[Federal Register Volume 64, Number 215 (Monday, November 8, 1999)]
[Rules and Regulations]
[Pages 60966-60997]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 99-28930]
[[Page 60965]]
_______________________________________________________________________
Part III
Department of Transportation
_______________________________________________________________________
Federal Railroad Administration
_______________________________________________________________________
49 CFR Part 240
Qualification and Certification of Locomotive Engineers; Final Rule
Federal Register / Vol. 64, No. 215 / Monday, November 8, 1999 /
Rules and Regulations
[[Page 60966]]
DEPARTMENT OF TRANSPORTATION
Federal Railroad Administration
49 CFR Part 240
[FRA Docket No. RSOR-9, Notice 12]
RIN 2130-AA74
Qualification and Certification of Locomotive Engineers
AGENCY: Federal Railroad Administration (FRA), DOT.
ACTION: Final rule.
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SUMMARY: FRA is making miscellaneous amendments to its requirements for
the qualification and certification of locomotive engineers. These
amendments are largely based on recommendations made by an advisory
committee comprising rail industry and labor representatives; in
reaching these consensus recommendations, the advisory committee
examined data, discussed the successes and failures of the rule since
its inception, and debated how to improve the regulations. In
particular, this final rule will: Clarify the decertification process;
clarify when certified locomotive engineers are required to operate
service vehicles; and address the concern that some designated
supervisors of locomotive engineers are insufficiently qualified to
properly supervise, train, or test locomotive engineers.
DATES: (1) Effective Date: This regulation is effective January 7,
2000.
(2) Any petition for reconsideration of any portion of the rule
must be submitted no later than 60 days after publication in the
Federal Register.
ADDRESSES: Petitions for reconsideration of this rule should be
submitted to Ms. Renee Bridgers, Docket Clerk, Office of Chief Counsel,
FRA, 400 Seventh Street SW, Mail Stop 10, Washington, DC 20590.
FOR FURTHER INFORMATION CONTACT: John Conklin, Operating Practices
Specialist, Office of Safety Assurance and Compliance, FRA, 400 Seventh
Street SW, Mail Stop 25, Washington, DC 20590 (telephone: 202-493-
6318); Alan H. Nagler, Trial Attorney, Office of Chief Counsel, FRA,
400 Seventh Street, SW, RCC-11, Mail Stop 10, Washington, DC 20590
(telephone: 202-493-6049); or Mark H. McKeon, Regional Administrator,
55 Broadway, Cambridge, MA 02142 (telephone: 617-494-2243).
SUPPLEMENTARY INFORMATION:
I. Statutory Background
Section 4 of the Rail Safety Improvement Act of 1988 (``RSIA''),
Pub. L. 100-342, 102 Stat. 624 (June 22, 1988), later amended and
recodified by Pub. L. 103-272, 108 Stat. 874 (July 5, 1994), requires
that FRA issue regulations to establish a program for certifying or
licensing locomotive operators. This statutory requirement was adopted
in the wake of an Amtrak/Conrail accident at Chase, Maryland that
resulted in 16 deaths and was caused by errors made by the Conrail
locomotive engineer. Congress thus determined the existence of a safety
need for regulations concerning the qualifications of engineers. In
addition to the general need for regulations, Congress required that
certain subject areas be addressed within those regulations. Now
codified at 49 U.S.C. Sec. 20135, the amended statute was reprinted in
the preamble to the NPRM.
II. Regulatory Background
One year and a half after the passage of the RSIA, FRA published an
NPRM which proposed a certification program for locomotive operators.
54 FR 50890 (Dec. 11, 1989). FRA noted in the preamble to the final
rule that some of the comments received in response to this NPRM
suggested ``significant misunderstanding of the proposal.'' 56 FR
28228, 28229 (June 19, 1991). These misunderstandings and the
appropriateness of the approach were addressed thoroughly in the final
rule's preamble. 56 FR 28228, 28229-30 (June 19, 1991).
The final rule establishing minimum qualification standards for
locomotive engineers is a certification program, not a licensing
program. In summary, the rule requires railroads to have a formal
process for evaluating prospective operators of locomotives and
determining that they are competent before permitting them to operate a
locomotive or train. The rule requires that railroads: (1) Make a
series of four determinations about a person's competency; (2) devise
and adhere to an FRA-approved training program for locomotive
engineers; and (3) employ standard methods for identifying qualified
locomotive engineers and monitoring their performance. At the time of
publication, FRA noted that the agency ``is adopting this regulation to
minimize the potentially grave risks posed when unqualified people
operate trains.'' 56 FR 28228 (June 19, 1991).
In 1993, less than two years after the publication of the final
rule, an interim final rule was promulgated ``in response to petitions
for reconsideration and requests for clarification.'' 58 FR 18982 (Apr.
9, 1993). Some of the issues addressed in this rule included: (1) The
application of the rule to service vehicles which could potentially
function as a locomotive or train; (2) the application of the rule to
certain minimal, incidental and joint operations; (3) the application
of the rule to events involving operational misconduct by a locomotive
engineer; (4) the application of the rule to current railroad practices
for storing data electronically; (5) the application of the rule to
events involving testing and evaluation of a locomotive engineer's
knowledge or skills; (6) the application of the procedural provisions
of the rule to events involving denial, suspension and revocation of
certification; and (7) technical changes to correct minor errors in the
rule text. FRA did not provide additional notice and request for public
comment prior to making the amendments contained in this interim final
rule. ``FRA concluded that such notice and comment were impractical,
unnecessary and contrary to the public interest since FRA is, for the
most part, only making minor technical changes in response to requests
for reconsideration of issues that were previously the subject of
detailed notice and extensive comment in the development of the initial
final rule in this proceeding.'' 58 FR 18982, 19002 (Apr. 9, 1993). In
addition, FRA stated that delay in the effective implementation of this
interim rule could result in the diversion of significant resources by
all persons and entities affected by this rule. Meanwhile, this interim
final rule guaranteed a full opportunity to comment on the amendments.
In 1995, after approximately four years and four months had passed
since the initial final rule, FRA issued a second interim final rule.
This second interim final rule contained minor modifications that
clarified existing procedural rules applicable to the administrative
hearing process; a series of changes made to provide for omitted
procedures; and changes to correct typographical errors and minor
ambiguities that had been detected since the rule's issuance. 60 FR
53133 (Oct. 12, 1995). Since the Administrative Procedure Act,
specifically 5 U.S.C. 553(b)(3), provides that no notice and comment
period is required when an agency modifies rules of procedure and
practice, FRA issued this regulation without provision of such a period
of comment prior to its adoption. 60 FR 53133, 53135 (Oct. 12, 1995).
However, FRA did provide for a 30 day comment period subsequent to the
publication of this interim final rule and stated that any comments
received would be considered to the extent practicable.
[[Page 60967]]
III. The Railroad Safety Advisory Committee
In 1994, FRA established its first formal regulatory negotiation
committee to address roadway worker safety. This committee successfully
reached consensus conclusions and recommended an NPRM to the
Administrator, persuading FRA that a more consensual approach to
rulemaking would likely yield more effective, and more widely accepted,
rules. Additionally, President Clinton's March 1995 Presidential
Memorandum titled ``Regulatory Reinvention Initiative'' directed
agencies to expand their efforts to promote consensual rulemaking. In
1996, therefore, FRA decided to move to a collaborative process by
creating a Railroad Safety Advisory Committee (RSAC, or the Committee)
pursuant to the Federal Advisory Committee Act (Public Law 92-463).
RSAC was established to provide recommendations and advice to the
Administrator on development of FRA's railroad safety regulatory
program, including issuance of new regulations, review and revision of
existing regulations, and identification of non-regulatory alternatives
for improvement of railroad safety. RSAC is comprised of 48
representatives from 27 member organizations, including railroads,
labor groups, equipment manufacturers, state government groups, public
associations, and two associate non-voting representatives from Canada
and Mexico. The Administrator's representative (the Associate
Administrator for Safety or that person's delegate) is the Chairperson
of the Committee.
IV. The Qualification and Certification of Locomotive Engineers
Working Group
At a two day RSAC meeting that began on October 31, 1996, the
Committee agreed to take on the task of proposing miscellaneous
revisions to the regulations addressing Locomotive Engineer
Certification (49 CFR Part 240). See 61 FR 54698 (Oct. 21, 1996). The
Committee members delegated responsibility for creating a proposal to a
working group consisting of the members' representatives. The
Qualification and Certification of Locomotive Engineers Working Group
(Working Group or Group) met for seven week-long meetings prior to
submitting the Working Group's proposal to the Committee.
On May 14, 1998, the Committee recommended that the FRA
Administrator publish the Working Group's consensually reached effort
as a proposed rule. During RSAC's meeting, the Committee suggested that
the proposal contained some suggested amendments that may be further
improved by being subject to more debate. In order to permit an
informed debate, FRA committed itself to providing RSAC with an
opportunity to assist FRA in considering comments received in response
to the NPRM which all parties anticipated that FRA would issue. Relying
heavily on RSAC's recommendations for change, on September 22, 1998,
FRA published the NPRM which forms the basis for this final rule. 63 FR
50626 (Sept. 22, 1998). As promised, FRA provided RSAC with an
opportunity to assist FRA in examining the comments and convened a
meeting of the existing Working Group for that purpose. During a
meeting of the Working Group held on December 8-9, 1998, information
and views were received on every issue raised in the comments. Detailed
minutes for that meeting are contained in the docket. The Working Group
provided consensus recommendations for agency response on some issues
raised by the comments and those recommendations were sent to RSAC for
further review. On January 28, 1999, RSAC adopted the Working Group's
recommendations and requested that FRA adopt them.
The recommendations provided by RSAC and a summary of the Working
Group discussions are provided below in conjunction with the discussion
of the individual issues presented by this rulemaking. Virtually all of
the changes proposed by FRA are being adopted in this final rule; thus,
the preamble and section-by-section analysis for the 1998 NPRM contain
useful background information concerning the changes being made which
is not being repeated here. FRA's analysis in this final rule focuses
on the comments received in response to the 1998 NPRM and explains why
FRA made certain changes to the rule.
Considering the temporary nature of the two interim final rules and
the thorough review of the regulation provided for in this rulemaking
process, FRA readopts the two previously issued interim final rules,
suitably modified, as this final rule. Thus, the amendments promulgated
here would govern any conflicts with the previously published interim
final rules upon the effective date of this final rule. FRA is grateful
to the members of RSAC and the Working Group for their efforts,
information and recommendations. The detailed information and
recommendations made have proved useful in FRA's deliberations on the
best ways to improve the rule and FRA has given great weight to RSAC's
recommendations for this final rule.
The section-by-section analysis discusses all of the amendments to
this part.
V. Major Issues
Background
FRA received eight written comments in response to the NPRM.
Although an opportunity to present oral comments was offered, the
request that was made for a public hearing was subsequently withdrawn.
Thus, FRA is only responding to written comments. Some comments
requested clarification, some suggested alternative language to improve
upon a concept raised by the proposal, and others requested
reconsideration of previously suggested proposals. Of these issues, FRA
considers eight to be major topics and a discussion of each of these
major topics follows.
A. Application of the Rule to Certain Service Vehicles
One commenter (the United Transportation Union, or ``UTU'')
maintains that the 1988 statute that required FRA to issue the engineer
certification rule did not authorize FRA to permit operation of certain
roadway maintenance vehicles by persons other than certified locomotive
engineers. UTU's November 18, 1998 comments state: ``In short,
certified engineers must be at the controls of any motorized equipment
that operates as a locomotive.'' UTU concludes that ``the language
relating to dual purpose vehicles must be removed.'' UTU notes that,
although it was part of the working group that reached consensus on the
proposed rule, the relevant statutory language ``was not reviewed in
detail by the group.'' UTU goes on to say that all language in the
proposed section 240.104 that allows exceptions to certification should
be removed.
The statutory provision that required FRA to issue its engineer
certification rule was section 4 of the Rail Safety Improvement Act of
1988 (``RSIA''), Pub. L. No. 100-342. As currently codified at 49
U.S.C. 20135(a), that provision states, in relevant part: ``The
Secretary of Transportation shall prescribe regulations and issue
orders to establish a program requiring the licensing or certification,
after one year after the program is established, of any operator of a
locomotive.'' FRA believes that Congress intended the agency to have
some discretion in determining which employees are operators of
locomotives as well as which vehicles
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are being used as locomotives under which circumstances.
Since the rule's issuance in 1991, there has been extensive debate
over whether certain service vehicles should be considered locomotives
for the purposes of this rule, and in 1993 FRA promised to provide an
opportunity to fully examine this issue in a future proceeding. 58 FR
18982, 18983 (Apr. 9, 1993). The nature of railroading requires that
equipment used to construct, maintain, and repair track, signals, and
roadway structures be able to move on rails, as there are many
locations on railroads that are accessible only by rail. Moreover, the
nature of the construction, maintenance, and repair work requires that
this equipment be able to be moved independently from normal train
movements, both to and from work sites and within extensive work sites.
To serve this purpose, some of the maintenance equipment is capable of
moving other maintenance equipment without the need for a traditional
locomotive. FRA does not believe that Congress intended to require that
operators of this maintenance equipment be certified as locomotive
engineers, as this equipment is not generally considered to be a
locomotive, and movement of this equipment was not in any way within
the range of concerns that prompted the 1988 legislation on locomotive
engineer certification.
However, some of the vehicles used in maintenance service have
sufficient power and appropriate coupling mechanisms to enable them to
move railroad rolling stock. Manufacturers of service vehicles indicate
that the industry is requesting equipment that can perform a specific
maintenance task and haul an increasing number of cars. As these
vehicles improve, some railroads may decide to take advantage of the
vehicles' ability to haul cars--even to the exclusion of their
maintenance function. Without a regulatory mechanism to address these
dual purpose vehicles, FRA is concerned that some railroads might seek
to use the dual purpose vehicle as a functioning locomotive to avoid
the expense of having a certified locomotive engineer at the controls,
which would pose an unacceptable safety risk.
The amendments being adopted in this final rule will resolve the
issue of when certain types of on-track equipment, which are not
traditional locomotives but share some common characteristics with a
traditional locomotive, are required to be operated by certified
locomotive engineers. The final rule uses the term ``roadway
maintenance equipment'' to refer generally to equipment used in
maintenance of track, signals, and structures. The rule provides that
one type of maintenance equipment (``specialized roadway maintenance
equipment'') need not be operated by a certified locomotive engineer.
The reason for excluding such vehicles is that they do not have the
capability to move railroad rolling stock and thus cannot be used as a
substitute for a traditional locomotive. Dual purpose vehicles
describes service vehicles that may, at times, function as roadway
maintenance vehicles and can be used as a substitute for a traditional
locomotive as a result of their capability to move railroad rolling
stock. The rule will require a certified locomotive engineer at the
controls of a dual purpose vehicle unless certain specified criteria
are met. See Sec. 240.104(b). In essence, those criteria mean that a
certified engineer must operate the equipment when it is being used as
a locomotive in service unrelated to roadway maintenance work and also
when, even in the context of maintenance work, there is no employee
available who is trained to operate the vehicle. In general, railroads
will be able to allow the operation of dual purpose vehicles by people
who are not certified locomotive engineers when the vehicle is being
used in roadway maintenance service, including traveling to and from
the work site; the operator has been trained on how to operate the
equipment safely in accordance with FRA's rules on the protection of
roadway workers (49 CFR part 214); and the equipment is moved under
railroad operating rules designed for the protection of such equipment
from train movements. Given the definitions in the rule, if specialized
roadway maintenance equipment is somehow used for moving railroad
rolling stock, it will be treated as a dual purpose vehicle for
purposes of determining whether a certified locomotive engineer is
necessary for its operation.
When roadway maintenance equipment is used at a work site where
roadway workers are present, FRA's rules on Roadway Worker Protection
provide standards for protecting the workers from such equipment and
trains and for protecting the equipment from train movements. See ,
e.g., 49 CFR Sec. 214.319 (explaining the requirements of working
limits, generally). A review of relevant accident and injury history
indicates that the greatest danger inherent in the movement of this
equipment is that it may strike a roadway worker, and FRA's roadway
worker protection rule is specifically designed to substantially reduce
that risk. In RSAC's fact finding efforts, none of the RSAC's members
or commenters provided information, nor did FRA have any information,
showing that when dual purpose vehicles are being used for maintenance
purposes they are involved in accidents or incidents that could be
prevented by requiring that such vehicles be operated by certified
locomotive engineers. Although operators of roadway maintenance
equipment will generally not be required to be certified locomotive
engineers, these operators must be trained and qualified on how to
safely operate that equipment. See 49 CFR Sec. 214.355. Moreover, when
roadway maintenance equipment travels to and from a work site, there
are existing operating rules that protect such movements from train
movements. See, e.g., Northeast Operating Rules Advisory Committee
(NORAC) 800 series rules; General Code of Operating Rules (GCOR)--
Maintenance of Way Operating Rules section, 6.0 series rules; CSX's On
Track Worker Manual, Rule 704 (effective Jan. 1, 1999); Illinois
Central Railroad System's On Track Safety Rules, 500 series rules
(effective Mar. 10, 1998); and Norfolk Southern Corporation's
Operations Division, Bulletin No. 8 regarding Rule 808 (July 22, 1996).
Thus, in addition to the fact that this equipment is not traditionally
considered to be a locomotive of the type that Congress had in mind
when requiring FRA to issue its certification rule, there are existing
FRA and railroad rules that ensure that those who operate such
equipment in maintenance service will operate these machines safely.
One area of concern identified by the RSAC working group was the
use and maintenance of air brakes on roadway maintenance equipment.
Much of the concern arose from a fatal accident involving a burro crane
hauling cars from a work site on November 5, 1996, which did not have
brake pipe hoses connected between the locomotive crane and the three
freight cars being hauled. The group drafted a recommendation intended
to resolve that concern. Based on that recommendation, FRA proposed
that one of the conditions for a non-certified locomotive engineer to
operate a dual purpose vehicle that will be hauling cars would be that
``not less than 85% of the total cars designed for air brakes shall
have operative air brakes.'' RSAC's purpose and FRA's intent was to
make sure that when a dual purpose vehicle is hauling cars to or from a
work site the air brakes on the consist can stop the
[[Page 60969]]
movement within the normal stopping distance for that equipment.
FRA specifically solicited comments to learn how others perceived
the ``85% rule'' found in proposed Sec. 240.104(b)(4). The comments
indicated that this proposed provision was generating some confusion.
One commenter wanted to know whether this paragraph excused the
railroad from compliance with the power brake requirements of 49 CFR
part 232, despite FRA's statement in the NPRM that it did not. The same
commenter requested an explanation of the necessary inspection and
testing of the consist's braking system to determine compliance with
the 85% operable brake requirement; this question was echoed by other
Working Group members who believed computing 85% or greater operative
air brakes would likely cause some confusion for those trying to
comply.
Upon further reflection, FRA is deleting this proposed brake
requirement from the rule. The issue of whether the railroad must use,
maintain, and inspect power brakes on dual purpose vehicles is not
related to the qualifications of the vehicle's operator and should be
resolved in the same way whether or not the operator is a certified
locomotive engineer. The proposed provision implied that, if the
railroad used a locomotive engineer to operate dual purpose equipment,
the brake rules would not apply to the movement. FRA's position is that
the movement of railroad equipment to and from a work site is governed
by the power brake rules of 49 CFR part 232. Even though the dual
purpose vehicle hauling the equipment may not be a traditional
locomotive, to the extent the vehicle and the equipment it is hauling
are equipped with power brakes, they must comply with the relevant
standards. It would not be appropriate to include this policy on the
applicability of an equipment rule in the text of a rule on locomotive
operator qualifications. However, railroads should understand that FRA
will enforce the power brake rules in accordance with the policy stated
in this preamble.
One commenter also asked several interpretative questions. For
instance, FRA was asked whether proposed Sec. 240.104 allows MOW
equipment to be used to move loads of slag, for the purpose of dragging
slag, or to move empty hoppers, for the purpose of cleaning up debris
with a track cleaner, from the yard to the work site without the use of
a certified locomotive engineer. FRA notes that ``slag'' is a term
interchangeably used for ballast, and that spreading ballast and
picking up debris along the track are both MOW duties. FRA would
categorize a vehicle performing such duties as a dual purpose vehicle
because it is being used to move railroad rolling stock. It is possible
that a certified locomotive engineer will not be required if all of the
conditions in paragraph (a)(2) have been satisfied.
In conjunction with the last question discussed, the commenter also
asks whether the rule lends itself to an inherent limit on the distance
traveled, or the type of track traversed, before a railroad is required
to utilize a certified engineer for this type of movement. FRA's answer
to this question is that Sec. 240.104 does not place any such limits
with regard to the distance or type of track over which a person who is
not a certified engineer may operate dual purpose equipment. The
limitations in that section are based on the type of service being
performed (maintenance of way, or something else), the person's
qualifications to operate the equipment in that service, and
application of the railroad's rules for protection of such equipment in
such service.
One commenter recommended that Class III Switching and Terminal
Carriers be excluded from the requirement that ``dual purpose
vehicles'' must be operated by a certified locomotive engineer in those
situations where the ``vehicle'' is being used to move disabled
equipment for clearing and repair of track. FRA does not agree with the
commenter that this exclusion is necessary or would promote safety.
Wrecking operations to move damaged equipment are not maintenance
movements, which are the only movements of dual purpose vehicles FRA
intended to permit without the use of a certified engineer. Since the
safety risks associated with these operations do not diminish with
railroad size, it would not promote safety to exclude certification
requirements on small railroads and yet require it on the bigger roads.
Finally, FRA notes that one commenter may have been confused as to
the proposed application of the rule due to some confusing language in
the section-by-section analysis to describe the new definitions ``dual
purpose vehicle'' and ``specialized roadway maintenance equipment,''
and the previous definition of ``locomotive.'' Thanks to the Working
Group, the confusing language was brought to FRA's attention and
alternative proposals were discussed. Although not an RSAC
recommendation, a new proposed definition of ``locomotive'' has been
provided to make clear that specialized maintenance equipment and dual
purpose vehicles operating in accordance with Sec. 240.104(a)(2) are
not locomotives. FRA has also added definitions of ``roadway
maintenance equipment'' and ``railroad rolling stock'' in order to
further clarify the revisions. Also, the section-by-section analysis of
Sec. 240.7, below, provides improved analysis of the terms ``dual
purpose vehicle'' and ``specialized roadway maintenance'' equipment.
