Current through Register Vol. 42, No. 11, August 30, 2024
(1) All lead hazard reduction activities
shall be performed pursuant to the work practice standards contained in this
section.
(2) When performing any
lead hazard reduction activity, an accredited individual of a certified firm
must perform that activity in compliance with the appropriate documented
methodologies. Documented methodologies appropriate for this section are found
in:
(a) The U. S. Department of Housing and
Urban Development (HUD) Guidelines for the Evaluation and Control of Lead-Based
Paint Hazards in Housing, and Chapter 7 Lead-Based Paint Inspection.
(b) The U.S. Environmental Protection Agency
(EPA) 40 CFR Part 745 Lead; Identification of Dangerous Levels of Lead; Final
Rule.
(3) Types of
detection/testing methods include but are not limited to:
(a)
Laboratory
analysis. Only NLLAP-approved laboratories recognized by the EPA
pursuant to Section 405(b) TSCA, as capable of performing analysis for lead
compounds in paint chip, dust, and soil samples may be used. Each sample must
be accompanied by a chain-of-custody documentation.
(b)
X-ray fluorescence (XRF)
spectroscopy. XRF instruments may be used for on-site lead
detection following the manufacturer's protocol. Inconclusive or questionable
results should be verified through the testing of paint chip samples by a
NLLAP-approved laboratory. This paragraph shall not be construed as to relieve
the XRF user of any duty to comply with other applicable requirements. XRF
testing is not approved at this time for clearance purposes. Should EPA approve
XRF methodology for clearance testing it will be adopted by
reference.
(4)
Clearance levels. The EPA Standards on Residential
Lead-Based Paint, Lead Contaminated Dust, and Lead Contaminated Soil, or other
equivalent standards according to Lead; Identification of Dangerous Levels of
Lead or according to
40
CFR §
745.227.
(5)
Authority to
Enter. The Health Officer or his designee, after proper
identification, shall be permitted to enter an abatement area at any reasonable
time for the purpose of conducting investigations to determine compliance with
these rules. The Health Officer or his designee, shall be permitted to examine
the records of the firm to determine compliance with these rules.
(6)
Inspection. A
lead-based paint inspection shall be conducted only by persons accredited by
Safe State and registered as an inspector or risk assessor, and must be
conducted under a certified firm according to the procedures in this Section.
(a) When conducting a lead-based paint
inspection, the following locations shall be selected according to documented
methodologies and tested for the presence of lead-based paint:
1. For every residential dwelling and
child-occupied facility, each component with a distinct painting history in
every room and each exterior component with a distinct painting history shall
be tested for lead-based paint except those components that the inspector or
risk assessor determines to have been replaced after 1977, or to not contain
lead-based paint; and
2. If
conducting an inspection in a child-occupied facility or multi-family dwelling,
all components with a distinct painting history in every common area except
those components that the inspector or risk assessor determines to have been
replaced after 1977, or to not contain lead-based paint.
(i) The collection and analysis of paint
samples to determine the presence of lead-based paint shall be conducted using
documented methodologies which incorporate adequate quality control procedures
as stated in paragraph (2) of this Section.
(ii) The accredited inspector shall prepare
an inspection report which shall include the following information:
I. Date of inspection.
II. Addresses of buildings and units,
including street address or location, city, county, and state.
III. Date of construction of buildings and
units.
IV. Unit numbers (if
applicable).
V. Name, address, and
telephone number of the owner and property manager of buildings and
units.
VI. Name and signature of
each accredited inspector and risk assessor conducting testing, including
accreditation number and registration expiration date.
VII. Name, address, telephone number, and the
Department issued certification number of the certified firm employing each
inspector or risk assessor.
VIII.
Name, address, and telephone number of each NLLAP-approved laboratory
conducting an analysis of collected samples.
IX. Each testing method and device and
sampling procedure employed for paint analysis, including quality control data,
and if used, the make, model, and serial number of any XRF device.
X. Specific locations of each painted
component tested for the presence of lead-based paint.
XI. The results of the inspection expressed
according to the sampling method used.
(7)
Lead
hazard screens can only be conducted by persons accredited and
registered by Safe State as a risk assessor, and must be conducted under a
certified firm as follows:
(a) Background
information regarding the physical characteristics and occupant use patterns of
the residential unit or child-occupied facility that may cause lead-based paint
exposure to one or more children age 6 and under; and a visual inspection of
the unit shall be conducted to determine if any deteriorated paint is present,
and to locate at least two dust sampling locations. Background information
shall also include a schematic site plan, the age of the original structure and
its additions, and a copy of any previous lead-based paint test
results.
