Current through Register Vol. 42, No. 11, August 30, 2024
(1)
Purpose. This rule has been established to provide the
requirements for the physical protection program for any licensee that
possesses an aggregated Category 1 or Category 2 quantity of radioactive
material listed in Appendix A to this rule. These requirements provide
reasonable assurance of the security of Category 1 or Category 2 quantities of
radioactive material by protecting these materials from theft or diversion.
Specific requirements for access to material, use of material, transfer of
material, and transport of material are included. No provision of this rule
authorizes possession of licensed material.
(2)
Scope.
(a) This rule applies to any person who,
under the provisions of
420-3-26-.15(7)
through 420-3-26-.15(22),
possesses or uses at any site, an aggregated Category 1 or Category 2 quantity
of radioactive material.
(b) This
rule applies to any person who, under the provisions of
420-3-26-.15(23)
through
420-3-26-.15(28):
1. Transports or delivers to a carrier for
transport in a single shipment, a Category 1 or Category 2 quantity of
radioactive material; or
2. Imports
or exports a Category 1 or Category 2 quantity of radioactive material; the
provisions only apply to the domestic portion of the
transport.
(3)
Definitions. As used in this rule:
(a) "Access control" means a system for
allowing only approved individuals to have unescorted access to the security
zone and for ensuring that all other individuals are subject to escorted
access.
(b) "Aggregated" means
accessible by the breach of a single physical barrier that would allow access
to radioactive material in any form, including any devices that contain the
radioactive material, when the total activity equals or exceeds a Category 2
quantity of radioactive material.
(c) "Approved individual" means an individual
whom the licensee has determined to be trustworthy and reliable for unescorted
access in accordance with
420-3-26-.15(7)
through 420-3-26-.15(13)
and who has completed the training required
by 420-3-26-.15(15)(c).
(d) "Background investigation" means the
investigation conducted by a licensee or applicant to support the determination
of trustworthiness and reliability.
(e) "Carrier" means a person engaged in the
transportation of passengers or property by land or water as a common,
contract, or private carrier, or by civil aircraft.
(f) "Category 1 quantity of radioactive
material" means a quantity of radioactive material meeting or exceeding the
Category 1 threshold in Table 1 of Appendix A to this rule. This is determined
by calculating the ratio of the total activity of each radionuclide to the
Category 1 threshold for that radionuclide and adding the ratios together. If
the sum is equal to or exceeds 1, the quantity would be considered a Category 1
quantity. Category 1 quantities of radioactive material do not include the
radioactive material contained in any fuel assembly, subassembly, fuel rod, or
fuel pellet.
(g) "Category 2
quantity of radioactive material" means a quantity of radioactive material
meeting or exceeding the Category 2 threshold but less than the Category 1
threshold in Table 1 of Appendix A to this rule. This is determined by
calculating the ratio of the total activity of each radionuclide to the
Category 2 threshold for that radionuclide and adding the ratios together. If
the sum is equal to or exceeds 1, the quantity would be considered a Category 2
quantity. Category 2 quantities of radioactive material do not include the
radioactive material contained in any fuel assembly, subassembly, fuel rod, or
fuel pellet.
(h) "Diversion" means
the unauthorized movement of radioactive material subject to this rule to a
location different from the material's authorized destination inside or outside
of the site at which the material is used or stored.
(i) "Escorted access" means accompaniment
while in a security zone by an approved individual who maintains continuous
direct visual surveillance at all times over an individual who is not approved
for unescorted access.
(j)
"Fingerprint orders" means the orders issued by the U.S. Nuclear Regulatory
Commission (NRC) or the legally binding requirements issued by Agreement States
that require fingerprints and criminal history records checks for individuals
with unescorted access to Category 1 and Category 2 quantities of radioactive
material or safeguards information-modified handling.
(k) "Local law enforcement agency (LLEA)"
means a public or private organization that has been approved by a federal,
state, or local government to carry firearms and make arrests, and is
authorized and has the capability to provide an armed response in the
jurisdiction where the licensed Category 1 or Category 2 quantity of
radioactive material is used, stored, or transported.
(l) "Mobile device" means a piece of
equipment containing licensed radioactive material that is either mounted on
wheels or casters, or otherwise equipped for moving without a need for
disassembly or dismounting; or designed to be hand carried. Mobile devices do
not include stationary equipment installed in a fixed location.
(m) "Movement control center" means an
operations center that is remote from transport activity and that maintains
position information on the movement of radioactive material, receives reports
of attempted attacks or thefts, provides a means for reporting these and other
problems to appropriate agencies, and can request and coordinate appropriate
aid.
(n) "No-later-than arrival
time" means the date and time that the shipping licensee and receiving licensee
have established as the time at which an investigation will be initiated if the
shipment has not arrived at the receiving facility. The no-later-than arrival
time may not be more than 6 hours after the estimated arrival time for
shipments of Category 2 quantities of radioactive material.
(o) "Person" means any individual,
corporation, partnership, firm, association, trust, estate, public or private
institution, group, agency, political subdivision of this state, any other
state or political subdivision or agency thereof, and any legal successor,
representative, agent, or agency of the foregoing.
(p) "Reviewing official" means the individual
who shall make the trustworthiness and reliability determination of an
individual to determine whether the individual may have, or continue to have,
unescorted access to the Category 1 or Category 2 quantities of radioactive
materials that are possessed by the licensee.
(q) "Sabotage" means deliberate damage, with
malevolent intent, to a Category 1 or Category 2 quantity of radioactive
material, a device that contains a Category 1 or Category 2 quantity of
radioactive material, or the components of the security system.
(r) "Safe haven" means a readily recognizable
and readily accessible site at which security is present or from which, in the
event of an emergency, the transport crew can notify and wait for the local law
enforcement authorities.
(s)
"Security zone" means any temporary or permanent area determined and
established by the licensee for the physical protection of Category 1 or
Category 2 quantities of radioactive material.
(t) "State" means a state of the United
States, the District of Columbia, the Commonwealth of Puerto Rico, the Virgin
Islands, Guam, American Samoa, and the Commonwealth of the Northern Mariana
Islands.
(u) "Telemetric position
monitoring system" means a data transfer system that captures information by
instrumentation and/or measuring devices about the location and status of a
transport vehicle or package between the departure and destination
locations.
(v) "Trustworthiness and
reliability" are characteristics of an individual considered dependable in
judgment, character, and performance, such that unescorted access to Category 1
or Category 2 quantities of radioactive material by that individual does not
constitute an unreasonable risk to the public health and safety or security. A
determination of trustworthiness and reliability for this purpose is based upon
the results from a background investigation.
(w) "Unescorted access" means solitary access
to an aggregated Category 1 or Category 2 quantity of radioactive material or
the devices that contain the material.
(4)
Communications. Except where
otherwise specified or covered, all communications and reports concerning these
rules may be sent as follows:
Office of Radiation Control
Alabama Department of Public Health
P.O. Box 303017
Montgomery, Alabama 36130-3017
(5)
Interpretations. Except as
specifically authorized by the Agency in writing, no interpretation of these
rules by any officer or employee of the Agency other than a written
interpretation by Agency legal counsel will be recognized as binding upon the
Agency.
(6)
Specific
Exemptions.
(a) The Agency may, upon
application of any interested person or upon its own initiative, grant such
exemptions from the requirements of these rules as it determines are authorized
by law and will not endanger life or property or the physical protection of
radioactive material, and are otherwise in the public interest.
(b) A licensee that possesses radioactive
waste that contains Category 1 or Category 2 quantities of radioactive material
is exempt from the requirements of
420-3-26-.15(7)
through 420-3-26-.15(28).
Except that any radioactive waste that contains discrete sources, ion-exchange
resins, or activated material that weighs less than 2,000 kg (4,409 lbs) is not
exempt from the requirements of this rule. The licensee shall implement the
following requirements to secure the radioactive waste:
1. Use continuous physical barriers that
allow access to the radioactive waste only through established access control
points;
2. Use a locked door or
gate with monitored alarm at the access control point;
3. Assess and respond to each actual or
attempted unauthorized access to determine whether an actual or attempted
theft, sabotage, or diversion occurred; and
4. Immediately notify the LLEA and request an
armed response from the LLEA upon determination that there was an actual or
attempted theft, sabotage, or diversion of the radioactive waste that contains
Category 1 or Category 2 quantities of radioactive material.
Background Investigations and Access Authorization
Program
(7)
Personnel Access Authorization
Requirements for Category 1 or Category 2 Quantities of Radioactive
Material.
(a) General.
1. Each licensee that possesses an aggregated
quantity of radioactive material at or above the Category 2 threshold shall
establish, implement, and maintain its access authorization program in
accordance with the requirements of this rule.
2. An applicant for a new license and each
licensee that would become newly subject to the requirements of this rule upon
application for modification of its license shall implement the requirements of
this rule, as appropriate, before taking possession of an aggregated Category 1
or Category 2 quantity of radioactive material.
3. Any licensee that has not previously
implemented the Security Orders or been subject to the provisions of
420-3-26-.15(7)
through 420-3-26-.15(13)
shall implement the provisions of
420-3-26-.15(7)
through 420-3-26-.15(13)
before aggregating radioactive material to a
quantity that equals or exceeds the Category 2 threshold.
(b) General performance objective. The
licensee's access authorization program must ensure that the individuals
specified in
420-3-26-.15(7)(c)1
are trustworthy and reliable.
(c) Applicability.
1. Licensees shall subject the following
individuals to an access authorization program in accordance with
420-3-26-.15(8):
(i) Any individual whose assigned duties
require unescorted access to Category 1 or Category 2 quantities of radioactive
material or to any device that contains the radioactive material; and
(ii) Reviewing officials.
2. Licensees need not subject the categories
of individuals listed in
420-3-26-.15(11)(a)1
through
420-3-26-.15(11)(a)13
to the investigation elements of the access
authorization program.
3. Licensees
shall approve for unescorted access to Category 1 or Category 2 quantities of
radioactive material only those individuals with job duties that require
unescorted access to Category 1 or Category 2 quantities of radioactive
material.
4. Licensees may include
individuals needing access to safeguards information-modified handling under 10
CFR Part 73 in the access authorization program under
420-3-26-.15(7)
through 420-3-26-.15(13).
(8)
Access Authorization Program
Requirements.
(a) Granting unescorted
access authorization.
1. Licensees shall
implement the requirements of this rule for granting initial or reinstated
unescorted access authorization.
2.
Individuals who have been determined to be trustworthy and reliable shall also
complete the security training required by
420-3-26-.15(15)(c)
before being allowed unescorted access to
Category 1 or Category 2 quantities of radioactive
material.
(b) Reviewing
officials.
1. Reviewing officials are the
only individuals who may make trustworthiness and reliability determinations
that allow individuals to have unescorted access to Category 1 or Category 2
quantities of radioactive materials possessed by the licensee.
2. Each licensee shall name one or more
individuals to be reviewing officials. After completing the background
investigation on the reviewing official, the licensee shall provide under oath
or affirmation, a certification that the reviewing official is deemed
trustworthy and reliable by the licensee. Provide oath and affirmation
certifications to the Agency. The fingerprints of the named reviewing official
must be taken by a law enforcement agency, federal or state agencies that
provide fingerprinting services to the public, or commercial fingerprinting
services authorized by a state to take fingerprints. The licensee shall
re-certify that the reviewing official is deemed trustworthy and reliable every
10 years in accordance with
420-3-26-.15(9)(c).
3. Reviewing officials must be permitted to
have unescorted access to Category 1 or Category 2 quantities of radioactive
materials or access to safeguards information or safeguards
information-modified handling, if the licensee possesses safeguards information
or safeguards information-modified handling.
4. Reviewing officials cannot approve other
individuals to act as reviewing officials.
5. A reviewing official does not need to
undergo a new background investigation before being named by the licensee as
the reviewing official if:
(i) The individual
has undergone a background investigation that included fingerprinting and an
FBI criminal history records check and has been determined to be trustworthy
and reliable by the licensee; or
(ii) The individual is subject to a Category
listed in
420-3-26-.15(11)(a).
(c) Informed consent.
1. Licensees may not initiate a background
investigation without the informed and signed consent of the subject
individual. This consent must include authorization to share personal
information with other individuals or organizations as necessary to complete
the background investigation. Before a final adverse determination, the
licensee shall provide the individual with an opportunity to correct any
inaccurate or incomplete information that is developed during the background
investigation. Licensees do not need to obtain signed consent from those
individuals that meet the requirements of
420-3-26-.15(9)(b).
A signed consent must be obtained prior to any reinvestigation.
2. The subject individual may withdraw his or
her consent at any time. Licensees shall inform the individual that:
(i) If an individual withdraws his or her
consent, the licensee may not initiate any elements of the background
investigation that were not in progress at the time the individual withdrew his
or her consent; and
(ii) The
withdrawal of consent for the background investigation is sufficient cause for
denial or termination of unescorted access authorization.
(d) Personal history disclosure.
Any individual who is applying for unescorted access authorization shall
disclose the personal history information that is required by the licensee's
access authorization program for the reviewing official to make a determination
of the individual's trustworthiness and reliability. Refusal to provide, or the
falsification of, any personal history information required by this rule is
sufficient cause for denial or termination of unescorted access.
(e) Determination basis.
1. The reviewing official shall determine
whether to permit, deny, unfavorably terminate, maintain, or administratively
withdraw an individual's unescorted access authorization based on an evaluation
of all of the information collected to meet the requirements of this
rule.
2. The reviewing official may
not permit any individual to have unescorted access until the reviewing
official has evaluated all of the information collected to meet the
requirements of this rule and determined that the individual is trustworthy and
reliable. The reviewing official may deny unescorted access to any individual
based on information obtained at any time during the background
investigation.
3. The licensee
shall document the basis for concluding whether or not there is reasonable
assurance that an individual is trustworthy and reliable.
4. The reviewing official may terminate or
administratively withdraw an individual's unescorted access authorization based
on information obtained after the background investigation has been completed
and the individual granted unescorted access authorization.
5. Licensees shall maintain a list of persons
currently approved for unescorted access authorization. When a licensee
determines that a person no longer requires unescorted access or meets the
access authorization requirement, the licensee shall remove the person from the
approved list as soon as possible, but no later than 7 working days, and take
prompt measures to ensure that the individual is unable to have unescorted
access to the material.
(f) Procedures. Licensees shall develop,
implement, and maintain written procedures for implementing the access
authorization program. The procedures must include provisions for the
notification of individuals who are denied unescorted access. The procedures
must include provisions for the review, at the request of the affected
individual, of a denial or termination of unescorted access authorization. The
procedures must contain a provision to ensure that the individual is informed
of the grounds for the denial or termination of unescorted access authorization
and allow the individual an opportunity to provide additional relevant
information.
(g) Right to correct
and complete information.
1. Prior to any
final adverse determination, licensees shall provide each individual subject to
this rule with the right to complete, correct, and explain information obtained
as a result of the licensee's background investigation. Confirmation of receipt
by the individual of this notification must be maintained by the licensee for a
period of 1 year from the date of the notification.
2. If, after reviewing his or her criminal
history record, an individual believes that it is incorrect or incomplete in
any respect and wishes to change, correct, update, or explain anything in the
record, the individual may initiate challenge procedures. These procedures
include direct application by the individual challenging the record to the law
enforcement agency that contributed the questioned information or a direct
challenge as to the accuracy or completeness of any entry on the criminal
history record to the Federal Bureau of Investigation, Criminal Justice
Information Services (CJIS) Division, ATTN: SCU, Mod. D-2, 1000 Custer Hollow
Road, Clarksburg, WV 26306 as set forth in 28 CFR Part 16.30 through
16.34.