FRA expects that these modifications will lead to a better
understanding of the rule for all those persons who need to comply with
it.
B. Qualifications for Designated Supervisors of Locomotive Engineers
The role of the Designated Supervisor of Locomotive Engineers
(DSLE) is critical to the safety success of this rule and was discussed
as a major issue in the NPRM. This role is twofold. One, the DSLE makes
the final determination that a locomotive engineer is qualified to
safely operate a train. Two, after a person is certified, a DSLE is
responsible for qualifying engineers on the physical characteristics of
any additional territories over which the engineer will need to
operate. Both of these issues were addressed in the public comments
received and RSAC has made some additional recommendations for
modifying the rule based on the comments FRA received.
FRA noted in the NPRM its concern over whether a specified amount
of operational experience should be a prerequisite for qualifying
DSLEs. The cause of this concern has been the finding that some
railroads have been seeking to establish systems in their certification
programs that do not assure that supervisors will be experienced
individuals. Moreover, since implementation of the original rule, FRA
has investigated several instances in which there is some evidence that
railroads designated persons to be supervisors who have had only the
most minimal amount of operational experience.
The proposed modifications to Sec. 240.105(b)(4) reflect RSAC's
recommendation and FRA's concern that not all supervisors have been
found to be familiar with the physical characteristics of the
territories in which they work. Given this universal concern, this
final rule will require those persons who are DSLEs to be qualified on
the physical characteristics of the portion of the railroad over which
they are supervising. As specifically addressed in Sec. 240.105(a),
railroads will be required to address how they intend to implement the
qualification of their DSLEs on physical characteristics and
[[Page 60970]]
include those procedures in their certification programs. Thus, a
railroad will not be in compliance with the requirements of
Sec. 240.105 if it were to merely state in its program that it intends
to comply with this section or restates the requirements of this
section in its program. Instead, a railroad will be required to detail
specific training requirements for DSLEs on physical characteristics.
A benefit of this rule will be that a DSLE who changes territories,
including a situation where the new territory presents more demanding
train handling challenges than the previous assignment, will receive
training on the physical characteristics of the new territory. This new
requirement goes further than the current requirement in
Sec. 240.127(b) that requires certified locomotive engineers to have
``the skills to safely operate locomotives and/or trains, including the
proper application of the railroad's rules and practices for the safe
operation of locomotives or trains, in the most demanding class or type
of service that the person will be permitted to perform;'' presumably,
it will occasionally be necessary for DSLEs to require additional
training in train handling skills to satisfy the Sec. 240.127(b)
requirement. Since it is presumed that a DSLE in a territory would be
permitted to perform train handling service in that territory, as well
as be prepared to offer remedial advice for noted deficiencies in the
skill level of other locomotive engineers, a DSLE must receive skills
training that is commensurate with performing such duties in equally or
more difficult terrain. As a result of the new requirement, DSLEs will
now be required to have knowledge of the physical characteristics of
the territory in which they supervise in addition to the continuing
requirement of having the requisite skills commensurate with the
difficulty of the terrain.
In the preamble and section-by-section analysis of the NPRM for
this final rule, FRA noted that RSAC recommended a modification to
Sec. 240.127(c)(2) in order to permit a DSLE, whose skill level is
commensurate with the difficulty of a territory, to be able to assess a
person's performance skills over that territory even if the DSLE is not
qualified on the physical characteristics of that territory. One RSAC
member commented that FRA should revisit this issue, especially in the
context of whether the proposed exception in Sec. 240.127(c)(2)
promotes safety. In reviewing the comments and upon further
consideration, RSAC recommended the exception be retained and also
recommended extending the exception to a related section of the rule.
The Working Group's discussion of their previously recommended
exception for Sec. 240.127(c)(2) reinforced RSAC's consensus that the
exception would be a safe practice that is cost effective and
practical; FRA agrees with this assessment. Consequently, some of the
Working Group's members promoted the practicality of the concept for
this exception of the triennial performance monitoring pursuant to
Sec. 240.127 and suggested transferring this benefit to the annual
monitoring pursuant to Sec. 240.129. FRA had been working under the
mistaken impression that the Working Group's members had purposely
recommended that FRA treat these two monitoring examinations
differently. FRA had believed that the level of sophistication was
different for the two tests and so proposed changing only one of the
testing provisions. In response to RSAC's new understanding, they
recommended adding the exemption to Sec. 240.129 for the same reasons
the exemption was created for Sec. 240.127; likewise, FRA has agreed to
promulgate this recommendation based on the agency's assessment that
this is a safe practice that is cost effective.
FRA concurs with certain additional recommendations from RSAC that
propose to clarify that the amendment to Sec. 240.105(b)(4), requiring
DSLEs to be qualified on the physical characteristics of the portion of
the railroad on which they are performing their DSLE duties, will not
be made in vain. One of these recommendations is that a DSLE should not
be allowed to make the determination of whether a person is qualified
to be a locomotive engineer, at the completion of a training program
pursuant to Sec. 240.213, unless that DSLE is qualified on the physical
characteristics of the railroad or its pertinent segments over which
the person will be permitted to perform; accordingly, FRA amended
Sec. 240.213(b)(3). In addition, RSAC recommended that a qualified DSLE
should be required whenever a locomotive engineer is to be qualified on
a new territory. Although RSAC's recommendation to address this concern
was to add a paragraph (c) to Sec. 240.213, FRA amended a different
section which it believes will have the same effect. That is, an
amendment to Sec. 240.123(b) is being made to explicitly require that
when a railroad provides for the continuing education of a certified
locomotive engineer, that railroad must ensure that each engineer
maintains the necessary knowledge, skill and ability concerning
familiarity with physical characteristics ``as determined by a
qualified designated supervisor of locomotive engineers.'' Thus, this
modification is not that engineers must be qualified on physical
characteristics (since that is already a requirement) but that the
person making this determination for the railroad must be a qualified
DSLE.
C. Improving the Dispute Resolution Procedures
As FRA stated in the NPRM, many procedural issues concerning the
initial regulation were addressed by issuing a second Interim Final
Rule. 60 FR 53133 (Oct. 12, 1995). FRA brought the procedural issues to
RSAC's attention in order to determine whether additional procedures
could be clarified or changed that would improve the dispute resolution
process located in Subpart E of this part. In addressing this issue
prior to the publication of the NPRM, the Working Group formed a Task
Force consisting of some interested Group members who were asked to
explore different options. After exploring the alternatives, the
Working Group accepted the Task Force recommendations that the current
system is the best choice, assuming that the petitions to the LERB and
the requests for administrative proceedings are handled promptly.
One commenter expressed opinions regarding four issues that would
amount to substantial modifications to the certificate revocation
procedures if accepted. During the Working Group meeting to review the
comments, it was noted that the opinions raised by this commenter
relate to matters that were previously discussed by the Working Group
and that no recommendations for changes responsive to these suggestions
emerged after these previous lengthy discussions. These previous
discussions were based on (1) an FRA issues paper that outlined the
pros and cons of alternative procedures, (2) two comments received in
response to the 1995 Interim Final Rule, and (3) proposals made by
Working Group members. A summary of the previous RSAC deliberations is
located in the NPRM. After further consideration, RSAC recommended that
the final rule retain the same language with respect to the issues
raised by this commenter. These issues were identified as I. B. through
E. in FRA's outline of the comments.
This commenter contends that, if the standard of review for issues
of fact at the FRA administrative hearing is preponderance of the
evidence (Sec. 240.409(q)), then the railroad hearing (proposed
Sec. 240.307(i)) and the Locomotive Engineer Review Board
[[Page 60971]]
(LERB) review should also use this standard instead of the substantial
evidence standard of review. FRA disagrees with this suggestion for
several legal reasons. One, the commenter is mistaken that the railroad
hearing must employ the substantial evidence standard of review. The
current rule does not contain a standard of proof for the railroad
hearing, the proposed rule did not contain such a standard, and FRA has
not added such a standard to the new rule. Although silent on the
standard of proof, FRA specifically requires that the railroad
determine, on the record of the hearing, whether the person no longer
meets the qualification requirements of this part and state explicitly
the basis for the conclusion reached. Sec. 240.307(b)(4). FRA wants to
ensure that the railroad hearings are fair, and allow for consolidation
with applicable collective bargaining agreements, without the rigidity
of instituting a standard of proof. Two, it is necessary for the LERB
to apply the substantial evidence standard of review because it is not
a fact finding body that hears new evidence, but is instead relying on
an existing record. Three, as the process moves along to the FRA
Hearing Officer stage, the procedures are designed to permit a full
evidentiary hearing. The preponderance standard is appropriate at that
stage because the FRA Hearing Officer will be finding facts on a de
novo basis. Thus, the commenter's suggestion is not acceptable because
it seems to confuse the difference between a standard of proof with a
standard for review.
A second opinion raised by this commenter is that it should be
mandatory that the written decision prepared by a railroad's presiding
officer, pursuant to Sec. 240.307, include more detailed information
than that the charge was proven. This opinion appears to be a
commentary on the fact that some written decisions merely state that
the locomotive engineer was found to have violated one of the
operational misconduct events without summarizing the evidence upon
which the decision was based. In deference to this commenter, FRA notes
that judicial opinions usually contain such an analysis of the evidence
and some revocation decisions are detailed in the manner preferred by
this commenter. Meanwhile, FRA has decided not to require more detail
in decisions because the record upon which the decision is based should
speak for itself. Since railroad presiding officers are not required to
be attorneys, additional costs could be associated with requiring more
detailed decisions as drafting such decisions could be categorized as
legal work. Those who do not believe that a railroad has met its burden
of proof and desire an articulated summary of the evidence can petition
FRA for a review of the record.
A third opinion raised by this commenter is that the current
dispute resolution procedures that allow for a railroad hearing
(Sec. 240.307) and a petition to the Locomotive Engineer Review Board
for a decision are in noncompliance with the RSIA and thus in order to
afford due process FRA must conduct all on-the-property railroad
hearings. FRA believes it is in compliance with the statute, and in
fact provides far more opportunity for a hearing than the statute
requires. There is substantial case law interpreting what is proper
administrative due process and FRA believes it has followed the law
properly. Although not required by statute, FRA provides the
opportunity for a full evidentiary hearing in front of a presiding
officer pursuant to Sec. 240.409 for any person who has been denied
certification, denied recertification, or has had his or her
certification revoked and has timely availed himself or herself of
earlier administrative remedies. The section of the RSIA cited by the
commenter as authority for his position requires an administrative
hearing only if a person's certification is detrimentally effected
because of information found in the person's motor vehicle driving
record. See 49 U.S.C. 20135(d) (cross referencing subsection (b)(4) of
the same section). The required hearing must comply with 49 U.S.C.
20103(e), which calls for just an informal hearing. FRA's rule goes far
beyond the statutory minimum: under the rule, a person is entitled to a
hearing regardless of the basis for the denial or revocation, and the
hearing FRA provides to those not satisfied by the informal process of
the LERB is a formal, trial-type hearing. Moreover, FRA does not intend
to voluntarily act as the hearing officer in every on the property
certification hearing since FRA does not have the resources to absorb
the substantial costs involved with such a modification of the dispute
resolution process.
A fourth opinion raised by this commenter was that a railroad's
presiding officer is the only individual who can fairly issue a
decision for the Sec. 240.307 hearing and that the proposal to allow
any railroad official to issue the opinion other than the investigating
officer is unfair. FRA solicited comments on this issue in the NPRM.
When the original final rule was promulgated in 1991, FRA's thought was
that railroad presiding officers would make the decisions and that
these presiding officers were the people best situated to do so. FRA
has since learned from experience and from RSAC members that having the
railroad presiding officers make the decisions poses problems raised by
historical concerns in the existing disciplinary review chain; i.e.,
railroads objected to limiting decision-makers to presiding officers
because in some cases it would require additional burdens and costs not
associated with holding a combined collective bargaining agreement
hearing with the Part 240 revocation proceeding currently allowed for
pursuant to Sec. 240.307(d). The main issue concerns whether it is fair
for the decision-maker to be someone who has not had the opportunity to
evaluate the credibility of witnesses in the case by receiving their
testimony first hand. Although FRA recommends that railroads set up
their hearing proceedings to allow for the presiding officer to make
the revocation decision or for the decision-maker to consult with the
presiding officer on issues of credibility, FRA believes a fair
decision can be made on the record alone as long as the decision-maker
is free of other conflicts of interest that could interfere with
rendering a fair decision. FRA's overall concerns of fairness are
satisfied because the rule's changes continue to clarify the importance
of the separate duties between the investigating officer and the
decision-maker. See Sec. 240.307(b)(2), (c)(2), (c)(10), and (e).
Another commenter expressed an opinion that violations that have
occurred prior to promulgation of the final rule should be treated
under the new revocation periods. FRA has previously considered the
fairness of this issue and both the proposed and final
Sec. 240.117(g)(4) conforms with this commenter's opinion. That is, the
rule will apply the new, shorter periods of ineligibility retroactively
to most incidents that have occurred prior to the effective date of
this rule. The rule will not retroactively apply the new, shorter
revocation periods if the event involves a violation of
Sec. 240.117(e)(6) or the most recent decertifiable event occurred
within 60 months of a prior violation of Sec. 240.117(e)(6).
Similarly, FRA has received inquiries regarding whether it is ever
possible to run multiple revocation periods concurrently. This question
can arise when multiple incidents of operational misconduct are found
during a single tour of duty or within a short period of time prior to
a railroad's receipt of reliable information forming the basis for a
certificate suspension pursuant to
[[Page 60972]]
Sec. 240.307(b)(1). Although revocation periods were designed to run
consecutively, not concurrently, two related issues deserve mention.
First, this issue usually involves questions concerning the meaning of
Sec. 240.117(f), which reads: ``If in any single incident the person's
conduct contravened more than one operating rule or practice, that
event shall be treated as a single violation for the purposes of this
section.'' The question of whether multiple contraventions of a
railroad's rules or practices should be treated as a single incident is
a factual one which requires consideration of whether the
contraventions were sufficiently separated by time, distance or
circumstance that to treat them as multiple violations would be
logical. Generally, violations that occur simultaneously are part of a
single incident. The prudent railroad will address time, distance and
circumstance in making its revocation decision and will document the
reasoning of that decision in the relevant records kept in accordance
with the Part 240 program. Second, railroads have some discretion to
reduce the concurrently running periods of ineligibility given that
certain conditions are met pursuant to Sec. 240.117(h). Understanding
of these two additional issues can often soften the blow of facing
concurrently running revocation periods if warranted.
The only other comment concerning certificate revocation procedures
was a minor issue that was addressed in the section-by-section analysis
concerning Sec. 240.307(c)(10).
D. Revisiting the Standards for Hearing and Vision
Since FRA did not modify the standards for hearing and visual
acuity since publishing the final rule in 1991, FRA suggested in the
NPRM that sufficient time has passed to evaluate the effectiveness of
this rule and determine whether any modifications are necessary. FRA
received virtually no comments in response to its proposal despite the
fact that substantial modifications were proposed. Only one commenter
offered views on this important issue and since both of those views
involve minor suggested changes to the proposed rule they have been
addressed in the section-by-section analysis regarding Sec. 240.121(e)
and Appendix F.
E. Reviewing the Requirements for Consideration of Unsafe Conduct as a
Motor Vehicle Operator
In the NPRM, FRA noted this topic as a major issue and discussed
that since the Working Group reluctantly determined that elimination of
the review of motor vehicle driving data was outside the Working
Group's authority, the Working Group focused on identifying problems
with the current system and whether the regulation could be modified to
resolve any of those problems. For instance, some railroad Working
Group members set goals of achieving (1) ``one stop shopping'' for both
the National Driver Register (NDR) and State motor vehicle data, (2)
simplified request procedures, and (3) accurate data. As noted in the
NPRM's preamble, the RSAC members' recognized their limited authority
and thus formal recommendations were not made. Instead, FRA has offered
to assist interested parties in discussing and resolving these NDR
matters with the National Highway Traffic Safety Administration.
As noted in the preamble to the NPRM, the RSAC's members identified
a few modifications that FRA agreed will ease regulatory burdens
without any detrimental effect on safety. Regulatory burdens are eased
by substantially lengthening the period of time required for
individuals to provide railroad employers with prior safety conduct as
motor vehicle operators pursuant to Sec. 240.111(a). Individual rights
are strengthened by limiting when a railroad can require a person to
submit motor vehicle operator data pursuant to Sec. 240.111(h). Please
note that proposed paragraph (h) was eliminated due to its redundancy
with paragraph (a); accordingly, proposed paragraph (i) has been moved
to new paragraph (h).
The only commenter on this topic raised an issue not directly
addressed in the NPRM. The commenter's concern is being addressed in
this final rule and it is discussed at length in the section-by-section
analysis to Sec. 240.5.
F. Addressing Safety Assurance and Compliance
One of the principles of the current rule is that locomotive
engineers should comply with certain basic railroad rules and practices
for the safe operation of trains or risk having their certification
revoked. The rule provides for persons who hold certificates to be held
accountable for their improper conduct. The reason for holding people
accountable for operational misconduct serves one of the principal
objectives of this regulation; that is, by revoking the certificates of
locomotive engineers who fail to abide by safe rules and practices, the
implementation of the rule is instrumental in reducing the potential
for future train accidents.
In FRA's Issues Paper, FRA recommended that RSAC consider the
following five general issues: (1) The degree of discretion accorded
railroads in responding to individual incidents; (2) the criteria for
the types of operational misconduct events that can trigger revocation
of a certificate; (3) the severity of the consequences for engaging in
operational misconduct; (4) the significance to be attached to
decertification for violations that occur during operational tests
required pursuant to Sec. 240.303; and (5) the effectiveness of FRA's
direct control over operational misconduct. Two commenters raised
concerns with the proposed rule.
One commenter questioned whether the rule should address how a
railroad should treat an individual's defenses of defective equipment,
improper notification of tonnage or lading, lack of training, or
failure by the employer to provide proper equipment in making
suspension and revocation decisions. The commenter was concerned that
railroads might suspend and revoke an individual's certificate on the
mistaken belief that they cannot take into account these defenses if a
violation of operational misconduct has occurred.
Although FRA articulated in the NPRM that the rule already provides
railroads with the authority to consider these defenses, FRA noted that
it supported RSAC's recommendation to clarify this concern. That is why
the proposed Sec. 240.307(i) stated that a railroad shall not revoke a
person's certificate when there is an intervening cause or the
violation was of a minimal nature with no direct or potential effect on
rail safety. This issue was also addressed in the NPRM's proposed
Sec. 240.307(j) which creates safeguards for the application of
paragraph (i).
For purposes of this final rule, FRA has decided to retain the
defense of an intervening cause; however, rather than prohibit the
railroad from taking revocation action for all events determined to be
of a minimal nature with no direct or potential effect on rail safety,
FRA has decided to permit all railroads to use their discretion to
determine whether revocation is desirable in such instances. The reason
for this modification is that determining an intervening cause is
significantly more objective than determining what types of violations
are both (1) of a minimal nature and (2) have no direct or potential
effect on rail safety. Given that the intervening cause defense
addresses this comment fully, FRA does not recognize a need to make
further modifications in response to this comment.
One commenter suggested that there should be experimental ``amnesty
[[Page 60973]]
programs'' for self reporting of apparent violations by locomotive
engineers who honorably come forward to admit an operational misconduct
event. Although this comment was reviewed by the Working Group, the
proponent of this comment withdrew it from RSAC's consideration before
a recommendation could be made. FRA has considered this suggestion and
notes that this concept is essentially experimental which would make
the waiver route a better vehicle for addressing this matter than this
rulemaking. Enforcement problems could be anticipated with such a
program and thus FRA is wary about drafting regulations that allow all
railroads to utilize amnesty programs. For those parties interested in
applying for a waiver, it should be noted that waiver requests which
have been jointly submitted by interested parties tend to get expedited
resolution.
One commenter suggested that the rule should require different
revocation periods based on the severity of the violation. For example,
the commenter offered that a locomotive engineer who gets by a stop
signal by a few feet in the yard should be subject to a shorter
revocation period than the engineer who blasts by a stop signal on main
track. FRA believes that it would be immensely difficult to establish a
fair system that assesses different revocation periods based on the
severity of the violation. Meanwhile, the rule will provide a railroad
with the discretion to choose not to revoke a person's certificate when
the violation is of a minimal nature with no direct or potential effect
on rail safety. See Sec. 240.307(i)(2). An explanation on the
application of this new paragraph is provided in the section-by-section
analysis.
One commenter was concerned with whether the proposed rule
adequately addressed that training may sometimes be more useful than
revocation. Because FRA believes that training may be useful in some
circumstances, FRA proposed modifying Sec. 240.117(h) to expand the use
of training in exchange for a reduction in the revocation period.
However, given the proposed rule's modifications to eliminate
revocations for defensible and minimal violations, FRA believes that
the remaining revocable offenses should be of such greater magnitude
that training alone would be considered too light a consequence. FRA
has retained Sec. 240.117(h) as proposed and thus has concluded that
the rule adequately addresses the usefulness of substituting training
for a reduction in some revocation periods.
In reviewing the effectiveness of FRA's current control over
operational misconduct, the rule prohibits certain operational conduct
which is specified in Sec. 240.305. That section makes it unlawful to
(1) operate a train at excessive speed, (2) fail to halt a train at a
signal requiring a stop before passing it, and (3) operate a train on
main track without authority. The effect of this section is that it
enables FRA to initiate civil penalty or disqualification actions when
such events occur and are deemed appropriate. Since changes to
Sec. 240.117(e) have been made, some parallel modifications are
necessary under Sec. 240.305. The NPRM proposed these parallel
modifications and they have been adopted in this rule with one
exception. That exception is a parallel modification to Secs. 240.117
and 240.305.
In response to the proposal, one commenter questioned whether the
decertification of supervisors would discourage supervisors from riding
trains and evaluating locomotive engineers during actual operations.
