.C. 106(f), 106(g), 40101–
40103, 40113, 40120, 41706, 41721, 44106,
44701, 44702, 44703, 44709, 44710, 44711,
45101–45105, 46105, 46306.
■
2. Revise § 120.7 to read as follows:
§ 120.7
Definitions.
For the purposes of this part, the
following definitions apply:
(a) Accident means an occurrence
associated with the operation of an
aircraft which takes place between the
time any individual boards the aircraft
with the intention of flight and all such
individuals have disembarked, and in
PO 00000
Frm 00041
Fmt 4701
Sfmt 4700
27635
which any individual suffers death or
serious injury, or in which the aircraft
receives substantial damage.
(b) Alcohol means any substance
specified in 49 CFR part 40.
(c) Alcohol misuse means any
prohibited conduct referenced under
subpart C or D of this part.
(d) Contractor is an individual or
company that performs a safetysensitive function by contract for an
employer or another contractor.
(e) Covered employee means an
individual who performs, either directly
or by contract, a safety-sensitive
function listed in §§ 120.105 and
120.215 for an employer (as defined in
paragraph (g) of this section). For
purposes of pre-employment testing
only, the term ‘‘covered employee’’
includes an individual applying to
perform a safety-sensitive function.
(f) Employee is an individual who is
hired, either directly or by contract, to
perform a safety-sensitive function for
an employer, as defined in paragraph (g)
of this section. An employee is also an
individual who transfers into a position
to perform a safety-sensitive function for
an employer.
(g) Employer is a part 119 certificate
holder with authority to operate under
parts 121 and/or 135 of this chapter, an
operator as defined in § 91.147 of this
chapter, or an air traffic control facility
not operated by the FAA or by or under
contract to the U.S. Military. An
employer may use a contract employee
who is not included under that
employer’s FAA-mandated drug and
alcohol testing program to perform a
safety-sensitive function only if that
contract employee is included under the
contractor’s FAA-mandated drug and
alcohol testing program and is
performing a safety-sensitive function
on behalf of that contractor (i.e., within
the scope of employment with the
contractor.)
(h) Hire means retaining an individual
for a safety-sensitive function as a paid
employee, as a volunteer, or through
barter or other form of compensation.
(i) Performing (a safety-sensitive
function): an employee is considered to
be performing a safety-sensitive
function during any period in which he
or she is actually performing, ready to
perform, or immediately available to
perform such function.
(j) Positive rate for random drug
testing means the number of verified
positive results for random drug tests
conducted under subpart E of this part,
plus the number of refusals of random
drug tests required by subpart E of this
part, divided by the total number of
random drug test results (i.e., positives,
E:\FR\FM\02MYR2.SGM
02MYR2
27636
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
negatives, and refusals) under subpart E
of this part.
(k) Prohibited drug means any of the
drugs specified in 49 CFR part 40.
(l) Refusal to submit to alcohol test
means that a covered employee has
engaged in conduct including but not
limited to that described in 49 CFR
40.261, or has failed to remain readily
available for post-accident testing as
required by subpart F of this part.
(m) Refusal to submit to drug test
means that a covered employee engages
in conduct including but not limited to
that described in 49 CFR 40.191.
(n) Safety-sensitive function means a
function listed in §§ 120.105 and
120.215.
(o) Violation rate for random alcohol
testing means the number of 0.04, and
above, random alcohol confirmation test
results conducted under subpart F of
this part, plus the number of refusals of
random alcohol tests required by
subpart F of this part, divided by the
total number of random alcohol
screening tests (including refusals)
conducted under subpart F of this part.
§ 120.111
[Amended]
3. Amend § 120.111 in the first
sentence of paragraph (d) by adding the
word ‘‘covered’’ before the word
‘‘employee’’.
■
§ 120.119
[Amended]
4. Amend § 120.119 in the first
sentence of paragraph (b) by removing
‘‘appendix H’’ and adding in its place
‘‘appendix J’’.
■
§ 120.219
[Amended]
5. Amend § 120.219 in the first
sentence of paragraph (b)(2) by
removing ‘‘appendix H’’ and adding in
its place ‘‘appendix J’’.
■
§ 120.221
[Amended]
6. Amend § 120.221 in the first
sentence of paragraph (d) by adding the
word ‘‘covered’’ before the word
‘‘employee’’.
■
Title 49—Transportation
PART 40—PROCEDURES FOR
TRANSPORTATION WORKPLACE
DRUG AND ALCOHOL TESTING
PROGRAMS
7. The authority for part 40 continues
to read as follows:
ddrumheller on DSK120RN23PROD with RULES2
■
Authority: 49 U.S.C. 102, 301, 322, 5331,
20140, 31306, and 54101 et seq.
8. Amend § 40.3 by:
a. Removing the definitions of
‘‘Invalid drug test’’ and ‘‘Screening drug
test’’;
■ b. Removing the definition of ‘‘Initial
drug test (also known as ‘‘Screening
■
■
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
drug text’’) and adding a definition for
‘‘Initial drug test’’ in its place;
■ c. Removing the definition of ‘‘Limit
of Quantification’’ and adding a
definition for ‘‘Limit of Quantification
(LOQ)’’ in its place;
■ d. Adding in alphabetical order
definitions for ‘‘Alternate specimen’’,
‘‘Commercial Driver’s License Drug and
Alcohol Clearinghouse
(Clearinghouse)’’, ‘‘Cutoff’’, ‘‘Oral fluid
specimen’’, ‘‘Specimen’’, ‘‘SSN or
Employee ID No.’’, ‘‘Undiluted (neat)
oral fluid’’, and ‘‘Urine specimen’’; and
■ e. Revising the definitions of
‘‘Collection container’’, ‘‘Collection
site’’, ‘‘Confirmatory drug test’’, ‘‘Initial
specimen validity test’’, ‘‘Invalid
result’’, ‘‘Laboratory’’, ‘‘Limit of
Detection (LOD)’’, ‘‘Non-negative
specimen’’, ‘‘Primary specimen’’,
‘‘Reconfirmed’’, ‘‘Shipping container’’,
‘‘Specimen bottle’’, ‘‘Split specimen’’,
‘‘Split specimen collection’’, and
‘‘Substituted specimen’’.
The additions and revisions read as
follows:
§ 40.3 What do the terms used in this part
mean?
*
*
*
*
*
Alternate specimen. An authorized
specimen, other than the type of
specimen previously collected or
attempted to be collected.
*
*
*
*
*
Collection container. A container
used to collect a specimen.
Collection site. A place selected by
the employer where employees present
themselves for the purpose of providing
a specimen for a drug test.
*
*
*
*
*
Commercial Driver’s License Drug and
Alcohol Clearinghouse (Clearinghouse).
A database, administered by the Federal
Motor Carrier Safety Administration,
containing records of commercial motor
vehicle drivers’ violations of controlled
substances and alcohol testing program
requirements, as set forth in part 382 of
this title, as well as their return-to-duty
status.
*
*
*
*
*
Confirmatory drug test. A second
analytical procedure performed on a
different aliquot of the original
specimen to identify and quantify a
specific drug or drug metabolite.
*
*
*
*
*
Cutoff. The analytical value (e.g., drug
or drug metabolite concentration) used
as the decision point to determine a
result (e.g., negative, positive,
adulterated, invalid, or substituted) or
the need for further testing.
*
*
*
*
*
Initial drug test. The first test used to
differentiate a negative specimen from
PO 00000
Frm 00042
Fmt 4701
Sfmt 4700
one that requires further testing for
drugs or drug metabolites.
Initial specimen validity test. The first
test used to determine if a specimen is
adulterated, diluted, substituted, or
invalid.
Invalid result. The result reported by
an HHS-certified in accordance with the
criteria established by HHS when a
positive, negative, adulterated, or
substituted result cannot be established
for a specific drug or specimen validity
test.
Laboratory. Any U.S. laboratory
certified by HHS under the National
Laboratory Certification Program as
meeting the minimum standards set by
HHS; or, in the case of foreign
laboratories, a laboratory approved for
participation by DOT under this part.
Limit of Detection (LOD). The lowest
concentration at which the analyte (e.g.,
drug or drug metabolite) can be
identified.
Limit of Quantitation (LOQ). For
quantitative assays, the lowest
concentration at which the identity and
concentration of the analyte (e.g., drug
or drug metabolite) can be accurately
established.
*
*
*
*
*
Non-negative specimen. A specimen
that is reported as adulterated,
substituted, positive (for drug(s) or drug
metabolite(s)), or invalid.
*
*
*
*
*
Oral fluid specimen. A specimen that
is collected from an employee’s oral
cavity and is a combination of
physiological fluids produced primarily
by the salivary glands. An oral fluid
specimen is considered to be a direct
observation collection for all purposes
of this part.
*
*
*
*
*
Primary specimen. In drug testing, the
specimen bottle that is opened and
tested by a first laboratory to determine
whether the employee has a drug or
drug metabolite in his or her system;
and for the purpose of specimen validity
testing. The primary specimen is the
portion of the donor’s subdivided
specimen designated as the primary
(‘‘A’’) specimen by the collector to
distinguish it from the split (‘‘B’’)
specimen, as defined in this section.
*
*
*
*
*
Reconfirmed. The result reported for
a split (Bottle B) specimen when the
second HHS-certified laboratory
corroborates the original result reported
for the primary (Bottle A) specimen.
*
*
*
*
*
Shipping container. A container that
is used for transporting and protecting
specimen bottles and associated
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
documents from the collection site to
the laboratory.
Specimen. Fluid, breath, or other
material collected from an employee at
the collection site for the purpose of a
drug or alcohol test.
Specimen bottle. The bottle that, after
being sealed and labeled according to
the procedures in this part, is used to
hold a primary (‘‘A’’) or split (‘‘B’’)
specimen during transportation to the
laboratory. In the context of oral fluid
testing, it may be referred to as a ‘‘vial,’’
‘‘tube,’’ or ‘‘bottle.’’
Split specimen. In drug testing, the
specimen that is sent to a first laboratory
and stored with its original seal intact,
and which is transported to a second
laboratory for retesting at the
employee’s request following MRO
verification of the primary specimen as
positive, adulterated or substituted.
Split specimen collection. A
collection in which the single specimen
collected is divided into two separate
specimen bottles, the primary specimen
(Bottle A) and the split specimen (Bottle
B).
SSN or Employee ID No. This number
serves as a unique identifier that must
be used on the Federal Drug Testing
Custody and Control Form (CCF) or
Alcohol Testing Form (ATF) for a donor,
on the MRO’s reports, on SAP reports,
or on other documents that are required
under this part. For all purposes of this
part, this term means: only the
Commercial Driver’s License (CDL)
Number and State of issuance for
drivers tested under the authority of the
Federal Motor Carrier Safety
Administration (FMCSA); and, for all
drivers and other safety-sensitive
employees tested under the authority of
the other DOT agencies, this can be the
individual’s actual Social Security
Number, a unique identifier issued by
the employer, a State-issued
identification card number, a Stateissued driver’s license number
(including a CDL number) or any other
State-issued or federally-issued
identification number.
*
*
*
*
*
Substituted specimen. An employee’s
specimen not consistent with a normal
human specimen, as determined by
HHS (e.g., a urine specimen, with
creatinine and specific gravity values
that are so diminished, or so divergent
that they are not consistent with normal
human urine).
*
*
*
*
*
Undiluted (neat) oral fluid. An oral
fluid specimen to which no other solid
or liquid has been added. For example:
A collection device that uses a diluent
(or other component, process, or method
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
that modifies the volume of the testable
specimen) must collect at least 1 mL of
undiluted (neat) oral fluid.
Urine specimen. Urine collected from
an employee at the collection site for the
purpose of a drug test.
*
*
*
*
*
9. Amend § 40.13 by revising
paragraphs (b), (c), and (d),
redesignating paragraphs (e) and (f) as
paragraphs (f) and (g), respectively,
adding new paragraph (e), and adding
paragraph (h).
The revisions and additions to read as
follows:
■
§ 40.13 How do DOT drug and alcohol
tests relate to non-DOT tests?
*
*
*
*
*
(b) DOT tests must take priority and
must be conducted and completed
before a non-DOT test is begun. When
conducting a urine DOT drug test, you
must discard any excess urine left over
from a DOT test and collect a separate
urine void for the subsequent non-DOT
test.
(c) Except as provided in paragraph
(d) of this section, you must not perform
any tests on DOT specimens other than
those tests specifically authorized by
this part or DOT agency regulations. For
example, you must not test a DOT
specimen for additional drugs. In
addition, a laboratory is prohibited from
making a DOT specimen available for a
DNA test or other types of specimen
identity testing.
(d) When a DOT urine drug test
collection is conducted as part of a
physical examination required by DOT
agency regulations, it is permissible to
conduct medical tests related to this
physical examination (e.g., for glucose)
on any specimen remaining in the
collection container after the DOT
portion has been sealed into the
specimen bottles.
(e) A non-DOT drug or alcohol test
administered, as part of a physical
examination, is not a DOT drug or
alcohol test for purposes of this part
and/or related DOT agency drug and
alcohol testing rules, if that test was
performed to determine if an employee
is medically qualified for a license or
certificate. Consequently, the results of
such a test do not have consequences
under this part.
*
*
*
*
*
(h) No one is permitted to conduct a
DOT drug or alcohol test on an
individual who is not a DOT-regulated
employee, as defined by the DOT
agency regulations.
*
*
*
*
*
PO 00000
Frm 00043
Fmt 4701
Sfmt 4700
27637
10. In § 40.14 by revising paragraph
(b) and adding paragraph (k) to read as
follows:
■
§ 40.14 What information must employers
provide to collectors?
*
*
*
*
*
(b) SSN or Employee ID No.’’;
*
*
*
*
*
(k) Specimen type to be collected (i.e.,
oral fluid or urine).
■ 11. Amend § 40.21 by:
■ a. Removing the word ‘‘and’’ from the
end of paragraph (c)(2)(vii)(B);
■ b. Redesignating paragraph
(c)(2)(vii)(C) as paragraph (c)(2)(vii)(D);
and
■ c. Adding a new paragraph
(c)(2)(vii)(C).
The addition reads as follows:
§ 40.21 May an employer stand down an
employee before the MRO has completed
the verification process?
*
*
*
*
*
(c) * * *
(2) * * *
(vii) * * *
(C) For a verified negative result, the
employee will not be required to submit
an alternate specimen for the same
testing action. For a cancelled result, the
employee could be required to submit
an alternate specimen on a re-collection;
and
*
*
*
*
*
■ 12. Amend § 40.23 by revising
paragraphs (f) introductory text and
(f)(1) and (5) to read as follows:
§ 40.23 What actions do employers take
after receiving verified test results?
*
*
*
*
*
(f) As an employer who receives a
drug test result indicating that the
employee’s test was cancelled because it
was invalid and that a second collection
must take place under direct
observation—
(1) You must immediately direct the
employee to provide a new specimen
under direct observation (either an oral
fluid specimen or a urine specimen
under direct observation).
*
*
*
*
*
(5) You must ensure that the collector
conducts the collection under direct
observation (either an oral fluid
specimen or a urine specimen under
direct observation).
*
*
*
*
*
■ 13. Amend § 40.25 by revising
paragraph (a) to read as follows:
§ 40.25 Must an employer check on the
drug and alcohol testing record of
employees it is intending to use to perform
safety-sensitive duties?
(a)(1) Yes, as an employer, you must,
after obtaining an employee’s written
E:\FR\FM\02MYR2.SGM
02MYR2
27638
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
consent, request the information about
the employee listed in paragraphs (b)
through (j) of this section. This
requirement applies only to employees
seeking to begin performing safetysensitive duties for you for the first time
(i.e., a new hire, an employee
transferring into a safety-sensitive
position). If the employee refuses to
provide this written consent, you must
not permit the employee to perform
safety-sensitive functions.
(2) If you are an employer regulated
by FMCSA, you must comply with the
requirements of this section by using the
FMCSA’s Drug and Alcohol
Clearinghouse in accordance with 49
CFR 382.71(a). In addition, you must
continue to comply with the
requirements of this § 40.25 when
checking an employee’s testing history
with employers regulated by a DOT
operating administration other than
FMCSA.
(3) If you are an employer regulated
by FMCSA, with a prospective
employee subject to drug and alcohol
testing with a DOT agency other than
FMCSA, you must continue to request
the information about the employee
listed in paragraphs (b) through (j) of
this section. For example, if you are an
employer regulated by both FMCSA and
PHMSA, and you are hiring an
employee to perform functions
regulated by both DOT agencies, then
you must query FMCSA’s Clearinghouse
to satisfy FMCSA’s requirements and
you must request the information listed
in paragraphs (b) through (j) of this
section to satisfy PHMSA’s
requirements.
*
*
*
*
*
§ 40.26
[Amended]
14. Amend § 40.26 in the second
sentence by removing ‘‘Appendix H’’
and adding in its place ‘‘appendix J’’.
■
§ 40.29
[Removed]
15. Remove § 40.29.
16. Amend § 40.31 by:
a. Revising the section heading;
b. Revising paragraph (b);
c. Redesignating paragraphs (c) and
(d) as paragraphs (d) and (e);
■ d, Adding new paragraph (c);
■ e. Revising newly redesignated
paragraph (d); and
■ f. Adding paragraph (f).
The revisions and additions read as
follows:
■
ddrumheller on DSK120RN23PROD with RULES2
■
■
■
■
§ 40.31 Who may collect specimens for
DOT drug testing?
*
*
*
*
*
(b) A urine collector must meet
training requirements of § 40.33.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(c) An oral fluid collector must meet
the training requirements of § 40.35.
(d) To avoid the appearance of a
conflict of interest, if you are the
immediate supervisor of the employee
being tested, you must not act as the
collector when that employee is tested,
unless no other collector is available
and you are permitted to do so under
DOT agency drug and alcohol
regulations.
*
*
*
*
*
(f) Employees are not permitted to be
their own collector.
(1) An employee who is a qualified
collector is not permitted to be their
own collector; another qualified
collector must perform the collection in
accordance with this part.
(2) To avoid a potential conflict of
interest, a collector must not be related
to the employee being tested (e.g.,
spouse, ex-spouse, relative) or a close
personal friend.
■ 17. Amend § 40.33 by revising the
section heading, introductory text, and
paragraph (f) introductory text to read as
follows:
§ 40.33 What training requirements must a
collector meet for urine collection?
To be permitted to act as a urine
collector in the DOT drug testing
program, you must meet each of the
requirements of this section:
*
*
*
*
*
(f) Error correction training. If you
make a mistake in the collection process
that causes a test to be cancelled (i.e., a
fatal or uncorrected flaw), you must
undergo error correction training. This
training must occur within 30 days of
the date you are notified of the error that
led to the need for retraining. Errors that
cause cancellation but occur outside the
collection process (e.g., when a
specimen is crushed or otherwise
damaged during the transportation
process, or is lost in transit), the
cancellation would not be the result of
an error by the collector during the
collection process and does not require
the collector to be retrained.
*
*
*
*
*
§ 40.35
[Redesignated as § 40.36]
18. Redesignate § 40.35 as § 40.36.
■ 19. Add a new § 40.35 to read as
follows:
■
§ 40.35 What training requirements must a
collector meet for oral fluid collection?
To be permitted to act as an oral fluid
collector in the DOT drug testing
program, you must meet each of the
requirements of this section:
(a) Basic information. You must be
knowledgeable about this part, the
PO 00000
Frm 00044
Fmt 4701
Sfmt 4700
current ‘‘DOT Oral Fluid Specimen
Collection Procedures Guidelines,’’ and
DOT agency regulations applicable to
the employers for whom you perform
collections. DOT agency regulations,
guidelines, and other materials are
available from ODAPC (Department of
Transportation, 1200 New Jersey
Avenue SE, Washington DC, 20590,
202–366–3784, or on the ODAPC
website (https://www.transportation.
gov/odapc). You must keep current on
any changes to these materials. You
must subscribe to the ODAPC list-serve
at: https://www.transportation.gov/
odapc/get-odapc-email-updates.
(b) Qualification training. You must
receive qualification training meeting
the requirements of this paragraph (b).
Qualification training must provide
instruction on the following subjects:
(1) Training on the testing procedures
of this part;
(2) Training to proficiency in the
operation of the particular oral fluid
collection device(s) you will be using.
(3) All steps necessary to complete a
collection correctly and the proper
completion and transmission of the
CCF;
(4) ‘‘Problem’’ collections (e.g.,
situations like ‘‘dry mouth’’ and
attempts to tamper with a specimen);
(5) Fatal flaws, correctable flaws, and
how to correct problems in collections;
and
(6) The collector’s responsibility for
maintaining the integrity of the
collection process, ensuring the privacy
of employees being tested, ensuring the
security of the specimen, and avoiding
conduct or statements that could be
viewed as offensive or inappropriate.
(c) Initial proficiency demonstration.
Following your completion of
qualification training under paragraph
(b) of this section, you must
demonstrate proficiency in collections
under this part by completing five
consecutive error-free mock collections
for each device you will use.
(1) The five mock collections for each
device must include one uneventful
collection scenario, one insufficient
specimen quantity scenario; one
scenario in which the employee has
something in their mouth that might
interfere with the collection; one
scenario in which the employee
attempts to tamper with the specimen;
and one scenario in which the employee
refuses to sign the CCF. For each of the
five mock collections, the collector must
check the expiration date of the device,
show it to the employee, and record the
date on the CCF used. The collector
must ensure, when applying the labels,
they do not cover the expiration dates.
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
(2) Another person must monitor and
evaluate your performance, in person or
by a means that provides real-time
observation and interaction between
you and the qualified collector, who
must attest in writing that the mock
collections are ‘‘error-free.’’ This person
must be a qualified collector who has
demonstrated necessary knowledge,
skills, and abilities by—
(i) Regularly conducting DOT drug
test collections for a period of at least
one year;
(ii) Conducting collector training
under this part for at least one year; or
(iii) Successfully completing a ‘‘train
the trainer’’ course.
(d) Schedule for qualification training
and initial proficiency demonstration.
You must meet the requirements of
paragraphs (b) and (c) of this section
before you begin to perform collector
functions.
(e) Refresher training. No less
frequently than every five years from the
date on which you satisfactorily
complete the requirements of
paragraphs (b) and (c) of this section,
you must complete refresher training
that meets all the requirements of
paragraphs (b) and (c).
(f) Error correction training. If you
make a mistake in the collection process
that causes a test to be cancelled (i.e., a
fatal or uncorrected flaw), you must
undergo error correction training. This
training must occur within 30 days of
the date you are notified of the error that
led to the need for retraining.
(1) Error correction training must be
provided and your proficiency
documented in writing by a person who
meets the requirements of paragraph
(c)(2) of this section.
(2) Error correction training is
required to cover only the subject matter
area(s) in which the error that caused
the test to be cancelled occurred.
(3) As part of the error correction
training, you must demonstrate your
proficiency in the collection procedures
of this part by completing three
consecutive error-free mock collections.
The mock collections must include one
uneventful scenario and two scenarios
related to the area(s) in which your
error(s) occurred. The person providing
the training must monitor and evaluate
your performance and attest in writing
that the mock collections were ‘‘errorfree.’’
(g) Documentation. You must
maintain documentation showing that
you currently meet all requirements of
this section. You must provide this
documentation on request to DOT
agency representatives and to employers
and C/TPAs who are using or
negotiating to use your services.
VerDate Sep<11>2014
20:10 May 01, 2023
Jkt 259001
§ 40.37
[Removed]
20. Remove § 40.37.
21. Revise the heading for subpart D
to read as follows:
■
■
Subpart D—Collection Sites, Forms,
Equipment and Supplies Used in DOT
Urine and Oral Fluid Collections
§ 40.41
■
[Redesignated as § 40.42]
22. Redesignate § 40.41 as § 40.42.
§ 40.45
[Redesignated as § 40.40]
23. Redesignate § 40.45 as § 40.40.
■ 24. Amend newly redesignated
§ 40.40 by:
■ a. Revising the section heading and
paragraphs (a) and (b), (c) introductory
text, and (c)(1) through (4); and
■ b. Removing the words ‘‘social
security number (SSN) or other
employee identification (ID) number’’
and adding in their place ‘‘SSN or
Employee ID No.’’ in paragraph (d).
The revisions read as follows:
■
§ 40.40 What form is used to document a
DOT collection?
(a) The Federal Drug Testing Custody
and Control Form (CCF) must be used
to document every collection required
by the DOT drug testing program. You
may view this form on the Department’s
website (https://www.transportation
.gov/odapc) or the HHS website (https://
www.workplace.samhsa.gov).
(b) You must not use a non-Federal
form or an expired CCF to conduct a
DOT collection. As a laboratory, C/TPA
or other party that provides CCFs to
employers, collection sites, or other
customers, you must not provide copies
of an expired CCF to these participants.
You must also affirmatively notify these
participants that they must not use an
expired CCF.
(c) As a participant in the DOT drug
testing program, you are not permitted
to modify or revise the CCF except as
follows:
(1) You may include, in the area
outside the border of the form, other
information needed for billing or other
purposes necessary to the collection
process.
(2) The CCF must include the names,
addresses, telephone numbers and any
other appropriate contact information
(e.g., an email address of the employer
and the MRO), including the DER’s
name and contact information. All of
this information must be preprinted,
typed, or handwritten. Fax numbers
may be included but are not required.
The MRO information must include the
physician’s name and address, as
opposed to only a generic clinic, health
care organization, company name, or
PO 00000
Frm 00045
Fmt 4701
Sfmt 4700
27639
post office box. This information is
required, and an employer, collector,
service agent or any other party is
prohibited from omitting it. In addition,
a C/TPA’s name, address, telephone and
fax numbers, and any other appropriate
contact information should be included,
but is not required. The employer may
use a C/TPA’s address in place of its
own, but must continue to include its
name, telephone and fax numbers, and
any other appropriate contact
information.
(3) As an employer you may preprint
the box in Step 1–D of the CCF for the
DOT agency under whose authority the
test will occur.
(4) As a collector, you may use a CCF
with your name, address, telephone
number, and fax number preprinted, but
under no circumstances may you sign
the form before the collection event. If
a collection takes place at a clinic, the
actual address of the clinic should be
used, not a corporate address of the
collection company. If the collection
takes place onsite at the employer, the
employer’s address must be noted as the
collection site address. If the collection
takes place in a ‘‘mobile unit’’ or at an
accident site, the collector must enter
the actual location address of the
collection or as near an approximation
as possible. The collector must ensure
that the required collector telephone
number is the number that the
laboratory, MRO, or employer may use
to directly contact the individual
collector and/or the collector’s
supervisor during the collection site’s
business hours. The collector must not
provide a number for a call center.
*
*
*
*
*
§ 40.47
■
[Redesignated as § 40.41]
25. Redesignate § 40.47 as § 40.41.
§ 40.41
[Amended]
26. Amend newly redesignated
§ 40.41 in paragraph (a) by removing the
word ‘‘urine’’ wherever it appears.
■
27. Amend § 40.43 by revising the
section heading to read as follows:
■
§ 40.43 What steps must operators of
collection sites and collectors take to
protect the security and integrity of urine
collections?
*
*
§ 40.49
■
*
*
[Redesignated as § 40.44]
28. Redesignate § 40.49 as § 40.44.
§ 40.51
■
*
[Redesignated as § 40.45]
29. Redesignate § 40.51 as § 40.45.
E:\FR\FM\02MYR2.SGM
02MYR2
27640
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
30. Add §§ 40.47, 40.48, 40.49, and
40.51 to subpart D to read as follows:
*
*
*
*
*
■
Sec.
40.47 Where does an oral fluid collection
for a DOT drug test take place?
40.48 What steps must operators of
collection sites and collectors take to
protect the security and integrity of oral
fluid collections?
40.49 What materials are used to collect
oral fluid specimens?
40.51 What materials are used to send oral
fluid specimens to the laboratory?
*
*
*
*
*
§ 40.47 Where does an oral fluid collection
for a DOT drug test take place?
(a) An oral fluid collection for a DOT
drug test must take place in a collection
site meeting the requirements of this
section.
(b) If you are operating an oral fluid
collection site:
(1) You must ensure that it meets the
security requirements of § 40.48;
(2) The site may be a permanent or
temporary facility located either at the
work site or at a remote site;
(3) The site may be in a medical
facility, a mobile facility (e.g., a van), a
dedicated collection facility, or any
other location meeting the requirements
of this section; and
(4) You must have all necessary
personnel, materials, equipment, and
facilities that include privacy and
supervision to provide for the
collection, temporary storage, and
shipping of specimens to a laboratory,
and a suitable clean surface for writing.
(c) If a collection site is not accessible
and there is an immediate requirement
to collect an oral fluid specimen (e.g., an
accident investigation), another site may
be used for the collection, if the
collection is performed by a collector
who has been trained to collect oral
fluid specimens in accordance with this
part and the manufacturer’s procedures
for the collection device.
ddrumheller on DSK120RN23PROD with RULES2
§ 40.48 What steps must operators of
collection sites and collectors take to
protect the security and integrity of oral
fluid collections?
(a) Collectors and operators of
collection sites must take the steps
listed in this section to prevent
unauthorized access that could
compromise the integrity of collections.
(b) As a collector, you must do the
following before each collection to deter
tampering with specimens:
(1) Ensure that access to collection
materials and specimens is effectively
restricted;
(2) Ensure that undetected access
(e.g., through a door not in your view)
is not possible; and
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(3) Ensure the security of the facility
during the collection process to
maintain privacy to the employee and
prevent distraction of the collector.
Limited-access signs must be posted.
(c) As a collector, you must take the
following additional steps to ensure
security during the collection process:
(1) To avoid distraction that could
compromise security, you are limited to
conducting a collection for only one
employee at a time. However, during the
time one employee is in the period for
drinking fluids in a ‘‘dry mouth’’
situation (see § 40.72(b)(1)), you may
conduct a collection for another
employee as long as the employee with
‘‘dry mouth’’ remains supervised.
(2) To the greatest extent practicable,
keep an employee’s collection container
within view of both you and the
employee between the time the
employee has provided the oral fluid
specimen and the specimen is sealed.
(3) Ensure you are the only person in
addition to the employee who handles
the specimen before it is sealed with
tamper-evident seals.
(4) In the time between when the
employee gives you the specimen and
when you seal the specimen, remain
within the collection site.
(5) Maintain personal control over
each specimen and CCF throughout the
collection process.
(d) If you are operating a collection
site, you must implement a policy and
procedures to prevent unauthorized
personnel from entering any part of the
site in which oral fluid specimens are
collected or stored.
(1) Only employees being tested,
collectors and other collection site
workers, DERs, employee and employer
representatives authorized by the
employer (e.g., employer policy,
collective bargaining agreement), and
DOT agency representatives are
authorized persons for purposes of this
paragraph (d).
(2) You must ensure that all
authorized persons are under the
supervision of a collector at all times
when permitted into the site.
(3) You or the collector may remove
any person who obstructs, interferes
with, or causes a delay in the collection
process.
(e) If you are operating a collection
site, you must minimize the number of
persons handling specimens.
§ 40.49 What materials are used to collect
oral fluid specimens?
For each DOT drug test, you must use
a collection device meeting the
requirements of appendix B of this part.
PO 00000
Frm 00046
Fmt 4701
Sfmt 4700
§ 40.51 What materials are used to send
oral fluid specimens to the laboratory?
(a) Except as provided in paragraph
(b) of this section, you must use a
shipping container that adequately
protects the specimen bottles from
damage in the transport of specimens
from the collection site to the
laboratory.
(b) You are not required to use a
shipping container if a laboratory
courier hand-delivers the specimens
from the collection site to the
laboratory.
■ 31. Revise the heading for subpart E
to read as follows:
Subpart E—Specimen Collections
32. Amend § 40.61 by revising the
section heading and paragraphs (a),
(b)(1) introductory text, (b)(3) and (4),
(e), and (f)(5)(i) to read as follows:
■
§ 40.61 What are the preliminary steps in
the drug testing collection process?
*
*
*
*
*
(a) When a specific time for an
employee’s test has been scheduled, or
the collection site is at the employee’s
work site, and the employee does not
appear at the collection site at the
scheduled time, contact the DER to
determine the appropriate interval
within which the DER has determined
the employee is authorized to arrive. If
the employee’s arrival is delayed
beyond that time, you must notify the
DER that the employee has not reported
for testing, the DER must determine
whether the employee has refused to
test (see §§ 40.191(a)(1) and 40.355(i)).
In a situation where a C/TPA has
notified an owner/operator or other
individual employee to report for testing
(other than for a pre-employment test)
and the employee does not appear, the
C/TPA must determine whether the
employee has refused to test (see
§§ 40.191(a)(1) and 40.355(j)).
(b) * * *
(1) If the employee is also going to
take a DOT alcohol test, you must
ensure, to the greatest extent
practicable, that the alcohol test is
completed before the drug testing
collection process begins.
*
*
*
*
*
(3) You must not collect a specimen
from an unconscious employee to
conduct a drug test under this part.
(4) You must not catheterize a
conscious employee for purposes of a
urine test. However, you must inform an
employee who normally voids through
self-catheterization that the employee is
required to provide a specimen in that
manner. If an employee normally voids
through self-catheterization, but
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
declines to do so for the urine test, the
collector should notify the DER of the
circumstances, so that the actual
employer can determine whether the
situation constitutes a refusal to test by
the employee.
*
*
*
*
*
(e) Explain the basic collection
procedure to the employee, and notify
the employee that instructions for
completing the CCF can be found at the
HHS (https://www.samhsa.gov/
workplace) and DOT (https://
www.transportation.gov/odapc)
websites.
(f) * * *
(5) * * *
(i) Determine if the material appears
to be brought to the collection site with
the intent to alter the specimen, and, if
it is, either conduct a directly observed
urine collection using direct observation
procedures (see § 40.67) or an oral fluid
specimen collection, make a note on the
CCF and continue with collection
process; or
*
*
*
*
*
■ 33. Amend § 40.63 by revising
paragraph (a) to read as follows:
§ 40.63 What steps does the collector take
in the collection process before the
employee provides a urine specimen?
*
*
*
*
*
(a) Ensure all items under Step 1 of
the CCF are complete and accurate (e.g.,
if Step 1.D is not checked, put a check
mark for the ‘‘Specify DOT Agency’’
under the authority of which the test
will take place; if the address where the
collection is actually taking place is not
in Step 1.G, update that.)
*
*
*
*
*
■ 34. Amend § 40.65 by revising the
section heading and paragraphs (b)(5)
and (6), and (c)(1) to read as follows:
§ 40.65 What does the collector check for
when the employee presents a urine
specimen?
ddrumheller on DSK120RN23PROD with RULES2
*
*
*
*
*
(b) * * *
(5) If the specimen temperature is
outside the acceptable range, you must
immediately conduct a new urine
collection using direct observation
procedures (see § 40.67) or an oral fluid
collection.
(6) In a case where a specimen is
collected under direct observation
because of the temperature being out of
range, you must process both the
original specimen and the specimen
collected using direct observation
(including oral fluid) and send the two
sets of specimens to their respective
laboratories. This is true even in a case
in which the original specimen has
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
insufficient volume and the temperature
is out of range. You must also, as soon
as possible, inform the DER and
collection site supervisor that a
collection took place under direct
observation and the reason for doing so.
*
*
*
*
*
(c) * * *
(1) If it is apparent from this
inspection that the employee has
tampered with the specimen (e.g., blue
dye in the specimen, excessive foaming
when shaken, or smell of bleach), you
must immediately conduct a new urine
collection using direct observation
procedures (see § 40.67) or an oral fluid
collection.
*
*
*
*
*
■ 35. Amend § 40.67 by:
■ a. Revising the section heading and
paragraph (a) introductory text;
■ b. Adding paragraph (a)(4);
■ c. Removing ‘‘paragraphs (a) and (b)’’
and adding ‘‘paragraph (a)’’ in its place
in paragraph (c)(1);
■ d. Revising paragraphs (c)(3) and (4);
■ e. Adding paragraph (c)(5);
■ f. Revising paragraph (d)(2);
■ f. Removing ‘‘§ 40.67(b)’’ and adding
in its place ‘‘paragraphs (c)(2) through
(4) of this section’’ in paragraph (e)(2);
and
■ g. Revising paragraph (g).
The revisions and additions read as
follows:
§ 40.67 When and how is a directly
observed urine collection conducted?
(a) As an employer, you must direct
an immediate collection under direct
observation with no advance notice to
the employee, if:
*
*
*
*
*
(4) You realize a collection under
direct observation was required but was
not conducted or the service agent
informs you that a direct observation
should have been collected but was not
(see paragraph (n) of this section).
(c) * * *
(3) The temperature on the original
specimen was out of range (see
§ 40.65(b)(5));
(4) The original specimen appeared to
have been tampered with (see
§ 40.65(c)(1)); or
(5) The test reason is return-to-duty or
follow-up.
(d) * * *
(2) As the collector, you must explain
to the employee the reason, if known,
under this part for a directly observed
collection.
*
*
*
*
*
(g) As the collector, you must ensure
that the observer is the same gender as
the employee.
PO 00000
Frm 00047
Fmt 4701
Sfmt 4700
27641
(1) You must never permit an
opposite gender person to act as the
observer.
(2) The observer can be a different
person from the collector and need not
be a qualified collector.
(3) If a same gender collector cannot
be found or in circumstances of
nonbinary or transgender employees:
(i) If the employer has a standing
order to allow oral fluid testing in such
situations, the collector will follow that
order;
(ii) If there is no standing order from
the employer, the collector must contact
the DER and either conduct an oral fluid
test if the collection site is able to do so,
or send the employee to a collection site
acceptable to the employer for the oral
fluid test.
*
*
*
*
*
■ 36. Amend § 40.69 by:
■ a. Revising the section heading;
■ b. Redesignating paragraphs (a)
through (g) as paragraphs (b) through
(h);
■ c. Adding new paragraph (a); and
■ d. Revising newly redesignated
paragraph (e).
The revisions and addition read as
follows:
§ 40.69 How is a monitored urine
collection conducted?
(a) As stated in § 40.42(f)(2), if you are
conducting a urine collection in a multistall restroom and you cannot secure all
sources of water and other substances
that could be used for adulteration and
substitution, you must conduct a
monitored collection. This is the only
circumstance in which you must
conduct a monitored collection.
*
*
*
*
*
(e) As the monitor, you must not
watch the employee urinate into the
collection container. If you hear sounds
or make other observations indicating
an attempt to tamper with a specimen,
there must be an additional collection
under direct observation. See
§§ 40.63(e), 40.65(c), and 40.67(c)(2)(3)).
*
*
*
*
*
■ 37. Amend § 40.71 by revising the
section heading and paragraph (b)(1) to
read as follows:
§ 40.71 How does the collector prepare the
urine specimen?
*
*
*
*
*
(b) * * *
(1) After the collection, check the box
on the CCF (Step 2) indicating that this
was a ‘‘Urine’’ and ‘‘Split’’ specimen
collection.
*
*
*
*
*
§ 40.73
■
[Redesignated as § 40.79]
38. Redesignate § 40.73 as § 40.79.
E:\FR\FM\02MYR2.SGM
02MYR2
27642
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
39. Add new §§ 40.72 through 40.74
to read as follows:
*
*
*
*
*
■
Sec.
40.72 What steps does the collector take in
the collection process before the
employee provides an oral fluid
specimen?
40.73 How is an oral fluid specimen
collected?
40.74 How does the collector prepare the
oral fluid specimens?
*
*
*
*
*
ddrumheller on DSK120RN23PROD with RULES2
§ 40.72 What steps does the collector take
in the collection process before the
employee provides an oral fluid specimen?
(a) The collector requests that the
employee open the employee’s mouth,
and the collector inspects the oral cavity
to ensure that it is free of any items that
could impede or interfere with the
collection of an oral fluid specimen
(e.g., candy, gum, food, or tobacco) or
could be used to adulterate, substitute,
or alter the specimen.
(1) If the collector finds indication(s)
of anything identified above, the
collector will ask the employee to lift
their tongue and/or separate their cheek
from their gum to permit full inspection.
If this occurs, the employee may cleanse
his or her hands, but must not decline
the collector’s request for further
inspection.
(2) If the employee claims that he or
she has a medical condition that
prevents opening his or her mouth for
inspection, the collector follows the
procedure described in § 40.193(a).
(3) If the collector observes materials
brought to the collection site or the
employee’s conduct clearly indicates an
attempt to adulterate, substitute, or alter
the specimen, the collector must
terminate the collection, note the
circumstances in the Remarks section of
the CCF, and report the circumstances
to the DER, so that the employer can
decide whether to deem the situation a
refusal in accordance with § 40.191(a).
(b) If an item is present that might
impede or interfere with the collection
of an oral fluid specimen, the collector
must request the employee remove the
item.
(1) If the employee removes any item
that could impede or interfere with the
collection of an oral fluid specimen, the
employee has abnormally colored
saliva, or the employee claims to have
‘‘dry mouth,’’ then the collector must
give the employee water, up to 8
ounces, to rinse their mouth. The
employee may drink the water. The
collector must then wait 10 minutes
before beginning the specimen
collection.
(2) If the employee refuses to remove
the item or rinse, the collector must
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
terminate the collection, note the
circumstances in the Remarks section of
the CCF, and report the information to
the DER to test as described in
§ 40.191(a)(8) (failure to cooperate), so
that the employer can decide whether to
deem the situation a refusal.
(c) If there is nothing of concern in the
oral cavity and no ‘‘dry mouth’’
condition, the collector starts a 10minute wait period and proceeds with
the steps below before beginning the
specimen collection as described in
§ 40.73.
(d) During the 10-minute wait period:
(1) Review with the employee the
procedures required for a successful oral
fluid specimen collection as stated in
the manufacturer’s instructions for the
specimen collection device.
(2) Complete all items under Step 1 of
the CCF, and for clarification:
(i) In Step 1.D of the CCF, the
collector must put a check mark for the
‘‘Specify DOT Agency’’ under whose
authority the test will take place.
(ii) In Step 1.G of the CCF for the
‘‘Collection Site Address’’, the collector
must provide the address where the
collection took place.
(3) The collector will provide, or the
employee may select, a specimen
collection device that is clean, unused,
and wrapped/sealed in original
packaging.
(i) The collector will check the
expiration date on the device or the
package containing the device and show
it to the employee.
(ii) The collector must not use the
device after its expiration date.
(iii) The collector must open the
specimen collection device in view of
the employee.
(4) The collector will complete Step 2
of the CCF.
(i) Check ‘‘Oral Fluid’’,
(ii) For ‘‘Oral Fluid: Split Type’’ check
‘‘Subdivided’’, and
(iii) Check ‘‘Each Device Within
Expiration Date?’’ after ensuring the
device is within its expiration date.
(5) The collector will enter the Split
Specimen Device Expiration Date in
Step 4 of the CCF. Since the collector
will use one oral fluid device that will
collect a single specimen, which is then
subdivided in the presence of the donor,
only one entry in Step 4 is to be made
for the device expiration date.
(6) The collector must instruct the
employee to use hand sanitizer or wash
and dry his or her hands.
(e) To the greatest extent practicable,
the collector must keep the employee’s
unwrapped collection device within
view of both the collector and the
employee, between the time the
employee has provided a specimen and
the specimen is sealed.
PO 00000
Frm 00048
Fmt 4701
Sfmt 4700
§ 40.73 How is an oral fluid specimen
collected?
(a) The collector must be present and
maintain visual contact with the
employee during the procedures
outlined in this section.
(b) The collector must note any
unusual behavior or appearance of the
employee on the CCF. If the collector
detects any conduct that clearly
indicates an attempt to tamper with a
specimen (e.g., an attempt to bring into
the collection site an adulterant or oral
fluid substitute), the collector must
terminate the collection and report the
information to the DER so that the
employer can decide whether to deem
the situation a refusal.
(c) The employee and collector must
complete the specimen collection in
accordance with the manufacturer’s
instructions for the collection device.
(1) Under the observation of the
collector, the employee is responsible
for positioning the specimen collection
device for collection.
(2) The collector must ensure the
collection is performed correctly (i.e.,
using the oral fluid device in the
manner described by its manufacturer),
that the collection device is working
properly, and that a sufficient specimen
volume is collected.
(3) If the employee states that he or
she is unable to provide an oral fluid
specimen or provides an insufficient
specimen during the collection process,
the collector must continue to make one
attempt to collect, after an insufficient
specimen, the collector follows the
procedure in § 40.193.
(4) The collector must inspect the
specimen for unusual color, presence of
foreign objects or material, or other
signs of tampering. If it is apparent from
this inspection that the employee has
tampered with the specimen, the
collector must conduct a new collection.
(i) Document any unusual
characteristics referenced above in the
Remarks section of the CCF.
(ii) Proceed with obtaining the new
oral fluid specimen from the donor.
Note on the new CCF that this is another
collection for the same testing event
(i.e., Document in the remarks section
that this is Specimen 2 of 2 and include
the Specimen ID number of the other
specimen). Make the same notation on
the CCF of the suspect specimen.
§ 40.74 How does the collector prepare the
oral fluid specimens?
(a) The collector follows the
manufacturer’s instructions to package
the split specimen collections.
(b) A volume of at least 1 mL of
undiluted (neat) oral fluid is collected
for the specimen designated as ‘‘Bottle
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
A’’, and a volume of at least 1 mL of
undiluted (neat) oral fluid is collected
for the specimen designated as ‘‘Bottle
B’’, or an otherwise sufficient amount of
oral fluid is collected to permit an HHScertified laboratory to analyze the
specimen(s).
(c) In the presence of the employee,
the collector places a tamper-evident
seal from the CCF over the cap of each
specimen container, taking care not to
obstruct the expiration date on the
collection containers. The collector
must record the date of the collection on
the tamper-evident seals, after they are
affixed to the specimen containers.
(d) The collector instructs the
employee to initial the tamper-evident
seals on each specimen container. If the
employee declines to do so, the
collector must note this in the
‘‘Remarks’’ line of the CCF (Step 2) and
complete the collection process.
§§ 40.75–40.78
[Reserved]
40. Add reserved §§ 40.75 through
40.78 to subpart E.
■ 41. Amend newly redesignated
§ 40.79 by revising paragraph (a)(1) to
read as follows:
■
d. Adding the word ‘‘urine’’ before the
word ‘‘specimen’’ in paragraph (f)
introductory text;
■ e. Removing ‘‘40.45(a)’’ and adding in
its place ‘‘40.40(a)’’ in paragraph (g)
introductory text;
■ f. Removing the word ‘‘urine’’ and
adding in its place the word ‘‘specimen’’
in paragraphs (h)(1)(i), (iii), and (iv); and
■ g. Removing ‘‘(g)(1)’’ and adding in its
place ‘‘(h)(1)’’ in paragraph (h)(2).
*
*
*
*
*
(c) * * *
(8) For an oral fluid collection, the
collector used an expired device at the
time of collection.
(9) For an oral fluid collection, if the
collector failed to enter the expiration
date in Step 4 of the CCF and the
laboratory is unable to determine the
expiration date by inspecting Bottles A
and B.
*
*
*
*
*
§ 40.85
■
■
§ 40.81
[Amended]
42. Amend § 40.81 in paragraph (a) by
removing the words ‘‘all testing’’ and
adding in their place the words ‘‘each
specimen testing methodology
performed’’.
■ 43. Amend § 40.83 by:
■ a. Removing the word ‘‘urine’’ in
paragraph (b);
■ b. Removing the word ‘‘urine’’ and
adding in its place the word ‘‘specimen’’
in paragraph (c)(7);
■ c. Adding paragraphs (c)(8) and (9);
ddrumheller on DSK120RN23PROD with RULES2
■
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
[Redesignated as § 40.84]
45. Redesignate § 40.99 as § 40.84.
§ 40.87
(a) * * *
(1) Direct the employee to read and
sign the certification statement on Copy
2 of the CCF and provide all information
required in Step 5. If the employee
declines to sign the CCF or to provide
any of the required information, you
must note this in the ‘‘Remarks’’ line
(Step 2) of the CCF and complete the
collection. If the employee declines to
fill out any information, you must, as a
minimum, print the employee’s name in
the appropriate place.
*
*
*
*
*
[Redesignated as § 40.82]
44. Redesignate § 40.85 as § 40.82.
§ 40.99
§ 40.79 How is the collection process
completed?
The revision reads as follows:
■
§ 40.83 How do laboratories process
incoming specimens?
[Redesignated as § 40.85]
46. Redesignate § 40.87 as § 40.85.
47. Amend newly redesignated
§ 40.85 by revising the section heading
and footnote 2 to read as follows:
■
■
§ 40.85 What are the cutoff concentrations
for urine drug tests?
*
*
*
*
*
immunoassay must be calibrated with
a target analyte.
*
§ 40.89
*
*
§ 40.87 What validity tests must
laboratories conduct on primary urine
specimens?
*
*
§ 40.93
■
*
*
*
[Redesignated as § 40.88]
52. Redesignate § 40.93 as § 40.88.
53. Amend newly redesignated
§ 40.88 by revising the section heading
to read as follows:
■
§ 40.88 What criteria do laboratories use to
establish that a urine specimen is dilute or
substituted?
*
*
§ 40.95
■
*
*
*
[Redesignated § 40.89]
54. Redesignate § 40.95 as § 40.89.
55. Amend newly redesignated
§ 40.89 by revising the section heading
to read as follows:
■
§ 40.89 What are the adulterant cutoff
concentrations for initial and confirmation
urine tests?
*
*
§ 40.96
*
*
*
[Redesignated as § 40.90]
56. Redesignate existing § 40.96 as
§ 40.90.
■
57. Amend newly redesignated
§ 40.90 by revising the section heading
to read as follows:
■
§ 40.90 What criteria do laboratories use to
establish that a urine specimen is invalid?
*
*
*
*
*
58. Add new §§ 40.91 through 40.93
to read as follows:
*
*
*
*
*
■
2 An
*
27643
*
[Redesignated as § 40.86]
48. Redesignate § 40.89 as § 40.86.
■ 49. Amend newly redesignated
§ 40.86 by revising the section heading
to read as follows:
■
Sec.
40.91 What are the cutoff concentrations for
oral fluid drug tests?
40.92 What is oral fluid validity testing, and
are laboratories required to conduct it?
40.93 What validity tests must laboratories
conduct on primary oral fluid
specimens?
§ 40.86 What is urine validity testing, and
are laboratories required to conduct it?
*
*
§ 40.91 What are the cutoff concentrations
for oral fluid drug tests?
*
§ 40.91
*
*
*
[Redesignated as § 40.87]
50. Redesignate § 40.91 as § 40.87.
■ 51. Amend newly redesignated
§ 40.87 by revising the section heading,
and in the introductory text, removing
‘‘§ 40.89’’ and adding in its place
‘‘§ 40.86’’.
■
PO 00000
Frm 00049
Fmt 4701
Sfmt 4700
*
*
*
*
As a laboratory, you must use the
cutoff concentrations displayed in the
following table for initial and
confirmatory drug tests for oral fluid
specimens. All cutoff concentrations are
expressed in nanograms per milliliter
(ng/mL). The table follows:
E:\FR\FM\02MYR2.SGM
02MYR2
27644
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
TABLE 1 TO § 40.91—ORAL FLUID TESTING CUTOFF CONCENTRATIONS
Initial test analyte
Initial test
cutoff 1
Confirmatory test analyte
Marijuana (THC) 2 ......................................................
Cocaine/Benzoylecgonine .........................................
4 ng/mL 3 ..........
15 ng/mL ..........
Codeine/Morphine ......................................................
30 ng/mL ..........
Hydrocodone/Hydromorphone ...................................
30 ng/mL ..........
Oxycodone/Oxymorphone .........................................
30 ng/mL ..........
6-Acetylmorphine .......................................................
Phencyclidine .............................................................
Amphetamine/Methamphetamine ..............................
4 ng/mL 3 ..........
10 ng/mL ..........
50 ng/mL ..........
MDMA 4/MDA 5 ...........................................................
50 ng/mL ..........
THC ...........................................................................
Cocaine .....................................................................
Benzoylecgonine .......................................................
Codeine .....................................................................
Morphine ....................................................................
Hydrocodone .............................................................
Hydromorphone .........................................................
Oxycodone ................................................................
Oxymorphone ............................................................
6-Acetylmorphine .......................................................
Phencyclidine ............................................................
Amphetamine ............................................................
Methamphetamine .....................................................
MDMA ........................................................................
MDA ...........................................................................
Confirmatory
test cutoff
concentration
2 ng/mL.
8 ng/mL.
8 ng/mL.
15 ng/mL.
15 ng/mL.
15 ng/mL.
15 ng/mL.
15 ng/mL.
15 ng/mL.
2 ng/mL.
10 ng/mL.
25 ng/mL.
25 ng/mL.
25 ng/mL.
25 ng/mL.
1 For
grouped analytes (i.e., two or more analytes that are in the same drug class and have the same initial test cutoff):
Immunoassay: The test must be calibrated with one analyte from the group identified as the target analyte. The cross reactivity of the
immunoassay to the other analyte(s) within the group must be 80 percent or greater; if not, separate immunoassays must be used for the
analytes within the group.
Alternate technology: Either one analyte or all analytes from the group must be used for calibration, depending on the technology. At least one
analyte within the group must have a concentration equal to or greater than the initial test cutoff or, alternatively, the sum of the analytes present
(i.e., with concentrations equal to or greater than the laboratory’s validated limit of quantification) must be equal to or greater than the initial test
cutoff.
2 An immunoassay must be calibrated with the target analyte.
3 Alternate technology (THC and 6-AM): The confirmatory test cutoff must be used for an alternate technology initial test that is specific for the
target analyte (i.e., 2 ng/mL for THC, 2 ng/mL for 6-AM).
4 Methylenedioxymethamphetamine (MDMA).
5 Methylenedioxyamphetamine (MDA).
ddrumheller on DSK120RN23PROD with RULES2
§ 40.92 What is oral fluid validity testing,
and are laboratories required to conduct it?
(a) Specimen validity testing is the
evaluation of the specimen to determine
if it is consistent with normal human
oral fluid. The purpose of validity
testing is to determine whether certain
adulterants or foreign substances were
added to the oral fluid, if the oral fluid
was altered.
(b) If a specimen exhibits abnormal
characteristics (e.g., unusual odor or
color), causes reactions or responses
characteristic of an adulterant during
initial or confirmatory drug tests (e.g.,
non-recovery of internal standard,
unusual response), or contains an
unidentified substance that interferes
with the confirmatory analysis, then you
may conduct validity testing.
(c) If you determine that the specimen
is invalid and HHS guidelines direct
you to contact the MRO, you must
contact the MRO and together decide if
testing the primary specimen by another
HHS-certified laboratory would be
useful in being able to report a positive
or adulterated test result.
§ 40.93 What validity tests must
laboratories conduct on primary oral fluid
specimens?
As a laboratory, if you conduct
validity testing under § 40.92, you must
conduct it in accordance with the
requirements of this section.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(a) You may test for a biomarker such
as albumin or immunoglobulin G (IgG)
or a test for a specific adulterant.
(b) You must follow the applicable
HHS requirements for any additional
validity testing.
■ 59. Revise § 40.97 to read as follows:
§ 40.97 What do laboratories report and
how do they report it?
(a) As a laboratory, when reporting a
result of any kind, you must report the
specimen type.
(b) You must also report the results
for each primary specimen, which will
fall into one of the following three
categories. As a laboratory, you must
report the actual results (and not the
categories):
(1) Category 1: Negative results. As a
laboratory, when you find a specimen to
be negative, you must report the test
result as being one of the following, as
applicable:
(i) Negative, or
(ii) For urine only, negative-dilute,
with numerical values for creatinine
and specific gravity.
(2) Category 2: Non-negative results.
As a laboratory, when you find a
specimen to be non-negative, you must
report the test result as being one or
more of the following, as applicable:
(i) Positive, with drug(s)/metabolite(s)
noted, with numerical values for the
drug(s) or drug metabolite(s).
PO 00000
Frm 00050
Fmt 4701
Sfmt 4700
(ii) Adulterated, with adulterant(s)
noted, with confirmatory test values
(when applicable), and with remarks(s);
(iii) For urine only, positive-dilute,
with drug(s)/metabolite(s) noted, with
numerical values for the drug(s) or drug
metabolite(s) and with numerical values
for creatinine and specific gravity;
(iv) For urine only, substituted, with
confirmatory test values for creatinine
and specific gravity; or
(v) For urine only, invalid result, with
remark(s). Laboratories will report
actual values for pH results.
(vi) For oral fluid only, invalid result,
with remark(s). Laboratories must report
numerical values of the specimen
validity test results that support a
specimen reported as invalid.
(3) Category 3: Rejected for testing. As
a laboratory, when you reject a
specimen for testing, you must report
the result as being Rejected for Testing,
with remark(s).
