Safe Design of Building and Structures
Safe Design of Building and Structures
STRUCTURES
Draft
Code of Practice
SEPTEMBER 2011
Table of Contents
FOREWORD.................................................................................................................................... 3
SCOPE AND APPLICATION........................................................................................................... 3
1.
INTRODUCTION....................................................................................................................... 5
1.1
What is safe design?.......................................................................................................... 5
1.2
Who has health and safety duties in relation to the design of structures?..........................5
1.3
Other persons with key roles in design and construction....................................................6
1.4
What is involved in the safe design of buildings and structures?........................................7
1.5
What is the extent of the designers duty?..........................................................................9
2.
3.
4.
5.
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FOREWORD
This Code of Practice on the safe design of buildings and structures is an approved code of
practice under section 274 of the Work Health and Safety Act (the WHS Act).
An approved code of practice is a practical guide to achieving the standards of health, safety and
welfare required under the WHS Act and the Work Health and Safety Regulations (the WHS
Regulations).
A code of practice applies to anyone who has a duty of care in the circumstances described in the
code. In most cases, following an approved code of practice would achieve compliance with the
health and safety duties in the WHS Act, in relation to the subject matter of the code. Like
regulations, codes of practice deal with particular issues and do not cover all hazards or risks
which may arise. The health and safety duties require duty holders to consider all risks associated
with work, not only those for which regulations and codes of practice exist.
Codes of practice are admissible in court proceedings under the WHS Act and Regulations. Courts
may regard a code of practice as evidence of what is known about a hazard, risk or control and
may rely on the code in determining what is reasonably practicable in the circumstances to which
the code relates.
Compliance with the WHS Act and Regulations may be achieved by following another method,
such as a technical or an industry standard, if it provides an equivalent or higher standard of work
health and safety than the code.
An inspector may refer to an approved code of practice when issuing an improvement or
prohibition notice.
This Code of Practice has been developed by Safe Work Australia as a model code of practice
under the Council of Australian Governments Inter-Governmental Agreement for Regulatory and
Operational Reform in Occupational Health and Safety for adoption by the Commonwealth, state
and territory governments.
A draft of this Code of Practice was released for public consultation on 26 September 2011 and
was endorsed by the Workplace Relations Ministers Council on [to be completed].
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This Code also includes various references to provisions of the WHS Act and Regulations which
set out the legal requirements. These references are not exhaustive. The words must, requires or
mandatory indicate that a legal requirement exists and must be complied with.
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1. INTRODUCTION
The most effective risk control measure, eliminating the hazard, is often most cost effective and
more practical to achieve at the design or planning stage rather than making changes later when
the hazards become real risks in the workplace.
Safe design can result in many benefits, including:
prevention of injury and illness
improved useability of structures
improved productivity and reduced costs
better prediction and management of production and operational costs over the lifecycle of
a structure
compliance with legislation
innovation, in that safe design can demand new thinking to resolve hazards in the
construction phase and in end use.
1.1
Safe design means the integration of hazard identification, risk assessment and control methods
early in the design process to eliminate or, if this is not reasonable practicable, minimise risks to
health and safety throughout the life of the product being designed.
The safe design of a building or structure will always be part of a wider set of design objectives,
including practicability, aesthetics, cost and functionality. These sometimes competing objectives
need to be balanced in a manner that does not compromise the health and safety of those who
work on or use the building or structure over its life.
Safe design begins at the concept development phase of a structure when making decisions
about:
the design and its intended purpose
materials to be used
possible methods of construction, maintenance, operation and demolition
what legislation, codes of practice and standards need to be considered and complied with.
1.2
Who has health and safety duties in relation to the design of structures?
A person conducting a business or undertaking has the primary duty under the WHS Act to
ensure, so far as is reasonably practicable, that workers and other persons are not exposed to
health and safety risks arising from the business or undertaking.
A person conducting a business or undertaking that designs a structure that will be used, or
could reasonably be expected to be used, as a workplace must ensure, so far as is reasonably
practicable, that the structure is without risks to health and safety. This duty includes carrying out
testing and analysis and providing specific information about the structure.
Design, in relation to a structure, includes the design of all or part of the structure and to redesign
or modify a design. Design output includes any hard copy or electronic drawing, design detail,
design instruction, scope of works document or specification relating to the structure.
A designer is a person conducting a business or undertaking whose profession, trade or business
involves them in:
preparing designs for structures, including variations to a plan or changes to a structure, or
arranging for people under their control to prepare designs for structures, or
making design decisions that will affect the health and safety of others.
Designers, in their capacity as persons conducting a business or undertaking, include:
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anyone who specifies or alters a design, or who specifies the use of a particular method of
work or material (for example, a quantity surveyor who insists on specific material, or a
client who stipulates a particular layout, a town planner)
anyone specifying or designing how structural alteration, demolition or dismantling work is
to be carried out
architects, building designers, geotechnical engineers, civil and structural engineers,
building surveyors, landscape architects and all other design practitioners contributing to,
or having overall responsibility for, any part of the design (for example, drainage engineers
designing the drain for a new development)
building service designers, engineering practices or others designing fixed plant (including
ventilation and electrical systems and permanent fire extinguisher installations)
contractors carrying out design work as part of their contribution to a project (for example,
an engineering contractor providing design, procurement and construction management
services)
temporary works engineers, including those designing formwork, falsework, scaffolding and
sheet piling, as well as demolition and dismantling, and
interior designers, including shopfitters who also help with the design.
1.3
The client
Under the WHS Regulations, the person conducting a business or undertaking who commissions
the construction work or project has specific duties. In the construction industry, this person is
commonly referred to as the client. A client has an obligation to:
consult with the designer, so far as is reasonably practicable, about how to ensure that
health and safety risks arising from the design during construction are eliminated or
minimised, and
provide the designer with any information that the client has in relation to the hazards and
risks at the site where the construction work is to be carried out.
Examples of hazards and risks relating to a construction project include overhead electric lines,
access and egress, hidden or concealed services, contaminated ground or restrictions that may
affect the work that will be undertaken or the health and safety of persons who will undertake the
work.
The principal contractor
Under the WHS Regulations, a principal contractor is required for a construction project where the
value of the construction work is $250,000 or more.
The principal contractor has specific duties to ensure the construction work is planned and
managed in a way that eliminates or minimises health and safety risks so far as is reasonably
practicable.
The WHS Regulations defines the principal contractor as a person conducting a business or
undertaking that:
commissions the construction project (the client), or
is engaged by the client to be the principal contractor and is authorised to have
management or control of the workplace.
Further guidance on managing risks for construction projects, principal contractor duties, safe work
method statements and WHS management plans can be found in the [draft] Code of Practice:
Managing Risks in Construction Work.
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1.4
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knowledge and experience of other people, including workers, more informed decisions can be
made about how the building or structure can be designed to eliminate or minimise risks.
A person conducting a business or undertaking must consult, so far as is reasonably practicable,
with workers who carry out work for the business or undertaking who are (or are likely to be)
directly affected by a work health and safety matter.
If the workers are represented by a health and safety representative, the consultation must involve
that representative.
If you are commissioning a new workplace or refurbishing your existing workplace, you must
consult your workers who will be using the workplace in the planning stage, because their health
and safety may be affected by the new design.
A person conducting a business or undertaking must consult, cooperate and coordinate activities
with all other persons who have a work health or safety duty in relation to the same matter, so far
as is reasonably practicable.
Often, the design process will occur over various stages and involve different people who make
financial, commercial, specialist or technical decisions over a design, for example, clients,
architects, project managers and interior designers.
Such decisions may positively or negatively affect the safety of a building. In these circumstances,
each party will have responsibility for health and safety in the design stage.
Where it is reasonably practicable to do so, the duty holders involved must consult each other on
the hazards and risks associated with the building and work together on appropriate design
solutions. It may mean that the client co-operates with a designer in changing a design to address
a health and safety risk identified in the design process.
The WHS Regulations require the person who commissions construction work to consult with the
designer to ensure that risks arising from the design during construction are eliminated or
minimised as far as reasonably practicable.
Further guidance on consultation is available in the Code of Practice: Work Health and Safety
Consultation, Cooperation and Coordination.
Information transfer
Key information concerning hazards identified and action taken or required to control risks should
be recorded and transferred from the design phase to all those involved in later stages of the
lifecycle.
The WHS Act requires designers to give adequate information to each person who is provided with
the design for the purpose of giving effect it to it concerning:
the purpose for which the structure was designed
the results of any calculations, testing, analysis or examination
any conditions necessary to ensure that the structure is without risks when used for a
purpose for which it was designed or when carrying out any activity related to the structure
such as construction, maintenance and demolition.
The designer must also, so far as is reasonably practicable, provide this information to any person
who carries out activities in relation to the structure if requested.
The WHS Regulations require a designer to provide a written report to the person commissioning
the design on the health and safety aspects of the design. This report must specify the hazards
relating to the design of the structure that, so far as the designer is reasonably aware:
create a risk to persons who are to carry out the construction work, and
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are associated only with the particular design and not with other designs of the same type
of structure.
1.5
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While designers may not have management and control over the actual construction work they can
discharge their duty by consulting, co-operating and co-ordinating activities, where reasonably
practicable, with those who do have management or control of the construction work, for example
by:
providing guidance on how a structure might be constructed safely
applying risk management processes to more traditional designs and considering whether
new or innovative approaches to design will eliminate or minimise risk and result in an
intrinsically safer building or structure
providing information of any identified hazards arising from an unconventional design to
those who will construct or use the building, and
carrying out the above in association with those who have expertise in construction safety.
A designer may be asked to provide health and safety information about a building they designed
many years ago. The designer may not be aware of changes made to the building since it was
constructed. In this situation, the extent of a designers duty is limited to the elements of the design
detailed or specified by the designer and not by others.
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2.1
A systems approach that integrates the design process with the risk management process is
recommended (see Figure 1). The design brief should include a requirement to apply a risk
management process in the design. This approach also encourages collaboration between a
designer, constructor and client.
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Establish consultation
methods with client
Pre-design phase
Useful to have the following
information available:
Guidance on structure
hazards and possible solutions.
Siting;
High consequence hazards;
Systems of work;
Environment; and
Incident mitigation.
Design development
phase
Final design
Yes
Redesign to
reduce the risks
within the
designers control.
NO
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2.2
Information can be found from various sources to assist in identifying hazards, assessing and
controlling risks, including:
WHS and building laws, technical standards and codes of practice
Industry profile regarding injuries and incidents
Statistics, hazard alerts or other reports from relevant statutory authorities, unions and
employer associations, specialists, professional bodies representing designers and
engineers, and
research and testing done on similar designs.
Building good client relationships can provide the basis for seeking health and safety input. This
can be achieved in various ways, for example:
conducting workshops with clients at the conceptual design stage
using models or mock-ups to facilitate user input
receiving feedback through user surveys, and
inviting specialist expertise (such as engineers) to participate in the risk assessment
process.
Designers should ask their clients about the types of activities and tasks likely or intended to be
carried out in the structure, including the tasks of those who maintain, repair, service or clean the
structure as an integral part of its use. Table 1 provides suggestions to promote an efficient
consultation process between a designer and client. All issues identified through research and
consultation should be documented so that they can be used to inform future phases of the
lifecycle.
Table 1: Designer - client consultation
Step
Possible techniques
Initial
discussions
Pre-design
preliminary
hazard analysis
Determine what
hazards are inscope
2.3
Hazard identification should take place as early as possible in the concept development and
design stages. It is important that the hazard identification is systematic and not limited to one or
two peoples experiences of situations. Table 2 outlines a framework for the preliminary hazard
identification.
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Broad groupings of hazards should be identified before design scoping begins. Appendix B
provides examples of issues that should be considered. A designer and others involved in the
preliminary hazard analysis should then decide which hazards are in scope of the steps of the risk
management process, and should be considered in the design process. A hazard is in scope if it
can be affected, introduced or increased by the design of the structure. At this early stage,
consideration should be given to possible ways that hazards could be prevented or eliminated.
Where there are systems of work which are foreseeable as part of the likely activities in the
intended use of a structure as a workplace, they should be identified in the preliminary hazard
analysis. Information in the form of likely or intended workflows, if known, will be useful as part of
the design brief prepared by the client, including details at the task level.
The brief may also include any activities and systems with hazards specific to the nature of the
structure (for example, manual tasks in a health facility or occupational violence in a bank, the
storage of dangerous goods in a warehouse) where the safety of these activities or systems is
affected by the design of the structure. This may include foreseeable maintenance, cleaning,
service and repair activities.
The designer should give consideration to any exceptional hazards or matters a competent builder
or user would not be expected to be aware of.
For example, a builder would not necessarily be aware that a long steel span member was
unstable until fully fixed into position or that particular props or braces are integral to the safety of a
tilt-up panel.
In such situations, the designer should include relevant information either in the drawings or
specifications or transfer the information to the builder for appropriate design management.
2.4
After identifying all reasonably foreseeable hazards, the risks associated with those hazards
should be assessed. A risk assessment involves considering what could happen if someone is
exposed to a hazard and the likelihood of it happening.
It is a way of deciding how much effort should be focussed on designing out a hazard the more
serious the risk of harm, the more time and effort should be dedicated to eliminating or minimising
the risk.
Risk assessment is not an absolute science, it is an evaluation based on available information.
Therefore, it is important those involved in a risk assessment have the necessary information,
knowledge and experience of the work environment and work process.
If similar tasks or processes apply for a number of projects, or the design is of a fairly routine
nature, a generic risk assessment model might be appropriate. However, the designer is still
responsible for ensuring that the generic assessment is valid for the project, before deciding to
adopt it.
Risk assessment methods for assessing design safety may include:
fact finding to determine existing controls, if any
testing design assumptions to ensure that aspects of it are not based on incorrect beliefs of
anticipations on the part of the designer, as to how workers or others involved will act or
react (see the above hazard checklist);
testing of structures or components specified for use in the construction, end use and
maintenance
consulting with key people who have the specialised knowledge and/or capacity to control
or influence the design, for example the architect, client, construction manager, engineers,
project managers and safety and health representatives, to identify and assess risks;
consulting directly with other experts, for example specialist engineers or designers,
SAFE DESIGN OF BUILDINGS AND STRUCTURES
DRAFT CODE OF PRACTICE
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manufacturers and product or systems designers who have been involved with similar
constructions, and
when designing for the renovation or demolition of existing buildings, reviewing previous
design documentation or information recorded about the design structure and any
modifications undertaken to address safety concerns; and consulting professional industry
or employee associations who may assist with risk assessments for the type of work and
workplace.
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Examples of hazards
Siting of structure
High consequence
hazards
Systems of work
(involving the
interaction of
persons with the
structure)
Environment
Incident mitigation
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Possible techniques
By whom
Designer led.
Client approval of
decisions.
Potential changes in
construction stage
Designer led.
Client provides further
information as agreed in
the planned risk
management process.
Designer led.
Client contributing.
Designer led.
Client and designer agree
with final result.
Construction team in
consultation with designer
and client.
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Step
3.1
Possible techniques
By whom
Other legislative provisions governing the design of buildings and structures in Australia include the
building laws in each jurisdiction and the National Construction Code of Australia (NCCA). The
Building Code of Australia (BCA) is part of the NCCA. In addition, there are technical and
engineering guidelines and standards produced by other government agencies, Standards
Australia and relevant professional bodies (see Appendix D).
The primary focus of the NCCA is to ensure buildings and structures achieve acceptable standards
of structural sufficiency, safety, health and amenity. It contains technical provisions for the design
and construction of buildings and other structures relating to structural sufficiency, fire spread
within and between buildings, building occupant access and egress, fire fighting equipment, smoke
hazard management and fire brigade access to buildings. In addition, health and safety amenity
aspects such as ventilation, lighting, legionella controls, sanitary facilities and damp and
weatherproofing measures are covered in the NCCA.
The NCCA refers to Australian Standards, but designers should be aware that these may not
adequately control workplace risks if applied to a situation outside that contemplated in the
Standard or if the Standard is out-dated. It should also be noted that the NCCA does not provide
guidance for some specialised structures such as major hazard facilities (for example, refineries).
WHS Regulations require work health and safety issues to be addressed in addition to those in
existing legislative and regulatory provisions, such as the NCCA, which regulate the design of
buildings and structures.
3.2
Substitution replace a hazardous process or material with one that is less hazardous to
reduce the risk. For example:
o Using pre-cast panels rather than constructing a masonry wall
o Using pre-finished materials in preference to on-site finishing
Isolation separate the hazard or hazardous work practice from people, for example
designing the layout of a building so that noisy machinery is isolated from workstations
Engineering use engineering control measures to minimise the risk, for example,
including adequate ventilation and lighting in the design, designing and positioning
permanent anchorage and hoisting points into buildings where maintenance needs to be
undertaken at height
Administrative If engineering controls cannot reduce the risk sufficiently, then
administrative controls should be used, for example using warning signs or exclusion zones
where a hazardous activity is carried out.
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Personal protective equipment Personal protective equipment (for example hard hats,
respiratory protection, gloves, ear muffs) should be used to protect the worker from any
residual risk. It is the least effective control measure as it relies on the workers behaviour
and therefore requires thorough training and a high level of supervision to be effective.
In many cases a combination of control measures will be required to minimise the risks to health
and safety. For example traffic flow at a workplace may be controlled by incorporating traffic islands
(engineering) and erecting warning signs (administrative).
When considering which control measures to implement:
look specifically at identifying any exceptional risks that a competent builder might not be
aware of or have the appropriate level of expertise
consider where residual risks remain, and ensure these are communicated to the builder
and/or other people likely to exercise control in the next stages of the life cycle of the
building or structure, for example clients and maintenance contractors
take a holistic view on the interaction of hazards in the assessment of their risks and
implementation of control measures, and
assess alternative control measures for their applicability.
3.3
Designers should review design solutions to confirm the effectiveness of risk controls and if
necessary, redesign to reduce the risks as far as reasonably practicable.
Controls can be checked by using the same methods as in the initial hazard identification.
Common methods include workplace inspection, consultation, testing and analysing records and
data.
Feedback from users to assist designers to improve their designs could be provided through:
post occupancy evaluations for buildings
defect reports
accident investigation reports
information regarding modifications
user difficulties, or
deviations from intended conditions of use.
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4.1
Building elements
Avoiding additional or different excavation depths near site boundary, for example
designing lift shafts away from boundaries.
Plastering
Using suspending systems, pre-formed corner and bulkhead sections to reduce dust during
finishing.
Changing the design to use smaller sheets, use lifters to hoist sheets and preloading floors
to reduce manual handling hazards.
Plumbing
Using prefabricated risers to eliminate on site work and the need to work at heights.
Beams
Designing concrete beams so they can be erected from above, to prevent the risk of
workers being crushed should the beams become dislodged during installation.
