ML20149G106

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Notice of Violation from Insp on 970504-0607.Violation Noted:Security Staff Failed to Understand Adequately & Develop Guidance Properly to Address Multiple Temporary Losses of Power to Central Alarm Station Computers
ML20149G106
Person / Time
Site: Crystal River Duke Energy icon.png
Issue date: 07/07/1997
From:
NRC OFFICE OF INSPECTION & ENFORCEMENT (IE REGION II)
To:
Shared Package
ML20149G084 List:
References
50-302-97-07, 50-302-97-7, NUDOCS 9707230010
Download: ML20149G106 (3)


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NOTICE OF VIOLATION Florida Power Corporation Docket No. 50-302 Crystal River Unit 3 License No. DPR-72 During NRC inspections conducted on May 4 through June 7,1997. violations of NRC requirements were identified. In accordance with the " General Statement of. Policy and Procedure for NRC Enforcement Actions." NUREG 1600, the i violations are listed below; i

l A. Technical S)ecification 5.6.1.1 requires that written )rocedures shall i

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be establisled, implemented, and maintained covering tie applicable

! activities recommended in Regulatory Guide 1.33. Revision 2. Appendix A.

i February 1978. Regulatory Guide 1.33. Quality Assurance Program Requirements (Operation). Appendix A. paragraph 1.d. includes l administrative procedures for procedural adherence. i l-i Licensee Compliance Procedure CP-111. Processing of Precursor Cards for  ;

l Corrective Action Program. Revision 56, specified the time allowed for l l preparing the apparent cause summary and the corrective actions for a  !

j Grade "C" precursor card (PC). Steps 4.6 and 4.11 of the procedure i i provided for extensions to the time, as long as a record of the l extension request was included in the file for the PC. Step 3.2.5.1 of I Procedure CP-111 stated that the Apparent Cause Evaluator (ACE) must be l qualified, which included receiving apparent cause training and performing ACE functions at least yearly thereafter. Step 4.3.2.1.4 of Procedure CP-111 stated that the Precursor Card Screening Committee (PCSC) designate a qualified Root Cause Team (RCT) Leader for Grade "B" l 'PCs. Ste) 4.3.2.1.1 of Procedure CP-111 stated that.the PCSC is to l grade eac1 PC in accordance with Enclosure 3. PC Grading Guidance, of l

CP-111.

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, Contrary to the above, on May 9,1997, the inspectors identified the 1 l following examples where Procedure CP-111 was not followed:

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! . The extensions for five of fifteen Grade "C" PCs reviewed (97- l l 0039. 0046. 0697. 0786 and 0867) were in violation of the l l procedural requirements in that the 20-days (total time) specified i in CP-111 was exceeded and there was no record of any extension L

requests in the applicable PC file.

e Individuals performing the ACE function for nine of the fifteen Grade "C" PCs were not-qualified in that they had not received the  !

apparent cause training. Also. for three of these nine PCs.

neither the ACE nor the approving Responsible PC Manager had i

received the apparent cause training. Also, the inspectors -!

identified one case where the RCT Leader for a Grade "B" PC (97-l 0052) was not fully qualified to perform the function of a RCT J

9707230010 970707 PDR G ADOCK 05000302 PDR

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1 Leader in that the individual had not received all the specified l l training.

For a number of the Grade "D" PCs examined (which included but was I not limited to PCs 97-0624, 97-1540. 97-1671 and 9/-1871), the i guidance listed in Enclosure 3 of CP-111 indicated that the PCs l should have been graded as a "C" in that these PCs met some I portion of the guidance for grade "C" PCs. l This is a Severity Level IV violation (Supplement 1).

B. 10 CFR'50. Appendix B. Criterion IX. Control of Special Processes, requires, in ] art, that measures shall be established to assure that 3rocesses suc1 as nondestructive testing are controlled and accomplished

)y qualified personnel using qua'!fied procedures in accordance with '

applicable codes, standards, specifications. criteria. and other special l requirements.

