
Jan de Jong, Inspector General, State Supervision of Mines, the Netherlands
Posted in Regulation, tagged Jan de Jong, Ministerial Forum, MMS, Netherlands, State Supervision of Mines on April 15, 2011| Leave a Comment »

Jan de Jong, Inspector General, State Supervision of Mines, the Netherlands
Posted in accidents, Regulation, tagged Gulfaks B, international regulators' conference, IRF, PSA, vancouver on March 25, 2011| Leave a Comment »
When an investigation has been completed and corrective action is necessary, the PSA (Norway) approach is to make the operator take ownership of the problem. The operator is directed to develop solutions and implementation schedules that are acceptable to the regulator. See the PSA directive to Statoil below following the investigation of the Gullfaks B gas release.
In contrast, there is a tendency in the US for the regulator to take ownership of the problem and thus assume responsibility for developing solutions. The regulator dictates these solutions to the operator (and perhaps the entire industry), sometimes without sufficient discussion or analysis. Of course, US regulators may not have a choice in the matter as the political system often demands that the regulator take action, perhaps before the investigation is even completed (or started!).
Which approach presents the greater opportunity for success? Most regulators would say the former, and that was the consensus view at the International Regulators’ Offshore Safety Conference in Vancouver.
Posted in drilling, Offshore Energy - General, Regulation, tagged Deepwater Horizon, drilling, Gulf of Mexico, House of Representatives, macondo, safety, Tim Murphy on March 1, 2011| Leave a Comment »
Rep. Tim Murphy’s (R-Pa.) bill states that companies with drilling permits approved before early May 2010 can proceed with exploration or production “without further review” by the Interior Department, and “without further review or delay” under various environmental laws. The Hill.com
Posted in Regulation, tagged GAO, government waste, Regulation, safety on March 1, 2011| Leave a Comment »
GAO’s report entitled “Opportunities to Reduce Potential Duplication in Government Programs, Save Tax Dollars, and Enhance Revenue” has just been released. The report identifies $billions in potential savings that could be realized by reducing program duplication.
Comments:
Posted in accidents, Regulation, tagged accidents, blowouts, Deepwater Horizon, drilling, Gulf of Mexico, macondo, NEPA, offshore oil, oil spill, Regulation, well control on February 4, 2011| Leave a Comment »
The future pace of drilling approvals in the Gulf of Mexico might be slowed less by new laws or regulations stemming from last year’s massive spill but by a decades-old law that opens the door to longer environmental reviews and litigation. New York Times
We know the NEPA process is slow and repetitive, but how much value is added? NEPA reviews don’t improve well integrity, BOP performance, or safety management programs; nor do they even address these fundamental safety and pollution prevention considerations, at least not in a substantive way. Why not publish a single, comprehensive online environmental review for drilling and production operations in the region? The review would cover all possible impacts for every type of operation. This detailed “living document” would be continuously updated as new environmental information is acquired, technology advances, and regulations and standards are updated. The public could comment on specific operations as they are proposed, and could otherwise comment on the document at any time. Periodic public meetings could be held as necessary and desirable.
Posted in Regulation, tagged Cullen Report, MMS, offshore oil, Piper Alpha, Regulation, safety on January 31, 2011| Leave a Comment »
Some post-Macondo commentary has characterized MMS employees as regulatory Neanderthals who couldn’t see beyond their checklists, had no understanding of operating systems and the associated process-safety risks, and were dreadfully behind their industry and regulatory peers. The reality is quite different, as those who worked with or for the MMS know. Someone who did both, Doug Morris, an engineer and attorney with extensive industry and regulatory experience, shared this excerpt from an April 1988 Federal Register notice. The Notice publishes the outcome of a 5-year regulatory review that updated and consolidated all MMS operating requirements for offshore oil and gas operations. One of objectives was to establish performance standards for all types of operations to encourage innovation and discourage a “compliance mentality.” Keep in mind that this Notice was published before Piper Alpha, the Cullen report, and the worldwide wave of regulatory reform that followed.
