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{{Adams | |||
| number = ML20155B841 | |||
| issue date = 09/02/1988 | |||
| title = Operational Safety Team Insp Rept 50-267/88-200 on 880509-20.Major Areas Inspected:Operations,Maint, Surveillance,Mgt Oversight,Safety Review & QA Programs | |||
| author name = Beckman D, Cummins J, Haughney C, Hunter D, Imbro E, Michaud P, Naidu K, Sharkey J, Smith J, Waters D | |||
| author affiliation = NRC OFFICE OF INSPECTION & ENFORCEMENT (IE REGION IV), NRC OFFICE OF NUCLEAR REACTOR REGULATION (NRR), PRISUTA - BECKMAN ASSOCIATES | |||
| addressee name = | |||
| addressee affiliation = | |||
| docket = 05000267 | |||
| license number = | |||
| contact person = | |||
| document report number = 50-267-88-200, NUDOCS 8810070101 | |||
| package number = ML20155B840 | |||
| document type = INSPECTION REPORT, NRC-GENERATED, INSPECTION REPORT, UTILITY, TEXT-INSPECTION & AUDIT & I&E CIRCULARS | |||
| page count = 43 | |||
}} | |||
See also: [[see also::IR 05000267/1988200]] | |||
=Text= | |||
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** | |||
U.S. NUCLEAR REGULATORY COMMISSION | |||
OFFICE OF NUCLEAR REACTOR REGULATION | |||
Division of Reactor Inspection and Safeguards | |||
Report No.: 50-267/88-200 | |||
Docket No.: 50-267 | |||
Licensee: Public Service Company of Colorado | |||
2420 W. 26th Avenue, Suite 15c | |||
Denver, Colorado 80211 | |||
Inspection at: Fort St. Vrain Nuclear Generating Station | |||
Plattsville Colorado 80651 | |||
Inspection Conducted: May 9-20, 19F8 | |||
Team Leader: hstLJf wt s | |||
tes E. Cummins, Team Leader | |||
na. holFS | |||
Date | |||
Se*nior Op ations Engineer, NRR | |||
Team Members: _ | |||
. LL %t.syytt 64 $$ | |||
C Et gene V. Imbro, Chief, 'Igum Inspection t( | |||
Apprai al Developmqnt S tion 2, ORIS, NRR | |||
O .AMA)%LfW7Y A $0 | |||
, | |||
ineer, DRIS, NRR Da'te ~ | |||
be(,Dh.'ith, ontmino Operations | |||
a4 9/2/$9 : | |||
J f Da't " | |||
' | |||
Yr Pharkey,Op,eratYigEngineer,DRIS,NRR | |||
nm&uwis rt V2/62 | |||
aka R.Naidu.Elqctpcal ngineer, DRIS, NRR Date | |||
' | |||
_ +0 ( .wwurnuu Id4 9/2b8 | |||
Fwi R~. ,unter,SeniorRepto Inspector, RIV Date' | |||
au | |||
/N?>Z 0$ | |||
nspector, Fort St. Vrain Date ' | |||
h | |||
9.Michaud,Rpide | |||
- | |||
$Y WY | |||
Donald A. BecKman, Consultant, Prisuta-Beckman Date i | |||
Y bb2}$4 k | |||
h vTd B. Waters, Consultant, Prputa-Beckman ate' ' | |||
ssnciates | |||
Other NRC personnel attending exit treeting: Leonard J. Callan, Director, l | |||
DRP, RIV; Charles J. Haughney, Chief RSIB, DRIS; Thomas F. Westeman, Chief, ; | |||
RPS-B, RIV; Kenneth L. Heitner Project Manager, PD4. : | |||
Approved By: M | |||
. J. Haughney, Chief,4pecial Inspection Branch, | |||
9/B/7/ | |||
Dbte' | |||
ORIS, NRR | |||
8810070101 880916 | |||
ADOCK 050 /7 | |||
ffDR | |||
. - - , _ - _ _ _ _ - . . _ - _ . _ _ = - _- .-- . | |||
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; TABLE OF CONTENTS | |||
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PAGE | |||
1.0 INSPECTION SCOPE ........................................ 1 | |||
I | |||
l | |||
2. DETAILED INSPECTION FINDINGS ............................ 2 | |||
2.1 Plant Operations | |||
2.1.1 Observation of Operations Activities .................... 2 | |||
1 2.1.2 Control Room Activities ................................. 2 | |||
2.1.3 Plant Tours and Inspections ............................. 4 | |||
q | |||
2.1.4 Management Controls ..................................... 5 | |||
2.1.5 Procedure Reviews ....................................... 6 | |||
2.1.5.1 Emergency Operating Procedures (EPs) ................... 6 ! | |||
2.1.5.2 Standard Operating Procedures ........................... 9 l | |||
2.1.6 Independent Verification ................................ 9 l | |||
2.1.7 Equipment Clearances ............................ .. .... 10 h | |||
2.1.8 Valve Mispositioning .................................... 10 | |||
' | |||
' | |||
2.1.9 Equipment Tagging and Labeling Program .................. 11 | |||
, | |||
2.1.10 Temporary Configuration Report Reviews .................. 11 ; | |||
I | |||
2.1.11 Remote Plant Shutdown ................................... 11 | |||
l | |||
{ 2.2 Maintenance ............................................. 12 t | |||
' | |||
2.2.1 Maintenance Organization . .............................. 13 ; | |||
2.2.2 Station Service Requests .. ............................. 13 | |||
2.2.3 Maintenance Activities Cbserved ......................... 14 ! | |||
2.2.3.1 Cold Reheat Steam Thermocouple Repairs .................. 14 ; | |||
2.2.3.2 Steam Generator B-2-6 Trim Valve (TV-2228-6) Repairs .... 16 | |||
- | |||
.' | |||
2.2.3.3 HV-21243, Loop 1 Turbine Water Header l | |||
Isolation Valve Repairs ............................... 17 | |||
' | |||
j 2.2.3.4 Bypass Flash Tank Drain Valve Repair .................... 18 | |||
3 | |||
2.2.4 Engineering / Maintenance Interface ....................... 18 | |||
I | |||
2.3 Surveillance Testing .................................... 19 | |||
l 2.3.1 Organization and Scheduling ............................. 19 | |||
2.3.2 Procedures .............................................. 20 | |||
l 2.3.3 Inservice Testing of Pumps and Valves ................... 21 : | |||
1 2.3.4 Measuring and Test Equipment Inaccuracies ............... 22 | |||
2.3.5 Surveillance Activities Witnessed ....................... | |||
, | |||
i 23 l | |||
2.4 Management Oversight and Safety Review .................. 25 , | |||
' | |||
l 2.4.1 Staffing ................................................ 26 | |||
1 2.4.2 Plant Operations Review Committee ....................... 26 ; | |||
4 2.4.3 Nuclea r Facili ty Sa fety Comi ttee . . . . . . . . . . . . . . . . . . . . . . . 28 ' | |||
; | |||
' | |||
2.4.4 Operation Information Assessment Group .................. 29 { | |||
2.4.5 Post-Trip Reviews ....................................... 30 l | |||
2.4.6 Management Overview and Safety Review Weaknesses ........ 31 | |||
4 | |||
2.5 Corrective Action Programs .............................. 31 | |||
2.5.1 Discrepant Report Tags - Initiation and Disposition ..... 31 i | |||
2.5.2 Ongoing Activities Related to Maintenance and Repair .... 32 | |||
4 2.5.3 Initiation and Disposition of Nonconformance Reports .... 32 | |||
1 2.5.4 Internal Audit Findings ................................. 33 | |||
, | |||
2.5.5 Corrective Action on Operating Events ................... 34 | |||
J | |||
3.0 ORAFT INFORMATION RELEASED TO THE LICENSEE .............. 36 | |||
4.0 EXIT MEETING ............................................ 37 | |||
j ATTACHMENT A - Attendance Sheet for exit meeting on May 20. 1988 | |||
ATTACHMENT B - Copy of Information Released to Licensee | |||
ATTACRMENT C - Abbreviations and Acronyms | |||
1 | |||
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1.0 [NSPECTIONSCOPE | |||
The primary focus of the inspection was to assess the safe operation of the | |||
Fort St. Vrain Nuclear Generating Station (FSV). The inspection effort was | |||
concentrated on control room operations and activities that related to | |||
operations and supported the safe operation of the plant. As a part of the | |||
operations performance evaluation, the team observed approximately 120 hcurs of | |||
shift operations, including backshift and weekend inspections, in addition to | |||
observing operations, the team inspected the areas of maintenance, surveillance | |||
testing, management oversight, safety review, and quality programs. | |||
1 | |||
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. - . _ - _ - _ - - - - - - - . . . _ . - . - - . . . - _ - - - - . - - .-. .- --- | |||
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4 | |||
2.0 DETAILED INSPECTION FIND! HGS [ | |||
2.1 Plant Operations ! | |||
! | |||
2.1.1 Observation of Operations Activities | |||
l | |||
, In this portion of the inspection the team assessed the overall adequacy of the | |||
) licensee's operational management controls program implementatior by observing [ | |||
' | |||
plant activities continuously and in depth. A team of three ins;.ectors ' | |||
! evaluated these activities and programs by combining around-the-clock on-shift | |||
l inspections with routine day-shift inspections. The inspection emphasized direct | |||
; observation of the licensee's activities, rather than review of the program | |||
content. | |||
Control room and in-plant activities were observed around-the-clock for approxi- | |||
i mately 120 hours. The inspectors observed key corrective maintenance, surveil- i | |||
lance testing, and operations activities occurring during routine shifts. | |||
l ( | |||
The team evaluated the licensee's operational activities from the cold shutdown I | |||
mode to criticality. The inspectors observed the following activities: , | |||
I | |||
(1) operations shift personnel perfonning their duties (personnel observed | |||
, | |||
included the shift supervisor, senior reactor operator, control room | |||
! operators, equipment operators, and auxiliary tenders.) | |||
1 , | |||
1 (2) conduct of control room operations | |||
' | |||
i | |||
! (3) plant system alignments and plant startup activities | |||
( | |||
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(4) placing and removing of system clearances i | |||
(5) in-process surveillance testing i | |||
! (6) attendance at station management's post-trip review comittee meeting | |||
: 5 | |||
(7) plant tours to observe work in-progress and housekeeping i | |||
; | |||
(8) management's direct involvement in operational activities j | |||
j (9) all-discipline support of plant operations. | |||
l Plant programs and procedures reviewed by the team included: | |||
4 | |||
1 | |||
1 | |||
1 (1) remote shutdown procedure | |||
} | |||
l (2) emergency operating procedures (EPs) | |||
l | |||
(3) standard operating procedures (SOPS) | |||
l | |||
(4) Independent Verification (IV) Program | |||
l (5) controlled drawings | |||
s | |||
(6) Temporary Configuration Program controls | |||
] | |||
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! -2- | |||
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_ _ _ _ _ _ _ _ _ _ - - _ _ _ _ - - - - - _ - - - - - - - - _ -.------------------_ ----- - - _ _ _ -- _ _ _ _ | |||
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(7) overtime controls for operations, mechanical, and electrical maintenance | |||
groups | |||
> | |||
(8) equipment clearance and operation deviation reports | |||
j (9) equipment tagging and labeling program. | |||
2.1.2 Control Room Activities | |||
The team observed the conduct of operations in the control room. | |||
Access to the controls area was restricted as is required by procedures and | |||
NUREG-0737, Item I.C.4. A professional atmosphere was observed in the control | |||
room, and distractions such as music and non-job-related reading materials | |||
< | |||
were excluded. | |||
Operating procedures and references, including the latest revisions and indices, , | |||
were readily available. Drawings in the control room were current approved | |||
, revisions. An expanded sampling of about 170 drawings were reviewed to assess | |||
; clarity and quality of information provided. Of the 170 drawings reviewed, 7 i | |||
i had portions where information was either missing or very difficult to read. l | |||
1 The drawings reviewed were Piping and Instrument Drawings PI-1 through PI-45-8 | |||
inclusive. The following problems were noted: , | |||
1 | |||
; PI-21-7 Valves and instruments added because of plant modifications were | |||
very faintly indicated and equipment numbers were difficult to | |||
discern. | |||
; PI-21-8 Valves and instruments added because of plant modifications were very l | |||
' | |||
faintly indicated and equipment numbers were difficult to discern. , | |||
' | |||
PI-11-1 Areas of the drawing were obscured and fuzzy. Some setpoint values l | |||
and instrument numbers were incomplete and unreadable. | |||
PI-31-3 Information on portions of the drawing was crowded and small text ; | |||
; could only be read with the use of a magnifying glass. l | |||
PI-33-1 Some valve and line numbers were unreadable. | |||
: PI-42-2 Gray background that resulted from poor reproduction quality made l | |||
l information unreadable, , | |||
! Approximately 25 EL series electrical drawings were also evaluated for read- ' | |||
j ability; no readability problems were identified. l | |||
! The licensee advised the inspectors that this problem had been previously iden- l | |||
tified and that actions were being taken to eventually convert the plant drawing | |||
system to a computer-aided drafting system. | |||
l The operators were observed to adhere to procedures and routinely referred to | |||
j procedures during the conduct of cont'o1 room operations. The inspectors also | |||
' | |||
noted during observations and interviews that the operators were very knowledgeable | |||
j dhd strived for good plant operations. | |||
! -3- | |||
_ _ - . . ---- ._ __ - _. | |||
o . | |||
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I The coninunications between shift personnel were effective and included good ; | |||
" | |||
shif t turnover briefings, start-of-shif t triefings by the shif t supervisor, | |||
and information briefings before major plant operations. The plant manager and | |||
. | |||
operations superintendent were frequently observed in the control room | |||
checking the plant status and consnunicating with shift personnel. The team | |||
considered this a strength. | |||
A review of the shift logs revealed the following weaknesses: | |||
] | |||
l (1) Entries were too brief. | |||
(2) Operations performed were not entered in some logs. However all | |||
significant operations performed could be retrieved by reviewing the | |||
, shif t supervisor, senior reactor operator, and reactor operator logs. | |||
; More attention needs to be paid to log entries for all shift logs | |||
I | |||
including the equipment operator and equipment tender logs. | |||
i | |||
i Too many control board annunciators had nuisance alanns (not actual alarm ; | |||
, | |||
condition) for the exist'.t.9 plant operating mode. The licensee was working t | |||
4 toward the goal of a dark annunciator board. ' | |||
2.1.3 Plant Tours and Inspections | |||
j During the team inspection, several tours of the plant were made to observe | |||
i plant housekeeping conditions, equipment conditions, and compliance with proce- | |||
, | |||
dure and program requirements. During the early portion of the inspection, the | |||
! plant was in a shutdown condition and maintenance was ongoing in several areas | |||
' | |||
of the reactor building. Toward the end of the inspection period, the plant : | |||
was in a startup condition. | |||
! The general condition of the plant from a housekeeping perspective was very | |||
good. Cleanliness controls were evident and containers for contaminated ; | |||
clothing and for waste were not overly fu'l. In areas in which maintenance l | |||
1 was not t,eing performed, materials were nd allowed to accumulate to unmanage- ; | |||
j able levels. The team observed maintenance personnel moving through the > | |||
: reactor building cleaning oil accumulations from components and equipment and ! | |||
I removing debris. ' | |||
N l | |||
Several areas of concern and weaknesses noted during the tours were brought to I | |||
l | |||
4 the licensee's attention. The licensee addressed all of these and either i | |||
j initiated or completed corrective action before the team left the site. These l | |||
' | |||
areas arc detailed below: l | |||
l | |||
(1) In several instances, equipment used in servicing, surveillance, or | |||
' | |||
maintenance activities was lying loose on the metal grating on several | |||
levels or was stored on top of installed equipment. Examples are: pipes | |||
used to support the moisture monitor closure flange were lying loose on | |||
2 | |||
the deck or on top of one of the prestressed concrete reactor vessel | |||
(PCRV) penetrations, valve wrenches were placed atop valve operators, | |||
; | |||
scaffolding materials that were not in use were not secured to the oeck, | |||
j and ladders were not rehung on racks or fixed in place. If left | |||
i unsecured, these items could cause damage to safety-related equipment | |||
: during plant operation. | |||
1 | |||
-4- | |||
; | |||
L__- - - _ _ _ - _ , _ _ _ - .- _ - _ - . - . - - _ .- _. - | |||
_ | |||
- - , - , - _ - - - _ . | |||
_- __ _ _ . -. - .- . . _. . - ~_ | |||
- . | |||
, | |||
l | |||
! | |||
. | |||
(2) On level 4 of the reactor building in the cubicle containing the gas | |||
' | |||
blowers, several supports on a line in the vicinity of valves V-63117 and ! | |||
V-63118 were broken loose from the baseplates mounted in the floor, j | |||
(3) On level 7 of the reactor building, fire hose rack RH7J2 was noted as not I | |||
having all hose loops properly pinned in the rack. Upon closer inspection, , | |||
it was noted that the hose nozzle had a piece broken off the diffuser l | |||
portion, which would change the spray pattern of the nozzle from its i | |||
design. | |||
(4) On level 5 of the reactor building, the wooden deck of a four wheel cart i | |||
had not been painted with fire-retardant paint, as is required by | |||
Administrative Procedure SOAP-8, "Plant Signage and Labeling Programs," f | |||
, | |||
issue 1. ! | |||
1 (5) The licensee had located two Scott Air-Pak bottles in clamp-type holders | |||
on the wall next to the elevator on level 1 of the reactor building to | |||
. | |||
1 | |||
f | |||
2 provide backup breathing air capability in the event of a fire or | |||
1 radiological incident. The team questioned if the restraining device for | |||
the bottles could keep them from becoming a missile hazard if the bottles | |||
; should fall and rupture during seismic activity. The licensee could not ' | |||
i' document the adequacy of the installation, but infortred the tearu that the | |||
problem would be investigated and resolved. ! | |||
1 i | |||
During a tour with one of the equipment operators, a valve was noted to be | |||
leaking around the packing. The operator informed the team that a procedure | |||
was in place to adjust minor packing leaks without requiring a station service ; | |||
request and thus expedite leak reduction efforts. The procedure for control of ' | |||
this program was MAP-6, "Valve Packing Adjustrnent," Issue 2. The team reviewed ! | |||
, | |||
this procedure and iloted that the effect of packing adjustments on stroke titres | |||
' | |||
for valves with operators was not addressed. It was possible that packing l | |||
adjustments could affect the stroke time of valves required to close or open | |||
within certain times as defined in Technical Specifications and potentially , | |||
a | |||
render them inoperable. However, the team found no examples in which stroke j | |||
time was affected. The licensee responded that it would investigate this area; | |||
' | |||
if stroke-time-sensitive valves could be affected by this procedure, the | |||
program would be revised to ensure that the valves remain operable. | |||
l | |||
l During walkdowns with operations personnel, the team observed a sound level of ' | |||
l knowledge and familiarity with the location and operation of plant equipment, | |||
, This gave the team confidence in the operators' ability to perform their job | |||
, functions and to respond to abnormal occurrences. | |||
1 | |||
* | |||
2.1.4 Managetrent Controls | |||
4 | |||
The licensee's overtime controls for the operations,trechanical, and electri- | |||
l cal groups were reviewed. The review period covered approximately two months, | |||
i | |||
Only one minor deviation from Technical Specification guidelines was found. | |||
This shows a strong comitroent to adhere to the Technical Specification | |||
i | |||
guidelines. | |||
I The inspectors attended the licensee's post-trip-review comittee meeting on | |||
May 12, 1988. The purpose of this meeting was to establish the causes of the I | |||
events associated with the reactor trip on May 6, 1988. This review was ! | |||
conducted in accordance with procedure SMAP-7, "Fost Trip Reviews," Issue 6. l | |||
l l | |||
l | |||
t | |||
1 -5- | |||
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_ - - - _ _ - | |||
- - . - . - _ - -- - ~ | |||
. ._. _ _ __. _ _ _ - _ _ _ _ | |||
o . < | |||
* ! | |||
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) This procedure required that a documented review be performed to determine the | |||
j feasibility of a reactor restart after an unscheduled reactor trip, , | |||
; The intpectors observed representatives from all licensee departmeats at the | |||
meeting, exceeding the requirenents for a quorum; personnel a:tively partici- | |||
l pated in discussions until a consensus was reached. The n.eeting scope far i | |||
exceeded the post-trip-review requirements. This broadly based management | |||
involvement was considered a strength. , | |||
i | |||
2.1.5 Procedure Reviews | |||
> 2.1.5.1 Emergency Operating Procedures | |||
The licenste's emergency operating procedures (EPs) were reviewed and emphasis | |||
was placed on the planned revision to the emergency procedu.es to achieve : | |||
compliance with NUREG-0737, ' Clarification of TMl Action Plan Requirements " ! | |||
and with Supplen.ent I to NUREG-0737, subtitled "Requirements for Emergency | |||
Response Capability." | |||
The current emergency procedures (EPs) were event oriented, and contained a l | |||
number of events which could be reclassified as abnormal events. Procedures EP | |||
A. "Moisture Indeakage," Issue 54, and EP B-1, "Reactor Scram," Issue 54, were ' | |||
reviewed as samples. The procedures consisted of a symptom / action matrix, | |||
which correlated immediate actions and followup actions for the turbine (west) | |||
i side and the reactor (east) side control room operators with symptoms obtained | |||
l from annunciators or control board meters. The procedures contained several | |||
l immediate action steps which the operators were required to memorize. This, in | |||
j combinationwiththelargenumber(norethan20)ofEPs,requiredahighdegree | |||
of operator knowledge to link the symptonis to the action steps and then iden- | |||
r tify the event accurately in oraer to determine the followup actions. | |||
Considering operator stress as a factor dsring off-normal events, the proce- | |||
i dures may be difficult to apply efficiently and accurately. The licensee | |||
acknowledged that the current procedures need to be improved and that a signi- | |||
ficant improvement should be realized once the revised EPs are implemented. | |||
; The program for improving the EPs was described in the licensee's letter of ; | |||
April 10, 1987, as including the Procedurer Generation Package, a proposed j | |||
Writer's GJide, and a Program Plan for the Integrated Validation of NUREG-0737 , | |||
;; initiatives, hRR was then reviewing the program. The utility expected fin &l i | |||
review and approval of the program within the next several months so that the | |||
' | |||
new procedures night be implemented by the end of the fourth refueling outage, | |||
or approximately mid-1989. | |||
a | |||
i | |||
The licensee intended to utilize a flowpath approach for controlling the events - | |||
arising from an upset cor.dition as opposed to t,he symptom / action matrix. The I | |||
i flowpaths will be syrptom oriented, and will be applied to the control of tran- j | |||
l sient events following a reactor scram as well as the restoration of critical i | |||
; safety functions. The critical safety function parameters will be monitored by ! | |||
, the safety parareter display system and will adoress five areas of control: l | |||
< | |||
reactor flux, primary system, !,econdary system, prestre1 sed concrete reactor l | |||
vessel (FCRV) integrity, and radiation. The team reviewed the planned safety I | |||
parameter display system inputs as well as draft flowpaths for critical safety l | |||
function restoration and found that the nethods being employed appeared to be ) | |||
appropriate and were consistent with the approaches being taken by other | |||
utilities. The licensee indicated that the bulk of the current EPs would be | |||
-6- | |||
_ _ _ _ _ _ _ _ _ _ _ _ _ _ _ ________ _. _ | |||
j . | |||
, ! | |||
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- | |||
, i | |||
! | |||
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e | |||
redefined as abnormal operating procedures and that the safe shutdown cooling I | |||
; procedure set would be incorporated as part of the EP set, | |||
j The licensee dedicated two individuals to the EP developrnent prcgram, one of I | |||
i whom was an experienced shif t supervisor. The schedule for flowpath procedure ! | |||
! develcpment, revies, verification / validation, training and implementation was l | |||
! | |||
very aggressive. Even though the program appeared strong because of the high j | |||
j quality of the individuals assigned to the project and the availability of | |||
, other plant personnel who had much operational experience, additional resources j | |||
tray be required hring the development phase to enable irnplementation of a j | |||
quality product by the comittrent date. It was also observed that the shift l | |||
supervisor involved in the project had been occasionally diverted from the EP l | |||
oroject to handle other procedural problems, such as those arising from the ' | |||
recent emergency plan team inspection; such diversion could weaken the effort. | |||
, | |||
, | |||
' | |||
The adequacy of the resources assigned to the upgrading of the EPs was con- [ | |||
, sidered a ptential weakness if management does not maintain its priorities, i | |||
i ' | |||
l As part of the emergency operating procedure reviews, the team reviewed the ! | |||
! | |||
safe shutdown cooling procedures to assess the capability of auxiliary tenders ! | |||
, or equipnient operators to perform as operators. These procedures were not | |||
part of the EPs, but were contained in a separate volurre cf the plant operating ! | |||
; | |||
manual. However, the licensee intended to incorporate these procedures into : | |||
! the upgraded EPs. The following procedures were reviewed' I | |||
1 ! | |||
* | |||
SSC-01, "Restoration of Power to Essential 430 Volt Busses," Revision 1 | |||
" | |||
1 SSC-02, "Steam Line Rupture Detection and Isolation System | |||
l (SLRDIS) Reset Procedure," Revision 1 l | |||
y | |||
: q | |||
" | |||
SSC-03, "Recovering From a Noncongested Cable Area Fire Resulting | |||
l I | |||
; in an Interruption of Forced Circulation," Revision 1 ! | |||
t | |||
* | |||
SSC-04, "Recovery From SLRDIS " Revision 1 | |||
i | |||
) | |||
i | |||
* | |||
SSC-05, "Design Basis Earthquake /Maxirnum Tornado Recovery," Revision 1. | |||
] l | |||
; | |||
! | |||
; Attachment 1 to SSC-01 was a checklist for lineup of alternate cooling method ' | |||
> backfeed to essential buses which was to be performed by the auxiliary tender, | |||
j Ouring a walkthrough of the checklist by the team and a qualified auxiliary i | |||
j tender, a weakness was observed. The procedure step to position or verify | |||
; | |||
position of the four switches inside the 277-V lighting panel could not be | |||
simulated because with the breaker in the, closed pcsition (as required by the | |||
i previous step) the panel could not be operied. The licensee stated that this | |||
! problem had been previously identified, but the procedure had not yet been | |||
j corrected. It was observed that equipment required to accomplish the checklist | |||
was available in the dedicated cabinet in the alternate cooling methods cubicle | |||
I (e.g., a screwdriver and rubber safety gloves). A copy of the procedure was | |||
j also located in the alternate cooling method cubicle for use by the operator. | |||
1 The team noted that procedures and system drawings were strategically located | |||
i throughout the plant, which was a strength. | |||
) | |||
J Attachment f to SSC-03 provided instructions for the auxiliary tender to set | |||
j the circulator's brake and seal frorn the helium storage area, a remote manual | |||
' | |||
activity. During the walkthrough of this attachment for circulator 1A, a | |||
weakness was observed because the steps to set the brake and seal require | |||
i | |||
j -7- | |||
4 | |||
! | |||
m. ___ | |||
_ _ _ _ _ _ . _ _ _ . _ . _ _ _ _ _ _ _ _ _ _ _ _ _ | |||
___ | |||
_ _ _ _ _ _ .__ ._ _ __ _ | |||
' | |||
' | |||
. | |||
, | |||
i | |||
: | |||
opening a locked cabinet door to gain access to the valves. The door of the l | |||
! | |||
cabinet was hinged on top, and had to be lifted to a position just past verti- i | |||
! cal. The possibility existed that the door could have fallen closed and , | |||
! injured the operator during the activity required by the procedure, thus ! | |||
' | |||
disatling him from completing further required actions. The licensee indicated t | |||
I that it would investigate altering the hinging of the doors to the cabinets in | |||
, question. The operator was observed to have the necessary key to open the | |||
: cabinet, and a copy of Attachment 2 to SSC-03 was available to help the opera- ! | |||
; tor in the imnediate area of the valves that required tranipulation. ! | |||
! Attachment 7 to SSC-03 provided an operator aid for the equipment operator to I | |||
' | |||
read thermocouple temperatures from the temperature transmitter located in the j | |||
auxiliary electrical roun, During the walkthrough of this attachment, two i | |||
minor weaknesses were observed: (1) The Fluke thennocouple reader was not ( | |||
j located in the shift supervisor's office as referenced in the attachment but l | |||
! was located in the control room and (2) the standard screwdriver required to j | |||
; | |||
connect tne thermocouple reader to the temperature transmitter was not dedica- 1 | |||
j ted to that specific use and was not located with the Fluke instrument. The ! | |||
- | |||
licensee stated that the Fluke instrument had been relocated to the control [ | |||
j room to provide a more secure area for control of the instrument, but the ! | |||
l procedure had not been revised to reflect this change. The screwdriver was | |||
I supposed to be taped to the handle of the Fluke meter, but someone had used it | |||
j and placed it in a desk drawer in the control room. i | |||
: Attachment 5 to SSC-04 provided instructions for installing a through flange ! | |||
4 between the firewater system and the errergency feedwater header. During a : | |||
walkthrough of this attachment with an equipment operator, two weaknesses were { | |||
observed: (1) Drain valve V-45947 did not have a tag and could not be verified ' | |||
' | |||
as the correct valve and (2) the mechanical spreader referenced in steps 7 | |||
! and 10 of the procedure could not be found in the sealed toolbox dedicated to | |||
! perfomir.g this procedure. It was observed that the platform and toolbox , | |||
required to perform this procedure were located near at hand and had been { | |||
sealed against unauthorized use. ' | |||
. | |||
t | |||
j Attachttent 1 to SSC-03 provided a table for defeating interlocks associated ! | |||
i with valves, controllers, or other plant equipment which may become disabled ' | |||
a as a result of fire or other situations arising from plant transients. The | |||
; required actions included pulling fuses or confiming the integrity of fuses, , | |||
, | |||
installing jumpers at terminal blocks, or removing a grill cover and actuating ! | |||
relays located behind the grill. During a walkthrough of the attachment with ; | |||
$ d senior reactor operator, three weaxnesses were observed: (1) ror Sv-210c, | |||
the attachment required the operator to pull fuses F-254 and F-134 at 1-05; | |||
however, fuse F-254 did not exist and (2) a dedicated supply of fuses for I | |||
replacing blown-out fuses had not been provided; (3) the grill at the bottom | |||
, | |||
of panel 1-10. Bay 800 could not be removed by use of a screwdriver since | |||
i one of the screws had been replaced by a hex head bolt. The licensee replaced | |||
1 this bolt and other simil6r bolts in grill covers with screws, and will | |||
{ investigate the other areas identified. | |||
. | |||
l It was observed that the operations personnel assisting the team in the walk- | |||
i through were knowledgeable of the procedures, the actions required, and the | |||
; locations of the referenced equipment. | |||
i | |||
l | |||
j -8- | |||
_ - _ _ - . - - _ - - __- - -- | |||
. - . .-.. __ __ _ _ _ _ __ . _ . _ . | |||
- . _ _ _ _ _ __ | |||
' i | |||
i . | |||
, ! | |||
!. . | |||
, | |||
An overall weakness was failure to periodically walk through the procedures and | |||
attachments to ensure that all required equipment was in place and ready for - | |||
use. Licensee action to correct the above procedure and material deficiencies | |||
, | |||
is an unresolved item pending further review by NRC Region IV (267/88200-01). | |||
I | |||
2.1.5.2 Standard Operating Procedures | |||
The team reviewed selected standard operating procedures (SOPS). These proce- | |||
dures, as many of the other plant procedures, were undergoing major revision as i | |||
part of the licensee's procedure upgrace programs. The procedures reviewed l | |||
l were: l | |||
* | |||
S0P 21-01 "Helium Circulators," Revision 20 | |||
* | |||
1 $0P 21-02, "Helium Circulator Auxiliary Systems " Revision 72 | |||
d " | |||
SOP 22-01, "Steam Generators " Revision 45 | |||
" | |||
! S0P 31, "Feedwater and Condensate Systems " Revision 43 L | |||
* | |||
S0P 32-01 "Secondary Coolant System - Feedwater Heaters," Revision 3. t | |||
The review determined that several of the procedures, in particular 50P 21-01, } | |||
SOP 22-02, and 50P 32-01, contained a number of valve lineup changes and > | |||
complex activities without an associated checklist. The lack of a prepared ! | |||
checklist for these manipulations means that they must be copied from the ; | |||
j procedure in the field, possibly introducing error. Additionally, there was | |||
no sign-off by the operator to indicate completion of the actions nor was i | |||
l independent verification of safety-related valve manipulations required. This I | |||
j was considered a weakness in an otherwise satisfactory program for controlling : | |||
i and verifying equipment position. The licensee stated that the provision of : | |||
checklists would be investigated. Confirmation of licensee action in this | |||
j regardisanunresolveditempendingfurtherNRCRegionIVreview(267/88200-02). | |||
2.1.6 Independent Verification | |||
The licensee's independent verification program was reviewed with regard | |||
. | |||
to implementation in the equipment clearance program, repositioning or r | |||
reterminating equipment following surveillance testing, and positioning of l | |||
valves and other plant equipment following outages or major work on systems. ' | |||
The licensee's independent verification program has been previously inspected ; | |||
and found to be acceptable with respect to the requirements of NUREG-0737. j | |||
j ltem !.C.6 (NRC Inspection Report 82-27). The team found that the surveillante | |||
2 | |||
tests reviewed contained required steps for independent verification of criti- l | |||
cal equipment returned to normal status if the procedure had been revised as , | |||
part of the procedure revision program. For those tests that have not yet l | |||
i been revised, independent verification steps have been added by procedure I | |||
! change when the test is performed or will be added the next time the test | |||
j was performed. | |||
, | |||
l The licensee has independently verified each valve contained in the system | |||
I valve list (SVL) for all plant systems. The SLY contained manual valves such | |||
as isolation valves, and vent and drain valves. This was a strength because | |||
all critical and noncritical valves woulo be independently verified anytime a | |||
i system lineup was conducted. Valves with operators were considered "instru- | |||
i atnts" as well as being considered operational valves (controlled by operating | |||
1 procedures) and were not included in the SVLs. The licensee indicated that a | |||
j system lineup would not necessarily be conducted on a system unless major work | |||
j was performed during an outage; this implies that valves could be manipulated | |||
; | |||
i -9- | |||
i | |||
l | |||
. | |||
, | |||
) ' | |||
. | |||
f | |||
* | |||
i b | |||
, | |||
. | |||
1 | |||
! i | |||
! during normal operation over an extended period without being independently j | |||
1 | |||
verified. Hofever, there was some indication that the licensee was considering , | |||
{ conducting system walkdowns including independent verification on a more ( | |||
regular basis. Confirmation of licensee action in this regard is part of , | |||
unresolved item 267/88200-02, Section 2.1.5 of this report. ; | |||
i SMAP-19. "Processing Equipment Clearances and Operation Deviations," Issue 7 F | |||
1 controlled equipment removed from and returned to service. The procedure f | |||
required independent verification that all clearance cards and auxiliary tags ( | |||
were placed properly and were removed when the work was completed; that the - | |||
. | |||
equipment, annunciator, or instrument had been properly isolated before work on ! | |||
1 | |||
it began and properly returned to normal before testing or returning to l | |||
) service, and that all sealed and critical valves would be independently veri- ; | |||
{ fied for proper resealing and correct positioning before the equipment, annun- | |||
! ciator, or instrument was returned to service. This program was considered l | |||
. | |||
I acceptable and appeared to satisfy the requirements of NUREG-0737. | |||
2.1.7 Equipment Clearances I | |||
] r | |||
i The team reviewed the active clearance book during preparation for plant f | |||
] startup and identified two weaknesses associated with the proper administration I | |||
i of the independent verification requirements of SMAP-19. "Processing Equipment ! | |||
) Clearances and Operation Deviations." On May 12, 1988 Clearance No. 21136 was , | |||
conpleted to place helium circulator C-2101 out of service without independent l | |||
l verification of two valve positions. The valves were isolation anc bypass i | |||
, valves on the non-safety-related auxiliary portion of the system, and were ! | |||
j subsequently confirmed to be in their required position. On May 15, 1988, l | |||
< Clearance No. 21155 was completed to place the reactor building sump filters ; | |||
: out of service without independent verification of the sump pump hand switch ; | |||
i positions. The switches were not safety related and the hand switches were ; | |||
i subsequently confirmed to be in their required position. In both cases, the i | |||
i | |||
independent verification blocks on the clearance form had not been initialed as l | |||
I required, indicating that independent verification had not been performed for ! | |||
this equipment. ' | |||
l | |||
f 2.1.8 Valve Hispositioning | |||
Both the Institute of Nuclear Power Operations (INPO) and hRC had identified | |||
concerns related to valve mispositioning incidents. The team reviewed proce- I | |||
dure P-1, "Plant Operations," Step 4.6.4.c.1, which directed the operator in 1 | |||
the correct method of checking manual valve position. The team questioned | |||
Training Department personnel about operator training on valve positioning for | |||
different classes of valves, such as gate, globe, or butterfly; considerations | |||
related to valve backseating; how to determine positions of locked or sealed | |||
valves and ensure locks ano seals are properly applied; and other considera- | |||
tions which have been the subject of INPO Safety Evaluation Reports and INP0 | |||
Significant Operating Event Peports. After the team reviewed auxiliary tender | |||
and equipment oper4 tor training program materials, the licensee reported that | |||
, the subject was not currently addressed in their training program. Training | |||
- | |||
deficiency report (TDR) Ko. 051388 1 was issued on May 13, 1988, to develop a | |||
f lesson plan for auxiliary tender trainees on the subject of valve operations, | |||
i NRC review of the training ceficiency report's resolution is an unresolved | |||
) item pending further NRC Region IV review (267/88200-03). | |||
I | |||
i | |||
1 | |||
) -10- | |||
L. - -- __ -_- | |||
. | |||
l | |||
* | |||
l . | |||
2.1.9 Equipment Tagging and Labeling Program | |||
The team reviewed the licensee's equipment tagging and labeling program. The | |||
program was controlled by plant procedure SOAP-8, "Plant Signage and Labeling | |||
Policy " Issue 1, which controlled the identification of components, pipes, | |||
rooms or equipment for the improvement of maintenance, operation, and perfonn- | |||
ance. The procedure was specific in defining label or sign sizes, colors, | |||
l method of attachment, and stendards for descriptions used on the signs. | |||
; huREG 0700 and thP0 OP-208 were used as guidance documents in developing the | |||
I program. Independent verification was enployed to ensure signs and labels were | |||
applied correctly. | |||
l The program hed been under way for approximately six months, and progress was | |||
l evident. Problems had been identified with existing plant labels and steps had | |||
been taken to correct them through the implementation of this program. The | |||
operations group had worked an average of 40 to 50 hours of overtime per week | |||
to identify and apply signs and labels. The emphasis had been placed on | |||
consistently identifying major safety-related valves and electrical components | |||
such as motor control centers, as well as other equipment, components and | |||
piping. The licensee anticipated full plant compliance with Procedure SOAP-8 by | |||
the end of 1988. | |||
This program was considered a strength because the licensee was acting aggres- | |||
sively to implement this program. Personnel who had extensive plant experience, | |||
including a retired shift supervisor, were involved in ad:ninistration of the | |||
program and ensuring its compliance with procedures. It appeared that plant | |||
personnel in general were highly supportive of the program and recognized its | |||
importance to operation, maintenance, and surveillance activities. | |||
2.1.10 Temporary Configuration Report Reviews | |||
The team reviewed the Temporary Configuration Report (TCR) Log for completeness | |||
in accordance with procedure SMAP-18 "Processing of Temporary Configuration | |||
Reports," Issue 4, dated Nover.ber 19, 1987. This procedure described the | |||
controls and steps for processing temporary changes to plant equipment. During | |||
, this review, the inspectors found that three active TCRs, 88-03-05, 88-04-01, | |||
l and 88-05-03, had not been entered in the TCR index. Procedure SMAP-18, step | |||
4.1.1, required the index to be updated when a new TCR was initiated. The . | |||
significance of an incomplete index was that lifted leads, jumpers, and other ' | |||
temporary equipment changes were tracked only by TCRs. Missed TCRs could | |||
result in inoperable safety significant equipment. l | |||
l | |||
Open ICRs dating back to 1985 were found, but none of these dated TCRs were | |||
safety significant, and a major effort to close these out was in progress. | |||
Licensee action to ensure correctness of the TCR log and reduce the lacklog of | |||
old open TCRs is an unresolved item pending further NRC Region !Y review | |||
(267/88200-04). | |||
2.1.11 Remote Plant Shutdown | |||
, | |||
The team reviewed the procedure for remote shutdown outside of the control | |||
rcom. This procedure review and walkdown identified the following weaknesses: | |||
l | |||
l | |||
, | |||
l -11- | |||
l | |||
l | |||
_ - - - - _ _ _ _ _ _ - - - _ _ | |||
- . .- _- -- _. | |||
* | |||
O l | |||
0 | |||
* | |||
l | |||
(1) Only the licensed operators were trained on remote shutdown every two | |||
years. The team was concerned about the frequency of training and the | |||
lack of training for unlicensed operators who must be used for remote | |||
plant shutdown. | |||
(2) Training every two years consisted of walkdown of the procedures and did [ | |||
not simulate the event by a coordinated team drill. An additional , | |||
weakness was that instructor involvement in the procedure walkdown was too I | |||
cmall to evaluate the weaknesses and provide input to retraining. l | |||
This training deficiency became even more significant if a fire was the ! | |||
cause for control room evacuation, since three operations personnel were | |||
assigned to the fire brigade and may not be available to help with the | |||
remote shutdown. - | |||
; | |||
Additionally, no remote shutdown test has ever been perfonned. This raised I | |||
significant concerns about the ability to integrate operation of equipment, | |||
which has been independently tested, but not tested on an integrated basis. | |||
Licensee attention to these weaknesses appears warranted: Inadequate training, | |||
ninimum operations staff required for remote shutdown concurrent with a c | |||
fire, and whether an integrated test of remote shutdown capability should be | |||
' | |||
perfonr.ed are an unresolved item pending further NRC Pegion !Y review , | |||
(267/38200-05). ! | |||
0.2 Maintenance | |||
Themaintenanceinspectionconsistedofobservationsmade(1)during)the | |||
licensee's performance of four corrective maintenance activities (2 reviewing | |||
approximately30stationservicerequests(SSRs),(3)andreviewingselected | |||
tr,aintenance procedures. On the basis of these inspection activities, the team | |||
reached two general conclusions. First, the team was concerned about the | |||
licensee's control of maintenance activities and the adequacy of work instruc- ! | |||
tions. Second, the tecm was impressed with the level of knowledge and skill i | |||
' | |||
demonstrated by the craftsmen. The toam noted an apparent relationship between | |||
poor quality work' instructions and work being perfonned without written i | |||
procedures. , | |||
After reviewing work activities and interviewing craftsmen ano supervisors, | |||
the inspection team concluded that the first-line supervisors were well aware 6 | |||
of inadequacies in maintenance procedures and documentation of maintenance l | |||
activities. The team further determintd that these procedure and documenta- ! | |||
tion problems had apparently not been communicated to management, nor had any j | |||
correctise action been initiated, i | |||
I | |||
On the basis of oiscussions with region based personnel, recent inspection I | |||
reports, the latest systematic assessment of licensee performance (SALP) i | |||
report, and licensee program changes in progress, it appeared that significant ; | |||
improvements have been recently effected to bring the maintenance progran into l | |||
agreenent with industry standaros. These improvements, on a relative scale. : | |||
were considerable; however, on an absolute scale, the licensee's maintenance ! | |||
program lagged behind the industry by a considerable margin. For example, the l | |||
licensee was in the process of reestablishing the basis for the Preventive l | |||
Maintenance program. Vendor maintenance recomet,dations, equipment operating i | |||
history, and regulatory requircrtents were being reviewed as part of this i | |||
t | |||
-1?- | |||
. | |||
. -- | |||
l * . I | |||
d | |||
i | |||
o I | |||
* | |||
i , | |||
1 | |||
i | |||
! effort. In addition, the Maintenance Superintendent stated that sophisticated ' | |||
I maintenance programs, such as predictive maintenance utilizing thennography and i | |||
vibration analysis, were planned for the future. However, the development of | |||
j the planned maintenance had to be complete before the improved maintenance | |||
j progranis could be instituted, i | |||
j The team noted a positive attitude on the part of most maintenance personnel ' | |||
contacted during this inspection. In general, maintenance technicians realized | |||
.j that the past practice of conducting maintenance without administrative con- | |||
trols was unacceptable. Additionally, the technicians seemed to have a feel , | |||
! for the relative safety importance of the equipment they were working on. They j | |||
i stated that they relied on the SSR classification to determine the equipment's t | |||
j safety-related classification. | |||
: | |||
2.2.1 Maintenance Organization I | |||
h] | |||
i | |||
While the team was on site, the licensee reorganized the Nuclear Production | |||
Division to produce a more streamlined division. Before the reorganization, | |||
' | |||
' | |||
: the instrumentation and controls (l&C), mechanical, and electrical maintenance f | |||
, disciplines were under two separate superintendents. The I&C technicians were ! | |||
i under the control of the Nuclear Betterment Engineering Superintendent; the . | |||
; | |||
; | |||
mechanical and electrical technicians were under the control of the Maintenance l | |||
Superintendent. The reorganization placed all three maintenance disciplines , | |||
., | |||
under the control of the Maintenance Department Manager. | |||
2.2.2 Station Service Requests | |||
Work was authorized, controlled, and documented for plant maintenance using the | |||
SSR and its associated work package as described in procedure P-7, "Station | |||
Ser;i & Request Prucessing," Issue 13. The SSR for any individual maintenance - | |||
task consisted of a control documert and attachments, referred to as an SSR l | |||
: work package. Documents that iccccpanied an SSR incluced: procedures, such as | |||
controlled work procedures (CKPs) and corrective maintenance procedures; , | |||
special instructions, including supervisor's instructions; excerpts from | |||
approved documentation; drawings; supporting documentation, such as | |||
i- | |||
nonconfonnance reports (NCRs), design changes (DCs), and other documents that | |||
, expanded on the work plan, | |||
J | |||
i | |||
l Plant instrumentation and equipment that were required by the Fort St. Vrain l | |||
! (FSV) Quality Assurance Progran to be maintained at the highest level of | |||
1 quality attainable were classified as safety related/ enhanced quality SSRs. | |||
l As required by Procedure F 7, these SSRs received enhanced material control, , | |||
maintenance, and documentation considerations per 10 CFR 50 Appendix B, the ( | |||
FSV Station License, Final Safety Analysis Report (FSAR), and other regulatory | |||
{j documents. Procedure P-7 further stated that equipment classified as | |||
safety-related/ enhanced quality required quality control (QC) services and | |||
i other activity as a consequence, and completion of reviews on the $bR form ; | |||
j otherwise not required. The equipment classification was determined by the | |||
3 Scheduling and Planning Cepartnent with assistance from the Operations l | |||
i Department. Procedure P-7 also defined special processes (e.g., welding, | |||
, | |||
]' heat treating, nondestructive examination) as requiring QA/QC. | |||
1 | |||
) in the performance of a complicated task, a "chained" SSR could result. A I | |||
chained SSR was defined as being supplementary to an existing SSR and was used ! | |||
! | |||
1 | |||
' | |||
i | |||
; -13- l | |||
; i | |||
. | |||
- | |||
-__. _ __ _ . | |||
' | |||
o | |||
1 . | |||
. | |||
t * l | |||
0 | |||
to direct a support activity to a primary job task. A chained SSR was denoted I | |||
by a numerical suffix attached to the primary SSR number. As an illustration. l | |||
a primary job task SSR would be numbered 8800500-00; a chainto SSR to this task . | |||
would be numbered 8800500-01. ! | |||
Plant Procedure P-7 allowed the maintenance supervisor or planner at the job [ | |||
; site to make pen-and-ink changes to the SSR. if the scope of the work statenent i | |||
was not* changed. The computerized version of the SSR did not have to be ; | |||
updated. The team noted that the potential for losing the content of the pen. ; | |||
: and-ink changes was considerable should the original SSR (which was also the | |||
: fieldcopy)belost. Several of the SSRs reviewed by the team contained | |||
j nurr.erous pen-and-ink changes. If an SSR with significant pen-and-ink changes | |||
' | |||
was lost or destroyed, it would be difficult or impossible to recover the ; | |||
informa tion. Additionally, the potential existed for adding work requirenents i | |||
; that would not be appropriately reviewed by site engineering and quality 1 | |||
i assurance personnel. l | |||
2.2.3 Maintenance Activities Observed | |||
The inspection team observed portions of four maintenance activities focusing | |||
on work planning, performance, documentation, post-maintenance testing, and l | |||
; | |||
, | |||
' | |||
quality control effectiveness. The team reviewed the controlling administra- i | |||
' tive procedures for these programatic areas to verify correct implementation , | |||
during performance of the actual work. The team's observations noted for each | |||
observed maintenance activity are discussed in the materia.1 that follows, i | |||
) 2.2.3.1 Cold Reheat Steam Thermocouple Repairs | |||
Station Service Requests (SSR) 88502797. 88502827, and 88502823 were issued to | |||
-i remove damaged themoccuples TE 2256-1. TE 2255-5, and TE 2255-3 respectively. | |||
* | |||
Thermocouples TE 2255 5 and TE 2256-1 were stuck in their thermowells and | |||
TE 2255-3 had damaged conduit. The inspection team followed the work on the | |||
retroval of the damaged thermocouples over the course of the onsite inspection | |||
i period. At the time the team initially began to follow the work, themoccuple | |||
TE 2256-1 had been electrically disconnected and the electrical leads on the | |||
* | |||
thermocouple had been removed. The work authorized to be performed under | |||
primary jcb task SSR 88502797 is sumarized in the table that follows: | |||
Suffix Approval Date Work Description | |||
00 May 7, 1988 Troubleshoot current loops per drawings | |||
referenced on attached. Note any | |||
i | |||
disconnections and/or reconnections | |||
during troubleshocting. Contact I&C | |||
Department to originate SSRs against l | |||
l! any bad instrument. | |||
: | |||
01 May 7. 1988 Retrove/ reinstall insulation as | |||
l required in support of Results | |||
, | |||
i | |||
} Engineering work. l | |||
i l | |||
] | |||
02 May 8, 1988 Heat up thermowell in accordance with | |||
map-15 in order to remove thermocouple. | |||
l Themowell is safety-related pressure | |||
l boundary only. | |||
. | |||
4 | |||
j -14- | |||
! | |||
' | |||
__ - _ _ - - - _ - - - - - | |||
. - - - _ - - . . - - . . _ _ _ __. - . - _ _ _ _ | |||
* . j | |||
* | |||
l | |||
I | |||
i | |||
j Suffix Approval Date Work Description | |||
I | |||
03 May 11, 1988 Drill out broken thermocouple as | |||
required. ; | |||
NOTE: Thermowell TW-2256-1 is | |||
safety-related. Contact l&C | |||
j Department when work completed. | |||
1 | |||
J The team began its observation on May 11, 1988, inspecting the work described , | |||
in suffix 03 and following the work through completion. It is important to i | |||
. | |||
note that the thermocouple was classified as not safety-related and that the ! | |||
j thermowell itself was classified as safety-related. The following observations ! | |||
' | |||
were made concerning this maintenance activity: | |||
3 (1) The $5R work plan stated, "Remove seized section of themocouple as I | |||
l appropriate." Maintenance technicians were observed drilling into the ; | |||
I safety-related thermowell without having appropriate drawings of the | |||
. thermowell; the SSR work description did not provide any information on j | |||
' | |||
the depth, diameter, or tolerances of the thermowell, nor did the ! | |||
! attached OC inspection sheet contain any of this information. The SSRs ! | |||
shoulo be more specific leaving less latitude and placing less reliance on ' | |||
the "skill of the craft." ' | |||
(2) Special drill bits consisting of a regular bit welded to an extension ; | |||
,! shaf t had to be manufactured to drill out the thermowells. Apparently, ' | |||
the manufacture of the extended drill shaft was not controlled under an l | |||
! SSP., and the material compatibility of the drill bits and thermowell l | |||
material was not considered. i | |||
' | |||
(3) No procedure was provided for conducting the ost-maintenance test, ' | |||
) which was a hydrostatic test of the thermowel (seeSection2.2.4 l | |||
of this report for a discussion of hydrostatic testing). i | |||
I | |||
(4) A welding roo was placed down inside the themowell and was momentarilj ' | |||
; energized using a foot switch to remove two broken drill bits from the , | |||
l themowell . This technique was referred to as using a "stinger." ' | |||
; Application of this special process pursuant to 10 CFR 50, Appendix B, j | |||
i criterion IX was not controlled. Apparently, an engineering review was ' | |||
not conducted and the SSR work instructions did not address the use of ; | |||
; a welding "stinger." The SSR did not reference site welding procedures; l | |||
the requirements of P-7 Section 3.1.3f (QA/QC involvement during the ' | |||
i use of special processes) apparently were not observed; and the require- | |||
i | |||
ments of P-12. "Plant Maintenance," Issue 5, dated January 19, 1988, were | |||
) not observed. Section 3.9.3 of P-12 required that procedures for special . | |||
processes shall be reviewed and approved to ensure that the work was l | |||
performed in accordance with the required specifications. Failure to | |||
control the welding special process used for the above activities is an I | |||
i | |||
< | |||
unresolved item pending further hRC Region IV review (267/88200-06). | |||
, | |||
(5) Insufficient detail was recorded for maintenance history. The work done | |||
, | |||
' | |||
portion of the SSR did not contain all infomation about the job - in ! | |||
particular, that the "stinger" was used to remove portions of the two j | |||
broken drill bits. | |||
1 | |||
l -15- | |||
i ___ _ _ _ _ . . _ . . . _ . _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ | |||
__ _ -__ _ | |||
o . | |||
. | |||
. | |||
(6) Two virtually identical maintenance activities were inconsistently | |||
classified. The work in both cases involved separating by drilling a | |||
stuck non-safety-related thermocouph from a safety-related thermowell. | |||
SSR 88502797 was classified as non-safety-related; SSR 88502827 was | |||
classified as safety-related. This was significant because involvement | |||
of the Quality Control Department was contingent on the safety-related | |||
classification of the $$R as defined in P-7, Section 3.1.3. | |||
(7) Inconsistent post-maintenance test requiretrents between these SSRs was | |||
noted because the SSR classified as safety-related required a hydro- | |||
static test but the non-safety related SSR did not require post- | |||
maintenance testing. | |||
(6) $$R 8850287 was amended by a pen-and-ink change in the field to include | |||
a hydrostatic test of the thermowell. Since the original scope of the | |||
SSR was to drill out the broken therinoccuple, a suffix to the SSR should | |||
have Seen prepared and forn. ally reviewed, | |||
in addition to unresolved item 267/88200-06, above, licensee actions | |||
to correct the other maintenance pro | |||
paragraphs 2.2.3.1(1), (2), (3), (5) gram and | |||
, (6), implementation | |||
(7), and (8) are anweaknesses unresolved in | |||
item pending further hRC Region IV review (267/88200-07). | |||
2.2.3.2 Steam Generator B-2-6 Trim Valve (TV-2228-6) Repairs | |||
SSR 88502035 was issued to repair a body-to-bonnet leak on the valve in ques- | |||
tion. The scope of the repair included a weld buildup and remachining of the | |||
body-to-bonnet mating surface. The function of this valve was to regulate | |||
feedwater flow to steam generator module B-2-6. Each steam generator module ! | |||
had an assuciated trim valve (TV-2227-1 through TV-2227-6 and TV-2228-1 thr0 ugh | |||
TV-2228 6). By design, each trim valve was set so that, with the valve fully | |||
shut, it would pass a minimum of 20-percent full-rated feedwater flow. To | |||
satisfy this requirement, each trim valve was set 1-inch off the shut seat when | |||
the valve operator was in the fully shut position. | |||
I | |||
The inspection team observed portions of the valve reassembly. The team was | |||
; | |||
particularly interested in how the valve was set 1-inch off the shut seat to | |||
ensure the mininum flow requirement was satisfied. The team noted the | |||
j following discrepancies in the performance of this maintenance task: | |||
(1) Maintenance technicians were observed disasserbling the valve stem coupler | |||
without written procedures controlling the valve disassembly. The main- | |||
i | |||
' | |||
tenance technicians had been instructed to verify the alignment of the | |||
valve stem and the valve operator sten. This was the setting that ensured , | |||
steam generator module B-2-6 had adequate flow when the valve positioner | |||
was in the fully shut position. | |||
1 | |||
(2) Neither the work instructions nor the valve calibration data sheet | |||
specifieo that the valve disc was required to be set 1-inch off the | |||
shut seat with the valve operator fully shut. [ | |||
(3) Nuclear engineering personnel were unable to justify the correlation | |||
i | |||
between the *1-inch off the shut valve seat" design requirement and scribe | |||
4 | |||
marks on the vahe stem and operator sten, that maintenance technicians | |||
used to set up the valve. The scribe marks had been made sctre time in the | |||
, | |||
d | |||
! | |||
-16- | |||
, | |||
; | |||
_ _ _ _ _ _ _ _ _ m_-__ - _ _ _ _ _ _ _ _ _____.____________m _._-____________m___.._._..__.___-_.m_ _ - _ _ _ _ . . _ _ _ _ _ _ _ _ - - | |||
- ._ _ _ _ _ - _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ . . _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ - _ _ _ - _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ - _ _ _ _ _ _ _ | |||
* . | |||
; O i | |||
. | |||
past and were routinely used by the maintenance technicians in setting the , | |||
