!£JJp? STATES ENVIRONMENTAL  PROTECTION AGENCY
  OFFICE OF LEGAL AND  ENFORCEMENT  COUNSEL
  EPA-330/9-78-001-R


  NEIC POLICIES AND PROCEDURES
 May  1978
 [Revised  February 1983]

 Do not remove. This document
 should be retained in the EPA
 Region 5 Library Collection.
NATIONAL ENFORCEMENT  INVESTIGATIONS  CENTER

Denver, Colorado
                               U.S. Environmental Protection  Agency
                               ^gion V, Library
                               230 South Dearborn Street
                               Chicago, Illinois   60604

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                     UPDATE



                       FOR


          NEIC POLICIES AND PROCEDURES
The  NEIC Policies  and Procedures Manual was issued
m May 1978 and revised in October 1979, 1980,  and
1981.  This 1983 revision replaces those pages'
indicated on the transmittal record.

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TRANSMITTAL RECORD
NEIC Policies and Procedures Manual


No.     Additions and/or changes
 1.
 3.
  4.
Replace entire Manual  contents with revised contents
      Replace pages  11-19 and 11-20
      Insert the transmittal  page
 Replace:  Title  Page  and  Contents  Page with  new  pages
 Pages  1-1 and  1-11 with  new pages  1-1 and  I'll
 Pages  II-l  and 11-34  with new pages  II-l and II  46
       corresponding  new pages

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                  OTHER NEIC MANUALS:
Safety Manual
NEIC Pesticide Product Laboratory Procedures Manual
NEIC Pesticide Sampling Manual
NEIC Procedures Manual for the Evidence Audit by
  Contractor Evidence Audit Teams
NEIC Manual for Groundwater/Subsurface Investigations at
  Hazardous Waste Sites

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                                                 CONTENTS


  I   NEIC PROJECT PHASES	                                                    T-I
        INTRODUCTION   	               	     T.-,
        PROJECT REQUEST	                       	     j.2
        BACKGROUND REVIEW  	                 	     1.4
        PROJECT PLAN   	                	     j_5
        DOCUMENT TRANSMITTAL 	                                 	     T-7
        PROJECT ACTIVITIES	                 	'„	     T-g
        REPORT	     j.-9
        FOLLOWUP	'.'.'..'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.    1-11

 II   NEIC OPERATING POLICIES AND PROCEDURES 	                                             TT-I
        EMPLOYEE CONDUCT	                                 	    n-i
          ENTERING A FACILITY	                          	    n-2
          CRIMINAL INVESTIGATIONS	            	    n-6
          REQUESTING INFORMATION	                    '      	    11-7
          DISCLOSURE OF OFFICIAL INFORMATION	'.	    II-8
        PROJECT COORDINATOR RESPONSIBILITIES AND AUTHORITY	                  '         TT-g
          PROJECT PLAN   	                          	    n.g
          ADMINISTRATIVE MATTERS 	                  	   n-10
          FIELD ACTIVITIES	                          	   H-10
          REPORT WRITING	                '        	   n-n
        SAMPLE CONTROL   	                     	   n.13
          SAMPLE IDENTIFICATION  	                      	   n-i3
          CHAIN-OF-CUSTODY PROCEDURES	                    	   jr-15
        DOCUMENT CONTROL	                         	   n-23
          SERIALIZED DOCUMENTS	                    	   TT-23
          PROJECT LOGBOOKS   	      	   IT-24
          FIELD DATA RECORDS	                          	   TT-25
          SAMPLE IDENTIFICATION DOCUMENTS  	                  	   n-25
          CHAIN-OF-CUSTODY RECORDS 	                              	   TT-26
          OTHER CONTROLLED DOCUMENTS	                      	   TT-26
          PHOTOGRAPHS	                   	   n_28
          CORRECTIONS TO DOCUMENTATION ....                	   j.T-28
          CONSISTENCY OF DOCUMENTATION	                  	   n-29
          DOCUMENT NUMBERING SYSTEM AND INVENTORY PROCEDURE   .    .            	   TT-29
          BRANCH AND DIVISION FILES  ...                                 	   n-30
          EVIDENTIARY FILE	   	   TT-OQ
          REPORTS	                         	   Tl-31
          LITIGATION DOCUMENTS	                     	   n-32
          CONFIDENTIAL INFORMATION	                    	   n-32
        EVIDENCE AUDIT	                     	   n_38
          EVIDENCE AUDIT FILE	                   	   IT-38
          ACCOUNTABLE DOCUMENTS  	                  	   TT-38
          EVIDENCE AUDIT OF FIELD ACTIVITIES  	          	   TT-39
          EVIDENCE AUDIT OF LABORATORY ACTIVITIES   ....                  	   TT-39
          EVIDENCE AUDITS OF  DOCUMENT FILES   	              	   TT-39
          ASSEMBLING  AND  STORING  EVIDENTIARY  FILES  ....            	   H-40
          CONFIDENTIAL FILES	             	   TJ.^
          CERTIFICATION OF  COMPLETENESS OF EVIDENTIARY  FILE	   11-40
        QUALITY ASSURANCE	                  	'	   n.41
          QA  PROGRAM  PLAN	                    	   n_41
          QA  PERSONNEL	                          	   n_41
          DATA  GENERATION	            	    n.4?
          DATA  PROCESSING	               	    jT_42
          DATA  QUALITY  ASSESSMENT	    TI_4,
          DEFINITIONS	'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.    n-45


APPENDICES

A    Witness Guidelines
B    Procedures for Air  Shipment of  Environmental Laboratory Samples
C    Safety  Precautions when Accepting Samples from Outside Sources


                                                 TABLE

1    Table of Authority	     	          jj.3


                                                FIGURES

1   Sample Tag	    n_14
2   Chain-of-Custody Record	'.'.'.	'.'.'.    11-19
3   Receipt for Samples	'.'.'.'.'.'..'.'.'.'.'.'.'. I'.'"'    11-21

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                                 FOREWORD
     As part  of the  Environmental  Protection  Agency,  the  National  Enforce-
ment  Investigations  Center provides the Office  of  Legal  and Enforcement
Counsel with  technical  information and evidence  in  support  of EPA legal
actions.  This  function  makes the standard operating procedures described
in this manual  important to every employee.

     This manual  discusses  NEIC  project phases,  then  presents  policies  and
procedures which  employees are  responsible  for  knowing  and following.
These  procedures  assure  that work performed  by  NEIC will be  admissible
during any subsequent enforcement  action.  Substantially  equivalent proce-
dures or activities that are not covered in this manual  must be coordinated
through supervisory  personnel  and  the  Enforcement Specialist Office  and,
when appropriate, will be  incorporated in  future  revisions of this manual.
Witness Guidelines are appended  to this manual  to assist employees called
to testify as government witnesses.   By adhering to the Center's policies
and procedures,  employees  protect both their professional  integrity  and
that of the  NEIC.

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I.   NEIC PROJECT PHASES

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                                                                   1-1
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                        I.  NEIC PROJECT PHASES

                               INTRODUCTION
     The projects undertaken by NEIC span a wide variety of activities rang-
ing from  one  employee performing technical, supportive, or administrative
tasks to  numerous  employees  from diverse disciplines working as a team to
accomplish a series of complex tasks.  Most of the Center's projects consist
of these phases:

                         Project Request
                         Background Review
                         Project Plan
                         Project Activities
                         Report
                         Followup

This section of the manual  discusses the items in each phase which are com-
mon to most projects  and outlines NEIC policies pertinent to each phase.

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C
                           PROJECT REQUEST
                  All NEIC projects are preceded by requests to the Director  for work  to
             be  performed.   Many requests received by NEIC for technical  assistance in-
             volve  projects  which require extensive  field work on pollution problems in
             more than one medium.  Others include, for example,  a technical  and/or  legal
             review of an  abatement proposal or analytical  support  for a Regional  en-
             forcement case.

                  The content  of the  project request  is essential  to  the  success of the
             project.   To assure that NEIC is as responsive as possible,  it will consider
             informal  requests  from  sources  within the Agency.   However,  the official
             requester must follow up with a specific written request detailing the objec-
             tives,  relating those objectives to an enforcement action, and  identifying
             the requester's contact.  A  written,  in addition to a verbal, request as-
             sures NEIC of administrative accountability  and clarity  of project defini-
             tion, as well as  allowing management  to  adequately coordinate and schedule
             the Center's  workload.

                  Official  requests for technical  assistance will be  received only  from
             the following:

               Administrator
               Deputy  Administrator
               Associate Administrator for
                 Legal and  Enforcement Counsel
               Enforcement  Counsel
               General Counsel
                                                         with  the  knowledge  and
                                                         concurrence  of  the
                                                         Enforcement  Counsel
Assistant Administrators
Inspector General
Headquarters Office Directors
Headquarters Division Directors
Department of Justice, Headquarters
Regional Administrators
Deputy Regional Administrators
Regional Counsel
Regional Division Directors         )       with the knowledge and
U.S.  Attorney's Offices             \       concurrence of the
State and Local Program Directors   )       Regional Counsel

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                                                                    1-3
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      Receipt  of an official request will be acknowledged  in  an  NEIC  memo-
 randum  to the Enforcement Counsel or the appropriate Regional Counsel  and
 copies  are  sent  to  individuals  identified by the requester.   The acceptance
 will  include  a tentative schedule for  completing  the work and is  usually
 sent  before any  work begins.  It designates specific NEIC  employees as  con-
 tacts  for technical work and legal coordination  and seeks access to all
 files  related to the work.   In  some cases  (for example,  requests for  tech-
 nical support or review of an abatement proposal), the acknowledgment memo-
 randum  can  provide  a sufficient outline of work activity.

     To accomplish  the objectives of a request efficiently and effectively,
 a  Project Coordinator  is usually named.  The selection of this  individual
 is generally  determined by the type of investigation or assistance request-
 ed, such  as:   a multi-media  evaluation  with or without  sampling; case pre-
 paration; performance  audit; pesticide  use investigation;  or  control  tech-
 nology  assessment.  In some instances,  a technical assistance request may
 involve  only  one individual—for example, a  detailed  control technology
 assessment; or may  involve only analytical support—such as pesticide anal-
yses  for  Regional  investigations; or  may require  support from several
 Branches within NEIC.

     The scope of the request determines which NEIC organizational  elements
will  be required to support the proposed  study.   Operations, Laboratory
 Services, or  the Technical  Evaluation  Staff may assign individuals to the
project.  The Project Coordinator is  designated and is then responsible for
assuring that  all aspects of the project are carried out.  This  individual
will have demonstrated through past performance as Project Coordinator, or
as an assistant,  the ability to perform the extensive administrative and
technical  responsibilities  of  the Project Coordinator  (as described in
Section II).

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                                                                    1-4
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                           BACKGROUND REVIEW
     Review  of  the available background information applicable to a speci-
 fic  project  is  a logical and  essential  first step  in providing technical
 assistance.  Scope and duration of the background review are related to the
 project  objectives  and  vary with the complexity  of the project  request.
 Background information  is  available  at  the  Center through  the  in-house and
 affiliated libraries  and the  NEIC computerized data  retrieval  systems.
 However,  many  projects  require  visits  to EPA  headquarters,   Regional
 offices,  and/or State  and  local agencies to  review and obtain copies of
 pertinent  files.   Where  necessary,  a reconnaissance  visit  to  the project
 site provides background verification or updating.  Examples of information
 obtained during a background review include:  the applicable laws and  regu-
 lations,  the  status of current and pending  litigation related  to  the proj-
 ect, Regional office  legal  strategy and how the NEIC study relates to the
 strategy,  specific  descriptions  of process and pollution  control  systems
 that may affect the environment, copies of relevant source permits and com-
 pliance  schedules,  past  self-monitoring  data, prior government or facility
 studies,  available  alternative technology, and  availability  of approved
 analytical methods.

     The primary purpose of  a  review  is  to  familiarize  NEIC personnel  with
 the background of the work request so that a comprehensive project plan can
 be developed.   Moreover, information  obtained during  the review will often
 be used  during  project  performance and report preparation.  Therefore, it
 is important  to  conduct as  thorough a review as possible early in the proj-
ect development.  The  background review may continue throughout the project
as needed information  is obtained.

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                                                                   1-5
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                             PROJECT PLAN
     A general project outline is included with NEIC acceptance of an offi-
 cial request.  After  sufficient  background information has  been  obtained
 and  evaluated, a comprehensive project plan is  usually prepared  based  on
 the  specific  objectives  and tasks in the  project  request.   For projects
 that are small in scope, the acceptance memorandum may serve as the project
 plan.  Projects  such  as  complex  pollution  control  evaluations,  permit com-
 pliance  evaluations,  air pollution  source surveys, ambient air and/or  re-
 ceiving  water quality surveys,  pesticide  use  investigations,  and solid/
 hazardous waste  disposal  evaluations  normally  require a  detailed  project
 plan.

     The Project  Coordinator prepares the  project  plan detailing  the proj-
 ect's scope,  logistics, and schedules.   Items usually addressed in the pro-
 ject plan are:

     1.    Objectives
     2.    Background information, including a summary of process(es),
          applicable regulations  or  permit conditions, etc.
     3.    Survey methods, including  sampling locations,  schedules and
          procedures,  analytical  requirements,  quality control  program,
          etc.
     4.    Process data to be collected
     5.    Personnel  and equipment requirements
     6.    Safety  program and equipment
     7.    Custody procedures
     8.    Report  schedules
     9.    Followup plans  (when  necessary)

     The  Project Coordinator works closely with the appropriate NEIC staff
to determine items such as equipment and logistical requirements,  analytical

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capabilities,  and personnel  availability.   The  Project Coordinator also
communicates with the requester or designated representative to ensure that
the plan  being developed addresses the tasks requested and focuses on the
objectives.

     The  plan  approximates  an agreement between the  requesting party  and
those  individuals performing  the  work.  Manpower,  equipment  needs,  and lo-
gistics can be forecast and scheduled.  Additional equipment, contract ser-
vices, or personnel  can be secured expeditiously  with  the advance  deter-
mination  of needs.

     The  project  plan  should  be provided by NEIC to the requester and the
survey team at least 2 weeks before any specific field, laboratory, or con-
sultant activity  is  undertaken.   If no comments on the plan are  received
from the  requester  during this period, it is assumed that the plan is ac-
ceptable.   Changes made  to  the project plan will  be  coordinated  with  the
requester  and  the Deputy Director or Assistant Director.   If necessary, a
meeting will be held between the appropriate NEIC personnel  and the request-
er to  discuss  any differences and modifications.  Once all  concerned par-
ties agree  to  the project plan, .it serves as a reference document for the
project.

     However, during the  conduct  of the project, some modifications to the
plan may  be deemed necessary  by  NEIC personnel  when unforeseen  circum-
stances arise.*  After the commencement of project activities,  requests for
significant changes  will  be  directed to the  NEIC Director.   Requested
changes will be  discussed with the appropriate management and supervisory
staff  and with the  Project Coordinator.   The  significant  agreed-upon
changes will be documented.
   The plan will contain a statement that it is subject to change.

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c
                                        DOCUMENT TRANSMITTAL
                  NEIC  investigative  activities  are associated with potential enforce-
             ment  actions.   Premature or  inadvertent disclosure  of  the information
             gathered during  an  investigation could adversely affect the action or in-
             jure  a potential party.  All  data,  technical  findings,  draft and  final
             reports, and  related  litigation documents for enforcement actions will be
             transmitted  by  the Chief  of the Enforcement  Specialist Office to  the
             Enforcement Counsel,  the appropriate  Regional  Counsel, or  their  designated
             representative.

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                          PROJECT ACTIVITIES
     Technical duties  such  as legal and technical  information searches,
inspections, evaluations, sampling  surveys,  observations,  data gathering,
and analytical testing  are  performed  by the applicable established proce-
dures.   When  new methods  or modifications  to existing procedures are re-
quired, they  must  be  documented  as expeditiously as possible.   Because of
the close scrutiny  that may be given  to NEIC-gathered data during litiga-
tion,  all samples are identified, maintained under chain-of-custody proce-
dures,  and accounted for by  a document control  program.   NEIC procedures are
routinely audited to ensure  the quality and admissibility of generated data.
(Evidence Audit and Quality  Assurance  are described in Section II.)

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                                  REPORT
     The  final  report  details the results of  the  project  efforts,  and  it
can be  the  requester's  basis  for  enforcement actions.   (Report writing  and
the control of reports  is described in Section II.)  Because the report may
be  introduced  as  evidence in legal proceedings, it  must be accurate and
legally admissible.

     The  overall  responsibility  for  preparing the final report is that of
the Project Coordinator,  who, along with  the management of NEIC, bears  the
burden for the accuracy and admissibility of the report and its conclusions.
Achieving this  goal  requires  that project participants  assure the accuracy
of their  individual contributions to the report.

     The  form of the final report will vary with the type and complexity of
the project.   Some  projects  can be presented  adequately in a memorandum,
while other more  complex  projects  will require extensive data and informa-
tion presentation and discussion.

     A color code  has  been adopted for bound reports prepared at NEIC.   A
black cover is  reserved for a report  specifically  targeted for enforcement
case preparation.   The black cover  NEIC enforcement  reports  are  also
assigned  EPA publication numbers containing a standard prefix followed by a
designation of the year that it was submitted for publication and the chron-
ological  submission  number;  for  example:   EPA-330/2-81-014.  A red  cover
indicates a professional  paper,  special  project with general  applice ;ion,
or technical information  not  directly related to  enforcement action. The
green cover is  used for unique types of  publications,  particularly NEIC
manuals.   Other  miscellaneous reports have tan  covers.  All  white-cover
reports are draft  copies  of  the above categories  and each  page is marked
DRAFT.   Specific details  for  document control  procedures related to draft
copies  of reports are covered in Section  II.

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                  The NEIC  library  maintains  a set of the  Center's  bound reports for
             reference use.  Most  reports  are also available either  as  microfiche or
             paper copy from the library supply.   Other short-form reports are available
             in the various  Division  files,  as well  as the Evidentiary File (described
             in Section II).   Each  employee  is encouraged to become  familiar with the
             various forms of NEIC reports.

                  Public  disclosure of  NEIC  records  will  be made to  the  fullest extent
             possible  when it will  not reveal  matters that are  privileged or confidential.
             External  distribution of  reports  supporting pending enforcement actions  must
             be authorized through the Chief  of the Enforcement  Specialist Office.   Extra
             copies  of pending case reports  will  be  maintained  in a  secure area of the
             library.   Report distribution  restrictions normally terminate upon  resolution
             of the  case;  however,  a log is maintained of  the enforcement reports  distri-
             buted by  NEIC.

^                Distribution  is  also restricted for reports that contain confidential
^           information.   When a  request for confidential treatment  covers information
             submitted  for use  in  a  report, the cover,  title page,  and every page  contain-
             ing that  information  is marked CONFIDENTIAL.   The  report author prepares a
             log of  the confidential information  used  in each portion  of  the  report.   All
             reports containing confidential  information  will be  kept in secure areas
             until restrictions are removed.   These  reports are not  available in  the
             library and must be logged out by  the Document Control  Officer, who also
             receives  a copy of every  memorandum  subsequently transmitting that  report.
             Questions concerning restricted report availability will   be  directed  to  the
             Enforcement Specialist Office.   A summary  of  the strict procedures for hand-
             ling  Toxic Substances  Control  Act Confidential  Business  Information begins
             on  page 11-34.

                 Copies of  NEIC bound reports may receive public distribution through
            the National   Technical  Information  Service (NTIS).   This  includes reports
            with red,  green, or tan covers  and those  black-covered reports for which  en-
            forcement actions  have  been resolved.  Their  availability to the public  is
            announced through  the  NTIS  publication "Government Reports Announcements"
            and a fee is  set by NTIS  for their reproduction and distribution in  either
            paper or microfiche form.

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                               FOLLOWUP
     Completion and transmittal  of  the project report do not  necessarily
signify the end of NEIC's involvement with a project.  Continuing  involve-
ment may include technical  consultation on monitoring programs and remedial
measures.   NEIC personnel will continue to follow up project involvement in
subsequent legal proceedings.   In  such cases,  NEIC personnel  may  be in-
volved in enforcement case  preparation and serve as, or be deposed as, wit-
nesses.   (Appendix A gives  witness  guidelines for preparing testimony as an
expert  witness.)  Other reports may affect EPA policies or serve  as  fore-
runners for additional enforcement  studies.

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II.   NEIC OPERATING POLICIES AND PROCEDURES

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             II.  NEIC OPERATING POLICIES AND PROCEDURES
                           EMPLOYEE CONDUCT

     EPA employees  are  required to perform their duties in a professional
and responsible manner and to refrain from any use of official position for
private gain.   NEIC employees  are also required to collect and report the
facts of an  investigation completely,  accurately, and  objectively.  They
must also  conduct  themselves  at all times  in accordance with the  regula-
tions prescribed in the  EPA handbook, RESPONSIBILITIES  AND CONDUCT FOR EPA
EMPLOYEES.    The following paragraphs review some  topics  in  the handbook
especially applicable to NEIC work.

     Employees shall avoid conflicts of interest through outside employment
or other private  interests.   A conflict of interest may exist whenever an
EPA employee has a personal or private interest in a matter which is related
to his official duties and responsibilities.  It is important to avoid even
the appearance  of  a conflict  of interest because the appearance of a con-
flict damages  the  integrity of  the Agency and its  employees  in  the  eyes of
the public.  All employees must, therefore, avoid  situations which  are, or
give the appearance of,  conflicts  of interest when dealing with others in
or outside the government.

     Good public relations and  common  sense dictate that employees dress
appropriately and with proper  safety equipment for the activity in which
engaged.   When in the laboratory, field, or facility,  employees  should con-
sult their supervisor and the NEIC SAFETY MANUAL relative to proper attire
and safety requirements.   Enhanced  safety  procedures  may be  specified for
individual  programs  such  as  laser  safety for lidar operators or handling
procedures  for samples of hazardous substances.

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                                                                  II-2
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      It  is important that cooperation be obtained and good working relations
established when working with the public.  This can best be accomplished by
using diplomacy,  tact,  and persuasion.   Employees should not speak of any
person,  other  regulatory  agency,  or facility  in  a  derogatory manner and
should use discretion when asked to give a professional opinion on specific
products or projects.  All information acquired during an employee's duties
is for official use only.

     An  employee  is  forbidden to solicit or  accept any gift,  gratuity, en-
tertainment, favor,  loan,  or any other thing  of  monetary  value from any
person, corporation, or group which has a contractual or financial relation-
ship with  EPA,  which has  interests that may be substantially affected by
such employee's official actions, or which conducts operations regulated by
EPA.   Responsibility for  individual  actions  rests with the employee where
circumstances make it inappropriate to decline a nominally valued gratuity,
such as lunch in a company cafeteria where no payment mechanism is provided.

ENTERING A FACILITY

Authority

     Various Federal  environmental  statutes grant  EPA enforcement personnel
authority to enter and  inspect  facilities.  The authority granted in each
statute is similar to that stated below,  from Section 308 of the Clean Water
Act:

     "(a)(B)  the  Administrator  or  his  authorized representative,  upon
     presentation  of his credentials -
     (i)  shall  have  a right  of  entry to,  upon, or through  any premises  in
     which an effluent  source is  located or  in which any records required
     to  be maintained .  .  .  are  located,  and
     (ii) may at  reasonable  times  have access to and  copy any records,
     inspect  any monitoring equipment or method required .  .  ., and sample
     any  effluents which the owner  or  operator of such  source is required
     to  sample  .  .  .  ."

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                                                             TABLE OF AUTHORITY

Inspection
Authority
Recordkeeping
Authority
Confidential
Information
(40 CFR 2.301-2.215,
Emergency
Authority
Employee
Protection
Air
CAA 114
40 CFR 80.4,
86*
CAA 114, 208
311
40 CFR 51,
60, 79**
CAA 208, 307
40 CFR 2.301,
122.9) 53,57,80
CAA 303
CAA 322
Water
CWA 308, 402
40 CFR 122.7
CWA 308, 402
40 CFR 122.7,
122.11,122.60
40 CFR 2.302
CWA 504
CWA 507
Superfund Pesticides
CERCLA 104 FIFRA 8,9
40 CFR 169.3
CERCLA 103 FIFRA 4,8
40 CFR 169,
171.11
CERCLA 104 FIFRA 7,10
40 CFR 2.307
CERCLA 104, 106
40 CFR 164,
166
CERCLA 110
Solid Waste
RCRA 3007
40 CFR 122.7
RCRA 3002,
3003, 3004
40 CFR 122.7,
122.11
40 CFR 2.305
RCRA 7003
40 CFR 122.7
RCRA 7001
Drinking Water
SDWA 1445
40 CFR 122.7,
142.34
SDWA 1445
40 CFR 122.7,
122.11,
141.31-33
40 CFR 2.304
SDWA 1431
40 CFR 122.40
SDWA 1450
Toxics
TSCA 11
TSCA 8
40 CFR 704,
710,761
TSCA 14
40 CFR 2.306
TSCA 7
TSCA 23
 *  86.077-7, 86.078-7, 86.441-78, 86.606,  86.1006.89.
**  51.320-.328, 57.105, 57.305, 57.404, 58,  60.7,  61.10,  61.24,  61.69-71,  79.5,  85.407,  85.1806,  85.1906,  86.077-7, 86.084-39 & 40
    86.144-78 thru 82, 86.542-78, 86.609, 86.1009-84.
                                                                                                                                                         r\j
                                                                                                                                                         CO I
                                                                                                                                                         CO OJ

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                                                                   II-4
                                                                   (2/83)
          the  specific  requirements on conducting inspections and collecting
 data  pursuant to other particular Acts,  see:   Section 114 of the  Clean Air
 Act;  Sections 8  and 9  of the Federal Insecticide, Fungicide, and Rodenticide
 Act;  Section  3007 of the Resource Conservation and Recovery Act; Sections  8
 and 11 of the Toxic Substances Control Act; Section 1445  of the Safe Drink-
 ing Water Act; and Section 104 of the Comprehensive Environmental Response,
 Compensation  and Liability Act.

 Unreasonable  Search and Seizure

      EPA  authority  under  the various Acts is subject to  the provisions of
 the Fourth  Amendment  of  the Constitution which  prohibits unreasonable
 searches  and  seizures.   Consent  to document an onsite  investigation with
 photographs should  be  obtained before any  photographs are taken by  the in-
 spector.   While a consensual entry may not be necessary for entering a pub-
 lic area  or  for  acting under emergency  conditions,  no  forcible entry is
 permitted without due process of law when entry has been denied.

     Consent  means  the  intentional  foregoing of right to privacy which is
 not the result of either fear,  ignorance, or trickery.  When obtaining con-
 sent,  do  not  suggest  that civil  or criminal  consequences will result from
 entry denial.   If the  element  of surprise is critical  to the  inspection,
 the site  is  unoccupied,  or prior behavior indicates  that entry will  be
 denied, the Enforcement  Specialist Office should be  notified  before the
 inspection is  attempted.

     Consent to  enter may be revoked by  a facility prior  to the completion
of an  inspection.  If that should occur,  all  work performed during the con-
sensual  entry  should remain in  the possession of the inspection team.   When
a withdrawal  of  consent occurs,  the  inspection team shall leave the area
and follow the procedures  for denial  of  entry as detailed below.

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                                                                   II-5
                                                                  (12/81)
      To comply with statutory authority and avoid any "unreasonable search"
 and procedural  problems,  a facility should be entered  in the following
 manner:

      1.   The plant  premises  should  be entered through  the  main  gate or
 through the entrance designated by  the facility  in  its  response  to an  in-
 spection notification  letter.

      2.   The employees should introduce  themselves  in a dignified, cour-
 teous  manner to a responsible plant official and  briefly describe the pur-
 pose  of the visit.  Identification  credentials should always  be  shown.   A
 responsible  plant official may be the  owner,  operator,  officer,  or agent-
 in-charge  for the  facility,  including the plant  environmental engineer.

     3.   If  there is only  a  guard  present at the entrance, the  employee
 should  present his  credentials and suggest  that the  guard  call his  superior
 or  the  responsible  official when the name is known.

     4.   If  the  Company provides a  blank sign-in sheet, log,  or  visitors
 register,  it is  acceptable to sign  it.   NEIC  employees  shall  not  sign a
 release  of  liability (waiver) when  entering a  facility under the  authority
 of  Federal law.

     5.   If  entry is refused, the employee  should  not contest the  issue
with the facility representative, but immediately  do the following:

     a.  Obtain  name and  title of the  individual  denying entry and record
           the date and time;
     b.   Cite  the appropriate EPA-administered legislation, ask  if he/she
           heard  and understood  the reason for your  presence,  and record
           the answer and any reasons given for denial of entry;
     c.  Leave the premises.

     After leaving  the facility, the employee  should,  at the earliest pos-
sible moment, inform the NEIC supervisory personnel  and Enforcement Special-
ist Office of the events which took  place.

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                                                                   II-6
                                                                  (12/81)
 CRIMINAL  INVESTIGATIONS

     NEIC  will  play a major role  in  investigating criminal conduct  in the
 environmental  area.   More severe penalties may  be  imposed on individuals
 convicted  of  violating the criminal  provisions  of  environmental  or other
 statutes.   This  severity functions to deter harmful  activities and to pun-
 ish  offenders.   Correspondingly,  there  are greater Constitutional  safe-
 guards to  protect individuals from a  criminal prosecution.  NEIC  investiga-
 tions  and EPA enforcement  activities are required to meet these higher
 standards  from  the  moment an investigation begins  to focus on a suspect
 until  the  defendent receives the verdict.  The  special  emphasis  on these
 NEIC investigations  results from the potential  defendants' desire to con-
 ceal their criminal activities and,  when detected,  their frequent  chal-
 lenges to  the investigative procedures that were  used to apprehend them.

     These challenges are encouraged  by the "Exclusionary  Rule".  This rule
 prohibits  the use  of evidence during the prosecution of a defendant whose
 constitutional rights  were  violated  by  the  procedures used to collect that
 evidence.  The "Fruit of the Poisonous Tree Doctrine" further excludes from
 that prosecution any information  subsequently derived from that improperly
 collected  evidence.   Following  the procedures in this manual assures pro-
 tection  for the  potential  defendant's constitutional  rights  and  leaves  a
 paper trail of the investigation supporting admission of the resulting evi-
 dence into a  prosecution.

     Another  procedural challenge frequently occurs when a suspect provides
 a  statement  to a  law enforcement officer.  The NEIC investigator must
 assure that all statements are made voluntarily and questioning may be ter-
 minated at any time the suspect wants to  leave.

     The  Chief,  Enforcement Specialist Office,  should  be consulted when
 aspects of criminal  activity become apparent during a routine investigation
 or when a criminal  investigation is planned.  At this point, a trained crim-
 inal investigator is  assigned  to the case.   All parts of the criminal in-
 vestigation must then be completely  separated  from  any concurrent  or
planned civil  investigations.  For example, a criminal investigator is pro-
 hibited from  using  routine  inspection authority to search  for and seize
evidence of criminal  activities.   The investigator must  obtain a search

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                                                                   II-7
                                                                  (12/81)
warrant prior to conducting a search for this hidden or concealed evidence.
The  warrant is  based upon sworn  testimony  that is current,  accurate,  and
reliable.   It must describe the area to be  searched and the expected search
results.   Exceptions  to this  requirement  include searches made pursuant to
a  valid  consent and seizure of evidence  that is about to be  removed  or
destroyed.

REQUESTING  INFORMATION

     The  environmental  statutes  authorize EPA reporting and recordkeeping
requirements and  also protect trade secrets and confidential  information.
As a general policy,  EPA is extremely  reluctant to accept this type of in-
formation  unless  it  is necessary for  carrying  out Agency functions under
these Acts.

     In compliance with EPA regulations, a request* for Company information,
pursuant  to statutory authority,  will  contain a statement allowing the fa-
cility to  designate all  or part of  the information requested by the Agency
as confidential by  marking  it according to Title  40  of the Code of Fed-
eral Regulations (CFR), Part 2, Subpart B, Sections 2.201-2.309 [41 Federal
Register  (FR) 36902,  Sept.  1, 1976, as amended in 43 FR 39997, Sept.  8,
1978].  In  addition  to citing the  appropriate  regulation(s),  the request
should state that:

     1.   The business  may, if it desires,  assert  a business confidential-
          ity claim covering  part or all  of the information in the manner
          described by  40 CFR 2.203(b), and that  information  covered  by
          such a claim will be disclosed by EPA  only to the extent, and by
          means of the procedures, set forth in those regulations;  and that
     2.   If no such  claim accompanies the  information when it is received
          by EPA, it  may be  made avail sole to  the public by EPA without
          further notice to the business.
     When conducting a plant evaluation, inspection, or reconnaissance, NEIC
personnel should not accept confidential information unless it is essential
in performing NEIC responsibilities.  When inspectors expect to obtain or
   Written requests are generally sent through the Regional Counsel.

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                                                                   II-8
                                                                  (12/81)
 observe  confidential  information, they should maintain a separate logbook.
 When  confidential  information is entered  into  an  inspector's  logbook,  the
 entire  book and the portions  containing  the  confidential  information are
 marked.   The Evidence Audit Unit will  provide the  inspectors with adhesive
 labels  to mark information submittals or observations for which a business
 wishes  to assert a claim of confidentiality.   In those limited situations,
 the  Company  should be requested to  provide  NEIC with a written statement
 identifying  the  material which is entitled to confidential treatment.  In
 addition,  reasons  must be given to  substantiate the claim,  including any
 supportive  technical  data or  legal  authority.   By statute,  effluent and
 emission  data  are  not confidential.   Any confidential  information received
 in  the  mail  or hand-delivered shall  be marked Confidential and handled  ap-
 propriately  as  outlined  in the document control program  (see page 11-31).

 DISCLOSURE OF OFFICIAL INFORMATION

     It is EPA policy to make  information about  EPA and its work available,
 freely  and equally,  to all individuals, groups,  and organizations.   This
 policy, however, does  not  extend to  confidential  information or investiga-
 tory information and evidence  relating to the suspected violation of Federal
 environmental laws.  The transmittal  by the Chief of the Enforcement Special-
 ist Office identifies  the  sensitive  nature of documents  supporting pending
 enforcement  actions to prevent their inadvertent or premature disclosure.

     Any NEIC employee who receives a request, written or oral, for inspec-
 tion or disclosure  of NEIC investigatory records or confidential informa-
 tion, even those made under judicial  discovery procedures or  the Freedom of
 Information Act, shall immediately advise the Chief, Enforcement Specialist
Office,  and obtain approval prior to  the release of information.  Other in-
 formation disseminated outside the Agency will  be directed  through the
appropriate Regional office or Headquarters.

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                                                                   II-9
                                                                  (12/81)
           PROJECT COORDINATOR  RESPONSIBILITIES  AND  AUTHORITY
      The  Project  Coordinator  is  the  primary  contact  for  a  specific,  assign-
 ed  project.   All  communications  with the  Regional, State,  local,  and Company
 officials,  the public, and the news  media (press, radio, TV, etc.) need to
 be  coordinated through this individual.   All requests for comments or con-
 clusions  must be  referred  to  the appropriate case attorney.

 PROJECT PLAN

      The  Project  Coordinator  is  responsible  for preparing  the project plan.
 This  will  involve obtaining the  necessary background  information  from the
 requester  (Region,  Headquarters, etc.),  all  affected NEIC branches,  the
 legal staff,  the  safety officer,  the  administrative  staff, and the Evidence
 Audit  Unit (EAU).  A  draft plan (marked  DRAFT REPORT FOR AGENCY  REVIEW
 ONLY,  DO  NOT DUPLICATE) will  be provided for internal  review to  Branch
 Chiefs and other  affected  parties.  The Coordinator  is responsible for dis-
 seminating the  draft  project plan for review and accounting for all  draft
 copies.  After comments have been incorporated into  the  final project  plan,
 all  drafts will  be disposed  of  and  a revised copy  will  be  sent to  the
 Region or  other  EPA organization requesting the work.  As a general  rule,
 the  final  plan  should  be sent to the requester and given to  project  parti-
 cipants at least 2 weeks before any field work begins.

     A briefing on the plan will be held prior to beginning any field  work.
At  that time,  those aspec  :s of  the  study such as test methods,  chain-of-
custody procedures, legal  aspects,  safety requirements,  document control,
and related activities will be discussed  with all project  participants and
EAU.  Each participant is expected to read the project plan and be aware of
the required  procedures.   (Section I  discusses changes to  the project plan
once it has been transmitted to the requester.)

-------
                                                                   11-10
                                                                  (12/81)
ADMINISTRATIVE MATTERS

Petty Cash and Procurement Requests

     Prior to the survey, the respective NEIC Branches are expected  to  sub-
mit  purchase  requisitions for survey needs  in  a timely fashion to  avoid
emergency requests.  The  Project Coordinator is  responsible for determining
petty cash  needs for the study and designating  those individuals who will
receive  petty  cash.   Proper receipts are  necessary  to  receive credit for
petty cash  expenditures.   When appropriate, the  Project  Coordinator will
arrange  to  use  purchase orders in the  field.   For example, ice is  often
required  in  large  quantities  during  a  survey;  thus,  a purchase requisition
is often appropriate.

Timekeeping

     The  Project Coordinator  is  expected to certify as  correct the Time
Reports  used by  field  personnel to report  regular time, overtime, and com-
pensatory hours.   It  is  expected  that  Project  Coordinators  and Branch
Chiefs be familiar with the Fair Labor Standards Act and the EPA Pay Admin-
istration Manual as  it pertains to  overtime,  holiday  and hazardous-duty
pay, and  compensatory  hours.  As appropriate, the Coordinator  will  be pro-
vided a packet containing the necessary pay manuals, policy statements, and
forms.   Instructions for the completion and submission of time records will
be provided by the respective Branch Chiefs.

FIELD ACTIVITIES

     The Project Coordinator  shall have  the  overall  responsibility  for  de-
termining that all field  activities  are performed expeditiously and that
the project objectives  are met.  Branch  Chiefs are expected to  assign per-
sonnel  capable of  performing  the  Branch responsibility associated with a
particular study; these personnel  are expected to understand and follow the
procedures relative to their assignments.

-------
                                                                  11-11
                                                                 (12/81)
     The necessity for change from the project plan not affecting the objec-
tives  or  overall  scope of the study—such as addition or deletion of sam-
pling  points, modifications to schedules or frequencies, or changes in ana-
lytical load—will be coordinated through and approved by the Project Coor-
dinator.  This includes any support work being conducted in Denver.

     Transportation needs  in  the  field will be determined during  the  plan-
ning stage.   GSA  vehicles  will  be used whenever  available.   The Project
Coordinator will be responsible for assuring that vehicles and mobile labor-
atories transported from Denver generally travel  in convoy,  and it is imper-
ative  that  the  Project Coordinator be notified immediately of any delays
that occur  enroute.   It  is also  expected that the  rolling  stock (mobile
laboratories, lidar,  vehicles,  boats,  monitoring  equipment) be  kept  in  a
state  of readiness.  If equipment is returned from the field needing repair,
maintenance,  or  overhaul,  it shall be accomplished  expeditiously by the
appropriate Branch.

     During the field study, the Project Coordinator or designee is respons-
ible for  seeing  that  all  chain-of-custody and quality control procedures
for sampling, flow monitoring, analyses, recordkeeping, etc. are  followed.
The field personnel are,  however, expected to understand and  follow the
custody procedures relative to their assignments.   Following completion  of
the field activities  and before returning to NEIC, the Project Coordinator
or designee  shall  account  for all field documentation—such as field log-
books,  sample tags, Chain-of-Custody Records—and  verify that it is complete.

     The Project Coordinator is  responsible and has  the authority for assur-
ing that all field work is conducted safely and that required safety equip-
ment is use .  All participants  are required to read and adhere to the NEIC
SAFETY  MANUAL.

REPORT  WRITING

     The Project Coordinator,  in cooperation with  other personnel, will  de-
velop an outline and determine the writing assignments for a project report.

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                                                                  11-12
                                                                 (12/81)
To facilitate readability by the diverse audiences from technical, adminis-
trative, and  judicial  fields,  the NEIC enforcement  report*  may  be  struc-
tured in two major sections:  the Executive Summary and the Technical Anal-
ysis.  The  Executive  Summary clearly states study objectives and presents
conclusions supported  by  pertinent  findings;  recommendations are made  if
appropriate.  The  Technical Analysis more  comprehensively describes the
study, giving specific details  about the facility, legal case facts, NEIC
data  collection  and analysis, and other  pertinent aspects of the  field
work.  It  is  important that findings in  the Technical Analysis  be  corre-
lated to the  conclusions  as stated  in  the  Executive Summary so that the
report presents  a uniform analysis.

     The Project Coordinator is  responsible for assembling the report and
circulating review copies;  all  reports  are dated.   Draft reports are num-
bered in red  and  each page  is marked DRAFT.   The  Coordinator shall make
every attempt to ensure that all draft copies  are returned and that all
appropriate comments are incorporated.   These draft reports are disposed of
upon completion  of the final report.

     The quality of a report's content,  and the ability to substantiate and
defend it,  are  foremost.   The Project  Coordinator,  NEIC  management, and
supervisory personnel  are  responsible for assuring that all NEIC reports
achieve this goal.
   A black  cover report  prepared to support  an ongoing  or  potential
   enforcement action.  The  format described  above  is also recommended
   for  other appropriate NEIC reports.

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                                                                   11-13
                                                                  (12/81)
                             SAMPLE CONTROL
      A sample is physical evidence  collected  from  a  facility or the  envi-
 ronment.   An essential part of  all  NEIC  enforcement  investigations  is  the
 control  of the  evidence  gathered.  To  accomplish  this,  the  following  sample
 identification  and  chain-of-custody procedures have been established.  Any
 other procedures specific to a  program must be documented  and approved by
 the  Chief  of the Enforcement Specialist Office.

 SAMPLE IDENTIFICATION

      The method of  identification of  a sample depends  on the  type of mea-
 surement or analyses performed.   When in-situ measurements are made, the
 data are  recorded directly in  logbooks*  or Field  Data Records (FDRs), with
 identifying information  (project code, station numbers, station  location,
 date,  time,  samplers), field observations, and remarks.  Examples of  in-situ
 measurements  include  pH,  temperature,  conductivity, flow measurement, con-
 tinuous air monitoring, and stack gas  analysis.

      Samples, other  than  in-situ measurements, are identified by a sample
 tag  (page  11-14) or  other appropriate  identification  (hereinafter referred
 to as  a sample tag).

     These  samples are removed and transported from the sample location to
 a  laboratory  or  other location for  analysis.  Before removal,  however,  a
 sample  is  often  separated into portions depending upon the analyses  to be
performed.    Each  portion  is preserved  in  accordance with applicable proce-
dures and the sample container is identified by a sample tag.  The informa-
tion recorded on the sample tag includes:
*  For purposes of this manual,  the term "logbook" includes remote sensing
   imagery and data recorded on magnetic tape.

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                                          11-14
                                          (12/81)
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
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    Building 53, Box 25227, Denver Federal Center
           Denver, Colorado 80225
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-------
                                                                   11-15
                                                                  (12/81)
      Project  Code      -   A  three-digit  number  assigned  by  NEIC
      Station  Number    -   A  two-digit  number  assigned  by the  Project
                          Coordinator
      Date              -   A  six-digit  number  indicating  the month,
                          day,  and year  of  collection  -  for example:
                          031782  is March 17, 1982
      Time              -   A  four-digit number indicating the  24-hour
                          time  of collection  -  for example:   0954  is
                          9:54  am and  1629  is 4:29 pm
      Station  Location  -   The sampling station  description  as  specified
                          by the  Project Coordinator
      Samplers          -   Each  sampler signs the tag
      Remarks           -   The samplers record pertinent  observations
      Lab Sample No.    -   May be  completed  by the receiving laboratory

      The sample  tag  contains  an  appropriate  place  for designating the  sam-
ple  as  a grab or a composite  and identifying  the type  of  sample collected
for  analyses.   When  used for  air samples, the sampler  may use the remarks
section to designate the  sequence number and identify the  sample type.   The
Project  Coordinator  will  detail  procedures  for completing tags  used for
soil, sediment,  and  biotic  or  other  samples.   The  sample tags are attached
to each sample or container.

      After  collection, separation,  identification, and  preservation,  the
sample is maintained under  chain-of-custody procedures  discussed below.  If
the  composite  or  grab  sample  is to be  split,  it is aliquoted into similar
sample containers.   Identical  information  is completed  on  the tag  attached
to each  split  and  one  is marked "	 Split"*.   In a similar fashion, tags
will  be marked for "Blank"  or  "Duplicate" samples.

CHAIN-OF-CUSTODY PROCEDURES
     Due to the evidentiary  nature of samples collected during enforcement
investigations, possession must be traceable from the time the samples  are
*  The blank is completed to identify the split sample for the appropriate
   government agency,  facility,  laboratory,  or company.

-------
                                                                  11-16
                                                                 (12/81)
collected until they  or their derived data are  introduced as evidence  in
legal proceedings.  To  maintain  and document sample possession, chain-of-
custody procedures are followed.

Sample Custody

     A sample is under custody if:

     1.    It is in your possession,  or
     2.    It is in your view,  after  being in your possession,  or
     3.    It was in your possession  and you locked it up,  or
     4.    It is in a designated secure area.

Field Custody Procedures

     1.    Collect  only the number of samples needed to represent the media
          being sampled.  To  the extent  possible,  determine  the quantity
          and types of  samples and  sample locations prior to the  actual
          field work.   As  few people  as possible should  handle  samples.

     2.    The field sampler is personally responsible for  the  care  and  cus-
          tody of  the  samples  collected until  they  are properly  transferred
          or dispatched.

     3.    Sample tags  shall be completed for each sample,  using waterproof
          ink unless prohibited by weather conditions.  For example,  a  log-
          book notation would  explain  that  a  pencil  was  used  to fill out
          the sample tag because a  ballpoint pen would not function in
          freezing  weather.

     4.    The Project  Coordinator determines whether proper custody proce-
          dures  were  followed  during the  field work  and  decides if addi-
          tional samples are required.

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                                                                   11-17
                                                                  (12/81)
 Transfer of Custody and Shipment

      1.    Samples  are accompanied by a  Chain-of-Custody  Record (see page
           11-19).   When transferring  the possession  of  samples,  the  indivi-
           duals  relinquishing and receiving will  sign, date,  and  note  the
           time  on  the Record.  This Record documents sample custody trans-
           fer  from the sampler, often through another person,  to the anal-
           yst  in a mobile laboratory or at  the  NEIC  laboratory  in Denver.

      2.    Samples  will  be  packaged* properly for shipment  and  dispatched  to
           the  appropriate  NEIC laboratory** for  analysis, with  a  separate
           custody  record accompanying each  shipment  (e.g.,  one for each
           field  laboratory,  one for samples  shipped, driven,  or otherwise
           transported  to NEIC).  Shipping containers*** will  be padlocked
           or  sealed for shipment to the  laboratory.   The  method of  ship-
           ment,  courier name(s), and other pertinent  information is entered
           in the "Remarks" section on the custody  record.

      3.    Whenever  samples  are split  with a  source or government agency,  a
           separate  Receipt  for Samples  form (see  page  11-21)  is prepared
           for those samples  and marked  to indicate  with whom  the  samples
           are  being split.   The person  relinquishing the  samples  to the
           facility  or  agency should request  the  signature  of a representa-
           tive of  the  appropriate  party acknowledging receipt of  the sam-
           ples.  If a representative  is  unavailable  or refuses  to sign,
           this is  noted in the "Received by" space.   When appropriate, as
           in the case  where  the representative is  unavailable, the custody
           record should contain a statement that the  samples were  delivered
           to the designated location at the designated time.
  *  See Appendix B.
 **  See Appendix C for Safety Precautions when Accepting Samples from Out-
     side Sources.
***  Lidar data magnetic tapes are transported in locked magnetic-safe
     metal containers.

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                                                             11-18
                                                            (12/81)
4.    All shipments will be accompanied by the Chain-of-Custody  Record
     identifying its contents.   The original Record will accompany the
     shipment, and the copy will be retained by the Project Coordinator.

5.    If sent  by  mail,  the package will  be registered with return re-
     ceipt requested.  If  sent  by common carrier, petty cash will be
     used for expenditures of  less than $100,  otherwise a Government
     Bill  of Lading will  be used.   Air freight  shipments are sent col-
     lect.   Freight  bills, post office  receipts, and Bills of Lading
     will  be retained as  part of the permanent  documentation.

-------
 ENVIRONMENTAL PROTECTION AGENCY
           Office of Enforcement
   PROJ. NO.    PROJECT NAME
 SAMPLERS: (Signature)
 STA. NO
           DATE
                   TIME
                                                               CHAIN OF CUSTODY RECORD
                                                                      NATIONAL ENFORCEMENT INVESTIGATIONS CENTER
                                                                            Building 53, Box 25227, Denver Federal Center
                                                                                      Denver, Colorado80225
                                           STATION LOCATION
                                      NO.

                                      OF

                                     CON-
                                   TAINERS
                                                                                                                                    REMARKS
 Relinquished by: (Signature)
Date/Time    Received by: (Signature)
                                                                                Relinquished by: (Signature!
                                                                                Date /Time    Received by: (Signature!
 Relinquished by: (Signature)
Relinquished by: (Signature)
Date /Time
Received by: (Signature)
                                                                                 Relinquished by: (Signature)
Date /Time
Received for Laboratory by:
(Signature)
                                                                                     Date /Time
                    Distribution- Original Accompanies Shipment, Copy to Coordinator Field Files
                                                                                Date /Time
                                                                                Received by: (Signature)
                                                                 Remarks

-------
                                                                  11-20
                                                                 (12/81)
Receipt for Samples Form

     Section 3007(a)(2)  of  the Resources  Conservation  and Recovery  Act
(RCRA) states  ".  .  .If  the  officer, employee or  representative  obtains  any
samples, prior  to  leaving the premises, he shall give to the owner, oper-
ator, or agent-in-charge a  receipt describing the samples obtained  and, if
requested,  a portion  of each such sample equal  in volume or weight to the
portion retained."   Section 104 of the Comprehensive Environmental  Re-
sponse, Compensation  and Liability Act contains  identical  requirements.

     A completed Receipt for Samples  form (see page  11-21) complies with
these requirements  and  is used whenever splits are provided.   This form
must be completed  and a copy given to  the  owner,  operator, or agent-in-
charge even if  the offer for split samples is declined.  The original  is
retained for the Project Coordinator.

Laboratory  Custody Procedures

     1.   A designated sample custodian accepts  custody  of the shipped sam-
         ples  and verifies  that the  information on  the  sample tags  matches
         that  on  the Chain-of-Custody  Records.   Pertinent  information as
         to shipment, pickup,  courier,  etc.  is entered in the "Remarks"
         section.   The  custodian then  enters the  sample tag data  into a
         bound logbook  which  is arranged  by  project code and station
         number.

         The laboratory custodian will  use  the  sample tag number  or assign
         a unique  laboratory number to  each sample  tag  and  assure that all
         samples  are transrerred to the  proper analyst or stored  in the
         appropriate  secure area.

     2.   The custodian  distributes  samples to  the  appropriate  analysts.
         Laboratory personnel  are responsible  for the care  and custody of
         samples  from the  time they are  received  until the sample  is
         exhausted or returned  to the custodian.

-------
 ENV,!-,OiJMtNTAL PROTECTION AGENCY
          Office of Enforcement
                                                            RECEIPT FOR SAMPLES
NATIONAL ENFORCEMENT INVESTIGATIONS CENTER
    Building 53, Box 25227, Denver Federal Center
              Denver, Colorado 80225
PROJ. NO.
PROJECT NAME
SAMPLERS: (Signature)
Split Samples Offered
( ) Accepted ( ) Declined
STA NO
















DATE
















TIME
















COMP
















CD
<
CC
0
















SPLIT
SAMPLES
















TAG NUMBERS
















Name of Facility

Facility Location

STATION DESCRIPTION
















Transferred by: (Signature)
Date Time

NO OF
CON-
TAINERS
















REMARKS
















Received by (Signature) Telephone
Title Date Time — ' -
ro i—
CO rv
Distribution: Original to Coordinator Field Files; Copy to Facility
                             N    349

-------
                                                              11-22
                                                              (2/83)
 3.    When sample analyses and necessary quality assurance checks have
      been completed in the  field  laboratory,  the  unused  portion  of  the
      sample  must be disposed of properly.   All identifying tags, data
      sheets,  and laboratory records shall  be retained as  part of the
      permanent  documentation.   Samples received by the Denver labora-
      tory will  be retained until  after analyses and quality assurance
      checks  are  completed.   When  investigative documents are  requested
      by  the  Evidence Audit  Unit for  the evidentiary  file,  all identify-
      ing tags are removed  for retention  in the permanent documenta-
      tion.   Sample  containers and remaining sample material should  be
      disposed of appropriately.

 4.    Samples  of  materials which  have been associated with  high  hazard
      levels  are  received in a specialized Regulated laboratory.   This
      laboratory  reduces  the  hazardous  characteristics of these samples
      and prepares them for  routine analysis.   To  avoid potential con-
      tamination,  tags  from  samples received by the Regulated  laboratory
      are not  considered  permanent  documents and will not be incorporat-
      ed  into  the  evidentiary file.  The Regulated  laboratory will ver-
      ify that the information on  arriving  sample  tags is  accurately
      recorded on the  appropriate  Chain-of-Custody Records and notify
      the Evidence Audit Unit of  any  discrepancies.   The sample  tag
      number is entered on the Chain-of-Custody Record in the "Comments"
      column.   Regulated  laboratory personnel  will initial  the entry
      after verifying  sample tag  data or  resolving  a discrepancy.

5.    The Regulated laboratory will submit a memorandum to EAU when the
      project  documents  are  assembled.  The  memorandum, to  be  retained
      in  the evidentiary file, certifies that the sample tags have been
      appropriately disposed of together wi h the sample containers and
     any remaining portions.

6.   Lidar data  magnetic tapes  will  be copied into  the  appropriate
     NEIC minicomputer disc  files.   The  original  tapes will  then be
     stored in the  locked cabinets and the  disc data will  be  used for
     computer data processing.

-------
                                                                   11-23
                                                                  (12/81)
                           DOCUMENT CONTROL
     The  goal  of the NEIC Document  Control  Program is to assure that all
project documents issued to or generated by NEIC personnel will  be accounted
for when  the project is completed.  This program includes a serialized docu-
ment system, a document inventory procedure, and an evidentiary  filing sys-
tem, all  operated and controlled by  the  Evidence  Audit Unit (EAU).  The
Document  Control  Officer  maintains  separate  locked files  for  securing con-
fidential information.

     Accountable documents used or generated by NEIC employees include log-
books, field  data records,  correspondence, sample tags, graphs, Chain-of-
Custody Records, bench sheets, and photographic prints (see page 11-31 for a
more complete  list).   Each  document  is listed  in  a project inventory as-
sembled by  the  appropriate Branch or Division at the project's  completion.
Unused serialized documents  returned to the EAU may be disposed of or re-
issued.   Unless prohibited by weather, waterproof  ink  is used to record all
data on serialized accountable documents.

SERIALIZED DOCUMENTS

     The  Project  Coordinator  designates the  person to receive all serial-
ized NEIC documents  for  the  field activities.   The EAU is responsible for
assigning all field  logbooks,  field data  records,  sample tags,  Chain-of-
Custody Records,  Receipt  for  Samples forms,  and custody locks and keys to
this per;  on.  The Coordinator is responsible for ensuring that a sufficient
supply of documents  is  obtained for an investigation and that these docu-
ments are properly distributed to the appropriate  personnel.  The EAU pro-
vides the Project Coordinator  with  a list of the serialized project docu-
ments that were issued to personnel  for that project.

-------
                                                                  11-24
                                                                 (12/81)
PROJECT LOGBOOKS

     The Project Coordinator is responsible for the transfer of logbooks to
the  individuals  who  have been designated to perform specific tasks on the
survey.  Individuals  sign  their  logbooks*  upon  receipt  and  use  them  to  re-
cord all pertinent  information until  the project  is completed.   Observa-
tions  made  into  a  recording device must be promptly transcribed.   The in-
spector verifies the  accuracy  of  the  transcription  and  signs  it.   The ori-
ginal  recording of the data is retained for the evidentiary files.

     Logbook entries should be dated,  legible, and contain accurate and in-
clusive documentation of an individual's project activities.   Because the
logbook forms the basis  for the later written reports,  it must contain only
facts  and observations.   Language should be objective,  factual,  and free of
personal feelings  or other terminology which might prove inappropriate.
Entries made by  individuals other than the person to whom the logbook was
assigned are dated and signed by the individual  making the entry.

     Field analysts who conduct their assigned project analyses  in a mobile
laboratory are assigned  a  logbook by the appropriate Branch.   In addition
to information documenting  the analyses performed,  field  analysts  document
in their logbooks  or  on  bench sheets  the date and results of any calibra-
tion of mobile laboratory  equipment.   A record is  also kept of any  inci-
dents  related to the  survey; for  example, the electricity going off  in the
laboratory, tampering with  government vehicles  or equipment,  etc.  Appro-
priate notations of visitors  to  the mobile laboratory, such  as facility
personnel,  are  entered in the logbook.

     All project logbooks  are  the property of NEIC and are to be returned
to the Project Coordinator  when  a survey assignment has  been  concluded.
   Or the label  for remote sensing or data recorded on magnetic tape.

-------
                                                                   11-25
                                                                  (12/81)
 FIELD  DATA  RECORDS

     Where  appropriate,  serialized  Field Data  Records  (in  the  form  of  indi-
 vidual  sheets  or bound  logbooks) are  maintained for each survey sampling
 station  or  location and the project  code  and station number  are usually
 recorded on each page.   All  in-situ measurements and field observations  are
 recorded in the FDRs with all  pertinent  information necessary to  explain
 and  reconstruct sampling operations.   Each page of a  Field Data Record  is
 dated  and  signed by all individuals making entries on that page.   The Co-
 ordinator and the field  team on duty are responsible for ensuring that FDRs
 are present during  all monitoring activities and are stored safely  to avoid
 possible tampering.   Any lost,  damaged,  or voided  FDRs are reported to the
 Project Coordinator.

 SAMPLE IDENTIFICATION DOCUMENTS

     All necessary  serialized  sample  tags  are  distributed  to  field  person-
 nel by the  Project  Coordinator (or designated project participant)  and must
 be accounted for upon completion of the project.  Individuals are responsi-
 ble for each tag assigned to them.   A tag is considered in their possession
 until  it has  been  filled out, attached to  a  sample, and  transferred  to
 another individual  with  the  corresponding  Chain-of-Custody Record.   Sample
 tags contaminated with a hazardous  substance are disposed  of properly with
 any other hazardous wastes.   These  and lost tags are  noted in  the  appro-
 priate Field Data  Record,  logbook,  or Chain-of-Custody Record immediately
 upon discovery  and  the Project Coordinator  i-,  notified.  At the completion
 of the field investigation activities, all  unused, voided,  or  damaged  sam-
ple tags are returned  to the designated individual.   The Receipt for Sam-
ples  form is used to account for those tags attached to samples split with
the source  or another government agency.

-------
                                                                   11-26
                                                                  (12/81)
 CHAIN-OF-CUSTODY  RECORDS

      Serialized Chain-of-Custody Records are distributed in a manner simi-
 lar  to that used for  sample tags.  When  samples are transferred  to  mobile
 laboratory  personnel,  the  analyst, after  signing,  retains the white  (origi-
 nal)  custody record and files  it  in  a safe place.  The courier returns a
 copy  of the custody  record to the  Project Coordinator.  A similar procedure
 is  followed when  dispatching samples  via common  carrier,  mail,  etc.,  so
 that  the  original accompanies  the shipment  and  is signed  and retained by
 the  receiving  laboratory  sample custodian while the copy retained for  the
 Coordinator is returned from the dispatch point.

      When samples are  split with  the  source or another government agency,
 this  is  documented by  the Receipt for Samples form (see page 11-21).   The
 tag  serial  numbers  from all  splits are recorded on the form and  a copy of
 the receipt will  be  provided for the source or agency.  The white originals
 are returned to the  Project Coordinator.

 OTHER  CONTROLLED  DOCUMENTS

      The  logbooks and  data sheets that are used for various purposes such
 as chemical, bacteriological,  and biological analyses; equipment calibra-
 tion;  etc.  within the  NEIC laboratories  are  neither serialized  nor distri-
 buted  by  the EAU.  These  documents are accountable by the procedures dis-
 cussed in the following paragraphs.

     The computer printouts  of  lidar  data analyses, opacity calculations,
 and verification  results are retained, uniquely numbered, and submitted to
 EAU with the branch files.

     Bench sheets  and other similar documents will  be numbered.   Each docu-
ment will show the  project number, dates, name(s)  of analyst(s) and other
pertinent information.   Instrument printouts and other  separate documents,
except laboratory logbooks, will  be  labeled in a  similar  manner.  These
documents will  be  sent  to  the evidentiary file when requested.

-------
                                                                  11-27
                                                                 (12/81)
     Laboratory  observations  and calculations  not recorded  on  numbered
bench  sheets,  instrument graph printouts, etc.,  are  entered in numbered
logbooks  assigned by a Branch custodian  or  other designated individual.
Each numbered page of the logbook* actually consists of two pages - an ori-
ginal  and  a copy.  The original  is  perforated  so that it can be removed
from the  logbook when  project  files  are  compiled  for  the  Evidentiary  File.
When this  type  of logbook is  unavailable, duplicates  of  individual pages
will be identified.

     The  logbook needs  to contain information sufficient  to  recall  and  de-
scribe succinctly each  step  of the  analysis performed because  it may be
necessary for the analyst to testify in subsequent enforcement proceedings.
Moreover, sufficient detail  is necessary to enable others to reconstruct
the procedures followed should the original analyst be unavailable for tes-
timony.  Any  irregularities observed during  the testing process  need  to  be
noted.   If,  in  the technical  judgment of  the analyst,  it is  necessary  to
deviate from  a particular analytical method, the  deviation shall be justi-
fied and properly documented.

     The numbered logbook assigned  to  an  individual  can  be  used for  more
than one project.   However,  only one project is  discussed on each page.
That page  is  labeled with the  project code,  dated, and signed by the  indi-
vidual.  The custodian closes out each completed laboratory logbook and may
retain it or return it to the analyst for reference purposes.
*  The original page requires no carbon paper.   The logbook is referred to
   as an NCR logbook.

-------
                                                                   11-28
                                                                  (12/81)
     Where  applicable,  the Branch file custodian issues  a numbered instru-
ment  logbook  in which all  information relating to calibration and mainten-
ance of a particular  laboratory instrument is  recorded.

PHOTOGRAPHS

     When movies,  slides,  or photographs  are  taken which visually show the
effluent or  emission  source and/or any monitoring locations,  they are  num-
bered  to  correspond  to  logbook entries.   The name of the  photographer,
date, time, site location,  and site description  are entered sequentially in
the  logbook  as  photos are  taken.   A series entry may  be  used  for  rapid se-
quence photographs.   The photographer is not  required to record the aper-
ture  settings and  shutter speeds   for  photographs  taken  within the normal
automatic exposure  range.   Special lenses,  films, filters, or other image
enhancement techniques must be noted in the logbook.  Chain-of-custody pro-
cedures depend upon the  subject matter, type of  film, and the processing it
requires.   Film  used  for aerial  photography,  confidential information, or
criminal investigations  require chain-of-custody procedures.  Adequate log-
book notations  and  receipts may be used  to account for  routine film pro-
cessing.  Once  developed,  the slides or photographic prints shall be ser-
ially  numbered  corresponding  to   the  logbook  descriptions and may be
labeled.

CORRECTIONS TO DOCUMENTATION

     As previously noted, unless prohibited by weather conditions, all  ori-
ginal data  recorded in logbooks,   FDRs, sample  tags,  custody  records,  and
other data sheet entries are written with waterproof  ink.  None of the ac-
countable serialized  documents  listed  above  are to be dest oyed or thrown
away even if  they  are illegible or contain inaccuracies which required a
replacement document.

     If an  error is made on an accountable document assigned to one indivi-
dual, that  individual  may make contemporaneous corrections simply  by cross-
ing a line through  the error and  entering the correct information.  Any
subsequent  error discovered on an  accountable  document should be corrected

-------
                                                                   11-29
                                                                 (12/81)
by  the  person who made the entry.   All  subsequent corrections  must be ini-
tialed  and dated.

      If a sample  tag is lost in shipment, or a tag was never prepared for a
sample(s), or a properly tagged sample was  not  transferred with  a formal
NEIC  Chain-of-Custody  Record, the following procedure applies:

          A written statement is prepared detailing how the sample
          was collected, air-dispatched, or hand-transferred to the
          field or NEIC laboratory.  The statement should include
          all pertinent information, such as entries in field log-
          books regarding the sample, whether the sample was in the
          sample  collector's physical possession or in a locked com-
          partment until hand-transferred to the laboratory, etc.
     Copies of the statement are distributed to the Project Coordinator and
the appropriate Branch project files.

CONSISTENCY OF DOCUMENTATION

     Usually before  the  release  of a final project report, each Branch or
Division assembles its documents and cross-checks information on correspond-
ing sample tags, custody records, bench sheets, analyst logbooks, and other
logbooks to ensure  that  data pertaining to each particular sample is com-
plete and consistent throughout the record.  The Project Coordinator concur-
rently performs a cross-check  of field documents (FDRs, logbooks, custody
records, etc.)  to  ensure that the  information  recorded corresponds with
that of the NEIC laboratories and is consistent throughout the project rec-
ord.  An inventory accounting for all project evidentiary  data accompanies
the transfer of the assembled Branch file to the EAU.

     The EAU is  responsible  for correlating accountable  documents  for a
project when there has been a change in the project number.

DOCUMENT NUMBERING SYSTEM AND INVENTORY PROCEDURE

     To provide  document accountability to the  appropriate  individuals,

-------
                                                                   11-30
                                                                  (12/81)
 each of the  document  categories discussed above features a unique serial-
 ized number  for each item within  the  category.   Logbooks, FDRs,  sample
 tags, custody records,  and  receipts  for samples are serially numbered by
 the EAU before  assignment to project personnel.  The logbooks and  FDRs are
 usually given a five-digit number,  with the project code as the  first three
 digits  followed  by a two-digit document number.   Sample  tags,  custody
 records,  and receipts for samples are labeled with  the prefix "N", a four-
 digit document number,  and the  project  code.

      All  project documentation  (such as  analyst's  logbooks, graph paper,
 data calculation sheets, memoranda,  correspondence,  photos,  etc.)  which  are
 generated  during a project are  uniquely  identified with the project  code,
 the Branch initials,  and a sequential number  (e.g.,  707-CIB-01),  usually  at
 the time the  Branch file is  assembled.

 BRANCH  OR  DIVISION  FILES

      After a  Branch has  completed its work for a particular investigation,
 all  documents  generated  from that project  should  be  assembled  in the  Branch
 or  Division file.   Individuals  may retain clean  (no handwritten comments)
 copies  of  documents for their personal  files but only after  personally
 verifying  that the  original  or  similar copy  is in  the  file.  Each Branch
 Chief is  responsible for assuring the collection, assembly, and inventory
 of  all  documents relative to a  particular project at the time the  project
 objectives  are  completed.   The  file then  becomes  accountable.  Any records
 leaving the file must be signed  out.

 EVIDENTIARY FILE

     When NEIC has completed the project objectives, all inventoried Branch
 and  Division  file documents are  reviewed  and submitted to  the Evidence
 Audit Unit.   By this time  each  document will  have  been  labeled  with a
 unique number as specified above.  The format of the evidentiary file is to
 arrange  each project  by  Branch  documents and includes the following docu-
ment classes:

-------
                                                                   11-31
                                                                  (12/81)
      A.    Project  Plan
      B.    Project  logbooks
      C.    Field  Data  Records
      D.    Sample identification  documents
      E.    Chain-of-Custody  Records
      F.    Analytical  logbooks, lab  data, calculations,  bench  cards,
           graphs,  etc.
      G.    Correspondence

           1.  Intra-office
           2.  EPA
           3.  Facility
           4.  Record of confidential material
      H.    Report notes, calculations,  etc.
      I.    References, literature
      J.    Sample (on-hand)  inventory
      K.    Check-out logs
      L.    Litigation documents
      M.    Miscellaneous - photos, maps, drawings,  etc.
      N.    Final  report
     Once  deposited  in the evidentiary file,  documents may only be checked
out through the EAU or designated representative.


REPORTS


     All draft  reports are dated and  numbered  in red, and each  page is
marked  DRAFT.   The  author is responsible  for  disseminating draft reports
for internal  NEIC  review and preparing the appropriate transmittal  memo-
randum to the requestor.  All draft copies of the report are to be returned
to the  author.   Once  comments have been incorporated  and the final  report
has been  prepared,  the  author  disposes of all  draft copies.   However,
Regional offices may  retain  a copy of  the  draft  report with their comments
until  they receive the final  report at which time the  draft will  be  return-
ed to the  NEIC  for disposal.  The luthor must  account for  all draft  copies
when the files are submitted to EAU.

-------
                                                                   11-32
                                                                  (12/81)
 LITIGATION  DOCUMENTS

      Any  litigation reports,  letters,  memoranda, draft court  documents,
 etc.  from the Enforcement Specialist Office  or other government attorney
 which discuss legal matters or  strategies  should be  separately identified
 in  individual Branch  and Division  files  (see Evidentiary  File format
 class L).   These documents will  be  marked  by the Enforcement  Specialist
 Office to identify  the privileged nature of their contents.  All  NEIC  mate-
 rials prepared at the request of the case  attorney will be  transmitted  by
 the  Chief of the Enforcement Specialist Office.   Internal distribution  is
 limited to  the appropriate project  participants  and  the yellow "rainbow"
 copy  for  the  Central Files.

 CONFIDENTIAL  INFORMATION

      Any  information  received  by NEIC with  a  request  of confidentiality is
 handled as  "confidential."  A  separate, locked file  is maintained by the
 Evidence  Audit Unit for the segregation and storage of  all confidential  and
 trade-secret  information.   Upon  receipt by NEIC,  this  information is di-
 rected to and recorded in the Confidential  Inventory Log  by the Document
 Control Officer  (DCO).  The information is then made  available  to  NEIC per-
 sonnel, but  only after it has been  logged out.   The  information  should  be
 returned  to  the  locked file at  the  conclusion of each  working  day unless
 the employee  can guarantee its security.  Confidential  information may not
 be reproduced except upon  approval by and under the supervision of the DCO.
 Any reproduction should be kept to an absolute minimum.  The DCO will enter
 all copies into the document control system and apply the same  requirements
 as for  the original.  In addition, this information may not be  entered into
 any computer  or  iata  handling  system.   Confidential  documents  may not be
 destroyed except  upon  approval  by and under the supervision of the Chief,
 Enforcement Specialist Office.    The  Project Coordinator will be  notified
prior to destruction of confidential information.   The DCO shall remove  and
 retain the cover page of any confidential  information disposed of for 1 year
and shall  keep a record of the  destruction  in the Confidential   Inventory Log.

-------
                                                                  11-33
                                                                 (12/81)
     All analytical work  on  confidential  samples will be separately per-
formed  in a  secure matter.   The resulting documentation will be  isolated
from the Branch  or Division  files when the  records  are  called in by the
EAU.  Specific procedures  for  handling  confidential  information collected
under authority  of  the  Toxic  Substances Control Act are discussed in the
next section.

-------
                                                                   11-34
                                                                  (12/81)
Toxic Substances Control Act  (TSCA)
Confidential Business Information (CBI)
     Provisions  of  the Toxic Substances  Control  Act (TSCA)  allow a company
to  make  a claim of  confidentiality for any or all  information collected by
EPA  during an  inspection  if the  material  meets  all  of the  following
criteria:

     1.   The  company  has  taken measures to protect the  confidentiality of
          the  information,  and it  intends to  continue  to take  such
          measures.

     2.   The  information  is not,  and has  not been, reasonably obtainable
          without the company's consent by  other persons (other than goven-
          ment  bodies)  by  use  of  legitimate  means (other than discovery
          based  on  a showing  of special  need  in  a judicial  or  quasi-
          judicial proceeding).

     3.   The information  is not publicly available elsewhere.

     4.   Disclosure of the  information would cause substantial harm to the
          company's  competitive position.

     Once confidentiality  is claimed,  there are stringent procedures that
must be followed.  Only persons who have  been granted special clearance may
have access to the material  in the files.

-------
                                                                  11-35
                                                                 (12/81)
Obtaining Clearance

     1.   The supervisor of the individual to be cleared contacts the Docu-
          ment Control  Officer  (DCO)  or Document Control Assistant (DCA).
          The DCO/DCA  will  complete the "Authorization for Access to TSCA
          Confidential Business Information (CBI)" form.

     2.   The DCO/DCA  will  check with  the  Personnel Office  to  determine  if
          the individual to be  cleared has had  the National Agency Check
          and Inquiries  (NACI).   If the individual has  not had an NACI,
          then those  forms  must be  completed and forwarded  to  the  Security
          and Inspection  Division in Washington  before  clearance  can be
          granted.

     3.   The individual to be  cleared accepts the employee responsibili-
          ties when signing the Confidentiality Agreement.

     4.   The NEIC Director signs as authorizing official.

     5.   The authorization  form  is  forwarded  to Washington, D.C.  and the
          individual is placed on the authorized access list.

     6.   If an employee no longer needs access  to TSCA  information or has
          terminated his/her employment, a "Confidentiality Agreement for
          United  States  Employees  Upon Termination or  Transfer" must be
          completed.

Handling TSCA CBI

     1.   Documents must be  checked out from and returned  to the DCO/DCA.
          Documents must be returned each day unless  user has approved TSCA
          document storage  facilities.

     2.   TSCA CBI can be discussed  only with authorized persons.

     3.   Information must  be safeguarded  when  in use by keeping it under
          constant  surveillance by  covering it or placing  material  face

-------
                                                                   11-36
                                                                  (12/81)
          down when  unauthorized persons enter the  area.   It must be re-
          turned to approved storage containers when not in  use.

     4.   TSCA CBI may not be reproduced.  Copies must be obtained  from the
          DCO/DCA.

     5.   TSCA CBI  cannot be destroyed except upon  approval by and under
          the supervision of the DCO.

     6.   TSCA CBI  cannot be discussed over  the  telephone without prior
          written approval.

     7.   If TSCA CBI  must be sent to  another authorized  individual,  the
          transmittal  is  accomplished  through the  respective Document Con-
          trol Officers.

     The  penalties  for violating the  required procedures  are severe.  A
"violation" is the  failure to comply with any provision  in  the  TSCA Confi-
dential Business Information Security Manual, whether or  not such  failure
leads  to  actual  unauthorized disclosure  of  TSCA  Confidential  Business
Information.

     Violators of  these  procedures  may be  removed  from the authorized
access list and be  subject to disciplinary action with penalties  up to and
including dismissal.

     Willful unauthorized disclosure of TSCA Confidential Business  Informa-
tion may subject the discloser to a fine of not more than $5,000 or impris-
onment for not more than  1 year,  or both.

     It is  essential that  personnel  be familiar with and  abide by these
requirements.   TSCA  confidential files  are   subject to  inspections  by
personnel  from the  EPA Security  and Inspection Division, as  well  as  per-
sonnel  from the Office  of the Inspector General.

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                                                                  11-37
                                                                 (12/81)
     The routine TSCA CBI security measures in the manual specify that docu-
ments are to  be  placed in double envelopes and locked in a briefcase that
remains in the sight of the inspector while on the road.   The manual recom-
mends that this  information  be mailed, shipped, or  hand delivered to an
authorized person as soon as possible.

     The briefcase may  not  be checked as luggage nor left unattended in a
hotel room.    It may be  stored  in a key-locked area for which the inspector
has the only key or in the hotel safe.

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                                                                   11-38
                                                                  (12/81)
                               EVIDENCE AUDIT
      The Evidence Audit Unit  (EAU)  provides an evaluation of enforcement
 investigation activities  for  evidentiary requirements.   This  evaluation
 addresses document control, chain-of-custody,  file  assembly,  and evidence
 security.

      The eight primary functions  of  the  EAU  are:

           Maintaining the  evidence audit file  for  each  project
           Issuing  accountable  documents  to project coordinators
           Conducting  evidence  audits  of  field  investigation activities
           Conducting  evidence  audits  of  laboratory investigation  activities
           Conducting  evidence  audits  of  document files
           Assembling  and storing  evidentiary files
           Maintaining confidential files
           Certifying  completeness of  evidentiary files
 EVIDENCE AUDIT FILE

     An evidence  audit file is maintained  for  each  project.   It  contains
 checkout  logs,  document return logs, memoranda,  audit  logbook,  and file
 certification.

 ACCOUNTABLE DOCUMENTS

     The NEIC document control  program  requires the use of serialized ac-
 countable documents for field investigations.   These documents include, but
 are not limited to,  logbooks,  field data records, sample tags, Chain-of-
Custody Records, and Receipt for Samples forms.  These  items are  issued to
the Project Coordinator's designee by the EAU.

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                                                                   11-39
                                                                  (12/81)
 EVIDENCE AUDIT OF  FIELD ACTIVITIES

     The audit of  field activities  is the evaluation, of sampling operations
 and  data  recording.   The evaluation  is  based on the project  plan,  this
 manual, instructions  by the Coordinator to  field  personnel,  and  standard
 procedures  instituted by each Branch.   The  auditor contacts the Coordi-
 nator  and  discusses  the various activities  described  in  the  project plan
 and  schedules  the audit activities  pertaining to  each field  team.   The
 auditor periodically  accompanies  the team on  their regular tour and eval-
 uates  sampling and measurement procedures.

     The auditor  works  closely with the  Project Coordinator  during  the  en-
 tire  audit process.   If deviations from standard  procedures  occur,  the
 Coordinator is notified immediately.

 EVIDENCE AUDIT OF  LABORATORY ACTIVITIES

     The laboratory activities  audit is  the evaluation of sample custody,
 laboratory procedures,  quality  assurance,  and documentation.  The evalua-
 tion is based  on  the  project plan,  this manual, and standard procedures
 instituted by  each Branch.   The audit covers  each  parameter  or task des-
 cribed in the project plan.

 EVIDENCE AUDITS OF DOCUMENT FILES

     The EAU requires submission  of all  records for inclusion in the evi-
 dentiary file  at  the  completion  of a project.   The review of  these  files
 consists of checking  document  accountability to assure that all  documents
 issued are  returned  or accounted for.   The  individual  Branch files  are
checked for completeness against the inventory.  The case  record  is checked
 for completeness  and  consistency throughout and any  discrepancies are
brought to  the  attention of the Project Coordinator.

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                                                                   11-40
                                                                  (12/81)
ASSEMBLING AND STORING EVIDENTIARY FILES

     Evidentiary  files are  assembled by each NEIC organizational unit ac-
cording  to  the  outline on Page  11-31  of  this manual.   They are  stored  in
a  secure area and may  be  checked out as needed  by  NEIC  personnel.   Records
are  periodically  sent  to  the  Federal Records Center  for storage  as  project
files become  inactive.

CONFIDENTIAL  FILES

     A separate  file is maintained for information when a  company has made
a claim  of confidentiality.   These records are labeled confidential, stored
in EAU locked filing cabinets,  and may be  checked  out to NEIC  employees  on
a  need-to-know basis.  All  incoming  confidential information  is submitted
to the EAU for log-in and distribution.

     Confidential Business Information (CBI) received under the  Toxic Sub-
stances  Control  Act (TSCA) requires strict adherence to procedures outlined
in the TSCA Confidential  Business Information Security  Manual.   Access  to
material   in  these files  is  restricted to  those  who  have received special
clearance.

CERTIFICATION OF COMPLETENESS OF EVIDENTIARY FILE

     A memorandum certifying  the completeness  of the evidentiary file is
prepared   for  the Chief,  Enforcement Specialist  Office.  This  memorandum
addresses adherence to or deviations from  NEIC policies  and procedures for
chain-of-custody, document control,  and evidence security.

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                                                                   11-41
                                                                  (12/81)
                             QUALITY ASSURANCE
     A  Quality  Assurance (QA) program is established at the NEIC to assure
 that data produced are of known and documented quality.   The authority and
 responsibility  for directing  QA activities within NEIC are  delegated to the
 QA  Officer (QAO).   QA direction and  guidance  are specified  in the  NEIC QA
 Program  Plan.   QA program  requirements  cover  all  measurement activities
 performed,  supported,  or  required by  NEIC.

 QA  PROGRAM  PLAN

     The  NEIC QA  Program Plan provides policy and guidance  for QA  activi-
 ties.  The  plan specifies measurement activities requiring QA documentation
 and data  quality  assessment for precision, accuracy,  representativeness,
 comparability,  and  completeness.   It provides  for a line of communication
 of the progress and deficiencies of QA to NEIC management.  The plan is the
 basis for conducting  system audits and  determining  adherence  to NEIC QA
 requirements.

 QA PERSONNEL

     The  Quality  Assurance  Officer's (QAO's)  responsibilities  include
 development, evaluation, and documentation of QA policies and procedures at
 NEIC.   The  QAO  is  assisted by QA Division Representatives from the Opera-
 tions and  Laboratory  Services Divisions  in implementing  and coordinating
 the QA  program.   Other personnel involved in  measurement activities are
 responsible  for carrying  out  quality assurance requiremi nts in accordance
with the  QA Program  Plan and NEIC  Standard Operating  Procedures and for
 informing the QAO  or  Division representatives  of the  need  for corrective
actions.

     The QAO develops  and conducts  system audits to monitor  the QA  program
and is  available to consult with and recommend  to the NEIC staff appropriate
and necessary QA methods and plans  for assuring the quality of data produced.

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                                                                  11-42
                                                                 (12/81)
DATA GENERATION

     QA is  applied  throughout the  entire monitoring process  to  assure  that
the data  produced  are of known and  acceptable  quality.   The QA elements
included  in  the  monitoring  activities are described  in  project plans or
Standard  Operating  Procedures  (SOPs) which are  prepared for measurement
activities conducted  by  the NEIC.   Routine tasks are  specified in SOPs.
These include:

          Sampling and analytical  methodology
          Sample holding times  and preservation
          Federal reference, equivalent,  and  alternate  test procedures
          Instrumentation selection and use
          Calibration and standardization
          Preventive and remedial  maintenance
          Replicate sampling and analysis
          Blind and spiked samples
          Data handling,  evaluation, and storage procedures

     Measurement procedures will be  in accordance with EPA regulations and
guidelines and NEIC Standard Operating Procedures.   Deviations must be jus-
tified and documented.  Adherence  to approved procedures  will be determined
during internal systems audits.

DATA PROCESSING

     To prevent  introducing errors  or losing or misinterpreting the data,
adequate  precautions  must be  taken  during the  reduction and storage of
data.

     A.    Checks will be made at data handling points between the analysts
     determining the  data values and the individual entering the data into
     the data storage system.

               All  data must be recorded  clearly and accurately in field
               logbooks or on laboratory data sheets.

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                                                                   11-43
                                                                  (12/81)
                All data  must  be transferred and reduced  from  field log-
                books  and bench sheets completely and accurately.

                All field and  bench  records  will be retained in permanent
                files.

                Whenever possible,  data will be organized into standard
                formats.



      B.    A data storage and information system will  be capable of:


                Receiving all entered data.

                Screening and validating data to identify  and reject out-
                liers  or  errors.

                Preparing,  sorting,  and entering all data  into the data
                storage  files  (which  are either computerized or manual).

                Providing stored data points  with associated QA/QC  "labels"
                which  can indicate  the level  of  confidence  or  quality of  the
                data.  These  labels  should possess the capability of:

                    Indicating  what QA/QC activities were  included  in the
                    major steps  of  the  monitoring process.

                    Quantitatively  describing the precision/accuracy of  the
                    analysis.

                    Making data  available to users as  required.  Specific
                    requirements and procedures for the above  aspects  of
                    data processing will be  described in Standard Operating
                    Procedures.
DATA QUALITY ASSESSMENT



     The quality  of  measuremenj  data generated and  processed  will  be  as-

sessed for precision, accuracy, representativeness, comparability, and com-

pleteness  based  on Standard Operating  Procedures  and available external

measures of quality (e.g., audit materials).



     EPA-approved and/or  best  available methodology will be used for data

quality assessment.   For many measurements of the NEIC, suitable methodology

must be developed and verified.

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                                                             11-44
                                                            (12/81)
Aspects of data quality which will be addressed are:

Precision - Standard Operating Procedures will contain a mechanism for
demonstrating the reproducibility of each measurement process.  Exam-
ples of activities  to  assess precision are:   replicate  samples,  co-
located monitors, and instrument checks.

Accuracy - Standard  Operating  Procedures will contain mechanisms for
demonstrating the relationship  of the  reported data compared to  the
"true"  value(s).

     Traceability of Instrumentation -  Each measurement device will  be
     assigned a  unique identification number.   Documentation shall
     identify the specific measurement device, where and when used,
     maintenance  performed,  and  the  equipment and standards used for
     calibration.

     Traceability of Standards  - Standards and each measurement device
     will  be  calibrated against a standard of known or higher accuracy
     when possible.   Calibration standards will be traceable to avail-
     able standards  of  the National  Bureau of Standards (NBS).   If NBS
     standards are not available, other available validated (primary)
     standards will  be  used.

     Traceability of Data  -  Data will be documented to allow complete
     reconstruction,  from  initial field  records  through data storage
     system retrieval.

     Methodology  -  If  available, Federal reference,  equivalent,  or
     approved alternate test methods will be used.  Other methodology
     must  be  fully documented and justified.

     Reference or Spiked Samples -  Recoveries  shall  be  within  pre-
     determined acceptance limits.  Unacceptable recoveries are iden-
     tified and documented.

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                                                                   11-45
                                                                  (12/81)
           Performance  Audits  -  NEIC  will  participate  in  the  EPA  Performance
           Audit  Programs

      Representativeness,  Comparability, Completeness  - Where  appropriate,
      statements  on  representativeness, comparability,  and  completeness  will
      be  included.

 DEFINITIONS

 ACCURACY  - the degree  of  agreement of a measurement with an  accepted  refer-
      ence  or true value.  Accuracy is expressed as (1) the difference be-
      tween the two  values,  (2)  a percentage of the reference or  true  value,
      or  (3) a ratio of the  two  values.

 AUDIT -   a systematic  check to  determine  the quality of operation of  some
      function or activity.  Audits may be of two basic types:  (1) perform-
      ance  audits in which quantitative or qualitative  data are independent-
      ly obtained for comparison with routinely obtained data in  a measure-
     ment  system, or (2)  systems audits of a qualitative nature  that con-
      sist of an onsite review of a laboratory's quality assurance system
     and physical facilities for sampling, calibration, and measurement.

 COMPARABILITY -  a measure  of the confidence with which one data set can be
     compared to another

 COMPLETENESS - a measure of the amount of valid c'ata obtained from a mea-
     surement system compared to the amount that was expected to be obtained
     under normal circumstances

 PRECISION - the degree of agreement between repeated measurements of one
     property using the same method or technique

QUALITY ASSURANCE -  the total  integrated program for assuring the relia-
     bility of monitoring and measurement data

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                                                                  11-46
                                                                 (12/81)
QUALITY ASSURANCE PROGRAM PLAN -  an orderly assembly of management poli-
     cies, objectives,  principles, and general  procedures by which an agency
     or laboratory outlines how it intends to produce quality data

QUALITY CONTROL -  the  routine application of procedures for obtaining pre-
     scribed standards  of performance in the monitoring and measurement
     process

REPRESENTATIVENESS - the degree to which data accurately and precisely rep-
     resent a characteristic of a population, parameter variations at a sam-
     pling point, or an environmental condition

STANDARD OPERATING PROCEDURE -  an operation, analysis, or action whose
     mechanics are thoroughly prescribed and documented and which is com-
     monly accepted as  the usual  or normal  method for performing certain
     routine or repetitive tasks

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            APPENDICES
A   WITNESS GUIDELINES
    PROCEDURES FOR AIR SHIPMENT
    OF ENVIRONMENTAL LABORATORY
    SAMPLES
C   SAFETY PRECAUTIONS WHEN ACCEPTING
    SAMPLES FROM OUTSIDE SOURCES

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     APPENDIX A






WITNESS GUIDELINES

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                               APPENDIX A
                           WITNESS GUIDELINES
      The following suggestions are made for prospective witnesses in
 order to lessen the fears and apprehensions which almost everyone has
 when first testifying before a board,  commission,  hearing officer,  or
 in court.   Even those who have testified previously encounter a
 certain anxiety when called for a repeat performance.   When  a witness
 is properly prepared, both with regard to the  subject  matter of
 testimony  and conduct on  the witness  stand,  there  should be  little
 fear about testifying.