This commenter also requested guidance if the final rule were to define
and document a need for decertification of supervisors. FRA and the
other RSAC members believe this commenter's concerns are misplaced
since the modified approach does not serve to single out DSLEs but
instead makes them accountable for their actions in the same manner as
non-supervisory locomotive engineers. This commenter was also concerned
that a DSLE does not have the same due process rights as other
certified locomotive engineers. Although the NPRM only addressed DSLEs,
FRA has encountered several situations in which a designated supervisor
of locomotive engineers, a certified locomotive engineer pilot or an
instructor engineer has neglected his or her responsibilities and
permitted an engineer at the controls to violate a specified
prohibition. Usually, FRA finds out about those situations that cause
accidents or result in the decertification of the engineer at the
controls.
After further consideration of the comment, RSAC recommended that a
change is necessary and that a designated supervisor of locomotive
engineers, a certified locomotive engineer pilot or an instructor
engineer's conduct does not have to be willful to be prohibited. In
this way, all locomotive engineers, no matter what role they are
performing that requires certification, will know that they will be
held to the same high standard of care. This clarification will be
found in Secs. 240.117(c)(1), (c)(2), and 240.305(a)(6). While FRA
maintains that the rule currently contains this authority without
making revisions, the rule changes will put certified locomotive
engineer supervisors, pilots, and instructors on more blunt notice that
their inappropriate supervisory acts or omissions will trigger
revocation and FRA enforcement authority. The revisions also will put
railroads on better notice that they need to consider the actions of
their DSLEs, locomotive engineer pilots and instructor engineers when
alleged violations of Part 240 occur. This issue is further discussed
in the section-by-section analysis. Some RSAC members and FRA also
thought it would be helpful to point out that supervisory employees who
are subject to revocation proceedings and who do not have a collective
bargaining agreement are still entitled to the hearing procedures found
in Sec. 240.307(c) and Subpart E--Dispute Resolution Procedures.
After reviewing the comments, RSAC recommended a modification that
would clarify that a certified engineer who is called to work in the
capacity of a train crew member other than that of a locomotive
engineer, and who does not perform engineer duties, should not have his
or her certification revoked for a violation that occurs during that
tour of duty. Since this recommendation coincides with FRA's current
interpretation of the rule, FRA will add new paragraph
Sec. 240.117(c)(3). A more detailed discussion of this new paragraph
can be found in the section-by-section analysis.
G. Lengthening the Certification Period From 3 to 5 Years on Class III
Railroads
This issue was raised in the RSAC process prior to publication of
the NPRM but no consensus was achieved for making a recommendation to
FRA. In the NPRM, FRA did not propose a change although this issue was
identified as one of the Working Group's topics. Only one RSAC member
supported this modification prior to publication of the NPRM and that
same RSAC organization is the only commenter to support its proposal
post NPRM publication. This commenter requests that FRA reconsider
whether a model program could be jointly developed by FRA and the
industry to allay any safety concerns raised by lengthening the
certification period for this subset of locomotive engineers.
The commenter urges that such a change would be either safety
neutral or a safety positive change since the history of Class III
program administration under the current rule is very positive. This
commenter argues that Class III railroads have been
[[Page 60974]]
supportive when FRA has wanted modifications to the model Class III
Part 240 program. In addition, the commenter argues that all Class III
railroads would benefit even though only some would be involved with
the development of a new Class III program. The basis for this
assertion is the commenter's reminder that it developed the model Class
III Part 240 program and it has shared that effort industry-wide.
This commenter stated that it is ready to adjust its model program
to accommodate a longer certification cycle by increasing testing and
training. In addition, the commenter and RSAC member noted at the last
Working Group meeting that because of their members' commitment to
safety, many of the Class III railroads are already exceeding the
requirements of the rule and the model program they helped develop.
Furthermore, this commenter believes that any concern over the longer
interval for medical degradation is covered by the self-reporting
aspects of the NPRM. The commenter noted that the NDR and medical
checks were really all that would be changed by this approach and that
there are significant costs that these railroads have difficulty
passing on to the shippers while still remaining profitable.
Despite the appeal of this proposal to reduce the burdens imposed
by the rule on Class III railroads, FRA remains concerned about the
negative safety impact that would flow from such a broad modification
to the rule. The proposal seems over-inclusive since the safety
concerns on some Class III railroads are much greater than others; for
example, some Class III railroads conduct operations on the same lines
over which Amtrak conducts high speed operations. Similarly, the
proposal could be considered under-inclusive since some Class I and
Class II railroads could argue that their operations pose no greater
safety threat than many Class III railroads. Thus, FRA believes that
the proposal is flawed since it could arbitrarily allow railroads of a
certain size to gain a benefit rather than considering safety issues
that define the type of operation.
FRA fails to see that the costs associated with retaining the 3
year interval were very significant when compared to the risks. For
example, the proposal devalues the benefit of maintaining a uniform
interval throughout the industry. Also, the proposal increases the
likelihood of a safety loss if the medical examinations are required
less frequently. In addition to the dubious equity of the proposal and
its possible safety degradation, FRA is concerned about how this 5 year
approach would be handled by a major railroad that might need to
certify a small railroad's engineers for operations on the major
railroad. For all these reasons, RSAC failed to achieve consensus
recommendations and FRA has decided not to change the rule to allow
Class III railroads to certify their locomotive engineers every 5
years.
H. Preemption
One commenter requested that FRA clarify whether and to what extent
Part 240 applies to the qualifications for train conductors. The State
of Wisconsin's Office of the Commissioner of Railroads made this
request because its comment states that Wisconsin appellate courts have
held that Part 240 preempts state laws that govern the qualifications
of conductors. Since FRA had committed to bringing all comments before
the Working Group, RSAC reviewed the comment but was unable to achieve
a consensus recommendation.
FRA believes that this request for legal guidance is based on the
current rule and not the NPRM since the commenter cited a court case
that occurred back in 1996. The question asked is narrow and pertains
to a specific set of Wisconsin state regulations and the Wisconsin
courts' decisions on particular facts. Thus, FRA is responding to this
commenter directly rather than publishing a response here. A copy of
FRA's response letter will be placed in the docket.
Section-by-Section Analysis
Subpart A--General
Section 240.1--Purpose and Scope
FRA will make minor changes to paragraph (b) so that the regulatory
language used by FRA in all of its rules will become more standardized.
A few words have been substituted for others in the second sentence,
but FRA will not substantively change the purpose and scope of this
part by virtue of these changes. FRA did not receive any comments on
the proposed changes and the final rule text is identical to the
proposed version.
Section 240.3--Application and Responsibility for Compliance
The amendments to this section are identical to the proposed
version and employ what is essentially standardized regulatory language
which FRA plans to use in all of its rules. FRA does not believe that
these revisions substantively change the purpose and scope of this
part. FRA explained the purpose of these amendments in the NPRM and FRA
did not receive any comments in response to the NPRM version.
Paragraphs (a) and (b) contain the same approach as the current
rule but with some slight rewording. As under the current provision,
the new provision would mean that railroads whose entire operations are
conducted on track that is outside of the general system of
transportation are not covered by this part. Most tourist railroads,
for example, involve no general system operations and, accordingly,
would not be subject to this part. Therefore, FRA continues to intend
that this rule shall not be applicable to ``tourist, scenic or
excursion operations that occur on tracks that are not part of the
general railroad system.'' 54 FR 50890, 50893, 50915 (Dec. 11, 1989);
see also 56 FR 28228, 28240 (June 19, 1991). The word ``installation''
is intended to convey a meaning of physical (and not just operational)
separateness from the general system. A railroad that operates only
within a distinct enclave that is connected to the general system only
for purposes of receiving or offering its own shipments is within an
installation. Examples of such installations are chemical and
manufacturing plants, most tourist railroads, mining railroads, and
military bases. However, a rail operation conducted over the general
system in a block of time during which the general system railroad is
not operating is not within an installation and, accordingly, not
outside of the general system merely because of the operational
separation.
Paragraph (c) will be added so that the rule will more clearly
identify that any person or contractor that performs a function covered
by this part will be held responsible for compliance. This is not a
substantive change since contractors and others are currently
responsible for compliance with this part as specified in Sec. 240.11.
Section 240.5-- Preemptive Effect and Construction
FRA will amend paragraph (a) so that the regulatory language used
by FRA in all of its rules will become more standardized. This change
explains the rule's preemptive effect. This amendment will reflect
FRA's effort to address recent case law developed on the subject of
preemption. One comment was received regarding the issue of preemption
and that issue has been addressed in the preamble.
FRA will amend paragraph (b) so that the regulatory language used
by FRA in all of its rules will become more standardized. The only
change is to
[[Page 60975]]
remove the word ``any.'' This minor edit would not be a substantive
revision.
FRA will amend paragraph (e) of this section by adding the words
``or prohibit.'' The purpose of this modification is to clarify that
the rule does not prevent ``flowback.'' The term flowback has been used
in the industry to describe a situation where an employee who is no
longer qualified or able to work in his or her current position, can
return to a previously held position or craft. An example of flowback
occurs when a person who holds the position of a conductor subsequently
qualifies for the position of locomotive engineer, and at some later
point in time the person finds it necessary or preferable to revert
back to a conductor position. The reasons for reverting back to the
previous craft may derive from personal choice or a less voluntary
nature; e.g., downsizing, certificate ineligibility or revocation.
Many collective bargaining agreements address the issue of
flowback. FRA does not intend to create or prohibit the right to
flowback, nor does FRA intend to state a position on whether flowback
is desirable. In fact, the exact opposite is true. In consideration of
an RSAC recommendation, FRA has agreed to this clarification of the
original intent of paragraph (e) so that it is understood by the
industry that employees who are offered the opportunity to flowback or
have contractual flowback rights may do so; likewise, employees who are
not offered the opportunity to flowback or do not have such contractual
rights are not eligible or entitled to such employment as a consequence
flowing from this federal regulation.
FRA received a comment that the rule should be modified to prohibit
railroads from taking any disciplinary actions during the period while
awaiting state action. The comment as raised focused on discipline and
not ineligibility to hold a certificate; FRA's authority to regulate a
railroad's right to discipline its own employees has not been
challenged by this rule. In fact, Sec. 240.5(d) states that FRA does
not intend to preempt or otherwise alter the authority of a railroad to
initiate disciplinary sanctions against its employees by issuance of
these regulations.
Based on discussions of this comment, RSAC recommended adding a new
paragraph to this section. Although not proposed in the NPRM, FRA
agrees upon reflection that by adding a new paragraph (f), the rule
will clarify employee rights in a manner similar to the way in which it
is clarifying railroad authority. The intent of the new language is to
explicitly preserve any remedy already available to the person and not
to create any new entitlements. FRA expects that employees will benefit
from this new paragraph by referring to it should a railroad use this
regulation as an inappropriate explanation for ignoring an employee's
rights or remedies. A railroad must consider whether any procedural
rights or remedies available to the employee would be inconsistent with
this part.
Section 240.7--Definitions
The final rule adds definitions for eight terms and revises the
definitions of another three terms. One of five modifications in the
rule that differs from what FRA proposed in the NPRM is a revision to
the term locomotive. That definition is amended by deleting the phrase
``other than hi-rail or specialized maintenance equipment'' and
replacing it with ``other than specialized roadway maintenance
equipment or a dual purpose vehicle operating in accordance with
Sec. 240.104(a)(2) of this part.'' In making this modification, FRA is
excluding from the definition of ``locomotive'' those vehicles that the
agency has determined, based on RSAC's recommendation, can be safely
operated without a certified locomotive engineer. This means that a
dual purpose vehicle will require a certified locomotive engineer
whenever the exception as described in Sec. 240.104(a)(2) cannot be
met. FRA decided that the previously described modification would be
better than one commenter's recommendation that the definition of
locomotive be amended to include the phrase ``but including a dual
purpose vehicle as defined above which is functioning as a
locomotive;'' FRA believes this comment was intended to have the same
effect in practice as FRA's modification, but is now redundant given
the new definitions of ``locomotive,'' ``specialized roadway
maintenance equipment,'' and ``dual purpose vehicle.''
Likewise, commenters expressed confusion as to the applicability of
the rule to certain service vehicles and the confusion appeared to be
tied to the section-by-section analysis for the definitions of dual
purpose vehicle and specialized roadway maintenance equipment. In order
to prevent additional confusion, FRA has modified the two definitions
in question and offers the following descriptions to substitute for the
apparently confusing analysis in the proposed rule. FRA wishes to alert
interested parties that these service vehicle definitions are also
addressed in the preamble and provide further clarification.
The definition for dual purpose vehicle describes a piece of on-
track equipment that may function as roadway maintenance equipment and
is capable of moving railroad rolling stock which enables it to
substitute for a traditional locomotive. When a dual purpose vehicle is
operated in conjunction with roadway maintenance, pursuant to limited
circumstances identified in Sec. 240.104(a)(2), a certified locomotive
engineer is not required. Therefore, when using dual purpose vehicles,
careful attention to whether the exception applies is necessary to
determine whether a certified locomotive engineer is necessary.
A definition for specialized roadway maintenance equipment is added
to define a type of machine that is used exclusively for maintenance,
repair, construction or inspection of track, bridges, roadway, signal,
communications, or electric traction systems and is not capable of
moving railroad rolling stock. Meanwhile, if roadway maintenance
equipment is used for moving railroad rolling stock, it will be treated
as a dual purpose vehicle, not specialized roadway maintenance
equipment. Specialized roadway maintenance equipment does not have the
capability to move railroad rolling stock and, therefore, the
alteration of such a vehicle that enables it to move railroad rolling
stock will require that the vehicle be treated as a dual purpose
vehicle.
The addition of a definition for roadway maintenance equipment is a
fourth modification to the definitions section that differs from the
proposed rule. It defines this on-track equipment as ``powered by any
means of energy other than hand power which is used in conjunction with
maintenance, repair, construction or inspection of track, bridges,
roadway, signal, communications, or electric traction systems.'' The
term roadway maintenance equipment has been incorporated into the
definitions of dual purpose vehicle and specialized roadway maintenance
equipment. FRA believes this definition is necessary to clarify that
within the set of vehicles meeting the definition of roadway
maintenance equipment there are two subsets: (1) Vehicles capable of
moving railroad rolling stock, i.e., dual purpose vehicles, and (2)
vehicles that do not have such capability, i.e., specialized roadway
maintenance equipment.
The addition of a definition for railroad rolling stock is a fifth
modification to the definitions section that differs from the proposed
rule. This
[[Page 60976]]
definition was added so that the phrase ``which can function as either
a locomotive'' would no longer be necessary. The functioning as a
locomotive phrase could be construed as ambiguous and subject to
multiple interpretations. By substituting that phrase with having ``the
capability to move railroad rolling stock'' in the definitions of dual
purpose vehicle and specialized roadway maintenance equipment, FRA
intends to be unambiguous. The definition for railroad rolling stock
refers to precise definitions found elsewhere in this chapter.
Of the remaining five added definitions and two revised
definitions, all are added or modified as proposed. The term
Administrator will be revised to standardize the FRA Administrator's
authority in line with FRA's other regulations. The effect of this
change will be to take away the Deputy Administrator's authority to act
for the Administrator without being delegated such authority by the
Administrator. The Deputy Administrator will also lose the authority to
delegate, unless otherwise provided for by the Administrator. The
current rule uses the word qualified without defining it and this rule
expands the use of that term, so a definition is supplied.
The agency has previously neglected to define FRA as the Federal
Railroad Administration, although that abbreviation has been used in
the rule. FRA also will define person rather than rely on a definition
that currently appears in parenthetic remarks within Sec. 240.11.
Although FRA has previously defined the term filing, as in filing a
petition, or any other document, with the FRA Docket Clerk, the rule
has not defined what constitutes service on other parties. The added
definition references the Rules 5 and 6 of the Federal Rules of Civil
Procedure (FRCP) as amended. The intent is to apply the FRCP rules in
effect at the time a proceeding under this rule occurs, rather than to
perpetuate those FRCP rules that are in effect when this regulation
becomes final. By defining the term service, the expectation is that
the rule will clarify the obligations of the parties and improve
procedural efficiency.
Section 240.9--Waivers
Minor amendments are being made to this section so that the
regulatory language used by FRA in all of its rules will become more
standardized. These amendments to paragraphs (a) and (c) are identical
to what FRA proposed. The changes to paragraph (a) reflect FRA's
current intent; that is, a person should not request a waiver of one of
the rule's provisions unless the person is subject to a requirement of
this rule and the waiver request is directed at the requirement which
the person wishes he or she did not have to abide by. Paragraph (c)
will standardize language with other FRA rules which clarify the
Administrator's authority to grant waivers subject to any conditions
the Administrator deems necessary.
Section 240.11--Consequences for Noncompliance
FRA is rewording this section slightly. No comments addressing this
section were received and the final rule is identical to the proposed
version. One change will respond to the Federal Civil Penalties
Inflation Adjustment Act of 1990, Public Law 101-410 Stat. 890, 28
U.S.C. 2461 note, as amended by the Debt Collection Improvement Act of
1996 Public Law 104-134, April 26, 1996 which requires agencies to
adjust for inflation the maximum civil monetary penalties within the
agencies jurisdiction. The resulting $11,000 and $22,000 maximum
penalties are determined by applying the criteria set forth in sections
4 and 5 of the statute to the maximum penalties otherwise provided for
in the Federal railroad safety laws.
Paragraphs (a), (b) and (c) will eliminate a parenthetic definition
of person since FRA will define person in Sec. 240.7. The citation to a
statute in paragraph (c) is also a revision.
Subpart B--Component Elements of the Certification Process
Section 240.103--Approval of Design of Individual Railroad Programs by
FRA
FRA will update this section to address railroads commencing
operations in the future. There is a need to do so since the numbered
paragraphs under paragraph (a) set forth a schedule of dates that have
long since passed and any railroad that was conducting operations in
1991 and 1992 should have already filed a written program pursuant to
this section. No comments were received and the final rule is identical
to the proposed version.
Section 240.104--Criteria for Determining Whether Movement of Roadway
Maintenance Equipment or a Dual Purpose Vehicle Requires a Certified
Locomotive Engineer
FRA will add this new section to address the issue of what types of
service vehicles should be operated by certified locomotive engineers.
The title of the section has been revised from the NPRM to clarify that
it applies only when roadway maintenance equipment or a dual purpose
vehicle is to be operated and does not refer to operating traditional
locomotives. Since this was an issue of great interest to many members
of the industry represented in the RSAC process, FRA has addressed this
issue in detail in the preamble and requests that those people
interested in this topic reference the preamble text. The preamble and
section-by-section analysis regarding the definitions of ``dual purpose
vehicle,'' ``locomotive'' and ``specialized roadway maintenance
equipment'' have been revised to clarify some language that commenters
found confusing in the NPRM. In addition, the new section has been
renumbered differently than the proposal.
Some minor changes to paragraph (a)(2)(ii), which was proposed
paragraph (b)(2), were made for clarification. For example, the
proposed rule did not state that the ``rules'' under which the railroad
would be moving a dual purpose vehicle would be ``railroad operating
rules.'' FRA eliminated the reference to ``exclusive track occupancy''
because, upon further examination, this reference to a term used in
part 214 of this chapter applies to the protection of roadway workers
within work limits and not to the protection of service vehicle
movements. The paragraph was also reorganized for improved clarity.
In addition, proposed paragraph (b)(4), has been deleted. FRA
concluded that this reference to power brake requirements was
unnecessary, and has made clear in the preamble that it believes those
rules apply to movements of maintenance equipment to and from the work
site to the extent the equipment is equipped with power brakes.
Section 240.105--Criteria for Selection of Designated Supervisors of
Locomotive Engineers
The amendments to this section contained in this final rule are
identical to those in the proposed version. This section contains one
of the more important modifications to the rule and related issues are
addressed in the preamble. No comments were received with regard to the
proposal for changes to this section.
The changes to paragraph (b)(4) will create two new requirements.
One requirement is that those persons who are DSLEs must be qualified
on the physical characteristics of the portion of the railroad on which
they are supervising. A second requirement is that a railroad's program
must address how it intends to implement the physical characteristics
qualification of
[[Page 60977]]
its DSLEs. As it did in the NPRM, FRA recommends that DSLEs acquire
some operational experience over the territories they supervise because
it is arguably the best method for learning how to operate over a
territory.
The addition of paragraph (c) is an effort to clarify how small
railroads, particularly those just commencing operations who find
themselves without a qualified and certified DSLE, can designate and
train such individuals without reliance on outside sources. 56 FR
28228, 28241-42 (June 19, 1991)(stating that a DSLE could be a
contractor rather than an employee of the railroad). The need to create
a DSLE can occur under a variety of scenarios including when: (1) new
railroads have never certified a locomotive engineer or a DSLE; (2)
railroads may have had one or a few DSLEs at one time but no longer
employ any qualified individuals; and (3) a railroad wishes to utilize
contractor engineers. For those railroads that do not have DSLEs, the
addition of paragraph (c) will enable them to consider an additional
option for creation of their first DSLE. This section is designed to
address the problems that arise from a railroad being unable to certify
any person as a locomotive engineer, let alone a DSLE, since the
railroad lacks even one DSLE who could conduct the required training
and testing of Sec. 240.203(a)(4)(for initial certification or
recertification) or Sec. 240.225(a)(5)(for certifying based on the
reliance of the qualification determinations made by other railroads).
Meanwhile, even if paragraph (c) is utilized, a railroad must comply
with the other provisions of either Secs. 240.203 or 240.225. Because
this paragraph has not changed since the proposed rule and no comments
were received with regard to this section, the lengthy explanation
provided in the section-by-section analysis in the proposed rule has
not been repeated here.
Section 240.111--Individual's Duty To Furnish Data on Prior Safety
Conduct as Motor Vehicle Operator
The amendments to this section contained in this final rule are
identical to those in the proposed version except that proposed
paragraph (h) was eliminated due to its redundancy with paragraph (a);
accordingly, proposed paragraph (i) has been moved to new paragraph
(h). No comments concerning the proposed modifications of this section
were received and, thus, the NPRM should be consulted for a more
detailed explanation of the impact of these amendments. The lengthening
of the time limit interval in paragraphs (a) from 180 days to 366 days
should prove helpful both to small railroads and large ones. RSAC's
Working Group members could demonstrate clear examples of the
administrative difficulties being encountered in attempting to meet the
shorter period and thus FRA believes there is a sufficient basis for a
regulatory change.
