Chapter 10
Chapter 10
Chapter 10
2B CH-1
15 Jun 2013
R} CHAPTER 10
Naval Aviation Maintenance Program Standard Operating Procedures
(NAMPSOPs)
Table of Contents
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Figure 10.10-5: TD with a Control Stamp Affixed - TD Screening Request/Results (Sample) .......................... 166
Figure 10.10-6: TD Screening Request/Results .................................................................................................... 167
Figure 10.10-7: ACC/TYCOM Concurrence/Amplifying Remarks Paragraph for Message Type TDs (Sample)
................................................................................................................................................... 168
R} 10.11 Foreign Object Damage (FOD) Prevention Program .................................................................................. 169
10.11.1 Introduction ................................................................................................................................................. 169
10.11.2 Discussion ................................................................................................................................................... 169
R} 10.11.3 Responsibilities ...................................................................................................................................... 170
Figure 10.11-1: Engine FOD Incident Report Format .......................................................................................... 177
R} 10.12 Tool Control Program (TCP) (NAMPSOP) .................................................................................................. 178
10.12.1 Introduction ................................................................................................................................................. 178
10.12.2 Discussion ................................................................................................................................................... 178
R} 10.12.3 Responsibilities ...................................................................................................................................... 178
10.12.4 O-Level, I-Level, and D-Level FRC Procedures (as applicable) ................................................................ 185
10.12.5 Aviation Life Support System(s) (ALSS) Procedures ................................................................................. 189
10.12.6 General Guidelines ...................................................................................................................................... 189
10.12.7 Changes/Deviations ..................................................................................................................................... 190
Figure 10.12-1: Missing/Broken/Worn Tool Report............................................................................................. 192
Figure 10.12-2: Missing/Broken/Worn Tool Report (continued) ......................................................................... 193
Figure 10.12-3: Tool Container Change Request.................................................................................................. 194
Figure 10.12-4: Contractor/Field Maintenance Team Tool Control/FOD Brief and Inventory ............................ 195
Figure 10.12-5: Tool Container Shortage List ...................................................................................................... 196
Figure 10.12-6: Tool Control Manual Change/Deviation Request ....................................................................... 197
R} 10.13 Corrosion Prevention and Control Program (NAMPSOP) ......................................................................... 198
R} 10.13.1 Introduction............................................................................................................................................ 198
R} 10.13.2 Discussion .............................................................................................................................................. 198
R} 10.13.3 Responsibilities ...................................................................................................................................... 200
10.13.4 Procedures ................................................................................................................................................... 203
10.13.5 Recovery and Reclamation of Crash Damaged Aircraft ............................................................................. 205
10.13.6 Training; O-Level, I-Level, and D-Level Activities .................................................................................... 206
R} 10.14 Plane Captain Qualification Program (NAMPSOP) .................................................................................... 208
R} 10.14.1 Introduction............................................................................................................................................ 208
R} 10.14.2 Discussion .............................................................................................................................................. 208
R} 10.14.3 Responsibilities ...................................................................................................................................... 208
Figure 10.14-1: Plane Captain Designation (CNAF 4790/158) (Sample) ............................................................ 212
R} Figure 10.14-2: Plane Captain Training Syllabus Topics ................................................................................ 213
R} Figure 10.14-3: Plane Captain Refresher Training Syllabus ........................................................................... 214
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10.23 Gas Turbine Engine Test System (GTETS) and Global Test Facility (GTF) Operator Training and
Certification Program (NAMPSOP) ................................................................................................................. 320
10.23.1 Introduction ................................................................................................................................................. 320
10.23.2 Discussion ................................................................................................................................................... 320
10.23.3 Responsibilities ........................................................................................................................................... 321
10.23.4 Certification................................................................................................................................................. 324
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R} CHAPTER 10
Naval Aviation Maintenance Program Standard Operating Procedures
(NAMPSOPs)
10.1.1.1 The Maintenance In-Service Training Program establishes policy, responsibilities, and requirements
for implementing training within aviation maintenance activities.
10.1.1.2 References:
d. NAVPERS 18068, Manual of Navy Enlisted Manpower and Personnel Classifications and
Occupational Standards.
f. OPNAVINST 5100.19, Navy Safety and Occupational Health (SOH) Program Manual for Forces
Afloat.
10.1.2 Discussion
10.1.2.1 Maintenance IST maintains and increases technical knowledge and proficiency. It is a command
responsibility, with all supervisors ensuring assigned personnel are adequately trained to safely perform their
duties. This training represents a major contribution to the Navy’s overall training effort and requires a
systematic training program. Navy maintenance personnel receive Apprentice and Journeymen level job
proficiency training under the QPT Program. Marine Corps maintenance personnel training requirements are
identified under the MATMEP.
10.1.2.2 Lectures, IMI, videotapes/films, PQS, required reading, and OJT are integral components and must
be coordinated to satisfy each individual activity’s particular requirements.
10.1.2.3 OJT consists of personnel performing maintenance tasks, by demonstration and simulation, under
the supervision of designated, qualified personnel. Experienced personnel instruct, demonstrate, and impart
their skills to the less experienced. A maintenance task, applicable maintenance instructions, and tools/test
equipment are required to perform OJT. The trainee learns by seeing the job done and gains experience by
participating in the work. OJT encompasses maintenance tasks ranging from basic administrative duties to
complex aircraft/equipment testing, troubleshooting, and repair. A well-defined and comprehensive OJT
syllabus will ensure maintenance personnel receive the training and acquire the skills necessary to meet the
command’s operational commitments. OJT should be performed at every opportunity. OJT is to be
documented for all maintenance-related tasks until the trainee is qualified/proficient in that task. OJT is not
required to be documented daily, only upon task completion. Once an individual is certified by the Work
Center Supervisor as proficient in a task area, OJT documentation for that task is no longer required.
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NOTE: For organizations implemented with ASM, paper OJT syllabus are no longer required.
10.1.2.4 The QPT program provides standardization of in-service training at Navy aviation units using
NAVEDTRA approved PQS. QPT is designed to ensure that maintenance personnel possess proficiency in
their rating and T/M/S commensurate with their pay grade. Measuring QPT enables unit leadership to
compare Total Force Personnel Readiness to Mission Readiness. QPT is integrated into each enlisted
maintenance technician’s ongoing training continuum by recognizing, complementing and expounding upon
prerequisite formal schools and NEC training. Individuals are encouraged to continually progress towards
the next higher QPT certification.
10.1.2.4.1 QPT certification levels and standards have been structured to correspond with career progression
levels of Apprentice through Journeyman to indicate the corresponding skill level to be attained in
professional development. QPT PQS content are tailored for each QPT certification level and can be tailored
to account for past experience per Type Wing or stand-alone command procedure. A specific QPT
certification need be completed only once in a career.
a. Qualified and Proficient Apprentice (QPA). Generally for E-4 and below personnel, this standard
includes general and rating specific items addressing flight-line and work place safety, basic
aircraft/equipment servicing and inspection, SE licensing, basic maintenance documentation/NALCOMIS,
basic T/M/S or IMA equipment, and rating knowledge (typically limited to the identification and removal of
components), the identification, use and handling of hazardous material, and any additional qualifications
deemed appropriate for QPA certification.
b. Qualified and Proficient Journeyman (QPJ). Generally for E-5 and E-6 personnel, this standard
includes incomplete QPA items for personnel new to the T/M/S or IMA, equipment in-depth rating
information and job tasks specific to the T/M/S or IMA (typically including troubleshooting to component
level/RFI determination; using schematics, end-to-end tests, and rigging or tuning of systems and
components) advanced maintenance documentation/NALCOMIS, shop and shift workload management, and
any additional qualifications deemed appropriate for QPJ certification. QPJ certified individuals are
instructors and mentors to apprentices.
10.1.2.4.3 As a basic proficiency standard, QPT certification may be used in the foundation of other
professional designations, but QPT certification shall not in and of itself comprise that designation, for
example, Plane Captain, CDI, QAR and SFF.
10.1.2.4.4 Development and revision procedures for PQS require close coordination between the NETC
designated Learning Center (CENNAVAVNTECHTRA), COMNAVAIRFOR, and the lead Type
Wing/FRC. Learning centers and enterprises designate PQS Managers and PQS model managers to provide
overall and specific functional responsibilities with respect to their PQS. PQS model managers organize
workshops with fleet SME to coordinate development/revision of PQS. QPT PQS content address the
minimum standard knowledge, skills, and abilities expected to accomplish billet work. Primary PQS sections
are organized in the order of Fundamentals, Systems, and Tasks. Development of PQS is in reverse;
identifying first the tasks one must be able to perform, then the systems one will work with and then the
fundamental knowledge needed to perform tasks safely and effectively. All PQS Fundamental and System
items are referenced to an official source of information. Developers may use T/M/S WUC manuals,
maintenance publications, formal curriculum and cost/readiness data to ensure breadth, depth and appropriate
focus. Periodic formal review shall incorporate T/M/S or rating applicable Mediatrax IMI into the PQS, as
considered value-added by the cognizant Type Wing. When errors or change recommendations are noted
fleet users may fill out the PQS feedback form on the last page in each PQS. This should be emailed to the
listed Model Manager for use during the next revision.
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NOTE: D-level activities shall follow employee development programs and civil service guidelines for
preparing IDPs, including apprenticeship and journeyman-level artisans. Additionally, these
activities shall ensure training is documented using an electronic training management system,
ASM, or in paper-based training/qualification record formats.
10.1.2.5 MATMEP includes the training associated with all aircraft, Marine Corps maintenance personnel,
O-level and FRC aircraft SE maintenance personnel, and other ground aviation support personnel in
Occupation Fields 59 and 70. The program primarily addresses productive direct labor on aircraft, aircraft
SE, removed components from aircraft, and equipment pertinent to Occupation Fields 59-65, 70, and MOS
6694. In addition, ITSS (MATMEP) provides a means for documenting training related to indirect
(functional) tasks, such as work center duties, QA, and Maintenance Control, that are essential to the overall
performance of the maintenance organization and to the career development of the individual Marine.
10.1.2.6 ASM is an unclassified training management tool that supports AMTCS from the schoolhouse to
the fleet. It is a software application designed for AMTCS to identify job task requirements, assist in
determining proficiencies, document qualification/certifications, and track completed training and aviation
maintenance personnel progress within their respective QPT/MATMEP. ASM will not replace requirements
established by OPNAVINST 8023.24/MCO 8023.3 for the Explosive Handling Personnel Qualification and
Certification Program.
10.1.2.7 MediaTrax is an on-line IMI repository for aviation maintenance IMI courses. The MediaTrax
library contains more than 1,200 modules of training that includes, but is not limited to, eleven T/M/S
aircraft, Ordnance, I-level Avionics, and SE. The maintenance IST IMI available via MediaTrax is designed
to provide remedial and refresher training in a self-paced setting or it may be used by work center supervisors
in a group setting to support unit level technical training. MediaTrax allows the user to browse the
courseware repository using several search criteria including T/M/S platform, keywords, and Catalog
Tracking Number (CTN). It also allows the user to request specific IMI and track the status of the order.
Upon receipt of an order, the training DVD or CD is mailed directly to the requesting activity at no
cost. Orders for maintenance IST IMI can be made through the MediaTrax web site
(https://amtcs.nmci.navy.mil/amtcs.net/CBT/mediatrax).
10.1.2.8 TTCMS is an on-line tool that supports life-cycle management related to the upkeep and revision of
training procedures, training applications, software, and hardware for IMI items. When a deficiency is noted,
fleet and schoolhouse users submit a TTCR via the web site (https://asmcw.nmci.navy.mil/ttcms). Users can
track the status from TTCR initiation through the approval process to final resolution. TTCMS also
maintains historical reference data including names, initiation dates, notes, and dates of disposition.