(b) If paint in poor
condition is present, each surface with deteriorated paint shall be tested for
the presence of lead-based paint using documented methodologies which
incorporate adequate quality control procedures.
(c) In residential dwellings, dust samples
shall be collected, one from the floors and the other from the windows, in
rooms or areas where children age 6 and under are most likely to come in
contact with dust.
(d) In
multi-family dwellings and child-occupied facilities, in addition to the floor
and window samples, the risk assessor shall also collect dust samples in common
areas where one or more children age 6 and under are most likely to come in
contact with dust.
(e) Dust and
paint samples shall be collected using documented methodologies that
incorporate adequate quality control procedures and shall be analyzed by a
NLLAP-approved laboratory to determine the presence of a quantifiable amount of
lead.
(f) The threshold for lead
hazard screens will be according to Section
420-3-27-.13 of this
chapter.
(g) The risk assessor
shall prepare a lead hazard screen report which shall include all relevant
information as listed in paragraph (8) of this section and recommendations for
a follow-up risk assessment, if warranted, and any further actions as
appropriate.
(8)
Risk assessments shall be conducted only by persons
accredited and registered by Safe State as a risk assessor, and conducted under
a certified firm as follows:
(a) A visual
inspection of the residential dwelling or child-occupied facility shall be
undertaken to locate the existence of paint in poor condition, assess the
extent and causes of the deterioration, and other potential sources of
lead-based paint hazards.
(b)
Background information, regarding the physical characteristics of the
residential dwelling or child-occupied facility and occupant use patterns that
may pose a lead-based paint hazard to children age 6 years and under, shall be
collected.
(c) Each surface with
paint in poor condition, and with a distinct painting history, shall be tested
for the presence of lead. All other surfaces determined to be a potential
lead-based paint hazard and having a distinct painting history, shall be tested
for the presence of lead.
(d) For
single-family dwelling, dust samples from the window sills, window troughs
(wells), and/or floors shall be collected in all living areas where children
age six and under are most likely to come into contact with dust.
(e) For multi-family dwellings and
child-occupied facilities, the samples required in the above paragraph shall be
taken. In addition, window and floor dust samples shall be collected in the
following locations:
1. Common areas adjacent
to the sampled residential dwelling or child-occupied facility; and
2. Other common areas in the building where
the risk assessor determines that one or more children, age 6 years and under,
are likely to come into contact with dust.
(f) For child-occupied facilities, window and
floor samples shall be collected in each room, hallway, or stairwell utilized
by one or more children, 6 years of age or younger, and in other common areas
in the child-occupied facility where the risk assessor determines one or more
children, age 6 or under are likely to come into contact with dust.
(g) Dust and paint samples shall be collected
using documented methodologies that incorporate adequate quality control
procedures and shall be analyzed by a NLLAP-approved laboratory to determine
the presence of a quantifiable amount of lead.
(h) Soil samples shall be collected and
analyzed for lead concentrations in the following locations:
1. Exterior play areas where bare soil is
present; and
2. Dripline/foundation
areas where bare soil is present. The rest of the yard (i.e., non-play areas)
where bare soil is present.
(i) Soil samples shall be collected using
documented methodologies that incorporate adequate quality control procedures
and shall be analyzed by a NLLAP-approved laboratory to determine the presence
of a quantifiable amount of lead.
(j) Any paint, dust, or soil samples shall be
taken using documented methodologies that incorporate adequate quality control
procedures.
(k) The accredited risk
assessor shall prepare a risk assessment report which shall include the
following information:
1. Date of
assessment.
2. Addresses of
residences and buildings.
3. Date
of construction of residences and buildings.
4. Unit numbers (if applicable).
5. Name, address, and telephone number of the
owner of residences and buildings.
6. Name, signature, and accreditation number
of the risk assessor conducting the assessment.
7. Name, address, telephone number, and
certification number of the certified firm employing each risk
assessor.
8. Name, address, and
telephone number of each NLLAP-approved laboratory conducting analyses of
collected samples.
9. Results of
the visual inspection.
10. Testing
method and sampling procedure for paint analysis employed.
11. Specific locations of each painted
component tested for the presence of lead-based paint.
12. All data collected from on-site testing
(including XRF serial number and quality control data, if used).
13. All results of laboratory analysis on
collected paint, soil, and dust samples.
14. Any other sampling results.
15. Any background information collected
pursuant to (b) of this Section.
16. To the extent that they are utilized as
part of the lead-based paint hazard determination, an evaluation of the
adequacy of any previous inspections or analyses for the presence of lead-based
paint, or other assessments of lead-related hazards.