valves. Maintenance technicians did not directly measure the "1-inch ; | |||
l off the shut seat" requirement. Rather, the scribe marks on the valve ! | |||
stem and the operator stem were set at 5 1/2-inches apart. The date and | |||
4 | |||
circumstances when the scribe marks were made could not be detemined, | |||
yet the maintenance technicians relied solely on the scribe marks to | |||
ensure that the minimum flow requirements were satisfied. Failure to ; | |||
i maintain 20-percent flow could result in heat damage to the steam genera- | |||
tor module. | |||
(4) The maintenance technicians partially disassembled the valve when checking | |||
the distance between the scribe marks, despite the absence of written , | |||
procedures and in the presence of a quality control inspector. The QC l | |||
1 | |||
" | |||
inspector did not realize that the maintenance technicians were working ! | |||
' | |||
outside of calibration procedure, RP-900. When the NRC inspector ques- , | |||
tioned the maintenance technicians about the procedure they were using to | |||
j set up the valve and the basis for the 5 1/2-inch measurement, the QC ! | |||
1 inspector stated that he had similar concerns. | |||
' | |||
i | |||
l 10 CFR 50, Appendix E. Criterion V requires that procedures shall be "of a [ | |||
2 | |||
type appropriate to the circumstances and shall be accomplished in accordance ; | |||
with these... procedures.... Instructions shall include appropriate quantitative I | |||
1 cr qualitative acceptance criteria for determining that irportant activities ( | |||
, have been satisfactorily accomplished." It appeared to the team that these | |||
1 requirements had not been satisfied in the performance of this maintenance task i | |||
t because the requirement to set the valve 1-inch off the shut seat was not i | |||
specified, the use of the scribe marks was uncontrolled and apparently without | |||
. any technical justification, and the disassembly of the valve stem coupler was | |||
1 | |||
also uncontrollec. Failure to provide acceptable instructions for setting the | |||
: stem on TV-2228-6 is an unresolved item pending further NRC Region IV review , | |||
' | |||
! (267/88200-08). | |||
i ; | |||
i 2.2.3.3 HV-21243, Loop 1 Turbine Water Header Isolation Valve Repairs ! | |||
l | |||
SSR 88502490 was issued to repair seat leakage and body-to-bonnet leakage on I | |||
valve HV-21243. The SSR was issued as a tracking SSR mechanism for nonconfor- | |||
] mance report (NCR) 88 0088. Repairing the valve involved weld buildup and i | |||
, machining affected portions of the main seat and the body-to-bonnet mating i | |||
i surface. This valve had a history of body-to-bonnet leakage, and temporary l | |||
I repairs had been made before the outage by injecting sealant into the affected i | |||
I area of the mating surface. The inspection team followed portions of the valve ( | |||
) machining and reassembly. The team noted that, in conjunction with repairs ' | |||
made to valve TV 222C-6, the licensee was for the first time using FSV crafts- i | |||
men to do the machining. In the past, the licensee had contract machinists | |||
perform this type of repair work. The team also noted considerable involvement | |||
, | |||
, | |||
! | |||
i by the Nuclear Engineering Department in evaluating the as-found condition of | |||
the valve internals while performing the root cause determination, j | |||
] | |||
1 | |||
1 During observations of this maintenance activity the team noted poor house- l | |||
j keeping practices at the job site. Debris from lagging removal was not cleaned i | |||
j up until several days after the lagging had been removed and with th3 system ' | |||
open to the environment. Maintenance Administrative Procedure (MAP) MAP-8, | |||
) | |||
: | |||
* System and Con.ponent Cleanliness Requirements During Perfomance of Main- | |||
tenance Activities," Issue 3. required that the work area be cleaned after each | |||
J | |||
operation that generates potential contaminants. Additionally, the valve | |||
l internals were left unprotected and untagged on the floor. MAP-7, "Parts | |||
i | |||
! -17- | |||
! | |||
1 | |||
. - - . .- .--- - - - _- - - - . | |||
* . | |||
. | |||
* | |||
i | |||
identification and Control," Issue 1 dated April 28, 1986, required that ' | |||
l | |||
I | |||
maintenance personnel perfoming ths work shall ensure that component and parts | |||
were packaged and identified as they were removed. MAP-7 elso required that : | |||
I removed components and parts receive the required degree of protection while . | |||
they were removed from the system. Failure to implemer.t procedures for i | |||
cleanliness control and material control is an unresolved item pending j | |||
i | |||
further NRC Region IV review (267/88200-09). | |||
l | |||
2.2.3,4 Bypass Flash Tank Orain Valve Repair ! | |||
! | |||
During preparations for plant startup on May 17, 1988, control room licensed i | |||
operators experienced problems with LCV-32-17-1, the bypass flash tank drain | |||
valve. The valve responded slowly to the demand signal and would not close | |||
past the 40-percent open position. $$R 88502982 was issued to troubleshoot | |||
the valve and, calibrate it if necessary, and required that the SSR be ' | |||
replanned if any other problems were detected. While troubleshooting, the , | |||
maintenance technicians found that the valve's instrument air pressure reducer ! | |||
had a ruptured diaphragm. The SSR was returned for replanning, the pressure ! | |||
reducer was replaced, and post-maintenance testing (stroking the valve from I | |||
the control room) was completed satisfactorily. While observing this main- ! | |||
tenance activity the inspection team noted no discrepancies. | |||
!' | |||
2.2.4 Engineering / Maintenance Interface | |||
The inspection team noted that the maintenance staff did not request | |||
engineering involvement in non-routine or unusual naintenance activities that | |||
could potentially compromise a safety-related system or function. For extrrple, l | |||
. | |||
before drilling out the themowell to remove the stuck thermocouple the main- ! | |||
tenance staff should have consulted with the engineering staff, since the i | |||
thermowell was part of the safety related pressure boundary. Also, since no . | |||
hydrostatic test procedure exists at fort St. Vrain, engireering personnel ' | |||
should have been asked by maintenance personiel to specify the test rig con- I | |||
figuration tc assure that (1) it included a rslief valve to prevent overpres- ! | |||
surization of the themowell and that (2) the pressure gauge was installed in ! | |||
such a mant.er as to preclude its being isolated and potentially giving an l | |||
erronecus reading; Engineering personnel did specify the hydrostatic test i | |||
pressure and the curation of the test. I | |||
t | |||
Theteamrcytewedthreenon-conformancereports(NCRs)associatedwithmain- I | |||
tenance activities related to the removal and replacement of themocouples ! | |||
stuck in themowells. NCR 88-127 addressed the cutting and rewelding of | |||
thermowell TW E256-1 to retrieve pieces of a drill bit that had broken in the | |||
themowell curing the attempt to rencve the stuck themoccuple. NCR 88-131 | |||
accressed the replacement of the original 1/4-inch-diameter thermocouple with | |||
a 3/16-inch-diameter thermocouple because the 1/4-inch themocouple could not | |||
be fully inserteo into the thertrewell af ter the stuck thermocouple had been | |||
drilled out. Both NCRs 88-127 and 88-131 appeared acceptable in that the | |||
dispositions adequately addressed the technical aspects of these NCRs. hCR | |||
88-122 contained an evaluation of the thermowells to establish an appropriatt | |||
hydrostatic test pressure to verify that the drilling process did not | |||
cotrpromise the integrity of the pressure boundary. Although the evaluetion | |||
demonstrated that the hydrostatic test pressure of 3000 psig would produce | |||
stress five tirres greater than stresses seen in normal service with a large | |||
rargin before the thermowells were overstressed, the team noted that the | |||
evaluation referenced versions of ANSI Standard B31.1 and ASME Boiler and | |||
-18- | |||
_. _ __. _ __ _ ._ _.___ _ _ ___ _ _ _ _ | |||
1 | |||
* . | |||
l | |||
. | |||
. | |||
Presst + 1 el Code Section VIII that were not comitted to in the FSAR. | |||
Since tse tuermowell design margins were so large, this did not raise a concern i | |||
of technical adequacy. However, the team cautioned the licensee that careless ' | |||
or inappropriate use of codes and standards not committed to in the FSAR can | |||
lead to future concerns regarding failure to meet licensing comitments. | |||
' | |||
2.3 Surveillance Testing | |||
The inspection team reviewed the licensee's program for observing the testing | |||
requirements imposed by the Technical Specifications (TS). The review included | |||
assessments of the responsible organizations; adequacy of procedures; accep- | |||
tability of test resvits and rerolution of problems found during testing; | |||
administration and scheduling of tests; and observation of test perfor ance. | |||
2.3.1 06ganization and Scheduling | |||
program Controls | |||
The team reviewed the contents and implementation of administ ative procedures | |||
applied to the Surveillance Program. The principal controls ,ere provided by | |||
SMAP-1, "Tecnnical Specifications Surveillance Testing Program," Issue 7; | |||
SMAP-5, "Scheduling Program for Surveillances Governed by FSV Technical | |||
Specifications," Issue 5; and NPAP-4, "Surveillance Procedure Preparation," | |||
Issue 3. | |||
Each line department (e.g., Operations, Results, Maintenance, etc.) was madt | |||
responsible for preparing and implementing surveillance tests applicable to | |||
their areas of expertise via several TS procedure matrices. These matrices | |||
identified individual TS line item requirements, the corresponding implementing | |||
procedure, procedure issue status, departmental responsibility, etc. and | |||
provided an effective management tool for assuring satisfaction of each TS | |||
surveillance requirement. The team found these administra+ive procedures, | |||
matricos, and related working documentation acceptably implemented except | |||
as noted below. | |||
Scheduling | |||
Surveillance test schedules were administered by the Planning ana Scheduling | |||
Group and a Surveillance Scheduling Technician was dedicated to the task. | |||
Computer-generated schedules were prepared weekly and the applicable test | |||
procedures issued by the scheduling group bore a "scheduled date" and a "late , | |||
date" on the cover sheet of each procedure. The scheduled date was developed | |||
from the last actual performance date and 'the late' date represented the actual | |||
TS due date without application of TS allowed schedule tolerance (25-percent of | |||
thesurveillanceinterval). The technician checked on test completion daily | |||
and collected completed tests from performing departr ents. The technician also | |||
revi v ed and signed the proceoures documenting completion, and entered the | |||
performance data in the computer. Postponed and failed tests were similarly | |||
tracked but were specially identified to indicate their status. These activi- | |||
ties ware checked very closely and the intensity of the approach appeared to be | |||
very eff ective in controlling the status of testing and assuring that tests | |||
were completed within the intervals required by the TS. No examples of overdue | |||
testing were identified. All examples of failed or delayed tests found by the | |||
team were identified and were being controlled by the licensee's system. The | |||
surveillance scheduling and accountability program was considered a strength. | |||
-19- | |||
- _ _ - _ _ . | |||
* . | |||
. | |||
. | |||
. ) | |||
1 | |||
Although the mechanics of the surveillance scheduling and administration processes j | |||
appeared to be functioning satisfactorily, one discrepancy involving definition ; | |||
of the TS surveillance intervals was identified. SMAP-5, "Scheduling Program | |||
for Surveillances Governed by FSV Technical Specifications," issue 5, generally | |||
provided amplification of TS definitions and scheduling requirements. TS 2.15 | |||
defined "refueling cycle" surveillance interval as that (non-quantified) | |||
interval between refuelings of greater than one-tenth of the core. No specific | |||
interval in calendar time was provided. Similarly, Si4AP-5 was silent with | |||
regard to defining or discussing refueling cycle intervals. Subsequent discus- | |||
sion with the Manager, Nuclear Production determined that the licensee does, | |||
however, apply the 18-month + 25-percent definition of standardized technical | |||
specifications to the interval. The Manager, Nuclear Production stated that | |||
the procedures would be revised to insure adequate procedure coverage. | |||
Procedure SR 5.4.1.1.8.c-R, "Reheat Steam Temperature Scram Calibratior ," Issue | |||
24, performed March 1987, was a refueling interval surveillance per TS. The | |||
team noted that the entire instrument had been calibrated during March 1987, | |||
except for the thermocouples that originated the process variable signal. | |||
Discussions with plant managers revealed that new environmentally qualified | |||
thermocouples had been bench calibrated upon receipt from their vendor in | |||
December 1985 and held in storage until they were installed in late 1986 or | |||
early 1987. Although iS 5.4.1.1.1.8.c specified a "refueling cycle" frequency, ' | |||
PSC Action Reauest No.1875 had been issued to justify deferral of themocouple | |||
recalibration for 18 months from the date the thermocouples were first exposed | |||
to elevated operating temperature (about April 1, 1987). The justification was | |||
based upon information f rom the equipment vendor, the Instrument Society of | |||
America, and PSC Engineering which indicated that the thermocouple charateris- | |||
tics were offected only by exposure to operating temperatures and would not be | |||
expected to drift at ambient storage or cold shutdown conditions. The team | |||
discussed the propriety and technical basis for this deferral with the licensee | |||
and the NRC:NRR staff, in the absence of a TS or other regulatory requirement | |||
more quantitatively defining the refueling cycle interval and on the basis of | |||
the licensee's technical justification, the deferral was considered acceptable. | |||
2.3.2 Procedures | |||
The team reviewed approximately 35 completed surveillance tests. These proce- | |||
dures were reviewed for conformance to TS functional requirements, frequency / | |||
test intervals, acceptability of results, and adequacy of licensee disposition | |||
of test deficier.cies. The procedures included the general areas of plant | |||
protection system testing, fluid system testing, fire protection, air and gas | |||
system testing, electrical and diesel generator testing, and others. Except as | |||
noted below, no discrepancies were identified. | |||
the team noted that the FSV "custom TS," dating from initial plant licensing, | |||
.~requently provided only very general requirements for functional testing of i | |||
major systems. The licenset was in the process of rewriting surveillance | |||
9rocedures to meet curre.t industry guidelines and had effectively interpreted | |||
a TS to broadly apply the generalized TS requirements to not only the major | |||
systems but also to system auxiliaries and support equipment which contributed | |||
to the operability of the major systems. For example, the SR 5.2.20 series of ! | |||
surveillance tests for the alternate cooling method (ACM) diesel generator ; | |||
included testing of the batteries and auxiliaries implicit in the TS require- l | |||
nents but not explicitly listed. Similarly, Procedure SR-RE-80-X included ) | |||
calibration of ACM instruments not explicitly required by TS. The vintage of | |||
-20- l | |||
_ | |||
I | |||
__ ._ _____ | |||
- | |||
. | |||
. | |||
. | |||
the TS had resulted in some limiting conditions for operation (LCOs) not having | |||
corresponding surveillance requirements. The licensee appeared to have exten- | |||
sively evaluated the TS for such omissions and had issued surveillance procedures | |||
for verification of conformance with these LCOs not having discrete surveillance | |||
requirements. This application of operability concepts was considered a | |||
strength. | |||
The licensee was also working with the NRC staff to develop new TSs in the | |||
standardized TS format and expected to issue proof and review draft TSs for NRC | |||
review shortly after this inspection. This effort was expected result in | |||
another major surveillance procedure rewrite effort (expected sometime in | |||
1989). The licensee appeared to have the processes in place to effectively | |||
make the transition from custom to standardized TS. | |||
2.3.3 Inservice Testing of Pumps and Valves | |||
The facility's Inservice Test (IST) Program was under development at the time | |||
of this inspection. As a high-temperature gas-cooled reactor (HTGR), FSV's | |||
systems fall under Division 2, Section XI of the American Society of Mechanical | |||
Engineers (ASME) Code instead of Division 1, Section XI (applicable to light | |||
water reactors (LWRs)). Division 2, Section XI had not been approved / endorsed | |||
by NRC and FSV had not yet implemented a full-scope IST Program. | |||
Individual interim inservice testing requirements had been included in certain | |||
Technical Specifications, e.g., TS 5.3.4, "Safe Shutdown Cooling Valves Surveil- | |||
lance." Typically, these TS requirements did not specifically invoke the ASME | |||
XI provisions but merely required "operability" or "functional" testing of | |||
components. Although the licensee was connitter ; use the provisions of ASME | |||
XI as guidance, no overall program description r 1mponent test matrix had | |||
been developed. Individual test requirements were addressed only in the | |||
individual implementing procedures. Similarly, no program for collation and | |||
trending of equipment performance data typically required of IST programs had | |||
been implemented. Such a progrom was under development at the time of inspec- | |||
tion. As a result of the above ambiguities in the IST Program development, | |||
several discrepancies were identified in implementation of the existing TS IST | |||
requirements during review of Procedure SR 5.3.4bl-A, "Loop 1 Safe Shutdown | |||
Cooling Power Operated Valve Tests," Issue 5, performed on April 16, 1987. TS | |||
5.3.4 required an annual "full functional test" of the system valves and | |||
provided progressive implementation requirements for various valve typt 3 | |||
through the cycle 5 refueling. Table 11 in this procedure listed seven sets of | |||
valves which were identified as exempt from testing with the justifyino annota- | |||
tion "normally operates." The same was true for the Loop 11 procedure SR | |||
5.3.4.b2-A. None of the valves exempted by the licensee appeared to fall under i | |||
the delayed implementation requirements of the TS nor thE exemption or deferral | |||
provisions of the NRC safety evaluation reports of the applicable TS Amendments | |||
Nos. 33 and 51. | |||
On May 17, 1988, the licensee provided the team with a list of procedures | |||
which coincidentally exercised all the valves for Loops I and 11 except for | |||
valves HV-2153 -1 and -2, bearing water filter isolation valves. Although | |||
these procedures did not perform preplanned testing of the valves, the licensee | |||
considered that the coincidental operation met the requirements of their | |||
program, processed Procedure Deviation Reports to incorporate the tests into | |||
-21- | |||
. | |||
. | |||
. | |||
SR 5.3.4.bl-A and SR 5.3.4.b2-A, and documented the test performances. The | |||
HV-2153 valves were subsequently tested on May 12, 1988 because equivalent, | |||
existing data was not available. | |||
The team also requested the licensee to identify any other procedures that may | |||
contain similar inappropriate exceptions. On May 18, 1988, the licensee advised | |||
that Procedure SR 5.2.7 al-A, "Loop I/II Valves and Circulator Drive Tests," | |||
Issue 3, included an exemption for valve V-22371, emergency feedwater (EFW) | |||
header check valves. At the end of the inspection, the licensee was evaluating | |||
the availability of existing, coincidental test data and the applicability of | |||
f orward/ reverse flow testing requirements for this valve. NRC review of the | |||
results of the above licensee actions to ensure all valves subject to IST are | |||
not improperly exempted is an unresolved item pending further NRC Region IV | |||
review (267/88200-10). | |||
The team considered the absence of an overall program control document to be a | |||
major detractor from effective definition and management of the program in that | |||
essentially no guidance had been provided to either procedure writers or test | |||
conductors. | |||
2.3.4 Measuring and Test Equipment Inaccuracies | |||
As part of the licensee's post-trip review of a reactor scram occurring on May 6, | |||
1988, control problems were identified with the reheat steam temperature control | |||
circuits. Troubleshooting from May 6 through May 14 identified several circuit | |||
and equipment problems. The conduct of licensee post-trip review and problems | |||
regarding thermoccuple removal, repair, and reinstallation are discusseo in | |||
Section 2.1.a and 2.2.3.1, respectively, of this report. | |||
The team also revie nd the calibration-related problems with the reheat steam | |||
temperature controls. This control loop was considered not to be safety-related | |||
and was not subject to TS. Accordingly, it had been routinely calibrated on a | |||
modular basis; no complete loop checks were performed which would test the | |||
circuit from input (thermocouple output) to control output (reactor flux | |||
control / rod movement). The circuit apparently had been operating with about a | |||
35'F offset in actual reheat temperature vs. the demand control signal. The | |||
licensee subsequently determined that the offset was caused by a suspected | |||
loose lead in one of the circuit's averaging sub-loops; the licensee had | |||
completed a full-loop circuit check and was planning to incorporate the full ; | |||
loop check intt future calibrations. i | |||
During this trot.bleshooting, the licensee encountered difficulties in obtaining l | |||
stable module calibrations between bench and field calibrations. Initially, | |||
early in the week of May 9, 1988, the digital multimeters used for testing were | |||
suspected to have drif ted out of the manufacturer's calibration tolerances. | |||
The loop was subsequently recalibrated using test meters known to be good. | |||
I | |||
On about May 16, the licensee seterm%ed that meter test leads were improperly | |||
connected to the meter for se Er all of the reheat steam temperature control | |||
troubleshooting and recalibration. The meters had two positive and two nega- | |||
tive female test lead jacks for measurement of voltage, resistance, or current. | |||
Except for current measurements, selection of any positive and negative jack | |||
combinations was apparently acceptable and resulted in accurate measuren.ents. | |||
-22- l | |||
- _ -. - _.- - - , - __ - - - _ _ - - , _ _ _ _ _ _ - , _ _ - - - - _- | |||
. | |||
. | |||
. | |||
However, for current (milliamp) measurements such as used for this activity, | |||
only one combination of jack installation was acceptable and incorrect combina- | |||
tions can and did result in significant meter errors. | |||
Procedure RP-A-04, "Requirements Governing the Control and Calibration of Test | |||
Equipment and Standards," issue 6, Section 4.5, "Out of Tolerance Conditions," | |||
provided requirements for evaluation of prior use of out-of-calibration equip- | |||
ment to ensure that installed instruments were recalibrated if defective test | |||
equipment may have been used on them. When the team inquired late on May 16, | |||
1988 about the identification and operability status of safety-related instru- | |||
ments potentially calibrated with the affected meters, the responsible instrument | |||
and control supervisor advised that the evaluation had not been started, even | |||
though plant restart had initially been scheduled for May 15, 1988 had been | |||
delayed, and was then scheduled for the night of May 16-17, 1988. The team | |||
considered this failure to recognize the need to establish the operability and | |||
calibration status of potentially affected safety-related instruments as a | |||
weakness in the area of licensee management controls and attention. | |||
Apparently as a result of the team's inquiry, the evaluation was conducted from | |||
the evening of May 16 through May 17, 1988 and approximately 100 uses of five | |||
meters were evaluated. Eleven cases of safety-related uses requiring calibra- | |||
tion rechecks were identified; of these eleven, two were found to be out of | |||
tolerance and were recalibrated. Another 11 cases of non-safety-related | |||
uses of the meter were considered to require rechecks, and rechecks were | |||
scheduled for the week following plant restart. The team reviewed the detailed | |||
records used for the licensee's evaluation and found the evaluation acceptable. | |||
2.3.5 Surveillance Activities Witnessed | |||
i | |||
Surveillance test performance was observed to determine that the procedures | |||
were properly performed and satisfied the referenced TS requirements, that | |||
coordination between plant operators and test performers was adequate, that | |||
treasurement and test equipment was properly calibrated and applied, that test | |||
results were pr merly acquired and evaluated, and that problems were properly | |||
handled. The team witnessed part or all of the following surveillance tests: | |||
* | |||
SR 4.1.1.d-X, "Full Stroke Scram Test," Issue 3, May 12, 1988 | |||
* | |||
SR 5.4.1.1.4.b-P, "Wide Range Power Channel Test," issue 26, | |||
May 16, 1988 | |||
* | |||
SR 5.4.9-A2, "Process Beta Monitors Calibration " Issue 26, | |||
Section 5.5, RT 31193, "SJAE Process Flow," May 16, 1988 | |||
* | |||
SR 4.1.1.1.14.a-M, "Plaht 480 Volt Power Loss Test," May 17, 1908. | |||
All observed testing was considered satisfactory by the team except for Sk | |||
5.4.1.1.4.b-P as further discussed below. | |||
As previously discussed, the licensee was completing a major rewrite of TS | |||
surveillance tests to meet current industry format and content standards, | |||
i | |||
2 | |||
! | |||
1 | |||
l -23- i | |||
i | |||
l | |||
_ | |||
. _ _ - _ _ _ - _ . _ _ _ _ _ _ _ _ _ _ - _ _ _ . _ _ _ _ _ _ _ -. - - _ _ _ . _ . , | |||
_ . .. | |||
- | |||
. | |||
. | |||
: | |||
Procedure SR 5.4.1.1.4.b-P, "Wide Range Power Channel Test," functionally I | |||
tested the logarithmic nuclear instrument channel interlocks, rod withdrawal | |||
prohibits, and scrams. The procedure had been initially reissued as Issue 25 | |||
in the new format. | |||
During its first performance, the licensee found that the new procedure, | |||
prepared using the vendor's Operations and Maintenance Manual (0&M) No. | |||
93-I-1-335, included testing of an interlock circuit which would generate a . | |||
single channel scram when the "Wide Range Channel Level Calibrate Switch" was | |||
' | |||
removed from the "Operate" position. This circuit feature was not actually | |||
installed in the plant equipment. Nonconformance Report No. 88-030 identifying | |||
the above discrepancy was issued on February 18, 1988 and was resolved to "use ; | |||
as is" pending long-term investigation and evaluation by the licensee. The | |||
team reviewed the licensee's NCR disposition finding that, although appearing | |||
contradictory with respect to the controlled vendor information, the absence of | |||
the circuit appeared to have negligible safety significance. The log level | |||
portion of the channels did not have any normal scram or rod-withdrawal-prohibit | |||
outputs; only the unaffected startup rate portion of the channels generated | |||
either a scram or rod withdrawal prohibit signal. Further, the Updated Safety | |||
Analysis Report (USAR) took no credit for any log channel scrams in the | |||
various accident analysis scenarios of USAR, Section 14. The licensee had not | |||
been able to cetermine when or why the circuit was deleted from the equipment | |||
and was following up the problem with the nuclear steam supply system (NSSS) | |||
vendor. | |||
At the time of discovery in February, the procedure was temporarily changed | |||
via a Procedure Deviation Report (PDR) to delete the inapplicable tests and | |||
, | |||
' | |||
reconfigure the procedure for performance. On May 4-6, 1988 the procedure was | |||
reissued as issue 26, incorporating some administrative changes in procedure | |||
completion and signoff forms, but inadvertently reinstating the erroneous | |||
procedure steps addressing the nonexistent scram signal. Although the proce- | |||
dure went through the routine review and approval steps, the licensee did not | |||
identify the error. | |||
On the 0000-0800 shift of May 16, 1988 initial attempts to perfonn Issue 26 l | |||
of the procedure were unsuccessful when the procedure was found to have | |||
inadequate instructions for establishing the necessary initial conditions and | |||
clearing existing scram signals (plant shutdown). The inapplicable level | |||
switch scram steps had been marked "N/A" but had been left in the procedure. | |||
During the 0800-1600 shift on the same day, the team observed a second attempt | |||
to perform the procedure following approval of a PDR to reset the shutdown | |||
scrams. This attempt wds initially unsuccessful because the PDR was incom- | |||
plete. Following issuance of a second PDR to set initial conditions, the | |||
inspector witnessed another unsuccessful attempt to calibrate the "A" channel | |||
of the wide range power nuclear instrument. The procedure, as written, includ- | |||
ing the inapplicable steps, did not provide a smooth, sequenced instruction and | |||
resulted in the technician having extreme difficulty placekeeping and maintain- | |||
ing the functional sequence of the test. For example, bistable alarms and | |||
indicating lights from previous steps were not always reset, preventing the | |||
technicians fror, determining whether the lights had merely remained on from | |||
prior steps or had reflashed as a result of the current step. Similarly, the | |||
actual system responses did not match the procedure's expected responses with | |||
the scram interlock circuit missing. Additionally, the procedure had been l | |||
partially signed off by the previous shift which caused some confusion fcr the | |||
s | |||
-24- | |||
. _ _ _ _ _- _ _ _ _ - .- -. _ _ _ . _ - _ - -.- - - - . - . -. | |||
' | |||
. | |||
. | |||
. | |||
subsequent shift continuing the procecure at the proper step. In response to | |||
the difficulties encountered, the licensee issued PDR No. 88-340 during the | |||