No comments were received concerning proposed paragraph (i) which
is now new paragraph (h). This paragraph will require certified
locomotive engineers to notify the employing railroad of motor vehicle
incidents described in Sec. 240.115(b)(1) and (2) within 48 hours of
the conviction or completed state action to cancel, revoke, suspend, or
deny a motor vehicle driver's license. In addition, this new paragraph
will create an obligation for certified locomotive engineers to report
to their employing railroad any type of temporary or permanent denial
to hold a motor vehicle driver's license when the person has been found
by a state to have either refused an alcohol or drug test, or to be
under the influence or impaired when operating a motor vehicle. This
paragraph will also require that, for purposes of locomotive engineer
certification, a railroad cannot require a person to submit motor
vehicle operator data earlier than specified in the paragraph. The
reasoning behind this rule involves several intertwined objectives
which are more fully explained in the NPRM.
Section 240.113--Individual's Duty To Furnish Data on Prior Safety
Conduct as an Employee of a Different Railroad
The amendments to this section contained in this final rule are
identical to those contained in the proposed version. As proposed,
paragraph (a) is being modified by increasing the number of days an
individual has to furnish data on prior safety conduct as an employee
of a different railroad. The period is being changed from 180 days to
366 days so that the administrative difficulties of compliance would be
lessened. FRA does not believe that railroad safety will be diminished
by lengthening the period of time that a person has to request and
furnish this data. No comments were received regarding this proposed
section.
Section 240.117--Criteria for Consideration of Operating Rules
Compliance Data
FRA proposed substantial amendments to this cornerstone of the
regulation and provided a detailed analysis of the changes in the NPRM.
Several comments were received in response to the proposed rule. In
response to the comments, one proposed paragraph is being modified in
this final rule and another paragraph has been added entirely. The
issues upon which comments were received are addressed below and have
also been addressed in the preamble under ``Addressing Safety Assurance
and Compliance.''
First, paragraph (c)(2) is being added so that it makes clear the
duties of both certified locomotive engineer pilots and instructor
engineers, not just designated supervisors of locomotive engineers as
was proposed. The explanation of paragraph (c)(2) concerning designated
supervisors of locomotive engineers is still accurate and analogies can
be made in the rule's application to when certified locomotive engineer
pilots and instructor engineers are to be accountable to the extent
that railroads must revoke certification. However, one commenter was
concerned that FRA's NPRM appeared to be singling out DSLEs for special
treatment. Although that comment is not accurate, RSAC recommended that
FRA clarify the intent of the provision in the final rule. FRA agrees
with RSAC's recommendation that clarification is warranted since some
designated supervisors of locomotive engineers, as well as locomotive
engineer pilots and instructor engineers may not understand that they
are responsible for their conduct, and thus subject to decertification,
when they are performing a function that requires them to be qualified
and certified locomotive engineers.
Paragraph (c)(3) is being added to clarify the duty of a person who
is a certified locomotive engineer but is called by a railroad to
perform the duty of a train crew member other than that of locomotive
engineer. For example, a person who is called to be the crew's
conductor and who does not perform any of the duties of locomotive
engineer during that tour of duty cannot have his or her certification
revoked for a violation of Sec. 240.117(e)(1) through (5). As the new
paragraph will make clear, this exemption only applies when a person is
performing non-locomotive engineer duty. Thus, the exemption will not
apply if such a person is performing the duties of a locomotive
engineer and causes the violation to occur. Meanwhile, note that the
exemption does not apply for violations of Sec. 240.117(e)(6) so that
engineers working in other capacities who violate certain alcohol and
drug rules will have certification revoked for the appropriate period
pursuant to Secs. 240.117 and 240.119. FRA believes this paragraph
[[Page 60978]]
explains the status quo and that it would be helpful to have rule text
since that should help resolve such disputes for railroads over whether
a revocation action is necessary. Consequently, FRA expects that a
benefit of this new paragraph will be a reduction in the number of
railroad hearings and petitions to FRA for review pursuant to
Sec. 240.307 and Subpart E--Dispute Resolution Procedures.
Paragraph (d) has been modified slightly from the proposal to
clarify that the shortened time frame for considering operating rule
compliance only applies to conduct described in ``paragraphs (e)(1)
through (e)(5)'' of this section and not paragraph (e)(6). This
modification is necessary to clarify that when alcohol and drug
violations are at issue, the window in which prior operating rule
misconduct will be evaluated will be dictated by Sec. 240.119 and not
limited to the 36 month period prescribed in this paragraph. The rule
will continue to require that certification reviews consider alcohol
and drug misconduct that occurred within a period of 60 consecutive
months prior to the review pursuant to Sec. 240.119(c).
FRA noted in the proposed rule that paragraph (e)(3) would likely
need amending prior to becoming a final rule since two other regulatory
proceedings might result in new rules which could supersede this
reference. Although only one of these two regulatory proceedings has
resulted in the issuance of a final rule, i.e., Passenger Equipment
Safety Standards published at 64 FR 25540 (May 12, 1999), FRA has
modified this rule to account for the Passenger Equipment final rule
and whatever changes, if any, are ever made to part 232. See 63 FR
48294 (Sept. 9, 1998) (proposing changes to part 232). These
modifications will continue to hold certified locomotive engineers
responsible for complying with procedures for the safe use of train or
engine brakes, regardless of whether the train is a freight train or a
passenger train, when these same engineers are responsible for
inspecting or testing the brake system, or ensuring that the required
tests and inspections have been performed.
The rest of the changes to this section did not receive any
comments and, thus, the detailed explanation of their impact in the
NPRM has not been repeated here.
Section 240.121--Criteria for Vision and Hearing Acuity Data
FRA will amend this section mainly to prevent potential accidents
due to a locomotive engineer's medical condition that could compromise
or adversely affect safe operations. The amendments to paragraphs (b)
and (c)(3) are identical to the proposal. Meanwhile, amendments to
paragraph (e) address one of the two comments received on the issue of
acuity; the other issue is being addressed in Appendix F.
A comment requested clarification for when a railroad must provide
additional testing pursuant to paragraph (e). RSAC's recommendation to
address the commenter's concern has led to a revision. Paragraph (e)
differs from the proposed version due to the addition of a sentence
that states that ``[i]n accordance with the guidance prescribed in
Appendix F, a person is entitled to one retest without making any
showing and to another retest if the person provides evidence
substantiating that circumstances have changed since the last test to
the extent that the person could now arguably operate a locomotive or
train safely.'' This recommended revision benefits both implementing
railroads and candidates for certification or recertification without
having any adverse effect on safety and thus has received FRA's
endorsement.
For ease of reference, the following statement is reprinted from
Appendix F and should provide sufficient guidance for implementing this
new sentence. ``The intent of Sec. 240.121(e) is not to provide an
examinee with the right to make an infinite number of requests for
further evaluation, but to provide an examinee with at least one
opportunity to prove that a hearing or vision test failure does not
mean the examinee cannot safely operate a locomotive or train.
Appropriate further medical evaluation could include providing another
approved scientific screening test or a field test. All railroads
should retain the discretion to limit the number of retests that an
examinee can request but any cap placed on the number of retests should
not limit retesting when changed circumstances would make such
retesting appropriate. Changed circumstances would most likely occur if
the examinee's medical condition has improved in some way or if
technology has advanced to the extent that it arguably could compensate
for a hearing or vision deficiency.''
FRA has made two modifications to paragraph (f) that should improve
the clarity and enforcement of the rule. One of these modifications
substitutes the proposed phrase ``it is the obligation of each
certified locomotive engineer to'' with the final language that ``each
certified locomotive engineer shall;'' although the required
notification is not altered by changing this language, the proposed
language is less desirable since some engineers might consider an
``obligation'' to be optional or voluntary when it is intended to be
mandatory. The final language clarifies that this notification is
mandatory.
A second modification to paragraph (f) addresses the issue of how
soon after learning of the deterioration of his or her best correctable
vision or hearing must the certified locomotive engineer notify the
railroad of the deterioration. The proposed rule failed to address this
issue which could lead to delayed notification and enforcement
difficulties. FRA is concerned with safe train operations, not whether
a person can notify a railroad within a set time frame. Thus, FRA will
require this notification ``prior to any subsequent operation of a
locomotive or train which would require a certified locomotive
engineer.'' Certified locomotive engineers should note that willful
noncompliance with this new requirement may result in the assessment of
a civil penalty or other appropriate enforcement action.
Section 240.123--Criteria for Initial and Continuing Education
The revision of paragraph (b) and the addition of paragraphs (d),
(d)(1), and (d)(2) of this section are identical to the proposed
revisions; these amendments will help resolve numerous inquiries FRA
has received regarding how engineers can become familiar with the
physical characteristics of a territory on new railroads being created,
or on portions of a railroad being reopened after years of non-use.
These paragraphs seek to clarify the status quo. The benefits of this
approach include a better use of agency resources by not having to
address this issue repeatedly on a case-by-case basis, a system that is
fairer to all parties because it treats all railroads uniformly, and a
process that is neither overly burdensome nor a compromise of safety.
No comments were received in response to this issue.
Section 240.127--Criteria for Examining Skill Performance
This section contains one of the changes discussed in the preamble
under the major issues section titled ``Qualifications for Designated
Supervisors of Locomotive Engineers'' and is in response to a comment
filed by an RSAC member. The sole modification to this section
contained in this notice is identical to the modification contemplated
in the proposed rule. This modification addresses a conflict between
criteria that must be met to qualify as a DSLE and the concept endorsed
by RSAC that
[[Page 60979]]
a DSLE can determine an engineer's train handling abilities without
being familiar with the territory over which the engineer is operating.
The commenter argued that DSLEs should be qualified on the physical
characteristics of territory over which they are administering a skill
performance test because that would increase safety. After further
consideration, this RSAC member and commenter agreed with the previous
consensus recommendation that this exception would not have a
detrimental effect on safety. As suggested by RSAC, FRA believes this
modification would conserve railroad resources by not creating an
additional demand for training supervisors and without creating a
detrimental effect on safety.
Section 240.129--Criteria for Monitoring Operational Performance of
Certified Engineers
FRA did not propose a specific change to this section in the NPRM
but is modifying the rule in order to resolve a conflict between the
criteria that must be met to qualify a DSLE and the concept endorsed by
RSAC that a DSLE can determine an engineer's train handling abilities
without being familiar with the territory over which the engineer is
operating. The same comment that was discussed in the section-by-
section analysis regarding Sec. 240.127 applies to this section and
FRA's position is similarly situated. The commenter argued that DSLEs
should be qualified on the physical characteristics of territory over
which they are monitoring operational performance because that would
increase safety. After further consideration, this RSAC member and
commenter agreed with the previous consensus recommendation that this
exception would not have a detrimental effect on safety. As suggested
by RSAC, FRA believes this modification would conserve railroad
resources by not creating an additional demand for training supervisors
and without creating a detrimental effect on safety.
Subpart C--Implementation of the Certification Process
Section 240.213--Procedures for Making the Determination on Completion
of Training Program
FRA did not propose a specific change to this section in the NPRM
but is modifying the rule to ensure that a fully qualified DSLE, i.e.,
a person who meets all of the requirements of Sec. 240.105, will be
making the determination that a person completing a locomotive engineer
training program has the requisite physical characteristics
familiarity. As addressed in the preamble under the major issues
section titled ``Qualifications for Designated Supervisors of
Locomotive Engineers,'' FRA received one comment that advocated
requiring that a supervisor of locomotive engineers be qualified on the
physical characteristics of the territory over which the supervisor
conducts the skill performance test. Although this is a different issue
than the one raised in the comment, Working Group discussions on this
issue led to RSAC's recommendation that FRA add a new paragraph (c) to
Sec. 240.213. RSAC's recommendation requested that FRA address that a
DSLE be qualified on the physical characteristics of a territory over
which a locomotive engineer is being qualified on at the completion of
a training program pursuant to Sec. 240.213. In addition, RSAC
recommended that Sec. 240.213 be amended to reflect that a qualified
DSLE should be required whenever a locomotive engineer is to be
qualified for the first time on a territory.
FRA believes that modification of paragraph (b)(3) makes greater
sense than RSAC's recommendation of adding a new paragraph because
paragraph (b) already requires written documentation that certain
determinations will be met. The current language of Sec. 240.213 also
takes into account the first time a locomotive engineer is qualified on
a territory and therefore addressing it again would be redundant.
Paragraph (b)(3) was modified by requiring that when a railroad
provides for the continuing education of a certified locomotive
engineer, that railroad must ensure that each engineer maintains the
necessary knowledge, skill and ability concerning familiarity with
physical characteristics ``as determined by a qualified designated
supervisor of locomotive engineers.'' Thus, the modification is not
that engineers must be qualified on physical characteristics (since
that is already a requirement) but that the person making this
determination for the railroad must be a qualified DSLE. FRA believes
that this change promotes safety.
Section 240.217--Time Limitations for Making Determinations
All of the modifications being made to this section involve changes
to time limits and are identical to the proposed modifications. The
RSAC members requested these changes, and FRA will make the
modifications, because administrative difficulties will be eased by not
having to meet the shorter and inconsistent periods. FRA does not
believe that these time extensions will make the data so old that they
will no longer be indicative of the person's ability to safely operate
a locomotive or train. When the rule was originally published, time
limits were established which seemed reasonable and prudent. The rule
contained numerous time limits of varying length, which has led to
confusion by those governed by the rule. Since publication of the rule,
experience by the regulated community has shown the potential for
simplification and consistency without sacrificing safety. No comments
were received regarding this section and thus FRA believes there are
benefits of extending these time limitations without any risk to
safety.
Section 240.223--Criteria for the Certificate
The amendment that will be made by this final rule to paragraph
(a)(1) is identical to the proposal and will require that each
certificate identify either the railroad or ``parent company'' that is
issuing it. No comments were received with regard to this section. This
change will reduce the burden on small railroads. For these companies,
complying with the current requirement of identifying each railroad has
become a major logistical problem. It is arguable that a holding
company managing multiple short line railroads is the equivalent of a
major railroad operating over its many divisions; thus, it is fair to
treat them similarly. However, the individuals must still qualify under
the program of each short line railroad for which they are certified to
operate and each of those railroads must maintain appropriate records
as required by this part.
Section 240.225--Reliance on Qualification Determinations Made by Other
Railroads
No comments were received with regard to this section and the
modifications of this section are identical to the proposed version;
thus, the analysis provided for in the NPRM is merely summarized here.
New paragraph (a) addresses the perception that the larger railroads
often administer a more rigorous training program than the smaller
railroads due to the nature of their operations; that is, small
railroads typically have more straightforward operations which are
geographically compact and not as topographically diverse as the larger
railroads. The modification requires a railroad's certification program
to address how the railroad will administer the training of previously
uncertified engineers with extensive operating experience or previously
[[Page 60980]]
certified engineers who have had their certification expire. In both
these instances, FRA is providing a railroad with the opportunity to
shorten the on-the-job training that might be required if a person is
treated as having no operational experience. If a railroad's
certification program fails to specify how to train a previously
certified engineer hired from another railroad, then the railroad shall
require the newly hired engineer to take the hiring railroad's entire
training program. By articulating both the problem and mandating a safe
solution, it is FRA's position that this modification will save
resources.
Section 240.229--Requirements for Joint Operations Territory
No comments were received with regard to this section and the
modifications of this section are identical to the proposed version;
thus, the analysis provided for in the NPRM is merely summarized here.
By amending paragraph (c), FRA has adopted RSAC's recommendation to
realign the burden for determining which party is responsible for
allowing an unqualified person to operate in joint operations. These
changes are based on the experiences of the Working Group's members who
expressed the universal opinion that an inordinate amount of the
liability currently rests with the controlling railroad. The
realignment would lead to a sharing of the burden among a controlling
railroad, a guest railroad and a guest railroad's locomotive engineer.
The parties' responsibilities are found respectively in paragraphs
(c)(1) through (3). FRA's thought is that the changes will be fair to
the parties involved since each party will be responsible for making
determinations based on information that should be within that party's
control.
Section 240.231--Requirements for Locomotive Engineers Unfamiliar With
Physical Characteristics in Other Than Joint Operations
No comments were received with regard to this section and the
addition of these final rule provisions are identical to those of the
proposed version; thus, the lengthy analysis provided in the NPRM is
merely summarized here. Railroads have a history of using conductors
and other craft employees as pilots and this usage of non-certified
locomotive engineers as pilots conflicts with FRA's position on what
the current rule allows. FRA recognizes that there is a great need for
clarification concerning which employees may serve as pilots since
there has been great misunderstanding and misapplication of the rule in
this regard.
FRA's changes to the rule reflect RSAC's recommendation that
recognizes the complexity of the problem. The concept behind easing the
engineer pilots only requirement relies on the Working Group members'
experiences; that is, engineers who have been previously qualified on a
territory would need less guidance and expertise to refamiliarize
themselves with the physical characteristics of that territory as would
those engineers who work under certain conditions that make a person's
lack of familiarity a reduced safety concern. Simply requiring
locomotive engineer pilots in all situations, or in no situations, is
neither practical nor desirable. Hence, while supervisors of locomotive
engineers may need to consult the rule more frequently in order to
ensure compliance, the rule will ensure a higher degree of safety when
an engineer operates in unfamiliar territory. Because the modification
will ensure that physical characteristics are addressed in a more
structured manner, this modification should promote safety better than
the confusion caused by the original rule's lack of a statement.
Subpart D--Administration of the Certification Program
Section 240.305--Prohibited Conduct
FRA received one comment that led RSAC and FRA to reevaluate this
section. The commenter was concerned that FRA's NPRM appeared to be
singling out DSLEs for special treatment that would serve as a
disincentive for people to want to be DSLEs. FRA believes that the
opposite is true; by clarifying a DSLEs responsibilities, the
regulation will more clearly notify the public that DSLEs will be
subject to revocation of their certification in the same way as every
other type of locomotive engineer. In fact, RSAC's post-NPRM
recommendation was to expand the clarification so that locomotive
engineer pilots and instructor engineers would understand that they too
are subject to decertification based on their conduct when performing a
locomotive engineer function. Thus, for the same reasons that FRA will
change Sec. 240.117(c)(2), paragraph (a)(6) will be modified from the
proposal. This amendment certainly puts certified locomotive engineers
who are also supervisors, pilots and instructors on notice that they
cannot actively or passively acquiesce to misconduct events caused by
certified engineers they are observing, piloting or instructing.
Besides the above mentioned change, several paragraphs to
Sec. 240.305(a) will be added and changed so that the prohibited
conduct list is equivalent to the list of misconduct events in
Sec. 240.117(e), which require the railroad to initiate revocation
action. This section is needed so that FRA may initiate enforcement
action. For example, FRA may want to initiate enforcement action in the
event that a railroad fails to initiate revocation action or a person
is not a certified locomotive engineer under this part.
Furthermore, FRA has made conforming changes to paragraph (a)(3) as
necessary considering the Passenger Equipment Safety Standards final
rule that was published at 49 CFR Part 238. See 64 FR 25540 (May
12,1999). Paragraph (a)(3) was also modified to account for whatever
changes, if any, are ever made to part 232. See 63 FR 48294 (Sept. 9,
1998) (proposing changes to part 232).
Section 240.307--Revocation of Certification
FRA is amending several paragraphs in this section. In response to
the NPRM, two commenters offered opinions that suggested alternative
changes to what FRA proposed. Those changes have been addressed fully
in the preamble to this rule in the section ``Improving the Dispute
Resolution Procedures'' and will not be addressed here unless the
comment prompted FRA to make a rule change.
In adopting this final rule, FRA is making four modifications to
this section which differ from the NPRM; otherwise, the analysis in the
NPRM satisfactorily describes the basis for the amendments to this
section. One of the four modifications from the NPRM involves the
problem that throughout Sec. 240.307 the regulation refers to an
individual whose function is the ``charging official.'' In helping to
formulate the NPRM recommendations, several of the Working Group's
members noted that the railroad industry does not generally use this
term and that a better description of the individual the regulation is
referring to would be ``investigating officer.'' FRA agreed with what
later became RSAC's recommendation and intended to change the term
``charging official'' to ``investigating officer'' throughout the
document when referring to the railroad official who performs the
prosecutorial role. Despite FRA's intent, the agency unintentionally
failed to modify paragraph (c)(2) accordingly; that mistake is now
being corrected.
[[Page 60981]]
In order to address two other modifications that differ from the
proposal, it is helpful to reiterate the basis for one of the proposed
modifications that remain in the final rule. Paragraph (c) requires
that a railroad shall provide a hearing consistent with procedures
specified in paragraph (c) unless a hearing is held pursuant to a
collective bargaining agreement as specified in paragraph (d), a
hearing is waived according to paragraph (f), or, prior to a hearing,
the railroad makes certain determinations specified in paragraphs (i)
and (j) which excuse the alleged misconduct. Paragraph (c)(10) requires
that the presiding officer prepare a written decision, which on its
face seems like a straightforward requirement. However, some
petitioners have argued that procedural error has occurred when written
decisions have been signed by a railroad official other than the
presiding officer, e.g., a presiding officer's supervisor. The issue
appears to be whether the presiding officer must also be the decision-
maker or whether the presiding officer can merely take the passive role
of presiding over the proceedings only. There is also a separate issue
of whether a railroad official who is someone other than the presiding
officer may have a conflict of interest that should disqualify that
railroad official from signing the written decision; i.e., there may be
the appearance of impropriety if the non-presiding railroad official
has ex-parte communications with the charging official (or
investigating officer). FRA urges railroad officials to avoid the
appearance of impropriety and to conduct their on-the-property hearings
in an objectively fair manner.
