Current through Register Vol. 41, No. 3, September 23, 2024
A. All
permitted regulated medical waste management facilities, such as regulated
medical waste transfer stations or treatment facilities, shall prepare and
maintain a written regulated medical waste management plan. The plan shall
include a certification page signed by a responsible official. This signature
shall certify the plan meets the requirements of this chapter. The plan shall
be maintained in the operating record and shall be made available for review by
the department upon request. The plan shall include, at a minimum, the items in
subsections B through G of this section.
B. A written waste acceptance plan, which
includes, at a minimum:
1. Types and
quantities of regulated medical waste to be managed, including sources of the
waste and proposed service areas (if waste is accepted from offsite). The plan
shall identify:
a. Acceptable waste types for
treatment onsite (if applicable); and
b. Acceptable wastes types to be transferred
to another approved facility for treatment or management offsite. The plan
shall include a description of the offsite facility that will receive the
waste, including the name, address, and telephone number for the receiving
facility and how specific waste types will be managed.
2. Protocols for identification and
segregation of regulated medical waste from other types of waste, including
radioactive wastes, hazardous wastes, and other solid waste. The plan shall
include a description of how incoming waste will be monitored to detect the
presence of radioactive materials and actions that will be taken to verify the
source of any alarm.
3. Procedures
for handling Category A waste in accordance with
9VAC20-121-160.
4. Facilities that accept regulated medical
waste from offsite shall include the following:
a. A description of onsite traffic control,
schedules, and routing for waste delivery vehicle flow and methods of
enforcement of traffic flow plans for the waste delivery vehicles;
b. Procedures for arrival confirmatory
inspections of each delivery vehicle and their loads to ensure that the waste
has been packaged and transported in accordance with the U.S. Department of
Transportation Hazardous Materials Regulations and this chapter;
c. A description of how the waste will be
off-loaded, weighed, and compared to the shipping paper that accompanies the
waste and how any discrepancies will be resolved; and
d. For each generator or customer, the
facility shall maintain a signed certificate, contract, or equivalent document
for each load or inclusive of all loads received from the generator in which
the generator affirms that the loads do not contain unauthorized
waste.
5. Procedures for
handling regulated medical waste received from onsite or offsite that is not
packaged, labeled, or marked correctly; leaking, dented, ripped, torn, bulging,
or otherwise damaged; or not accompanied by a shipping paper.
C. A written description of the
procedures for the detection and management of unauthorized waste in accordance
with 9VAC20-121-230 K. The plan shall
contain, at a minimum:
1. A list of
unauthorized waste types that are not acceptable for management at the
facility.
2. Methods used by the
operator to prevent management of unauthorized wastes, such as routine
monitoring and observation of incoming waste, generator agreements, and
informational materials.
3.
Procedures to detect and address any unauthorized waste discovered at the
facility, including the protocol for identifying and contacting the generator
and to prevent recurrence.
4.
Procedures for containing and storing each type of unauthorized waste, such as
radioactive or hazardous waste, until it is removed for proper management,
including designated storage locations, storage timeframes, packaging, and
labeling.
5. Instructions for
documenting and notifying the department of receipt and ultimate disposition of
unauthorized waste.
D. A
written operations plan that includes, at a minimum:
1. A general description of the overall
process and equipment used. The plan shall include the following: hours of
operation; process rate; procedures for daily startup; methods, containers, and
other devices for the collection, off-loading, tipping, and conveyance of
regulated medical waste from the point of generation or receipt to areas for
processing; normal loading, unloading, and waste handling procedures; and
timeframes for transfer or treatment.
2. Protocols for packaging and labeling
regulated medical waste for treatment onsite or transport offsite, including
protocols for labeling or marking wheeled carts, containers, conveyance
systems, or other items used for moving regulated medical waste.
3. Procedures for temporary onsite storage of
regulated medical waste until it is collected for treatment onsite or transport
offsite. The plan shall identify each storage location and capacity, the
maximum length of time the waste will be stored, and procedures used to
document compliance with required storage timeframes.
4. Methods and equipment used to empty,
clean, and disinfect reusable containers in accordance with
9VAC20-121-130, including types and
quantities of reusable containers and disinfectant to be used, disinfection
procedures utilized between uses, and final disposal in case of damage or wear
and tear. The plan shall also include a description of appropriate personal
protective equipment, such as puncture and leak resistant gloves, safety
glasses or face shield, protective coveralls or bib, protective footwear, and
mask or respiratory protection as needed, used to protect personnel when
cleaning and disinfecting reusable containers.
5. Procedures for spill prevention and
response and how spilled waste will be collected, packaged, and the spill area
decontaminated in accordance with
9VAC20-121-140. This includes
locations and contents of all spill containment and cleanup kits.
6. Names, addresses, and telephone number of
final treatment or ultimate disposal facilities to be used for untreated waste
and treated residues, facility-generated wastes, unauthorized waste, hazardous
waste, radioactive waste, and other waste bypassed or disposed.
7. A description of equipment and procedures
used to control access to areas used for the storage, transfer, and treatment
of regulated medical waste. The plan shall identify all entry and exit points
where access is controlled.