(c) As a laboratory, you must report
laboratory results directly, and only, to
the MRO at his or her place of business.
You must not report results to or
through the DER or a service agent (e.g.,
a C/TPA).
(1) Negative results: You must fax,
courier, mail, or electronically transmit
a legible image or copy of the fully
completed Copy 1 of the CCF which has
been signed by the certifying scientist,
or you may provide the laboratory
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
results report electronically (i.e.,
computer data file).
(i) If you elect to provide the
laboratory results report, you must
include the following elements, as a
minimum, in the report format:
(A) Laboratory name and address;
(B) Employer’s name (you may
include I.D. or account number);
(C) Medical review officer’s name;
(D) Specimen I.D. number;
(E) SSN or Employee ID from Step 1C
of the CCF, if provided;
(F) Reason for test, if provided;
(G) Collector’s name and telephone
number;
(H) Date of the collection;
(I) For oral fluid only, collection
device expiration date;
(J) Date received at the laboratory;
(K) Date certifying scientist released
the results;
(L) Certifying scientist’s name;
(M) Results (e.g., positive,
adulterated) as listed in paragraph (a) of
this section; and
(N) Remarks section, with an
explanation of any situation in which a
correctable flaw has been corrected.
(ii) You may release the laboratory
results report only after review and
approval by the certifying scientist. It
must reflect the same test result
information as contained on the CCF
signed by the certifying scientist. The
information contained in the laboratory
results report must not contain
information that does not appear on the
CCF.
(iii) The results report may be
transmitted through any means that
ensures accuracy and confidentiality.
You, as the laboratory, together with the
MRO, must ensure that the information
is adequately protected from
unauthorized access or release, both
during transmission and in storage (e.g.,
see § 40.351).
(2) Non-negative and Rejected for
Testing results: You must fax, courier,
mail, or electronically transmit a legible
image or copy of the fully completed
Copy 1 of the CCF that has been signed
by the certifying scientist. In addition,
you may provide the electronic
laboratory results report following the
format and procedures set forth in
paragraphs (b)(1)(i) and (ii) of this
section.
(d) In transmitting laboratory results
to the MRO, you, as the laboratory,
together with the MRO, must ensure
that the information is adequately
protected from unauthorized access or
release, both during transmission and in
storage. If the results are provided by fax
or other electronic means, the electronic
communication must be accessible only
to authorized individuals.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(e) You must transmit test results to
the MRO in a timely manner, preferably
the same day that review by the
certifying scientist is completed.
(f)(1) You must provide quantitative
values for confirmed positive drug test
results to the MRO.
(2) You must provide numerical
values that support the adulterated
(when applicable) or substituted result,
without a request from the MRO.
(3) You must also provide the MRO
numerical values for creatinine and
specific gravity for the negative-dilute
urine test result, without a request from
the MRO.
(g) You must provide quantitative
values for confirmed positive morphine
and/or codeine urine results at or below
15,000 ng/mL, and for confirmed
positive morphine or codeine oral fluid
results at or below 150 ng/mL.
■ 60. Amend § 40.111 by revising
paragraphs (a) introductory text and (d)
to read as follows:
§ 40.111 When and how must a laboratory
disclose statistical summaries and other
information it maintains?
(a) As a laboratory, you must transmit
an aggregate statistical summary, by
employer, of the data listed in appendix
D of this part with respect to each
specimen type for which you conduct
tests to the employer on a semi-annual
basis.
*
*
*
*
*
(d) As a laboratory, you must transmit
an aggregate statistical summary listed
in appendix E of this part for each
specimen type for which you conduct
testing to DOT on a semi-annual basis.
The summary must be sent by January
31 of each year for July 1 through
December 31 of the prior year. It must
be sent by July 31 of each year for
January 1 through June 30 of the current
year. If you withdraw or are removed
from NLCP’s laboratory certification
during a reporting period, you must
provide the aggregate statistical
summary to the DOT-regulated
employers and to ODAPC for the last
reporting period in which you
conducted DOT-regulated testing.
§ 40.121
[Amended]
61. Amend § 40.121 in paragraph
(c)(1)(i) by removing the word ‘‘urine’’.
■
§ 40.123
[Amended]
62. Amend § 40.123 in paragraph (c)
by removing the words ‘‘invalid drug
tests results’’ and adding in their place
‘‘invalid results’’.
■
§ 40.127
[Amended]
63. Amend § 40.127 in the second
sentence of paragraph (g)(2) by adding
■
PO 00000
Frm 00051
Fmt 4701
Sfmt 4700
27645
the words ‘‘of all specimen types
combined’’ before the words ‘‘in any
quarter’’.
§ 40.129
[Amended]
64. Amend § 40.129 in paragraph (a)
introductory text by removing the words
‘‘invalid drug tests’’ and adding in their
place ‘‘invalid results’’, in paragraph (b)
by removing the words ‘‘text cancelled’’,
and in paragraph (d) by removing ‘‘drug
test report’’ and adding ‘‘result’’ in its
place.
■
§ 40.135
[Amended]
65. Amend § 40.135 in paragraph (d)
introductory text by removing the word
‘‘test’’ after the word ‘‘invalid’’ and
adding in its place the word ‘‘result’’.
■ 66. Amend § 40.139 by revising
paragraph (b) and in paragraph (c)
introductory text by removing the word
‘‘urine’’.
The revision reads as follows:
■
§ 40. 139 On what basis does the MRO
verify text results involving 6acetylmorphine, codeine, and morphine?
*
*
*
*
*
(b) In the absence of 6–AM, if the
laboratory confirms the presence of
either morphine or codeine equal to or
above 15,000 ng/mL (in urine) or equal
to or above 150 ng/mL (in oral fluid),
you must verify the test result as
positive, unless the employee presents a
legitimate medical explanation for the
presence of the drug or drug metabolite
in his or her system, as in the case of
other drugs (see § 40.137). Consumption
of food products (e.g., poppy seeds)
must not be considered a legitimate
medical explanation for the employee
having morphine or codeine at these
concentrations.
*
*
*
*
*
■ 67. Amend § 40.141 by revising
paragraph (b) to read as follows:
§ 40.141 How does the MRO obtain
information for the verification decision?
*
*
*
*
*
(b) If the employee asserts that the
presence of a drug or drug metabolite in
his or her specimen results from taking
prescription medication (i.e., a legally
valid prescription consistent with the
Controlled Substances Act), you must
review and take all reasonable and
necessary steps to verify the
authenticity of all medical records the
employee provides.
(1) You may contact the employee’s
physician or other relevant medical
personnel for further information.
(i) If you decide to contact the
employee’s pharmacy to authenticate
whether the prescription offered by the
employee was filled by the pharmacy,
E:\FR\FM\02MYR2.SGM
02MYR2
27646
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
you or staff under your operational
control can contact the pharmacy.
(ii) If you utilize staff to perform the
inquiry in paragraph (b)(1)(i) of this
section, you must ensure operational
control over the hiring, firing,
evaluation of the staff and you must
oversee the performance of the function
of contacting a pharmacy to authenticate
specific prescription(s) (e.g., outline or
script what the staff will ask the
pharmacy; occasionally monitor calls to
assure quality control; or other methods
to ensure the staff are properly
conducting the calls with the
pharmacies).
(2) You may request an HHS-certified
laboratory with validated protocols (see
§ 40.81(c)) to conduct testing for D,L
stereoisomers of amphetamine and
methamphetamine or testing for
tetrahydrocannabivarin (THC–V) when
verifying lab results, as you determine
necessary.
§ 40.145
[Amended]
68. Amend § 40.145 in the last
sentence of paragraph (g)(3) by
removing the word ‘‘urine’’ and adding
the word ‘‘drug’’ in its place and in
paragraph (h) introductory text by
adding the word ‘‘urine’’ before the
word ‘‘result’’
■ 69. Amend § 40.151 by revising
paragraphs (a), (b), (g), and (i) to read as
follows:
■
§ 40.151 What are MROs prohibited from
doing as part of the verification process?
ddrumheller on DSK120RN23PROD with RULES2
*
*
*
*
*
(a) You must not consider any
evidence (verbal or written information)
from any drug tests that are not
collected or tested in accordance with
this part. For example, if an employee
tells you he went to his own physician,
provided a urine specimen, sent it to a
laboratory, and received a negative test
result, you are required to ignore this
test result.
(b) It is not your function to make
decisions about factual disputes
between the employee and the collector
concerning matters occurring at the
collection site that are not reflected on
the CCF (e.g., concerning allegations
that the collector left the area or left
open collection containers where other
people could access them.)
*
*
*
*
*
(g) You must not accept an assertion
that there is a legitimate medical
explanation for the presence of PCP, 6–
AM, MDMA, or MDA in a specimen.
*
*
*
*
*
(i) You must not accept, as a
legitimate medical explanation for a
substituted specimen, an assertion that
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
an employee can produce a urine
specimen for which the creatinine level
is below the laboratory’s limit of
detection. There are no physiological
means through which a person can
produce a urine specimen having this
characteristic.
■ 70. Amend § 40.159 by revising
paragraphs (a)(1) and (a)(5)(ii) to read as
follows:
§ 40.159 What does the MRO do when a
drug test result is invalid?
(a) * * *
(1) Discuss the laboratory results with
a certifying scientist to determine if the
primary specimen should be tested at
another HHS-certified laboratory. If the
laboratory did not contact you as
required by §§ 40.91(e) and 40.96(b),
you must contact the laboratory.
*
*
*
*
*
(5) * * *
(ii) Report to the DER that the test is
cancelled, the reason for cancellation,
and that a second collection must take
place immediately under direct
observation. Recommend to the
employer that an alternate specimen
should be collected if practicable (e.g.,
oral fluid, if the specimen was urine).
*
*
*
*
*
■ 71. Amend § 40.161 by revising
paragraphs (a) and (c) to read as follows:
§ 40.161 What does the MRO do when a
drug test specimen is rejected for testing?
*
*
*
*
*
(a) Place a check mark in the ‘‘Test
Cancelled’’ box (Step 6) on Copy 2 (or
a legible copy of Copy 3–5) of the CCF
and enter the reason on the ‘‘Remarks’’
line. If you do not have Copy 2 (or a
legible copy of Copy 3–5), then enter
‘‘Test Cancelled’’ and the reason for the
cancellation on a report in the format
required under § 40.163(c).
*
*
*
*
*
(c) You may only report a test
cancelled because of a ‘‘rejected for
testing’’ laboratory result when you are
in possession of a legible copy of Copy
1 of the CCF. In addition, you must have
Copy 2 of the CCF, a legible copy of it,
or any other copy of the CCF containing
the employee’s signature. If you do not
have Copy 2 (or a legible copy of Copy
3–5), then enter ‘‘Test Cancelled’’ and
the reason for the cancellation on a
report in the format required under
§ 40.163(c).
■ 72. Amend § 40.163 in paragraph
(c)(2) by removing the words ‘‘donor
SSN or employee ID number’’ and
adding in their place the words ‘‘SSN or
employee ID No.’’ and by revising
paragraph (e).
The revision reads as follows:
PO 00000
Frm 00052
Fmt 4701
Sfmt 4700
§ 40.163 How does the MRO report drug
test results?
*
*
*
*
*
(e) If you use a written report as
provided in paragraph (c) of this section
to report results, you must retain a copy
of the written report. If you use the
electronic data file to report negatives,
as provided in paragraph (d) of this
section, you must retain a retrievable
copy of that report in a format suitable
for inspection and audit by a DOT
representative. In either case, you must
keep the completed Copy 2 of the CCF.
When completing Copy 2, either the
MRO must sign and date it (for both
negatives and non-negatives) or MRO
staff must stamp and date it (for
negatives only).
*
*
*
*
*
■ 73. Amend § 40.177 by revising
paragraphs (a) through (c) to read as
follows:
§ 40.177 What does the second laboratory
do with the split specimen when it is tested
to reconfirm the presence of a drug or drug
metabolite?
(a) As the laboratory testing the split
specimen, you must test the split
specimen for the drug(s)/drug
metabolite(s) confirmed in the primary
specimen.
(b) You must conduct this test
without regard to the cutoff
concentrations of § 40.85 or § 40.91, as
applicable.
(c) If the test fails to reconfirm the
presence of the drug(s)/drug
metabolite(s) that were reported in the
primary specimen, you must conduct
validity tests in an attempt to determine
the reason for being unable to reconfirm
the presence of the drug(s)/
metabolite(s). You should conduct the
same validity tests as you would
conduct on a primary specimen set forth
in § 40.87 or § 40.93, as applicable.
*
*
*
*
*
§ 40.179
[Amended]
74. Amend § 40.179 in paragraph (a)
by removing ‘‘§ 40.95’’ and adding in its
place ‘‘§ 40.89 or § 40.93, as applicable’’.
■ 75. Revise § 40.181 to read as follows:
■
§ 40.181 What does the second laboratory
do with the split specimen when it is tested
to reconfirm a substituted test result?
As the laboratory testing a urine split
specimen, you must test the split
specimen using the confirmatory tests
for creatinine and specific gravity, using
the criteria set forth in § 40.88.
§ 40.187
[Amended]
76. Amend § 40.187 in paragraphs
(b)(1), (c)(1)(iii), and (c)(2)(iii) by
removing ‘‘Appendix D’’ and adding in
■
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
its place ‘‘appendix F’’ and in paragraph
(e)(3) by removing ‘‘appendix D’’ and
adding in its place ‘‘appendix F’’.
■ 77. Amend § 40.191 by revising
paragraphs(a)(2) through (11), (c), and
(d)(1) to read as follows:
ddrumheller on DSK120RN23PROD with RULES2
§ 40.191 What is a refusal to take a DOT
drug test, and what are the consequences?
(a) * * *
(2) Fail to remain at the testing site
until the testing process is complete.
Provided that an employee who leaves
the collection site before the testing
process commences (see § 40.63(c) or
§ 40.72(e), as applicable) for a preemployment test is not deemed to have
refused to test. The collector is not
required to inform an employee that the
failure to remain at the collection site is
a refusal. If an employee leaves prior to
the completion of the testing process,
per § 40.355(i) the employer must
decide whether the employee’s actions
constitute a refusal;
(3) Fail to provide a specimen for any
drug test required by this part or DOT
agency regulations. Provided that an
employee who does not provide a
specimen because he or she has left the
testing site before the testing process
commences (see § 40.63(c) or § 40.72(e),
as applicable) for a pre-employment test
is not deemed to have refused to test.
The collector is not required to inform
an employee that the failure to remain
at the collection site is a refusal. If an
employee leaves prior to the completion
of the testing process, per § 40.355(i) the
employer must decide whether the
employee’s actions constitute a refusal;
(4) In the case of a directly observed
or monitored urine collection in a drug
test, fail to permit the observation or
monitoring of an employee’s provision
of a specimen (see §§ 40.67(m) and
40.69(g));
(5) Fail to provide a sufficient amount
of specimen when directed, and it has
been determined, through a required
medical evaluation, that there was no
adequate medical explanation for the
failure (see § 40.193(d)(2));
(6) Fail or decline to take an
additional drug test the employer or
collector has directed you to take (see,
for instance, § 40.197(b) as applicable);
(7) Fail to undergo a medical
examination or evaluation, as directed
by the MRO as part of the verification
process, or as directed by the DER under
§ 40.193(c). In the case of a preemployment drug test, the employee is
deemed to have refused to test on this
basis only if the pre-employment test is
conducted following a contingent offer
of employment. If there was no
contingent offer of employment, the
MRO will cancel the test;
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(8) Fail to cooperate with any part of
the testing process (e.g., refuse to empty
pockets when directed by the collector,
behave in a confrontational way that
disrupts the collection process, fail to
wash hands after being directed to do so
by the collector, fail to remove objects
from mouth, fail to permit inspection of
the oral cavity, or fail to complete a
rinse when requested);
(9) For an observed urine collection,
fail to follow the observer’s instructions
to raise your clothing above the waist,
lower clothing and underpants, and to
turn around to permit the observer to
determine if you have any type of
prosthetic or other device that could be
used to interfere with the collection
process;
(10) Possess or wear a prosthetic or
other device that could be used to
interfere with the collection process; or
(11) Admit to the collector or MRO
that you adulterated or substituted the
specimen.
*
*
*
*
*
(c) As an employee, if you refuse to
take a drug test, you incur the
consequences specified under DOT
agency regulations for a violation of
those DOT agency regulations. The
consequences specified under DOT
agency regulations for a refusal cannot
be overturned or set aside by an
arbitration, grievance, State court or
other non-Federal forum that
adjudicates the personnel decisions the
employer has taken against the
employee.
(d) * * *
(1) As the collector, you must note the
actions that may constitute a refusal in
the ‘‘Remarks’’ line (Step 2), and sign
and date the CCF. The collector does not
make the final decision about whether
the employee’s conduct constitutes a
refusal to test; the employer has the sole
responsibility to decide whether a
refusal occurred, as stated in § 40.355(i),
the employer has a non-delegable duty
to make the decision about whether the
employee has refused to test.
*
*
*
*
*
■ 78. Revise § 40.193 to read as follows:
§ 40.193 What happens when an employee
does not provide a sufficient amount of
specimen for a drug test?
(a) If an employee does not provide a
sufficient amount of specimen to permit
a drug test (i.e., 45 mL of urine in a
single void, or 2mL oral fluid in a single
sampling, as applicable) you, as the
collector, must provide another
opportunity to the employee to do so. In
accordance with the employer’s
instructions, this can be done using the
same specimen type as the original
PO 00000
Frm 00053
Fmt 4701
Sfmt 4700
27647
collection or this can be done by a
collector qualified to use an alternate
specimen collection for this purpose.
(1) If you change to an alternate
specimen collection at this point (i.e.,
from urine to oral fluid; or from oral
fluid to urine), the next collection
begins under § 40.61(e) for urine or
§ 40.72 for oral fluid collection.
(i) If you proceed with an alternate
specimen collection, discard the
insufficient specimen and proceed with
the next specimen collection.
(ii) If you proceed with an alternate
specimen collection, discard the CCF for
the insufficient specimen and begin a
new CCF for the next specimen
collection with a notation in the
remarks section of the new CCF.
(b)(1) As the collector, you must do
the following when continuing with a
urine specimen collection under this
section:
(i) Discard the insufficient specimen,
except where the insufficient specimen
was out of temperature range or showed
evidence of adulteration or tampering
(see § 40.65(b) and (c)).
(ii) Urge the employee to drink up to
40 ounces of fluid, distributed
reasonably through a period of up to
three hours, or until the individual has
provided a sufficient urine specimen,
whichever occurs first. It is not a refusal
to test if the employee declines to drink.
Document on the Remarks line of the
CCF (Step 2), and inform the employee
of the time at which the three-hour
period begins and ends.
(iii) If the employee refuses to make
the attempt to provide a new urine
specimen or leaves the collection site
before the collection process is
complete, you must discontinue the
collection, note that fact on the
‘‘Remarks’’ line of the CCF (Step 2), and
immediately notify the DER of the
conduct as provided in § 40.191(e)(1);
the employer decides whether the
situation is deemed to be a refusal.
(iv) If the employee has not provided
a sufficient specimen within three hours
of the first unsuccessful attempt to
provide the specimen, you must
discontinue the collection, note the fact
on the ‘‘Remarks’’ line of the CCF (Step
2), and immediately notify the DER. You
must also discard any specimen the
employee previously provided,
including any specimen that is ‘‘out of
temperature range’’ or shows signs of
tampering. In the remarks section of the
CCF that you will distribute to the MRO
and DER, note the fact that the
employee provided an ‘‘out of
temperature range specimen’’ or
‘‘specimen that shows signs of
tampering’’ and that it was discarded
E:\FR\FM\02MYR2.SGM
02MYR2
ddrumheller on DSK120RN23PROD with RULES2
27648
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
because the employee did not provide a
second sufficient specimen.
(2) As the collector, you must do the
following when continuing with an oral
fluid specimen collection under this
section:
(i) If the employee demonstrates an
inability to provide a specimen after 15
minutes of using the collection device,
and if the donor states that he or she
could provide a specimen after drinking
some fluids, urge the employee to drink
(up to 8 ounces) and wait an additional
10 minutes before beginning the next
specimen collection (a period of up to
one hour must be provided, or until the
donor has provided a sufficient oral
fluid specimen, whichever occurs first).
If the employee simply needs more time
before attempting to provide an oral
fluid specimen, the employee is not
required to drink any fluids during the
one-hour wait time. It is not a refusal to
test if the employee declines to drink.
The employee must remain at the
collection site, in a monitored area
designated by the collector, during the
wait period.
(ii) If the employee has not provided
a sufficient specimen within one hour of
the first unsuccessful attempt to provide
the specimen, you must discontinue the
collection, note the fact on the
‘‘Remarks’’ line of the CCF (Step 2), and
immediately notify the DER.
(3) Send Copy 2 of the CCF to the
MRO and Copy 4 to the DER. You must
send or fax these copies to the MRO and
DER within 24 hours or the next
business day.
(c) As the DER, if the collector
informs you that the employee has not
provided a sufficient amount of
specimen (see paragraph (b) of this
section), you must, after consulting with
the MRO, direct the employee to obtain,
within five days, an evaluation from a
licensed physician, acceptable to the
MRO, who has expertise in the medical
issues raised by the employee’s failure
to provide a urine (see paragraph (b)(1)
of this section) or oral fluid (see
paragraph (b)(2) of this section)
sufficient specimen, but not both. The
evaluation and MRO determination
required by this section only applies to
the oral fluid or the urine insufficient
specimen that was the final
methodology at the collection site. (The
MRO may perform this evaluation if the
MRO has appropriate expertise.)
(1) As the MRO, if another physician
will perform the evaluation, you must
provide the other physician with the
following information and instructions:
(i) That the employee was required to
take a DOT drug test, but was unable to
provide a sufficient amount of specimen
to complete the test;
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
(ii) The consequences of the
appropriate DOT agency regulation for
refusing to take the required drug test;
(iii) That the referral physician must
agree to follow the requirements of
paragraphs (d) through (g) of this
section.
(2) [Reserved]
(d) As the referral physician
conducting this evaluation, you must
recommend that the MRO make one of
the following determinations:
(1) A medical condition has, or with
a high degree of probability could have,
precluded the employee from providing
a sufficient amount of specimen. As the
MRO, if you accept this
recommendation, you must:
(i) Check ‘‘Test Cancelled’’ (Step 6) on
the CCF; and
(ii) Sign and date the CCF.
(2) There is not an adequate basis for
determining that a medical condition
has, or with a high degree of probability
could have, precluded the employee
from providing a sufficient amount of
specimen. As the MRO, if you accept
this recommendation, you must:
(i) Check the ‘‘Refusal to Test’’ box
and ‘‘Other’’ box in Step 6 on Copy 2
of the CCF and note the reason next to
the ‘‘Other’’ box and on the ‘‘Remarks’’
lines, as needed.
(ii) Sign and date the CCF.
(e) For purposes of this paragraph, a
medical condition includes an
ascertainable physiological condition
(e.g., a urinary system dysfunction in
the case of a urine test or autoimmune
disorder in the case of an oral fluid test),
or a medically documented pre-existing
psychological disorder, but does not
include unsupported assertions of
‘‘situational anxiety’’ or dehydration.
(f) As the referral physician making
the evaluation, after completing your
evaluation, you must provide a written
statement of your recommendations and
the basis for them to the MRO. You
must not include in this statement
detailed information on the employee’s
medical condition beyond what is
necessary to explain your conclusion.
(g) If, as the referral physician making
this evaluation in the case of a preemployment, return-to-duty, or followup test, you determine that the
employee’s medical condition is a
serious and permanent or long-term
disability that is highly likely to prevent
the employee from providing a
sufficient amount of specimen for a very
long or indefinite period of time, you
must set forth your determination and
the reasons for it in your written
statement to the MRO. As the MRO,
upon receiving such a report, you must
follow the requirements of § 40.195,
where applicable.
PO 00000
Frm 00054
Fmt 4701
Sfmt 4700
(h) As the MRO, you must seriously
consider and assess the referral
physician’s recommendations in making
your determination about whether the
employee has a medical condition that
has, or with a high degree of probability
could have, precluded the employee
from providing a sufficient amount of
specimen. You must report your
determination to the DER in writing as
soon as you make it.
(i) As the employer, when you receive
a report from the MRO indicating that
a test is cancelled as provided in
paragraph (d)(1) of this section, you take
no further action with respect to the
employee. If the test reason was
‘random’, the employee remains in the
random testing pool.
■ 79. Amend § 40.195 by revising the
section heading to read as follows:
§ 40.195 What happens when an individual
is unable to provide a sufficient amount of
specimen for a pre-employment, follow-up,
or return-to-duty test because of a
permanent or long-term medical condition?
*
*
*
*
*
80. Amend § 40.197 by revising the
section heading to read as follows:
■
§ 40.197 What happens when an employer
receives a report of a dilute urine
specimen?
*
*
*
*
*
81. Amend § 40.199 by revising
paragraph (b)(7) and adding paragraphs
(b)(8) and (9) to read as follows:
■
§ 40.199 What problems always cause a
drug test to be cancelled?
*
*
*
*
*
(b) * * *
(7) Because of leakage or other causes,
there is an insufficient amount of
specimen in the primary specimen
bottle for analysis and the specimens
cannot be re-designated (see § 40.83(h)).
(8) For an oral fluid collection, the
collector used an expired device at the
time of collection.
(9) For an oral fluid collection, the
collector failed to enter the expiration
date in Step 4 of the CCF and the
laboratory confirmed that the device
was expired.
*
*
*
*
*
§ 40.201
[Amended]
82. Amend § 40.201 in the first
sentence of paragraph (f) by removing
the word ‘‘urine’’ and adding in its
place the word ‘‘specimen’’.
■ 83. Amend § 40.207 by adding
paragraph (d) to read as follows:
■
§ 40.207 What is the effect of a cancelled
drug test?
*
E:\FR\FM\02MYR2.SGM
*
*
02MYR2
*
*
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
(d) If a test is cancelled for a
correctible flaw (i.e., § 40.203 or
§ 40.205), only the MRO who cancelled
the test can reverse the cancellation and
must do so within 60 days of the
cancellation. After 60 days, the MRO
who cancelled the test cannot reverse
the cancellation without the permission
of ODAPC. For example, if an MRO
cancels a test because the MRO did not
receive a copy of the CCF, but later
receives a copy of the CCF, the MRO
may reverse the decision to cancel the
test within 60 days. After 60 days, the
MRO must contact ODAPC for
permission to reverse the cancellation.
An MRO must not reverse the
cancellation of a test that the laboratory
has reported as rejected for testing, as
described in § 40.83(g). A laboratory is
not authorized to reverse a cancellation
due to a fatal flaw, as described in
§ 40.199.
■ 84. Revise § 40.208 to read as follows:
ddrumheller on DSK120RN23PROD with RULES2
§ 40.208 What problems require corrective
action but do not result in the cancellation
of a test?
(a) If, as a laboratory, collector,
employer, or other person implementing
the DOT drug testing program, you
become aware that any of the following
omissions listed in paragraphs (a)(1)
through (3) of this section occurred, you
must take corrective action, including
securing a memorandum for the record
explaining the problem and taking
appropriate action to ensure the
problem does not recur:
(1) For a urine collection, the
specimen temperature on the CCF was
not checked and the ‘‘Remarks’’ line did
not contain an entry regarding the
temperature being out of range; or
(2) For an oral fluid collection, the
collector failed to check the box in Step
2 of the CCF that indicates ‘‘Each Device
was Within Expiration Date’’ but the
collector entered the ‘‘Split Specimen
Device Expiration Date’’ in Step 4 of the
CCF.
(3) For an oral fluid collection, the
collector erred by entering the
expiration date as the ‘‘Primary/Single
Specimen Device Expiration Date’’
instead of entering the date as the ‘‘Split
Specimen Device Expiration Date’’ in
Step 4 of the CCF.
(b) The errors listed in paragraph (a)
of this section do not result in the
cancellation of the test.
(c) As an employer or service agent,
the errors listed in paragraph (a) of this
section, even though not sufficient to
cancel a drug test result, may subject
you to enforcement action under DOT
agency regulations or subpart R of this
part.
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
85. Amend § 40.209 in paragraph
(b)(1) by removing ‘‘social security
number’’ and adding in its place ‘‘SSN
or Employee ID No.’’, in paragraph (b)(3)
by removing ‘‘(see § 40.33)’’ and adding
in its place ‘‘(see §§ 40.33 or 40.35)’’, in
paragraph (b)(7) by removing ‘‘§ 40.41’’
and adding in its place ‘‘§ 40.42’’, and
by adding paragraph (b)(11).
The addition reads as follows:
■
27649
§ 40.261 What is a refusal to take an
alcohol test?
*
*
*
*
(a) * * *
(2) Fail to remain at the testing site
until the testing process is complete.
Provided that an employee who leaves
the collection site before the testing
process commences (see § 40.243(a)) for
a pre-employment test is not deemed to
have refused to test. The BAT or STT is
§ 40.209 What procedural problems do not not required to inform an employee that
result in cancellation of a test and do not
the failure to remain at the collection
require correction?
site is a refusal. If an employee leaves
*
*
*
*
*
prior to the completion of the testing
process, per § 40.355(i) the employer
(b) * * *
must decide whether the employee’s
(11) The failure to use a new CCF for
actions constitute a refusal;
a second collection after an insufficient
(3) Fail to provide an adequate
specimen was conducted under a
amount of saliva or breath for any
different methodology (e.g., failing to
use a new CCF for an oral fluid test after alcohol test required by this part or DOT
agency regulations; Provided that an
an insufficient quantity of urine was
employee who does not provide an
produced on a urine test.)
adequate amount of breath or saliva
*
*
*
*
*
because he or she has left the testing site
■ 86. Revise § 40.210 to read as follows:
before the testing process commences
(see § 40.243(a)) for a pre-employment
§ 40.210 What kinds of drug tests are
test is not deemed to have refused to
permitted under the regulations?
test. The BAT or STT is not required to
Both urine and oral fluid specimens
inform an employee that the failure to
are authorized for collection and testing remain at the collection site is a refusal.
under this part. An employer can use
If an employee leaves prior to the
one or the other, but not both at the
completion of the testing process, per
beginning of the testing event. For
§ 40.355(i) the employer must decide
example, if an employee is sent for a
whether the employee’s actions
test, either a urine or oral fluid
constitute a refusal;
specimen can be collected, but not both *
*
*
*
*
simultaneously. However, if there is a
(b) As an employee, if you refuse to
problem in the collection that
take an alcohol test, you incur the same
necessitates a second collection (e.g.,
consequences specified under DOT
insufficient quantity of urine,
agency regulations for a violation of
temperature out of range, or insufficient those DOT agency regulations. The
saliva), then a different specimen type
consequences specified under DOT
could be chosen by the employer (i.e.,
agency regulations for a refusal cannot
through a standing order or a discussion be overturned or set aside by an
with the collector) or its service agent
arbitration, grievance, State court or
(i.e., if there is no standing order and the other non-Federal forum that
service agent cannot contact the DER) to adjudicates the personnel decisions the
complete the collection process for the
employer has taken against the
testing event. Only urine and oral fluid
employee.
specimens screened and confirmed at
(c) * * *
HHS-certified laboratories (see § 40.81)
(2) As the BAT or STT, you must note
are allowed for drug testing under this
the actions that may constitute a refusal
part. Point-of-collection (POC) urine,
POC oral fluid drug testing, hair testing, in the ‘‘Remarks’’ line (Step 3), and sign
and date the ATF. The BAT or STT does
or instant tests are not authorized.
not make the final decision about
whether the employee’s conduct
§ 40.225 [Amended]
constitutes a refusal to test; the
■ 87. Amend § 40.225 in paragraph (a)
employer has the sole responsibility to
by removing ‘‘Appendix G’’ and adding
decide whether a refusal occurred, as
in its place ‘‘appendix I’’.
stated in § 40.355(i), the employer has a
non-delegable duty to make the decision
■ 88. Amend § 40.261 by revising
about whether the employee has refused
paragraphs (a)(2) and (3) and (b),
redesignating paragraph (c) as paragraph to test.
*
*
*
*
*
(c)(1), and adding paragraph (c)(2)
The revisions and addition read as
■ 89. Amend § 40.281 by adding
follows.
paragraph (f) to read as follows:
PO 00000
Frm 00055
Fmt 4701
Sfmt 4700
*
E:\FR\FM\02MYR2.SGM
02MYR2
27650
§ 40.281
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
Who is qualified to act as a SAP?
*
*
*
*
*
(f) Limitation. If you are an otherwise
qualified SAP under this part, you must
abide by the geographic limitations
applicable to your credential when
performing remote evaluations. You
must not conduct an evaluation that
exceeds your geographic limitations.
§ 40.283
[Amended]
90. Amend § 40.283 in paragraph (c)
by removing ‘‘Appendix E’’ and adding
in its place ‘‘appendix G’’.
■
§ 40.285
[Amended]
§ 40.293 What is the SAP’s function in
conducting the initial evaluation of an
employee?
91. Amend § 40.285 in paragraph (b)
by removing the word ‘‘urine’’.
■ 92. Amend § 40.291 by revising
paragraphs (a)(1) and (3) to read as
follows:
■
*
ddrumheller on DSK120RN23PROD with RULES2
§ 40.291 What is the role of the SAP in the
evaluation, referral, and treatment process
of an employee who has violated DOT
Agency drug and alcohol testing
regulations?
(a) * * *
(1) Making a clinical assessment and
evaluation to determine what assistance
is needed by the employee to resolve
problems associated with alcohol and/or
drug use. At the SAP’s discretion, this
assessment or evaluation may be
performed face-to-face in-person or
remotely. If a SAP is not prohibited
from using technology within the
parameters of the SAP’s State-issued
license or other credential(s), a remote
evaluation must be must be conducted
in accordance with the following
criteria:
(i) The technology must permit realtime audio and visual interaction
between the SAP and the employee; and
(ii) The quality of the technology (e.g.,
speed of the internet connection and
clarity of the video display) must be
sufficient to allow the SAP to gather all
the visual and audible information the
SAP would otherwise gather in an inperson face-to-face interaction, while
providing security to protect the
confidentiality of the communications
at the level expected by industry
standards for remote substance abuse
evaluations.
*
*
*
*
*
(3) Conducting a follow-up evaluation
to determine if the employee has
actively participated in the education
and/or treatment program and has
demonstrated successful compliance
with the initial assessment and
evaluation recommendations. This
assessment or evaluation may be
performed face-to-face in-person or
remotely. A face-to-face remote
evaluation must meet the criteria in
VerDate Sep<11>2014
18:58 May 01, 2023
Jkt 259001
paragraphs (a)(1)(i) and (ii) of this
section.
*
*
*
*
*
■ 93. Amend § 40.293 by:
■ a. Removing the words ‘‘face-to-face’’,
and after the words ‘‘clinical
evaluation,’’ adding the words ‘‘meeting
the requirements of § 40.291(a)(1)’’ in
paragraph (a);
■ b. Redesignating paragraphs (e)
through (g) as paragraphs (f) through (h);
and
■ c. Adding new paragraph (e).
The addition reads as follows:
*
*
*
*
(e) You must assess and clinically
evaluate each employee on an
individual basis and use your
professional judgment to determine
education and/or treatment, as well as a
follow-up testing plan unique to the
needs of the individual employee. For
example, do not require the same and/
or substantially similar education,
treatment, and/or follow-up testing plan
for most of the employees you assess.
*
*
*
*
*
■ 94. Amend § 40.297 by adding
paragraph (c) to read as follows:
§ 40.297 Does anyone have the authority
to change an SAP’s initial evaluation?
*
*
*
*
*
(c) The SAP, who is otherwise fully
qualified under this subpart, must not
perform evaluations outside the
geographic jurisdiction for their
credential(s). If the SAP who made the
evaluation exceeds their geographic
jurisdiction, the employee will not be
required to seek the evaluation of a
second SAP.
§ 40.301
[Amended]
95. Amend § 40.301 in paragraph
(b)(2) by removing the words ‘‘face-toface’’, and after the words ‘‘clinical
interview’’, adding the words ‘‘meeting
the requirements of § 40.291(a)(1)’’.
■ 96. Amend § 40.305 by adding
paragraph (d) to read as follows:
■
§ 40.305 How does the return-to-duty
process conclude?
*
*
*
*
*
(d) As the employer, if a SAP who is
otherwise fully qualified under this
subpart performed a remote evaluation
of the employee outside the geographic
jurisdiction for their credential(s), the
employee who they evaluated will not
be required to seek the evaluation of a
second SAP. If you decide that you want
to permit the employee to return to the
performance of safety-sensitive
PO 00000
Frm 00056
Fmt 4701
Sfmt 4700
functions, you will proceed with the
requirements of paragraph (a) of this
section.
■ 97. Amend § 40.307 by adding
paragraph (g) to read as follows:
§ 40.307 What is the SAP’s function in
prescribing the employee’s follow-up tests?
*
*
*
*
*
(g) As the employer, SAP, or other
service agent, you must not provide to
the employee a copy of their drug and/
or alcohol follow-up testing schedule
prescribed by the SAP. No employer,
SAP, or other service agent will indicate
to the employee what the frequency or
duration of the employee’s follow-up
testing schedule will be. The SAP can
require follow-up testing for either or
both drugs and alcohol for a drugrelated or an alcohol-related violation.
§ 40.311
[Amended]
98. Amend § 40.311 in paragraphs
(c)(4), (d)(4), and (e)(4) after the word
‘‘Date(s)’’ by adding the words ‘‘and
format (i.e., face-to-face or remote)’’ and
in paragraphs (c)(1), (d)(1), and (e)(1) by
removing ‘‘SSN’’ and adding in its place
‘‘SSN or employee ID No.’’.
■ 99. Amend § 40.327 by:
■ a. Removing the reference ‘‘paragraph
(c)’’ and adding in its place ‘‘paragraph
(d)’’ in paragraph (a) introductory text;
■ b. Redesignating paragraph (c) as
paragraph (d); and
■ c. Adding a new paragraph (c).
The addition reads as follows:
■
§ 40.327 When must the MRO report
medical information gathered in the
verification process?
*
*
*
*
*
(c) The MRO must not report such
medical information using the CCF.
Instead, the MRO must provide the
information in a separate written
communication (e.g., letter, secure
email). The information must state the
specific nature of the MRO’s safety
concern (e.g., the effects of a medication
the employee is taking, the employee’s
underlying medical condition that the
employee disclosed to the MRO).
*
*
*
*
*
§ 40.345
[Amended]
100. Amend § 40.345 in paragraph (b)
by removing ‘‘Appendix F’’ and adding
in its place ‘‘appendix H’’.
■
§ 40.355
[Amended]
101. Amend § 40.355 in Example 3 to
paragraph (n) by removing the word
‘‘urine’’.
■
§ 40.365
[Amended]
102. Amend § 40.365 in paragraph
(b)(8) by removing the words ‘‘face-to-
■
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
face interviews’’ and adding in their
place the words ‘‘without interviews
meeting the requirements of
§ 40.291(a)(1)’’.
Appendices E Through H to Part 40
[Redesignated as Appendices G
Through J to Part 40]
103. Redesignate appendices E
through H to part 40 as appendices G
through J to part 40.
■
Appendix C to Part 40 [Redesignated as
Appendix E to Part 40]
104. Redesignate appendix C to part
40 as appendix E to part 40.
■
2. Instructions
Appendix C to Part 40 [Reserved]
105. Add reserved appendix C to part
40.
■
Appendix D to Part 40 [Redesignated as
Appendix F to Part 40]
106. Redesignate appendix D to part
40 as appendix F to part 40.
■
Appendix B to Part 40 [Redesignated as
Appendix D to Part 40]
107. Redesignate appendix B to part
40 as appendix D to part 40.
■ 108. Add new appendix B to part 40
to read as follows:
■
ddrumheller on DSK120RN23PROD with RULES2
1. Oral Fluid Collection Device
a. A single device, which can be
subdivided in the employee’s presence into
an ‘‘A’’ specimen and a ‘‘B’’ split specimen
bottle sufficient for laboratory testing, that is
either of the following:
(1) An oral fluid collection device made to
collect a sufficient amount of oral fluid to
permit an HHS-certified laboratory to analyze
the specimen(s). For example, a device that
directs the oral fluid into two separate
collection bottles.
(2) A device that uses buffering solution
that collects a specimen using a single pad
or dual pads joined for insertion together into
the same region of the mouth, which can be
subdivided into two separate collection
bottles. Such a buffered device may use a
diluent (or other component, process, or
method that modifies the volume of the
testable specimen). The volume
specifications for the device must be
consistent with those set by HHS.
b. Must have unit markings or other
indicators that demonstrate the adequacy of
the volume of oral fluid specimen collected.
c. Must be sufficiently transparent to
permit a visual assessment of the contents
without opening the specimen bottle.
d. Must be individually packaged in an
easily visible tamper-evident system.
e. Must have the device’s expiration date
on the specimen bottles sent to the laboratory
(i.e., the shortest expiration date of any
component).
f. Must not have components that
substantially affect the composition of drugs
18:58 May 01, 2023
Jkt 259001
Must include the manufacturer’s
instructions within the device’s packaging.
The instructions must provide sufficient
detail to allow for an error-free collection
when the instructions are followed.
3. Leak-Resistant Plastic Bag
a. Must have two sealable compartments or
pouches that are leak-resistant; one large
enough to hold two specimen bottles and the
other large enough to hold the CCF
paperwork, as applicable.
b. The sealing methodology must be such
that once the compartments are sealed, any
tampering or attempts to open either
compartment will be evident.
4. Absorbent Material
Appendix B to Part 40—Oral Fluid
Collection Kit Contents
VerDate Sep<11>2014
and/or drug metabolites in the oral fluid
specimen and/or interfere with an accurate
analysis of the specimen.
g. Must maintain the integrity of the
specimen during storage and transport so the
specimen can be tested in an HHS-certified
laboratory.
h. Must be designed so that the required
tamper-evident bottle seals made available on
the CCF fit without concealing the expiration
date on the bottles, without damage to the
seal when the collector dates and the
employee initials it.
i. Must be approved by HHS for use by the
specific HHS-certified laboratory that will
test the specimen gathered by this device.
Each kit must contain enough absorbent
material to absorb the entire contents of both
specimen bottles. Absorbent material must be
designed to fit inside the leak-resistant
plastic bag pouch into which the specimen
bottles are placed.
a. Must be designed to adequately protect
the specimen bottles from damage during
shipment of the specimens from the
collection site to the laboratory (e.g., standard
courier box, small cardboard box, plastic
container).
b. May be made available separately at
collection sites rather than being part of an
actual collection device sent to collection
sites.
c. A shipping container is not necessary if
a laboratory courier hand-delivers the
specimen bottles in the leak-resistant plastic
bags from the collection site to the laboratory.
109. Revise the newly redesignated
appendix D to read as follows:
■
Appendix D to Part 40—DOT Drug
Testing Semi-Annual Laboratory
Report to Employers
The following items are required on each
laboratory report:
Reporting Period: (inclusive dates)
Laboratory Identification: (name and address)
Employer Identification: (name; may include
Billing Code or ID code)
C/TPA Identification: (where applicable;
name and address)
Frm 00057
Fmt 4701
A. Urine Specimens
1. Urine Specimen Results Reported (Total
Number) By Test Reason
(a) Pre-employment (number)
(b) Post-Accident (number)
(c) Random (number)
(d) Reasonable Suspicion/Cause (number)
(e) Return-to-Duty (number)
(f) Follow-up (number)
(g) Type of Test Not Noted on CCF (number)
2. Urine Specimens Reported
(a) Negative (number)
(b) Negative and Dilute (number)
3. Urine Specimens Reported as Rejected for
Testing (Total Number) by Reason
(a) Fatal flaw (number)
(b) Uncorrected Flaw (number)
4. Urine Specimens Reported as Positive
(Total Number) by Drug
(a) Marijuana Metabolite (number)
(b) Cocaine Metabolite (number)
(c) Opioids (number)
(1) Codeine (number)
(2) Morphine (number)
(3) 6–AM (number)
(4) Hydrocodone (number)
(5) Hydromorphone (number)
(6) Oxycodone (number)
(7) Oxymorphone (number)
(d) Phencyclidine (number)
(e) Amphetamines (number)
(1) Amphetamine (number)
(2) Methamphetamine (number)
(3) MDMA (number)
(4) MDA (number)
5. Urine Adulterated (Number)
6. Urine Substituted (Number)
7. Urine Invalid Result (Number)
B. Oral Fluid Specimens
5. Shipping Container
PO 00000
27651
Sfmt 4700
1. Oral Fluid Specimen Results Reported
(Total Number) by Test Reason
(a) Pre-employment (number)
(b) Post-Accident (number)
(c) Random (number)
(d) Reasonable Suspicion/Cause (number)
(e) Return-to-Duty (number)
(f) Follow-up (number)
(g) Type of Test Not Noted on CCF (number)
2. Oral Fluid Specimens Reported
(a) Negative (number)
(b) Negative and Dilute (number)
3. Oral Fluid Specimens Reported as Rejected
for Testing (Total Number) by Reason
(a) Fatal flaw (number)
(b) Uncorrected Flaw (number)
4. Oral Fluid Specimens Reported as Positive
(Total Number) by Drug
(a) Marijuana (number)
(b) Cocaine and/or Cocaine Metabolite
(number)
(c) Opioids (number)
(1) Codeine (number)
(2) Morphine (number)
(3) 6–AM (number)
(4) Hydrocodone (number)
(5) Hydromorphone (number)
(6) Oxycodone (number)
E:\FR\FM\02MYR2.SGM
02MYR2
27652
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
(7) Oxymorphone (number)
(d) Phencyclidine (number)
(e) Amphetamines (number)
(1) Amphetamine (number)
(2) Methamphetamine (number)
(3) MDMA (number)
(4) MDA (number)
Appendix F to Part 40—Report Format:
Split Specimen Failure To Reconfirm
5. Oral Fluid Adulterated (Number)
6. Oral Fluid Substituted (Number)
7. Oral Fluid Invalid Result (Number)
110. Revise newly redesignated
appendix E to part 40 to read as follows:
■
ddrumheller on DSK120RN23PROD with RULES2
Appendix E to Part 40—Drug Testing
Semi-Annual Laboratory Report to DOT
Mail, fax or email to: U.S. Department of
Transportation, Office of Drug and Alcohol
Policy and Compliance, 1200 New Jersey
Avenue SE, Washington, DC 20590.
Fax: (202) 366–3897.
Email: ODAPCWebMail@dot.gov.
The following items are required on each
report:
Reporting Period: (inclusive dates)
Laboratory Identification: (name and address)
1. Specimen Type:
—oral fluid or urine
2. DOT agency
—FMCSA, FAA, FRA, FTA, PHMSA, or
USCG
3. Test Reason
—Pre-Employment, Random, Reasonable
Suspicion/Cause, Post-Accident, Returnto-Duty, Other, and Follow-up
A. DOT Specimen Results Reported (total
number)
B. Negative Results Reported (total number)
1. Negative (number)
2. Negative-Dilute (number)
C. Rejected for Testing Results Reported
(total number) By Reason
1. Fatal flaw (number)
2. Uncorrected Flaw (number)
D. Positive Results Reported (total number)
By Drug
1. Marijuana or Marijuana Metabolite
(number)
2. Cocaine and/or Cocaine Metabolite
(number)
3. Opioids (number)
a. Codeine (number)
b. Morphine (number)
c. 6–AM (number)
d. Hydrocodone (number)
e. Hydromorphone (number)
f. Oxycodone (number)
g. Oxymorphone (number)
4. Phencyclidine (number)
5. Amphetamines (number)
a. Amphetamine (number)
b. Methamphetamine (number)
c. MDMA (number)
d. MDA (number)
E. Adulterated Results Reported (total
number) By Reason (number)
F. Substituted Results Reported (total
number)
G. Invalid Results Reported (total number) By
Reason (number)
111. Revise newly redesignated
appendix F to part 40 to read as follows:
■
VerDate Sep<11>2014
20:10 May 01, 2023
Jkt 259001
Mail, fax, or submit electronically to: U.S.
Department of Transportation, Office of Drug
and Alcohol Policy and Compliance, 1200
New Jersey Avenue SE, Washington, DC
20590.
Fax: (202) 366–3897.
Submit Electronically: https://
www.transportation.gov/odapc/mro-splitspecimen-cancellation-notification.
The following items are required on each
report:
1. MRO name, address, phone number, and
fax number.
2. Collection site name, address, and phone
number.
3. Date of collection.
4. Specimen I.D. number.
5. Specimen type.
6. Laboratory accession number.
7. Primary specimen laboratory name,
address, and phone number.
8. Date result reported or certified by
primary laboratory.
9. Split specimen laboratory name,
address, and phone number.
10. Date split specimen result reported or
certified by split specimen laboratory.
11. Primary specimen results (e.g., name of
drug, adulterant) in the primary specimen.
12. Reason for split specimen failure-toreconfirm result (e.g., drug or adulterant not
present, specimen invalid, split not collected,
insufficient volume).
13. Actions taken by the MRO (e.g.,
notified employer of failure to reconfirm and
requirement for re-collection).
14. Additional information explaining the
reason for cancellation.
15. Name of individual submitting the
report (if not the MRO).
§ 219.11
[Amended]
115. Amend § 219.11 in paragraph
(a)(2) by removing the word ‘‘urine’’ and
adding in its place ‘‘body fluid’’ and in
paragraph (h) by removing the words
‘‘urine or blood’’ and adding in their
place the words ‘‘body fluid’’ and by
adding ‘‘or oral fluid from a sampling’’
after the word ‘‘void’’.
■
§ 219.617
[Amended]
116. Amend § 219.617 in paragraph
(b)(2) by removing the word ‘‘urine’’ and
adding in its place ‘‘body fluid’’.
■
§ 219.619
[Amended]
117. Amend § 219.619 by removing
the word ‘‘urine’’ and adding in its
place ‘‘body fluid’’ in two places.
■
§ 219.621
[Amended]
118. Amend § 219.621 in paragraph
(a) by removing the word ‘‘urine’’ and
adding in its place ‘‘body fluid’’.
■
§ 219.903
[Amended]
119. Amend § 219.903 in paragraph
(a) by removing the word ‘‘urine’’ and
adding in its place ‘‘body fluid’’.
■
PART 240—QUALIFICATION AND
CERTIFICATION OF LOCOMOTIVE
ENGINEERS
120. The authority citation for part
240 continues to read as follows:
■
Authority: 49 U.S.C. 20103, 20107, 20135,
21301, 21304, 21311; 28 U.S.C. 2461 note;
and 49 CFR 1.89.
§ 240.119
[Amended]
Appendix H to Part 40 [Amended]
■
112. Amend newly redesignated
appendix H under ‘‘Drug Testing
Information’’ by removing the reference
‘‘§ 40.129(d)’’ and adding in its place the
reference ‘‘§ 40.129(e)’’.
PART 242—QUALIFICATION AND
CERTIFICATION OF CONDUCTORS
■
PART 219—CONTROL OF ALCOHOL
AND DRUG USE
113. The authority citation for part
219 continues to read as follows:
■
121. Amend § 240.119 in paragraphs
(e)(4)(iv)(A) and (f)(1)(iii) by removing
the word ‘‘urine’’ and adding in its
place ‘‘body fluid’’.
122. The authority citation for part
242 continues to read as follows:
■
Authority: 49 U.S.C. 20103, 20107, 20135,
20138, 20162, 20163, 21301, 21304, 21311;
28 U.S.C. 2461 note; and 49 CFR 1.89.
Authority: 49 U.S.C. 20103, 20107, 20140,
21301, 21304, 21311; 28 U.S.C. 2461 note;
Div. A, Sec. 412, Public Law 110–432, 122
Stat. 4889 (49 U.S.C. 20140 note); Sec. 8102,
Public Law 115–271, 132 Stat. 3894; and 49
CFR 1.89.
§ 242.115
§ 219.4
PART 382—CONTROLLED
SUBSTANCES AND ACOHOL USE
AND TESTING
[Amended]
114. Amend § 219.4 in paragraphs (a)
introductory text and (b)(1) and (2) by
removing the term ‘‘return-to-service’’
and adding in its place the term ‘‘returnto-duty’’ and in paragraph (b)(2) by
removing ‘‘paragraph (d) of this section’’
and adding ‘‘§ 219.104(d)’’.
■
PO 00000
Frm 00058
Fmt 4701
Sfmt 4700
[Amended]
123. Amend § 242.115 in paragraphs
(e)(4)(iv)(A) and (f)(1)(iii) by removing
the word ‘‘urine’’ and adding in its
place ‘‘body fluid’’.
■
124. The authority citation for part
382 continues to read as follows:
■
Authority: 49 U.S.C. 31133, 31136, 31301
et seq., 31502; sec. 32934 of Public Law 112–
141, 126 Stat. 405, 830; and 49 CFR 1.87.
E:\FR\FM\02MYR2.SGM
02MYR2
Federal Register / Vol. 88, No. 84 / Tuesday, May 2, 2023 / Rules and Regulations
§ 382.107
[Amended]
§ 382.409
128. Amend § 382.107:
a. In the definitions of ‘‘Confirmation
(or confirmatory) drug test’’ and
‘‘Confirmation (or confirmatory)
validity’’ by adding ‘‘or oral fluid’’ after
the word ‘‘urine’’;
■ b. In the definition of ‘‘Controlled
substances’’ by removing ‘‘§ 40.85’’ and
adding in its place ‘‘§ 40.82’’;
■ c. In paragraphs (3) and (5) to the
definition of ‘‘Refuse to submit (to an
alcohol or controlled substances test’’ by
adding ‘‘or oral fluid’’ after the word
‘‘urine’’ each place it appears; and
■ d. In paragraph (1) to the definition of
‘‘Screening test (or initial test)’’ by
adding ‘‘or oral fluid’’ after the word
‘‘urine’’.
§ 382.401
■
■
■
[Amended]
129. Amend § 382.401 in paragraph
(b)(3) by adding the words ‘‘and MRO
reversal of canceled controlled
substances test results’’ after the words
‘‘canceled controlled substances test
results’’ and in paragraph (c)(1)(vii) by
adding ‘‘or oral fluid’’ after the word
‘‘urine’’.
■
§ 382.403
[Amended]
ddrumheller on DSK120RN23PROD with RULES2
VerDate Sep<11>2014
18:58 May 01, 2023
§ 382.705
Jkt 259001
§ 655.47
[Amended]
PART 655—PREVENTION OF
ALCOHOL MISUSE AND PROHIBITED
DRUG USE IN TRANSIT OPERATIONS
133. The authority citation for part
655 continues to read as follows:
■
Authority: 49 U.S.C. 5331; 49 CFR 1.91.
§ 655.5
[Amended]
[Amended]
135. Amend § 655.15 in paragraph (e)
by removing the word ‘‘illegal’’ and
adding in its place the word
‘‘prohibited’’.
■
[Amended]
136. Amend § 655.44 in paragraph
(a)(1)(i) by removing ‘‘389.303(a)(1) or
(b)(1)’’ and adding in its place
‘‘§ 382.303’’.
■
PO 00000
Frm 00059
Fmt 4701
137. Amend § 655.47 by adding the
word ‘‘covered’’ before the word
‘‘employee’’.
■
§ 655.53
[Amended]
138. Amend § 655.53 by removing the
words ‘‘collection person’’ and by
adding ‘‘or oral fluid collector’’ after the
word ‘‘urine’’.
§ 655.61
[Amended]
139. Amend § 655.61 in paragraph
(a)(3) by removing the words ‘‘an
employee’’ and adding in their place the
words ‘‘a covered employee’’.
■
§ 655.71
[Amended]
140. Amend § 655.71 in paragraph
(c)(1)(v) by adding the words ‘‘or oral
fluid’’ after the word ‘‘urine’’ and
removing the word ‘‘breathe’’ and
adding in its place ‘‘breath’’.
■
134. Amend § 655.5 in paragraph (c)
by removing ‘‘400 Seventh Street SW’’
and adding in its place ‘‘1200 New
Jersey Ave. SE’’.
§ 655.15
[Amended]
■
132. Amend § 382.705 in paragraph
(a)(2)(vii)(D) by adding ‘‘or oral fluid’’
after the word ‘‘urine’’.
■
§ 655.44
130. Amend § 382.403 in the third
sentence of paragraph (b) by removing
‘‘appendix H’’ and adding in its place
‘‘appendix J’’.
■
[Amended]
131. Amend § 382.409 in paragraph
(b) by adding the words ‘‘and MRO
reversal of cancelled controlled
substances test results’’ after the words
‘‘test results’’.
■
27653
Sfmt 9990
Signed in Washington, DC, on or around
April 7, 2023.
Peter Paul Montgomery Buttigieg,
Secretary of Transportation.
Signed in Washington, DC, on or around
April 7, 2023.
Billy Nolen,
Acting Administrator, Federal Aviation
Administration.
[FR Doc. 2023–08041 Filed 5–1–23; 8:45 am]
BILLING CODE 4910–9X–P
E:\FR\FM\02MYR2.SGM
02MYR2
Agencies
[Federal Register Volume 88, Number 84 (Tuesday, May 2, 2023)]
[Rules and Regulations]
[Pages 27596-27653]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2023-08041]
[[Page 27595]]
Vol. 88
Tuesday,
No. 84
May 2, 2023
Part II
Department of Transportation
-----------------------------------------------------------------------
Federal Aviation Administration
Office of the Secretary
Federal Railroad Administration
Federal Motor Carrier Safety Administration
Federal Transit Administration
-----------------------------------------------------------------------
14 CFR Part 120
49 CFR Parts 40, 219, 240, et al.
Procedures for Transportation Workplace Drug and Alcohol Testing
Programs: Addition of Oral Fluid Specimen Testing for Drugs; Final Rule
Federal Register / Vol. 88 , No. 84 / Tuesday, May 2, 2023 / Rules
and Regulations
[[Page 27596]]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 120
Office of the Secretary
49 CFR Part 40
Federal Railroad Administration
49 CFR Parts 219, 240, and 242
Federal Motor Carrier Safety Administration
49 CFR Part 382
Federal Transit Administration
49 CFR Part 655
[Docket DOT-OST-2021-0093]
RIN 2105-AE94
Procedures for Transportation Workplace Drug and Alcohol Testing
Programs: Addition of Oral Fluid Specimen Testing for Drugs
AGENCY: Office of the Secretary of Transportation (OST), Federal
Aviation Administration (FAA), Federal Motor Carrier Safety
Administration (FMCSA), Federal Railroad Administration (FRA), and
Federal Transit Administration (FTA); U.S. Department of Transportation
(DOT).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This final rule amends the U.S. Department of Transportation's
regulated industry drug testing program to include oral fluid testing.
This additional methodology for drug testing will give employers a
choice that will help combat employee cheating on urine drug tests and
provide a less intrusive means of achieving the safety goals of the
program. In order for an employer to implement oral fluid testing under
the Department's regulation, the U.S. Department of Health and Human
Services will need to certify at least two laboratories for oral fluid
testing, which has not yet been done. The final rule includes other
provisions to update the Department's regulation and to harmonize, as
needed, with the Mandatory Guidelines for Federal Workplace Drug
Testing Programs using Oral Fluid established by the U.S. Department of
Health and Human Services. In addition, this rule amends the FAA,
FMCSA, FRA and FTA regulations to ensure consistency within the
Department of Transportation and by removing or adjusting references to
the word ``urine'' and/or add references to oral fluid, as well as
removing or amending some definitions for conformity and to make other
miscellaneous technical changes or corrections.
DATES: This final rule is effective on June 1, 2023.
FOR FURTHER INFORMATION CONTACT: For OST, Patrice M. Kelly, JD, Office
of Drug and Alcohol Policy and Compliance, 1200 New Jersey Avenue SE,
Washington, DC 20590; telephone number 202-366-3784;
[email protected]. For FAA, Nancy Rodriguez-Brown, Deputy Director,
Office of Aerospace Medicine, Drug Abatement Division, AAM-800, FAA,
800 Independence Avenue SW, Washington, DC 20591 (telephone: 202-267-
8442; [email protected]). For FMCSA, Bryan Price, Chief, Drug and
Alcohol Programs Division, Office of Safety Programs, FMCSA, 1200 New
Jersey Avenue SE, Washington, DC 20590-0001 (telephone: 202-366-2995;
email: [email protected]). For FRA, Gerald Powers, Drug and Alcohol
Program Manager, Office of Railroad Safety--Office of Program
Management, FRA RRS-25, 1200 New Jersey Avenue SE, Washington, DC
20590-0001 (telephone: 202-493-6313; email: [email protected]). For
FTA, Iyon Rosario, Senior Drug and Alcohol Program Manager, Office of
Transit Safety and Oversight (TSO), FTA, 1200 New Jersey Avenue SE,
Washington, DC 20590-0001 (telephone: 202-366-2010; email:
[email protected]).
SUPPLEMENTARY INFORMATION:
I. Authority for This Rulemaking
This rulemaking is promulgated under the authority originally
enacted in the Omnibus Transportation Employee Testing Act (OTETA) of
1991, codified at 49 U.S.C. 45102 and 45104 (aviation industry
testing), 49 U.S.C. 20140 (rail), 49 U.S.C. 31306 (motor carrier), and
49 U.S.C. 5331 (transit). OTETA requires that the Department
incorporate the Department of Health and Human Services' (HHS)
Mandatory Guidelines, including amendments, into the Department's
regulations for testing and laboratory requirements for aviation, rail
(except for rail post-accident testing),\1\ motor carrier, and transit
testing. Additional authority at 5 U.S.C. 7301 note and Executive Order
12564, establish HHS as the agency that establishes scientific and
technical guidelines for Federal workplace drug testing programs and
standards for certification of laboratories engaged in such drug
testing. While DOT has discretion concerning many aspects of its
regulations governing testing in the transportation industries'
regulated programs, DOT follows the HHS Mandatory Guidelines for the
laboratory and specimen testing procedures.
---------------------------------------------------------------------------
\1\ As will be discussed further below, post-accident
toxicological testing conducted under FRA authority is not subject
to the OTETA mandate and therefore does not follow Part 40
procedures. See 49 U.S.C. 20140(f), 40.1(c), 219.205(a), and
219.701(a)-(b).
---------------------------------------------------------------------------
On October 25, 2019, HHS published a final rule establishing the
Mandatory Guidelines for Federal Workplace Drug Testing Programs using
Oral Fluid (OFMG), which became effective January 1, 2020. (84 FR
57554, Oct. 25, 2019). As of the time of the publication of this final
rule, there have been no laboratories yet certified by HHS for oral
fluid testing.
II. Background
On November 21, 1988, the Department first published its drug
testing program regulation, ``Procedures for Transportation Workplace
Drug and Alcohol Testing Programs'', part 40 of Title 49 of the Code of
Federal Regulations (part 40), as an interim final rule (53 FR 47002).
The Department based the scientific requirements in that rule on the
1988 HHS Mandatory Guidelines for Federal Agency Employee Drug Testing
Programs (53 FR 11970, Apr. 11, 1988), which set forth the scientific
procedures for laboratories to analyze urine specimens for the presence
of specified drugs at the HHS-required cutoff levels for the initial
and confirmation tests for each specific drug in urine testing. These
cutoff levels for urine were established at levels to show use of the
specified prohibited drugs.
When the Department adopted its first drug testing final rule, we
established a procedure for urine collections generally to take place
with visual and aural privacy afforded to each employee, unless
suspicious activity under 49 CFR 40.25(f)(14), (16) and (23) called for
a direct observed collection (i.e., body-to-bottle observation). (53 FR
47002, Nov. 21, 1988). In December 2000, the Department comprehensively
rewrote part 40 into plain language. The direct observation provisions
for urine were placed in 49 CFR 40.67, with the body-to-bottle
observation requirement remaining unchanged. (65 FR 79462, Dec. 19,
2000).
Urine collections of private citizens are potentially invasive
searches and seizures subject to scrutiny under the Fourth Amendment of
the United States Constitution. Consequently, the Department has always
approached the collection of urine from transportation safety-sensitive
employees with a
[[Page 27597]]
concern for employee privacy, which must be balanced carefully against
the Department's need to protect transportation safety. The Department
protects individual rights by ensuring privacy for employees undergoing
urine testing. Allowing directly observed urine collections only for
``cause'' (e.g., suspicious activity at the collection site, previous
violations, or irregularities determined by the laboratory testing of a
specimen), but not for all urine collections under part 40, is another
protection for employees undergoing testing.
In June 2008, the Department strengthened direct observation
collection requirements to include more effective observation
procedures and expanded the circumstances that would warrant a direct
observation procedure to address cheating on drug tests. (73 FR 35961,
Jun. 25, 2008). Although the 2008 final rule was challenged in court
and initially stayed, the stay was lifted, and the final rule was
reinstated. (74 FR 37949, Jul. 30, 2019). The United States Court of
Appeals for the District of Columbia Circuit unanimously affirmed the
Department's enhanced direct observation procedures to prevent the use
of prosthetic devices used for cheating and to expand direct
observation to tests of people who had already violated the rules
(e.g., return-to-duty and follow-up tests for persons who had tested
positive or refused to test). See BNSF Railway Company v. Department of
Transportation, 566 F.3d 200 (D.C. Cir. 2009).
Before the Department's move to expand the direct observation
procedures, HHS was aware of the potential for cheating on urine tests
and had begun its own rulemaking to explore alternative testing
methods. In 2004, HHS solicited public comment on the following
alternative testing methods, all of which would be directly observed:
oral fluid, hair, and sweat testing. (69 FR 19673, Apr. 13, 2004). HHS
stated: ``Addition of these specimens to the Federal Workplace Drug
Testing Program would complement urine drug testing and aid in
combating the threat from industries devoted to subverting drug testing
through adulteration, substitution, and dilution.'' (Id. at 19675). HHS
noted that there were problems with all three of the proposed
alternative matrices but asked for additional scientific information
and sought information on appropriate levels for proficiency testing
for these alternatives.
While the science supporting oral fluid testing did not meet the
standards of HHS in 2004, science and research studies have now reached
the point where HHS has been able to determine that oral fluid testing
is an appropriate alternate testing method for identifying illicit drug
use in the Federal workplace. The scientific viability of oral fluid
testing has greatly advanced since 2004 to the point where HHS
determined, in 2019, that the methodology is accurate and appropriate
for Federal employee testing.
In its 2019 final rule, HHS stated that ``[t]he scientific basis
for the use of oral fluid as an alternative specimen for drug testing
has now been broadly established and the advances in the use of oral
fluid in detecting drugs have made it possible for this alternative
specimen to be used in Federal programs with the same level of
confidence that has been applied to the use of urine.'' (84 FR 57554;
Oct. 25, 2019). Importantly, HHS stated that its ``OFMG provide the
same scientific and forensic supportability of drug test results as the
Mandatory Guidelines for Federal Workplace Drug Testing Programs using
Urine. . . .'' Id.
In evaluating the progress of science of oral fluid testing and its
scientific viability, HHS also looked at its forensic defensibility in
workplace testing. Specifically, in its preamble to the OFMG, HHS
addressed concerns about passive exposure as the result of someone
else's drug use (e.g., from second-hand smoke) in the context of
cutoffs or metabolites used in oral fluid testing, particularly with
regard to marijuana. (84 FR 57557, 57558; Oct. 25, 2019). HHS concluded
that a 4 ng/mL screening test cutoff for THC would detect marijuana use
while eliminating possibilities of positive tests resulting from
passive exposure, as directed by the SUPPORT for Patients and
Communities Act, Public Law 115-271, Sec. 8107(b). (See 84 FR at
57558; Oct. 25, 2019).
We recognize directly observed urine specimen collections have long
been the most effective method for preventing individuals from cheating
on their drug tests by substituting or adulterating their specimens,
but directly observed urine collection may only be done in certain
circumstances due to employee privacy concerns (see 49 CFR 40.67). All
oral fluid collections are directly observed because they are always
collected in front of the collector. Unlike a directly observed urine
collection, an oral fluid collection is much less intrusive on the
tested employee's privacy. Therefore, adding oral fluid testing as an
option is consistent with the careful balancing of an individual's
right to privacy with the Department's strong interest in preserving
transportation safety by deterring illicit drug use.
OTETA specifically requires the Department to follow the HHS
Mandatory Guidelines, which are the scientific and technical guidelines
that establish comprehensive standards for all aspects of laboratory-
controlled substances testing to ensure full reliability and accuracy
in testing. Consequently, the Department published a notice of proposed
rulemaking (NPRM) that proposed to revise part 40 to add the oral fluid
testing procedures to its existing urine drug testing procedures for
safety-sensitive transportation employees subject to drug testing under
part 40 (hereinafter referred to as ``employees''). (87 FR 11156; Feb.
28, 2022). In response to public comments requesting an extension of
the comment period, we provided additional time through April 29, 2022.
(87 FR 16160; Mar. 22, 2022).
Like HHS in its OFMG, we proposed, and are now including in this
final rule, the option for employers to use either urine or oral fluid
testing (except for FRA post-accident toxicological testing).\2\ By
providing the option for an employer to choose collecting an oral fluid
specimen or a urine specimen, DOT is broadening options for the testing
of safety-sensitive employees in the transportation industries.
---------------------------------------------------------------------------
\2\ Because FRA post-accident toxicological testing requirements
in part 219, subpart C are not subject to the OTETA mandate and do
not follow Part 40 procedures, this rule does not allow oral fluid
testing for FRA post-accident toxicological testing, which still
requires urine and blood specimens, as well as body fluid and tissue
specimens for post-mortem tests. See Sec. Sec. 40.1(c),
219.203(a)(1), 219.205(a), and 219.207(a).
---------------------------------------------------------------------------
Importantly, in order for an employer to implement oral fluid
testing there must be at least two HHS-certified laboratories for oral
fluid testing. There must be one HHS-certified laboratory to conduct
the screening and confirmation drug testing on the primary specimen.
There must be a different HHS-certified laboratory to conduct the split
specimen drug testing on the secondary specimen, if the employee
requests split specimen testing for a non-negative result. As of the
date of the publication of this final rule, HHS has not yet certified
any laboratories to conduct oral fluid testing. The following is a link
to HHS-certified laboratories: https://www.samhsa.gov/workplace/drug-testing-resources/certified-lab-list As a reminder, if the employee
requests the testing of their split specimen and there is not a second
HHS-certified laboratory to test it, then the positive/adulterated/
substituted test result would be cancelled per Sec. 40.187(e) because
there
[[Page 27598]]
would not be a way for the employee to have their split specimen tested
and this would undermine the fairness and accuracy of the underlying
test. Thus, for the reasons set forth above, oral fluid testing under
part 40 cannot be fully implemented until HHS certifies at least two
laboratories.
The Department has amended some provisions of part 40 to harmonize
with pertinent sections of the urine and oral fluid HHS Mandatory
Guidelines. We have clarified certain existing part 40 provisions that
cover the handling of urine specimens, removed provisions that are no
longer necessary (such as erroneous compliance dates), added clarifying
language to other provisions (such as updated definitions and web links
where necessary), and modified a few substantive provisions to address
issues that have arisen in practice (such as whether a test cancelled
by a medical review officer (MRO) can ever be uncancelled, and whether
a Substance Abuse Professional (SAP) can conduct evaluations virtually
and across State lines). We have also modified some proposed revisions
and added some new provisions to part 40, in response to public
comments. This final rule also makes changes to the regulations of some
DOT agencies, to ensure harmonization within the Department with the
part 40 regulation.
There were 417 commenters, most of whom provided multiple
substantive and valuable points within each comment. The Department
appreciates the time and effort the commenters expended in providing
literally thousands of meaningful points. As we explained in our final
rule in December of 2000, what matters the most is not a count of how
many commenters favored or opposed a particular proposal. Instead, the
Department's ``central concern is with the substance of the comments.
In discussing comments on this rule and our response to them, we will
focus on the substance of positions that commenters expressed, and on
why we did or did not make changes in response to various comments.''
(65 FR 79462, Dec. 19, 2000). Similarly, in this preamble, with
thousands of substantive comments, we have not ``counted the number of
comments supporting a given position except in the most general way,
believing that doing so would distract from the discussion of
substantive issues.'' Id. However, we have attempted to meaningfully
address all comments, including the questions and concerns expressed
therein.
As the final part of this Background section, we are providing
readers with a Redesignation Table to provide what sections in the
existing part 40 are changing and what their new redesignations are.
Redesignation Table
Beginning with subpart D (see below), the Department is
redesignating (i.e., renumbering and reordering) numerous sections of
part 40 to provide a more easily followed flow for users of the
regulation provisions specific to oral fluid drug testing.
Redesignations of Sections in Part 40
------------------------------------------------------------------------
Old section New section
------------------------------------------------------------------------
40.35..................................... 40.36.
40.41..................................... 40.42.
40.45..................................... 40.40.
40.47..................................... 40.41.
40.49..................................... 40.44.
40.51..................................... 40.45.
40.73..................................... 40.79.
40.85..................................... 40.82.
40.87..................................... 40.85.
40.89..................................... 40.86.
40.91..................................... 40.87.
40.93..................................... 40.88.
40.95..................................... 40.89.
40.96..................................... 40.90.
40.99..................................... 40.84.
Appendix B................................ Appendix D.
Appendix C................................ Appendix E.
Appendix D................................ Appendix F.
Appendix E................................ Appendix G.
Appendix F................................ Appendix H.
Appendix G................................ Appendix I.
Appendix H................................ Appendix J.
------------------------------------------------------------------------
III. Principal Policy Considerations
Oral Fluid as an Alternate Drug Testing Method for Workplace Testing
When the HHS finalized its OFMG in 2019, it opened oral fluid
testing to Federal agencies as an alternate methodology to choose and
not as a replacement for urine drug testing. Similarly, the Department
has determined that oral fluid testing will be an option for regulated
employers and not a replacement for urine testing.
The commenters expressed many different opinions on whether oral
fluid testing should be mandated in some or all circumstances; whether
it should be purely the employer's choice; whether it should be the
employee's choice; and whether it should be the collector's choice.
There were suggestions to allow only oral fluid testing for reasonable
suspicion and post-accident testing. Some commenters wanted to see oral
fluid testing prohibited for pre-employment and random testing because
they preferred the potentially longer windows of detection of urine
versus oral fluid testing. Individuals who were concerned with
paruresis wanted the employee to be able to choose oral fluid for every
test and some of those commenters wanted urine testing banned. Some
commenters were concerned that, if we mandated oral fluid testing in
any circumstances, then every collector would need to be trained in
oral fluid collections and every collection site would need to purchase
oral fluid testing kits at an additional expense to such small
businesses. The commenters who opposed oral fluid testing generally
said they were concerned that oral fluid specimens would be used for
DNA testing, or the commenters wanted drug testing of safety sensitive
employees to stop.
As discussed earlier, HHS has determined oral fluid drug testing,
like urine drug testing, is accurate and defensible. With both drug
testing methodologies being scientifically accurate and forensically
defensible, there is no reason to eliminate either methodology.
Similarly, we see no reason to mandate either methodology. However, we
will discuss below, in reference to problem collection scenarios
covered by Sec. 40.67 (direct observation collections) and Sec.
40.193 (insufficient specimen ``shy bladder'' cases), that we strongly
suggest employers consider moving to an oral fluid testing methodology.
Employers should communicate to their consortium/third party
administrator (C/TPA) and to their collection sites whether they want
to utilize urine testing, oral fluid testing, or some combination of
both. Employers should also provide their service agents with the
specific instances that would trigger a different methodology (e.g., an
insufficient oral fluid collection should immediately become a urine
collection or vice-versa).
If we were to mandate an alternate methodology be used, but the
collection kit was not available at the collection site, the test would
likely not occur at that site. If no test occurs, that would not be in
the best interest of safety.
Those who commented that not every collection site will offer oral
fluid testing have a valid point. It is possible a collection site will
make a business decision not to offer oral fluid testing because of
costs or training issues. Although it is the ultimate duty of the
employer to ensure their collection sites are able and available to
perform testing in accordance with part 40, it would be helpful for
collections sites to notify their DOT-regulated clients that they will
not offer oral fluid collections.
It is also important to remember that under Sec. 40.209(b)(3), if
an unqualified collector were to conduct a collection, it would not
cancel the test. As we said in our 2000 preamble to Sec. 40.209, ``a
test is
[[Page 27599]]
not invalidated because a collector has not fulfilled a training
requirement. For example, suppose someone collects a specimen correctly
but has not completed required training or retraining. The test would
not be cancelled because the training requirement was not met.'' 65 FR
79472. To reflect this point, we have updated Sec. 40.209(b)(3) to add
a reference to Sec. 40.35 for oral fluid collector training, in
addition to the existing reference to Sec. 40.33 for urine collector
training. Although it would not cancel the test result if the collector
has not been trained in accordance with part 40, the collector, other
service agents, and employer involved might be found in noncompliance
as the result of the failure to meet training requirements.
Since the inception of DOT-regulated alcohol testing in 1994, we
have allowed screening testing to be conducted using saliva testing
devices, and we have required all confirmation testing to be conducted
on an evidential breath testing (EBT) device. See 49 CFR 40.231. A
facility that conducts alcohol saliva screening but that does not have
an EBT must work expeditiously with the employer to ensure that the
confirmation test takes place on an EBT.
Similarly, if a collection site only offers urine collections and
an insufficient specimen is presented or if a direct observation
collection is triggered, that collection site is expected to work
expeditiously with the employer to ensure that the oral fluid
collection occurs if the employer wants an oral fluid collection
performed for an employee. Collection sites need to make business
decisions about whether they will offer urine collections, oral fluid
collections or both. Thus, not every collector needs to be trained on
both urine and oral fluid collections unless they offer both.
The Owner-Operator Independent Drivers Association (OOIDA) asked
that we ``continue educating industry stakeholders about the scientific
and forensic supportability of oral fluid testing . . . (and) about how
oral fluid testing would be implemented and administered.'' OOIDA
reminded us that State and local law enforcement execute roadside
testing, and OOIDA wanted us to differentiate and address concerns in
the trucking industry about the differences between roadside oral fluid
drug tests and DOT's regulated laboratory tests.
The Department will continue educating industry stakeholders, as we
have always done, for urine testing and for part 40 compliance.
Traditionally, State and local law enforcement have implemented their
own testing entirely outside DOT-regulated drug testing and will
continue to do so. Often, law enforcement entities have chosen point-
of-collection testing (POCT) devices that provide initial screening
test results, instead of laboratory-based screening testing. The POCT
testing can cover the same drugs for which we test and more (or fewer)
substances. The cutoff levels of the drugs being tested for in POCT
devices differ widely among POCT devices. Thus, the differences are
varying and may be significant. We will educate our regulated
industries about DOT's regulated oral fluid testing alone. However, we
welcome our industry partners to continue to educate their memberships
about the differences they are encountering beyond DOT-regulated
testing.
In buffered collections, the employee's oral fluid is collected on
a device and then the device is subdivided into Bottles A and B, which
contain a buffering solution. The buffering solution draws the oral
fluid from the device, so that the liquid can be analyzed by the
laboratory for the drugs for which we test. OOIDA raised concerns about
whether drugs sufficiently enter the buffering solution. In its
oversight of laboratory testing under the OFMG, HHS sets the standards
for the devices and recovery of drug from the same. These are assessed
two times: first, by the manufacturer and second, during laboratory
validation of the collection device. While HHS does not certify or
validate the collection devices or the buffer, the NLCP laboratory
inspection process does ensure accuracy of the results obtained by the
laboratories as evidenced by each laboratory's method of validation
documentation which must specify the collection device(s) used. HHS
will approve each specific HHS-certified oral fluid laboratory to use
only one or more specific devices for which the laboratory can ensure
the accuracy of the results. For further discussion of this subject,
see the HHS final rule on oral fluid testing at 84 FR 57559, 57584
(Oct. 25, 2019).
Also, OOIDA stated they do not want hair testing in the DOT
regulated program. It is important to note hair testing is outside the
scope of this rulemaking, as we will discuss further in this preamble.
Finally, in response to the commenters who opposed the proposal to
allow oral fluid testing due to concerns about DNA information or who
oppose the principle of drug testing of safety-sensitive employees, we
disagree on both points. As for DNA testing, part 40 already prohibits
the DNA testing of any specimen collected for a DOT-regulated test. In
fact, this rulemaking proposed to update the prohibitions on DNA
testing contained in Sec. Sec. 40.13(c) and (e) (now Sec. Sec.
40.13(c) and (f)) to ensure that they extend to oral fluid testing.
As for the commenters who generally opposed drug testing, they
offered no data to support why eliminating drug testing would be in the
best interest of transportation safety. Instead, they merely said that
transportation safety-sensitive employees should be permitted to use
marijuana. However, it is important to remember that the beginning of
DOT-regulated testing in 1988 was prompted by marijuana-related
accidents that occurred in 1985 (two New York City subway accidents)
and 1987 (one railroad accident in Chase, Maryland).
Whether Using Oral Fluid Testing as an Alternate Method Can Reduce
Costs
In the proposal for this rulemaking, we stated that oral fluid
testing is generally less expensive than urine testing. We said an oral
fluid test can cost between $10 to $20 less than a urine test (e.g.,
about $50 for a typical urine testing process, vs. about $35 for an
oral fluid testing process, with the largest part of the difference
being attributable to the collection process). We asked for public
comment on the costs of oral fluid testing as compared to urine testing
to affirm or adjust this cost assumption.
The majority of commenters on this point said the cost of an oral
fluid test would be more expensive than a urine test, but that there
were other, mostly unquantifiable benefits that oral fluid testing
would bring. Specifically, those benefits included: eliminating the
costs of shy bladder evaluations; alleviating the burden on individuals
who cannot produce a sufficient urine specimen due to a psychological
and/or physical medical condition; opening transportation safety-
sensitive employment possibilities to many who have disabilities
rendering them unable to produce an adequate urine specimen; and the
thwarting of cheating. Many commenters said these benefits would
outweigh the additional costs of conducting an oral fluid specimen
collection.
Several commenters who conduct non-DOT collections said
laboratories currently conducting oral fluid testing charge about $4.00
per buffered collection device, versus urine collection devices that
are provided at no charge. A number of commenters in the laboratory and
manufacturing businesses explained the need to charge because the
buffering solutions included
[[Page 27600]]
in the oral fluid collection tubes are an added expense. Urine specimen
collection devices are empty plastic containers, with no solutions
involved, and are thus less expensive to provide and need no Food and
Drug Administration (FDA) approval. In addition, the oral fluid
collection kits expire, often as soon as twelve months after
manufacturing because of the limited shelf life of the buffering
solution and sometimes the collection pads themselves, which are
included in the collection kits. Collection sites noted that they not
only pay the $4.00 per oral fluid collection kit, but then they must
discard each kit that expires before it is used. Of course, urine
collection kits do not expire.
We proposed the use of a single oral fluid collection device that
would be subdivided in the presence of the donor, as required by OTETA.
Some commenters expressed appreciation that DOT would use a single
device versus two separate devices. Those commenters noted that even if
the single device were to be subdivided, it might cost more than $4.00,
but was not likely to be the same expense as two separate kits at $4.00
each, which could have different expiration dates. Some commenters
suggested the new devices would cost no more than $4.00 each, giving
the new devices appeal in the non-DOT oral fluid market, also. They
said the oral fluid device manufacturers and the laboratories would
want to keep up with the DOT's requirements for DOT-regulated testing
and they would not want to price themselves out of the market for non-
DOT testing, since many in the non-DOT market would follow DOT's
requirements, as they now do.
We had a tremendous number of comments from individuals who have an
inability to provide a sufficient quantity of urine due to a
psychological condition known as paruresis. Individuals in this group
told stories of losing their careers due to an inability to provide a
sufficient quantity of urine. Others said they chose not to pursue
transportation safety-sensitive careers because of the requirements of
urine testing. Some commenters told of aspirations of becoming
commercial truck drivers or airline pilots, once the perceived barrier
of urine testing is removed. With the option of oral fluid testing
methodology, these individuals emphasized their marketability in the
transportation workplace would increase.
While part 40 has a process for a medical evaluation to be
conducted to determine if one's inability to provide urine is
legitimate under Sec. 40.193, the commenters noted the process was
arduous for them and expensive. In addition, such individuals often do
not have a diagnosis of a pre-existing psychological condition that
would substantiate their inability to provide a sufficient quantity of
urine. We received comments from the International Paruresis
Association (IPA), who thoroughly explained the condition of paruresis.
The IPA and the individual commenters applauded DOT for proposing to
allow oral fluid testing. Many asked for the Department to end urine
testing or to allow employees to choose the methodology that would be
used for their testing. By allowing the employee to choose the
methodology, they believed those with paruresis could receive a
reasonable accommodation without needing to disclose their disability
to their respective employer or prospective employer.
We asked for public comment about the number of shy bladder
evaluations that are occurring and how much they cost. We did not
receive any public comment to add clarity to those points.
Overall, the commenters did not provide specific data on the
numbers we sought clarification on through the public notice and
comment process, but they did provide many comments about the
qualitative improvements to DOT drug testing that would be added
through the adoption of oral fluid testing. Consequently, we adjusted
our approach to the economic analysis for this rule. Instead of the
quantitative economic analysis we began in the NPRM, we have conducted
a qualitative analysis for this final rule.
As discussed above under Oral Fluid as an Alternate Methodology
section, we have decided to make oral fluid testing available to
employers as an alternate methodology to urine testing. We are not
eliminating urine testing. We are including oral fluid testing as an
option available to employers. Whether an oral fluid or urine test is
administered is the employer's choice and not the choice of the
employee, for the reasons explained in this preamble.
Who will perform the oral fluid collection?
Recognizing that employers often utilize the services of external
qualified collectors for urine testing, we asked for comment as to
whether this would continue for oral fluid testing, or if employers
would train their own company personnel to become qualified collectors
for oral fluid testing purposes. We also specifically asked if
companies thought they would train internal personnel instead of
contracting with external providers, whether this would this be due to
costs, convenience or other reasons, and what would be the cost
implications of the two approaches.
The majority of commenters disagreed with the concept of employers
conducting their own collections. The commenters cited concerns such as
invasion of privacy by supervisors and a lack of professionalism if an
employer's own staff conducted oral fluid collections. Other commenters
said allowing a co-worker to conduct oral fluid collections would lead
to fraud because an employee with a substance use disorder might
influence the objectivity of a colleague who is collecting. Some
employers said that they would not want to incur the training costs or
liability for their corporate employees to conduct collections. Some
commenters wondered if internal collectors would thwart the testing
process so that their fellow employees would not test positive. A few
external collectors worried that in-house collections would lead to
less demand for external collectors, thereby driving up costs for those
who still want to use external collectors. One collection company
polled its clients and found that 90 percent of their clients would
continue to use external collectors.
Even those who favored internal collections agreed that there
should be limitations on internal collectors within an employer's
organization. They supported the proposal to make it clear that
employees, relatives, and close friends of the employees cannot conduct
collections, consistent with existing guidance in the Department's
Urine Specimen Collection Guidelines, which can be found at: https://www.transportation.gov/odapc/urine-specimen-collection-guidelines.
Interestingly, many of those commenters appeared not to realize
that employers have been allowed to collect urine specimens in-house
for more than 30 years. For example, some of the large employers in the
transportation industries have on-site clinics and regularly conduct
many urine collections, including those requiring direct observation
collections. Thus, we were asking more about whether oral fluid
collections would occur externally or in-house, and were separately
proposing the existing constraints regarding employees, relatives, and
close friends of the employees as we have in urine testing.
We have amended Sec. 40.31 to separately specify the requirements
for collectors of urine and oral fluid specimens, respectively. We have
adopted wording to require oral fluid collectors to be qualified. The
final rule clarifies that employees, relatives, and
[[Page 27601]]
close friends of the employees cannot conduct collections, consistent
with existing guidance in the Department's Urine Specimen Collection
Guidelines.
Allowing Alternate Specimens Provides Flexibility to Employers
The Department proposed to offer employers flexibility in the type
of specimen they collect. This final rule provides flexibility to
employers in most situations, although we strongly encourage employers
to consider having an alternate methodology ready and available to plan
for contingencies (e.g., an employee's inability to produce a
sufficient specimen as a permanent, long-term, or short-term condition;
direct observation urine collections that could be handled easily by
switching to oral fluid testing; reasonable accommodation requests;
etc.).
In addition, when an employer offers both oral fluid and urine
testing, this can afford flexibility and other benefits. For example,
when an employer determines that a DOT post-accident or a reasonable
cause/suspicion test is needed, an oral fluid collection could be done
at the scene of the accident or the workplace without the need to
provide access to a bathroom. Oral fluid testing allows the collection
to be done by any oral fluid collector qualified under part 40--either
an external contractor or an employee the DOT-regulated employer
dispatches to the scene of the accident or incident. In addition,
offering both urine and oral fluid testing would permit an employer and
its service agent to efficiently deal with situations when an employee
cannot provide a sufficient specimen. Finally, having the flexibility
of both options allows an employer and its service agent the ability to
perform a directly observed collection as an oral fluid test, without
concerns about the gender of the observer.
Understanding Windows of Detection
As discussed earlier, like urine testing, oral fluid testing is
scientifically accurate and forensically defensible. As our scientific
authority for drug testing under OTETA, HHS has determined that oral
fluid testing, set at the cutoffs established by HHS, meets the
requirements for accurate Federal drug testing.
Urine and oral fluid specimen testing each offer different benefits
and limitations in assisting employers in detecting and deterring
illegal drug use, and no single specimen type is perfect for every
situation. In an effort to assist employers in understanding some
benefits and limitations to each methodology, we reviewed and
referenced various scientific sources in compiling a table of the
windows of detection. This table provided information regarding the
specific timeframe in which an oral fluid or a urine drug test could
identify the presence of the drugs for which we test. We asked for
public comment on the accuracy and completeness of the information in
the windows of detection table we provided.
We received a few public comments on the actual information in the
table. A couple of commenters believed that the windows of detection we
had listed for oral fluid testing were too long. Several commenters
suggested that we remove the table from the final rule, saying that it
caused confusion. Another commenter cautioned that windows of detection
should be interpreted carefully because the results depend on study
design and context. They noted that the window of detection ``for a
single dose may differ from those observed in individuals who are
regular users. In addition, route of administration has significant
impact on concentrations and detection of drugs in oral fluid over
time.'' That commenter, a laboratory, also noted, ``in general,
detection windows in oral fluid are shorter than those in urine, but it
should not be inferred that the cutoffs are equivalent''. Another
laboratory cautioned against including a windows of detection table in
the final rule because ``the Federal Register is not updated each time
a new scientific reference becomes available that may or may not
support the duration and literature referenced was very limited and not
very recently published.'' Quest Diagnostics discussed the complexity
in understanding windows of detection due to ``numerous variables in
play including: drug dose, drug purity, route of administration, time
since dosing, individual metabolic rate variability and hydration state
(for urine).'' As the study of oral fluid continues, Quest Diagnostics
noted ``more data will be forthcoming as oral fluid testing is
instituted across the United States that will provide more detailed
information about oral fluid detection windows which will make these
stated detection windows obsolete and likely misleading.''
Many commenters relied on the shorter windows of detection for oral
fluid testing listed in the table from the preamble to the NPRM to
reach the assumption that oral fluid test results are more akin to
impairment tests. That is not a correct assumption. While oral fluid
testing may provide a better indicator of an employee's recent use of
the drug, it also detects frequent users. Furthermore, there is no
definitive drug impairment test. Importantly, the DOT testing program
is a deterrence-based program to prevent illegal drug use, not an
impairment testing program.
We agree with the commenters who cautioned against including a
windows of detection table in the final rule. Any information that is
accurate today in a table of windows of detection may not be accurate
shortly thereafter, as oral fluid testing is deployed by DOT-regulated
employers and related research on the windows of detection continues.
For the reasons stated above, we have removed the windows of detection
table and we note that oral fluid windows of detection will likely be
shorter than for urine. Employers, working in conjunction with their
service agents, should determine whether urine or oral fluid collection
is best for their program and in what contexts.
Substance Abuse Professional Issues
For more than twenty years, part 40 has been clear that all
evaluations with a Substance Abuse Professional (SAP) must be face-to-
face and in-person. During the COVID-19 public health emergency, we
realized conducting face-to-face in-person evaluations may not be
possible or advisable for certain individuals. As a result, the
Department issued a notice of enforcement discretion on April 4, 2020,
to allow SAPs to conduct, for a specified period of time, what we
called ``face-to-face remote evaluations''. We extended that notice
several times from 2020-2022, and on December 20, 2022, we extended the
notice to remain in effect until the effective date of this final rule.
(https://www.transportation.gov/odapc/Statement_of_Enforcement_Discretion_SAPs)
To make a remote evaluation as effective as possible, within the
notice of enforcement discretion we provided, we said the technology
the SAP uses should permit a real-time two-way audio and visual
communication and interaction between the SAP and the employee. We said
the SAP should determine if the quality of the technology (e.g., speed
of the internet connection, clarity of the display, application being
used, etc.) is sufficient for the SAP to gather all the visual (e.g.,
non-verbal physical cues) and audible information you would normally
observe in an in-person face-to-face interaction. In other words, the
SAP must be able to objectively evaluate verbal, non-verbal and
physical characteristics to a sufficient extent through the chosen
technology. We added that SAPs should document the format of the
assessment in the final
[[Page 27602]]
SAP report. We also stated we would not consider a remote evaluation to
be an act of serious noncompliance meriting resort to the Public
Interest Exclusion (PIE) process.
We proposed amendments to several sections of subpart O of part 40
to make the notice of enforcement discretion permanent. We proposed and
are adopting modifications to Sec. 40.291(a)(1) to allow the SAP to
conduct the evaluations either in-person or remotely, with criteria
based on those from the COVID-19 notice as conditions for remote
evaluations. First, the revisions require the technology used to permit
real-time two-way audio and visual interaction between the SAP and the
employee (i.e., a conversation without video would not meet this
criterion). Second, the quality of the technology (e.g., speed of the
internet connection, clarity of the display) must be sufficient to
allow the SAP to gather all the visual and audible information the SAP
would normally observe in a face-to-face in-person interaction. In
addition, the technology must incorporate sufficiently robust security
to protect the confidentiality of the conversation. Third, a SAP can
only use the technology in question if the SAP's State-issued license
authorizes the SAP to do so (e.g., a State license may permit a
practitioner to work only with clients in the State of licensure).
On a second but related topic, we asked for public comment about
whether a SAP's respective ``qualifying credential'' (i.e., State
license or other credential under Sec. 40.281) would allow them to
evaluate individuals who live in a different State from where the SAP
is licensed. We asked if this was already allowed, especially since
virtual video evaluations are often done outside of the DOT-regulated
context. We also asked for public comment about what steps a SAP, who
is remotely evaluating an individual outside of the SAP's locality,
could take to ensure a working knowledge of quality programs and
qualified counselors available to the employee when recommending a
course of treatment and/or education.
The comments we received on SAP remote evaluations and crossing
``State lines'' were thought-provoking and abundant. There were many
supporting, opposing, qualifying and suggesting improvements to the
proposals. We will discuss them in-depth.
Regarding remote SAP evaluations, the majority of commenters
enthusiastically supported the proposal. Many commenters who identified
themselves as qualified SAPs who have practiced for years said remote
evaluations offered unforeseen benefits. Several said they had learned
to use technology to better study the employee's mannerisms, facial
expressions, and nonverbal cues as effectively as they could for their
in-person consultations. One SAP admitted to not being receptive to
remote evaluations before the COVID-19 public health emergency, but
acknowledged that ``everything has changed, including people's
receptivity to virtual interactions . . . even extensive treatment is
often virtual.'' That same SAP acknowledged reading comments from other
SAPs who do not support virtual evaluations, but strongly disagreed
with those fellow commenters because of the advances in telehealth and
the skills SAPs are developing for evaluating clients virtually as
effectively as in-person. Specifically, this SAP and many others
recognized that they had built skill in assessing eye movement,
involuntary body twitches, and other aspects of nonverbal indicators
that are key to accurate and complete evaluations. One SAP pointed out
there would be no difference between a virtual and an in-person
evaluation if the technology is ``sufficient to allow the SAP to gather
all visual and audible information that would be apparent in a face-to-
face interaction.'' One commenter wanted DOT to gather more information
on the effectiveness of remote evaluations, believing the SAP will miss
too many details if the evaluation is not conducted in-person. However,
with the advances in telehealth and the robust comments by the many
SAPs who took the time to comment, we believe that we have reliable
information from practicing SAPs who are confident that face-to-face
remote evaluations are as effective as in-person face-to-face
evaluations.
In addition, several practicing SAPs said they learn more about the
employee and circumstances in virtual assessments in the home of the
employee, because the SAP can ``speak to family members and obtain
other collateral information that is not always readily available in
the office setting.'' Some said that the employees seem to be more
relaxed and communicative when they can participate from the comfort of
their home. Several SAPs believed it is less stressful for employees in
remote areas to be able to see a SAP without having to travel to the
SAP's office. Many SAPs expressed gratitude about the reduction in cost
to the employees, who often needed to travel significant distances to
see the SAP in-person. Several SAPs said that this innovation that
arose temporarily during 2020-2022 should be finalized because it
created access to evaluation for many employees who were at a loss for
where to go to seek help, especially for those who live in remote rural
areas.
Some SAPs mentioned multiple ``safety'' factors as a reason to
allow remote evaluations. One said, ``If someone has been removed from
safety-sensitive duties . . . meeting remotely keeps them off the road
further lessening the potential for harm to the public.'' Another SAP
pointed out that, after an employee was ``drinking and driving, does it
really make sense to say `hey I know you were under the influence while
driving, but can you get in your car and come see me?' '' Some of the
SAPs said that there are occasional personal safety issues with
employees who are angry because of their non-negative results or
refusals. One commenter who has been involved with SAP evaluations and
training for more than 30 years said, ``virtual assessments have
increased personal safety for SAPs dealing with belligerent
employees.'' Multiple SAP commenters noted the personal safety issues
are significantly lessened when the contact between the employee and
the SAP can be conducted virtually.
A number of SAPs noted a reduction in cost for themselves. Although
there was an initial cost of setting up the details for conducting
remote evaluations generally (e.g., subscribing to HIPAA-compliant
software platforms, obtaining the right equipment for audio and visual
interactions), the costs of not needing to conduct evaluations in a
formal office setting was a significant cost savings. One SAP asked if
we could allow post office boxes for the SAP's address because many
SAPs no longer maintain a professional office space outside their home.
Regarding the use of a post office box instead of a physical
address, we will not consider that change at this time. While many SAPs
conduct a significant number of evaluations virtually, we are still
maintaining the option for in-person evaluations. In some situations,
in-person evaluations may be the best choice and we want to ensure that
SAPs consider that. Also, having a physical location where DOT can
inspect, audit, or investigate a SAP and their records is important,
and we require this of service agents in part 40. If the SAP chooses to
run their operations from their home, they must furnish the address
from that place of business on their letterhead. If using one's home
address is not acceptable to an individual SAP, they must continue to
provide a physical commercial location address for part 40 purposes.
[[Page 27603]]
In not allowing SAPs to use post office boxes, we are being
consistent with our Question and Answer from September of 2001, which
reads, in pertinent part, as follows: ``May the MRO's address entered
on the CCF be a post-office box number only? . . . No. The address must
contain at least a number and street address. . . . The post-office box
can be included, but not in lieu of the number and street address.''
https://www.transportation.gov/odapc/part40QA/40-311 We are also adding
this reminder to Sec. 40.40(c)(2), to note MRO addresses must not be
simply a post office box.
The SAP commenters who favored allowing remote evaluations agreed
the technology must provide real-time audio and visual interaction
between the SAP and the employee. We agree that an audio call, alone,
will not satisfy the requirements of part 40 or the expectations of
these professionals.
Technology security concerns were on the mind of some commenters,
also. Many SAPs suggested that we require a HIPAA-compliant software or
platform for these audio-visual interactions. Commenters also
recommended using high-level platforms to ensure confidentiality, and
not merely commercial platforms that are available for video calls.
It is important to note that HIPAA does not apply to the DOT
testing, which involves searches and seizures under the Fourth
Amendment of the United States Constitution. However, we recognize SAPs
may be required by the State that licenses the SAP to follow HIPAA as
part of their clinical evaluations. While we will not require specific
software and we will not reference HIPAA compliance as a criteria, we
have specified in Sec. 40.291(a)(1)(ii) of the final rule the
performance standard that the technology must provide ``security to
protect the confidentiality of the communication.'' We also added
language to Sec. 40.291 to explain that the technology needs to be at
the expected level of confidentiality and security as is required for
substance abuse evaluations. It is important to note that this is a
performance standard. We did not prescribe exact measures, which may
currently be appropriate, because those standards will change, and we
want to ensure the most effective standards continue to be applied.
Often, the individual State's licensing and/or private
credentialing authority set ethical and confidentiality criteria for
licensed professionals who are performing their duties via virtual
platforms. Some of the SAP commenters have noted that there are
additional ethical guidelines and standards that they follow in order
to provide remote evaluation services. Sometimes these additional
requirements are set by the qualifying credential authorities, other
times these are guidelines the SAPs follow because they are recommended
by the professional organizations with which they affiliate. We urge
SAPs to continue to follow their respective codes of ethics and
confidentiality. The ethics of using video technology is an evolving
field, and we expect SAPs to keep up with their ethical requirements as
this aspect of their profession continues to improve and evolve.
One SAP suggested that we make telehealth education part of SAP
training. We will not require that because not all SAPs will offer
remote evaluations. Also, SAP training should continue to focus upon
part 40 requirements and not about generally how to practice more
effectively.
SAPs who opposed the proposal varied in wanting to see remote
evaluations prohibited versus allowed in special circumstances. Some
commenters only wanted to see remote evaluations when there is a
pandemic, while others would support remote evaluations in a national
crisis or in situations where the employee was located hundreds of
miles from the nearest SAP. Other SAPs disliked remote evaluations
because ``paperwork and payment'' are better collected in person. Some
SAP commenters were concerned about employees ``shopping for less
expensive SAPs'' outside their own high-cost zip code. Conversely, one
commenter who favored the remote evaluation option said that this
reduction in cost for the out-of-work employee was exactly why the
Department should allow an employee to seek a SAP outside their home
area. Also, SAPs who opposed remote evaluations said it would be
difficult to find qualified and appropriate treatment resources outside
the SAP's local area, while other SAPs said this would not be a problem
because of the ability to search for treatment resources on the
internet. Those SAPs who suggested using the internet also said the SAP
would then call the treatment facility to establish communication and
determine if the treatment resource was appropriate for the employee's
needs.
One employer's association provided a reply to other commenters who
wanted the SAP to justify why a remote evaluation is being held instead
of an in-person evaluation. The employer's association recommended
allowing the SAP to choose remote or in-person without the need to
justify one over the other ``because `DOT cannot predict and codify the
wide range of circumstances that could reasonably justify remote SAP
evaluation, nor could employers effectively determine whether a
particular circumstance is appropriate if the DOT applies an ambiguous
standard, like `extraordinary circumstances'.'' Reply comments such as
this are very helpful to us as regulators, and we thank this commenter
and others who took the time to read and respond to the comments of
others.
Commenters who favored and those who opposed the proposal were
almost unanimous in wanting in-person evaluations to continue as an
option. That option should be decided by the SAP, many of the
commenters said.
We had proposed and agree with allowing SAPs the option of choosing
to conduct face-to-face evaluations remotely in lieu of in-person
meetings, and never proposed for the in-person evaluations to be
eliminated. We have decided to adopt the proposed provision with minor
modifications. We agree with the commenters and will permit both
evaluations in-person or via virtual technology meeting the
requirements of part 40. The choice of which option to use will be the
decision of the SAP, without any need to justify the use of one or the
other.
With SAPs being permitted to conduct remote evaluations, we
anticipated the issue of SAPs providing evaluations across State lines
would be something we needed to address. On this subject, we received a
few favorable comments, but most commenters disagreed with the
Department taking action in this area.
Some commenters had no objections to a SAP providing part 40
services outside the State in which the SAP is licensed. One of these
commenters noted the MROs are licensed in one State but are permitted
to provide MRO services under part 40 in all 50 States, the U.S.
Territories, Canada and Mexico. Other commenters said they had no
objections to allowing SAPs to practice across State lines, as long as
part 40 clarified that the SAP could specifically do so as a qualified
SAP under part 40. Some told us their certifications as ``national'' or
``international'' drug and alcohol counselors, which they received
through larger organizations that administer the SAP examinations,
already allow them to practice throughout the United States. Also,
several commenters, who are practicing SAPs, told us their licensing
States already allowed them to practice across State lines.
Consequently, within the parameters of their own State's licensure,
they have been conducting
[[Page 27604]]
SAP evaluations of DOT-regulated employees for approximately two years.
Another SAP told us the licensure from their State ``does not permit me
to conduct assessments across state lines, however, I have an
additional certification for telemental health (BC-TMH). Together, my
credentials permit me to practice both counseling and my SAP
assessments remotely.'' One commenter asserted that ``SAP is a federal
qualification and I believe we should be permitted by federal
designation to see a DOT-governed employee from anywhere.'' Another
commenter stated, ``As a federal program, drug testing requirements for
transportation workers already span jurisdictions; it follows that an
SAP should likewise be able to conduct evaluations across jurisdictions
. . .'' An MRO association characterized the SAP as ``not a treatment
provider, just as the MRO is not a treatment provider for donors. . . .
Thus, performing a substance abuse assessment and recommending
treatment and a plan, the SAP would unlikely be in violation of any
state practice act.''
The commenters who opposed allowing practice across State lines
said there was value in State licensing and overseeing counselors who
provide services to individuals within the State. Others who disfavored
the proposal raised the argument addressed above about a distant SAP
not knowing the treatment facilities that offer the appropriate
treatment for an individual employee.
The commenters have made it clear that there is much confusion
about whether a SAP can practice across State lines. It is also clear
that this is an evolving topic, having nothing to do with part 40. The
States, individually, are addressing needs that have arisen during the
past two years and the resulting evolution of telehealth options. The
SAP certification organizations (see Sec. 40.283) should make their
own determinations about whether those individuals who hold their
respective qualifying credential can practice throughout the United
States. SAPs should continue to keep informed about the permissions and
jurisdictional limitations of their qualifying credentials. If a State
licensing authority or DOT-recognized credentialing organization
decides that it is appropriate for one or more of their authorized
practitioner categories that qualifies a person to be a SAP to practice
across State lines, DOT will defer to that granting authority.
With that said, in the short-term, the current inconsistency as to
where a SAP can practice remotely is creating problems for some DOT-
regulated employees who are seeking SAP services. With an in-person SAP
evaluation, the employee sits in the SAP's own office, and there is no
question that the SAP is licensed to practice in their own office.
Unique to a remote SAP evaluation, an employee may not be located in
the same geographic jurisdiction where the SAP is authorized to
practice, thereby making the SAP's underlying qualifying credential not
valid for that particular evaluation. Under the DOT COVID-19 notice
allowing remote evaluations, we stated: ``You may only utilize the
technology if your State-issued license authorizes you to do so and
within the parameters of that authority.'' Consequently, any SAP who
evaluates an employee outside the parameters of the SAP's State-issued
license or other credential is acting without authority and violating
part 40. To address this, we have added a new Sec. 40.281(f) to create
a limitation on an otherwise qualified SAP under this part who conducts
evaluations outside the geographic limitations applicable to their
credential.
Some otherwise qualified SAPs have acted outside their authority
and created problems for employees who received evaluations under the
DOT COVID-19 notice. When we have learned that a qualified SAP
evaluated an employee outside the SAP's authorized geographic
jurisdiction, we have asked the employee to seek the services of a
different SAP who is qualified and can conduct the evaluation as
permitted by their credential. There has been no other option under
part 40 until this final rule.
However, we acknowledge the costs of having an out-of-work employee
seek and pay for a second SAP evaluation is an unfair and unintended
consequence of allowing remote evaluations. Therefore, we are adding a
new Sec. 40.297(c) to notify the otherwise qualified SAP (see Sec.
40.281(a) through (d)) that they must not perform evaluations outside
the geographic jurisdiction of their credential(s). If the SAP who made
the evaluation exceeds their geographic jurisdiction, the employee will
not be required to seek the evaluation of a second SAP. The evaluation
and assessment of the SAP is still valid for the employee, even if the
SAP has failed to follow Sec. 40.297(c) by exceeding their geographic
jurisdiction. The employer must carry out the follow-up testing plan of
the SAP, even though the SAP was acting outside their geographic
jurisdiction. We have added a new Sec. 40.303(d) to let employers know
they can utilize such evaluations and follow-up plans, if they choose
to return the employee to work. We believe that these new sections,
along with new Sec. 40.281(f), address the unintended consequences of
costs and stress to employees.
The new Sec. Sec. 40.281(f) and 40.297(c) also require that a
qualified SAP must not evaluate any employee outside the jurisdiction
in which the SAP can practice. In other words, the intention is to
prohibit the SAP from crossing geographic lines without authority and
to relieve the employee from the need to pay the cost of seeking a new
SAP evaluation. If the SAP engages in evaluations outside the limits of
their credential, then this activity could constitute serious
noncompliance and the SAP could be subject to a PIE.
Finally, as a compliance reminder: Every SAP is expected to be
aware of the specific requirements of their State or credentialing
authority and may not be authorized to practice across State lines.
Some of the SAPs who commented that they have national and
international credentials through certain organizations may not be
correct and should check with those organizations who, previously, have
told us their credentials are not nationwide. It will benefit both the
SAP and every DOT-regulated employee they evaluate to know what their
geographic jurisdiction is.
Using Identification Numbers Other Than a Social Security Number or
Employee Identification Number
Since the inception of the DOT's drug testing program, the Federal
Drug Testing Custody and Control Form (CCF) has included a space for
the Social Security Number or Employee Identification Number (SSN or
Employee ID No.). We proposed to add a new definition for ``SSN or
Employee ID No.'', and some minor changes to rule language that
mentioned ``SSN'' in Sec. Sec. 40.14, 40.45, 40.97, 40.163, and
40.311. The rationale for the change includes privacy concerns and
identity theft considerations that arose over the years since the 1988
inception of part 40. Also prompting these amendments was a final rule
in 2016, in which the Federal Motor Carrier Safety Administration
(FMCSA) changed the information Commercial Driver's License (CDL)
holders and Commercial Learner's Permit (CLP) holders must provide on
the CCF and Alcohol Testing Form (ATF). Specifically, in 2016, FMCSA
amended 49 CFR 382.123(a) and (b) to require FMCSA-regulated drivers
undergoing DOT-regulated testing and their employers to use the CDL
number and State of issuance,
[[Page 27605]]
instead of the SSN or other employee ID number, on the CCF and ATF for
all drug and alcohol tests conducted under 49 CFR part 382 (part 382).
See FMCSA's Commercial Driver's License Drug and Alcohol Clearinghouse
(Clearinghouse) final rule (81 FR 87686; Dec. 5, 2016). The
Clearinghouse final rule did not affect or otherwise allow use of the
CDL number for a CDL driver operating under another DOT agency's
regulation and subject to a test not under part 382 (e.g., employers of
CDL drivers under the Pipeline and Hazardous Materials Safety
Administration (PHMSA) or FTA).
To address the concerns about using SSNs and to conform to the
existing requirement for CDL numbers to be used for employees regulated
by FMCSA, we proposed changing the provisions of part 40 requiring the
use of the employee's SSN or an employee ID number. We proposed a
definition of the term ``SSN or Employee ID No.'' in Sec. 40.3, as
well as amendments to sections pertaining to the CCF and/or the Alcohol
Testing Form (ATF), and in SAP reports. We proposed to require CDL
numbers for FMCSA-regulated employees, for consistency with part 382.
We proposed to add that identification numbers issued by States or the
Federal government would also be allowed for employees not regulated by
the FMCSA.
We received several public comments on this issue. The majority of
those commenters favored allowing alternate identification numbers,
citing concerns about the employee's security, privacy, and wanting to
protect employees from potential identity theft. Some commenters
suggested we only allow the last four digits of the SSN to be used.
Those opposed to the proposed changes thought the only modification to
part 40 should be to allow FMCSA-regulated employees to use their CDL
numbers. Those commenters thought allowing others to use their driver's
license number would result in violations unrelated to FMCSA-required
testing erroneously being reported to the FMCSA's Clearinghouse.
Finally, some of the commenters asked what to do when presented with a
form of identification that has ``expired''.
Switching to using the last four digits of the SSN would not
resolve the concerns about privacy and identity fraud adequately
because some part of the SSN would still be used. In addition, for
laboratories that receive thousands, and in some cases tens of
thousands, of CCFs each day, it is not uncommon for those labs to
receive multiple CCFs with the same last four digits.
We acknowledge the concerns about violations being incorrectly
entered into the FMCSA Clearinghouse if an employee who is not
regulated by the FMCSA provides their driver's license number. Some
States use the same number format for a CDL as for any private driver's
license number issued by the State. In some States, the CDL holder does
not have a separate private license for driving their own car--only the
CDL is issued. However, the essence of the concern is not so much about
the number being used as it is about the entry of incorrect data into
the FMCSA's Clearinghouse by program participants.
We have weighed the various considerations raised by the commenters
and have adopted the proposed language in each section because the
confusion the commenters are concerned about can be addressed with the
program participants who may incorrectly enter data into the FMCSA's
Clearinghouse. We will not remove the option for an employee to provide
their SSN because that specific term currently appears on the CCF. In
the future, if that term is ever removed from the CCF, which belongs to
HHS, we would consider amending these part 40 provisions to exclude the
SSN.
The new definition ``SSN or Employee No.'' will allow a collector,
MRO, SAP, Breath Alcohol Technician (BAT), Screening Test Technician
(STT) or other service agent or employer to utilize only the CDL number
and State of issuance for FMCSA-regulated drivers tested under part
382, and to allow the CDL number to be used as an option on tests
conducted under the authority of the other DOT agencies. The definition
also allows any other State- or federally issued identification number
to fulfill the part 40 requirement for a unique identification number.
Since States often do not differentiate between CDL numbers and
private driver's license numbers, we will continue to remind employers
and collectors to be very specific about the exact DOT agency
regulation under which the employee will be tested. An employer
directly, or through its service agent, must check the block for the
``Specific DOT Agency'' on Step 1.D. of the CCF. The name of each
agency is provided in Step 1.D. (i.e., FMCSA, FAA, FRA, FTA, PHMSA,
USCG). When the employer sends the employee to the collection site, the
employer must be clear with the collector as to what specific DOT
agency regulates the test, as required by Sec. 40.14(g). The
collector, in turn, is expected to ensure that the correct DOT agency
is checked, unless the employer has already checked the box. If unsure,
without delaying conducting the actual test, the collector should
contact the employer to ask what specific DOT agency regulates the
test. Checking the correct block in Step 1.D.'s ``Specific DOT Agency''
block is as important as checking the correct box for the ``Reason for
Test'' in Step 1.E. Employers and collectors are, and should be, aware
that not knowing the correct reason for the test may subject an
employee wrongfully to a direct observation collection or may fail to
ensure that an employee is subject to a direct observation when they
need to be observed. Similarly, checking the wrong box in Step 1.D.
will have potentially incorrect consequences if the employee has a non-
negative result. We will continue to educate and remind employers and
collectors to appreciate the need for identifying the correct DOT
agency on the testing form.
If an employee is wrongfully identified as an FMCSA-regulated
employee during the collection process, the MRO is likely to discover
this in the verification interview for a non-negative result. For
example, during the verification interview some MROs simply ask the
employee what they do for the employer. In any case, if the MRO finds
the FMCSA box was incorrectly checked, the MRO must not report the
verified non-negative result to the FMCSA's Clearinghouse. The only
employees whose results are ever reported to the FMCSA's Clearinghouse
are those employees who have taken an FMCSA-regulated test.
Similarly, if the employer is determining whether or not a
collection site refusal has taken place and finds that the FMCSA box
was incorrectly checked, the employer must not report the refusal to
the FMCSA's Clearinghouse. Since only the employer or the MRO can enter
a violation into the FMCSA's Clearinghouse, these are the only program
participants who can correct their own entries, including when they
have incorrectly identified an employee as an FMCSA-regulated
individual when they are not.
Finally, we recognize the issue of employees using expired forms of
identification at the collection site has been an ongoing problem. As
we have advised for several years, we want collectors to know it is
acceptable to accept an expired photo ID issued by a Federal, State, or
local government agency, if the ID has not been expired for more than 1
year. This information is contained in the current Office of Drug and
Alcohol (ODAPC) Urine Collection Guidelines and will be added to the
ODAPC Oral Fluid Specimen Collection Guidelines.
[[Page 27606]]
Medical Review Officer Reversal of Test Cancellations
In part 40, there are many instances where an MRO would cancel a
drug test result. These are set forth in Sec. 40.133 (when verifying
an invalid result without a donor interview), Sec. 40.145 (if there is
a legitimate explanation for an adulterated or substituted result),
Sec. 40.159 (for various specific explanations for an invalid result),
Sec. 40.161 (after laboratory rejection of a fatal flaw or an
uncorrected flaw); Sec. 40.187 (if a split fails to reconfirm or
bottle B is unavailable for testing); Sec. 40.191 (if there is a
refusal to go for a medical examination where there is no contingent
offer of employment on a pre-employment test); Sec. 40.193 (where
there is an acceptable medical explanation for an insufficient
specimen); Sec. 40.195 (if a medical examination reveals clinical
evidence of drug use), and Sec. 40.199 (after the laboratory reports a
fatal flaw). We did not propose any of these types of cancellations as
grounds for reversing a cancelled test.
Instead, the proposal addressed situations where a test is
cancelled due to paperwork errors, which would be correctable flaws,
but which were not corrected before the MRO sent the cancellation to
the employer. Those are specifically found in Sec. Sec. 40.203 and
40.205. In the preamble to the NPRM and in the proposed regulatory
language of Sec. 40.207(d), we gave the example of the MRO reversing
the cancellation of a test where the missing or delayed paperwork is
subsequently found and provided to the MRO. We also said that we did
not intend for MROs to reverse the cancellation of a test that was
rejected for testing by a laboratory.
There were several comments on this proposal. The commenters
supportive of the proposal understood this as an administrative fix to
allow an MRO to uncancel a test result involving a correctible error
the MRO decided was not timely corrected. Many of those who opposed the
proposal were concerned about DOT allowing MROs to reverse
cancellations that were related to the fairness and accuracy of the
test. Those were not the intended cancelled tests subject to the
proposed change. Even so, we understand the questions in the preamble
for public comment could have led commenters to conclude otherwise. The
comments received have helped to shape a better final rule for this
provision, which we have adopted with modifications.
Some MROs and other service agents said they already thought MROs
could reverse a cancelled test. They did not see a need for a change
because reversing cancelled tests was already part of their MRO
practice. It is for exactly this reason we needed to consider modifying
the regulation because these MROs had no authority to reverse
cancellations. Throughout the history of part 40, there has not been a
regulatory provision that allows an MRO to ``uncancel'' a test that the
MRO has cancelled. We proposed a new paragraph Sec. 40.207(d) to allow
an MRO to reverse the cancellation of a test in very specific and
limited circumstances.
The American Trucking Association supported the change as a useful
``administrative fix'' that would save money for random tests. They
gave a solid example of the impact of the problem when they said: ``the
employee is sent for a random test; the paperwork for the collection
site is lost, so the MRO cancels the test; the paperwork is recovered,
and the test is counted toward the employer's random testing
requirement.'' As such, the proposal is a ``rational administrative fix
that will not have a detrimental impact on safety . . . to address
situations in which administrative errors require a driver to retake a
drug test unnecessarily.''
The Association of American Railroads and American Short Line and
Regional Railroad Association supported the proposal. They said this
``proposed amendment would be helpful in situations where an employer
requires a negative result (e.g., a pre-employment, return-to-duty or
follow-up test), and would avoid the burdens and inconvenience of
requiring an employee to travel for, or otherwise accommodate a test,
more than once.''
Several consortia/third party administrators (C/TPAs) agreed with
the proposal. One C/TPA referred to ``circumstances that missing
paperwork is located after the MRO has cancelled the result. This would
allow the MRO to then report the result.'' To illustrate the benefits
of the proposal, the commenter described a frequently occurring
scenario they encounter: ``a delay in receiving information that was
inadvertently omitted from the custody and control form. In these
situations, if the test has already been cancelled, a driver must be
sent back to the collection facility to provide a new sample
constituting a significant additional cost for motor carriers and
drivers. Allowing un-cancelling of tests is a commonsense solution to
an unintended consequence.''
Some who supported the proposal wanted the Department to ensure it
would be used in narrow circumstances. They supported reversals of
cancellations only in tests cancelled for administrative errors that
are correctible flaws. We added language to the final rule, in the form
of a parenthetical, to note correctible flaws arising under Sec. Sec.
40.203 and 40.205 would be examples of what is reversible.
Several commenters, including the National Drug and Alcohol
Screening Association (NDASA), C/TPAs, collector trainers, and a
transit agency noted an existing issue within part 40: an MRO cannot
cancel a test without having Copy 1 and Copy 2 of the CCF in the MRO's
possession, per Sec. Sec. 40.129(b), 40.161(a) and (c). These
commenters said, if the reason the MRO is cancelling the test is
because the CCF paperwork is missing, then part 40 should allow the MRO
to cancel the test without holding either or both Copies 1 and 2 of the
CCF. One commenter recommended we allow the MRO to cancel the test by
noting on the bottom of Copy 1 that Copy 2 is missing. Another
commenter suggested allowing the ``MRO to issue a report that the test
is cancelled if the MRO has not received a legible [CCF].''
In response to the concerns from these commenters about an MRO's
inability to cancel a test without the proper paperwork, we have made
changes to part 40. In Sec. 40.129(b), as a logical outgrowth of the
comments, we have struck the words ``test cancelled'' so that cancelled
tests do not require both Copies 1 and 2, as the other verified non-
negative results listed would require. We have modified Sec. Sec.
40.161(a) and (c) to allow an MRO to use either copy or to issue a
report, if Copy 1, Copy 2, or both are missing. Also, we have made a
technical amendment to insert quotation marks around ``rejected for
testing'' and the word ``laboratory'' in Sec. 40.161(c). As in
Sec. Sec. 40.127(c)(1) and 40.129(b)(1), we remind the MRO of the
obligation to try to obtain Copy 2 or any other CCF copy containing the
employee's signature before cancelling a test. If a copy of the CCF
with the employee's signature cannot be obtained, then the MRO can use
the report format set forth in Sec. 40.163(c)(1) through (9).
The commenters who opposed the proposal to allow an MRO to uncancel
a test included organized labor (e.g., the Transportation Trades
Department (TDD), the Airline Pilots Association (ALPA), and the
National Air Traffic Controllers Union), Quest Diagnostics, and others.
One commenter thought this would affect so few tests that it was not
worth doing. Another opposing commenter objected to allowing
laboratories to cancel tests and requested that the proposal restrict
the MROs to a 30-day window for reversing a cancelled test. Another
commenter
[[Page 27607]]
said the proposal will ``undermine the finality of these MRO
administrative determinations, and raise practical concerns with
undoing such actions.'' That commenter also wanted DOT to create a
process for appealing MRO decisions, which is outside the scope of this
rulemaking. One commenter said the proposal ``could in effect increase
the frequency of drug testing beyond what is reasonable and justified.
We are also concerned that it would create administrative burdens to
the employees being tested who would not have the same finality they
currently have if a test is canceled.'' Another commenter was concerned
that, ``If an individual is told the test is cancelled, they may decide
not to take steps to protect themselves (that they would otherwise have
done had they been notified of an `uncancelled' test), only to later
learn that the test has been `uncancelled'.''
We see no reason to limit the MRO's reversal to 30 days, but have
maintained the proposed requirement for an MRO to consult ODAPC if the
reversal of the cancellation occurs more than 60 days after the test
was cancelled. We do not have exact data on the number of cancelled
tests this will impact each year because, as we said earlier and the
commenters supported, many MROs were already reversing cancellations
because they mistakenly thought they had this authority.
Quite often the cancellations occur when an MRO is unable to get
the information needed from the collection site. Often, MROs cannot
reach the collector. Sometimes, the MROs must contact a general call
center and wait days, or longer, to reach the collector who did not
send the needed paperwork (i.e., Copy 2 or a memorandum of correction).
This delay in reaching the collector should be eliminated by the change
to Sec. 40.40 to require the collector to provide the telephone number
where they can be reached more directly and promptly. Ensuring the MROs
and their staffs have timely access to the collectors is likely to
result in fewer cancellations. So, this is effectively a two-pronged
approach to addressing the cancellation problem.
Allowing an MRO to reverse a result cancelled for administrative
reasons will not increase the frequency of drug testing because there
currently are many reasons an employee may be called back for a second
test when an MRO cancels a test. Also, reversing the cancellation of a
test would not reduce the finality of an employee's expectations
because, if a second test is needed because of the reversal of the
cancellation, an employee would not necessarily know if and when to
expect a second test. Examples of this include when a split specimen is
lost or damaged, then the employee must come back in for another test;
or when a laboratory reports an invalid result and the MRO tells the
employee to report for another collection. At times, if a negative
result is needed (i.e., pre-employment, return-to-duty, or follow-up),
a cancelled test actually causes an employee to return for an
unanticipated second test. This final rule will reduce the instances of
those second tests.
An employee must make themselves available for an additional test
when the employer directs them to go. Thus, the finality of a test has
never been tied to the employee's expectations.
As for the concern that an employee ``may decide not to take steps
to protect themselves'', we respectfully submit that the employee would
not lose the right to have a split specimen tested or to request a
litigation hold on the actual urine specimen. We hope this information
eases that concern.
Another industry association and a C/TPA opposed the proposal
because the employer may perform another test after the first is
cancelled on a pre-employment, return-to-duty or follow-up test. On a
similar note, another commenter said ``the ability to `un-cancel' a
test will cause significant confusion, particularly for those cases
where a negative result is required (e.g., for a pre-employment test)
and the donor has likely already submitted to a second test.'' To avoid
this problem, some commenters suggested only allowing an MRO to
uncancel a test when the ``cancelled test did not qualify for
recollection, [then] the MRO should have the option to invoke the same
consultation requirement we have in [Sec. ] 40.149(a)(4).''
We believe part 40 already addresses these concerns. In a test
where a negative result is not required (i.e., random, reasonable
cause/suspicion, or post-accident), the employer has no authority to
send the employee for a second test after the first test is cancelled,
unless the result of the first test was cancelled due to an invalid
result. In a test where a negative test result is required (i.e., pre-
employment, return-to-duty, or follow-up), the employee should have
been sent for a second test after the cancellation. Under Sec. 40.162,
an MRO is provided clear directions for handling multiple verified
results for the same testing event, which the MRO can apply to
reconciling a second test result with the reversed cancellation.
In the proposal, we included a requirement for a party seeking to
reverse a cancellation to consult ODAPC if the decision is being made
more than 60 days after the cancellation. This is the same consultation
requirement we have in Sec. 40.149(a)(4), where we allow an MRO to
reopen a verified test after 60 days. Providing this information helps
ODAPC to provide advice to MROs regarding what to consider and
potential concerns. We received several supportive comments on this
part of the proposal and have finalized it, as proposed.
V. Section-by-Section Analysis
The Department made a deliberate decision not to create a separate
subpart of part 40 or to designate another part of Title 49 of the
United States Code to house oral fluid testing. Since many of the
provisions of part 40 can be applied to urine, oral fluid and other
potential future testing matrices, we proposed to integrate new
provisions concerning oral fluid testing within the current part 40
structure. In other sections, we proposed to revise current sections
and their titles to specify they would only apply to urine testing.
Sec. 40.3 What do the terms used in this part mean?
We proposed to delete the definition of ``screening drug test''
because the term is not used in part 40. For consistency with HHS
terminology, we have removed the defined term ``invalid drug test'' in
the definitions section, Sec. 40.3, and have updated the wording in
the definition of ``invalid result'' to be consistent with the current
language in the HHS mandatory guidelines for both urine and oral fluid.
We have also updated Sec. Sec. 40.123(c) and 40.129(a) and (d) to use
the term ``invalid result''.
To harmonize part 40 with the HHS Guidelines and to update part 40,
we have added seven defined terms. We have added ``alternate specimen''
as an authorized specimen of a type other than the one previously
collected (e.g., in a case where the initial collection was urine, oral
fluid would be an alternate specimen). ``Cutoff'' is the quantitative
point distinguishing a need for further testing or whether a laboratory
result, for example, is positive or negative (e.g., 2 ng/ml is the
confirmatory test cutoff for a positive vs. negative oral fluid result
reported by the laboratory for THC). We have added definitions for
``oral fluid specimen'' and ``urine specimen.'' We have added a
sentence to the definition of ``oral fluid specimen'' to explicitly
state that an oral fluid collection is a direct observation collection.
``Specimen'' is the generic term for any fluid, breath or material
collected from someone for a
[[Page 27608]]
drug or alcohol test. We have added ``Undiluted (neat) oral fluid'',
using the same language HHS uses in Section 1.5 of its Oral Fluid
Mandatory Guidelines. We have also added a definition for the FMCSA's
Commercial Driver's License (CDL) Drug and Alcohol Clearinghouse
(Clearinghouse). For the reasons explained in the Principal Policy
section, we added a new definition for ``SSN or Employee ID No.''.
We have modified seventeen definitions in Sec. 40.3. For the most
part, the changes are not substantive, and conform part 40's wording
with that of the HHS guidelines. For example, ``collection container''
refers to vessels used in all collections, whether of urine or oral
fluid. In the definition of ``specimen bottle,'' we added that the term
could include ``tube'' or ``vial'' used in oral fluid testing.
One commenter requested we change the definition of ``split
specimen'' to allow two separate specimen collections. This would be
inconsistent with OTETA's requirement for a single specimen to be
collected from and subdivided in the presence of the tested individual.
Thus, we have adopted the proposed definition of ``split specimen''
with no changes.
Most of the comments were supportive of the proposed changes. Thus,
we have adopted the proposed changes to Sec. 40.3.
Sec. 40.13 How do DOT drug and alcohol tests relate to non-DOT tests?
The Department has made minor changes to paragraphs (b), (c), and
(d) of this section for clarification in the context of oral fluid
testing. For example, paragraph (d) is applicable only to urine
testing, since oral fluid testing is not part of the normal medical
examination procedure to which the paragraph applies.
We have redesignated the current paragraphs (e) and (f) as new
paragraphs (f) and (g). We have added a new paragraph (e) to specify
that a drug or alcohol test administered as directed by a medical
examiner, exclusively as part of a medical examination required for an
employee to qualify for a certificate or license, is not a DOT drug or
alcohol test under part 40 and related DOT agency drug and alcohol
testing rules. For example, if a certified medical examiner decided to
give a motor carrier driver a drug test as part of an examination for
medical card purposes, that would be a ``non-DOT test.'' An employer
could request a required DOT pre-employment test be conducted when the
medical examination is being conducted, as currently permitted under 49
U.S.C. 31306(d).
We have added a new paragraph (h) to further emphasize that DOT
drug and alcohol tests are authorized to be conducted only on safety-
sensitive employees as designated in the agency drug and alcohol
testing regulations. DOT-regulated tests must not be conducted on non-
regulated persons (i.e., those who do not perform DOT-regulated safety-
sensitive duties). DOT testing is a legal warrantless search and
seizure permitted by the Fourth Amendment of the Constitution and is
only applicable to regulated persons. The DOT's strong interest in
maintaining transportation safety, when weighed against an individual's
right to privacy, allows DOT's regulated testing to pass Constitutional
scrutiny. See Bluestein v. Skinner, 908 F.2d 451 (9th Cir. 1990);
Skinner v. Railway Labor Executives' Assn., 489 U.S. 682 (1989);
Treasury Employees v. Von Raab, 489 U.S. 656 (1989). There is no
Federal transportation safety interest in using this testing for
individuals other than safety-sensitive employees. Consequently, DOT
testing cannot be conducted on employees not regulated by the DOT
agencies. Companies do not have the authority to conduct DOT-regulated
testing on non-regulated employees. DOT regulations also do not allow
non-DOT testing to satisfy an employer's obligation to meet its minimal
annual random testing rate for DOT testing.
Some individual commenters supported the proposed modifications to
paragraphs (d), (e), and (f). Other commenters noting the changes to
Sec. 40.13 were also supportive. We have finalized the proposed
changes.
Sec. 40.14 What information must employers provide to collectors?
We received one comment in support of the modification we proposed
to Sec. 40.14(b). We have adopted this change to add clarity and to
recognize that, in the motor carrier industry, FMCSA requires the CDL
to be used for purposes of the Drug and Alcohol Clearinghouse
(Clearinghouse) (see 49 CFR 382.705).
We have adopted our proposal to add a new paragraph (k) for ``the
specimen type to be collected''. We had proposed to add paragraph (l)
to specify if a urine test is to be directly observed. Although there
were no comments on paragraphs (k) and (l), we have decided to remove
the proposed paragraph (l) because it is redundant with current
paragraph (i).
Sec. 40.21 May an employer stand down an employee before the MRO has
completed the verification process?
Under part 40 and the corresponding DOT agency regulations, an
employer can request a waiver to ``stand down'' an employee from
performing safety-sensitive functions based on a laboratory confirmed
non-negative result (i.e., positive, adulterated, substituted or any
combination thereof) until the MRO issues the employer a verified
result. The authority to stand down an employee is very limited and
requires an employer to obtain an actual waiver from the DOT agency
before implementing a stand down policy.
As with any laboratory-confirmed positive, the MRO may verify the
final result as negative (e.g., if an employee offers a legitimate
medical explanation such as a legal prescription). We proposed to add a
new paragraph (c)(2)(vii)(C) of this section to prevent the employer to
send an employee back in for another test using a different specimen
type after receiving a verified negative result. We did not want the
employer to order a second test using a different methodology to see if
the window of detection could later impact the result. If the MRO
cancelled the test (e.g., per the requirements of Sec. 40.159), then
the employer can send an employee in for an alternate specimen
collection.
We received one comment on this proposal. The combined commenter, a
C/TPA and MRO practice, asked us to clarify in the final rule preamble
that this applies to more than laboratory positives. Specifically, it
also applies to laboratory-confirmed adulterated and substituted
results. We have made this distinction in the preamble, as it already
exists in Sec. 40.21(b). Other than making this change, we have
finalized the changes as proposed.
Sec. 40.23 What actions do employers take after receiving verified
test results?
We proposed minor changes in this section to account for the use of
oral fluid or urine in the event of an invalid specimen. In Sec.
40.23(f), we proposed flexibility in allowing the subsequent direct
observation collection to either be an oral fluid collection or a urine
collection under direct observation. In paragraphs (f)(1) and (5), we
offered language to acknowledge a urine collection would need to be
directly observed. As written, it is clear oral fluid collections are
directly observed.
We received two comments. One commenter supported allowing the
employer to choose an alternate specimen type for the directly observed
collection. The other commenter said an employee could deliberately
cause their urine test to be invalid, then refrain from drug use for a
few days and test negative on an oral fluid test. This commenter was
concerned employees
[[Page 27609]]
would use the windows of detection for the different methodologies to
their advantage.
While we recognize the concern of the second commenter, we want to
emphasize that oral fluid is a scientifically valid form of testing for
the DOT-regulated drug testing program. Our program is deterrence-
based. With established cutoffs, we do not seek to detect the presence
of every drug, we only seek to detect drugs at their cutoffs and deter
illegal drug use. Since HHS has determined oral fluid testing is
scientifically viable and forensically defensible, we are willing to
leave it to the determination of the individual employers to select the
methodology acceptable to them under given circumstances. For this
reason, we encourage employers to look at all aspects of using urine
drug testing versus oral fluid drug testing as their choice for a
particular test, in accordance with part 40.
In consideration of the comments and for the reasons set forth
above, we have finalized the proposed changes to Sec. 40.23.
Sec. 40.25 Must an employer check on the drug and alcohol testing
record of employees it is intending to use to perform safety-sensitive
duties?
Beginning January 6, 2020, FMCSA implemented its Clearinghouse
regulation, set forth in part 382, subpart G. As part of those
requirements, FMCSA-regulated employers with drivers subject to the
drug and alcohol use and testing regulations set forth in part 382 to
query the Clearinghouse drug and alcohol database for information about
an employee's past drug and alcohol violations that occurred while the
driver was employed by another FMCSA-regulated employer. The
Clearinghouse regulations apply only to employers and employees subject
to the requirements of part 382.
Until January 2023, FMCSA-regulated employers had dual
requirements. They had to conduct a pre-employment query of the
Clearinghouse, as required by Sec. 382.701(a), and continue to follow
the procedure of Sec. 40.25, as set forth in Sec. 382.413, to request
a prospective employee's drug and alcohol violation information from
previous DOT-regulated employers.
We have added Sec. 40.25(a)(2) to reflect that, beginning January
6, 2023, the requirements changed for FMCSA-regulated employers, who
now must rely solely on querying the Clearinghouse, in accordance with
Sec. 382.413(b), to determine whether an applicant violated FMCSA's
drug and alcohol testing regulations while employed by other FMCSA-
regulated employers. For example, after January 6, 2023, a motor
carrier vetting a prospective employee is required to check the
Clearinghouse to determine whether the driver's previous FMCSA-
regulated employer(s) reported drug and alcohol testing program
violations by that driver.
However, since the Clearinghouse does not include drug and alcohol
violations committed by employees of other DOT agency-regulated
employers, FMCSA-regulated employers must continue to comply with the
requirements of Sec. 40.25 when hiring an employee who has been
employed by another DOT agency-regulated employer.
Under the new Sec. 40.25(a)(3), we remind FMCSA-regulated
employers to request the information about the employee listed in
paragraph (b)-(j) of this section from any other DOT agency-regulated
employer for whom the employee previously worked, if the employee was
subject to another DOT agency's drug and alcohol testing program. If an
applicant's past employment was with an employer regulated by, for
example, the FTA or the FAA, the gaining motor carrier employer must
continue to comply with the requirements of Sec. 40.25 by requesting
the required information directly from those employers, in accordance
with Sec. 382.413(c). This is necessary since drug or alcohol
violations incurred while the driver was employed by a DOT agency other
than FMCSA will not have been recorded in the Clearinghouse.
Although FMCSA-regulated employers must query the Clearinghouse for
an employee's drug and alcohol testing information, employers regulated
by the other DOT agencies do not have access to the Clearinghouse but
must find out this important safety information for employees who
previously worked for motor carriers. For example, if an FAA-regulated
employer sends a Sec. 40.25 inquiry to a motor carrier, the motor
carrier must respond to that inquiry in accordance with Sec. 40.25(h).
Thus, the Clearinghouse will address motor carrier inquiries, but each
FMCSA-regulated employer is required to retain the records and be ready
to respond to Sec. 40.25 inquiries from other DOT-regulated employers.
We did not receive any substantive public comments on these
changes, which merely conform to FMCSA's requirements. We have
finalized the proposed changes.
Sec. 40.26 What form must an employer use to report Management
Information System (MIS) data to a DOT Agency?
We proposed a simple editorial change, substituting a reference to
appendix J for a reference to appendix H. This conforms to a re-
designation of the appendix letters but would make no substantive
changes to the section or form. We did not receive any public comments
on this change. We have adopted this change as proposed.
Sec. 40.29 And Similar Sections
We proposed deleting several sections (Sec. Sec. 40.29, 40.37,
40.113, 40.169, 40.189, 40.217, and 40.313), which listed other
sections of part 40 touching on a given topic (e.g., employer
responsibilities in Sec. 40.29). These lists of cross-references were
intended to assist readers in finding other relevant information before
part 40 was searchable electronically. In the more than 20 years since
we placed these sections into part 40, electronic search tools have
become sophisticated and ubiquitous, making these sections no longer
necessary.
A small number of commenters said they liked these cross
references, but the majority of commenters said that the cross-
references have outlived their usefulness because of electronic search
options. One commenter said, ``Please continue to make decisions about
organization of part 40 based on logic, without regard to previous
editions of the rule. Those of us who look at it every day need to do
our jobs and learn the new numbers.'' Another commenter noted, ``it
would not be a burden if the cross referencing was removed because the
titles of the Subparts clearly identify the subject matter and the
title/s of the section/s under those Subparts are worded in the format
of a question with the answers found in that section.''
Therefore, we have adopted the changes. We removed the cross-
reference sections of Sec. Sec. 40.29, 40.37, 40.113, 40.169, 40.189,
40.217, and 40.313, as proposed.
Sec. Sec. 40.31 and 40.35--Collectors and Their Qualifications--
We have updated Sec. 40.31 to include oral fluid collectors who
can collect DOT drug testing specimens. We have added a new Sec. 40.35
to separately specify the requirements for collectors of urine and oral
fluid specimens, respectively. Adding this section required renumbering
existing Sec. 40.35 to become Sec. 40.36. We have paralleled the new
Sec. 40.35 as closely as possible to our existing training
requirements for urine specimen collectors in Sec. 40.33. We have
added language to parallel Sec. 40.213(b) for training on the specific
devices.
[[Page 27610]]
In addition, we have included a clarification for both urine and
oral fluid collectors prohibiting relatives, close friends, and certain
employees (e.g., co-worker or immediate supervisor) from conducting
collections. This is consistent with existing guidance in the
Department's Urine Specimen Collection Guidelines. We received
substantive public comment on these changes. Several comments supported
the following proposed wording: ``a collector must not be related to
the employee being tested (e.g., spouse, ex-spouse, relative) or a
close personal friend.'' Other commenters, including Quest
Laboratories, NDASA, and the Substance Abuse Program Administrator's
Association (SAPAA) agreed with the exact wording proposed. An aviation
employer, Flight Safety International, said they thought the list of
specific relationships listed is too limited and would prefer the
following wording: ``the collector shall have no conflict of interest
with regard to the donor's result''.
On SAP commenter asked that we not allow supervisors or managers to
serve as collectors. The Aircraft Mechanics Fraternal Association asked
us to clarify whether management is included in the category of those
prohibited from collecting a specimen. The Passenger Vessel Association
supported the existing prohibition on collections by immediate
supervisors in the current Sec. 40.31(d) is sufficient. This commenter
said: ``While the limitations proposed in 49 CFR 40.31(d) are
problematic for vessels that are often operated by a small number of
crew members with a strict supervisor/subordinate organization, that
same paragraph finishes with caveat `unless no other collector is
available and you are allowed to do so under DOT Agency drug and
alcohol regulations,'. . .'', which this commenter supported.
We agree with the Passenger Vessel Association and other
commenters, who supported the wording of the newly renumbered Sec.
40.31(d). We did not change this long-standing provision cautioning
against collection by the immediate supervisor of the employee being
tested, which is now found in Sec. 40.31(d) (formerly in Sec.
40.31(c)).
Regarding the qualifications for oral fluid collectors in Sec.
40.35, those who commented generally supported the proposal and we
have, therefore, adopted it as proposed. One C/TPA wanted to see
training similar to urine specimen collectors plus completing the
manufacturer's training for each oral fluid testing device the
collector will use. A large C/TPA and MRO practice said all collectors
should be trained and qualified to perform both oral fluid and urine
testing, and device-specific training should come from the
manufacturer. One commenter, who performs a large number of trainings
annually, said we should look at this the way we view alcohol testing
training, which means there needs to be comprehensive part 40 training
plus device-specific training. One commenter suggested we call any
qualified oral fluid collector a ``Drug Screening Collector Technician
(DSCT)'' to be consistent with Breath Alcohol Technicians and Screening
Test Technicians. This commenter also recommended having oral fluid
collectors: join the ODAPC list serve; be trained to all steps of the
CCF, and in problem collections, fatal flaws, and collection site
integrity; undergo five error-free mock collections; and have a
requirement to requalify every five years. Similarly, NDASA and several
C/TPAs wanted oral fluid collector training to include all of the
proposed training elements, which mirrored the urine collector training
with additions specific to oral fluid collections. SAPAA also commented
in favor of device-specific training. Several commenters said there
should not be five error-free mock collections per device.
Regarding creating a model training course for oral fluid testing
and urine testing similar to the one we have for alcohol testing, we
did not propose to create and require such model courses in this
rulemaking. However, we will take the requests of these commenters into
consideration in formulating future guidance.
We asked for comment about who should be considered appropriate for
monitoring the mock collections necessary to qualify an oral fluid
collector. We modeled the criteria for the oral fluid monitor after
what we have set for urine collections in Sec. 40.33(c): one who has
regularly conducted DOT drug test collections for a period of at least
one year; has conducted collector training under this part for at least
one year; or has successfully completed a ``train the trainer'' course.
The commenters supported keeping the same requirements for the mock
collection monitors for oral fluid as for urine. Several commenters
noted it would be inadvisable for the Department to allow individuals
who have been collecting only non-DOT specimens to automatically
qualify to train oral fluid collectors under part 40 but did not
provide a reason for their rationale. Other commenters asked if virtual
training and virtual mock collections were permissible. Both have been
allowed for urine collector initial training, error correction training
and for requalification training. Consequently, both will be permitted
for oral fluid collector initial training, error correction training
and for requalification training.
One commenter asked about whether there must be two or three
individuals involved in the mock proficiency demonstrations. Whether
they are in-person or virtual, we have always required at least two
individuals to interact during the mock collections, while a best
business practice is to have a third person act as the donor, so that
the trainee could have the experience of ``collecting from an
employee'' without actually collecting a specimen during the training.
We believe this is an extremely important requirement because
collectors must deal with real people and real specimen collections. If
the monitor and trainee are the only participants in the mock
proficiency collections, then the monitor must also perform the role of
the donor--by interacting meaningfully with the collector trainee to
make certain the trainee gets the experience of both uneventful and
problem collections. The easiest way to achieve this result is for
there to be a third person playing the part of the donor. However, if
there are only the monitor and the trainee, but the monitor
meaningfully plays the roles of the cooperative and uncooperative
donors, the intent of part 40 is fulfilled.
There were comments recommending oral fluid collectors be trained
by the manufacturer(s) of the respective oral fluid device(s) the
collector intends to use. Some recommended collectors take the
manufacturer's online course to get qualified to use each specific
device. Others distrusted having specific device training done through
the manufacturer's website because they said that would increase costs.
One commenter said not to allow manufacturers to train for their own
devices because the manufacturer would introduce bias, but a third-
party conducting training would not have that bias. One commenter
suggested the collector instructor take the manufacturer's device-
specific training and use that as the basis for training others.
Similarly, a couple of commenters recommended using specific training
approved by the manufacturer for its own device. Labcorp strongly
encouraged us to require ``collectors to complete manufacturers'
training on each collection device that will be used for DOT-regulated
collections as individual devices have unique features with
[[Page 27611]]
respect to proper placement in the mouth, timing, and specimen
sufficiency indicators.'' One C/TPA said train the trainer courses will
be widely available, as they are for urine testing, and oral fluid
device manufacturers may take the lead on this. Other commenters
discussed the user-friendly nature of the devices (i.e., they usually
come with instructions for use or those instructions can easily be read
on the manufacturer's website prior to the collection).
We agree with the commenters who were hesitant about specifically
requiring the manufacturer's training be used. Considering the user-
friendly nature of the devices and that instructors will be teaching
oral fluid collectors to use each device the collector is expected to
deploy, we amended the proposed language. We have adopted the
requirement for a collector to obtain ``training to proficiency in the
operation of the particular oral fluid collection device(s) you will be
using.''
The collector must demonstrate proficiency for each device. We
acknowledge several commenters did not want proficiency demonstrations
for each device on which a collector is instructed. However, we
disagree because the point of the initial proficiency demonstration is
to prove the collector was trained on a particular device to full
proficiency. If the collector will use more than one device, then the
collector needs to prove initial proficiency on each device.
The collector must check the expiration date of the device in each
mock collection because using an expired device or failing to enter the
``Split Specimen Device Expiration Date'' on Step 4 of the CCF would be
a fatal flaw under Sec. 40.199. Since the collector will use an oral
fluid device that will collect a single specimen, which is then
subdivided in the presence of the donor, only one device is to be used.
The collector must make the entry on the option marked ``Split Specimen
Device Expiration Date'' instead of the option marked ``Primary/Single
Specimen Device Expiration Date''. We have been clear that part 40 does
not allow the use of a ``primary'' collection device, meaning one of
two collection devices. In addition, part 40 does not allow for a
``single specimen'' collection device because all devices must be
capable of collecting both a primary and split specimen. For DOT-
regulated collections, all devices will collect a split and have an
expiration date. The collector will enter the expiration date of the
single device in Step 4 of the CCF, on the line marked ``Split Specimen
Device Expiration Date,'' which appears directly above Step 5A. The
collector would not fill in the ``Primary/Single Specimen Device
Expiration Date'' in addition to the ``Split Specimen Device Expiration
Date'' on the CCF.
We consider proficiency demonstrations to be extremely important.
It is one thing to receive instruction on how to use a device, but
demonstrating proficiency is literally where the ``rubber hits the
road.'' If a collector cannot demonstrate proficiency on a device, then
the instruction received on the use of the device will not remain with
the collector in real world collections.
Sec. 40.33 What training requirements must a collector meet for urine
collection?
There were no comments to changing the title of Sec. 40.33 to
reflect its focus on urine collectors. We also proposed a change to
Sec. 40.33(f) to clarify that damage to a specimen resulting in it
being cancelled does not require retraining of the collector, unless
the error actually occurred during the collection process. When a
specimen is damaged by a delivery truck, sort facility, or other part
of the transportation process, or is lost in transit, it is not the
result of an error by the collector during the collection process.
However, when such damage during the transportation process occurred,
some MROs had required collector retraining.
Our proposal to clarify that a collector is not subject to the time
and costs of retraining for errors outside the collection process, such
as in transportation process events, was met with only supportive
comments. In response to the following, we have adopted the change to
Sec. 40.33(f).
One commenter, NDASA, said, ``Unnecessary error correction has been
required for far too many circumstances that are beyond the control of
the collector, costing time and cancelled tests.'' A combined MRO and
C/TPA comment supported the proposal, saying ``Previously this was too
subtle of a distinction and collectors have been unnecessarily
subjected to error correction training when a situation was not their
fault. An example is when a bottle leaks in transit where fault is
difficult to assign.'' In further agreement, Quest Diagnostics said,
``Similar to urine collections, problems that occur during shipping
that are out of the collector's control should not be held against the
collector.'' LabCorp also agreed with this proposed change.
Subpart D--Collection Sites, Forms, Equipment and Supplies Used in DOT
Urine and Oral Fluid Collections
Some commenters appeared to be confused about testing oral fluid
specimens for drugs versus testing saliva for alcohol misuse. Oral
fluid drug testing and saliva alcohol testing are completely distinct
from each other. The devices, procedures and outcomes are never
interchangeable. The provisions applicable to oral fluid testing
procedures were proposed as additions in subpart D. The saliva alcohol
testing provisions in subparts K through L remain unchanged.
We proposed to reorganize subpart D to accommodate the addition of
provisions pertaining to oral fluid drug testing. Sections applying to
the DOT drug testing process generally, regardless of specimen type,
come first. Renumbered Sec. Sec. 40.40 and 40.41 contain the content
of previous Sec. Sec. 40.45 and 40.47, concerning the use of the
official ``Federal Drug Testing Custody and Control Form'', which we
continue to refer as the ``CCF'' in all DOT collections. The 2020 CCF
and instructions for completing the CCF for both urine and oral fluid
collections are available on the HHS website, https://www.samhsa.gov.
The DOT has posted the 2020 CCF on our website, https://www.transportation.gov/odapc. Some commenters specifically requested
ODAPC to provide Specimen Collection Guidelines for both oral fluid and
urine, in one combined document. Since not every collector intends to
perform both types of collections, we will provide an ODAPC Oral Fluid
Specimen Collection Guidelines document, separate from our Urine
Specimen Collection Guidelines, after the publication of this final
rule.
We proposed changes to the sections of subpart D, including the
title of the subpart, which contain the word ``urine'' or a derivative
of that word, if those sections would apply to both urine and oral
fluid testing. We added the words ``and Oral Fluid'' to the title of
this section to emphasize subpart D applies both forms of DOT-regulated
drug testing collections. We proposed the language ``any other
appropriate contact information'' to permit the inclusion of email
addresses or other means of contacting the appropriate parties in the
redesignated Sec. 40.44(c)(2). We asked for public comment regarding
removing requirements related to fax numbers on the CCF, allowing the
fax number if the parties have one, or whether fax numbers were still
relevant.
We proposed a provision allowing the Designated Employer
Representative's (DER) name and contact information to
[[Page 27612]]
be preprinted on the CCF. We asked the laboratories about the
availability of space on the CCF to pre-print the information, as well
as the logistics and timeliness of sending out updated CCFs with the
new DER information. To recognize the responsibility of collectors, as
well as collection site operators, for proper collections, we have
added ``collectors'' to the title of Sec. 40.43.
As amended, the newly reorganized Sec. Sec. 40.42-40.45 covers
urine testing (renumbered Sec. 40.42 in the amended rule contains the
material previously found in Sec. 40.41, while renumbered Sec. Sec.
40.44 and 40.45 contain the material previously found in Sec. Sec.
40.49 and 40.51). To parallel with their urine testing counterparts,
new Sec. Sec. 40.47-40.51 have been added to address oral fluid
testing, specifically.
We proposed to modify renumbered Sec. 40.40 to clarify what
address and telephone number a collector must provide on the CCF. In
January 2002, ODAPC issued a Question and Answer (Q&A) explaining that
the collection site address should not be a corporate or ``main
office'' address. In addition, the Q&A stated that the collector's
telephone number on the CCF should be the number to directly reach the
individual collector and/or the collector's supervisor and not a
corporate ``toll free'' number to a call center. With the modification
to Sec. 40.40, if an MRO, laboratory, employer or any DOT staff need
to speak with the collector, the telephone number provided on the CCF
must give access directly to that collector and/or the collector's
supervisor during the collection site's business hours. The collector
must not provide a number for a call center. Since this amendment makes
the collection site address and collector's telephone number part of
the regulatory requirements, we will withdraw the January 2002 Q&A
because it is now unnecessary.
If CCFs had already been printed before this final rule was
published, the call center number may be on the forms. Service agents
(i.e., C/TPAs and collectors) and employers can use these preprinted
forms, but they need to cross out the incorrect telephone number and
write in the correct telephone number and/or collection site address.
There is no need to incur the cost of destroying these CCFs, but we
would expect they will no longer be generated with the call center
telephone numbers or incorrect addresses after this final rule becomes
effective. However, we want to remind collectors and collections sites
that they have the responsibility to keep their information current
with the laboratories.
We did not receive comments strongly opposing the addition of email
addresses, but there were strong proponents for and against using fax
numbers. Some commenters said fax machines are outmoded by more secure
electronic equipment. LabCorp supported removing the fax number
requirement. One commenter said fax machines tend to produce less
legible and sometimes illegible copies of the recipient because some
labs use lighter ink on their CCFs. One commenter specifically
supported replacing the requirement for fax numbers on the CCF with the
option and space to include a either a fax number or email address to
transmit the CCF to others. In support of using fax numbers, one
commenter said faxes are ``still a consistent use of transmitting
information in a secure manner. Not all organizations are set up with
secure transmittal methods and fax still remains more secure than email
and is used between clinics, labs and MROs as well as with employers.''
A large C/TPA and MRO practice supported the continued use of faxes:
``While some collection sites are getting rid of fax numbers, we do not
have widely available access to their email addresses. Fax is still
commonly used to communicate between collectors, MROs and labs.
Confidential communications with collection site should be encrypted
yet some of their systems will not allow for this. Faxing still plays a
role in our business world and systems are available to keep the
information secure in transit.'' Another C/TPA commenter wanting us to
keep fax numbers echoed, ``maximizing the usage of electronic mail and
other digital means for document transfer is the most efficient method
of communication available today. However, fax communications are still
prevalent in the industry, and at this point still an unfortunate
necessity.''
In response to the comments, we have decided to keep the option of
including a fax number on the CCF, but not require its use. Since many
entities no longer use fax machines, it would be an unintended cost to
require them to reinstate them. Consequently, in Sec. 40.40(c)(2), we
finalized the following proposed language: ``Fax numbers may be
included, but are not required.''
There were only opposing comments on the idea of including the
DER's name and contact information pre-printed on the CCFs.
Laboratories, C/TPAs, MROs, and collector trainers said that DERs
change too frequently to pre-print a specific name on the CCF, and to
fill that information in on the CCF at the time of the collection. One
commenter said that, even on an electronic CCF, it can be confusing to
need to change the actual DER's name if it is pre-set in the electronic
system. Many commenters said pre-printing this would be a waste of
money and time because the pre-printed DER names and contact
information would need to be crossed out and the correct information
written over the cross-outs. This would lead to further confusion.
Consequently, we have not included any requirement for pre-printing
the DER's name. It was interesting and informative for us to know that
using an electronic system would have difficulties adapting to changing
DERs.
We asked for public comment on the use of the term ``dry mouth'' in
Sec. 40.48(c)(1). We explained ``dry mouth'' is shorthand, similar to
the term ``shy bladder'' used for urine collections, for a situation in
which an employee is unable to produce a sufficient specimen. We
received no comments on this point, although many commenters had
already adopted the term ``dry mouth'' in their own comments.
One commenter with a nationwide collection network said ``multiple
oral tests can be conducted simultaneously when in a controlled/
supervised environment. All while ensuring the integrity of the
individual tests.'' That was the only comment opposing the proposal to
require the collector to only collect from one employee at a time. We
are concerned the distraction of conducting multiple collections at the
same time could compromise the security of the collection and
potentially impact the fairness and accuracy of the oral fluid test.
Consequently, we have adopted this provision to allow the collector to
conduct only one collection at a time.
Sec. 40.49 What materials are used to collect oral fluid?
The Department proposed that all oral fluid collection devices must
meet the requirements being set forth in a new appendix B, which is
consistent with OTETA's requirement that the specimen must be
subdivided from the original specimen in the presence of the employee
being tested. See 49 U.S.C. 45104(5) (aviation industry testing), 49
U.S.C. 20140(c)(5) (rail), 49 U.S.C. 31306(c)(5) (motor carrier), and
49 U.S.C. 5331(d)(5) (transit). Importantly, we noted not all the
devices HHS would allow for the OFMG will be allowed for DOT-regulated
collections under 49 CFR part 40 because many would not be consistent
with OTETA.
[[Page 27613]]
Some commenters said DOT and HHS should not allow different
devices. One commenter said HHS should only use devices meeting the
needs of the DOT program. Another commenter said laboratories charge
four dollars per oral fluid collection device, and since every
collection would require two devices to create a split specimen, they
thought DOT's proposal would save money by mandating a single device,
even though it was a sub-dividable device.
Although we discussed the requirements of OTETA in the preamble to
the NPRM, one commenter did not realize it was a statutory requirement,
saying DOT did not have data to support using a single specimen
collection device that gets subdivided. An industry association said it
could not find the language in OTETA. One commenter said there was no
need to subdivide the specimens, simply use a single collection device,
as is done in non-DOT testing. A couple of commenters misunderstood
OTETA's requirements and thought that a single specimen subdivided was
a concept that DOT created separately from the statute. Several
commenters suggested the mouth could be the collection container,
thereby allowing separate specimens could be collected from different
parts of the mouth to collect a subdivided specimen. Others said the
Department did not understand OTETA's requirements and were thereby
creating an obstacle that would delay oral fluid testing because the
Food and Drug Administration (FDA) could take one to two years to
approve new devices. Incidentally, some of these same commenters
participated in the public comment period for proposed changes to the
HHS OFMG and said it would not be a problem to change the devices and
obtain FDA approval in under one year, even on an annual basis, if
needed. (See 87 FR 20522, Apr. 7, 2022). That inconsistency was
notable, when compared to the comments some of the same commenters
filed to this docket.
When Congress passed OTETA in 1991, it designated DOT as the agency
to interpret and carry out the requirements of the statute. The
Secretary of Transportation, with certain delegations to the aviation,
rail, motor carrier and transit administrations, was charged with
continuing its existing drug testing regulations, but enhancements were
articulated in OTETA. One of those enhancements was to require ``that
each specimen sample be subdivided, secured, and labelled in the
presence of the tested individual.'' Id. The Senate Committee Report
explained the testing programs were to include ``procedures designed to
safeguard individual rights and testing procedures which shall . . .
Provide that each specimen sample be subdivided, secured, and labeled
in the presence of the tested individual . . .'' Senate Report: Omnibus
Transportation Employee Testing Act of 1991, S. Rpt. 102-54, pp. 20-21
(May 2, 1991). In addition, the Senate Report explained, ``These
safeguards are critical to the success of any testing program. They are
designed to ensure that an individual's basic rights to privacy are
protected and that there is accountability and accuracy of testing.''
Id.
Having a single specimen collected and subdivided in the presence
of the tested individual is the core issue in the decisions we have
made regarding what device features would be acceptable in the DOT oral
fluid testing program. Congress clearly articulated collecting a single
specimen that is subdivided in the presence of the tested individual is
a critical safeguard for the individual and it provides assurance of
the accountability and accuracy of the testing program. Furthermore,
the safeguard of a single specimen subdivided in the presence of the
individual being tested is a right OTETA ensured for individuals being
tested. As we said in our 2000 preamble to the plain language rewrite
of part 40, ``When Congress guarantees a right to employees (and we
believe we must treat all DOT-regulated employees in our program alike,
even if they are not covered by the Omnibus Act), our obligation as a
Federal agency is to faithfully execute that legislative decision.''
(65 FR 79467 Dec. 19, 2000).
Requiring a device that permits a single specimen to be collected
and subdivided in the presence of the donor is both a statutory
requirement and a reasonable expectation. The Department is acting
within its authority to carry out such reasonable and clear
requirements in legislation entrusted to it.
Assuming in the alternative that the statute is not considered to
be clear on its face, the DOT is the Federal agency charged by Congress
to interpret OTETA and we are utilizing our ability to interpret the
statutory authority vested in us. The precedent for this ability to
interpret statutes has been supported for almost forty years in the
cases following Chevron v. Natural Resources Defense Council, 467 U.S.
837 (1984). In Chevron, the leading case on the authority of agencies
to interpret statutes through rulemaking, the Supreme Court articulated
the following standard:
When a court reviews an agency's construction of the statute it
administers, it is confronted with two questions. First, always, is
the question of whether Congress has directly spoken to the precise
question at issue. If the intent of Congress is clear, that is the
end of the matter; for the court, as well as the agency, must give
effect to the unambiguously expressed intent of Congress. If,
however, the court determines Congress has not directly addressed
the precise question at issue, the court does not simply impose its
own construction of the statute, as would be necessary in the
absence of an administrative interpretation. Rather, if the statute
is silent or ambiguous with respect to the specific issue, the
question for the court is whether the agency's answer is based on a
permissible construction of the statute. (Id. at 842-43).
In applying the Chevron analysis, courts will strike down an agency
regulation or interpretation when there is something in the statute
specifically precluding the action the agency had taken. Actually,
OTETA confirms the Department's broad authority to carry out its drug
and alcohol testing responsibilities. When the intent of Congress is
clear, as is the case here, no further inquiry is necessary.
Thus, the Department is acting within its statutory authority to
carry out such reasonable requirements in legislation entrusted to it.
The statute unambiguously provides that samples for drug testing must
be subdivided, or ``split.'' To the extent that that the statute
requires interpretation, the DOT's implementation of the statute is
reasonable and is, therefore, entitled to deference. See Chevron v.
Natural Resources Defense Council, 467 U.S. 837 (1984).
Consequently, as we proposed, all devices meeting the requirements
in Appendix B will allow a single specimen to be subdivided in the
presence of the donor. For example, a device could allow two specimens
to be collected simultaneously using a single collection device, which
directs the oral fluid into two separate collection tubes; or a
specimen could be collected with a single device, which is inserted
into the mouth and can be subdivided into two separate collection
tubes. We would also allow a device to have two pads joined together
for the collection in the same part of the mouth, as long as they can
be separated in the presence of the employee being tested. We do not
agree with the creative suggestion of allowing the mouth to be the
collection container.
We have made slight modifications to the proposed rule language in
Appendix B to encompass this broader intention of what is acceptable
under OTETA. We think it is reasonable to allow a device with either
one or two pads that can be subdivided and sealed in the presence
[[Page 27614]]
of the employee to be consistent with OTETA.
One commenter who is a collector pointed out that there is already
at least one patented device that would meet the requirements of OTETA.
This commenter said she has experience using that device and it is far
superior to others on the market. She noted problems with other oral
fluid collection devices ``such as: inadequate specimen for multiple
drug confirmations; sample-adequacy indicators are not reliable
indicators of specimen volume as donors attempting to `beat' the test
often suck on the device to draw saliva out of the paddle or swab;
absorbent material in paddles/swabs have no consistency in sample
volume collected; there is no standardization of oral fluid collection
devices that a offers a reproducible, sufficient (1 mL) sample . . .''
As manufacturers develop new devices capable of being subdivided in the
presence of the donor, we expect that any such problematic issues with
oral fluid collection devices will be resolved.
We have included below, in the Section-by-Section analysis of
Appendix B, more comments regarding the specifics of what we proposed
for collection device kits. A full discussion of the specific comments
can be found there.
Sec. 40.61 What are the preliminary steps in the drug testing
collection process?
We proposed changes to Sec. 40.61(a) to remind C/TPAs for motor
carrier owner/operators of the C/TPA's respective nondelegable duty to
make a determination of whether a refusal has occurred when an employee
fails to timely report for a test that is not for pre-employment. We
received only supportive comments. We have adopted the changes and have
added similar language to this section to remind employers of their
duty to make a determination on refusals. We have added language in the
final rule to reiterate the responsibility for the employer or C/TPA of
the owner/operator to make the actual refusal determination required
under Sec. Sec. 40.191(a)(1) and 40.355(i) and (j).
There were no comments regarding modifying Sec. 40.61(b)(1) and
(3), to use the term ``drug testing'' or ``drug test'' in place of
``urine,'' since the provision applies to the testing of either
specimen type. We have adopted these changes as proposed.
We proposed to split the existing Sec. 40.61(b)(3) into (b)(3) and
a revised (b)(4), and there were no comments. We have revised Sec.
40.61(b)(3) to prohibit collection of any kind of specimen from an
unconscious donor. The revision to Sec. 40.61(b)(4) includes the
remaining sentences of the current Sec. 40.61(b)(3), with a change to
the final sentence of proposed subparagraph Sec. 40.61(b)(4). The
final sentence in Sec. 40.61(b)(4) emphasizes the actual employer must
decide whether a given circumstance constitutes a refusal, as is
required by Sec. 40.355(i). When a directly observed test is needed,
either a directly observed urine collection or oral fluid collection
will suffice, and the collector will note on the CCF whether a directly
observed urine or oral fluid test was conducted under Sec.
40.61(f)(5)(i).
There was a comment to Sec. 40.61(f)(5)(i). The commenter said the
``collector should have clear instructions on when the type of sample
can be switched. Ideally the collector would get instruction from the
DER, however the DER is rarely available when a problem collection
arises.'' We agree that this instruction should come from the DER. That
instruction should be provided in advance of the tests when possible.
These are the kinds of details employers and collection sites should be
discussing in their regular course of business. We disagree that it
should be a regulatory requirement.
DOT-regulated entities are required to use HHS's OMB-approved CCF.
DOT worked closely with HHS on the current CCF, which incorporated
changes necessary as a result of HHS's establishment of scientific and
technical guidelines for the inclusion of oral fluid specimens in the
Mandatory Guidelines for Federal Workplace Drug Testing Programs. The
majority of changes to the CCF were made to allow the collection of
oral fluid specimens, which have not been authorized in the DOT drug
testing until this final rule and will not be fully implemented until
HHS certifies at least two laboratories.
In response to the HHS revisions to the CCF, we proposed changes to
Sec. Sec. 40.61(e) and 40.79(a)(1) (formerly Sec. 40.73(a)(1)). The
instructions for completing the old CCF were provided on the back of
Copy 5 of that form. These instructions are not provided on the revised
CCF. Instead, instructions for completing the form can be found on the
HHS and DOT (ODAPC) websites. We proposed amending Sec. 40.61(e) to
instruct the collector to tell the employee they can find instructions
for completing the CCF on specific HHS and DOT websites. We received
the following comments to these changes.
Airlines for America (A4A) supported the amendment to require the
collector to ``notify the employee that instructions for . . . the CCF
can be found at the HHS . . . and DOT . . . websites.'' Quest
Diagnostics suggested, ``a printed and legible copy of the instructions
for completing the CCF should be available to both the donor and
collector to follow as part of the collection process during all
collections. Provision of a printed copy should be a collector's
responsibility in the event electronic access is not available.'' While
we agree with the spirit of this latter comment and would encourage
collectors to have a legible copy of the CCF instructions available, we
envision it as a good business practice and not a regulatory provision.
To require paper copies of this to be provided to each donor seems to
be an unnecessary paperwork burden to employers and their collection
personnel. Having a laminated copy available at the collection site is
also a good idea. As long as these directions are available
electronically through the DOT and HHS websites, they will be available
to all employees. We have finalized Sec. 40.61(e) as proposed.
We received a comment from a labor organization asking for a new
requirement to be added to Sec. 40.61(b). Specifically, they asked us
``to add a requirement that for union represented employees to be
informed by the collector that the employee being tested has the right
to have a union representative present during the process.'' It is
unlikely that collectors would know this information. We consider this
comment outside the scope of this rulemaking, but it can be addressed
in individual collective bargaining agreements between unions and their
employers.
Also, we proposed amending redesignated Sec. 40.79(a)(1) to note
the employee must provide all information required in Step 5 of the
revised CCF. This information includes the donor's printed name and
signature, date of the collection, date of birth, daytime and evening
phone numbers, and email address (if the donor has one they are willing
to share).
One commenter asked that we not require the collector to make a
remark on the CCF if the donor's email address, date of birth, or
telephone numbers are not in Step 5 of the CCF. This commenter said
requiring this notation as a remark on the CCF ``could have a
catastrophic impact on the collection process, expose employers to
privacy complaints, create unnecessary test cancelations, increase
administrative costs, and add another point of potential conflict
between the donor and collector.'' The commenter thought the
requirement to provide two phone numbers and an email address would be
a violation of the employee's privacy
[[Page 27615]]
rights. However, the commenter did not have an issue with providing the
donor's name, SSN and date of birth.
We disagree that additional information on the CCF is a violation
of the employee's privacy. If the information required in Step 5 of the
CCF is not properly completed by the employee, the collector has a duty
to attempt to get the employee to provide the information or note in
the remarks section that this was not done. As with all problems at the
collection site, it is best to document them as soon as possible.
One commenter, NDASA, asked about situations in which the employee
does not have a second phone number. This commenter asked that we allow
the collector to write ``Not applicable'' or some derivation of that
phrase on the CCF, to note the absence of the second number was not
available and not simply an oversight. That is a reasonable suggestion
and common-sense approach. We have not included this in the regulatory
text. Instead, we will include it in our collection guidance. We have
finalized Sec. 40.79(a)(1) as proposed.
Sec. 40.63 What steps does the collector take in the collection
process before the employee provides a urine specimen?
We proposed to modify Sec. 40.63(a) to remind collectors to ensure
that all items in Step 1 of the CCF are completed. Specifically, we
proposed to add a parenthetical to remind collectors to check the box
for the DOT agency in Step 1.D, and to write an address for the actual
collection site in Step 1.G.
Quest Diagnostics commented in support of ``the reminder to
collectors to check the box for the DOT agency in Step 1.D, and to
write an address for the actual collection site in Step 1.G.''
Similarly, industry trade associations supported the change. There were
no opposing comments. We have adopted the changes as proposed.
Sec. 40.65 What does the collector check for when the employee
presents a urine specimen?
We proposed to modify Sec. 40.65 to ensure that when an immediate
re-collection under direct observation is needed (e.g., because the
temperature of a urine specimen is out of range or there are signs of
tampering), regardless of whether the first specimen was urine or oral
fluid, the required directly observed collection could be either urine
or oral fluid. For example, if a directly observed collection is needed
after a urine collection, the second could be either an oral fluid
collection (inherently directly observed) or a urine collection carried
out under the direct observation procedures set forth in Sec. 40.67.
After the second collection is done, each specimen collected must be
sent to the appropriate laboratory (i.e., a laboratory certified by HHS
for that specimen type). We asked for public comment about who should
make the decision as to the methodology for the second collection.
ARCpoint Labs, a nationwide network of collection sites, commented
that the collector should be the one ``to determine the type of second
collection that is performed. This will allow maximum flexibility based
on environment, oral/urine kits available for that client, and the
collectors experience.'' This commenter also pointed out that moving
from a urine collection to an oral fluid for the purpose of obtaining a
directly observed collection would remove the need to conduct a more
invasive urine direct observation.
Conversely, Labcorp, which is an HHS-certified laboratory and owner
of a large network of collection sites, opposed ``allowing the
collector to independently determine when an alternate specimen should
be collected or requiring that the collector contact the employer each
time an alternate specimen type is collected.'' Labcorp also said the
identification of what specimen type is used and when it should be used
should not be in the regulation and should be in the agreement between
the employer and the collection site. A C/TPA requested that a
``collector should have clear instructions on when the type of sample
can be switched.'' Similarly, the New York City Department of
Transportation recommended advance communication between the DER and
the service agent ``to ensure that an alternate methodology is
authorized with devices and laboratories as designated. In the event an
alternate methodology is needed, the collector should contact the
employer (DER) and/or service agent (TPA/MRO) immediately. They will
make the decision on which device to use.''
We agree there should be clear communication between the employer
and their service agent(s) who conduct the collection to ensure there
is a process set up in advance. That process would determine whether
the collection would either continue with the same methodology as the
collection began or switch to the alternate methodology to complete the
second test (e.g., under direct observation or to complete the test
when there is a shy bladder scenario). As Labcorp noted, moving to oral
fluid for a directly observed collection is less invasive than moving
to a urine collection under direct observation.
When there is a need to determine whether an alternate specimen
should be used, it is advisable for an employer to have a standing
order in place to deal with such situations. The different specimen
type could be chosen by the employer (through a standing order or a
discussion with the collector) or its service agent (i.e., if there is
no standing order and the collector cannot contact the DER) to complete
the collection process for the testing event.
As several commenters supported, this should all be discussed and
arranged in advance. We do not believe this is something the Department
should regulate. The employer and its service agents are in the best
position to assess the costs and logistics of the collection, set up
the appropriate contracts with collectors and laboratories, and
determine the most effective way to conduct a second collection under
direct observation. The proposed language sets up the performance
standard for the second collection to be accomplished without
interfering in these contractual relationships between employers and
their service agents. Consequently, we have finalized the proposed
language without further changes.
Sec. 40.67 When and how is a directly observed urine collection
conducted?
We proposed to modify the title of the section to add the word
``urine''. This clarifies its applicability solely to how and when
directly observed urine collections will occur. We received no comments
on this point and have adopted the change to the title.
One commenter asked why we did not include permission for an
employer to send an employee in for an immediate recollection if the
employer discovered a direct observation should have been conducted but
was not. The commenter pointed out the employer could do this only when
the service agent noted this for the employer. We agree with this
commenter and, as a logical outgrowth, we have added a Sec.
40.67(a)(4) to permit this and to tie in the action expected of the
employer when a service agent notifies the employer under Sec.
40.67(n) that a required direct observation was not done.
We proposed minor changes to Sec. 40.67(c) and (d). We received a
public comment requesting an additional modification to the proposed
Sec. 40.67(d). That commenter asked for a language change to have the
collector inform the employee a direct observation is
[[Page 27616]]
necessary because the specimen did not meet Federal guidelines. We will
not make that change because we believe it will cause confusion between
the HHS guidelines and DOT's regulation, part 40. We have finalized the
changes to Sec. 40.67(c) and (d).
In the most substantive proposed change to Sec. 40.67, we offered
an amendment to Sec. 40.67(g) to address situations where a same
gender observer is not available for the collection of urine specimens.
We requested and received public comment on whether a licensed or
certified medical professional legally authorized to take part in a
medical examination in the jurisdiction where the collection takes
place should be permitted to be opposite gender observers. We explained
that we were proposing this option to reduce the circumstances in which
an observed urine collection might be delayed for lack of a same-gender
observer.
We received a significant number of comments on proposed Sec.
40.67(g). Some commenters thought that it would be a good idea to allow
certain specified medical professionals to be direct observers
regardless of gender because a same-gender observer is not always
present in a collection site, and others mentioned how transgender and
nonbinary gender individuals pose a challenge for finding a same-gender
observer.
The majority of commenters on this subject opposed the proposal.
The opposing comments included concerns about sexual advances, stress
to donors, and accusations of assault that would lead to liability for
medical professional serving as the observer. Some commenters asked
that we leave the same gender direct observation provision exactly as
it is in Sec. 40.67.
While we acknowledge the concerns of the commenters who opposed the
proposal, we agree with the commenters who wanted to see some changes
made to accommodate situations where a same-gender observer cannot be
easily provided and in the less common situations of transgender and
nonbinary gender individuals who will be subject to a direct
observation collection. Oral fluid testing offers a completely
appropriate solution for all of these scenarios because every oral
fluid collection is a directly observed collection without the need for
a same gender individual to perform that observation.
Consequently, we have not added the proposed provision to allow a
different gender direct observer who is a medical professional. If a
directly observed urine collection is required, the burden remains on
the employer to provide the same-gender observer if the collection site
cannot do so, or to permit an oral fluid test. The responsibility of
ensuring the collection takes place has always been the employer's
requirement. If the employer has a standing order that all directly
observed collections will be conducted as oral fluid, then there is no
need for the collector to call the DER. Otherwise, the collector will
use the telephone number listed on the CCF where the DER can be reached
at any time of the day or night the testing is being conducted. If a
collector cannot find a same-gender observer, the collector needs to
let the DER know that one must be immediately provided for the
collection, unless an oral fluid standing order exists.
In the case where the employee identifies as transgender or
nonbinary gender, the burden remains on the actual employer to ensure
the direct observed collection will take place. We have added Sec.
40.67(g)(3) to require that when a same gender collector cannot be
found, unless the employer has a standing order to allow oral fluid
testing in such situations, the collector must contact the DER and
either conduct an oral fluid test because the collection site is able
to do so or send the employee to a collection site acceptable to the
employer for the oral fluid test. Even if an employer does not usually
utilize oral fluid testing, that employer should have agreements or
arrangements either directly, or through its C/TPA, for oral fluid
testing to be used for directly observed collections of transgender or
nonbinary employees. In the alternative, the employer could establish
in-house collections for such situations. We encourage employers to
arrange for oral fluid testing in advance, in order to plan for such
contingencies.
We want to clarify that the collector does not enter the reason for
the direct observation in the ``Remarks'' section of the CCF if the
employer is sending the employee in for a required directly observed
collection (e.g., a return-to-duty test, a follow-up test, a test where
the MRO has instructed the employer to send an employee in for a
directly observed collection). The ``Remarks'' section would be used
only when the collector moves to a directly observed collection and the
employer did not know about it in advance (e.g., temperature out-of-
range, or signs of tampering). Thus, we have amended Sec. 40.67(e)(2)
to change a cross-reference to Sec. 40.67(b) to become a cross-
reference to Sec. 40.67(c)(2) through (4). This is because Sec.
40.67(e)(2) is an instruction to collectors to follow through with an
entry on the ``Remarks'' line on a CCF when an event under Sec.
40.67(c) takes place. This has nothing to do with Sec. 40.67(b), so
this cross-reference has been corrected. We also proposed to make a
technical amendment to Sec. 40.67(c)(1) to strike the reference to
paragraph (b) because it is an incorrect reference. There were no
comments opposing any of these edits to Sec. 40.67, so we have adopted
them, as proposed.
Sec. 40.69 How is a monitored urine collection conducted?
There were no comments on the proposed new introductory language in
Sec. 40.69(a) to emphasize a monitored collection will be conducted if
the collector is using a multi-stall restroom and the collector cannot
secure all sources of water and other substances that could be used for
adulteration and substitution (Sec. 40.42(f)(2)(ii)). Also, there were
no comments about the proposed edits to Sec. 40.69(e) to update cross-
references in part 40 that were renumbered. We have adopted these
changes as proposed.
Sec. 40.71 How does the collector prepare the urine specimens?
The final rule makes a minor clarifying change, instructing the
collector of a urine specimen to check both the boxes for ``urine'' and
``split specimen'' on the CCF. We received one comment, which requested
we add the words ``after the collection'' for the purpose of reminding
the collector to check the boxes under Step 2 after the collection
takes place. We agree this would be helpful. We have adopted the change
to Sec. 40.71(b)(1), with this modification.
Sec. Sec. 40.72-40.74--Collection Procedures for Oral Fluid Testing
These three new sections establish the collection procedures for
oral fluid testing. They are consistent with the HHS OFMG (84 FR 57554,
Oct. 25, 2019).
There were many substantive points discussed in the comments that
were extremely helpful to the Department. Commenters in the medical
field, collectors experienced in non-DOT collections, laboratories,
associations, and others discussed practical tips, potential problems
and other factors for us to consider. In response to those comments, we
made the following changes explained below.
The American College of Occupational Medicine (ACOEM) questioned
whether oral fluid collectors would be well-enough trained to determine
whether a donor is ``cheeking'', which they said is ``a practice of
hiding medication or
[[Page 27617]]
contraband in the mouth between the cheek and gums.'' This association,
with a membership of very knowledgeable health care professionals,
warned of ``substitute saliva (complete with the proper amount of
albumin or immunoglobulin biomarker) which is far easier to conceal and
maintain at body temp than 30 cc of urine'' and the rise of other
products to cheat oral fluid testing. They also asked whether
collectors would ``be trained to carefully examine the entire mouth,
i.e., using a dental mirror, to assure that the donor has not concealed
an adulterant or substitute saliva sample in their mouth?'' ACOEM also
encouraged us to include such instructions in our Oral Fluid Collection
Guidelines to ``make sure that the proper initial inspection process of
the oral cavity is included.''
To ensure proper training can be done, we must first ensure the
regulatory text is clear and provides the necessary details.
Consequently, we chose to address the substantive concerns about
substituting and adulterating tests here, in Sec. 40.72(a), instead of
the collector training provisions of the regulation.
We agree with ACOEM about the potential for adulterating,
substituting, or otherwise interfering with an oral fluid test exists,
even though all oral fluid tests will be directly observed. The final
rule requires the employee to open their mouth and allow the collector
to fully inspect the oral cavity. The collector is required to check
the oral cavity to ensure that it is free of any items that could
impede or interfere with the collection of an oral fluid specimen. In
Sec. 40.72(a), we have provided the examples of ``candy, gum, food, or
tobacco'', which is not an exclusive list because there could be more
items that are inadvertently present in a donor's mouth. However, we
also included in Sec. 40.72(a) that the collector needs to be checking
for anything that could be used to adulterate, substitute, or alter the
specimen. As this commenter suggested, we will provide further guidance
on inspecting the oral cavity within our oral fluid collection
guidelines to remind collectors to conduct oral fluid testing in well-
lit areas and recommend, as a best business practice, the collector
have a flashlight available for oral cavity inspection.
In response to the concerns of ACOEM and other commenters, we have
amended the proposed Sec. 40.72(a)(1) and created a new Sec.
40.72(a)(2). Specifically, we have added ``If the collector finds
indication(s) of anything identified above, the collector will ask the
employee to lift their tongue and/or separate their cheek from their
gum to permit full inspection.'' Although we do not believe every oral
cavity inspection will require the employee to lift their tongue and/or
separate their check from their gum, we want to provide this as an
option for the collector to utilize within their discretion. We also
added a sentence to allow the employee to cleanse their hands if they
need to touch their own mouth to allow further inspection by the
collector.
On the specific subject of tobacco, one commenter asked how oral
fluid testing ``interacts chemically with employees who will use
tobacco products via dip, smoke or chew prior to testing and of course
various mouth washes to cover up.'' The HHS looked at this specific
subject when formulating its OFMG. See 84 FR 57565 (Oct.25, 2019). The
dark brown juice resulting from some forms of tobacco use can cause
discoloration that may interfere with initial testing. This is part of
the reason why there is a wait period prior to collection, so the
employee can clear their mouth of any material that might stain the
collected oral fluid.
In Sec. 40.72(a)(3), the Department continues to emphasize the
actual employer must make the refusal determination after the
collection site notes the circumstances in the Remarks section of the
CCF and reports these to the DER. Determining whether a refusal has
occurred is a non-delegable duty of the employer per Sec. 40.355(i).
The collector will provide information to the employer to reach a
determination about whether a refusal has occurred.
We asked for public comment about whether the collector or the
laboratory should check the expiration date on the device used. The
comments, including laboratories, industry associations, C/TPAs and
collectors were overwhelmingly in support of having the collector check
the date and record it, as in the proposed language in Sec.
40.72(d)(3). Many pointed out the collector could discard an expired
device and proceed with a new device at the collection site, with no
impact on the collection. Conversely, if the laboratory were
responsible for checking the expiration date on the oral fluid
collection device and the device were expired, then the test would need
to be cancelled. Consequently, in this final rule, we have required the
collector to check the expiration date on the device and document it on
the CCF.
It is important to note the CCF is a document designed by HHS and
is not customized to the DOT-regulated drug testing process. HHS allows
two separate devices to be used to collect a primary and a secondary
specimen. For the reasons set forth in the Principle Policy section
regarding the requirements for a single specimen to be collected and
subdivided in the presence of the donor, the collector will not use two
separate devices. Consequently, we have added a new Sec. 40.72(d)(5)
to specify the collector must enter the expiration date of the device
being used on the CCF line marked in Step 4 of the CCF.
We chose the option designated as ``Split Specimen Device
Expiration Date'' instead of the option marked ``Primary/Single
Specimen Device Expiration Date'' for entry of the DOT-regulated test's
expiration date because part 40 does not allow the use of a ``primary''
collection device, meaning one of two collection devices, nor does it
allow for a ``single specimen'' collection device because all devices
must be capable of collecting a primary and split specimen.
Consequently, to avoid confusion, we require the collector to enter the
device expiration date only in the second option in Step 4 of the CCF
because it is entitled, ``Split Specimen Device Expiration Date'' and
all devices will collect a split and have a single expiration date.
Some commenters asked whether an expired collection device would be
a fatal flaw. We had proposed that in Sec. 40.199(b)(8). We have
adopted that change, as proposed. We have also added a new Sec.
40.199(b)(9) to create a fatal flaw when the collector fails to note
the expiration date for the device in Step 4 of the CCF and the
laboratory confirms that the device was expired.
A commenter suggested we include a new provision to allow
corrective action when a collector checked the expiration date on the
device but forgot to check the box in Step 2 of the CCF to indicate the
device was not expired. The documentation to prove the collector
checked the expiration date is the collector's notation in Step 4 of
the CCF, where the collector will document the expiration date for the
oral fluid collection device. Consequently, we agree with the spirit of
the suggestion and have amended Sec. 40.208 to add the situation where
a collector has entered the collection device expiration and merely
forgot to check the box in Step 2. We have also added language to
address when the collector enters the expiration date in the wrong
spot, as the ``Primary Specimen Expiration Date'', instead of entering
the date as the ``Split Specimen Device Expiration Date'' in Step 4 of
the CCF. By adding these points to Sec. 40.208, we have made these
omissions the basis for creating a memorandum for the record, but the
absence of this corrective
[[Page 27618]]
documentation will not cause the cancellation of the test.
Commenters, including laboratories and oral fluid device
manufactures, supported the provision in Sec. 40.72(b) to have the
employee rinse with 8 ounces of water, if something was in the mouth.
Several of these commenters noted a rinse with 8 ounces of water for
the purpose of clearing the mouth is consistent with current
instructions and practices in non-DOT testing.
More than one commenter was hesitant to say consuming water would
remedy a dry mouth responsible for an insufficient specimen volume.
Quest Diagnostics said, ``the use of water may, but is unlikely, to
have a material impact on the amount of oral fluid collected.''
The commenters were supportive of the 10-minute wait and offered
comments to enhance the proposal. A4A suggested ``DOT provide a
mechanism or guidance regarding the performance-based documentation of
the 10-minute period so that collectors may demonstrate compliance with
the wait time.'' Since Sec. 40.72 requires the 10-minute wait occur in
every collection, the Department will not require the collector to
document this on the CCF. However, the commenter raises a fair point
about addressing this in guidance. Consequently, in the ODAPC Oral
Fluid Specimen Collection Guidelines, we will include more suggestions
for best business practices for a collector to use to demonstrate their
compliance.
A commenter asked whether the collector failing to give the
employee water and wait 10 minutes in a ``dry mouth situation'' would
be a ``fatal flaw.'' It would not be a fatal flaw because fatal flaws
are laboratory issues. Similarly, in urine testing, we did not classify
failure of a collector to make fluids available to an employee during
the shy bladder process in Sec. 40.193 as a ``fatal flaw'' in Sec.
40.199.
Regarding proposed Sec. 40.73, one commenter questioned what we
meant by referring to conducting collections ``correctly''. We
recognize there are differences among the various oral fluid collection
kits on the market today and those that will be developed in the
future. We expect all oral fluid specimen collectors to follow both the
part 40 requirements for collections, as well as the manufacturer's
instructions on how to collect the specimen. Each device will have its
own instructions, and when we refer to conducting the collection
``correctly'' in this section, we mean using the oral fluid device in
the manner described by its manufacturer. The oral fluid collection
must be done under the observation of the collector. In addition, the
employee must properly position the device. We have added a new Sec.
40.73(c)(1) to reflect these requirements.
We received a comment from Quest Diagnostics regarding Sec. 40.74.
Specifically, this commenter ``agrees with the requirement for a
minimum of 1 mL of neat saliva for both the ``A'' and ``B'' (split)
specimens.'' In addition, after further consultations with HHS, we
realized we had drafted this provision too narrowly. There may be
scientifically valid and forensically defensible devices that HHS
determines do not need a minimum measure of 1 mL of neat saliva.
Therefore, we have added the following language to Sec. 40.74(b), ``or
an otherwise sufficient amount of oral fluid to permit an HHS-certified
laboratory to analyze the specimen(s).'' With this additional language
added, we have adopted the amended Sec. 40.74.
As an overall concern, a commenter suggested we refer to the
individual being tested as the ``donor'' and not the ``employee'' in
Sec. Sec. 40.72-40.74. To be consistent with the urine collection
procedures, we will continue to refer to the individual being tested as
the ``employee.''
Subpart F
We are reorganizing subpart F (Sec. Sec. 40.81-40.97), which
addresses drug testing laboratories, to create a logical progression of
urine drug testing, oral fluid drug testing, and provisions common to
both. This reorganization involves renumbering several provisions and,
in some cases, adding language to specify where a provision applies
only to urine drug testing. For example, the title of renumbered Sec.
40.86 would be changed to read ``Sec. 40.86 What is urine validity
testing, and are laboratories required to conduct it?'' We have made a
technical amendment to the second footnote in the newly renumbered
Sec. 40.86.
As an outgrowth of the public comments, we have added new fatal
flaws for the laboratories in Sec. 40.83(c)(8) and (9). We have not
included a requirement for the laboratories to enter the expiration
date on the CCF, as the CCF currently indicates and as commenters
objected to in response to the NPRM. Instead, the laboratory must
reject a specimen if the collector used an expired device at the time
of collection or the collector failed to enter the expiration date in
Step 4 of the CCF, but only if the laboratory confirms the device was
expired. This mirrors the fatal flaws added to Sec. 40.199(b)(8) and
(9). Importantly, it is not the Department's expectation that every
laboratory must check every vial for an expiration date. Instead, the
laboratory will check the vials only when the collector has not entered
the expiration date on the CCF or has entered an expired date. In those
hopefully infrequent instances, by checking the date on the vials and
ensuring that the expiration date has not passed, the laboratory is
saving the test and not declaring it a fatal flaw.
In addition, we asked for comment on decreasing the amount of time
laboratories would be required to keep non-negative specimens from 1
year to 90 days, as required by Sec. 40.84 (formerly Sec. 40.99). We
explained the change was intended to reduce storage burdens on
laboratories. The proposed change would not have affected the 2-year
record retention HHS requires for documentation supporting the
laboratory's analysis of a non-negative specimen and it would not have
changed a litigation hold placed upon the specimen and the paperwork.
We received many comments on this proposal, with the vast majority
of those opposing the change. Several commenters in favor of the change
said employees challenge the results within 90 days and those
commenters recognized that the litigation hold would mean that the
specimen would be retained for what is sometimes years. Others said
that they appreciated the cost and logistical benefits of having
laboratories retain the specimens for a shorter time but suggested 180
days instead of 90 days. Those commenters said the introduction of oral
fluid collections will pose additional costs on the laboratories for
housing two different kinds of specimens under different preservation
methods, so a reduction in time was welcomed.
Those opposing the change cited many substantive arguments for why
they thought reducing the time to 90 days would disadvantage employees
who want to challenge their result. The most persuasive of the opposing
comments noted how an employee who has a non-negative test result needs
more time to understand the process and retain counsel who, in turn,
would formally place a litigation hold upon the specimen.
We agree with the commenters that 90 days may be too short for the
specimen retention where there is no litigation hold. Although we did
not propose 180 days as the hold period, we acknowledge that it is a
logical outgrowth of the comments. We could adopt that period of time.
However, it would be more helpful if we had further insight from public
comment on that specific point. Although multiple
[[Page 27619]]
commenters suggested 180 days would be better, we did not receive any
rationale for the 180 days. Consequently, we have not made any change
at this time to the one-year retention period for non-negative test
result and have withdrawn the proposed language. In a future
rulemaking, it is possible we may consider posing a 180-day retention
period instead of a one-year period, but we would want full public
comment on such a proposal.
The most notable new portions of subpart F are Sec. Sec. 40.91-
40.93, which cover cutoff concentrations and specimen validity testing
(SVT) for oral fluid specimens. These three new sections are drawn from
the HHS OFMG and are intended to be consistent with the HHS provisions.
For information on the parallel HHS provisions and the HHS rationale
for putting them into effect, see the OFMG (84 FR 57554).
One commenter questioned whether HHS had set the correct cutoffs to
be as sensitive to the presence of the drugs for which we test as the
urine cutoffs are sensitive. While this commenter acknowledged DOT must
follow HHS for the science, including the cutoffs for screening and
confirmation for oral fluid testing, the commenter was concerned about
whether there could be a lack of equivalence between the urine and oral
fluid test results and the ultimate fairness of any difference between
the two methodologies.
OTETA requires the DOT to follow HHS on the science of drug
testing, as the commenter noted, and we must defer to HHS for their
scientific determinations. We consulted with HHS regarding this
commenter's concerns and were told there were many variable factors
that impact the ability to detect a person's drug use. Those factors
include biological differences, route of administration, diet and, for
urine, hydration status. In addition, whether someone is an occasional
drug user or a chronic drug user will impact detection, regardless of
methodology. For example, someone's body mass index (BMI) may impact
their urine test results for marijuana because THC adheres to fat
cells. So, someone with a lower BMI may be less likely to test positive
on a urine test than someone with a higher BMI. We have always accepted
the impact on drug testing of the various factors mentioned above.
Similarly, we acknowledge these factors will impact both urine and oral
fluid testing in the future. Since the DOT-regulated testing program is
deterrence-based, we acknowledge our focus is on prevention. When an
employee abstains from using drugs because they know they will be drug
tested, the true result is a benefit to both the individual and to
transportation safety. There may be some situations where urine testing
may not detect the same drug use as oral fluid does, or vice versa.
However, HHS has set the cutoffs for both methodologies to ensure
accuracy and fairness. In this approach, HHS and DOT have made the
decision to forfeit detecting every single possible positive test
result in favor of ensuring accuracy and fairness to each employee
tested. Far from a possible ``arbitrary and capricious'' approach
suggested by the commenter, it is our carefully weighed decision to
ensure accurate and fair testing.
Quest Diagnostics submitted a comment in support of the SVT
provisions of Sec. Sec. 40.92 and 40.93. This commenter agrees with
allowing SVT, as long as DOT is consistent with HHS requirements and
``the specific analyte(s) or whether it is performed at all should be
left to the discretion of the laboratory.''
In the text of Sec. 40.97, several requirements for laboratories
are specified to apply only to urine testing, as they have no
application to oral fluid testing. We restated Sec. 40.97 in its
entirety, given the number of individual changes made for this purpose.
We did not receive any comments opposing these editorial changes, which
were not intended to modify the substance of the provisions in
question. We have finalized those changes.
We proposed a new data element in Sec. 40.97(c)(1)(i)(I) to
require a laboratory to report the collection device expiration date in
a laboratory results report for the MRO. An industry association and a
major laboratory opposed the addition of this data element. We disagree
with the commenters and have included this data element because it
applies only in the circumstance where a laboratory wants to report
negative results to an MRO in report format. If the laboratory chooses
to use Copy 1 of the CCF, the collection device expiration date is
included on the CCF and no additional data element is needed. If a
laboratory chooses to issue a report for one or more negative results,
then the data elements in Sec. 40.97(c)(1) must be included.
An additional major laboratory wanted the collector and not the
laboratory to check the expiration date, saying that having the
laboratory check the expiration date would be another 20,000 hours of
work for laboratories each year. We agree, as we stated in the preamble
for Sec. 40.72(d)(3), the collectors and not the laboratories will
have that responsibility. However, we see two different issues on the
expiration date, neither of which should generate 20,000 hours of
laboratory staff time annually. The first issue is who will be
responsible for checking the expiration date? This will be the
collector per Sec. 40.72(d)(3). The second issue on the expiration
date is its importance as a data element, but only if the laboratory
chooses to generate its own report to the MRO instead of reporting the
result on Copy 1 of the CCF. An expired device could be the grounds for
a fatal flaw, but if the laboratory sends a report instead of sending
the MRO Copy 1 of the CCF, on which the collector has already provided
the expiration date of the device, the MRO would not know about the
fatal flaw. Thus, if the laboratory wants to generate a report instead
of using Copy 1 of the CCF, then the expiration date needs to be
included to ensure the MRO gets the same data as if Copy 1 of the CCF
were transmitted by the laboratory. Since the report is optional for
laboratories, they could choose to revert to Copy 1 of the CCF for
reporting each negative result to the MROs with no burden at all.
In Sec. 40.111, we proposed to add language to paragraphs (a) and
(d) to clarify that in their statistical reports to employers and DOT,
laboratories need to submit reports to employers for the specimens for
which the laboratory tests. Also, we proposed language in Sec. 40.111
to state a laboratory withdrawing from National Laboratory
Certification Program (NLCP) certification is required to file with
both employers and the DOT an aggregate statistical summary for the
last semi-annual reporting period in which it conducted DOT-regulated
testing. This data is important to the Department because it helps DOT
identify trends regarding non-negative results (e.g., positives,
adulterated, substituted and invalid) and cancelled tests. We received
one supportive comment regarding these changes and have adopted them as
proposed.
Subpart G--Medical Review Officers
With the addition of oral fluid testing, for the most part, MROs
would continue to do their work as they have done under the current
regulation. Conferring with laboratories, verifying test results by
interviewing donors, and the other aspects of the MROs remain the same
because this final rule adds an additional methodology, but does not
change the basics of the MRO's role. We asked for public comment on
whether existing and/or new MROs should receive additional training
specifically with respect to their role in oral fluid testing and, if
so, what subjects should such training cover. While we agree it
[[Page 27620]]
is important for MROs to learn about the science of oral fluid drug
testing, the commenters said this is already covered in MRO training.
Several very experienced MROs and practices weighed in on this
subject. One large MRO practice did not want to see additional
training, but the other commenters did. An active MRO and MRO trainer
said, ``Yes training is needed, especially in light of detection
windows, cutoffs and collection processes.'' Corporate Medical Services
commented, ``MRO training should be enhanced to include Oral Fluid
Specimen information during initial training and recertification
training, but that the training should not be required prior to
reviewing oral specimen for MROs who are currently certified.'' The
American Association of Medical Review Officers (AAMRO) said they
already instruct on non-DOT oral fluid testing in their online training
and their current materials follow the HHS final rule on oral fluid
testing. They intend to incorporate any requirements of this DOT final
rule. AAMRO said, ``key areas of concentration will be on managing `shy
mouth' and understanding the factors that can result between
conflicting urine and oral fluid confirmed results.'' Vault Health
Workforce Screening, another MRO practice wants to see oral fluid
testing addressed in MRO training and certification. This commenter
also noted ``[t]he MRO is required to subscribe to ODAPC's list serve.
Through this they are notified of the new regulation once finalized.
This would provide them the information on the collection and
laboratory process that additional training prior to their re-
certification should not be needed.'' We appreciate that perspective on
the usefulness of the ODAPC list serve.
Additional commenters on this subject included SAPAA and Quest
Diagnostics, who both said there should be additional training required
for MROs to include the following, ``differences in laboratory
procedures (e.g., cut-off levels) between urine and oral fluid testing,
the differences between the detection of parent drugs vs. metabolites
where urine and oral fluid differ, differences in windows of detection,
and any additional requirements for the interpretation and reporting of
codeine and morphine positive results in oral fluid testing.'' Quest
Diagnostics urged the Department to require MRO training, echoing the
SAPAA comment and adding ``While it would not be practical to
immediately augment the training of all MROs, the recognized
certification and/or training entities should consider making available
oral fluid modules to augment the training of currently certified MROs
without having to wait for the next recertification cycle.''
We agree with the commenters who said MROs should be trained on the
various aspects of oral fluid testing. We particularly like the
approach of suggesting the MRO training organizations offer oral fluid
modules to augment the training of MROs who are already current on
their training certification requirements. As Vault Health Workforce
Screening noted, the MROs will be notified through the ODAPC list
serve, and mandatory training for MROs is not needed before their next
certification date.
We only proposed to modify a few MRO provisions in subpart G.
Specifically, in Sec. 40.121, we have deleted the word ``urine'' from
subparagraph (c)(1)(i) because future training for MROs should also
include familiarization with oral fluid testing. By removing the word
``urine'' from Sec. 40.121(c)(1)(i), we have opened the section on MRO
qualification training to include oral fluid matters. We will not
require MROs to undergo recertification training, but strongly suggest
MROs seek supplemental information about oral fluid testing by the time
HHS certifies at least two laboratories to conduct oral fluid testing.
In Sec. 40.127, concerning MRO reviews of negative results, we
proposed specifying that MROs need not review more than 500 negative
results ``of all specimen types combined'' in any quarter. This is to
clarify that, by adding oral fluid testing to the regulation, we do not
intend to increase MROs' negative test result review requirements. We
received only supportive comments on this proposal and have included it
in this final rule.
In Sec. 40.129(d), we proposed deleting ``drug test report'' and
adding the word ``result'' following ``invalid test.'' In Sec.
40.135(d), we proposed deleting the word ``test'' and adding the word
``result.'' This would keep the language of that paragraph internally
consistent and consistent with the definition of the term ``invalid
result'' in Sec. 40.3. In Sec. 40.139(b), we proposed to add the
cutoffs for oral fluid laboratory-confirmed results. This is important
because there are different cutoffs for the MRO to consider when the
specimen is oral fluid versus urine. These cutoffs trigger a clinical
examination for the use of the naturally occurring opiates, codeine and
morphine. In addition, in Sec. 40.139(c), we proposed to delete a
reference to ``urine,'' since the provision would apply to all DOT drug
tests. We received no comments on these changes and have adopted them
as proposed.
We proposed a change to the MRO's responsibilities regarding
contacting the pharmacy to verify the authenticity of a prescription in
accordance with Sec. 40.141(b). For more than twenty years, MROs have
been required to personally contact pharmacies to verify a prescription
that an employee has cited as a potential legitimate medical
explanation for a laboratory-confirmed positive test. We proposed to
allow MRO staff to make these inquiries. This would increase
efficiency, lower costs, and assist MRO office workflow. No part of the
MRO's verification interview of the donor would be changed, only the
subsequent checking with the pharmacy to authenticate the prescription.
The proposal only addressed the communication between the MRO's staff
and the pharmacy to ensure that the prescription the donor provided is
or is not authentic.
We received several comments in support of this proposal to change
Sec. 40.141(b). Most of the commenters agreed that this would increase
efficiency and decrease costs because MRO time would not be spent
waiting to speak with pharmacists. One MRO practice characterized
calling the pharmacy as ``an administrative task to `confirm' the
information that was presented to the MRO during the interview.'' AAMRO
suggested the MRO provide their staff ``with an outline or script and
form for documentation. It would also be a good idea for the MRO to
monitor a number of these calls to assure the staff call is
appropriate.'' ACOEM was unsure this change would be effective because
pharmacists are already hesitant to speak with the MROs, who are actual
physicians. If a pharmacist does not want to speak with the MRO, they
would be less likely to speak with staff. Instead, this commenter
wanted the Department to instruct pharmacies that HIPAA does not apply,
and they must communicate with the MRO.
We agree with the suggestion that MROs should conduct some
oversight of their staff by providing instructions on what to say and
occasionally monitoring some of these staff calls. We have added
language to Sec. 40.141(b) to set a performance standard for MROs to
ensure oversight and quality control measures. While HIPAA does not
apply to MROs, who are functioning in DOT-regulated drug testing, a
search and seizure process under the Fourth Amendment to the U.S.
Constitution, pharmacists are functioning under HIPAA because they are
providing healthcare services, often covered by
[[Page 27621]]
insurance. Thus, we cannot direct pharmacists to comply. However, as
always, under Sec. 40.137(c), the burden of proof is on the employee
to establish a legitimate medical explanation. If the pharmacist will
not speak with the MRO or the MRO staff, then the MRO practice needs to
let the donor know to authorize the pharmacist to communicate the
information needed to verify the authenticity of the prescription. If
the donor does not do this, then the MRO must report the verified non-
negative result because the MRO could not authenticate the
prescription, thus the donor did not provide a legitimate medical
explanation that could be authenticated per Sec. 40.137(c). Of course,
the MRO has the discretion to reopen the verification within 60 days,
if the employee is able to provide them access to the pharmacy. After
60 days, the MRO must continue to notify ODAPC before reopening the
verification.
We have adopted two clarifying changes to Sec. 40.145 on which we
received no comments. In Sec. 40.145(g)(3), we have deleted the word
``urine'' and substituted ``drug,'' since in this context we apply the
requirement to test in an HHS-certified laboratory to any such test,
whether urine or oral fluid. In Sec. 40.145(h), have added the word
``urine'' after ``substituted''.
In Sec. 40.151(a), we proposed clarifying the language to direct
MROs not to accept the result of any drug test not collected and tested
under part 40 procedures. If an employee goes to their own doctor the
next day and requests a drug test, the MRO must not consider the
results of that non-DOT test. We also proposed to delete language
referring to DNA tests since use of those tests is prohibited elsewhere
in the regulation (see Sec. Sec. 40.153(e) and 40.331(f)). In Sec.
40.151(b), we proposed to change ``urine'' container to ``collection''
container in recognition of the advent of oral fluid testing. In Sec.
40.151(g), we proposed to delete the reference to ``MDEA'', since it
was removed in a previous rulemaking (82 FR 52229 (Nov. 13, 2017)),
after HHS deleted MDEA from the drug testing panel. MDEA is a Schedule
I drug in the amphetamines class and was previously a required
confirmatory test analyte before HHS removed it from the HHS Mandatory
Guidelines.
In Sec. 40.151(i), we proposed a technical amendment to replace
the wording ``with no detectable creatinine'' with ``when the
creatinine level is below the laboratory's limit of detection.'' This
would ensure consistency with the requirement for laboratories to
provide a numerical value for a substituted result (see Sec.
40.97(e)(2)). Also, it is our understanding that all HHS-certified
laboratories must have an established limit of detection for creatinine
of 1mg/dL or less. Thus, when a laboratory reports a creatinine
concentration level at less than its limit of detection, MROs can be
assured it falls below the creatinine concentration of 2mg/dL for a
substituted specimen and an individual cannot physiologically produce
such a urine specimen.
We received only one comment regarding our proposed changes to
Sec. 40.151. SAPAA said it ``appreciates the clarification language as
it will allow the MRO to point to a clearer explanation in the
regulations when they receive donor objections.'' With this supportive
comment and no others, we adopted all proposed changes to Sec. 40.151.
In Sec. 40.159(a)(1) we proposed to correct the reference to Sec.
40.96(c) to become Sec. 40.96(b) and we proposed adding a new sentence
to Sec. 40.159(a)(5)(ii), which would require re-collection when an
invalid test is cancelled. The added sentence would direct that an
alternate specimen be collected if practicable (e.g., oral fluid, if
the specimen was urine). This could result in a more efficient process
and reduce the likelihood of multiple invalid specimens resulting from
use of the same specimen type.
We received a comment from a C/TPA and MRO practice regarding Sec.
40.159(a)(5)(ii), in which they said, ``We agree with the concept of
changing specimen methodology if possible, but feel that it is the
employer's decision to do so.'' An industry association specifically
supported the new sentence in Sec. 40.159(a)(5)(ii), ``which would
require recollection when an invalid test is canceled. However,
clarification that the proposed addition applies only to results
canceled without a valid medical explanation or where a negative result
is required is needed.'' Since Sec. 40.159(a)(5) already makes this
clarification, no further rule language is needed and we have adopted
it as proposed.
In Sec. 40.163(c)(2), we proposed a small change, substituting
``employee'' for ``donor.'' In Sec. 40.163(e), we also proposed minor
wording changes to clarify what records the MRO needs to retain after
having reported a result and to clarify that when completing Copy 2 of
the CCF, either the MRO must sign and date it (for both negatives and
non-negatives) or MRO staff must stamp and date it (for negatives
only).
A C/TPA and MRO practice specifically agreed with the changes to
Sec. 40.163(e) saying, ``We agree with stressing that the MRO needs to
sign and date the CCF copy 2 for non-negative results. The MRO staff
may stamp negative test results. All tests must have signed/stamped MRO
copy.''
We have adopted the changes to Sec. 40.163 as proposed.
Subpart H, Split Specimen Tests
We proposed a change to Sec. 40.177 to add a reference to the
sections pertaining to oral fluid testing. In Sec. 40.179, we proposed
to change referenced section numbers in accordance with renumbering and
new oral fluid provisions elsewhere in the regulations. In Sec.
40.181, we proposed changing referenced section numbers in accordance
with renumbering and new oral fluid provisions elsewhere in the
regulations. Another change to Sec. 40.181 is to refer only to urine
testing, since the creatinine and specific gravity apply only to urine
testing. In Sec. 40.187, we proposed to change references to Appendix
D to Appendix F in accordance with the redesignations. We received no
substantive comments regarding these changes and have adopted them, as
proposed.
Sec. 40.191 What is a refusal to take a DOT drug test, and what are
the consequences?
Sec. 40.261 What is a refusal to take an alcohol test, and what are
the consequences?
The Department proposed edits to Sec. 40.191(a) to add what can
constitute a refusal in an oral fluid collection to part 40's existing
refusals provisions. The revisions included wording changes to take
oral fluid testing into account (e.g., in paragraph (a)(8)), ``fail to
permit an inspection of the employee's oral cavity, or fail to remove
objects from his or her mouth''), as well as specifying situations that
are applicable only to urine testing (e.g., in paragraph (a)(9)),
``fail to comply with an instruction to permit inspection to allow the
observer to determine whether there is a prosthetic device in use'').
Like the pre-employment urine and alcohol collection processes, the
oral fluid pre-employment collection process generally would not begin
until the device is unwrapped. If an employee does not appear for a
pre-employment drug test or leaves the collection site before receiving
or unwrapping the device, this is not a refusal under Sec.
40.191(a)(1) and (2). However, as in urine testing, certain blatant
conduct by the employee at the collection site could constitute a
refusal before the collection device is chosen under Sec.
40.191(a)(8). For example, if an employee arriving for a pre-employment
test engages in
[[Page 27622]]
disruptive or combative conduct at the collection site, a collector
could report a refusal event to the employer for determination under
Sec. 40.191(a)(8). Also, if the employee shows they are possessing or
wearing a prosthetic or other device that could be used to interfere
with the collection process, and this becomes evident before the
specimen container is unwrapped, a collector could report a refusal
event to the employer for determination under Sec. 40.191(a)(10).
Importantly, when an employee is undergoing a pre-employment test
and the collector switches to an alternate device, it is considered a
continuation of the original collection and is not subject to the pre-
employment exception for leaving the collection site before the second
device is opened. For example, if a collector begins with one specimen
methodology (e.g., urine) and switches to oral fluid (e.g., because the
employee was unable to provide a sufficient specimen), the employee
must not leave the collection site without refusal consequences.
In addition, we would like to remind employers that, under the
existing Sec. 40.23(g), if they receive a cancelled test result on a
pre-employment test, the employer must direct the employee to provide
another specimen immediately. This second specimen collection is a
continuation of the original pre-employment test. This means, as we
said in our 2001 final rule on refusals, ``once the collection has
commenced, the donor has committed to the process and must complete
it.'' 66 FR 41948 (Aug. 9, 2001). As such, the employee must take the
second pre-employment test and does not have the ability to decide not
to continue this pre-employment testing requirement. In our 2003 final
rule on the Drug and Alcohol Management Information System (MIS), we
referred to the second test as ``the subsequent collection'' and we
reminded employers to report only one pre-employment test result (68 FR
43950, Jul. 25, 2003). Accordingly, the employer would count the second
test result as the result of record for this pre-employment test on the
DOT's MIS form.
We have revised drug testing refusals Sec. 40.191(d) and added a
new Sec. 40.261(c)(1) to alcohol testing refusals to clarify an often-
misunderstood point about who has the authority to determine if conduct
at the collection site constitutes a refusal to test. Employers often
automatically treat as a refusal any situation in which the collection
site notes a refusal in the remarks section of the CCF. This is not
correct. The new Sec. 40.191(d) emphasizes the role of the collector
in a refusal is to notify the employer about the circumstances the
collector believes constitute a refusal, but the employer must decide
whether a refusal occurred. The new Sec. 40.261(c)(1) specifically
spells out the respective responsibilities of the alcohol testing
service agent(s) in reporting and the DER in making decisions about
whether a situation during an alcohol test constitutes a refusal to
test.
Under the long-existing Sec. 40.355(i), making collection site
refusal decisions is a ``non-delegable'' duty of the actual employer.
Service agents, such as collectors, BATs or STTs, are not and never
have been authorized to make this decision. The service agent's role is
to provide information to the employer concerning the circumstances of
the event. Then the employer, who must make the ultimate decision
should, as a matter of responsible decision-making, contact the
collector or BAT to gather information and consider anything the
employee brings to the employer's attention. Taking the entirety of the
circumstances into account, the employer should then make the decision
about whether a refusal occurred. The employer also has the discretion
to consider information from the employee to determine if the evidence
satisfactorily excuses the employee's conduct. For FMCSA-regulated
owner-operators, C/TPAs stand in the shoes of those employers for the
purposes of determining whether the individual refused a test (Sec.
382.705(b)(6)).
In this final rule, we emphasize the already existing employer's
role in making determinations about collection site and other non-MRO-
determined refusals (e.g., failure to appear for a test, failure to
take an additional test, etc.). We think it bears repeating that
refusals are violations that cannot be overturned in a decision about
personnel actions. An arbitration, grievance, State court or other non-
Federal forum cannot overturn the employer's determination of a refusal
on a DOT-regulated test. When a case proceeds to one of those forums,
it is because the employee wants an adverse personnel action reversed.
None of those forums has jurisdiction over DOT-regulated Federal drug
or alcohol testing, the determination of a refusal under part 40, or
the regulatory consequences that exist to ensure transportation safety
is served. In the part 40 final rule from December 2000, (65 FR 79470-
71), we said, as has been true from the beginning, all the Department
requires is that an employee who violates the rule not perform safety-
sensitive functions until and unless he or she successfully completes
the return-to-duty process. Decisions about discipline and termination
are left to the discretion of the employer or labor-management
negotiations. Where employer policy, or labor-management negotiations,
have delegated personnel decisions of this kind to an arbitrator, the
Department intends that the arbitrator's decision determines the
personnel action that the employer takes. The Supreme Court has
affirmed these principles. Eastern Associated Coal Corporation v.
United Mine Workers of America, District 17, et al., 531 U.S. 57
(2000). Of course, an arbitrator cannot order an employer to return an
employee to the performance of safety-sensitive functions until the
employee has successfully completed the return-to duty process. Nor can
an arbitrator or an employer change the laboratory's findings about a
specimen or an MRO's decision about whether there is a legitimate
medical explanation for a test result.
Therefore, we have added a second sentence to Sec. Sec. 40.191(c)
and 40.261(b), to remind the employee and employer that the
consequences specified under DOT agency regulations for a violation
cannot be overturned or set aside by an arbitration, grievance or State
court tasked with adjudicating the personnel decisions the employer
decides to take against the employee. As we said in the December 2000
preamble, the employee must successfully complete the federally
required return-to-duty process regardless of what the decision is on
the personnel action. This ensures safety is not compromised.
Importantly, a refusal is a willful violation of the Department's drug
and alcohol safety regulations and is completely separate and apart
from employment decisions the employer makes.
Some commenters asked for examples of what would not be grounds for
an employer to determine a refusal. Of course, the universe of examples
is too vast to capture. However, here are a few examples that are not
meant to be exhaustive, they are only a tiny fraction of what is
possible. Example 1: An employee provides an insufficient quantity of
urine, begins the ``shy bladder'' process, but the process is cut short
because the collection site sent the employee away because they were
closing before the employee had three hours to produce a sufficient
urine specimen per Sec. 40.193(b)(2). If the collection site
nevertheless reports this to the employer as a refusal, the employer
could determine there was no possibility the employee could have
completed the test, and therefore could conclude there was no refusal.
Example
[[Page 27623]]
2: When an employee leaves a collection site due to a documented family
medical emergency, the employer could determine the employee's
departure from the collection site did not constitute a refusal.
Example 3: If an employer sends an employee to report for a DOT-
regulated test, but the collection site is closed or is about to close
and sends the employee away, the employer would take this into
consideration in determining that a refusal did not occur. Example 4:
If an employer requests an applicant take a pre-employment test, and
the employee does not show for the test, this is not a refusal under
part 40 and the employer would appropriately not consider this to be a
refusal to test. In all of the examples above, an employer would not
report a ``refusal'' in response to a records request made by a
prospective employer under Sec. 40.25. Similarly, an FMCSA-regulated
employer would not report a ``refusal'' to the Clearinghouse.
If the employer determines that a refusal did not occur, the
employer would treat the test as an administratively closed non-event.
The employer would not ``cancel'' the test and would not enter it on
the MIS report required by DOT. For random, post-accident and
reasonable cause/suspicion tests administratively closed as a non-event
by the employer, no further action is required, and the employee would
not be sent back in for another test. For those testing events that
require a ``negative'' test result (e.g., return-to-duty, follow-up,
pre-employment), the employer would send the employee back for another
collection. In all cases, the employer should document the event and
the evidence relied upon to explain why the employer concluded a
refusal did not occur.
The Aircraft Owners and Pilots Association (AOPA) said it
``supports the change to Sec. 40.191 that clarifies the employer does
not need to automatically treat as a refusal any situation in which the
collection site notes a refusal in the remarks section.'' AOPA also
asked for clarification in the regulation to indicate ``what the
testing center must explain to an individual.''
For decades, it has been a requirement of Federal law, per
Sec. Sec. 40.191(a)(2) and 40.261(a)(2), for an employee to ``remain
at the testing site until the testing process is complete.'' With this
explicit statement of the requirement to remain at the testing site, we
have never put additional requirements on the collector to explain to
the employee what the employee's legal requirements are. ODAPC has
provided guidance stating the following: ``There is no requirement for
a collector to inform an employee that the failure to remain at the
collection site is a refusal. Therefore, if the collector does not
inform an employee that failure to remain at the collection site is a
refusal, it does not mean that the collector has given the employee
permission to leave the collection site. If an employee leaves prior to
the completion of the testing process, the employer must decide whether
the employee's actions constitute a refusal.'' https://www.transportation.gov/sites/dot.gov/files/docs/resources/partners/drug-and-alcohol-testing/323471/july-2014-part-40-questions-and-answers.pdf. In response to AOPA's comment for clarification, we have
added the following to Sec. 40.191(a)(2) and (3), ``The collector is
not required to inform an employee that the failure to remain at the
collection site is a refusal. If an employee leaves prior to the
completion of the testing process, per Sec. 40.355(i) the employer
must decide whether the employee's actions constitute a refusal.'' For
consistency and as a logical outgrowth of the comment, we have also
amended Sec. 40.261(a)(2) and (3) to add the same language.
Two commenters asked for specificity about Sec. 40.191(a)(2)
because it deems one ground for determining a refusal is an employee's
failure to remain at a ``testing site'' until the process is complete.
One commenter noted part 40 does not state ``what constitutes a
`testing site' for this purpose. Is it the waiting room? Is it the
building? Is it the building and grounds?'' Another commenter asked for
more explanation from the Department about whether it would be a
refusal for an employee to step out of a waiting room or to leave a
building during a collection.
Since part 40 covers the regulated industries of aviation, motor
carriers, transit, railroads, pipelines and is applied to the maritime
industry, it would be nearly impossible to define what a ``testing
site'' is for every industry and in every circumstance. It could be the
clinic in a major airline's hub, the area around a portable toilet in
an oil field, an occupational health clinic offering drug tests, or
somewhat of an improvised collection site near the scene of an
accident. In recognition of the differences among and between these
transportation industry employers and the testing sites they and their
contractors use, we will continue to defer to the respective employers
to make the determination about what is reasonable to construe as the
``testing site'' in a particular circumstance, as they determine
whether or not their employee's behavior constituted a failure to
remain at that testing site.
One commenter opposed the changes to Sec. Sec. 40.191(d)(1) and
40.261(c), saying collectors should be the ones to determine whether or
not a collection site refusal has occurred. This commenter said most
employers ``do not know what to do when the collector informs them that
there was an attempt to tamper during the collection. The only witness
to the tampering is often only the collector.'' Conversely, another
commenter who is a seasoned collector and collector trainer said,
``Thank you for clarifying that collectors do not have the authority to
make these. I appreciate the two very common and distressing examples
(collection site closing, family emergency for employee) and the
clarification that employers have discretion in these cases.''
Several commenters were pleased with the additional clarity we
proposed to add to Sec. Sec. 40.191(d)(1) and 40.261(c) to remind
employers that making collection site refusal decisions continues to be
their ``non-delegable'' duty. Quest Diagnostics, which includes
multiple HHS-certified laboratories and more than a thousand collection
sites in the United States, said it ``appreciates the clarification
that it is only the employer who can make the determination that a
donor refused to take a DOT drug test. While a collector can inform the
donor that an employer may view the donor's action as a refusal to
test, that decision rests with the employer.''
One commenter noted the importance of the employer making ``the
determination regarding a test refusal after seeking comments from the
collectors involved in the process.'' Other supportive commenters
requested we go further and not say ``the collector could report a
refusal to the employer for determination . . .'' A collector training
company said this language ``implies that the collector has the ability
to make the determination. They suggest better language would be:
``note the actions that may constitute a refusal on the Remarks line .
. .' [and they want] ``more directive language'' for employers who must
make refusal determinations. Several commenters asked us to amend this
proposed rule text ``to be clear the collector will `notify' an
employer of the employee's actions'', so the employer will make the
determination of whether or not a refusal has occurred. One commenter
asked for more directive language for employers who must make refusal
determinations.
In response to the comments, we have amended Sec. Sec.
40.191(d)(1) and 40.261(c)
[[Page 27624]]
to include the language some requested to more clearly indicate that
collectors do not determine refusals. Both sections now state, ``As the
collector, you must note the actions that may constitute a refusal in
the `Remarks' line (Step 2), and sign and date the . . . [CCF for drug
testing or ATF for alcohol testing].'' We think we have been
sufficiently directive to employers in adding the following to
Sec. Sec. 40.191(d)(1) and 40.261(c)(2): ``the employer has the sole
responsibility to decide whether a refusal occurred.''
More than one commenter asked for guidance on how a collection site
should handle an employee who is sent back to the collection site after
the employer determines that a refusal did not occur. Because every
collector is different and every employee is different, this would be
difficult for the Department to include in guidance. What collection
site(s) an employer uses would be up to the employer. If another
collection site is available for the subsequent collection, the
employer might want to choose this collection site for the second
collection.
Another commenter asked for advice about ``What actions by the
donor prior to selecting the collection device constitutes a refusal in
a Pre-employment setting? Which do not?'' The preamble to the final
rule establishing exceptions for refusal determinations when a donor
leaves a collection site in pre-employment tests merits reiterating. It
stated that i]n the pre-employment test context, there can be
situations in which an employee could legitimately leave a collection
site before the test actually commences (e.g., there is a long wait for
the test and the employee has another obligation). By the commencement
of the test, we mean the actions listed in Sec. 40.63(c), in which the
collector or employee selects a collection container. Once the
collection has commenced, the donor has committed to the process, and
must complete it. If the employee then leaves before the process is
complete, or takes another action listed in this section as a refusal,
the consequences of a refusal attach. However, if the employee leaves
the site before the test commences, then the employee is in the same
situation as someone who does not appear at all for the pre-employment
test. The consequences of a refusal do not attach in this situation
(Sec. 40.191(a)(2) and (3)). 68 FR 41948 (Aug. 9, 2001).
However, in a pre-employment situation there could be a refusal to
test prior to selecting a collection container. In Sec. 40.191(a)(8)
and (10), there are no exceptions for pre-employment tests. These
sections address conduct at the collection site that is disruptive or
that involves bringing in substituting or adulterating products.
Consequently, there could be refusals reported to an employer for a
pre-employment applicant. Here are some specific examples, although not
an exhaustive list: refusing to empty one's pockets; refusing to wash
one's hands; acting disruptively at the collection site; threatening or
attempting to bribe collection site personnel; bringing to a collection
site a bag of urine or any device that could be used to substitute or
adulterate a urine specimen.
Sec. 40.193 What happens when an employee does not provide a
sufficient amount of specimen for a drug test?
We proposed the addition of oral fluid testing to paragraph (a),
adding insufficient specimen provisions for oral fluid testing,
parallel to the existing insufficient urine specimen procedures. Due to
the differences between the two types of specimen collections, the oral
fluid insufficient specimen collection procedure is shorter in duration
than the insufficient urine specimen collection procedure (e.g., in an
oral fluid collection, there is no need for a three-hour wait period).
