UK Department for Business, Energy & Industrial Strategy

06/18/2021 | Press release | Distributed by Public on 06/18/2021 01:51

Oil and gas: offshore environmental legislation

Conservation of Offshore Marine Habitats and Species Regulations 2017

Whilst the Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001 (as amended) set down the obligations for the assessment of the impact of offshore oil and gas activities (including gas and carbon dioxide unloading and storage activities) on habitats and species protected under Council Directive 2009/147/EC (the codified version of the Birds Directive) and Council Directive 92/43/EEC (the Habitats Directive), the Conservation of Offshore Marine Habitats and Species Regulations 2017 are the governing legislation for implementation of a number of the other requirements contained in the Directives. The Regulations apply to the 'offshore area' outside UK territorial waters, i.e. the area greater than 12 nautical miles from the landward baseline of the territorial sea, and are commonly referred to as the Offshore Habitats Regulations.

The Conservation of Offshore Marine Habitats and Species Regulations 2017 consolidate the provisions contained in the Offshore Marine Conservation (Natural Habitats, &c.) Regulations 2007 and subsequent amending instruments, and make minor modifications reflecting changes to related legislation. The Regulations include provisions for the designation and protection of areas that host important habitats and species in the offshore marine area. Once designated, these sites are called Special Areas of Conservation (), for the protection of certain habitats and marine species; and Special Protection Areas (), for the protection of certain wild bird species. The Regulations also implement assessment obligations for marine industry activities other than offshore oil and gas; introduce a licensing system for any marine activities that could kill or injure protected species, or could deliberately disturb protected species in such a way as to be likely to impair their ability to survive, breed, or rear or nurture their young, or in the case of animals of a hibernating or migratory species, to hibernate or migrate; or could significantly affect the local distribution or abundance of that species. The Regulations also include provisions requiring competent authorities to take steps to preserve and re-establish a sufficient diversity and area of habitat for wild birds and also impose a duty upon them to use all reasonable endeavours to avoid pollution or deterioration of wild bird habitat. The Regulations also include provisions relating to a number of offences that aim to prevent environmentally damaging activities.

The most important provisions of the regulations in relation to environmental submissions to the Department are contained in Part 5, which provides powers to issue licences for specific activities that could result in the injury or disturbance of European Protected Species (EPS injury or disturbance licences) and the potential to issue wild birds licences (providing certain licensing tests are met).

Part 3 of the Conservation of Offshore Marine Habitats & Species Regulations 2017, and in particular regulation 40, gives protection to wild birds, their eggs and nests in UK offshore waters. This means that certain activities may be restricted or prohibited at specific times of the year (and will depend on the species of wild bird that may be present and/or in the geographical area). therefore strongly advise that industry consider whether the presence of wild birds may affect their proposed activities, including decommissioning and plug and abandonment activities (for example, rig mobilisation). In some cases, there may be potential to make an application for a wild birds licence under regulation 55 (providing certain licensing tests are met). All environmental applications made to the Department, including Environmental Appraisals and Environmental Assessment Justifications, should include baseline information on relevant bird species and populations (and details of protected sites, as appropriate) and assess the effects of the proposed activities, accordingly.

The Department is working on advice and information on the protection of wild birds, their eggs and nests in UK offshore waters for industry and this will be published in due course. In the meantime, the Department is working closely with industry on specific cases. Please contact the appropriate Environmental Manager who will assist with any queries.

Casework to date has indicated that black-legged kittiwakes are the predominant bird species exploiting nesting opportunities on offshore installations (typically those in lighthouse mode prior to dismantlement). It is also recognised that gathering nesting bird data for offshore installations is challenging. As a first step asked the Joint Nature Conservation Committee () to provide an advice note on kittiwake survey methods for offshore installations and this is now available in the guidance section below (with the associated recording forms available as a separate Word document). It should be noted that this advice note is advice at this time (March 2021). It is recognised that the survey methods need full testing offshore and where necessary updates will be considered based on feedback provided. Industry should consider their specific circumstances and discuss potential survey plans as they are being developed with the appropriate Environmental Manager, particularly if there are any proposed changes from the advised kittiwake survey methods or if survey methods for other bird species are being considered.

have also provided with a signposting document containing information and resources for black-legged kittiwakes that should be used by industry in the relevant environmental applications. The inclusion of other, more recent evidence is also encouraged in applications. The kittiwake signposting document is available in the guidance section below.

Regulations

Guidance

Other Useful Information

  • Relevant general information in relation to environmental sensitivities and conservation issues can be found in the entries for the Offshore Petroleum Production and Pipe-lines (Assessment of Environmental Effects) Regulations 1999 and the Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001.
  • Information relating to marine nature conservation and wildlife licensing for internal and territorial waters adjacent to Northern Ireland can be found here
  • Information relating to marine nature conservation and wildlife licensing for internal and territorial waters adjacent to Scotland can be found here and here
  • Information relating to marine nature conservation and wildlife licensing for internal and territorial waters adjacent to Wales can be found here

Applications and determinations

  • Applications for EPS injury or disturbance licences for activities in waters adjacent to England or in the offshore area adjacent to Northern Ireland, Scotland and Wales are submitted and processed via the UK Energy Portal
  • Applications can be submitted via a standalone application (SA), where the survey is not linked with any other activity requiring a UK Energy Portal application, or via a Subsidiary Application Templates () if the survey is linked to another activity, e.g. a relevant geological survey application ().
  • Interested parties can review records of EPS injury or disturbance licence applications, and any relevant decisions made under the Offshore Habitats Regulations
  • EPS / disturbance licensing for activities in internal or territorial waters adjacent to Northern Ireland, Scotland and Wales is the responsibility of the relevant devolved administration, and potential applicants should contact the relevant licensing body.

Reporting requirements

EPS injury or disturbance licences are currently only required for acoustic surveys where the Joint Nature Conservation Committee () or another Statutory Nature Conservation Body has advised that the applicant for a consent for a geological survey must also obtain an EPS injury or disturbance licence. Under such circumstances, the reporting requirements detailed in the survey consent are sufficient to additionally cover the EPS injury or disturbance licence requirements, and there are no additional reporting requirements.

Project reports

Habitats Regulations Assessments undertaken by the Department for acoustic geological surveys are detailed in the entry for the Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001, and the assessments relating to EPS will include injury or disturbance assessments.

For further information please contact the Business Support Team by e mail at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager

Control of Mercury (Enforcement) Regulations 2017

EU Regulation 2017/852 was adopted by Member States on 17 May 2017 to enable ratification of the United Nations' Minamata Convention on Mercury.

As an EU Regulation its provisions are directly applicable in UK law by The Control of Mercury (Enforcement) Regulations 2017 and apply (as appropriate) to all offshore installations that carry out activities such as oil and gas production, and gas and carbon dioxide unloading/storage.

It is important to note that is not the competent authority for these Regulations for offshore oil and gas installations however may provide assistance to the competent authorities (Environment Agency and Scottish Environment Protection Agency). This assistance will include seeking information from installation operators relating to mercury waste generated on offshore installations and, if requested by the competent authorities, inspect offshore installations to investigate any alleged contraventions of the Regulations.

The information available on this website only provides guidance on the provisions of the Regulations where provides assistance to competent authorities specific to the offshore oil and gas industry. Readers should consult the relevant competent authorities (SEPA and EA) websites for additional information such as the competent authorities approach to enforcement and offences.

Regulations

Guidance

Other Useful Information

Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010

The Energy Act 2008 makes provision under Part 1, Chapter 2 for the regulation of gas importation and storage through a licensing and enforcement regime for combustible gas. The Offshore Gas Storage and Unloading (Licensing) Regulations 2009, made under Part 1 of the Energy Act 2008, came into force on the 13 November 2009.

The Energy Act 2008 also makes provision under Part 1, Chapter 3 for the regulation of the storage of carbon dioxide (with a view to its permanent disposal or as an interim measure prior to its permanent disposal), through a licensing and enforcement regime. The Storage of Carbon Dioxide (Licensing etc.) Regulations 2010, made under Part 1 of the Energy Act 2008, came into force on the 01 October 2010.