evening shift of May 16, 1988, deleting the inapplicable steps and correcting | |||
the remaining steps. The poor quality of the initial and revised procedure | |||
had the potential for an inoperable reactor protection channel to go undetected | |||
by the testing. | |||
During review of other completed tests and operating procedures discussed | |||
elsewhere, the team had also noted that several of the procedures had required | |||
one or more PDRs to correct the originally issued versions to permit | |||
performance. The licensee routinely issued full-page changes when a procedure | |||
was modified by PDR, thereby reducing the chances for error inherent in issuing | |||
piecemeal changes. However, the need to issue multiple changes to a recently | |||
reviewed and approved procedure indicated weaknesses in the process for main- | |||
taining accurate and current procedures. | |||
As a result of the apparent frequency of PDR use and the performance-based | |||
observations, the adequacy of the licensee's procedure review, validation, and | |||
approval practices was identified as a concern to PSC management. The PSC $ | |||
Systems Engineering Manager, Results Supervisor, and others on the licensee's i | |||
staff discussed plans for creating a Plant Operations Review Comittee proce- | |||
dures subcomittee which was in the planning stage and which was intended to | |||
improve the procedure publication process. These plans included a procedure | |||
verification and validation process. | |||
The team further reviewed the last two years' data for PDR usage, noting that | |||
for the approximately 3690 total procedures, more than 1300 PDRs had been | |||
issueo during calendar year 1987. In contrast, about 340 PDRs had been issued | |||
for 1988, or roughly one-half the number issued in 1987. Although the trend | |||
appeared to indicate a declining use of PDRs as the new format procedures | |||
have matured, the team remained concerned that the overall procedure approval | |||
process was weak. | |||
l | |||
2.4 Management Oversight and Safety Review | |||
The general functions of conraittee activities and safety assessment were | |||
reviewed and included the staffing, the onsite review committee, the offsite | |||
review comittees, the operating information assessment group, and the | |||
post-trip review activity. The review included selected procedures and records | |||
and personnel interviews regarding the implementation of the activities. The | |||
plant staffing appeared to be adequate and the May 12, 1988 reorganization | |||
appeared to be a positive step toward impr,oving the operations and support of | |||
the facility. The overall impact of the reorganiz'ation was not assessed during | |||
the inspection. The plant operations onsi.te review comittee (PORC) activities I | |||
appeared to be adequately implemented. The inspection revealed that the review l | |||
function could have been more effective with regard to the use of telephone | |||
poll (voting) reviews and the content of the PORC charter, including adequate | |||
specific guidance for all activities. | |||
1 | |||
The Nuclear Facility Safety Comittee (NFSC) activities appeared to be a strong l | |||
function. Strengths included the specific use of NFSC members as technical | |||
I | |||
auditors in the areas of expertise and the provision of the NFSC meeting ' | |||
l | |||
-25- | |||
l | |||
- - - _ - _ - . . | |||
.. -- - __. | |||
- _ - _.- -- _ - - _. _ | |||
- | |||
. | |||
: | |||
* | |||
. | |||
. | |||
. | |||
minutes to all NFSC members and alternates for review and consnent, as | |||
appropriate. Three noteworthy observations were made regarding the NFSC | |||
dCtivities: (1) The NFSC planned to meet more frequently than once each six | |||
months, (2) almost all meetings were conducted onsite at the visitor's center, | |||
where the plant staff could easily attend; and (3) it was apparent from review | |||
of the minutes and through discussions, that the NFSC was aggressive regarding | |||
reviews. | |||
The operating information assessment group (OIAG) activities (FSV, industry, | |||
and NRC operating experience) appeared to be acceptable. However, the | |||
distribution of reports of items reviewed by the 01AG and the OIAG program | |||
status reports was, limited and did not include all the facility managers nor | |||
the Vice President, Nuclear Operations NFSC chairman. The review of the NRC | |||
Information hotice No. 87-25 appeared to be limited and could have been more | |||
comprehensive (See Section 2.4.4 of this report). Finally, even though the | |||
intent of the OIAG function may have been addressed, the 01AG activities were | |||
not being fully implemented in accordance with the procedure requirements. | |||
The post-trip review activities appeared to be adequately implemented. The | |||
practice of utilizing a formal multidiscipline post-trip review of all reactor | |||
trips and the established post-trip review concittee for reviewing all reactor | |||
trips routinely and condition III reactor trips (complicated) prior to plant | |||
restart was considered a good system. Procedure SMAP-7, "Post Trip Reviews," | |||
Issue 6, did not require all plant transients to be reviewed. The other | |||
transients were generally being reviewed, however, at the option of the Station | |||
Manager. | |||
2.4.1 Staffing | |||
The facility appeared to be adequately staffed. The licensee management was | |||
sensitive to the potential staffing problems that could arise because the | |||
nuclear plant had an uncertain future. The nuclear production department was | |||
hiring acditional personnel, operators were being trained in order to obtain | |||
an NRC operator license, and work on a limited plant simulator was progressing. | |||
Further, a reorganization of the Nuclear Operations Department was effective | |||
May 12, 1908. The reorgalization addressed the consolidation of engineering | |||
activities, elevation of the training department to a division level, the | |||
focusing of planning and scheduling activities, and the streamlining of the | |||
nuclear production (plant) division. The Quality Assurance Division continued | |||
to report directly to the Vice President, Nuclear Operations, as noted in the | |||
Fort St. Vrain license. The licensee was working activ 4 fth the NRC, making | |||
the organization changes required in the license. | |||
2.4.2 Plant Operations Review Connittee l | |||
The PORC function was specified by Procedure NPAP-2, "Charter for Plant | |||
Operations Peview Cona.ittee for Fort St. Vrain Nuclear Generating Station," | |||
issue 2, which impt smented the requirements of Technical Specification AC | |||
7.1.2, "Plant Oper,tions Review Conmittee (PORC), Administrative Controls." | |||
The minutes of five PORC meetings (Nos. 763-767) were reviewed. Selected | |||
personnel were interviewed regarding the PORC activities. A team member | |||
attended a PORC training / seminar ccaducted on May 11, 1988 and observed the | |||
POPC meeting (No. 777) conducted on May 12, 1988, | |||
i | |||
-26- | |||
. - _ _ _ . . | |||
- - _ . _ . - _ - - - -- - .-. ._- | |||
_ _ _ _ _ _ | |||
- | |||
. | |||
. | |||
. | |||
The FORC conducted meetings routinely at weekly intervals, generally on Tuesday | |||
afternoon. The PORC reconvened during the week, as necessary, to review other | |||
items requiring prompt attention. It was noted that although Quality Assurance | |||
Department (QAD) personnel attended the scheduled PORC meeting; they did not | |||
attend the reconvened meetings. Interviews revealed that the items reviewed by | |||
the PORC during the reconvened meetings were reviewed by QAD as part of the | |||
routine QA activities. | |||
It was also noted that the PORC review, conducted on February 20, 1988, at | |||
4:00 pm (Saturday), a reconvening of Meeting No. 765, took place by telephone | |||
and included the Chairman, three members, and two alternates - no QAD represen- | |||
tative. The review included a change notice (CN 2763), a controlled work | |||
procedure (CWP 88-0036), and a functional test (2763) associated with the D- | |||
circulator speed / cable repair and/or replacement activity. Review of the PORC | |||
minutes and interviews revealed that telephone reviews did not usually take | |||
place. However, the practice of performing telephone reviews may not meet the | |||
full intent of the TS, in that the PORC (quorum in session) meets and recomends | |||
to the Manager, Nuclear Production approval or disapproval (in writing) of | |||
items and rendered determinations in writing with regard to whether or not the | |||
item constituted an unreviewed safety question. Section 3.3.3 of NPAP-2, | |||
regarding the conduct of business, item (a), allowed the use of "telephone | |||
polls" as situations dictated. | |||
The review of reportable events was addressed in Section 4.6 of procedure | |||
NPAP-2; however, the procedure requirements were not inclusive of internally | |||
generated 10 CFR Part 21 reports. These may not be reportable under 10 CFR | |||
50.72/50.73 which were reviewed routinely by the PORC. Section 4.7 of | |||
procedure NPAP-2 addressed the forwarding of other matters to the PORC for | |||
review, including 10 CFR Part 21 reports, as part of the review of facility | |||
operations to detect potential nuclear safety hazards. The review of | |||
proceaure G-8, "Compliance With 10 CFR 21 Requirements," revealed that the - | |||
procedure did not specifically address the PORC review of the 10 CFR Part 21 | |||
reports. Interviews indicated that 10 CFR Part 21 reports were reviewed routinely | |||
by the PORC. | |||
The review of the PORC meeting minutes revealed that the documentation of the | |||
matters discussed could be more comprehensive in order to provide a better | |||
independent review of the PORC activities by other PORC members and alternates, | |||
NFSC members and NFSC alternates, and QAD auditors. Furthermore, it appeared | |||
that the number of questions documented in the NFSC minutes regarding the | |||
subject matter documented in the PORC minutes, could have been reduced by | |||
improving the content of the PORC minutes. | |||
The review of PORC minutes and interviews with license personnel revealed that | |||
the PORC was reviewing plant procedures as required by Technical Specifications | |||
utilizing a memorandum from the associated department; however, the PORC | |||
charter, NPAP-2. Section 4.1, noted that the "existing procedures... reviewed | |||
by PORC in accordance with SHAP-11." Procedure SMAP-11 was deleted on | |||
December 1, 1986. | |||
The review of PORC minutes and discussions revealed that the PORC minutes were | |||
not provided routinely to all members and alternate members of the PORC for | |||
their review and coment. The minutes were only provided to those persons who | |||
attended the specific PORC meeting. | |||
-27- | |||
.. _ | |||
- | |||
. | |||
. | |||
4 | |||
2.4.3 Nuclear Facility Safety Committee l | |||
The NFSC function was specified by the "Charter for the Nuclear Facility Safety | |||
Comittee for Fort St. Vrain Nuclear Generating Station", Issue 5, implementing | |||
the requirements of Technical Specification AC 7.1.3, "Nuclear Facility Safety | |||
Comittee (NFSC), Administrative Controls." The minutes of six NFSC meetings | |||
(Nos. 108-113) were reviewed. Selected personnel were interviewed regarding | |||
the NFSC activities. | |||
The NFSC charter addressed the requirements of the Technical Specification and | |||
contained liberal of guioance to assist in the performance of the NFSC activi- | |||
ties. The review of the NFSC charter and the NFSC minutes revealed that the | |||
NFSC charter appeared to have recently been substantially improved. The charter | |||
addressed two specific subcomittees formed to assist in the area of licensed | |||
activities: Special Test Review Subcomittee and the Startup Test Review | |||
Subcomittee. Also an NFSC QA Subcomittee was established to perform | |||
the required NFSC audits in concert with the QAD. The performance of the | |||
required audits under the cognizance of the NFSC routinely included NFSC members | |||
The practice of using NFSC members as auditors was | |||
' | |||
as part of the audit team. | |||
considered a strength as the technical content of the audits appeared to be | |||
good and NFSC members were more closely involved in the independent overview | |||
of facility departments. I | |||
The NFSC charter, Section 10.0, addressed the meeting frequency requirements | |||
of at least once each six months; however, reviews and discussions revealed | |||
that the meetings were scheduled and conducted more frequently than required. | |||
Additionally, the NFSC meetings were held on site at the visitor's center in | |||
most cases, providing access to the meetings by the plant staff. Document | |||
review and discussions revealed that the minutes were routinely provided to all | |||
the hFSC members and alternates for review and comment, even if the persons had | |||
not attended the scheduled meeting. | |||
Review of the NFSC minutes and discussions indicated that the NFSC appeared to | |||
be a strong independent review group. At times, NFSC personnel asked many | |||
questions; answering these questions apparently required substantial effort. , | |||
The questions, at times, were asked because the PORC minutes provided to the ' | |||
NFSC did not include complete information. As noted previously, this area | |||
could possibly be improved to obtain more effective, efficient, and timely | |||
NFSC reviews. Overall, the NFSC appeared to be an aggressive review group. | |||
The NFSC conducted telephone polls (voting) on a limited basis. Section 4.2.8 | |||
of the NFSC charter allowed voting by telephone, when "it is desirable to | |||
expedite the voting action." The item or document in question was identified | |||
in the minutes of the next NFSC ineeting. The review of minutes and discussions | |||
confirmed the practice. | |||
The review of reportable events (LERs) and Part 10 CFR 21 reports was required | |||
by Section 43 of the NFSC charter. The review of procedure G-8, "Compliance | |||
With 10 CFR 21 Requirements " evealed that the procedure did not specifically | |||
address NFSC review of the 10 CFR Part 21 reports. Interviews and review of the | |||
NFSC minutes revealed that 10 CFR Part 21 reports were routinely reviewed by | |||
the NFSC. | |||
, | |||
, | |||
-28- | |||
, _ . , _ _ , _ . , . . , _ - . . , , . _ . . - - _ , _ _ _ _ - . - - . . _ - , - - --- ,._ - m - | |||
- - ,-e -- | |||
. | |||
. | |||
. | |||
2.4.4 Operation Information Assessment Group | |||
The 01AG function was specified by procedure NPAP-1, "Fort St. Vrain Nuclear | |||
Generating Station Operation Infonnation Assessment Group Charter," Issue 4, | |||
implementing NUREG-0737, Item I.C.5, "Feedback of Operating Experience." The | |||
inspection revealed that the licensee had aJdressed the independent safety | |||
engineering group in correspondence to the NRC in 1980, and the licensee was | |||
not required to implement a safety engineering group, as acdressed by | |||
NUREG-0737, item I.B.1.2. Accordingly the licensae had not implemented an | |||
independent safety engineering group and the review of in-house and ou'. side | |||
operating experience was provided by the OIAG within the te:hnical services | |||
engineering group. The details of the receipt, logging, review, independent | |||
review, results reporting, and periodic 01AG program review were provided in ! | |||
procedure TSP-28. "Conduct of Technical Services Reviews for the Operating | |||
Information Assessment Group (0IAG)" Issue 3. | |||
The designated OIAG Chairperson, the OIAG Coordinator, and the OIAG Senior | |||
Engineering group provided the initial logging, screening, reviews, and | |||
distribution of information for review and consideration fur action. Document | |||
reviews and discussions revealed that, with exceptions, the OIAG program | |||
appeared to be functioning. | |||
Following the initial screening of incoming information (SOER, SERs, IENs, | |||
etc.) by the OIAG, the information was forwarded to the training department | |||
for reproduction and transmittal to the designated groups, as appropriate. | |||
The 01AG reviewed the FSV events for applicability, both in-house and external | |||
(industry), which were considered by the group routinely. The source of the | |||
FSV operating experience reports (0ERs) included licensee event reports (LERs), | |||
procedure changes, transient analysis reports, change notices, control work | |||
procedures, and facility license changes. Additionally, the OIAG had generated | |||
a number of FSV OERs, Attachment NPAP-1c, as a result of other operating | |||
events, including the circulating water pit flooding June 12, 1986 and Loop II | |||
restart /cooldown May 4, 1987. The OERs were generated in order to fully assess | |||
the events and provide appropriate feedback to the plant programs, procedures, | |||
and personnel. - | |||
During the inspection period on May 12, 1988, a reorganization of the Nuclear | |||
Production Division was announced. The OIAG function was planned to be trans- | |||
ferred to the Nuclear Licensing Department. The plan was to maintain the 01AG | |||
function to ensure effective and timely review and actions regarding in-house | |||
and industry experience. Licensee actions to improve and ensure the OIAG's | |||
continuing effectiveness is an unresolved item pending further NRC Region IV | |||
review (267/88200-11). | |||
The review of the OIAG meeting minutes and other general OIAG corresponounce | |||
revealed that the OIAG reports were given a limited distribution. All | |||
appropriate managers and the Vice President, Nuclear Production /NFSC Chairman | |||
were not included. | |||
The team reviewed the OIAG processing of NRC Information Notice No. 87-25, | |||
"Potentially Significant Problems Resulting From Human Error Involving Wrong | |||
Unit Wrong Train, or Wrong Component Events." The NRC information notice was | |||
noted to be received on June 18, 1987, and was assigned a number, G-87198, for | |||
review and tracking purposes. On July 21, 1987, the OIAG coordinator noted on | |||
the OIAG review sheet (TSP-28A) that immediate attention was not required. An | |||
-29- | |||
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a | |||
independent review was noted as applicable and on July 24, 1987, the independent l | |||
reviewer noted that the actions regarding the notice was to "route to operations i | |||
FYI only." The OIAG Chairman concurrence with the above actions "route ops" was j | |||
noted on July 27, 1987. The team did not note evidence of a detailed review of | |||
the references in the notice, including NUREG-1192," An Investigation of Contribu- | |||
tors tc Wrong Unit or Wrong Train Events" (label ng); IE Infomation Notice 84-51, | |||
"Independent Verification"; IE Information Notice 84-58, "Inadvertent Defeat of | |||
, | |||
l | |||
Safety Function Caused by Human Error Involving Wrong Unit, Wrong Train, or Wrong | |||
System"; and numerous NRC AE00 reports and four supplemental reports specifically | |||
addressing the subject of the notice. The review of the overall 01AG activity | |||
revealed that, even though the reviews were being performed, the 01AG was not | |||
being fully implemented in accordance with the OIAG Charter, NPAP-1, Issue 4. | |||
Monthly meetings to review the operation of the program and ensure proper | |||
functioning were not being conducted per NPAP-1, Section 2.0. Therefore, | |||
the screening process was not being "reviewed in the regular meetings by the | |||
members" per NPAP-1, Section 3.6.1.5. | |||
Routine internal audits had not been performed "to assure that the OIAG | |||
program was functioning effectively," per NPAP 1 Section 3.6.1.7. These | |||
audits were to have been reviewed during the regular me'etings. Reviews and | |||
discussions revealed that a program review had been performed on December 29, | |||
1987, at the request of the OIAG chairperson; and a QAD audit of the 0!AG | |||
function was scheduled later in 1988. | |||
Interviews revealed that the OIAG cheirperson felt that the intent of the OIAG | |||
function was being n.et because discussions were being held routinely at the | |||
daily (morning) superintendent meeting, although the discussions were not well | |||
documented. | |||
The failure to fully implement the OIAG function per the approved charter, | |||
procedure NPAP-1 was considered a weakness. This weakness was discussed with | |||
licensee management for their consideration. | |||
2.4.5 Post-Trip Reviews | |||
, The post-trip review function was specified by procedure SHAP-7, "Post-Trip ! | |||
Reviews" Issue 6. The program / procedure provided a "consistent, comprehensive | |||
and systematic method to diagnose the causes of and conditions associated with j | |||
unscheduled reactor trips." The reviews provided the basis for making a i | |||
detemination about safe reactor restart. At the Station Manager's option, ! | |||
the procecure was used for transients other than reactor trips. ' | |||
The review of controlling procedure SMAP-7, and selected transient review | |||
packages revealed the activity to be quite comprehensive. The transient review | |||
function consisted of multiple-discipline reviews, including the shift opera- | |||
ting personnel, results engineer, technical advisor, and other plant personnel, | |||
ds appropriate. A transient review committee (TRC) review was required before | |||
restart for a Condition !! reactor trip (complicated) as was written permission | |||
from the Station Panager. The TRC reviewed all reactor trips during regularly | |||
scheduled meetings including Condition I and !! reactor trips (uncomplicated) j | |||
' | |||
although this was not required. | |||
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-30- l | |||
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The establishment of the post-trip review function appeared to be a good method | |||
for reviewing trips and provided a multi-disciplined review with some amount of | |||
independence and determination of immediate or short-term corrective actions. | |||
The ultimate responsibility for plant restart rested in all cases with the | |||
Station Manager / Manager, Nuclear Production. However, the post-trip review | |||
procedure was not fully inclusive of all plant transients but was applied at | |||
the Station Manager's option for transients other than reactor trips. The | |||
inspection revealed that some of the transients had been revie ved by the TRC; | |||
however, the review of all required transients (corrplicated) v as not a require- | |||
ment in procedure SPAP-7. This observation was discussed with licensee manage- | |||
ment for their consideration. | |||
2.4.6 Management Overview and Safety Review Weaknesses | |||
The inspection team concluded that the apparent primary contributors to the | |||
weaknesses described in paragraph 2.2 above were poor licensee management | |||
overview controls and inadequate communications between first-line supervisors | |||
and higher levels of management. This conclusion was based on interviews of | |||
personnel, observations of maintenance and surveillance testing activities in | |||
progress, and the noted weak procedural guidance available. | |||
2.5 Corrective Action Programs | |||
The team reviewed the implementation of the F8V quality assurance program | |||
relative to corrective actions taken in the following areas: | |||
- discrepant report tag (DRT) | |||
- ongoing activities related to maintenance and repair initiation and | |||
disposition of nonconformance reports (NCRs) internal audit findings | |||
- operating events. | |||
The review included discussions with knowledge personnel perfoming the work, | |||
review of records in document control, and attendance at post-trip reviews and | |||
outage scheduling meetings. | |||
i | |||
2.5.1 Discrepant Report Tags - Initiation and Disposition | |||
The licenste uses DRTs to identify equipment and component problems requiring | |||
corrective action or repair. The most recent NRC Systematic Assessment of | |||
Licensee Performance (SALP) 50-267/87-06 discussed prior problems with the | |||
licensee's inadequate and slow corrective' actions. The team reviewed the | |||
following DRTs to determine the effectiveness and timeliness of the corrective | |||
action applied. | |||
(1) DRT 11853 was affixed to the low-pressure separator pump motor, that | |||
separated helium and water. The relevant SSR 88502740 was initiated on ) | |||
May 4, 1988 to identify that the pump motor was running roughly. | |||
Corrective action isolated the purrp, replaced the motor bearings, and set | |||
the flow per procedure SR 5.4.9-A1. This equipment was a | |||
non-safety-related item (NRI). | |||
(2) ORT 005604 was affixed to an NRI pressure differential transmitter used | |||
to monitor the moisture level in the helium cooling medium. SSR 87507903 | |||
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, | |||
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, | |||
, | |||
was initiated on August 6,1987 to replace the existing flexible hose | |||
connecting the condulet and the instrument with a longer hose. | |||
(3) Internal leaka | |||
vessel (PCPV)pipege from | |||
cavitythe | |||
airbottom | |||
handling of unit | |||
the prestressed concrete | |||
resulted in DRT reactor | |||
005610. SSR | |||
87508684 was initiated August 18, 1987 to open the unit, investigate the | |||
leak, and repair was required. This was an NRI. | |||
(4) The inboard and outboard mechanical seal of the safety-related cooling | |||
water pump IC, Loop 11 leaked in excess of 30 drops per minute. DRT | |||
002182, dated May 11, 1988 was affixed to this equipment. SSR 87508759 | |||
identified this as a safety-related component and included corrective | |||
action to replace both mechanical seals. The technical specifications | |||
required that at least one cooling water pump must be operating in each | |||
of the two PCRV cooling water loops during the reactor at power level | |||
(LC0 4.2.13). The SSR required post-maintenance testing per procedure SR | |||
RE-55-X. | |||
Review of the above DRTs and SSRs, and subsequent discussions with the | |||
cognizant planning and scheduling personnel indicated that in these instances, | |||
the delay in implementing the corrective action was justifiable. , | |||
2.5.2 Ongoing Activities Related to Maintenance and Repair | |||
The team observed maintenance activities in progress for two thermowell repairs | |||
and maintenance on feedwater trim valves. As discussed in Section 2.2.3.1 of | |||
this report, the procedures and practices applied to these activities were | |||
considered unacceptable by the team. | |||
Although some of the activities were subject to QC inspection, no action had | |||
been taken by QC inspection personnel to question or stop obviously | |||
noncomforming activities. These matters were ultimately brought to the | |||
attention of the Plant Manager who promptly stopped the work. The team | |||
subsequently interviewed a QC inspector involved with the work to evaluate the | |||
awareness and effectiveness of "stop work" practices and implementation in the | |||
current context. 'The QC inspector referred the team to the requirements | |||
regarding "stop work" in paragraph 4.4 of procedure P-12. "Plant Maintenance," | |||
Issue 5. The QC Manager referred the team to another procedure MPRM-13 | |||
"Stop Work," Issue 2. The team determined from review of these procedures | |||
that they did not provide adequate guidance or the necessary authority to | |||
enable on-site QC inspectors and supervisors to exercise "stop work" actions | |||
when field conditions warranted. The FSV QA manager concurred with the team | |||
that the existing procedures could not be effectively implemented and agreed | |||
to develop a procedure to implement "stop work" and to train the FSV staff in | |||
its implementation. Completion of these actions is an unresolved item pending | |||
further NRC Region IV review (267/88200-12). | |||
2.5.3 Initiation and Disposition of Nonconformance Reports | |||
Ncnconformance Reports (NCRs) were initiated to document nonconforming | |||
conditions and to specify and document actions to restore conformance. The | |||
tean reviewed the hCR file in the document room to determine any trend in the | |||
repair of safety-related thermowells and bearing water WYE strainers. The | |||
,,leam determined that NCRs 85-042 and 85-043 were initiated in 1985 to extract | |||
thermocouple remnants from thermowells. NCRs87-607, 88-002, and 88-003 cealt | |||
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with the repair of bearing water WYE strainer baskets. The NCR form did not | |||
contain provisions to evaluate and document root cause analyses and corrective | |||
action to preclude repetition. Administrative Procedure Q-15, "Nonconformance | |||
Reports," Issue 7, which addressed nonconformances did not require these | |||
provisions for the resolution of NCRs. Administrative Procedure Q-16 | |||
"Corrective Action System," Issue 8, which addressed corrective action, | |||
however, provided for these elements in the resolution of Quality Deficiency | |||
Reports, (QDRs) Corrective Action Requests (CARS) and Corrective Action | |||
Request Programs (CARP) but not for NCRs. | |||
NCRs 85-867, 86-608, and 85-998 which dealt with discrepancies in procurement | |||
and installation of thermocouples were reviewed and determined to be | |||
adequately resolved. The QA manager stated that Administrative Procedures | |||
Q-15 and Q-16 would be revised to include provisions to document root cause | |||
analysis and actions taken to prevent recurrence. Completeness of these | |||
licensee actions is an unresolved item pending further NRC Region IV review | |||
(267/89200-13). | |||
An elaborate computerized NCR status keeping system was in place to track and | |||
trend future NCRs. However, key words or other similar provisions were not | |||
established to code the NCRs prior to entry to facilitate the retrieval and | |||
trend analysis of NCRs on the same subject. | |||
2.5.4 Internal Audit Findings | |||
The team reviewed a sample of QA audit reports (below) finding that the audits | |||
were well planned, checklists were used where applicable, and adverse audit | |||
findings were adequately documented in the form of QDRs, CARS, and CARPS. | |||
Licensee followup and corrective actions were considered acceptable. The team | |||
performed detailed reviews of the folicwing: | |||
(1) Audit-QAC-87-1209 had been performed during September / October 1987 for | |||
activities rel md to preventive maintenance (PM), training and qualifica- | |||
tions, adequa , of maintenance procedures, and associated action to | |||
correct previsusly identified noncompliance with regulatory requirements. | |||
As a result of this audit, one CAR, seven QDRs and twenty improvements | |||
items (IIs)wereinitiated. The audits and licensee corrective actions . | |||