Contrary to the above, on May 7, 1997, the licensee failed to control and accomplish adequately planned nondestructive hydrostatic testing of l the emergency feedwater system per Modification Approval Record (MAR) 96-10-02-01 and Maintenance Procedure (MP) 137. System Hydrostatic Pressure Testing. Revision 28, in that a briefing of Operations was neither required nor routinely expected: the addendum to clearance Engineering Change Order (ECO) 97-04-026 issued for the test did not ,

incorporate requirements for protecting adjacent systems: the completed '

Maintenance Procedure 137. Enclosure 3. System Test Requirements, did not incorporate requirements for protecting adjacent systems:

engineering personnel were not involved with the planned performance of i the test: and the maintenance crew performing the test procedure did not '

recognize or understand the requirements for protecting adjacent systems.

This is a Severity Level IV Violation (Supplement 1).

C. 10 CFR 50. Appendix B. Criterion XVI. Corrective Action, recuires, in part, that measures shall be established to assure that concitions adverse to quality, such as failures, deficiencies, and deviations are promptly identified and corrected.

Contrary to the above in the following three examples, the licensee failed to correct conditions adverse to quality promptly and adequately:

1. On April 17, 1997, the security staff failed to understand adequately and develop guidance 3roperly to address the multiple temporarily losses of power to tie central alarm station computers and intelligent multiplexer:

2 '. In December 1995. engineering failed to consider the extent of

condition for the failure of a secondary alarm station i uninterruptible power supply unit that was removed because of l swollen batteries due to old age

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3. Prior to and after the December 1995 failure of a secondary alarm L station uninterruptible power supply unit, the licensee failed to establish a 3reventive maintenance program to assure all security uninterrupti)le )ower supply units would be maintained in a manner commensurate wit 1 their importance to maintaining security equipment in proper functioning order.

This is a Severity Level IV violation (Supplement 1).

Pursuant to the provisions of 10 CFR 2.201, Florida Power Corporation is hereby required to submit a written statement or explanation to the U.S.

Nuclear Regulatory Commission ATTN:. Document Control Desk, Washington, DC 20555, with a copy to the Regional Administrator, Region II, and a copy to the NRC Resident Inspector, at the Crystal River facility, within 30 days of the date of the letter transmitting this Notice of Violation (Notice). This reply should be clearly marked as a " Reply to a Notice of Violation" and should include for each violation: (1) the reason for the violation or, if contested, the basis for disputing the violation, (2) the corrective steps that have been taken and the results achieved (3) the corrective steps that will be taken to avoid further violations, and (4) the date when full compliance will be achieved. Your response may reference or include 3revious docketed correspondence, if the correspondence adequately addresses t1e required response. If an adequate reply is not received within the time l specified in this Notice, an order or demand for information may be issued as to why the license should not be modified, sus] ended, or revoked, or why such other action as may be proper should not be tacen. Where good cause is shown, consideration will be given to extending the response time.

Because your res)onse will be placed in the NRC Public Document Room (PDR), to the extent possi)1e, it should not include any personal privacy, )roprietary, or safeguards information so that it can be placed in the PDR witlout redaction. If personal privacy or proprietary information is necessary to provide an acceptable response, then please provide a bracketed copy of your response that identifies the information that should be protected and a

! redacted copy of your response that deletes such information. If you request l withholding of such material, you must s)ecifically identify the portions of your response that you seek to have withleld and provide in detail the bases for your claim of withholding (e.g. , explain why the disclosure of information will create an unwarranted invasion of personal privacy or provide the information required by 10 CFR 2.790(b) to support a request for withholding confidential ceinmercial or financial information). If safeguards information is necessary to provide an acceptable response, please provide the level of protection aescribed in 10 CFR 73.21.

Dated at Atlanta, Georgia this 7thday of July 1997 l

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