8.
Methods and equipment used for routine cleaning and disinfection of facility
equipment, floors, vehicles, and other surfaces that come into contact with
regulated medical waste.
9.
Measures used to control and monitor for fire, dust, noise, litter, odors,
vectors, and blowing debris at the facility.
10. Collection and management of effluent,
wash water, and other runoff from facility floors, storage and processing
areas, waste compactors, and reusable container cleaning and disinfection
areas, including location and discharge of drains.
11. Identification of all appropriate
personal protective equipment, such as puncture and leak resistant gloves,
safety glasses or face shield, protective coveralls or bib, protective
footwear, and mask or respiratory protection as needed, and when the items are
used to protect personnel managing regulated medical waste at the facility. The
plan shall also include a description of donning and offing procedures for
personal protective equipment.
12.
A self-inspection plan that at a minimum includes copies of the inspection
checklists that comply with
9VAC20-121-230 U along with a
description of the types of potential problems and corrective actions that may
result from the inspections.
13. A
schedule and description of initial and annual refresher training to be
provided to employees in-person, in a language they can understand, including
interactive training, and the types and numbers of adequately trained
personnel. Initial training shall be provided within seven working days of
employment, and annual refresher training shall be provided within one year
from the date of the last training. Training shall include:
a. Operational procedures in accordance with
9VAC20-121-230 V;
b. Protocols to recognize, manage, document,
and report unauthorized waste in accordance with
9VAC20-121-230 K;
c. Procedures for retraining staff when
noncompliance or other incidents occur; and
d. Any other specialized waste training
specific to the job function.
14. Procedures for recordkeeping in
accordance with
9VAC20-121-340. The procedures
shall address how inventory will be managed and methods used to track, link,
and document specific incoming waste loads to specific outgoing waste
loads.
15. A description of the
type and estimated daily quantity of any facility-generated waste residues and
procedures for handling and disposal of the residues.
E. A written treatment plan for each unit
used to treat regulated medical waste that meets the standards of
9VAC20-121-240 and
9VAC20-121-250 and includes at a
minimum:
1. A detailed description of the
treatment technology to be used, including:
a.
An overview of the treatment process and description of the treatment unit,
including manufacturer, model name or number, and treatment capacity;
b. Procedures for equipment startup and shut
down including warm-up, loading and unloading wastes, and anticipated load size
during routine operation;
c. A
description of built-in automatic controls and fail safe mechanisms to ensure
the waste cannot bypass the treatment process;
d. If applicable, methods used to grind,
shred, or puncture containers or packaging before, during, or after treatment,
along with the methods to prevent exposure to the waste; contain any aerosol,
bioaerosol, or mists caused by the process; and treat or filter any air
evacuated from the chamber during processing;
e. If applicable, methods to transfer from a
grinder or shredder to or from a treatment unit under forced draft ventilation
that removes fumes from the operations area to a safe discharge;
f. Methods for maintaining negative pressure
atmospheric control in the vessel and filtering all vents, discharges, and
fugitive emissions of air from the process units through a high efficiency
particulate air (HEPA) filter with efficiency of 99.97% for 0.3 microns.
Installation and maintenance of filters shall be specified;
g. Methods to manage effluent including
location and discharge of drains; and
h. A description of preventative maintenance
that is performed on the treatment unit, including on engineering and
electronic controls.
2.
Identification of acceptable waste types to be treated and a listing of types
of wastes that shall not be treated.
3. Treatment unit operating parameters (e.g.,
cycle duration, temperature, pressure, chemical concentration, irradiation
exposure time, or other treatment parameters as applicable) and a description
of how the operating parameters will be monitored and recorded, including
number, type, and location of parametric monitoring devices, thermochemical
indicators, and thermochemical recording devices, as applicable for routine
operation.
4. Identification of the
biological indicators to be used and documentation that lack of growth in the
treated indicator corresponds to a 6 Log10 reduction of
viable spores. An explanation of why each indicator is suitable for the
treatment process and wastes to be treated, including referencing any
standards, guidelines, or information from peer reviewed journals, shall be
included. The facility shall also specify the:
a. Type of biological indicators (spore
strip, suspension, or self-contained), including a copy of the supplier's
certificate of performance (or certificate of analysis) that identifies the
organism (genus, species, strain, and population), purity, and for thermal
treatment systems (including autoclaves) the D-value, and Z-value;
b. Estimated shelf life and storage
conditions to be maintained;
c.
Culture medium, incubation procedures, and incubation time (for self-contained
biological indicators) and the media, growth, and culture conditions (for
non-self-contained biological indicators), including how the results are to be
interpreted and recorded;
d.
Carrier system or material and primary packaging;
e. Relative resistance to temperature,
pressure, chemicals, irradiation, infectious agents, or any other conditions
used in the treatment process; and
f. Number, location, and placement of
untreated (control) and treated indicators relative to the coldest spot in the
treatment unit as identified by the manufacturer.
5. Number, type, and placement of
thermochemical indicators, including a description of how results will be
interpreted and recorded.
