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PSM Auditing: Thinking Beyond Compliance

机译:PSM审计:超越合规性的思考

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The PSM rule requires a ‘compliance audit’ at least every three years. This description implies that the purpose of the audit is to ensure that legal requirements are met. Thoughtful companies recognize that meeting the minimum legal requirements may not be sufficient, and also audit for conformance with their internal company standards and procedures. However, in audit programs designed to check compliance with either legal or legal + internal requirements, there is an implicit assumption that conformance will result in an acceptable process safety performance. In other words, if all of the ‘inputs’ are right (i.e., there is compliance with the standards and procedures), then process safety is being managed effectively - and the desired ‘outputs’ will follow. This assumption may not be valid! In reality, managing process safety requires the meshing or connecting of several related work processes or activities in order to effectively deliver the desired results. Checking each activity for compliance with standards does not necessarily ensure that the sum of the connected activities is delivering what was intended. Take, for example, the identification and control of major risk scenarios. The process safety management intention is that risk scenarios are identified in either the initial HAZOP or subsequent PHA , sufficient controls are provided to meet the corporate risk criteria, the controls are maintained throughout the operating life, the operating, technical and management teams are trained in and understand the scenarios and the scenarios are well documented in the operating procedures. Compliance auditing typically checks that all of the individual activities are ‘compliant’ (PHA conducted on time and actions closed, trip system testing completed per schedule, training records complete, operating procedures updated on time, etc.). Such an approach does not typically track that the content is carried consistently through the collection of processes, and that the knowledge and controls for the identified scenarios are in place and robust. This paper proposes an audit approach which checks both that the organization is compliant with the prescribed activities and procedures, and that the activities and procedures are effectively delivering the intended results. The main focus is on applying this approach to the aspects of process safety management that address specific risk scenarios and their associated controls.
机译:PSM规则至少需要每三年的“合规审计”。该描述意味着审计的目的是确保满足法律要求。周到的公司认识到,满足最低的法律要求可能还不足,也审计了与内部公司标准和程序一致。但是,在审计计划旨在检查遵守法律或法律+内部要求的审计计划中,隐含假设,即一致性会导致可接受的过程安全性能。换句话说,如果所有的“输入”是对的(即,符合标准和程序),则会有效管理处理安全性 - 所需的“输出”将遵循。这个假设可能无效!实际上,管理流程安全要求网格化或连接几个相关的工作过程或活动,以便有效地提供所需的结果。检查每个活动以遵守标准并不一定确保关联活动的总和正在提供预期的内容。例如,采用识别和控制重大风险场景。过程安全管理意图是在初始HAZOP或随后的PHA中识别出风险场景,提供足够的控制来满足公司风险标准,控制在整个经营寿命中,操作,技术和管理团队培训并了解方案,方案在操作程序中良好记录。合规性审计通常检查所有各个活动是否“符合”(按时间和行动进行的PHA,每份时间表完成的旅行系统测试,培训记录完成,按时更新的操作程序等)。这种方法通常不追踪内容通过收集过程一致地携带,并且所识别的场景的知识和控制是适当的和鲁棒的。本文提出了一种审计方法,该方法检查组织符合规定的活动和程序,以及活动和程序有效地提供预期结果。主要重点是将这种方法应用于处理特定风险场景及其相关控制的过程安全管理方面。

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