In the latter case, the Federal Bureau of Investigation (FBI) will forward the
challenge to the agency that submitted the data, and will request that the
agency verify or correct the challenged entry. Upon receipt of an official
communication directly from the agency that contributed the original
information, the FBI Identification Division makes any changes necessary in
accordance with the information supplied by that agency. Licensees must provide
at least 10 days for an individual to initiate action to challenge the results
of an FBI criminal history records check after the record being made available
for his or her review. The licensee may make a final adverse determination
based upon the criminal history records only after receipt of the FBI's
confirmation or correction of the record.
(h) Records.
1. The licensee shall retain documentation
regarding the trustworthiness and reliability of individual employees for 3
years from the date the individual no longer requires unescorted access to
Category 1 or Category 2 quantities of radioactive material.
2. The licensee shall retain a copy of the
current access authorization program procedures as a record for 3 years after
the procedure is no longer needed. If any portion of the procedure is
superseded, the licensee shall retain the superseded material for 3 years after
the record is superseded.
3. The
licensee shall retain the list of persons approved for unescorted access
authorization for 3 years after the list is superseded or replaced.
(9)
Background
Investigations.
(a) Initial
investigation. Before allowing an individual unescorted access to Category 1 or
Category 2 quantities of radioactive material or to the devices that contain
the material, licensees shall complete a background investigation of the
individual seeking unescorted access authorization. The scope of the
investigation must encompass at least the 7 years preceding the date of the
background investigation or since the individual's eighteenth birthday,
whichever is shorter. The background investigation must include at a minimum:
1. Fingerprinting and an FBI identification
and criminal history records check in accordance with
420-3-26-.15(10);
2. Verification of true identity. Licensees
shall verify the true identity of the individual who is applying for unescorted
access authorization to ensure that the applicant is who he or she claims to
be. A licensee shall review official identification documents
(e.g., driver's license; passport; government identification;
certificate of birth issued by the state, province, or country of birth) and
compare the documents to personal information data provided by the individual
to identify any discrepancy in the information. Licensees shall document the
type, expiration, and identification number of the identification document, or
maintain a photocopy of identifying documents on file in accordance with
420-3-26-.15(12).
Licensees shall certify in writing that the identification was properly
reviewed, and shall maintain the certification and all related documents for
review upon inspection;
3.
Employment history verification. Licensees shall complete an employment history
verification, including military history. Licensees shall verify the
individual's employment with each previous employer for the most recent 7 years
before the date of application;
4.
Verification of education. Licensees shall verify that the individual
participated in the education process during the claimed period;
5. Character and reputation determination.
Licensees shall complete reference checks to determine the character and
reputation of the individual who has applied for unescorted access
authorization. Unless other references are not available, reference checks may
not be conducted with any person who is known to be a close member of the
individual's family, including but not limited to the individual's spouse,
parents, siblings, or children, or any individual who resides in the
individual's permanent household. Reference checks under this rule must be
limited to whether the individual has been and continues to be trustworthy and
reliable;
6. The licensee shall
also, to the extent possible, obtain independent information to corroborate
that provided by the individual (e.g., seek references not
supplied by the individual); and
7.
If a previous employer, educational institution, or any other entity with which
the individual claims to have been engaged fails to provide information or
indicates an inability or unwillingness to provide information within a time
frame deemed appropriate by the licensee but at least after 10 business days of
the request or if the licensee is unable to reach the entity, the licensee
shall document the refusal, unwillingness, or inability in the record of
investigation; and attempt to obtain the information from an alternate
source.
(b)
Grandfathering
.
1.
Individuals who have been determined to be trustworthy and reliable for
unescorted access to Category 1 or Category 2 quantities of radioactive
material under the Fingerprint Orders may continue to have unescorted access to
Category 1 and Category 2 quantities of radioactive material without further
investigation. These individuals shall be subject to the reinvestigation
requirement.
2. Individuals who
have been determined to be trustworthy and reliable under the provisions of 10
CFR Part 73 or the security orders for access to safeguards information,
safeguards information-modified handling, or risk-significant material may have
unescorted access to Category 1 and Category 2 quantities of radioactive
material without further investigation. The licensee shall document that the
individual was determined to be trustworthy and reliable under the provisions
of 10 CFR Part 73 or a security order. Security order, in this context, refers
to any order that was issued by the NRC that required fingerprints and an FBI
criminal history records check for access to safeguards information, safeguards
information-modified handling, or risk significant material such as special
nuclear material or large quantities of uranium hexafluoride. These individuals
shall be subject to the reinvestigation requirement.
(c) Reinvestigations. Licensees shall conduct
a reinvestigation every 10 years for any individual with unescorted access to
Category 1 or Category 2 quantities of radioactive material. The
reinvestigation shall consist of fingerprinting and an FBI identification and
criminal history records check in accordance with
420-3-26-.15(10).
The reinvestigations must be completed within 10 years of the date on which
these elements were last completed.
(10)
Requirements for Criminal History
Records Checks of Individuals Granted Unescorted Access to Category 1 or
Category 2 Quantities of Radioactive Material.
(a) General performance objective and
requirements.
1. Except for those individuals
listed in
420-3-26-.15(11)
and those individuals grandfathered under
420-3-26-.15(9)(b),
each licensee subject to the provisions of this rule shall fingerprint each
individual who is to be permitted unescorted access to Category 1 or Category 2
quantities of radioactive material. Licensees shall transmit all collected
fingerprints to the NRC for transmission to the FBI. The licensee shall use the
information received from the FBI as part of the required background
investigation to determine whether to grant or deny further unescorted access
to Category 1 or Category 2 quantities of radioactive materials for that
individual.
2. The licensee shall
notify each affected individual that his or her fingerprints will be used to
secure a review of his or her criminal history record, and shall inform him or
her of the procedures for revising the record or adding explanations to the
record.
3. Fingerprinting is not
required if a licensee is reinstating an individual's unescorted access
authorization to Category 1 or Category 2 quantities of radioactive materials
if:
(i) The individual returns to the same
facility that granted unescorted access authorization within 365 days of the
termination of his or her unescorted access authorization; and
(ii) The previous access was terminated under
favorable conditions.
4.
Fingerprints do not need to be taken if an individual who is an employee of a
licensee, contractor, manufacturer, or supplier has been granted unescorted
access to Category 1 or Category 2 quantities of radioactive material, access
to safeguards information, or safeguards information-modified handling by
another licensee, based upon a background investigation conducted under this
rule, the Fingerprint Orders, or 10 CFR Part 73. An existing criminal history
records check file may be transferred to the licensee asked to grant unescorted
access in accordance with the provisions of
420-3-26-.15(12)(c).
5. Licensees shall use the information
obtained as part of a criminal history records check solely for the purpose of
determining an individual's suitability for unescorted access authorization to
Category 1 or Category 2 quantities of radioactive materials, access to
safeguards information, or safeguards information-modified handling.
(b) Prohibitions.
1. Licensees may not base a final
determination to deny an individual unescorted access authorization to Category
1 or Category 2 quantities of radioactive material solely on the basis of
information received from the FBI involving:
(i) An arrest more than 1 year old for which
there is no information of the disposition of the case; or
(ii) An arrest that resulted in dismissal of
the charge or an acquittal.
2. Licensees may not use information received
from a criminal history records check obtained under this rule in a manner that
would infringe upon the rights of any individual under the First Amendment to
the Constitution of the United States, nor shall licensees use the information
in any way that would discriminate among individuals on the basis of race,
religion, national origin, gender, or age.
(c) Procedures for processing of fingerprint
checks.
1. For the purpose of complying with
this rule, licensees shall submit to the U.S. Nuclear Regulatory Commission,
Director, Division of Physical and Cyber Security Policy, 11545 Rockville Pike,
Rockville, Maryland 20852-2738, ATTN: Criminal History Program, Mail Stop T-
7D04M, one completed, legible standard fingerprint card (Fonn FD-258,
ORIMDNRCOOOZ), electronic fingerprint scan or, where practicable, other
fingerprint record for each individual requiring unescorted access to Category
1 or Category 2 quantities of radioactive material. Copies of these forms may
be obtained by emailing MAILSVS.Resource@nrc.gov. Guidance on submitting
electronic fingerprints can be found
https://nrc.gov/security/chp.html.