The agency's intentions were articulated in the preamble to the
1993 interim final rule. FRA stated that ``FRA's design for Subpart D
was structured to ensure that such decisions would come only after the
certified locomotive engineer had been afforded an opportunity for an
investigatory hearing at which the hearing officer would determine
whether there was sufficient evidence to establish that the engineer's
conduct warranted revocation of his or her certification.'' 58 FR
18982, 18999 (Apr. 9, 1993). FRA also discussed in this 1993 preamble
how the revocation process pursuant to this part should be integrated
with the collective bargaining process. FRA stated that if the
collective bargaining process is used ``the hearing officer will be
limited to reaching findings based on the record of the hearing'' and
not other factors as may be allowed by a bargaining agreement; the rule
was written to ``guard against hearing officers who might be tempted to
make decisions based on data not fully examined at the hearing.'' 58 FR
18982, 19000 (Apr. 9, 1993). Hence, it appears that the agency did not
even contemplate that someone other than the presiding officer might
make the revocation decision.
In contrast to the agency's initial position, several of the
Working Group's members said that their organizations have set up this
process to allow someone other than the presiding officer to make the
revocation decision. This other person is always a railroad official
who reviews the record made at the railroad hearing. Although this is
not what the agency expected when it drafted the original final rule in
1991, FRA and the LERB have found this practice acceptable as long as
the relevant railroad official has not been the charging official (or
investigating officer). The reasoning behind this acceptance is that
fairness of the hearing and the decision is maintained by separating
the person who plays the prosecutorial role from the person who acts as
the decision-maker. Thus, RSAC recommends, and FRA agrees, to codify
this position in paragraph (c)(10).
Meanwhile, a second modification that differs from the NPRM is
FRA's failure to amend the reference in paragraph (e) to the
``presiding officer'' when it published the NPRM. FRA's intent was to
amend paragraph (e) so that the rule will uniformly state that a
railroad official, other than the investigating officer, shall make
findings as to whether revocation is required. Thus, pursuant to the
new rule, the railroad official, who is someone other than the
investigating officer and who determines whether revocation is
necessary, could be the presiding officer or another qualified railroad
official.
A third modification that FRA is making to this section that
differs from the NPRM is found in paragraph (c)(10). FRA's original
proposal stated that ``[a]t the close of the record, a railroad
official, other than the investigating officer, shall prepare and sign
a written decision in the proceeding.'' FRA received one comment that
suggested that this paragraph should be revised to clarify that the
written decision could be prepared at or after the close of the record;
the commenter argued that unless amended, the paragraph ambiguously
gave the impression that a written decision had to be provided upon the
immediate closing of the hearing. In consideration of the comment, RSAC
discussed that a formal deadline for written decisions in revocation
proceedings not held pursuant to collective bargaining agreements was
desirable so that these decisions could be expected to be completed
within a reasonable period of time. RSAC recommends, and FRA agrees,
that it would be fair to all parties if such a decision would be
required ``no later than 10 days after the close of the record.'' The
``no later than 10 days after the close of the record'' requirement
should not place a great burden on any railroad nor should it be
confusing to apply. The ``no later than'' language allows issuance of
the decision on the tenth day after the close of the record or any time
prior to the expiration of that tenth day.
FRA did not receive comments with regard to the other proposed
changes to this section, which are explained below. Paragraph (b)(2) is
modified in two significant ways. First, based on RSAC's recommendation
and FRA's understanding of fair process, initial notice of a revocation
suspension may be either oral or written but confirmation of the
suspension must be made in writing at a later date; this clarifies a
railroad's obligations since FRA was silent in the rule as to whether
notice could be made orally or must be in writing yet FRA's preamble
stated that the notice must be in writing. Second, the amount of time
the railroad will have to confirm the notice in writing will depend on
a time limit imposed by an applicable collective bargaining agreement
or, in the absence of such an agreement, a time limit of 96 hours will
be imposed.
Modifications to paragraphs (i) and (i)(1) from the proposal are
merely cosmetic. Paragraph (i)(1) will make it explicitly known that a
person's certificate shall not be revoked when there is sufficient
evidence of an intervening cause that prevented or materially impaired
the person's ability to comply. FRA has always maintained this position
and the RSAC members agreed that it would be useful to incorporate it
into the rule. FRA expects that railroads which have previously
believed they were under a mandate to decertify a person for a
violation regardless of the particular factual defenses the person may
have had, will more carefully consider similar defenses in future
cases. In 1993, FRA stated that ``[f]actual disputes could also involve
whether certain equitable considerations warrant reversal of the
railroad's decision on the grounds that, due to certain peculiar
underlying facts, the railroad's decision would produce an unjust
result not intended by FRA's rules.'' 58 FR 18982, 19001 (Apr. 9,
1993). The example FRA used in 1993
[[Page 60982]]
applies to this proposal as well. That is, the LERB ``will consider
assertions that a person failed to operate the train within the
prescribed speed limits because of defective equipment.'' Similar to
the defense of defective equipment, the actions of other people may
sometimes be an intervening cause. For instance, a conductor or
dispatcher may relay incorrect information to the engineer which is
reasonably relied on in making a prohibited train movement.
Meanwhile, locomotive engineers and railroad managers will need to
note that not all equipment failures or errors caused by others should
serve to absolve the person from certification action. The factual
issues of each circumstance must be analyzed on a case-by-case basis.
For example, a broken speedometer would certainly not be an intervening
factor in a violation of Sec. 240.117(e)(3) (failure to do certain
required brake tests).
Paragraph (i)(2) has been modified from the proposal although no
comments were received requesting the type of change made. The proposed
rule prohibited all railroads from taking revocation action for events
that are of a minimal nature and that do not have either a direct or
potential effect on rail safety while the final rule merely permits
railroads to make such a determination. Thus, the final rule will
provide a railroad with the discretion necessary to decide not to
revoke an engineer's certification for an operational misconduct event
that violates Sec. 240.117(e)(1) through (e)(5) under certain limited
circumstances. Without such a modification, the proposal would have
created a defense in every case where many close judgment calls by
railroads could be second guessed by the LERB. Rather than finalize the
proposal, which FRA helped RSAC develop into a recommendation, FRA has
decided to moderate it so that it is not a defense in every case and
thus carry the potential to greatly increase the number of petitions to
the LERB. In comparison, FRA does not believe that the modification of
adding the defense of an intervening cause will greatly increase or
decrease the number of petitions to the LERB since making such a
determination is significantly more objective than determining what
types of violations are both (1) of a minimal nature and (2) have no
direct or potential effect on rail safety. The potential downside to
proposed paragraph (i)(2) was not recognized until after the comment
period closed and RSAC's final recommendations were made.
Paragraph (i)(2) will not permit a railroad to use their discretion
to dismiss violations indiscriminately. That is, FRA will only permit
railroads to excuse operational misconduct when two criteria are met.
First, the violation must be of a minimal nature; for example, on high
speed track at the bottom of a steep grade, the front of the lead unit
in a four unit consist hauling 100 cars enters a speed restriction at
10 miles per hour over speed, but the third unit and the balance of the
train enters the speed restriction at the proper speed, and maintains
that speed for the remainder of the train. If more of the locomotive or
train consist enters the speed restriction in violation, a railroad
that is willing to consider mitigating circumstances will need to
consider whether the violation was truly of a minimal nature. Other
examples where violations may be of a minimal nature may include
slowing down for speed restrictions that are located within difficult
train-handling territory, flat switching-kicking cars, snow plow
operations, and certain industrial switching operations requiring short
bursts of speed to spot cars on steep inclines.
In contrast, a violation could not be considered of a minimal
nature if an engineer fundamentally violated the operating rules. For
example, using the same consist and location in the previous example,
if the entire train were operated through the speed restriction at 10
miles per hour over the prescribed speed, then the event could not be
considered of a minimal nature. In situations where the rule has been
fundamentally violated, a railroad does not have the discretion to
excuse this violation.
Second, for paragraph (i)(2) to apply, it will also be required
that sufficient evidence be presented to prove that the violation did
not have either a direct or potential effect on rail safety. This
defense will certainly not apply to a violation that actually caused a
collision or injury because that would be a direct effect on rail
safety. It will also not apply to a violation that, given the factual
circumstances surrounding the violation, could have resulted in a
collision or injury because that would be a potential effect on rail
safety. For instance, an example used to illustrate the term ``minimal
nature'' described a situation involving a train that had the first two
locomotives enter a speed restriction too fast, yet the balance of the
train was in compliance with the speed restriction; since the train in
this example would not be endangering other trains because it had the
authority to travel on that track at a particular speed, there would be
no direct or potential effect on rail safety caused by this violation.
In contrast, if a train fails to stop short of a banner, which is
acting as a signal requiring a complete stop before passing it, during
an efficiency test, that striking of a banner may have no direct effect
on rail safety but it has a potential effect since a banner would be
simulating a railroad car or another train. Meanwhile, there is a
difference between passing a banner versus making an incidental
touching of a banner. If a locomotive or train barely touches a banner
so that the locomotive or train does not run over the banner, break the
banner, or cause the banner to fall down, this incidental touching
could be considered a minimal nature violation that does not have any
direct or potential effect on rail safety. This is because such an
incidental touching is not likely to cause damage to equipment or
injuries to crew members even if the banner was another train. Although
it is arguable that if the banner were a person the touching could be
fatal, FRA is willing to allow railroads the discretion to consider
this type of scenario in the context of excusing a violation pursuant
to paragraph (i)(2); of course, if the banner was in fact a person in
the manner described in the example, the railroad would not have the
discretion to apply paragraph (i)(2).
Similarly, if a train has received oral and written authority to
occupy a segment of main track, the oral authority refers to the
correct train number, and the oral authority refers to the wrong
locomotive because someone transposed the numbers, the engineer's
violation in not catching this error before entering the track without
proper authority could be considered of a minimal nature with no direct
or potential effect on rail safety. Since the railroad would be aware
of the whereabouts of this train, the additional risk to safety of this
paperwork mistake may practically be zero. Under the same scenario,
where there are no other trains or equipment operating within the
designated limits, there may be no potential effect on rail safety as
well as no direct effect.
FRA also notes that in paragraphs (i)(1) and (i)(2) of the new
rule, a defense must be supported by sufficient evidence, not
substantial evidence as was mistakenly proposed. As FRA discussed in
the preamble topic ``Improving the Dispute Resolution Procedures,'' the
rule does not contain a standard of proof for the railroad hearing and
FRA did not intend to create any such standard. Although silent on the
standard of proof, FRA specifically requires that the railroad
determine, on the record of the hearing,
[[Page 60983]]
whether the person no longer meets the qualification requirements of
this part and state explicitly the basis for the conclusion reached.
Sec. 240.307(b)(4). FRA wants to ensure that the railroad hearings are
fair, and allow for consolidation with applicable collective bargaining
agreements, without the rigidity of instituting a standard of proof.
Furthermore, substantial evidence is a standard of review that would
not be appropriate given the fact finding role of such a hearing, as
opposed to a reviewing role.
Paragraph (j) will require that railroads keep records of those
violations in which they must not or elect not to revoke the person's
certificate pursuant to paragraph (i). The keeping of these records is
substantially less burdensome than the current rule since the current
rule requires this type of recordkeeping plus the opportunity for a
hearing under Sec. 240.307. Paragraph (j)(1) will require that
railroads keep records even when they decide not to suspend a person's
certificate due to a determination pursuant to paragraph (i). Paragraph
(j)(2) will require that railroads keep records even when they make
their determination prior to the convening of the hearing held pursuant
to Sec. 240.307.
Paragraph (k) will address concerns that problems could arise if
FRA disagrees with a railroad's decision not to suspend a locomotive
engineer's certificate for an alleged misconduct event pursuant to
Sec. 240.117(e). The idea behind new paragraph (i) is that as long as
the railroads make good faith determinations after reasonable
inquiries, they should have a defense to civil enforcement for making
what the agency believes to be an incorrect determination. Since
paragraph (i) will both require and permit railroads to make some
difficult decisions based on factual circumstances on a case-by-case
basis, FRA accepts RSAC's recommendation that it is fair not to
penalize railroads for making what the agency in hindsight may decide
to be the wrong decision. However, railroads are put on notice that if
they do not conduct a reasonable inquiry or act in good faith, they are
subject to civil penalty enforcement. In addition, even if a railroad
does not take what FRA considers appropriate revocation action, FRA can
still take enforcement action against a person responsible for the non-
compliance by assessing a civil penalty pursuant to Sec. 240.305 or
issuing an order prohibiting an individual from performing safety-
sensitive functions in the rail industry for a specified period
pursuant to 49 CFR part 209, subpart D.
Section 240.309--Railroad Oversight Responsibilities
This recordkeeping section will be modified to better reflect the
types of poor safety conduct identified in Sec. 240.117(e). It is
identical to the proposal except for paragraph (e)(3). FRA has made
conforming changes to paragraph (e)(3) as necessary considering the
Passenger Equipment Safety Standards final rule that was published at
49 CFR Part 238. See 64 FR 25540 (May 12,1999). Paragraph (e)(3) was
also modified to account for whatever changes, if any, are ever made to
part 232. See 63 FR 48294 (Sept. 9, 1998)(proposing changes to part
232).
Paragraphs (e)(6), (7) and (8) currently concern train handling
issues (i.e., improper use of dynamic brakes, automatic brakes and a
locomotive's independent brake) that are no longer considered
operational misconduct events and therefore FRA should not need to ask
railroads to report this information for study and evaluation. The new
paragraphs (e)(6), (7) and (8) mirror those operational misconduct
events that were mistakenly left off this list of conduct that needs to
be reported for study and evaluation purposes.
New paragraph (h) would correct a clerical error which had
mistakenly created two paragraphs labeled as (e). No comments were
received in response to this section in the NPRM.
Subpart E--Dispute Resolution Procedures
Section 240.403--Petition Requirements
The change to paragraph (d) which shortens the amount of time an
aggrieved person can take to file a petition with the LERB from 180
days to 120 days is identical to the proposal. No comments were
received in response to the proposed section. The main reason for this
change is the broad concept that the entire certification review
process should be as short as possible because timely decisions are
more meaningful. Another reason for shortening this filing period is
that the RSAC members, many of whom have had significant exposure to
the LERB petition process, found this time period unnecessarily long in
order to complete a petition. These industry leaders recognize that the
evidence typically needed for the LERB's review is readily available at
the time the railroad makes its revocation decision. Petitioners need
to send the LERB this evidence and add an explanation as to why they
believe the railroad's decision was improper. Since this period of time
was so great, some RSAC members reported that it only encouraged
aggrieved persons to procrastinate before deciding whether to file a
petition.
While FRA is acting to shorten the time available to file a
petition, in consideration of recent circumstances experienced in
administering the dispute resolution process, FRA is no longer
comfortable with the Locomotive Engineer Review Board's lack of
authority to accept late petitions for cause shown. Thus, FRA has
modified paragraph (d) and added paragraphs (d)(1) and (2) to accept
late filings under certain limited circumstances that are modeled
after, to the extent possible, rule 6(b) of the Federal Rules of Civil
Procedure regarding enlargement of time. Through the promulgation of
paragraph (d)(1), FRA intends to give the Board wide discretion to
grant a request for additional time that is made prior to the
expiration of the period originally prescribed. As the Board may
exercise its discretion under this rule only for ``cause shown,'' a
party must demonstrate some justification for the Board to accept the
late petition. Similarly, if the deadline in (d) is completely missed,
the movant, under paragraph (d)(2), must allege the facts constituting
``excusable neglect'' and the mere assertion of excusable neglect
unsupported by facts is insufficient. Excusable neglect requires a
demonstration of good faith on the part of the party seeking an
extension of time and some reasonable basis for noncompliance within
the time specified in the rules. Absent a showing along these lines,
relief will be denied. In addition, paragraph (e) was added to explain
that a decision of untimeliness may be appealed directly to the
Administrator. Ordinarily, an appeal to the Administrator may occur
only after a case has been heard by FRA's hearing officer.
Section 240.405--Processing Qualification Review Petitions
The changes to this section are identical to the proposal with one
exception and no comments were received in response to this proposed
section. Paragraph (a) is modified to include a public pronouncement of
FRA's goal to issue decisions within 180 days from the date FRA has
received all the information from the parties. FRA's ability to achieve
this goal is dependent on the number of petitions filed and agency
resources available to handle those petitions in any given period. The
modification to paragraph (c) lengthens the amount of time the railroad
will be given to respond to a petition from 30 days to 60 days because
FRA accepts RSAC's recommendation that a 30-day time period is unfairly
short; FRA
[[Page 60984]]
expects that when possible, railroads will continue to file responses
as soon as possible rather than wait until the sixtieth day to file. A
further modification was made to paragraph (c) based on FRA's recent
experiences administering the dispute resolution process; thus, FRA has
decided to allow the Board to consider late filings to the extent it is
practicable to do so. Also, paragraph (d)(3) is added so that railroads
which submit information in response to a petition will be required to
file such submission in triplicate; without this requirement, the
burden placed on the Docket Clerk could cause undesirable delay in this
process.
It is important to note that FRA is not amending paragraph (f). The
LERB is still only determining whether the railroad's decision was
based on an incorrect determination. If a railroad conducted hearing is
so unfair that it causes a petitioner substantial harm, the LERB may
grant the petition; however, the LERB's review is not intended to
correct all procedural wrongs committed by the railroad.
Section 240.411--Appeals
Paragraph (e) is amended as proposed to give the Administrator the
power to remand or vacate. No comments were received in response to
this proposed section. The phrase ``except where the terms of the
Administrator's decision (for example, remanding a case to the
presiding officer) show that the parties' administrative remedies have
not been exhausted'' is included as part of the regulation so that
parties would understand that a remand, or other intermediate decision,
would not constitute final agency action. The inclusion of this phrase
is made in deference to those parties that are not represented by an
attorney or who might otherwise be confused as to whether any action
taken by the Administrator should be considered final agency action.
Likewise, recent administration of the dispute resolution
proceedings has convinced FRA to allow the Locomotive Engineer Review
Board to accept late filings for cause shown under certain limited
circumstances. See Sec. 240.403(d). Given the limited authority of the
FRA hearing officer, it appears appropriate for an aggrieved party to a
Board decision, which denies a petition as untimely, to have the right
to appeal that Board decision directly to the Administrator. See
Sec. 240.403(e). Paragraph (f) was added to adjust for that additional
type of Administrator review.
Appendix A to Part 240--Schedule of Civil Penalties
No comments were received in response to this appendix. FRA is
changing footnote number 1 to this schedule of civil penalties so that
it will reflect recent changes in the law. The Federal Civil Penalties
Inflation Adjustment Act of 1990, Public Law 101-410 Stat. 890, 28
U.S.C. 2461 note, as amended by the Debt Collection Improvement Act of
1996 Public Law 104-134, April 26, 1996 required agencies to adjust for
inflation the maximum civil monetary penalties within the agencies
jurisdiction. The resulting $11,000 and $22,000 maximum penalties were
determined by applying the criteria set forth in sections 4 and 5 of
the statute to the maximum penalties otherwise provided for in the
Federal railroad safety laws.
As promised in the proposal's analysis, FRA has considered the
modifications to the rule in deciding where revisions of the penalty
schedule are necessary. Although penalty schedules are statements of
policy and FRA was not obligated to provide an opportunity for public
comment, FRA invited comments on this issue and received none.
Appendix F to Part 240--Medical Standards Guidelines
The purpose of this appendix is to provide greater guidance on the
procedures that should be employed in administering the vision and
hearing requirements of Secs. 240.121 and 240.207 of this part. The
main issue addressed in this appendix is the addition of acceptable
test methods for determining whether a person has the ability to
recognize and distinguish among the colors used as signals in the
railroad industry. Two issues were raised by one commenter to the NPRM
regarding the appropriateness of some of the guidance proposed.
For consistency and clarification, the commenter asked whether
Appendix F and Sec. 240.121(e) should be revised to reflect that
further testing may be conducted upon request if the railroad has not
provided for such further testing without such a request. Since this
issue was discussed in great detail in the section-by-section analysis
for Sec. 240.121(e), FRA requests that interested persons consult that
earlier analysis.
The second of these two issues involves the appropriateness of
using chromatic lenses when testing a person's color vision. The
commenter recommended the deletion of the sentence ``[c]hromatic lenses
may be worn in accordance with any subsequent testing pursuant to
Sec. 240.121(c) if permitted by the medical examiner and the
railroad.'' RSAC and the commenter support banning the wearing of
chromatic lenses during an initial test on the grounds that FRA has
acquired a general body of knowledge that chromatic lenses are a safety
issue. Meanwhile, the commenter requested that the rule be silent on
the issue of whether chromatic lenses are acceptable for subsequent
testing since such a statement from FRA might be considered an
endorsement of chromatic lenses in other legal contexts. RSAC
recommended that this sentence be deleted and that FRA remain silent on
the acceptability of chromatic lenses in subsequent testing because it
is likely that the judicial system will end up deciding such issues on
a case-by-case basis regardless of FRA's pronouncements. After further
consideration, FRA agrees with RSAC's recommendations.
Regulatory Impact
E.O. 12866 and DOT Regulatory Policies and Procedures
This final rule has been evaluated in accordance with existing
policies and procedures and is considered to be non-significant under
both Executive Order 12866 and DOT policies and procedures (44 FR
11034; Feb. 26, 1979). Nevertheless, FRA has prepared and placed in the
docket a regulatory evaluation of the final rule. This evaluation
estimates the costs and other consequences of the rule as well as its
anticipated economic and safety benefits. It may be inspected and
photocopied during normal business hours by visiting the FRA Docket
Clerk at the Office of Chief Counsel, FRA, Seventh Floor, 1120 Vermont
Avenue, NW, in Washington, DC. Photocopies may also be obtained by
submitting a written request by mail to the FRA Docket Clerk at the
Office of Chief Counsel, Federal Railroad Administration, 1120 Vermont
Avenue, NW, Mail Stop 10, Washington, DC 20590.
FRA expects that overall the rule will save the rail industry
approximately $920,000 Net Present Value (NPV) over the next twenty-
years. The NPV of the total estimated twenty-year costs associated with
the rule is $1,049,964. The NPV of the total twenty-year monetary
savings (non-safety benefits) expected to accrue to the industry from
the rule is $1,970,999. For some rail operators, the total costs
incurred may exceed the total costs saved. For others,
[[Page 60985]]
the cost savings will outweigh the costs incurred.
