Current through Register Vol. 49, No. 9, September, 2024
I.
Criteria for Identifying
Hazardous Employers
A. The
Health and Safety Division (HSD) of the Arkansas Workers' Compensation
Commission (the Commission) pursuant to Ark. Code Ann. §
11-9-409(c)
shall identify hazardous employers based on criteria established by the
Commission, in this rule. Each employer identified, continued, or monitored
shall have the right to verify employment, illness, and injury data used by the
HSD, obtain a review of the findings of the HSD by the Chief Executive Officer
(C.E.O.) of the Commission, and request a hearing before the Full Commission to
contest the findings of the C.E.O.
A request for review by the C.E.O. or hearing before the Full
Commission shall be in writing, setting out the grounds therefor, and shall be
filed within fifteen (15) days of the action from which the request is made.
The C.E.O. or the Full Commission, as applicable, shall decide the issues
within fifteen (15) days of receipt of the request for review or
hearing.
DEFINITIONS:
1. Number of Employees - Number of employees
reported to the Employment Security Department. Volunteers, elected officials,
and board members of public entities shall not be counted.
2. incident - A work-related illness or
injury for which compensation is paid, as set out in Ark. Code Ann. §
11-9-501.
For an illness or injury to be compensable, the affected employee must miss
eight (8) or more calendar days Of work. Each illness or injury which results
in permanent partial disability without lost time, shall also be deemed
incident for purposes of this rule. Illness or injuries to volunteers, elected
officials, or board members of public entities shall not be counted.
3 . Number of Incidents - The total number of
incidents reported per employer during a calendar year. The number of incidents
will be tabulated on a site-specific basis unless reported by the employer in a
different manner.
4. Expected
Incidence Rate - The benchmark illness and injury rate for each SIC code. The
Expected incident Rate is obtained from data compiled from national statistics
as reported to the Occupational Safety and Health Administration (OSHA) and
published by the Bureau of Labor Statistics (BLS). Lost work day cases are
defined by OSHA/BLS as those illness and injury cases which result in one or
more days away from work. Lost work day cases do not include cases where the
employee works in restricted or light duty. If data is not available from the
BLS publication, other suitable sources are used to determine the Expected
Incident Rate.
5 . Employer
Incidence Rate - Derived for each employer according to the following formula:
(Number of Incidents/Number of Employees) x 100
Site-specific computations will be made only if data is reported
to the Commission by individual location.
6. Hazard Index - Derived annually and based
on the preceding year's incidence rates for each employer according to the
following formula:
Employer Incidence Rate/Expected Incidence Rate
Site-specific computations will be made only if data is reported
to the Commission by individual location.
7. Hazardous Employer - Any employer whose
Hazard Index is 1.0 or greater may be identified as a Hazardous Employer. A
Hazard Index of 1.0 or greater indicates an Employer Incidence Rate which
substantially exceeds the Expected Incidence Rate since Employer Incidence
Rates are based on cases which result in eight (8) or more days away from work
while Expected Incidence Rates are based on cases which result in one or more
days away from work.
B.
The following criteria shall be used to evaluate employers and identify
Hazardous Employers:
1. Employer Incident
Rates and Hazard Indexes will be calculated annually, based on the preceding
year's incidence rates.
2. When
possible, employers with multiple locations in the state shall be evaluated by
individual sites or locations and a Hazard Index will be determined for each
individual site or location. Site-specific evaluation is possible only if data
is reported to the Commission by individual site location.
3 . No employer who has only one incident in
any single calendar year will be identified as a Hazardous Employer. However,
if two or more incidents occur in any single calendar year, all incidents
occurring during that year will be used to calculate the Employer Incident Rate
and Hazard Index.
4. A Hazard Index
of 1.0 or greater indicates an employer whose illness and injury frequencies
during the period evaluated substantially exceeded those that may reasonably be
expected in that employer's business or industry, since Employer Incidence
Rates are based only on those cases which result in eight (8) or more days away
from work while Expected Incidence Rates are based on cases which result in one
or more days away from work.
5.
Employers identified as Hazardous Employers will be ranked in descending order
(from highest to lowest) based on their Hazard Index, with priority attention
given to the higher Hazard Indexes.
C. Employers with a Hazard Index of less than
0.9 will not receive official notification from the HSD of their status. They
may request this information by contacting the HSD by telephone, letter or
fax.
D. Employers with a Hazard
Index of 0.9 to 0.99 will receive a courtesy letter from the HSD notifying them
of their status. This letter will be sent to the employer only. The letter will
contain the following information:
1.
Notification that the employer is close to the 1.0 Hazard Index for Hazardous
Employer designation.
2. Programs
available from the Arkansas Workers' Compensation Commission and Arkansas
Department of Labor, at no cost to the employer, designed to assist employers
to improve their overall health and safety programs, prevent illness and
injuries, and decrease their incident rate.
E. All employers with a Hazard Index of 1.0
or higher will be issued a Warning Notice. Such notice shall be in writing and
sent to the specific site, the employer's central/corporate headquarters, and
the insurance carrier. The notice shall include the following information:
1. Notification that the employer meets the
criteria to be identified as a Hazardous Employer and may be placed in the
Hazardous Employer Program during the twelve (12) months following the
notification.
2. Data {including
number of employees, number of incidents and Expected Incident Rate) used to
determine the Hazard Index.
3.
Programs available from the Arkansas Workers' Compensation Commission and
Arkansas Department of Labor, at no cost to the employer, designed to assist
employers improve their overall safety programs, prevent illness and injuries,
and decrease their incident rate.
II.
Notice to Hazardous
Employers
A. Upon a determination
by the HSD that an employer should be classified as hazardous, the HSD shall
notify the employer and the employer's workers' compensation insurance carrier.
The notice shall be sent to:
1. The employer
by certified mail at the employer's principal place of business; and
2. The loss control department or equivalent
of the employer's workers' compensation insurance carrier or third party
administrator of record in the Commission's files.
B. The notice shall be in writing and shall
inform the employer of the following provisions:
1. State that the employer has been
identified as a Hazardous Employer;
2. State the facts on which the
identification of the Hazardous Employer is based;
3. Outline the steps the employer is required
to take as an identified Hazardous Employer;
4. Inform the employer of the penalties for
failure to take steps required under the Hazardous Employer Program.
III.
Health
and Safety Consultation
A. An
employer who receives notification under Subsection
II. A. of this Rule must obtain a
health and safety consultation within thirty (3 0) days by an Approved
Professional Safety Source (APSS) approved by the HSD for that purpose. The
APSS may be from the Arkansas Department of Labor, from the employer's
insurance carrier, an employee of the employer, or a private
consultant.
B. Upon request, the
HSD shall provide a list of Approved Professional Safety Sources.
C. The APSS shall conduct a hazard survey at
each appropriate job site and prepare a hazard survey report. The report shall
be in writing in a format prescribed by the Commission and shall include a
description of any-hazardous conditions or practices identified, along with
recommendations for controlling the identified hazardous conditions or
practices and projected dates of correction.
D. The hazard survey report(s) and any
attachments shall be filed by the APSS with the Clerk of the
Commission.
E. If the initial
consultation and report cannot be completed in the time allowed under this
section, the employer may apply in writing to the HSD for a waiver of the time
requirements. In no case shall the initial consultation exceed 60 days
following the date of notification.
IV.
Formulation of Health and
Safety Plan
A. Employers who
receive notification under Subsection
II. A. will develop a health and
safety plan within 3 0 days of the date of the APSS' initial report with the
assistance of the same or other Approved Professional Safety Source as referred
to in Section
III. This plan must be consistent
with accepted industry practices. The Health and Safety plan shall include, but
need not be limited to, the following:
1.
Management component - Including a written safety policy statement and
assignment, by position or title, of health and safety responsibilities and
authority;
2. Analysis component -
Including identified operational, health and safety hazards;
3. Program record keeping system
component;
4. Safety and health
education and training component;
5. Safety and health audit/inspection
component Including identification, by title or position, of a qualified
person(s) to conduct the audits/inspections;
6. Incident investigation component -
Including procedures to identify factors contributing to near-misses and
accidents and institute corrective measures; and,
7. Periodic review and revision of the health
and safety program and operational procedures component - to determine
effectiveness of abatement measures.
B. An implementation time line, not to exceed
6 months after the formulation of the plan, shall be developed and included
with the plan.
C. If the employer
disagrees with any or all of the plan, the employer shall sign the plan and
attach a statement containing the specific reasons for disagreement with the
plan and proposed alternative solutions to the health and safety issues cited.
The HSD will review the areas of disagreement and notify the employer and the
APSS of the decision on each area of disagreement.
D. The employer's signature is understood to
exclude those areas of the plan for which there is a stated disagreement,
pending a final determination by the HSD.