Following enactment of the Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010, which came into force on 01 July 2010 the provisions of the following regulations now also apply to gas unloading and storage, and carbon dioxide storage as they do to oil and gas activities. This extension is, however, subject to geographical limitations to reflect the different devolution settlements relating to offshore activities.

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager.

  • The Offshore Petroleum Production and Pipelines (Assessment of Environmental Effects) Regulations 1999 (as amended)
  • The Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001 (as amended)
  • The Offshore Marine Conservation (Natural Habitats, & c.) Regulations 2007 (as amended)
  • The Offshore Combustion Installations (Prevention and Control of Pollution) Regulations 2001 (as amended)
  • The Offshore Installations (Emergency Pollution Control) Regulations 2002 (as amended)
  • The Offshore Chemical Regulations 2002 (as amended)
  • The Greenhouse Gas Emissions Trading Scheme Regulations 2005 (as amended)
  • The Offshore Petroleum Activities (Oil Pollution Prevention and Control) Regulations 2005 (as amended)
  • The REACH Enforcement Regulations 2008 (as amended)
  • The Fluorinated Greenhouse Gases Regulations 2009 (as amended)

The Order

Energy Act 2008, Part 4A Consent to Locate

The Department assumed responsibility for administration of Section 34 of the Coast Protection Act 1949 () in relation to offshore oil and gas operations on behalf of the Department for Transport () in October 2005.

In April 2011, the Consent to Locate () provisions of Section 34 of the were incorporated into the Marine and Coastal Access Act 2009 (). The provided a regulatory framework for a new marine licensing regime that included consideration of works that could be detrimental to safe navigation.

Although the licensing regime applies to a number of offshore oil and gas operations, including the disturbance of the seabed and deposit and removal of substances or articles during the course of decommissioning operations, Section 77 of the excludes the vast majority of offshore oil and gas operations and carbon dioxide storage operations controlled under the Petroleum Act 1998 (PA) or the Energy Act 2008 (EA).

To maintain the navigational provisions for these excluded operations, Section 314 of the created a new Part 4A of the EA, transferring the provisions of Section 34 of the to the EA and transferring regulatory competence from to (now the Department for Business, Energy and Industrial Strategy, Offshore Petroleum Regulator for Environment and Decommissioning ()).

The granting of a to an individual or organisation by the Secretary of State under Part 4A of the EA allows the installation of an offshore structure or the carrying out of offshore operations providing they are undertaken in accordance with the consent conditions. It allows the Department to require the provision of navigational markings that are considered appropriate for the proposed structure or operations.

Separate requirements relating to the clear identification of installations are included in the Offshore Installations and Pipeline Works (Management and Administration) Regulations 1995.

Legislation

Guidance

The Department revised the procedures that were in place under the , to ensure that the consenting process under Part 4A of the EA reflected the specific requirements of the operations that are covered by the exclusion. The revision accounted for requirements set out in Part 4A of the EA and the development of offshore practices that were not envisaged when the was drafted. It also took account of the views of the bodies consulted on navigational matters.

The new consenting process was subject to consultation, and copies of the consultation document and the Department's response are attached below.

Detailed guidance is currently being developed to replace the consultation documentation. It will address comments received further to the consultation, and issues that have been identified since the implementation of the EA regime.

Pending publication of the guidance, if you require additional information please contact the Business Support Team by e-mail at [email protected] or (01224) 254138 or contact your assigned Environmental Manager.

Other useful information

The General Lighthouse Authorities (GLAs) responsible for navigational safety matters in UK waters are Trinity House (TH), the Northern Lighthouse Board (NLB) and the Commissioner of Irish Lights (CIL).

Navigational marking requirements are detailed in a Standard Marking Schedule (SMS) attached to the consents, and are based on international standards, recommendations and guidelines produced by the International Association of Marine Aids to Navigation and Lighthouse Authorities (IALA, previously known as the International Association of Lighthouse Authorities).

The SMS and the conditions attached to the consents are currently being reviewed, and the above document will be replaced when the new schedule proposals have been agreed with relevant navigational consultees.

Applications and determinations

Applications for a are submitted to and processed via the UK Energy Portal, including the completion of any relevant consultations and the issuing of the Department's decision.

Applications submitted to the Department and the associated decisions made by the Department can be viewed at on the GOV.UK website at Oil and Gas: submissions and determinations:

https://www.gov.uk/guidance/oil-and-gas-environmental-data#the-energy-act-part-4a-consent-to-locate

Information relating to application types is contained in the following document:

Reporting

Any non-compliance with consent conditions or the SMS relating to the provision of lights, signals or other aids to navigation must be reported immediately using the non-compliance form below and sent to the Business Support Team by e-mail at [email protected]

For further information please contact the Business Support Team by e-mail at [email protected] or (01224) 254138 or contact your assigned Environmental Manager.

Energy Savings Opportunity Scheme 2014

The Energy Savings Opportunity Scheme Regulations () 2014 has been introduced to implement Article 8 of the Energy Efficiency Directive 2012/27/EU. is a mandatory energy assessment and energy saving identification scheme applicable to the offshore oil and gas industry sector.

The scheme requires an audit to be undertaken once every four years to identify cost-effective energy efficiency measures. Phase 2 commenced on 6 December 2015, with the qualification date for participants of 31 December 2018, and the compliance date of 5 December 2019. Compliance must be notified to the Scheme Administrator (Environment Agency) using the online notification system.

Regulations

Guidance

guidance is specific for the offshore oil and gas industry sector and should a scheme participant require guidance for onshore industries please refer to the Environment Agency's guidance.

Reporting Requirements

The online notification system will be available for scheme participants to notify completion of the required audit. It is the scheme participant's responsibility to ensure compliance with the Regulations and to submit their notification by the required deadline. Please see Appendix A of the guidance for information relating to completing the notification form.

Late notification submissions for Phase I compliance

If scheme participants are unable to meet a compliance deadline, this should be recorded in advance of the deadline using the online form, explaining why the compliance deadline will be missed and when you expect to be compliant. Participants should also hold a record of the action taken to date to achieve compliance, including details of the appointment of a lead assessor, and retain a copy of the late notification submission, as they may be requested to provide the evidence pack to confirm that they are working towards compliance.

Scheme participants that qualify who do not notify a delay in compliance will be in breach of the Regulations and will risk enforcement action.

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager.

Environmental Assessment of Plans and Programmes Regulations 2004

The Environmental Assessment of Plans and Programmes Regulations 2004 implements the European Strategic Environmental Assessment () Directive (2001/42/EC). Although the Directive was not incorporated into UK law until 2004, SEAs have been carried out since 1999 in accordance with its requirements.

Fluorinated Greenhouse Gases Regulations 2015

The F Gas Regulations aim to protect the environment by reducing emissions of F-Gases (i.e. hydrofluorocarbons (HFCs), perfluorocarbons (PFCs) and sulphur hexafluoride (SF6)) from refrigeration, air conditioning units, high voltage switchgear, heat pumps and fire-protection systems, through the establishment of rules on, amongst other things, the containment, use, recovery and destruction of F-Gases.

Some of the various implementing acts which were established pursuant to the F-Gases Regulation (EC) No. 842/2006 have subsequently been replaced by new delegated or implementing acts adopted by the Commission in accordance with Regulation (EU) No. 517/2014. Any implementing acts which have not been replaced will remain in force and continue to apply unless and until repealed by new delegated or implementing acts adopted by the Commission pursuant to Regulation (EU) No. 517/2014. The Fluorinated Greenhouse Gases Regulations 2015 (SI 2015 / 310) as amended by the Fluorinated Greenhouse Gases (Amendment) Regulations 2018 (SI 2018 / 98) and The Fluorinated Greenhouse Gases Regulations (Northern Ireland) 2015 (SI 2015 / 425) as amended by the Fluorinated Greenhouse Gases (Amendment) Regulations (Northern Ireland) 2018 (SI 2018 / 206) came into force in 2018.

has produced a guidance document for the offshore oil and gas industry on the obligations of the F-Gases Regulation (EU) No. 517/2014 which can be accessed below. This guidance document is currently under review and will be updated to include the 2018 Regulations.