      It is of utmost importance that  the witness  be thoroughly prepared
 as to  the  subject  matter  of his  testimony.   Only the witness  can
 recall  what occurred in the field  and/or laboratory and  why.   Since
 many cases are  tried substantially after field and  laboratory activities
 are  conducted,  it  is imperative  that adequate documentation  be originally
 prepared in order  that a  witness1  memory may be refreshed.  A thorough
 and  detailed  review  of all  survey  documents  is the  only  way prospective
 witnesses  can be adequately  prepared.

     In order to assist witnesses  on how  they should conduct  themselves
 the  following suggestions are given.

     The witness will be  required  to take an oath to tell nothing but
 the truth.   The important point is to  remember that there are two
ways to tell the truth—one is a  halting, stumbling, hesitant manner,  •
which makes the board member, hearing  officer,  judge or jury doubt
that the witness is telling all the facts in a truthful way;  and the
other way is in a confident, straightforward manner, which inspires faith
in what is  being said.  It is most important that the witness testify

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                                                                          A-2
                                                                        (10-79
 in the  latter manner.  To assist a witness in testifying in such a
 manner, a list of time-proven hints and aids are provided below.
GENERAL  INSTRUCTIONS FOR A WITNESS

     If you are to be a witness in a case involving testimony concern-
ing the  appearance of an object, place, condition, etc., try to refresh
your recollection by again inspecting the object, place, condition,
field notes and records, etc., before the hearing or trial.  While
making such inspection, close your eyes and try to picture the item
and recall, if you can, the important points of your testimony.   Repeat
the test until you have thoroughly familiarized yourself with the fea-
tures of your testimony that will  be given.

     Before you testify, visit a court trial or board hearing and
listen to other witnesses testifying.   This  will make you familiar
with such surroundings and help you to understand some of the things
you will come up against when you testify.   At least be present at the
hearing of the matter in which you are to testify in sufficient time
to hear other witnesses testify before you take the witness chair.
This, however, may not always be possible since, on occasion, witnesses
are excluded from the court room.

     A good witness listens to the question  and then answers calmly
and directly in a sincere manner.   The facts should be well known so
they can be communicated.   Testimony in this manner applies to cross-
examination as well as direct examination.

     Wear neat,  clean clothes when you are to testify.   Dress conserva-
tively.

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                                                                           A-3
                                                                         (10-79
      Do  not  chew gum  while  testifying  or  taking  an  oath.   Speak  clearly
 and  do not mumble.  You will  not  be permitted  to smoke while  testifying.


 DIRECT EXAMINATION

      In  a discussion  on administrative procedures,  E. Barrett Prettyman,
 Retired  Chief  Judge,  U.S. Court of Appeals  for the  District of Columbia,
 gave  the following  advice:

          The  best  form of  oral testimony is a series
          of short, accurate, and complete  statements
          of fact.  Again,  it is  to be emphasized that
          the  testimony will be read by the finder  of
          the  facts,  and that he will draw  his find-
          ings from what he reads . .  . Confused, dis-
          cursive,  incomplete statements of fact do
          not yield satisfactory  findings.

      Stand upright when taking the oath.   Pay  attention and say  "I do"
 clearly.   Do not  slouch in the witness chair.

      Do  not memorize what you are going to say as a witness.    If you
 have  prepared answers to possible questions, by all means do  not mem-
 orize such answers.    It is,  however,  very important that you  familiarize
yourself as much  as possible with the facts about which you will  be
called upon to testify.

      During your  direct examination,  you may elaborate and respond
more  fully than is advisable c i cross-examination.   However,  when
you volunteer information,  do not ramble and do not stray from the
main point raised in your lawyer's question.  The taking of testimony
is a dialogue,  not a monologue.   If your testimony concerns a spe-
cialized  technical area,  the Court or hearing board will  find it easier
to understand if  it is presented in the form of short answers  to  a

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 logical progression of questions.  In addition, by letting your lawyer
 control the direction of your testimony, you will avoid making remarks
 which are  legally objectionable or tactically unwise.

     Be serious at all times.  Avoid laughing and talking about the
 case in the halls, restrooms or any place in the building where the
 hearing or trial is being held.

     While testifying, talk to the judge, hearing officer or jury.
 Look at him or them most of the time, and speak frankly and openly
 as you would to any friend or neighbor.   Do not cover your mouth with
 your hand.  Speak clearly and loudly enough so that anyone in the
 hearing room or courtroom can hear you easily.   At all times make cer-
 tain that the reporter taking the verbatim record of your testimony
 is able to hear you and record what you actually say.  The case will
 be decided entirely on the words that are finally reported as having
 been the testimony given at the hearing or trial.   Always make sure
 that you give a complete statement in a complete sentence.   Half
 statements or incomplete sentences may convey your thought in the con-
 text of the hearing,  but may be unintelligible when read from the cold
 record many months later.
CROSS EXAMINATION

     Concerning cross-examination,  Judge Prettyman gives the following
advice to prospective witnesses:

          Don't argue.   Don't fence.   Don't guess.   Don't
          make wisecracks.  Don't  take sides.   Don't get
          irritated.   Think first,  then speak.   If you do
          not know the answer but have an opinion or be-
          lief on the subject based on information, say
          exactly that and  let the  hearing officer decide
          whether you shall  or shall  not give such infor-
          mation as you have.   If a 'yes or no1  answer to
          a question  is demanded  but you think that a

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                                                                          A-5
                                                                         (10-79
           qualification should be made to any such answer,
           give the  'yes or no1 and at once request per-
           mission to explain your answer.  Don't worry
           about the effect an answer may have.  Don't worry
           about being bulldozed or embarrassed; counsel
           will protect you.  If you know the answer to a
           question, state it as precisely and succinctly
           as you can.  The best protection against exten-
           sive cross-examination is to be brief, absolutely
           accurate, and entirely calm.
     The hearing officer, board member or jury wants only the facts,

 not hearsay, conclusions, or opinions.  You usually will not be allowed

 to testify about what someone else has told you.


     Always be polite, even to the attorney for the opposing party.


     Do not be a smart aleck or cocky witness.  This will lose you the

 respect and objectivity of the trier of the facts in the case.


     Do not exaggerate or embroider your testimony.


     Stop instantly when the judge, hearing officer or board member

 interrupts, or when the other attorney objects to what you say.   Do
 not try to sneak your answer in.


     Do not nod your head for a "yes" or "no"  answer.   Speak out clearly.
The reporter must hear an answer to record it.


     If the question is about distances or time and your answer is only

an estimate,  be certain that you say it is only an estimate.
                                                                        «

     Listen carefully to the question asked of you.   No matter how nice

the other attorney may seem on cross-examination,  he may be trying to

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                                                                          A-6
                                                                        (10-79
 hurt you  as a witness.  Understand the question.  Have it repeated if
 necessary; then give a thoughtful, considered answer.  Do not give a
 snap answer without thinking.  You cannot be rushed  into answering,
 although, of course, it would look bad to take so much time on each
 question  that the board member, hearing officer or jury would think
 that you  are making up the answers.

     Answer the question that is asked--not the question that you
 think  the examiner (particularly the cross-examiner) intended to ask.
 The printed record shows only the question asked, not what was in
 the examiner's mind and a nonresponsive answer may be very detrimental
 to your side's case.   This situation exists when the witness thinks
 "I know what he is after but he hasn't asked for it."  Answer only
 what is asked.

     Explain your answers if necessary.   This is better than a simple
 "yes"  or "no."  Give an answer in your own words.   If a question can-
 not be answered truthfully with a "yes"  or "no," you have a right to
 explain the answer.

     Answer directly and simply the question asked you and then stop.
 Never volunteer information.

     If by chance your answer was wrong,  correct it immediately;  if
your answer was not clear,  clarify i- immediately.

     You are sworn to tell  the truth.   Tell  it.   Every material  truth
 should be readily admitted,  even if not  to the  advantage  of the party
 for whom you are testifying.   Do not stop  to figure out whether your
answer will  help or hurt your side.   Just  answer the question to  the
best of your ability.

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                                                                           A-7
                                                                         (10-7f
      Give positive,  definite answers  when  at  all  possible.   Avoid  saying
 "I think," "I  believe,"  "in  my  opinion."   If  you  do  not  Know,  say  so.
 Do not make up an answer.  You  can  be positive  about the  important
 things which you  naturally would  remember.  If  asked about  little  details
 which a person naturally would  not  remember,  it is best  to  say that you
 do not remember.

      Do not act nervous.   Avoid mannerisms which  will make  it  appear
 that  you are scared,  or  not  telling the truth,  or all that you  know.

      Above all, it is most important  that you do  not  lose your  temper.
 Testifying at  length  is  tiring.   It causes fatigue.   You will  recognize
 fatigue by certain symptoms:   (a) tiredness,  (b)  crossness,  (c) nervous-
 ness,  (d)  anger,  (e)  careless answers, (f) willingness to say  anything
 or answer  any  question in  order to leave the witness  stand.  When you
 feel  these  symptoms,  recognize them and strive  to overcome fatigue.
 Remember that  some attorneys on cross-examination are trying to wear
 you out so you will lose your temper  and say things that are not correct,
 or that will hurt you or your testimony.   Do not  let  this happen.

      If you  do not want to answer a question,  do not ask the judge,
 hearing officer or board member whether you must answer it.  If it is
 an  improper  question, your attorney will  object for you.   Do not ask
 the presiding officer, judge  or board member for advice.

     Do not  look at your attorney  or at the judge, hearing officer or
board member for help in answering a question.  You are on your own.
If the question is an improper one,  your  attorney  will object.   If the
judge, hearing  officer or board  member then says to answer it,  do  so.

     Do not hedge  or  argue with  the  opposing attorney.

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                                                                          A-8
                                                                        (10-79
     There are several questions which are known as "trick questions."
That is, if you answer them the way the opposing attorney hopes you
will, he can make your answer sound bad.   Here are two of them:

     "Have you talked to anybody about this matter?"  If you say "no,"
the hearing officer or board member, or a seasoned jury, will know that
is not right because good lawyers always talk to the witnesses before
they testify.  If you say "yes," the lawyer may try to imply that you
were told what to say.  The best thing to say is that you have talked
to Mr.  	,  your lawyer, to the appellant, etc., and that you
were just asked what the facts were.  All we want you to do is simply
tell the truth.

     "Are you getting paid to testify in this appeal?"  The lawyer ask-
ing this hopes your answer will  be "yes," thereby implying that you
are being paid to say what your side wants you to say.   Your answer
should be something like "No, I  am not getting paid to testify; I am
only getting compensation for my time off from work, and the expense
it is costing me to be here."

     In addition to the above suggestions and guidelines, several addi-
tional  references are  available  for further background:

     Expert Witnesses  and Environmental  Litigation, J.  L. Sullivan
     and R.  J.  Roberts,  Journal  of the Air Pollution Control  Assoc
     April  1975,  Vol.  25,  No.  4.
     Environmental  Litigation and the In-House Engineer,  F.  Finn;
     R.  C.  Heidrick;  K.  Thompson, Journal  of the Air Pollution
     Control  Assoc.,  Feb.  1977,  Vol.  27,  No.  2.
     Essentials of  Cross-Examination,  Leo R.  Friedman,  CEB 1968.

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            APPENDIX B
PROCEDURES FOR AIR SHIPMENT OF
ENVIRONMENTAL LABORATORY SAMPLES

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                              APPENDIX B
                    PROCEDURES FOR AIR SHIPMENT OF
                   ENVIRONMENTAL LABORATORY SAMPLES
     Many NEIC surveys require shipment of environmental  samples  by
air from field locations to NEIODenver laboratories  to meet required
EPA holding times.   Environmental  samples  collected during water  surveys
are categorized as:   drinking water,  ambient water, effluent,  biological
sediment, sludge,  and other environmental  laboratory  samples.   Unless
noted,  the following NEIC procedures  comply with Department of Transpor-
tation  (DOT) regulations for packaging and shipping.

     1.    Unpreserved drinking water,  ambient water,  effluent, bio-
          logical  sediment and sludge  samples.

          Normal  unpreserved environmental  samples  collected by EPA
          employees  are not regulated  under DOT Hazardous Transporation .
          Regulations and may be  shipped using NEIC packaging and
          handling procedures for shipment of non-hazardous samples.

     2.    Preserved  drinking water, ambient water,  effluent,  biolog-
          ical  sediment and sludge samples.

          Table 1  lists the common preservatives and  preservation
          techniques used by EPA  and  listed in the  Hazardous  Material
          Table,  49  CFR £172.101.   Samples  preserved  in the recommended
          manner  may be shipped using  current NEIC  packaging  and  hand-
          ling  procedures for shipment of  non-hazardous samples.

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                                                                        TABLE 1

                                               Standard Preservatives Listed in the Hazardous  Materials
                                            Table (49 CFR 4172.101)  used by EPA for Preservation of Water,
                                                   Effluent,  Biological  Sediment and Sludge Samples
Preservative
HC1
HgCl2
HN03
H2S04
NaOH
H2P04
Freezing
0°C
(Dry Ice)
Sample Type/
Parameter
Organic Carbon
Nitrogen Species
*Metals, Hardness
Nitruyen Species
COD, Oil & Grease
P (hydrolyzable)
Organic Carbon
Cyanides
Phenol ics
Biological -
Fish & Shellfish
Tissue**
pH Quantity of
Recommendation Preservative Added
<2 (r1.9) 2 ml of 1:1
N.A. 40 mg
<2(-1.6) 3 ml of 1:1
<2(~1.15) 2 ml of 36N
>12 (-12.3) 2 ml of ION
<4 Sufficient to
yield desired pH
N.A. N.A.
Weight % of
Preservation
0.04%
0.004%
0.15%
0.35%
0.080%

N.A.
Hazard Class
Corrosive
Material
Poison B
Oxidizer;
Corrosive
Material
Corrosive
Material
Corrosive
Material
Corrosive
Material
ORM-A
Label
Corrosive
Poison
Oxidizer and
Corrosive; 0.
& Poison;
Corrosive
Corrosive
Corrosive
Corrosive
None
Packaging
Exceptions
173.244
173.364
None
173.244
173.244
173.244
None
(49 CFR) Specific
Requirements
173.263
173.372
173.268
173.272
173.248
173.245(b)
173.249
173.245
173.615
 * If sample must be shipped by passenger aircraft  or  railcar,  the  sample  may  be  initially  preserved  by  icing  and  immediately  shipping  it  to  the
   laboratory.   Upon receipt in the laboratory,  the sample  must be  acidified with cone,  HN03  to  pH  2.  At  time  of  analysis,  sample  container  should
   be thoroughly rinsed with 1:1 HN03;  washings  should be added to  sample.