In paragraph (e), we proposed adding examples of conditions that might
succeed as medical explanations of providing an insufficient quantity
of oral fluid (e.g., autoimmune diseases), as well as examples that
would not constitute a valid medical explanation (e.g., unsupported
assertions of dehydration). Although one commenter opposed listing any
examples of conditions that could be legitimate medical explanations
because MROs should be able to ascertain legitimate conditions, we have
kept the examples as proposed. In addition, another commenter said MROs
are not qualified to assess the legitimacy of shy bladders or dry
mouth, but we disagree and will continue to have MROs, who are fully
qualified physicians, assess the legitimacy of the conditions
underlying an individual's inability to provide a sufficient specimen
under any approved testing methodology.
With an alternate specimen methodology now available, an employer
may authorize a collector to use a different type of specimen
collection process in an insufficient quantity case. If a urine
specimen is insufficient, the collector could follow up with an oral
fluid collection, or vice-versa. In a case involving an insufficient
urine specimen, following the insufficient urine specimen procedures
would become unnecessary since an oral fluid collection would be
performed. We asked for public comment on these changes and whether
allowing a donor to rinse with up to 8 ounces of water is an
appropriate amount of fluid for rinsing for the purposes of both
Sec. Sec. 40.72(b) and 40.193(b)(2). We also asked for comment about
the questions of who would decide what methodology to use after an
insufficient specimen occurs, and when and how such a decision would be
made. Since so many oral fluid tests occur each year in non-DOT
testing, we were eager to learn from those with experience on what we
should know.
We received robust public comment on the above-mentioned subjects
and have discussed these in detail in the Principle Policy section of
this final rule. As explained in the Principle Policy section, the
Department will not mandate the use of the same or the alternate
testing methodology for an insufficient urine specimen (``shy
bladder'') or an insufficient oral fluid specimen (``dry mouth'').
While not required, it would be prudent for an employer to offer more
than one methodology to address such scenarios.
The Department agrees there are several advantages to switching
from a urine collection to an oral fluid collection when an employee
has presented an insufficient specimen. For example, once an employee
provides an insufficient urine specimen, they would have up to three
hours to provide a sufficient specimen (during which time the employee
should be monitored). If at the end of the three-hour period, the
employee still did not provide a sufficient specimen, the employee is
required to prove (via a medical evaluation by a referral physician)
they have a medical condition to explain their inability to provide a
sufficient specimen.
We also acknowledge the commenters' concerns that shy bladder
situations merit attention, as we have articulated in our discussion of
Sec. 40.193 below. Employers have legal obligations separate and apart
from part 40 for providing reasonable accommodations for employees with
disabilities. If an individual has a condition rendering that person
unable to produce urine falling within the parameters of a disability,
this should not be considered to be an effort to evade a test.
Whether the reason for failing to provide a sufficient specimen is
substantiated by a medical condition or not, there is a cost (e.g.,
lost work) to the employer for having the employee wait for up to three
hours. Similarly, there is a cost for the medical evaluation which, in
most instances, is at the employee's expense. The availability of oral
fluid
[[Page 27625]]
drug testing means the costs associated with the three-hour wait and
the medical evaluation could be avoided while still affording the
employee the opportunity to provide a specimen.
Some commenters opposed allowing an insufficient urine collection
to go to an oral fluid collection. These commenters were concerned
employees who had used drugs several days before the test would
withhold their urine in the hopes of having an oral fluid with a
shorter window of detection. Some commenters wanted the decision of
whether to proceed with another urine collection or to change to an
oral fluid collection left to the discretion of the collector after the
initial insufficient urine specimen. Since the collector could assess
the facts at the collection site, the collector would be the better
judge of the best method of testing to deploy.
The majority of the commenters supported the option of changing to
a different collection methodology if the employee demonstrates (at the
onset) that she or he cannot provide a sufficient specimen. For the
reasons outlined above, the Department agrees with those commenters in
theory, but we have not mandated that change in drug testing
methodologies.
For employers including oral fluid drug testing in their DOT-
regulated drug testing program, the Department will allow the employer
to switch to an oral fluid collection when an employee does not provide
a sufficient urine specimen on their first attempt. Similarly, the
Department will allow the employer to switch to a urine collection when
an employee does not provide a sufficient oral fluid specimen on their
first attempt. Under Sec. 40.193, the employer has this option and the
employer should communicate this option to the collector or the
collection site in advance of any collection. The employer will need to
ensure the collector is a qualified urine and/or oral fluid collector.
In either scenario when there is a successful collection under
Sec. 40.193, there is no requirement for the employer to send the
employee for an evaluation of the first insufficient specimen type. In
the rare circumstance when the employee is not able to provide a
sufficient oral fluid specimen after the insufficient urine specimen or
vice a versa, the employee would be required to only have an evaluation
for the collection of the specimen type attempted under Sec. 40.193.
To be clear, the employer must send the employee for only a dry mouth
medical evaluation if the employee has not provided a sufficient oral
fluid specimen following an insufficient urine specimen. The MRO will
only proceed with the dry mouth evaluation and not proceed with the shy
bladder evaluation. Similarly, the employer must not send the employee
for a dry mouth evaluation if the employee has not provided a
sufficient urine specimen following an insufficient oral fluid
specimen. The MRO will only proceed with the shy bladder evaluation and
not proceed with the dry mouth evaluation. Only a shy bladder medical
evaluation is to be done at that point. The final rule reflects this
requirement.
Employers should strongly consider having oral fluid as an
alternate methodology available for employees who need a reasonable
accommodation because of a physiological or pre-existing psychological
condition that renders the employee unable to provide a urine specimen.
Similarly, if an employee needs a reasonable accommodation for dry
mouth, it is advisable for the employer to have urine testing
available.
In situations where the employee provides a suspect urine specimen
(e.g., temperature out of range, excess foaming, etc.), which leads to
a successful oral fluid specimen collection, or vice versa, the
collector would send both specimens to the respective laboratories for
testing. In this scenario, the MRO would report the multiple verified
results from one testing event in accordance with Sec. 40.162. For
example, if there were two negative results, a single negative result
would be reported to the employer; if there were a negative and a
verified non-negative result, only the verified non-negative result
would be reported.
In addition, we asked for public comment as to whether the
collector should use the same CCF when switching collection
methodologies from urine to oral fluid or vise-a-versa. Some commenters
thought this would be more efficient. Others thought it was too
confusing to list a urine collection on the same form as an oral fluid
collection is listed, even if there is an explanation in the ``Remark''
space on the CCF.
We agree with the commenters who said documenting the insufficient
first specimen on the same CCF used for the second collection with a
different methodology is likely to cause confusion. The laboratory for
the urine collection might not be the same laboratory listed on the CCF
for the subsequent oral fluid collection. If the specimen from the
second collection is sent to the wrong laboratory, it will add
confusion and delay, as the specimen will need to be rerouted to the
correct laboratory. Not all HHS-certified laboratories for urine
collections will be HHS-certified for oral fluid collections, and vice-
versa.
For example, the CCF is designed for the collector to complete and
document either an oral fluid or a urine collection process (e.g., Step
2 identifies the specimen type, the specimen labels can be used for
either type of specimen container). The CCF from a urine-only testing
laboratory contains account and billing information only for the
employer's urine drug testing account. The CCF from an oral fluid-only
drug testing laboratory will contain account and billing information
for the employer's oral fluid drug testing account. The CCF from a
laboratory that conducts both urine and oral fluid drug testing would
contain account and billing information for the employer's urine and
oral fluid drug testing accounts. The collector will use a new CCF when
switching collection processes. The rule text will reflect the need for
the collector to ensure a correct CCF is used. The rule text will also
reflect the requirement to document, in the ``Remarks'' section of the
CCF, the reason for the changed collection process. It will not be a
fatal flaw or correctable flaw if the collector does not make notes in
the ``Remarks'' section.
Oral Fluid Insufficient Specimen (``Dry Mouth'') Specifics
Since oral fluid testing and ``dry mouth'' for insufficient oral
fluid specimens are new concepts for DOT-regulated testing, the
commenters asked many relevant questions. We appreciate the time people
took to call out the details because their thoughts and concerns have
made this a better final rule.
Some commenters asked exactly how ``dry mouth'' will be determined.
The commenters also wanted to know how many attempts and/or how much
time would a donor be given before the collector would end the
collection and send it on to the DER to provide the contact information
for an evaluation by a referral physician.
In Sec. 40.48(c)(1), we use the term ``dry mouth'' to indicate an
insufficient oral fluid specimen. This is shorthand, similar to the
term ``shy bladder'' used for urine collections, for a situation in
which an employee is unable to produce a sufficient specimen. An
employee may tell a collector they think their mouth is dry before the
collection begins. If the employee states their mouth is dry, then
Sec. 40.72(b)(1) requires the collector to give the employee up to 8
ounces of water to rinse their mouth. The employee may drink the water.
The collector must then wait 10 minutes
[[Page 27626]]
before beginning the specimen collection. Incidentally, the commenters
who responded to our question whether 10 minutes was an appropriate
waiting time responded unanimously in support of this amount of time.
Apparently, it is the industry standard.
It is a dry mouth scenario if the oral fluid device indicates the
employee has not provided a sufficient specimen. If dry mouth occurs
after the initial collection is attempted, this will begin a one-hour
period to allow a sufficient specimen. Also, this necessitates a second
oral fluid collection within one hour, or the employer could have a
standing order to require the collector to move on to an alternate
methodology (i.e., urine) to complete the collection process for the
testing event.
Some commenters asked how many attempts at providing an oral fluid
specimen should be made before a finding of dry mouth is determined and
a referral physician is needed. We were asked to consider conducting
research concerning dry mouth. Some commenters wondered if we would
require a specific period of time for attempts for an oral fluid
collection. In addition, we were asked to describe or define what we
meant in Sec. 40.193(b)(2)(i) by requiring that the employee ``remain
at the collection site, in a monitored area designated by the
collector, during the wait period.''
We proposed procedures to go into effect 15 minutes after an
employee fails to produce a sufficient specimen and the procedures
would continue for one hour. We have adopted this proposal in Sec.
40.193(b)(2)(i). If an employer has provided for an alternate
methodology to be used in oral fluid insufficient specimen situations,
then the collector would move on to the alternate methodology, which is
currently urine. If the employer does not have this option, then the
collector would follow the steps set forth in Sec. 40.193(b)(2)(i)
when the employee demonstrates an inability to provide a specimen after
15 minutes of using the collection device. As in urine testing, the
time clock begins after the 15 minutes and when the employee attempts
but is unable to provide a sufficient quantity of specimen. If the
employee states they could provide a specimen after drinking some
fluids, the collector must urge the employee to drink (up to 8 ounces)
and wait an additional 10 minutes before beginning the next specimen
collection (a period of up to one hour must be provided, or until the
donor has provided a sufficient oral fluid specimen, whichever occurs
first). The employee is not required to drink during the hour and their
choice not to drink is not a refusal. The collector must provide a full
hour for the employee to attempt another oral fluid collection. If the
employee still cannot provide a sufficient specimen, then the collector
must note this in the ``Remarks'' line in Step 2 of the CCF, and
immediately contact the DER to begin the referral physician process for
the dry mouth medical evaluation.
We will not be conducting our own studies on dry mouth but will
continue to follow HHS for the science of oral fluid testing, as
required by OTETA. In addition, a referral physician would evaluate the
employee to obtain and provide to the MRO information about whether a
``medical condition has, or with a high degree of probability could
have, precluded the employee from providing a sufficient amount of
specimen'', per Sec. 40.193(d)(1). We rely on the referral physician
and the MRO to remain versed in the current medical studies to make
these important determinations, as they have done for more than 30
years in shy bladder urine testing cases.
To ``monitor'' an employee during a wait period in an oral fluid
collection, we mean the employee must be supervised or observed for
security and integrity of the collection process. This ensures they
cannot take any actions to interfere with the integrity of the specimen
they are required to provide. It does not need to be the actual
collector who monitors the employee during the wait period. In fact, in
Sec. 40.48(c)(1), we say that the collector can conduct a collection
for another employee during this wait period.
Sec. 40.195 What happens when an individual is unable to provide a
sufficient amount of specimen for a pre-employment follow-up or return-
to-duty test because of a permanent or long-term medical condition?
The only change we proposed in Sec. 40.195 was in the title, where
the more general ``specimen'' is substituted for ``urine,'' in view of
the addition of oral fluid testing to the program. However, there were
several commenters who wanted an oral fluid test conducted whenever
there is a permanent or long-term medical situation.
Section 40.195 is the mechanism for an MRO to rule out the drug use
of an employee who has been found under the clinical evaluation in
Sec. 40.193 to have permanent or long-term medical condition that
renders that employee otherwise unable to produce a sufficient amount
of urine required to yield a negative drug test result. A negative drug
test result is required for a pre-employment, return-to-duty, or
follow-up test. Historically, Sec. 40.195 has not applied to random,
post-accident, reasonable cause, or reasonable suspicion tests.
We anticipate most employers will embrace oral fluid testing for
employees they know have permanent or long-term medical conditions that
affect one's ability to urinate. However, we have not mandated that
employers use oral fluid testing for employees with such medical
conditions. It would be prudent for an employer to consider various
cost factors for an oral fluid test versus a urine test in a shy
bladder scenario. In addition, if an alternate methodology is not used,
then when a negative drug test result is needed, there is the cost of
having yet another evaluation for clinical evidence of drug use so that
the MRO can determine whether a ``negative'' result can be issued under
Sec. 40.195. While an employer may not want to use two different
testing methodologies on a regular basis, the situations of an
inability to provide a sufficient specimen for either a urine test or
an oral fluid test are excellent reasons for an employer to have a
second methodology in place to plan for such contingencies.
One commenter acknowledged Sec. 40.195 ``has long provided relief
to employees with permanent or long-term medical conditions preventing
the provision of a sufficient urine specimen in the cases of pre-
employment, follow-up, or return-to-duty tests, in which a negative
test is required.'' This commenter urged the Department to go further
to allow an employee to bypass a urine specimen collection by producing
documentation of their ``long-term medical conditions preventing giving
a complete specimen [regardless of test type].''
While the Department agrees with the spirit of this commenter's
point, we do not agree with allowing an employee to produce
documentation to avoid a urine specimen collection. Individuals who are
unable to produce a sufficient urine specimen, regardless of whether
their condition is short-term or long-term, have the potential to
undergo an oral fluid specimen collection instead of a urine
collection, as long as their employer allows oral fluid testing.
Prudent employers should take this into consideration when determining
what testing methodologies to allow.
Sec. 40.197 What happens when an employer receives a report of a
dilute urine specimen?
The only textual change in Sec. 40.197 in the proposed rule is in
the title, where the word ``urine'' would be inserted because this
section concerns situations
[[Page 27627]]
that arise only in urine testing. We received no comments regarding
this change and have adopted it as proposed.
Sec. 40.199 What problems always cause a drug test to be cancelled?
We proposed to add a new fatal flaw for use of an expired oral
fluid collection device, in Sec. 40.199(b)(8). In Sec. 40.199 (b)(7)
of, we proposed to replace the term ``urine'' with ``specimen,'' to
reflect the addition of oral fluid testing to the program.
OraSure, a long-established oral fluid device manufacturer, agreed
that the use of an expired device should be a fatal flaw. Quest
Diagnostics also agreed with the addition of the new fatal flaw and
said ``the use of an expired device (at the time of collection) should
be considered a fatal flaw and collector error.''
We have adopted the proposed changes to Sec. 40.199 without
further change.
Sec. 40.201 What problems always cause a drug test to be cancelled and
may result in a requirement for another collection?
In Sec. Sec. 40.199(b)(7) and 40.201(f), we proposed to replace
the term ``urine'' with ``specimen,'' reflecting the addition of oral
fluid testing to the program. We received no comments on this proposal
and have finalized it as proposed.
Sec. 40.210 What kinds of drug tests are permitted under the
regulations?
The proposal acknowledged that oral fluid and/or urine specimens
can be collected, and must be tested at HHS-certified laboratories. No
other specimen methodologies are currently permitted. Furthermore, we
proposed an employer can use one or the other, but not both urine and
oral fluid methodologies at the beginning of the testing event. We
offered an example ``if an employee is sent for a test, either a urine
or oral fluid specimen can be collected, but not both simultaneously.''
ALPA agrees ``with DOT's proposal to require an employer to use one
or the other methodology at the beginning of a testing event--but not
both simultaneously.'' A consortium and MRO practice also supported
``using one method of testing at the beginning of the testing event,
not both simultaneously.''
In Sec. 40.210, we also discussed what to do if a problem arises
that would require a second collection. Such problems would include
when the employee provides a specimen that is an insufficient quantity
of urine, has a temperature out of range, or is an insufficient oral
fluid quantity. We asked for comment on whether the employer and/or its
service agent would be the correct one(s) to make the decision as to
which methodology to use in the second collection.
One commenter suggested using urine first in all collections and to
use oral fluid testing if a second collection is needed. Another
commenter said it would be easier to finish the testing event by using
the same methodology for the second collection. The International
Paruresis Association cautioned against continuing with a second urine
collection after the employee produced an insufficient urine specimen
unless the employee requested this. Another commenter asked ``how
things would proceed when the alternate specimen was available only at
a different collection site. How would the change of venue be handled?
Would someone have to accompany or supervise the employee in transit
between Site 1 and Site 2?'' Questions such as these are valid and will
be best handled in the collection guidelines for both urine and oral
fluid.
The remaining comments on this provision delved into the choices
between having the employer and service agent make the choice as to
what to do when a second collection is needed. NDASA said the employer
should decide what methodology to use for the initial specimen ``and
only in cases where an alternative is required to complete the
collection, should the service agent make a determination.'' The New
York City Department of Transportation commented in support of allowing
either the employer or service agent to make a decision about the
second collection. An MRO practice, Cynergy, said the employer's
``policy should dictate what is permitted if there is a problem in the
collection that necessitates a second collection.''
Under Sec. 40.210 we have retained the flexibility for either the
employer, the service agent, or both working together, to decide what
methodology to use for a second collection after a problematic first
collection. We think the ideal is for the employer's policy to dictate
what methodology should be used for the first test and for the second
test, should a problem arise. However, if there is no standing order
and the collector cannot contact the DER, then the service agent will
need to make the decision as to the methodology to be used for the
second test. Thus, we have adopted Sec. 40.210 with minor changes to
emphasize the flexibility discussed above.
Sec. 40.225 What form is used for an alcohol test?
We made a conforming change to Sec. 40.225 and redesignated
appendix G to be appendix I. We received no comments on this change.
Sec. 40.283 How does a certification organization obtain recognition
for its members as SAPs?
In Sec. 40.283, we made a conforming change redesignating appendix
E to appendix G. We no comments received on this change.
Sec. 40.285 When is a SAP evaluation required?
In Sec. 40.285, the word ``urine'' would be removed if oral fluid
testing is added. Having received no comments on this change, we have
finalized it.
Sec. 40.291 What is the role of the SAP in the evaluation, referral,
and treatment process of an employee who has violated DOT Agency drug
and alcohol testing regulations?
As discussed in the Principal Policy section of this final rule,
the Department proposed to permit SAPs to conduct evaluations or
assessments remotely by amending Sec. 40.291(a)(1) and (3) to remove
the requirement that SAP evaluations be only ``face-to-face'' and to
explain what is required for remote evaluations. The changes we adopted
are fully discussed and resolved in the Principal Policy section.
Sec. 40.293 What is the SAP's function in conducting the initial
evaluation of an employee?
For the reasons discussed in the Principal Policy section of this
final rule, we have removed the words ``face-to-face'' from paragraph
(a) this provision to remote evaluations. In the context of remote
evaluations and other issues of concern to SAPs, many commenters raised
points that we have decided merit changes to Sec. 40.293, as a logical
outgrowth of their comments.
Specifically, some commenters expressed concerns about SAPs who are
conducting remote assessments without following the requirements of
subpart O of part 40. The commenters said some SAPs are not evaluating
employees individually and are simply taking their money. The
commenters asserted these purportedly noncompliant SAPs are regularly
or even exclusively requiring employees to complete online education,
regardless of the substance abuse issues the individual employee
presents. Additional commenters said some SAPs offer low pricing for
their services online and, before evaluating employees, allegedly
promise the employees will only need to complete online education to
satisfy the return-to-duty requirements, when some of these employees
actually may need treatment
[[Page 27628]]
after an assessment and clinical evaluation is performed.
We appreciate that these concerns are serious, but we believe they
potentially apply to all SAPs, not only those SAPs who conduct remote
assessments. It is important to break out the individual points raised
by the commenters, in order to explain what is already addressed in the
existing subpart O of part 40, what we will not address through
regulatory changes, and what we can address through rulemaking, as a
logical outgrowth of these comments.
First, under Sec. 40.293(a), each SAP must perform an assessment
and clinical evaluation for each employee. Any SAP who is not
performing an assessment and clinical evaluation for an individual
employee is in direct violation of Sec. 40.293(a). There is no
modification to Sec. 40.293(a) needed because the current regulatory
language is clear.
Second, if a SAP prescribes online education for most or all of the
individual employees that SAP evaluates, then the SAP would be in
violation of Sec. 40.293(b) through (d). These sections discuss the
appropriate education and/or treatment the SAP would determine is
necessary for each employee. In the final rule establishing subpart O,
the Department said: ``For someone who performs safety-sensitive
transportation functions, the very fact of a violation indicates a
disregard of safety that must be addressed, corrected, and monitored in
order to ensure safe performance of those functions in the future.'' 65
FR 79470 (Dec. 19, 2000). As a gatekeeper of transportation safety, the
SAP has an essential duty to evaluate each employee and consider the
employee's violation(s) in order to determine what help that individual
needs and how to best address safety through getting the employee the
help they need for their unique circumstances. If the SAP were to
prescribe the same education and/or treatment requirement for every
employee, the SAP would be violating part 40 and failing to fulfill
their role as a gatekeeper of safety and enormous responsibility to the
public.
The Department recently became aware that some SAPs were providing
return-to-duty timelines to employees who violated the DOT drug and/or
alcohol regulations before conducting the required initial assessment
and evaluation of the employee. In response, we issued a list serve to
remind SAPs of their regulatory responsibilities and the SAP's role in
evaluating each individual employee and directing that employee to get
the specific help the employee needs. https://content.govdelivery.com/accounts/USDOT/bulletins/3304b9a.
The SAP process was carefully designed to utilize the clinical
evaluation and assessment skills and expertise of the SAP practitioner
to evaluate each specific individual employee. The SAP must address the
employee's needs for rehabilitation for the sake of the employee and
give the employee the tools the employee needs to return to the
performance of safety-sensitive duties. Consistent with sound clinical
and established SAP standards of care in clinical practice, and
utilizing reliable alcohol and drug abuse assessment tools, the SAP
must conduct an assessment and evaluation, either in-person or
remotely. As stated in ODAPC's SAP Guidelines, ``The evaluation should
be comprised of a review of the employee's psychosocial history, an in-
depth review of the employee's drug and alcohol use history (with
information regarding onset, duration, frequency, and amount of use;
substance(s) of use and choice; emotional and physical characteristics
of use; and associated health, work, family, personal, and
interpersonal problems); and an evaluation of the employee's current
mental status.'' https://www.transportation.gov/odapc/substance-abuse-professional-guidelines.
In accordance with Sec. 40.293, the SAP must provide a
comprehensive assessment and clinical evaluation unique to the
employee. As required by Sec. 40.293(b), the SAP must make a
recommendation for education and/or treatment that will, to the
greatest extent possible, protect public safety in the event that the
employee returns to the performance of safety-sensitive functions.
Providing estimated return-to-duty dates without such individual
assessments and recommendations unique to the individual is yet another
concern recently arising.
As a logical outgrowth of the proposal to add an option for remote
evaluations and, in response to the concerns about some SAPs failing to
individually evaluate, assess and recommend education or treatment, and
a follow-up testing plan unique to the needs of each and every employee
evaluated, we have added a new paragraph to Sec. 40.293(e). This
additional paragraph requires a SAP to use their professional judgment
to individualize their assessment, clinical evaluation, education and/
or treatment recommendations, and follow-up testing recommendations
unique to each employee. In the regulatory text, we provided the
example of not having the SAP require the same and/or substantially
similar education, treatment and/or follow-up testing plan for most of
the employees you assess. If the SAP prescribes the same treatment for
every marijuana positive as a result of the SAP's personal philosophy
about marijuana use and not as a result of evaluating and clinically
assessing the needs of the individual employee, then the SAP is not
exercising their professional judgment. If the SAP requires only online
training for every employee who comes to the SAP, then the SAP is not
individualizing their assessment and, actually, may not even be making
an evaluation and assessment. Thus, this would certainly not fall
within the bounds of using their professional judgment.
The SAP has highly respected roles and serious responsibilities
under the DOT's regulations. The SAP is the key to ensuring the
employee receives the education or treatment they need to have
meaningful rehabilitation and treatment. In addition, the SAP has the
extremely important responsibility of being the gatekeeper for
transportation safety. The SAP is required to use their professional
judgment to evaluate and assess the employee and direct the employee to
get the individualized help they need. When the SAP role is carried out
faithfully, the employee gets the help they need toward the road to
recovery and toward being able to return to safety-sensitive functions
in a way that will not pose a threat to safety. In short, the
individualized evaluations and assessments carried out through the
SAP's professional judgment as a safety gatekeeper ensure employees get
the help they need, and transportation safety is protected and
preserved.
Finally, as to costs a SAP advertises or charges, the Department
will continue to remain silent, as we do on other questions of who pays
and how much one would pay for services rendered to meet the
requirements of part 40. Any SAP can charge a fee they determine is
appropriate. Since the Department remains silent on all pricing issues,
the marketplace controls what SAPs can reasonably charge and what
individual employees with part 40 violations are willing to pay. We do
not see a reason to intervene in this free market, which has been
working successfully for more than 20 years.
Sec. 40.301 What is the SAP's function in the follow-up evaluation of
an employee?
As discussed in Principal Policy section of this final rule, we
have removed the words ``face-to-face'' from paragraph (b)(2) this
provision. We have added the words ``meeting the
[[Page 27629]]
requirements of Sec. 40.291(a)(1) of this part'' to allow remote
evaluations.
Sec. 40.307 What is the SAP's function in prescribing the employee's
follow-up tests?
In the SAP comments, there were discussions about follow-up
testing, and as a logical outgrowth, we are clarifying several points.
A follow-up testing plan contains the SAP's recommendation for the
number and duration of follow-up tests to be conducted by the employer.
The SAP can recommend drug follow-up testing and alcohol follow-up
testing for a single drug violation or a single alcohol violation if
the SAP determines that is necessary.
However, the SAP has no authority to determine the dates when the
testing is to be done, that is up to the employer. The SAP can indicate
the follow-up tests should be done close in time to certain triggering
events for the employee (e.g., birthdays, anniversaries of deaths, long
weekends, etc.) or the SAP can choose not to make such suggestions.
The key to successful follow-up testing is that it is not announced
to the employee in advance. If the employer, the SAP, or another
service agent provides the follow-up testing plan to the employee, the
employee can anticipate how many tests will take place and ``plan'' the
period of time they need to abstain from illegal drug use or alcohol
misuse to successfully complete their follow-up tests. Thus, it was
always the intent that no one provide the follow-up testing schedule to
the employee. We have added a new paragraph (g) to clarify this.
Sec. 40.311 What are the requirements concerning SAP reports?
For the reasons discussed in the Principal Policy section of this
final rule, we have adopted the proposal to add the words ``and format
(i.e., face-to-face or remote)'' to Sec. 40.311(c)(4), (d)(4), and
(e)(4). In addition, we have amended Sec. 40.311 to direct SAPs to
note on their SAP reports whether a given evaluation occurred face-to-
face or remotely.
Also as discussed in the Principal Policy section, we have adopted
the proposal to change ``SSN'' to ``SSN or employee ID number'' in
Sec. 40.311(c)(1), (d)(1), and (e)(1) for consistency of terms in part
40 and to allow the use of additional identification numbers in SAP
reports, instead of solely the SSN.
Sec. 40.327 When must the MRO report medical information gathered in
the verification process?
In Sec. 40.327, we proposed to add a clarification requiring MROs
not to use the CCF to transmit information about safety concerns to
employers or other authorized parties. Rather, a separate communication
(e.g., secure email or letter) must be used and will specify whether
the MRO's safety concern relates to the use of a medication, the type
of medical condition for which such a medication is typically
prescribed, or some combination of the two. The purpose of providing
this information is to allow the employer and/or any third parties to
focus on the MRO's specific concern, rather than having to make an
open-ended inquiry. This clarification echoes the Department's 2017
final rule preamble discussion that medical information is sent apart
from the verified result report. (82 FR 52229, 52236; Nov. 13, 2017).
Several commenters, including NDASA and multiple MRO practices,
supported this clarification. The Drug and Alcohol Testing Association
(DATIA) commented in support of the proposal, saying: ``The MRO must
take appropriate steps to balance public safety concern and the right
to privacy of the individual that is subject to testing. We support
fully the Department's 2017 final rule preamble discussion that medical
information or any other communication regarding a safety sensitive
concern should be processed and reported separately from the standard
result report.''
Another major industry association opposed the proposal and
appeared to be confused about what is currently required. The
association said MROs should continue to report a significant safety
risk with a negative test result. However, MROs have not been permitted
to report the two simultaneously since 2017. Under Sec. 40.135(e),
MROs have been required to wait five business days between reporting a
negative test result and reporting a significant safety risk they have
determined under Sec. 40.327 regarding an employee who does not hold
DOT-regulated medical certification. See 82 FR 52236 (Nov. 13, 2017).
One MRO practice thought the clarification would allow the MRO ``to
discuss specifics with the DER, avoiding more vague references to
safety concerns thus enabling a more focused fitness for duty
process.'' This commenter supported the proposal.
There is no duty of confidentiality between the MRO and the
employee, as every MRO must declare to each employee. Instead, per
Sec. 40.135(d), the MRO is ``required to provide third parties drug
testing information and medical information affecting the performance
of safety-sensitive duties that the employee gives . . .'' Under Sec.
40.135(d)(2), this includes ``information on medicines or other
substances affecting the performance of safety-sensitive duties that
the employee reports using or medical conditions the employee reports
having.'' Thus, with informed consent, the employee provides such
information to the MRO who can share it with the employer. However,
what the employer does with such information may impact the Americans
with Disabilities Act or other Federal, State or local civil rights
laws and responsibilities. These are matters outside the jurisdiction
of the DOT. Employers should consult with their counsel to understand
how they can use such information received by the MRO without violating
the Americans with Disabilities Act, the Rehabilitation Act of 1973, or
other State or Federal laws. We are adopting Sec. 40.327 as proposed.
Sec. 40.345 In what circumstances may a C/TPA act as an intermediary
in the transmission of drug and alcohol testing information to
employers?
As a conforming change, we have updated the reference from appendix
F to appendix H, Sec. 40.345. There were no comments on this point.
Sec. 40.355 What limitations apply to the activities of service
agents?
In Sec. 40.355(n) (Example 3), we have removed the word ``urine''
to allow the section to apply to both approved methodologies for
testing. We received no comments on this proposed change.
We received one comment regarding Sec. 40.355(a), which we had not
proposed to change. The commenter asked us to include the term
``treatment provider'' in list of the entities that must not require an
employee to sign a consent form. The commenter noted the term
``treatment provider'' is included in the DOT's HIPAA statement
(https://www.transportation.gov/odapc/hipaa-statement), and in the
Release of Information section of the DOT's Substance Abuse Guidelines
(https://www.transportation.gov/odapc/substance-abuse-professional-guidelines). In the HIPAA statement, we say ``SAPs need no written
authorizations from employees to conduct SAP evaluations, to confer
with employers, to confer with MROs, to confer with appropriate
education and
[[Page 27630]]
treatment providers, or to provide SAP reports to employers.'' We state
this because SAPs are performing a role as a safety official within the
bounds of part 40 and not as a health care provider. Thus, it would not
be appropriate for us to instruct treatment providers, who are likely
covered under HIPAA when they accept insurance payments, to communicate
with third parties without the consent of their patient/client. It
would also be outside the jurisdiction of the Department to do this. On
page 10 of the SAP Guidelines, we instruct SAPs to provide information
to treatment providers, but we lack jurisdiction to require treatment
providers to provide information to SAPs.
Section 40.355(a) would not restrict a SAP from asking an employee
to execute a HIPAA waiver with the treatment provider to provide the
SAP with information about treatment progression and conclusion. That
information is essential to the SAP being able to determine whether the
employee has successfully complied with the education and/or treatment.
Without this information, the SAP cannot complete the follow-up
evaluation of the employee. It is in the best interests of the employee
to execute such a release for the treatment provider to communicate. If
the employee does not provide the appropriate releases and the
information is not conveyed to the SAP, then the employee will not be
permitted to return to work. We think this natural progression of the
process has been successful and we have not made the suggested change.
Sec. 40.365 What is the Department's policy concerning starting a PIE
proceeding?
We proposed to amend Sec. 40.365 to say a PIE could occur because
a SAP failed to conduct an evaluation using the means provided in Sec.
40.291(a)(1), rather than because there was no face-to-face evaluation.
NDASA and several other commenters concurred with the change. We have
adopted it as proposed.
Appendices
Appendix A, concerning urine collection kits remains unchanged. We
have added a new Appendix B, establashing standards for oral fluid
collection kits, based on material in the HHS OFMG and consistent with
OTETA requirements for a split specimen. The remainder of the
appendices have been renumbered and reordered, as explained below. For
a summary of these changes, see the redesignation table.
Appendix B
Appendix B describes the requirements for the contents of an oral
fluid collection kit. Where we could conform to the HHS OFMG, we did
so. We differed from HHS in some aspects of the collection kits because
OTETA requires a single collection that must be subdivided in the
presence of the employee. This necessitated unique requirements for
DOT-regulated entities. For a full discussion of the comments in
support of and opposing our approach in appendix B, as well as the
Department's responses, see the section-by-section analysis above for
Sec. 40.49.
In viewing the public comments and in consultation with HHS, we
restructured appendix B, section 1(a) to address future devices that
may be invented, as well as neat collection devices that currently
exist in what we now have as appendix B, section 1(a)(1). We have a new
appendix B, section 1(a)(2), similar to what we proposed, for devices
utilizing a buffering solution. We have removed some specific language
from the proposal regarding quantities of specimens and percentages of
undiluted (neat) oral fluid because these do not need to be included in
part 40. An oral fluid collection device will not be permitted to be
used in the DOT-regulated drug testing program unless HHS has approved
a certified laboratory to deploy a particular device. In other words,
unless HHS has approved an HHS-certified laboratory to use a particular
oral fluid collection device, that device will not be used. So, it is
unnecessary and inconsistent for part 40 to create device or volume
specifications separate from those of HHS. This is part of the
scientific aspect of drug testing we defer to HHS.
Alere Toxicology provided comments including language edits with
which we agree and have added to the final rule language, with slight
modification. Specifically, this commenter recommended a change in
appendix B, section 1(a) of ``specimen bottle or tube'' instead of
merely ``specimen bottle.'' They also suggested a change to appendix B,
section 1(a) to add ``a single pad or dual pads'' for a description of
the single collection which can be subdivided into two separate
collection tubes. We have added these to appendix B, section 1(a)(2)
and have included a slight modification to make it clear that the dual
pads must be joined for insertion together into the same spot in the
mouth. This further clarifies details about the single collection
device that would be subdivided in the presence of the donor, which we
must require under OTETA.
We appreciate ALPA's comments, in which they supported the way we
have described neat and wet collections in appendix B, section 1(a).
They believe we have met OTETA on the requirements for these devices.
OraSure requested ``additional language should be added allowing
for the use of a single device, consisting of 2 cotton fiber pads,
placed back-to-back or side by side, which after the collection, can be
split into an A & B samples.'' We agree and the language added to
appendix B section 1(a)(2) described above should address this. OraSure
asked us to leave room to allow entirely different types of devices
``that could be pad based or non-pad-based devices so long as they
meet'' what we are asking for under OTETA. This is a reasonable
request, and we have added the new appendix B, section 1(a)(1) to
include devices that we have not contemplated as of this time.
Both buffered and undiluted (neat) specimen collection devices must
have an expiration date. For clarity, we have added a parenthetical to
appendix B, section 1(e) to indicate the expiration date is the
shortest expiration date of any component. We recognize that this date
could be more than a decade after an undiluted (neat) specimen
collection device is manufactured. However, we proposed and there were
no dissenting comments regarding the need for an expiration date. We
want to ensure the integrity of the testing process and that collectors
will always enter the device expiration regardless of whether the
device is a buffered collection device or an undiluted (neat) specimen
collection device.
We asked for public comments specifically regarding whether devices
should be sufficiently transparent so the collector can observe whether
there is anything unusual about the specimen collected and take action
to perform a re-collection, if appropriate. We proposed language in
appendix B, section 1(c) to ensure that transparency.
Several commenters including DATIA, OraSure, Quest Diagnostics, the
New York City Department of Transportation, and others commented in
favor of this proposal. Many commenters said the tubes should be
sufficiently transparent, or at least semi-transparent, to assist
collectors in detecting adulteration. Alere San Diego also agreed,
saying ``the tube . . . should be sufficiently transparent to allow the
collector the ability to ensure the sample is visible.'' We agree with
these commenters.
In addition, some commenters wanted to see a minimum volume
indicator built into the device or vials to ensure
[[Page 27631]]
the collector has gathered enough specimen for the laboratory to
process. One commenter noted that there are at least two devices
already on the market with an indicator showing whether enough fluid
was collected. We agree with these commenters and have finalized the
proposed language.
In appendix B, section 1(h), we proposed to require the tamper-
evident bottle seals for bottles A and B ``not conceal printed
information.'' NDASA urged that we not require the use of ``clear
security labels'' because it would be a cost increase. In addition,
NDASA said ``clear label materials are an untested technology, without
evidence of how a clear label product could affect the collection
device and its components. For the collector to verify the expiration
date during the collection process and then adhere paper-based security
seals which are already in use and industry standard, should suffice in
the collection process.'' Quest Diagnostics also strongly stated we
should not require transparent seals ``because of high costs of
manufacturing the transparent seals (estimated at an increase of
$300,000 annually) and the intended purpose would be for the lab to be
better able to read the expiry dates, which the collectors should do.''
In addition, Quest Diagnostics noted, ``the current seals stand up to
heat of travel and freezing in the lab, transparent labels may not do
as well.''
We appreciate these concerns and observations. We will only require
that the seals not conceal the printed information on Bottles A and B
and that the seals not be damaged by the employee initialing or the
collector signing them. This creates a performance standard, and we are
not requiring more specific details for compliance with this provision.
We have amended the proposed appendix B, section 1(i) to state the
oral fluid collection device ``must be approved by HHS for use by the
specific HHS-certified laboratory that will test the specimen gathered
by this device.'' As discussed above, if HHS approves the use of a
particular device by an HHS-certified laboratory, we defer to that
approval.
Appendix D
The resdesignated appendix D (the former appendix B) concerns semi-
annual reports laboratories provide to employers. The new appendix D
sets forth matters to be reported with respect to urine and oral fluid
testing respectively. No comments were received on these changes, and
they are adopted as proposed.
Appendix E
In the redesignated appendix E (the former appendix C), the
Department proposed to amend the data elements that HHS-certified
laboratories submit to DOT semi-annually. With this change,
laboratories will continue to provide the DOT with the drug testing
data but to be broken out by specimen type (i.e., urine and oral
fluid), DOT agency (i.e., FMCSA, FAA, FRA, FTA, PHMSA, the US Coast
Guard) and test reason (i.e., pre-employment, random, reasonable
suspicion/cause, post-accident, return-to-duty, other, and follow-up).
The proposal required each laboratory to submit multiple data summaries
as opposed to the one data summary they now provide. The additional
data elements will assist the Department in evaluating the efficacy of
testing by oral fluid versus urine. In addition, we anticipate
developing a better understanding of any trends in drug testing by
specimen type, DOT agency and/or test reason(s).
There were very few comments to the proposed biannual reporting
changes. One DOT-regulated employer opposed the concept of collecting
data from laboratories at all because the collectors make errors on the
test type and the DOT agency they list on the CCF. This employer
thought these mistakes would make the data unreliable. We also received
public comments suggesting there would be cost associated with adding
the proposed data elements, but no costs were quantified by the
commenters.
While any change to searches set up for data collection may have an
initial cost, the changes to the redesignated appendix C fall within
data elements already collected by the laboratories. We did not ask for
new data to be collected. It is our understanding that most, if not all
of the HHS-certified laboratories capture these data elements either as
a result of implementing the electronic Federal Drug Testing Custody
and Control Form, or in their Laboratory Information Management System,
as part of tracking the specimens and reporting out test results to the
Medical Review Officer.
The Department has required laboratories to submit data biannually
since 2018. This data has proven to be effective in analyzing drug use
trends. Even though there could be some potential collector errors,
there is still great utility for this data collection. Due to this
value to DOT and since no quantifiable burdens were identified with
adding the new data elements, we have adopted the changes as proposed.
Appendix F
Current appendix D, concerning reports on split specimen failures
to reconfirm, will become appendix F under this final rule. We proposed
to add the ``specimen type'' as another element to the information the
MRO currently provides so we can track the two specimen types. We
received no comments on this proposal, other than to agree with the
redesignation of the appendices, and have adopted the changes to
appendix D.
Appendix G
Current appendix E, on SAP equivalency requirements for
certification organizations, would become appendix G. We received no
comments on this proposal, other than to agree with the redesignation
of the appendices, and have adopted it as proposed.
Appendix H
Current appendix F, concerning drug and alcohol testing information
can be transmitted by C/TPAs, would become appendix H. We received no
comments on this proposal, other than to agree with the redesignation
of the appendices, and have adopted it as proposed.
Appendix I
Current appendix G, the Alcohol Testing Form, would become appendix
I. We received no comments on this proposal, other than to agree with
the redesignation of the appendices, and have adopted it as proposed.
Appendix J
Finally, appendix H, the MIS data collection form, would be found
in appendix J. We received no comments on this proposal, other than to
agree with the redesignation of the appendices, and have adopted it as
proposed.
Miscellaneous Comments Outside the Scope
We received many comments outside the scope of this rulemaking.
These included a request for a new provision to say, ``if a test is
given to an employee who per the applicable agency rule should not have
been subjected to that test, it must be treated for all purposes as a
non-DOT test.'' We received several comments about the PIE process. A
few commenters wanted to see an appeal process for any positive or
refusal verified by an MRO, as well as any employer-determined
refusals.
Another commenter wanted guidance or regulatory text to address how
people should proceed if the donor or collector
[[Page 27632]]
appears to be ill at the time of the test. A standard approach cannot
be applied because each situation is different. In Sec. 40.61(b)(2) we
already say that medical care for the employee is to be provided before
the drug test is administered.
One commenter wanted us to have collectors and collection sites
``explicitly warn employees of the consequences of non-cooperation or
leaving a collection site prematurely, which could be done via posters
or words in the script collectors use to begin the process with
employees.'' The requirement to follow the DOT's regulations is a
matter of Federal law, so the collectors are not obligated to remind
employees of their duties under the regulations that govern their work
responsibilities. However, we are aware that many collectors, as a best
practice do warn employees. In addition, ODAPC has issued several
posters that collection sites and workplaces can post to remind
employees ``What You Can Lose if You Refuse.''
NDASA made several suggestions that are outside the scope but are
helpful suggestions for revisions to our collection guidelines. They
suggested including in our guidelines the situations of ``donors who
enter the facility claiming inability to provide a specimen before an
attempt to provide is made, donors leaving before shy bladder is
complete, the point at which the actual collection process begins, who
may and may not determine a refusal to test.'' NDASA also suggested we
``produce an updated collector training video to include all specimen
types.'' Another helpful suggestion was to clarify if the collector can
rely on an expired identification as proof of their identity. We will
address that in our collection guidelines.
We also received a comment requesting refusal training for all
employers. This is outside the scope of part 40. Instead, the DOT
agency regulations would need to include such requirements for their
respective regulated employers.
Another commenter requested a strengthening of and expansion for
the conflict-of-interest provisions in part 40. This issue is outside
the scope of this regulation. Also, as this commenter mentioned, ``the
provisions that already exist in Sec. 40.101 regarding prohibited
relationships and in other areas of part 40 that speak to improper
actions on the part of a service provider, and retaliation for
reporting improper actions to employers and regulators''.
Other comments outside the scope included requests to remove urine
testing, add hair testing, include point of collection testing (without
laboratory-based testing included), removing marijuana testing, and
other matters involving the science of DOT-regulated testing. As we
have said many times, OTETA requires DOT to follow HHS for the drugs
for which we test, the scientific and technical aspects, and that we
must use HHS-certified laboratories for the screening and confirmation
of our regulated specimens. Thus, these comments are outside the scope
of this rulemaking and have not been further addressed.
Common Preamble
While part 40 provides the regulatory provisions for how to
administer drug and alcohol testing, the DOT agency regulations provide
the specifics of what employers and employees are subject to testing
and when to conduct the testing. In order to allow oral fluid drug
testing across the DOT-regulated transportation industries, we must
make some minor adjustments to some of the DOT agency regulations.
Specifically, we are making conforming changes to 14 CFR part 120
(FAA), 49 CFR part 219 (FRA), 49 CFR part 382 (FMCSA), and 49 CFR part
655 (FTA), all of which are directly subject to the OTETA mandate to
follow the HHS Mandatory Guidelines for the scientific and technical
requirements for oral fluid testing under part 40. Without the changes
explained in this Common Preamble, these DOT agencies would not be able
to allow oral fluid testing. Consequently, this final rule addresses
urine-specific provisions; adds, removes and modifies definitions; and
makes other technical changes specifically set forth below.
Incidentally, PHMSA has determined it does not need to make any changes
to its drug testing regulations to permit oral fluid testing, thus
there are no changes to 49 CFR part 199 in this final rule. Part 199
utilizes the testing procedures of part 40.
FAA
In 14 CFR part 120, the FAA has revised the definitions of
``Alcohol'' to be consistent with part 40. The FAA has corrected the
definition of ``Refusal to submit to drug test'' to reference covered
employees. It is important to note this is not a change in coverage, it
is only a technical change to phrasing. The FAA has added the
definition of ``Alcohol misuse'' to reference the alcohol misuse
prohibitions under subparts C or D of part 120. The FAA has removed the
following definitions because they are unnecessary and/or already
defined in part 40: ``Alcohol Concentration (or content)'', ``Alcohol
use'', ``DOT agency'', ``Verified negative drug test result'', and
``Verified positive drug test result''. Due to the removal of these
definitions, several paragraphs of Sec. 120.7 have been redesignated
and the definitions of ``Covered employee'' and ``Employee'' have been
updated. In Sec. Sec. 120.119(b) and 120.219(b)(2), the FAA has
changed references to ``Appendix H'' to become references to ``appendix
J'' because those appendices are redesignated in part 40. In Sec. Sec.
120.111(d) and 120.221(d), the FAA corrected references to ``employee''
to ``covered employee.'' All of these changes are conforming only and
do not otherwise amend the underlying provisions of 14 CFR part 120.
Federal Railroad Adimistration (FRA)
FRA has made the followings changes to the regulatory text in part
219, which are solely for purpose of either conforming with part 40 or
correcting an error in the regulatory text, and do not affect the
substance of FRA's rule.
In 49 CFR part 219, FRA amended Sec. Sec. 219.11(a)(2) and (h),
219.617(b)(2), 219.619, 219.621(a), and 219.903(a) to conform with
changes made today to part 40. FRA's revisions have generally removed
the term ``urine'' and replaced it with references to body fluid
specimens to capture both the existing urine specimens and the new
alternate oral fluids specimens.
FRA has made minor technical corrections to Sec. 219.4. To conform
with terminology used in part 40, FRA replaced the term ``return-to-
service'' with ``return-to-duty'' in Sec. 219.4(a) and (b)(1) and (2).
FRA has further amended Sec. 219.4(b)(2) to remove an incorrect
reference to ``paragraph (d) of this section'' and replaced it with the
correct reference to ``Sec. 219.104(d),'' which establishes the
return-to-duty requirements this paragraph addresses.
FRA has also made the following technical changes to part 240--
Qualification and Certification of Locomotive Engineers and part 242--
Qualification and Certification of Conductors. The amended provisions
previously used the word ``urine'' when referencing certain provisions
of part 219 that a railroad must consider when determining whether a
person may be or remain certified as a locomotive engineer or
conductor. These changes are solely for the purpose of conforming with
part 40 and do not affect the substance of FRA's locomotive engineer
and conductor certification regulations. Specifically, in part 240, FRA
is amending Sec. 240.119(e)(4)(iv)(A) and (f)(1)(iii) to replace the
word ``urine'' with the words ``body fluid.'' In part 242, FRA is
amending Sec. 242.115(e)(4)(iv)(A) and (f)(1)(iii) to
[[Page 27633]]
replace the word ``urine'' with the words ``body fluid.''
With respect to oral fluid and FRA post-accident toxicological
testing, persons subject to part 219 should note that FRA's post-
accident toxicological testing requirements in part 219, subpart C are
not subject to the OTETA mandate and therefore do not follow part 40
procedures. See Sec. Sec. 40.1(c), 219.205(a), and 219.701(a) and (b).
This final rule allowing for oral fluid testing therefore does not
apply to FRA post-accident toxicological testing, which still requires
urine and blood specimens, as well as body fluid and tissue specimens
for post-mortem tests. See Sec. Sec. 219.203(a)(1), 219.205(a), and
219.207(a).
Federal Motor Carriers S* * * Administration (FMCSA)
In part 382, the FMCSA has amended Sec. Sec. 382.107, 382.401(b)
and (c), 382.403(b), 382.409(b), and 382.705(a) to conform with changes
made to part 40. The revised text includes references to oral fluid
specimens as an alternate to urine specimens and added the term ``oral
fluid collectors'' as necessary. The FMCSA also updated references to
sections of part 40 (i.e., references to appendices) that were
redesignated in the oral fluids final rule and has added references to
a Medical Review Officer's reversal of canceled drug test results.
These changes are conforming only and do not otherwise amend the
underlying provisions of 49 CFR part 382.
Federal Transit Administration (FTA)
In 49 CFR part 655, FTA has amended Sec. 655.53 to add ``oral
fluid collector''. FTA has modified Sec. 655.71 to explicitly add
``oral fluid specimen'' to conform with changes made today to part 40
to add oral fluid specimens as an alternate to urine specimens, a small
technical change is being made to correct ``breathe'' to ``breath'',
also. In Sec. Sec. 655.47 and 655.61(a)(3), FTA revised the term
``employee'' to read as ``covered employee.'' FTA has made technical
changes to conform with the rest of Parts 40 and 655, including
amending Sec. 655.5(c) to update their street address; revised Sec.
655.15(e) by replacing ``illegal'' with ``prohibited''; and revised
Sec. 655.44(a)(1)(i) by correcting a reference to ``part 389''. These
changes are technical or conforming only and do not otherwise amend the
underlying provisions of 49 CFR part 655.
Good Cause for Adoption Without Prior Notice and Comment
Section 553(b)(3)(B) of the Administrative Procedure Act (APA) (5
U.S.C. 551 et seq.) authorizes agencies to dispense with prior notice
and comment for rules when the agency for ``good cause'' finds that
those procedures are ``impracticable, unnecessary, or contrary to the
public interest.'' Under this section, an agency, upon finding good
cause, may issue a final rule without seeking comment prior to the
rulemaking.
The changes being made to the regulations of FAA, FMCSA, FRA, and
FTA are all conforming technical edits to conform with the OST part 40
regulations. Because the underlying part 40 regulations received the
benefit of notice and comment, further public comment on the conforming
edits is not necessary.
IV. How To Obtain Additional Information
A. Rulemaking Documents
An electronic copy of a rulemaking document may be obtained by
using the internet--
1. Search regulations.gov (https://www.regulations.gov) for the
docket number listed at the beginning of this document; or
2. Search the Office of the Federal Register's web page (https://www.federalregister.gov) for the RIN listed at the beginning of this
document.
V. Regulatory Analyses and Notices
Executive Order 12866 (Regulatory Planning and Review)
The Office and Management and Budget (OMB) has determined that the
rulemaking action is not significant under Executive Order 12866
(``Regulatory Planning and Review''), as supplemented by Executive
Order 13563 (``Improving Regulation and Regulatory Review'').
Accordingly, OMB has not reviewed it under that order.
The final rule allows transportation employers and drug test
collection sites to use oral fluid testing instead of urine testing for
DOT-regulated drug tests. Compared with the baseline scenario in which
employers must use urine testing for all drug tests, the rule may
reduce costs for employers and collection sites, improve the
effectiveness of drug testing, and reduce burdens for individuals
undergoing testing. Oral fluid testing is optional in all but very rare
cases, and DOT expects that employers would adopt it only when benefits
exceed costs.
The extent of the benefits depends on the degree to which employers
and collection sites adopt oral fluid testing. For non-DOT drug tests,
an increasing number of companies utilize oral fluid testing. In 2022,
38% of respondents to a drug testing industry survey reported that
their company already offered oral fluid testing.\3\ An additional 48%
expected that their company would offer oral fluid testing after SAMHSA
and DOT establish guidelines. Some of the respondents may not be
involved in DOT-regulated testing, but the results demonstrate industry
interest in adopting oral fluid testing.
---------------------------------------------------------------------------
\3\ Current Consulting Group. 2022. ``The 2022 Drug Testing
Industry Survey.'' https://www.currentconsultinggroup.com/wp-content/uploads/2022/07/2022-Drug-Testing-Industry-Survey.pdf.
---------------------------------------------------------------------------
Cost Savings
Allowing employers to use oral fluid testing may result in cost
savings for employers by reducing the time individuals need to spend
undergoing testing. Most urine collections occur in separate collection
facilities, requiring individuals to travel to and from the facilities.
Oral fluid collection could occur at or near the workplace, reducing
travel time.
Oral fluid testing may also reduce resources needed to administer
tests. Collectors administering urine tests must secure the site to
ensure the integrity of the testing process. Securing the site involves
restricting access to water sources and ensuring that individuals
cannot alter or switch urine samples. Oral fluid testing, in contrast,
is directly observed and requires fewer resources to ensure testing
integrity.
Oral fluid testing may offer a less time-consuming alternate to
existing procedures when an employee cannot produce a sufficient urine
specimen--for example, in a ``shy bladder'' situation or when specimens
show evidence of tampering. Currently, employers must give individuals
up to three hours to try producing a urine specimen again. If an
individual still cannot produce a urine sample, the employer must refer
the individual to a physician for further evaluation. The rule would
allow employers to switch immediately to an oral fluid collection after
the first failed attempt. Employers could similarly switch from oral
fluid to urine collection if, for example, an employee has a ``dry
mouth'' situation.
DOT estimated cost savings for employers in the NPRM but has not
done so for the final rule. In the NPRM, DOT used testing costs from
industry and projected adoption rates from the HHS rule on oral fluid
guidelines to estimate annual net cost savings of $25.0 million by the
fourth year. As detailed in ``Principal Policy Considerations,''
commenters disputed the information used. Some commenters asserted that
an oral fluid test has slightly higher costs than a urine test, in
[[Page 27634]]
part because oral fluid collection kits use chemical buffering
solutions with a limited shelf life. At the same time, economies of
scale may lead to lower unit costs for oral fluid tests if the drug
testing industry increases its volume of testing. Given the uncertainty
of testing costs and lack of data on other aspects of testing, DOT has
not estimated cost savings or other benefits for the final rule.
Nonetheless, commenters acknowledged the potential for cost savings.
Improved Effectiveness of Testing
Allowing employers to use oral fluid testing may improve the
effectiveness of drug testing. Oral fluid testing can detect the recent
use of some drugs, including marijuana and cocaine,4 5 while
urine drug testing has a longer window of detection. More effective
drug testing could deter employee illicit drug use and reduce safety
risks from drug use.
---------------------------------------------------------------------------
\4\ Edward J. Cone and Marilyn A. Huestis. 2007.
``Interpretation of Oral Fluid Tests for Drugs of Abuse.'' Annals of
the New York Academy of Sciences 1098, 51-103. https://doi.org/10.1196/annals.1384.037.
\5\ Rebecca Jufer, Sharon L. Walsh, Edward J. Cone, and Angela
Sampson-Cone. 2006. ``Effect of Repeated Cocaine Administration on
Detection Times in Oral Fluid and Urine.'' Journal of Analytical
Toxicology 30(7): 458-462. https://doi.org/10.1093/jat/30.7.458.
---------------------------------------------------------------------------
Reduced Burdens for Individuals Undergoing Testing
Oral fluid testing can reduce anxiety, discomfort, and other
burdens for individuals undergoing testing because it is less intrusive
and time-consuming than urine testing. For example, while most DOT-
regulated urine tests are unobserved, a small number require direct
observation. In observed tests, an observer of the same gender as the
employee watches the employee urinate into the collection container.