10.1.3 Responsibilities
10.1.3.1 MAWs shall coordinate and assist activities in implementing the maintenance training syllabus
outlined in the ITSS/MATMEP per MCO P4790.20. EAF shall maintain all training requirements per MCO
5530.14.
a. Identify training requirements with standardized syllabi supporting lectures/IMI for each rate and
work center or, for FRC artisans, job series/grade skill-based qualifications for each T/M/S aircraft or weapon
system supported. This shall be a joint effort between the fleet and supporting training activities. Lead Type
Wings shall coordinate to ensure commonality among similar T/M/S. Training requirements shall include the
following minimum elements:
(1) Formal training courses (CENNAVAVNTECHTRAU and FRC). Specify courses related to:
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(a) General administrative duties, for example, Work Center Supervisor and SCIR.
(b) General qualification, for example, flight deck fire fighting, SE Phase I, and CPR.
(c) Specific technical skills, for example, advanced radar and flight control rigging.
(2) Applicable QPT, ITSS (MATMEP), and IDP requirements (as applicable).
(6) Maintenance training lessons/IMI, given at the activity level, with an overview of the major
systems/tasks covered in the OJT syllabus (Figure 10.1-1), as a minimum. Recurring maintenance training
lesson requirements should be kept to a minimum.
b. Provide input to formal training courses via HPPRs that evaluate courses for content to ensure
training is being accomplished based on current systems and fleet demands.
c. Continually review and update standardized QPT, ITSS (MATMEP), and IDP requirements (as
applicable).
d. Manage and coordinate implementation, development, and improvement of the ASM and:
(1) Manage and update all qualification/certification task lists and test data banks within ASM.
(2) Ensure ASM tests adequately measure comprehension of various training syllabus elements and
assigned SMEs have access to ASM for test question bank review.
(3) Liaise with supported activities to review ASM Task Lists and ASM tests for currency and
adequacy.
NOTES: 1. TECOM (ATB) will be the controlling activity for Marine Corps Aviation Maintenance
Training changes/updates to ASM. TECOM (ATB) will manage and coordinate updates to
Marine Corps training qualification/certification/licensing task lists and test data banks within
ASM.
2. MAW/MAG (MALS) will consolidate all related submissions and forward to TECOM (ATB)
for appropriate action.
e. Ensure all aspects of ASM are in compliance and meet the minimum requirements per this
instruction.
(4) Ensure ASM database integrity, system security, and access granted to each user are consistent
with their duties:
(c) Troubleshoot user problems and submit Trouble Tickets (as required).
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(e) Develop and coordinate a contingency plan to be used in the event of a system failure or
down time.
a. Designate, in writing via the MMP/SME listing, the AMO as the Maintenance Training Program
Manager.
b. Designate an E-6 or above as ASM Fleet Administrator. For those commands with detachments,
designate a competent individual as the ASM Fleet Administrator specifically for the detachment/deployment
and suspend that designation upon return.
c. Designate all PQS and QPT/ITSS (MATMEP) qualifiers based on technical knowledge and
experience levels.
e. Ensure training is accomplished for both permanently assigned and TAD personnel.
f. Provide appropriate guidance and direction to implement, administer, and evaluate TYCOM
approved QPT, ITSS (MATMEP), and ASM.
g. Ensure all personnel fully participate in the training program and comply with established policies
and procedures.
h. Ensure liaison and interface between training resources and individuals requiring refresher ASM
training.
j. Distribute all training requirements in the MMP or separate Monthly Maintenance Training Plan.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
c. Be responsible for implementing, administering, and evaluating ASM and liaising with the ASM
Fleet Administrator on all ASM related issues.
d. Ensure training is conducted throughout the command to provide adequate knowledge of the ASM
software system.
f. Issue a training schedule for NAVOSH/safety training topics listed in Figure 10.1-2.
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i. Use CSEC information and reports to aid in identifying specific areas of concern and to determine
what steps are required for program/process improvement.
NOTE: The SE Division Officer manages the SE Training and Licensing Program for I-level.
m. Monitor appropriate personnel documents (EDVR, AMD, and standard transfer directives) to ensure
personnel being assigned already possess the requisite skills, or will receive training prior to arrival,
commensurate with the billet/DNEC.
n. Coordinate with division officers/chief petty officers and work center supervisors in the generation of
local supplemental lesson guides when IMI lesson guides are not available.
10.1.3.5 The MP&T Coordinator, normally a senior enlisted (E-9), performs staff functions under the
MO/AMO.
10.1.3.5.1 The MP&T Coordinator is only assigned to CV IMAs and the larger (500 or above manning
during the year, including TAD personnel) Navy shore IMAs which provide I-level support for a significant
number of aviation activities.
a. Assist and advise the MO in the areas of enlisted performance, billet requirements, training, and
manning within the department.
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c. Ensure all divisions conduct training sessions to improve quality of performance and enhance
promotional opportunities of assigned personnel.
f. Act as liaison between other activities/departments in regards to personnel TAD and training matters.
g. Act as equal employment opportunity coordinator for the department and ensure all assigned
personnel understand their rights/responsibilities under this CNO sponsored program.
a. Manage the SEAOPDET Program, reporting directly to the AMO, and ensure SEAOPDET personnel
are trained.
b. Coordinate, with the LCPO and MP&T Coordinator, resolution of personnel and program
deficiencies.
c. Act as liaison with other supported activities/departments regarding SEAOPDET personnel, training,
and logistic matters.
b. Ensure completed special audits are routed via appropriate program managers.
c. Provide updates to all ASM qualification/certification task lists and test question data banks (as
necessary).
b. Liaise with the site representative and ASM Program Manager and stay abreast of all issues that
pertain to ASM.
c. Develop and conduct ASM training for all required command personnel.
NOTE: Site representatives and the ASM Help Desk are to be used in requesting formal training from
the ASM Support Team. Live video teleconference and web-based training are available upon
request and can be provided to groups of any size (as required).
NOTE: Squadrons are not authorized to make any changes within ASM without Type Wing approval.
e. Monitor defect reports with the ASM Help Desk (as applicable).
f. Ensure ASM database integrity, system security, and that access granted to each user are consistent
with their duties per SECNAVINST 5211.5.
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(3) Develop and coordinate a contingency plan to be used in the event of a system failure or down
time.
a. Plan and organize NAVOSH/safety and other training requirements for all personnel.
b. Tailor the QPT/ITSS (MATMEP)/IDPs for each individual to account for past experience, training,
and ASM progress. Include lectures, IMI, and OJT, supplemented by required reading. Each quarter, review
progress in attaining qualifications. Quarterly review of the Qualification/Certification Record or ASM (if
implemented) may be delegated to the Division or Branch Chief Petty Officer/NCOIC. At D-level activities,
supervisors shall review and track progress in attaining/maintaining qualifications.
NOTE: Tailoring of QPT syllabus at Navy OMAs to account for past experience is determined by the
cognizant Type Wing.
d. Review CSEC reports, audits, special audits, 3M summaries, ASM Reports, and other available data
to determine when additional NAMP programs/processes training is required.
f. Maintain a proper balance between maintenance and required training to ensure a critical mass of
QPTs are on hand.
h. Report division training and qualification status to the Maintenance Training Program Manager.
j. Brief newly assigned personnel on qualification requirements, QPT career level completion time
lines and expectations.
a. Ensure all completed NAVOSH, Safety, NAMP, and technical training is documented in the
individual’s qualification/certification record.
b. Ensure NAVOSH/safety and other training is conducted through lectures and required reading.
Professional/Technical training shall be conducted by the most qualified technicians or artisans.
c. Interview each individual and review qualification/certification record in order to determine and
recommend to the Division Officer an appropriate training syllabus.
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d. Ensure OJT is conducted by demonstration and simulation under supervision of qualified work center
personnel or artisans. Sign off qualification in OJT task areas only after individuals have demonstrated
sufficient knowledge and skill to independently perform the task/duty.
f. Ensure transferring individuals check out with appropriate personnel and collect their
qualification/certification record and all original certification/designation letters prior to transfer. For
commands using ASM, ensure each individual has a digital version of their entire record.
i. Ensure training is conducted within the work center to provide adequate knowledge of the ASM
software system.
j. Review syllabi, lesson guides, and IMI lessons to ensure material is updated and current. Submit
discrepancies or deficiencies to the ASM Fleet Administrator for forwarding to the respective Type Wing for
approval.
a. Actively be involved in all aspects of their programs and are responsible for overall program
condition.
b. Review CSEC reports and audits to look for indications of whether additional training is required,
and specifically who needs it.
R} 10.1.4 Procedures
10.1.4.1 NAMP programs/processes training is conducted through lessons. A program expert, normally the
program manager/monitor, shall provide the training individually or during command indoctrination course
of instruction.
10.1.4.1.1 Indoctrination training per NAMP Training Requirements (Figures 10.1-3 and 10.1-4), shall be
provided to personnel within 30 days of reporting to the Maintenance Department, but may be extended to 60
days if mitigating circumstances exist. It need not be in any specific format, but shall provide sufficient time
to complete requirements using the applicable NAMPSOP chapter as a guide. Command indoctrination may
be tailored to accommodate different levels of experience of reporting personnel. Accomplished
indoctrination training (Figure 10.1-5) shall be recorded in the qualification/certification record.
10.1.4.1.2 Indoctrination training is not designed to replace qualification training required for collateral
duties, for example, Dispersed Technical Publications Librarian and Work Center Tool Control Petty
Officers. Specific training directly related to the duties and responsibilities of a collateral duty shall be
provided prior to collateral duty assignment.
10.1.4.1.3 Follow-on training shall be accomplished when directed by higher authority and as dictated by
local requirements or conditions.
10.1.4.2 The training requirements to support the NAVOSH/Safety Program are extensive. Figure 10.1-2 is
an example of the format to document NAVOSH training requirements for forces afloat and ashore.
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Activities shall review OPNAVINST 5100.19 and OPNAVINST 5100.23 to ensure all minimum training
requirements are completed.
10.1.4.2.1 Wings are responsible for developing the minimum Safety Program requirements for their
activities. Wings shall tailor and maintain training materials as needed to ensure general safety training
requirements and requirements specific to their T/M/S aircraft, equipment and working environment are
adequately covered.
10.1.4.2.3 Activities may elect to manage their safety training program with ESAMS. Activities managing
within ESAMS shall designate an ESAMS Coordinator, with command-level administrative rights,
responsible for maintaining the currency of their ESAMS database. Activities using ESAMS to document
safety training do not have to maintain duplicate safety training in hardcopy or electronically within other
management systems.
10.1.4.3 Certain instructions, directives, and other information should be read by all work center members
and may be routed by the AMO, division officers, or branch officers. The Required Reading and
Maintenance Information Record (CNAF 4790/34) (Figure 10.1-6) is used to log each member's reading of
applicable items. The required reading shall be maintained in a Required Reading File containing, at a
minimum, maintenance information such as messages, notices, directives, instructions, or memos. A
Required Reading Cross Reference Locator Sheet shall list the location of any item not available to an
individual work center or too bulky to be included. For large publications and instructions, the Required
Reading Cross Reference Locator Sheet shall be used to itemize specific chapters/sections/paragraphs related
to the duties of the work center. The Work Center Supervisor shall review the Required Reading File
monthly to ensure the material is current and all work center personnel are logging their progress. When the
information is no longer required, it shall be purged from the file.
NOTE: Paragraphs 10.1.4.4 through 10.1.4.7.3.5 apply to O-level and I-level activities only. D-level
activities shall maintain and document training requirements using an electronic training
management system, ASM, or in paper-based training/qualification record formats. NAMP
Indoctrination training at D-level activities may be provided via classroom instruction or
electronic media.