6. A
validation plan that includes a detailed description of the validation testing
protocol used to demonstrate effective treatment by each treatment unit that
meets the standards of
9VAC20-121-260 and includes:
a. Surrogate waste load composition,
including packaging type, porosity, relative percentages of inorganic and
organic components, moisture content, thermal resistance, and a relative
breakdown of solid components, such as blood culture bottles, plastics
(including suction canisters), microbiological waste, and sharps;
b. Load configuration including packing
density, orientation, and load size;
c. Number, type, and location or placement of
biological indicators; thermochemical indicators; thermochemical recording
devices; and any other methods used to monitor operating parameters and
accuracy of parametric monitoring devices during validation runs to ensure that
the gauge or electronic read-out is a true reflection of conditions inside the
treatment unit;
d. A description of
how the results will be interpreted and documented; and
e. Identification of who will conduct the
validation testing.
7. A
detailed description of the periodic challenge testing procedures used to
evaluate the effectiveness of each treatment device under full loading, which
meets the standards of
9VAC20-121-270 and includes:
a. Frequency of challenge testing to be
performed;
b. Number, type, and
location or placement of biological and thermochemical indicators, and other
methods used to monitor operating parameters;
c. A description of how the results will be
interpreted and documented;
d.
Procedures used to address challenge test failures, including evaluating and
correcting any issues with the treatment cycle and unit, and management of
untreated regulated medical waste to include temporary storage or diversion to
another approved facility for treatment or disposal; and
e. Procedures for reporting failing results
of challenge testing to the department in accordance with
9VAC20-121-340.
8. Identification of all
appropriate personal protective equipment, such as puncture and leak resistant
gloves, safety glasses or face shield, protective coveralls or bib, protective
footwear, and mask or respiratory protection as needed, and when the items are
used to protect personnel.
9.
Safety procedures used to minimize occupational exposure and prevent physical
injury to operators during loading, unloading, and treatment cycle.
10. Procedures for handling and disposing of
treated wastes, including packaging, labeling, and transport.
11. A copy of the treated waste disposal plan
in accordance with
9VAC20-121-280 D.
F. A written emergency contingency
plan that describes the organized, planned, coordinated courses of action to be
followed in the event of emergencies and nonoperation. In addition to
submission to the department, the plan shall be provided to the local police
and fire departments, local emergency manager, and local emergency health
coordinator. The plan shall include:
1.
Procedures to minimize hazards to human health and the environment from utility
failure, fires or explosions, spills, leaks and releases, and exposure to
regulated medical waste.
2. A
description of the actions facility personnel shall take in the event of
various emergency situations (fire, explosion, catastrophic loss, temporary
shutdown, release of regulated medical waste or regulated medical waste
constituents, or other incident that could threaten human health or the
environment), including evacuation procedures.
3. A list of available fire protection and
emergency equipment, and appropriate uses, such as fire extinguishers,
emergency safety showers, eye wash stations, spill control materials, and alarm
systems.
4. Procedures to be
employed in the event of equipment breakdown or maintenance events, including
standby equipment, extension of operating hours, or diversion of waste to
another facility.
5. A list of
onsite and offsite backup equipment with names and telephone numbers where
offsite equipment may be obtained.
6. Provisions for loading, unloading,
storage, transfer, treatment, or other disposal capabilities to be used during
emergency situations, including when the facility downtime exceeds 24
hours.
7. The designation of
alternate treatment areas or plans for transfer of stored waste in the event
facility or system downtime exceeds 72 hours.
8. Procedures for spill cleanup and
decontamination following a release of regulated medical waste.
9. A description of arrangements made with
the local police and fire department that allow for immediate entry into the
facility by their authorized representatives should the need arise, such as in
the case of response personnel responding to an emergency situation.
10. The telephone numbers for local fire and
police departments.
11. An
identification of personnel designated as emergency coordinators. A list of
names, addresses, and phone numbers (office and home) of all persons qualified
to act as an emergency coordinator for the facility. Where more than one person
is listed, one shall be named as primary emergency coordinator and the other
shall be listed in the order in which they will assume responsibility as
alternates. The emergency coordinator must be onsite or on-call and is
responsible for responding to emergencies and coordinating emergency response
measures.
12. A description of
where and how emergency response information will be posted.
G. A written closure plan that
identifies the steps necessary to completely close the facility or unit at its
full operation under the permit conditions, which includes:
1. Procedures for removal of regulated
medical waste, treated residue, and other materials for proper treatment or
disposal;
2. Methods for cleaning
and disinfecting the unit or facility and all related equipment, structures,
and surfaces;
3. A description of
any sampling to be conducted to ensure the facility has been
decontaminated;
4. A schedule for
final closure including, as a minimum, the anticipated date when wastes will no
longer be received, the date when completion of final closure is anticipated,
and intervening milestone dates that will allow tracking of the progress of
closure; and
5. Actions necessary
for facility abandonment or uses other than for regulated medical waste
management.
Statutory Authority: § 10.1-1402 of the Code of
Virginia; 42 USC §
6941 et seq.; 40 CFR Part
257.