Allowing the alternative of oral fluid testing would reduce discomfort
and other issues for individuals, including potential civil rights
issues for transgender or non-binary individuals. Reducing the burdens
associated with testing may also reduce barriers to transportation
employment for individuals deterred by current testing requirements.
Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980 (5 U.S.C. 601 et seq.)
requires Federal agencies to consider the effects of their regulatory
actions on small businesses and other small entities and minimize any
significant economic impact.
The Department does not expect that the rule would have a
significant economic impact on a substantial number of small entities.
The rule increases flexibility for small-entity transportation
employers and drug test collection sites by allowing them to use oral
fluid testing instead of urine testing to meet DOT testing
requirements. Oral fluid testing is a voluntary option for the small
entities. Accordingly, the Department certifies that the rule would not
have a significant economic impact on a substantial number of small
entities.
Unfunded Mandates
The Secretary has examined the impact of the final rule under the
Unfunded Mandates Reform Act (UMRA) of 1995 (Pub. L. 104-4). This
notice does not trigger the requirement for a written statement under
section 202(a) of the UMRA because this rulemaking does not impose a
mandate that results in an expenditure of $100 million (adjusted
annually for inflation) or more by either State, local, and Tribal
governments in the aggregate or by the private sector in any one year.
In fact, by providing a lower cost alternative to urine drug testing,
the final rule would reduce costs to regulated parties, including State
and local entities (e.g., public transit authorities, public works
departments) whose employees are subject to testing.
Environmental Impact
The DOT has analyzed the environmental impacts of this action
pursuant to the National Environmental Policy Act of 1969 (NEPA) (42
U.S.C. 4321 et seq.) and has determined that it is categorically
excluded pursuant to DOT Order 5610.1C, ``Procedures for Considering
Environmental Impacts'' (44 FR 56420, October 1, 1979). Categorical
exclusions are actions identified in an agency's NEPA implementing
procedures that do not normally have a significant impact on the
environment and therefore do not require either an environmental
assessment (EA) or environmental impact statement (EIS). This final
rule amends the transportation industry drug testing program procedures
regulation to include oral fluid testing. Paragraph 4(c)(5) of DOT
Order 5610.1C incorporates by reference the categorical exclusions for
all DOT Operating Administrations. This action is covered by the
categorical exclusion listed in the Federal Transit Administration's
implementing procedures, ``[p]lanning and administrative activities
that do not involve or lead directly to construction, such as: . . .
promulgation of rules, regulations, directives . . .'' 23 CFR
771.118(c)(4). The Department does not anticipate any environmental
impacts, and there are no extraordinary circumstances present in
connection with this rulemaking.
Executive Order 13132: Federalism
The Secretary has analyzed the final rule in accordance with
Executive Order 13132: Federalism. Executive Order 13132 requires
Federal agencies to carefully examine actions to determine if they
contain policies that have federalism implications or that preempt
State law. As defined in the order, ``policies that have federalism
implications'' refer to regulations, legislative comments or proposed
legislation, and other policy statements or actions that have
substantial direct effects on the States, on the relationship between
the national government and the States, or on the distribution of power
and responsibilities among the various levels of government.
Most of the regulated parties under the Department's drug testing
program are private entities. Some regulated entities are public
entities (e.g., transit authorities, public works departments);
however, as noted above, this proposal would reduce costs of the
Department's drug testing program and provide additional flexibility
for regulated parties. Accordingly, the Secretary has determined that
the final rule does not contain policies that have federalism
implications.
Executive Order 13175: Consultation and Coordination With Indian Tribal
Governments
Executive Order 13175 (65 FR 67249, November 9, 2000) requires
Federal agencies to develop an accountable process to ensure
``meaningful and timely input by tribal officials in the development of
regulatory policies that have tribal implications.'' ``Policies that
have tribal implications'' as defined in the Executive order, include
regulations that have ``substantial direct effects on one or more
Indian tribes, on the relationship between the Federal Government and
the Indian tribes, or on the distribution of power and responsibilities
between the Federal Government and Indian tribes.'' This final rule
does not have tribal implications. Nor will they have substantial
direct effects on Tribal governments, on the relationship between the
Federal Government and Indian Tribes, or on the distribution of power
and responsibilities between the Federal Government and Indian tribes,
as specified in Executive Order 13175.
[[Page 27635]]
Paperwork Reduction Act
The PRA requires that DOT consider the impact of paperwork and
other information collection burdens imposed on the public. We will
need a new data collection section for oral fluid specimens on the U.S.
Department of Transportation Drug and Alcohol Testing MIS Data
collection form (OMB No. 2105-0529), which DOT-regulated employers
currently use to report their urine drug testing data annually. There
will be no increase in the number of tests conducted. For those
employers choosing to use oral fluid, in addition to urine testing,
there will simply be a redistribution of the total number of tests
split between the drug testing methodologies the employer uses. Thus,
for the employers who choose to use both methodologies, we expect a
nominal increase in the burden hours because they will have one more
simple section to fill out on the form. The information collections for
oral fluid testing are covered by HHS under OMB Control Number 0930-
0158. Notwithstanding any other provisions of law, no person shall be
subject to any penalty for failing to comply with a collection of
information subject to the Paperwork Reduction Act (PRA) that does not
display a currently valid OMB control number.
Privacy Act
Anyone is able to search the electronic form of all comments
received in any of our 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.) For information on DOT's
compliance with the Privacy Act, please visit https://www.transportation.gov/privacy.
International Compatibility and Cooperation
In keeping with U.S. obligations under the Convention on
International Civil Aviation (ICAO), it is FAA policy to conform to
ICAO Standards and Recommended Practices to the maximum extent
practicable. The FAA has determined that its portion of this final rule
does not conflict with any international agreement of the United
States.
List of Subjects
14 CFR Part 120
Air carriers, Alcoholism, Alcohol abuse, Aviation safety, Drug
abuse, Drug testing, Operators, Reporting and recordkeeping
requirements, Safety, Safety-sensitive, Transportation.
49 CFR Part 40
Administrative practice and procedures, Alcohol abuse, Alcohol
testing, Drug abuse, Drug testing, Laboratories, Reporting and
recordkeeping requirements, Safety, Transportation.
49 CFR Part 219
Alcohol abuse, Drug abuse, Drug testing, Penalties, Railway safety,
Reporting and record keeping requirements, Safety, Transportation.
49 CFR Part 240
Administrative practice and procedure, Locomotive engineer,
Penalties, Railroad employees, Railroad operating procedures, Railroad
safety, Reporting and recordkeeping requirements.
49 CFR Part 242
Administrative practice and procedure, Conductors, Penalties,
Railroad employees, Railroad operating procedures, Railroad safety,
Reporting and recordkeeping requirements.
49 CFR Part 382
Administrative practice and procedure, Alcohol abuse, Drug abuse,
Drug testing, Highway safety, Motor carriers, Penalties, Safety,
Transportation.
49 CFR Part 655
Alcohol abuse, Alcohol testing, Drug abuse, Drug testing, Grant
programs--transportation, Mass transportation, Reporting and
recordkeeping requirements, Safety, Transportation.
For the reasons stated in the preamble, the Department amends 14
CFR chapter 1 and 49 CFR chapters I through III and VI as follows:
Title 14--Aeronautics and Space
PART 120--DRUG AND ALCOHOL TESTING PROGRAM
0
1. The authority citation for part 120 continues to read as follows:
Authority: 49 U.S.C. 106(f), 106(g), 40101-40103, 40113, 40120,
41706, 41721, 44106, 44701, 44702, 44703, 44709, 44710, 44711,
45101-45105, 46105, 46306.
0
2. Revise Sec. 120.7 to read as follows:
Sec. 120.7 Definitions.
For the purposes of this part, the following definitions apply:
(a) Accident means an occurrence associated with the operation of
an aircraft which takes place between the time any individual boards
the aircraft with the intention of flight and all such individuals have
disembarked, and in which any individual suffers death or serious
injury, or in which the aircraft receives substantial damage.
(b) Alcohol means any substance specified in 49 CFR part 40.
(c) Alcohol misuse means any prohibited conduct referenced under
subpart C or D of this part.
(d) Contractor is an individual or company that performs a safety-
sensitive function by contract for an employer or another contractor.
(e) Covered employee means an individual who performs, either
directly or by contract, a safety-sensitive function listed in
Sec. Sec. 120.105 and 120.215 for an employer (as defined in paragraph
(g) of this section). For purposes of pre-employment testing only, the
term ``covered employee'' includes an individual applying to perform a
safety-sensitive function.
(f) Employee is an individual who is hired, either directly or by
contract, to perform a safety-sensitive function for an employer, as
defined in paragraph (g) of this section. An employee is also an
individual who transfers into a position to perform a safety-sensitive
function for an employer.
(g) Employer is a part 119 certificate holder with authority to
operate under parts 121 and/or 135 of this chapter, an operator as
defined in Sec. 91.147 of this chapter, or an air traffic control
facility not operated by the FAA or by or under contract to the U.S.
Military. An employer may use a contract employee who is not included
under that employer's FAA-mandated drug and alcohol testing program to
perform a safety-sensitive function only if that contract employee is
included under the contractor's FAA-mandated drug and alcohol testing
program and is performing a safety-sensitive function on behalf of that
contractor (i.e., within the scope of employment with the contractor.)
(h) Hire means retaining an individual for a safety-sensitive
function as a paid employee, as a volunteer, or through barter or other
form of compensation.
(i) Performing (a safety-sensitive function): an employee is
considered to be performing a safety-sensitive function during any
period in which he or she is actually performing, ready to perform, or
immediately available to perform such function.
(j) Positive rate for random drug testing means the number of
verified positive results for random drug tests conducted under subpart
E of this part, plus the number of refusals of random drug tests
required by subpart E of this part, divided by the total number of
random drug test results (i.e., positives,
[[Page 27636]]
negatives, and refusals) under subpart E of this part.
(k) Prohibited drug means any of the drugs specified in 49 CFR part
40.
(l) Refusal to submit to alcohol test means that a covered employee
has engaged in conduct including but not limited to that described in
49 CFR 40.261, or has failed to remain readily available for post-
accident testing as required by subpart F of this part.
(m) Refusal to submit to drug test means that a covered employee
engages in conduct including but not limited to that described in 49
CFR 40.191.
(n) Safety-sensitive function means a function listed in Sec. Sec.
120.105 and 120.215.
(o) Violation rate for random alcohol testing means the number of
0.04, and above, random alcohol confirmation test results conducted
under subpart F of this part, plus the number of refusals of random
alcohol tests required by subpart F of this part, divided by the total
number of random alcohol screening tests (including refusals) conducted
under subpart F of this part.
Sec. 120.111 [Amended]
0
3. Amend Sec. 120.111 in the first sentence of paragraph (d) by adding
the word ``covered'' before the word ``employee''.
Sec. 120.119 [Amended]
0
4. Amend Sec. 120.119 in the first sentence of paragraph (b) by
removing ``appendix H'' and adding in its place ``appendix J''.
Sec. 120.219 [Amended]
0
5. Amend Sec. 120.219 in the first sentence of paragraph (b)(2) by
removing ``appendix H'' and adding in its place ``appendix J''.
Sec. 120.221 [Amended]
0
6. Amend Sec. 120.221 in the first sentence of paragraph (d) by adding
the word ``covered'' before the word ``employee''.
Title 49--Transportation
PART 40--PROCEDURES FOR TRANSPORTATION WORKPLACE DRUG AND ALCOHOL
TESTING PROGRAMS
0
7. The authority for part 40 continues to read as follows:
Authority: 49 U.S.C. 102, 301, 322, 5331, 20140, 31306, and
54101 et seq.
0
8. Amend Sec. 40.3 by:
0
a. Removing the definitions of ``Invalid drug test'' and ``Screening
drug test'';
0
b. Removing the definition of ``Initial drug test (also known as
``Screening drug text'') and adding a definition for ``Initial drug
test'' in its place;
0
c. Removing the definition of ``Limit of Quantification'' and adding a
definition for ``Limit of Quantification (LOQ)'' in its place;
0
d. Adding in alphabetical order definitions for ``Alternate specimen'',
``Commercial Driver's License Drug and Alcohol Clearinghouse
(Clearinghouse)'', ``Cutoff'', ``Oral fluid specimen'', ``Specimen'',
``SSN or Employee ID No.'', ``Undiluted (neat) oral fluid'', and
``Urine specimen''; and
0
e. Revising the definitions of ``Collection container'', ``Collection
site'', ``Confirmatory drug test'', ``Initial specimen validity test'',
``Invalid result'', ``Laboratory'', ``Limit of Detection (LOD)'',
``Non-negative specimen'', ``Primary specimen'', ``Reconfirmed'',
``Shipping container'', ``Specimen bottle'', ``Split specimen'',
``Split specimen collection'', and ``Substituted specimen''.
The additions and revisions read as follows:
Sec. 40.3 What do the terms used in this part mean?
* * * * *
Alternate specimen. An authorized specimen, other than the type of
specimen previously collected or attempted to be collected.
* * * * *
Collection container. A container used to collect a specimen.
Collection site. A place selected by the employer where employees
present themselves for the purpose of providing a specimen for a drug
test.
* * * * *
Commercial Driver's License Drug and Alcohol Clearinghouse
(Clearinghouse). A database, administered by the Federal Motor Carrier
Safety Administration, containing records of commercial motor vehicle
drivers' violations of controlled substances and alcohol testing
program requirements, as set forth in part 382 of this title, as well
as their return-to-duty status.
* * * * *
Confirmatory drug test. A second analytical procedure performed on
a different aliquot of the original specimen to identify and quantify a
specific drug or drug metabolite.
* * * * *
Cutoff. The analytical value (e.g., drug or drug metabolite
concentration) used as the decision point to determine a result (e.g.,
negative, positive, adulterated, invalid, or substituted) or the need
for further testing.
* * * * *
Initial drug test. The first test used to differentiate a negative
specimen from one that requires further testing for drugs or drug
metabolites.
Initial specimen validity test. The first test used to determine if
a specimen is adulterated, diluted, substituted, or invalid.
Invalid result. The result reported by an HHS-certified in
accordance with the criteria established by HHS when a positive,
negative, adulterated, or substituted result cannot be established for
a specific drug or specimen validity test.
Laboratory. Any U.S. laboratory certified by HHS under the National
Laboratory Certification Program as meeting the minimum standards set
by HHS; or, in the case of foreign laboratories, a laboratory approved
for participation by DOT under this part.
Limit of Detection (LOD). The lowest concentration at which the
analyte (e.g., drug or drug metabolite) can be identified.
Limit of Quantitation (LOQ). For quantitative assays, the lowest
concentration at which the identity and concentration of the analyte
(e.g., drug or drug metabolite) can be accurately established.
* * * * *
Non-negative specimen. A specimen that is reported as adulterated,
substituted, positive (for drug(s) or drug metabolite(s)), or invalid.
* * * * *
Oral fluid specimen. A specimen that is collected from an
employee's oral cavity and is a combination of physiological fluids
produced primarily by the salivary glands. An oral fluid specimen is
considered to be a direct observation collection for all purposes of
this part.
* * * * *
Primary specimen. In drug testing, the specimen bottle that is
opened and tested by a first laboratory to determine whether the
employee has a drug or drug metabolite in his or her system; and for
the purpose of specimen validity testing. The primary specimen is the
portion of the donor's subdivided specimen designated as the primary
(``A'') specimen by the collector to distinguish it from the split
(``B'') specimen, as defined in this section.
* * * * *
Reconfirmed. The result reported for a split (Bottle B) specimen
when the second HHS-certified laboratory corroborates the original
result reported for the primary (Bottle A) specimen.
* * * * *
Shipping container. A container that is used for transporting and
protecting specimen bottles and associated
[[Page 27637]]
documents from the collection site to the laboratory.
Specimen. Fluid, breath, or other material collected from an
employee at the collection site for the purpose of a drug or alcohol
test.
Specimen bottle. The bottle that, after being sealed and labeled
according to the procedures in this part, is used to hold a primary
(``A'') or split (``B'') specimen during transportation to the
laboratory. In the context of oral fluid testing, it may be referred to
as a ``vial,'' ``tube,'' or ``bottle.''
Split specimen. In drug testing, the specimen that is sent to a
first laboratory and stored with its original seal intact, and which is
transported to a second laboratory for retesting at the employee's
request following MRO verification of the primary specimen as positive,
adulterated or substituted.
Split specimen collection. A collection in which the single
specimen collected is divided into two separate specimen bottles, the
primary specimen (Bottle A) and the split specimen (Bottle B).
SSN or Employee ID No. This number serves as a unique identifier
that must be used on the Federal Drug Testing Custody and Control Form
(CCF) or Alcohol Testing Form (ATF) for a donor, on the MRO's reports,
on SAP reports, or on other documents that are required under this
part. For all purposes of this part, this term means: only the
Commercial Driver's License (CDL) Number and State of issuance for
drivers tested under the authority of the Federal Motor Carrier Safety
Administration (FMCSA); and, for all drivers and other safety-sensitive
employees tested under the authority of the other DOT agencies, this
can be the individual's actual Social Security Number, a unique
identifier issued by the employer, a State-issued identification card
number, a State-issued driver's license number (including a CDL number)
or any other State-issued or federally-issued identification number.
* * * * *
Substituted specimen. An employee's specimen not consistent with a
normal human specimen, as determined by HHS (e.g., a urine specimen,
with creatinine and specific gravity values that are so diminished, or
so divergent that they are not consistent with normal human urine).
* * * * *
Undiluted (neat) oral fluid. An oral fluid specimen to which no
other solid or liquid has been added. For example: A collection device
that uses a diluent (or other component, process, or method that
modifies the volume of the testable specimen) must collect at least 1
mL of undiluted (neat) oral fluid.
Urine specimen. Urine collected from an employee at the collection
site for the purpose of a drug test.
* * * * *
0
9. Amend Sec. 40.13 by revising paragraphs (b), (c), and (d),
redesignating paragraphs (e) and (f) as paragraphs (f) and (g),
respectively, adding new paragraph (e), and adding paragraph (h).
The revisions and additions to read as follows:
Sec. 40.13 How do DOT drug and alcohol tests relate to non-DOT tests?
* * * * *
(b) DOT tests must take priority and must be conducted and
completed before a non-DOT test is begun. When conducting a urine DOT
drug test, you must discard any excess urine left over from a DOT test
and collect a separate urine void for the subsequent non-DOT test.
(c) Except as provided in paragraph (d) of this section, you must
not perform any tests on DOT specimens other than those tests
specifically authorized by this part or DOT agency regulations. For
example, you must not test a DOT specimen for additional drugs. In
addition, a laboratory is prohibited from making a DOT specimen
available for a DNA test or other types of specimen identity testing.
(d) When a DOT urine drug test collection is conducted as part of a
physical examination required by DOT agency regulations, it is
permissible to conduct medical tests related to this physical
examination (e.g., for glucose) on any specimen remaining in the
collection container after the DOT portion has been sealed into the
specimen bottles.
(e) A non-DOT drug or alcohol test administered, as part of a
physical examination, is not a DOT drug or alcohol test for purposes of
this part and/or related DOT agency drug and alcohol testing rules, if
that test was performed to determine if an employee is medically
qualified for a license or certificate. Consequently, the results of
such a test do not have consequences under this part.
* * * * *
(h) No one is permitted to conduct a DOT drug or alcohol test on an
individual who is not a DOT-regulated employee, as defined by the DOT
agency regulations.
* * * * *
0
10. In Sec. 40.14 by revising paragraph (b) and adding paragraph (k)
to read as follows:
Sec. 40.14 What information must employers provide to collectors?
* * * * *
(b) SSN or Employee ID No.'';
* * * * *
(k) Specimen type to be collected (i.e., oral fluid or urine).
0
11. Amend Sec. 40.21 by:
0
a. Removing the word ``and'' from the end of paragraph (c)(2)(vii)(B);
0
b. Redesignating paragraph (c)(2)(vii)(C) as paragraph (c)(2)(vii)(D);
and
0
c. Adding a new paragraph (c)(2)(vii)(C).
The addition reads as follows:
Sec. 40.21 May an employer stand down an employee before the MRO has
completed the verification process?
* * * * *
(c) * * *
(2) * * *
(vii) * * *
(C) For a verified negative result, the employee will not be
required to submit an alternate specimen for the same testing action.
For a cancelled result, the employee could be required to submit an
alternate specimen on a re-collection; and
* * * * *
0
12. Amend Sec. 40.23 by revising paragraphs (f) introductory text and
(f)(1) and (5) to read as follows:
Sec. 40.23 What actions do employers take after receiving verified
test results?
* * * * *
(f) As an employer who receives a drug test result indicating that
the employee's test was cancelled because it was invalid and that a
second collection must take place under direct observation--
(1) You must immediately direct the employee to provide a new
specimen under direct observation (either an oral fluid specimen or a
urine specimen under direct observation).
* * * * *
(5) You must ensure that the collector conducts the collection
under direct observation (either an oral fluid specimen or a urine
specimen under direct observation).
* * * * *
0
13. Amend Sec. 40.25 by revising paragraph (a) to read as follows:
Sec. 40.25 Must an employer check on the drug and alcohol testing
record of employees it is intending to use to perform safety-sensitive
duties?
(a)(1) Yes, as an employer, you must, after obtaining an employee's
written
[[Page 27638]]
consent, request the information about the employee listed in
paragraphs (b) through (j) of this section. This requirement applies
only to employees seeking to begin performing safety-sensitive duties
for you for the first time (i.e., a new hire, an employee transferring
into a safety-sensitive position). If the employee refuses to provide
this written consent, you must not permit the employee to perform
safety-sensitive functions.
(2) If you are an employer regulated by FMCSA, you must comply with
the requirements of this section by using the FMCSA's Drug and Alcohol
Clearinghouse in accordance with 49 CFR 382.71(a). In addition, you
must continue to comply with the requirements of this Sec. 40.25 when
checking an employee's testing history with employers regulated by a
DOT operating administration other than FMCSA.
(3) If you are an employer regulated by FMCSA, with a prospective
employee subject to drug and alcohol testing with a DOT agency other
than FMCSA, you must continue to request the information about the
employee listed in paragraphs (b) through (j) of this section. For
example, if you are an employer regulated by both FMCSA and PHMSA, and
you are hiring an employee to perform functions regulated by both DOT
agencies, then you must query FMCSA's Clearinghouse to satisfy FMCSA's
requirements and you must request the information listed in paragraphs
(b) through (j) of this section to satisfy PHMSA's requirements.
* * * * *
Sec. 40.26 [Amended]
0
14. Amend Sec. 40.26 in the second sentence by removing ``Appendix H''
and adding in its place ``appendix J''.
Sec. 40.29 [Removed]
0
15. Remove Sec. 40.29.
0
16. Amend Sec. 40.31 by:
0
a. Revising the section heading;
0
b. Revising paragraph (b);
0
c. Redesignating paragraphs (c) and (d) as paragraphs (d) and (e);
0
d, Adding new paragraph (c);
0
e. Revising newly redesignated paragraph (d); and
0
f. Adding paragraph (f).
The revisions and additions read as follows:
Sec. 40.31 Who may collect specimens for DOT drug testing?
* * * * *
(b) A urine collector must meet training requirements of Sec.
40.33.
(c) An oral fluid collector must meet the training requirements of
Sec. 40.35.
(d) To avoid the appearance of a conflict of interest, if you are
the immediate supervisor of the employee being tested, you must not act
as the collector when that employee is tested, unless no other
collector is available and you are permitted to do so under DOT agency
drug and alcohol regulations.
* * * * *
(f) Employees are not permitted to be their own collector.
(1) An employee who is a qualified collector is not permitted to be
their own collector; another qualified collector must perform the
collection in accordance with this part.
(2) To avoid a potential conflict of interest, a collector must not
be related to the employee being tested (e.g., spouse, ex-spouse,
relative) or a close personal friend.
0
17. Amend Sec. 40.33 by revising the section heading, introductory
text, and paragraph (f) introductory text to read as follows:
Sec. 40.33 What training requirements must a collector meet for urine
collection?
To be permitted to act as a urine collector in the DOT drug testing
program, you must meet each of the requirements of this section:
* * * * *
(f) Error correction training. If you make a mistake in the
collection process that causes a test to be cancelled (i.e., a fatal or
uncorrected flaw), you must undergo error correction training. This
training must occur within 30 days of the date you are notified of the
error that led to the need for retraining. Errors that cause
cancellation but occur outside the collection process (e.g., when a
specimen is crushed or otherwise damaged during the transportation
process, or is lost in transit), the cancellation would not be the
result of an error by the collector during the collection process and
does not require the collector to be retrained.
* * * * *
Sec. 40.35 [Redesignated as Sec. 40.36]
0
18. Redesignate Sec. 40.35 as Sec. 40.36.
0
19. Add a new Sec. 40.35 to read as follows:
Sec. 40.35 What training requirements must a collector meet for oral
fluid collection?
To be permitted to act as an oral fluid collector in the DOT drug
testing program, you must meet each of the requirements of this
section:
(a) Basic information. You must be knowledgeable about this part,
the current ``DOT Oral Fluid Specimen Collection Procedures
Guidelines,'' and DOT agency regulations applicable to the employers
for whom you perform collections. DOT agency regulations, guidelines,
and other materials are available from ODAPC (Department of
Transportation, 1200 New Jersey Avenue SE, Washington DC, 20590, 202-
366-3784, or on the ODAPC website (https://www.transportation.gov/odapc). You must keep current on any changes to these materials. You
must subscribe to the ODAPC list-serve at: https://www.transportation.gov/odapc/get-odapc-email-updates.
(b) Qualification training. You must receive qualification training
meeting the requirements of this paragraph (b). Qualification training
must provide instruction on the following subjects:
(1) Training on the testing procedures of this part;
(2) Training to proficiency in the operation of the particular oral
fluid collection device(s) you will be using.
(3) All steps necessary to complete a collection correctly and the
proper completion and transmission of the CCF;
(4) ``Problem'' collections (e.g., situations like ``dry mouth''
and attempts to tamper with a specimen);
(5) Fatal flaws, correctable flaws, and how to correct problems in
collections; and
(6) The collector's responsibility for maintaining the integrity of
the collection process, ensuring the privacy of employees being tested,
ensuring the security of the specimen, and avoiding conduct or
statements that could be viewed as offensive or inappropriate.
(c) Initial proficiency demonstration. Following your completion of
qualification training under paragraph (b) of this section, you must
demonstrate proficiency in collections under this part by completing
five consecutive error-free mock collections for each device you will
use.
(1) The five mock collections for each device must include one
uneventful collection scenario, one insufficient specimen quantity
scenario; one scenario in which the employee has something in their
mouth that might interfere with the collection; one scenario in which
the employee attempts to tamper with the specimen; and one scenario in
which the employee refuses to sign the CCF. For each of the five mock
collections, the collector must check the expiration date of the
device, show it to the employee, and record the date on the CCF used.
The collector must ensure, when applying the labels, they do not cover
the expiration dates.
[[Page 27639]]
(2) Another person must monitor and evaluate your performance, in
person or by a means that provides real-time observation and
interaction between you and the qualified collector, who must attest in
writing that the mock collections are ``error-free.'' This person must
be a qualified collector who has demonstrated necessary knowledge,
skills, and abilities by--
(i) Regularly conducting DOT drug test collections for a period of
at least one year;
(ii) Conducting collector training under this part for at least one
year; or
(iii) Successfully completing a ``train the trainer'' course.
(d) Schedule for qualification training and initial proficiency
demonstration. You must meet the requirements of paragraphs (b) and (c)
of this section before you begin to perform collector functions.
(e) Refresher training. No less frequently than every five years
from the date on which you satisfactorily complete the requirements of
paragraphs (b) and (c) of this section, you must complete refresher
training that meets all the requirements of paragraphs (b) and (c).
(f) Error correction training. If you make a mistake in the
collection process that causes a test to be cancelled (i.e., a fatal or
uncorrected flaw), you must undergo error correction training. This
training must occur within 30 days of the date you are notified of the
error that led to the need for retraining.
(1) Error correction training must be provided and your proficiency
documented in writing by a person who meets the requirements of
paragraph (c)(2) of this section.
(2) Error correction training is required to cover only the subject
matter area(s) in which the error that caused the test to be cancelled
occurred.
(3) As part of the error correction training, you must demonstrate
your proficiency in the collection procedures of this part by
completing three consecutive error-free mock collections. The mock
collections must include one uneventful scenario and two scenarios
related to the area(s) in which your error(s) occurred. The person
providing the training must monitor and evaluate your performance and
attest in writing that the mock collections were ``error-free.''
(g) Documentation. You must maintain documentation showing that you
currently meet all requirements of this section. You must provide this
documentation on request to DOT agency representatives and to employers
and C/TPAs who are using or negotiating to use your services.
Sec. 40.37 [Removed]
0
20. Remove Sec. 40.37.
0
21. Revise the heading for subpart D to read as follows:
Subpart D--Collection Sites, Forms, Equipment and Supplies Used in
DOT Urine and Oral Fluid Collections
Sec. 40.41 [Redesignated as Sec. 40.42]
0
22. Redesignate Sec. 40.41 as Sec. 40.42.
Sec. 40.45 [Redesignated as Sec. 40.40]
0
23. Redesignate Sec. 40.45 as Sec. 40.40.
0
24. Amend newly redesignated Sec. 40.40 by:
0
a. Revising the section heading and paragraphs (a) and (b), (c)
introductory text, and (c)(1) through (4); and
0
b. Removing the words ``social security number (SSN) or other employee
identification (ID) number'' and adding in their place ``SSN or
Employee ID No.'' in paragraph (d).
The revisions read as follows:
Sec. 40.40 What form is used to document a DOT collection?
(a) The Federal Drug Testing Custody and Control Form (CCF) must be
used to document every collection required by the DOT drug testing
program. You may view this form on the Department's website (https://www.transportation.gov/odapc) or the HHS website (https://www.workplace.samhsa.gov).
(b) You must not use a non-Federal form or an expired CCF to
conduct a DOT collection. As a laboratory, C/TPA or other party that
provides CCFs to employers, collection sites, or other customers, you
must not provide copies of an expired CCF to these participants. You
must also affirmatively notify these participants that they must not
use an expired CCF.
(c) As a participant in the DOT drug testing program, you are not
permitted to modify or revise the CCF except as follows:
(1) You may include, in the area outside the border of the form,
other information needed for billing or other purposes necessary to the
collection process.
(2) The CCF must include the names, addresses, telephone numbers
and any other appropriate contact information (e.g., an email address
of the employer and the MRO), including the DER's name and contact
information. All of this information must be preprinted, typed, or
handwritten. Fax numbers may be included but are not required. The MRO
information must include the physician's name and address, as opposed
to only a generic clinic, health care organization, company name, or
post office box. This information is required, and an employer,
collector, service agent or any other party is prohibited from omitting
it. In addition, a C/TPA's name, address, telephone and fax numbers,
and any other appropriate contact information should be included, but
is not required. The employer may use a C/TPA's address in place of its
own, but must continue to include its name, telephone and fax numbers,
and any other appropriate contact information.
(3) As an employer you may preprint the box in Step 1-D of the CCF
for the DOT agency under whose authority the test will occur.
(4) As a collector, you may use a CCF with your name, address,
telephone number, and fax number preprinted, but under no circumstances
may you sign the form before the collection event. If a collection
takes place at a clinic, the actual address of the clinic should be
used, not a corporate address of the collection company. If the
collection takes place onsite at the employer, the employer's address
must be noted as the collection site address. If the collection takes
place in a ``mobile unit'' or at an accident site, the collector must
enter the actual location address of the collection or as near an
approximation as possible. The collector must ensure that the required
collector telephone number is the number that the laboratory, MRO, or
employer may use to directly contact the individual collector and/or
the collector's supervisor during the collection site's business hours.
The collector must not provide a number for a call center.
* * * * *
Sec. 40.47 [Redesignated as Sec. 40.41]
0
25. Redesignate Sec. 40.47 as Sec. 40.41.
Sec. 40.41 [Amended]
0
26. Amend newly redesignated Sec. 40.41 in paragraph (a) by removing
the word ``urine'' wherever it appears.
0
27. Amend Sec. 40.43 by revising the section heading to read as
follows:
Sec. 40.43 What steps must operators of collection sites and
collectors take to protect the security and integrity of urine
collections?
* * * * *
Sec. 40.49 [Redesignated as Sec. 40.44]
0
28. Redesignate Sec. 40.49 as Sec. 40.44.
Sec. 40.51 [Redesignated as Sec. 40.45]
0
29. Redesignate Sec. 40.51 as Sec. 40.45.
[[Page 27640]]
0
30. Add Sec. Sec. 40.47, 40.48, 40.49, and 40.51 to subpart D to read
as follows:
* * * * *
Sec.
40.47 Where does an oral fluid collection for a DOT drug test take
place?
40.48 What steps must operators of collection sites and collectors
take to protect the security and integrity of oral fluid
collections?
40.49 What materials are used to collect oral fluid specimens?
40.51 What materials are used to send oral fluid specimens to the
laboratory?
* * * * *
Sec. 40.47 Where does an oral fluid collection for a DOT drug test
take place?
(a) An oral fluid collection for a DOT drug test must take place in
a collection site meeting the requirements of this section.
(b) If you are operating an oral fluid collection site:
(1) You must ensure that it meets the security requirements of
Sec. 40.48;
(2) The site may be a permanent or temporary facility located
either at the work site or at a remote site;
(3) The site may be in a medical facility, a mobile facility (e.g.,
a van), a dedicated collection facility, or any other location meeting
the requirements of this section; and
(4) You must have all necessary personnel, materials, equipment,
and facilities that include privacy and supervision to provide for the
collection, temporary storage, and shipping of specimens to a
laboratory, and a suitable clean surface for writing.
(c) If a collection site is not accessible and there is an
immediate requirement to collect an oral fluid specimen (e.g., an
accident investigation), another site may be used for the collection,
if the collection is performed by a collector who has been trained to
collect oral fluid specimens in accordance with this part and the
manufacturer's procedures for the collection device.
Sec. 40.48 What steps must operators of collection sites and
collectors take to protect the security and integrity of oral fluid
collections?
(a) Collectors and operators of collection sites must take the
steps listed in this section to prevent unauthorized access that could
compromise the integrity of collections.
(b) As a collector, you must do the following before each
collection to deter tampering with specimens:
(1) Ensure that access to collection materials and specimens is
effectively restricted;
(2) Ensure that undetected access (e.g., through a door not in your
view) is not possible; and
(3) Ensure the security of the facility during the collection
process to maintain privacy to the employee and prevent distraction of
the collector. Limited-access signs must be posted.
(c) As a collector, you must take the following additional steps to
ensure security during the collection process:
(1) To avoid distraction that could compromise security, you are
limited to conducting a collection for only one employee at a time.
However, during the time one employee is in the period for drinking
fluids in a ``dry mouth'' situation (see Sec. 40.72(b)(1)), you may
conduct a collection for another employee as long as the employee with
``dry mouth'' remains supervised.
(2) To the greatest extent practicable, keep an employee's
collection container within view of both you and the employee between
the time the employee has provided the oral fluid specimen and the
specimen is sealed.
(3) Ensure you are the only person in addition to the employee who
handles the specimen before it is sealed with tamper-evident seals.
(4) In the time between when the employee gives you the specimen
and when you seal the specimen, remain within the collection site.
(5) Maintain personal control over each specimen and CCF throughout
the collection process.
(d) If you are operating a collection site, you must implement a
policy and procedures to prevent unauthorized personnel from entering
any part of the site in which oral fluid specimens are collected or
stored.
(1) Only employees being tested, collectors and other collection
site workers, DERs, employee and employer representatives authorized by
the employer (e.g., employer policy, collective bargaining agreement),
and DOT agency representatives are authorized persons for purposes of
this paragraph (d).
(2) You must ensure that all authorized persons are under the
supervision of a collector at all times when permitted into the site.
(3) You or the collector may remove any person who obstructs,
interferes with, or causes a delay in the collection process.
(e) If you are operating a collection site, you must minimize the
number of persons handling specimens.
Sec. 40.49 What materials are used to collect oral fluid specimens?
For each DOT drug test, you must use a collection device meeting
the requirements of appendix B of this part.
Sec. 40.51 What materials are used to send oral fluid specimens to
the laboratory?
(a) Except as provided in paragraph (b) of this section, you must
use a shipping container that adequately protects the specimen bottles
from damage in the transport of specimens from the collection site to
the laboratory.
(b) You are not required to use a shipping container if a
laboratory courier hand-delivers the specimens from the collection site
to the laboratory.
0
31. Revise the heading for subpart E to read as follows:
Subpart E--Specimen Collections
0
32. Amend Sec. 40.61 by revising the section heading and paragraphs
(a), (b)(1) introductory text, (b)(3) and (4), (e), and (f)(5)(i) to
read as follows:
Sec. 40.61 What are the preliminary steps in the drug testing
collection process?
* * * * *
(a) When a specific time for an employee's test has been scheduled,
or the collection site is at the employee's work site, and the employee
does not appear at the collection site at the scheduled time, contact
the DER to determine the appropriate interval within which the DER has
determined the employee is authorized to arrive. If the employee's
arrival is delayed beyond that time, you must notify the DER that the
employee has not reported for testing, the DER must determine whether
the employee has refused to test (see Sec. Sec. 40.191(a)(1) and
40.355(i)). In a situation where a C/TPA has notified an owner/operator
or other individual employee to report for testing (other than for a
pre-employment test) and the employee does not appear, the C/TPA must
determine whether the employee has refused to test (see Sec. Sec.
40.191(a)(1) and 40.355(j)).
(b) * * *
(1) If the employee is also going to take a DOT alcohol test, you
must ensure, to the greatest extent practicable, that the alcohol test
is completed before the drug testing collection process begins.
* * * * *
(3) You must not collect a specimen from an unconscious employee to
conduct a drug test under this part.
(4) You must not catheterize a conscious employee for purposes of a
urine test. However, you must inform an employee who normally voids
through self-catheterization that the employee is required to provide a
specimen in that manner. If an employee normally voids through self-
catheterization, but
[[Page 27641]]
declines to do so for the urine test, the collector should notify the
DER of the circumstances, so that the actual employer can determine
whether the situation constitutes a refusal to test by the employee.
* * * * *
(e) Explain the basic collection procedure to the employee, and
notify the employee that instructions for completing the CCF can be
found at the HHS (https://www.samhsa.gov/workplace) and DOT (https://www.transportation.gov/odapc) websites.
(f) * * *
(5) * * *
(i) Determine if the material appears to be brought to the
collection site with the intent to alter the specimen, and, if it is,
either conduct a directly observed urine collection using direct
observation procedures (see Sec. 40.67) or an oral fluid specimen
collection, make a note on the CCF and continue with collection
process; or
* * * * *
0
33. Amend Sec. 40.63 by revising paragraph (a) to read as follows:
Sec. 40.63 What steps does the collector take in the collection
process before the employee provides a urine specimen?
* * * * *
(a) Ensure all items under Step 1 of the CCF are complete and
accurate (e.g., if Step 1.D is not checked, put a check mark for the
``Specify DOT Agency'' under the authority of which the test will take
place; if the address where the collection is actually taking place is
not in Step 1.G, update that.)
* * * * *
0
34. Amend Sec. 40.65 by revising the section heading and paragraphs
(b)(5) and (6), and (c)(1) to read as follows:
Sec. 40.65 What does the collector check for when the employee
presents a urine specimen?
* * * * *
(b) * * *
(5) If the specimen temperature is outside the acceptable range,
you must immediately conduct a new urine collection using direct
observation procedures (see Sec. 40.67) or an oral fluid collection.
(6) In a case where a specimen is collected under direct
observation because of the temperature being out of range, you must
process both the original specimen and the specimen collected using
direct observation (including oral fluid) and send the two sets of
specimens to their respective laboratories. This is true even in a case
in which the original specimen has insufficient volume and the
temperature is out of range. You must also, as soon as possible, inform
the DER and collection site supervisor that a collection took place
under direct observation and the reason for doing so.
* * * * *
(c) * * *
(1) If it is apparent from this inspection that the employee has
tampered with the specimen (e.g., blue dye in the specimen, excessive
foaming when shaken, or smell of bleach), you must immediately conduct
a new urine collection using direct observation procedures (see Sec.
40.67) or an oral fluid collection.
* * * * *
0
35. Amend Sec. 40.67 by:
0
a. Revising the section heading and paragraph (a) introductory text;
0
b. Adding paragraph (a)(4);
0
c. Removing ``paragraphs (a) and (b)'' and adding ``paragraph (a)'' in
its place in paragraph (c)(1);
0
d. Revising paragraphs (c)(3) and (4);
0
e. Adding paragraph (c)(5);
0
f. Revising paragraph (d)(2);
0
f. Removing ``Sec. 40.67(b)'' and adding in its place ``paragraphs
(c)(2) through (4) of this section'' in paragraph (e)(2); and
0
g. Revising paragraph (g).
The revisions and additions read as follows:
Sec. 40.67 When and how is a directly observed urine collection
conducted?
(a) As an employer, you must direct an immediate collection under
direct observation with no advance notice to the employee, if:
* * * * *
(4) You realize a collection under direct observation was required
but was not conducted or the service agent informs you that a direct
observation should have been collected but was not (see paragraph (n)
of this section).
(c) * * *
(3) The temperature on the original specimen was out of range (see
Sec. 40.65(b)(5));
(4) The original specimen appeared to have been tampered with (see
Sec. 40.65(c)(1)); or
(5) The test reason is return-to-duty or follow-up.
(d) * * *
(2) As the collector, you must explain to the employee the reason,
if known, under this part for a directly observed collection.
* * * * *
(g) As the collector, you must ensure that the observer is the same
gender as the employee.
(1) You must never permit an opposite gender person to act as the
observer.
(2) The observer can be a different person from the collector and
need not be a qualified collector.
(3) If a same gender collector cannot be found or in circumstances
of nonbinary or transgender employees:
(i) If the employer has a standing order to allow oral fluid
testing in such situations, the collector will follow that order;
(ii) If there is no standing order from the employer, the collector
must contact the DER and either conduct an oral fluid test if the
collection site is able to do so, or send the employee to a collection
site acceptable to the employer for the oral fluid test.
* * * * *
0
36. Amend Sec. 40.69 by:
0
a. Revising the section heading;
0
b. Redesignating paragraphs (a) through (g) as paragraphs (b) through
(h);
0
c. Adding new paragraph (a); and
0
d. Revising newly redesignated paragraph (e).
The revisions and addition read as follows:
Sec. 40.69 How is a monitored urine collection conducted?
(a) As stated in Sec. 40.42(f)(2), if you are conducting a urine
collection in a multi-stall restroom and you cannot secure all sources
of water and other substances that could be used for adulteration and
substitution, you must conduct a monitored collection. This is the only
circumstance in which you must conduct a monitored collection.
* * * * *
(e) As the monitor, you must not watch the employee urinate into
the collection container. If you hear sounds or make other observations
indicating an attempt to tamper with a specimen, there must be an
additional collection under direct observation. See Sec. Sec.
40.63(e), 40.65(c), and 40.67(c)(2)(3)).
* * * * *
0
37. Amend Sec. 40.71 by revising the section heading and paragraph
(b)(1) to read as follows:
Sec. 40.71 How does the collector prepare the urine specimen?
* * * * *
(b) * * *
(1) After the collection, check the box on the CCF (Step 2)
indicating that this was a ``Urine'' and ``Split'' specimen collection.
* * * * *
Sec. 40.73 [Redesignated as Sec. 40.79]
0
38. Redesignate Sec. 40.73 as Sec. 40.79.
[[Page 27642]]
0
39. Add new Sec. Sec. 40.72 through 40.74 to read as follows:
* * * * *
Sec.
40.72 What steps does the collector take in the collection process
before the employee provides an oral fluid specimen?
40.73 How is an oral fluid specimen collected?
40.74 How does the collector prepare the oral fluid specimens?
* * * * *
Sec. 40.72 What steps does the collector take in the collection
process before the employee provides an oral fluid specimen?
(a) The collector requests that the employee open the employee's
mouth, and the collector inspects the oral cavity to ensure that it is
free of any items that could impede or interfere with the collection of
an oral fluid specimen (e.g., candy, gum, food, or tobacco) or could be
used to adulterate, substitute, or alter the specimen.
(1) If the collector finds indication(s) of anything identified
above, the collector will ask the employee to lift their tongue and/or
separate their cheek from their gum to permit full inspection. If this
occurs, the employee may cleanse his or her hands, but must not decline
the collector's request for further inspection.
(2) If the employee claims that he or she has a medical condition
that prevents opening his or her mouth for inspection, the collector
follows the procedure described in Sec. 40.193(a).
(3) If the collector observes materials brought to the collection
site or the employee's conduct clearly indicates an attempt to
adulterate, substitute, or alter the specimen, the collector must
terminate the collection, note the circumstances in the Remarks section
of the CCF, and report the circumstances to the DER, so that the
employer can decide whether to deem the situation a refusal in
accordance with Sec. 40.191(a).
(b) If an item is present that might impede or interfere with the
collection of an oral fluid specimen, the collector must request the
employee remove the item.
(1) If the employee removes any item that could impede or interfere
with the collection of an oral fluid specimen, the employee has
abnormally colored saliva, or the employee claims to have ``dry
mouth,'' then the collector must give the employee water, up to 8
ounces, to rinse their mouth. The employee may drink the water. The
collector must then wait 10 minutes before beginning the specimen
collection.
(2) If the employee refuses to remove the item or rinse, the
collector must terminate the collection, note the circumstances in the
Remarks section of the CCF, and report the information to the DER to
test as described in Sec. 40.191(a)(8) (failure to cooperate), so that
the employer can decide whether to deem the situation a refusal.
(c) If there is nothing of concern in the oral cavity and no ``dry
mouth'' condition, the collector starts a 10-minute wait period and
proceeds with the steps below before beginning the specimen collection
as described in Sec. 40.73.
(d) During the 10-minute wait period:
(1) Review with the employee the procedures required for a
successful oral fluid specimen collection as stated in the
manufacturer's instructions for the specimen collection device.
(2) Complete all items under Step 1 of the CCF, and for
clarification:
(i) In Step 1.D of the CCF, the collector must put a check mark for
the ``Specify DOT Agency'' under whose authority the test will take
place.
(ii) In Step 1.G of the CCF for the ``Collection Site Address'',
the collector must provide the address where the collection took place.
(3) The collector will provide, or the employee may select, a
specimen collection device that is clean, unused, and wrapped/sealed in
original packaging.
(i) The collector will check the expiration date on the device or
the package containing the device and show it to the employee.
(ii) The collector must not use the device after its expiration
date.
(iii) The collector must open the specimen collection device in
view of the employee.
(4) The collector will complete Step 2 of the CCF.
(i) Check ``Oral Fluid'',
(ii) For ``Oral Fluid: Split Type'' check ``Subdivided'', and
(iii) Check ``Each Device Within Expiration Date?'' after ensuring
the device is within its expiration date.
(5) The collector will enter the Split Specimen Device Expiration
Date in Step 4 of the CCF. Since the collector will use one oral fluid
device that will collect a single specimen, which is then subdivided in
the presence of the donor, only one entry in Step 4 is to be made for
the device expiration date.
(6) The collector must instruct the employee to use hand sanitizer
or wash and dry his or her hands.
(e) To the greatest extent practicable, the collector must keep the
employee's unwrapped collection device within view of both the
collector and the employee, between the time the employee has provided
a specimen and the specimen is sealed.
Sec. 40.73 How is an oral fluid specimen collected?
(a) The collector must be present and maintain visual contact with
the employee during the procedures outlined in this section.
(b) The collector must note any unusual behavior or appearance of
the employee on the CCF. If the collector detects any conduct that
clearly indicates an attempt to tamper with a specimen (e.g., an
attempt to bring into the collection site an adulterant or oral fluid
substitute), the collector must terminate the collection and report the
information to the DER so that the employer can decide whether to deem
the situation a refusal.
(c) The employee and collector must complete the specimen
collection in accordance with the manufacturer's instructions for the
collection device.
(1) Under the observation of the collector, the employee is
responsible for positioning the specimen collection device for
collection.
(2) The collector must ensure the collection is performed correctly
(i.e., using the oral fluid device in the manner described by its
manufacturer), that the collection device is working properly, and that
a sufficient specimen volume is collected.
(3) If the employee states that he or she is unable to provide an
oral fluid specimen or provides an insufficient specimen during the
collection process, the collector must continue to make one attempt to
collect, after an insufficient specimen, the collector follows the
procedure in Sec. 40.193.
(4) The collector must inspect the specimen for unusual color,
presence of foreign objects or material, or other signs of tampering.
If it is apparent from this inspection that the employee has tampered
with the specimen, the collector must conduct a new collection.
(i) Document any unusual characteristics referenced above in the
Remarks section of the CCF.
(ii) Proceed with obtaining the new oral fluid specimen from the
donor. Note on the new CCF that this is another collection for the same
testing event (i.e., Document in the remarks section that this is
Specimen 2 of 2 and include the Specimen ID number of the other
specimen). Make the same notation on the CCF of the suspect specimen.
Sec. 40.74 How does the collector prepare the oral fluid specimens?
(a) The collector follows the manufacturer's instructions to
package the split specimen collections.
(b) A volume of at least 1 mL of undiluted (neat) oral fluid is
collected for the specimen designated as ``Bottle
[[Page 27643]]
A'', and a volume of at least 1 mL of undiluted (neat) oral fluid is
collected for the specimen designated as ``Bottle B'', or an otherwise
sufficient amount of oral fluid is collected to permit an HHS-certified
laboratory to analyze the specimen(s).
(c) In the presence of the employee, the collector places a tamper-
evident seal from the CCF over the cap of each specimen container,
taking care not to obstruct the expiration date on the collection
containers. The collector must record the date of the collection on the
tamper-evident seals, after they are affixed to the specimen
containers.
(d) The collector instructs the employee to initial the tamper-
evident seals on each specimen container. If the employee declines to
do so, the collector must note this in the ``Remarks'' line of the CCF
(Step 2) and complete the collection process.
Sec. Sec. 40.75-40.78 [Reserved]
0
40. Add reserved Sec. Sec. 40.75 through 40.78 to subpart E.
0
41. Amend newly redesignated Sec. 40.79 by revising paragraph (a)(1)
to read as follows:
Sec. 40.79 How is the collection process completed?
(a) * * *
(1) Direct the employee to read and sign the certification
statement on Copy 2 of the CCF and provide all information required in
Step 5. If the employee declines to sign the CCF or to provide any of
the required information, you must note this in the ``Remarks'' line
(Step 2) of the CCF and complete the collection. If the employee
declines to fill out any information, you must, as a minimum, print the
employee's name in the appropriate place.
* * * * *
Sec. 40.81 [Amended]
0
42. Amend Sec. 40.81 in paragraph (a) by removing the words ``all
testing'' and adding in their place the words ``each specimen testing
methodology performed''.
0
43. Amend Sec. 40.83 by:
0
a. Removing the word ``urine'' in paragraph (b);
0
b. Removing the word ``urine'' and adding in its place the word
``specimen'' in paragraph (c)(7);
0
c. Adding paragraphs (c)(8) and (9);
0
d. Adding the word ``urine'' before the word ``specimen'' in paragraph
(f) introductory text;
0
e. Removing ``40.45(a)'' and adding in its place ``40.40(a)'' in
paragraph (g) introductory text;
0
f. Removing the word ``urine'' and adding in its place the word
``specimen'' in paragraphs (h)(1)(i), (iii), and (iv); and
0
g. Removing ``(g)(1)'' and adding in its place ``(h)(1)'' in paragraph
(h)(2).
Sec. 40.83 How do laboratories process incoming specimens?
* * * * *
(c) * * *
(8) For an oral fluid collection, the collector used an expired
device at the time of collection.
(9) For an oral fluid collection, if the collector failed to enter
the expiration date in Step 4 of the CCF and the laboratory is unable
to determine the expiration date by inspecting Bottles A and B.
* * * * *
Sec. 40.85 [Redesignated as Sec. 40.82]
0
44. Redesignate Sec. 40.85 as Sec. 40.82.
Sec. 40.99 [Redesignated as Sec. 40.84]
0
45. Redesignate Sec. 40.99 as Sec. 40.84.
Sec. 40.87 [Redesignated as Sec. 40.85]
0
46. Redesignate Sec. 40.87 as Sec. 40.85.
0
47. Amend newly redesignated Sec. 40.85 by revising the section
heading and footnote 2 to read as follows:
Sec. 40.85 What are the cutoff concentrations for urine drug tests?
* * * * *
\2\ An immunoassay must be calibrated with a target analyte.
* * * * *
Sec. 40.89 [Redesignated as Sec. 40.86]
0
48. Redesignate Sec. 40.89 as Sec. 40.86.
0
49. Amend newly redesignated Sec. 40.86 by revising the section
heading to read as follows:
Sec. 40.86 What is urine validity testing, and are laboratories
required to conduct it?
* * * * *
Sec. 40.91 [Redesignated as Sec. 40.87]
0
50. Redesignate Sec. 40.91 as Sec. 40.87.
0
51. Amend newly redesignated Sec. 40.87 by revising the section
heading, and in the introductory text, removing ``Sec. 40.89'' and
adding in its place ``Sec. 40.86''.
The revision reads as follows:
Sec. 40.87 What validity tests must laboratories conduct on primary
urine specimens?
* * * * *
Sec. 40.93 [Redesignated as Sec. 40.88]
0
52. Redesignate Sec. 40.93 as Sec. 40.88.
0
53. Amend newly redesignated Sec. 40.88 by revising the section
heading to read as follows:
Sec. 40.88 What criteria do laboratories use to establish that a
urine specimen is dilute or substituted?
* * * * *
Sec. 40.95 [Redesignated Sec. 40.89]
0
54. Redesignate Sec. 40.95 as Sec. 40.89.
0
55. Amend newly redesignated Sec. 40.89 by revising the section
heading to read as follows:
Sec. 40.89 What are the adulterant cutoff concentrations for initial
and confirmation urine tests?
* * * * *
Sec. 40.96 [Redesignated as Sec. 40.90]
0
56. Redesignate existing Sec. 40.96 as Sec. 40.90.
0
57. Amend newly redesignated Sec. 40.90 by revising the section
heading to read as follows:
Sec. 40.90 What criteria do laboratories use to establish that a
urine specimen is invalid?
* * * * *
0
58. Add new Sec. Sec. 40.91 through 40.93 to read as follows:
* * * * *
Sec.
40.91 What are the cutoff concentrations for oral fluid drug tests?
40.92 What is oral fluid validity testing, and are laboratories
required to conduct it?
40.93 What validity tests must laboratories conduct on primary oral
fluid specimens?
* * * * *
Sec. 40.91 What are the cutoff concentrations for oral fluid drug
tests?
As a laboratory, you must use the cutoff concentrations displayed
in the following table for initial and confirmatory drug tests for oral
fluid specimens. All cutoff concentrations are expressed in nanograms
per milliliter (ng/mL). The table follows:
[[Page 27644]]
Table 1 to Sec. 40.91--Oral Fluid Testing Cutoff Concentrations
----------------------------------------------------------------------------------------------------------------
Confirmatory test Confirmatory test cutoff
Initial test analyte Initial test cutoff \1\ analyte concentration
----------------------------------------------------------------------------------------------------------------
Marijuana (THC) \2\............... 4 ng/mL \3\............... THC.................. 2 ng/mL.
Cocaine/Benzoylecgonine........... 15 ng/mL.................. Cocaine.............. 8 ng/mL.
.......................... Benzoylecgonine...... 8 ng/mL.
Codeine/Morphine.................. 30 ng/mL.................. Codeine.............. 15 ng/mL.
.......................... Morphine............. 15 ng/mL.
Hydrocodone/Hydromorphone......... 30 ng/mL.................. Hydrocodone.......... 15 ng/mL.
.......................... Hydromorphone........ 15 ng/mL.
Oxycodone/Oxymorphone............. 30 ng/mL.................. Oxycodone............ 15 ng/mL.
.......................... Oxymorphone.......... 15 ng/mL.
6-Acetylmorphine.................. 4 ng/mL \3\............... 6-Acetylmorphine..... 2 ng/mL.
Phencyclidine..................... 10 ng/mL.................. Phencyclidine........ 10 ng/mL.
Amphetamine/Methamphetamine....... 50 ng/mL.................. Amphetamine.......... 25 ng/mL.
.......................... Methamphetamine...... 25 ng/mL.
MDMA \4\/MDA \5\.................. 50 ng/mL.................. MDMA................. 25 ng/mL.
.......................... MDA.................. 25 ng/mL.