2. Fees for the processing of fingerprint
checks are due upon application. Licensees shall submit payment with the
application for the processing of fingerprints through corporate check,
certified check, cashier's check, money order, or electronic payment, made
payable to "U.S. NRC." (For guidance on making electronic payments, contact the
Division of Physical and Cyber Security Policy by e-mailing
Crimhist.Resource@nrc.gov.) Combined payment for multiple applications is
acceptable. The NRC publishes the amount of the fingerprint check application
fee on the NRC's public Web site. (To find the current fee amount, go to the
Licensee Criminal History Records Checks AND Firearms Background Check
information page at
https://www.nrc.gov/security/chp.html
and see the link for How do I determine how much to pay for the
request?).
3. The NRC will forward
to the submitting licensee all data received from the FBI as a result of the
licensee's application(s) for criminal history records checks.
(11)
Relief from
Fingerprinting, Identification, and Criminal History Records Checks and Other
Elements of Background Investigations for Designated Categories of Individuals
Permitted Unescorted Access to Certain Radioactive Materials.
(a) Fingerprinting, and the identification
and criminal history records checks required by Section 149 of the Atomic
Energy Act of 1954, as amended, and other elements of the background
investigation are not required for the following individuals prior to granting
unescorted access to Category 1 or Category 2 quantities of radioactive
materials:
1. An employee of the NRC or of the
Executive Branch of the U.S. Government who has undergone fingerprinting for a
prior U.S. Government criminal history records check;
2. A Member of Congress;
3. An employee of a member of Congress or
Congressional committee who has undergone fingerprinting for a prior U.S.
Government criminal history records check;
4. The governor of a state or his or her
designated state employee representative;
5. Federal, state, or local law enforcement
personnel;
6. State Radiation
Control Program Directors and State Homeland Security Advisors or their
designated state employee representatives;
7. Agreement State employees conducting
security inspections on behalf of the NRC under an agreement executed under
Section 274.i. of the Atomic Energy Act;
8. Representatives of the International
Atomic Energy Agency (IAEA) engaged in activities associated with the U.S./IAEA
Safeguards Agreement who have been certified by the NRC;
9. Emergency response personnel who are
responding to an emergency;
10.
Commercial vehicle drivers for road shipments of Category 1 and Category 2
quantities of radioactive material;
11. Package handlers at transportation
facilities such as freight terminals and railroad yards;
12. Any individual who has an active federal
security clearance, provided that he or she makes available the appropriate
documentation. Written confirmation from the agency/employer that granted the
federal security clearance or reviewed the criminal history records check must
be provided to the licensee. The licensee shall retain this documentation for a
period of 3 years from the date the individual no longer requires unescorted
access to Category 1 or Category 2 quantities of radioactive material;
and
13. Any individual employed by
a service provider licensee for which the service provider licensee has
conducted the background investigation for the individual and approved the
individual for unescorted access to Category 1 or Category 2 quantities of
radioactive material. Written verification from the service provider must be
provided to the licensee. The licensee shall retain the documentation for a
period of 3 years from the date the individual no longer requires unescorted
access to Category 1 or Category 2 quantities of radioactive
material.
(b)
Fingerprinting, and the identification and criminal history records checks
required by Section 149 of the Atomic Energy Act of 1954, as amended, are not
required for an individual who has had a favorably adjudicated U.S. Government
criminal history records check within the last 5 years, under a comparable U.S.
Government program involving fingerprinting and an FBI identification and
criminal history records check provided that he or she makes available the
appropriate documentation. Written confirmation from the agency/employer that
reviewed the criminal history records check must be provided to the licensee.
The licensee shall retain this documentation for a period of 3 years from the
date the individual no longer requires unescorted access to Category 1 or
Category 2 quantities of radioactive material. These programs include, but are
not limited to:
1. National Agency
Check;
2. Transportation Worker
Identification Credentials (TWIC) under 49 CFR Part 1572 ;
3. Bureau of Alcohol, Tobacco, Firearms, and
Explosives background check and clearances under 27 CFR Part 555 ;
4. Health and Human Services security risk
assessments for possession and use of select agents and toxins under 42 CFR
Part 73 ;
5. Hazardous Material
security threat assessment for hazardous material endorsement to commercial
driver's license under 49 CFR Part 1572; and
6. Customs and Border Protection's Free and
Secure Trade (FAST) Program.
(12)
Protection of Information.
(a) Each licensee who obtains background
information on an individual under this rule shall establish and maintain a
system of files and written procedures for protection of the record and the
personal information from unauthorized disclosure.
(b) The licensee may not disclose the record
or personal information collected and maintained to persons other than the
subject individual, his or her representative, or to those who have a need to
have access to the information in performing assigned duties in the process of
granting or denying unescorted access to Category 1 or Category 2 quantities of
radioactive material, safeguards information, or safeguards
information-modified handling. No individual authorized to have access to the
information may disseminate the information to any other individual who does
not have a need to know.
(c) The
personal information obtained on an individual from a background investigation
may be provided to another licensee:
1. Upon
the individual's written request to the licensee holding the data to
disseminate the information contained in his or her file; and
2. The recipient licensee verifies
information such as name, date of birth, social security number, gender, and
other applicable physical characteristics.
(d) The licensee shall make background
investigation records obtained under this rule available for examination by an
authorized representative of the Agency to determine compliance with the
regulations and laws.
(e) The
licensee shall retain all fingerprint and criminal history records on an
individual (including data indicating no record) received from the FBI, or a
copy of these records if the individual's file has been transferred, for 3
years from the date the individual no longer requires unescorted access to
Category 1 or Category 2 quantities of radioactive material.
(13)
Access Authorization
Program Review.
(a) Each licensee shall
be responsible for the continuing effectiveness of the access authorization
program. Each licensee shall ensure that access authorization programs are
reviewed to confirm compliance with the requirements of this rule and that
comprehensive actions are taken to correct any noncompliance that is
identified. The review program shall evaluate all program performance
objectives and requirements. Each licensee shall periodically (at least
annually) review the access program content and implementation.
(b) The results of the reviews, along with
any recommendations, must be documented. Each review report must identify
conditions that are adverse to the proper performance of the access
authorization program, the cause of the condition(s), and, when appropriate,
recommend corrective actions, and corrective actions taken. The licensee shall
review the findings and take any additional corrective actions necessary to
preclude repetition of the condition, including reassessment of the deficient
areas where indicated.
(c) Review
records must be maintained for 3 years.
Physical Protection Requirements During Use
(14) Security Program.
(a) Applicability.
1. Each licensee that possesses an aggregated
Category 1 or Category 2 quantity of radioactive material shall establish,
implement, and maintain a security program in accordance with the requirements
of this rule.
2. An applicant for a
new license and each licensee that would become newly subject to the
requirements of this rule upon application for modification of its license
shall implement the requirements of this rule, as appropriate, before taking
possession of an aggregated Category 1 or Category 2 quantity of radioactive
material.
3. Any licensee that has
not previously implemented the Security Orders or been subject to
420-3-26-.15(14)
through
420-3-26-.15(22)
shall provide written notification to the
Agency at least 90 days before aggregating radioactive material to a quantity
that equals or exceeds the Category 2 threshold.
(b) General performance objective. Each
licensee shall establish, implement, and maintain a security program that is
designed to monitor and, without delay, detect, assess, and respond to an
actual or attempted unauthorized access to Category 1 or Category 2 quantities
of radioactive material.
(c)
Program features. Each licensee's security program must include the program
features, as appropriate, described in
420-3-26-.15(15)
through
420-3-26-.15(21).
(15)
General Security Program
Requirements.
(a) Security plan.