Costs/savings, and benefits/safety impacts associated with
particular requirements of the final rule were analyzed separately. FRA
believes it is reasonable to expect that several injuries and
fatalities will be avoided as a result of implementing some of the rule
modifications. FRA also believes that the safety of rail operations
will not be compromised as a result of implementing the cost savings
modifications.
The following table presents estimated twenty-year monetary impacts
associated with the rule modifications.
------------------------------------------------------------------------
Description Costs incurred Costs saved
------------------------------------------------------------------------
Supervisors of Loco. Engineers:
Qualifications...................... $1,012,211 ..............
First Designated Supervisor......... .............. $ 8,422
Extending Culpability............... 17,798 ..............
Revocable Event Criteria (Speed)........ .............. 232,486
Ineligibility Schedule.................. .............. 574,746
Vision and Hearing Acuity:
Right to Further Medical Examination 14,185 ..............
Distribution of Rule to Medical 4,000 ..............
Examiners..........................
New Railroads/New Territories........... .............. 16,844
Pilots for Locomotive Engineers......... .............. 1,047,282
Written Notice of Revocation............ 1,769 ..............
Added Railroad Discretion............... .............. 88,481
Single Certificate...................... .............. 2,737
-------------------------------
Total (rounded)..................... 1,049,964 1,970,999
Net Savings (rounded)............... .............. 921,035
------------------------------------------------------------------------
Note that the NPV of the total cost savings to individual
locomotive engineers that commit second and third offenses within a
three-year period is expected to total approximately $2.5 million over
the next twenty years. However, because one engineer's lost employment
opportunity would become another locomotive engineer's opportunity,
this information is not included as a savings and is presented for
information purposes only.
Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980 (5 U.S.C. 601 et seq.)
requires an assessment of the impacts of rules on small entities. FRA
has conducted a regulatory flexibility assessment of this final rule's
impact on small entities, and the assessment has been placed in the
public docket for this rulemaking. The regulatory flexibility
assessment concludes that the final rule will have economic impact on
small entities. However, FRA certifies that the final rule will not
have a ``significant'' impact on a substantial number of small
entities.
``Small entity,'' is defined in 5 U.S.C. 601 as a small business
concern that is independently owned and operated, and is not dominant
in its field of operation. The United States Small Business
Administration (SBA) stipulates in its ``Size Standards'' that the
largest a ``for-profit'' railroad may be, and still be classified as a
``small entity,'' is 1,500 employees for ``Line-Haul Operating''
Railroads, and 500 employees for ``Switching and Terminal
Establishments'' (Table of Size Standards, U.S. Small Business
Administration, January 31, 1996, 13 CFR Part 121). This final rule
will affect small railroads as defined by the SBA. The statutory
definition of ``small government jurisdictions'' is a governmental
entity that serves a population center of 50,000 or less. The transit
authorities subject to the requirements of this rule do not serve
communities with population levels of 50,000 or less.
Because FRA does not have information regarding the number of
people employed by railroads, it cannot determine exactly how many
small railroads, by SBA definition, are in operation in the United
States. However, FRA maintains information regarding annual employee
hours for railroads and has used the delineation of less than 400,000
annual employee hours to represent small entities in other regulatory
flexibility assessments. This grouping captures most small entities
that would be defined by the SBA as small businesses. FRA has also used
this grouping in the past to alleviate Federal reporting requirements.
About 645 of the approximately 700 railroads in the United States
are considered small businesses by FRA. The final rule applies to
railroads that operate locomotives on standard gage track that is part
of the general railroad system of transportation. Approximately 25
tourist and museum railroads that are small businesses do not operate
on the general railroad system. Therefore, this rule will affect
approximately 620 small entities. Small railroads that will be affected
by the final rule provide less than 10 percent of the industry's
employment, own about 10 percent of the track, and operate less than 10
percent of the ton-miles.
The standards contained in the final rule were generally developed
in consensus with the representatives from the American Shortline and
Regional Railroad Association (ASLRRA). Two representatives from the
ASLRRA are members of the Working Group established by the Federal
Railroad Administrator's Rail Safety Advisory Committee (RSAC) to work
on this rulemaking. These members represented the interests of small
freight railroads and some excursion railroads operating in the United
States during this rulemaking process. A representative of the Tourist
Railway Association, Incorporated is a member of the RSAC which is
responsible for approving the standards developed by the Working Group.
Small rail operators had an opportunity to comment on the NPRM.
The impacts of the final rule on small entities are not expected to
be substantial. FRA has identified four specific requirements that will
result in additional regulatory burden for small railroads. The
extension of culpability to DSLEs, locomotive engineers' right to
receive further medical evaluation following a vision and hearing
acuity test, distribution of the final rule to medical officers, and
written notification of suspension of certification will all affect
small railroads. The level of costs associated with these standards
should vary in proportion to the size of each railroad. Railroads with
fewer locomotive
[[Page 60986]]
engineers should experience lower costs. These standards do not offer
opportunities for larger railroads to experience economies of scale.
Also note that railroads will be relieved of some of the regulatory
burdens associated with current Federal regulations. Small railroads
should benefit proportionally from the modifications to the
ineligibility schedule and the speed violation criteria. These
modifications will allow locomotive engineers committing acts that
would result in revocation of certification under the current rule to
remain or more quickly return to their chosen form of employment. Small
railroads will also benefit from the flexibilities allowed for the
selection of the first DSLE and the increased railroad discretion with
regard to revocation of certification.
Small railroads are actually expected to benefit relatively more
than their larger counterparts from three particular requirements. The
criteria for requiring pilots for locomotive engineers not qualified on
the physical characteristics of a territory grant exemptions based on
factors favorable to small railroads such as operating speed and type
of terrain. The allowance for a single certificate for certified
locomotive engineers qualified to operate on more than one railroad
will have particular applicability to small railroads owned by holding
companies. Finally, the joint operations requirement for the shared
responsibility of determining which locomotive engineers are qualified
to operate over the host railroad's territory will provide small
railroads that give other railroads trackage rights over all or part of
their territory with opportunities for cost savings.
FRA expects that overall the economic benefits that will accrue to
small railroads if the requirements of this rule are implemented will
exceed the regulatory costs. FRA is also confident that the costs
associated with particular requirements will be justified by the safety
benefits achieved.
The Working Group considered proposals made by the ASLRRA to
provide small railroads with economic relief from some of the burdens
imposed by the existing and new federal regulations addressing
locomotive engineer qualifications and certification. Of particular
interest to the ASLRRA was the certification interval. The ASLRRA
sought to extend certification, National Driver Register (NDR) check,
and hearing and vision acuity test intervals from 3 to 5 years.
Initially, the ASLRRA proposed that recertification of locomotive
engineers occur every 5 years, versus the current 3 year interval. The
Working Group considered this proposal. However, the proposal would
decrease the level of confidence that railroads have regarding the
level of safety with which trains are operated. The recertification
process provides railroads with the opportunity to ascertain that
locomotive engineers can continue to operate trains in a safe manner.
Unsafe locomotive engineer train operating practices are detected
during the tests administered as part of the recertification process
and can be corrected through appropriate training. Because the timing
of training of locomotive engineers coincides with their
recertification, lengthening the recertification interval could
translate into delaying needed refresher training sessions. This would
decrease the level of safety with which trains are operated. This
extension would advance the economic interests of small entities but,
would not advance the interests of rail safety.
Taking into account the safety concerns of the Group, the ASLRRA
proposed that recertification remain at a 3 year interval, but that the
NDR check and the hearing and vision tests be performed at 5 year
intervals (instead of the current 3 year interval) for Class III
railroads that do not operate passenger trains, do not operate in
territory where passengers trains are operated, do not operate in
territory with a grade of two percent or greater over a distance of two
continuous miles or, do not operate in signal territory, and, within
the past year, have not transported any hazardous materials in hazard
classes 1 (explosives), 2.3 (poisonous gases) or 7 (radioactive
materials). The rationale for allowing longer intervals between hearing
and vision acuity tests for locomotive engineers in smaller operations
is that on-site management would be more likely to notice changes in a
person's medical condition. By excluding territories with passenger
rail traffic, steep grades, signals, and railroads that haul hazardous
materials from the extension, the rule limits its impacts to situations
with the lowest level of exposure to accidents and the lowest severity
of accident.
Extending the interval between NDR checks, however, raises safety
concerns. This rule requires implementation of an honor system through
which locomotive engineers self report to the railroads driving
incidents involving reckless behavior on their part. The NDR check for
motor vehicle drivers will confirm whether there were any incidents of
reckless behavior while driving a highway vehicle. This information
provides employers insight into whether a person can be trusted with
the operation of a locomotive. The potential, and in certain cases even
the incentive, exists for a locomotive engineer who operates a car
under the influence of alcohol or drugs to not self-report and protect
their certification and job. Increasing the interval between NDR checks
would actually increase the amount of time an engineer could continue
to operate trains without the railroad being aware of reckless motor
vehicle driving incidents. This, in turn, would increase the risk of an
accident occurring due to reckless behavior while operating a
locomotive or train.
In an attempt to expedite the regulatory process associated with
this rulemaking the ASLRRA withdrew their proposal for extending
intervals from this particular rulemaking activity prior to publication
of the NPRM. Following publication of the NPRM, the ASLRRA urged FRA to
reconsider a model program jointly developed by FRA and the industry.
This model would accommodate a longer certification cycle for Class III
railroads by increasing testing and training. The characteristics that
determine the level of train operating difficulty and other safety
concerns of the Class III railroads in the country vary greatly. This
proposal seems over-inclusive since the safety concerns of some Class
III railroads are much greater than others. The proposal also seems
under-inclusive since some Class I and Class II railroads could argue
that their operations pose no greater safety risk than many Class III
railroads. The proposal could arbitrarily allow railroads with a
certain level of operating revenues to gain a benefit without
considering the safety implications determined by the type of
operation.
According to the ASLRRA, Class III railroads would save
approximately $10 million over twenty years if the certification period
was extended by 2 years. FRA believes that the safety risks associated
with such an extension would be significant. The ASLRRA proposal
increases the likelihood of a safety loss if the medical examinations
are required less frequently. In addition to the dubious equity of the
proposal and its possible safety degradation, FRA is concerned about
how this 5-year approach would be handled by a major railroad that
might need to certify a small railroad's engineers for operations on
the major railroad. For all these reasons, the RSAC failed to achieve
consensus recommendations and FRA has decided not to change the rule to
allow Class III railroads to certify their locomotive engineers every 5
years.
The ASLRRA also commented that the administrative burden that was
[[Page 60987]]
imposed by the original rule and was perpetuated in the proposed
revisions must be considered within the scope of the Small Business
Regulatory Enforcement Fairness Act and the paperwork reduction act.
FRA did consider this burden with resulting safety benefits and
determined that the administrative burden is justified by the safer
railroad operating environment.
In response to the NPRM, a Class III railroad recommended that
Class III Switching and Terminal Carriers be excluded from the
requirement that ``dual purpose vehicles'' must be operated by a
certified locomotive engineer in those situations where the ``vehicle''
is being used to move disabled equipment for clearing and repair of
track. Since factors such as traffic density and closeness to switches
and signals will affect the safety risk of an operation, FRA believes
that a general exclusion would not promote safety.
Paperwork Reduction Act
The information collection requirements in this final rule have
been submitted for approval to the Office of Management and Budget
(OMB) under the Paperwork Reduction Act of 1995, 44 U.S.C. 3501 et seq.
The sections that contain the new information collection requirements
and the estimated time to fulfill each requirement are as follows:
--------------------------------------------------------------------------------------------------------------------------------------------------------
Total
CFR section/subject Respondent universe Total annual responses Average time per Total annual burden annual
response hours burden cost
--------------------------------------------------------------------------------------------------------------------------------------------------------
NEW REQUIREMENTS
--------------------------------------------------------------------------------------------------------------------------------------------------------
240.105--Selection Criteria For 10 railroads............. 10 reports............... 1 hour.................. 10 hours................ $380
Design. Supervisors of
Locomotive Engineers.
--Qualification--DSLEs--phys. 675 railroads............ 675 plans................ 6 hours................. 4,050 hours............. 159,300
characteristics.
--DSLE phys. characteristics-- 8 railroads.............. 4 rev. plans............. 3 hours................. 12 hours................ 472
plan rev.
240.111--Indiv. Duty to Furnish 675 railroads............ 400 calls................ 10 min.................. 67 hours................ 2,412
Data on Prior Safety Conduct as
M.V. Operator.
240.117--Criteria For 675 railroads............ 3 viol./appeal........... 12 hours................ 36 hours................ 1,368
Consideration of Operating Rules
Compliance Data.
240.121--Criteria--Hearing/Vision 675 railroads............ 675 copies............... 15 min.................. 169 hours............... 5,239
Acuity--First Year.
--Criteria--Hearing/Vision-- 10 new railroads......... 10 copies................ 15 min.................. 3 hours................. 93
Subseq. Yrs.
--Medical Examiner 675 railroads............ 17 reports............... 1 hour.................. 17 hours................ 527
Consultation w DSLE.
--Notification--Hearing/ 675 railroads............ 10 notifications......... 15 minutes.............. 3 hours................. 108
Vision Change.
240.229--Reqmnts--Joint Oper. 321 railroads............ 184 calls................ 5 min................... 15 hours................ 540
Terr.
240.309--Railroad Oversight Resp. 43 railroads............. 10 annotation............ 15 min.................. 3 hours................. 114
--------------------------------------------------------------------------------------------------------------------------------------------------------
CURRENT REQUIREMENTS
--------------------------------------------------------------------------------------------------------------------------------------------------------
240.9--Waivers................... 675 railroads............ 5 waivers................ 1 hour.................. 5 hours................. 165
--Certification Program...... 10 new railroads......... 10 programs.............. 200 hrs/40 hrs.......... 1,840 hours............. 57,040
240.11--Penalties For Non- 675 railroads............ 2 falsification.......... 10 min.................. 20 min.................. 12
Compliance.
240.111--Request--State Driving 13,333 candidates........ 13,333 requests.......... 15 min.................. 3,333 hours............. 119,988
Lic. Data.
--Railroad notification--NDR 675 railroads............ 267 requests............. 30 min.................. 134 hours............... 4,489
match.
--Written Response from 675 railroads............ 267 comment.............. 15 min.................. 67 hours................ 2,412
Candidate.
--Notice to Railroad--No 40,000 candidates........ 4 letters................ 15 min.................. 1 hour.................. 36
License.
240.113--Notice to Railroad 13,333 candidates........ 267 requests/267 15 min/30 min........... 200 hours............... 6,535
Furnishing Data on Prior Safety responses.
Conduct.
240.115--Candidate's Review + 13,333 candidates........ 133 responses............ 30 min.................. 67 hours................ 2,412
Written Comments--Prior Safety
Conduct Data.
240.123--Criteria For Init./Cont. 30 railroads............. 30 amend................. 1 hour.................. 30 hours................ 1,680
Educ.
240.201/221/223/301--List of 675 railroads............ 675 updates.............. 15 minutes.............. 169 hours............... 5,239
DSLEs.
--List of Design. Qual. Loc. 675 railroads............ 675 updates.............. 15 minutes.............. 169 hours............... 5,239
Engineers.
--Locomotive Engineers 40,000 candidates........ 13,333 cert.............. 5 minutes............... 1,111 hours............. $34,441
Certificate.
--List--Des. Persons to sign 675 railroads............ 20 lists................. 15 minutes.............. 5 hours................. 165
L.E. Cert..
240.205--Data to EAP Counselor... 675 railroads............ 267 records.............. 5 minutes............... 22 hours................ 792
240.207--Medical Certificate..... 40,000 candidates........ 13,333 cert.............. 70 minutes.............. 15,555 hours............ 482,205
240.209/213--Written Test........ 40,000 candidates........ 13,333 tests............. 2 hours................. 26,666 hours............ 826,646
240.211/213--Performance Test.... 40,000 candidates........ 13,333 tests............. 2 hours................. 26,666 hours............ 1,013,308
240.215--Recordkeeping--Cert. 675 railroads............ 13,333 record............ 10 minutes.............. 2,222 hours............. 68,882
Loc. Eng..
240.219--Denial of Certification. 13,333 candidates........ 133 letters/133 responses 1 hr./1hr............... 266 hours............... 8,911
--Written Basis For Denial... 675 railroads............ 133 notific.............. 1 hour.................. 133 hours............... 4,123
240.227--Canadian Cert. Data..... Canadian RRs............. 200 certific............. 15 minutes.............. 50 hours................ 1,550
240.303--Annual Op. Monit. Obs... 40,000 candidates........ 40,000 tests............. 2 hours................. 80,000 hours............ 3,040,000
--Annual Operational 40,000 candidates........ 40,000 tests............. 1 hour.................. 40,000 hours............ 1,520,000
Observation.
240.305--Engineer's Non-Qual. 40,000 candidates........ 400 notific.............. 5 minutes............... 33 hours................ 1,188
Notific.
[[Page 60988]]
--Engineer's Notice--Loss of 40,000 candidates........ 40 letters............... 30 minutes.............. 20 hours................ 720
Qualification.
240.307--Notice to Engineer-- 675 railroads............ 650 notific. letters..... 1 hour.................. 650 hours............... 20,150
Disqual..
240.309--Railroad Oversight Resp. 43 railroads............. 43 reviews............... 80 hours................ 3,440 hours............. 192,640
240.401--Engineer's Appeal to FRA 40,000 Loco. Eng......... 100 petitions............ 12 hours................ 1,200 hours............. 43,200
240.405--Railroad's Response to 675 railroads............ 100 responses............ 6 hours................. 600 hours............... 22,800
Appeal.
240.407--Request For a Hearing... 675 railroads/40,000 15 hearing requests...... 30 minutes.............. 8 hours................. 288
Loco. Eng..
240.411--Appeals................. 675...................... 2 appeal................. 2 hours................. 4 hours................. 144
--------------------------------------------------------------------------------------------------------------------------------------------------------
All estimates include the time for reviewing instructions;
searching existing data sources; gathering or maintaining the needed
data; and reviewing the information. For information or a copy of the
paperwork package submitted to OMB contact Robert Brogan at 202-493-
6292.
OMB is required to make a decision concerning the collection of
information requirements contained in this final rule between 30 and 60
days after receipt of this document.
FRA cannot impose a penalty on persons for violating information
collection requirements which do not display a current OMB control
number, if required. FRA intends to obtain current OMB control numbers
for any new information collection requirements resulting from this
rulemaking action prior to the effective date of this rule. The valid
OMB control number for this information collection is 2130-0533.
Environmental Impact
FRA has evaluated this regulation in accordance with its
``Procedures for Considering Environmental Impacts'' (FRA's Procedures)
(64 FR 28545, May 26, 1999) as required by the National Environmental
Policy Act (42 U.S.C. 4321 et seq.), other environmental statutes,
Executive Orders, and related regulatory requirements. FRA has
determined that this regulation is not a major FRA action (requiring
the preparation of an environmental impact statement or environmental
assessment) because it is categorically excluded from detailed
environmental review pursuant to section 4(c)(20) of FRA's Procedures.
In accordance with section 4(c) and (e) of FRA's Procedures, the agency
has further concluded that no extraordinary circumstances exist with
respect to this regulation that might trigger the need for a more
detailed environmental review. As a result, FRA finds that this
regulation is not a major Federal action significantly effecting the
quality of the human environment.
Federalism Implications
FRA believes it is in compliance with Executive Order 13132. This
rule will not have a substantial effect on the States, on the
relationship between the national government and the States, or on the
distribution of power and responsibilities among the various levels of
government. This regulation will not have federalism implications that
impose substantial direct compliance costs on State and local
governments. Meanwhile, State officials were consulted to a practicable
extent through their participation in the RSAC, a federal advisory
committee discussed earlier in the preamble.
The State of Wisconsin's Office of the Commissioner of Railroads
was the only State or local office to comment on the NPRM. The State of
Wisconsin requested that FRA clarify whether and to what extent Part
240 applies to the qualifications for train conductors. FRA addressed
this comment in the preamble under the headline ``preemption.'' FRA
brought the comment to the attention of the Working Group, but RSAC was
unable to achieve a consensus recommendation. FRA is responding to the
State of Wisconsin directly, rather than publishing a response here,
because the request for legal guidance is not based on any modification
suggested in the NPRM. A copy of FRA's response letter will be placed
in the docket.
List of Subjects in 49 CFR Part 240
Penalties, Railroad employees, Railroad safety, Reporting and
recordkeeping requirements.
Therefore, in consideration of the foregoing, FRA amends part 240,
Title 49, Code of Federal Regulations as follows::
PART 240--[AMENDED]
1. The authority citation for Part 240 is revised to read as
follows:
Authority: 49 U.S.C. 20103, 20107, 20135; 49 CFR 1.49.
2. Section 240.1 is amended by revising paragraph (b) to read as
follows:
Sec. 240.1 Purpose and scope.
* * * * *
(b) This part prescribes minimum Federal safety standards for the
eligibility, training, testing, certification and monitoring of all
locomotive engineers to whom it applies. This part does not restrict a
railroad from adopting and enforcing additional or more stringent
requirements not inconsistent with this part.
* * * * *
3. Section 240.3 is revised to read as follows:
Sec. 240.3 Application and responsibility for compliance.
(a) Except as provided in paragraph (b) of this section, this part
applies to all railroads.
(b) This part does not apply to--
(1) A railroad that operates only on track inside an installation
that is not part of the general railroad system of transportation; or
(2) Rapid transit operations in an urban area that are not
connected to the general railroad system of transportation.
(c) Although the duties imposed by this part are generally stated
in terms of the duty of a railroad, each person, including a contractor
for a railroad, who performs any function covered by this part must
perform that function in accordance with this part.
4. Section 240.5 is amended by revising the title and paragraphs
(a), (b) and (e) and adding paragraph (f) to read as follows:
Sec. 240.5 Preemptive effect and construction.
(a) Under 49 U.S.C. 20106, issuance of the regulations in this part
preempts any State law, regulation, or order covering the same subject
matter, except an additional or more stringent law, regulation, or
order that is necessary to eliminate or reduce an essentially local
[[Page 60989]]
safety hazard; is not incompatible with a law, regulation, or order of
the United States Government; and does not impose an unreasonable
burden on interstate commerce.