17. A description of the location, type, and
severity of identified lead-based paint hazards and any other potential lead
hazards.
18. A description of
recommended interim controls and abatement options for each identified
lead-based paint hazard, and a suggested prioritization for taking each action
based on the immediacy and severity of the hazard.
19. Any other information deemed
necessary.
(9)
Abatement shall be conducted only by an individual
accredited and registered by Safe State as a worker or supervisor, and shall be
conducted under a certified firm as follows:
(a) Plans and specifications shall be unique
and specific for each project and signed by an accredited project designer.
Plans and specifications shall be submitted to the Department at least 15
calendar days prior to the commencement of abatement activities.
(b) An accredited supervisor is required for
each abatement project and shall be onsite during all work site preparation and
during the post-abatement cleanup of work areas. At all other times when
abatement activities are being conducted, the accredited supervisor shall be
onsite or available by telephone, pager, or answering service and able to be
present at the work site within 1 hour.
(c) The accredited supervisor, and the
certified lead hazard reduction contractor or firm employing that supervisor,
shall ensure that all abatement activities are conducted according to the
requirements of this section and all other federal, state and local
requirements.
(d) Notification of
the intent to perform lead-based paint abatement activities in child-occupied
facilities, residential dwellings or as a result of a federal, state, or local
order shall be given to the Department, according to the procedures established
in 420-3-27-.11, prior to the
commencement of abatement activities.
(e) A written occupant protection plan shall
be developed by an accredited project designer or accredited supervisor for all
abatement projects, and shall be prepared as follows:
1. The occupant's protection plan shall be
unique to each residential dwelling, multi-family dwelling (with the same
construction type, painting history, and abatement plan) or child-occupied
facility and developed prior to the abatement; and
2. The occupant protection plan shall
describe the measures and management procedures that will be taken during the
abatement to protect the building occupants and their belongings from exposure
to any lead-based paint hazards.
(f) The work practices listed below shall be
restricted during abatement:
1. Open-flame
burning or torching is prohibited.
2. Machine sanding, grinding, abrasive
blasting, or sandblasting is prohibited unless used with High Efficiency
Particulate Air(HEPA)exhaust control capable of removing particles of 0.3
microns or larger from air at 99.97 percent or greater efficiency.
3. Dry scraping of lead-based paint is
permitted only in conjunction with heat guns, around electrical outlets, or
when treating defective paint spots totaling no more than 2 square feet in any
one room or no more than 20 square feet on exterior surfaces.
4. Operating a heat gun is permitted only at
a temperature below 1100 degrees Fahrenheit.
5. Certain paint strippers as defined at
24 CFR
35.140 (Prohibited Methods of Pain Removal)
of the HUD Lead Safe Housing Rule.
(g) If soil abatement is conducted, it must
be performed in one of the following ways:
1.
If soil is removed, the lead-contaminated soil shall be replaced with
non-contaminated soil; or,
2. If
soil is not removed, the contaminated soil shall be permanently
covered.
(10)
Post-abatement clearance procedures shall be performed
by an accredited inspector or risk assessor of a certified firm in accordance
with documented methodologies:
(a) Following
an abatement, a visual inspection shall be performed to determine if
deteriorated painted surfaces, debris, residue, or visible amounts of dust are
still present. If deteriorated painted surfaces, debris, residue, or visible
amounts of dust are present, these conditions must be eliminated and re-cleaned
prior to the continuation of the clearance procedures.
(b) Following the visual inspection,
clearance sampling for dust shall also be conducted. Clearance sampling shall
be conducted by single-surface sampling.
(c) Dust samples for clearance purposes shall
be taken a minimum of one hour after completion of the final post abatement
clean-up activities.
(d) The
following locations shall be sampled for lead-contaminated dust and soil as
appropriate based upon the extent or manner of abatement activities in or on
the residential dwelling or child-occupied facility:
1. After conducting an abatement with
containment between abated and unabated areas, one sample shall be taken from
one window (if available) and one dust sample shall be taken from the floor of
no less than four rooms, hallways or stairwells within the containment area. If
there are less than four rooms, hallways, or stairwells within the containment
area, then all rooms, hallways, or stairwells shall be sampled. In addition,
one sample shall be taken from the floor outside the containment area (within
10 feet of the containment area).
2. After conducting an abatement with no
containment, two dust samples shall be taken from no less than four rooms,
hallways, or stairwells in the residential dwelling or child-occupied facility.
One sample shall be taken from one window (if available) and one floor of each
room. If there are less than four rooms, hallways, or stairwells in the
dwelling, all rooms, hallways, and stairwells shall be sampled.