1. Each licensee identified in
420-3-26-.15(14)(a)
shall develop a written security plan
specific to its facilities and operations. The purpose of the security plan is
to establish the licensee's overall security strategy to ensure the integrated
and effective functioning of the security program required by this rule. The
security plan must, at a minimum:
(i) Describe
the measures and strategies used to implement the requirements of this rule;
and
(ii) Identify the security
resources, equipment, and technology used to satisfy the requirements of this
rule.
2. The security
plan must be reviewed and approved by the individual with overall
responsibility for the security program.
3. A licensee shall revise its security plan
as necessary to ensure the effective implementation of Agency requirements. The
licensee shall ensure that:
(i) The revision
has been reviewed and approved by the individual with overall responsibility
for the security program; and
(ii)
The affected individuals are instructed on the revised plan before the changes
are implemented.
4. The
licensee shall retain a copy of the current security plan as a record for 3
years after the security plan is no longer required. If any portion of the plan
is superseded, the licensee shall retain the superseded material for 3 years
after the record is superseded.
(b) Implementing procedures.
1. The licensee shall develop and maintain
written procedures that document how the requirements of this rule and the
security plan will be met.
2. The
implementing procedures and revisions to these procedures must be approved in
writing by the individual with overall responsibility for the security
program.
3. The licensee shall
retain a copy of the current procedure as a record for 3 years after the
procedure is no longer needed. Superseded portions of the procedure must be
retained for 3 years after the record is superseded.
(c) Training.
1. Each licensee shall conduct training to
ensure that those individuals implementing the security program possess and
maintain the knowledge, skills, and abilities to carry out their assigned
duties and responsibilities effectively. The training must include instruction
in:
(i) The licensee's security program and
procedures to secure Category 1 or Category 2 quantities of radioactive
material, and in the purposes and functions of the security measures
employed;
(ii) The responsibility
to report promptly to the licensee any condition that causes or may cause a
violation of Agency requirements;
(iii) The responsibility of the licensee to
report promptly to the local law enforcement agency and licensee any actual or
attempted theft, sabotage, or diversion of Category 1 or Category 2 quantities
of radioactive material; and
(iv)
The appropriate response to security alarms.
2. In determining those individuals who shall
be trained on the security program, the licensee shall consider each
individual's assigned activities during authorized use and response to
potential situations involving actual or attempted theft, diversion, or
sabotage of Category 1 or Category 2 quantities of radioactive material. The
extent of the training must be commensurate with the individual's potential
involvement in the security of Category 1 or Category 2 quantities of
radioactive material.
3. Refresher
training must be provided at a frequency not to exceed 12 months and when
significant changes have been made to the security program. This training must
include:
(i) Review of the training
requirements of
420-3-26-.15(15)(c)
and any changes made to the security program
since the last training;
(ii)
Reports on any relevant security issues, problems, and lessons
learned;
(iii) Relevant results of
Agency inspections; and
(iv)
Relevant results of the licensee's program review and testing and
maintenance.
4. The
licensee shall maintain records of the initial and refresher training for 3
years from the date of the training. The training records must include dates of
the training, topics covered, a list of licensee personnel in attendance, and
related information.
(d)
Protection of information.
1. Licensees
authorized to possess Category 1 or Category 2 quantities of radioactive
material shall limit access to and unauthorized disclosure of their security
plan, implementing procedures, and the list of individuals that have been
approved for unescorted access.
2.
Efforts to limit access shall include the development, implementation, and
maintenance of written policies and procedures for controlling access to, and
for proper handling and protection against unauthorized disclosure of, the
security plan, implementing procedures, and the list of individuals that have
been approved for unescorted access.
3. Before granting an individual access to
the security plan, implementing procedures, or the list of individuals that
have been approved for unescorted access, licensees shall:
(i) Evaluate an individual's need to know the
security plan, implementing procedures, or the list of individuals that have
been approved for unescorted access; and
(ii) If the individual has not been
authorized for unescorted access to Category 1 or Category 2 quantities of
radioactive material, safeguards information, or safeguards
information-modified handling, the licensee must complete a background
investigation to determine the individual's trustworthiness and reliability. A
trustworthiness and reliability determination shall be conducted by the
reviewing official and shall include the background investigation elements
contained in
420-3-26-.15(9)(a)2.
through
420-3-26-.15(9)(a)7.
4. Licensees need not
subject the following individuals to the background investigation elements for
protection of information:
(i) The categories
of individuals listed in
420-3-26-.15(11)(a)1.
through
420-3-26-.15(11)(a)13.;
or
(ii) Security service provider
employees, provided written verification that the employee has been determined
to be trustworthy and reliable, by the required background investigation in
420-3-26-.15(9)(a)2.
through
420-3-26-.15(9)(a)7.,
has been provided by the security service provider.
5. The licensee shall document the basis for
concluding that an individual is trustworthy and reliable and should be granted
access to the security plan, implementing procedures, or the list of
individuals that have been approved for unescorted access.
6. Licensees shall maintain a list of persons
currently approved for access to the security plan, implementing procedures, or
the list of individuals that have been approved for unescorted access. When a
licensee determines that a person no longer needs access to the security plan,
implementing procedures, or the list of individuals that have been approved for
unescorted access, or no longer meets the access authorization requirements for
access to the information, the licensee shall remove the person from the
approved list as soon as possible, but no later than 7 working days, and take
prompt measures to ensure that the individual is unable to obtain the security
plan, implementing procedures, or the list of individuals that have been
approved for unescorted access.
7.
When not in use, the licensee shall store its security plan, implementing
procedures, and the list of individuals that have been approved for unescorted
access in a manner to prevent unauthorized access. Information stored in
nonremovable electronic form must be password protected.
8. The licensee shall retain as a record for
3 years after the document is no longer needed:
(i) A copy of the information protection
procedures; and
(ii) The list of
individuals approved for access to the security plan, implementing procedures,
or the list of individuals that have been approved for unescorted
access.
(16)
LLEA Coordination.
(a) A licensee subject to this rule shall
coordinate, to the extent practicable, with an LLEA for responding to threats
to the licensee's facility, including any necessary armed response. The
information provided to the LLEA must include:
1. A description of the facilities and the
Category 1 and Category 2 quantities of radioactive materials along with a
description of the licensee's security measures that have been implemented to
comply with this rule; and
2. A
notification that the licensee will request a timely armed response by the LLEA
to any actual or attempted theft, sabotage, or diversion of Category 1 or
Category 2 quantities of material.
(b) The licensee shall notify the Agency
within 3 business days if:
1. The LLEA has
not responded to the request for coordination within 60 days of the
coordination request; or
2. The
LLEA notifies the licensee that the LLEA does not plan to participate in
coordination activities.
(c) The licensee shall document its efforts
to coordinate with the LLEA. The documentation must be kept for 3
years.
(d) The licensee shall
coordinate with the LLEA at least every 12 months, or when changes to the
facility design or operation adversely affect the potential vulnerability of
the licensee's material to theft, sabotage, or diversion.
(17)
Security Zones.
(a) Licensees shall ensure that all
aggregated Category 1 and Category 2 quantities of radioactive material are
used or stored within licensee established security zones. Security zones may
be permanent or temporary.
(b)
Temporary security zones must be established as necessary to meet the
licensee's transitory or intermittent business activities, such as periods of
maintenance, source delivery, and source replacement.
(c) Security zones must, at a minimum, allow
unescorted access only to approved individuals through:
1. Isolation of Category 1 and Category 2
quantities of radioactive materials by the use of continuous physical barriers
that allow access to the security zone only through established access control
points. A physical barrier is a natural or man-made structure or formation
sufficient for the isolation of the Category 1 or Category 2 quantities of
radioactive material within a security zone; or
2. Direct control of the security zone by
approved individuals at all times; or
3. A combination of continuous physical
barriers and direct control.
(d) For Category 1 quantities of radioactive
material during periods of maintenance, source receipt, preparation for
shipment, installation, or source removal or exchange, the licensee shall, at a
minimum, provide sufficient individuals approved for unescorted access to
maintain continuous surveillance of sources in temporary security zones and in
any security zone in which physical barriers or intrusion detection systems
have been disabled to allow such activities.
(e) Individuals not approved for unescorted
access to Category 1 or Category 2 quantities of radioactive material must be
escorted by an approved individual when in a security zone.
(18)
Monitoring, Detection,
and Assessment.
(a) Monitoring and
detection.
1. Licensees shall establish and
maintain the capability to continuously monitor and detect without delay all
unauthorized entries into its security zones. Licensees shall provide the means
to maintain continuous monitoring and detection capability in the event of a
loss of the primary power source, or provide for an alarm and response in the
event of a loss of this capability to continuously monitor and detect
unauthorized entries.
2. Monitoring
and detection must be performed by:
(i) A
monitored intrusion detection system that is linked to an onsite or offsite
central monitoring facility; or
(ii) Electronic devices for intrusion
detection alarms that will alert nearby facility personnel; or
(iii) A monitored video surveillance system;
or
(iv) Direct visual surveillance
by approved individuals located within the security zone; or
(v) Direct visual surveillance by a licensee
designated individual located outside the security zone.
3. A licensee subject to this rule shall also
have a means to detect unauthorized removal of the radioactive material from
the security zone. This detection capability must provide:
(i) For Category 1 quantities of radioactive
material, immediate detection of any attempted unauthorized removal of the
radioactive material from the security zone. Such immediate detection
capability must be provided by:
(I) Electronic
sensors linked to an alarm; or
(II)
Continuous monitored video surveillance; or
(III) Direct visual surveillance.
(ii) For Category 2 quantities of
radioactive material, weekly verification through physical checks, tamper
indicating devices, use, or other means to ensure that the radioactive material
is present.
(b)
Assessment. Licensees shall immediately assess each actual or attempted
unauthorized entry into the security zone to determine whether the unauthorized
access was an actual or attempted theft, sabotage, or diversion.
(c) Personnel communications and data
transmission. For personnel and automated or electronic systems supporting the
licensee's monitoring, detection, and assessment systems, licensees shall:
1. Maintain continuous capability for
personnel communication and electronic data transmission and processing among
site security systems; and
2.
Provide an alternative communication capability for personnel, and an
alternative data transmission and processing capability, in the event of a loss
of the primary means of communication or data transmission and processing.
Alternative communications and data transmission systems may not be subject to
the same failure modes as the primary systems.
(d) Response. Licensees
shall immediately respond to any actual or attempted unauthorized access to the
security zones, or actual or attempted theft, sabotage, or diversion of
Category 1 or Category 2 quantities of radioactive material at licensee
facilities or temporary job sites. For any unauthorized access involving an
actual or attempted theft, sabotage, or diversion of Category 1 or Category 2
quantities of radioactive material, the licensee's response shall include
requesting, without delay, an armed response from the LLEA.
(19)
Maintenance and Testing.
(a) Each licensee subject to this rule shall
implement a maintenance and testing program to ensure that intrusion alarms,
associated communication systems, and other physical components of the systems
used to secure or detect unauthorized access to radioactive material are
maintained in operable condition and are capable of performing their intended
function when needed. The equipment relied on to meet the security requirements
of this rule must be inspected and tested for operability and performance at
the manufacturer's suggested frequency. If there is no manufacturer's suggested
frequency, the testing must be performed at least annually, not to exceed 12
months.
(b) The licensee shall
maintain records on the maintenance and testing activities for 3
years.
(20)
Requirements for Mobile Devices. Each licensee that possesses
mobile devices containing Category 1 or Category 2 quantities of radioactive
material must:
(a) Have two independent
physical controls that form tangible barriers to secure the material from
unauthorized removal when the device is not under direct control and constant
surveillance by the licensee; and
(b) For devices in or on a vehicle or
trailer, unless the health and safety requirements for a site prohibit the
disabling of the vehicle, the licensee shall utilize a method to disable the
vehicle or trailer when not under direct control and constant surveillance by
the licensee. Licensees shall not rely on the removal of an ignition key to
meet this requirement.
(21)
Security Program Review.
(a) Each licensee shall be responsible for
the continuing effectiveness of the security program. Each licensee shall
ensure that the security program is reviewed to confirm compliance with the
requirements of this rule and that comprehensive actions are taken to correct
any noncompliance that is identified. The review must include the radioactive
material security program content and implementation. Each licensee shall, not
to exceed 12 months, review the security program content and
implementation.
(b) The results of
the review, along with any recommendations, must be documented. Each review
report must identify conditions that are adverse to the proper performance of
the security program, the cause of the condition(s), and, when appropriate,
recommend corrective actions, and corrective actions taken. The licensee shall
review the findings and take any additional corrective actions necessary to
preclude repetition of the condition, including reassessment of the deficient
areas where indicated.
(c) The
licensee shall maintain the review documentation for 3 years.
(22)
Reporting of
Events.
(a) The licensee shall
immediately notify the LLEA after determining that an unauthorized entry
resulted in an actual or attempted theft, sabotage, or diversion of a Category
1 or Category 2 quantity of radioactive material. As soon as possible after
initiating a response, but not at the expense of causing delay or interfering
with the LLEA response to the event, the licensee shall notify the Agency by
telephone. In no case shall the notification to the Agency be later than 4
hours after the discovery of any attempted or actual theft, sabotage, or
diversion.
(b) The licensee shall
assess any suspicious activity related to possible theft, sabotage, or
diversion of Category 1 or Category 2 quantities of radioactive material and
notify the LLEA as appropriate. As soon as possible but not later than 4 hours
after notifying the LLEA, the licensee shall notify the Agency.
(c) The initial telephonic notification
required by
420-3-26-.15(22)(a)
must be followed within a period of 30 days
by a written report submitted to the Agency. The report must include sufficient
information for Agency analysis and evaluation, including identification of any
necessary corrective actions to prevent future instances.
Physical Protection in Transit
(23) Additional Requirements for Transfer of Category 1
and Category 2 Quantities of Radioactive Material. A licensee
transferring a Category 1 or Category 2 quantity of radioactive material to a
licensee of the Agency, NRC, or an Agreement State shall meet the license
verification provisions listed below instead of those listed in
420-3-26-.02(18)(e)
of these rules:
(a) Any licensee
transferring Category 1 quantities of radioactive material to a licensee of the
Agency, NRC, or an Agreement State, prior to conducting such transfer, shall
verify with the NRC's license verification system or the license issuing
authority that the transferee's license authorizes the receipt of the type,
form, and quantity of radioactive material to be transferred and that the
licensee is authorized to receive radioactive material at the location
requested for delivery. If the verification is conducted by contacting the
license issuing authority, the transferor shall document the verification. For
transfers within the same organization, the licensee does not need to verify
the transfer.
(b) Any licensee
transferring Category 2 quantities of radioactive material to a licensee of the
Agency, NRC, or an Agreement State, prior to conducting such transfer, shall
verify with the NRC's license verification system or the license issuing
authority that the transferee's license authorizes the receipt of the type,
form, and quantity of radioactive material to be transferred. If the
verification is conducted by contacting the license issuing authority, the
transferor shall document the verification. For transfers within the same
organization, the licensee does not need to verify the transfer.
(c) In an emergency where the licensee cannot
reach the license issuing authority and the license verification system is
nonfunctional, the licensee may accept a written certification by the
transferee that it is authorized by license to receive the type, form, and
quantity of radioactive material to be transferred. The certification must
include the license number, current revision number, issuing agency, expiration
date, and for a Category 1 shipment the authorized address. The licensee shall
keep a copy of the certification. The certification must be confirmed by use of
the NRC's license verification system or by contacting the license issuing
authority by the end of the next business day.
(d) The transferor shall keep a copy of the
verification documentation as a record for 3 years.
(24)
Applicability
of Physical Protection of Category 1 and Category 2 Quantities of Radioactive
Material During Transit.