10.1.4.4 Naval aviation maintenance activities shall use available supplemental lesson guides or IMI to
conduct maintenance training. Locally or Type Wing prepared supplemental lesson guides shall not
duplicate IMI lesson guides. When IMI is not available, maintenance training lessons are prepared as
directed by the MO. Instructors, usually detailed from the Maintenance Department, are responsible for
presentations and reports of student progress. Instructors shall be identified per paragraph 10.1.3.9a.
10.1.4.5 Supplemental lesson guides to support aircraft or equipment not covered by IMI shall be reviewed
annually, or sooner if system/component changes/modifications have occurred, and prepared in the following
format:
c. Date prepared.
d. Date reviewed.
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h. Instructional aids (materials to assist in presentation, such as visual aids or schematics). Indicate
where materials can be found if not attached to the lecture.
i. Instructor's references (material with which the instructor should be familiar before presenting the
lecture).
j. Presentation (narrative or outline so complete that a new or substitute instructor could conduct a
satisfactory lecture). Safety related topics and QA functions shall be thoroughly discussed.
k. Summary (key points which must include safety precautions and emergency procedures).
l. Question and answer period (specific questions regarding key points, safety precautions, and
emergency procedures discussed in the lecture).
10.1.4.6 Where IMI is used, the requirements for written lesson guides do not apply. The master IMI
software will be maintained as part of the CTPL or will be downloaded from the remote IMI library.
10.1.4.7 Qualification/certification records provide a standardized, documentable individual record for Navy
aviation maintenance personnel. Marine Corps personnel shall use MATMEP. For all requirements
throughout this instruction, ASM shall be considered an individual’s qualification/certification record for
those commands that have completed ASM implementation.
NOTES: 1. Duplicate paper records and forms are not authorized in activities where ASM has been
implemented.
2. In the event that a specific qualification/certification equivalency within ASM does not fulfill
the requirements of this instruction, a trouble call shall be placed to the local Site Representative
and paper records shall be used until the ASM deficiency is corrected.
3. R} ASM provides the capability to scan and upload individual training documents to assist
the command in assessing and verifying qualifications; however, scanned images are not
required to be maintained in ASM for any purpose once the subject course qualification or
license has been signed electronically within ASM.
10.1.4.7.1 The qualification/certification record shall be initiated for each enlisted member of the activity
and shall accompany the member upon transfer. For members transferring to an activity where ASM has not
been implemented, a paper record (in a standard 9X12 folder) shall be initiated. The AMO shall certify that
the qualifications, certifications, and licenses requiring signatures have been documented using electronic
signatures. The forms/formats listed below are mandatory, in the order indicated. The qualification/certifi-
cation record will only contain documents required by individuals to perform their current duties. All other
documents will be returned to the individuals. The qualification/certification record will not contain repro-
duced Enlisted Service Record pages.
10.1.4.7.2 The Qualification/Certification Record (Left Side) (Figure 10.1-7) contains all current
letters/certificates of designation.
10.1.4.7.2.2 Required current medical certifications, for example, audiograms, X-ray Screening, Laser Eye
Testing, Flight Deck Physical, and CPR.
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10.1.4.7.2.4 PQS completion certificates, for example, NAVPERS 1070/604 for shipboard damage control
and 3M.
10.1.4.7.3 The Qualification/Certification Record (Right Side) (Figure 10.1-8) contains billet descrip-
tions/assignments and maintenance training history.
10.1.4.7.3.4 NAVOSH (for current and past 4 years)/Safety Training (Figure 10.1-2).
10.1.4.8.1 Implementation
10.1.4.8.1.1 During the ASM implementation process, the entire content of each individual’s training jacket
will be scanned to provide a historical archive to support proof of qualification/certification for pre-requisite
and QA purposes. The electronic version of the scanned training jacket will be provided via CD to the
command. These CDs shall be retained by the Maintenance Training Program Manager/Fleet Administrator.
Naval Undersea Warfare Center Keyport will also archive these files as a failsafe.
10.1.4.8.1.2 Procedures for completing qualification/certification within areas not 100 percent complete at
the time of ASM implementation, is at the discretion of the command.
10.1.4.8.1.3 Stand-up training is provided to each command as ASM is implemented and in-process training
must continue to ensure adequate knowledge of the software system itself is maintained as personnel transfer.
10.1.4.8.2 Qualification/Certification
10.1.4.8.2.1 Approved qualifiers shall sign all tasks (line items) for individuals who successfully
demonstrate thorough knowledge and practical application capabilities for the perspective qualifica-
tion/certification.
10.1.4.8.2.2 Work center supervisors will forward final qualification/certification recommendations to the
chain of command.
10.1.4.8.2.3 OJT may be documented using NALCOMIS/OMA download. The NALCOMIS/OMA System
Administrator shall be responsible for building the ADHOC Query and providing the Fleet Administrator the
data for download into ASM on a weekly basis.
10.1.4.8.3.1 ASM Command to ASM Command. Individual training jackets will be electronically exported
from the current command database to the receiving command database.
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10.1.4.8.3.2 ASM Command to Non-ASM Command. The ASM command shall transfer the electronic
version onto a CD in .pdf format. The Division Officer shall provide a signed memorandum certifying the
CD to be accurate.
10.1.4.8.3.3 Non-ASM Command to ASM Command. The entire training jacket shall be scanned and placed
on a CD and individual qualification/certifications will be entered into ASM.
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NAVOSH/SAFETY TRAINING
NAME: RATE/RANK:
DATE ARRIVED:
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Fuel Surveillance Program Paragraph 10.2 Indoc. all personnel (as required). (O-level)
Navy Oil Analysis Program Paragraph 10.3 Indoc. all personnel for commands maintaining the
program and follow-on (as required).
Aviators Breathing Oxygen Paragraph 10.4 Indoc. all personnel (as required).
Surveillance Program
Hydraulic Contamination Control Paragraph 10.5 Indoc. all personnel and follow-on (as required).
Program
Tire and Wheel Maintenance Safety Paragraph 10.6 Indoc. all personnel and follow-on (as required).
Program
Quality Assurance Audit Program Paragraph 10.7 Indoc. all personnel and follow-on (as required).
Oil Consumption Program Paragraph 10.8 Indoc. all personnel and follow-on (as required).
(O-level)
Naval Aviation Maintenance Paragraph 10.9 Indoc. all personnel and follow-on (as required).
Discrepancy Reporting Program
Technical Directive Compliance Paragraph 10.10 Indoc. all personnel and follow-on (as required).
Program Special emphasis for supervisors,
Maintenance/Production Control (including Logs
and Records) and Material Control personnel and
QARs/CDQARs/CDIs.
Foreign Object Damage Prevention Paragraph 10.11 Indoc. all personnel and follow-on (as required).
Program
Tool Control Program Paragraph 10.12 Indoc. all personnel and follow-on (as required).
Corrosion Prevention and Control Paragraph 10.13 Indoc. all personnel and follow-on (as required).
Program
Plane Captain Qualification Program Paragraph 10.14 Indoc. all personnel and follow-on (as required).
(O-level)
Egress/Explosive System Checkout Paragraph 10.15 Indoc. all personnel and every 6 months thereafter.
Program (O-level)
Support Equipment Operator Training Paragraph 10.16 Indoc. all personnel and follow-on (as required).
and Licensing Program
Support Equipment Planned Paragraph 10.17 Indoc. all personnel and follow-on (as required).
Maintenance System Program
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Naval Aviation Metrology and Paragraph 10.18 Indoc. all personnel and follow-on (as required).
Calibration Program
Hazardous Material Control and Paragraph 10.19 Indoc. all personnel and follow-on (as required).
Management Program
Individual Component Repair Program Paragraph 10.20 Indoc. all personnel and follow-on(as required).
(I-level)
Electromagnetic Interference/ Paragraph 10.21 Indoc. all personnel and follow-on (as required).
Electrostatic Discharge Program
Miniature/Microminiature Program Paragraph 10.22 Indoc. all personnel and follow-on (as required).
(I-level)
Gas Turbine Engine Test Systems and Paragraph 10.23 Indoc. all personnel and follow-on (as required).
Global Test Facility Operator Training (I-level)
and Certification Program
Aircraft Confined Space Program Paragraph 3.2 Indoc. all personnel and follow-on (as required).
(O-level)
Support Equipment Misuse and Abuse Paragraph 3.2 Indoc. all personnel and follow-on (as required).
Emergency Reclamation Paragraph 3.2 Indoc. all personnel and follow-on (as required).
Paragraph 10.13 Quarterly for Emergency Reclamation Team
members.
Nondestructive Inspection Program Paragraph 3.2 Indoc. all personnel and follow-on (as required).
Maintenance Department Safety Chapter 7 Indoc. all personnel and follow-on (as required).
Program
NOTE: The requirements listed in Figures 10.1-1 and 10.1-2 are not intended to affect the following
personnel/naval aviation maintenance programs which require specific training before an individual
receives a certification/designation/license:
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NAME: RATE/RANK:
DATE ARRIVED:
DATE COMPLETED
TOPIC INSTRUCTOR
Fuel Surveillance Program
Navy Oil Analysis Program
Aviators Breathing Oxygen Surveillance Program
Hydraulic Contamination Control Program
Tire and Wheel Maintenance Safety Program
Quality Assurance Audit Program
Oil Consumption Program
Naval Aviation Maintenance Discrepancy Reporting Program
Technical Directive Compliance Program
Foreign Object Damage Prevention Program
Tool Control Program
Corrosion Prevention and Control Program
Plane Captain Qualification Program
Egress/Explosive System Checkout Program
Support Equipment Operator Training and Licensing Program
Support Equipment Planned Maintenance System Program
Naval Aviation Metrology and Calibration Program
Hazardous Material Control and Management Program
Individual Component Repair List Program
Electromagnetic Interference/Electrostatic Discharge Program
Miniature/Microminiature Program
Gas Turbine Engine Test System and Global Test Facility
Operator Training and Certification Program
Aircraft Confined Space Program
Support Equipment Misuse and Abuse
Emergency Reclamation
Nondestructive Inspection Program
Maintenance Department Safety Program
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NAME RATE
Figure 10.1-6: Required Reading and Maintenance Information Record (CNAF 4790/34) (Sample)
CNAF 4790/34 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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QUALIFICATION/CERTIFICATION RECORD
LEFT SIDE
Name: Rate/Rank:
SSN:
2. Medical certifications, for example, audiograms, X ray, screening, Laser eye testing, flight deck
physical, and CPR.
1. Authority for the collection of information: 5 U.S.C. 301, Department Regulation and E.O. 9397
(SSN).
3. Completion of this form is voluntary. However, failure to complete the form may result in
inaccurate documentation of your training. The principal purpose of the Privacy Act is to enable you to
make known your special considerations and authorization for the release of qualifications/certification
record information.
I understand that this privacy statement applies to all requests for personal information made to my
qualification/certification record and that a signed copy in my qualification/certification record is
evidence of this notification. I further understand that I may receive a copy of this statement from the
Training Department upon request, and will be informed of changes to the system or records for which
this information is compiled and I have the right to review personal data contained in this record.
Signature Date
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QUALIFICATION/CERTIFICATION RECORD
RIGHT SIDE
4. NAVOSH/Safety Training
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10.2.1.1 The Fuel Surveillance Program establishes policy, responsibilities, and requirements for
implementing procedures to maintain a satisfactory level of aircraft and engine fuel systems purity.