Designing beam to column connections to have support from the column during the
connection process by adding a beam seat, extra bolt hole or other redundant connection
point that provides continual support for beams during erection.
Flooring
Considering floor treatment specifications to take into account the end use. For example,
incorporating use of slip resistant surfaces in areas exposed to the weather, frequent spills
or dedicated wet areas.
Lighting
4.2
Ensuring adequate lighting for intended jobs and tasks in the building.
Providing for exterior lighting that eliminates shadows at entry/exit points.
Selecting lighting fixtures that can be lowered to ground level for repair.
Building techniques
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4.3
Ensuring power lines are the correct distance from the building to reduce exposure to
radiation from the lines.
Consider the exposure of people to extremely low frequency radiation from internal power
sources such as distribution boards, electrical wiring and lifts.
Clearly indicating on documents design loads for the different parts of the structure.
Considering different erection processes for steel structures.
Designing components to facilitate pre-fabrication off site or on the ground so they are
erected in place as complete assemblies, reducing worker exposure to falls from heights or
being struck by falling objects.
Considering different construction sequences.
Considering the complexity of the design.
Construction process
Considering design features that can mitigate the risk of falls, both during construction,
occupation, maintenance and demolition, such as reducing the spacing of roof trusses and
battens or installation of meshing to decrease the risk of internal falls.
Electrocution
Indicating, where practicable, the position and height of all electric lines to assist with site
safety procedures.
Reorienting the building or structure to avoid overhead or underground services.
Providing adequate clearance between the building or structure and overhead power lines.
Specifying Residual Current Devices (RCDs) are to be used in all temporary power circuits
during construction.
Traffic
Designing traffic areas to separate vehicles and pedestrians during construction and end
use.
Moving the building back from the roadway to facilitate safety of delivery workers.
Designing pre-fabricated panels with channels for electrical cables and plumbing to reduce
chasing.
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Selecting materials like paints or other finishes that emit low volatile organic compound
emissions.
Noise
4.4
End use
Potential control measures to implement in relation to end use include the following.
Occupation and use
Designing adequate access, for example, allowing wide enough corridors in nursing homes
for the movement of patients on wheelchairs and beds.
Designing interior acoustics to meet intended use requirements.
Designing spaces to accommodate or incorporate mechanical devices to reduce manual
handling risks.
Considering exposure to specific hazards such as manual handling in a health facility,
violence in a bank and dangerous goods storage in a warehouse.
Considering injuries due to:
o poorly designed seating
o inadequate or poorly placed lighting, and
o lack of consideration given to human behaviour including errors.
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Modification
Design is not always focussed on the generation of an entirely new structure. It can involve the
alteration of an existing structure which may require demolition in part or whole.
Any modification of a structure requires reapplication of the processes detailed in the design
phases. Consultation with professional engineers or other experts may be necessary in order to
assess the impact of any proposed modifications or changes in design, for example changes in the
load spread across a building floor when heavy equipment is relocated, modified or replaced.
This ensures that no new hazards are introduced, and that the safety features already incorporated
into the design are not affected. Additional design issues identified in these phases should be
passed back to the designer.
5.2
In relation to the proper demolition or disposal of a structure, designers also have a duty in the
WHS Act to:
carry out, or arrange the carrying out of, any calculations, analysis, testing or examination
that may be necessary for the structure to be without risks to the safety of persons, and
provide adequate information to each person who is provided with the design concerning
any conditions necessary to ensure that the structure is without risks to health and safety.
This is particularly important with modern designs where limit state design techniques are used by
the structure designer. In this system, the designer considers the structure in its completed form
with all the structural components, including bracing, installed. The completed structure can
withstand much higher loads (for example, wind and other live loads) than when the structure is in
the construction or demolition stage. With this in mind it is necessary for the designer to provide
guidance to the demolisher on how the structure will remain standing as it is demolished or
dismantled.