(a) For
shipments of Category 1 quantities of radioactive material, each shipping
licensee shall comply with the requirements for physical protection contained
in 420-3-26-.15(25)(a) and
(e);
420-3-26-.15(26);
420-3-26-.15(27)(a)1.,
(b)1. and (c); and
420-3-26-.15(28)(a), (c), (e), (g), and
(h).
(b) For shipments of Category 2 quantities of
radioactive material, each shipping licensee shall comply with the requirements
for physical protection contained in
420-3-26-.15(25)(b) through
(e);
420-3-26-.15(27)(a)2.,
(a)3., (b)2., and (c); and
420-3-26-.15(28)(b), (d), (f), (g), and
(h). For those shipments of Category 2
quantities of radioactive material that meet the criteria of 10 CFR Part
71.97(b), the shipping licensee shall also comply with the advance notification
provisions of
10
CFR Part 71.97.
(c) The shipping licensee shall be
responsible for meeting the requirements of this rule unless the receiving
licensee has agreed in writing to arrange for the in-transit physical
protection required under this rule.
(d) Each licensee that imports or exports
Category 1 quantities of radioactive material shall comply with the
requirements for physical protection during transit contained in
420-3-26-.15(25)(a)2. and
(e);
420-3-26-.15(26);
420-3-26-.15(27)(a)1.,
(b)1., and (c); and
420-3-26-.15(28)(a), (c), (e), (g), and
(h) for the domestic portion of the
shipment.
(e) Each licensee that
imports or exports Category 2 quantities of radioactive material shall comply
with the requirements for physical protection during transit contained in
420-3-26-.15(27)(a)2.,
(a)3., and (b)2.; and
420-3-26-.15(28)(b), (d), (f), (g) and
(h) for the domestic portion of the
shipment.
(25)
Preplanning and Coordination of Shipment of Category 1 or Category 2
Quantities of Radioactive Material.
(a)
Each licensee that plans to transport, or deliver to a carrier for transport,
licensed material that is a Category 1 quantity of radioactive material outside
the confines of the licensee's facility or other place of use or storage shall:
1. Preplan and coordinate shipment arrival
and departure times with the receiving licensee;
2. Preplan and coordinate shipment
information with the governor or the governor's designee of any state through
which the shipment will pass to:
(i) Discuss
the state's intention to provide law enforcement escorts; and
(ii) Identify safe havens; and
3. Document the preplanning and
coordination activities.
(b) Each licensee that plans to transport, or
deliver to a carrier for transport, licensed material that is a Category 2
quantity of radioactive material outside the confines of the licensee's
facility or other place of use or storage shall coordinate the shipment
no-later-than arrival time and the expected shipment arrival with the receiving
licensee. The licensee shall document the coordination activities.
(c) Each licensee who receives a shipment of
a Category 2 quantity of radioactive material shall confirm receipt of the
shipment with the originator. If the shipment has not arrived by the
no-later-than arrival time, the receiving licensee shall notify the
originator.
(d) Each licensee, who
transports or plans to transport a shipment of a Category 2 quantity of
radioactive material, and determines that the shipment will arrive after the
no-later-than arrival time provided pursuant to
420-3-26-.15(25)(b),
shall promptly notify the receiving licensee of the new no-later-than arrival
time.
(e) The licensee shall retain
a copy of the documentation for preplanning and coordination and any revision
thereof, as a record for 3 years.
(26)
Advance Notification of Shipment
of Category 1 Quantities of Radioactive Material. As specified in
420-3-26-.15(26)(a) and
(b), each licensee shall provide advanced
notification to the Agency and to the governor of a state, or the governor's
designee, of the shipment of licensed material in a Category 1 quantity,
through or across the boundary of the state, before the transport, or delivery
to a carrier for transport of the licensed material outside the confines of the
licensee's facility or other place of use or storage.
(a) Procedures for submitting advance
notification.
1. The notification must be made
to the Agency and to the office of each appropriate governor or governor's
designee. The contact information, including telephone and mailing addresses,
of governors and governors' designees, is available on the NRC website at
https://scp.nrc.gov/special/designee.pdf.
A list of the contact information is also available upon request from the
Director, Division of Materials Safety, Security, State, and Tribal Programs,
Office of Nuclear Materials Safety and Safeguards, U.S. Nuclear Regulatory
Commission, Washington, DC 20555-0001.
2. A notification delivered by mail must be
postmarked at least 7 days before transport of the shipment commences at the
shipping facility.
3. A
notification delivered by any means other than mail must reach the Agency at
least 4 days before the transport of the shipment commences and must reach the
office of the governor or the governor's designee at least 4 days before
transport of a shipment within or through the state.
(b) Information to be furnished in advance
notification of shipment. Each advance notification of shipment of Category 1
quantities of radioactive material must contain the following information, if
available at the time of notification:
1. The
name, address, and telephone number of the shipper, carrier, and receiver of
the Category 1 radioactive material;
2. The license numbers of the shipper and
receiver;
3. A description of the
radioactive material contained in the shipment, including the radionuclides and
quantity;
4. The point of origin of
the shipment and the estimated time and date that shipment will
commence;
5. The estimated time and
date that the shipment is expected to enter each state along the
route;
6. The estimated time and
date of arrival of the shipment at the destination; and
7. A point of contact, with a telephone
number, for current shipment information.
(c) Revision notice.
1. The licensee shall provide any information
not previously available at the time of the initial notification, as soon as
the information becomes available but not later than commencement of the
shipment, to the governor of the state or the governor's designee and to the
Agency.
2. A licensee shall
promptly notify the governor of the state or the governor's designee of any
changes to the information provided in accordance with paragraphs
420-3-26-.15(26)(b) and (c)
1. The licensee shall also immediately notify
the Agency of any such changes.
(d) Cancellation notice. Each licensee who
cancels a shipment for which advance notification has been sent shall send a
cancellation notice to the governor of each state or to the governor's designee
previously notified and to the Agency. The licensee shall send the cancellation
notice before the shipment would have commenced or as soon thereafter as
possible. The licensee shall state in the notice that it is a cancellation and
identify the advance notification that is being cancelled.
(e) Records. The licensee shall retain a copy
of the advance notification and any revision and cancellation notices as a
record for 3 years.
(f) Protection
of information. State officials, state employees, and other individuals,
whether or not licensees of the Agency, NRC, or another Agreement State, who
receive schedule information of the kind specified in 420-3-26-15.(26)(b) shall
protect that information against unauthorized disclosure as specified in
420-3-26-.15(15)(d).
(27)
Requirements for Physical
Protection of Category 1 and Category 2 Quantities of Radioactive Material
During Shipment.
(a) Shipments by
road
.
1. Each licensee who
transports, or delivers to a carrier for transport, in a single shipment, a
Category 1 quantity of radioactive material shall:
(i) Ensure that movement control centers are
established that maintain position information from a remote location. These
control centers must monitor shipments 24 hours a day, 7 days a week, and have
the ability to communicate immediately, in an emergency, with the appropriate
law enforcement agencies.
(ii)
Ensure that redundant communications are established that allow the transport
to contact the escort vehicle (when used) and movement control center at all
times. Redundant communications may not be subject to the same interference
factors as the primary communication.
(iii) Ensure that shipments are continuously
and actively monitored by a telemetric position monitoring system or an
alternative tracking system reporting to a movement control center. A movement
control center must provide positive confirmation of the location, status, and
control over the shipment. The movement control center must be prepared to
promptly implement preplanned procedures in response to deviations from the
authorized route or a notification of actual, attempted, or suspicious
activities related to the theft, loss, or diversion of a shipment. These
procedures will include, but not be limited to, the identification of and
contact information for the appropriate LLEA along the shipment
route.
(iv) Provide an individual
to accompany the driver for those highway shipments with a driving time period
greater than the maximum number of allowable hours of service in a 24-hour duty
day as established by the Department of Transportation Federal Motor Carrier
Safety Administration. The accompanying individual may be another
driver.