10.2.1.2 References:
10.2.2 Discussion
10.2.2.1 The Fuel Surveillance Program applies to all Navy and Marine Corps aircraft, engines, and test
cells. Proper fuel surveillance prevents the harmful effects of fuel contamination which include erratic or
incorrect fuel quantity indications, fuel system icing, and damage to engines and fuel system components.
10.2.2.2 The LMTC responsible for the Fuel Surveillance Program is COMMANDER, ATTN AIR-4.4.1,
NAVAL AIR WARFARE CENTER AIRCRAFT DIVISION, BLDG 2360, 22229 ELMER RD UNIT 4,
PATUXENT RIVER MD 20670-1534, DSN 757-3421 or COMM (301) 757-3421.
10.2.2.3 Condensation of moist air can introduce small amounts of free water in empty or partially filled fuel
cells/tanks. Microbiological organisms can grow if free water is present. Also, particulate matter con-
tamination may be generated within fuel cells/tanks and lines or be introduced during maintenance. As a
precaution against fuel contamination, aircraft maintenance personnel and test cell operators must inspect for
water and foreign matter in fuel cells/tanks on a scheduled basis.
10.2.2.4 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.2.3 Responsibilities
10.2.3.1 COs may authorize pilots-in-command to conduct applicable T/M/S NATOPS pilot inspections,
ensuring servicing requirements are accomplished, and sign the Aircraft Inspection and Acceptance Record
(CNAF 4790/141) in the certification block. Accomplishing these requirements, rather than completing all
daily, turnaround, and fuel sampling requirements, is sufficient for Safe for Flight certification while
operating away from home without qualified maintenance personnel for periods not exceeding 72 hours.
a. Designate, in writing via the MMP/SME listing, a Fuel Surveillance Program Manager. The
Line/Power Line Division Officer or Chief Petty Officer/NCOIC is recommended for O-level activities. The
Power Plants or SE Division Officer or Chief Petty Officer/NCOIC is recommended for I-level activities.
b. Coordinate with the NATOPS Officer to ensure all aircrew are thoroughly trained in fuel sampling
requirements and procedures while operating away from home base.
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NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Ensure all personnel associated with servicing aircraft fuel systems, are knowledgeable of NAVAIR
01-1A-35, NAVAIR 00-80T-109, MIL-HDBK-844(AS), applicable MIMs, MRCs, NATOPS procedures for
their assigned aircraft or test cell, and this instruction.
b. Provide indoctrination and follow-on training to personnel relating to their responsibilities regarding
the Fuel Surveillance Program.
c. Coordinate with the AMO or Production Officer/Director at FRCs to develop training oriented to the
type of aircraft/test cells operated. The syllabus shall include:
(1) Specific procedures and requirements for fuel sampling as outlined in NAVAIR 01-1A-35,
NAVAIR 00-80T-109, MIL-HDBK-844(AS), T/M/S MIMs, MRCs, and NATOPS manuals, or test cell
MIMs/MRCs.
(3) PPE, safety precautions, and HAZMAT procedures for fuel handling.
e. Review CSEC audits and reports to aid in assessing the Fuel Surveillance Program.
10.2.3.4 The QAO/QA Director shall designate, in writing via the MMP/SME Listing, a QAR/QA Specialist
(normally, a Power Plants QAR/QA Specialist) as the Fuel Surveillance Program Monitor. This assignment
does not preclude other QARs/QA specialists from monitoring this program but places the overall
responsibility with one individual.
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a. Notify QA and issue a downing discrepancy against the aircraft or test cell until the fuel system is
determined to be free of contamination.
b. When embarked, ensure fuel samples are drawn and analyzed for flash point and the precautions of
NAVAIR 00-80T-109 are followed whenever an aircraft or test cell receives, or is suspected of receiving,
any fuel other than JP-5. Notify flight deck control not to move the aircraft to the hangar bay until the
flashpoint has been certified to be above 120 degrees Fahrenheit.
c. Debrief aircrew returning from cross-country flights to verify specific fuels used.
d. Ensure fuel systems of preserved aircraft and test cells are monitored per T/M/S MIMs/MRCs or
NAVAIR 15-01-500.
e. Ensure a QAR/QA Specialist inspects fuel cells/tanks for FOD and contaminants immediately prior
to closing (after maintenance has been performed).
f. Ensure adherence to limitations regarding interchangeability of various grades and types of fuel.
Approved (primary and alternate) and emergency fuels are listed in applicable NATOPS or flight handbooks.
10.2.3.7 The Line/Power Line (Plane Captain Branch) Supervisor and Test Cell Supervisor shall:
a. Ensure Fuel Surveillance Program indoctrination and follow-on training is provided to personnel.
Training shall include personnel responsibilities and shall be documented on the NAMP Indoctrination
Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
NOTE: If relatively large quantities of water or particulate matter are present (compared to a normal
sample) or small amounts persist in two samples or from other low point drains, notify
Maintenance Control/Production Control immediately.
d. Retain contaminated samples for inspection by a QAR/QA Specialist or Power Plants CDQAR.
e. Initiate a downing discrepancy when abnormal amounts of water or contaminants are present during
sampling.
f. Ensure adequate supplies of authorized sampling equipment and PPE are on hand per the applicable
and most current MSDS.
a. Ensure integrity of fuel systems during routine maintenance, including covers/caps on open or
removed fuel cells, lines, and components.
NOTE: If the source of contamination is not isolated to a particular fuel cell/tank, the refueling source
shall be determined and the cognizant activity Fuels Officer/Supervisor notified.
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c. Refer to the MIMs and T/M/S NATOPS for possible specific gravity and minimum flow setting
adjustment if aircraft/test cells have been serviced with fuels other than JP-5.
d. Ensure non-RFI and inactive fuel cells/tanks are properly preserved and protected against
contamination.
a. Accomplish fuel sampling per NAVAIR 01-1A-35, MIMs, MRCs, or applicable Air Force, Army, or
FAA approved equivalents when away from home.
c. Be thoroughly familiar with approved emergency fuels and limitations regarding interchangeability
of fuel types and grades.
d. Notify Maintenance Control when fuel other than JP-5 has been used or fuel specific gravity setting
has been adjusted.
e. Ensure adherence to limitations on interchangeability of various grades and types of fuel. Approved
(primary and alternate) and emergency fuels are listed in the applicable NATOPS or flight handbooks.
10.2.4.1 Specific intervals for fuel samples are listed in the applicable aircraft MRCs. Unless otherwise
specified in aircraft MRCs, fuel samples shall be taken within 24 hours preceding the aircraft’s initial launch
and shall not be valid for more than 24 hours.
10.2.4.2 Fuel sampling shall be conducted per the T/M/S MIMs/MRCs/GAI manuals. ISSCs/LMTC shall
provide guidance for aircraft without specified fuel sampling procedures. Minimum procedures are outlined
below:
a. Allow maximum possible time before sampling on aircraft moved or refueled to allow for water and
solids to settle. Whenever operating conditions permit, aircraft should have a minimum of two hours settling
time.
b. Wear PPE, including chemical-resistant gloves and goggles, while taking, handling, and disposing of
fuel samples.
c. Take fuel samples from all fuel cell/tank low point drains, including auxiliary, removable, and in-
flight refueling tanks (approximately one pint from each low point drain) using a one-quart, clear, clean glass
container.
d. A qualified aircrew, shift supervisor, CDI, CDQAR, or QAR/QA Specialist shall visually inspect all
fuel samples for a clear and bright appearance per NAVAIR 00-80T-109 by swirling and checking directly
under the swirl vortex for any discoloration, water, cloudiness, or sediment. If contaminants are present,
retain sample, drain approximately 1 gallon of fuel into bucket or other suitable container, and take another
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sample. If the second sample is contaminated, immediately notify Maintenance Control and give both
samples to QA for inspection.
e. Initiate a downing discrepancy if a satisfactory sample is not achieved after the second sample.
10.2.5.1 Take fuel samples from all fixed and portable engine test stands fuel cells/tanks and accumulators.
10.2.5.2 Take fuel samples prior to first engine run of the day, or weekly as a minimum.
10.2.5.3 Wear PPE, including chemical-resistant gloves and goggles, while taking, handling, and disposing
of fuel samples.
10.2.5.4 Drain/draw samples from lowest possible point below the fuel pickup point.
NOTE: For underground fuel tanks, several fuel sampling methods from various locations are
acceptable. The preferred method is an in-line sample between the pump and filter separator
during flow (T.O. 42B-1-1).
10.2.5.5 Draw approximately one pint of fuel for each sample using a one-quart, clear, clean glass or
polyethylene container.
10.2.5.6 Inspect samples for contamination by swirling and checking directly under the swirl vortex for any
discoloration, water, cloudiness, or sediment. If contaminants are present, retain the sample, drain/draw
approximately 5 gallons (but not more than 10 gallons) of fuel from the low point and take another sample.
If more than 10 gallons are drained to achieve a satisfactory sample, the fuel tank shall be defueled and
cleaned. Notify Production Control and QA immediately.
10.2.5.7 A qualified shift supervisor, CDI, CDQAR, or QAR/QA Specialist shall visually inspect all fuel
samples for a clear and bright appearance with no visible water/sediment per NAVAIR 00-80T-109. Initiate
a downing discrepancy if a satisfactory sample is not achieved after the second sample.
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10.3.1.1 The NOAP establishes policy, responsibilities, and requirements for monitoring equipment
condition in an effort to detect impending failures without equipment removal or extensive disassembly.
10.3.1.2 References:
10.3.2 Discussion
10.3.2.1 The NOAP provides Navy and Marine Corps aviation activities the guidance necessary to achieve
required performance, efficiency, and logistic support by establishing policy for integrated oil analysis
requirements. The Navy participates in the JOAP, a combined Navy, Army, and Air Force effort designed to
ensure timely and accurate oil analysis support by strategically locating oil analysis laboratories and
standardizing procedures and equipment. All aspects of oil servicing, documentation, and trend analysis are
critical to flight.
10.3.2.2 The ISSC is the NOAP MANAGEMENT OFFICE, CODE 4.4.6.1, 85 MILLINGTON AVE,
PENSACOLA FL 32508-5010, DSN 922-5627 or COMM (850) 452-5627 EXT 100.
10.3.2.3 The JOAP TECHNICAL SUPPORT CENTER, 85 MILLINGTON AVE, PENSACOLA FL 32508-
5010, DSN 922-5627 or COMM (850) 452-5627 EXT 101, can provide information regarding correlation,
testing standards, and equipment.
10.3.2.4 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.3.3 Responsibilities
a. Designate, in writing via the MMP/SME listing, the MMCO (O-level) or the Power Plants Division
Officer (I-level) or the designated SME (D-level) as the NOAP Manager.
b. Develop local command procedures for the Navy Oil Analysis Program (as required) per Appendix
D or OPNAVINST 5215.17 for D-level FRCs.
a. Develop local command procedures for the Navy Oil Analysis Program (as required) per Appendix
D or OPNAVINST 5215.17 for D-level FRCs.
b. Ensure all personnel associated with servicing engines and gearboxes are knowledgeable of and
comply with all requirements and procedures outlined in references in paragraph 10.3.1.2, applicable MIMs,
MRCs, and this instruction.
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d. Ensure an appropriate logbook or AESR miscellaneous/history entry is made whenever oil analysis
results indicate abnormal or out of limits wear metal or other oil contamination. Such entry, to include type
and amount of wear metal or other contaminant, corrective action taken and results of subsequent sample
analysis. For AESR and SRC card items this entry will be made in the repair/rework/overhaul section of the
applicable record. For EHR card items this entry will be made in the maintenance record section of the
applicable record.
e. Review NOAP audit data to aid in identifying specific areas of concern and to determine steps
required for program/process improvement.
f. Ensure quantity of oil added to each engine is annotated in block 6 of the Aircraft Inspection and
Acceptance Record (CNAF 4790/141) per this instruction. Block 8 may be used to document gearbox oil,
hydraulic fluid quantity, or other aircraft servicing information.
g. Ensure personnel assigned duties of servicing engines and gearboxes are trained on proper servicing
techniques and documentation requirements.
h. Keep a record of all NOAP/JOAP laboratory results and trends for as long as the equipment is held
by the command. NAVAIR 17-15-50.1 provides an example.
i. Review all NOAP/JOAP laboratory advisories and initiate action as applicable on sample results with
codes other than A per NAVAIR 17-15-50.1.
k. Ensure NOAP indoctrination, follow-on training, and lubrication systems training (to include proper
servicing and documentation procedures) are provided to personnel. Training shall include personnel
responsibilities and shall be documented.
n. Ensure NOAP/JOAP Laboratory Operators meet qualification and training requirements per
NAVAIR 17-15-50.1.
o. Process and return all sample results via the fastest possible means. For samples with abnormal
results, advise the customer activity of the laboratory recommendation no later than 24 hours after sample
receipt per NAVAIR 17-15-50.2.
p. Forward sample results coded other than recommendation A to the appropriate air-
craft/engine/equipment ISSC.
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NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
b. Provide indoctrination and follow-on training to personnel relating to their NOAP responsibilities.
NOTE: Due to the unique organizational structure of D-level FRCs, this training may be given by a
qualified individual, determined by their SME listing.
(2) List of all the activity’s assigned equipment requiring oil analysis. For example, the I-level list
will include AIMD and Engineering Department equipment.
d. Ensure Oil Analysis Requests (DD 2026) (Figures 10.3-1 and 10.3-2) are reviewed for accuracy and
expeditiously forwarded with oil samples to the oil laboratory. Detailed explanations for use and completion
criteria are in NAVAIR 17-15-50.1.
e. Request a "special" oil analysis from the NOAP/JOAP laboratory per NAVAIR 17-15-50.1. Mark
the Oil Analysis Request (DD 2026) and mailing container with red borders to alert the oil laboratory of the
need for immediate processing.
f. Provide feedback to the supporting NOAP/JOAP laboratory, via QA, on any discrepancies found or
other actions taken as a result of oil laboratory recommendations. Examples of reporting feedback appear in
NAVAIR 17-15-50.1.
h. Ensure aircraft on extended cross country flights have the last three oil sample results annotated on
reverse side of Oil Analysis Request (DD 2026) in case of potential sampling requirements at a transient
station oil laboratory.
i. Use CSEC information and reports (provided by the Program Monitor) to aid in identifying specific
areas of concern and to determine steps required for program/process improvement.
j. Ensure adequate supplies of oil sampling kits are available. Information on sampling material
appears in NAVAIR 17-15-50.1.
k. Ensure quantity of oil added to each engine is annotated in block 6 of the Aircraft Inspection and
Acceptance Record (CNAF 4790/141) per this instruction. Block 8 may be used to document gearbox oil,
hydraulic fluid quantity, or other aircraft servicing information.
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l. Ensure personnel assigned duties of servicing engines and gearboxes are trained on proper servicing
techniques and documentation requirements.
10.3.3.4 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR/QA Specialist as the
NOAP Monitor. This assignment does not preclude other QARs from monitoring this program but places the
overall responsibility with one individual.
c. Keep a record of all NOAP/JOAP laboratory results and trends for as long as the engine/equipment is
held by the command. NAVAIR 17-15-50.1 provides an example.
d. Review all NOAP/JOAP laboratory advisories and initiate a MAF/WO on sample results with codes
other than A as listed in NAVAIR 17-15-50.1.
e. Keep a record of all Oil Analysis Requests (DD Form 2026) until test results are reflected on either
the monthly or component enrolled report.
a. Ensure NOAP indoctrination, follow-on training, and lubrication systems training (to include proper
servicing and documentation procedures) are provided to personnel. Training shall include personnel
responsibilities and shall be documented on the NAMP Indoctrination Training sheet (Figure 10.1-5) in the
individual's qualification/certification record.
b. Coordinate with the NOAP Manager to ensure an adequate supply of oil sampling kits.
b. Process and return all sample results via the fastest possible means. For samples with abnormal
results, advise the Maintenance/Production Control Supervisor of the customer activity of the laboratory
recommendation no later than 24 hours after sample receipt per NAVAIR 17-15-50.2.
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c. Maintain a log of all phone calls, message traffic/personal contact regarding recommendations on
equipment with abnormal results per NAVAIR 17-15-50.1.
d. Forward sample results coded other than recommendation A to the appropriate aircraft/engine/equip-
ment ISSC.
g. Ensure adequate quantities of test standards are available and within shelf-life limits per NAVAIR
17-15-50.1.
h. Ensure results from paired correlation samples mailed from the JOAP Technical Support Center are
submitted no later than the 21st of each month per NAVAIR 17-15-50.1.
i. Ensure the Oil Analysis Request (DD 2026) form is accurate and complete. Provide feedback for
improperly completed forms to the submitting unit’s QA for corrective action.
j. For coolanol/polyalphaolefin testing; maintain and use publications and equipment required to
perform coolanol/polyalphaolefin testing per NAVAIR 17-15-50.2 and ensure coolanol/polyalphaolefin
sample test data is entered in the computer and a copy is returned to the customer activity.
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10.4.1.1 The ABO Program establishes policy, responsibilities, and requirements for implementing and
maintaining techniques to prevent contamination of aircraft oxygen systems and components through careful
and safe handling, surveillance, and quality control.
NOTE: Navy and Marine Corps units that operate UAS (Groups 3 though 5) are exempt from the ABO
Surveillance Program. Navy and Marine Corps units that operate UAS along with manned
aircraft, only UAS are exempt from the ABO Surveillance Program.
10.4.1.2 References:
g. NAVAIR AG-115SL-OMP-000, Cryogenics Sampler Model FCS 2001 Part Number 600646.
i. MIL-STD-3007, Standard Practice for Unified Facilities Criteria and Unified Facilities Guide
Specifications.
j. NAVAIR 17-15-98, A/E24T-226 Analyzer Set, Contaminate, Aviators Breathing Oxygen Part
Number 3346AS100-1.
k. NAVAIR 17-15-534, Operation and Intermediate Maintenance with Illustrated Parts Breakdown,
Analyzer, Aviator’s Breathing Oxygen (ABO), A/E26T-3 Part Number 3964AS100-1.
l. NAVAIR 19-25D-26, Liquid Oxygen Servicing Trailer, Type TMU-70/M Part Number 22455.
m. NAVAIR 19-600-138-6-1, Preoperational Checklist, Storage Tank, Liquid Oxygen Low Loss,
Closed Loop, TMU-70/M.
10.4.2 Discussion
10.4.2.1 The ABO Surveillance Program involves the manufacture, use, handling, and servicing of oxygen
and related SE. ABO must conform to stringent quality standards and be safely delivered through approved
equipment. Poor quality oxygen presents a hazard to aircrew, maintenance personnel, and equipment.
10.4.2.2 The ISSC for the ABO Surveillance Program is COMMANDING OFFICER, NAVAL AIR
WARFARE CENTER AIRCRAFT DIVISION, CODE 4.8.6.10, HWY 547, LAKEHURST NJ 08733-5090,
DSN 624-2963/7787 or COMM (732) 323-2963/7787.
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10.4.2.3 Oxygen comes in two states, gaseous and liquid. LOX is converted to a gaseous state prior to
delivery to the aircrew and requires frequent and continuous surveillance for the detection of contamination.
Surveillance begins with the generation or procurement of LOX/gaseous oxygen and continues through
storage, handling, transfer, and servicing of aircraft and oxygen systems. Continuous monitoring will ensure
contaminants, for example, hydrocarbons, inert solids, particulate matter, moisture, carbon dioxide, toxic and
odorous contaminants, nitrous oxide, and halogenated compounds, are immediately detected and eliminated.
10.4.2.4 Safety regulations must be conscientiously practiced and rigidly enforced. NAVAIR 06-30-501,
NAVAIR 13-1-6.4-1, NAVAIR 13-1-6.4-2, NAVAIR 13-1-6.4-3, NAVAIR 13-1-6.4-4, NAVAIR A6-
332AO-GYD-000, NAVAIR 19-25D-26, and NAVAIR AG-115-SL-OMP-000 outline hazards and
established safety procedures for oxygen systems. Knowledge of appropriate safety equipment and correct
maintenance handling, servicing, sampling, and storage procedures are essential. A thorough understanding
of potential hazards will prevent mishaps.
WARNING: SEVERE COLD BURNS MAY BE CAUSED WHEN THE HUMAN BODY COMES IN
CONTACT WITH SURFACES COOLED BY LOX. THE SEVERITY OF THE BURN
DEPENDS UPON THE CONTACT AREA AND CONTACT TIME. FIRE, EXPLOSION,
AND EQUIPMENT FAILURE ARE OTHER TYPICAL THREATS.
10.4.2.5 All LOX/gaseous oxygen operations shall be performed by two or more qualified persons, except
for removal and replacement of aircraft LOX converters. Qualified is defined as properly trained and
licensed to perform all tasks involving LOX/gaseous oxygen handling and servicing.
10.4.2.6 PPE use is essential to prevent personnel injury. NAVAIR 06-30-501 and NAVAIR 13-1-6.4-1,
NAVAIR 13-1-6.4-2, NAVAIR 13-1-6.4-3, NAVAIR 13-1-6.4-4 provide specific information and minimum
requirements for PPE.
10.4.2.7 Marine Corps and designated overseas Navy oxygen and nitrogen generating plants shall be
operated and maintained as Work Center 820. The plant equipment shall be considered SE and maintained as
such.
10.4.2.8 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.4.3 Responsibilities
a. Designate, in writing via the MMP/SME listing, an ABO Surveillance Program Manager.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
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b. Provide indoctrination and follow-on training to all personnel involved in the manufacture, use,
handling, and servicing of oxygen and related SE. Include indoctrination on dangers of LOX/gaseous oxygen
and related systems.
c. Ensure only qualified personnel perform oxygen related functions and only licensed personnel
operate oxygen servicing SE.
d. Ensure required PPE is available for personnel handling, servicing, and sampling/performing
maintenance on LOX systems and oxygen servicing SE.
(2) Historical records/reports, for example, analyzer correlation results and Industrial Hygienist air
exchange results.
g. Review periodic records of spectrophotometer operating parameters to detect performance trends per
NAVAIR 17-15-98.
h. Ensure all personnel dealing with oxygen are familiar with, and comply with, proper safety and
operating procedures per NAVAIR 06-30-501, NAVAIR 13-1-6.4-1, NAVAIR 13-1-6.4-2, NAVAIR 13-1-
6.4-3, NAVAIR 13-1-6.4-4, NAVAIR A6-332AO-GYD-000, NAVAIR 19-25D-26, and NAVAIR AG-115-
SL-OMP-000.
i. Ensure aircraft/SE oxygen systems are purged per applicable MRCs/MIMs, or other directives at
intervals specified.
j. Ensure PM is performed on all oxygen servicing equipment to ensure quality standards are
maintained.
l. Ensure all On Board Oxygen Generating System components are handled with the same care as
LOX/gaseous oxygen components to prevent contamination.
m. Use CSEC information and reports (provided by the Program Monitor) to aid in identifying specific
areas of concern and to determine what steps are required for program/process improvement.
10.4.3.3 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR (normally an AME,
PR, or D-level equivalent QA Specialist) as the ABO Surveillance Program Monitor. This assignment does
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not preclude other QARs/QA specialists from monitoring this program, but places the overall responsibility
with one individual.