Designers should take into account the proposed work methods to be used during demolition when
producing any final design documents relating to the demolition of a special structure. If as-built
design documentation is not available for special structures, then a competent person (for
example, a qualified structural engineer) should be engaged to conduct an engineering
investigation.
Demolition risk assessment documentation for special structures should take the following design
matters into account:
the stability and structural integrity of the assembled portions, single components and
completed sequentially erected braced bays at all stages of demolition
the maximum permissible wind speed for the partially demolished structure
the effect of the structural engineers approved demolition sequence on stability
the structural engineers assessment of loadings at all stages of demolition
the provision of safe access and safe working areas
the provision of clear instructions for temporary bracing
the handling, lifting, storing, stacking and transportation of components, depending on their
size, shape and weight
the need for specific lifting arrangements to be detailed on structural member drawings to
facilitate safe lifting
the stability requirements for all components of the structure as it is sequentially
demolished according to the structural engineers requirements
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the proposed methods for handling heavy, bulky or awkward components as may be
described in the Safe Work Method Statement (SWMS)
the plant to be used for the work, including the size, type, position and coverage of
proposed demolition crane(s) should be indicated on a site plan; locations such as
unloading points and storage areas (if any) should be shown, and
the need to ensure that the ground is compacted to any design specifications to enable
plant to be moved and used safely at the workplace.
Designers of new structures are well placed to influence the ultimate demolition of a structure by
designing-in facilities such as lifting lugs on beams or columns and protecting inserts in pre-cast
panels so that they may be utilised for disassembly. Materials and finishes specified for the original
structure may require special attention at the time of demolition and any special requirements for
the disposal and/or recycling of those materials or finishes should be advised to the client through
the risk assessment documentation.
Further guidance on the demolition of buildings and structures can be found in the [draft] Code of
Practice: Demolition Work.
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Figure 2a
The regulations require a person
who commissions work to
consult with the designer. The
person who commissions work
must also pass on to the
constructor information provided
by the designer.
CLIENT
DESIGN-BUILD
ENTITY
DESIGNER
CONSTRUCTOR
Contracted responsibilities
Contracted responsibilities
Communication responsibilities
Communication responsibilities
Figure 2b
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DESIGNER
CLIENT
TENDER PROCESS
CONSTRUCTOR
(Principal Contractor)
In design-build models,
contractual arrangements
may limit the ability of the
designer to communicate
directly with the constructor.
In this situation the designer
must ensure that information
provided to the client is in
accordance with the WHS
Regulations. The client must
provide that information to the
constructor.
Where there is no contractual
arrangement between the
constructor and the designer,
the constructor must ensure
that the client is informed of
any new hazards identified in
the course of construction.
Constructors amending the
design will assume the
designers duty.
Figure 2c
Clients have a duty to
communicate with the
designer and to inform the
constructor of the designers
recommendations regarding
risk management.
CLIENT
CONSTRUCTOR
(Principal Contractor)
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Figure 2d
CLIENT
PRINCIPAL
DESIGNER
PRINCIPAL
CONTRACTOR
CONTRACTOR
CONTRACTOR
DESIGN
CONSULTANTS
Figure 2e
CLIENT
DESIGNER
CONSTRUCTION
MANAGER
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Access to various amenities and facilities such as storage, first aid rooms/sick rooms, rest
rooms, meal and accommodation areas and drinking water
Earthworks
Excavation (for example, risks from earth collapsing or engulfment in swampland)
Exposure to underground utilities
Structural safety
Erection of steelwork or concrete frameworks
Temporary fragility or instability of structure
Load bearing requirements
Stability and integrity of the structure
Manual handling
Methods of material handling
Accessibility of material handling
Loading docks and storage facilities
Access and egress paths and doorways to facilitate doorway or other mechanical aids
Assembly and disassembly of pre-fabricated fixtures and fittings
Substances
Exposure to hazardous substances and materials including insulation and decorative
materials
Exposure to volatile organic compounds and off gassing through the use of composite
wood products or paints
Exposure to irritant dust and fumes
Falls prevention
Guard rails
Footholds on or near guard railing
Window heights and cleaning
Anchorage points for building maintenance and cleaning
Access to working spaces for construction, cleaning, maintenance and repairs
Scaffolding
Temporary work platforms
Roofing materials and surface characteristics such as fragility, slip resistance and pitch
Specific risks
Exposure to biological hazards
Use of explosives
Confined spaces
Risk of drowning
Over and under water work, including diving and work in caissons with compressed air
supply
Noise exposure
Exposure to noise from plant
Exposure to noise from surrounding area
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can be useful for identifying potential hazards and risks in the design of a building or structure,
allowing these to be addressed at less cost than when construction commences.
