(1) The purpose of this procedure is to ensure appropriate investigation and management of any adverse and non-compliant incident in accordance with the relevant codes, regulations and standards governing Biosafety. (2) This procedure applies across the University to all personnel handling biological material or working in containment laboratories. (3) All personnel must ensure their work is compliant with the relevant Biosafety regulations, codes and standards at all times. (4) IBC - Institutional Biosafety Committee (5) OHS - Occupational Health and Safety (6) MBI - Manager, Research Infrastructure and Biosafety (7) AEC - Animal Ethics Committee (8) AWO - Animal Welfare Officer (9) Licensee - The person named on the Victoria University licenses and accreditation applications as the license holder. (10) IBC non-compliant incident - Any process or procedure that does not comply with Biosafety regulatory requirements, VU Policy and IBC Procedures. (11) IBC adverse incident - Any process or procedure associated with working with biological material or in containment laboratories that can potentially impact on human and animal health or the environment. (12) See Biosafety Policy. (13) Key responsibilities and accountabilities are outlined in the Biosafety Governance Procedure (pending). (14) All adverse incidents (and near misses) or non-compliant (or suspected non-compliant) incidents must be immediately reported to the IBC Chair via the MBI or the IBC secretary (or authorised delegate). (15) The IBC will investigate and seek a written explanation of the incident from the Chief Investigator (or other relevant persons) on the alleged incident using the IBC Incident Report Form. (16) Upon notification the IBC Chair will classify the severity of the event in consultation with the MBI as; Insignificant, Minor, Moderate, Major or Catastrophic. (17) In some circumstances it will not be possible to determine the nature or extent of the incident until an investigation has occurred. (18) The incident report is distributed to all Committee members for comment and if necessary an extraordinary Committee meeting may be convened for further discussion. (19) The IBC Chair will report the incident and the Committee's views(s) to the Licensee for information and may provide recommendations for further action. (20) Should an IBC member, after the above procedures have been exhausted, still be unsatisfied that appropriate action has or will be taken, then that member should advise the Licensee. (21) Actions taken by the IBC Chair, and outcomes, shall be reported to the next meeting of the IBC. (22) Categorisation is based on: (23) No harm/ near miss. (24) Minimal or no damage to the environment or disruption to biological communities. (25) An administrative error or minor deviation from the approved protocol that is extremely unlikely to impact on human or animal welfare or the environment as outlined in the OHS Health and Safety Risk Severity Guide and AEC Incident Guidelines (e.g. activities undertaken as part of most Exempt Dealings). (26) Incident causing harm which can be instantly, locally addressed through first aid or self-care. (27) Incident causing health effects that are reversible. (28) Damage to the environment that is reversible or limited in time or space on numbers affected. (29) An accidental deviation from the approved protocol with moderate impact to human or animal welfare or the environment as outlined in the OHS Health and Safety Risk Severity Guide and AEC Incident Guidelines. (30) Any deviation from an approved NLRD application. (31) Incident causing harm which requires more than first aid or results in minor irreversible health effects i.e. ambulance or medical treatment required. (32) A failure to comply with Biosafety legislation, VU Policy and IBC Procedures that do not need to be reported to external regulators and can be managed by the IBC. (33) Damage to the environment or disruption to biological communities that is widespread but reversible and of limited severity. (34) Deliberate or negligent deviations from approved protocol where there has or there is the potential for significant impact to human or animal welfare or the environment as outlined in the OHS Health and Safety Risk Severity Guide and AEC Incident Guidelines. (35) Permanent disability, severe long term injury. (36) All adverse events and non-compliance incidents that need to be reported to external regulators. (37) Extensive damage to the environment or extensive and physical disruption to whole ecosystems, communities or an entire species that persists over time and is not readily reversible. (38) One or more deaths or exposure to an incurable disease. (39) Environmental damage that is irreversible. (40) All adverse events and non-compliance incidents that need to be reported to external regulators and managed by external regulators. (41) The action taken will be determined by the severity of the event. In all cases the Chief Investigator will be contacted by the IBC to provide a report to the IBC outlining the circumstances of the potential event. (42) The IBC will review the event at the next IBC meeting and make recommendations on improvements to work practices. (43) The IBC will review the information at the next IBC meeting. The IBC may choose to meet with the Chief Investigator who must be notified of the meeting date and informed attendance at the meeting may be required. (44) The IBC will assess the information provided to determine if a non-compliant event has occurred. (45) The IBC will determine any actions to be taken by the Chief Investigator to resolve the incident. The IBC may choose to require additional information, review of records, and submission of a request for minor amendment form or other documentation to satisfy the committee that such an event will not occur in the future. (46) Consideration will be given to the need to review other approved projects with which the Chief Investigator is also involved. (47) The focus of investigation and review should be on improvements in processes or protocols. (48) On