(v) Develop written normal
and contingency procedures to address:
I.
Notifications to the communication center and law enforcement
agencies;
II. Communication
protocols. Communication protocols must include a strategy for the use of
authentication codes and duress codes and provisions for refueling or other
stops, detours, and locations where communication is expected to be temporarily
lost;
III. Loss of communications;
and
IV. Responses to an actual or
attempted theft or diversion of a shipment.
(vi) Each licensee who makes arrangements for
the shipment of Category 1 quantities of radioactive material shall ensure that
drivers, accompanying personnel, and movement control center personnel have
access to the normal and contingency procedures.
2. Each licensee that transports Category 2
quantities of radioactive material shall maintain constant control and/or
surveillance during transit and have the capability for immediate communication
to summon appropriate response or assistance.
3. Each licensee who delivers to a carrier
for transport, in a single shipment, a Category 2 quantity of radioactive
material shall:
(i) Use carriers that have
established package tracking systems. An established package tracking system is
a documented, proven, and reliable system routinely used to transport objects
of value. In order for a package tracking system to maintain constant control
and/or surveillance, the package tracking system must allow the shipper or
transporter to identify when and where the package was last and when it should
arrive at the next point of control.
(ii) Use carriers that maintain constant
control and/or surveillance during transit and have the capability for
immediate communication to summon appropriate response or assistance;
and
(iii) Use carriers that have
established tracking systems that require an authorized signature prior to
releasing the package for delivery or return.
(b) Shipments by rail.
1. Each licensee who transports, or delivers
to a carrier for transport, in a single shipment, a Category 1 quantity of
radioactive material shall:
(i) Ensure that
rail shipments are monitored by a telemetric position monitoring system or an
alternative tracking system reporting to the licensee, third-party, or railroad
communications center. The communications center shall provide positive
confirmation of the location of the shipment and its status. The communications
center shall implement preplanned procedures in response to deviations from the
authorized route or to a notification of actual, attempted, or suspicious
activities related to the theft or diversion of a shipment. These procedures
will include, but not be limited to, the identification of and contact
information for the appropriate LLEA along the shipment route.
(ii) Ensure that periodic reports to the
communications center are made at preset intervals.
2. Each licensee who transports, or delivers
to a carrier for transport, in a single shipment, a Category 2 quantity of
radioactive material shall:
(i) Use carriers
that have established package tracking systems. An established package tracking
system is a documented, proven, and reliable system routinely used to transport
objects of value. In order for a package tracking system to maintain constant
control and/or surveillance, the package tracking system must allow the shipper
or transporter to identify when and where the package was last and when it
should arrive at the next point of control.
(ii) Use carriers that maintain constant
control and/or surveillance during transit and have the capability for
immediate communication to summon appropriate response or assistance;
and
(iii) Use carriers that have
established tracking systems that require an authorized signature prior to
releasing the package for delivery or return.
(c) Investigations. Each licensee who makes
arrangements for the shipment of Category 1 quantities of radioactive material
shall immediately conduct an investigation upon the discovery that a Category 1
shipment is lost or missing. Each licensee who makes arrangements for the
shipment of Category 2 quantities of radioactive material shall immediately
conduct an investigation, in coordination with the receiving licensee, of any
shipment that has not arrived by the designated no-later-than arrival
time.
(28)
Reporting of Events.
(a) The
shipping licensee shall notify the appropriate LLEA and the Agency within 1
hour of its determination that a shipment of Category 1 quantities of
radioactive material is lost or missing. The appropriate LLEA would be the law
enforcement agency in the area of the shipment's last confirmed location.
During the investigation required by
420-3-26-.15(27)(c),
the shipping licensee will provide agreed upon updates to the Agency on the
status of the investigation.
(b)
The shipping licensee shall notify the Agency within 4 hours of its
determination that a shipment of Category 2 quantities of radioactive material
is lost or missing. If, after 24 hours of its determination that the shipment
is lost or missing, the radioactive material has not been located and secured,
the licensee shall immediately notify the Agency.
(c) The shipping licensee shall notify the
designated LLEA along the shipment route as soon as possible upon discovery of
any actual or attempted theft or diversion of a shipment or suspicious
activities related to the theft or diversion of a shipment of a Category 1
quantity of radioactive material. As soon as possible after notifying the LLEA,
the licensee shall notify the Agency upon discovery of any actual or attempted
theft or diversion of a shipment, or any suspicious activity related to the
shipment of Category 1 quantities of radioactive material.
(d) The shipping licensee shall notify the
Agency as soon as possible upon discovery of any actual or attempted theft or
diversion of a shipment, or any suspicious activity related to the shipment, of
a Category 2 quantity of radioactive material.
(e) The shipping licensee shall notify the
Agency and the LLEA as soon as possible upon recovery of any lost or missing
Category 1 quantities of radioactive material.
(f) The shipping licensee shall notify the
Agency as soon as possible upon recovery of any lost or missing Category 2
quantities of radioactive material.
(g) The initial telephonic notification
required by
420-3-26-.15(28)(a) through
(d) must be followed within a period of 30
days by a written report submitted to the Agency. A written report is not
required for notifications on suspicious activities required by
420-3-26-.15(28)(c) and
(d). The report must set forth the following
information:
1. A description of the licensed
material involved, including kind, quantity, and chemical and physical
form;
2. A description of the
circumstances under which the loss or theft occurred;
3. A statement of disposition, or probable
disposition, of the licensed material involved;
4. Actions that have been taken, or will be
taken, to recover the material; and
5. Procedures or measures that have been, or
will be, adopted to ensure against a recurrence of the loss or theft of
licensed material.
(h)
Subsequent to filing the written report, the licensee shall also report any
additional substantive information on the loss or theft within 30 days after
the licensee learns of such information.
Records
(29)
Form of Records. Each
record required by this rule must be legible throughout the retention period
specified by each Agency rule. The record may be the original or a reproduced
copy or a microform, provided that the copy or microform is authenticated by
authorized personnel and that the microform is capable of producing a clear
copy throughout the required retention period. The record may also be stored in
electronic media with the capability for producing legible, accurate, and
complete records during the required retention period. Records such as letters,
drawings, and specifications, must include all pertinent information such as
stamps, initials, and signatures. The licensee shall maintain adequate
safeguards against tampering with and loss of records.
(30)
Record Retention. Licensees
shall maintain the records that are required by these rules for the period
specified by the appropriate rule. If a retention period is not otherwise
specified, these records must be retained until the Agency terminates the
facility's license. All records related to this rule may be destroyed upon
Agency termination of the facility license.
Enforcement
(31)
Inspections.
(a) Each licensee shall afford to the Agency
at all reasonable times opportunity to inspect Category 1 or Category 2
quantities of radioactive material and the premises and facilities wherein the
radioactive material is used, produced, or stored.
(b) Each licensee shall make available to the
Agency for inspection, upon reasonable notice, records kept by the licensee
pertaining to its receipt, possession, use, acquisition, import, export, or
transfer of Category 1 or Category 2 quantities of radioactive
material.
(32)
Violations. An injunction or other court order may be obtained
prohibiting any violation of any provision of the Act or any rule or order
issued thereunder. Any person who willfully violates any provision of the Act
or any rule or order issued thereunder may be guilty of a felony, misdemeanor
or crime and, upon conviction, may be punished by fine or imprisonment or both,
as provided by law.
Appendix A
Category 1 and Category 2 Radioactive Materials Table
1-Category 1 and Category 2 Threshold
The terabecquerel (TBq) values are the regulatory standard. The
curie (Ci) values specified are obtained by converting from the TBq value. The
curie values are provided for practical usefulness only.
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Author: David Allen Turberville
Statutory Authority:
Code of Ala.
1975,
§§
22-14-4,
22-14-6,
22-14-7,
22-14-8,
22-14-9,
22-14-11,
22-14-12,
22-14-13,
22-14-14,
22-2-1,
22-2-2,
22-2-5,
22-2-6.