----------------------------------------------------------------------------------------------------------------
\1\ For grouped analytes (i.e., two or more analytes that are in the same drug class and have the same initial
test cutoff):
Immunoassay: The test must be calibrated with one analyte from the group identified as the target analyte. The
cross reactivity of the immunoassay to the other analyte(s) within the group must be 80 percent or greater; if
not, separate immunoassays must be used for the analytes within the group.
Alternate technology: Either one analyte or all analytes from the group must be used for calibration, depending
on the technology. At least one analyte within the group must have a concentration equal to or greater than
the initial test cutoff or, alternatively, the sum of the analytes present (i.e., with concentrations equal to
or greater than the laboratory's validated limit of quantification) must be equal to or greater than the
initial test cutoff.
\2\ An immunoassay must be calibrated with the target analyte.
\3\ Alternate technology (THC and 6-AM): The confirmatory test cutoff must be used for an alternate technology
initial test that is specific for the target analyte (i.e., 2 ng/mL for THC, 2 ng/mL for 6-AM).
\4\ Methylenedioxymethamphetamine (MDMA).
\5\ Methylenedioxyamphetamine (MDA).
Sec. 40.92 What is oral fluid validity testing, and are laboratories
required to conduct it?
(a) Specimen validity testing is the evaluation of the specimen to
determine if it is consistent with normal human oral fluid. The purpose
of validity testing is to determine whether certain adulterants or
foreign substances were added to the oral fluid, if the oral fluid was
altered.
(b) If a specimen exhibits abnormal characteristics (e.g., unusual
odor or color), causes reactions or responses characteristic of an
adulterant during initial or confirmatory drug tests (e.g., non-
recovery of internal standard, unusual response), or contains an
unidentified substance that interferes with the confirmatory analysis,
then you may conduct validity testing.
(c) If you determine that the specimen is invalid and HHS
guidelines direct you to contact the MRO, you must contact the MRO and
together decide if testing the primary specimen by another HHS-
certified laboratory would be useful in being able to report a positive
or adulterated test result.
Sec. 40.93 What validity tests must laboratories conduct on primary
oral fluid specimens?
As a laboratory, if you conduct validity testing under Sec. 40.92,
you must conduct it in accordance with the requirements of this
section.
(a) You may test for a biomarker such as albumin or immunoglobulin
G (IgG) or a test for a specific adulterant.
(b) You must follow the applicable HHS requirements for any
additional validity testing.
0
59. Revise Sec. 40.97 to read as follows:
Sec. 40.97 What do laboratories report and how do they report it?
(a) As a laboratory, when reporting a result of any kind, you must
report the specimen type.
(b) You must also report the results for each primary specimen,
which will fall into one of the following three categories. As a
laboratory, you must report the actual results (and not the
categories):
(1) Category 1: Negative results. As a laboratory, when you find a
specimen to be negative, you must report the test result as being one
of the following, as applicable:
(i) Negative, or
(ii) For urine only, negative-dilute, with numerical values for
creatinine and specific gravity.
(2) Category 2: Non-negative results. As a laboratory, when you
find a specimen to be non-negative, you must report the test result as
being one or more of the following, as applicable:
(i) Positive, with drug(s)/metabolite(s) noted, with numerical
values for the drug(s) or drug metabolite(s).
(ii) Adulterated, with adulterant(s) noted, with confirmatory test
values (when applicable), and with remarks(s);
(iii) For urine only, positive-dilute, with drug(s)/metabolite(s)
noted, with numerical values for the drug(s) or drug metabolite(s) and
with numerical values for creatinine and specific gravity;
(iv) For urine only, substituted, with confirmatory test values for
creatinine and specific gravity; or
(v) For urine only, invalid result, with remark(s). Laboratories
will report actual values for pH results.
(vi) For oral fluid only, invalid result, with remark(s).
Laboratories must report numerical values of the specimen validity test
results that support a specimen reported as invalid.
(3) Category 3: Rejected for testing. As a laboratory, when you
reject a specimen for testing, you must report the result as being
Rejected for Testing, with remark(s).
(c) As a laboratory, you must report laboratory results directly,
and only, to the MRO at his or her place of business. You must not
report results to or through the DER or a service agent (e.g., a C/
TPA).
(1) Negative results: You must fax, courier, mail, or
electronically transmit a legible image or copy of the fully completed
Copy 1 of the CCF which has been signed by the certifying scientist, or
you may provide the laboratory
[[Page 27645]]
results report electronically (i.e., computer data file).
(i) If you elect to provide the laboratory results report, you must
include the following elements, as a minimum, in the report format:
(A) Laboratory name and address;
(B) Employer's name (you may include I.D. or account number);
(C) Medical review officer's name;
(D) Specimen I.D. number;
(E) SSN or Employee ID from Step 1C of the CCF, if provided;
(F) Reason for test, if provided;
(G) Collector's name and telephone number;
(H) Date of the collection;
(I) For oral fluid only, collection device expiration date;
(J) Date received at the laboratory;
(K) Date certifying scientist released the results;
(L) Certifying scientist's name;
(M) Results (e.g., positive, adulterated) as listed in paragraph
(a) of this section; and
(N) Remarks section, with an explanation of any situation in which
a correctable flaw has been corrected.
(ii) You may release the laboratory results report only after
review and approval by the certifying scientist. It must reflect the
same test result information as contained on the CCF signed by the
certifying scientist. The information contained in the laboratory
results report must not contain information that does not appear on the
CCF.
(iii) The results report may be transmitted through any means that
ensures accuracy and confidentiality. You, as the laboratory, together
with the MRO, must ensure that the information is adequately protected
from unauthorized access or release, both during transmission and in
storage (e.g., see Sec. 40.351).
(2) Non-negative and Rejected for Testing results: You must fax,
courier, mail, or electronically transmit a legible image or copy of
the fully completed Copy 1 of the CCF that has been signed by the
certifying scientist. In addition, you may provide the electronic
laboratory results report following the format and procedures set forth
in paragraphs (b)(1)(i) and (ii) of this section.
(d) In transmitting laboratory results to the MRO, you, as the
laboratory, together with the MRO, must ensure that the information is
adequately protected from unauthorized access or release, both during
transmission and in storage. If the results are provided by fax or
other electronic means, the electronic communication must be accessible
only to authorized individuals.
(e) You must transmit test results to the MRO in a timely manner,
preferably the same day that review by the certifying scientist is
completed.
(f)(1) You must provide quantitative values for confirmed positive
drug test results to the MRO.
(2) You must provide numerical values that support the adulterated
(when applicable) or substituted result, without a request from the
MRO.
(3) You must also provide the MRO numerical values for creatinine
and specific gravity for the negative-dilute urine test result, without
a request from the MRO.
(g) You must provide quantitative values for confirmed positive
morphine and/or codeine urine results at or below 15,000 ng/mL, and for
confirmed positive morphine or codeine oral fluid results at or below
150 ng/mL.
0
60. Amend Sec. 40.111 by revising paragraphs (a) introductory text and
(d) to read as follows:
Sec. 40.111 When and how must a laboratory disclose statistical
summaries and other information it maintains?
(a) As a laboratory, you must transmit an aggregate statistical
summary, by employer, of the data listed in appendix D of this part
with respect to each specimen type for which you conduct tests to the
employer on a semi-annual basis.
* * * * *
(d) As a laboratory, you must transmit an aggregate statistical
summary listed in appendix E of this part for each specimen type for
which you conduct testing to DOT on a semi-annual basis. The summary
must be sent by January 31 of each year for July 1 through December 31
of the prior year. It must be sent by July 31 of each year for January
1 through June 30 of the current year. If you withdraw or are removed
from NLCP's laboratory certification during a reporting period, you
must provide the aggregate statistical summary to the DOT-regulated
employers and to ODAPC for the last reporting period in which you
conducted DOT-regulated testing.
Sec. 40.121 [Amended]
0
61. Amend Sec. 40.121 in paragraph (c)(1)(i) by removing the word
``urine''.
Sec. 40.123 [Amended]
0
62. Amend Sec. 40.123 in paragraph (c) by removing the words ``invalid
drug tests results'' and adding in their place ``invalid results''.
Sec. 40.127 [Amended]
0
63. Amend Sec. 40.127 in the second sentence of paragraph (g)(2) by
adding the words ``of all specimen types combined'' before the words
``in any quarter''.
Sec. 40.129 [Amended]
0
64. Amend Sec. 40.129 in paragraph (a) introductory text by removing
the words ``invalid drug tests'' and adding in their place ``invalid
results'', in paragraph (b) by removing the words ``text cancelled'',
and in paragraph (d) by removing ``drug test report'' and adding
``result'' in its place.
Sec. 40.135 [Amended]
0
65. Amend Sec. 40.135 in paragraph (d) introductory text by removing
the word ``test'' after the word ``invalid'' and adding in its place
the word ``result''.
0
66. Amend Sec. 40.139 by revising paragraph (b) and in paragraph (c)
introductory text by removing the word ``urine''.
The revision reads as follows:
Sec. 40. 139 On what basis does the MRO verify text results involving
6-acetylmorphine, codeine, and morphine?
* * * * *
(b) In the absence of 6-AM, if the laboratory confirms the presence
of either morphine or codeine equal to or above 15,000 ng/mL (in urine)
or equal to or above 150 ng/mL (in oral fluid), you must verify the
test result as positive, unless the employee presents a legitimate
medical explanation for the presence of the drug or drug metabolite in
his or her system, as in the case of other drugs (see Sec. 40.137).
Consumption of food products (e.g., poppy seeds) must not be considered
a legitimate medical explanation for the employee having morphine or
codeine at these concentrations.
* * * * *
0
67. Amend Sec. 40.141 by revising paragraph (b) to read as follows:
Sec. 40.141 How does the MRO obtain information for the verification
decision?
* * * * *
(b) If the employee asserts that the presence of a drug or drug
metabolite in his or her specimen results from taking prescription
medication (i.e., a legally valid prescription consistent with the
Controlled Substances Act), you must review and take all reasonable and
necessary steps to verify the authenticity of all medical records the
employee provides.
(1) You may contact the employee's physician or other relevant
medical personnel for further information.
(i) If you decide to contact the employee's pharmacy to
authenticate whether the prescription offered by the employee was
filled by the pharmacy,
[[Page 27646]]
you or staff under your operational control can contact the pharmacy.
(ii) If you utilize staff to perform the inquiry in paragraph
(b)(1)(i) of this section, you must ensure operational control over the
hiring, firing, evaluation of the staff and you must oversee the
performance of the function of contacting a pharmacy to authenticate
specific prescription(s) (e.g., outline or script what the staff will
ask the pharmacy; occasionally monitor calls to assure quality control;
or other methods to ensure the staff are properly conducting the calls
with the pharmacies).
(2) You may request an HHS-certified laboratory with validated
protocols (see Sec. 40.81(c)) to conduct testing for D,L stereoisomers
of amphetamine and methamphetamine or testing for
tetrahydrocannabivarin (THC-V) when verifying lab results, as you
determine necessary.
Sec. 40.145 [Amended]
0
68. Amend Sec. 40.145 in the last sentence of paragraph (g)(3) by
removing the word ``urine'' and adding the word ``drug'' in its place
and in paragraph (h) introductory text by adding the word ``urine''
before the word ``result''
0
69. Amend Sec. 40.151 by revising paragraphs (a), (b), (g), and (i) to
read as follows:
Sec. 40.151 What are MROs prohibited from doing as part of the
verification process?
* * * * *
(a) You must not consider any evidence (verbal or written
information) from any drug tests that are not collected or tested in
accordance with this part. For example, if an employee tells you he
went to his own physician, provided a urine specimen, sent it to a
laboratory, and received a negative test result, you are required to
ignore this test result.
(b) It is not your function to make decisions about factual
disputes between the employee and the collector concerning matters
occurring at the collection site that are not reflected on the CCF
(e.g., concerning allegations that the collector left the area or left
open collection containers where other people could access them.)
* * * * *
(g) You must not accept an assertion that there is a legitimate
medical explanation for the presence of PCP, 6-AM, MDMA, or MDA in a
specimen.
* * * * *
(i) You must not accept, as a legitimate medical explanation for a
substituted specimen, an assertion that an employee can produce a urine
specimen for which the creatinine level is below the laboratory's limit
of detection. There are no physiological means through which a person
can produce a urine specimen having this characteristic.
0
70. Amend Sec. 40.159 by revising paragraphs (a)(1) and (a)(5)(ii) to
read as follows:
Sec. 40.159 What does the MRO do when a drug test result is invalid?
(a) * * *
(1) Discuss the laboratory results with a certifying scientist to
determine if the primary specimen should be tested at another HHS-
certified laboratory. If the laboratory did not contact you as required
by Sec. Sec. 40.91(e) and 40.96(b), you must contact the laboratory.
* * * * *
(5) * * *
(ii) Report to the DER that the test is cancelled, the reason for
cancellation, and that a second collection must take place immediately
under direct observation. Recommend to the employer that an alternate
specimen should be collected if practicable (e.g., oral fluid, if the
specimen was urine).
* * * * *
0
71. Amend Sec. 40.161 by revising paragraphs (a) and (c) to read as
follows:
Sec. 40.161 What does the MRO do when a drug test specimen is
rejected for testing?
* * * * *
(a) Place a check mark in the ``Test Cancelled'' box (Step 6) on
Copy 2 (or a legible copy of Copy 3-5) of the CCF and enter the reason
on the ``Remarks'' line. If you do not have Copy 2 (or a legible copy
of Copy 3-5), then enter ``Test Cancelled'' and the reason for the
cancellation on a report in the format required under Sec. 40.163(c).
* * * * *
(c) You may only report a test cancelled because of a ``rejected
for testing'' laboratory result when you are in possession of a legible
copy of Copy 1 of the CCF. In addition, you must have Copy 2 of the
CCF, a legible copy of it, or any other copy of the CCF containing the
employee's signature. If you do not have Copy 2 (or a legible copy of
Copy 3-5), then enter ``Test Cancelled'' and the reason for the
cancellation on a report in the format required under Sec. 40.163(c).
0
72. Amend Sec. 40.163 in paragraph (c)(2) by removing the words
``donor SSN or employee ID number'' and adding in their place the words
``SSN or employee ID No.'' and by revising paragraph (e).
The revision reads as follows:
Sec. 40.163 How does the MRO report drug test results?
* * * * *
(e) If you use a written report as provided in paragraph (c) of
this section to report results, you must retain a copy of the written
report. If you use the electronic data file to report negatives, as
provided in paragraph (d) of this section, you must retain a
retrievable copy of that report in a format suitable for inspection and
audit by a DOT representative. In either case, you must keep the
completed Copy 2 of the CCF. When completing Copy 2, either the MRO
must sign and date it (for both negatives and non-negatives) or MRO
staff must stamp and date it (for negatives only).
* * * * *
0
73. Amend Sec. 40.177 by revising paragraphs (a) through (c) to read
as follows:
Sec. 40.177 What does the second laboratory do with the split
specimen when it is tested to reconfirm the presence of a drug or drug
metabolite?
(a) As the laboratory testing the split specimen, you must test the
split specimen for the drug(s)/drug metabolite(s) confirmed in the
primary specimen.
(b) You must conduct this test without regard to the cutoff
concentrations of Sec. 40.85 or Sec. 40.91, as applicable.
(c) If the test fails to reconfirm the presence of the drug(s)/drug
metabolite(s) that were reported in the primary specimen, you must
conduct validity tests in an attempt to determine the reason for being
unable to reconfirm the presence of the drug(s)/metabolite(s). You
should conduct the same validity tests as you would conduct on a
primary specimen set forth in Sec. 40.87 or Sec. 40.93, as
applicable.
* * * * *
Sec. 40.179 [Amended]
0
74. Amend Sec. 40.179 in paragraph (a) by removing ``Sec. 40.95'' and
adding in its place ``Sec. 40.89 or Sec. 40.93, as applicable''.
0
75. Revise Sec. 40.181 to read as follows:
Sec. 40.181 What does the second laboratory do with the split
specimen when it is tested to reconfirm a substituted test result?
As the laboratory testing a urine split specimen, you must test the
split specimen using the confirmatory tests for creatinine and specific
gravity, using the criteria set forth in Sec. 40.88.
Sec. 40.187 [Amended]
0
76. Amend Sec. 40.187 in paragraphs (b)(1), (c)(1)(iii), and
(c)(2)(iii) by removing ``Appendix D'' and adding in
[[Page 27647]]
its place ``appendix F'' and in paragraph (e)(3) by removing ``appendix
D'' and adding in its place ``appendix F''.
0
77. Amend Sec. 40.191 by revising paragraphs(a)(2) through (11), (c),
and (d)(1) to read as follows:
Sec. 40.191 What is a refusal to take a DOT drug test, and what are
the consequences?
(a) * * *
(2) Fail to remain at the testing site until the testing process is
complete. Provided that an employee who leaves the collection site
before the testing process commences (see Sec. 40.63(c) or Sec.
40.72(e), as applicable) for a pre-employment test is not deemed to
have refused to test. The collector is not required to inform an
employee that the failure to remain at the collection site is a
refusal. If an employee leaves prior to the completion of the testing
process, per Sec. 40.355(i) the employer must decide whether the
employee's actions constitute a refusal;
(3) Fail to provide a specimen for any drug test required by this
part or DOT agency regulations. Provided that an employee who does not
provide a specimen because he or she has left the testing site before
the testing process commences (see Sec. 40.63(c) or Sec. 40.72(e), as
applicable) for a pre-employment test is not deemed to have refused to
test. The collector is not required to inform an employee that the
failure to remain at the collection site is a refusal. If an employee
leaves prior to the completion of the testing process, per Sec.
40.355(i) the employer must decide whether the employee's actions
constitute a refusal;
(4) In the case of a directly observed or monitored urine
collection in a drug test, fail to permit the observation or monitoring
of an employee's provision of a specimen (see Sec. Sec. 40.67(m) and
40.69(g));
(5) Fail to provide a sufficient amount of specimen when directed,
and it has been determined, through a required medical evaluation, that
there was no adequate medical explanation for the failure (see Sec.
40.193(d)(2));
(6) Fail or decline to take an additional drug test the employer or
collector has directed you to take (see, for instance, Sec. 40.197(b)
as applicable);
(7) Fail to undergo a medical examination or evaluation, as
directed by the MRO as part of the verification process, or as directed
by the DER under Sec. 40.193(c). In the case of a pre-employment drug
test, the employee is deemed to have refused to test on this basis only
if the pre-employment test is conducted following a contingent offer of
employment. If there was no contingent offer of employment, the MRO
will cancel the test;
(8) Fail to cooperate with any part of the testing process (e.g.,
refuse to empty pockets when directed by the collector, behave in a
confrontational way that disrupts the collection process, fail to wash
hands after being directed to do so by the collector, fail to remove
objects from mouth, fail to permit inspection of the oral cavity, or
fail to complete a rinse when requested);
(9) For an observed urine collection, fail to follow the observer's
instructions to raise your clothing above the waist, lower clothing and
underpants, and to turn around to permit the observer to determine if
you have any type of prosthetic or other device that could be used to
interfere with the collection process;
(10) Possess or wear a prosthetic or other device that could be
used to interfere with the collection process; or
(11) Admit to the collector or MRO that you adulterated or
substituted the specimen.
* * * * *
(c) As an employee, if you refuse to take a drug test, you incur
the consequences specified under DOT agency regulations for a violation
of those DOT agency regulations. The consequences specified under DOT
agency regulations for a refusal cannot be overturned or set aside by
an arbitration, grievance, State court or other non-Federal forum that
adjudicates the personnel decisions the employer has taken against the
employee.
(d) * * *
(1) As the collector, you must note the actions that may constitute
a refusal in the ``Remarks'' line (Step 2), and sign and date the CCF.
The collector does not make the final decision about whether the
employee's conduct constitutes a refusal to test; the employer has the
sole responsibility to decide whether a refusal occurred, as stated in
Sec. 40.355(i), the employer has a non-delegable duty to make the
decision about whether the employee has refused to test.
* * * * *
0
78. Revise Sec. 40.193 to read as follows:
Sec. 40.193 What happens when an employee does not provide a
sufficient amount of specimen for a drug test?
(a) If an employee does not provide a sufficient amount of specimen
to permit a drug test (i.e., 45 mL of urine in a single void, or 2mL
oral fluid in a single sampling, as applicable) you, as the collector,
must provide another opportunity to the employee to do so. In
accordance with the employer's instructions, this can be done using the
same specimen type as the original collection or this can be done by a
collector qualified to use an alternate specimen collection for this
purpose.
(1) If you change to an alternate specimen collection at this point
(i.e., from urine to oral fluid; or from oral fluid to urine), the next
collection begins under Sec. 40.61(e) for urine or Sec. 40.72 for
oral fluid collection.
(i) If you proceed with an alternate specimen collection, discard
the insufficient specimen and proceed with the next specimen
collection.
(ii) If you proceed with an alternate specimen collection, discard
the CCF for the insufficient specimen and begin a new CCF for the next
specimen collection with a notation in the remarks section of the new
CCF.
(b)(1) As the collector, you must do the following when continuing
with a urine specimen collection under this section:
(i) Discard the insufficient specimen, except where the
insufficient specimen was out of temperature range or showed evidence
of adulteration or tampering (see Sec. 40.65(b) and (c)).
(ii) Urge the employee to drink up to 40 ounces of fluid,
distributed reasonably through a period of up to three hours, or until
the individual has provided a sufficient urine specimen, whichever
occurs first. It is not a refusal to test if the employee declines to
drink. Document on the Remarks line of the CCF (Step 2), and inform the
employee of the time at which the three-hour period begins and ends.
(iii) If the employee refuses to make the attempt to provide a new
urine specimen or leaves the collection site before the collection
process is complete, you must discontinue the collection, note that
fact on the ``Remarks'' line of the CCF (Step 2), and immediately
notify the DER of the conduct as provided in Sec. 40.191(e)(1); the
employer decides whether the situation is deemed to be a refusal.
(iv) If the employee has not provided a sufficient specimen within
three hours of the first unsuccessful attempt to provide the specimen,
you must discontinue the collection, note the fact on the ``Remarks''
line of the CCF (Step 2), and immediately notify the DER. You must also
discard any specimen the employee previously provided, including any
specimen that is ``out of temperature range'' or shows signs of
tampering. In the remarks section of the CCF that you will distribute
to the MRO and DER, note the fact that the employee provided an ``out
of temperature range specimen'' or ``specimen that shows signs of
tampering'' and that it was discarded
[[Page 27648]]
because the employee did not provide a second sufficient specimen.
(2) As the collector, you must do the following when continuing
with an oral fluid specimen collection under this section:
(i) If the employee demonstrates an inability to provide a specimen
after 15 minutes of using the collection device, and if the donor
states that he or she could provide a specimen after drinking some
fluids, urge the employee to drink (up to 8 ounces) and wait an
additional 10 minutes before beginning the next specimen collection (a
period of up to one hour must be provided, or until the donor has
provided a sufficient oral fluid specimen, whichever occurs first). If
the employee simply needs more time before attempting to provide an
oral fluid specimen, the employee is not required to drink any fluids
during the one-hour wait time. It is not a refusal to test if the
employee declines to drink. The employee must remain at the collection
site, in a monitored area designated by the collector, during the wait
period.
(ii) If the employee has not provided a sufficient specimen within
one hour of the first unsuccessful attempt to provide the specimen, you
must discontinue the collection, note the fact on the ``Remarks'' line
of the CCF (Step 2), and immediately notify the DER.
(3) Send Copy 2 of the CCF to the MRO and Copy 4 to the DER. You
must send or fax these copies to the MRO and DER within 24 hours or the
next business day.
(c) As the DER, if the collector informs you that the employee has
not provided a sufficient amount of specimen (see paragraph (b) of this
section), you must, after consulting with the MRO, direct the employee
to obtain, within five days, an evaluation from a licensed physician,
acceptable to the MRO, who has expertise in the medical issues raised
by the employee's failure to provide a urine (see paragraph (b)(1) of
this section) or oral fluid (see paragraph (b)(2) of this section)
sufficient specimen, but not both. The evaluation and MRO determination
required by this section only applies to the oral fluid or the urine
insufficient specimen that was the final methodology at the collection
site. (The MRO may perform this evaluation if the MRO has appropriate
expertise.)
(1) As the MRO, if another physician will perform the evaluation,
you must provide the other physician with the following information and
instructions:
(i) That the employee was required to take a DOT drug test, but was
unable to provide a sufficient amount of specimen to complete the test;
(ii) The consequences of the appropriate DOT agency regulation for
refusing to take the required drug test;
(iii) That the referral physician must agree to follow the
requirements of paragraphs (d) through (g) of this section.
(2) [Reserved]
(d) As the referral physician conducting this evaluation, you must
recommend that the MRO make one of the following determinations:
(1) A medical condition has, or with a high degree of probability
could have, precluded the employee from providing a sufficient amount
of specimen. As the MRO, if you accept this recommendation, you must:
(i) Check ``Test Cancelled'' (Step 6) on the CCF; and
(ii) Sign and date the CCF.
(2) There is not an adequate basis for determining that a medical
condition has, or with a high degree of probability could have,
precluded the employee from providing a sufficient amount of specimen.
As the MRO, if you accept this recommendation, you must:
(i) Check the ``Refusal to Test'' box and ``Other'' box in Step 6
on Copy 2 of the CCF and note the reason next to the ``Other'' box and
on the ``Remarks'' lines, as needed.
(ii) Sign and date the CCF.
(e) For purposes of this paragraph, a medical condition includes an
ascertainable physiological condition (e.g., a urinary system
dysfunction in the case of a urine test or autoimmune disorder in the
case of an oral fluid test), or a medically documented pre-existing
psychological disorder, but does not include unsupported assertions of
``situational anxiety'' or dehydration.
(f) As the referral physician making the evaluation, after
completing your evaluation, you must provide a written statement of
your recommendations and the basis for them to the MRO. You must not
include in this statement detailed information on the employee's
medical condition beyond what is necessary to explain your conclusion.
(g) If, as the referral physician making this evaluation in the
case of a pre-employment, return-to-duty, or follow-up test, you
determine that the employee's medical condition is a serious and
permanent or long-term disability that is highly likely to prevent the
employee from providing a sufficient amount of specimen for a very long
or indefinite period of time, you must set forth your determination and
the reasons for it in your written statement to the MRO. As the MRO,
upon receiving such a report, you must follow the requirements of Sec.
40.195, where applicable.
(h) As the MRO, you must seriously consider and assess the referral
physician's recommendations in making your determination about whether
the employee has a medical condition that has, or with a high degree of
probability could have, precluded the employee from providing a
sufficient amount of specimen. You must report your determination to
the DER in writing as soon as you make it.
(i) As the employer, when you receive a report from the MRO
indicating that a test is cancelled as provided in paragraph (d)(1) of
this section, you take no further action with respect to the employee.
If the test reason was `random', the employee remains in the random
testing pool.
0
79. Amend Sec. 40.195 by revising the section heading to read as
follows:
Sec. 40.195 What happens when an individual is unable to provide a
sufficient amount of specimen for a pre-employment, follow-up, or
return-to-duty test because of a permanent or long-term medical
condition?
* * * * *
0
80. Amend Sec. 40.197 by revising the section heading to read as
follows:
Sec. 40.197 What happens when an employer receives a report of a
dilute urine specimen?
* * * * *
0
81. Amend Sec. 40.199 by revising paragraph (b)(7) and adding
paragraphs (b)(8) and (9) to read as follows:
Sec. 40.199 What problems always cause a drug test to be cancelled?
* * * * *
(b) * * *
(7) Because of leakage or other causes, there is an insufficient
amount of specimen in the primary specimen bottle for analysis and the
specimens cannot be re-designated (see Sec. 40.83(h)).
(8) For an oral fluid collection, the collector used an expired
device at the time of collection.
(9) For an oral fluid collection, the collector failed to enter the
expiration date in Step 4 of the CCF and the laboratory confirmed that
the device was expired.
* * * * *
Sec. 40.201 [Amended]
0
82. Amend Sec. 40.201 in the first sentence of paragraph (f) by
removing the word ``urine'' and adding in its place the word
``specimen''.
0
83. Amend Sec. 40.207 by adding paragraph (d) to read as follows:
Sec. 40.207 What is the effect of a cancelled drug test?
* * * * *
[[Page 27649]]
(d) If a test is cancelled for a correctible flaw (i.e., Sec.
40.203 or Sec. 40.205), only the MRO who cancelled the test can
reverse the cancellation and must do so within 60 days of the
cancellation. After 60 days, the MRO who cancelled the test cannot
reverse the cancellation without the permission of ODAPC. For example,
if an MRO cancels a test because the MRO did not receive a copy of the
CCF, but later receives a copy of the CCF, the MRO may reverse the
decision to cancel the test within 60 days. After 60 days, the MRO must
contact ODAPC for permission to reverse the cancellation. An MRO must
not reverse the cancellation of a test that the laboratory has reported
as rejected for testing, as described in Sec. 40.83(g). A laboratory
is not authorized to reverse a cancellation due to a fatal flaw, as
described in Sec. 40.199.
0
84. Revise Sec. 40.208 to read as follows:
Sec. 40.208 What problems require corrective action but do not result
in the cancellation of a test?
(a) If, as a laboratory, collector, employer, or other person
implementing the DOT drug testing program, you become aware that any of
the following omissions listed in paragraphs (a)(1) through (3) of this
section occurred, you must take corrective action, including securing a
memorandum for the record explaining the problem and taking appropriate
action to ensure the problem does not recur:
(1) For a urine collection, the specimen temperature on the CCF was
not checked and the ``Remarks'' line did not contain an entry regarding
the temperature being out of range; or
(2) For an oral fluid collection, the collector failed to check the
box in Step 2 of the CCF that indicates ``Each Device was Within
Expiration Date'' but the collector entered the ``Split Specimen Device
Expiration Date'' in Step 4 of the CCF.
(3) For an oral fluid collection, the collector erred by entering
the expiration date as the ``Primary/Single Specimen Device Expiration
Date'' instead of entering the date as the ``Split Specimen Device
Expiration Date'' in Step 4 of the CCF.
(b) The errors listed in paragraph (a) of this section do not
result in the cancellation of the test.
(c) As an employer or service agent, the errors listed in paragraph
(a) of this section, even though not sufficient to cancel a drug test
result, may subject you to enforcement action under DOT agency
regulations or subpart R of this part.
0
85. Amend Sec. 40.209 in paragraph (b)(1) by removing ``social
security number'' and adding in its place ``SSN or Employee ID No.'',
in paragraph (b)(3) by removing ``(see Sec. 40.33)'' and adding in its
place ``(see Sec. Sec. 40.33 or 40.35)'', in paragraph (b)(7) by
removing ``Sec. 40.41'' and adding in its place ``Sec. 40.42'', and
by adding paragraph (b)(11).
The addition reads as follows:
Sec. 40.209 What procedural problems do not result in cancellation of
a test and do not require correction?
* * * * *
(b) * * *
(11) The failure to use a new CCF for a second collection after an
insufficient specimen was conducted under a different methodology
(e.g., failing to use a new CCF for an oral fluid test after an
insufficient quantity of urine was produced on a urine test.)
* * * * *
0
86. Revise Sec. 40.210 to read as follows:
Sec. 40.210 What kinds of drug tests are permitted under the
regulations?
Both urine and oral fluid specimens are authorized for collection
and testing under this part. An employer can use one or the other, but
not both at the beginning of the testing event. For example, if an
employee is sent for a test, either a urine or oral fluid specimen can
be collected, but not both simultaneously. However, if there is a
problem in the collection that necessitates a second collection (e.g.,
insufficient quantity of urine, temperature out of range, or
insufficient saliva), then a different specimen type could be chosen by
the employer (i.e., through a standing order or a discussion with the
collector) or its service agent (i.e., if there is no standing order
and the service agent cannot contact the DER) to complete the
collection process for the testing event. Only urine and oral fluid
specimens screened and confirmed at HHS-certified laboratories (see
Sec. 40.81) are allowed for drug testing under this part. Point-of-
collection (POC) urine, POC oral fluid drug testing, hair testing, or
instant tests are not authorized.
Sec. 40.225 [Amended]
0
87. Amend Sec. 40.225 in paragraph (a) by removing ``Appendix G'' and
adding in its place ``appendix I''.
0
88. Amend Sec. 40.261 by revising paragraphs (a)(2) and (3) and (b),
redesignating paragraph (c) as paragraph (c)(1), and adding paragraph
(c)(2)
The revisions and addition read as follows.
Sec. 40.261 What is a refusal to take an alcohol test?
* * * * *
(a) * * *
(2) Fail to remain at the testing site until the testing process is
complete. Provided that an employee who leaves the collection site
before the testing process commences (see Sec. 40.243(a)) for a pre-
employment test is not deemed to have refused to test. The BAT or STT
is not required to inform an employee that the failure to remain at the
collection site is a refusal. If an employee leaves prior to the
completion of the testing process, per Sec. 40.355(i) the employer
must decide whether the employee's actions constitute a refusal;
(3) Fail to provide an adequate amount of saliva or breath for any
alcohol test required by this part or DOT agency regulations; Provided
that an employee who does not provide an adequate amount of breath or
saliva because he or she has left the testing site before the testing
process commences (see Sec. 40.243(a)) for a pre-employment test is
not deemed to have refused to test. The BAT or STT is not required to
inform an employee that the failure to remain at the collection site is
a refusal. If an employee leaves prior to the completion of the testing
process, per Sec. 40.355(i) the employer must decide whether the
employee's actions constitute a refusal;
* * * * *
(b) As an employee, if you refuse to take an alcohol test, you
incur the same consequences specified under DOT agency regulations for
a violation of those DOT agency regulations. The consequences specified
under DOT agency regulations for a refusal cannot be overturned or set
aside by an arbitration, grievance, State court or other non-Federal
forum that adjudicates the personnel decisions the employer has taken
against the employee.
(c) * * *
(2) As the BAT or STT, you must note the actions that may
constitute a refusal in the ``Remarks'' line (Step 3), and sign and
date the ATF. The BAT or STT does not make the final decision about
whether the employee's conduct constitutes a refusal to test; the
employer has the sole responsibility to decide whether a refusal
occurred, as stated in Sec. 40.355(i), the employer has a non-
delegable duty to make the decision about whether the employee has
refused to test.
* * * * *
0
89. Amend Sec. 40.281 by adding paragraph (f) to read as follows:
[[Page 27650]]
Sec. 40.281 Who is qualified to act as a SAP?
* * * * *
(f) Limitation. If you are an otherwise qualified SAP under this
part, you must abide by the geographic limitations applicable to your
credential when performing remote evaluations. You must not conduct an
evaluation that exceeds your geographic limitations.
Sec. 40.283 [Amended]
0
90. Amend Sec. 40.283 in paragraph (c) by removing ``Appendix E'' and
adding in its place ``appendix G''.
Sec. 40.285 [Amended]
0
91. Amend Sec. 40.285 in paragraph (b) by removing the word ``urine''.
0
92. Amend Sec. 40.291 by revising paragraphs (a)(1) and (3) to read as
follows:
Sec. 40.291 What is the role of the SAP in the evaluation, referral,
and treatment process of an employee who has violated DOT Agency drug
and alcohol testing regulations?
(a) * * *
(1) Making a clinical assessment and evaluation to determine what
assistance is needed by the employee to resolve problems associated
with alcohol and/or drug use. At the SAP's discretion, this assessment
or evaluation may be performed face-to-face in-person or remotely. If a
SAP is not prohibited from using technology within the parameters of
the SAP's State-issued license or other credential(s), a remote
evaluation must be must be conducted in accordance with the following
criteria:
(i) The technology must permit real-time audio and visual
interaction between the SAP and the employee; and
(ii) The quality of the technology (e.g., speed of the internet
connection and clarity of the video display) must be sufficient to
allow the SAP to gather all the visual and audible information the SAP
would otherwise gather in an in-person face-to-face interaction, while
providing security to protect the confidentiality of the communications
at the level expected by industry standards for remote substance abuse
evaluations.
* * * * *
(3) Conducting a follow-up evaluation to determine if the employee
has actively participated in the education and/or treatment program and
has demonstrated successful compliance with the initial assessment and
evaluation recommendations. This assessment or evaluation may be
performed face-to-face in-person or remotely. A face-to-face remote
evaluation must meet the criteria in paragraphs (a)(1)(i) and (ii) of
this section.
* * * * *
0
93. Amend Sec. 40.293 by:
0
a. Removing the words ``face-to-face'', and after the words ``clinical
evaluation,'' adding the words ``meeting the requirements of Sec.
40.291(a)(1)'' in paragraph (a);
0
b. Redesignating paragraphs (e) through (g) as paragraphs (f) through
(h); and
0
c. Adding new paragraph (e).
The addition reads as follows:
Sec. 40.293 What is the SAP's function in conducting the initial
evaluation of an employee?
* * * * *
(e) You must assess and clinically evaluate each employee on an
individual basis and use your professional judgment to determine
education and/or treatment, as well as a follow-up testing plan unique
to the needs of the individual employee. For example, do not require
the same and/or substantially similar education, treatment, and/or
follow-up testing plan for most of the employees you assess.
* * * * *
0
94. Amend Sec. 40.297 by adding paragraph (c) to read as follows:
Sec. 40.297 Does anyone have the authority to change an SAP's initial
evaluation?
* * * * *
(c) The SAP, who is otherwise fully qualified under this subpart,
must not perform evaluations outside the geographic jurisdiction for
their credential(s). If the SAP who made the evaluation exceeds their
geographic jurisdiction, the employee will not be required to seek the
evaluation of a second SAP.
Sec. 40.301 [Amended]
0
95. Amend Sec. 40.301 in paragraph (b)(2) by removing the words
``face-to-face'', and after the words ``clinical interview'', adding
the words ``meeting the requirements of Sec. 40.291(a)(1)''.
0
96. Amend Sec. 40.305 by adding paragraph (d) to read as follows:
Sec. 40.305 How does the return-to-duty process conclude?
* * * * *
(d) As the employer, if a SAP who is otherwise fully qualified
under this subpart performed a remote evaluation of the employee
outside the geographic jurisdiction for their credential(s), the
employee who they evaluated will not be required to seek the evaluation
of a second SAP. If you decide that you want to permit the employee to
return to the performance of safety-sensitive functions, you will
proceed with the requirements of paragraph (a) of this section.
0
97. Amend Sec. 40.307 by adding paragraph (g) to read as follows:
Sec. 40.307 What is the SAP's function in prescribing the employee's
follow-up tests?
* * * * *
(g) As the employer, SAP, or other service agent, you must not
provide to the employee a copy of their drug and/or alcohol follow-up
testing schedule prescribed by the SAP. No employer, SAP, or other
service agent will indicate to the employee what the frequency or
duration of the employee's follow-up testing schedule will be. The SAP
can require follow-up testing for either or both drugs and alcohol for
a drug-related or an alcohol-related violation.
Sec. 40.311 [Amended]
0
98. Amend Sec. 40.311 in paragraphs (c)(4), (d)(4), and (e)(4) after
the word ``Date(s)'' by adding the words ``and format (i.e., face-to-
face or remote)'' and in paragraphs (c)(1), (d)(1), and (e)(1) by
removing ``SSN'' and adding in its place ``SSN or employee ID No.''.
0
99. Amend Sec. 40.327 by:
0
a. Removing the reference ``paragraph (c)'' and adding in its place
``paragraph (d)'' in paragraph (a) introductory text;
0
b. Redesignating paragraph (c) as paragraph (d); and
0
c. Adding a new paragraph (c).
The addition reads as follows:
Sec. 40.327 When must the MRO report medical information gathered in
the verification process?
* * * * *
(c) The MRO must not report such medical information using the CCF.
Instead, the MRO must provide the information in a separate written
communication (e.g., letter, secure email). The information must state
the specific nature of the MRO's safety concern (e.g., the effects of a
medication the employee is taking, the employee's underlying medical
condition that the employee disclosed to the MRO).
* * * * *
Sec. 40.345 [Amended]
0
100. Amend Sec. 40.345 in paragraph (b) by removing ``Appendix F'' and
adding in its place ``appendix H''.
Sec. 40.355 [Amended]
0
101. Amend Sec. 40.355 in Example 3 to paragraph (n) by removing the
word ``urine''.
Sec. 40.365 [Amended]
0
102. Amend Sec. 40.365 in paragraph (b)(8) by removing the words
``face-to-
[[Page 27651]]
face interviews'' and adding in their place the words ``without
interviews meeting the requirements of Sec. 40.291(a)(1)''.
Appendices E Through H to Part 40 [Redesignated as Appendices G Through
J to Part 40]
0
103. Redesignate appendices E through H to part 40 as appendices G
through J to part 40.
Appendix C to Part 40 [Redesignated as Appendix E to Part 40]
0
104. Redesignate appendix C to part 40 as appendix E to part 40.
Appendix C to Part 40 [Reserved]
0
105. Add reserved appendix C to part 40.
Appendix D to Part 40 [Redesignated as Appendix F to Part 40]
0
106. Redesignate appendix D to part 40 as appendix F to part 40.
Appendix B to Part 40 [Redesignated as Appendix D to Part 40]
0
107. Redesignate appendix B to part 40 as appendix D to part 40.
0
108. Add new appendix B to part 40 to read as follows:
Appendix B to Part 40--Oral Fluid Collection Kit Contents
1. Oral Fluid Collection Device
a. A single device, which can be subdivided in the employee's
presence into an ``A'' specimen and a ``B'' split specimen bottle
sufficient for laboratory testing, that is either of the following:
(1) An oral fluid collection device made to collect a sufficient
amount of oral fluid to permit an HHS-certified laboratory to
analyze the specimen(s). For example, a device that directs the oral
fluid into two separate collection bottles.
(2) A device that uses buffering solution that collects a
specimen using a single pad or dual pads joined for insertion
together into the same region of the mouth, which can be subdivided
into two separate collection bottles. Such a buffered device may use
a diluent (or other component, process, or method that modifies the
volume of the testable specimen). The volume specifications for the
device must be consistent with those set by HHS.
b. Must have unit markings or other indicators that demonstrate
the adequacy of the volume of oral fluid specimen collected.
c. Must be sufficiently transparent to permit a visual
assessment of the contents without opening the specimen bottle.
d. Must be individually packaged in an easily visible tamper-
evident system.
e. Must have the device's expiration date on the specimen
bottles sent to the laboratory (i.e., the shortest expiration date
of any component).
f. Must not have components that substantially affect the
composition of drugs and/or drug metabolites in the oral fluid
specimen and/or interfere with an accurate analysis of the specimen.
g. Must maintain the integrity of the specimen during storage
and transport so the specimen can be tested in an HHS-certified
laboratory.
h. Must be designed so that the required tamper-evident bottle
seals made available on the CCF fit without concealing the
expiration date on the bottles, without damage to the seal when the
collector dates and the employee initials it.
i. Must be approved by HHS for use by the specific HHS-certified
laboratory that will test the specimen gathered by this device.
2. Instructions
Must include the manufacturer's instructions within the device's
packaging. The instructions must provide sufficient detail to allow
for an error-free collection when the instructions are followed.
3. Leak-Resistant Plastic Bag
a. Must have two sealable compartments or pouches that are leak-
resistant; one large enough to hold two specimen bottles and the
other large enough to hold the CCF paperwork, as applicable.
b. The sealing methodology must be such that once the
compartments are sealed, any tampering or attempts to open either
compartment will be evident.
4. Absorbent Material
Each kit must contain enough absorbent material to absorb the
entire contents of both specimen bottles. Absorbent material must be
designed to fit inside the leak-resistant plastic bag pouch into
which the specimen bottles are placed.
5. Shipping Container
a. Must be designed to adequately protect the specimen bottles
from damage during shipment of the specimens from the collection
site to the laboratory (e.g., standard courier box, small cardboard
box, plastic container).
b. May be made available separately at collection sites rather
than being part of an actual collection device sent to collection
sites.
c. A shipping container is not necessary if a laboratory courier
hand-delivers the specimen bottles in the leak-resistant plastic
bags from the collection site to the laboratory.
0
109. Revise the newly redesignated appendix D to read as follows:
Appendix D to Part 40--DOT Drug Testing Semi-Annual Laboratory Report
to Employers
The following items are required on each laboratory report:
Reporting Period: (inclusive dates)
Laboratory Identification: (name and address)
Employer Identification: (name; may include Billing Code or ID code)
C/TPA Identification: (where applicable; name and address)
A. Urine Specimens
1. Urine Specimen Results Reported (Total Number) By Test Reason
(a) Pre-employment (number)
(b) Post-Accident (number)
(c) Random (number)
(d) Reasonable Suspicion/Cause (number)
(e) Return-to-Duty (number)
(f) Follow-up (number)
(g) Type of Test Not Noted on CCF (number)
2. Urine Specimens Reported
(a) Negative (number)
(b) Negative and Dilute (number)
3. Urine Specimens Reported as Rejected for Testing (Total Number)
by Reason
(a) Fatal flaw (number)
(b) Uncorrected Flaw (number)
4. Urine Specimens Reported as Positive (Total Number) by Drug
(a) Marijuana Metabolite (number)
(b) Cocaine Metabolite (number)
(c) Opioids (number)
(1) Codeine (number)
(2) Morphine (number)
(3) 6-AM (number)
(4) Hydrocodone (number)
(5) Hydromorphone (number)
(6) Oxycodone (number)
(7) Oxymorphone (number)
(d) Phencyclidine (number)
(e) Amphetamines (number)
(1) Amphetamine (number)
(2) Methamphetamine (number)
(3) MDMA (number)
(4) MDA (number)
5. Urine Adulterated (Number)
6. Urine Substituted (Number)
7. Urine Invalid Result (Number)
B. Oral Fluid Specimens
1. Oral Fluid Specimen Results Reported (Total Number) by Test
Reason
(a) Pre-employment (number)
(b) Post-Accident (number)
(c) Random (number)
(d) Reasonable Suspicion/Cause (number)
(e) Return-to-Duty (number)
(f) Follow-up (number)
(g) Type of Test Not Noted on CCF (number)
2. Oral Fluid Specimens Reported
(a) Negative (number)
(b) Negative and Dilute (number)
3. Oral Fluid Specimens Reported as Rejected for Testing (Total
Number) by Reason
(a) Fatal flaw (number)
(b) Uncorrected Flaw (number)
4. Oral Fluid Specimens Reported as Positive (Total Number) by Drug
(a) Marijuana (number)
(b) Cocaine and/or Cocaine Metabolite (number)
(c) Opioids (number)
(1) Codeine (number)
(2) Morphine (number)
(3) 6-AM (number)
(4) Hydrocodone (number)
(5) Hydromorphone (number)
(6) Oxycodone (number)
[[Page 27652]]
(7) Oxymorphone (number)
(d) Phencyclidine (number)
(e) Amphetamines (number)
(1) Amphetamine (number)
(2) Methamphetamine (number)
(3) MDMA (number)
(4) MDA (number)
5. Oral Fluid Adulterated (Number)
6. Oral Fluid Substituted (Number)
7. Oral Fluid Invalid Result (Number)
0
110. Revise newly redesignated appendix E to part 40 to read as
follows:
Appendix E to Part 40--Drug Testing Semi-Annual Laboratory Report to
DOT
Mail, fax or email to: U.S. Department of Transportation, Office
of Drug and Alcohol Policy and Compliance, 1200 New Jersey Avenue
SE, Washington, DC 20590.
Fax: (202) 366-3897.
Email: [email protected]
The following items are required on each report:
Reporting Period: (inclusive dates)
Laboratory Identification: (name and address)
1. Specimen Type:
--oral fluid or urine
2. DOT agency
--FMCSA, FAA, FRA, FTA, PHMSA, or USCG
3. Test Reason
--Pre-Employment, Random, Reasonable Suspicion/Cause, Post-
Accident, Return-to-Duty, Other, and Follow-up
A. DOT Specimen Results Reported (total number)
B. Negative Results Reported (total number)
1. Negative (number)
2. Negative-Dilute (number)
C. Rejected for Testing Results Reported (total number) By Reason
1. Fatal flaw (number)
2. Uncorrected Flaw (number)
D. Positive Results Reported (total number) By Drug
1. Marijuana or Marijuana Metabolite (number)
2. Cocaine and/or Cocaine Metabolite (number)
3. Opioids (number)
a. Codeine (number)
b. Morphine (number)
c. 6-AM (number)
d. Hydrocodone (number)
e. Hydromorphone (number)
f. Oxycodone (number)
g. Oxymorphone (number)
4. Phencyclidine (number)
5. Amphetamines (number)
a. Amphetamine (number)
b. Methamphetamine (number)
c. MDMA (number)
d. MDA (number)
E. Adulterated Results Reported (total number) By Reason (number)
F. Substituted Results Reported (total number)
G. Invalid Results Reported (total number) By Reason (number)
0
111. Revise newly redesignated appendix F to part 40 to read as
follows:
Appendix F to Part 40--Report Format: Split Specimen Failure To
Reconfirm
Mail, fax, or submit electronically to: U.S. Department of
Transportation, Office of Drug and Alcohol Policy and Compliance,
1200 New Jersey Avenue SE, Washington, DC 20590.
Fax: (202) 366-3897.
Submit Electronically: https://www.transportation.gov/odapc/mro-split-specimen-cancellation-notification.
The following items are required on each report:
1. MRO name, address, phone number, and fax number.
2. Collection site name, address, and phone number.
3. Date of collection.
4. Specimen I.D. number.
5. Specimen type.
6. Laboratory accession number.
7. Primary specimen laboratory name, address, and phone number.
8. Date result reported or certified by primary laboratory.
9. Split specimen laboratory name, address, and phone number.
10. Date split specimen result reported or certified by split
specimen laboratory.
11. Primary specimen results (e.g., name of drug, adulterant) in
the primary specimen.
12. Reason for split specimen failure-to-reconfirm result (e.g.,
drug or adulterant not present, specimen invalid, split not
collected, insufficient volume).
13. Actions taken by the MRO (e.g., notified employer of failure
to reconfirm and requirement for re-collection).
14. Additional information explaining the reason for
cancellation.
15. Name of individual submitting the report (if not the MRO).
Appendix H to Part 40 [Amended]
0
112. Amend newly redesignated appendix H under ``Drug Testing
Information'' by removing the reference ``Sec. 40.129(d)'' and adding
in its place the reference ``Sec. 40.129(e)''.
PART 219--CONTROL OF ALCOHOL AND DRUG USE
0
113. The authority citation for part 219 continues to read as follows:
Authority: 49 U.S.C. 20103, 20107, 20140, 21301, 21304, 21311;
28 U.S.C. 2461 note; Div. A, Sec. 412, Public Law 110-432, 122 Stat.
4889 (49 U.S.C. 20140 note); Sec. 8102, Public Law 115-271, 132
Stat. 3894; and 49 CFR 1.89.
Sec. 219.4 [Amended]
0
114. Amend Sec. 219.4 in paragraphs (a) introductory text and (b)(1)
and (2) by removing the term ``return-to-service'' and adding in its
place the term ``return-to-duty'' and in paragraph (b)(2) by removing
``paragraph (d) of this section'' and adding ``Sec. 219.104(d)''.
Sec. 219.11 [Amended]
0
115. Amend Sec. 219.11 in paragraph (a)(2) by removing the word
``urine'' and adding in its place ``body fluid'' and in paragraph (h)
by removing the words ``urine or blood'' and adding in their place the
words ``body fluid'' and by adding ``or oral fluid from a sampling''
after the word ``void''.
Sec. 219.617 [Amended]
0
116. Amend Sec. 219.617 in paragraph (b)(2) by removing the word
``urine'' and adding in its place ``body fluid''.
Sec. 219.619 [Amended]
0
117. Amend Sec. 219.619 by removing the word ``urine'' and adding in
its place ``body fluid'' in two places.
Sec. 219.621 [Amended]
0
118. Amend Sec. 219.621 in paragraph (a) by removing the word
``urine'' and adding in its place ``body fluid''.
Sec. 219.903 [Amended]
0
119. Amend Sec. 219.903 in paragraph (a) by removing the word
``urine'' and adding in its place ``body fluid''.
PART 240--QUALIFICATION AND CERTIFICATION OF LOCOMOTIVE ENGINEERS
0
120. The authority citation for part 240 continues to read as follows:
Authority: 49 U.S.C. 20103, 20107, 20135, 21301, 21304, 21311;
28 U.S.C. 2461 note; and 49 CFR 1.89.
Sec. 240.119 [Amended]
0
121. Amend Sec. 240.119 in paragraphs (e)(4)(iv)(A) and (f)(1)(iii) by
removing the word ``urine'' and adding in its place ``body fluid''.
PART 242--QUALIFICATION AND CERTIFICATION OF CONDUCTORS
0
122. The authority citation for part 242 continues to read as follows:
Authority: 49 U.S.C. 20103, 20107, 20135, 20138, 20162, 20163,
21301, 21304, 21311; 28 U.S.C. 2461 note; and 49 CFR 1.89.
Sec. 242.115 [Amended]
0
123. Amend Sec. 242.115 in paragraphs (e)(4)(iv)(A) and (f)(1)(iii) by
removing the word ``urine'' and adding in its place ``body fluid''.
PART 382--CONTROLLED SUBSTANCES AND ACOHOL USE AND TESTING
0
124. The authority citation for part 382 continues to read as follows:
Authority: 49 U.S.C. 31133, 31136, 31301 et seq., 31502; sec.
32934 of Public Law 112-141, 126 Stat. 405, 830; and 49 CFR 1.87.
[[Page 27653]]
Sec. 382.107 [Amended]
0
128. Amend Sec. 382.107:
0
a. In the definitions of ``Confirmation (or confirmatory) drug test''
and ``Confirmation (or confirmatory) validity'' by adding ``or oral
fluid'' after the word ``urine'';
0
b. In the definition of ``Controlled substances'' by removing ``Sec.
40.85'' and adding in its place ``Sec. 40.82'';
0
c. In paragraphs (3) and (5) to the definition of ``Refuse to submit
(to an alcohol or controlled substances test'' by adding ``or oral
fluid'' after the word ``urine'' each place it appears; and
0
d. In paragraph (1) to the definition of ``Screening test (or initial
test)'' by adding ``or oral fluid'' after the word ``urine''.
Sec. 382.401 [Amended]
0
129. Amend Sec. 382.401 in paragraph (b)(3) by adding the words ``and
MRO reversal of canceled controlled substances test results'' after the
words ``canceled controlled substances test results'' and in paragraph
(c)(1)(vii) by adding ``or oral fluid'' after the word ``urine''.
Sec. 382.403 [Amended]
0
130. Amend Sec. 382.403 in the third sentence of paragraph (b) by
removing ``appendix H'' and adding in its place ``appendix J''.
Sec. 382.409 [Amended]
0
131. Amend Sec. 382.409 in paragraph (b) by adding the words ``and MRO
reversal of cancelled controlled substances test results'' after the
words ``test results''.
Sec. 382.705 [Amended]
0
132. Amend Sec. 382.705 in paragraph (a)(2)(vii)(D) by adding ``or
oral fluid'' after the word ``urine''.
PART 655--PREVENTION OF ALCOHOL MISUSE AND PROHIBITED DRUG USE IN
TRANSIT OPERATIONS
0
133. The authority citation for part 655 continues to read as follows:
Authority: 49 U.S.C. 5331; 49 CFR 1.91.
Sec. 655.5 [Amended]
0
134. Amend Sec. 655.5 in paragraph (c) by removing ``400 Seventh
Street SW'' and adding in its place ``1200 New Jersey Ave. SE''.
Sec. 655.15 [Amended]
0
135. Amend Sec. 655.15 in paragraph (e) by removing the word
``illegal'' and adding in its place the word ``prohibited''.
Sec. 655.44 [Amended]
0
136. Amend Sec. 655.44 in paragraph (a)(1)(i) by removing
``389.303(a)(1) or (b)(1)'' and adding in its place ``Sec. 382.303''.
Sec. 655.47 [Amended]
0
137. Amend Sec. 655.47 by adding the word ``covered'' before the word
``employee''.
Sec. 655.53 [Amended]
0
138. Amend Sec. 655.53 by removing the words ``collection person'' and
by adding ``or oral fluid collector'' after the word ``urine''.
Sec. 655.61 [Amended]
0
139. Amend Sec. 655.61 in paragraph (a)(3) by removing the words ``an
employee'' and adding in their place the words ``a covered employee''.
Sec. 655.71 [Amended]
0
140. Amend Sec. 655.71 in paragraph (c)(1)(v) by adding the words ``or
oral fluid'' after the word ``urine'' and removing the word ``breathe''
and adding in its place ``breath''.
Signed in Washington, DC, on or around April 7, 2023.
Peter Paul Montgomery Buttigieg,
Secretary of Transportation.
Signed in Washington, DC, on or around April 7, 2023.
Billy Nolen,
Acting Administrator, Federal Aviation Administration.
[FR Doc. 2023-08041 Filed 5-1-23; 8:45 am]
BILLING CODE 4910-9X-P