** Dry ice is classified as a ORM-A hazard by DOT.   There  is  no labeling requirements  for samples preserved with dry  ice, but  samples must be
   packaged in accordance with the requirements  of  49  CFR 173.615 and  advance  arrangements  must  be  made  between the shipper  and  the air carrier.
                                                                                                                                                o co
                                                                                                                                                 i   i
                                                                                                                                                -^i ro

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                                                                  B-3
                                                                (10-79)
3.   Reagents

     Reagents which are designated as hazardous by DOT's Hazardous
     Material Table, 49, CFR 4172.101, shall be shipped pursuant
     to the appropriate DOT regulations.   The shipper (NEIC) is
     required to determine if an individually shipped reagent is
     likely to be classified as a hazardous material when it is
     not listed in the DOT Table.  Nitric acid in any concentration
     is forbidden on passenger-carrying aircraft or rail car.

     For investigations where nitric acid must be used for metals
     preservation, means other than transport by passenger-carrying
     aircraft or railcar must be used to  transport the acid to
     the site of investigation.

4.   Other Samples

     Some environmental  samples  collected by EPA employees,  such
     as leachates, untreated process materials or samples from
     spill  investigations,  may contain concentrations of contami-
     nants  in excess of those normally encountered in preserved
     drinking water, ambient water,  effluent,  biological  sediment
     and sludge  samples.   If such samples are  collected  and shipped
     by air,  and the technical  name  of a  sample  contaminant ma-
     terial  is known,  and  if the contaminant material  is  desig-
     nated  in the  Hazardous  Materials  Table,  it  must be  shipped
     pursuant to applicable  DOT  Hazardous Materials  regulations.
     If the  technical  name  of the sample  contaminant material is
     not known,  the  DOT  regulations  place the  burden on  the  shipper
     to determine  if the sample  meets  the definition of  a hazardous"
     material.   In the  case  of samples  being forwarded to a  labora-
     tory for analysis,  it  is  assumed  that the shipper would
     have some information concerning  the sample

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                                                             B-4
                                                           (10-79)
and based on that information, be able to make a reasonable
determination whether the sample is likely to be classified
a hazardous material.  When a reasonable doubt exists as to
whether a sample is subject to DOT regulations, the shipper
should consult the Hazardous Materials Transportation Coordi-
nator as to the appropriate procedures to follow in the
shipment of the sample.

When a sample is not listed in DOT's Hazardous Materials
Table, 40 CFR £172.101,  it is necessary for a shipper to
make a reasonable determination whether the sample is likely
to be classified as a hazardous material.   The following
classes of hazardous materials must be considered and they
are listed below in the  order of greatest concern,  40 CFR
£173.3.
     Radioactive material
     Poison A
     Flammable gas
     Non-flammable gas
     Flammable liquid
     Oxidizer
     Flammable solid
     Corrosive material  (liquid)
     Poison B
     Corrosive material  (solid)
     Irr-'tating materials
     Combustible liquid  (in  containers  having  capacities
       exceeding 110 gallons)
     ORM-B  (other regulated  material,  i.e.,  barium  oxide,
       calcium oxide, copper chloride)
     ORM-A  (i.e.,  dry ice, carbon  tetrachloride,  chloroform,
       DDT,  dieldrin, formaldehyde,  lindane, malathion, naptha-
       lene,  vinyl  acetate)
     Combustible liquid  (in  containers  having  capacities of
       110  gallons  or less)

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                                                                                          B-5
                                                                                        (10-79)
C
                        The above hazards likely to be applicable to NEIC survey sam-
                        ples as defined by DOT regulations  are as follows:
                        Poison A (49 CFR 173.326) - Poisonous  gases  or liquids  of such
                        nature that a very small  amount of  gas,  or vapor of  the liquid
                        mixed with air is dangerous to life.   This class include the
                        following:
                             Bromacetone
                             Cyanogen
                             Cyanogen chloride containing less  than  0.9% water
                             Diphosgene
                             Ethyldichlorarsine
                             Hydrocyanic acid
                             Methyldichlorats i ne
                             Nitrogen  peroxide  (tetroxide)
                             Phosgene  (diphosgene)
                             (Nitrogen  tetroxide - nitric oxide
                             Mixtures  containing  up to 33.2% weight  nitric oxide

                        Flammable  liquid  [49 CFR  173.115(a)] - "Any  liquid having a
                        flash point* below 100°C  (37.8°F) ..."  Some of the flammable
                        liquids listed  in DOT's Hazardous Materials are acetone, alcohol
                        n.o.s. (not otherwise specified), benzene, cyclopentane, hexane,
                        ink, methyl alcohol, methyl ethyl ketone, toluene, and xylene.

                       Oxidizer (49 CFR 173.151) - "A substance such as a chlorate,
                       permanganate, inorganic peroxide, nitro carbo nitrate,  or a ni-
                       trate that yields oxygen readily to  stimulate the combustion of
                       organic matter.-

                       Corrosive materials (49 CFR 173.240) -  "A liquid ...  that causes
                       visible destruction or  irreversible  alterations in human skin
                          Flash  point  means  the minimum  temperature  at which  a  substance
                          gives  off vapors which  in  contact with  spark or  flame will
                          ignite, 49 CFR  171.8.

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                                                                                          B-6
                                                                                        (10-79)
C
                        tissue at the site of contact,  or in the case of leakage from
                        its packaging,  ...  that has a severe corrosion rate of steel."

                        Poison B (49 CFR 173.343)  - "Those substances, liquid or solid
                        (including pastes and semisolids), other than Class A poisons
                        or Irritating Materials, which  are known to  be so toxic to man
                        as to afford a  hazard to health during transporation; or which,
                        in the absence  of adequate data on human toxicity,  are presumed
                        to be toxic to  man  because they fall  within  any one of the follow-
                        ing categories  when tested on laboratory animals:
                             Oral  toxicity  ....
                             Toxicity on inhalation ....
                             Toxicity by skin  absorption  	

                        Examples  taken  from DOT's  Hazardous Material  Table  include  aldrin,
£                      copper  cyanide,  mecuric acetate,  nitroaniline,  thiophosgene and
                        zinc  arsenate.   The  foregoing categories  shall  not  apply  if the
                        "Pnys'1'ca'' characteristics  or  the  probable hazards to  humans as
                        shown by. experience  indicate  that  the  substances will  not cause
                        serious sickness oj^  death.  "

                        Irritating Material  (49 CFR 173.381) - "A liquid or solid sub-
                        stance which  upon contact with fire or when exposed to air gives
                       off dangerous or intensely  irritating fu-nes,  such as brombenzyl-
                       cyanide, chloracetophenone, diphenylaminechlorarsine, and diphenyl-
                       chlorarsine, but not including any poisonous  material, Class A."

                       Combustible liquids [49 CFR 173.115(b)] - Any liquid that ....
                       has a flash point at or above 100°F (37.8°C)  and below 200°F
                       (93.3°C) ..."  Examples of combustible liquids include alcohol-
                       n.o.s.,  benzaldehyde, camphor oil, chlordane-liquid, creosote-
                       coal tar,  fuel oil,  pine oil,  road oil, and wax-liquid.

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                                                                       B-7
                                                                     (10-79)
     Etiological agent (49 CFR 173.386) - a viable microorganism or
     its toxin, which causes or may cause human disease.  A "diagnos-
     tic specimen" means any human or animal material including, but
     not limited to, excreta, secreta, blood, and its components, tis-
     sue, and tissue fluids being shipped for purposes of diagnosis.
     The list of etiological agents in the Department of Health, Edu-
     cation and Welfare (HEW) regulations, 42 CFR 72.25(c), includes
     bacterial, fungal, and viral agents and would cover organisms
     found in sewage, human and animal waste.  Diagnostic specimens
     of etiological agents are excepted from DOT hazardous materials
     regulations but HEW requires an etiological agent label to be
     affixed to all packages which contain etiological agents.  How-
     ever, so long as the shipper does not have reason to believe
     that viable disease-causing organisms are present in a sample
     based on the company's NPDES permit and DMR data, then the
     sample will not be considered an etiological agent.  Therefore,
     the sample will not require an HEW etiological  label and may be
     shipped pursuant to NEIC packing and handling procedures for
     shipment of non-hazardous samples.

     The Clean Water Act (Section 311(b)(2)) requires the identification
of hazardous substances which present an imminent and substantial danger
to the public health and welfare.   DOT has proposed that any substances
not previously listed in the Hazardous Material  Table be classified as
ORM-E.   The EPA Safety Manual  for Hazardous Waste Site Investigations*
details procedures for transporting unknown hazardous waste materials
samples.
NEIC Packaging and Handling Procedures for Shipment of
Non-Hazardous Samples

     The basic guidelines for NEIC packaging procedures meet DOT stan-
dard requirements for all packages as specified in 49 CFR 173.24, e.g.
   In DRAFT circulation at time of this printing.

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                                                                       B-8
                                                                     (10-79)
     Each package ... shall be so designed and constructed, and its
     contents so limited, that under conditions normally incident to
     transportation:
          There will be no significant release of ... materials to
          the environment.

          the effectiveness of the packaging will not be substantially
          reduced; and

          there will be no mixture of gases or vapors in the package
          which could, through any credible spontaneous increase of
          heat or pressure, or through an explosion,  significantly
          reduce the effectiveness of the packaging.

In addition, shipments by air must meet the requirements at 49 CFR
Section 173.6:
     Each package ...  shall  be so designed and constructed,  and its
     contents so limited,  that under conditions normally incident  to
     transportation,
          There  will be  no significant release of ...  materials to the
          environment.

          Inner  containers that are  breakable  (such as earthenware,
          gliss,  or  brittle  plastic),  must be  packaged to prevent
          breakage and  leakage under conditions normally incident
          to transportation.   These  completed  packagings must  be
          capable  of withstanding a  4-foot drop on solid concrete
          in the  position  most likely  to  cause damage.   Cushioning
          and absorbent materials must  not be  capable  of reacting
          dangerously with the contents  ....

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                                                                       B-9
                                                                     (10-79)
           For  any packaging with a capacity of 110 gallons or less
           containing  liquids, sufficient outage (ullage) must be provi-
           ded  to prevent liquid contents from completely filling the
           packaging at  130°F.  The primary packaging (which may include
           composite packaging), for which retention of the liquid is
           the  basic function, must be capable of withstanding, without
           leakage, an internal absolute pressure of no less than 26
           Ibs/sq inch or no less than the sum of the absolute vapor
           pressure of the contents at 130°F (55°C) and,

           Stoppers, corks, or other such friction-type closures must
           be held securely, tightly, and effectively in place with
           wire, tape, or other positive means.  Each screw-type clo-
           sure or any inside plastic packaging must be secured to
           prevent the closure from loosening due to vibration or sub-
           stantial changes in temperature.

     Present NEIC custody procedures require samples to be placed in
locked metal picnic coolers with hard plastic liners.   EPA analytical
methods recommend that samples be preserved with ice or below a temper-
ature of 4°C.  These must be adhered to in addition to the following
packaging  procedures based on the above DOT guidelines.

     Samples in quart-size and smaller glass bottles should be en-
closed in  styrofoam packaging and sealed with filament reinforced
tape.  In  the case of the 1-gallon bottles  used for non-preserved
organic samples, carved styrofoam sheets at the top and bottom will
be used to hold the bottle in place.   A picnic cooler containing plastic
16-ounce bottles and ice was dropped three  times  from a distance of
four feet and did not experience any leakage nor  damage to the inside
bottles.   This indicates that it affords the type of sturdy protection
which is the goal  of 49 CFR 173.24 and 173.6.   Therefore,  16  ounce
polyethylene bottles will  be used for samples containing acid preserva-
tives and the bottles  will  not require additional  styrofoam enclosures.

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                                                                                          B-10
                                                                                        (10-79)
                   The  caps  will  be  tightly  screwed  on  before  being  placed  in  the  cooler.
                   Small  volatile  organics glass  bottle samples will  be  placed inside
                   quart  cubic  containers to  prevent breakage.  Plastic  containers  and
                   quart-size glass  bottles  (enclosed in  styrofoam containers) will  be
                   put  into  large  heavy-duty  plastic bags  inside  the  cooler, ice will be
                   placed around  the  samples  and  the bags  will be tightly closed.   The
                   cooler drainage hole must  be secured to prevent leakage.  All sides
                   of the cooler will  have arrows which indicate  the  proper upward  posi-
                   tion of the  cooler  and a "THIS SIDE  UP" sticker will  be placed on
                   top.   Following these packaging procedures, will minimize to the great-
                   est degree presently possible, any harm which  could occur from trans-
                   portation of NEIC  environmental samples in  commerce.
C

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           APPENDIX C
SAFETY PRECAUTIONS WHEN ACCEPTING
 SAMPLES FROM OUTSIDE SOURCES

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                                               APPENDIX C
                                           SAFETY PRECAUTIONS
                                                  WHEN
                                 ACCEPTING SAMPLES FROM OUTSIDE SOURCES
                       In  order to minimize hazards to NEIC analytical personnel and to
                  prevent  laboratory contamination, procedures for collection and
                  transportation of samples for analysis by the NEIC  laboratory are as
                  follows:

                       1.   NEIC will accept potentially dangerous samples only in
                           cases where there has been active participation in the
                           planning and execution of the sampling program by a des-
                           ignated NEIC staff member.*  Such active participation must
                           include full sharing of knowledge relative to process,
                           previous analytical data, and other information relative to
                           the characteristics of the material to be sampled.

                       2.   Samples from municipal sewage treatment plants or the
                           ambient environment will be accepted only after detailed
                           discussion and agreement between the Regional project
                           coodinator and the NEIC Chemistry Branch Chief or his
                           representative.  This exchange of information must include
                           a positive sample identification scheme, full discussion of
                           known characteristics of the material  sampled, and sample
                           preservation and shipment procedures.   Except in emergency
                           situations such agreement will  be confirmed in writing by
                           NEIC prior to sampling.
                    *    In an emergency precluding participation of NEIC personnel,
,                        procedures can be worked out by a telcon.

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                                                                                         C-2
                                                                                       (10-79)
                       3.    Submission  of unusual  or  non-routine  kinds  of  samples,
                            i.e.,  bag samples  of  gaseous  emissions,  core samples  from
                            landfills,  etc., will  be  governed  by  procedures  similar  to
                            those  in  item 2 above.  However, if there is a possibility
                            of toxic  exposure,  the procedures  in  item 1 will  be followed.
r

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