E. The employer will begin implementation of
any or all parts of the plan that are not subject to the employer's
disagreement. The time lines specified in the plan shall remain in effect for
those parts of the plan the employer is directed to implement. During the
review of the plan by the HSD, the HSD may direct the employer and the APSS to
implement a procedure in lieu of the part of the plan that is in
disagreement.
F. The employer shall
be responsible for filing the health and safety plan with the HSD within 3 0
days of the date of the consultant's initial report.
G. Reference material for the development of
a health and safety plan may be obtained from the HSD.
V.
Follow-Up Inspection by the
HSD
A. Six months after the
formulation of the employer's health and safety plan, or earlier when requested
by the employer with the concurrence of the APSS, the HSD shall conduct a
follow-up inspection to ensure compliance with, and the effectiveness of, the
health and safety plan at the employer's premises.
B. The inspection shall be conducted and
completed during normal work hours.
C. The employer shall allow the HSD access to
the employer's premises, including remote job sites, and employees during
normal work hours to conduct the follow-up inspection.
D. At the time of the inspection, the HSD may
consider as evidence of compliance, information which includes, but is not
limited to, visual verification, written policies and procedures, attendance
rosters for training programs, employee interviews, and purchase orders or
receipts for equipment or services necessary to support the accident prevention
plan.
VI.
Report of Follow-Up Inspection
A. The employer, the APSS, and the employer's
workers' compensation insurance carrier, shall be provided copies of the report
of the follow-up inspection by the HSD.
B. The report shall be in writing and shall
specify whether the employer has, or has not, implemented the health and safety
plan or other acceptable corrective measures approved by the HSD.
C. If the employer is found not to have
implemented the health and safety plan, the report shall also contain:
1. a notification that the employer's
Hazardous Employer status is being continued;
2. a list of the specific areas of the health
and safety plan which have not been implemented;
3. a list of the specific actions required of
the employer to correct the identified deficiencies.
VII.
Removal From
Hazardous Employer Status
An employer shall be removed from Hazardous Employer status if,
upon inspection the HSD determines that the employer has complied with the
terms of the health and safety plan.
VIII.
Continuation of Hazardous
Employer Status
A. An employer
shall remain on Hazardous Employer status if the employer is found under
Section V. of this Rule (Follow-Up Inspection by the HSD) to have failed or
refused to implement a health and safety plan or other suitable hazard
abatement measures as approved by the HSD.
B. If an employer is not certified for
removal from Hazardous Employer status after the follow-up inspection, the
employer shall take the actions specified in the follow-up inspection report,
or other suitable hazard abatement measures as approved by the HSD, as a
condition for removal from Hazardous Employer status.
C. An employer shall file a progress report
with the HSD every 60 days until the employer has been removed from Hazardous
Employer status. The report shall include:
1.
For Subsection A. of this section only, the list of areas of the health and
safety plan and/or hazard survey report which were identified as not being
fully implemented or abated at the time of the follow-up inspection;
2. additional areas identified in the
follow-up inspection report; and
3.
the steps which are being taken to address them.
D. After the required corrective actions have
been taken, the employer shall notify the HSD and request a re-inspection. The
request for re-inspection shall be made no later than six months after the date
of the follow-up inspection.
IX.
Penalties
The Commission may assess a civil penalty against an employer
who, at any time in the process, fails or refuses to implement the recommended
health and safety plan or other suitable hazard abatement procedures, in an
amount up to one thousand dollars ($1,000.00) per day of violation, payable to
the Death and Permanent Total Disability Trust Fund. Further, the Commission
may petition the appropriate Chancery Court for an order enjoining the employer
from engaging in further employment until such time as the employer implements
the health and safety plan or abatement measure described above and/or makes
payment of all civil penalties. Ark. Code Ann. §
11-9-409(c).
X.
Judicial
Proceedings
The identification as a Hazardous Employer under this rule is not
admissible in any judicial proceeding unless the Commission has determined that
the employer is not in compliance with Rule
32 and that
determination has not been reversed or superseded at the time of the event
giving rise to the judicial proceeding.
XI.
Rule Review
The Arkansas Workers' Compensation Commission encourages all
interested parties to participate in promulgating changes to the Rules
governing the Hazardous Employer program. Those who desire input into said
changes should submit them in writing to the HSD. After analysis, the
Commission may incorporate such changes to the Rule, following public comment,
pursuant to Ark. Code Ann. §
11-9-205.