The form in the guidance document for the reporting of any releases of F-gases greater than or equal to 250 tonnes of CO2/e (as per the relevant section of the guidance) is available in editable format.

has also published detailed guidance which can be accessed below.

Regulations

Guidance

Food and Environment Protection Act 1985, Part II Deposits in the Sea

The Food and Environmental Protection Act (), Part II Deposits in the Sea, covered the deposit of substances or articles in the sea or under the seabed. Following the introduction of the Marine and Coastal Access Act () on 6 April 2011, Part II was dis-applied in English and Welsh waters and offshore waters adjacent to Scotland. However, it was retained in Scottish territorial waters to provide licensing powers in relation to reserved offshore energy activities that are the responsibility of the Offshore Petroleum Regulator for Environment and Decommissioning (). This was necessary because:

  • does not apply in territorial and internal waters adjacent to Scotland;
  • the licensing provisions of the Marine (Scotland) Act 2010, which apply in territorial and internal waters adjacent to Scotland, are devolved and are not available to ; and
  • is the licensing authority for reserved offshore energy activities outside Scottish Controlled Waters. For offshore energy activities within Scottish controlled waters (0-3 nm); the Scottish Government is the licensing authority and the Marine (Scotland) Act is the relevant controlling legislation.

Regulations

Guidance

A Part II licence is only required for the deposit of substances or articles in the sea or under the seabed in relevant areas of the territorial sea adjacent to Scotland. Part II does not cover the removal of any substance or object from the seabed or the disturbance of the seabed.

Guidance in relation to the marine licensing regime as it applies to offshore energy activities that are the responsibility of is currently being developed and will include guidance in relation to activities where it may be necessary to obtain a Part II licence.

Applications and determinations

Applications for a Part II licence should be made using the Marine Licence on the UK Energy Portal

For offshore energy activities in Scottish controlled waters, please contact the Marine Scotland, Licensing Operations Team

Interested parties can review records relating to applications and decisions made under Part II at the Oil and gas: environmental submissions and determinations page

Reporting requirements

  • Deposit returns requested by the Environmental Management Team for activities covered by a Part II Licence should be made using the Marine Licence Returns Form, and should be submitted by email to [email protected].
  • In future the return form will be migrated to the reporting system and accessed via the UK Energy Portal.

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager.

Greenhouse Gases Emissions Trading Scheme ()

The EU is the largest multi-country, multi-sector greenhouse gas emissions trading system in the world and is central to the EU meeting its 20% emissions reduction target by 2020. In the UK, it is a key part of ensuring that we comply with the legally binding 5-year carbon budgets by reducing our emissions below 1990 levels to at least 35% in 2020 and by 80% in 2050, as set out in the Climate Change Act 2008. It is a Europe-wide cap and trade scheme, which started in 2005.

In the UK, the revised EU Directive is implemented by the Greenhouse Gas Emissions Trading System Regulations 2012 (the Regulations) which established Phase III from 01 January 2013.

Under the Regulations, any operator that carries out a 'regulated activity' (as per Annex I of the EU Directive), that emit specified greenhouse gases (CO2 for offshore installations) must have a permit. The only Annex 1 Activities that are relevant to offshore installations are combustion installations with a maximum rated thermal input exceeding 20 megawatts. For the purpose of these regulations, an installation comprises any 'stationary technical unit' where one or more Annex 1 activity is carried out.

The EU has four operational phases:

  • Phase I (1 January 2005 to 31 December 2007) was an initial learning by doing phase and is now complete.
  • Phase II (1 January 2008 to 31 December 2012) included revised monitoring and reporting rules, more stringent emissions caps and additional combustion sources. This phase is now complete.
  • Phase III of the EU is the current phase and runs from 1 January 2013 to 31 December 2020. The current phase of the EU builds upon the previous two phases and is significantly revised to make a greater contribution to tackling climate change including: an EU-wide cap on the number of available allowances and an increase in auctioning of those allowances.
    The EU cap will reduce the number of available allowances by 1.74% each year, delivering an overall reduction of 21% below 2005 verified emissions by 2020. The trajectory calculated from the mid-point of Phase II and will describe a declining cap from 2013 onwards. The Phase also brings harmonised EU allocation methodologies.

  • Phase IV is currently being prepared and will run from 1 January 2021 until 31 December 2030. The EU's overall greenhouse gas emissions reduction target for 2030 for the sectors covered by the EU must reduce their emissions by 43% compared to 2005 levels.

Carbon leakage

Carbon leakage is a term used to describe the prospect of an increase in global greenhouse gas emissions when production or investment is moved outside of the EU because they are unable to pass on the cost increases resulting from the EU to their customers without significant loss of market share. Within Phase III, the sector is exposed to carbon leakage and therefore operators are eligible to receive 100% of the free allocation of allowances up to the sectors benchmark.

The Carbon Leakage List has been revised in preparation for Phase IV. The revised list has resulted in the extraction of gas (including condensate) losing carbon leakage status and these will therefore now receive 30% of their benchmark allocation for free, starting in 2021 and remaining fixed until 2026 and thereafter reducing annually to 0% by 2030 (i.e. full auctioning). There remains no change to the extraction of oil.

National Implementation Measures () for Phase IV

In preparation for Phase IV, baseline data (2014-2018) was collected to form the basis of a free allocation in the first allocation period of 2021-2025. An application for a free allocation had to be submitted via ETSWAP by 30th June 2019 and include the baseline data template, monitoring methodology plan and verification report as well as any supporting documents. Installations that were not operational within the baseline period but were operational before 30 June 2019 are still required to submit the data.

The offshore guidance for the baseline data collection and a FAQs was produced to assist in the completion of the templates. also provided guidance via an industry workshop. Failure to meet the submission timing means the installation is no longer eligible for a free allocation for the first period.

The following documents/templates are to be used for Phase IV baseline NIMS data collection:

Following the decision of the UK to withdraw from the EU, changes are anticipated to the . Updates will be made to this page throughout the change process.

Regulations

Guidance/publications

Phase IV specific guidance

Other relevant guidance will be added when published by the European Commission in due course.

Application and determinations - Phase III Permits

Applications for a permit must be submitted, via the online Emissions Trading System Workflow Automated Process (ETSWAP), for all qualifying installations. Applications must include details of all the relevant activities specified in Annex 1 of the Directive and include details of any directly associated activities.

ETSWAP is an electronic workflow and messaging system that allows regulators, operators and verifiers to manage EU permitting, improvement planning, notifications, permit variations, annual emissions reporting, verification, and enforcement. It replaced most of the previously available forms and templates for EU except for the templates of New Entrants and Enclosures, frequency of sampling and cost benefit analysis which are external templates found on the EU Commission website to be completed and subsequently uploaded into ETSWAP.

EU Emissions Trading Scheme Phase III reporting requirements

The following table shows the commitments for the normal EU process throughout the year. The monitoring period runs from 1st January to 31st December each year.

Date Responsibility Activity
28th February Union Administrator / Competent Authority Allocation of allowances for free (if applicable) into the Operator's account in the Registry
31st March Verifier Complete verification and issue emission report to Operator
31st March Operator Submit verified emission report to the Competent Authority via ETSWAP
March - May Competent Authority Review of emissions reports
30th April Operator Surrender allowances (amount corresponding to annual reportable emissions) in the Registry.
30th June Operator Submit Verifier and Annual (if applicable) Improvement report to the Competent Authority via ETSWAP
July - August Competent Authority Review improvement reports
31st December Operator Submit information to the Competent Authority via ETSWAP about changes to the installation's capacity, activity level and operation (see additional information under Reporting below).

The majority of the above is completed within the ETSWAP system and reminders are sent to Operators to ensure compliance. However, the forms regarding changes in activity and partial cessations are completed out with the ETSWAP system and uploaded when complete.

Reporting

Annual Emissions Reports (AERs) and Verifier and annual improvement reports require to be submitted by the dates outlined in the above table.

In addition, the Regulations require that operators must notify the Department of changes in activity levels, or a sub-installation's capacity or a planned change in capacity which occurred during the year. Where there have been no changes in activity level, a return is still required to be completed to confirm that there have been no changes.