completion of the review if it is determined that an incident/ non-compliant event has occurred the IBC will inform the Licensee of the outcome of the assessment of the event, actions required and improvements that have been made. (49) In order to determine that ongoing improvement has taken effect the IBC may set an appropriate time point to review the project and all related projects. (50) The IBC secretary will ensure that all records relating to the event are filed. (51) All steps outlined in minor events will be followed. In addition: (52) The IBC Chair will immediately notify the Licensee, Governance, OHS, IBC members and the Chief Investigator and instruct the Chief Investigator that all work on the project, other than ongoing maintenance or care of the animals and patients, be stopped pending an investigation. (53) The Chief Investigator will be required to submit a report to the IBC outlining the incident. (54) The IBC will establish an investigation team; the Licensee may elect, or be asked by the IBC, to be part of this team. The investigation team will also review all related projects. The investigation team will meet with the Chief Investigator. This team will make all efforts to complete the review in order to present the finding at the next IBC meeting. The Chief Investigator will be required to attend this meeting to discuss the findings and required actions with the IBC. (55) If the investigation team establishes that a serious event of non-compliance has occurred, the IBC Chair or nominee will contact the relevant regulator to seek assistance in determining appropriate actions to be taken. (56) If determined necessary by the IBC, Licensee or the relevant regulator outcomes of required actions will be reported to the regulator. (57) The focus of investigation and review should be on improvements in processes or protocols to ensure continued safety and compliance. (58) On completion of the review if it is determined that a non-compliant event has occurred the IBC will inform the Licensee of the outcome of the assessment of the event, actions required and improvements that have been made. (59) In order to determine that ongoing improvement has taken effect the IBC will set an appropriate time point to review the project and all related projects. (60) The IBC secretary will ensure that all records relating to the event are filed. (61) If hazards or occurrences which have caused injury or illness to any person, or had the potential to cause injury or illness to any person in an IBC approved project or containment facility, this must be reported to both the OHS using OHS Incident Reporting and Investigation Procedure which states 'All health and safety incidents will be reported both verbally to an appropriate manager and through the online Incident Recording System as soon as possible' and the IBC using the IBC Incident Report Form. (62) OHS Team members will provide advice as required on any Worksafe notification. (63) The IBC will provide immediate incident triage advice. (64) The IBC will, where appropriate, report incidents to the relevant biosafety regulator and Licensee. This may result in an external inquiry, possible loss of certification and possible prosecution. (65) The IBC will investigate the incident a make recommendations to improve processes. (66) If animal welfare is compromised in an IBC approved project this must be reported to both the AEC (using the AEC Incident Report Form) and the IBC (using the IBC Incident Report Form). (67) AEC is responsible for advising and coordinating the animal welfare response. (68) The IBC will provide immediate incident triage advice with regard to biosafety compliance. (69) The IBC will, where appropriate, report incidents to the relevant biosafety regulator and Licensee. This may result in an external inquiry, possible loss of certification and possible prosecution. (70) The IBC will investigate the incident and make recommendations to improve processes. (71) Any unintentional release/escape of GMOs (GM micro-organisms, GM animals, GM embryos, GM sperm & GM ova) or risk group agents from the facility to the environment both inside and outside the facility must be reported to IBC committee as soon as practicable using the IBC Incident Report Form . (72) The IBC will provide immediate incident triage advice with regard to biosafety compliance. (73) The IBC will, where appropriate, report incidents to the relevant biosafety regulator and Licensee. This may result in an external inquiry, possible loss of certification and possible prosecution. (74) The IBC will investigate the incident a make recommendations to improve processes. (75) Failure to: secure the appropriate OGTR certification for their facility, use an inappropriate facility, using genetically modified organisms without a current assessment from the IBC, or follow the Gene Technology procedure, will be considered in breach of the University's requirements and may also attract criminal charges. (76) Consequences of Non-compliance can include: (77) Nil (78) Nil (79) Nil (80) All supporting documents can be found on the Biosafety Website or by contacting the Manager, Research Infrastructure and Biosafety (ibc@vu.edu.au). (81) The following documents have been referenced in this procedure:Biosafety - Non-Compliance and Adverse Incidents Procedure
Section 1 - Purpose / Objectives
Section 2 - Scope / Application
Section 3 - Definitions
Section 4 - Policy Statement
Section 5 - Procedures
Part A - Roles/Responsibilities
Part B - Procedures
Reporting and investigation
Categorisation of the event
Insignificant event
Minor event
Moderate event
Major event
Catastrophic event
Action
Insignificant event
Minor event
Moderate event
Major & Catastrophic
Reporting incidents that affect human health
Reporting incidents that affect animal welfare
Reporting spills/un-intentional release of GMOs or Risk Group Agents to the environment
Penalties
Top of PageSection 6 - Guidelines
Section 7 - Templates
Section 8 - References
Section 9 - Supporting Documents
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