were considered acceptable. | |||
(2) Audit QAC-86-18E2 was performed during July through September 1986 of | |||
activities related to independent reviews of analyses, record keeping. | |||
clarification of surveillance intervals, an apparent reactivity anomaly, . | |||
validity of input data, and inconsistencies in surveillance procedures. l | |||
Thirteen CARS were issued for the audit findings identified during this | |||
audit. The dispositions of CARS 148, 150, 159, 160, 161, and 167 were | |||
reviewed during this inspection. The licensee actions taken to correct | |||
the conditions identified were considered acceptable. | |||
(3) Review of Corrective Action Program (CARP-88-01) Audit Report | |||
This audit was performed in March, 1988 to evaluate and reasses the | |||
, | |||
overall quality assurance program for corrective action. The audit | |||
identified one CAR and three !!s. The CAR identified the need for | |||
programmatic controls for the adequate resolution of externally generated | |||
10 CFR Part 21 reports. The ils related to programmatic changes to | |||
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improve the efficiency of the 10 CFR Part 21 revied process so that they I | |||
can be resolved in a timely manner. The audit also reviewed the actions ! | |||
taken on CARP-87-02 performed in October 1987. Review of the results of | |||
the audit indicated that a conscientious effort was being made to resolve | |||
- | |||
items that degrade quality. | |||
2.5.5 Corrective Action for Operating Events | |||
The team reviewed the licensee analyses of two operating events that occurred | |||
on April 7 and May 6, 1988 and and the actions taken to preclude recurrence. | |||
The team members attended one Transient Review Comittee briefing and | |||
discussed the analyses with knowledgeable system engineers. The results of | |||
the review indicated that the analyses identified the probable causes of the | |||
events and corrective action was completed in most of the cases before startup. ; | |||
(1) Operating Event - Unplanned Release | |||
On April 4,1988 with the reactor operating at approximately 74-percent | |||
full power, a disturbance of the offsite electrical power grid actuated a | |||
power / load urbalance (PLU) circuit which resulted 'n a turbine trip. The ' | |||
licensee identified that the turbine control system was unable to respond | |||
to the upset condition because of a manufacturing deficiency in the PLU | |||
circuit. During a July 1988 outage, the licensee plans to correct errors | |||
in the PLU circuit. During the cooldown, a relief valve (V6389) In the | |||
core support floor (CSF) vent line lifted, permitting unpurified helium | |||
to enter the reuctor plant ventilation exhaust system causing an unplanned | |||
release of radioactive gas. The licensee concluded that tne relief val u | |||
setpoint was too low and reset the valve from 5 to 10 psig lift pressure. | |||
CSF components were cleaned and the system restored to service. | |||
In an unrelated incident, a neoprone expansion joint in one of the | |||
circulating water lines failed and flooded both circulating water pumps. ' | |||
The failed neoprene expansion joint was replaced with one from a | |||
different manuf acturer and other questionable expansion joints in the | |||
circulating water system were inspected and replaced. | |||
(2) May 6, 1988 Transient | |||
On May 6, 1988, the event discussed below occurred at the plant. The | |||
parts of the event were independent of each other. The corrective action | |||
taken on each part of the event is also discussed. | |||
3. The B Circulator tripped at 12:32 pm and subsequently the A circulator | |||
transferred to backup bearing water from normal bearing water supply. , | |||
All the instruments associated with the B circulator trip, including I | |||
level controller LC-2135 and emergency high drain valve LV-21245, | |||
were cleaned, tested, and recalibrated where necessary. All the | |||
relays which would cause the transfer of the cooling water to the A | |||
circulator from norn,al to backup bearing water, were tested and non | |||
were observed inoperable. | |||
b. A reactor scram caused by two inaccurate temperature modifiers in | |||
the reheat system occurred. Subsequent to this transient, both | |||
individual components including themocouples and the entire loop | |||
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- . - _ - - . _ - . _ - - . --. - _-_. | |||
* | |||
. | |||
- | |||
.. | |||
, | |||
were calibrated and the loop was tested and verified to be operating | |||
properly. The calibrations of the thermocouples is discussed in | |||
paragraph 2.3. | |||
c. The radiological aspects of the transient included a purified helium | |||
compressor trip. The loop 2 buffer helium and bearing water systems | |||
were contaminated by the tripping of the purified helium compressor | |||
and the failure of the loop 2 buffer helium makeup water to transfer | |||
to the helium supply tank because the tra7sfer switch, HS-2366, was | |||
in the "normal" position instead of the "auto" position. The | |||
radioactivity in the low-pressure bottles and the bulk of unplanned | |||
release was attributed to operator error. In his haste to reduce | |||
the prestressed cor. crete reactor vessel (PCRV) helium inventory as ! | |||
fast as reasonably achievable, an operator exceeded the capabilities | |||
of the operating purification train. Most of the activity went to | |||
the the helium storage tank (LP bottles). This area was posted as a | |||
high radiation area and access to this area was restricted. | |||
d. Water that entered via circulator A became visible at 12:51 pm. It | |||
was postulated that water in the buffer-mid-buffer and main drain | |||
transmitter sense lines caused the main drain control system to | |||
erroneously raise the back pressure in the circulator bearing | |||
cartridge and forced bearing water into the PCRV. The licensee was | |||
unable to determine the cause of this part of the event. | |||
This informatien indicated that the licensee determined three of the four | |||
causes of this transient and took adequate corrective actions. | |||
l | |||
-35- | |||
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._. | |||
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.. | |||
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3.0 DP. AFT INFORMATION RELEASED to the LICENSEE | |||
During this inspection, one of the team members gave a member of the | |||
licer.see's staff a copy of some handwritten observations. Attachment B is a | |||
copy of the document that was released to the licensee. | |||
. | |||
s | |||
-36- | |||
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__ | |||
* | |||
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4.0 EXIT MEETING | |||
, | |||
' | |||
The operational safety team and other NRC representatives met with licensee | |||
personnel on May 20, 1988 to discuss the scope and findings of the inspection. | |||
Attendees at the exit meeting are identified in Attachment A. During the | |||
inspection, the team also contacted other members of the licensee's staff not | |||
identified in Attachment A to discuss issues and ongoing activities. - | |||
! | |||
: | |||
4 i | |||
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' 37 | |||
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,..* | |||
ATTACHMENT A | |||
ATTENDANCE SHEET | |||
EXIT MEETING - May 20, 1988 | |||
NAME ORGANIZATION POSITION TITLE | |||
J. E. Cummins USNRC OSTI Team Leader | |||
E. V. Imbro USNRC OSTI Assistant Team Leader | |||
C. J. Haughney USNRC Chief. Special Inspection Branch, NRR | |||
J. D. Smith USNRC Operations Engineer | |||
D. R. Hunter USNRC-RIV Senior Reactor Inspector | |||
D. A. Beckman USNRC Consultant | |||
D. B. Waters USNRC Consultant | |||
J. M. Sharkey USNRC Operations Engineer (Mechanical) | |||
K. Naidu USNRC Reactor Inspector | |||
T. F. Westerman USNRC-RIV Chief, Projects Section B | |||
P. F. Tomlinson PSC Manager, QA | |||
J. Eggebroten "C_ | |||
Technical Projects Manager | |||
M. H. Holmes PSC Nuclear Licensing Manager | |||
D. Goss PSC Nuclear Regulatory Affairs Manager | |||
P. Michavo USNRC Resident Inspector | |||
L. J. Callan USNRC Director, Div. of Reactor Proj., RIV | |||
H. O'Hagan PSC Outage Manager | |||
R. Crown PSC Nuclear Engineering Manager | |||
K. L. Heitner USNRC NRR Project Manager | |||
M. E. Deniston PSC Shift Supervisor - Audit Coordinator | |||
R. W. Williams, Jr. PSC V.P. Nuclear Operations ' | |||
C. H. Fuller PSC Manager, Nuclear Production | |||
M. Coppello PSC Central Planning & Sched. Manager | |||
L. D. Scott PSC OA Services Manager | |||
M. J. Ferris PSC QA Operations Manager | |||
F. J. Borst PSC Nuclear Training Manager | |||
N. Snyder - | |||
PSC Maintenance Department Manager | |||
H. L. Brey PSC Mgr., Nuclear Licen. & Resource Mgmt. | |||
M. Block PSC Manager, System Engineering | |||
D. W. Evans PSC Operations Manager | |||
F. J. Novachek PSC Nuclear Support Manager | |||
D. Rodgers PSC Nuclear Computer Service Manager | |||
S. Piepenbrink PSC Management QC Supervisor | |||
M. Leht PSC OA Engineering Supervisor | |||
R. Sargent PSC Asst. to V.P. Nuclear Operations | |||
A. L. Kitzman PSC Nuclear Documents Supervisor | |||
D. L. Weber PSC Asst. to Station Manager | |||
J. Gramling PSC Supervisor, Nuclear Licensing - Ops. | |||
W. M. Dender, Jr. PSC Nuclear Licensing, Coordinator | |||
L. W. Cogdill PSC Planner | |||
R. W. Moler PSC Scheduling Engineer | |||
D. Warrenbourg PSC Manager Nuclear Engineering | |||
A-1 | |||
_ _ _ _ _ _ _ _ _ _ _ _ _ | |||
. AT.TACHMENT B Pg 1 of 2 | |||
COPY OF INFORMATION RELEASED TO LICENSEE | |||
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_ ____ ___ | |||
^ | |||
AMAChMEt.T B Pg 2 of 2 | |||
;, COPY OF INFORMAT10tl RELEASED TO LICENSEE | |||
. | |||
1 | |||
* | |||
* V AtlL kh ][1 - 7.g, (y ,g gh. g | |||
" *g | |||
- | |||
4 | |||
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"b % 9 %s.b kk'W W .hu % L 9s re - d.C( % u e' - | |||
. | |||
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1 | |||
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l | |||
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1 | |||
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ATTACHMENT C j | |||
, | |||
ABBREVIATIONS AND ACRONYMS | |||
ACM alternate cooling method | |||
ANSI American National Standards Institute | |||
AEOD Analysis and Evaluation of Operational Data , | |||
ASME American Society of Mechanical Engineers | |||
CAR corrective action request ; | |||
CWP controlled work procedure | |||
discrepant report tag | |||
, | |||
DRT ' | |||
EFW emergency feedwater | |||
EP emergency procedure | |||
FSAR final safety analysis report | |||
FSV Fort St. Vrain | |||
HTGR high temperature gas-cooled reactor | |||
IAC instrumentation and controls | |||
IEN inspection and enforcement notice | |||
INP0 Institute of Nuclear Power Operations | |||
IST inservice test | |||
IV independent verification | |||
LCO limiting condition for operation | |||
LWR light water reactors | |||
MAP maintenance administrative procedure | |||
M&TE measuring and test equipment | |||
NCR nonconformance report : | |||
NFSC nuclear facility safety comittee | |||
dRI nonsafety-related item | |||
' | |||
: ISSS nuclear steam supply system | |||
0ER operating experience report | |||
DIAG operating information assessment group | |||
PCRV prestressed concrete reactor vessel | |||
PDR procedure oeviation report | |||
PM preventive maintenance . | |||
3 | |||
PORC plant operations review comittee | |||
PSC Public Service of Colorado i | |||
QA quality assurance | |||
QAD quality assurance department ; | |||
QC quality control | |||
SALP systematic assessment of licensees perfonnance | |||
> | |||
SER safety evaluation report | |||
SOAP station operators administrative procedure | |||
SOER standard operating expetence report I | |||
S0P standard operating procedure ! | |||
SR surveillance procedure requirement ! | |||
SSR station service request | |||
SVL system valve list | |||
TCR temporary configuration report | |||
TS technical specifications | |||
i | |||
i | |||
l | |||
l | |||
$ | |||
C-1 | |||
i | |||
_ _ _ . - , _ . - _ - - , _ . _ . . | |||
._--._-,_..--_,_--._._-----__.J | |||
_ - | |||
}} |
Latest revision as of 09:06, 21 December 2021
ML20155B841 | |
Person / Time | |
---|---|
Site: | Fort Saint Vrain |
Issue date: | 09/02/1988 |
From: | Beckman D, Cummins J, Haughney C, Hunter D, Imbro E, Michaud P, Naidu K, Sharkey J, James Smith, Waters D NRC OFFICE OF INSPECTION & ENFORCEMENT (IE REGION IV), Office of Nuclear Reactor Regulation, PRISUTA - BECKMAN ASSOCIATES |
To: | |
Shared Package | |
ML20155B840 | List: |
References | |
50-267-88-200, NUDOCS 8810070101 | |
Download: ML20155B841 (43) | |
See also: IR 05000267/1988200
Text
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U.S. NUCLEAR REGULATORY COMMISSION
OFFICE OF NUCLEAR REACTOR REGULATION
Division of Reactor Inspection and Safeguards
Report No.: 50-267/88-200
Docket No.: 50-267
Licensee: Public Service Company of Colorado
2420 W. 26th Avenue, Suite 15c
Denver, Colorado 80211
Inspection at: Fort St. Vrain Nuclear Generating Station
Plattsville Colorado 80651
Inspection Conducted: May 9-20, 19F8
Team Leader: hstLJf wt s
tes E. Cummins, Team Leader
na. holFS
Date
Se*nior Op ations Engineer, NRR
Team Members: _
. LL %t.syytt 64 $$
C Et gene V. Imbro, Chief, 'Igum Inspection t(
Apprai al Developmqnt S tion 2, ORIS, NRR
O .AMA)%LfW7Y A $0
,
ineer, DRIS, NRR Da'te ~
be(,Dh.'ith, ontmino Operations
a4 9/2/$9 :
J f Da't "
'
Yr Pharkey,Op,eratYigEngineer,DRIS,NRR
nm&uwis rt V2/62
aka R.Naidu.Elqctpcal ngineer, DRIS, NRR Date
'
_ +0 ( .wwurnuu Id4 9/2b8
Fwi R~. ,unter,SeniorRepto Inspector, RIV Date'
au
/N?>Z 0$
nspector, Fort St. Vrain Date '
h
9.Michaud,Rpide
-
$Y WY
Donald A. BecKman, Consultant, Prisuta-Beckman Date i
Y bb2}$4 k
h vTd B. Waters, Consultant, Prputa-Beckman ate' '
ssnciates
Other NRC personnel attending exit treeting: Leonard J. Callan, Director, l
DRP, RIV; Charles J. Haughney, Chief RSIB, DRIS; Thomas F. Westeman, Chief, ;
RPS-B, RIV; Kenneth L. Heitner Project Manager, PD4. :
Approved By: M
. J. Haughney, Chief,4pecial Inspection Branch,
9/B/7/
Dbte'
ORIS, NRR
8810070101 880916
ADOCK 050 /7
ffDR
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- TABLE OF CONTENTS
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PAGE
1.0 INSPECTION SCOPE ........................................ 1
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2. DETAILED INSPECTION FINDINGS ............................ 2
2.1 Plant Operations
2.1.1 Observation of Operations Activities .................... 2
1 2.1.2 Control Room Activities ................................. 2
2.1.3 Plant Tours and Inspections ............................. 4
q
2.1.4 Management Controls ..................................... 5
2.1.5 Procedure Reviews ....................................... 6
2.1.5.1 Emergency Operating Procedures (EPs) ................... 6 !
2.1.5.2 Standard Operating Procedures ........................... 9 l
2.1.6 Independent Verification ................................ 9 l
2.1.7 Equipment Clearances ............................ .. .... 10 h
2.1.8 Valve Mispositioning .................................... 10
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'
2.1.9 Equipment Tagging and Labeling Program .................. 11
,
2.1.10 Temporary Configuration Report Reviews .................. 11 ;
I
2.1.11 Remote Plant Shutdown ................................... 11
l
{ 2.2 Maintenance ............................................. 12 t
'
2.2.1 Maintenance Organization . .............................. 13 ;
2.2.2 Station Service Requests .. ............................. 13
2.2.3 Maintenance Activities Cbserved ......................... 14 !
2.2.3.1 Cold Reheat Steam Thermocouple Repairs .................. 14 ;
2.2.3.2 Steam Generator B-2-6 Trim Valve (TV-2228-6) Repairs .... 16
-
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2.2.3.3 HV-21243, Loop 1 Turbine Water Header l
Isolation Valve Repairs ............................... 17
'
j 2.2.3.4 Bypass Flash Tank Drain Valve Repair .................... 18
3
2.2.4 Engineering / Maintenance Interface ....................... 18
I
2.3 Surveillance Testing .................................... 19
l 2.3.1 Organization and Scheduling ............................. 19
2.3.2 Procedures .............................................. 20
l 2.3.3 Inservice Testing of Pumps and Valves ................... 21 :
1 2.3.4 Measuring and Test Equipment Inaccuracies ............... 22
2.3.5 Surveillance Activities Witnessed .......................
,
i 23 l
2.4 Management Oversight and Safety Review .................. 25 ,
'
l 2.4.1 Staffing ................................................ 26
1 2.4.2 Plant Operations Review Committee ....................... 26 ;
4 2.4.3 Nuclea r Facili ty Sa fety Comi ttee . . . . . . . . . . . . . . . . . . . . . . . 28 '
'
2.4.4 Operation Information Assessment Group .................. 29 {
2.4.5 Post-Trip Reviews ....................................... 30 l
2.4.6 Management Overview and Safety Review Weaknesses ........ 31
4
2.5 Corrective Action Programs .............................. 31
2.5.1 Discrepant Report Tags - Initiation and Disposition ..... 31 i
2.5.2 Ongoing Activities Related to Maintenance and Repair .... 32
4 2.5.3 Initiation and Disposition of Nonconformance Reports .... 32
1 2.5.4 Internal Audit Findings ................................. 33
,
2.5.5 Corrective Action on Operating Events ................... 34
J
3.0 ORAFT INFORMATION RELEASED TO THE LICENSEE .............. 36
4.0 EXIT MEETING ............................................ 37
j ATTACHMENT A - Attendance Sheet for exit meeting on May 20. 1988
ATTACHMENT B - Copy of Information Released to Licensee
ATTACRMENT C - Abbreviations and Acronyms
1
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1.0 [NSPECTIONSCOPE
The primary focus of the inspection was to assess the safe operation of the
Fort St. Vrain Nuclear Generating Station (FSV). The inspection effort was
concentrated on control room operations and activities that related to
operations and supported the safe operation of the plant. As a part of the
operations performance evaluation, the team observed approximately 120 hcurs of
shift operations, including backshift and weekend inspections, in addition to
observing operations, the team inspected the areas of maintenance, surveillance
testing, management oversight, safety review, and quality programs.
1
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2.0 DETAILED INSPECTION FIND! HGS [
2.1 Plant Operations !
!
2.1.1 Observation of Operations Activities
l
, In this portion of the inspection the team assessed the overall adequacy of the
) licensee's operational management controls program implementatior by observing [
'
plant activities continuously and in depth. A team of three ins;.ectors '
! evaluated these activities and programs by combining around-the-clock on-shift
l inspections with routine day-shift inspections. The inspection emphasized direct
- observation of the licensee's activities, rather than review of the program
content.
Control room and in-plant activities were observed around-the-clock for approxi-
i mately 120 hours0.00139 days <br />0.0333 hours <br />1.984127e-4 weeks <br />4.566e-5 months <br />. The inspectors observed key corrective maintenance, surveil- i
lance testing, and operations activities occurring during routine shifts.
l (
The team evaluated the licensee's operational activities from the cold shutdown I
mode to criticality. The inspectors observed the following activities: ,
I
(1) operations shift personnel perfonning their duties (personnel observed
,
included the shift supervisor, senior reactor operator, control room
! operators, equipment operators, and auxiliary tenders.)
1 ,
1 (2) conduct of control room operations
'
i
! (3) plant system alignments and plant startup activities
(
.
(4) placing and removing of system clearances i
(5) in-process surveillance testing i
! (6) attendance at station management's post-trip review comittee meeting
- 5
(7) plant tours to observe work in-progress and housekeeping i
(8) management's direct involvement in operational activities j
j (9) all-discipline support of plant operations.
l Plant programs and procedures reviewed by the team included:
4
1
1
1 (1) remote shutdown procedure
}
l (2) emergency operating procedures (EPs)
l
(3) standard operating procedures (SOPS)
l
(4) Independent Verification (IV) Program
l (5) controlled drawings
s
(6) Temporary Configuration Program controls
]
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(7) overtime controls for operations, mechanical, and electrical maintenance
groups
>
(8) equipment clearance and operation deviation reports
j (9) equipment tagging and labeling program.
2.1.2 Control Room Activities
The team observed the conduct of operations in the control room.
Access to the controls area was restricted as is required by procedures and
NUREG-0737, Item I.C.4. A professional atmosphere was observed in the control
room, and distractions such as music and non-job-related reading materials
<
were excluded.
Operating procedures and references, including the latest revisions and indices, ,
were readily available. Drawings in the control room were current approved
, revisions. An expanded sampling of about 170 drawings were reviewed to assess
- clarity and quality of information provided. Of the 170 drawings reviewed, 7 i
i had portions where information was either missing or very difficult to read. l
1 The drawings reviewed were Piping and Instrument Drawings PI-1 through PI-45-8
inclusive. The following problems were noted: ,
1
- PI-21-7 Valves and instruments added because of plant modifications were
very faintly indicated and equipment numbers were difficult to
discern.
- PI-21-8 Valves and instruments added because of plant modifications were very l
'
faintly indicated and equipment numbers were difficult to discern. ,
'
PI-11-1 Areas of the drawing were obscured and fuzzy. Some setpoint values l
and instrument numbers were incomplete and unreadable.
PI-31-3 Information on portions of the drawing was crowded and small text ;
- could only be read with the use of a magnifying glass. l
PI-33-1 Some valve and line numbers were unreadable.
- PI-42-2 Gray background that resulted from poor reproduction quality made l
l information unreadable, ,
! Approximately 25 EL series electrical drawings were also evaluated for read- '
j ability; no readability problems were identified. l
! The licensee advised the inspectors that this problem had been previously iden- l
tified and that actions were being taken to eventually convert the plant drawing
system to a computer-aided drafting system.
l The operators were observed to adhere to procedures and routinely referred to
j procedures during the conduct of cont'o1 room operations. The inspectors also
'
noted during observations and interviews that the operators were very knowledgeable
j dhd strived for good plant operations.
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I The coninunications between shift personnel were effective and included good ;
"
shif t turnover briefings, start-of-shif t triefings by the shif t supervisor,
and information briefings before major plant operations. The plant manager and
.
operations superintendent were frequently observed in the control room
checking the plant status and consnunicating with shift personnel. The team
considered this a strength.
A review of the shift logs revealed the following weaknesses:
]
l (1) Entries were too brief.
(2) Operations performed were not entered in some logs. However all
significant operations performed could be retrieved by reviewing the
, shif t supervisor, senior reactor operator, and reactor operator logs.
- More attention needs to be paid to log entries for all shift logs
I
including the equipment operator and equipment tender logs.
i
i Too many control board annunciators had nuisance alanns (not actual alarm ;
,
condition) for the exist'.t.9 plant operating mode. The licensee was working t
4 toward the goal of a dark annunciator board. '
2.1.3 Plant Tours and Inspections
j During the team inspection, several tours of the plant were made to observe
i plant housekeeping conditions, equipment conditions, and compliance with proce-
,
dure and program requirements. During the early portion of the inspection, the
! plant was in a shutdown condition and maintenance was ongoing in several areas
'
of the reactor building. Toward the end of the inspection period, the plant :
was in a startup condition.
! The general condition of the plant from a housekeeping perspective was very
good. Cleanliness controls were evident and containers for contaminated ;
clothing and for waste were not overly fu'l. In areas in which maintenance l
1 was not t,eing performed, materials were nd allowed to accumulate to unmanage- ;
j able levels. The team observed maintenance personnel moving through the >
- reactor building cleaning oil accumulations from components and equipment and !
I removing debris. '
N l
Several areas of concern and weaknesses noted during the tours were brought to I
l
4 the licensee's attention. The licensee addressed all of these and either i
j initiated or completed corrective action before the team left the site. These l
'
areas arc detailed below: l
l
(1) In several instances, equipment used in servicing, surveillance, or
'
maintenance activities was lying loose on the metal grating on several
levels or was stored on top of installed equipment. Examples are: pipes
used to support the moisture monitor closure flange were lying loose on
2
the deck or on top of one of the prestressed concrete reactor vessel
(PCRV) penetrations, valve wrenches were placed atop valve operators,
scaffolding materials that were not in use were not secured to the oeck,
j and ladders were not rehung on racks or fixed in place. If left
i unsecured, these items could cause damage to safety-related equipment
- during plant operation.
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(2) On level 4 of the reactor building in the cubicle containing the gas
'
blowers, several supports on a line in the vicinity of valves V-63117 and !
V-63118 were broken loose from the baseplates mounted in the floor, j
(3) On level 7 of the reactor building, fire hose rack RH7J2 was noted as not I
having all hose loops properly pinned in the rack. Upon closer inspection, ,
it was noted that the hose nozzle had a piece broken off the diffuser l
portion, which would change the spray pattern of the nozzle from its i
design.
(4) On level 5 of the reactor building, the wooden deck of a four wheel cart i
had not been painted with fire-retardant paint, as is required by
Administrative Procedure SOAP-8, "Plant Signage and Labeling Programs," f
,
issue 1. !
1 (5) The licensee had located two Scott Air-Pak bottles in clamp-type holders
on the wall next to the elevator on level 1 of the reactor building to
.
1
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2 provide backup breathing air capability in the event of a fire or
1 radiological incident. The team questioned if the restraining device for
the bottles could keep them from becoming a missile hazard if the bottles
- should fall and rupture during seismic activity. The licensee could not '
i' document the adequacy of the installation, but infortred the tearu that the
problem would be investigated and resolved. !
1 i
During a tour with one of the equipment operators, a valve was noted to be
leaking around the packing. The operator informed the team that a procedure
was in place to adjust minor packing leaks without requiring a station service ;
request and thus expedite leak reduction efforts. The procedure for control of '
this program was MAP-6, "Valve Packing Adjustrnent," Issue 2. The team reviewed !
,
this procedure and iloted that the effect of packing adjustments on stroke titres
'
for valves with operators was not addressed. It was possible that packing l
adjustments could affect the stroke time of valves required to close or open
within certain times as defined in Technical Specifications and potentially ,
a
render them inoperable. However, the team found no examples in which stroke j
time was affected. The licensee responded that it would investigate this area;
'
if stroke-time-sensitive valves could be affected by this procedure, the
program would be revised to ensure that the valves remain operable.
l
l During walkdowns with operations personnel, the team observed a sound level of '
l knowledge and familiarity with the location and operation of plant equipment,
, This gave the team confidence in the operators' ability to perform their job
, functions and to respond to abnormal occurrences.
1
2.1.4 Managetrent Controls
4
The licensee's overtime controls for the operations,trechanical, and electri-
l cal groups were reviewed. The review period covered approximately two months,
i
Only one minor deviation from Technical Specification guidelines was found.
This shows a strong comitroent to adhere to the Technical Specification
i
guidelines.
I The inspectors attended the licensee's post-trip-review comittee meeting on
May 12, 1988. The purpose of this meeting was to establish the causes of the I
events associated with the reactor trip on May 6, 1988. This review was !
conducted in accordance with procedure SMAP-7, "Fost Trip Reviews," Issue 6. l
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) This procedure required that a documented review be performed to determine the
j feasibility of a reactor restart after an unscheduled reactor trip, ,
- The intpectors observed representatives from all licensee departmeats at the
meeting, exceeding the requirenents for a quorum; personnel a:tively partici-
l pated in discussions until a consensus was reached. The n.eeting scope far i
exceeded the post-trip-review requirements. This broadly based management
involvement was considered a strength. ,
i
2.1.5 Procedure Reviews
> 2.1.5.1 Emergency Operating Procedures
The licenste's emergency operating procedures (EPs) were reviewed and emphasis
was placed on the planned revision to the emergency procedu.es to achieve :
compliance with NUREG-0737, ' Clarification of TMl Action Plan Requirements " !
and with Supplen.ent I to NUREG-0737, subtitled "Requirements for Emergency
Response Capability."
The current emergency procedures (EPs) were event oriented, and contained a l
number of events which could be reclassified as abnormal events. Procedures EP
A. "Moisture Indeakage," Issue 54, and EP B-1, "Reactor Scram," Issue 54, were '
reviewed as samples. The procedures consisted of a symptom / action matrix,
which correlated immediate actions and followup actions for the turbine (west)
i side and the reactor (east) side control room operators with symptoms obtained
l from annunciators or control board meters. The procedures contained several
l immediate action steps which the operators were required to memorize. This, in
j combinationwiththelargenumber(norethan20)ofEPs,requiredahighdegree
of operator knowledge to link the symptonis to the action steps and then iden-
r tify the event accurately in oraer to determine the followup actions.