NOTE: AIMD shall perform ABO audits on CVW LOX servicing operations when embarked and
provide audit results to the CVW MO.
a. Ensure aircraft/SE oxygen systems are purged per MIMs/MRCs, or other pertinent directives, at
prescribed intervals.
c. Take prompt action when contamination or odors in oxygen systems are reported.
a. Ensure ABO Surveillance Program indoctrination and follow-on training is provided to required
personnel to include those personnel involved in the manufacture, use, handling, and servicing of oxygen and
related SE. All personnel associated with the ABO Surveillance Program shall have a thorough knowledge
of the characteristics of LOX/gaseous oxygen, hazards of contamination, and need for quality standards.
They shall be familiar with and comply with procedures outlined in NAVAIR 06-30-501, NAVAIR 13-1-
6.4-1, NAVAIR 13-1-6.4-2, NAVAIR 13-1-6.4-3, NAVAIR 13-1-6.4-4, NAVAIR A6-332AO-GYD-000,
NAVAIR AG-115-SL-OMP-000, NAVAIR 06-20-2, MIL-STD-3007, NAVAIR 17-15-98, NAVAIR 17-15-
534, NAVAIR 19-25D-26, NAVAIR 19-600-138-6-1, MIMs, and MRCs (as applicable) to the oxygen
servicing/maintenance tasks they perform. Training shall include personnel responsibilities and shall be
documented on the NAMP Indoctrination Training sheet (Figure 10.1-5) for O-level and IMAs and as
appropriated by COMFRC activities in the individual's qualification/certification record.
c. Maintain LOX converters per NAVAIR 13-1-6.4-1 and oxygen servicing SE, supplies, and tools per
applicable manuals.
e. Ensure all tools/tool boxes used on oxygen systems and servicing SE are marked "OXYGEN USE
ONLY".
f. Provide proper PPE for work center personnel and ensure it is used. When involved in handling
LOX, ensure all personnel present are wearing PPE.
g. Require all personnel to follow safety precautions and regulations while performing maintenance on
oxygen systems.
h. Ensure a clean 6-inch deep drip/drain pan is used for LOX operations, is identified "LOX USE
ONLY", and is free from dirt, grease, oil, fuel, hydraulic fluid, and other hydrocarbons.
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j. Keep equipment and areas around oxygen system components clean and free of oil and petroleum
products.
k. Ensure all operations involving the handling of liquid or gaseous oxygen are performed by two or
more ABO qualified persons except for removal and replacement of aircraft LOX converters.
NOTE: The removal and replacement of aircraft LOX converters shall be performed by a qualified
person.
(1) Aviators Breathing Oxygen (ABO) Test Site Operator/Analyst course (Course C-670-2018).
(2) Aircrew Survival Equipmentman Common Core Class A1 course (Course C-602-2043).
NOTE: For material engineering laboratories, acceptable training may be obtained via a senior chemist,
equipment operator, or an accredited university.
b. Actively involved with ABO analysis. Personnel who do not interpret sample scans within a two-
year period shall be required to complete all initial certification requirements.
c. Knowledgeable with ABO sampling procedures and analyzing requirements of NAVAIR A6-
332AO-GYD-000 and NAVAIR AG-115-SL-OMP-000.
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10.5.1.1 The Hydraulic Contamination Control Program establishes policy, responsibilities, and require-
ments for implementing and maintaining techniques to achieve and maintain a satisfactory level of fluid
purity in hydraulic systems and provides for safe and efficient operation of naval aircraft, weapon systems,
and SE.
NOTE: Navy and Marine Corps units that operate the MQ-8B (Fire Scout) UAS are exempt from the
Hydraulic Contamination Control Program.
10.5.1.2 References
c. NAVAIR 17-15-521, Operations and Intermediate Maintenance Instruction with IPB Particle
Counting System Part Number 8011-3.
10.5.2 Discussion
10.5.2.1 Direction provided here is applicable to all Navy and Marine Corps activities and personnel
concerned with the operation, maintenance (including rework), design, development, production, training and
other support of aircraft hydraulic systems, airborne hydraulic equipment, components, related SE and
supporting facilities and installed equipment. The requirements of this instruction shall be adhered to by
commercial activities and other government agencies performing contract maintenance, production, or other
support functions on naval aircraft and related hydraulic equipment by specific inclusion in procurement or
contractual documentation. Every artisan/technician performing maintenance on hydraulic systems must be
aware of the causes and effects of hydraulic contamination and those practices and procedures required to
prevent contamination. Supervisory personnel shall be informed and shall ensure acceptable standards are
met.
10.5.2.2 Hydraulic fluid contamination causes hydraulic system and component failures and presents a
serious threat to flight safety. Typical contaminants include metallic and nonmetallic debris (self-generated
and externally introduced), water, or other foreign fluids, all of which serve to degrade hydraulic system
performance and component life. A complete particulate categorization appears in NAVAIR 01-1A-17.
10.5.2.3 The LMTC responsible for the Hydraulic Contamination Program is COMMANDING OFFICER,
FLEET READINESS CENTER EAST, CODE 4.3.4.2, PSC BOX 8021, CHERRY POINT NC 28533-0021,
DSN 451-9767 or COMM (252) 464-9767.
10.5.2.4 Stringent contamination control is required at all levels of maintenance to ensure flight safety and
the highest degree of hydraulic system readiness. An aggressive hydraulic fluid surveillance program, with
sampling/testing accomplished (as required), will ensure hydraulic fluids are maintained within acceptable
contamination limits. Maximum acceptable hydraulic fluid particulate contamination levels are Navy
Standard Class 5 for aircraft and Navy Standard Class 3 for SE.
10.5.2.5 An electronic particle counter is the preferred hydraulic fluid contamination analysis equipment and
shall be used when available. The Hydraulic Fluid Contamination Analysis Kit, Part Number 57L414 (or
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authorized equivalent), may be used when a particle counter is not readily available at O-level or supporting
I-level.
10.5.2.6 Purification is the process of removing air, water, solid particles, and chlorinated solvents from
hydraulic fluids. Using a purifier to clean aircraft and SE will reduce fluid consumption and replace the need
for flushing.
10.5.2.7 Decontamination procedures shall be used to restore affected systems to acceptable levels when
equipment fails to meet required Navy standard cleanliness levels. Acceptable contamination levels, related
maintenance doctrine, and detailed maintenance requirements in NAVAIR 01-1A-17 shall be strictly
enforced.
10.5.2.8 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS for O-level, IMA/FRC maintenance shall be filed in the individual's
qualification/certification record.
10.5.3 Responsibilities
10.5.3.1 The Wing/MALS D-level activities shall develop an open-book written examination for the
Hydraulic Contamination Control Program for the specific T/M/S. Passing score is 80 percent. The
Wing/MALS D-level activities shall review the test annually.
a. Designate, in writing via the MMP/SME listing, a hydraulic contamination control certified
individual as Hydraulic Contamination Control Program Manager.
b. Develop local command procedures for the Hydraulic Contamination Control Program (as required)
per Appendix D.
c. Designate personnel authorized to perform hydraulic sampling and contamination analysis using
Figure 10.5-1 or applicable D-level designation form.
NOTES: 1. Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
2. All COMNAVAIRFOR authorized D-level FRC equivalent forms shall contain, at a
minimum, all data elements required by the corresponding NAMP form.
a. Be thoroughly familiar with applicable requirements of the references in paragraph 10.5.1.2, MIMS,
MRCs, and this instruction.
b. Ensure all personnel involved with servicing aircraft/SE hydraulic components and systems receive
initial and follow on Hydraulic Contamination Control program training. Training shall include requirements
and procedures in the references in paragraph 10.5.1.2, applicable TMS MIMs/MRCs, and this instruction.
Training shall be documented within the individual’s Qualification/Certification Record.
NOTE: Personnel certified by a previous command shall perform required reading for the specific
T/M/S, pass the written examination, and demonstrate practical proficiency. The written exam-
ination is not required for those personnel currently certified by a previous command with the
same T/M/S aircraft. The individual’s qualification/certification record shall be annotated as
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previously complied with. Previous certification records shall be retained in the qualifica-
tion/certification record.
c. Provide indoctrination training to all personnel (including supervisors and QA personnel) prior to
conducting aircraft or SE hydraulic component maintenance, or hydraulic SE operation. Provide follow-on
training (as required).
NOTE: Due to the unique organizational structure of D-level activities, this training may be given by a
qualified individual as determined by their SME listing.
d. Ensure all personnel authorized to conduct aircraft/SE hydraulic systems sampling and analysis are
designated using the Hydraulic Contamination Control Designation (Figure 10.5-1) or equivalent D-level
designation form and have completed the Hydraulic Contamination Control Qualification/Certification
Worksheet (Figures 10.5-2 and 10.5-3) or equivalent D-level qualification/certification form for each analysis
method, for example, HIAC PODS and Hydraulic Patch Test Analysis Kit P/N 57L414. Each qualification
shall consist of five OJT sessions and one practical monitored by a qualified QAR and shall be documented
on a separate Hydraulic Contamination Control Qualification/Certification Worksheet (Figure 10.5-3) or
equivalent D-level qualification/certification form.
(2) A list of all assigned equipment and aircraft hydraulic components, for example, WRAs and
FOM, requiring hydraulic sampling.
g. Ensure additional analysis qualifications attained after initial qualification shall contain
corresponding additional required reading items per Figure 10.5-2, lines 6-13, or equivalent D-level form. A
new Hydraulic Contamination Control Qualification/Certification Worksheet (figures 10.5-2 and 10.5-3) or
equivalent D-level qualification/certification form shall be routed with the entire qualification package
through the Department Head for signature.
10.5.3.4 The QA Officer shall designate, in writing via the MMP, a QAR as the Hydraulic Contamination
Control Program Monitor. This assignment does not preclude other qualified QARs from monitoring this
program, but places the overall responsibility with one individual.
c. Verify aircraft and SE hydraulic systems filters are changed, and sampling and analysis conducted
per NAVAIR 01-1A-17, MIMs/MRCs, and preoperational requirements.
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d. Maintain a Hydraulic Contamination Control Trend Analysis Chart (Figure 10.5-4) for each assigned
aircraft and SE requiring hydraulic sampling. Each currently completed aircraft and SE Hydraulic
Contamination Control Trend Analysis Chart shall be retained until the next chart is completed.
Organizations that subcustody SE shall maintain Hydraulic Contamination Control Analysis Charts while the
SE is in their custody.
e. Administer an open-book written examination for the Hydraulic Contamination Control Program.
Any QAR may administer the examination.
f. Observe sampling and analysis techniques periodically, as well as during work center audits. Check
hydraulic work center spaces for cleanliness, safety precautions, SE upkeep and abuse, facility adequacy, use
and availability of authorized materials, and compliance with applicable hydraulic maintenance technical
data.
g. Verify the work center uses appropriate methods, per NAVAIR 01-1A-17, to prevent introduction of
contamination into hydraulic systems opened for maintenance and components being returned to Supply or
removed to FOM.
h. Verify only authorized fluid dispensing SE is used and such SE is maintained in a high standard of
cleanliness. All servicing SE will be equipped with 3-micron (absolute) filtration.
a. Ensure hydraulic fluid is sampled and analyzed during acceptance of assigned aircraft and SE.
b. Ensure the Hydraulic Contamination Control Trend Analysis Chart (Figure 10.5-4) is included in the
aircraft logbook Miscellaneous/History (CNAF 4790/25A) and SE Custody and Maintenance History Record
(CNAF 4790/51) upon transfer of aircraft and SE (if applicable).
c. Ensure appropriate aircraft logbook (CNAF 4790/25A) and SE record (CNAF 4790/51) entries are
made for hydraulic samples.
d. Screen MAFs/WOs in-process to ensure that hydraulic sampling was conducted and annotated per
NAVAIR 01-1A-17, MIMs, and MRCs.
NOTE: Includes verifying hydraulic samples are recorded for aircraft and SE transferred from a depot
or commercial repair activity.
a. Place the previous and current Hydraulic Contamination Control Trend Analysis Chart (Figure
10.5-4) with the aircraft logbooks prior to aircraft transfer. When hydraulic system sampling reveals Navy
Standard Class 5 contamination is exceeded, evidence of water, or any other form of contamination requiring
decontamination per NAVAIR 01-1A-17, make an entry in the Miscellaneous/History (CNAF 4790/25A)
section of the aircraft logbook (indicate date, type contamination, class, method of decontamination, and
appropriate reference). In addition, during aircraft acceptance from a depot, commercial repair activity, or
another reporting custodian, hydraulic system sampling results shall be entered in the Miscellaneous/History
(CNAF 4790/25A) section.
b. Place the previous and current Hydraulic Contamination Control Trend Analysis Chart (Figure
10.5-4) with the SE Custody and Maintenance History Record (CNAF 4790/51) prior to SE transfer. When
hydraulic sampling reveals Navy Standard Class 3 contamination is exceeded, evidence of water, or any other
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form of contamination requiring decontamination per NAVAIR 01-1A-17, make an entry in the SE Custody
and Maintenance History Record (CNAF 4790/51) Miscellaneous History Record section (indicate date, type
contamination, class, method of decontamination, and appropriate reference). In addition, during SE
acceptance from a depot, commercial repair activity, or another reporting custodian, hydraulic system
sampling shall be performed and the results entered in the Miscellaneous History Records section of the SE
Custody and Maintenance History Record (CNAF 4790/51).
a. Become thoroughly familiar with the requirements of the references in paragraph 10.5.1.2, applicable
MIMS, MRCs and this instruction.
b. Ensure Hydraulic Contamination Control Program indoctrination and follow-on training is provided
to personnel. Training shall include personnel responsibilities and shall be documented on the NAMP
Indoctrination Training sheet (Figure 10.1-5) or D-level equivalent training sheet in the individual’s
qualification/certification record.
c. Ensure each area responsible for hydraulic component/system repair, disassembly, inspection,
reassembly, and testing have ready access to and complies with the hydraulic system contamination control
requirements and procedures of references in paragraph 10.5.1.2, applicable MIMs and MRCs, and this
instruction.
d. Ensure all hydraulic component/system repair, disassembly, inspection, reassembly, and testing are
conducted per NAVAIR 01-1A-17 and NAVAIR 01-1A-20.
e. Ensure all internal and external hoses on aircraft, SE units used to apply pressure to aircraft systems,
and SE servicing units are marked/etched per NAVAIR 01-1A-20 or applicable MIMs/MRCs.
f. Ensure NAVAIR 01-1A-17, NAVAIR 01-1A-20, and applicable MIMs/MRCs are required reading
for indoctrination training for those personnel working on hydraulic systems.
h. Whenever aircraft/SE hydraulic system integrity is broken, ensure fittings, lines, and components are
capped/plugged immediately (using approved closures), and are handled and stored in a manner that prevents
damage and contamination.
i. Maintain the Hydraulic Fluid Contamination Analysis Kit, Part Number 57L414, and electronic
particle counter in an RFI status per applicable MIMs/MRCs and preoperational requirements.
k. Ensure hydraulic fluid analyses are performed per NAVAIR 01-1A-17, MIMs/MRCs, equipment
preoperational requirements, and during aircraft and SE acceptance inspections.
l. Ensure only authorized fluid dispensing SE is used and is maintained in a high standard of
cleanliness. All servicing SE will be equipped with 3-micron (absolute) filtration. SE used to service or
maintain aircraft hydraulic systems are configured, maintained, and operated in a manner consistent with
detail and requirements of the Hydraulic Contamination Control Program. Refer to NAVAIR 01-1A-17 for
applicable minimum requirements.
m. Ensure all hydraulic samples performed are sent to QA or designated D-level department for
hydraulic contamination control trend analysis.
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NOTE: An effective fluid surveillance program is established and remains in affect. Hydraulic fluid
from all operating equipment shall be sampled and tested on a periodic basis. When equipment
fails to meet the required Navy standard class level, decontamination procedures shall be used
to restore the affected system to an acceptable level.
10.5.3.9 Personnel certified by a previous command shall perform required reading for the specific T/M/S,
pass the written examination, and demonstrate practical proficiency to a qualified QAR. The written
examination is not required for those personnel currently certified by a previous command with the same
T/M/S aircraft. All other sections of Figures 10.5-2 and 10.5-3 shall be annotated as previously complied
with. Previous certification records shall be retained in the qualification/certification record.
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From:
(Department Head)
To:
(Individual Designated)
Via:
(Hydraulic Contamination Control Program Manager)
1. You are designated as a Hydraulic Contamination Control Analysis Technician and shall perform your
duties per reference (a).
2. I certify that I have read and understand the duties and responsibilities of the assigned billet and shall
perform the duties to the best of my ability.
Original to:
Individual’s Qualification/Certification Record
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NAME RATE/RANK
A. REQUIRED READING:
1. COMNAVAIRFORINST 4790.2
Chapter 10, paragraph 10.5 Signature Date
6. Signature Date
7. Signature Date
8. Signature Date
9. Signature Date
NOTE: All required reading shall be accomplished prior to taking hydraulic samples and performing analysis.
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B. OJT: Five samples must be taken, analyzed, and witnessed by a CDI. The sixth sample shall be taken
and analyzed while being monitored by a qualified QAR. (This section is required for both hydraulic fluid
contamination analysis kit and electronic particle counter qualification.)
C. TESTING: Complete open-book Hydraulic Contamination Control Program test (80% minimum).
D. CERTIFICATION VERIFICATION/REQUEST:
The above named individual has satisfactorily completed all prerequisites for hydraulic system sample
analysis certification.
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HISTORY TREND
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10.6.1.1 The Tire and Wheel Maintenance Safety Program establishes policy, responsibilities, and
requirements for implementing procedures for maintaining and storing aircraft, SE, and AWSE tires and
wheels in all Navy and Marine Corps aviation activities.
10.6.1.2 References:
c. OPNAVINST 5100.19, Navy Safety and Occupational Health (SOH) Program Manual for Forces
Afloat.
d. OPNAVINST 5100.23, Navy Safety and Occupational Health (SOH) Program Manual.
e. NAVAIR 00-80T-96, Basic Handling & Safety Manual, US Navy Support Equipment Common.
j. NAVAIR 17-1-123, Tire Inflator Assembly Kit Part Number M85352/1. Dual Chuck Stem Gage
Part Number M85352/4.
l. NAVAIR 17-600-174-6-1, Preoperational Checklist Tire Inflator Assembly Kit (Part Number
M85352/1), Dual Chuck Stem Gage (Part Number M85352/4).
o. NAVAIR 19-1-55, Aircraft Wheel Holder and Tire Bead Breaking Machine Models LEE-1 and LEE-
1X.
10.6.2 Discussion
10.6.2.1 Mishandling of aviation tires and wheels can result in the injury or death of aviation maintenance
personnel. Many accidents have been caused by failure to follow established tire/wheel maintenance
procedures and safety precautions, usually due to inadequate training and supervision. Additionally, faulty
I-level maintenance procedures and the inability of O-level maintenance personnel to recognize visible
tire/wheel defects have caused catastrophic tire/wheel assembly failures.
10.6.2.2 The LMTC for tires is COMMANDING OFFICER, FRCSW NORTH ISLAND, CODE 4.3.4.4,
SAN DIEGO CA 92135-7058, DSN 735-8675 or COMM (619) 545-8675.
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10.6.2.3 The ISSC for SE/AWSE Tires/Wheels is COMMANDING OFFICER, NAVAL AIR WARFARE
CENTER AIRCRAFT DIVISION, CODE 4.8.6.9, LAKEHURST NJ 08733-5000, DSN 624-7906 or COMM
(732) 323-7906.
10.6.2.4 Aircraft, SE, and AWSE wheel assemblies are of three basic types; solid rim, split rim, and
demountable flange. Split rim and demountable flange wheels are susceptible to explosive separation
because of their basic design. The destructive potential of air or nitrogen under pressure is tremendous.
Inflated and partially inflated tires shall be handled with the same respect and precautions normally applied to
handling live ordnance.
10.6.2.5 Individuals must be fully aware of safety precautions and correct tire/wheel maintenance procedures
to ensure against personnel injury or tire/wheel failure after installation. Training, outlined in Figures 10.6-1
through 10.6-17 (as applicable), shall be completed before personnel involved in maintenance of
aircraft/SE/AWSE tires/wheels are certified to work independently.
10.6.2.6 O-level tire/wheel maintenance, accomplished by both O-level and I-level activities, is defined as
removal, replacement, servicing, and handling of aircraft, SE, and AWSE wheel assemblies. I-level
maintenance is defined as tear-down and build-up of aircraft, SE, and AWSE wheel assemblies and shall only
be performed by activities authorized to accomplish I-level repair.
10.6.2.7 RFI aircraft tire/wheel assemblies shall not exceed 100 pounds PSIG or 50 percent of test pressure,
whichever is less, while being stored. RFI SE/AWSE tire/wheel assemblies shall not exceed 15 pounds PSIG
or 50 percent of service pressure, whichever is less, while being stored. All RFI tires being transported off
station shall not exceed 25 pounds PSIG of pressure.
10.6.2.8 All aircraft tires are considered to be potentially rebuildable (retreadable), although due to technical
or economic considerations certain tires are not being rebuilt. Tires shall not be discarded or scrapped until
determined they are nonserviceable per NAVAIR 04-10-506. Strict adherence to these requirements will
ensure a successful tire rebuilding (retreading) program.
10.6.2.9 To attain expected service life, aeronautical equipment bearings must be protected and maintained
during mounting and assembly, while in storage, and throughout operating life. They shall be protected
against rough or careless handling. Precautions to prevent contamination from abrasives, improper grease,
solids, and fluids shall be instituted. Maintenance programs outlined in NAVAIR 01-1A-503 include
periodic inspection and lubrication requirements.
10.6.2.10 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.6.3 Responsibilities
a. Designate, in writing via the MMP, a certified tire/wheel individual as the Tire and Wheel
Maintenance Safety Program Manager.
(1) An SE/AWSE I-level maintenance certified individual as the SE/AWSE Tire and Wheel
Maintenance Safety Program Manager for the I-level activities.
(2) An aircraft I-level maintenance certified individual as the Aircraft Tire and Wheel Maintenance
Safety Program Manager for the I-level activities.
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(3) An aircraft O-level maintenance certified individual as the Aircraft Tire and Wheel Maintenance
Safety Program Manager for O-level activities.
b. Develop local command procedures (as required) per Appendix D or OPNAVINST 5215.17 for D-
level FRCs.
c. Certify personnel who have completed tire/wheel maintenance safety training requirements, using
Figures 10.6-1 through 10.6-17 (as applicable).
a. Provide input to the MO for the development of local command procedures (as required) per
Appendix D.
b. Ensure training is conducted for personnel handling and transporting tire/wheel assemblies per
paragraph 10.6.3.3.b below.
c. Ensure personnel are briefed on the hazards, safety, and handling procedures associated with
Beryllium (if applicable).