(b) FRA does not intend by issuance of these regulations to preempt
provisions of State criminal law that impose sanctions for reckless
conduct that leads to actual loss of life, injury, or damage to
property, whether such provisions apply specifically to railroad
employees or generally to the public at large.
* * * * *
(e) Nothing in this part shall be construed to create or prohibit
an eligibility or entitlement to employment in other service for the
railroad as a result of denial, suspension, or revocation of
certification under this part.
(f) Nothing in this part shall be deemed to abridge any additional
procedural rights or remedies not inconsistent with this part that are
available to the employee under a collective bargaining agreement, the
Railway Labor Act, or (with respect to employment at will) at common
law with respect to removal from service or other adverse action taken
as a consequence of this part.
5. Section 240.7 is amended by revising the definition of
Administrator, Locomotive and Railroad and by adding definitions of
Dual purpose vehicle, FRA, Person, Qualified, Railroad rolling stock,
Roadway maintenance equipment, Service, and Specialized roadway
maintenance equipment in alphabetical order as follows:
* * * * *
Administrator means the Administrator of the Federal Railroad
Administration or the Administrator's delegate.
* * * * *
Dual purpose vehicle means a piece of on-track equipment that is
capable of moving railroad rolling stock and may also function as
roadway maintenance equipment.
* * * * *
FRA means the Federal Railroad Administration.
* * * * *
Locomotive means a piece of on-track equipment (other than
specialized roadway maintenance equipment or a dual purpose vehicle
operating in accordance with Sec. 240.104(a)(2):
(1) With one or more propelling motors designed for moving other
equipment;
(2) With one or more propelling motors designed to carry freight or
passenger traffic or both; or
(3) Without propelling motors but with one or more control stands.
* * * * *
Person means an entity of any type covered under 1 U.S.C. 1,
including but not limited to the following: a railroad; a manager,
supervisor, official, or other employee or agent of a railroad; any
owner, manufacturer, lessor, or lessee of railroad equipment, track, or
facilities; any independent contractor providing goods or services to a
railroad; and any employee of such owner, manufacturer, lessor, lessee,
or independent contractor.
Qualified means a person who has passed all appropriate training
and testing programs required by the railroad and this part and who,
therefore, has actual knowledge or may reasonably be expected to have
knowledge of the subject on which the person is qualified.
Railroad means any form of nonhighway ground transportation that
runs on rails or electromagnetic guideways and any entity providing
such transportation, including
(1) Commuter or other short-haul railroad passenger service in a
metropolitan or suburban area and commuter railroad service that was
operated by the Consolidated Rail Corporation on January 1, 1979; and
(2) High speed ground transportation systems that connect
metropolitan areas, without regard to whether those systems use new
technologies not associated with traditional railroads; but does not
include rapid transit operations in an urban area that are not
connected to the general railroad system of transportation.
* * * * *
Railroad rolling stock is on-track equipment that is either a
freight car (as defined in Sec. 215.5 of this chapter) or a passenger
car (as defined in Sec. 238.5 of this chapter).
* * * * *
Roadway maintenance equipment is on-track equipment powered by any
means of energy other than hand power which is used in conjunction with
maintenance, repair, construction or inspection of track, bridges,
roadway, signal, communications, or electric traction systems.
* * * * *
Service has the meaning given in Rule 5 of the Federal Rules of
Civil Procedure as amended. Similarly, the computation of time
provisions in Rule 6 of the Federal Rules of Civil Procedure as amended
are also applicable in this part. See also the definition of ``filing
in this section.''
* * * * *
Specialized roadway maintenance equipment is roadway maintenance
equipment that does not have the capability to move railroad rolling
stock. Any alteration of such equipment that enables it to move
railroad rolling stock will require that the equipment be treated as a
dual purpose vehicle.
* * * * *
6. Section 240.9 is amended by revising paragraphs (a) and (c) to
read as follows:
Sec. 240.9 Waivers.
(a) A person subject to a requirement of this part may petition the
Administrator for a waiver of compliance with such requirement. The
filing of such a petition does not affect that person's responsibility
for compliance with that requirement while the petition is being
considered.
* * * * *
(c) If the Administrator finds that a waiver of compliance is in
the public interest and is consistent with railroad safety, the
Administrator may grant the waiver subject to any conditions the
Administrator deems necessary.
7. Section 240.11 is amended by revising the title and paragraphs
(a), (b) and (c) to read as follows:
Sec. 240.11 Penalties and consequences for noncompliance.
(a) A person who violates any requirement of this part or causes
the violation of any such requirement is subject to a civil penalty of
at least $500 and not more than $11,000 per violation, except that:
Penalties may be assessed against individuals only for willful
violations, and, where a grossly negligent violation or a pattern of
repeated violations has created an imminent hazard of death or injury
to persons, or has caused death or injury, a penalty not to exceed
$22,000 per violation may be assessed. Each day a violation continues
shall constitute a separate offense. See Appendix A to this part for a
statement of agency civil penalty policy.
(b) A person who violates any requirement of this part or causes
the violation of any such requirement may be subject to
disqualification from all safety-sensitive service in accordance with
part 209 of this chapter.
(c) A person who knowingly and willfully falsifies a record or
report required by this part may be subject to criminal penalties under
49 U.S.C. 21311.
* * * * *
8. Section 240.103 is amended by revising paragraph (a) to read as
follows:
[[Page 60990]]
Sec. 240.103 Approval of design of individual railroad programs by
FRA.
(a) Each railroad shall submit its written certification program
and a description of how its program conforms to the specific
requirements of this part in accordance with the procedures contained
in appendix B to this part and shall submit this written certification
program for approval at least 60 days before commencing operations.
* * * * *
9. Section 240.104 is added to read as follows:
Sec. 240.104 Criteria for determining whether movement of roadway
maintenance equipment or a dual purpose vehicle requires a certified
locomotive engineer.
(a) A railroad is not required to use a certified locomotive
engineer to perform the following functions:
(1) Operate specialized roadway maintenance equipment; or
(2) Operate a dual purpose vehicle that is:
(i) Being operated in conjunction with roadway maintenance and
related maintenance of way functions, including traveling to and from
the work site;
(ii) Moving under authority of railroad operating rules designated
for the movement of roadway maintenance equipment that ensure the
protection of such equipment from train movements; and
(iii) Being operated by an individual trained and qualified in
accordance with Secs. 214.341, 214.343, and 214.355 of this chapter.
(b) A railroad is required to use a certified locomotive engineer
when operating a dual purpose vehicle other than in accordance with
paragraph (a)(2) of this section.
10. Section 240.105 is amended by revising paragraph (b)(4) and by
adding paragraph (c) to read as follows:
Sec. 240.105 Criteria for selection of designated supervisors of
locomotive engineers.
* * * * *
(b) * * *
(4) Is a certified engineer who is qualified on the physical
characteristics of the portion of the railroad on which that person
will perform the duties of a Designated Supervisor of Locomotive
Engineers.
(c) If a railroad does not have any Designated Supervisors of
Locomotive Engineers, and wishes to hire one, the chief operating
officer of the railroad shall make a determination in writing that the
Designated Supervisor of Locomotive Engineers designate possesses the
necessary performance skills in accordance with Sec. 240.127. This
determination shall take into account any special operating
characteristics which are unique to that railroad.
11. Section 240.111 is amended by revising paragraphs (a)
introductory text, (a)(1), and (h) to read as follows:
Sec. 240.111 Individual's duty to furnish data on prior safety conduct
as motor vehicle operator.
(a) Except for initial certifications under paragraph (b), (h), or
(i) of Sec. 240.201 or for persons covered by Sec. 240.109(h), each
person seeking certification or recertification under this part shall,
within 366 days preceding the date of the railroad's decision on
certification or recertification:
(1) Take the actions required by paragraphs (b) through (f) or
paragraph (g) of this section to make information concerning his or her
driving record available to the railroad that is considering such
certification or recertification; and
* * * * *
(h) Each certified locomotive engineer or person seeking initial
certification shall report motor vehicle incidents described in
Sec. 240.115 (b)(1) and (2) to the employing railroad within 48 hours
of being convicted for, or completed state action to cancel, revoke,
suspend, or deny a motor vehicle drivers license for, such violations.
For the purposes of engineer certification, no railroad shall require
reporting earlier than 48 hours after the conviction, or completed
state action to cancel, revoke, or deny a motor vehicle drivers
license.
12. Section 240.113 is amended by revising paragraph (a)
introductory text to read as follows:
Sec. 240.113 Individual's duty to furnish data on prior safety conduct
as an employee of a different railroad.
(a) Except for initial certifications under paragraphs (b), (h), or
(i) of Sec. 240.201 or for persons covered by Sec. 240.109(h), each
person seeking certification under this part shall, within 366 days
preceding the date of the railroad's decision on certification or
recertification:
* * * * *
13. Section 240.117 is revised to read as follows:
Sec. 240.117 Criteria for consideration of operating rules compliance
data.
(a) Each railroad's program shall include criteria and procedures
for implementing this section.
(b) A person who has demonstrated a failure to comply, as described
in paragraph (e) of this section, with railroad rules and practices for
the safe operation of trains shall not be currently certified as a
locomotive engineer.
(c)(1) A certified engineer who has demonstrated a failure to
comply, as described in paragraph (e) of this section, with railroad
rules and practices for the safe operation of trains shall have his or
her certification revoked.
(2) A Designated Supervisor of Locomotive Engineers, a certified
locomotive engineer pilot or an instructor engineer who is monitoring,
piloting or instructing a locomotive engineer and fails to take
appropriate action to prevent a violation of paragraph (e) of this
section, shall have his or her certification revoked. Appropriate
action does not mean that a supervisor, pilot or instructor must
prevent a violation from occurring at all costs; the duty may be met by
warning an engineer of a potential or foreseeable violation. A
Designated Supervisor of Locomotive Engineers will not be held culpable
under this section when this monitoring event is conducted as part of
the railroad's operational compliance tests as defined in Secs. 217.9
and 240.303 of this chapter.
(3) A person who is a certified locomotive engineer but is called
by a railroad to perform the duty of a train crew member other than
that of locomotive engineer, and is performing such other duty, shall
not have his or her certification revoked based on actions taken or not
taken while performing that duty.
(d) Limitations on consideration of prior operating rule compliance
data. Except as provided for in paragraph (i) of this section, in
determining whether a person may be or remain certified as a locomotive
engineer, a railroad shall consider as operating rule compliance data
only conduct described in paragraphs (e)(1) through (e)(5) of this
section that occurred within a period of 36 consecutive months prior to
the determination. A review of an existing certification shall be
initiated promptly upon the occurrence and documentation of any conduct
described in this section.
(e) A railroad shall only consider violations of its operating
rules and practices that involve:
(1) Failure to control a locomotive or train in accordance with a
signal indication, excluding a hand or a radio signal indication or a
switch, that requires a complete stop before passing it;
(2) Failure to adhere to limitations concerning train speed when
the speed at which the train was operated exceeds the maximum
authorized limit by at
[[Page 60991]]
least 10 miles per hour. Where restricted speed is in effect, railroads
shall consider only those violations of the conditional clause of
restricted speed rules (i.e., the clause that requires stopping within
one half of the locomotive engineer's range of vision), or the
operational equivalent thereof, which cause reportable accidents or
incidents under part 225 of this chapter, as instances of failure to
adhere to this section;
(3) Failure to adhere to procedures for the safe use of train or
engine brakes when the procedures are required for compliance with the
initial terminal, intermediate terminal, or transfer train and yard
test provisions of 49 CFR part 232 or when the procedures are required
for compliance with the class 1, class 1A, class II, or running brake
test provisions of 49 CFR part 238;
(4) Occupying main track or a segment of main track without proper
authority or permission;
(5) Failure to comply with prohibitions against tampering with
locomotive mounted safety devices, or knowingly operating or permitting
to be operated a train with an unauthorized disabled safety device in
the controlling locomotive. (See 49 CFR part 218, subpart D and
Appendix C to part 218);
(6) Incidents of noncompliance with Sec. 219.101 of this chapter;
however such incidents shall be considered as a violation only for the
purposes of paragraphs (g)(2) and (3) of this section;
(f)(1) If in any single incident the person's conduct contravened
more than one operating rule or practice, that event shall be treated
as a single violation for the purposes of this section.
(2) A violation of one or more operating rules or practices
described in paragraph (e)(1) through (e)(5) of this section that
occurs during a properly conducted operational compliance test subject
to the provisions of this chapter shall be counted in determining the
periods of ineligibility described in paragraph (g) of this section.
(3) An operational test that is not conducted in compliance with
this part, a railroad's operating rules, or a railroad's program under
Sec. 217.9 of this chapter, will not be considered a legitimate test of
operational skill or knowledge, and will not be considered for
certification, recertification or revocation purposes.
(g) A period of ineligibility described in this paragraph shall:
(1) Begin, for a person not currently certified, on the date of the
railroad's written determination that the most recent incident has
occurred; or
(2) Begin, for a person currently certified, on the date of the
railroad's notification to the person that recertification has been
denied or certification has been revoked; and
(3) Be determined according to the following standards:
(i) In the case of a single incident involving violation of one or
more of the operating rules or practices described in paragraphs (e)(1)
through (e)(5) of this section, the person shall have his or her
certificate revoked for a period of one month.
(ii) In the case of two separate incidents involving a violation of
one or more of the operating rules or practices described in paragraphs
(e)(1) through (e)(5) of this section, that occurred within 24 months
of each other, the person shall have his or her certificate revoked for
a period of six months.
(iii) In the case of three separate incidents involving violations
of one or more of the operating rules or practices, described in
paragraphs (e)(1) through (e)(6) of this section, that occurred within
36 months of each other, the person shall have his or her certificate
revoked for a period of one year.
(iv) In the case of four separate incidents involving violations of
one or more of the operating rules or practices, described in
paragraphs (e)(1) through (e)(6) of this section, that occurred within
36 months of each other, the person shall have his or her certificate
revoked for a period of three years.
(v) Where, based on the occurrence of violations described in
paragraph (e)(6) of this section, different periods of ineligibility
may result under the provisions of this section and Sec. 240.119, the
longest period of revocation shall control.
(4) Be reduced to the shorter periods of ineligibility imposed by
paragraphs (g)(1) through (3) of this section as amended, and effective
January 7, 2000 if the incident:
(i) Occurred prior to January 7, 2000; and
(ii) Involved violations described in paragraphs (e)(1) through
(e)(5) of this section; and
(iii) Did not occur within 60 months of a prior violation as
described in paragraph (e)(6) of this section.
(h) Future eligibility to hold certificate. A person whose
certification has been denied or revoked shall be eligible for grant or
reinstatement of the certificate prior to the expiration of the initial
period of revocation only if:
(1) The denial or revocation of certification in accordance with
the provisions of paragraph (g)(3) of this section is for a period of
one year or less;
(2) Certification was denied or revoked for reasons other than
noncompliance with Sec. 219.101 of this chapter;
(3) The person has been evaluated by a Designated Supervisor of
Locomotive Engineers and determined to have received adequate remedial
training;
(4) The person has successfully completed any mandatory program of
training or retraining, if that was determined to be necessary by the
railroad prior to return to service; and
(5) At least one half the pertinent period of ineligibility
specified in paragraph (g)(3) of this section has elapsed.
(i) In no event shall incidents that meet the criteria of
paragraphs (i)(1) through (4) of this section be considered as prior
incidents for the purposes of paragraph (g)(3) of this section even
though such incidents could have been or were validly determined to be
violations at the time they occurred. Incidents that shall not be
considered under paragraph (g)(3) of this section are those that:
(1) Occurred prior to May 10, 1993;
(2) Involved violations of one or more of the following operating
rules or practices:
(i) Failure to control a locomotive or train in accordance with a
signal indication;
(ii) Failure to adhere to limitations concerning train speed;
(iii) Failure to adhere to procedures for the safe use of train or
engine brakes; or
(iv) Entering track segment without proper authority;
(3) Were or could have been found to be violations under this
section contained in the 49 CFR, parts 200 to 399, edition revised as
of October 1, 1992; and
(4) Would not be a violation of paragraph (e) of this section.
(j) In no event shall incidents that meet the criteria of
paragraphs (j)(1) through (2) of this section be considered as prior
incidents for the purposes of paragraph (g)(3) of this section even
though such incidents could have been or were validly determined to be
violations at the time they occurred. Incidents that shall not be
considered under paragraph (g)(3) of this section are those that:
(1) Occurred prior to January 7, 2000;
(2) Involved violations of one or more of the following operating
rules or practices:
(i) Failure to control a locomotive or train in accordance with a
signal indication that requires a complete stop before passing it;
(ii) Failure to adhere to limitations concerning train speed when
the speed
[[Page 60992]]
at which the train was operated exceeds the maximum authorized limit by
at least 10 miles per hour or by more than one half of the authorized
speed, whichever is less;
(3) Were or could have been found to be violations under this
section contained in the 49 CFR, parts 200 to 399, edition revised as
of October 1, 1999; and
(4) Would not be a violation of paragraph (e) of this section.
14. Section 240.121 is amended by revising paragraphs (b), (c)(3)
and (e), and adding paragraph (f) to read as follows:
Sec. 240.121 Criteria for vision and hearing acuity data.
* * * * *
(b) Fitness requirement. In order to be currently certified as a
locomotive engineer, except as permitted by paragraph (e) of this
section, a person's vision and hearing shall meet or exceed the
standards prescribed in this section and appendix F to this part. It is
recommended that each test conducted pursuant to this section should be
performed according to any directions supplied by the manufacturer of
such test and any American National Standards Institute (ANSI)
standards that are applicable.
(c) * * *
(3) The ability to recognize and distinguish between the colors of
railroad signals as demonstrated by successfully completing one of the
tests in appendix F to this part.
* * * * *
(e) A person not meeting the thresholds in paragraphs (c) and (d)
of this section shall, upon request, be subject to further medical
evaluation by a railroad's medical examiner to determine that person's
ability to safely operate a locomotive. In accordance with the guidance
prescribed in appendix F to this part, a person is entitled to one
retest without making any showing and to another retest if the person
provides evidence substantiating that circumstances have changed since
the last test to the extent that the person could now arguably operate
a locomotive or train safely. The railroad shall provide its medical
examiner with a copy of this part, including all appendices. If, after
consultation with one of the railroad's designated supervisors of
locomotive engineers, the medical examiner concludes that, despite not
meeting the threshold(s) in paragraphs (c) and (d) of this section, the
person has the ability to safely operate a locomotive, the person may
be certified as a locomotive engineer and such certification
conditioned on any special restrictions the medical examiner determines
in writing to be necessary.
(f) As a condition of maintaining certification, each certified
locomotive engineer shall notify his or her employing railroad's
medical department or, if no such department exists, an appropriate
railroad official if the person's best correctable vision or hearing
has deteriorated to the extent that the person no longer meets one or
more of the prescribed vision or hearing standards or requirements of
this section. This notification is required prior to any subsequent
operation of a locomotive or train which would require a certified
locomotive engineer.
15. Section 240.123 is amended by revising paragraph (b) and adding
paragraph (d) to read as follows:
Sec. 240.123 Criteria for initial and continuing education.
* * * * *
(b) A railroad shall provide for the continuing education of
certified locomotive engineers to ensure that each engineer maintains
the necessary knowledge, skill and ability concerning personal safety,
operating rules and practices, mechanical condition of equipment,
methods of safe train handling (including familiarity with physical
characteristics as determined by a qualified Designated Supervisor of
Locomotive Engineers), and relevant Federal safety rules.
* * * * *
(d) Pursuant to paragraphs (b) and (c) of this section, a person
may acquire familiarity with the physical characteristics of a
territory through the following methods if the specific conditions
included in the description of each method are met. The methods used by
a railroad for familiarizing its engineers with new territory while
starting up a new railroad, starting operations over newly acquired
rail lines, or reopening of a long unused route, shall be described in
the railroad's locomotive engineer qualification program required under
this part and submitted according to the procedures described in
Appendix B to this part.
(1) If ownership of a railroad is being transferred from one
company to another, the engineer(s) of the acquiring company may
receive familiarization training from the selling company prior to the
acquiring railroad commencing operation; or
(2) Failing to obtain familiarization training from the previous
owner, opening a new rail line, or reopening an unused route would
require that the engineer(s) obtain familiarization through other
methods. Acceptable methods of obtaining familiarization include using
hyrail trips or initial lite locomotive trips in compliance with what
is specified in the railroad's locomotive engineer qualification
program required under this part and submitted according to the
procedures described in Appendix B to this part.
16. Section 240.127 is amended by revising paragraph (c)(2) to read
as follows:
Sec. 240.127 Criteria for examining skill performance.
* * * * *
(c) * * *
(2) Conducted by a Designated Supervisor of Locomotive Engineers,
who does not need to be qualified on the physical characteristics of
the territory over which the test will be conducted;
* * * * *
17. Section 240.129 is amended by revising paragraph (c)(2) to read
as follows:
Sec. 240.129 Criteria for monitoring operational performance of
certified engineers.
* * * * *
(c) * * *
(2) Be designed so that each engineer shall be annually monitored
by a Designated Supervisor of Locomotive Engineers, who does not need
to be qualified on the physical characteristics of the territory over
which the operational performance monitoring will be conducted;
* * * * *
18. Section 240.213 is amended by revising paragraph (b)(3) to read
as follows:
Sec. 240.213 Procedures for making the determination on completion of
training program.
* * * * *
(b) * * *
(3) A qualified Designated Supervisor of Locomotive Engineers has
determined that the person is familiar with the physical
characteristics of the railroad or its pertinent segments.
19. Section 240.217 is amended by revising paragraphs (a)(1),
(a)(2), (a)(3), (a)(4), and (c)(2) to read as follows:
Sec. 240.217 Time limitations for making determinations.
(a) * * *
(1) A determination concerning eligibility and the eligibility data
being relied on were furnished more than 366 days before the date of
the railroad's certification decision;
(2) A determination concerning visual and hearing acuity and the
medical
[[Page 60993]]
examination being relied on was conducted more than 366 days before the
date of the railroad's recertification decision;
(3) A determination concerning demonstrated knowledge and the
knowledge examination being relied on was conducted more than 366 days
before the date of the railroad's certification decision; or
(4) A determination concerning demonstrated performance skills and
the performance skill testing being relied on was conducted more than
366 days before the date of the railroad's certification decision;
* * * * *
(c) * * *
(2) Rely on a certification issued by another railroad that is more
than 36 months old.