Considering operator stress as a factor dsring off-normal events, the proce-
i dures may be difficult to apply efficiently and accurately. The licensee
acknowledged that the current procedures need to be improved and that a signi-
ficant improvement should be realized once the revised EPs are implemented.
- The program for improving the EPs was described in the licensee's letter of ;
April 10, 1987, as including the Procedurer Generation Package, a proposed j
Writer's GJide, and a Program Plan for the Integrated Validation of NUREG-0737 ,
- initiatives, hRR was then reviewing the program. The utility expected fin &l i
review and approval of the program within the next several months so that the
'
new procedures night be implemented by the end of the fourth refueling outage,
or approximately mid-1989.
a
i
The licensee intended to utilize a flowpath approach for controlling the events -
arising from an upset cor.dition as opposed to t,he symptom / action matrix. The I
i flowpaths will be syrptom oriented, and will be applied to the control of tran- j
l sient events following a reactor scram as well as the restoration of critical i
- safety functions. The critical safety function parameters will be monitored by !
, the safety parareter display system and will adoress five areas of control: l
<
reactor flux, primary system, !,econdary system, prestre1 sed concrete reactor l
vessel (FCRV) integrity, and radiation. The team reviewed the planned safety I
parameter display system inputs as well as draft flowpaths for critical safety l
function restoration and found that the nethods being employed appeared to be )
appropriate and were consistent with the approaches being taken by other
utilities. The licensee indicated that the bulk of the current EPs would be
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redefined as abnormal operating procedures and that the safe shutdown cooling I
- procedure set would be incorporated as part of the EP set,
j The licensee dedicated two individuals to the EP developrnent prcgram, one of I
i whom was an experienced shif t supervisor. The schedule for flowpath procedure !
! develcpment, revies, verification / validation, training and implementation was l
!
very aggressive. Even though the program appeared strong because of the high j
j quality of the individuals assigned to the project and the availability of
, other plant personnel who had much operational experience, additional resources j
tray be required hring the development phase to enable irnplementation of a j
quality product by the comittrent date. It was also observed that the shift l
supervisor involved in the project had been occasionally diverted from the EP l
oroject to handle other procedural problems, such as those arising from the '
recent emergency plan team inspection; such diversion could weaken the effort.
,
,
'
The adequacy of the resources assigned to the upgrading of the EPs was con- [
, sidered a ptential weakness if management does not maintain its priorities, i
i '
l As part of the emergency operating procedure reviews, the team reviewed the !
!
safe shutdown cooling procedures to assess the capability of auxiliary tenders !
, or equipnient operators to perform as operators. These procedures were not
part of the EPs, but were contained in a separate volurre cf the plant operating !
manual. However, the licensee intended to incorporate these procedures into :
! the upgraded EPs. The following procedures were reviewed' I
1 !
SSC-01, "Restoration of Power to Essential 430 Volt Busses," Revision 1
"
1 SSC-02, "Steam Line Rupture Detection and Isolation System
l (SLRDIS) Reset Procedure," Revision 1 l
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SSC-03, "Recovering From a Noncongested Cable Area Fire Resulting
l I
- in an Interruption of Forced Circulation," Revision 1 !
t
SSC-04, "Recovery From SLRDIS " Revision 1
i
)
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SSC-05, "Design Basis Earthquake /Maxirnum Tornado Recovery," Revision 1.
] l
!
- Attachment 1 to SSC-01 was a checklist for lineup of alternate cooling method '
> backfeed to essential buses which was to be performed by the auxiliary tender,
j Ouring a walkthrough of the checklist by the team and a qualified auxiliary i
j tender, a weakness was observed. The procedure step to position or verify
position of the four switches inside the 277-V lighting panel could not be
simulated because with the breaker in the, closed pcsition (as required by the
i previous step) the panel could not be operied. The licensee stated that this
! problem had been previously identified, but the procedure had not yet been
j corrected. It was observed that equipment required to accomplish the checklist
was available in the dedicated cabinet in the alternate cooling methods cubicle
I (e.g., a screwdriver and rubber safety gloves). A copy of the procedure was
j also located in the alternate cooling method cubicle for use by the operator.
1 The team noted that procedures and system drawings were strategically located
i throughout the plant, which was a strength.
)
J Attachment f to SSC-03 provided instructions for the auxiliary tender to set
j the circulator's brake and seal frorn the helium storage area, a remote manual
'
activity. During the walkthrough of this attachment for circulator 1A, a
weakness was observed because the steps to set the brake and seal require
i
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opening a locked cabinet door to gain access to the valves. The door of the l
!
cabinet was hinged on top, and had to be lifted to a position just past verti- i
! cal. The possibility existed that the door could have fallen closed and ,
! injured the operator during the activity required by the procedure, thus !
'
disatling him from completing further required actions. The licensee indicated t
I that it would investigate altering the hinging of the doors to the cabinets in
, question. The operator was observed to have the necessary key to open the
- cabinet, and a copy of Attachment 2 to SSC-03 was available to help the opera- !
- tor in the imnediate area of the valves that required tranipulation. !
! Attachment 7 to SSC-03 provided an operator aid for the equipment operator to I
'
read thermocouple temperatures from the temperature transmitter located in the j
auxiliary electrical roun, During the walkthrough of this attachment, two i
minor weaknesses were observed: (1) The Fluke thennocouple reader was not (
j located in the shift supervisor's office as referenced in the attachment but l
! was located in the control room and (2) the standard screwdriver required to j
connect tne thermocouple reader to the temperature transmitter was not dedica- 1
j ted to that specific use and was not located with the Fluke instrument. The !
-
licensee stated that the Fluke instrument had been relocated to the control [
j room to provide a more secure area for control of the instrument, but the !
l procedure had not been revised to reflect this change. The screwdriver was
I supposed to be taped to the handle of the Fluke meter, but someone had used it
j and placed it in a desk drawer in the control room. i
- Attachment 5 to SSC-04 provided instructions for installing a through flange !
4 between the firewater system and the errergency feedwater header. During a :
walkthrough of this attachment with an equipment operator, two weaknesses were {
observed: (1) Drain valve V-45947 did not have a tag and could not be verified '
'
as the correct valve and (2) the mechanical spreader referenced in steps 7
! and 10 of the procedure could not be found in the sealed toolbox dedicated to
! perfomir.g this procedure. It was observed that the platform and toolbox ,
required to perform this procedure were located near at hand and had been {
sealed against unauthorized use. '
.
t
j Attachttent 1 to SSC-03 provided a table for defeating interlocks associated !
i with valves, controllers, or other plant equipment which may become disabled '
a as a result of fire or other situations arising from plant transients. The
- required actions included pulling fuses or confiming the integrity of fuses, ,
,
installing jumpers at terminal blocks, or removing a grill cover and actuating !
relays located behind the grill. During a walkthrough of the attachment with ;
$ d senior reactor operator, three weaxnesses were observed: (1) ror Sv-210c,
the attachment required the operator to pull fuses F-254 and F-134 at 1-05;
however, fuse F-254 did not exist and (2) a dedicated supply of fuses for I
replacing blown-out fuses had not been provided; (3) the grill at the bottom
,
of panel 1-10. Bay 800 could not be removed by use of a screwdriver since
i one of the screws had been replaced by a hex head bolt. The licensee replaced
1 this bolt and other simil6r bolts in grill covers with screws, and will
{ investigate the other areas identified.
.
l It was observed that the operations personnel assisting the team in the walk-
i through were knowledgeable of the procedures, the actions required, and the
- locations of the referenced equipment.
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. - . .-.. __ __ _ _ _ _ __ . _ . _ .
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An overall weakness was failure to periodically walk through the procedures and
attachments to ensure that all required equipment was in place and ready for -
use. Licensee action to correct the above procedure and material deficiencies
,
is an unresolved item pending further review by NRC Region IV (267/88200-01).
I
2.1.5.2 Standard Operating Procedures
The team reviewed selected standard operating procedures (SOPS). These proce-
dures, as many of the other plant procedures, were undergoing major revision as i
part of the licensee's procedure upgrace programs. The procedures reviewed l
l were: l
S0P 21-01 "Helium Circulators," Revision 20
1 $0P 21-02, "Helium Circulator Auxiliary Systems " Revision 72
d "
SOP 22-01, "Steam Generators " Revision 45
"
! S0P 31, "Feedwater and Condensate Systems " Revision 43 L
S0P 32-01 "Secondary Coolant System - Feedwater Heaters," Revision 3. t
The review determined that several of the procedures, in particular 50P 21-01, }
SOP 22-02, and 50P 32-01, contained a number of valve lineup changes and >
complex activities without an associated checklist. The lack of a prepared !
checklist for these manipulations means that they must be copied from the ;
j procedure in the field, possibly introducing error. Additionally, there was
no sign-off by the operator to indicate completion of the actions nor was i
l independent verification of safety-related valve manipulations required. This I
j was considered a weakness in an otherwise satisfactory program for controlling :
i and verifying equipment position. The licensee stated that the provision of :
checklists would be investigated. Confirmation of licensee action in this
j regardisanunresolveditempendingfurtherNRCRegionIVreview(267/88200-02).
2.1.6 Independent Verification
The licensee's independent verification program was reviewed with regard
.
to implementation in the equipment clearance program, repositioning or r
reterminating equipment following surveillance testing, and positioning of l
valves and other plant equipment following outages or major work on systems. '
The licensee's independent verification program has been previously inspected ;
and found to be acceptable with respect to the requirements of NUREG-0737. j
j ltem !.C.6 (NRC Inspection Report 82-27). The team found that the surveillante
2
tests reviewed contained required steps for independent verification of criti- l
cal equipment returned to normal status if the procedure had been revised as ,
part of the procedure revision program. For those tests that have not yet l
i been revised, independent verification steps have been added by procedure I
! change when the test is performed or will be added the next time the test
j was performed.
,
l The licensee has independently verified each valve contained in the system
I valve list (SVL) for all plant systems. The SLY contained manual valves such
as isolation valves, and vent and drain valves. This was a strength because
all critical and noncritical valves woulo be independently verified anytime a
i system lineup was conducted. Valves with operators were considered "instru-
i atnts" as well as being considered operational valves (controlled by operating
1 procedures) and were not included in the SVLs. The licensee indicated that a
j system lineup would not necessarily be conducted on a system unless major work
j was performed during an outage; this implies that valves could be manipulated
i -9-
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,
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! during normal operation over an extended period without being independently j
1
verified. Hofever, there was some indication that the licensee was considering ,
{ conducting system walkdowns including independent verification on a more (
regular basis. Confirmation of licensee action in this regard is part of ,
unresolved item 267/88200-02, Section 2.1.5 of this report. ;
i SMAP-19. "Processing Equipment Clearances and Operation Deviations," Issue 7 F
1 controlled equipment removed from and returned to service. The procedure f
required independent verification that all clearance cards and auxiliary tags (
were placed properly and were removed when the work was completed; that the -
.
equipment, annunciator, or instrument had been properly isolated before work on !
1
it began and properly returned to normal before testing or returning to l
) service, and that all sealed and critical valves would be independently veri- ;
{ fied for proper resealing and correct positioning before the equipment, annun-
! ciator, or instrument was returned to service. This program was considered l
.
I acceptable and appeared to satisfy the requirements of NUREG-0737.
2.1.7 Equipment Clearances I
] r
i The team reviewed the active clearance book during preparation for plant f
] startup and identified two weaknesses associated with the proper administration I
i of the independent verification requirements of SMAP-19. "Processing Equipment !
) Clearances and Operation Deviations." On May 12, 1988 Clearance No. 21136 was ,
conpleted to place helium circulator C-2101 out of service without independent l
l verification of two valve positions. The valves were isolation anc bypass i
, valves on the non-safety-related auxiliary portion of the system, and were !
j subsequently confirmed to be in their required position. On May 15, 1988, l
< Clearance No. 21155 was completed to place the reactor building sump filters ;
- out of service without independent verification of the sump pump hand switch ;
i positions. The switches were not safety related and the hand switches were ;
i subsequently confirmed to be in their required position. In both cases, the i
i
independent verification blocks on the clearance form had not been initialed as l
I required, indicating that independent verification had not been performed for !
this equipment. '
l
f 2.1.8 Valve Hispositioning
Both the Institute of Nuclear Power Operations (INPO) and hRC had identified
concerns related to valve mispositioning incidents. The team reviewed proce- I
dure P-1, "Plant Operations," Step 4.6.4.c.1, which directed the operator in 1
the correct method of checking manual valve position. The team questioned
Training Department personnel about operator training on valve positioning for
different classes of valves, such as gate, globe, or butterfly; considerations
related to valve backseating; how to determine positions of locked or sealed
valves and ensure locks ano seals are properly applied; and other considera-
tions which have been the subject of INPO Safety Evaluation Reports and INP0
Significant Operating Event Peports. After the team reviewed auxiliary tender
and equipment oper4 tor training program materials, the licensee reported that
, the subject was not currently addressed in their training program. Training
-
deficiency report (TDR) Ko. 051388 1 was issued on May 13, 1988, to develop a
f lesson plan for auxiliary tender trainees on the subject of valve operations,
i NRC review of the training ceficiency report's resolution is an unresolved
) item pending further NRC Region IV review (267/88200-03).
I
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2.1.9 Equipment Tagging and Labeling Program
The team reviewed the licensee's equipment tagging and labeling program. The
program was controlled by plant procedure SOAP-8, "Plant Signage and Labeling
Policy " Issue 1, which controlled the identification of components, pipes,
rooms or equipment for the improvement of maintenance, operation, and perfonn-
ance. The procedure was specific in defining label or sign sizes, colors,
l method of attachment, and stendards for descriptions used on the signs.
- huREG 0700 and thP0 OP-208 were used as guidance documents in developing the
I program. Independent verification was enployed to ensure signs and labels were
applied correctly.
l The program hed been under way for approximately six months, and progress was
l evident. Problems had been identified with existing plant labels and steps had
been taken to correct them through the implementation of this program. The
operations group had worked an average of 40 to 50 hours5.787037e-4 days <br />0.0139 hours <br />8.267196e-5 weeks <br />1.9025e-5 months <br /> of overtime per week
to identify and apply signs and labels. The emphasis had been placed on
consistently identifying major safety-related valves and electrical components
such as motor control centers, as well as other equipment, components and
piping. The licensee anticipated full plant compliance with Procedure SOAP-8 by
the end of 1988.
This program was considered a strength because the licensee was acting aggres-
sively to implement this program. Personnel who had extensive plant experience,
including a retired shift supervisor, were involved in ad:ninistration of the
program and ensuring its compliance with procedures. It appeared that plant
personnel in general were highly supportive of the program and recognized its
importance to operation, maintenance, and surveillance activities.
2.1.10 Temporary Configuration Report Reviews
The team reviewed the Temporary Configuration Report (TCR) Log for completeness
in accordance with procedure SMAP-18 "Processing of Temporary Configuration
Reports," Issue 4, dated Nover.ber 19, 1987. This procedure described the
controls and steps for processing temporary changes to plant equipment. During
, this review, the inspectors found that three active TCRs, 88-03-05, 88-04-01,
l and 88-05-03, had not been entered in the TCR index. Procedure SMAP-18, step
4.1.1, required the index to be updated when a new TCR was initiated. The .
significance of an incomplete index was that lifted leads, jumpers, and other '
temporary equipment changes were tracked only by TCRs. Missed TCRs could
result in inoperable safety significant equipment. l
l
Open ICRs dating back to 1985 were found, but none of these dated TCRs were
safety significant, and a major effort to close these out was in progress.
Licensee action to ensure correctness of the TCR log and reduce the lacklog of
old open TCRs is an unresolved item pending further NRC Region !Y review
(267/88200-04).
2.1.11 Remote Plant Shutdown
,
The team reviewed the procedure for remote shutdown outside of the control
rcom. This procedure review and walkdown identified the following weaknesses:
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(1) Only the licensed operators were trained on remote shutdown every two
years. The team was concerned about the frequency of training and the
lack of training for unlicensed operators who must be used for remote
plant shutdown.
(2) Training every two years consisted of walkdown of the procedures and did [
not simulate the event by a coordinated team drill. An additional ,
weakness was that instructor involvement in the procedure walkdown was too I
cmall to evaluate the weaknesses and provide input to retraining. l
This training deficiency became even more significant if a fire was the !
cause for control room evacuation, since three operations personnel were
assigned to the fire brigade and may not be available to help with the
Additionally, no remote shutdown test has ever been perfonned. This raised I
significant concerns about the ability to integrate operation of equipment,
which has been independently tested, but not tested on an integrated basis.
Licensee attention to these weaknesses appears warranted: Inadequate training,
ninimum operations staff required for remote shutdown concurrent with a c
fire, and whether an integrated test of remote shutdown capability should be
'
perfonr.ed are an unresolved item pending further NRC Pegion !Y review ,
(267/38200-05). !
0.2 Maintenance
Themaintenanceinspectionconsistedofobservationsmade(1)during)the
licensee's performance of four corrective maintenance activities (2 reviewing
approximately30stationservicerequests(SSRs),(3)andreviewingselected
tr,aintenance procedures. On the basis of these inspection activities, the team
reached two general conclusions. First, the team was concerned about the
licensee's control of maintenance activities and the adequacy of work instruc- !
tions. Second, the tecm was impressed with the level of knowledge and skill i
'
demonstrated by the craftsmen. The toam noted an apparent relationship between
poor quality work' instructions and work being perfonned without written i
procedures. ,
After reviewing work activities and interviewing craftsmen ano supervisors,
the inspection team concluded that the first-line supervisors were well aware 6
of inadequacies in maintenance procedures and documentation of maintenance l
activities. The team further determintd that these procedure and documenta- !
tion problems had apparently not been communicated to management, nor had any j
correctise action been initiated, i
I
On the basis of oiscussions with region based personnel, recent inspection I
reports, the latest systematic assessment of licensee performance (SALP) i
report, and licensee program changes in progress, it appeared that significant ;
improvements have been recently effected to bring the maintenance progran into l
agreenent with industry standaros. These improvements, on a relative scale. :
were considerable; however, on an absolute scale, the licensee's maintenance !
program lagged behind the industry by a considerable margin. For example, the l
licensee was in the process of reestablishing the basis for the Preventive l
Maintenance program. Vendor maintenance recomet,dations, equipment operating i
history, and regulatory requircrtents were being reviewed as part of this i
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! effort. In addition, the Maintenance Superintendent stated that sophisticated '
I maintenance programs, such as predictive maintenance utilizing thennography and i
vibration analysis, were planned for the future. However, the development of
j the planned maintenance had to be complete before the improved maintenance
j progranis could be instituted, i
j The team noted a positive attitude on the part of most maintenance personnel '
contacted during this inspection. In general, maintenance technicians realized
.j that the past practice of conducting maintenance without administrative con-
trols was unacceptable. Additionally, the technicians seemed to have a feel ,
! for the relative safety importance of the equipment they were working on. They j
i stated that they relied on the SSR classification to determine the equipment's t
j safety-related classification.
2.2.1 Maintenance Organization I
h]
i
While the team was on site, the licensee reorganized the Nuclear Production
Division to produce a more streamlined division. Before the reorganization,
'
'
- the instrumentation and controls (l&C), mechanical, and electrical maintenance f
, disciplines were under two separate superintendents. The I&C technicians were !
i under the control of the Nuclear Betterment Engineering Superintendent; the .
mechanical and electrical technicians were under the control of the Maintenance l
Superintendent. The reorganization placed all three maintenance disciplines ,
.,
under the control of the Maintenance Department Manager.
2.2.2 Station Service Requests
Work was authorized, controlled, and documented for plant maintenance using the
SSR and its associated work package as described in procedure P-7, "Station
Ser;i & Request Prucessing," Issue 13. The SSR for any individual maintenance -
task consisted of a control documert and attachments, referred to as an SSR l
- work package. Documents that iccccpanied an SSR incluced: procedures, such as
controlled work procedures (CKPs) and corrective maintenance procedures; ,
special instructions, including supervisor's instructions; excerpts from
approved documentation; drawings; supporting documentation, such as
i-
nonconfonnance reports (NCRs), design changes (DCs), and other documents that
, expanded on the work plan,
J
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l Plant instrumentation and equipment that were required by the Fort St. Vrain l
! (FSV) Quality Assurance Progran to be maintained at the highest level of
1 quality attainable were classified as safety related/ enhanced quality SSRs.
l As required by Procedure F 7, these SSRs received enhanced material control, ,
maintenance, and documentation considerations per 10 CFR 50 Appendix B, the (
FSV Station License, Final Safety Analysis Report (FSAR), and other regulatory
{j documents. Procedure P-7 further stated that equipment classified as
safety-related/ enhanced quality required quality control (QC) services and
i other activity as a consequence, and completion of reviews on the $bR form ;
j otherwise not required. The equipment classification was determined by the
3 Scheduling and Planning Cepartnent with assistance from the Operations l
i Department. Procedure P-7 also defined special processes (e.g., welding,
,
]' heat treating, nondestructive examination) as requiring QA/QC.
1
) in the performance of a complicated task, a "chained" SSR could result. A I
chained SSR was defined as being supplementary to an existing SSR and was used !
!
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to direct a support activity to a primary job task. A chained SSR was denoted I
by a numerical suffix attached to the primary SSR number. As an illustration. l
a primary job task SSR would be numbered 8800500-00; a chainto SSR to this task .
would be numbered 8800500-01. !
Plant Procedure P-7 allowed the maintenance supervisor or planner at the job [
- site to make pen-and-ink changes to the SSR. if the scope of the work statenent i
was not* changed. The computerized version of the SSR did not have to be ;
updated. The team noted that the potential for losing the content of the pen. ;
- and-ink changes was considerable should the original SSR (which was also the
- fieldcopy)belost. Several of the SSRs reviewed by the team contained
j nurr.erous pen-and-ink changes. If an SSR with significant pen-and-ink changes
'
was lost or destroyed, it would be difficult or impossible to recover the ;
informa tion. Additionally, the potential existed for adding work requirenents i
- that would not be appropriately reviewed by site engineering and quality 1
i assurance personnel. l
2.2.3 Maintenance Activities Observed
The inspection team observed portions of four maintenance activities focusing
on work planning, performance, documentation, post-maintenance testing, and l
,
'
quality control effectiveness. The team reviewed the controlling administra- i
' tive procedures for these programatic areas to verify correct implementation ,
during performance of the actual work. The team's observations noted for each
observed maintenance activity are discussed in the materia.1 that follows, i
) 2.2.3.1 Cold Reheat Steam Thermocouple Repairs
Station Service Requests (SSR) 88502797. 88502827, and 88502823 were issued to
-i remove damaged themoccuples TE 2256-1. TE 2255-5, and TE 2255-3 respectively.
Thermocouples TE 2255 5 and TE 2256-1 were stuck in their thermowells and
TE 2255-3 had damaged conduit. The inspection team followed the work on the
retroval of the damaged thermocouples over the course of the onsite inspection
i period. At the time the team initially began to follow the work, themoccuple
TE 2256-1 had been electrically disconnected and the electrical leads on the
thermocouple had been removed. The work authorized to be performed under
primary jcb task SSR 88502797 is sumarized in the table that follows:
Suffix Approval Date Work Description
00 May 7, 1988 Troubleshoot current loops per drawings
referenced on attached. Note any
i
disconnections and/or reconnections
during troubleshocting. Contact I&C
Department to originate SSRs against l
l! any bad instrument.
01 May 7. 1988 Retrove/ reinstall insulation as
l required in support of Results
,
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} Engineering work. l
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02 May 8, 1988 Heat up thermowell in accordance with
map-15 in order to remove thermocouple.
l Themowell is safety-related pressure
l boundary only.
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j Suffix Approval Date Work Description
I
03 May 11, 1988 Drill out broken thermocouple as
required. ;
NOTE: Thermowell TW-2256-1 is
safety-related. Contact l&C
j Department when work completed.
1
J The team began its observation on May 11, 1988, inspecting the work described ,
in suffix 03 and following the work through completion. It is important to i
.
note that the thermocouple was classified as not safety-related and that the !
j thermowell itself was classified as safety-related. The following observations !
'
were made concerning this maintenance activity:
3 (1) The $5R work plan stated, "Remove seized section of themocouple as I
l appropriate." Maintenance technicians were observed drilling into the ;
I safety-related thermowell without having appropriate drawings of the
. thermowell; the SSR work description did not provide any information on j
'
the depth, diameter, or tolerances of the thermowell, nor did the !
! attached OC inspection sheet contain any of this information. The SSRs !
shoulo be more specific leaving less latitude and placing less reliance on '
the "skill of the craft." '
(2) Special drill bits consisting of a regular bit welded to an extension ;
,! shaf t had to be manufactured to drill out the thermowells. Apparently, '
the manufacture of the extended drill shaft was not controlled under an l
! SSP., and the material compatibility of the drill bits and thermowell l
material was not considered. i
'
(3) No procedure was provided for conducting the ost-maintenance test, '
) which was a hydrostatic test of the thermowel (seeSection2.2.4 l
of this report for a discussion of hydrostatic testing). i
I
(4) A welding roo was placed down inside the themowell and was momentarilj '
- energized using a foot switch to remove two broken drill bits from the ,
l themowell . This technique was referred to as using a "stinger." '
- Application of this special process pursuant to 10 CFR 50, Appendix B, j
i criterion IX was not controlled. Apparently, an engineering review was '
not conducted and the SSR work instructions did not address the use of ;
- a welding "stinger." The SSR did not reference site welding procedures; l
the requirements of P-7 Section 3.1.3f (QA/QC involvement during the '
i use of special processes) apparently were not observed; and the require-
i
ments of P-12. "Plant Maintenance," Issue 5, dated January 19, 1988, were
) not observed. Section 3.9.3 of P-12 required that procedures for special .
processes shall be reviewed and approved to ensure that the work was l
performed in accordance with the required specifications. Failure to
control the welding special process used for the above activities is an I
i
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unresolved item pending further hRC Region IV review (267/88200-06).
,
(5) Insufficient detail was recorded for maintenance history. The work done
,
'
portion of the SSR did not contain all infomation about the job - in !
particular, that the "stinger" was used to remove portions of the two j
broken drill bits.
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__ _ -__ _
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.
(6) Two virtually identical maintenance activities were inconsistently
classified. The work in both cases involved separating by drilling a
stuck non-safety-related thermocouph from a safety-related thermowell.
SSR 88502797 was classified as non-safety-related; SSR 88502827 was
classified as safety-related. This was significant because involvement
of the Quality Control Department was contingent on the safety-related
classification of the $$R as defined in P-7, Section 3.1.3.
(7) Inconsistent post-maintenance test requiretrents between these SSRs was
noted because the SSR classified as safety-related required a hydro-
static test but the non-safety related SSR did not require post-
maintenance testing.
(6) $$R 8850287 was amended by a pen-and-ink change in the field to include
a hydrostatic test of the thermowell. Since the original scope of the
SSR was to drill out the broken therinoccuple, a suffix to the SSR should
have Seen prepared and forn. ally reviewed,
in addition to unresolved item 267/88200-06, above, licensee actions
to correct the other maintenance pro
paragraphs 2.2.3.1(1), (2), (3), (5) gram and
, (6), implementation
(7), and (8) are anweaknesses unresolved in
item pending further hRC Region IV review (267/88200-07).
2.2.3.2 Steam Generator B-2-6 Trim Valve (TV-2228-6) Repairs
SSR 88502035 was issued to repair a body-to-bonnet leak on the valve in ques-
tion. The scope of the repair included a weld buildup and remachining of the
body-to-bonnet mating surface. The function of this valve was to regulate
feedwater flow to steam generator module B-2-6. Each steam generator module !
had an assuciated trim valve (TV-2227-1 through TV-2227-6 and TV-2228-1 thr0 ugh
TV-2228 6). By design, each trim valve was set so that, with the valve fully
shut, it would pass a minimum of 20-percent full-rated feedwater flow. To
satisfy this requirement, each trim valve was set 1-inch off the shut seat when
the valve operator was in the fully shut position.
I
The inspection team observed portions of the valve reassembly. The team was
particularly interested in how the valve was set 1-inch off the shut seat to
ensure the mininum flow requirement was satisfied. The team noted the
j following discrepancies in the performance of this maintenance task:
(1) Maintenance technicians were observed disasserbling the valve stem coupler
without written procedures controlling the valve disassembly. The main-
i
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tenance technicians had been instructed to verify the alignment of the
valve stem and the valve operator sten. This was the setting that ensured ,
steam generator module B-2-6 had adequate flow when the valve positioner
was in the fully shut position.