The change in activity notification form and the New Entrants & Closures template (NE&C template - see Commission template below, if required) must be submitted and uploaded as part of the submission in ETSWAP before 2359 on 31st December annually, completing separate forms for each EU- Permit held. This is a mandatory deadline as stipulated within the Regulations and failure to notify the Department would be regarded as a non-compliance and any free allocations could be withheld. The information provided will be assessed and the Department will inform the operator of any anticipated changes to allowances. All submissions received will be collated and forwarded to the Commission for the final determination of allowances.

Please see the guidance above for following links for guidance on filling in the relevant forms.

European Commission forms/templates

The reporting application template for New Entrant Reserve (NER), Significant Capacity Reductions / Extensions (SCR / SCE), cessations and partial cessations has been designed by the EU Commission for ALL operational changes to a free allocation. As they are not sector specific, there are several pages that are irrelevant for the offshore industry. Please do NOT try to modify this form.

There is a significant amount of guidance within the form and you are advised to carefully read and follow the relevant instructions within Tab B: 'Guidelines and conditions', and within the subsequent pages. You are specifically advised NOT to 'cut and paste' information as this will lead to unintended modifications within formulae.

Non-compliance

The EU Directive requires Member States to put in place a system of penalties which is effective, proportionate and dissuasive but the nature of the penalties is largely left to Member State discretion (except for the penalty for failure to surrender sufficient allowances in certain circumstances).

The Greenhouse Gas Emissions Trading System Regulations 2012 set out the civil penalties to which a person is liable if they do not comply with the EU . has produced the guidance below for the offshore oil and gas industry detailing the Department's approach to enforcement and sanctions as well as the process for appeals which relate to Phase III.

Charging Scheme

Please see the oil and gas fees and charges guidance and Regulations.

Other information

Further information can be found at the following sites

If you have any comments or queries, please contact the Business Support Team at [email protected] or (01224) 254138 or your assigned Environmental Manager.

Marine and Coastal Access Act 2009

The principle elements of the Marine and Coastal Access Act () 2009 established and transferred a number of marine functions to the Marine Management Organisation (), and introduced provisions relating to Marine Planning, Marine Conservation Zones, Marine Licensing and a number of fisheries-related measures.

Marine Licensing

Part 4 of details the provisions relating to marine licensing. The regime replaces and extends the provisions of The Food and Environment Protection Act 1985, Part II Deposits in the Sea, and marine licences are required for the following activities:

  • To deposit any substance or object within the UK marine licensing area, either in the sea or on or under the sea bed;
  • To scuttle any vessel or floating container in the UK marine licensing area;
  • To construct, alter or improve any works within the UK marine licensing area either in or over the sea, or on or under the sea bed;
  • To use a vehicle, vessel, aircraft, marine structure or floating container to remove any substance or object from the sea bed within the UK marine licensing area;
  • To carry out any form of dredging within the UK marine licensing area (whether or not involving the removal of any material from the sea or sea bed);
  • To deposit or use any explosive substance or article within the UK marine licensing area either in the sea or on or under the sea bed; and
  • To incinerate any substance or object on any vehicle, vessel, marine structure or floating container in the UK marine licensing area.

Section 77 of the Act specifically excludes offshore energy activities relating to oil and gas exploration and production, gas unloading and storage, and carbon dioxide storage from the marine licensing provisions, where the activities fall into the following categories:

  • Anything done in the course of carrying on an activity for which a licence under section 3 of the Petroleum Act 1998 (c. 17) or section 2 of the Petroleum (Production) Act 1934 (c. 36) (licences to search for and get petroleum) is required;
  • Anything done for the purpose of constructing or maintaining a pipeline as respects any part of which an authorisation (within the meaning of Part 3 of the Petroleum Act 1998) is in force;
  • Anything done for the purpose of establishing or maintaining an offshore installation (within the meaning of Part 4 of the Petroleum Act 1998 (c. 17)); and
  • Anything done in the course of carrying on an activity for which a licence under section 4 or 18 of the Energy Act 2008 (c. 32) is required (gas unloading, storage and recovery, and carbon dioxide storage), with the exception of activities where there is devolved competence.

Additional exemptions from the marine licensing provisions are contained in the Marine Licensing (Exempted Activities) Order 2011 (as amended).

As a consequence of the exclusions and exemptions, most offshore energy activities that are the responsibility of the Offshore Petroleum Regulator for Environment and Decommissioning () are not subject to the marine licensing regime. However, the exclusions do not apply to activities that do not fall into the categories detailed above, and the most significant activities that aren't excluded are any licensable activities relating to decommissioning operations and the use of explosives for ordnance clearance or during decommissioning.

Where there is a licensing requirement, is the licensing authority for reserved offshore energy activities, acting on behalf of the Secretary of State.

Regulations

Guidance

  • Guidance in relation to the marine licensing regime as it applies to offshore energy activities that are the responsibility of is currently being developed and will be uploaded here as soon as it is available.

Applications and determinations

Reporting requirements

  • Returns requested by the Environmental Management Team for deposit, removal or seabed disturbance activities covered by a marine licence should be made using this form: Marine Licence Returns Form (MS Excel Spreadsheet, 77KB), and should be submitted by email to [email protected].
  • In future the return form will be migrated to the reporting system and accessed via the UK Energy Portal.

Marine Planning

Part 3 of introduced a new system of marine management, comprising the UK Marine Policy Statement and the production of a number of marine plans. The Marine Management Organisation () has delegated responsibility to prepare plans for English waters, and marine planning is currently being developed via regional marine plans. The Devolved Administrations of Wales, Scotland and Northern Ireland are currently developing national marine plans, and Scotland's National Marine Plan will also be supplemented by eleven regional plans.

Guidance

For further information in relation to both marine licensing and marine planning please contact the Business Support Team by email at [email protected] or telephone on 01224 254138 or contact your assigned Environmental Manager.

Marine Strategy Regulations 2010

Directive 2008/56/EC of the European Parliament and Council establishes a framework for community action in the field of marine environmental policy, and is commonly known as the Marine Strategy Framework Directive. The Directive was adopted in June 2008, with the aim of protecting the marine environment across Europe, and it is the environmental component of Europe's Integrated Maritime Policy.

The Directive sets a target of 'Good Environmental Status' which must be achieved in EU marine waters by 2020. Following the first cycle of management which ends in 2020, new programmes of measures will be set on a six-yearly basis. The Commission has produced a set of detailed criteria and methodological standards to help Member States implement the Marine Directive, which were revised in 2017 and led to the Commission Decision on Good Environmental Status (). Annex II of the Directive was also amended in 2017 to better link ecosystem components, anthropogenic pressures and impacts on the marine environment with the 's 11 'Descriptors' and with the new Decision on Good Environmental Status ().

The Marine Strategy Regulations 2010 transposed the requirements of the Marine Strategy Framework Directive 2008/56/EC into UK law in July 2010. The regulations established a high-level legal framework to ensure that the obligations which the Directive places on the UK are assigned to a competent authority, and that those competent authorities are given the necessary powers to implement measures to achieve or maintain good environmental status in the marine environment by 2020. The Regulations did not set out exactly how this would be achieved and much of the detail about how the UK will implement the Directive have been developed since the regulations came into force. The statutory instrument includes provisions covering the following key issues:

  • the geographical scope of the legislation - the area over which the UK Marine Strategy will apply;
  • the bodies that will be responsible for implementing the Directive in different parts of the UK's marine waters (i.e. which bodies will act as competent authorities for the Directive) and puts duties on those bodies to deliver each of the Directive's requirements to the required timetable;
  • appropriate provisions to ensure that the UK Government and each of the Devolved Administrations work together effectively to implement the Directive in a consistent and co-ordinated way across the UK;
  • appropriate provisions to ensure that all public authorities which take decisions or carry out activities affecting the marine environment will be required to play an appropriate role in ensuring that the requirements of this Directive are delivered; and
  • provisions to ensure that interested parties and members of the public are consulted at all key stages in the implementation of the Directive.

Regulations

Guidance

Reporting requirements

The UK target for Good Environmental Status () for impulsive noise (Descriptor 11) is being facilitated through the establishment of a Marine Noise Registry (). The Registry has been developed by and the Joint Nature Conservation Committee (), in conjunction with other Government Departments and the Devolved Administrations (), and records human activities in UK seas that produce loud, low to medium frequency (10Hz - 10kHz) impulsive noise. The forms part of the UK's programme of measures which is set out in Part 3 of its Marine Strategy.