* * * * *
20. Section 240.223 is amended by revising paragraph (a)(1) to read
as follows:
Sec. 240.223 Criteria for the certificate.
(a) * * *
(1) Identify the railroad or parent company that is issuing it;
* * * * *
21. Section 240.225 is revised to read as follows:
Sec. 240.225 Reliance on qualification determinations made by other
railroads.
(a) After December 31, 1991, a railroad that is considering
certification of a person as a qualified engineer may rely on
determinations made by another railroad concerning that person's
qualifications. The railroad's certification program shall address how
the railroad will administer the training of previously uncertified
engineers with extensive operating experience or previously certified
engineers who have had their certification expire. If a railroad's
certification program fails to specify how to train a previously
certified engineer hired from another railroad, then the railroad shall
require the newly hired engineer to take the hiring railroad's entire
training program. A railroad relying on another's certification shall
determine that:
(1) The prior certification is still valid in accordance with the
provisions of Secs. 240.201, 240.217, and 240.307;
(2) The prior certification was for the same classification of
locomotive or train service as the certification being issued under
this section;
(3) The person has received training on and visually observed the
physical characteristics of the new territory in accordance with
Sec. 240.123;
(4) The person has demonstrated the necessary knowledge concerning
the railroad's operating rules in accordance with Sec. 240.125;
(5) The person has demonstrated the necessary performance skills
concerning the railroad's operating rules in accordance with
Sec. 240.127.
(b) [Reserved].
22. Section 240.229 is amended by revising paragraph (c) to read as
follows:
Sec. 240.229 Requirements for joint operations territory.
* * * * *
(c) A railroad that controls joint operations may rely on the
certification issued by another railroad under the following
conditions:
(1) The controlling railroad shall determine:
(i) That the person has been certified as a qualified engineer
under the provisions of this part by the railroad which employs that
individual;
(ii) That the person certified as a locomotive engineer by the
other railroad has demonstrated the necessary knowledge concerning the
controlling railroad's operating rules, if the rules are different;
(iii) That the person certified as a locomotive engineer by the
other railroad has the necessary operating skills concerning the joint
operations territory; and
(iv) That the person certified as a locomotive engineer by the
other railroad has the necessary familiarity with the physical
characteristics for the joint operations territory; and,
(2) The railroad which employs the individual shall determine that
the person called to operate on the controlling railroad is a certified
engineer who is qualified to operate on that track segment; and
(3) Each locomotive engineer who is called to operate on another
railroad shall:
(i) Be qualified on the segment of track upon which he or she will
operate in accordance with the requirements set forth by the
controlling railroad; and,
(ii) Immediately notify the railroad upon which he or she is
employed if he or she is not qualified to perform that service.
* * * * *
23. Section 240.231 is added to subpart C to read as follows:
Sec. 240.231 Requirements for locomotive engineers unfamiliar with
physical characteristics in other than joint operations.
(a) Except as provided in paragraph (b) of this section, no
locomotive engineer shall operate a locomotive over a territory unless
he or she is qualified on the physical characteristics of the territory
pursuant to the railroad's certification program.
(b) Except as provided in paragraph (c) of this section, if a
locomotive engineer lacks qualification on the physical characteristics
required by paragraph (a) of this section, he or she shall be assisted
by a pilot qualified over the territory pursuant to the railroad's
certification program.
(1) For a locomotive engineer who has never been qualified on the
physical characteristics of the territory over which he or she is to
operate a locomotive or train, the pilot shall be a person qualified
and certified as a locomotive engineer who is not an assigned crew
member.
(2) For a locomotive engineer who was previously qualified on the
physical characteristics of the territory over which he or she is to
operate a locomotive or train, but whose qualification has expired, the
pilot may be any person, who is not an assigned crew member, qualified
on the physical characteristics of the territory.
(c) Pilots are not required if the movement is on a section of
track with an average grade of less than 1% over 3 continuous miles,
and
(1) The track is other than a main track; or
(2) The maximum distance the locomotive or train will be operated
does not exceed one mile; or
(3) The maximum authorized speed for any operation on the track
does not exceed 20 miles per hour; or
(4) Operations are conducted under operating rules that require
every locomotive and train to proceed at a speed that permits stopping
within one half the range of vision of the locomotive engineer.
24. Section 240.305 is amended by revising paragraph (a) to read as
follows:
Sec. 240.305 Prohibited conduct.
(a) It shall be unlawful to:
(1) Operate a locomotive or train past a signal indication,
excluding a hand or a radio signal indication or a switch, that
requires a complete stop before passing it; or
(2) Operate a locomotive or train at a speed which exceeds the
maximum authorized limit by at least 10 miles per hour. Where
restricted speed is in effect, only those violations of the conditional
clause of restricted speed rules (i.e., the clause that requires
stopping within one half of the locomotive engineer's range of vision),
or the operational equivalent thereof, which cause reportable accidents
or incidents under part 225 of this chapter, shall be considered
instances of failure to adhere to this section; or
[[Page 60994]]
(3) Operate a locomotive or train without adhering to procedures
for the safe use of train or engine brakes when the procedures are
required for compliance with the initial terminal, intermediate
terminal, or transfer train and yard test provisions of 49 CFR part 232
or when the procedures are required for compliance with the class 1,
class 1A, class II, or running brake test provisions of 49 CFR part
238;
(4) Fail to comply with any mandatory directive concerning the
movement of a locomotive or train by occupying main track or a segment
of main track without proper authority or permission;
(5) Fail to comply with prohibitions against tampering with
locomotive mounted safety devices, or knowingly operate or permit to be
operated a train with an unauthorized disabled safety device in the
controlling locomotive. (See 49 CFR part 218, subpart D, and appendix C
to part 218);
(6) Be a Designated Supervisor of Locomotive Engineers, a certified
locomotive engineer pilot or an instructor engineer who is monitoring,
piloting or instructing a locomotive engineer and fails to take
appropriate action to prevent a violation of paragraphs (a)(1) through
(a)(5) of this section. Appropriate action does not mean that a
supervisor, pilot or instructor must prevent a violation from occurring
at all costs; the duty may be met by warning an engineer of a potential
or foreseeable violation. A Designated Supervisor of Locomotive
Engineers will not be held culpable under this section when this
monitoring event is conducted as part of the railroad's operational
compliance tests as defined in Secs. 217.9 and 240.303 of this chapter.
* * * * *
25. Section 240.307 is amended by revising paragraphs (b)(2), (c)
introductory text, (c)(2), (c)(10), (e) and adding paragraphs (i), (j),
and (k) to read as follows:
Sec. 240.307 Revocation of certification.
* * * * *
(b) * * *
(2) Prior to or upon suspending the person's certificate, provide
notice of the reason for the suspension, the pending revocation, and an
opportunity for a hearing before a presiding officer other than the
investigating officer. The notice may initially be given either orally
or in writing. If given orally, it must be confirmed in writing and the
written confirmation must be made promptly. Written confirmation which
conforms to the notification provisions of an applicable collective
bargaining agreement shall be deemed to satisfy the written
confirmation requirements of this section. In the absence of an
applicable collective bargaining agreement provision, the written
confirmation must be made within 96 hours.
* * * * *
(c) Except as provided for in paragraphs (d), (f), (i) and (j) of
this section, a hearing required by this section shall be conducted in
accordance with the following procedures:
* * * * *
(2) The hearing shall be conducted by a presiding officer, who can
be any qualified person authorized by the railroad other than the
investigating officer.
* * * * *
(10) No later than 10 days after the close of the record, a
railroad official, other than the investigating officer, shall prepare
and sign a written decision in the proceeding.
* * * * *
(e) A hearing required under this section may be consolidated with
any disciplinary or other hearing arising from the same facts, but in
all instances a railroad official, other than the investigating
officer, shall make separate findings as to the revocation required
under this section.
* * * * *
(i) A railroad:
(1) Shall not determine that the person failed to meet the
qualification requirements of this part and shall not revoke the
person's certification as provided for in paragraph (a) of this section
if sufficient evidence exists to establish that an intervening cause
prevented or materially impaired the locomotive engineer's ability to
comply with the railroad operating rule or practice which constitutes a
violation under Sec. 240.117(e)(1) through (e)(5) of this part; or
(2) May determine that the person meets the qualification
requirements of this part and decide not to revoke the person's
certification as provided for in paragraph (a) of this section if
sufficient evidence exists to establish that the violation of
Sec. 240.117(e)(1) through (e)(5) of this part was of a minimal nature
and had no direct or potential effect on rail safety.
(j) The railroad shall place the relevant information in the
records maintained in compliance with Sec. 240.309 for Class I
(including the National Railroad Passenger Corporation) and Class II
railroads, and Sec. 240.15 for Class III railroads if sufficient
evidence meeting the criteria provided in paragraph (i) of this
section, becomes available either:
(1) Prior to a railroad's action to suspend the certificate as
provided for in paragraph (b)(1) of this section; or
(2) Prior to the convening of the hearing provided for in this
section;
(k) Provided that the railroad makes a good faith determination
after a reasonable inquiry that the course of conduct provided for in
paragraph (i) of this section is appropriate, the railroad which does
not suspend a locomotive engineer's certification, as provided for in
paragraph (a) of this section, is not in violation of paragraph (a) of
this section.
26. Section 240.309 is amended by revising paragraphs (e)
introductory text, (e)(3), (e)(5), (e)(7), and (e)(8), removing
paragraph (e)(10) and redesignating the second set of paragraphs (e)
introductory text, (e)(1), (e)(2) and (e)(3) as paragraph (h)
introductory text, (h)(1), (h)(2) and (h)(3), and revising them to read
as follows:
Sec. 240.309 Railroad oversight responsibilities.
* * * * *
(e) For reporting purposes, information about the nature of
detected poor safety conduct shall be capable of segregation for study
and evaluation purposes into the following categories:
* * * * *
(3) Incidents involving noncompliance with the procedures for the
safe use of train or engine brakes when the procedures are required for
compliance with the initial terminal, intermediate terminal, or
transfer train and yard test provisions of 49 CFR part 232 or when the
procedures are required for compliance with the class 1, class 1A,
class II, or running brake test provisions of 49 CFR part 238;
* * * * *
(5) Incidents involving noncompliance with the railroad's operating
rules resulting in operation of a locomotive or train past any signal,
excluding a hand or a radio signal indication or a switch, that
requires a complete stop before passing it;
(6) Incidents involving noncompliance with the provisions of
restricted speed, and the operational equivalent thereof, that must be
reported under the provisions of part 225 of this chapter;
(7) Incidents involving occupying main track or a segment of main
track without proper authority or permission;
(8) Incidents involving the failure to comply with prohibitions
against tampering with locomotive mounted safety devices, or knowingly
operating or permitting to be operated a train with
[[Page 60995]]
an unauthorized or disabled safety device in the controlling
locomotive;
* * * * *
(h) For reporting purposes each category of detected poor safety
conduct identified in paragraph (d) of this section shall be capable of
being annotated to reflect the following:
(1) The total number of incidents in that category;
(2) The number of incidents within that total which reflect
incidents requiring an FRA accident/incident report; and
(3) The number of incidents within that total which were detected
as a result of a scheduled operational monitoring effort.
27. Section 240.403 is amended by revising paragraph (d) and adding
paragraph (e) to read as follows:
Sec. 240.403 Petition requirements.
* * * * *
(d) A petition seeking review of a railroad's decision to revoke
certification in accordance with the procedures required by
Sec. 240.307 filed with FRA more than 120 days after the date of the
railroad's revocation decision will be denied as untimely except that
the Locomotive Engineer Review Board for cause shown may extend the
petition filing period at any time in its discretion:
(1) Provided the request for extension is filed before the
expiration of the period provided in this paragraph (d); or
(2) Provided that the failure to timely file was the result of
excusable neglect.
(e) A party aggrieved by a Board decision to deny a petition as
untimely may file an appeal with the Administrator in accordance with
Sec. 240.411.
28. Section 240.405 is amended by revising paragraphs (a) and (c),
and adding paragraph (d)(3) to read as follows:
Sec. 240.405 Processing qualification review petitions.
(a) Each petition shall be acknowledged in writing by FRA. The
acknowledgment shall contain the docket number assigned to the petition
and a statement of FRA's intention that the Board will render a
decision on this petition within 180 days from the date that the
railroad's response is received or from the date upon which the
railroad's response period has lapsed pursuant to paragraph (c) of this
section.
* * * * *
(c) The railroad will be given a period of not to exceed 60 days to
submit to FRA any information that the railroad considers pertinent to
the petition. Late filings will only be considered to the extent
practicable.
(d) * * *
(3) Submit the information in triplicate to the Docket Clerk,
Federal Railroad Administration, 400 Seventh Street SW., Washington, DC
20590;
* * * * *
29. Section 240.411 is amended by revising paragraph (e) and adding
paragraph (f) to read as follows:
Sec. 240.411 Appeals.
* * * * *
(e) The Administrator may remand, vacate, affirm, reverse, alter or
modify the decision of the presiding officer and the Administrator's
decision constitutes final agency action except where the terms of the
Administrator's decision (for example, remanding a case to the
presiding officer) show that the parties' administrative remedies have
not been exhausted.
(f) Where a party files an appeal from a Locomotive Engineer Review
Board decision pursuant to Sec. 240.403(e), the Administrator may
affirm or vacate the Board's decision, and may remand the petition to
the Board for further proceedings. An Administrator's decision to
affirm the Board's decision constitutes final agency action.
30. Appendix A to part 240 is amended by adding penalty entries for
Secs. 240.104 and 240.231 and by revising the penalty entries for
Secs. 240.105, 240.111, 240.117, 240.121, 240.225, 240.229, 240.305,
240.307, 240.309 and footnote number 1 to read as follows:
BILLING CODE 4910-06-P
Appendix A to Part 240--Schedule of Civil Penalties \1\
------------------------------------------------------------------------
Willful
Section Violation violation
------------------------------------------------------------------------
* * * *
* * *
240.104--Allowing uncertified person to 5,000 10,000
operate non-traditional locomotives..........
240.105--Failure to have or execute adequate 2,500 5,000
procedure for selection of supervisors.......
* * * *
* * *
240.111--Furnishing Motor Vehicle Records:
(a) Failure to action required to make 1,000 2,000
information available....................
(b) Failure to request:
(1) local record...................... 1,000 2,000
(2) NDR record........................ 1,000 2,000
(f) Failure to request additional record.. 1,000 2,000
(g) Failure to notify of absence of 750 1,500
license..................................
(h) Failure to submit request in timely 750 1,500
manner...................................
(i) Failure to report within 48 hours or 1,000 2,000
railroad taking certification action for
not reporting earlier than 48 hours......
* * * *
* * *
240.117--Consideration of Operational Rules
Compliance Records:
(a) Failure to have program and procedures 5,000 10,000
(b-j) Failure to have adequate program or 2,500 5,000
procedure................................
* * * *
* * *
240.121--Failure to have adequate procedure 2,500 5,000
for determining acuity.......................
(f) Failure of engineer to notify......... 2,500 5,000
240.123--Failure to have:
(b) Adequate procedures for continuing 2,500 5,000
education................................
(c) adequate procedures for training new 2,500 5,000
engineers................................
[[Page 60996]]
* * * *
* * *
240.225--Railroad Relying on Determination of
Another:
(a) Failure to address in program or 5,000 7,500
failure to require newly hired engineer
to take entire training program..........
(1) Reliance on expired certification. 2,500 5,000
(2) Reliance on wrong class of service 2,500 5,000
(3) Failure to familiarize person with 2,000 4,000
new operational territory............
(4) Failure to determine knowledge.... 2,000 4,000
(5) Failure to determine performance 2,000 4,000
skills...............................
* * * *
* * *
240.229--Requirements for Joint Operations
Territory:
(a) Allowing uncertified person to operate 2,000 4,000
(b) Certifying without making 2,500 5,000
determinations or relying on another
railroad.................................
(c) Failure of............................
(1) controlling railroad certifying 4,000 8,000
without determining certification
status, knowledge, skills, or
familiarity with physical
characteristics......................
(2) employing railroad to determine 4,000 8,000
person's certified and qualified
status for controlling railroad......
(3) person to notify employing 4,000 8,000
railroad of lack of qualifications...
(d) Failure to provide qualified person... 2,000 4,000
240.231--Persons Qualified on Physical
Characteristics in Other Than Joint
Operations:
(a) Person unqualified, no exception 5,000 10,000
applies or railroad does not adequately
address in program.......................
(b) Failure to have a pilot...............
(1) for engineer who has never been 4,000 8,000
qualified............................
(2) for engineer previously qualified. 2,500 5,000
* * * *
* * *
240.305--Prohibited Conduct:
(a) Unlawful:
(1) passing of stop signal............ 2,500 5,000
(2) control of speed.................. 2,500 5,000
(3) brake tests....................... 2,500 5,000
(4) occupancy of main track........... 2,500 5,000
(5) tampering on operation with 2,500 5,000
disabled safety device...............
(6) supervisor, pilot, or instructor 2,500 5,000
fails to take appropriate action.....
(b) Failure of engineer to:
(1) carry certificate................. 1,000 2,000
(2) display certificate when requested 1,000 2,000
(c) Failure of engineer to notify railroad 4,000 8,000
of limitations or railroad requiring
engineer to exceed limitations...........
(d) Failure of engineer to notify 4,000 8,000
railroad of denial or revocation.....
240.307--Revocation of Certification:
(a) Failure to withdraw person from 2,500 5,000
service..................................
(b) Failure to notify, provide hearing 2,500 5,000
opportunity, or untimely procedures......
(c-h) Failure of railroad to comply with 1,000 2,000
hearing or waiver procedures.............
(j) Failure of railroad to make record.... 2,500 5,000
(k) Failure of railroad to conduct 5,000 10,000
reasonable inquiry or make good faith
determination............................
240.309--Oversight Responsibility Report:
(a) Failure to report or to report on time 1,000 2,000
(b-h) Incomplete or inaccurate report..... 2,000 4,000
* * * *
* * *
------------------------------------------------------------------------
\1\ A penalty may be assessed against an individual only for a willful
violation. The Administrator reserves the right to assess a penalty of
up to $22,000 for any violation where circumstances warrant. See 49
CFR part 209, Appendix A.
BILLING CODE 4910-06-M
31. Appendix F is added to read as follows:
Appendix F to Part 240--Medical Standards Guidelines
(1) The purpose of this appendix is to provide greater guidance
on the procedures that should be employed in administering the
vision and hearing requirements of Secs. 240.121 and 240,207.
(2) In determining whether a person has the visual acuity that
meets or exceeds the requirements of this part, the following
testing protocols are deemed acceptable testing methods for
determining whether a person has the ability to recognize and
distinguish among the colors used as signals in the railroad
industry. The acceptable test methods are shown in the left hand
column and the criteria that should be employed to determine whether
a person has failed the particular testing protocol are shown in the
right hand column.
------------------------------------------------------------------------
Accepted tests Failure criteria
------------------------------------------------------------------------
PSEUDOISOCHROMATIC PLATE TESTS
------------------------------------------------------------------------
American Optical Company 1965.......... 5 or more errors on plates 1-
15.
AOC--Hardy-Rand-Ritter plates--second Any error on plates 1-6 (plates
edition. 1-4 are for demonstration--
test plate 1 is actually plate
5 in book)
[[Page 60997]]
Dvorine--Second edition................ 3 or more errors on plates 1-15
Ishihara (14 plate).................... 2 or more errors on plates 1-
11.
Ishihara (16 plate).................... 2 or more errors on plates 1-8.
Ishihara (24 plate).................... 3 or more errors on plates 1-
15.
Ishihara (38 plate).................... 4 or more errors on plates 1-
21.
Richmond Plates 1983................... 5 or more errors on plates 1-
15.
------------------------------------------------------------------------
MULTIFUNCTION VISION TESTER
------------------------------------------------------------------------
Keystone Orthoscope.................... Any error.
OPTEC 2000............................. Any error.
Titmus Vision Tester................... Any error.
Titmus II Vision Tester................ Any error.
------------------------------------------------------------------------
(3) In administering any of these protocols, the person
conducting the examination should be aware that railroad signals do
not always occur in the same sequence and that ``yellow signals'' do
not always appear to be the same. It is not acceptable to use
``yarn'' or other materials to conduct a simple test to determine
whether the certification candidate has the requisite vision. No
person shall be allowed to wear chromatic lenses during an initial
test of the person's color vision; the initial test is one conducted
in accordance with one of the accepted tests in the chart and
Sec. 240.121(c)(3).
(4) An examinee who fails to meet the criteria in the chart, may
be further evaluated as determined by the railroad's medical
examiner. Ophthalmologic referral, field testing, or other practical
color testing may be utilized depending on the experience of the
examinee. The railroad's medical examiner will review all pertinent
information and, under some circumstances, may restrict an examinee
who does not meet the criteria from operating the train at night,
during adverse weather conditions or under other circumstances. The
intent of Sec. 240.121(e) is not to provide an examinee with the
right to make an infinite number of requests for further evaluation,
but to provide an examinee with at least one opportunity to prove
that a hearing or vision test failure does not mean the examinee
cannot safely operate a locomotive or train. Appropriate further
medical evaluation could include providing another approved
scientific screening test or a field test. All railroads should
retain the discretion to limit the number of retests that an
examinee can request but any cap placed on the number of retests
should not limit retesting when changed circumstances would make
such retesting appropriate. Changed circumstances would most likely
occur if the examinee's medical condition has improved in some way
or if technology has advanced to the extent that it arguably could
compensate for a hearing or vision deficiency.
(5) Engineers who wear contact lenses should have good tolerance
to the lenses and should be instructed to have a pair of corrective
glasses available when on duty.
Issued in Washington, DC, on September 30, 1999.
Jolene M. Molitoris,
Administrator.
[FR Doc. 99-28930 Filed 11-5-99; 8:45 am]
BILLING CODE 4910-06-P