3. Following an exterior paint abatement, a
visual inspection shall be conducted. All horizontal surfaces in the outdoor
living area closest to the abated surface shall be found to be cleaned of
visible dust and debris. In addition, a visual inspection shall be conducted to
determine the presence of paint chips on the dripline or next to the foundation
below any exterior surface abated. If paint chips are present, they must be
removed from the site and properly disposed of in accordance with applicable
state standards. After visual inspection is completed a minimum of one exterior
dust (exterior window troughs or porch floors), one interior dust and one
composite soil sample shall be taken.
(e) Dust sampling shall be performed using
documented methodologies which incorporate adequate quality control
procedures.
(f) The accredited
inspector or risk assessor shall compare the residual lead level (as determined
by the laboratory analysis) from each dust and soil sample with applicable
clearance levels. If the residual levels exceed the clearance level, all areas
represented by the failed sample shall be recleaned and retested until
clearance levels are met. If the residual soil levels exceed clearance
standards, soil abatement must be accomplished.
(g) Soil sampling shall be performed
according to documented methodology which incorporates adequate quality control
procedures.
1. If soil abatement is performed
the residual soil lead levels shall not exceed clearance standards.
2. If exterior lead abatement is performed,
the residual soil lead levels shall not exceed clearance standards or
pre-abatement soil lead levels.
(h) In multi-family dwellings with similarly
constructed and maintained residential dwellings, random sampling for the
purpose of clearance may be conducted provided:
1. The individuals who abate or clean the
residential dwelling do not know which residential dwellings will be selected
for the random sample.
2. A
sufficient number of residential dwellings are selected for dust sampling to
provide a 95 percent level of confidence that no more than 5 percent or 50 of
the residential dwellings (whichever is smaller) in the randomly sampled
population exceed the appropriate clearance levels.
(i) The randomly selected residential
dwellings shall be sampled and evaluated for clearance according to the
procedures outlined in
420-3-27-.10(10)(d) and
(f).
(j) Dust, paint, and soil samples shall be
collected using documented methodologies that incorporate adequate quality
control procedures and shall be analyzed by a NLLAP-approved laboratory to
determine the presence of a quantifiable amount of lead.
(k) Management and disposal of abatement
debris and waste shall be done using documented methods as outlined in the
Resource Conservation Recovery Act (RCRA) or other methods approved by EPA
Subtitle C ( 40 CFR part 261).
(l)
A post abatement report shall be prepared by an accredited supervisor or
project designer and submitted to the Department within 30 calendar days of the
final clearance. The abatement report shall include the following information:
1. Start and completion dates of
abatement.
2. The name and address
of each certified firm conducting the abatement and the name and accreditation
number of each supervisor assigned to the abatement project.
3. The occupant protection plan prepared
pursuant to Rule
420-3-27-.10(9)(e).
4. The name, address, accreditation number,
and signature of each accredited risk assessor or accredited inspector
conducting clearance sampling and the date of clearance testing.
5. The results of clearance testing and all
soil analysis (if applicable) and the name and address of each recognized
NLLAP-approved laboratory that conducted the analysis.
6. A detailed written description of the
abatement, including abatement methods used, locations of rooms and components
where abatement occurred, reason for selecting particular abatement methods for
each component, and any suggested monitoring of encapsulant or
enclosures.
(m) For long
term intermittent projects a completed post abatement report must be submitted
to the Department after each project phase in accordance with
420-3-27-.10 (Standards for
Conducting Lead Hazard Reduction Activities in Target Housing an Child-occupied
Facilities).
(n) Collection and
laboratory analysis of samples shall be carried out pursuant to Rule
420-3-27-.10(2).
(11) De minimis levels. Work practice
requirements, applicable certification, occupant protection, and clearance
requirements are found in this chapter and in regulations issued by EPA at 40
CFR part 745, subpart L and in regulations issued by the Department of Housing
and Urban Development (HUD) at 24 CFR part 35, subpart R. The work practice
standards in those regulations do not apply when lead hazard reduction
activities disturb painted surfaces that total less than:
(a) 20 square feet (2 square meters) on
exterior surface;
(b) 2 square feet
(0.2 square meters) in any one interior room or space, or
(c) 10 percent of the total surface area on
an interior or exterior type of component with small surface areas (examples
include window sills, baseboard, and trim).
Authors: Phyllis Mardis, Salvador Gray, Charles
Brookins, Gary Jones, Michael Cassidy, Steven McDaniel
Statutory Authority:
Code of Ala
1975, §
22-37A-1, et
seq.