Underwater noise from human activities can affect marine organisms, from invertebrates to fish to marine mammals, in a variety of ways, from initiating avoidance, to masking sounds used to communicate and find food, to physical injury and even to mortality. Understanding when and where noisy activities take place will therefore help to define a baseline level for impulsive noise in UK waters and will inform research on the impacts of noise, particularly on vulnerable species like cetaceans.

Human activities covered by the include impact pile driving, geophysical surveys (seismic, sub bottom profiling and multi-beam echo-sounders), military sonar, some acoustic deterrent devices and explosive use. Data is collected on the proposed location and date of relevant activities during the planning stages, and on the final location and date after the activity has been completed. The also collects, where available, sound source data including maximum hammer energy maximum airgun volume, equipment frequency, sound pressure levels, sound exposure levels and explosive TNT equivalents.

Where possible, data is extracted from current consenting processes, or is separately provided by developers using a simple online form. Provision of the data is mandatory in some cases and voluntary in others, depending on the type of activity and whether there are any relevant consenting procedures. An integrated data capture system is currently being developed to link the UK Energy Portal Environmental Tracking System () to the , which will enable oil and gas geological survey application and returns data to be automatically populated.

Maps will be produced annually showing the spread of activities in 'pulse block days' (the number of days within the specified period when impulsive noise has been generated within individual UK oil and gas licensing blocks). Data in the Registry are also fed into a Europe-wide registry through the Oslo and Paris Convention for the Protection of the Marine Environment of the North-East Atlantic ().

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager

Merchant Shipping (Oil Pollution Preparedness, Response Co-operation Convention) Regulations 1998

Every offshore installation that presents a risk of oil pollution must have an approved Oil Pollution Emergency Plan (OPEP) setting out arrangements for responding to incidents that cause marine pollution by oil. The OPEP must be prepared, submitted and implemented in accordance with the OPRC Regulations and the Department's 'Guidance Notes for Preparing Oil Pollution Emergency Plans'.

Regulations

Guidance

Other Useful Information

Pollution Response in Emergencies Marine Impact Assessment and Monitoring

The PREMIAM website gives guidance and sets standards for post-spill environmental marine monitoring and is intended to act as a guide and resource for UK government agencies advising incident Environment Groups, industries with the potential to cause marine pollution, and the wider UK monitoring community. For further information please contact the Business Support Team at [email protected] or 01224 254138

Offshore Chemicals Regulations 2002 (as amended)

In 2000, the Convention for the Protection of the Marine Environment of the North-East Atlantic (the Convention) adopted Decision 2000/2 on a Harmonised Mandatory Control System for the Use and Discharge of Offshore Chemicals (commonly call the ). The Decision was subsequently amended by Decision 2005/1 on a Harmonised Mandatory Control System for the Use and Reduction of the Discharge of Offshore Chemicals, and is supported by a number of additional decisions, recommendations and agreements relating to the use and discharge of offshore chemicals:

  • Decision 2000/3 on the Use of Organic-Phase Drilling Fluids () and the Discharge of -Contaminated Cuttings
  • Recommendation 2005/2 Recommendation 2005/2 on Environmental Goals for the Discharge by the Offshore Industry of Chemicals that Are, or Contain Added Substances, Listed in the 2004 List of Chemicals for Priority Action
  • Recommendation 2006/3 on Environmental Goals for the Discharge by the Offshore Industry of Chemicals that Are, or Which Contain Substances Identified as Candidates for Substitution
  • Recommendation 2010/3 on a Harmonised Offshore Chemical Notification Format ()
  • Recommendation 2014/17 amending Recommendation 2010/3 on a Harmonised Offshore Chemical Notification Format ()
  • Recommendation 2017/1 on a Harmonised Pre-screening Scheme for Offshore Chemicals
  • Further Guidance on the Assessment of the Toxicity of Substances under the Harmonised Pre-Screening Scheme of Recommendation 2000/4 (Agreement reference number 2002-4)
  • Common Interpretation on which Chemicals are Covered and not Covered by the Harmonised Mandatory Control System under Decision 2000/2 (Agreement reference number 2002-6)
  • Guidelines for Toxicity Testing of Substances and Preparations Used and Discharged Offshore (Agreement reference number 2005-12)
  • Guidelines for Completing the Harmonised Offshore Chemical Notification Format () (Agreement reference number 2012/05)
  • List of Substances Used and Discharged Offshore which Are Considered to Pose Little or No Risk to the Environment () (Agreement reference number 2013-06)

Copies of the relevant Decisions, Recommendations and Agreements can be found on the website.

The Offshore Chemicals Regulations 2002 ('') implemented the original Decision and were amended by the Offshore Chemicals (Amendment) Regulations 2011. The Regulations were also amended in 2005, 2010, 2016 and 2017 by:

  • The Offshore Petroleum Activities (Oil Pollution Prevention and Control) Regulations 2005, which introduced provisions relating to enforcement and prohibition notices.
  • Article 6 of The Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010, which applied the provisions to offshore combustible gas and carbon dioxide unloading and storage operations (in addition to oil and gas operations).
  • The Energy (Transfer of Functions, Consequential Amendments and Revocation) Regulations 2016, which introduced provisions recognising the functions undertaken by the Oil and Gas Authority and a requirement to review the regulations.
  • The Pollution Prevention and Control (Fees) (Miscellaneous Amendments) Regulations 2017, which introduced a general amendment in relation to fee charging powers.

The regulations require offshore operators to apply for permits for the use and/or discharge of chemicals in the course of all relevant offshore energy activities, including well operations, production operations, pipeline operations, and decommissioning operations.

The 2011 Amendment Regulations extended the provisions to take enforcement action in the event of any unintentional offshore chemical release, and also:

  • extended the information-gathering powers so that information can be obtained from a wider range of persons and in relation to a wider range of incidents;
  • simplified the process for varying permits or transferring them to other operators; and
  • more closely aligned the regulations with the Offshore Petroleum (Oil Pollution Prevention and Control) Regulations 2005 (as amended)

Regulations

Guidance

The Guidance is currently being updated and a revised copy will be issued in due course.

Applications and Determinations

Applications for a chemical permit should be submitted via the UK Energy Portal Environmental Tracking System (). Subsidiary Application Templates (SATs) for chemical permits can be made under the following Master Application Templates (MATs), depending on the nature of the proposed operation - Drilling Operations (), Pipeline Operations (), Production Operations (), Well Intervention Operations () and Decommissioning Operations (). Operators should email [email protected] if they require further information about .

Interested parties can review records relating to applications and decisions made under the Offshore Chemicals Regulations () at the Oil and Gas: environmental submissions and determinations page

Reporting requirements

Chemical returns. Chemical use and discharge returns for approvals issued through , including returns relating to the discharge of hydrocarbon chemicals and substitute hydrocarbon chemicals, should be made using the appropriate Environmental Emissions Monitoring System () reporting form.

Candidates for Substitution. is required to submit regular implementation reports to the Offshore Industry Committee () in relation to the discharge of chemicals listed in the 2004 List of Chemicals for Priority Action and the discharge of chemicals that are identified as Candidates for Substitution. To inform the implementation reports, operators are required to submit annual reports to detailing the use and discharge of these chemicals during drilling, production, work-over / intervention, pipeline and decommissioning operations, supported by a Technical Justification Report () for all of the chemicals that are still being used and/or discharged on the . will send out documents relating to the reporting requirements every year, and current versions of the documents are available below:

Non-compliance notification. Non-compliance with permit conditions should be notified by completing the non-compliance notification form and sending it by email to [email protected]. The relevant notification form and current guidance are available below:

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138, or please contact your assigned Environmental Manager.

Offshore Combustion Installations (Pollution Prevention and Control) Regulations 2013 (as amended)

The Offshore () Regulations 2013 are amended by the Offshore Combustion Installations (Pollution Prevention and Control) (Amendment) Regulations 2018. These regulations transpose the relevant provisions of the Industrial Emissions Directive 2010/75/EU ('the IED') in respect to specific atmospheric pollutants from combustion installations (with a thermal capacity rating ≥ 50 MW) on offshore platforms undertaking activities involving oil and gas production and gas and carbon dioxide unloading and storage.

The Offshore Combustion Installations (Pollution Prevention and Control) (Amendment) Regulations 2018 came in to force on 18 July 2018. The purpose of this regulation is to transpose Chapter III of Directive 2010/75/EU on the limitation of certain pollutant emissions into the air from large combustion plant and to transpose Directive 2015/2193/EU Medium Combustion Plant Directive (MCPD) on the limitation of certain pollutant emissions into the air from medium combustion plant. The instrument widens the scope of the 2013 Regulations to require permits for both large and medium combustion plant to regulate emissions and protect air quality.

The explanatory memorandum fully describes the scope and other aspects associated with the Offshore () Regulations 2013. The Offshore () Regulations 2013 apply to those offshore combustion installations where a permit for their use is applied for and granted after 19 May 2013 - please note important points under the 'Guidance' heading below.

The explanatory memorandum to the Offshore () (Amendment) Regulations 2018 fully describes the amendments to the 2013 regulations.

Regulations

The 2013 Regulations include a statutory duty to undertake a Post Implementation Review and publish the report by 19 May 2018, 5 years after the Regulations came in to force. The review is published here:

Guidance

will be revising the Guidance Notes to the 2001 Regulations (as amended) and the guidance / forms pertaining to ' permit applications and reporting requirements' in order to reflect the obligations of the Offshore () Regulations 2013. The offshore industry will be consulted - by the end of July / early August 2013 - on drafts of the revised documentation before updated versions are formally published. If, prior to the revised documentation being made available, any Operators need to apply for a new permit under the Offshore () Regulations 2013 then they should use the existing application form. See links below to the extant Guidance Notes, the present guidance / forms for permit applications and reporting requirements, and other related information.

Additional guidance for the Large Combustion Plant (BAT-AEL and Derogation)

The Offshore Combustion Installations (Prevention and Control of Pollution) Regulations 2013 (as amended including in 2018) transposed the requirements of the Industrial Emissions Directive (IED).

Large combustion plant are required to use the best available techniques (BAT). The BAT associated emission levels (BAT-AEL) are set out in the LCP BREF and are mandatory unless derogation from those BAT-AEL is justified.

The purpose of this guidance is to provide information to assist and support the operators and to provide an overview of the derogation process. This guidance will be updated from time to time to keep it up to date and to provide clarification. The clarifications may be incorporated into frequently asked questions (FAQs).

Where an Offshore Combustion Installation permit holder, with Open Cycle Gas Turbine classed as LCP, needs to make a request for derogation from the BAT-AELs, this process must involve an assessment to demonstrate the disproportionality of the costs and benefits of complying with the BAT-AEL. This requires that a cost benefit analysis (CBA) is the basis of the quantitative assessment and must be used in requests for derogation. We advise that the CBA tool developed by The Department for Environment, Food & Rural Affairs (DEFRA) and the Environment Agency (EA) should be used Industrial Emissions Directive derogation: cost-benefit analysis tool

The purpose of this guidance is to supplement the IED derogation CBA tool user guide published by the Environment Agency and should be used in conjunction with that guidance.

(Updated to refer to 2020 damage costs)

Graphics and diagrams

The following graphics and diagrams are referred to in the guidance document:

IPPC flowchart

Combustion graphs

Vendor turbine graphics

Project reports

Applications

Details of current and previous applications can be found on the Oil and gas: environmental submissions and determinations page.

Reporting requirements

For further information please contact the Business Support Team by email at [email protected] or please contact your assigned Environmental Manager.

Environmental Inspection Plans 2014 onwards

Inspection Letters Issued

Please email [email protected] should you have any queries relating to these letters, or wish more information.

Offshore Installations (Emergency Pollution Control) Regulations 2002

These Regulations provide powers to the Secretary of State to prevent and reduce pollution, and the risk of pollution, following an accident involving an offshore installation where:

  • there may be significant pollution
  • an operator is failing or has failed to implement effective control and preventative operations.

The Secretary of State's role is to monitor, and if necessary intervene, in the event of a threatened or actual pollution incident in connection with an offshore installation.

Regulations

The Offshore Installations (Emergency Pollutions Control) Regulations 2002

Guidance

Offshore Oil and Gas Exploration, Production, Unloading and Storage (Environmental Impact Assessment) Regulations 2020

The Offshore Oil and Gas Exploration, Production, Unloading and Storage (Environmental Impact Assessment) Regulations 2020 ('the 2020 Regulations') transpose EU Directive 2011/92/EU on the assessment of the effects of certain public and private projects on the environment ('the Directive'), as amended by EU Directive 2014/52/EU. The 2020 Regulations applies to activities related to proposed offshore oil and gas exploration and production, gas unloading and storage, and storage of carbon dioxide ('offshore projects'). The 2020 Regulations makes provision for the Secretary of State's consideration of the environmental impacts of proposed offshore projects when deciding whether to agree to the grant of consent for such projects.

The 2020 Regulations replaces the Offshore Petroleum Production and Pipelines (Assessment of Environmental Effects) Regulations 1999 (as amended) ('the 1999 Regulations'), except that the 1999 Regulations will continue to apply for some limited transitional provisions. The 1999 Regulations have not been revoked as they were amended by the Pipe-lines, Petroleum, Electricity Works and Oil Stocking (Miscellaneous Amendments) (EU Exit) Regulations 2018 (S.I. 2018/1325) ('the 2018 EU Exit Regulations') which came into effect at the end of the Transition Period. The 2018 EU Exit Regulations correct deficiencies arising from the withdrawal of the UK from the EU and will amend the 1999 Regulations in so far as they continue to apply for transitional purposes.

Regulations

Guidance

The guidance is currently being reviewed with an intention to amended and republish the document by 30 April 2021, and then to replace and publish new guidance in September 2021. Should you have any questions, please contact [email protected] in the first instance.

Applications and determinations

  • Environmental Statements () can be submitted in electronic or hard copy format to the Business Support Team. However during times of coronavirus restrictions linked to attending the workplace, we would ask that submissions are made by electronic means only. Developers should email [email protected] to confirm the submission requirements.

  • Applications for Screening Directions to confirm that an ES is not required should be submitted via the UK Energy Portal Environmental Tracking System (), and developers should email [email protected] if they require further information about .

  • Interested parties can view documentation and decisions, and screening directions given under the 2020 Regulations at Oil and gas: environmental submissions and determinations.

Reporting requirements

  • Authorised deposit returns for approvals issued through should be made using the appropriate Environmental Emissions Monitoring System () reporting form.

  • Deposit returns requested by the Environmental Management Team for activities covered by Schedule 3 projects should be made using this Form (MS Excel Spreadsheet, 51.7KB), and should be submitted by email to [email protected].

Environmentally sensitive areas

Project reports

For further information please contact the Business Support Team by email at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager.

Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001 (as amended)

Council Directive 79/409/EEC on the protection of wild birds, commonly known as the Birds Directive, was adopted in 1979, and aims to protect all wild birds and their most important habitats across the EU. Council Directive 92/43/EEC on the conservation of natural habitats and of wild fauna and flora, commonly known as the Habitats Directive, was adopted 13 years later in 1992. It introduces very similar measures but extends the protection to around 1000 other rare, threatened or endemic species of wild animals and plants, often collectively referred to as species of European importance. It also, for the first time, introduced protection for some 230 rare or important habitat types. The Birds Directive was subsequently amended by Directive 2009/147/EC, a codified version of the original directive.

Together, the Birds and Habitats Directives provide a strong legislative framework to protect the EU's most vulnerable species and habitat types across their entire natural range within the EU, irrespective of political or administrative boundaries. The overall objective of the two directives is to ensure that the species and habitat types they protect are maintained at, or restored to, a favourable conservation status throughout their natural range within the EU. They therefore not only aim to halt any decline, but also aim to ensure that the qualifying species and habitats recover sufficiently to enable them to flourish over the long-term.

The Offshore Petroleum Activities (Conservation of Habitats) Regulations 2001 implemented the main provisions of the directives as they applied to offshore oil and gas activities, and were amended in 2007, 2010 and 2017 by:

  • The Offshore Petroleum Activities (Conservation of Habitats) (Amendment) Regulations 2007 which amended and extended a number of provisions in the 2001 regulations.
  • Article 3 of the Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010 (the '2010 Order') which applied the provisions to offshore combustible gas and carbon dioxide unloading and storage operations (in addition to oil and gas production activities).
  • Part four of the Offshore Petroleum Production and Pipe-lines (Environmental Impact Assessment and other Miscellaneous Provisions) (Amendment) Regulations 2017 which introduced provisions relating to the review of existing decisions.

The most important provisions of the regulations in relation to environmental submissions to the Department are:

Regulation 4 which requires the issue of consent for geological surveys relating to offshore oil and gas operations and offshore combustible gas and carbon dioxide unloading and storage operations undertaken in the .

Regulation 5 which requires that, before the grant of any licence, consent, authorisation or approval involving a proposed activity that is likely to have a significant effect on a relevant protected site, whether individually or in combination with any other plan or project, the Secretary of State must make an appropriate assessment (a Habitats Regulation Assessment) of the implications for the site in view of the site's conservation objectives. The Department is therefore required to undertake a likely significant effects assessment, or 'screening' exercise, and/or a more in-depth, 'appropriate assessment', and this can significantly delay the determination of a submission.

Regulations

Guidance

SNCB Noise Guidance

The Guidance for assessing the significance of noise disturbance against Conservation Objectives of harbour porpoise Special Area's of Conservation (SAC) has now been published. The Harbour Porpoise Noise Guidance and associated documents are the culmination of years of interagency work and stakeholder discussion on an approach to noise management in harbour porpoise in England, Wales and Northern Ireland. The Offshore Petroleum Regulator for Environment and Decommissioning () consulted relevant Stakeholders on the guidance earlier this year. and all three agencies, the Joint Nature Conservation Committee, Natural England and Department of Agriculture, Environment and Rural Affairs are grateful for the comments received during the consultation. Alongside the Harbour Porpoise Noise Guidance, background to the advice on noise management within harbour porpoise and the Statutory Nature Conservation Bodies (SNCB's) response to consultation comments has also been published.

Guidance for assessing the significance of noise disturbance against Conservation Objectives of harbour porpoise SAC Noise Guidance 2020 ( , 419KB, 14 pages)

Background to the advice on noise management within harbour porpoise Background to the advice on noise management within harbour porpoise ( , 229KB, 6 pages)

Consultation Report: Harbour porpoise noise guidance Final Consultation Report June 2020 ( , 748KB, 88 pages)

implementation - Following receipt of the guidance, is working through the implementation approach for industry, including preparing and publishing a policy statement. are closely engaging with the SNCB's and the relevant Southern North Sea (SNS) Regulators on implementation of the guidance.

In the intervening period, is informing industry that there is no expectation that this guidance is applied to applications involving mobile noise sources, for example geological survey applications.

believe that is appropriate for this guidance to apply to specific activities, namely piling and unexploded ordinance detonation.

For activities where an Appropriate Assessment is required, will implement the guidance for comparative purposes and for transparency to aid other Regulators. If relevant, further guidance will be provided to applicants regarding the information required to inform an Appropriate Assessment.

Where industry has activity planned (e.g. seismic, piling, use of explosives etc.) with the potential to impact the SNS SAC for harbour porpoise or any of the harbour porpoise SAC sites, advice is to contact the appropriate Environmental Manager who will assist with any queries. With respect to the SNS SAC, the summer season is our primary concern, and it is important that be notified of activities at the earliest opportunity, even those that are speculative in which applications have not yet been submitted.

SNS Regulators Working Group - Since February 2019, , along with the relevant SNS Regulators and the SNCB's have, and continue to work together on the implications of the guidance. (See Terms of Reference below). The primary consideration is cumulative impact, and the thresholds set out in the guidance. To aid understanding of potential cumulative impacts of operations, the SNS Regulators Working Group has developed an activity tracker which provides information on current and future operations in the SNS SAC area. The tracker provides information on applications that have been submitted for activities in the area and shall be published and updated as necessary. This is to provide clear evidence of activities showing potential overlap and informing cumulative impact assessments.

Mitigating significant cumulative impacts has only been possible through effective engagement with , other Regulators and the offshore industry. It is anticipated that the publication of this tracker will strengthen the cumulative impact assessment process. To facilitate this it is important to understand in detail the timeframe of operations, and how they overlap with other potential activities, and for this reason, it is important to engage with the relevant regulatory authority. For oil and gas activities, operators should approach their Environmental Manager.

Other Useful Information

Applications and determinations

Reporting requirements

  • It is a condition of all geological survey consents that an activity log and close out report is submitted to the Department following completion of the survey. The report is an Excel Spreadsheet (MS Excel Spreadsheet, 263KB)
  • In future the returns will be migrated to the reporting system accessed via the UK Energy Portal and will automatically feed into the Marine Noise Registry (see section on The Marine Strategy Regulations 2010). However in the interim the return forms should be submitted by e-mail to: [email protected]
  • The close-out report worksheet must also be submitted to Schlumberger Integrated Solutions for all seismic surveys, except site surveys, and to Medin for all seismic site surveys. Relevant contact details and guidance are provided in the Excel spreadsheet.
  • Where it is a condition of the geological survey consent that a Marine Mammal Observer () and/or a Passive Acoustic Monitoring () operative is provided for the survey, a report must also be submitted to the Department following completion of the survey, and copied to the Joint Nature Conservation Committee (). Copies of the relevant forms and guidance, and summary reports of observations, can be found on the website

Project reports

For further information please contact the Business Support Team by e mail at [email protected] or (01224) 254138 or please contact your assigned Environmental Manager. 

Offshore Petroleum Activities (Oil Pollution Prevention and Control) Regulations 2005 (as amended)

In 2001, the Convention for the Protection of the Marine Environment of the North-East Atlantic (the Convention) adopted Recommendation 2001/1 for the Management of Produced Water from Offshore Installations. The Recommendation aims to prevent and eliminate pollution by oil and other substances caused by discharges of produced water into the sea. The Recommendation supplemented the controls on the use and discharge of chemicals established by Decision 2000/2 on a Harmonised Mandatory Control System for the Use and Reduction of the Discharge of Offshore Chemicals. The Recommendation was amended by further Recommendations in 2006 and 2011.

  • Recommendation 2001/1 for the Management of Produced Water from Offshore Installations
  • Recommendation 2006/4 amending Recommendation 2001/1
  • Recommendation 2011/8 amending Recommendation 2001/1

Copies of Decisions, Recommendations and Agreements can be found on the website.

The Offshore Petroleum Activities (Oil Pollution Prevention and Control) Regulations 2005 ('') implement the Recommendation and were amended by the Offshore Petroleum Activities (Oil Pollution Prevention and Control) (Amendment) Regulations 2011. The Regulations were also amended in 2010, 2016 and 2017 by:

  • Article 9 of The Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010, which applied the provisions to offshore combustible gas and carbon dioxide unloading and storage operations (in addition to oil and gas operations).
  • The Energy (Transfer of Functions, Consequential Amendments and Revocation) Regulations 2016, which introduced provisions recognising the functions undertaken by the Oil and Gas Authority and a requirement to review the regulations.
  • The Pollution Prevention and Control (Fees) (Miscellaneous Amendments) Regulations 2017, which introduced a general amendment in relation to fee charging powers.

The regulations prohibit the discharge of oil to sea from offshore oil and gas installations other than in accordance with the terms and conditions of a permit, and require offshore operators to apply for permits for all planned discharges of oil in the course of all relevant offshore energy activities, including well operations, production operations, pipeline operations, and decommissioning operations.

The Offshore Petroleum Activities (Oil Pollution Prevention and Control) (Amendment) Regulations 2011 introduced the concept of a 'release' to cover all unintentional spills, leaks or non-operational discharges, in alignment with the definition contained in the Offshore Chemical (Amendment) Regulations 2011, and also:

  • introduced a new definition of 'offshore installation' to encompass all pipelines, some of which were not previously covered by the regulations;
  • extended information-gathering powers so that information can be obtained from a wider range of persons and in relation to a wider range of incidents;
  • provided additional powers for appointed inspectors to take appropriate enforcement action in relation to releases or potential releases of oil; and
  • simplified the process for varying permits or transferring them to other operators.

Regulations

Guidance

The Guidance is currently being updated and a revised copy will be issued in due course.

Other Useful Information

The Dispersed Oil in Produced Water Trading Scheme was developed to reduce the quantity of dispersed oil discharged from offshore oil and gas installations, in response to an initiative. It was eventually cancelled following consultation, with the approval of the Secretary of State for Business Enterprise and Regulatory Reform. However, background information in relation to the scheme is available via the National Archives

Applications and determinations

Applications for an oil discharge permit should be submitted via the UK Energy Portal Environmental Tracking System (). Subsidiary Application Templates (SATs) for oil discharge permits can be made under the following Master Application Templates (MATs), depending on the nature of the proposed operation - Drilling Operations (), Pipeline Operations (), Production Operations (), Well Intervention Operations () and Decommissioning Operations (). Operators should email [email protected] if they require further information about .

Interested parties can review records relating to applications and decisions made under The Offshore Petroleum Activities (Oil Pollution Prevention and Control) Regulations 2005 () at the Oil and gas: environmental submissions and determinations page.

Reporting requirements

Oil discharge returns. Oil discharge returns for approvals issued through should be made using the appropriate Environmental Emissions Monitoring System () reporting form.

A summary of oil discharges in produced water during the period 2006 to 2016 is contained in the following table:

Non-compliance notification. Non-compliance with permit conditions should be notified by completing the non-compliance notification form and sending it by email to [email protected]. The relevant notification form and current guidance are available below:

For further information please contact the Business Support Team by email at [email protected] or 01224 254138, or please contact your assigned Environmental Inspector

Offshore Petroleum Licensing (Offshore Safety Directive) Regulations 2015

The Offshore Petroleum Licensing (Offshore Safety Directive) Regulations 2015 ('the OPL Regulations 2015') transpose the relevant provisions of Directive 2013/30/EU ('the Offshore Safety Directive') in regard to the grant and transfer of offshore licences; the appointment of operators by offshore licensees and their capacity to undertake operations; and obligations on the offshore licensee including financial liability provisions.

The financial liability provisions included within the OPL Regulations 2015 replace the systems and processes put in place following the Gulf of Mexico incident in 2010. Licensees are required to provide relevant information to the Competent Authority (Offshore Safety Directive Regulator) on request relating to financial provisions in place to cover liabilities which potentially derive from offshore petroleum operations carried out by operators appointed by the licensees. The guidelines on how the minimum level of liability provision is determined and how relevant information is to be provided to (who acts on behalf of the Competent Authority for this matter) is detailed within Oil & Gas UK Financial Liability Provision Guidelines for Offshore Petroleum Operations. The guidance aims to assist licensees in fulfilling their obligations under the OPL Regulations 2015, in making adequate financial provision to cover liabilities potentially deriving from offshore petroleum operations carried out on their behalf by operators.

These guidelines have been agreed with , and confirm that a declaration of liability provision is required to cover platform production / development wells, remote production / development wells, offshore installations including FSUs, FSOs and FPSOs and decommissioning operations; and that a demonstration of liability provision is required for the drilling of exploration, appraisal, remote subsea development and pre-drilled platform development wells, and for the re-entry of abandoned Phase 1 and Phase 2 exploration or appraisal wells. Declarations or demonstrations of financial liability provisions must be made in accordance with these Guidelines.

Regulations

Guidance

Other Useful Information

The Oil and Gas Authority (Licensing Authority) is responsible for the grant and transfer of offshore licences under the OPL Regulations 2015 and for the appointment of operators by offshore licensees. Information regarding the grant and transfer of offshore licences and the appointment of operators by offshore licensees can be found at the OGA website: https://www.ogauthority.co.uk/licensing-consents/overview/https://www.ogauthority.co.uk/licensing-consents/licensing-system/offshore-safety-directive/

Ozone-Depleting Substances Regulations 2015

The Ozone-Depleting Substances Regulations 2015 has applied since 1 January 2010 and recasts/repeals ODS Regulation (EC) No. 2037/2000 - prohibits and controls the production and use of ozone depleting substances thereby reducing atmospheric emissions of these substances in line with the Montreal Protocol (an international agreement to combat the threat of damage posed to the ozone layer by ozone depleting substances). In particular, the EU ODS Regulation concerns the control of emissions from refrigeration systems, air-conditioning units, fire-protection systems and heat pumps.

In September 2010, Commission Regulation (EU) No.744/2010 which replaces Annex VI to the EU ODS Regulation entered into force. Regulation (EU) No. 744/2010 sets out the permitted critical uses of halons as well as the timeframes for their phasing out. Under the revised Annex VI, for oil, gas and petro-chemical facilities the critical use exemptions for halons applied to new fire-protection systems (FPS) until 31 December 2010 and will apply to FPS that existed prior to 31 December 2010 until 31 December 2020. With regards to offshore installations, the exemption in respect to existing FPS relates to all occupied and unoccupied spaces where flammable liquid or gas could be released.

On 7 March 2015, the 2015 ODS Regulations entered into force. The 2015 ODS Regulations prescribe the offences and penalties for non-compliance with the regulatory requirements. The 2015 ODS Regulations cover offshore installations involved in oil and gas, carbon capture and storage and gas unloading and storage activities. has produced a guidance document for the offshore oil and gas industry on the obligations of the EU ODS Regulations.

Regulations

Guidance

The reporting forms are accessible below;

REACH Enforcement Regulations 2008

The EU REACH (Registration, Evaluation, Authorisation and restrictions of Chemicals) Regulation 1907/2006, which entered into force on 1 June 2007, required the registration of chemical substances by specified deadlines (in 2010, 2013 and 2018) based on tonnage levels and the properties/toxicity of certain substances (i.e. PBTs, vPvBs and CMRs). Management of the REACH system at EU level is handled by the European Chemicals Agency (ECHA). The REACH Enforcement Regulations 2008 enforce the provisions of the EU REACH Regulation. The UK regulations apply to the following offshore installations within the UK territorial sea and :

  • fixed and floating platforms
  • floating production storage and off-loading systems
  • floating storage units
  • non-production installations

regulates the use/discharge of chemicals under the Offshore Chemicals Regulations () 2002, which were amended by the Offshore Chemical (Amendment) Regulations 2011 to cover all operational discharges and non-operational releases of offshore chemicals.

The Energy Act 2008 (Consequential Modifications) (Offshore Environmental Protection) Order 2010 applies the requirements of the UK REACH Enforcement Regulations and to offshore installations involved in Carbon Capture and Storage (CCS) and gas unloading/storage activities.

From an offshore environmental protection perspective, the Hazardous Material Control System () and REACH requirements run in parallel, with the approach to controlling offshore chemicals appropriately harmonised with the provisions of the EU Regulation. Accordingly, the UK REACH Enforcement Regulations contain certain provisions from the , so effectively the (and hence ) are the mechanism for supporting the application of environmental protection elements of REACH to offshore installations.

The Health and Safety Executive () is the UK Competent Authority for REACH. It works closely with the Department for Food and Rural Affairs () and other government departments, including OPREDBEIS, and agencies on policy and enforcement.

To ensure a consistent regime, offshore enforcement of REACH is the responsibility of the bodies familiar with enforcement requirements in similar circumstances. and enforce offshore health/safety and environmental protection using their respective onshore administrative procedures and offshore inspectors to check compliance. In this regard, sits on the UK REACH Enforcement Liaison Group to ensure a proportionate and consistent method of enforcement is adopted through an agreed Memorandum of Understanding.

Note: 's regulatory regime for offshore chemicals does not extend to Scottish-controlled waters. Within this area, REACH is enforced by Marine Scotland on behalf of the Scottish Government.

Regulations

Guidance

Queries on the applications of REACH should, in the first instance, be directed to the helpdesk at [email protected]. However, queries on 's offshore enforcement role can be sent to [email protected].

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