1
(2) Neither the work instructions nor the valve calibration data sheet
specifieo that the valve disc was required to be set 1-inch off the
shut seat with the valve operator fully shut. [
(3) Nuclear engineering personnel were unable to justify the correlation
i
between the *1-inch off the shut valve seat" design requirement and scribe
4
marks on the vahe stem and operator sten, that maintenance technicians
used to set up the valve. The scribe marks had been made sctre time in the
,
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_ _ _ _ _ _ _ _ _ m_-__ - _ _ _ _ _ _ _ _ _____.____________m _._-____________m___.._._..__.___-_.m_ _ - _ _ _ _ . . _ _ _ _ _ _ _ _ - -
- ._ _ _ _ _ - _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ . . _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ - _ _ _ - _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ - _ _ _ _ _ _ _
- .
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past and were routinely used by the maintenance technicians in setting the ,
valves. Maintenance technicians did not directly measure the "1-inch ;
l off the shut seat" requirement. Rather, the scribe marks on the valve !
stem and the operator stem were set at 5 1/2-inches apart. The date and
4
circumstances when the scribe marks were made could not be detemined,
yet the maintenance technicians relied solely on the scribe marks to
ensure that the minimum flow requirements were satisfied. Failure to ;
i maintain 20-percent flow could result in heat damage to the steam genera-
tor module.
(4) The maintenance technicians partially disassembled the valve when checking
the distance between the scribe marks, despite the absence of written ,
procedures and in the presence of a quality control inspector. The QC l
1
"
inspector did not realize that the maintenance technicians were working !
'
outside of calibration procedure, RP-900. When the NRC inspector ques- ,
tioned the maintenance technicians about the procedure they were using to
j set up the valve and the basis for the 5 1/2-inch measurement, the QC !
1 inspector stated that he had similar concerns.
'
i
l 10 CFR 50, Appendix E. Criterion V requires that procedures shall be "of a [
2
type appropriate to the circumstances and shall be accomplished in accordance ;
with these... procedures.... Instructions shall include appropriate quantitative I
1 cr qualitative acceptance criteria for determining that irportant activities (
, have been satisfactorily accomplished." It appeared to the team that these
1 requirements had not been satisfied in the performance of this maintenance task i
t because the requirement to set the valve 1-inch off the shut seat was not i
specified, the use of the scribe marks was uncontrolled and apparently without
. any technical justification, and the disassembly of the valve stem coupler was
1
also uncontrollec. Failure to provide acceptable instructions for setting the
- stem on TV-2228-6 is an unresolved item pending further NRC Region IV review ,
'
! (267/88200-08).
i ;
i 2.2.3.3 HV-21243, Loop 1 Turbine Water Header Isolation Valve Repairs !
l
SSR 88502490 was issued to repair seat leakage and body-to-bonnet leakage on I
valve HV-21243. The SSR was issued as a tracking SSR mechanism for nonconfor-
] mance report (NCR) 88 0088. Repairing the valve involved weld buildup and i
, machining affected portions of the main seat and the body-to-bonnet mating i
i surface. This valve had a history of body-to-bonnet leakage, and temporary l
I repairs had been made before the outage by injecting sealant into the affected i
I area of the mating surface. The inspection team followed portions of the valve (
) machining and reassembly. The team noted that, in conjunction with repairs '
made to valve TV 222C-6, the licensee was for the first time using FSV crafts- i
men to do the machining. In the past, the licensee had contract machinists
perform this type of repair work. The team also noted considerable involvement
,
,
!
i by the Nuclear Engineering Department in evaluating the as-found condition of
the valve internals while performing the root cause determination, j
]
1
1 During observations of this maintenance activity the team noted poor house- l
j keeping practices at the job site. Debris from lagging removal was not cleaned i
j up until several days after the lagging had been removed and with th3 system '
open to the environment. Maintenance Administrative Procedure (MAP) MAP-8,
)
- System and Con.ponent Cleanliness Requirements During Perfomance of Main-
tenance Activities," Issue 3. required that the work area be cleaned after each
J
operation that generates potential contaminants. Additionally, the valve
l internals were left unprotected and untagged on the floor. MAP-7, "Parts
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identification and Control," Issue 1 dated April 28, 1986, required that '
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maintenance personnel perfoming ths work shall ensure that component and parts
were packaged and identified as they were removed. MAP-7 elso required that :
I removed components and parts receive the required degree of protection while .
they were removed from the system. Failure to implemer.t procedures for i
cleanliness control and material control is an unresolved item pending j
i
further NRC Region IV review (267/88200-09).
l
2.2.3,4 Bypass Flash Tank Orain Valve Repair !
!
During preparations for plant startup on May 17, 1988, control room licensed i
operators experienced problems with LCV-32-17-1, the bypass flash tank drain
valve. The valve responded slowly to the demand signal and would not close
past the 40-percent open position. $$R 88502982 was issued to troubleshoot
the valve and, calibrate it if necessary, and required that the SSR be '
replanned if any other problems were detected. While troubleshooting, the ,
maintenance technicians found that the valve's instrument air pressure reducer !
had a ruptured diaphragm. The SSR was returned for replanning, the pressure !
reducer was replaced, and post-maintenance testing (stroking the valve from I
the control room) was completed satisfactorily. While observing this main- !
tenance activity the inspection team noted no discrepancies.
!'
2.2.4 Engineering / Maintenance Interface
The inspection team noted that the maintenance staff did not request
engineering involvement in non-routine or unusual naintenance activities that
could potentially compromise a safety-related system or function. For extrrple, l
.
before drilling out the themowell to remove the stuck thermocouple the main- !
tenance staff should have consulted with the engineering staff, since the i
thermowell was part of the safety related pressure boundary. Also, since no .
hydrostatic test procedure exists at fort St. Vrain, engireering personnel '
should have been asked by maintenance personiel to specify the test rig con- I
figuration tc assure that (1) it included a rslief valve to prevent overpres- !
surization of the themowell and that (2) the pressure gauge was installed in !
such a mant.er as to preclude its being isolated and potentially giving an l
erronecus reading; Engineering personnel did specify the hydrostatic test i
pressure and the curation of the test. I
t
Theteamrcytewedthreenon-conformancereports(NCRs)associatedwithmain- I
tenance activities related to the removal and replacement of themocouples !
stuck in themowells. NCR 88-127 addressed the cutting and rewelding of
thermowell TW E256-1 to retrieve pieces of a drill bit that had broken in the
themowell curing the attempt to rencve the stuck themoccuple. NCR 88-131
accressed the replacement of the original 1/4-inch-diameter thermocouple with
a 3/16-inch-diameter thermocouple because the 1/4-inch themocouple could not
be fully inserteo into the thertrewell af ter the stuck thermocouple had been
drilled out. Both NCRs88-127 and 88-131 appeared acceptable in that the
dispositions adequately addressed the technical aspects of these NCRs. hCR
88-122 contained an evaluation of the thermowells to establish an appropriatt
hydrostatic test pressure to verify that the drilling process did not
cotrpromise the integrity of the pressure boundary. Although the evaluetion
demonstrated that the hydrostatic test pressure of 3000 psig would produce
stress five tirres greater than stresses seen in normal service with a large
rargin before the thermowells were overstressed, the team noted that the
evaluation referenced versions of ANSI Standard B31.1 and ASME Boiler and
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Presst + 1 el Code Section VIII that were not comitted to in the FSAR.
Since tse tuermowell design margins were so large, this did not raise a concern i
of technical adequacy. However, the team cautioned the licensee that careless '
or inappropriate use of codes and standards not committed to in the FSAR can
lead to future concerns regarding failure to meet licensing comitments.
'
2.3 Surveillance Testing
The inspection team reviewed the licensee's program for observing the testing
requirements imposed by the Technical Specifications (TS). The review included
assessments of the responsible organizations; adequacy of procedures; accep-
tability of test resvits and rerolution of problems found during testing;
administration and scheduling of tests; and observation of test perfor ance.
2.3.1 06ganization and Scheduling
program Controls
The team reviewed the contents and implementation of administ ative procedures
applied to the Surveillance Program. The principal controls ,ere provided by
SMAP-1, "Tecnnical Specifications Surveillance Testing Program," Issue 7;
SMAP-5, "Scheduling Program for Surveillances Governed by FSV Technical
Specifications," Issue 5; and NPAP-4, "Surveillance Procedure Preparation,"
Issue 3.
Each line department (e.g., Operations, Results, Maintenance, etc.) was madt
responsible for preparing and implementing surveillance tests applicable to
their areas of expertise via several TS procedure matrices. These matrices
identified individual TS line item requirements, the corresponding implementing
procedure, procedure issue status, departmental responsibility, etc. and
provided an effective management tool for assuring satisfaction of each TS
surveillance requirement. The team found these administra+ive procedures,
matricos, and related working documentation acceptably implemented except
as noted below.
Scheduling
Surveillance test schedules were administered by the Planning ana Scheduling
Group and a Surveillance Scheduling Technician was dedicated to the task.
Computer-generated schedules were prepared weekly and the applicable test
procedures issued by the scheduling group bore a "scheduled date" and a "late ,
date" on the cover sheet of each procedure. The scheduled date was developed
from the last actual performance date and 'the late' date represented the actual
TS due date without application of TS allowed schedule tolerance (25-percent of
thesurveillanceinterval). The technician checked on test completion daily
and collected completed tests from performing departr ents. The technician also
revi v ed and signed the proceoures documenting completion, and entered the
performance data in the computer. Postponed and failed tests were similarly
tracked but were specially identified to indicate their status. These activi-
ties ware checked very closely and the intensity of the approach appeared to be
very eff ective in controlling the status of testing and assuring that tests
were completed within the intervals required by the TS. No examples of overdue
testing were identified. All examples of failed or delayed tests found by the
team were identified and were being controlled by the licensee's system. The
surveillance scheduling and accountability program was considered a strength.
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Although the mechanics of the surveillance scheduling and administration processes j
appeared to be functioning satisfactorily, one discrepancy involving definition ;
of the TS surveillance intervals was identified. SMAP-5, "Scheduling Program
for Surveillances Governed by FSV Technical Specifications," issue 5, generally
provided amplification of TS definitions and scheduling requirements. TS 2.15
defined "refueling cycle" surveillance interval as that (non-quantified)
interval between refuelings of greater than one-tenth of the core. No specific
interval in calendar time was provided. Similarly, Si4AP-5 was silent with
regard to defining or discussing refueling cycle intervals. Subsequent discus-
sion with the Manager, Nuclear Production determined that the licensee does,
however, apply the 18-month + 25-percent definition of standardized technical
specifications to the interval. The Manager, Nuclear Production stated that
the procedures would be revised to insure adequate procedure coverage.
Procedure SR 5.4.1.1.8.c-R, "Reheat Steam Temperature Scram Calibratior ," Issue
24, performed March 1987, was a refueling interval surveillance per TS. The
team noted that the entire instrument had been calibrated during March 1987,
except for the thermocouples that originated the process variable signal.
Discussions with plant managers revealed that new environmentally qualified
thermocouples had been bench calibrated upon receipt from their vendor in
December 1985 and held in storage until they were installed in late 1986 or
early 1987. Although iS 5.4.1.1.1.8.c specified a "refueling cycle" frequency, '
PSC Action Reauest No.1875 had been issued to justify deferral of themocouple
recalibration for 18 months from the date the thermocouples were first exposed
to elevated operating temperature (about April 1, 1987). The justification was
based upon information f rom the equipment vendor, the Instrument Society of
America, and PSC Engineering which indicated that the thermocouple charateris-
tics were offected only by exposure to operating temperatures and would not be
expected to drift at ambient storage or cold shutdown conditions. The team
discussed the propriety and technical basis for this deferral with the licensee
and the NRC:NRR staff, in the absence of a TS or other regulatory requirement
more quantitatively defining the refueling cycle interval and on the basis of
the licensee's technical justification, the deferral was considered acceptable.
2.3.2 Procedures
The team reviewed approximately 35 completed surveillance tests. These proce-
dures were reviewed for conformance to TS functional requirements, frequency /
test intervals, acceptability of results, and adequacy of licensee disposition
of test deficier.cies. The procedures included the general areas of plant
protection system testing, fluid system testing, fire protection, air and gas
system testing, electrical and diesel generator testing, and others. Except as
noted below, no discrepancies were identified.
the team noted that the FSV "custom TS," dating from initial plant licensing,
.~requently provided only very general requirements for functional testing of i
major systems. The licenset was in the process of rewriting surveillance
9rocedures to meet curre.t industry guidelines and had effectively interpreted
a TS to broadly apply the generalized TS requirements to not only the major
systems but also to system auxiliaries and support equipment which contributed
to the operability of the major systems. For example, the SR 5.2.20 series of !
surveillance tests for the alternate cooling method (ACM) diesel generator ;
included testing of the batteries and auxiliaries implicit in the TS require- l
nents but not explicitly listed. Similarly, Procedure SR-RE-80-X included )
calibration of ACM instruments not explicitly required by TS. The vintage of
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the TS had resulted in some limiting conditions for operation (LCOs) not having
corresponding surveillance requirements. The licensee appeared to have exten-
sively evaluated the TS for such omissions and had issued surveillance procedures
for verification of conformance with these LCOs not having discrete surveillance
requirements. This application of operability concepts was considered a
strength.
The licensee was also working with the NRC staff to develop new TSs in the
standardized TS format and expected to issue proof and review draft TSs for NRC
review shortly after this inspection. This effort was expected result in
another major surveillance procedure rewrite effort (expected sometime in
1989). The licensee appeared to have the processes in place to effectively
make the transition from custom to standardized TS.
2.3.3 Inservice Testing of Pumps and Valves
The facility's Inservice Test (IST) Program was under development at the time
of this inspection. As a high-temperature gas-cooled reactor (HTGR), FSV's
systems fall under Division 2,Section XI of the American Society of Mechanical
Engineers (ASME) Code instead of Division 1,Section XI (applicable to light
water reactors (LWRs)). Division 2,Section XI had not been approved / endorsed
by NRC and FSV had not yet implemented a full-scope IST Program.
Individual interim inservice testing requirements had been included in certain
Technical Specifications, e.g., TS 5.3.4, "Safe Shutdown Cooling Valves Surveil-
lance." Typically, these TS requirements did not specifically invoke the ASME
XI provisions but merely required "operability" or "functional" testing of
components. Although the licensee was connitter ; use the provisions of ASME
XI as guidance, no overall program description r 1mponent test matrix had
been developed. Individual test requirements were addressed only in the
individual implementing procedures. Similarly, no program for collation and
trending of equipment performance data typically required of IST programs had
been implemented. Such a progrom was under development at the time of inspec-
tion. As a result of the above ambiguities in the IST Program development,
several discrepancies were identified in implementation of the existing TS IST
requirements during review of Procedure SR 5.3.4bl-A, "Loop 1 Safe Shutdown
Cooling Power Operated Valve Tests," Issue 5, performed on April 16, 1987. TS 5.3.4 required an annual "full functional test" of the system valves and
provided progressive implementation requirements for various valve typt 3
through the cycle 5 refueling. Table 11 in this procedure listed seven sets of
valves which were identified as exempt from testing with the justifyino annota-
tion "normally operates." The same was true for the Loop 11 procedure SR 5.3.4.b2-A. None of the valves exempted by the licensee appeared to fall under i
the delayed implementation requirements of the TS nor thE exemption or deferral
provisions of the NRC safety evaluation reports of the applicable TS Amendments
Nos. 33 and 51.
On May 17, 1988, the licensee provided the team with a list of procedures
which coincidentally exercised all the valves for Loops I and 11 except for
valves HV-2153 -1 and -2, bearing water filter isolation valves. Although
these procedures did not perform preplanned testing of the valves, the licensee
considered that the coincidental operation met the requirements of their
program, processed Procedure Deviation Reports to incorporate the tests into
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SR 5.3.4.bl-A and SR 5.3.4.b2-A, and documented the test performances. The
HV-2153 valves were subsequently tested on May 12, 1988 because equivalent,
existing data was not available.
The team also requested the licensee to identify any other procedures that may
contain similar inappropriate exceptions. On May 18, 1988, the licensee advised
that Procedure SR 5.2.7 al-A, "Loop I/II Valves and Circulator Drive Tests,"
Issue 3, included an exemption for valve V-22371, emergency feedwater (EFW)
header check valves. At the end of the inspection, the licensee was evaluating
the availability of existing, coincidental test data and the applicability of
f orward/ reverse flow testing requirements for this valve. NRC review of the
results of the above licensee actions to ensure all valves subject to IST are
not improperly exempted is an unresolved item pending further NRC Region IV
review (267/88200-10).
The team considered the absence of an overall program control document to be a
major detractor from effective definition and management of the program in that
essentially no guidance had been provided to either procedure writers or test
conductors.
2.3.4 Measuring and Test Equipment Inaccuracies
As part of the licensee's post-trip review of a reactor scram occurring on May 6,
1988, control problems were identified with the reheat steam temperature control
circuits. Troubleshooting from May 6 through May 14 identified several circuit
and equipment problems. The conduct of licensee post-trip review and problems
regarding thermoccuple removal, repair, and reinstallation are discusseo in
Section 2.1.a and 2.2.3.1, respectively, of this report.
The team also revie nd the calibration-related problems with the reheat steam
temperature controls. This control loop was considered not to be safety-related
and was not subject to TS. Accordingly, it had been routinely calibrated on a
modular basis; no complete loop checks were performed which would test the
circuit from input (thermocouple output) to control output (reactor flux
control / rod movement). The circuit apparently had been operating with about a
35'F offset in actual reheat temperature vs. the demand control signal. The
licensee subsequently determined that the offset was caused by a suspected
loose lead in one of the circuit's averaging sub-loops; the licensee had
completed a full-loop circuit check and was planning to incorporate the full ;
loop check intt future calibrations. i
During this trot.bleshooting, the licensee encountered difficulties in obtaining l
stable module calibrations between bench and field calibrations. Initially,
early in the week of May 9, 1988, the digital multimeters used for testing were
suspected to have drif ted out of the manufacturer's calibration tolerances.
The loop was subsequently recalibrated using test meters known to be good.
I
On about May 16, the licensee seterm%ed that meter test leads were improperly
connected to the meter for se Er all of the reheat steam temperature control
troubleshooting and recalibration. The meters had two positive and two nega-
tive female test lead jacks for measurement of voltage, resistance, or current.
Except for current measurements, selection of any positive and negative jack
combinations was apparently acceptable and resulted in accurate measuren.ents.
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However, for current (milliamp) measurements such as used for this activity,
only one combination of jack installation was acceptable and incorrect combina-
tions can and did result in significant meter errors.
Procedure RP-A-04, "Requirements Governing the Control and Calibration of Test
Equipment and Standards," issue 6, Section 4.5, "Out of Tolerance Conditions,"
provided requirements for evaluation of prior use of out-of-calibration equip-
ment to ensure that installed instruments were recalibrated if defective test
equipment may have been used on them. When the team inquired late on May 16,
1988 about the identification and operability status of safety-related instru-
ments potentially calibrated with the affected meters, the responsible instrument
and control supervisor advised that the evaluation had not been started, even
though plant restart had initially been scheduled for May 15, 1988 had been
delayed, and was then scheduled for the night of May 16-17, 1988. The team
considered this failure to recognize the need to establish the operability and
calibration status of potentially affected safety-related instruments as a
weakness in the area of licensee management controls and attention.
Apparently as a result of the team's inquiry, the evaluation was conducted from
the evening of May 16 through May 17, 1988 and approximately 100 uses of five
meters were evaluated. Eleven cases of safety-related uses requiring calibra-
tion rechecks were identified; of these eleven, two were found to be out of
tolerance and were recalibrated. Another 11 cases of non-safety-related
uses of the meter were considered to require rechecks, and rechecks were
scheduled for the week following plant restart. The team reviewed the detailed
records used for the licensee's evaluation and found the evaluation acceptable.
2.3.5 Surveillance Activities Witnessed
i
Surveillance test performance was observed to determine that the procedures
were properly performed and satisfied the referenced TS requirements, that
coordination between plant operators and test performers was adequate, that
treasurement and test equipment was properly calibrated and applied, that test
results were pr merly acquired and evaluated, and that problems were properly
handled. The team witnessed part or all of the following surveillance tests:
SR 4.1.1.d-X, "Full Stroke Scram Test," Issue 3, May 12, 1988
SR 5.4.1.1.4.b-P, "Wide Range Power Channel Test," issue 26,
May 16, 1988
SR 5.4.9-A2, "Process Beta Monitors Calibration " Issue 26,
Section 5.5, RT 31193, "SJAE Process Flow," May 16, 1988
SR 4.1.1.1.14.a-M, "Plaht 480 Volt Power Loss Test," May 17, 1908.
All observed testing was considered satisfactory by the team except for Sk
5.4.1.1.4.b-P as further discussed below.
As previously discussed, the licensee was completing a major rewrite of TS
surveillance tests to meet current industry format and content standards,
i
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Procedure SR 5.4.1.1.4.b-P, "Wide Range Power Channel Test," functionally I
tested the logarithmic nuclear instrument channel interlocks, rod withdrawal
prohibits, and scrams. The procedure had been initially reissued as Issue 25
in the new format.
During its first performance, the licensee found that the new procedure,
prepared using the vendor's Operations and Maintenance Manual (0&M) No.
93-I-1-335, included testing of an interlock circuit which would generate a .
single channel scram when the "Wide Range Channel Level Calibrate Switch" was
'
removed from the "Operate" position. This circuit feature was not actually
installed in the plant equipment. Nonconformance Report No.88-030 identifying
the above discrepancy was issued on February 18, 1988 and was resolved to "use ;
as is" pending long-term investigation and evaluation by the licensee. The
team reviewed the licensee's NCR disposition finding that, although appearing
contradictory with respect to the controlled vendor information, the absence of
the circuit appeared to have negligible safety significance. The log level
portion of the channels did not have any normal scram or rod-withdrawal-prohibit
outputs; only the unaffected startup rate portion of the channels generated
either a scram or rod withdrawal prohibit signal. Further, the Updated Safety
Analysis Report (USAR) took no credit for any log channel scrams in the
various accident analysis scenarios of USAR, Section 14. The licensee had not
been able to cetermine when or why the circuit was deleted from the equipment
and was following up the problem with the nuclear steam supply system (NSSS)
vendor.
At the time of discovery in February, the procedure was temporarily changed
via a Procedure Deviation Report (PDR) to delete the inapplicable tests and
,
'
reconfigure the procedure for performance. On May 4-6, 1988 the procedure was
reissued as issue 26, incorporating some administrative changes in procedure
completion and signoff forms, but inadvertently reinstating the erroneous
procedure steps addressing the nonexistent scram signal. Although the proce-
dure went through the routine review and approval steps, the licensee did not
identify the error.
On the 0000-0800 shift of May 16, 1988 initial attempts to perfonn Issue 26 l
of the procedure were unsuccessful when the procedure was found to have
inadequate instructions for establishing the necessary initial conditions and
clearing existing scram signals (plant shutdown). The inapplicable level
switch scram steps had been marked "N/A" but had been left in the procedure.
During the 0800-1600 shift on the same day, the team observed a second attempt
to perform the procedure following approval of a PDR to reset the shutdown
scrams. This attempt wds initially unsuccessful because the PDR was incom-
plete. Following issuance of a second PDR to set initial conditions, the
inspector witnessed another unsuccessful attempt to calibrate the "A" channel
of the wide range power nuclear instrument. The procedure, as written, includ-
ing the inapplicable steps, did not provide a smooth, sequenced instruction and
resulted in the technician having extreme difficulty placekeeping and maintain-
ing the functional sequence of the test. For example, bistable alarms and
indicating lights from previous steps were not always reset, preventing the
technicians fror, determining whether the lights had merely remained on from
prior steps or had reflashed as a result of the current step. Similarly, the
actual system responses did not match the procedure's expected responses with
the scram interlock circuit missing. Additionally, the procedure had been l
partially signed off by the previous shift which caused some confusion fcr the
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subsequent shift continuing the procecure at the proper step. In response to
the difficulties encountered, the licensee issued PDR No.88-340 during the
evening shift of May 16, 1988, deleting the inapplicable steps and correcting
the remaining steps. The poor quality of the initial and revised procedure
had the potential for an inoperable reactor protection channel to go undetected
by the testing.
During review of other completed tests and operating procedures discussed
elsewhere, the team had also noted that several of the procedures had required
one or more PDRs to correct the originally issued versions to permit
performance. The licensee routinely issued full-page changes when a procedure
was modified by PDR, thereby reducing the chances for error inherent in issuing
piecemeal changes. However, the need to issue multiple changes to a recently
reviewed and approved procedure indicated weaknesses in the process for main-
taining accurate and current procedures.
As a result of the apparent frequency of PDR use and the performance-based
observations, the adequacy of the licensee's procedure review, validation, and
approval practices was identified as a concern to PSC management. The PSC $
Systems Engineering Manager, Results Supervisor, and others on the licensee's i
staff discussed plans for creating a Plant Operations Review Comittee proce-
dures subcomittee which was in the planning stage and which was intended to
improve the procedure publication process. These plans included a procedure
verification and validation process.
The team further reviewed the last two years' data for PDR usage, noting that
for the approximately 3690 total procedures, more than 1300 PDRs had been
issueo during calendar year 1987. In contrast, about 340 PDRs had been issued
for 1988, or roughly one-half the number issued in 1987. Although the trend
appeared to indicate a declining use of PDRs as the new format procedures
have matured, the team remained concerned that the overall procedure approval
process was weak.
l
2.4 Management Oversight and Safety Review
The general functions of conraittee activities and safety assessment were
reviewed and included the staffing, the onsite review committee, the offsite
review comittees, the operating information assessment group, and the
post-trip review activity. The review included selected procedures and records
and personnel interviews regarding the implementation of the activities. The
plant staffing appeared to be adequate and the May 12, 1988 reorganization
appeared to be a positive step toward impr,oving the operations and support of
the facility. The overall impact of the reorganiz'ation was not assessed during
the inspection. The plant operations onsi.te review comittee (PORC) activities I
appeared to be adequately implemented. The inspection revealed that the review l
function could have been more effective with regard to the use of telephone
poll (voting) reviews and the content of the PORC charter, including adequate
specific guidance for all activities.
1
The Nuclear Facility Safety Comittee (NFSC) activities appeared to be a strong l
function. Strengths included the specific use of NFSC members as technical
I
auditors in the areas of expertise and the provision of the NFSC meeting '
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minutes to all NFSC members and alternates for review and consnent, as
appropriate. Three noteworthy observations were made regarding the NFSC
dCtivities: (1) The NFSC planned to meet more frequently than once each six
months, (2) almost all meetings were conducted onsite at the visitor's center,
where the plant staff could easily attend; and (3) it was apparent from review
of the minutes and through discussions, that the NFSC was aggressive regarding
reviews.
The operating information assessment group (OIAG) activities (FSV, industry,
and NRC operating experience) appeared to be acceptable. However, the
distribution of reports of items reviewed by the 01AG and the OIAG program
status reports was, limited and did not include all the facility managers nor
the Vice President, Nuclear Operations NFSC chairman. The review of the NRC
Information hotice No. 87-25 appeared to be limited and could have been more
comprehensive (See Section 2.4.4 of this report). Finally, even though the
intent of the OIAG function may have been addressed, the 01AG activities were
not being fully implemented in accordance with the procedure requirements.
The post-trip review activities appeared to be adequately implemented. The
practice of utilizing a formal multidiscipline post-trip review of all reactor
trips and the established post-trip review concittee for reviewing all reactor
trips routinely and condition III reactor trips (complicated) prior to plant
restart was considered a good system. Procedure SMAP-7, "Post Trip Reviews,"
Issue 6, did not require all plant transients to be reviewed. The other
transients were generally being reviewed, however, at the option of the Station
Manager.
2.4.1 Staffing
The facility appeared to be adequately staffed. The licensee management was
sensitive to the potential staffing problems that could arise because the
nuclear plant had an uncertain future. The nuclear production department was
hiring acditional personnel, operators were being trained in order to obtain
an NRC operator license, and work on a limited plant simulator was progressing.
Further, a reorganization of the Nuclear Operations Department was effective
May 12, 1908. The reorgalization addressed the consolidation of engineering
activities, elevation of the training department to a division level, the
focusing of planning and scheduling activities, and the streamlining of the
nuclear production (plant) division. The Quality Assurance Division continued
to report directly to the Vice President, Nuclear Operations, as noted in the
Fort St. Vrain license. The licensee was working activ 4 fth the NRC, making
the organization changes required in the license.
2.4.2 Plant Operations Review Connittee l
The PORC function was specified by Procedure NPAP-2, "Charter for Plant
Operations Peview Cona.ittee for Fort St. Vrain Nuclear Generating Station,"
issue 2, which impt smented the requirements of Technical Specification AC
7.1.2, "Plant Oper,tions Review Conmittee (PORC), Administrative Controls."
The minutes of five PORC meetings (Nos. 763-767) were reviewed. Selected
personnel were interviewed regarding the PORC activities. A team member
attended a PORC training / seminar ccaducted on May 11, 1988 and observed the
POPC meeting (No. 777) conducted on May 12, 1988,
i
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The FORC conducted meetings routinely at weekly intervals, generally on Tuesday
afternoon. The PORC reconvened during the week, as necessary, to review other
items requiring prompt attention. It was noted that although Quality Assurance
Department (QAD) personnel attended the scheduled PORC meeting; they did not
attend the reconvened meetings. Interviews revealed that the items reviewed by
the PORC during the reconvened meetings were reviewed by QAD as part of the
routine QA activities.
It was also noted that the PORC review, conducted on February 20, 1988, at
4:00 pm (Saturday), a reconvening of Meeting No. 765, took place by telephone
and included the Chairman, three members, and two alternates - no QAD represen-
tative. The review included a change notice (CN 2763), a controlled work
procedure (CWP 88-0036), and a functional test (2763) associated with the D-
circulator speed / cable repair and/or replacement activity. Review of the PORC
minutes and interviews revealed that telephone reviews did not usually take
place. However, the practice of performing telephone reviews may not meet the
full intent of the TS, in that the PORC (quorum in session) meets and recomends
to the Manager, Nuclear Production approval or disapproval (in writing) of
items and rendered determinations in writing with regard to whether or not the
item constituted an unreviewed safety question. Section 3.3.3 of NPAP-2,
regarding the conduct of business, item (a), allowed the use of "telephone
polls" as situations dictated.
The review of reportable events was addressed in Section 4.6 of procedure
NPAP-2; however, the procedure requirements were not inclusive of internally
generated 10 CFR Part 21 reports. These may not be reportable under 10 CFR
50.72/50.73 which were reviewed routinely by the PORC. Section 4.7 of
procedure NPAP-2 addressed the forwarding of other matters to the PORC for
review, including 10 CFR Part 21 reports, as part of the review of facility
operations to detect potential nuclear safety hazards. The review of
proceaure G-8, "Compliance With 10 CFR 21 Requirements," revealed that the -
procedure did not specifically address the PORC review of the 10 CFR Part 21
reports. Interviews indicated that 10 CFR Part 21 reports were reviewed routinely
by the PORC.
The review of the PORC meeting minutes revealed that the documentation of the
matters discussed could be more comprehensive in order to provide a better
independent review of the PORC activities by other PORC members and alternates,
NFSC members and NFSC alternates, and QAD auditors. Furthermore, it appeared
that the number of questions documented in the NFSC minutes regarding the
subject matter documented in the PORC minutes, could have been reduced by
improving the content of the PORC minutes.
The review of PORC minutes and interviews with license personnel revealed that
the PORC was reviewing plant procedures as required by Technical Specifications
utilizing a memorandum from the associated department; however, the PORC
charter, NPAP-2. Section 4.1, noted that the "existing procedures... reviewed
by PORC in accordance with SHAP-11." Procedure SMAP-11 was deleted on
December 1, 1986.
The review of PORC minutes and discussions revealed that the PORC minutes were
not provided routinely to all members and alternate members of the PORC for
their review and coment. The minutes were only provided to those persons who
attended the specific PORC meeting.
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2.4.3 Nuclear Facility Safety Committee l
The NFSC function was specified by the "Charter for the Nuclear Facility Safety
Comittee for Fort St. Vrain Nuclear Generating Station", Issue 5, implementing
the requirements of Technical Specification AC 7.1.3, "Nuclear Facility Safety
Comittee (NFSC), Administrative Controls." The minutes of six NFSC meetings
(Nos. 108-113) were reviewed. Selected personnel were interviewed regarding
the NFSC activities.
The NFSC charter addressed the requirements of the Technical Specification and
contained liberal of guioance to assist in the performance of the NFSC activi-
ties. The review of the NFSC charter and the NFSC minutes revealed that the
NFSC charter appeared to have recently been substantially improved. The charter
addressed two specific subcomittees formed to assist in the area of licensed
activities: Special Test Review Subcomittee and the Startup Test Review
Subcomittee. Also an NFSC QA Subcomittee was established to perform
the required NFSC audits in concert with the QAD. The performance of the
required audits under the cognizance of the NFSC routinely included NFSC members
The practice of using NFSC members as auditors was
'
as part of the audit team.
considered a strength as the technical content of the audits appeared to be
good and NFSC members were more closely involved in the independent overview
of facility departments. I
The NFSC charter, Section 10.0, addressed the meeting frequency requirements
of at least once each six months; however, reviews and discussions revealed
that the meetings were scheduled and conducted more frequently than required.
Additionally, the NFSC meetings were held on site at the visitor's center in
most cases, providing access to the meetings by the plant staff. Document
review and discussions revealed that the minutes were routinely provided to all
the hFSC members and alternates for review and comment, even if the persons had
not attended the scheduled meeting.
Review of the NFSC minutes and discussions indicated that the NFSC appeared to
be a strong independent review group. At times, NFSC personnel asked many
questions; answering these questions apparently required substantial effort. ,
The questions, at times, were asked because the PORC minutes provided to the '
NFSC did not include complete information. As noted previously, this area
could possibly be improved to obtain more effective, efficient, and timely
NFSC reviews. Overall, the NFSC appeared to be an aggressive review group.
The NFSC conducted telephone polls (voting) on a limited basis. Section 4.2.8
of the NFSC charter allowed voting by telephone, when "it is desirable to
expedite the voting action." The item or document in question was identified
in the minutes of the next NFSC ineeting. The review of minutes and discussions
confirmed the practice.
The review of reportable events (LERs) and Part 10 CFR 21 reports was required
by Section 43 of the NFSC charter. The review of procedure G-8, "Compliance
With 10 CFR 21 Requirements " evealed that the procedure did not specifically
address NFSC review of the 10 CFR Part 21 reports. Interviews and review of the
NFSC minutes revealed that 10 CFR Part 21 reports were routinely reviewed by
the NFSC.
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2.4.4 Operation Information Assessment Group
The 01AG function was specified by procedure NPAP-1, "Fort St. Vrain Nuclear
Generating Station Operation Infonnation Assessment Group Charter," Issue 4,
implementing NUREG-0737, Item I.C.5, "Feedback of Operating Experience." The
inspection revealed that the licensee had aJdressed the independent safety
engineering group in correspondence to the NRC in 1980, and the licensee was
not required to implement a safety engineering group, as acdressed by
NUREG-0737, item I.B.1.2. Accordingly the licensae had not implemented an
independent safety engineering group and the review of in-house and ou'. side
operating experience was provided by the OIAG within the te:hnical services
engineering group. The details of the receipt, logging, review, independent
review, results reporting, and periodic 01AG program review were provided in !
procedure TSP-28. "Conduct of Technical Services Reviews for the Operating
Information Assessment Group (0IAG)" Issue 3.
The designated OIAG Chairperson, the OIAG Coordinator, and the OIAG Senior
Engineering group provided the initial logging, screening, reviews, and
distribution of information for review and consideration fur action. Document
reviews and discussions revealed that, with exceptions, the OIAG program
appeared to be functioning.
Following the initial screening of incoming information (SOER, SERs, IENs,
etc.) by the OIAG, the information was forwarded to the training department
for reproduction and transmittal to the designated groups, as appropriate.
The 01AG reviewed the FSV events for applicability, both in-house and external
(industry), which were considered by the group routinely. The source of the
FSV operating experience reports (0ERs) included licensee event reports (LERs),
procedure changes, transient analysis reports, change notices, control work
procedures, and facility license changes. Additionally, the OIAG had generated
a number of FSV OERs, Attachment NPAP-1c, as a result of other operating
events, including the circulating water pit flooding June 12, 1986 and Loop II
restart /cooldown May 4, 1987. The OERs were generated in order to fully assess
the events and provide appropriate feedback to the plant programs, procedures,
and personnel. -
During the inspection period on May 12, 1988, a reorganization of the Nuclear
Production Division was announced. The OIAG function was planned to be trans-
ferred to the Nuclear Licensing Department. The plan was to maintain the 01AG
function to ensure effective and timely review and actions regarding in-house
and industry experience. Licensee actions to improve and ensure the OIAG's
continuing effectiveness is an unresolved item pending further NRC Region IV
review (267/88200-11).
The review of the OIAG meeting minutes and other general OIAG corresponounce
revealed that the OIAG reports were given a limited distribution. All
appropriate managers and the Vice President, Nuclear Production /NFSC Chairman
were not included.
The team reviewed the OIAG processing of NRC Information Notice No. 87-25,
"Potentially Significant Problems Resulting From Human Error Involving Wrong
Unit Wrong Train, or Wrong Component Events." The NRC information notice was
noted to be received on June 18, 1987, and was assigned a number, G-87198, for
review and tracking purposes. On July 21, 1987, the OIAG coordinator noted on
the OIAG review sheet (TSP-28A) that immediate attention was not required. An
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independent review was noted as applicable and on July 24, 1987, the independent l
reviewer noted that the actions regarding the notice was to "route to operations i
FYI only." The OIAG Chairman concurrence with the above actions "route ops" was j
noted on July 27, 1987. The team did not note evidence of a detailed review of
the references in the notice, including NUREG-1192," An Investigation of Contribu-
tors tc Wrong Unit or Wrong Train Events" (label ng); IE Infomation Notice 84-51,
"Independent Verification"; IE Information Notice 84-58, "Inadvertent Defeat of
,
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Safety Function Caused by Human Error Involving Wrong Unit, Wrong Train, or Wrong
System"; and numerous NRC AE00 reports and four supplemental reports specifically
addressing the subject of the notice. The review of the overall 01AG activity
revealed that, even though the reviews were being performed, the 01AG was not
being fully implemented in accordance with the OIAG Charter, NPAP-1, Issue 4.
Monthly meetings to review the operation of the program and ensure proper
functioning were not being conducted per NPAP-1, Section 2.0. Therefore,
the screening process was not being "reviewed in the regular meetings by the
members" per NPAP-1, Section 3.6.1.5.
Routine internal audits had not been performed "to assure that the OIAG
program was functioning effectively," per NPAP 1 Section 3.6.1.7. These
audits were to have been reviewed during the regular me'etings. Reviews and
discussions revealed that a program review had been performed on December 29,
1987, at the request of the OIAG chairperson; and a QAD audit of the 0!AG
function was scheduled later in 1988.
Interviews revealed that the OIAG cheirperson felt that the intent of the OIAG
function was being n.et because discussions were being held routinely at the
daily (morning) superintendent meeting, although the discussions were not well
documented.
The failure to fully implement the OIAG function per the approved charter,
procedure NPAP-1 was considered a weakness. This weakness was discussed with
licensee management for their consideration.
2.4.5 Post-Trip Reviews
, The post-trip review function was specified by procedure SHAP-7, "Post-Trip !
Reviews" Issue 6. The program / procedure provided a "consistent, comprehensive
and systematic method to diagnose the causes of and conditions associated with j
unscheduled reactor trips." The reviews provided the basis for making a i
detemination about safe reactor restart. At the Station Manager's option, !
the procecure was used for transients other than reactor trips. '
The review of controlling procedure SMAP-7, and selected transient review
packages revealed the activity to be quite comprehensive. The transient review
function consisted of multiple-discipline reviews, including the shift opera-
ting personnel, results engineer, technical advisor, and other plant personnel,
ds appropriate. A transient review committee (TRC) review was required before
restart for a Condition !! reactor trip (complicated) as was written permission
from the Station Panager. The TRC reviewed all reactor trips during regularly
scheduled meetings including Condition I and !! reactor trips (uncomplicated) j
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although this was not required.
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The establishment of the post-trip review function appeared to be a good method
for reviewing trips and provided a multi-disciplined review with some amount of
independence and determination of immediate or short-term corrective actions.
The ultimate responsibility for plant restart rested in all cases with the
Station Manager / Manager, Nuclear Production. However, the post-trip review
procedure was not fully inclusive of all plant transients but was applied at
the Station Manager's option for transients other than reactor trips. The
inspection revealed that some of the transients had been revie ved by the TRC;
however, the review of all required transients (corrplicated) v as not a require-
ment in procedure SPAP-7. This observation was discussed with licensee manage-
ment for their consideration.
2.4.6 Management Overview and Safety Review Weaknesses
The inspection team concluded that the apparent primary contributors to the
weaknesses described in paragraph 2.2 above were poor licensee management
overview controls and inadequate communications between first-line supervisors
and higher levels of management. This conclusion was based on interviews of
personnel, observations of maintenance and surveillance testing activities in
progress, and the noted weak procedural guidance available.
2.5 Corrective Action Programs
The team reviewed the implementation of the F8V quality assurance program
relative to corrective actions taken in the following areas:
- discrepant report tag (DRT)
- ongoing activities related to maintenance and repair initiation and
disposition of nonconformance reports (NCRs) internal audit findings
- operating events.
The review included discussions with knowledge personnel perfoming the work,
review of records in document control, and attendance at post-trip reviews and
outage scheduling meetings.
i
2.5.1 Discrepant Report Tags - Initiation and Disposition
The licenste uses DRTs to identify equipment and component problems requiring
corrective action or repair. The most recent NRC Systematic Assessment of
Licensee Performance (SALP) 50-267/87-06 discussed prior problems with the
licensee's inadequate and slow corrective' actions. The team reviewed the
following DRTs to determine the effectiveness and timeliness of the corrective
action applied.
(1) DRT 11853 was affixed to the low-pressure separator pump motor, that
separated helium and water. The relevant SSR 88502740 was initiated on )
May 4, 1988 to identify that the pump motor was running roughly.
Corrective action isolated the purrp, replaced the motor bearings, and set
the flow per procedure SR 5.4.9-A1. This equipment was a
non-safety-related item (NRI).
(2) ORT 005604 was affixed to an NRI pressure differential transmitter used
to monitor the moisture level in the helium cooling medium. SSR 87507903
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was initiated on August 6,1987 to replace the existing flexible hose
connecting the condulet and the instrument with a longer hose.
(3) Internal leaka
vessel (PCPV)pipege from
cavitythe
airbottom
handling of unit
the prestressed concrete
resulted in DRT reactor
005610. SSR
87508684 was initiated August 18, 1987 to open the unit, investigate the
leak, and repair was required. This was an NRI.
(4) The inboard and outboard mechanical seal of the safety-related cooling
water pump IC, Loop 11 leaked in excess of 30 drops per minute. DRT
002182, dated May 11, 1988 was affixed to this equipment. SSR 87508759
identified this as a safety-related component and included corrective
action to replace both mechanical seals. The technical specifications
required that at least one cooling water pump must be operating in each
of the two PCRV cooling water loops during the reactor at power level
(LC0 4.2.13). The SSR required post-maintenance testing per procedure SR
RE-55-X.
Review of the above DRTs and SSRs, and subsequent discussions with the
cognizant planning and scheduling personnel indicated that in these instances,
the delay in implementing the corrective action was justifiable. ,
2.5.2 Ongoing Activities Related to Maintenance and Repair
The team observed maintenance activities in progress for two thermowell repairs
and maintenance on feedwater trim valves. As discussed in Section 2.2.3.1 of
this report, the procedures and practices applied to these activities were
considered unacceptable by the team.
Although some of the activities were subject to QC inspection, no action had
been taken by QC inspection personnel to question or stop obviously
noncomforming activities. These matters were ultimately brought to the
attention of the Plant Manager who promptly stopped the work. The team
subsequently interviewed a QC inspector involved with the work to evaluate the
awareness and effectiveness of "stop work" practices and implementation in the
current context. 'The QC inspector referred the team to the requirements
regarding "stop work" in paragraph 4.4 of procedure P-12. "Plant Maintenance,"
Issue 5. The QC Manager referred the team to another procedure MPRM-13
"Stop Work," Issue 2. The team determined from review of these procedures
that they did not provide adequate guidance or the necessary authority to
enable on-site QC inspectors and supervisors to exercise "stop work" actions
when field conditions warranted. The FSV QA manager concurred with the team
that the existing procedures could not be effectively implemented and agreed
to develop a procedure to implement "stop work" and to train the FSV staff in
its implementation. Completion of these actions is an unresolved item pending
further NRC Region IV review (267/88200-12).
2.5.3 Initiation and Disposition of Nonconformance Reports
Ncnconformance Reports (NCRs) were initiated to document nonconforming
conditions and to specify and document actions to restore conformance. The
tean reviewed the hCR file in the document room to determine any trend in the
repair of safety-related thermowells and bearing water WYE strainers. The
,,leam determined that NCRs85-042 and 85-043 were initiated in 1985 to extract
thermocouple remnants from thermowells. NCRs87-607,88-002, and 88-003 cealt
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with the repair of bearing water WYE strainer baskets. The NCR form did not
contain provisions to evaluate and document root cause analyses and corrective
action to preclude repetition. Administrative Procedure Q-15, "Nonconformance
Reports," Issue 7, which addressed nonconformances did not require these
provisions for the resolution of NCRs. Administrative Procedure Q-16
"Corrective Action System," Issue 8, which addressed corrective action,
however, provided for these elements in the resolution of Quality Deficiency
Reports, (QDRs) Corrective Action Requests (CARS) and Corrective Action
Request Programs (CARP) but not for NCRs.
NCRs85-867, 86-608, and 85-998 which dealt with discrepancies in procurement
and installation of thermocouples were reviewed and determined to be
adequately resolved. The QA manager stated that Administrative Procedures
Q-15 and Q-16 would be revised to include provisions to document root cause
analysis and actions taken to prevent recurrence. Completeness of these
licensee actions is an unresolved item pending further NRC Region IV review
(267/89200-13).
An elaborate computerized NCR status keeping system was in place to track and
trend future NCRs. However, key words or other similar provisions were not
established to code the NCRs prior to entry to facilitate the retrieval and
trend analysis of NCRs on the same subject.
2.5.4 Internal Audit Findings
The team reviewed a sample of QA audit reports (below) finding that the audits
were well planned, checklists were used where applicable, and adverse audit
findings were adequately documented in the form of QDRs, CARS, and CARPS.
Licensee followup and corrective actions were considered acceptable. The team
performed detailed reviews of the folicwing:
(1) Audit-QAC-87-1209 had been performed during September / October 1987 for
activities rel md to preventive maintenance (PM), training and qualifica-
tions, adequa , of maintenance procedures, and associated action to
correct previsusly identified noncompliance with regulatory requirements.
As a result of this audit, one CAR, seven QDRs and twenty improvements
items (IIs)wereinitiated. The audits and licensee corrective actions .
were considered acceptable.
(2) Audit QAC-86-18E2 was performed during July through September 1986 of
activities related to independent reviews of analyses, record keeping.
clarification of surveillance intervals, an apparent reactivity anomaly, .
validity of input data, and inconsistencies in surveillance procedures. l
Thirteen CARS were issued for the audit findings identified during this
audit. The dispositions of CARS 148, 150, 159, 160, 161, and 167 were
reviewed during this inspection. The licensee actions taken to correct
the conditions identified were considered acceptable.
(3) Review of Corrective Action Program (CARP-88-01) Audit Report
This audit was performed in March, 1988 to evaluate and reasses the
,
overall quality assurance program for corrective action. The audit
identified one CAR and three !!s. The CAR identified the need for
programmatic controls for the adequate resolution of externally generated
10 CFR Part 21 reports. The ils related to programmatic changes to
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improve the efficiency of the 10 CFR Part 21 revied process so that they I
can be resolved in a timely manner. The audit also reviewed the actions !
taken on CARP-87-02 performed in October 1987. Review of the results of
the audit indicated that a conscientious effort was being made to resolve
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items that degrade quality.
2.5.5 Corrective Action for Operating Events
The team reviewed the licensee analyses of two operating events that occurred
on April 7 and May 6, 1988 and and the actions taken to preclude recurrence.
The team members attended one Transient Review Comittee briefing and
discussed the analyses with knowledgeable system engineers. The results of
the review indicated that the analyses identified the probable causes of the
events and corrective action was completed in most of the cases before startup. ;
(1) Operating Event - Unplanned Release
On April 4,1988 with the reactor operating at approximately 74-percent
full power, a disturbance of the offsite electrical power grid actuated a
power / load urbalance (PLU) circuit which resulted 'n a turbine trip. The '
licensee identified that the turbine control system was unable to respond
to the upset condition because of a manufacturing deficiency in the PLU
circuit. During a July 1988 outage, the licensee plans to correct errors
in the PLU circuit. During the cooldown, a relief valve (V6389) In the
core support floor (CSF) vent line lifted, permitting unpurified helium
to enter the reuctor plant ventilation exhaust system causing an unplanned
release of radioactive gas. The licensee concluded that tne relief val u
setpoint was too low and reset the valve from 5 to 10 psig lift pressure.
CSF components were cleaned and the system restored to service.
In an unrelated incident, a neoprone expansion joint in one of the
circulating water lines failed and flooded both circulating water pumps. '
The failed neoprene expansion joint was replaced with one from a
different manuf acturer and other questionable expansion joints in the
circulating water system were inspected and replaced.
(2) May 6, 1988 Transient
On May 6, 1988, the event discussed below occurred at the plant. The
parts of the event were independent of each other. The corrective action
taken on each part of the event is also discussed.
3. The B Circulator tripped at 12:32 pm and subsequently the A circulator
transferred to backup bearing water from normal bearing water supply. ,
All the instruments associated with the B circulator trip, including I
level controller LC-2135 and emergency high drain valve LV-21245,
were cleaned, tested, and recalibrated where necessary. All the
relays which would cause the transfer of the cooling water to the A
circulator from norn,al to backup bearing water, were tested and non
were observed inoperable.
b. A reactor scram caused by two inaccurate temperature modifiers in
the reheat system occurred. Subsequent to this transient, both
individual components including themocouples and the entire loop
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were calibrated and the loop was tested and verified to be operating
properly. The calibrations of the thermocouples is discussed in
paragraph 2.3.
c. The radiological aspects of the transient included a purified helium
compressor trip. The loop 2 buffer helium and bearing water systems
were contaminated by the tripping of the purified helium compressor
and the failure of the loop 2 buffer helium makeup water to transfer
to the helium supply tank because the tra7sfer switch, HS-2366, was
in the "normal" position instead of the "auto" position. The
radioactivity in the low-pressure bottles and the bulk of unplanned
release was attributed to operator error. In his haste to reduce
the prestressed cor. crete reactor vessel (PCRV) helium inventory as !
fast as reasonably achievable, an operator exceeded the capabilities
of the operating purification train. Most of the activity went to
the the helium storage tank (LP bottles). This area was posted as a
high radiation area and access to this area was restricted.
d. Water that entered via circulator A became visible at 12:51 pm. It
was postulated that water in the buffer-mid-buffer and main drain
transmitter sense lines caused the main drain control system to
erroneously raise the back pressure in the circulator bearing
cartridge and forced bearing water into the PCRV. The licensee was
unable to determine the cause of this part of the event.
This informatien indicated that the licensee determined three of the four
causes of this transient and took adequate corrective actions.
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3.0 DP. AFT INFORMATION RELEASED to the LICENSEE
During this inspection, one of the team members gave a member of the
licer.see's staff a copy of some handwritten observations. Attachment B is a
copy of the document that was released to the licensee.
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4.0 EXIT MEETING
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The operational safety team and other NRC representatives met with licensee
personnel on May 20, 1988 to discuss the scope and findings of the inspection.
Attendees at the exit meeting are identified in Attachment A. During the
inspection, the team also contacted other members of the licensee's staff not
identified in Attachment A to discuss issues and ongoing activities. -
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ATTACHMENT A
ATTENDANCE SHEET
EXIT MEETING - May 20, 1988
NAME ORGANIZATION POSITION TITLE
J. E. Cummins USNRC OSTI Team Leader
E. V. Imbro USNRC OSTI Assistant Team Leader
C. J. Haughney USNRC Chief. Special Inspection Branch, NRR
J. D. Smith USNRC Operations Engineer
D. R. Hunter USNRC-RIV Senior Reactor Inspector
D. A. Beckman USNRC Consultant
D. B. Waters USNRC Consultant
J. M. Sharkey USNRC Operations Engineer (Mechanical)
K. Naidu USNRC Reactor Inspector
T. F. Westerman USNRC-RIV Chief, Projects Section B
P. F. Tomlinson PSC Manager, QA
J. Eggebroten "C_
Technical Projects Manager
M. H. Holmes PSC Nuclear Licensing Manager
D. Goss PSC Nuclear Regulatory Affairs Manager
P. Michavo USNRC Resident Inspector
L. J. Callan USNRC Director, Div. of Reactor Proj., RIV
H. O'Hagan PSC Outage Manager
R. Crown PSC Nuclear Engineering Manager
K. L. Heitner USNRC NRR Project Manager
M. E. Deniston PSC Shift Supervisor - Audit Coordinator
R. W. Williams, Jr. PSC V.P. Nuclear Operations '
C. H. Fuller PSC Manager, Nuclear Production
M. Coppello PSC Central Planning & Sched. Manager
L. D. Scott PSC OA Services Manager
M. J. Ferris PSC QA Operations Manager
F. J. Borst PSC Nuclear Training Manager
N. Snyder -
PSC Maintenance Department Manager
H. L. Brey PSC Mgr., Nuclear Licen. & Resource Mgmt.
M. Block PSC Manager, System Engineering
D. W. Evans PSC Operations Manager
F. J. Novachek PSC Nuclear Support Manager
D. Rodgers PSC Nuclear Computer Service Manager
S. Piepenbrink PSC Management QC Supervisor
M. Leht PSC OA Engineering Supervisor
R. Sargent PSC Asst. to V.P. Nuclear Operations
A. L. Kitzman PSC Nuclear Documents Supervisor
D. L. Weber PSC Asst. to Station Manager
J. Gramling PSC Supervisor, Nuclear Licensing - Ops.
W. M. Dender, Jr. PSC Nuclear Licensing, Coordinator
L. W. Cogdill PSC Planner
R. W. Moler PSC Scheduling Engineer
D. Warrenbourg PSC Manager Nuclear Engineering
A-1
_ _ _ _ _ _ _ _ _ _ _ _ _
. AT.TACHMENT B Pg 1 of 2
COPY OF INFORMATION RELEASED TO LICENSEE
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AMAChMEt.T B Pg 2 of 2
- , COPY OF INFORMAT10tl RELEASED TO LICENSEE
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ATTACHMENT C j
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ABBREVIATIONS AND ACRONYMS
ACM alternate cooling method
ANSI American National Standards Institute
AEOD Analysis and Evaluation of Operational Data ,
ASME American Society of Mechanical Engineers
CAR corrective action request ;
CWP controlled work procedure
discrepant report tag
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DRT '
EP emergency procedure
FSAR final safety analysis report
FSV Fort St. Vrain
HTGR high temperature gas-cooled reactor
IAC instrumentation and controls
IEN inspection and enforcement notice
INP0 Institute of Nuclear Power Operations
IST inservice test
IV independent verification
LCO limiting condition for operation
LWR light water reactors
MAP maintenance administrative procedure
M&TE measuring and test equipment
NCR nonconformance report :
NFSC nuclear facility safety comittee
dRI nonsafety-related item
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- ISSS nuclear steam supply system
0ER operating experience report
DIAG operating information assessment group
PCRV prestressed concrete reactor vessel
PDR procedure oeviation report
PM preventive maintenance .
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PORC plant operations review comittee
PSC Public Service of Colorado i
QA quality assurance
QAD quality assurance department ;
QC quality control
SALP systematic assessment of licensees perfonnance
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SER safety evaluation report
SOAP station operators administrative procedure
SOER standard operating expetence report I
S0P standard operating procedure !
SR surveillance procedure requirement !
SSR station service request
SVL system valve list
TCR temporary configuration report
TS technical specifications
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