The following summarizes the major changes from current rules:
(1) Performance Standards. Performance standards were added which describe the safety, environmental, property, and resource protection goals intended to be achieved by specified design and engineering requirements. These additions are intended to identify the purpose of the detailed requirements and thus provide a basis for approving an alternative method for achievement of the stated purpose. New, different, better, and more efficient techniques and practices are intended to be available to lessees on the basis of these performance standards.
(a) Performance Requirements. A “Performance requirements” section was added. This section clarifies that the specific detailed requirements of the rule do not preclude the approval for use of alternate or new techniques, procedures, equipment, or activities when the lessee satisfies MMS that the proposed alternate approach provides equal or greater protection than that provided by the requirements specified in the rule. The establishment of performance standards in addition to specific detailed requirements is intended to remove obstacles to innovation and ensure that MMS’s regulations are not unnecessarily prescriptive.
Posted in Offshore Energy - General, Regulation, tagged BOEM, BOEMRE, BSEE, Department of the Interior, MMS on January 19, 2011| Leave a Comment »
Salazar and Bromwich also announced that they are establishing a permanent advisory body through which the nation’s leading scientific, engineering, and technical experts will provide input on improving offshore drilling safety, well containment, and spill response. Secretary Salazar has asked former Sandia National Laboratory Director Tom Hunter to lead the body, which will be called the Offshore Energy Safety Advisory Committee (Safety Committee).
The new Bureau of Ocean Energy Management (BOEM) will be responsible for managing development of the nation’s offshore resources in an environmentally and economically responsible way. Functions will include: Leasing, Plan Administration, Environmental Studies, National Environmental Policy Act (NEPA) Analysis, Resource Evaluation, Economic Analysis and the Renewable Energy Program.
The new Bureau of Safety and Environmental Enforcement (BSEE) will enforce safety and environmental regulations. Functions will include: All field operations including Permitting and Research, Inspections, Offshore Regulatory Programs, Oil Spill Response, and newly formed Training and Environmental Compliance functions.
Posted in accidents, Regulation, well control incidents, tagged Australia, Martin Ferguson, Montara, Norman Moore, offshore oil, safety, Western Australia on November 24, 2010| Leave a Comment »
We are yet to be persuaded by this, or any other report, that a national regulator would be the way to go. Norman Moore
Posted in accidents, Regulation, tagged Canada, CNLOPB, helicopter crash, Newfoundland, regulatory philosophy, Robert Wells on November 18, 2010| Leave a Comment »
Judge Wells’ report is quite expansive in a way that may be unprecedented for a helicopter accident review. His commission delves into cultural and organizational issues and regulatory philosophy. Consistent with the international trend, the commission recommends a separate safety authority (page 302):
It is recommended that a new, independent, and stand alone Safety Regulator be established to regulate safety in the C-NL offshore. Such a Safety Regulator would have to be established, mandated, and funded by both Governments by way of legislative amendment, regulation, or memorandum ofunderstanding, or other means.
In his background remarks, Judge Wells makes this comment on regulatory culuture:
I have come to believe that regulation to be effective must encompass more than a list of do’s and don’ts. It must set in place and lead an inclusive regime of many players, some very important, others less so. All the available knowledge, skills, and wisdom of all participant sshould be harnessed in the safety cause.
Posted in accidents, Regulation, tagged Deepwater Horizon, Gulf of Mexico, IMO, macondo, offshore oil, Regulation on November 17, 2010| Leave a Comment »
In conveying our deep condolences and solidarity to the United States Government and while sharing in the anguish of those whose livelihoods had been seriously affected, I asked that the report ofthe investigation into the accident be submitted to IMO as soon as possible after it has been concluded, so that we may move swiftly to introduce, into the regulatory regime of the Organization, whatever lessons may be learned from the incident in order to enhance safetyand environmental protection in the offshore industry and strengthen, should that prove necessary, the provisions of any relevant IMO instrument. Remarks by Secretary-General Efthimios Mitropoulos
The Secretary-General seems to be committed to an expanded role for IMO in regulating offshore oil and gas facilities. Questions: