Schedule 1
(Regulation 1(3))
CHAPTER XI-2
SPECIAL MEASURES TO ENHANCE
MARITIME SECURITY
Regulation 1 –
Definitions
1 For
the purpose of this chapter, unless expressly provided otherwise:
.1 Bulk
carrier means a bulk carrier as defined in
regulation IX/1.6.
.2 Chemical
tanker means a chemical tanker as defined in
regulation VII/8.2.
.3 Gas
carrier means a gas carrier as defined in
regulation VII/11.2.
.4 High-speed
craft means a craft as defined in regulation
X/1.2.
.5 Mobile offshore drilling
unit means a mechanically propelled mobile
offshore drilling unit, as defined in regulation IX/1, not on location.
.6 Oil
tanker means an oil tanker as defined in regulation
II-1/2.12.
.7 Company means a Company as defined in regulation IX/1.
.8 Ship/port
interface means the interactions that occur when
a ship is directly and immediately affected by actions involving the movement
of persons, goods or the provisions of port services to or from the ship.
.9 Port
facility is a location, as determined by the
Contracting Government or by the Designated Authority, where the ship/port
interface takes place. This includes areas such as anchorages, waiting berths
and approaches from seaward, as appropriate.
.10 Ship
to ship activity means any activity not related
to a port facility that involves the transfer of goods or persons from one ship
to another.
.11 Designated
Authority means the organization(s) or the
administration(s) identified, within the Contracting Government, as responsible
for ensuring the implementation of the provisions of this chapter pertaining to
port facility security and ship/port interface, from the point of view of the
port facility.
.12 International
Ship and Port Facility Security (ISPS) Code
means the International Code for the Security of Ships and of Port Facilities
consisting of Part A (the provisions of which shall be treated as mandatory)
and part B (the provisions of which shall be treated as recommendatory), as
adopted, on 12 December 2002, by resolution 2 of the Conference of Contracting
Governments to the International Convention for the Safety of Life at Sea, 1974
as may be amended by the Organization, provided that:
.1 amendments
to part A of the Code are adopted, brought into force and take effect in
accordance with article VIII of the present Convention concerning the amendment
procedures applicable to the Annex
other than chapter I; and
.2 amendments
to part B of the Code are adopted by the Maritime Safety Committee in
accordance with its Rules of Procedure.
.13 Security
incident means any suspicious act or
circumstance threatening the security of a ship, including a mobile offshore
drilling unit and a high speed craft, or of a port facility or of any ship/port
interface or any ship to ship activity.
.14 Security
level means the qualification of the degree of
risk that a security incident will be attempted or will occur.
.15 Declaration
of security means an agreement reached between a
ship and either a port facility or another ship with which it interfaces
specifying the security measures each will implement.
.16 Recognized
security organization means an organization with
appropriate expertise in security matters and with appropriate knowledge of
ship and port operations authorized to carry out an assessment, or a
verification, or an approval or a certification activity, required by this
chapter or by part A of the ISPS Code.
2 The
term “ship”, when used in regulations 3 to 13, includes mobile
offshore drilling units and high-speed craft.
3 The
term “all ships”, when used in this chapter, means any ship to
which this chapter applies.
4 The
term “Contracting Government”, when used in regulations 3, 4, 7,
10, 11, 12 and 13 includes a reference to the “Designated
Authority”.
Regulation 2 –
Application
1 This
chapter applies to:
1 the
following types of ships engaged on international voyages:
1.1 passenger
ships, including high-speed passenger craft;
1.2 cargo
ships, including high-speed craft, of 500 gross tonnage and upwards; and
1.3 mobile
offshore drilling units; and
2 port
facilities serving such ships engaged on international voyages.
2 Notwithstanding
the provisions of paragraph 1.2, Contracting Governments shall decide the
extent of application of this chapter and of the relevant sections of part A of
the ISPS Code to those port facilities within their territory which, although
used primarily by ships not engaged on international voyages, are required,
occasionally, to serve ships arriving or departing on an international voyage.
2.1 Contracting
Governments shall base their decisions, under paragraph 2, on a port facility
security assessment carried out in accordance with the provisions of part A of
the ISPS Code.
2.2 Any
decision which a Contracting Government makes, under paragraph 2, shall not
compromise the level of security intended to be achieved by this chapter or by
part A of the ISPS Code.
3 This
chapter does not apply to warships, naval auxiliaries or other ships owned or
operated by a Contracting Government and used only on Government non‑commercial
service.
4 Nothing
in this chapter shall prejudice the rights or obligations of States under
international law.
Regulation 3 –
Obligations of Contracting Governments with respect to security
1 Administrations
shall set security levels and ensure the provision of security level
information to ships entitled to fly their flag. When changes in security level
occur, security level information shall be updated as the circumstance
dictates.
2 Contracting
Governments shall set security levels and ensure the provision of security
level information to port facilities within their territory, and to ships prior
to entering a port or whilst in a port within their territory. When changes in
security level occur, security level information shall be updated as the
circumstance dictates.
Regulation 4 –
Requirements for Companies and ships
1 Companies
shall comply with the relevant requirements of this chapter and of part A of
the ISPS Code, taking into account the guidance given in part B of the ISPS
Code.
2 Ships
shall comply with the relevant requirements of this chapter and of part A of
the ISPS Code, taking into account the guidance given in part B of the ISPS
Code, and such compliance shall be verified and certified as provided for in
part A of the ISPS Code.
3 Prior
to entering a port or whilst in a port within the territory of a Contracting
Government, a ship shall comply with the requirements for the security level
set by that Contracting Government, if such security level is higher than the
security level set by the Administration for that ship.
4 Ships
shall respond without undue delay to any change to a higher security level.
5 Where
a ship is not in compliance with the requirements of this chapter or of
part A of the ISPS Code, or cannot comply with the requirements of the
security level set by the Administration or by another Contracting Government
and applicable to that ship, then the ship shall notify the appropriate
competent authority prior to conducting any ship/port interface or prior to
entry into port, whichever occurs earlier.
Regulation 5 –
Specific responsibility of Companies
The Company shall ensure that the master has available on board, at
all times, information through which officers duly authorised by a Contracting
Government can establish:
.1 who
is responsible for appointing the members of the crew or other persons
currently employed or engaged on board the ship in any capacity on the business
of that ship;
.2 who
is responsible for deciding the employment of the ship; and
.3 in
cases where the ship is employed under the terms of charter party(ies), who are
the parties to such charter party(ies).
Regulation 6 –
Ship security alert system
1 All
ships shall be provided with a ship security alert system, as follows:
.1 ships
constructed on or after 1 July 2004;
.2 passenger
ships, including high-speed passenger craft, constructed before
1 July 2004, not later than the first survey of the radio
installation after 1 July 2004;
.3 oil
tankers, chemical tankers, gas carriers, bulk carriers and cargo high speed
craft, of 500 gross tonnage and upwards constructed before
1 July 2004, not later than the first survey of the radio
installation after 1 July 2004; and
.4 other
cargo ships of 500 gross tonnage and upward and mobile offshore drilling units
constructed before 1 July 2004, not later than the first survey of the radio
installation after 1 July 2006.
2 The
ship security alert system, when activated, shall:
.1 initiate
and transmit a ship-to-shore security alert to a competent authority designated
by the Administration, which in these circumstances may include the Company,
identifying the ship, its location and indicating that the security of the ship
is under threat or it has been compromised;
.2 not
send the ship security alert to any other ships;
.3 not
raise any alarm on-board the ship; and
.4 continue
the ship security alert until deactivated and/or reset.
3 The
ship security alert system shall:
.1 be
capable of being activated from the navigation bridge and in at least one other
location; and
.2 conform
to performance standards not inferior to those adopted by the Organization.
4 The
ship security alert system activation points shall be designed so as to prevent
the inadvertent initiation of the ship security alert.
5 The
requirement for a ship security alert system may be complied with by using the
radio installation fitted for compliance with the requirements of chapter IV,
provided all requirements of this regulation are complied with.
6 When
an Administration receives notification of a ship security alert, that
Administration shall immediately notify the State(s) in the vicinity of which
the ship is presently operating.
7 When
a Contracting Government receives notification of a ship security alert from a
ship which is not entitled to fly its flag, that Contracting Government shall
immediately notify the relevant Administration and, if appropriate, the
State(s) in the vicinity of which the ship is presently operating.
Regulation 7 –
Threats to ships
1 Contracting
Governments shall set security levels and ensure the provision of security
level information to ships operating in their territorial sea or having
communicated an intention to enter their territorial sea.
2 Contracting
Governments shall provide a point of contact through which such ships can
request advice or assistance and to which such ships can report any security
concerns about other ships, movements or communications.
3 Where
a risk of attack has been identified, the Contracting Government concerned
shall advise the ships concerned and their Administrations of:
.1 the
current security level;
.2 any
security measures that should be put in place by the ships concerned to protect
themselves from attack, in accordance with the provisions of part A of the ISPS
Code; and
.3 security
measures that the coastal State has decided to put in place, as appropriate.
Regulation 8 –
Master’s discretion for ship safety and security
1 The
master shall not be constrained by the Company, the charterer or any other
person from taking or executing any decision which, in the professional
judgement of the master, is necessary to maintain the safety and security of
the ship. This includes denial of access to persons (except those identified as
duly authorized by a Contracting Government) or their effects and refusal to
load cargo, including containers or other closed cargo transport units.
2 If,
in the professional judgement of the master, a conflict between any safety and
security requirements applicable to the ship arises during its operations, the
master shall give effect to those requirements necessary to maintain the safety
of the ship. In such cases, the master may implement temporary security
measures and shall forthwith inform the Administration and, if appropriate, the
Contracting Government in whose port the ship is operating or intends to enter.
Any such temporary security measures under this regulation shall, to the
highest possible degree, be commensurate with the prevailing security level.
When such cases are identified, the Administration shall ensure that such
conflicts are resolved and that the possibility of recurrence is minimised.
Regulation 9 –
Control and compliance measures
1 Control
of ships in port
1.1 For
the purpose of this chapter, every ship to which this chapter applies is
subject to control when in a port of another Contracting Government by officers
duly authorised by that Government, who may be the same as those carrying out
the functions of regulation I/19. Such control shall be limited to
verifying that there is onboard a valid International Ship Security Certificate
or a valid Interim International Ships Security Certificate issued under the
provisions of part A of the ISPS Code (Certificate), which if valid shall be
accepted, unless there are clear grounds for believing that the ship is not in
compliance with the requirements of this chapter or part A of the ISPS Code.
1.2 When
there are such clear grounds, or where no valid Certificate is produced when
required, the officers duly authorized by the Contracting Government shall
impose any one or more control measures in relation to that ship as provided in
paragraph 1.3. Any such measures imposed must be proportionate, taking into
account the guidance given in part B of the ISPS Code.
1.3 Such
control measures are as follows: inspection of the ship, delaying the ship,
detention of the ship, restriction of operations including movement within the
port, or expulsion of the ship from port. Such control measures may
additionally or alternatively include other lesser administrative or corrective
measures.
2 Ships
intending to enter a port of another Contracting Government
2.1 For
the purpose of this chapter, a Contracting Government may require that ships
intending to enter its ports provide the following information to officers duly
authorized by that Government to ensure compliance with this chapter prior to
entry into port with the aim of avoiding the need to impose control measures or
steps:
.1 that
the ship possesses a valid Certificate and the name of its issuing authority;
.2 the
security level at which the ship is currently operating;
.3 the
security level at which the ship operated in any previous port where it has
conducted a ship/port interface within the timeframe specified in paragraph
2.3;
.4 any
special or additional security measures that were taken by the ship in any
previous port where it has conducted a ship/port interface within the timeframe
specified in paragraph 2.3;
.5 that
the appropriate ship security procedures were maintained during any ship to
ship activity within the timeframe specified in paragraph 2.3; or
.6 other
practical security related information (but not details of the ship security plan),
taking into account the guidance given in part B of the ISPS Code.
If requested by the Contracting Government, the ship or the Company
shall provide confirmation, acceptable to that Contracting Government, of the
information required above.
2.2 Every
ship to which this chapter applies intending to enter the port of another
Contracting Government shall provide the information described in
paragraph 2.1 on the request of the officers duly authorized by that
Government. The master may decline to provide such information on the
understanding that failure to do so may result in denial of entry into port.
2.3 The
ship shall keep records of the information referred to in paragraph 2.1 for the
last 10 calls at port facilities.
2.4 If,
after receipt of the information described in paragraph 2.1, officers duly
authorised by the Contracting Government of the port in which the ship intends
to enter have clear grounds for believing that the ship is in non-compliance
with the requirements of this chapter or part A of the ISPS Code, such officers
shall attempt to establish communication with and between the ship and the
Administration in order to rectify the non-compliance. If such communication
does not result in rectification, or if such officers have clear grounds otherwise
for believing that the ship is in non-compliance with the requirements of this
chapter or part A of the ISPS Code, such officers may take steps in relation to
that ship as provided in paragraph 2.5. Any such steps taken must be
proportionate, taking into account the guidance given in part B of the ISPS
Code.
2.5 Such
steps are as follows:
.1 a
requirement for the rectification of the non-compliance;
.2 a
requirement that the ship proceed to a location specified in the territorial
sea or internal waters of that Contracting Government;
.3 inspection
of the ship, if the ship is in the territorial sea of the Contracting
Government the port of which the ship intends to enter; or
.4 denial
of entry into port.
Prior to initiating any such steps, the ship shall be informed by
the Contracting Government of its intentions. Upon this information the master
may withdraw the intention to enter that port. In such cases, this regulation
shall not apply.
3 Additional
provisions
3.1 In
the event:
1 of the imposition of a
control measure, other than a lesser administrative or corrective measure,
referred to in paragraph 1.3; or
2 any of the steps referred
to in paragraph 2.5 are taken, an officer duly authorized by the
Contracting Government shall forthwith inform in writing the Administration
specifying which control measures have been imposed or steps taken and the
reasons thereof. The Contracting Government imposing the control measures or
steps shall also notify the recognized security organization, which issued the
Certificate relating to the ship concerned and the Organization when any such
control measures have been imposed or steps taken.
3.2 When
entry into port is denied or the ship is expelled from port, the authorities of
the port State should communicate the appropriate facts to the authorities of
the State of the next appropriate ports of call, when known, and any other
appropriate coastal States, taking into account guidelines to be developed by
the Organization. Confidentiality and security of such notification shall be
ensured.
3.3 Denial
of entry into port, pursuant to paragraphs 2.4 and 2.5, or expulsion from port,
pursuant to paragraphs 1.1 to 1.3, shall only be imposed where the officers
duly authorized by the Contracting Government have clear grounds to believe
that the ship poses an immediate threat to the security or safety of persons,
or of ships or other property and there are no other appropriate means for
removing that threat.
3.4 The
control measures referred to in paragraph 1.3 and the steps referred to in
paragraph 2.5 shall only be imposed, pursuant to this regulation, until the
non-compliance giving rise to the control measures or steps has been corrected
to the satisfaction of the Contracting Government, taking into account actions
proposed by the ship or the Administration, if any.
3.5 When
Contracting Governments exercise control under paragraph 1 or take steps
under paragraph 2:
.1 all
possible efforts shall be made to avoid a ship being unduly detained or
delayed. If a ship is thereby unduly detained, or delayed, it shall be entitled
to compensation for any loss or damage suffered; and
.2 necessary
access to the ship shall not be prevented for emergency or humanitarian reasons
and for security purposes.
Regulation 10 –
Requirements for port facilities
1 Port
facilities shall comply with the relevant requirements of this chapter and
part A of the ISPS Code, taking into account the guidance given in part B
of the ISPS Code.
2 Contracting
Governments with a port facility or port facilities within their territory, to
which this regulation applies, shall ensure that:
.1 port
facility security assessments are carried out, reviewed and approved in
accordance with the provisions of part A of the ISPS Code; and
.2 port
facility security plans are developed, reviewed, approved and implemented in
accordance with the provisions of part A of the ISPS Code.
3 Contracting
Governments shall designate and communicate the measures required to be
addressed in a port facility security plan for the various security levels,
including when the submission of a Declaration of Security will be required.
Regulation 11 –
Alternative security agreements
1 Contracting
Governments may, when implementing this chapter and part A of the ISPS
Code, conclude in writing bilateral or multilateral agreements with other
Contracting Governments on alternative security arrangements covering short
international voyages on fixed routes between port facilities located within
their territories.
2 Any
such agreement shall not compromise the level of security of other ships or of
port facilities not covered by the agreement.
3 No
ship covered by such an agreement shall conduct any ship-to-ship activities
with any ship not covered by the agreement.
4 Such
agreements shall be reviewed periodically, taking into account the experience
gained as well as any changes in the particular circumstances or the assessed
threats to the security of the ships, the port facilities or the routes covered
by the agreement.
Regulation 12 –
Equivalent security arrangements
1 An
Administration may allow a particular ship or a group of ships entitled to fly
its flag to implement other security measures equivalent to those prescribed in
this chapter or in part A of the ISPS Code, provided such security measures are
at least as effective as those prescribed in this chapter or part A of the ISPS
Code. The Administration, which allows such security measures, shall
communicate to the Organization particulars thereof.
2 When
implementing this chapter and part A of the ISPS Code, a Contracting
Government may allow a particular port facility or a group of port facilities
located within its territory, other than those covered by an agreement
concluded under regulation 11, to implement security measures equivalent
to those prescribed in this chapter or in Part A of the ISPS Code, provided
such security measures are at least as effective as those prescribed in this
chapter or part A of the ISPS Code. The Contracting Government, which
allows such security measures, shall communicate to the Organization
particulars thereof.
Regulation 13 –
Communication of information
1 Contracting
Governments shall, not later than 1 July 2004, communicate to the Organization
and shall make available for the information of Companies and ships:
.1 the
names and contact details of their national authority or authorities
responsible for ship and port facility security;
.2 the
locations within their territory covered by the approved port facility security
plans;
.3 the
names and contact details of those who have been designated to be available at
all times to receive and act upon the ship-to-shore security alerts, referred
to in regulation 6.2.1;
.4 the
names and contact details of those who have been designated to be available at
all times to receive and act upon any communications from Contracting
Governments exercising control and compliance measures, referred to in
regulation 9.3.1; and
.5 the
names and contact details of those who have been designated to be available at
all times to provide advice or assistance to ships and to whom ships can report
any security concerns, referred to in regulation 7.2; and thereafter update
such information as and when changes relating thereto occur. The Organization
shall circulate such particulars to other Contracting Governments for the
information of their officers.
2 Contracting
Governments shall, not later than 1 July 2004, communicate to the Organization
the names and contact details of any recognized security organizations
authorized to act on their behalf together with details of the specific
responsibility and conditions of authority delegated to such organizations.
Such information shall be updated as and when changes relating thereto occur.
The Organization shall circulate such particulars to other Contracting
Governments for the information of their officers.
3 Contracting
Governments shall, not later than 1 July 2004 communicate to the Organization a
list showing the approved port facility security plans for the port facilities
located within their territory together with the location or locations covered
by each approved port facility security plan and the corresponding date of
approval and thereafter shall further communicate when any of the following
changes take place:
.1 changes
in the location or locations covered by an approved port facility security plan
are to be introduced or have been introduced. In such cases the information to
be communicated shall indicate the changes in the location or locations covered
by the plan and the date as of which such changes are to be introduced or were
implemented;
.2 an
approved port facility security plan, previously included in the list submitted
to the Organization, is to be withdrawn or has been withdrawn. In such cases,
the information to be communicated shall indicate the date on which the
withdrawal will take effect or was implemented. In these cases, the
communication shall be made to the Organization as soon as is practically
possible; and
.3 additions
are to be made to the list of approved port facility security plans. In such
cases, the information to be communicated shall indicate the location or
locations covered by the plan and the date of approval.
4 Contracting
Governments shall, at 5 year intervals after 1 July 2004, communicate
to the Organization a revised and updated list showing all the approved port
facility security plans for the port facilities located within their territory
together with the location or locations covered by each approved port facility
security plan and the corresponding date of approval (and the date of approval
of any amendments thereto) which will supersede and replace all information
communicated to the Organization, pursuant to paragraph 3, during the preceding
five years.
5 Contracting
Governments shall communicate to the Organization information that an agreement
under regulation 11 has been concluded. The information communicated shall
include:
.1 the
names of the Contracting Governments which have concluded the agreement;
.2 the
port facilities and the fixed routes covered by the agreement;
.3 the
periodicity of review of the agreement;
.4 the
date of entry into force of the agreement; and
.5 information
on any consultations which have taken place with other Contracting Governments;
and thereafter shall communicate, as soon as practically possible, to the
Organization information when the agreement has been amended or has ended.
6 Any
Contracting Government which allows, under the provisions of
regulation 12, any equivalent security arrangements with respect to a ship
entitled to fly its flag or with respect to a port facility located within its
territory, shall communicate to the Organization particulars thereof.
7 The
Organization shall make available the information communicated under paragraph
3 to other Contracting Governments upon request.
Schedule 2
(Regulation 1(4))
PREAMBLE AND PART A OF THE
INTERNATIONAL CODE FOR THE SECURITY OF SHIPS AND OF PORT FACILITIES
PREAMBLE
1 The
Diplomatic Conference on Maritime Security held in London in December 2002
adopted new provisions in the International Convention for the Safety of Life
at Sea, 1974 and this Code to enhance maritime security. These new requirements
form the international framework through which ships and port facilities can
co-operate to detect and deter acts which threaten security in the maritime
transport sector.
2 Following
the tragic events of 11th September 2001, the twenty-second session of the
Assembly of the International Maritime Organization (the Organization), in
November 2001, unanimously agreed to the development of new measures relating
to the security of ships and of port facilities for adoption by a Conference of
Contracting Governments to the International Convention for the Safety of Life
at Sea, 1974 (known as the Diplomatic Conference on Maritime Security) in
December 2002. Preparation for the Diplomatic Conference was entrusted to the
Organization’s Maritime Safety Committee (MSC) on the basis of
submissions made by Member States, intergovernmental organizations and
non-governmental organizations in consultative status with the Organization.
3 The
MSC, at its first extraordinary session, held also in November 2001, in order
to accelerate the development and the adoption of the appropriate security
measures established an MSC Intersessional Working Group on Maritime Security.
The first meeting of the MSC Intersessional Working Group on Maritime
Security was held in February 2002 and the outcome of its discussions was
reported to, and considered by, the seventy-fifth session of the MSC in March
2002, when an ad hoc Working Group was
established to further develop the proposals made. The seventy-fifth session of
the MSC considered the report of that Working Group and recommended that work
should be taken forward through a further MSC Intersessional Working Group,
which was held in September 2002. The seventy-sixth session of the MSC
considered the outcome of the September 2002 session of the
MSC Intersessional Working Group and the further work undertaken by the
MSC Working Group held in conjunction with the Committee’s seventy-sixth
session in December 2002, immediately prior to the Diplomatic Conference
and agreed the final version of the proposed texts to be considered by the
Diplomatic Conference.
4 The
Diplomatic Conference (9 to 13 December 2002) also adopted amendments to the
existing provisions of the International Convention for the Safety of Life at
Sea, 1974 (SOLAS 74) accelerating the implementation of the requirement to
fit Automatic Identification Systems and adopted new Regulations in Chapter XI-1
of SOLAS 74 covering marking of the Ship’s Identification Number and the
carriage of a Continuous Synopsis Record. The Diplomatic Conference also
adopted a number of Conference Resolutions including those covering
implementation and revision of this Code, Technical Co-operation, and
co-operative work with the International Labour Organization and World Customs
Organization. It was recognized that review and amendment of certain of the new
provisions regarding maritime security may be required on completion of the
work of these two Organizations.
5 The
provision of Chapter XI-2 of SOLAS 74 and this Code apply to ships and to port
facilities. The extension of SOLAS 74 to cover port facilities was agreed on
the basis that SOLAS 74 offered the speediest means of ensuring the necessary
security measures entered into force and given effect quickly. However, it was
further agreed that the provisions relating to port facilities should relate
solely to the ship/port interface. The wider issue of the security of port areas
will be the subject of further joint work between the International Maritime
Organization and the International Labour Organization. It was also agreed that
the provisions should not extend to the actual response to attacks or to any
necessary clear-up activities after such an attack.
6 In
drafting the provision care has been taken to ensure compatibility with the
provisions of the International Convention on Standards of Training,
Certification and Watchkeeping and Certification for Seafarers, 1978, as amended,
the International Safety Management (ISM) Code and the harmonised system of
survey and certification.
7 The
provisions represent a significant change in the approach of the international
maritime industries to the issue of security in the maritime transport sector.
It is recognized that they may place a significant additional burden on certain
Contracting Governments. The importance of Technical Co-operation to assist
Contracting Governments implement the provisions is fully recognized.
8 Implementation
of the provisions will require continuing effective co-operation and
understanding between all those involved with, or using, ships and port
facilities including ship’s personnel, port personnel, passengers, cargo
interests, ship and port management and those in National and Local Authorities
with security responsibilities. Existing practices and procedures will have to
be reviewed and changed if they do not provide an adequate level of security.
In the interests of enhanced maritime security additional responsibilities will
have to be carried by the shipping and port industries and by National and
Local Authorities.
9 The
guidance given in part B of this Code should be taken into account when
implementing the security provisions set out in Chapter XI-2 of SOLAS 74 and in
part A of this Code. However, it is recognized that the extent to which the
guidance applies may vary depending on the nature of the port facility and of
the ship, its trade and/or cargo.
10 Nothing
in this Code shall be interpreted or applied in a manner inconsistent with the
proper respect of fundamental rights and freedoms as set out in international
instruments, particularly those relating to maritime workers and refugees
including the International Labour Organization Declaration of Fundamental
Principles and Rights at Work as well as international standards concerning
maritime and port workers.
11 Recognizing
that the Convention on the Facilitation of Maritime Traffic, 1965, as
amended, provides that foreign crew members shall be allowed ashore by the
public authorities while the ship on which they arrive is in port, provided
that the formalities on arrival of the ship have been fulfilled and the public
authorities have no reason to refuse permission to come ashore for reasons of
public health, public safety or public order, Contracting Governments when
approving ship and port facility security plans should pay due cognisance to
the fact that ship’s personnel live and work on the vessel and need shore
leave and access to shore based seafarer welfare facilities, including medical
care.
Part A
Mandatory Requirements
Regarding the Provisions of Chapter XI-2 of the International Convention for
the Safety of Life At Sea, 1974, as amended
1 General
1.1 Introduction
This part of the International Code for the Security of Ships and
Port Facilities contains mandatory provisions to which reference is made in
chapter XI-2 of the International Convention for the Safety of Life at Sea,
1974 as amended.
1.2 Objectives
The objectives of this Code are:
.1 to
establish an international framework involving co-operation between Contracting
Governments, Government agencies, local administrations and the shipping and
port industries to detect security threats and take preventive measures against
security incidents affecting ships or port facilities used in international
trade;
.2 to
establish the respective roles and responsibilities of the Contracting
Governments, Government agencies, local administrations and the shipping and
port industries, at the national and international level for ensuring maritime
security;
.3 to
ensure the early and efficient collection and exchange of security-related
information;
.4 to
provide a methodology for security assessments so as to have in place plans and
procedures to react to changing security levels; and
.5 to
ensure confidence that adequate and proportionate maritime security measures
are in place.
1.3 Functional
requirements
In order to achieve its objectives, this Code embodies a number of
functional requirements. These include, but are not limited to:
.1 gathering
and assessing information with respect to security threats and exchanging such
information with appropriate Contracting Governments;
.2 requiring
the maintenance of communication protocols for ships and port facilities;
.3 preventing
unauthorized access to ships, port facilities and their restricted areas;
.4 preventing
the introduction of unauthorized weapons, incendiary devices or explosives to
ships or port facilities;
.5 providing
means for raising the alarm in reaction to security threats or security
incidents;
.6 requiring
ship and port facility security plans based upon security assessments; and
.7 requiring
training, drills and exercises to ensure familiarity with security plans and
procedures.
2 Definitions
2.1 For
the purpose of this part, unless expressly provided otherwise:
.1 Convention means the International Convention for the Safety of Life at Sea,
1974 as amended.
.2 Regulation means a regulation of the Convention.
.3 Chapter means a chapter of the Convention.
.4 Ship
security plan means a plan developed to ensure
the application of measures on board the ship designed to protect persons on
board, cargo, cargo transport units, ship’s stores or the ship from the
risks of a security incident.
.5 Port
facility security plan means a plan developed to
ensure the application of measures designed to protect the port facility and
ships, persons, cargo, cargo transport units and ship’s stores within the
port facility from the risks of a security incident.
.6 Ship
security officer means the person on board the
ship, accountable to the master, designated by the Company as responsible for
the security of the ship, including implementation and maintenance of the ship
security plan and for liaison with the company security officer and port
facility security officers.
.7 Company
security officer means the person designated by
the Company for ensuring that a ship security assessment is carried out; that a
ship security plan is developed, submitted for approval, and thereafter
implemented and maintained and for liaison with port facility security officers
and the ship security officer.
.8 Port
facility security officer means the person
designated as responsible for the development, implementation, revision and
maintenance of the port facility security plan and for liaison with the ship
security officers and company security officers.
.9 Security
level 1 means the level for which minimum
appropriate protective security measures shall be maintained at all times.
.10 Security
level 2 means the level for which
appropriate additional protective security measures shall be maintained for a
period of time as a result of heightened risk of a security incident.
.11 Security
level 3 means the level for which further
specific protective security measures shall be maintained for a limited period
of time when a security incident is probable or imminent, although it may not
be possible to identify the specific target.
2.2 The
term “ship”, when used in this Code, includes mobile offshore
drilling units and high-speed craft as defined in regulation XI-2/1.
2.3 The
term “Contracting Government” in connection with any reference to a
port facility, when used in sections 14 to 18, includes a reference to the
“Designated Authority”.
2.4 Terms
not otherwise defined in this part shall have the same meaning as the meaning
attributed to them in chapters I and XI-2.
3 Application
3.1 This
Code applies to:
1 the
following types of ships engaged on international voyages:
.1 passenger
ships, including high-speed passenger craft;
.2 cargo
ships, including high-speed craft, of 500 gross tonnage and upwards; and
.3 mobile
offshore drilling units; and
2 port
facilities serving such ships engaged on international voyages.
3.2 Notwithstanding
the provisions of section 3.1.2, Contracting Governments shall decide the
extent of application of this Part of the Code to those port facilities within
their territory which, although used primarily by ships not engaged on
international voyages, are required, occasionally, to serve ships arriving or
departing on an international voyage.
3.2.1 Contracting
Governments shall base their decisions, under section 3.2, on a port facility
security assessment carried out in accordance with this Part of the Code.
3.2.2 Any decision which
a Contracting Government makes, under section 3.2, shall not compromise the
level of security intended to be achieved by chapter XI-2 or by this Part of
the Code.
3.3 This
Code does not apply to warships, naval auxiliaries or other ships owned or
operated by a Contracting Government and used only on Government non-commercial
service.
3.4 Sections
5 to 13 and 19 of this part apply to Companies and ships as specified in
regulation XI-2/4.
3.5 Sections
5 and 14 to 18 of this part apply to port facilities as specified in
regulation XI-2/10.
3.6 Nothing
in this Code shall prejudice the rights or obligations of States under
international law.
4 Responsibilities of
Contracting Governments
4.1 Subject
to the provisions of regulation XI-2/3 and XI-2/7, Contracting Governments
shall set security levels and provide guidance for protection from security
incidents. Higher security levels indicate greater likelihood of occurrence of
a security incident. Factors to be considered in setting the appropriate security
level include:
.1 the
degree that the threat information is credible;
.2 the
degree that the threat information is corroborated;
.3 the
degree that the threat information is specific or imminent; and
.4 the
potential consequences of such a security incident.
4.2 Contracting
Governments, when they set security level 3, shall issue, as necessary,
appropriate instructions and shall provide security related information to the
ships and port facilities that may be affected.
4.3 Contracting
Governments may delegate to a recognized security organization certain of their
security related duties under chapter XI-2 and this Part of the Code with the
exception of:
.1 setting
of the applicable security level;
.2 approving
a Port Facility Security Assessment and subsequent amendments to an approved
assessment;
.3 determining
the port facilities which will be required to designate a Port Facility
Security Officer;
.4 approving
a Port Facility Security Plan and subsequent amendments to an approved plan;
.5 exercising
control and compliance measures pursuant to regulation XI-2/9; and
.6 establishing
the requirements for a Declaration of Security.
4.4 Contracting
Governments shall, to the extent they consider appropriate, test the
effectiveness of the Ship or the Port Facility Security Plans, or of amendments
to such plans, they have approved, or, in the case of ships, of plans which
have been approved on their behalf.
5 Declaration of security
5.1 Contracting
Governments shall determine when a Declaration of Security is required by
assessing the risk the ship/port interface or ship to ship activity poses to
persons, property or the environment.
5.2 A
ship can request completion of a Declaration of Security when:
1 the
ship is operating at a higher security level than the port facility or another
ship it is interfacing with;
2 there
is an agreement on a Declaration of Security between Contracting Governments
covering certain international voyages or specific ships on those voyages;
3 there
has been a security threat or a security incident involving the ship or
involving the port facility, as applicable;
4 the
ship is at a port which is not required to have and implement an approved port
facility security plan; or
5 the
ship is conducting ship to ship activities with another ship not required to
have and implement an approved ship security plan.
5.3 Requests
for the completion of a Declaration of Security, under this section, shall be
acknowledged by the applicable port facility or ship.
5.4 The
Declaration of Security shall be completed by:
.1 the
master or the ship security officer on behalf of the ship(s); and, if
appropriate,
.2 the
port facility security officer or, if the Contracting Government determines
otherwise, by any other body responsible for shore-side security, on behalf of
the port facility.
5.5 The
Declaration of Security shall address the security requirements that could be
shared between a port facility and a ship (or between ships) and shall state
the responsibility for each.
5.6 Contracting
Governments shall specify, bearing in mind the provisions of regulation XI‑2/9.2.3,
the minimum period for which Declarations of Security shall be kept by the port
facilities located within their territory.
5.7 Administrations
shall specify, bearing in mind the provisions of regulation XI-2/9.2.3,
the minimum period for which Declarations of Security shall be kept by ships
entitled to fly their flag.
6 Obligations of the Company
6.1 The
Company shall ensure that the ship security plan contains a clear statement
emphasizing the master’s authority. The Company shall establish in the
ship security plan that the master has the overriding authority and
responsibility to make decisions with respect to the safety and security of the
ship and to request the assistance of the Company or of any Contracting
Government as may be necessary.
6.2 The
Company shall ensure that the company security officer, the master and the ship
security officer are given the necessary support to fulfil their duties and
responsibilities in accordance with chapter XI-2 and this Part of the Code.
7 Ship security
7.1 A
ship is required to act upon the security levels set by Contracting Governments
as set out below.
7.2 At security
level 1, the following activities shall be carried out, through
appropriate measures, on all ships, taking into account the guidance given in
part B of this Code, in order to identify and take preventive measures against
security incidents:
.1 ensuring
the performance of all ship security duties;
.2 controlling
access to the ship;
.3 controlling
the embarkation of persons and their effects;
.4 monitoring
restricted areas to ensure that only authorized persons have access;
.5 monitoring
of deck areas and areas surrounding the ship;
.6 supervising
the handling of cargo and ship’s stores; and
.7 ensuring
that security communication is readily available.
7.3 At
security level 2, the additional protective measures, specified in the ship
security plan, shall be implemented for each activity detailed in section 7.2,
taking into account the guidance given in part B of this Code.
7.4 At
security level 3, further specific protective measures, specified in the ship
security plan, shall be implemented for each activity detailed in section 7.2,
taking into account the guidance given in part B of this Code.
7.5 Whenever
security level 2 or 3 is set by the Administration, the ship shall acknowledge
receipt of the instructions on change of the security level.
7.6 Prior
to entering a port or whilst in a port within the territory of a Contracting
Government that has set security level 2 or 3, the ship shall acknowledge
receipt of this instruction and shall confirm to the port facility security
officer the initiation of the implementation of the appropriate measures and
procedures as detailed in the ship security plan, and in the case of security
level 3, in instructions issued by the Contracting Government which has
set security level 3. The ship shall report any difficulties in
implementation. In such cases, the port facility security officer and ship security
officer shall liaise and co-ordinate the appropriate actions.
7.7 If
a ship is required by the Administration to set, or is already at, a higher
security level than that set for the port it intends to enter or in which it is
already located, then the ship shall advise, without delay, the competent
authority of the Contracting Government within whose territory the port
facility is located and the port facility security officer of the situation.
7.7.1 In such cases, the
ship security officer shall liaise with the port facility security officer and
co-ordinate appropriate actions, if necessary.
7.8 An
Administration requiring ships entitled to fly its flag to set security level 2
or 3 in a port of another Contracting Government shall inform that Contracting
Government without delay.
7.9 When
Contracting Governments set security levels and ensure the provision of
security level information to ships operating in their territorial sea, or
having communicated an intention to enter their territorial sea, such ships
shall be advised to maintain vigilance and report immediately to their
Administration and any nearby coastal States any information that comes to
their attention that might affect maritime security in the area.
7.9.1 When advising such
ships of the applicable security level, a Contracting Government shall, taking
into account the guidance given in the part B of this Code, also advise those
ships of any security measure that they should take and, if appropriate, of
measures that have been taken by the Contracting Government to provide
protection against the threat.
8 Ship security assessment
8.1 The
ship security assessment is an essential and integral part of the process of
developing and updating the ship security plan.
8.2 The
company security officer shall ensure that the ship security assessment is
carried out by persons with appropriate skills to evaluate the security of a
ship, in accordance with this section, taking into account the guidance given
in part B of this Code.
8.3 Subject
to the provisions of section 9.2.1, a recognized security organization may
carry out the ship security assessment of a specific ship.
8.4 The
ship security assessment shall include an on-scene security survey and, at
least, the following elements:
.1 identification
of existing security measures, procedures and operations;
.2 identification
and evaluation of key ship board operations that it is important to protect;
.3 identification
of possible threats to the key ship board operations and the likelihood of
their occurrence, in order to establish and prioritise security measures; and
.4 identification
of weaknesses, including human factors in the infrastructure, policies and
procedures.
8.5 The
ship security assessment shall be documented, reviewed, accepted and retained
by the Company.
9 Ship security plan
9.1 Each ship shall carry on board a ship
security plan approved by the Administration. The plan shall make provisions
for the three security levels as defined in this Part of the Code.
9.1.1 Subject to the provisions of section 9.2.1, a recognized
security organization may prepare the ship security plan for a specific ship.
9.2 The Administration may entrust the review
and approval of ship security plans, or of amendments to a previously approved
plan, to recognized security organizations.
9.2.1 In such cases the recognized security organization,
undertaking the review and approval of a ship security plan, or its amendments,
for a specific ship shall not have been involved in either the preparation of
the ship security assessment or of the ship security plan, or of the
amendments, under review.
9.3 The submission of a ship security plan, or
of amendments to a previously approved plan, for approval shall be accompanied
by the security assessment on the basis of which the plan, or the amendments,
have been developed.
9.4 Such a plan shall be developed, taking into
account the guidance given in part B of this Code and shall be written in the
working language or languages of the ship. If the language or languages used is
not English, French or Spanish, a translation into one of these languages shall
be included. The plan shall address, at least, the following:
.1 measures designed to prevent
weapons, dangerous substances and devices intended for use against persons,
ships or ports and the carriage of which is not authorized from being taken on
board the ship;
.2 identification of the restricted
areas and measures for the prevention of unauthorized access to them;
.3 measures for the prevention of
unauthorized access to the ship;
.4 procedures for responding to
security threats or breaches of security, including provisions for maintaining
critical operations of the ship or ship/port interface;
.5 procedures for responding to any
security instructions Contracting Governments may give at security level 3;
.6 procedures for evacuation in
case of security threats or breaches of security;
.7 duties of shipboard personnel
assigned security responsibilities and of other shipboard personnel on security
aspects;
.8 procedures for auditing the
security activities;
.9 procedures for training, drills
and exercises associated with the plan;
.10 procedures for interfacing with port
facility security activities;
.11 procedures for the periodic review of the
plan and for updating;
.12 procedures for reporting security incidents;
.13 identification of the ship security officer;
.14 identification of the company security
officer including 24-hour contact details;
.15 procedures to ensure the inspection,
testing, calibration, and maintenance of any security equipment provided on
board;
.16 frequency for testing or calibration of any
security equipment provided on board;
.17 identification of the locations where the
ship security alert system activation points are provided; and
.18 procedures, instructions and guidance on the
use of the ship security alert system, including the testing, activation,
deactivation and resetting and to limit false alerts.
9.4.1 Personnel conducting internal audits of the security
activities specified in the plan or evaluating its implementation shall be
independent of the activities being audited unless this is impracticable due to
the size and the nature of the Company or of the ship.
9.5 The Administration shall determine which
changes to an approved ship security plan or to any security equipment
specified in an approved plan shall not be implemented unless the relevant
amendments to the plan are approved by the Administration. Any such changes
shall be at least as effective as those measures prescribed in chapter XI-2 and
this Part of the Code.
9.5.1 The nature of the changes to the ship security plan or the
security equipment that have been specifically approved by the Administration,
pursuant to section 9.5, shall be documented in a manner that clearly indicates
such approval. This approval shall be available on board and shall be presented
together with the International Ship Security Certificate (or the Interim
International Ship Security Certificate). If these changes are temporary, once
the original approved measures or equipment are reinstated, this documentation
no longer needs to be retained by the ship.
9.6 The plan may be kept in an electronic
format. In such a case, it shall be protected by procedures aimed at preventing
its unauthorized deletion, destruction or amendment.
9.7 The plan shall be protected from
unauthorized access or disclosure.
9.8 Ship security plans are not subject to
inspection by officers duly authorized by a Contracting Government to carry out
control and compliance measures in accordance with regulation XI‑2/9,
save in circumstances specified in section 9.8.1.
9.8.1 If the officers duly authorized by a Contracting Government
have clear grounds to believe that the ship is not in compliance with the
requirements of chapter XI‑2 or part A of this Code, and the only means
to verify or rectify the non-compliance is to review the relevant requirements
of the ship security plan, limited access to the specific sections of the plan
relating to the non-compliance is exceptionally allowed, but only with the
consent of the Contracting Government of, or the master of, the ship concerned.
Nevertheless, the provisions in the plan relating to section 9.4 subsections
.2, .4, .5, .7, .15, .17 and .18 of this Part of the Code are considered as
confidential information, and cannot be subject to inspection unless otherwise
agreed by the Contracting Governments concerned.
10 Records
10.1 Records of the
following activities addressed in the ship security plan shall be kept on board
for at least the minimum period specified by the Administration, bearing in
mind the provisions of regulation XI-2/9.2.3:
1 training,
drills and exercises;
2 security
threats and security incidents;
3 breaches
of security;
4 changes
in security level;
5 communications
relating to the direct security of the ship such as specific threats to the
ship or to port facilities the ship is, or has been;
6 internal
audits and reviews of security activities;
7 periodic
review of the ship security assessment;
8 periodic
review of the ship security plan;
9 implementation
of any amendments to the plan; and
10 maintenance,
calibration and testing of any security equipment provided on board including
testing of the ship security alert system.
10.2 The records
shall be kept in the working language or languages of the ship. If the language
or languages used are not English, French or Spanish, a translation into one of
these languages shall be included.
10.3 The records
may be kept in an electronic format. In such a case, they shall be protected by
procedures aimed at preventing their unauthorized deletion, destruction or
amendment.
10.4 The records
shall be protected from unauthorized access or disclosure.
11 Company security officer
11.1 The Company
shall designate a company security officer. A person designated as the company
security officer may act as the company security officer for one or more ships,
depending on the number or types of ships the Company operates provided it is
clearly identified for which ships this person is responsible. A Company may, depending
on the number or types of ships they operate designate several persons as
company security officers provided it is clearly identified for which ships
each person is responsible.
11.2 In addition to
those specified elsewhere in this Part of the Code, the duties and
responsibilities of the company security officer shall include, but are not
limited to:
.1 advising
the level of threats likely to be encountered by the ship, using appropriate
security assessments and other relevant information;
.2 ensuring
that ship security assessments are carried out;
.3 ensuring
the development, the submission for approval, and thereafter the implementation
and maintenance of the ship security plan;
.4 ensuring
that the ship security plan is modified, as appropriate, to correct
deficiencies and satisfy the security requirements of the individual ship;
.5 arranging
for internal audits and reviews of security activities;
.6 arranging
for the initial and subsequent verifications of the ship by the Administration
or the recognized security organization;
.7 ensuring
that deficiencies and non-conformities identified during internal audits,
periodic reviews, security inspections and verifications of compliance are
promptly addressed and dealt with;
.8 enhancing
security awareness and vigilance;
.9 ensuring
adequate training for personnel responsible for the security of the ship;
.10 ensuring
effective communication and co-operation between the ship security officer and
the relevant port facility security officers;
.11 ensuring
consistency between security requirements and safety requirements;
.12 ensuring
that, if sister-ship or fleet security plans are used, the plan for each ship
reflects the ship-specific information accurately; and
.13 ensuring
that any alternative or equivalent arrangements approved for a particular ship
or group of ships are implemented and maintained.
12 Ship security officer
12.1 A ship
security officer shall be designated on each ship.
12.2 In addition to
those specified elsewhere in this Part of the Code, the duties and
responsibilities of the ship security officer shall include, but are not
limited to:
.1 undertaking
regular security inspections of the ship to ensure that appropriate security
measures are maintained;
.2 maintaining
and supervising the implementation of the ship security plan, including any
amendments to the plan;
.3 co-ordinating
the security aspects of the handling of cargo and ship’s stores with
other shipboard personnel and with the relevant port facility security
officers;
.4 proposing
modifications to the ship security plan;
.5 reporting
to the company security officer any deficiencies and non-conformities
identified during internal audits, periodic reviews, security inspections and
verifications of compliance and implementing any corrective actions;
.6 enhancing
security awareness and vigilance on board;
.7 ensuring
that adequate training has been provided to shipboard personnel, as
appropriate;
.8 reporting
all security incidents;
.9 co-ordinating
implementation of the ship security plan with the company security officer and
the relevant port facility security officer; and
.10 ensuring
that security equipment is properly operated, tested, calibrated and
maintained, if any.
13 Training, drills and exercises on ship
security
13.1 The company
security officer and appropriate shore-based personnel shall have knowledge and
have received training, taking into account the guidance given in part B of
this Code.
13.2 The ship
security officer shall have knowledge and have received training, taking into
account the guidance given in part B of this Code.
13.3 Shipboard
personnel having specific security duties and responsibilities shall understand
their responsibilities for ship security as described in the ship security plan
and shall have sufficient knowledge and ability to perform their assigned
duties, taking into account the guidance given in part B of this Code.
13.4 To ensure the
effective implementation of the ship security plan, drills shall be carried out
at appropriate intervals taking into account the ship type, ship personnel
changes, port facilities to be visited and other relevant circumstances, taking
into account the guidance given in part B of this Code.
13.5 The company
security officer shall ensure the effective coordination and implementation of
ship security plans by participating in exercises at appropriate intervals,
taking into account the guidance given in part B of this Code.
14 Port facility security
14.1 A port
facility is required to act upon the security levels set by the Contracting
Government within whose territory it is located. Security measures and
procedures shall be applied at the port facility in such a manner as to cause a
minimum of interference with, or delay to, passengers, ship, ship’s
personnel and visitors, goods and services.
14.2 At security
level 1, the following activities shall be carried out through appropriate
measures in all port facilities, taking into account the guidance given in part
B of this Code, in order to identify and take preventive measures against
security incidents:
1 ensuring
the performance of all port facility security duties;
2 controlling
access to the port facility;
3 monitoring
of the port facility, including anchoring and berthing area(s);
4 monitoring
restricted areas to ensure that only authorized persons have access;
5 supervising
the handling of cargo;
6 supervising
the handling of ship’s stores; and
7 ensuring
that security communication is readily available.
14.3 At security
level 2, the additional protective measures, specified in the port facility
security plan, shall be implemented for each activity detailed in section 14.2,
taking into account the guidance given in part B of this Code.
14.4 At security
level 3, further specific protective measures, specified in the port facility
security plan, shall be implemented for each activity detailed in section 14.2,
taking into account the guidance given in part B of this Code.
14.4.1 In
addition, at security level 3, port facilities are required to respond to and
implement any security instructions given by the Contracting Government within
whose territory the port facility is located.
14.5 When a port
facility security officer is advised that a ship encounters difficulties in
complying with the requirements of chapter XI-2 or this part or in implementing
the appropriate measures and procedures as detailed in the ship security plan,
and in the case of security level 3 following any security instructions
given by the Contracting Government within whose territory the port facility is
located, the port facility security officer and ship security officer shall
liaise and co-ordinate appropriate actions.
14.6 When a port
facility security officer is advised that a ship is at a security level, which
is higher than that of the port facility, the port facility security officer
shall report the matter to the competent authority and shall liaise with the
ship security officer and co-ordinate appropriate actions, if necessary.
15 Port facility security assessment
15.1 The port
facility security assessment is an essential and integral part of the process
of developing and updating the port facility security plan.
15.2 The port
facility security assessment shall be carried out by the Contracting Government
within whose territory the port facility is located. A Contracting Government
may authorise a recognized security organization to carry out the port facility
security assessment of a specific port facility located within its territory.
15.2.1 When
the port facility security assessment has been carried out by a recognized
security organization, the security assessment shall be reviewed and approved
for compliance with this section by the Contracting Government within whose
territory the port facility is located.
15.3 The persons
carrying out the assessment shall have appropriate skills to evaluate the
security of the port facility in accordance with this section, taking into
account the guidance given in part B of this Code.
15.4 The port
facility security assessments shall periodically be reviewed and updated,
taking account of changing threats and/or minor changes in the port facility
and shall always be reviewed and updated when major changes to the port
facility take place.
15.5 The port
facility security assessment shall include, at least, the following elements:
1 identification
and evaluation of important assets and infrastructure it is important to
protect;
2 identification
of possible threats to the assets and infrastructure and the likelihood of
their occurrence, in order to establish and prioritize security measures;
3 identification,
selection and prioritization of counter measures and procedural changes and
their level of effectiveness in reducing vulnerability; and
4 identification
of weaknesses, including human factors in the infrastructure, policies and
procedures.
15.6 The
Contracting Government may allow a port facility security assessment to cover
more than one port facility if the operator, location, operation, equipment,
and design of these port facilities are similar. Any Contracting Government,
which allows such an arrangement shall communicate to the Organization
particulars thereof.
15.7 Upon
completion of the port facility security assessment, a report shall be
prepared, consisting of a summary of how the assessment was conducted, a
description of each vulnerability found during the assessment and a description
of counter measures that could be used to address each vulnerability. The
report shall be protected from unauthorized access or disclosure.
16 Port facility security plan
16.1 A port
facility security plan shall be developed and maintained, on the basis of a
port facility security assessment, for each port facility, adequate for the
ship/port interface. The plan shall make provisions for the three security
levels, as defined in this Part of the Code.
16.1.1 Subject to the provisions of section 16.2, a
recognized security organization may prepare the port facility security plan of
a specific port facility.
16.2 The port
facility security plan shall be approved by the Contracting Government in whose
territory the port facility is located.
16.3 Such a plan
shall be developed taking into account the guidance given in part B of this
Code and shall be in the working language of the port facility. The plan shall
address, at least, the following:
1 measures
designed to prevent weapons or any other dangerous substances and devices
intended for use against persons, ships or ports and the carriage of which is
not authorized, from being introduced into the port facility or on board a
ship;
2 measures
designed to prevent unauthorized access to the port facility, to ships moored
at the facility, and to restricted areas of the facility;
3 procedures
for responding to security threats or breaches of security, including
provisions for maintaining critical operations of the port facility or
ship/port interface;
4 procedures
for responding to any security instructions the Contracting Government, in
whose territory the port facility is located, may give at security level 3;
5 procedures
for evacuation in case of security threats or breaches of security;
6 duties
of port facility personnel assigned security responsibilities and of other
facility personnel on security aspects;
7 procedures
for interfacing with ship security activities;
8 procedures
for the periodic review of the plan and updating;
9 procedures
for reporting security incidents;
10 identification
of the port facility security officer including 24-hour contact details;
11 measures
to ensure the security of the information contained in the plan;
12 measures
designed to ensure effective security of cargo and the cargo handling equipment
at the port facility;
13 procedures
for auditing the port facility security plan;
14 procedures
for responding in case the ship security alert system of a ship at the port
facility has been activated; and
15 procedures
for facilitating shore leave for ship’s personnel or personnel changes,
as well as access of visitors to the ship including representatives of
seafarers’ welfare and labour organizations.
16.3.1 Personnel
conducting internal audits of the security activities specified in the plan or
evaluating its implementation shall be independent of the activities being
audited unless this is impracticable due to the size and the nature of the port
facility.
16.4 The port
facility security plan may be combined with, or be part of, the port security
plan or any other port emergency plan or plans.
16.5 The
Contracting Government in whose territory the port facility is located shall
determine which changes to the port facility security plan shall not be
implemented unless the relevant amendments to the plan are approved by them.
16.6 The plan may
be kept in an electronic format. In such a case, it shall be protected by
procedures aimed at preventing its unauthorized deletion, destruction or
amendment.
16.7 The plan shall
be protected from unauthorized access or disclosure.
16.8 Contracting
Governments may allow a port facility security plan to cover more than one port
facility if the operator, location, operation, equipment, and design of these
port facilities are similar. Any Contracting Government, which allows such an
alternative arrangement, shall communicate to the Organization particulars
thereof.
17 Port facility security officer
17.1 A port facility
security officer shall be designated for each port facility. A person may be
designated as the port facility security officer for one or more port
facilities.
17.2 In addition to
those specified elsewhere in this Part of the Code, the duties and responsibilities
of the port facility security officer shall include, but are not limited to:
1 conducting
an initial comprehensive security survey of the port facility taking into
account the relevant port facility security assessment;
2 ensuring
the development and maintenance of the port facility security plan;
3 implementing
and exercising the port facility security plan;
4 undertaking
regular security inspections of the port facility to ensure the continuation of
appropriate security measures;
5 recommending
and incorporating, as appropriate, modifications to the port facility security
plan in order to correct deficiencies and to update the plan to take into
account of relevant changes to the port facility;
6 enhancing
security awareness and vigilance of the port facility personnel;
7 ensuring
adequate training has been provided to personnel responsible for the security
of the port facility;
8 reporting
to the relevant authorities and maintaining records of occurrences which
threaten the security of the port facility;
9 co-ordinating
implementation of the port facility security plan with the appropriate Company
and ship security officer(s);
10 co-ordinating
with security services, as appropriate;
11 ensuring
that standards for personnel responsible for security of the port facility are
met;
12 ensuring
that security equipment is properly operated, tested, calibrated and
maintained, if any; and
13 assisting
ship security officers in confirming the identity of those seeking to board the
ship when requested.
17.3 The port
facility security officer shall be given the necessary support to fulfil the
duties and responsibilities imposed by chapter XI-2 and this Part of the Code.
18 Training, drills and exercises on port
facility security
18.1 The port
facility security officer and appropriate port facility security personnel
shall have knowledge and have received training, taking into account the
guidance given in part B of this Code.
18.2 Port facility
personnel having specific security duties shall understand their duties and
responsibilities for port facility security, as described in the port facility
security plan and shall have sufficient knowledge and ability to perform their
assigned duties, taking into account the guidance given in part B of this Code.
18.3 To ensure the
effective implementation of the port facility security plan, drills shall be
carried out at appropriate intervals taking into account the types of operation
of the port facility, port facility personnel changes, the type of ship the
port facility is serving and other relevant circumstances, taking into account
guidance given in part B of this Code.
18.4 The port
facility security officer shall ensure the effective coordination and
implementation of the port facility security plan by participating in exercises
at appropriate intervals, taking into account the guidance given in part B of
this Code.
19 Verification and certification for
ships
19.1 Verifications
19.1.1 Each
ship to which this Part of the Code applies shall be subject to the
verifications specified below:
1 an
initial verification before the ship is put in service or before the certificate
required under section 19.2 is issued for the first time, which shall include a
complete verification of its security system and any associated security
equipment covered by the relevant provisions of chapter XI-2, this Part of the Code
and the approved ship security plan. This verification shall ensure that the
security system and any associated security equipment of the ship fully
complies with the applicable requirements of chapter XI-2 and this Part of the Code,
is in satisfactory condition and fit for the service for which the ship is
intended;
2 a
renewal verification at intervals specified by the Administration, but not exceeding
5 years, except where section 19.3 is applicable. This verification shall
ensure that the security system and any associated security equipment of the
ship fully complies with the applicable requirements of chapter XI-2, this
Part of the Code and the approved ship security plan, is in satisfactory
condition and fit for the service for which the ship is intended;
3 at
least one intermediate verification. If only one intermediate verification is
carried out it shall take place between the second and third anniversary date
of the certificate as defined in regulation I/2(n). The intermediate
verification shall include inspection of the security system and any associated
security equipment of the ship to ensure that it remains satisfactory for the
service for which the ship is intended. Such intermediate verification shall be
endorsed on the certificate;
4 any
additional verifications as determined by the Administration.
19.1.2 The
verifications of ships shall be carried out by officers of the Administration. The
Administration may, however, entrust the verifications to a recognized security
organization referred to in regulation XI-2/1.
19.1.3 In
every case, the Administration concerned shall fully guarantee the completeness
and efficiency of the verification and shall undertake to ensure the necessary
arrangements to satisfy this obligation.
19.1.4 The
security system and any associated security equipment of the ship after
verification shall be maintained to conform with the provisions of regulations XI-2/4.2
and XI-2/6, this Part of the Code and the approved ship security plan. After
any verification under section 19.1.1 has been completed, no changes shall be
made in security system and in any associated security equipment or the
approved ship security plan without the sanction of the Administration.
19.2 Issue
or endorsement of certificate
19.2.1 An
International Ship Security Certificate shall be issued after the initial or
renewal verification in accordance with the provisions of section 19.1.
19.2.2 Such
certificate shall be issued or endorsed either by the Administration or by a recognized
security organization acting on behalf of the Administration.
19.2.3 Another
Contracting Government may, at the request of the Administration, cause the
ship to be verified and, if satisfied that the provisions of section 19.1.1 are
complied with, shall issue or authorize the issue of an International Ship
Security Certificate to the ship and, where appropriate, endorse or authorize
the endorsement of that certificate on the ship, in accordance with this Code.
19.2.3.1 A copy of
the certificate and a copy of the verification report shall be transmitted as
soon as possible to the requesting Administration.
19.2.3.2 A certificate
so issued shall contain a statement to the effect that it has been issued at
the request of the Administration and it shall have the same force and receive
the same recognition as the certificate issued under section 19.2.2.
19.2.4 The
International Ship Security Certificate shall be drawn up in a form
corresponding to the model given in the appendix to this Code. If the language
used is not English, French or Spanish, the text shall include a translation
into one of these languages.
19.3 Duration
and validity of certificate
19.3.1 An
International Ship Security Certificate shall be issued for a period specified
by the Administration which shall not exceed five years.
19.3.2 When
the renewal verification is completed within three months before the expiry date
of the existing certificate, the new certificate shall be valid from the date
of completion of the renewal verification to a date not exceeding five years
from the date of expiry of the existing certificate.
19.3.2.1 When the
renewal verification is completed after the expiry date of the existing certificate,
the new certificate shall be valid from the date of completion of the renewal verification
to a date not exceeding five years from the date of expiry of the existing certificate.
19.3.2.2 When the
renewal verification is completed more than three months before the expiry date
of the existing certificate, the new certificate shall be valid from the date
of completion of the renewal verification to a date not exceeding five years
from the date of completion of the renewal verification.
19.3.3 If
a certificate is issued for a period of less than five years, the
Administration may extend the validity of the certificate beyond the expiry
date to the maximum period specified in section 19.3.1, provided that the
verifications referred to in section 19.1.1 applicable when a certificate is
issued for a period of five years are carried out as appropriate.
19.3.4 If
a renewal verification has been completed and a new certificate cannot be
issued or placed on board the ship before the expiry date of the existing certificate,
the Administration or recognized security organization acting on behalf of the
Administration may endorse the existing certificate and such a certificate
shall be accepted as valid for a further period which shall not exceed five
months from the expiry date.
19.3.5 If
a ship at the time when a certificate expires is not in a port in which it is
to be verified, the Administration may extend the period of validity of the certificate
but this extension shall be granted only for the purpose of allowing the ship
to complete its voyage to the port in which it is to be verified, and then only
in cases where it appears proper and reasonable to do so. No certificate shall
be extended for a period longer than three months, and the ship to which an
extension is granted shall not, on its arrival in the port in which it is to be
verified, be entitled by virtue of such extension to leave that port without
having a new certificate. When the renewal verification is completed, the new certificate
shall be valid to a date not exceeding five years from the expiry date of the
existing certificate before the extension was granted.
19.3.6 A
certificate issued to a ship engaged on short voyages which has not been
extended under the foregoing provisions of this section may be extended by the
Administration for a period of grace of up to one month from the date of expiry
stated on it. When the renewal verification is completed, the new certificate
shall be valid to a date not exceeding five years from the date of expiry of
the existing certificate before the extension was granted.
19.3.7 If
an intermediate verification is completed before the period specified in
section 19.1.1, then:
1 the
expiry date shown on the certificate shall be amended by endorsement to a date
which shall not be more than three years later than the date on which the intermediate
verification was completed;
2 the
expiry date may remain unchanged provided one or more additional verifications
are carried out so that the maximum intervals between the verifications
prescribed by section 19.1.1 are not exceeded.
19.3.8 A
certificate issued under section 19.2 shall cease to be valid in any of the
following cases:
1 if
the relevant verifications are not completed within the periods specified under
section 19.1.1;
2 if
the certificate is not endorsed in accordance with section 19.1.1.3 and 19.3.7.1,
if applicable;
3 when
a Company assumes the responsibility for the operation of a ship not previously
operated by that Company; and
4 upon
transfer of the ship to the flag of another State.
19.3.9 In
the case of:
1 a
transfer of a ship to the flag of another Contracting Government, the
Contracting Government whose flag the ship was formerly entitled to fly shall,
as soon as possible, transmit to the receiving Administration copies of, or all
information relating to, the International Ship Security Certificate carried by
the ship before the transfer and copies of available verification reports, or
2 a
Company that assumes responsibility for the operation of a ship not previously
operated by that Company, the previous Company shall as soon as possible,
transmit to the receiving Company copies of any information related to the
International Ship Security Certificate or to facilitate the verifications
described in section 19.4.2.
19.4 Interim
certification
19.4.1 The
certificates specified in section 19.2 shall be issued only when the
Administration issuing the certificate is fully satisfied that the ship
complies with the requirements of section 19.1. However, after
1 July 2004, for the purposes of:
1 a
ship without a certificate, on delivery or prior to its entry or re-entry into
service;
2 transfer
of a ship from the flag of a Contracting Government to the flag of another
Contracting Government;
3 transfer
of a ship to the flag of a Contracting Government from a State which is not a
Contracting Government; or
4 when
a Company assumes the responsibility for the operation of a ship not previously
operated by that Company;
until the
certificate referred to in section 19.2 is issued, the Administration may cause
an Interim International Ship Security Certificate to be issued, in a form
corresponding to the model given in the Appendix to this Part of the Code.
19.4.2 An
Interim International Ship Security Certificate shall only be issued when the
Administration or recognized security organization, on behalf of the
Administration, has verified that:
1 the
ship security assessment required by this Part of the Code has been completed,
2 a
copy of the ship security plan meeting the requirements of chapter XI-2 and
part A of this Code is provided on board, has been submitted for review
and approval, and is being implemented on the ship,
3 the
ship is provided with a ship security alert system meeting the requirements of regulation
XI-2/6, if required,
4 the
company security officer:
1 has ensured:
1 the review of the ship
security plan for compliance with this Part of the Code,
2 that the plan has been
submitted for approval, and
3 that the plan is being
implemented on the ship, and
2 has established the
necessary arrangements, including arrangements for drills, exercises and
internal audits, through which the company security officer is satisfied that
the ship will successfully complete the required verification in accordance
with section 19.1.1.1, within 6 months;
5 arrangements
have been made for carrying out the required verifications under section 19.1.1.1;
6 the
master, the ship’s security officer and other ship’s personnel with
specific security duties are familiar with their duties and responsibilities as
specified in this Part of the Code; and with the relevant provisions of the
ship security plan placed on board; and have been provided such information in
the working language of the ship’s personnel or languages understood by
them; and
7 the
ship security officer meets the requirements of this Part of the Code.
19.4.3 An
Interim International Ship Security Certificate may be issued by the
Administration or by a recognized security organization authorized to act on
its behalf.
19.4.4 An
Interim International Ship Security Certificate shall be valid for
6 months, or until the certificate required by section 19.2 is issued,
whichever comes first, and may not be extended.
19.4.5 No
Contracting Government shall cause a subsequent, consecutive Interim
International Ship Security Certificate to be issued to a ship if, in the
judgment of the Administration or the recognized security organization, one of
the purposes of the ship or a Company in requesting such certificate is to
avoid full compliance with chapter XI-2 and this Part of the Code beyond
the period of the initial interim certificate as specified in section 19.4.4.
19.4.6 For
the purposes of regulation XI-2/9, Contracting Governments may, prior to
accepting an Interim International Ship Security Certificate as a valid
certificate, ensure that the requirements of sections 19.4.2.4 to 19.4.2.6 have
been met.
Appendix to Part A
APPENDIX 1
APPENDIX 2
Schedule 3
(Regulation 1(5))
Part B
Guidance regarding the
provisions of Chapter XI-2 of the Annex to the International Convention for the
Safety of Life at Sea, 1974 as amended and Part A of this Code
1 INTRODUCTION
General
1.1 The
preamble of this Code indicates that chapter XI-2 and part A of this Code
establish the new international framework of measures to enhance maritime
security and through which ships and port facilities can co-operate to detect
and deter acts which threaten security in the maritime transport sector.
1.2 This
introduction outlines, in a concise manner, the processes envisaged in
establishing and implementing the measures and arrangements needed to achieve
and maintain compliance with the provisions of chapter XI-2 and of part A of
this Code and identifies the main elements on which guidance is offered. The
guidance is provided in paragraphs 2 through to 19. It also sets down essential
considerations, which should be taken into account when considering the application
of the guidance relating to ships and port facilities.
1.3 If
the reader’s interest relates to ships alone, it is strongly recommended
that this Part of the Code is still read as a whole, particularly the sections
relating to port facilities. The same applies to those whose primary interest
are port facilities; they should also read the sections relating to ships.
1.4 The
guidance provided in the following sections relates primarily to protection of
the ship when it is at a port facility. There could, however, be situations
when a ship may pose a threat to the port facility, e.g. because, once within
the port facility, it could be used as a base from which to launch an attack.
When considering the appropriate security measures to respond to ship-based
security threats, those completing the Port Facility Security Assessment or
preparing the Port Facility Security Plan should consider making appropriate
adaptations to the guidance offered in the following sections.
1.5 The
reader is advised that nothing in this Part of the Code should be read or
interpreted in conflict with any of the provisions of either chapter XI-2 or
part A of this Code and that the aforesaid provisions always prevail and
override any unintended inconsistency which may have been inadvertently
expressed in this Part of the Code. The guidance provided in this Part of the
Code should always be read, interpreted and applied in a manner which is
consistent with the aims, objectives and principles established in chapter XI-2
and part A of this Code.
Responsibilities of Contracting Governments
1.6 Contracting
Governments have, under the provisions of chapter XI-2 and part A of this
Code, various responsibilities, which, amongst others, include:
– setting
the applicable security level;
– approving
the Ship Security Plan and relevant amendments to a previously approved plan;
– verifying
the compliance of ships with the provisions of chapter XI-2 and
part A of this Code and issuing to ships the International Ship Security
Certificate;
– determining
which of the port facilities located within their territory are required to
designate a Port Facility Security Officer who will be responsible for the
preparation of the Port Facility Security Plan;
– ensuring
completion and approval of the Port Facility Security Assessment and of any
subsequent amendments to a previously approved assessment;
– approving
the Port Facility Security Plan and any subsequent amendments to a previously
approved plan; and
– exercising
control and compliance measures;
– testing
approved plans; and
– communicating
information to the International Maritime Organization and to the shipping and
port industries.
1.7 Contracting
Governments can designate, or establish, Designated Authorities within
Government to undertake, with respect to port facilities, their security duties
under chapter XI-2 and part A of this Code and allow Recognized Security
Organizations to carry out certain work with respect to port facilities but the
final decision on the acceptance and approval of this work should be given by
the Contracting Government or the Designated Authority. Administrations may
also delegate the undertaking of certain security duties, relating to ships, to
Recognized Security Organizations. The following duties or activities cannot be
delegated to a Recognized Security Organization:
– setting
of the applicable security level;
– determining
which of the port facilities located within the territory of a Contracting
Government are required to designate a Port Facility Security Officer and to
prepare a Port Facility Security Plan;
– approving
a Port Facility Security Assessment or any subsequent amendments to a
previously approved assessment;
– approving
a Port Facility Security Plan or any subsequent amendments to a previously
approved plan;
– exercising
control and compliance measures; and
– establishing
the requirements for a Declaration of Security.
Setting the security level
1.8 The
setting of the security level applying at any particular time is the
responsibility of Contracting Governments and can apply to ships and port
facilities. Part A of this Code defines three security levels for
international use. These are:
– Security
Level 1, normal; the level at which ships and port facilities normally
operate;
– Security
Level 2, heightened; the level applying for as long as there is a
heightened risk of a security incident; and
– Security
Level 3, exceptional, the level applying for the period of time when there
is the probable or imminent risk of a security incident.
The Company and the Ship
1.9 Any
Company operating ships to which chapter XI-2 and part A of this Code
apply has to designate a Company Security Officer for the Company and a Ship
Security Officer for each of its ships. The duties, responsibilities and
training requirements of these officers and requirements for drills and
exercises are defined in part A of this Code.
1.10 The Company
Security Officer’s responsibilities include, in brief amongst others,
ensuring that a Ship Security Assessment is properly carried out, that a Ship
Security Plan is prepared and submitted for approval by, or on behalf of, the
Administration and thereafter is placed on board each ship to which part A of
this Code applies and in respect of which that person has been appointed as the
Company Security Officer.
1.11 The Ship
Security Plan should indicate the operational and physical security measures
the ship itself should take to ensure it always operates at security
level 1. The plan should also indicate the additional, or intensified,
security measures the ship itself can take to move to and operate at security
level 2 when instructed to do so. Furthermore, the plan should indicate the
possible preparatory actions the ship could take to allow prompt response to
the instructions that may be issued to the ship by those responding at security
level 3 to a security incident or threat thereof.
1.12 The ships to
which the requirements of chapter XI-2 and part A of this Code apply
are required to have, and operated in accordance with, a Ship Security Plan approved
by, or on behalf of, the Administration. The Company and Ship Security Officer
should monitor the continuing relevance and effectiveness of the plan,
including the undertaking of internal audits. Amendments to any of the elements
of an approved plan, for which the Administration has determined that approval
is required, have to be submitted for review and approval before their
incorporation in the approved plan and their implementation by the ship.
1.13 The ship has
to carry an International Ship Security Certificate indicating that it complies
with the requirements of chapter XI-2 and part A of this Code. Part A of this
Code includes provisions relating to the verification and certification of the
ship’s compliance with the requirements on an initial, renewal and
intermediate verification basis.
1.14 When a ship is
at a port or is proceeding to a port of a Contracting Government, the
Contracting Government has the right, under the provisions of
regulation XI-2/9, to exercise various control and compliance measures
with respect to that ship. The ship is subject to port State control
inspections but such inspections will not normally extend to examination of the
Ship Security Plan itself except in specific circumstances. The ship may, also,
be subject to additional control measures if the Contracting Government
exercising the control and compliance measures has reason to believe that the
security of the ship has, or the port facilities it has served have, been
compromised.
1.15 The ship is
also required to have onboard information, to be made available to Contracting
Governments upon request, indicating who is responsible for deciding the
employment of the ship’s personnel and for deciding various aspects
relating to the employment of the ship.
The port facility
1.16 Each
Contracting Government has to ensure completion of a Port Facility Security
Assessment for each of the port facilities, located within its territory,
serving ships engaged on international voyages. The Contracting Government, a
Designated Authority or a Recognized Security Organization may carry out this
assessment. The completed Port Facility Security Assessment has to be approved
by the Contracting Government or the Designated Authority concerned. This
approval cannot be delegated. Port Facility Security Assessments should be
periodically reviewed.
1.17 The Port
Facility Security Assessment is fundamentally a risk analysis of all aspects of
a port facility’s operation in order to determine which part(s) of it are
more susceptible, and/or more likely, to be the subject of attack. Security
risk is a function of the threat of an attack coupled with the vulnerability of
the target and the consequences of an attack.
The assessment must include the following components:
– the
perceived threat to port installations and infrastructure must be determined;
– the
potential vulnerabilities identified; and
– the
consequences of incidents calculated.
On completion of the analysis, it will be possible to produce an
overall assessment of the level of risk. The Port Facility Security Assessment
will help determine which port facilities are required to appoint a Port
Facility Security Officer and prepare a Port Facility Security Plan.
1.18 The port
facilities which have to comply with the requirements of chapter XI-2 and
part A of this Code are required to designate a Port Facility Security
Officer. The duties, responsibilities and training requirements of these
officers and requirements for drills and exercises are defined in part A
of this Code.
1.19 The Port
Facility Security Plan should indicate the operational and physical security
measures the port facility should take to ensure that it always operates at
security level 1. The plan should also indicate the additional, or
intensified, security measures the port facility can take to move to and
operate at security level 2 when instructed to do so. Furthermore, the
plan should indicate the possible preparatory actions the port facility could
take to allow prompt response to the instructions that may be issued by those
responding at security level 3 to a security incident or threat thereof.
1.20 The port
facilities which have to comply with the requirements of chapter XI-2 and
part A of this Code are required to have, and operate in accordance with,
a Port Facility Security Plan approved by the Contracting Government or by the
Designated Authority concerned. The Port Facility Security Officer should
implement its provisions and monitor the continuing effectiveness and relevance
of the plan, including commissioning internal audits of the application of the
plan. Amendments to any of the elements of an approved plan, for which the
Contracting Government or the Designated Authority concerned has determined
that approval is required, have to be submitted for review and approval before
their incorporation in the approved plan and their implementation at the port
facility. The Contracting Government or the Designated Authority concerned may
test the effectiveness of the plan. The Port Facility Security Assessment covering
the port facility or on which the development of the plan has been based should
be regularly reviewed. All these activities may lead to amendment of the
approved plan. Any amendments to specified elements of an approved plan will
have to be submitted for approval by the Contracting Government or by the
Designated Authority concerned.
1.21 Ships using
port facilities may be subject to the port State control inspections and
additional control measures outlined in regulation XI-2/9. The relevant
authorities may request the provision of information regarding the ship, its
cargo, passengers and ship’s personnel prior to the ship’s entry
into port. There may be circumstances in which entry into port could be denied.
Information and communication
1.22 Chapter XI-2
and part A of this Code require Contracting Governments to provide certain
information to the International Maritime Organization and for information to
be made available to allow effective communication between Contracting
Governments and between Company/Ship Security Officers and the Port Facility
Security Officers.
2 DEFINITIONS
2.1 No
guidance is provided with respect to the definitions set out in
chapter XI-2 or part A of this Code.
2.2 For
the purpose of this Part of the Code:
1 “section” means a section of part A of the Code and is indicated as
“section A/<followed by the number of
the section>”;
2 “paragraph” means a paragraph of this Part of the Code and is indicated
as “paragraph <followed by the number of
the paragraph>”; and
3 “Contracting
Government”, when used in paragraphs 14 to 18, means the
“Contracting Government within whose territory the port facility is
located” and includes a reference to the “Designated
Authority”.
3 APPLICATION
General
3.1 The
guidance given in this Part of the Code should be taken into account when
implementing the requirements of chapter XI-2 and part A of this Code.
3.2 However,
it should be recognized that the extent to which the guidance on ships applies
will depend on the type of ship, its cargoes and/or passengers, its trading
pattern and the characteristics of the port facilities visited by the ship.
3.3 Similarly,
in relation to the guidance on port facilities, the extent to which this
guidance applies will depend on the port facilities, the types of ships using
the port facility, the types of cargo and/or passengers and the trading
patterns of visiting ships.
3.4 The
provisions of chapter XI-2 and part A of this Code are not intended to apply to
port facilities designed and used primarily for military purposes.
4 RESPONSIBILITIES OF
CONTRACTING GOVERNMENTS
Security of assessments and plans
4.1 Contracting
Governments should ensure that appropriate measures are in place to avoid
unauthorized disclosure of, or access to, security sensitive material relating to
Ship Security Assessments, Ship Security Plans, Port Facility Security
Assessments and Port Facility Security Plans, and to individual assessments or
plans.
Designated authorities
4.2 Contracting
Governments may identify a Designated Authority within Government to undertake
their security duties relating to port facilities as set out in chapter XI-2 or
part A of this Code.
Recognized Security Organizations
4.3 Contracting
Governments may authorize a Recognized Security Organization (RSO) to undertake
certain security related activities, including:
1 approval
of Ship Security Plans, or amendments thereto, on behalf of the Administration;
2 verification
and certification of compliance of ships with the requirements of chapter XI-2
and part A of this Code on behalf of the Administration; and
3 conducting
Port Facility Security Assessments required by the Contracting Government.
4.4 An
RSO may also advise or provide assistance to Companies or port facilities on
security matters, including Ship Security Assessments, Ship Security Plans,
Port Facility Security Assessments and Port Facility Security Plans. This can
include completion of a Ship Security Assessment or Plan or Port Facility
Security Assessment or Plan. If an RSO has done so in respect of a ship security
assessment or plan that RSO should not be authorized to approve that ship
security plan.
4.5 When
authorizing an RSO, Contracting Governments should give consideration to the
competency of such an organization. An RSO should be able to demonstrate:
1 expertise
in relevant aspects of security;
2 appropriate
knowledge of ship and port operations, including knowledge of ship design and
construction if providing services in respect of ships and port design and
construction if providing services in respect of port facilities;
3 their
capability to assess the likely security risks that could occur during ship and
port facility operations including the ship/port interface and how to minimise
such risks;
4 their
ability to maintain and improve the expertise of their personnel;
5 their
ability to monitor the continuing trustworthiness of their personnel;
6 their
ability to maintain appropriate measures to avoid unauthorized disclosure of,
or access to, security sensitive material;
7 their
knowledge of the requirements chapter XI-2 and part A of this Code
and relevant national and international legislation and security requirements;
8 their
knowledge of current security threats and patterns;
9 their
knowledge on recognition and detection of weapons, dangerous substances and
devices;
10 their
knowledge on recognition, on a non-discriminatory basis, of characteristics and
behavioural patterns of persons who are likely to threaten security;
11 their
knowledge on techniques used to circumvent security measures; and
12 their
knowledge of security and surveillance equipment and systems and their
operational limitations.
When delegating specific duties to a RSO, Contracting Governments,
including Administrations, should ensure that the RSO has the competencies
needed to undertake the task.
4.6 A
Recognized Organization, as defined in regulation I/6 and fulfilling the
requirements of regulation XI-1/1, may be appointed as a RSO provided it has
the appropriate security related expertise listed in paragraph 4.5.
4.7 A
Port or Harbour Authority or Port Facility operator may be appointed as a RSO
provided it has the appropriate security related expertise listed in paragraph
4.5.
Setting the security level
4.8 In
setting the security level Contracting Governments should take account of
general and specific threat information. Contracting Governments should set the
security level applying to ships or port facilities at one of three levels:
– Security
level 1: normal, the level at which the ship or port facility normally
operates;
– Security
level 2: heightened, the level applying for as long as there is a
heightened risk of a security incident; and
– Security
level 3: exceptional, the level applying for the period of time when there
is the probable or imminent risk of a security incident.
4.9 Setting
security level 3 should be an exceptional measure applying only when there
is credible information that a security incident is probable or imminent.
Security level 3 should only be set for the duration of the identified
security threat or actual security incident. While the security levels may
change from security level 1, through security level 2 to security
level 3, it is also possible that the security levels will change directly
from security level 1 to security level 3.
4.10 At all times
the Master of a ship has the ultimate responsibility for the safety and
security of the ship. Even at security level 3 a Master may seek
clarification or amendment of instructions issued by those responding to a
security incident, or threat thereof, if there are reasons to believe that
compliance with any instruction may imperil the safety of the ship.
4.11 The Company
Security Officer (CSO) or the Ship Security Officer (SSO) should liaise at the
earliest opportunity with the Port Facility Security Officer (PFSO) of the port
facility the ship is intended to visit to establish the security level applying
for that ship at the port facility. Having established contact with a ship, the
PFSO should advise the ship of any subsequent change in the port facility’s
security level and should provide the ship with any relevant security
information.
4.12 While there
may be circumstances when an individual ship may be operating at a higher
security level than the port facility it is visiting, there will be no circumstances
when a ship can have a lower security level than the port facility it is
visiting. If a ship has a higher security level than the port facility it
intends to use, the CSO or SSO should advise the PFSO without delay. The PFSO
should undertake an assessment of the particular situation in consultation with
the CSO or SSO and agree on appropriate security measures with the ship, which
may include completion and signing of a Declaration of Security.
4.13 Contracting
Governments should consider how information on changes in security levels
should be promulgated rapidly. Administrations may wish to use NAVTEX messages
or Notices to Mariners as the method for notifying such changes in security
levels to ship and CSO and SSO. Or, they may wish to consider other methods of
communication that provide equivalent or better speed and coverage. Contracting
Governments should establish means of notifying PFSOs of changes in security
levels. Contracting Governments should compile and maintain the contact details
for a list of those who need to be informed of changes in security levels.
Whereas the security level need not be regarded as being particularly
sensitive, the underlying threat information may be highly sensitive.
Contracting Governments should give careful consideration to the type and
detail of the information conveyed and the method by which it is conveyed, to
SSOs, CSOs and PFSOs.
Contact points and information on Port
Facility Security Plans
4.14 Where a port
facility has a PFSP, that fact has to be communicated to the Organization and
that information must also be made available to Company and Ship Security
Officers. No further details of the PFSP have to be published other than that
it is in place. Contracting Governments should consider establishing either
central or regional points of contact, or other means of providing up to date
information on the locations where PFSPs are in place, together with contact
details for the relevant PFSO. The existence of such contact points should be
publicised. They could also provide information on the recognized security
organizations appointed to act on behalf of the Contracting Government,
together with details of the specific responsibility and conditions of
authority delegated to such recognized security organizations.
4.15 In the case of
a port that does not have a PFSP (and therefore does not have a PFSO) the
central or regional point of contact should be able to identify a suitably
qualified person ashore who can arrange for appropriate security measures to be
in place, if needed, for the duration of the ship’s visit.
4.16 Contracting
Governments should also provide the contact details of Government officers to
whom an SSO, a CSO and a PFSO can report security concerns. These Government
officers should assess such reports before taking appropriate action. Such
reported concerns may have a bearing on the security measures falling under the
jurisdiction of another Contracting Government. In that case, the Contracting
Governments should consider contacting their counterpart in the other
Contracting Government to discuss whether remedial action is appropriate. For
this purpose, the contact details of the Government officers should be
communicated to the International Maritime Organization.
4.17 Contracting
Governments should also make the information indicated in paragraphs 4.14 to
4.16, available to other Contracting Governments on request.
Identification documents
4.18 Contracting
Governments are encouraged to issue appropriate identification documents to
Government officials entitled to board ships or enter port facilities when
performing their official duties and to establish procedures whereby the
authenticity of such documents might be verified.
Fixed and floating platforms and mobile
offshore drilling units on location
4.19 Contracting
Governments should consider establishing appropriate security measures for
fixed and floating platforms and mobile offshore drilling units on location to
allow interaction with ships which are required to comply with the provisions
of chapter XI-2 and part A of this Code.
Ships which are not required to comply with
part A of this Code
4.20 Contracting
Governments should consider establishing appropriate security measures to
enhance the security of ships to which this chapter XI-2 and part A
of this Code does not apply and to ensure that any security provisions applying
to such ships allow interaction with ships to which part A of this Code
applies.
Threats to ships and other incidents at sea
4.21 Contracting
Governments should provide general guidance on the measures considered
appropriate to reduce the security risk to ships flying their flag when at sea.
They should provide specific advice on the action to be taken in accordance
with security levels 1 to 3, if:
1 there
is a change in the security level applying to the ship while it is at sea, e.g.
because of the geographical area in which it is operating or relating to the
ship itself; and
2 there
is a security incident or threat thereof involving the ship while at sea.
Contracting Governments should establish the best methods and
procedures for these purposes. In the case of an imminent attack the ship
should seek to establish direct communication with those responsible in the
flag State for responding to security incidents.
4.22 Contracting
Governments should also establish a point of contact for advice on security for
any ship:
1 entitled
to fly their flag; or
2 operating
in their territorial sea or having communicated an intention to enter their
territorial sea.
4.23 Contracting
Governments should offer advice to ships operating in their territorial sea or
having communicated an intention to enter their territorial sea, which could
include advice:
1 to
alter or delay their intended passage;
2 to
navigate on a particular course or proceed to a specific location;
3 on
the availability of any personnel or equipment that could be placed on the
ship;
4 to
co-ordinate the passage, arrival into port or departure from port, to allow
escort by patrol craft or aircraft (fixed-wing or helicopter).
Contracting Governments should remind ships operating in their
territorial sea, or having communicated an intention to enter their territorial
sea, of any temporary restricted areas that they have published.
4.24 Contracting
Governments should recommend that ships operating in their territorial sea, or
having communicated an intention to enter their territorial sea, implement
expeditiously, for the ship’s protection and for the protection of other
ships in the vicinity, any security measure the Contracting Government may have
advised.
4.25 The plans
prepared by the Contracting Governments for the purposes given in
paragraph 4.22 should include information on an appropriate point of
contact, available on a 24-hour basis, within the Contracting Government including
the Administration. These plans should also include information on the
circumstances in which the Administration considers assistance should be sought
from nearby coastal States, and a procedure for liaison between port facility
security officers and ship security officers.
Alternative security agreements
4.26 Contracting
Governments, in considering how to implement chapter XI-2 and part A
of this Code, may conclude one or more agreements with one or more Contracting
Governments. The scope of an agreement is limited to short international
voyages on fixed routes between port facilities in the territory of the parties
to the agreement. When concluding an agreement, and thereafter, the Contracting
Governments should consult other Contracting Governments and Administrations
with an interest in the effects of the agreement. Ships flying the flag of a
State that is not party to the agreement should only be allowed to operate on
the fixed routes covered by the agreement if their Administration agrees that
the ship should comply with the provisions of the agreement and requires the
ship to do so. In no case can such an agreement compromise the level of
security of other ships and port facilities not covered by it, and
specifically, all ships covered by such an agreement may not conduct
ship-to-ship activities with ships not so covered. Any operational interface
undertaken by ships covered by the agreement should be covered by it. The
operation of each agreement must be continually monitored and amended when the
need arises and in any event should be reviewed every 5 years.
Equivalent arrangements for port facilities
4.27 For certain
specific port facilities with limited or special operations but with more than
occasional traffic, it may be appropriate to ensure compliance by security
measures equivalent to those prescribed in chapter XI-2 and in part A
of this Code. This can, in particular, be the case for terminals such as those
attached to factories, or quaysides with no frequent operations.
Manning level
4.28 In
establishing the minimum safe manning of a ship the Administration should take
into account that the minimum safe manning provisions established by
regulation V/14 only address the safe navigation of the ship. The
Administration should also take into account any additional workload which may
result from the implementation of the ship’s security plan and ensure
that the ship is sufficiently and effectively manned. In doing so the
Administration should verify that ships are able to implement the hours of rest
and other measures to address fatigue which have been promulgated by national
law, in the context of all shipboard duties assigned to the various shipboard
personnel.
Control and compliance measures
General
4.29 Regulation XI-2/9
describes the control and compliance measures applicable to ships under
chapter XI-2. It is divided into three distinct sections; control of ships
already in a port, control of ships intending to enter a port of another
Contracting Government, and additional provisions applicable to both
situations.
4.30 Regulation XI-2/9.1,
control of ships in port, implements a system for the control of ships while in
the port of a foreign country where duly authorized officers of the Contracting
Government (duly authorized officers) have the right to go on board the ship to
verify that the required certificates are in proper order. Then if there are
clear grounds to believe the ship does not comply, control measures such as
additional inspections or detention may be taken. This reflects current control
systems. Regulation XI-2/9.1 builds on such systems and allows for
additional measures (including expulsion of a ship from a port to be taken as a
control measure) when duly authorized officers have clear grounds for believing
that a ship is in non-compliance with the requirements of chapter XI‑2
or part A of this Code. Regulation XI-2/9.3 describes the safeguards
that promote fair and proportionate implementation of these additional
measures.
4.31 Regulation XI-2/9.2
applies control measures to ensure compliance to ships intending to enter a
port of another Contracting Government and introduces an entirely different
concept of control within chapter XI-2, applying to security only. Under
this regulation measures may be implemented prior to the ship entering port, to
better ensure security. Just as in regulation XI‑2/9.1, this
additional control system is based on the concept of clear grounds for
believing the ship does not comply with chapter XI-2 or part A of
this Code, and includes significant safeguards in regulations XI-2/9.2.2
and XI-2/9.2.5 as well as in regulation XI-2/9.3.
4.32 Clear grounds
that the ship is not in compliance means evidence or reliable information that
the ship does not correspond with the requirements of chapter XI-2 or
part A of this Code, taking into account the guidance given in this Part
of the Code. Such evidence or reliable information may arise from the duly
authorized officer’s professional judgement or observations gained while
verifying the ship’s International Ship Security Certificate or Interim
International Ship Security Certificate issued in accordance with part A
of this Code (certificate) or from other sources. Even if a valid certificate
is on board the ship, the duly authorized officers may still have clear grounds
for believing that the ship is not in compliance based on their professional
judgment.
4.33 Examples of
possible clear grounds under regulations XI-2/9.1 and XI-2/9.2 may include,
when relevant:
1 evidence
from a review of the certificate that it is not valid or it has expired;
2 evidence
or reliable information that serious deficiencies exist in the security
equipment, documentation or arrangements required by chapter XI-2 and part A of
this Code;
3 receipt
of a report or complaint which, in the professional judgment of the duly
authorized officer, contains reliable information clearly indicating that the
ship does not comply with the requirements of chapter XI-2 or part A of this
Code;
4 evidence
or observation gained by a duly authorized officer using professional judgment
that the master or ship’s personnel is not familiar with essential
shipboard security procedures or cannot carry out drills related to the
security of the ship or that such procedures or drills have not been carried
out;
5 evidence
or observation gained by a duly authorized officer using professional judgment
that key members ship’s personnel are not able to establish proper
communication with any other key members of ship’s personnel with
security responsibilities on board the ship;
6 evidence
or reliable information that the ship has embarked persons, or loaded stores or
goods at a port facility or from another ship where either the port facility or
the other ship is in violation of chapter XI-2 or part A of this
Code, and the ship in question has not completed a Declaration of Security, nor
taken appropriate, special or additional security measures or has not
maintained appropriate ship security procedures;
7 evidence
or reliable information that the ship has embarked persons, or loaded stores or
goods at a port facility or from another source (e.g., another ship or
helicopter transfer) where either the port facility or the other source is not
required to comply with chapter XI-2 or part A of this Code, and the
ship has not taken appropriate, special or additional security measures or has
not maintained appropriate security procedures; and
8 if
the ship holds a subsequent, consecutively issued Interim International Ship
Security Certificate as described in section A/19.4, and if, in the
professional judgment of an officer duly authorized, one of the purposes of the
ship or a Company in requesting such a certificate is to avoid full compliance
with chapter XI-2 and part A of this Code beyond the period of the
initial interim certificate as described in section A/19.4.4.
4.34 The
international law implications of regulation XI-2/9 are particularly
relevant, and the regulation should be implemented with
regulation XI-2/2.4 in mind, as the potential exists for situations where
either measures will be taken which fall outside the scope of
chapter XI-2, or where rights of affected ships, outside
chapter XI-2, should be considered. Thus, regulation XI‑2/9
does not prejudice the Contracting Government from taking measures having a
basis in, and consistent with, international law, to ensure the safety or
security of persons, ships, port facilities and other property in cases
where the ship, although in compliance with chapter XI-2 and part A
of this Code, is still considered to present a security risk.
4.35 When a
Contracting Government imposes control measures on a ship, the Administration
should, without delay, be contacted with sufficient information to enable the
Administration to fully liaise with the Contracting Government.
Control of ships in port
4.36 Where the
non-compliance is either a defective item of equipment or faulty documentation
leading to the ship’s detention and the non-compliance cannot be remedied
in the port of inspection, the Contracting Government may allow the ship to
sail to another port provided that any conditions agreed between the port
States and the Administration or master are met.
Ships intending to enter the port of
another Contracting Government
4.37 Regulation XI-2/9.2.1
lists the information Contracting Governments may require from a ship as a
condition of entry into port. One item of information listed is confirmation of
any special or additional measures taken by the ship during its last ten calls
at a port facility. Examples could include:
1 records
of the measures taken while visiting a port facility located in the territory
of a State which is not a Contracting Government especially those measures that
would normally have been provided by port facilities located in the territories
of Contracting Governments; and
2 any
Declarations of Security that were entered into with port facilities or other
ships.
4.38 Another item
of information listed, that may be required as a condition of entry into port,
is confirmation that appropriate ship security procedures were maintained
during ship-to-ship activity conducted within the period of the last
10 calls at a port facility. It would not normally be required to include
records of transfers of pilots, customs, immigration, security officials nor
bunkering, lightering, loading of supplies and unloading of waste by ship
within port facilities as these would normally fall within the auspices of the
Port Facility Security Plan. Examples of information that might be given
include:
1 records
of the measures taken while engaged in a ship to ship activity with a ship
flying the flag of a State which is not a Contracting Government especially
those measures that would normally have been provided by ships flying the flag
of Contracting Governments;
2 records
of the measures taken while engaged in a ship to ship activity with a ship that
is flying the flag of a Contracting Government but is not required to comply
with the provisions of chapter XI-2 and part A of this Code such as a
copy of any security certificate issued to that ship under other provisions;
and
3 in
the event that persons or goods rescued at sea are on board, all known
information about such persons or goods, including their identities when known
and the results of any checks run on behalf of the ship to establish the
security status of those rescued. It is not the intention of chapter XI-2
or part A of this Code to delay or prevent the delivery of those in
distress at sea to a place of safety. It is the sole intention of
chapter XI-2 and part A of this Code to provide States with enough
appropriate information to maintain their security integrity.
4.39 Examples of
other practical security related information that may be required as a
condition of entry into port in order to assist with ensuring the safety and
security of persons, port facilities, ships and other property include:
1 information
contained in the Continuous Synopsis Record;
2 location
of the ship at the time the report is made;
3 expected
time of arrival of the ship in port;
4 crew
list;
5 general
description of cargo aboard the ship;
6 passenger
list; and
7 information
required to be carried under regulation XI-2/5.
4.40 Regulation XI-2/9.2.5
allows the master of a ship, upon being informed that the coastal or port State
will implement control measures under regulation XI-2/9.2, to withdraw the
intention for the ship to enter port. If the master withdraws that intention,
regulation XI-2/9 no longer applies, and any other steps that are taken
must be based on, and consistent with, international law.
Additional provisions
4.41 In all cases
where a ship is denied entry or expelled from a port, all known facts should be
communicated to the authorities of relevant States. This communication should
consist of the following when known:
1 name
of ship, its flag, the ship’s identification number, call sign, ship type
and cargo;
2 reason
for denying entry or expulsion from port or port areas;
3 if
relevant, the nature of any security non-compliance;
4 if
relevant, details of any attempts made to rectify any non-compliance, including
any conditions imposed on the ship for the voyage;
5 past
port(s) of call and next declared port of call;
6 time
of departure and likely estimated time of arrival at those ports;
7 any
instructions given to ship, e.g., reporting on route;
8 available
information on the security level at which the ship is currently operating;
9 information
regarding any communications the port State has had with the Administration;
10 contact
point within the port State making the report for the purpose of obtaining
further information;
11 crew
list; and
12 any
other relevant information.
4.42 Relevant
States to contact should include those along the ship’s intended passage
to its next port, particularly if the ship intends to enter the territorial sea
of that coastal State. Other relevant States could include previous ports of
call, so that further information might be obtained and security issues
relating to the previous ports resolved.
4.43 In exercising
control and compliance measures, the duly authorized officers should ensure
that any measures or steps imposed are proportionate. Such measures or steps
should be reasonable and of the minimum severity and duration necessary to
rectify or mitigate the non-compliance.
4.44 The word
“delay” in regulation XI-2/9.3.5.1 also refers to situations
where, pursuant to actions taken under this regulation, the ship is unduly
denied entry into port or the ship is unduly expelled from port.
Non-party ships and ships below convention
size
4.45 With respect
to ships flying the flag of a State which is not a Contracting Government to
the Convention and not a Party to the 1988 SOLAS Protocol*, Contracting
Governments should not give more favourable treatment to such ships.
Accordingly, the requirements of regulation XI-2/9 and the guidance
provided in this Part of the Code should be applied to those ships.
4.46 Ships below
Convention size are subject to measures by which States maintain security. Such
measures should be taken with due regard to the requirements in
chapter XI-2 and the guidance provided in this Part of the Code.
* Protocol
of 1988 relating to the International Convention for the Safety of Life at Sea
1974.
5 DECLARATION OF SECURITY
General
5.1 A
Declaration of Security (DoS) should be completed when the Contracting
Government of the port facility deems it to be necessary or when a ship deems
it necessary.
5.1.1 The need for a DoS
may be indicated by the results of the Port Facility Security Assessment (PFSA)
and the reasons and circumstances in which a DoS is required should be set out
in the Port Facility Security Plan (PFSP).
5.1.2 The need for a DoS
may be indicated by an Administration for ships entitled to fly its flag or as
a result of a ship security assessment and should be set out in the ship
security plan.
5.2 It
is likely that a DoS will be requested at higher security levels, when a ship
has a higher security level than the port facility, or another ship with which
it interfaces, and for ship/port interface or ship to ship activities that pose
a higher risk to persons, property or the environment for reasons specific to
that ship, including its cargo or passengers or the circumstances at the port
facility or a combination of these factors.
5.2.1 In the case that a
ship or an Administration, on behalf of ships entitled to fly its flag,
requests completion of a DoS, the Port Facility Security Officer (PFSO) or Ship
Security Officer (SSO) should acknowledge the request and discuss appropriate
security measures.
5.3 A
PFSO may also initiate a DoS prior to ship/port interfaces that are identified
in the approved PFSA as being of particular concern. Examples may include the
embarking or disembarking passengers, and the transfer, loading or unloading of
dangerous goods or hazardous substances. The PFSA may also identify facilities
at or near highly populated areas or economically significant operations that
warrant a DoS.
5.4 The
main purpose of a DoS is to ensure agreement is reached between the ship and
the port facility or with other ships with which it interfaces as to the
respective security measures each will undertake in accordance with the
provisions of their respective approved security plans.
5.4.1 The agreed DoS
should be signed and dated by both the port facility and the ship(s), as
applicable, to indicate compliance with chapter XI-2 and part A of
this Code and should include its duration, the relevant security level, or
levels and the relevant contact details.
5.4.2 A change in the
security level may require that a new or revised DoS be completed.
5.5 The
DoS should be completed in English, French or Spanish or in a language common
to both the port facility and the ship or the ships, as applicable.
5.6 A
model DoS is included in Appendix 1 to this Part of the Code. This model
is for a DoS between a ship and a port facility. If the DoS is to cover two
ships this model should be appropriately adjusted.
6 OBLIGATIONS OF THE COMPANY
General
6.1 Regulation XI-2/5
requires the company to provide the master of the ship with information to meet
the requirements of the Company under the provisions of this regulation. This
information should include items such as:
1 parties
responsible for appointing shipboard personnel, such as ship management
companies, manning agents, contractors, concessionaries (for example, retail
sales outlets, casinos, etc.);
2 parties
responsible for deciding the employment of the ship including, time or bareboat
charterer(s) or any other entity acting in such capacity; and
3 in
cases when the ship is employed under the terms of a charter party, the contact
details of those parties including time or voyage charterers.
6.2 In
accordance with regulation XI-2/5 the Company is obliged to update and
keep this information current as and when changes occur.
6.3 This
information should be in English, French or Spanish language.
6.4 With
respect to ships constructed before 1 July 2004, this information
should reflect the actual condition on that date.
6.5 With
respect to ships constructed on or after 1 July 2004 and for ships
constructed before 1 July 2004 which were out of service on
1 July 2004, the information should be provided as from the date of
entry of the ship into service and should reflect the actual condition on that
date.
6.6 After
1 July 2004 when a ship is withdrawn from service the information
should be provided as from the date of re-entry of the ship into service and
should reflect the actual condition on that date.
6.7 Previously
provided information that does not relate to the actual condition on that date
need not be retained on board.
6.8 When
the responsibility for the operation of the ship is assumed by another Company,
the information relating to the Company, which operated the ship, is not
required to be left on board.
In addition other relevant guidance is provided under sections 8, 9
and 13.
7 SHIP SECURITY
Relevant guidance is provided under sections 8, 9 and 13.
8 SHIP SECURITY ASSESSMENT
Security assessment
8.1 The
Company Security Officer (CSO) is responsible for ensuring that a Ship Security
Assessment (SSA) is carried out for each of the ships in the Company’s
fleet which is required to comply with the provisions of chapter XI-2 and
part A of this Code for which the CSO is responsible. While the CSO need
not necessarily personally undertake all the duties associated with the post,
the ultimate responsibility for ensuring that they are properly performed
remains with the individual CSO.
8.2 Prior
to commencing the SSA, the CSO should ensure that advantage is taken of
information available on the assessment of threat for the ports at which the
ship will call or at which passengers embark or disembark and about the port
facilities and their protective measures. The CSO should study previous reports
on similar security needs. Where feasible, the CSO should meet with appropriate
persons on the ship and in the port facilities to discuss the purpose and
methodology of the assessment. The CSO should follow any specific guidance
offered by the Contracting Governments.
8.3 A
SSA should address the following elements on board or within the ship:
1 physical
security;
2 structural
integrity;
3 personnel
protection systems;
4 procedural
policies;
5 radio
and telecommunication systems, including computer systems and networks; and
6 other
areas that may, if damaged or used for illicit observation, pose a risk to
persons, property, or operations on board the ship or within a port facility.
8.4 Those
involved in a SSA should be able to draw upon expert assistance in relation to:
1 knowledge
of current security threats and patterns;
2 recognition
and detection of weapons, dangerous substances and devices;
3 recognition,
on a non-discriminatory basis, of characteristics and behavioural patterns of
persons who are likely to threaten security;
4 techniques
used to circumvent security measures;
5 methods
used to cause a security incident;
6 effects
of explosives on ship’s structures and equipment;
7 ship
security;
8 ship/port
interface business practices;
9 contingency
planning, emergency preparedness and response;
10 physical
security;
11 radio
and telecommunications systems, including computer systems and networks;
12 marine
engineering; and
13 ship
and port operations.
8.5 The
CSO should obtain and record the information required to conduct an assessment,
including:
1 the
general layout of the ship;
2 the
location of areas which should have restricted access, such as navigation
bridge, machinery spaces of category A and other control stations as defined in
chapter II-2, etc.;
3 the
location and function of each actual or potential access point to the ship;
4 changes
in the tide which may have an impact on the vulnerability or security of the
ship;
5 the
cargo spaces and stowage arrangements;
6 the
locations where the ship’s stores and essential maintenance equipment is
stored;
7 the
locations where unaccompanied baggage is stored;
8 the
emergency and stand-by equipment available to maintain essential services;
9 the
number of ship’s personnel, any existing security duties and any existing
training requirement practises of the Company;
10 existing
security and safety equipment for the protection of passengers and ship’s
personnel;
11 escape
and evacuation routes and assembly stations which have to be maintained to
ensure the orderly and safe emergency evacuation of the ship;
12 existing
agreements with private security companies providing ship/waterside security
services; and
13 existing
security measures and procedures in effect, including inspection and, control
procedures, identification systems, surveillance and monitoring equipment,
personnel identification documents and communication, alarms, lighting, access
control and other appropriate systems.
8.6 The
SSA should examine each identified point of access, including open weather
decks, and evaluate its potential for use by individuals who might seek to
breach security. This includes points of access available to individuals having
legitimate access as well as those who seek to obtain unauthorized entry.
8.7 The
SSA should consider the continuing relevance of the existing security measures
and guidance, procedures and operations, under both routine and emergency
conditions and should determine security guidance including:
1 the
restricted areas;
2 the
response procedures to fire or other emergency conditions;
3 the
level of supervision of the ship’s personnel, passengers, visitors,
vendors, repair technicians, dock workers, etc.;
4 the
frequency and effectiveness of security patrols;
5 the
access control systems, including identification systems;
6 the
security communications systems and procedures;
7 the
security doors, barriers and lighting; and
8 the
security and surveillance equipment and systems, if any.
8.8 The
SSA should consider the persons, activities, services and operations that it is
important to protect. This includes:
1 the
ship’s personnel;
2 passengers,
visitors, vendors, repair technicians, port facility personnel, etc;
3 the
capacity to maintain safe navigation and emergency response;
4 the
cargo, particularly dangerous goods or hazardous substances;
5 the
ship’s stores;
6 the
ship security communication equipment and systems, if any; and
7 the
ship’s security surveillance equipment and systems, if any.
8.9 The
SSA should consider all possible threats, which may include the following types
of security incidents:
1 damage
to, or destruction of, the ship or of a port facility, e.g. by explosive
devices, arson, sabotage or vandalism;
2 hijacking
or seizure of the ship or of persons on board;
3 tampering
with cargo, essential ship equipment or systems or ship’s stores;
4 unauthorized
access or use, including presence of stowaways;
5 smuggling
weapons or equipment, including weapons of mass destruction;
6 use
of the ship to carry those intending to cause a security incident and/or their
equipment;
7 use
of the ship itself as a weapon or as a means to cause damage or destruction;
8 attacks
from seaward whilst at berth or at anchor; and
9 attacks
whilst at sea.
8.10 The SSA should
take into account all possible vulnerabilities, which may include:
1 conflicts
between safety and security measures;
2 conflicts
between shipboard duties and security assignments;
3 watch-keeping
duties, number of ship’s personnel, particularly with implications on
crew fatigue, alertness and performance;
4 any
identified security training deficiencies; and
5 any
security equipment and systems, including communication systems.
8.11 The CSO and
SSO should always have regard to the effect that security measures may have on
ship’s personnel who will remain on the ship for long periods. When
developing security measures, particular consideration should be given to the
convenience, comfort and personal privacy of the ship’s personnel and
their ability to maintain their effectiveness over long periods.
8.12 Upon
completion of the SSA, a report shall be prepared, consisting of a summary of
how the assessment was conducted, a description of each vulnerability found
during the assessment and a description of counter measures that could be used
to address each vulnerability. The report shall be protected from unauthorized
access or disclosure.
8.13 If the SSA has
not been carried out by the Company, the report of the SSA should be reviewed
and accepted by the CSO.
On-scene security survey
8.14 The on-scene
security survey is an integral part of any SSA. The on-scene security survey
should examine and evaluate existing shipboard protective measures, procedures
and operations for:
1 ensuring
the performance of all ship security duties;
2 monitoring
restricted areas to ensure that only authorized persons have access;
3 controlling
access to the ship, including any identification systems;
4 monitoring
of deck areas and areas surrounding the ship;
5 controlling
the embarkation of persons and their effects (accompanied and unaccompanied
baggage and ship’s personnel personal effects);
6 supervising
the handling of cargo and the delivery of ship’s stores; and
7 ensuring
that ship security communication, information, and equipment are readily
available.
9 SHIP SECURITY PLAN
General
9.1 The
Company Security Officer (CSO) has the responsibility of ensuring that a Ship
Security Plan (SSP) is prepared and submitted for approval. The content of each
individual SSP should vary depending on the particular ship it covers. The Ship
Security Assessment (SSA) will have identified the particular features of the
ship and the potential threats and vulnerabilities. The preparation of the SSP
will require these features to be addressed in detail. Administrations may
prepare advice on the preparation and content of a SSP.
9.2 All
SSPs should:
1 detail
the organizational structure of security for the ship;
2 detail
the ship’s relationships with the Company, port facilities, other ships
and relevant authorities with security responsibility;
3 detail
the communication systems to allow effective continuous communication within
the ship and between the ship and others, including port facilities;
4 detail
the basic security measures for security level 1, both operational and
physical, that will always be in place;
5 detail
the additional security measures that will allow the ship to progress without
delay to security level 2 and, when necessary, to security level 3;
6 provide
for regular review, or audit, of the SSP and for its amendment in response to
experience or changing circumstances; and
7 reporting
procedures to the appropriate Contracting Governments contact points.
9.3 Preparation
of an effective SSP should rest on a thorough assessment of all issues that
relate to the security of the ship, including, in particular, a thorough
appreciation of the physical and operational characteristics, including the
voyage pattern, of the individual ship.
9.4 All
SSPs should be approved by, or on behalf of, the Administration. If an
Administration uses a Recognized Security Organization (RSO) to review or
approve the SSP the RSO should not be associated with any other RSO that
prepared, or assisted in the preparation of, the plan.
9.5 CSOs
and Ship Security Officers (SSOs) should develop procedures to:
1 assess
the continuing effectiveness of the SSP; and
2 prepare
amendments of the plan subsequent to its approval.
9.6 The
security measures included in the SSP should be in place when the initial
verification for compliance with the requirements of chapter XI-2 and
part A of this Code will be carried out. Otherwise the process of issue to
the ship of the required International Ship Security Certificate cannot be
carried out. If there is any subsequent failure of security equipment or systems,
or suspension of a security measure for whatever reason, equivalent temporary
security measures should be adopted, notified to, and agreed by, the
Administration.
Organization and performance of ship
security duties
9.7 In
addition to the guidance given in section 9.2, the SSP should establish the
following which relate to all security levels:
1 the
duties and responsibilities of all shipboard personnel with a security role;
2 the
procedures or safeguards necessary to allow such continuous communications to
be maintained at all times;
3 the
procedures needed to assess the continuing effectiveness of security procedures
and any security and surveillance equipment and systems, including procedures
for identifying and responding to equipment or systems failure or malfunction;
4 the
procedures and practices to protect security sensitive information held in
paper or electronic format;
5 the
type and maintenance requirements, of security and surveillance equipment and
systems, if any;
6 the
procedures to ensure the timely submission, and assessment, of reports relating
to possible breaches of security or security concerns; and
7 procedures
to establish, maintain and up-date an inventory of any dangerous goods or
hazardous substances carried on board, including their location.
9.8 The
remainder of this section addresses specifically the security measures that
could be taken at each security level covering:
1 access
to the ship by ship’s personnel, passengers, visitors, etc;
2 restricted
areas on the ship;
3 handling
of cargo;
4 delivery
of ship’s stores;
5 handling
unaccompanied baggage; and
6 monitoring
the security of the ship.
Access
to the ship
9.9 The SSP should establish the security
measures covering all means of access to the ship identified in the SSA. This
should include any:
1 access
ladders;
2 access
gangways;
3 access
ramps;
4 access
doors, side scuttles, windows and ports;
5 mooring
lines and anchor chains; and
6 cranes
and hoisting gear.
9.10 For each of
these the SSP should identify the appropriate locations where access
restrictions or prohibitions should be applied for each of the security levels.
For each security level the SSP should establish the type of restriction or
prohibition to be applied and the means of enforcing them.
9.11 The SSP should
establish for each security level the means of identification required to allow
access to the ship and for individuals to remain on the ship without challenge,
this may involve developing an appropriate identification system allowing for
permanent and temporary identifications, for ship’s personnel and
visitors respectively. Any ship identification system should, when it is
practicable to do so, be co-ordinated with that applying to the port facility.
Passengers should be able to prove their identity by boarding passes, tickets,
etc., but should not be permitted access to restricted areas unless supervised.
The SSP should establish provisions to ensure that the identification systems
are regularly updated, and that abuse of procedures should be subject to
disciplinary action.
9.12 Those
unwilling or unable to establish their identity and/or to confirm the purpose
of their visit when requested to do so should be denied access to the ship and
their attempt to obtain access should be reported, as appropriate, to the SSOs,
the CSOs, the Port Facility Security Officer (PFSO) and to the national or
local authorities with security responsibilities.
9.13 The SSP should
establish the frequency of application of any access controls particularly if
they are to be applied on a random, or occasional, basis.
Security Level 1
9.14 At security
level 1, the SSP should establish the security measures to control access
to the ship, where the following may be applied:
1 checking
the identity of all persons seeking to board the ship and confirming their
reasons for doing so by checking, for example, joining instructions, passenger
tickets, boarding passes, work orders etc;
2 in
liaison with the port facility the ship should ensure that designated secure
areas are established in which inspections and searching of persons, baggage
(including carry on items), personal effects, vehicles and their contents can
take place;
3 in
liaison with the port facility the ship should ensure that vehicles destined to
be loaded on board car carriers, ro-ro and other passenger ships are subjected
to search prior to loading, in accordance with the frequency required in the
SSP;
4 segregating
checked persons and their personal effects from unchecked persons and their
personal effects;
5 segregating
embarking from disembarking passengers;
6 identification
of access points that should be secured or attended to prevent unauthorized
access;
7 securing,
by locking or other means, access to unattended spaces adjoining areas to which
passengers and visitors have access; and
8 providing
security briefings to all ship personnel on possible threats, the procedures
for reporting suspicious persons, objects or activities and the need for
vigilance.
9.15 At security
level 1, all those seeking to board a ship should be liable to search. The
frequency of such searches, including random searches, should be specified in
the approved SSP and should be specifically approved by the Administration.
Such searches may best be undertaken by the port facility in close co-operation
with the ship and in close proximity to it. Unless there are clear security
grounds for doing so, members of the ship’s personnel should not be
required to search their colleagues or their personal effects. Any such search
shall be undertaken in a manner which fully takes into account the human rights
of the individual and preserves their basic human dignity.
Security Level 2
9.16 At security
level 2, the SSP should establish the security measures to be applied to
protect against a heightened risk of a security incident to ensure higher
vigilance and tighter control, which may include:
1 assigning
additional personnel to patrol deck areas during silent hours to deter
unauthorized access;
2 limiting
the number of access points to the ship, identifying those to be closed and the
means of adequately securing them;
3 deterring
waterside access to the ship, including, for example, in liaison with the port
facility, provision of boat patrols;
4 establishing
a restricted area on the shore-side of the ship, in close co-operation with the
port facility;
5 increasing
the frequency and detail of searches of persons, personal effects, and vehicles
being embarked or loaded onto the ship;
6 escorting
visitors on the ship;
7 providing
additional specific security briefings to all ship personnel on any identified
threats, re-emphasising the procedures for reporting suspicious persons,
objects, or activities and the stressing the need for increased vigilance; and
8 carrying
out a full or partial search of the ship.
Security
Level 3
9.17 At security level 3, the ship should comply with
the instructions issued by those responding to the security incident or threat
thereof. The SSP should detail the security measures which could be taken by
the ship, in close co-operation with those responding and the port facility,
which may include:
1 limiting
access to a single, controlled, access point;
2 granting
access only to those responding to the security incident or threat thereof;
3 directions
of persons on board;
4 suspension
of embarkation or disembarkation;
5 suspension
of cargo handling operations, deliveries etc;
6 evacuation
of the ship;
7 movement
of the ship; and
8 preparing
for a full or partial search of the ship.
Restricted areas on the ship
9.18 The SSP should
identify the restricted areas to be established on the ship, specify their
extent, times of application, the security measures to be taken to control
access to them and those to be taken to control activities within them. The
purpose of restricted areas are to:
1 prevent
unauthorized access;
2 protect
passengers, ship’s personnel, and personnel from port facilities or other
agencies authorized to be on board the ship;
3 protect
sensitive security areas within the ship; and
4 protect
cargo and ship’s stores from tampering.
9.19 The SSP should
ensure that there are clearly established policies and practices to control
access to all restricted areas them.
9.20 The SSP should
provide that all restricted areas should be clearly marked indicating that
access to the area is restricted and that unauthorized presence within the area
constitutes a breach of security.
9.21 Restricted
areas may include:
1 navigation
bridge, machinery spaces of category A and other control stations as
defined in chapter II-2;
2 spaces
containing security and surveillance equipment and systems and their controls
and lighting system controls;
3 ventilation
and air-conditioning systems and other similar spaces;
4 spaces
with access to potable water tanks, pumps, or manifolds;
5 spaces
containing dangerous goods or hazardous substances;
6 spaces
containing cargo pumps and their controls;
7 cargo
spaces and spaces containing ship’s stores;
8 crew
accommodation; and
9 any
other areas as determined by the CSO, through the SSA to which access must be
restricted to maintain the security of the ship.
Security Level 1
9.22 At security
level 1, the SSP should establish the security measures to be applied to
restricted areas, which may include:
1 locking
or securing access points;
2 using
surveillance equipment to monitor the areas;
3 using
guards or patrols; and
4 using
automatic intrusion detection devices to alert the ship’s personnel of
unauthorized access.
Security Level 2
9.23 At security
level 2, the frequency and intensity of the monitoring of, and control of access
to restricted areas should be increased to ensure that only authorized persons
have access. The SSP should establish the additional security measures to be
applied, which may include:
1 establishing
restricted areas adjacent to access points;
2 continuously
monitoring surveillance equipment; and
3 dedicating
additional personnel to guard and patrol restricted areas.
Security Level 3
9.24 At security
level 3, the ship should comply with the instructions issued by those
responding to the security incident or threat thereof. The SSP should detail
the security measures which could be taken by the ship, in close co-operations
with those responding and the port facility, which may include:
1 setting
up of additional restricted areas on the ship in proximity to the security
incident, or the believed location of the security threat, to which access is
denied; and
2 searching
of restricted areas as part of a search of the ship.
Handling of cargo
9.25 The security
measures relating to cargo handling should:
1 prevent
tampering; and
2 prevent
cargo that is not meant for carriage from being accepted and stored on board
the ship.
9.26 The security
measures, some of which may have to be applied in liaison with the port
facility, should include inventory control procedures at access points to the
ship. Once on board the ship, cargo should be capable of being identified as
having been approved for loading onto the ship. In addition, security measures
should be developed to ensure that cargo, once on board, is not tampered with.
Security Level 1
9.27 At security
level 1, the SSP should establish the security measures to be applied during
cargo handling, which may include:
1 routine
checking of cargo, cargo transport units and cargo spaces prior to, and during,
cargo handling operations;
2 checks
to ensure that cargo being loaded matches the cargo documentation;
3 ensuring,
in liaison with the port facility, that vehicles to be loaded on board
car-carriers, ro-ro and passenger ships are subjected to search prior to
loading, in accordance with the frequency required in the SSP; and
4 checking
of seals or other methods used to prevent tampering.
9.28 Checking of
cargo may be accomplished by the following means:
1 visual
and physical examination; and
2 using
scanning/detection equipment, mechanical devices, or dogs.
9.29 When there are
regular, or repeated, cargo movement the CSO or SSO may, in consultation with
the port facility, agree arrangements with shippers or others responsible for
such cargo covering off-site checking, sealing, scheduling, supporting
documentation, etc. Such arrangements should be communicated to and agreed with
the PFSO concerned.
Security Level 2
9.30 At security
level 2, the SSP should establish the additional security measures to be
applied during cargo handling, which may include:
1 detailed
checking of cargo, cargo transport units and cargo spaces;
2 intensified
checks to ensure that only the intended cargo is loaded;
3 intensified
searching of vehicles to be loaded on car-carriers, ro-ro and passenger ships;
and
4 increased
frequency and detail in checking of seals or other methods used to prevent
tampering.
9.31 Detailed
checking of cargo may be accomplished by the following means:
1 increasing
the frequency and detail of visual and physical examination;
2 increasing
the frequency of the use of scanning/detection equipment, mechanical devices,
or dogs; and
3 co-ordinating
enhanced security measures with the shipper or other responsible party in
accordance with an established agreement and procedures.
Security Level 3
9.32 At security
level 3, the ship should comply with the instructions issued by those
responding to the security incident or threat thereof. The SSP should detail
the security measures which could be taken by the ship, in close co-operation
with those responding and the port facility, which may include:
1 suspension
of the loading or unloading of cargo; and
2 verify
the inventory of dangerous goods and hazardous substances carried on board, if
any, and their location.
Delivery of ship’s stores
9.33 The security
measures relating to the delivery of ship’s stores should:
1 ensure
checking of ship’s stores and package integrity;
2 prevent
ship’s stores from being accepted without inspection;
3 prevent
tampering; and
4 prevent
ship’s stores from being accepted unless ordered.
9.34 For ships
regularly using the port facility it may be appropriate to establish procedures
involving the ship, its suppliers and the port facility covering notification
and timing of deliveries and their documentation. There should always be some
way of confirming that stores presented for delivery are accompanied by
evidence that they have been ordered by the ship.
Security Level 1
9.35 At security
level 1, the SSP should establish the security measures to be applied
during delivery of ship’s stores, which may include:
1 checking
to ensure stores match the order prior to being loaded on board; and
2 ensuring
immediate secure stowage of ship’s stores.
Security Level 2
9.36 At security
level 2, the SSP should establish the additional security measures to be
applied during delivery of ship’s stores by exercising checks prior to
receiving stores on board and intensifying inspections.
Security Level 3
9.37 At security
level 3, the ship should comply with the instructions issued by those
responding to the security incident or threat thereof. The SSP should detail
the security measures which could be taken by the ship, in close co-operation
with those responding and the port facility, which may include:
1 subjecting
ship’s stores to more extensive checking;
2 preparation
for restriction or suspension of handling of ship’s stores; and
3 refusal
to accept ship’s stores on board the ship.
Handling unaccompanied baggage
9.38 The SSP should
establish the security measures to be applied to ensure that unaccompanied
baggage (i.e. any baggage, including personal effects, which is not with the
passenger or member of ship’s personnel at the point of inspection or
search) is identified and subjected to appropriate screening, including
searching, before it is accepted on board the ship. It is not envisaged that
such baggage will be subjected to screening by both the ship and the port
facility, and in cases where both are suitably equipped, the responsibility for
screening should rest with the port facility. Close co-operation with the port
facility is essential and steps should be taken to ensure that unaccompanied
baggage is handled securely after screening.
Security Level 1
9.39 At security
level 1, the SSP should establish the security measures to be applied when
handling unaccompanied baggage to ensure that unaccompanied baggage is screened
or searched up to and including 100 percent, which may include use of x-ray
screening.
Security
Level 2
9.40 At security level 2, the SSP should establish the
additional security measures to be applied when handling unaccompanied baggage
which should include 100 percent x-ray screening of all unaccompanied
baggage.
Security Level 3
9.41 At security
level 3, the ship should comply with the instructions issued by those
responding to the security incident or threat thereof. The SSP should detail
the security measures which could be taken by the ship, in close co-operation
with those responding and the port facility, which may include:
1 subjecting
such baggage to more extensive screening, for example x-raying it from at least
two different angles;
2 preparation
for restriction or suspension of handling of unaccompanied baggage; and
3 refusal
to accept unaccompanied baggage on board the ship.
Monitoring the Security of the Ship
9.42 The ship
should have the capability to monitor the ship, the restricted areas on board
and areas surrounding the ship. Such monitoring capabilities may include use
of:
1 lighting;
2 watch-keepers,
security guards and deck watches including patrols; and
3 automatic
intrusion detection devices and surveillance equipment.
9.43 When used,
automatic intrusion detection devices should activate an audible and/or visual
alarm at a location that is continuously attended or monitored.
9.44 The SSP should
establish the procedures and equipment needed at each security level and the
means of ensuring that monitoring equipment will be able to perform
continually, including consideration of the possible effects of weather
conditions or of power disruptions.
Security Level 1
9.45 At security
level 1, the SSP should establish the security measures to be applied
which may be a combination of lighting, watch keepers, security guards or use
of security and surveillance equipment to allow ship’s security personnel
to observe the ship in general, and barriers and restricted areas in
particular.
9.46 The
ship’s deck and access points to the ship should be illuminated during
hours of darkness and periods of low visibility while conducting ship/port
interface activities or at a port facility or anchorage when necessary. While
underway, when necessary, ships should use the maximum lighting available
consistent with safe navigation, having regard to the provisions of the International
Regulations for the Prevention of Collisions at Sea in force. The following
should be considered when establishing the appropriate level and location of
lighting:
1 the
ship’s personnel should be able to detect activities beyond the ship, on
both the shore side and the waterside;
2 coverage
should include the area on and around the ship;
3 coverage
should facilitate personnel identification at access points; and
4 coverage
may be provided through coordination with the port facility.
Security Level 2
9.47 At security
level 2, the SSP should establish the additional security measures to be
applied to enhance the monitoring and surveillance capabilities, which may
include:
1 increasing
the frequency and detail of security patrols;
2 increasing
the coverage and intensity of lighting or the use of security and surveillance
and equipment;
3 assigning
additional personnel as security lookouts; and
4 ensuring
coordination with waterside boat patrols, and foot or vehicle patrols on the
shore-side, when provided.
9.48 Additional lighting
may be necessary to protect against a heightened risk of a security incidents.
When necessary, the additional lighting requirements may be accomplished by
coordinating with the port facility to provide additional shore side lighting.
Security Level 3
9.49 At security
level 3, the ship should comply with the instructions issued by those
responding to the security incident or threat thereof. The SSP should detail
the security measures which could be taken by the ship, in close co-operation
with those responding and the port facility, which may include:
1 switching
on of all lighting on, or illuminating the vicinity of, the ship;
2 switching
on of all on board surveillance equipment capable of recording activities on,
or in the vicinity of, the ship;
3 maximising
the length of time such surveillance equipment can continue to record;
4 preparation
for underwater inspection of the hull of the ship; and
5 initiation
of measures, including the slow revolution of the ship’s propellers, if
practicable, to deter underwater access to the hull of the ship.
Differing security levels
9.50 The SSP should
establish details of the procedures and security measures the ship could adopt
if the ship is at a higher security level than that applying to a port
facility.
Activities
not covered by the Code
9.51 The SSP should establish details of the procedures and
security measures the ship should apply when:
1 it
is at a port of a State which is not a Contracting Government;
2 it
is interfacing with a ship to which this Code does not apply;
3 it
is interfacing with fixed or floating platforms or a mobile drilling unit on
location; or
4 it
is interfacing with a port or port facility which is not required to comply
with chapter XI-2 and part A of this Code.
Declarations of security
9.52 The SSP should
detail how requests for DoS from a port facility will be handled and the
circumstances under which the ship itself should request a DoS.
Audit and review
9.53 The SSP should
establish how the CSO and the SSO intend to audit the continued effectiveness
of the SSP and the procedure to be followed to review, update or amend the SSP.
10 RECORDS
General
10.1 Records should
be available to duly authorized officers of Contracting Governments to verify
that the provisions of ship security plans are being implemented.
10.2 Records may be
kept in any format but should be protect from unauthorized access or
disclosure.
11 COMPANY SECURITY OFFICER
Relevant guidance is provided under
sections 8, 9 and 13.
12 SHIP SECURITY OFFICER
Relevant guidance is provided under
sections 8, 9 and 13.
13 TRAINING, DRILLS AND EXERCISES ON SHIP
SECURITY
Training
13.1 The Company
Security Officer (CSO) and appropriate shore based Company personnel, and the
Ship Security Officer (SSO), should have knowledge of, and receive training, in
some or all of the following, as appropriate:
1 security
administration;
2 relevant
international conventions, codes and recommendations;
3 relevant
Government legislation and regulations;
4 responsibilities
and functions of other security organizations;
5 methodology
of ship security assessment;
6 methods
of ship security surveys and inspections;
7 ship
and port operations and conditions;
8 ship
and port facility security measures;
9 emergency
preparedness and response and contingency planning;
10 instruction
techniques for security training and education, including security measures and
procedures;
11 handling
sensitive security related information and security related communications;
12 knowledge
of current security threats and patterns;
13 recognition
and detection of weapons, dangerous substances and devices;
14 recognition,
on a non discriminatory basis, of characteristics and behavioural patterns of
persons who are likely to threaten security;
15 techniques
used to circumvent security measures;
16 security
equipment and systems and their operational limitations;
17 methods
of conducting audits, inspection, control and monitoring;
18 methods
of physical searches and non-intrusive inspections;
19 security
drills and exercises, including drills and exercises with port facilities; and
20 assessment
of security drills and exercises.
13.2 In addition
the SSO should have adequate knowledge of, and receive training, in some or all
of the following, as appropriate:
1 the
layout of the ship;
2 the
ship security plan and related procedures (including scenario-based training on
how to respond);
3 crowd
management and control techniques;
4 operations
of security equipment and systems; and
5 testing,
calibration and whilst at sea maintenance of security equipment and systems.
13.3 Shipboard
personnel having specific security duties should have sufficient knowledge and
ability to perform their assigned duties, including, as appropriate:
1 knowledge
of current security threats and patterns;
2 recognition
and detection of weapons, dangerous substances and devices;
3 recognition
of characteristics and behavioural patterns of persons who are likely to
threaten security;
4 techniques
used to circumvent security measures;
5 crowd
management and control techniques;
6 security
related communications;
7 knowledge
of the emergency procedures and contingency plans;
8 operations
of security equipment and systems;
9 testing,
calibration and whilst at sea maintenance of security equipment and systems;
10 inspection,
control, and monitoring techniques; and
11 methods
of physical searches of persons, personal effects, baggage, cargo, and
ship’s stores.
13.4 All other
shipboard personnel should have sufficient knowledge of and be familiar with
relevant provisions of the SSP, including:
1 the
meaning and the consequential requirements of the different security levels;
2 knowledge
of the emergency procedures and contingency plans;
3 recognition
and detection of weapons, dangerous substances and devices;
4 recognition,
on a non discriminatory basis, of characteristics and behavioural patterns of
persons who are likely to threaten security; and
5 techniques
used to circumvent security measures.
Drills and exercises
13.5 The objective
of drills and exercises is to ensure that shipboard personnel are proficient in
all assigned security duties at all security levels and the identification of
any security related deficiencies, which need to be addressed.
13.6 To ensure the
effective implementation of the provisions of the ship security plan, drills
should be conducted at least once every three months. In addition, in cases
where more than 25 percent of the ship’s personnel has been changed,
at any one time, with personnel that has not previously participated in any
drill on that ship, within the last 3 months, a drill should be conducted
within one week of the change. These drills should test individual elements of
the plan such as those security threats listed in paragraph 8.9.
13.7 Various types
of exercises which may include participation of company security officers, port
facility security officers, relevant authorities of Contracting Governments as
well as ship security officers, if available, should be carried out at least
once each calendar year with no more than 18 months between the exercises.
These exercises should test communications, coordination, resource
availability, and response. These exercises may be:
1 full
scale or live;
2 tabletop
simulation or seminar; or
3 combined
with other exercises held such as search and rescue or emergency response
exercises.
13.8 Company
participation in an exercise with another Contracting Government should be
recognized by the Administration.
14 PORT FACILITY SECURITY
Relevant guidance is provided under
section 15, 16 and 18.
15 PORT FACILITY SECURITY ASSESSMENT
General
15.1 The Port
Facility Security Assessment (PFSA) may be conducted by a Recognized Security
Organization (RSO). However, approval of a completed PFSA should only be given
by the relevant Contracting Government.
15.2 If a
Contracting Government uses a RSO, to review or verify compliance of the PFSA,
the RSO should not be associated with any other RSO that prepared or assisted
in the preparation of that assessment.
15.3 A PFSA should
address the following elements within a port facility:
1 physical
security;
2 structural
integrity;
3 personnel
protection systems;
4 procedural
policies;
5 radio
and telecommunication systems, including computer systems and networks;
6 relevant
transportation infrastructure;
7 utilities;
and
8 other
areas that may, if damaged or used for illicit observation, pose a risk to
persons, property, or operations within the port facility.
15.4 Those involved
in a PFSA should be able to draw upon expert assistance in relation to:
1 knowledge
of current security threats and patterns;
2 recognition
and detection of weapons, dangerous substances and devices;
3 recognition,
on a non-discriminatory basis, of characteristics and behavioural patterns of
persons who are likely to threaten security;
4 techniques
used to circumvent security measures;
5 methods
used to cause a security incident;
6 effects
of explosives on structures and port facility services;
7 port
facility security;
8 port
business practices;
9 contingency
planning, emergency preparedness and response;
10 physical
security measures e.g. fences;
11 radio
and telecommunications systems, including computer systems and networks;
12 transport
and civil engineering; and
13 ship
and port operations.
Identification and evaluation of important
assets and infrastructure it is important to protect
15.5 The
identification and evaluation of important assets and infrastructure is a
process through which the relative importance of structures and installations
to the functioning of the port facility can be established. This identification
and evaluation process is important because it provides a basis for focusing
mitigation strategies on those assets and structures which it is more important
to protect from a security incident. This process should take into account
potential loss of life, the economic significance of the port, symbolic value,
and the presence of Government installations.
15.6 Identification
and evaluation of assets and infrastructure should be used to prioritise their
relative importance for protection. The primary concern should be avoidance of
death or injury. It is also important to consider whether the port facility,
structure or installation can continue to function without the asset, and the
extent to which rapid re-establishment of normal functioning is possible.
15.7 Assets and
infrastructure that should be considered important to protect may include:
1 accesses,
entrances, approaches, and anchorages, manoeuvring and berthing areas;
2 cargo
facilities, terminals, storage areas, and cargo handling equipment;
3 systems
such as electrical distribution systems, radio and telecommunication systems
and computer systems and networks;
4 port
vessel traffic management systems and aids to navigation;
5 power
plants, cargo transfer piping, and water supplies;
6 bridges,
railways, roads;
7 port
service vessels, including pilot boats, tugs, lighters etc;
8 security
and surveillance equipment and systems; and
9 the
waters adjacent to the port facility.
15.8 The clear
identification of assets and infrastructure is essential to the evaluation of
the port facility’s security requirements, the prioritisation of
protective measures, and decisions concerning the allocation of resources to
better protect the port facility. The process may involve consultation with the
relevant authorities relating to structures adjacent to the port facility which
could cause damage within the facility or be used for the purpose of causing
damage to the facility or for illicit observation of the facility or for
diverting attention.
Identification of the possible threats to
the assets and infrastructure and the likelihood of their occurrence, in order
to establish and prioritise security measures
15.9 Possible acts
that could threaten the security of assets and infrastructure, and the methods
of carrying out those acts, should be identified to evaluate the vulnerability
of a given asset or location to a security incident, and to establish and
prioritise security requirements to enable planning and resource allocations.
Identification and evaluation of each potential act and its method should be
based on various factors, including threat assessments by Government agencies.
By identifying and assessing threats, those conducting the assessment do not
have to rely on worst-case scenarios to guide planning and resource
allocations.
15.10 The PFSA should
include an assessment undertaken in consultation with the relevant national
security organizations to determine:
1 any
particular aspects of the port facility, including the vessel traffic using the
facility, which make it likely to be the target of an attack;
2 the
likely consequences in terms of loss of life, damage to property, economic
disruption, including disruption to transport systems, of an attack on, or at,
the port facility;
3 the
capability and intent of those likely to mount such an attack; and
4 the
possible type, or types, of attack,
producing an overall assessment of the level of risk against which
security measures have to be developed.
15.11 The PFSA should
consider all possible threats, which may include the following types of
security incidents:
1 damage
to, or destruction of, the port facility or of the ship, e.g. by explosive
devices, arson, sabotage or vandalism;
2 hijacking
or seizure of the ship or of persons on board;
3 tampering
with cargo, essential ship equipment or systems or ship’s stores;
4 unauthorized
access or use including presence of stowaways;
5 smuggling
weapons or equipment, including weapons of mass destruction;
6 use
of the ship to carry those intending to cause a security incident and their
equipment;
7 use
of the ship itself as a weapon or as a means to cause damage or destruction;
8 blockage;
of port entrances, locks, approaches etc; and
9 nuclear,
biological and chemical attack.
15.12 The process should
involve consultation with the relevant authorities relating to structures
adjacent to the port facility which could cause damage within the facility or
be used for the purpose of causing damage to the facility or for illicit
observation of the facility or for diverting attention.
Identification, selection, and
prioritisation of countermeasures and procedural changes and their level of
effectiveness in reducing vulnerability
15.13 The identification
and prioritisation of countermeasures is designed to ensure that the most
effective security measures are employed to reduce the vulnerability of a port
facility or ship/port interface to the possible threats.
15.14 Security measures
should be selected on the basis of factors such as whether they reduce the
probability of an attack and should be evaluated using information that
includes:
1 security
surveys, inspections and audits;
2 consultation
with port facility owners and operators, and owners/operators of adjacent structures
if appropriate;
3 historical
information on security incidents; and
4 operations
within the port facility.
Identification of vulnerabilities
15.15 Identification of
vulnerabilities in physical structures, personnel protection systems,
processes, or other areas that may lead to a security incident can be used to
establish options to eliminate or mitigate those vulnerabilities. For example,
an analysis might reveal vulnerabilities in a port facility’s security
systems or unprotected infrastructure such as water supplies, bridges etc that
could be resolved through physical measures, e.g. permanent barriers, alarms,
surveillance equipment etc.
15.16 Identification of
vulnerabilities should include consideration of:
1 waterside
and shore-side access to the port facility and ships berthing at the facility;
2 structural
integrity of the piers, facilities, and associated structures;
3 existing
security measures and procedures, including identification systems;
4 existing
security measures and procedures relating to port services and utilities;
5 measures
to protect radio and telecommunication equipment, port services and utilities,
including computer systems and networks;
6 adjacent
areas that may be exploited during, or for, an attack;
7 existing
agreements with private security companies providing waterside/shore-side
security services;
8 any
conflicting policies between safety and security measures and procedures;
9 any
conflicting port facility and security duty assignments;
10 any
enforcement and personnel constraints;
11 any
deficiencies identified during training and drills; and
12 any
deficiencies identified during daily operation, following incidents or alerts,
the report of security concerns, the exercise of control measures, audits etc.
16 PORT FACILITY SECURITY PLAN
General
16.1 Preparation of
the Port Facility Security Plan (PFSP) is the responsibility of the Port
Facility Security Officer (PFSO). While the PFSO need not necessarily
personally undertake all the duties associated with the post the ultimate
responsibility for ensuring that they are properly performed remains with the
individual PFSO.
16.2 The content of
each individual PFSP should vary depending on the particular circumstances of
the port facility, or facilities, it covers. The Port Facility Security (PFSA)
will have identified the particular features of the port facility, and of the
potential security risks, that have led to the need to appoint a PFSO and to
prepare a PFSP. The preparation of the PFSP will require these features, and
other local or national security considerations, to be addressed in the PFSP
and for appropriate security measures to be established so as to minimise the
likelihood of a breach of security and the consequences of potential risks.
Contracting Governments may prepare advice on the preparation and content of a
PFSP.
16.3 All PFSPs
should:
1 detail
the security organization of the port facility,
2 the
organization’s links with other relevant authorities and the necessary
communication systems to allow the effective continuous operation of the
organization and its links with others, including ships in port;
3 detail
the basic security level 1 measures, both operational and physical, that
will be in place;
4 detail
the additional security measures that will allow the port facility to progress
without delay to security level 2 and, when necessary, to security level
3;
5 provide
for regular review, or audit, of the PFSP and for its amendments in response to
experience or changing circumstances; and
6 reporting
procedures to the appropriate Contracting Governments contact points.
16.4 Preparation of
an effective PFSP will rest on a thorough assessment of all issues that relate
to the security of the port facility, including, in particular, a thorough
appreciation of the physical and operational characteristics of the individual
port facility.
16.5 Contracting
Government should approve the PFSPs of the port facilities under their
jurisdiction. Contracting Governments should develop procedures to assess the
continuing effectiveness of each PFSP and may require amendment of the PFSP
prior to its initial approval or subsequent to its approval. The PFSP should
make provision for the retention of records of security incidents and threats,
reviews, audits, training, drills and exercises as evidence of compliance with
those requirements.
16.6 The security
measures included in the PFSP should be in place within a reasonable period of
the PFSP’s approval and the PFSP should establish when each measure will
be in place. If there is likely to be any delay in their provision this should
be discussed with the Contracting Government responsible for approval of the
PFSP and satisfactory alternative temporary security measures that provide an
equivalent level of security should be agreed to cover any interim period.
16.7 The use of
firearms on or near ships and in port facilities may pose particular and
significant safety risks, in particular in connection with certain dangerous or
hazardous substances and should be considered very carefully. In the event that
a Contracting Government decides that it is necessary to use armed personnel in
these areas, that Contracting Government should ensure that these personnel are
duly authorized and trained in the use of their weapons and that they are aware
of the specific risks to safety that are present in these areas. If a
Contracting Government authorizes the use of firearms they should issue
specific safety guidelines on their use. The PFSP should contain specific
guidance on this matter in particular with regard its application to ships
carrying dangerous goods or hazardous substances.
Organization and performance of port
facility security duties
16.8 In addition to
the guidance given under section 16.3, the PFSP should establish the following which
relate to all security levels:
1 the
role and structure of the port facility security organization;
2 the
duties, responsibilities and training requirements of all port facility
personnel with a security role and the performance measures needed to allow
their individual effectiveness to be assessed;
3 the
port facility security organization’s links with other national or local
authorities with security responsibilities;
4 the
communication systems provided to allow effective and continuous communication
between port facility security personnel, ships in port and, when appropriate,
with national or local authorities with security responsibilities;
5 the
procedures or safeguards necessary to allow such continuous communications to
be maintained at all times;
6 the
procedures and practices to protect security sensitive information held in
paper or electronic format;
7 the
procedures to assess the continuing effectiveness of security measures,
procedures and equipment, including identification of, and response to,
equipment failure or malfunction;
8 the
procedures to allow the submission, and assessment, of reports relating to
possible breaches of security or security concerns;
9 procedures
relating to cargo handling;
10 procedures
covering the delivery of ship’s stores;
11 the
procedures to maintain, and update, records of dangerous goods and hazardous
substances and their location within the port facility;
12 the
means of alerting and obtaining the services of waterside patrols and
specialist search teams, including bomb searches and underwater searches;
13 the
procedures for assisting ship security officers in confirming the identity of
those seeking to board the ship when requested; and
14 the
procedures for facilitating shore leave for ship’s personnel or personnel
changes, as well as access of visitors to the ship including representatives of
seafarers’ welfare and labour organizations.
16.9 The remainder
of this section addresses specifically the security measures that could be
taken at each security level covering:
1 access
to the port facility;
2 restricted
areas within the port facility;
3 handling
of cargo;
4 delivery
of ship’s stores;
5 handling
unaccompanied baggage; and
6 monitoring
the security of the port facility.
Access to the port facility
16.10 The PFSP should
establish the security measures covering all means of access to the port
facility identified in the PFSA.
16.11 For each of these
the PFSP should identify the appropriate locations where access restrictions or
prohibitions should be applied for each of the security levels. For each
security level the PFSP should specify the type of restriction or prohibition
to be applied and the means of enforcing them.
16.12 The PFSP should
establish for each security level the means of identification required to allow
access to the port facility and for individuals to remain within the port
facility without challenge, this may involve developing an appropriate
identification system allowing for permanent and temporary identifications, for
port facility personnel and for visitors respectively. Any port facility
identification system should, when it is practicable to do so, be co-ordinated
with that applying to ships that regularly use the port facility. Passengers
should be able to prove their identity by boarding passes, tickets, etc., but
should not be permitted access to restricted areas unless supervised. The PFSP
should establish provisions to ensure that the identification systems are
regularly updated, and that abuse of procedures should be subject to
disciplinary action.
16.13 Those unwilling or
unable to establish their identity and/or to confirm the purpose of their visit
when requested to do so should be denied access to the port facility and their
attempt to obtain access should be reported to the PFSO and to the national or
local authorities with security responsibilities.
16.14 The PFSP should
identify the locations where persons, personal effects, and vehicle searches
are to be undertaken. Such locations should be covered to facilitate continuous
operation regardless of prevailing weather conditions, in accordance with the
frequency laid down in the PFSP. Once subjected to search persons, personal
effects and vehicles should proceed directly to the restricted holding,
embarkation or car loading areas.
16.15 The PFSP should
establish separate locations for checked and unchecked persons and their
effects and if possible separate areas for embarking/disembarking passengers,
ship’s personnel and their effects to ensure that unchecked persons are
not able to come in contact with checked persons.
16.16 The PFSP should
establish the frequency of application of any access controls particularly if
they are to be applied on a random, or occasional, basis.
Security Level 1
16.17 At security
level 1, the PFSP should establish the control points where the following
security measures may be applied:
1 restricted
areas which should be bound by fencing or other barriers to a standard which
should be approved by the Contracting Government;
2 checking
identity of all persons seeking entry to the port facility in connection with a
ship, including passengers, ship’s personnel and visitors and confirming
their reasons for doing so by checking, for example, joining instructions,
passenger tickets, boarding passes, work orders, etc;
3 checking
vehicles used by those seeking entry to the port facility in connection with a
ship;
4 verification
of the identity of port facility personnel and those employed within the port
facility and their vehicles;
5 restricting
access to exclude those not employed by the port facility or working within it,
if they are unable to establish their identity;
6 undertaking
searches of persons, personal effects, vehicles and their contents; and
7 identification
of any access points not in regular use which should be permanently closed and
locked.
16.18 At security
level 1, all those seeking access to the port facility should be liable to
search. The frequency of such searches, including random searches, should be
specified in the approved PFSP and should be specifically approved by the
Contracting Government. Unless there are clear security grounds for doing so,
members of the ship’s personnel should not be required to search their
colleagues or their personal effects. Any such search shall be undertaken in a
manner which fully takes into account the human rights of the individual and
preserves their basic human dignity.
Security Level 2
16.19 At security
level 2, the PFSP should establish the additional security measures to be
applied, which may include:
1 assigning
additional personnel to guard access points and patrol perimeter barriers;
2 limiting
the number of access points to the port facility, and identify those to be
closed and the means of adequately securing them;
3 providing
for means of impeding movement through the remaining access points, e.g.
security barriers;
4 increasing
the frequency of searches of persons, personal effects, and vehicle;
5 deny
access to visitors who are unable to provide a verifiable justification for
seeking access to the port facility; and
6 using
of patrol vessels to enhance waterside security.
Security Level 3
16.20 At security
level 3, the port facility should comply with instructions issued by those
responding to the security incident or threat thereof. The PFSP should detail
the security measures which could be taken by the port facility, in close
co-operation with those responding and the ships at the port facility, which
may include:
1 suspension
of access to all, or part of, the port facility;
2 granting
access only to those responding to the security incident or threat thereof;
3 suspension
of pedestrian or vehicular movement within all, or part, of the port facility;
4 increased
security patrols within the port facility, if appropriate;
5 suspension
of port operations within all, or part, of the port facility;
6 direction
of vessel movements relating to all, or part, of the port facility; and
7 evacuation
of all, or part of, the port facility.
Restricted areas within the port facility
16.21 The PFSP should
identify the restricted areas to be established within the port facility,
specify their extent, times of application, the security measures to be taken
to control access to them and those to be taken to control activities within
them. This should also include, in appropriate circumstances, measures to
ensure that temporary restricted areas are security swept both before and after
that area is established. The purpose of restricted areas is to:
1 protect
passengers, ship’s personnel, port facility personnel and visitors,
including those visiting in connection with a ship;
2 protect
the port facility;
3 protect
ships using, and serving, the port facility;
4 protect
sensitive security locations and areas within the port facility;
5 to
protect security and surveillance equipment and systems; and
6 protect
cargo and ship’s stores from tampering.
16.22 The PFSP should
ensure that all restricted areas have clearly established security measures to
control:
1 access
by individuals;
2 the
entry, parking, loading and unloading of vehicles;
3 movement
and storage of cargo and ship’s stores; and
4 unaccompanied
baggage or personal effects.
16.23 The PFSP should
provide that all restricted areas should be clearly marked indicating that
access to the area is restricted and that unauthorized presence within the area
constitutes a breach of security.
16.24 When automatic
intrusion detection devices are installed they should alert a control centre
which can respond to the triggering of an alarm.
16.25 Restricted areas
may include:
1 shore
and waterside areas immediately adjacent to the ship;
2 embarkation
and disembarkation areas, passenger and ship’s personnel holding and
processing areas including search points;
3 areas
where loading, unloading or storage of cargo and stores is undertaken;
4 locations
where security sensitive information, including cargo documentation, is held;
5 areas
where dangerous goods and hazardous substances are held;
6 vessel
traffic management system control rooms, aids to navigation and port control
buildings, including security and surveillance control rooms;
7 areas
where security and surveillance equipment are stored or located;
8 essential
electrical, radio and telecommunication, water and other utility installations;
and
9 other
locations in the port facility where access by vessels, vehicles and
individuals should be restricted.
16.26 The security
measures may extend, with the agreement of the relevant authorities, to
restrictions on unauthorized access to structures from which the port facility
can be observed.
Security Level 1
16.27 At security level
1, the PFSP should establish the security measures to be applied to restricted
areas, which may include:
1 provision
of permanent or temporary barriers to surround the restricted area whose
standard should be accepted by the Contracting Government;
2 provision
of access points where access can be controlled by security guards when in
operation and which can be effectively locked or barred when not in use;
3 providing
passes which must be displayed to identify individuals entitlement to be within
the restricted area;
4 clearly
marking vehicles allowed access to restricted areas;
5 providing
guards and patrols;
6 providing
automatic intrusion detection devices, or surveillance equipment or systems to
detect unauthorized access into, or movement within restricted areas; and
7 control
of the movement of vessels in the vicinity of ships using the port facility.
Security Level 2
16.28 At security
level 2, the PFSP should establish the enhancement of the frequency and
intensity of the monitoring of, and control of access to, restricted areas. The
PFSP should establish the additional security measures, which may include:
1 enhancing
the effectiveness of the barriers or fencing surrounding restricted areas, including
the use of patrols or automatic intrusion detection devices;
2 reducing
the number of access points to restricted areas and enhancing the controls
applied at the remaining accesses;
3 restrictions
on parking adjacent to berthed ships;
4 further
restricting access to the restricted areas and movements and storage within
them;
5 use
of continuously monitored and recording surveillance equipment;
6 enhancing
the number and frequency of patrols including waterside patrols undertaken on
the boundaries of the restricted areas and within the areas;
7 establishing
and restricting access to areas adjacent to the restricted areas; and
8 enforcing
restrictions on access by unauthorized craft to the waters adjacent to ships
using the port facility.
Security Level 3
16.29 At security
level 3, the port facility should comply with the instructions issued by
those responding to the security incident or threat thereof. The PFSP should
detail the security measures which could be taken by the port facility, in
close co-operation with those responding and the ships at the port facility,
which may include:
1 setting
up of additional restricted areas within the port facility in proximity to the
security incident, or the believed location of the security threat, to which
access is denied; and
2 preparing
for the searching of restricted areas as part of a search of all, or part, of
the port facility.
Handling of cargo
16.30 The security
measures relating to cargo handling should:
1 prevent
tampering; and
2 prevent
cargo that is not meant for carriage from being accepted and stored within the
port facility.
16.31 The security
measures should include inventory control procedures at access points to the
port facility. Once within the port facility cargo should be capable of being identified
as having been checked and accepted for loading onto a ship or for temporary
storage in a restricted area while awaiting loading. It may be appropriate to
restrict the entry of cargo to the port facility that does not have a confirmed
date for loading.
Security
Level 1
16.32 At security level 1, the PFSP should establish the
security measures to be applied during cargo handling, which may include:
1 routine
checking of cargo, cargo transport units and cargo storage areas within the
port facility prior to, and during, cargo handling operations;
2 checks
to ensure that cargo entering the port facility matches the delivery note or
equivalent cargo documentation;
3 searches
of vehicles; and
4 checking
of seals and other methods used to prevent tampering upon entering the port
facility and upon storage within the port facility.
16.33 Checking of cargo
may be accomplished by some or all of the following means:
1 visual
and physical examination; and
2 using
scanning/detection equipment, mechanical devices, or dogs.
16.34 When there are
regular, or repeated, cargo movement the Company Security Officer (CSO) or the
Ship Security Officer (SSO) may, in consultation with the port facility, agree
arrangements with shippers or others responsible for such cargo covering
off-site checking, sealing, scheduling, supporting documentation, etc. Such
arrangements should be communicated to and agreed with the PFSO concerned.
Security Level 2
16.35 At security
level 2, the PFSP should establish the additional security measures to be
applied during cargo handling to enhance control, which may include:
1 detailed
checking of cargo, cargo transport units and cargo storage areas within the
port facility;
2 intensified
checks, as appropriate, to ensure that only the documented cargo enters the
port facility, is temporarily stored there and then loaded onto the ship;
3 intensified
searches of vehicles; and
4 increased
frequency and detail in checking of seals and other methods used to prevent
tampering.
16.36 Detailed checking
of cargo may be accomplished by some or all of the following means:
1 increasing
the frequency and detail of checking of cargo, cargo transport units and cargo
storage areas within the port facility (visual and physical examination);
2 increasing
the frequency of the use of scanning/detection equipment, mechanical devices,
or dogs; and
3 co-ordinating
enhanced security measures with the shipper or other responsible party in
addition to an established agreement and procedures.
Security Level 3
16.37 At security
level 3, the port facility should comply with the instructions issued by
those responding to the security incident or threat thereof. The PFSP should
detail the security measures which could be taken by the port facility, in
close co-operation with those responding and the ships at the port facility,
which may include:
1 restriction
or suspension of cargo movements or operations within all, or part, of the port
facility or specific ships; and
2 verifying
the inventory of dangerous goods and hazardous substances held within the port
facility and their location.
Delivery of ship’s stores
16.38 The security
measures relating to the delivery of ship’s stores should:
1 ensure
checking of ship’s stores and package integrity;
2 prevent
ship’s stores from being accepted without inspection;
3 prevent
tampering;
4 prevent
ship’s stores from being accepted unless ordered;
5 ensure
searching the delivery vehicle; and
6 ensure
escorting delivery vehicles within the port facility.
16.39 For ships regularly
using the port facility it may be appropriate to establish procedures involving
the ship, its suppliers and the port facility covering notification and timing
of deliveries and their documentation. There should always be some way of
confirming that stores presented for delivery are accompanied by evidence that
they have been ordered by the ship.
Security Level 1
16.40 At security level
1, the PFSP should establish the security measures to be applied to control the
delivery of ship’s stores, which may include:
1 checking
of ship’s stores;
2 advance
notification as to composition of load, driver details and vehicle
registration; and
3 searching
the delivery vehicle.
16.41 Checking of
ship’s stores may be accomplished by some or all of the following means:
1 visual
and physical examination; and
2 using
scanning/detection equipment, mechanical devices or dogs.
Security Level 2
16.42 At security
level 2, the PFSP should establish the additional security measures to be
applied to enhance the control of the delivery of ship’s stores, which
may include:
1 detailed
checking of ship’s stores;
2 detailed
searches of the delivery vehicles;
3 co-ordination
with ship personnel to check the order against the delivery note prior to entry
to the port facility; and
4 escorting
the delivery vehicle within the port facility.
16.43 Detailed checking
of ship’s stores may be accomplished by some or all of the following
means:
1 increasing
the frequency and detail of searches of delivery vehicles;
2 increasing
the use of scanning/detection equipment, mechanical devices, or dogs; and
3 restricting,
or prohibiting, entry of stores that will not leave the port facility within a
specified period.
Security Level 3
16.44 At security level
3, the port facility should comply with the instructions issued by those
responding to the security incident or threat thereof. The PFSP should detail
the security measures which could be taken by the port facility, in close
co-operation with those responding and the ships at the port facility which may
include preparation for restriction, or suspension, of the delivery of
ship’s stores within all, or part, of the port facility.
Handling unaccompanied baggage
16.45 The PFSP should
establish the security measures to be applied to ensure that unaccompanied
baggage (i.e. any baggage, including personal effects, which is not with the
passenger or member of ship’s personnel at the point of inspection or
search) is identified and subjected to appropriate screening, including
searching, before is allowed in the port facility and, depending on the storage
arrangements, before it is transferred between the port facility and the ship.
It is not envisaged that such baggage will be subjected to screening by both
the port facility and the ship, and in cases where both are suitably equipped,
the responsibility for screening should rest with the port facility. Close
co-operation with the ship is essential and steps should be taken to ensure
that unaccompanied baggage is handled securely after screening.
Security Level 1
16.46 At security level 1,
the PFSP should establish the security measures to be applied when handling
unaccompanied baggage to ensure that unaccompanied baggage is screened or
searched up to and including 100 percent, which may include use of x-ray
screening.
Security Level 2
16.47 At security
level 2, the PFSP should establish the additional security measures to be
applied when handling unaccompanied baggage which should include
100 percent x-ray screening of all unaccompanied baggage.
Security
Level 3
16.48 At security level 3, the port facility should comply with
the instructions issued by those responding to the security incident or threat
thereof. The PFSP should detail the security measures which could be taken by
the port facility, in close co-operation with those responding and the ships at
the port facility, which may include:
1 subjecting
such baggage to more extensive screening, for example x-raying it from at least
two different angles;
2 preparations
for restriction or suspension of handling or unaccompanied baggage; and
3 refusal
to accept unaccompanied baggage into the port facility.
Monitoring the security of the port
facility
16.49 The port facility
security organization should have the capability to monitor the port facility
and its nearby approaches, on land and water, at all times, including the night
hours and periods of limited visibility, the restricted areas within the port
facility, the ships at the port facility and areas surrounding ships. Such
monitoring can include use of:
1 lighting;
2 security
guards, including foot, vehicle and waterborne patrols; and
3 automatic
intrusion detection devices and surveillance equipment.
16.50 When used,
automatic intrusion detection devices should activate an audible and/or visual
alarm at a location that is continuously attended or monitored.
16.51 The PFSP should
establish the procedures and equipment needed at each security level and the
means of ensuring that monitoring equipment will be able to perform
continually, including consideration of the possible effects of weather or of
power disruptions.
Security Level 1
16.52 At security
level 1, the PFSP should establish the security measures to be applied
which may be a combination of lighting, security guards or use of security and
surveillance equipment to allow port facility security personnel to:
1 observe
the general port facility area, including shore and water-side accesses
to it;
2 observe
access points, barriers and restricted areas; and
3 allow
port facility security personnel to monitor areas and movements adjacent to
ships using the port facility, including augmentation of lighting provided by
the ship itself.
Security Level 2
16.53 At security
level 2, the PFSP should establish the additional security measures to be
applied to enhance the monitoring and surveillance capability, which may
include:
1 increasing
the coverage and intensity of lighting and surveillance equipment, including
the provision of additional lighting and surveillance coverage;
2 increasing
the frequency of foot, vehicle or waterborne patrols; and
3 assigning
additional security personnel to monitor and patrol.
Security Level 3
16.54 At security
level 3, the port facility should comply with the instructions issued by
those responding to the security incident or threat thereof. The PFSP should
detail the security measures which could be taken by the port facility, in
close co-operation with those responding and the ships at the port facility,
which may include:
1 switching
on all lighting within, or illuminating the vicinity of, the port facility;
2 switching
on all surveillance equipment capable of recording activities within, or
adjacent to, the port facility; and
3 maximising
the length of time such surveillance equipment can continue to record.
Differing security levels
16.55 The PFSP should
establish details of the procedures and security measures the port facility
could adopt if the port facility is at a lower security level than that
applying to a ship.
Activities not covered by the Code
16.56 The PFSP should
establish details of the procedures and security measures the port facility
should apply when:
1 it
is interfacing with a ship which has been at a port of a State which not a
Contracting Government;
2 it
is interfacing with a ship to which this Code does not apply; and
3 it
is interfacing with fixed or floating platforms or mobile offshore drilling
units on location.
Declarations of security
16.57 The PFSP should
establish the procedures to be followed when on the instructions of the
Contracting Government the PFSO requests a Declaration of Security or when a
DoS is requested by a ship.
Audit,
review and amendment
16.58 The PFSP should establish how the PFSO intends to audit the
continued effectiveness of the PFSP and the procedure to be followed to review,
update or amend the PFSP.
16.59 The PFSP should be
reviewed at the discretion of the PFSO. In addition it should be reviewed:
1 if
the PFSA relating to the port facility is altered;
2 if
an independent audit of the PFSP or the Contracting Government’s testing
of the port facility security organization identifies failings in the
organization or questions the continuing relevance of significant element of
the approved PFSP;
3 following
security incidents or threats thereof involving the port facility; and
4 following
changes in ownership or operational control of the port facility.
16.60 The PFSO can
recommend appropriate amendments to the approved plan following any review of
the plan. Amendments to the PFSP relating to:
1 proposed
changes which could fundamentally alter the approach adopted to maintaining the
security of the port facility; and
2 the
removal, alteration or replacement of permanent barriers, security and
surveillance equipment and systems etc., previously considered essential in
maintaining the security of the port facility;
should be submitted to the Contracting Government that approved the
original PFSP for their consideration and approval. Such approval can be given
by, or on behalf of, the Contracting Government with, or without, amendments to
the proposed changes. On approval of the PFSP the Contracting Government should
indicate which procedural or physical alterations have to be submitted to it
for approval.
Approval of port facility security plans
16.61 PFSPs have to be
approved by the relevant Contracting Government which should establish
appropriate procedures to provide for:
1 the
submission of PFSPs to them;
2 the
consideration of PFSPs;
3 the
approval of PFSPs, with or without amendments;
4 consideration
of amendments submitted after approval; and
5 procedures
for inspecting or auditing the continuing relevance of the approved PFSP.
At all stages steps should be taken to ensure that the contents of
the PFSP remains confidential.
Statement of Compliance of a Port Facility
16.62 The Contracting
Government within whose territory a port facility is located may issue an
appropriate Statement of Compliance of a Port Facility (SoCPF) indicating:
1 the
port facility;
2 that
the port facility complies with the provisions of chapter XI-2 and
part A of the Code;
3 the
period of validity of the SoCPF which should be specified by the Contracting
Governments but should not exceed five years; and
4 the
subsequent verification arrangements established by the Contracting Government
and a confirmation when these are carried out.
16.63 The Statement of
Compliance of a Port Facility should be in the form set out in the appendix to
this Part of the Code. If the language used is not Spanish, French or English,
the Contracting Government, if it considers it appropriate, may also include a
translation into one of these languages.
17 PORT FACILITY SECURITY OFFICER
General
17.1 In those
exceptional instances where the ship security officer has questions about the
validity of identification documents of those seeking to board the ship for
official purposes, the port facility security officer should assist.
17.2 The port
facility security officer should not be responsible for routine confirmation of
the identity of those seeking to board the ship.
In addition other relevant guidance is provided
under sections 15, 16 and 18.
18 TRAINING, DRILLS AND EXERCISES ON PORT
FACILITY SECURITY
Training
18.1 The Port
Facility Security Officer should have knowledge and receive training, in some
or all of the following, as appropriate:
1 security
administration;
2 relevant
international conventions, codes and recommendations;
3 relevant
Government legislation and regulations;
4 responsibilities
and functions of other security organizations;
5 methodology
of port facility security assessment;
6 methods
of ship and port facility security surveys and inspections;
7 ship
and port operations and conditions;
8 ship
and port facility security measures;
9 emergency
preparedness and response and contingency planning;
10 instruction
techniques for security training and education, including security measures and
procedures;
11 handling
sensitive security related information and security related communications;
12 knowledge
of current security threats and patterns;
13 recognition
and detection of weapons, dangerous substances and devices;
14 recognition,
on a non discriminatory basis, of characteristics and behavioural patterns of
persons who are likely to threaten the security;
15 techniques
used to circumvent security measures;
16 security
equipment and systems, and their operational limitations;
17 methods
of conducting audits, inspection, control and monitoring;
18 methods
of physical searches and non-intrusive inspections;
19 security
drills and exercises, including drills and exercises with ships; and
20 assessment
of security drills and exercises.
18.2 Port facility
personnel having specific security duties should have knowledge and receive
training, in some or all of the following, as appropriate:
1 knowledge
of current security threats and patterns;
2 recognition
and detection of weapons, dangerous substances and devices;
3 recognition
of characteristics and behavioural patterns of persons who are likely to
threaten security;
4 techniques
used to circumvent security measures;
5 crowd
management and control techniques;
6 security
related communications;
7 operations
of security equipment and systems;
8 testing,
calibration and maintenance of security equipment and systems;
9 inspection,
control, and monitoring techniques; and
10 methods
of physical searches of persons, personal effects, baggage, cargo, and
ship’s stores.
18.3 All other port
facility personnel should have knowledge of and be familiar with relevant
provisions of the PFSP, in some or all of the following, as appropriate:
1 the
meaning and the consequential requirements of the different security levels;
2 recognition
and detection of weapons, dangerous substances and devices;
3 recognition
of characteristics and behavioural patterns of persons who are likely to
threaten the security; and
4 techniques
used to circumvent security measures.
Drills and exercises
18.4 The objective
of drills and exercises is to ensure that port facility personnel are
proficient in all assigned security duties, at all security levels, and to
identify any security related deficiencies, which need to be addressed.
18.5 To ensure the
effective implementation of the provisions of the port facility security plan,
drills should be conducted at least every three months unless the specific
circumstances dictate otherwise. These drills should test individual elements
of the plan such as those security threats listed in paragraph 15.11.
18.6 Various types
of exercises which may include participation of port facility security
officers, in conjunction with relevant authorities of Contracting Governments,
company security officers, or ship security officers, if available, should be
carried out at least once each calendar year with no more than 18 months
between the exercises. Requests for the participation of company security officers
or ships security officers in joint exercises should be made bearing in mind
the security and work implications for the ship. These exercises should test
communication, coordination, resource availability and response. These
exercises may be:
1 full
scale or live;
2 tabletop
simulation or seminar; or
3 combined
with other exercises held such as emergency response or other port State
authority exercises.
19 VERIFICATION AND CERTIFICATION OF
SHIPS
No additional guidance.
Appendix to Part B
APPENDIX 1
APPENDIX 2