Building Information Modelling (BIM) The risk assessment process can also be assisted by the
use of software programs such as BIM. BIM is a sophisticated 4D tool for managing complex
projects and has advantages in that it can enable designers to predict unsafe situations that will
emerge during the construction phase, for example determining if there are conflicts between
elements such as air conditioning ductwork and structural columns or beams and in doing so,
eliminate unnecessary work at heights or onsite adjustments in less than ideal conditions. BIM can
also predetermine optimum positions for cranes or other plant and therefore, predict opportunities
to position large and/or heavy structural sections or fixed plant under optimum conditions. BIM
also facilitates the prefabrication or preassembly of building components which can minimise work
needed on site, and therefore, reduce risks by allowing complex tasks to be undertaken in more
controlled environments.
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Reference
Title
AS 1170 (Part 1)
AS 1170 (Part 2)
AS 1319
AS 1657
AS 1674.1
AS/NZS 1680.1
AS/NZS 1680.2.4
AS 1668.2
AS 1735
Lifts, escalators and moving walks (known as the SAA Lift Code)
AS 1940
AS 2550 (set)
AS 2601
AS 3000
AS 3610
AS 3610 (Sup 2)
AS 3600
Concrete structures
AS 3828
AS 3850.1
AS 3850.2
AS 4024.1 (set)
Safety of machinery
AS 4100
Steel structures
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Reference
Title
AS/NZS 4114
AS/NZS 4360
Risk management
AS/NZS 4389
Safety mesh
AS/NZS 4576
AS/NZS 4801
AS/NZS 4994
Other References
Australian Code for the Transport of Explosives by Road and Rail (3rd edition), Commonwealth of
Australia 2009
Building Code of Australia, Australian Building Codes Board 2010
Workplace Exposure Standards for Airborne Contaminants, Safe Work Australia
Guidance on the Principles of Safe Design for Work, Australian Safety and Compensation Council
2006
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Design to
facilitate safe use
Consider the intended function of the structure, including the likely systems of use, and
the type of machinery and equipment that may be used.
Consider whether the structure may be exposed to specific hazards, such as manual
tasks in health facilities, occupational violence in banks or dangerous goods storage in
warehouses.
In addition to the requirements of the National Construction Code of Australia, risks
relating to the function of a structure can be controlled by:
Designing traffic areas to separate vehicles and pedestrians.
Using non-slip materials on floor surfaces.
Providing sufficient space to safely install, operate and maintain plant and
machinery.
Designing spaces which accommodate or incorporate mechanical devices and
therefore reducing manual task risks.
Designing floor loadings to accommodate heavy machinery that may be used in
the building.
Risks relating to cleaning, servicing and maintaining a structure can be controlled by:
Designing the structure so that maintenance can be performed at ground level or
safely from the structure, for example, window cleaning bays or gangways
integrated into the structural frame.
Designing features which use non-corrosive materials to avoid dirt traps and the
use of abseiling methods or long ladders for cleaning windows.
Designing and positioning permanent anchorage and hoisting points into structures
where maintenance needs to be undertaken at height.
Designing safe access and sufficient space to undertake structure maintenance
activities.
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