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
NOTE: At D-level FRCs, develop an open-book written examination to support the above indoctrination
with particular emphasis on tire and wheel safety.
c. Ensure personnel selected to perform aircraft/SE/AWSE tire/wheel maintenance are fully trained and
qualified prior to submitting Figures 10.6-1 through 10.6-17 (if applicable) for certification.
e. Use CSEC information and reports (provided by the Program Monitor) to identify specific areas of
concern and to determine what steps are required for improvement.
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g. Ensure the following video cassettes are available for use as instructional aids (as required):
(3) Servicing Multi-Piece Wheel Rims (OSHA) (recommended, SE and AWSE only).
(4) Servicing Single Piece Wheel Assemblies (OSHA) (recommended, SE and AWSE only).
10.6.3.4 The QA Officer shall designate, in writing via the MMP/SME listing, a certified tire/wheel
QAR/QA Specialist as the Tire and Wheel Maintenance Safety Program Monitor. This assignment does not
preclude other certified QARs/QA specialists from monitoring this program but places the overall
responsibility with one individual.
c. Develop an open-book written examination with emphasis on safety. Any QAR/QA Specialist may
administer the examination. The minimum passing score is 90 percent.
NOTE: At D-level FRCs, assist designated Program Manager in developing an open-book examination
per paragraph 10.6.3.3b.
a. Assist the Program Manager coordinating training for personnel handling and transporting tire/wheel
assemblies.
b. Ensure personnel handling and transporting tire/wheel assemblies are trained per paragraph
10.6.3.3b.
a. Ensure Tire and Wheel Maintenance Safety Program indoctrination and follow-on training is
provided to personnel. Training shall include personnel responsibilities and shall be documented on the
NAMP Indoctrination Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
b. Caution personnel performing tire/wheel maintenance to handle inflated and partially inflated wheel
assemblies with the same respect and care as live ordnance, due to the destructive potential of gas under
pressure.
c. Display the Aircraft Tires, Tubes and Wheels Inflation/Deflation Safety Precautions Poster (C12G1-
1163 Rev. May 06) in work centers performing tire/wheel maintenance functions. Posters may be obtained
by contacting: COMMANDER, NAVAL SAFETY CENTER, 375 A STREET, NORFOLK VA 23511-4399
or web site (http://www.safetycenter.navy.mil).
d. Ensure bearings are protected from careless handling and contamination from abrasives, improper
greases, solids, fluids, and salt water per NAVAIR 01-1A-503.
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10.6.3.8 Previous Certification. Personnel certified by a previous command on the same T/M/S
aircraft/SE/AWSE tires/wheels shall pass the written examination and demonstrate practical proficiency to a
certified tire/wheel QAR/QA Specialist. All other sections of Figures 10.6-1 through 10.6-17 shall be
annotated "previously complied with". Previous certification records shall be retained in the
qualification/certification record.
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Signature Date
B. (T/M/S) Main Mount Wheel Bearings
Removal/Cleaning/Inspection/Handling/
Lubrication/Installation
I. Documentation Procedures
5. Certification: A QAR, certified in tire and wheel maintenance, will sign each area only after the
individual has demonstrated proficiency and awareness of all procedures and safety precautions. One
separate line for each T/M/S is required (applicable for A through J).
Signature: Date:
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Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
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MO Signature: Date:
Original to:
Individual's Qualification/Certification Record
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NOTE: All required reading and viewing of video shall be accomplished prior to starting the tire/wheel
maintenance OJT.
4. OJT: A technician, certified in tire and wheel maintenance, will sign off/date each area of OJT each time
the individual performs a task under supervision (applicable for A through H).
NOTE: Each OJT area requires a minimum of three tasks for each type assembly.
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Signature Date
A. Bearings/Removal, Cleaning/
Inspection/Handling/Lubrication/Installation
(if applicable)
H. Documentation Procedures
5. Certification: A QAR, certified in tire and wheel maintenance, will sign each area only after the
individual has demonstrated proficiency and awareness of all procedures and safety precautions.
Signature: Date:
Signature: Date:
Signature: Date:
Figure 10.6-6: Support Equipment/Armament Weapons Support Equipment Tire/Wheel Maintenance
Qualification/Certification Requirements - O-Level (continued)
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Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
H. Documentation Procedures
Signature: Date:
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MO Signature: Date:
Original to:
Individual’s Qualification/Certification Record
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Name: Rate/Rank:
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H. Documentation Procedures
I. Use/Handling of Beryllium
5. Certification: A QAR/QA Specialist, certified in tire and wheel maintenance, will sign each area only
after the individual has demonstrated proficiency and awareness of all procedures and safety precautions. One
separate line for each T/M/S is required (applicable for A through I). An artisan certified in tire and wheel
maintenance and designated in writing by the Production Control officer/equivalent officer as certifier for tire
and wheel practical examinations, will sign each area only after the individual has demonstrated proficiency
and awareness of all procedures and safety precautions.
A. (P/N) Tire/Wheel Assembly Bearings Removal/Cleaning/Inspection/Lubrication
Installation
Signature: Date:
Signature: Date:
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Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
H. Documentation Procedures
Signature: Date:
Signature: Date:
QAR, QA Specialist, or
Certified Artisan Signature: Date:
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Individual’s Qualification/Certification Record
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1. OJT: A certified technician will sign off/date each area of OJT each time the individual performs a task
under supervision (applicable for A and B).
NOTE: Each OJT area requires a minimum of three tasks for each P/N.
Signature Date
A. (P/N) Tire /Wheel Assembly
Bearings Removal/Cleaning/Inspection
Lubrication/Installation
2. Certification: A QAR/QA Specialist certified in tire and wheel maintenance, will sign each area only after
the individual has demonstrated proficiency and awareness of all procedures and safety precautions.
Signature: Date:
Signature: Date:
MO Signature: Date:
Original to:
Individual’s Qualification/Certification Record
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Name: Rate/Rank:
4. OJT: A technician, certified in tire and wheel maintenance, will sign off/date each area of OJT each time
the individual performs a task under supervision (applicable for A through I).
NOTE: Each OJT area requires a minimum of three tasks for each type assembly.
Signature Date
A. Bearings/Removal Cleaning/
Inspection Handling/Lubrication/
Installation (if applicable)
Figure 10.6-14: Support Equipment/Armament Weapons Support Equipment Tire/Wheel
Maintenance Qualification/Certification Requirements - I-Level or D-Level
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I. Documentation Procedures
5. Certification: A QAR/QA Specialist, certified in tire and wheel maintenance, will sign each area only
after the individual has demonstrated proficiency and awareness of all procedures and safety precautions.
Signature: Date:
Signature: Date:
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Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
Signature: Date:
I. Documentation Procedures
Signature: Date:
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MO Signature: Date:
Original to:
Individual’s Qualification/Certification Record
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The QA Audit Program establishes policy, responsibilities, and requirements for evaluating performance
throughout the Maintenance Department.
R} 10.7.2 Discussion
10.7.2.1 Audits serve as an orderly method of identifying, investigating, and correcting deficiencies on a
scheduled and unscheduled basis. The CSEC provides a standardized objective measurement tool to conduct
audits. Activities shall download an updated version of CSEC the first week of each quarter, with corre-
sponding supplemental questions, from the CSEC homepage (http://www.navair.navy.mil/logistics/csec).
10.7.2.2 The QA Division is charged with managing a comprehensive audit program that encompasses all
programs managed and monitored per this instruction.
10.7.2.3 CSEC generates all checklists for work center, program, and special audits, provides collection of
audit discrepancy data, and produces reports. The CSEC database must be loaded on QA’s computer and is
distributed with three selections, AMMT, Wing, and Activity:
a. The AMMT selection is used by TYCOMs for auditing subordinate activities. It also allows for the
addition of supplemental questions for use and distribution. The AMMT selection also creates reports for
statistical analysis of subordinate commands.
b. The Wing selection is used for auditing subordinate activities. It also allows for the addition of
supplemental questions for use and distribution. The Wing selection also creates reports for statistical
analysis of subordinate commands.
c. The Activity selection is used by O-level and I-level activities to audit work centers and programs
per this instruction. It also allows for the addition of supplemental questions.
NOTE: A} D-level FRCs shall maintain current CSEC within eCAM and use the eCAM ATS to track
and collect audit discrepancy and generate audit reports.
10.7.2.4 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
A} D-level FRCs may document completion of requirements in a locally approved Training Management
System.
R} 10.7.3 Responsibilities
10.7.3.1 COMNAVAIRSYSCOM (AIR-6.8.2.2) shall maintain and update CSEC software and core
question database and coordinate changes to CSEC.
a. Designate a Program Manager R} or D-level SME for each program monitored/managed by QA and
list programs and individuals designated in the MMP or SME listing.
NOTE: OMDs and detachments with four or fewer aircraft, for example, HC/HSL/VRC/VQ
detachments, shall assign a Program Petty Officer/NCO based upon work center organization in
Chapter 3.
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b. Review/analyze CSEC R} or audit reports and provide appropriate direction to division officers and
program managers or D-level SMEs.
c. Ensure corrective action and QA follow-up on discrepant areas are performed within a reasonable
time frame (normally 10 working days) and that the corrective action is adequate.
10.7.3.3 The QA Officer R} or D-level FRC equivalent shall designate, in writing via the MMP or SME
listing, the QA Supervisor as the QA Audit Program Manager.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
b. Distribute applicable CSEC audit checklists to each Work Center Supervisor and Program Manager.
c. Establish a schedule to ensure all work centers and programs are audited within established time
frames.
d. Ensure results of all audits are entered in the CSEC database R} or, for D-level FRCs, the eCAM
ATS. If no discrepancies were noted, the entries should reflect such.
e. Route results of all audits to the MO and applicable Program Manager via the chain of command.
f. Maintain R} audit files for a minimum of 2 years. These files shall include completed CSEC
discrepancy sheets, CSEC checklists, corrective actions, QA follow-up annotations, and accompanying
routing forms. D-level FRCs shall use the eCAM system to ensure discrepancy follow-up compliance.
g. Ensure QARs R} or D-level FRC auditors are adequately trained and possess sufficient knowledge to
perform audits. Monitors shall be designated via the MMP. In all cases, it is imperative that QARs are
knowledgeable in each and every aspect of their assignments.
h. Schedule QARs R} or D-level FRC auditors to perform audits. QAR or auditor assignments should
be rotated to decrease complacency, increase audit effectiveness, and provide QARs and auditors with a well-
rounded education in program management.
i. Ensure the D-level artisans assigned to interdict BCMs at I-level FRCs are monitored using CSEC to
ensure compliance with the NAMP and local instructions.
j. Verify that the current CSEC version and supplemental questions are being used.
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a. Ensure Quality Assurance Audit Program indoctrination and follow-on training is provided to
personnel. Training shall include personnel responsibilities and shall be documented on the NAMP
Indoctrination Training sheet (Figure 10.1-5) in the individual's qualification/certification record. A} D-level
FRCs may document completion of requirements via a locally approved training management system in
place of maintaining figures/forms within the employee’s individual qualification/certification record.
c. Use CSEC to perform periodic self-audits on work center and applicable programs.
d. Ensure corrective action is taken on all discrepancies noted during audits. Corrective action will
include action taken to preclude recurrence, for example, training provided by the Program Manager and
clarification provided by R} QARs/auditors.
e. Accompany QARs during audits. A} D-level FRC supervisors will accompany auditors upon
request.
b. Dispersed TPL.
e. Availability, calibration status, and proper use of test and measuring devices.
f. Certification of personnel who perform special tasks, for example, NDI, welding, 2M repair,
explosive handling, tire and wheel maintenance, hydraulic contamination control, aircraft/SE painting,
Aircraft Confined Space EA, test cell operator, and ABO surveillance.
g. Licensing of personnel for aircraft taxi and SE operation and engine/APU turn-up authorization.
m. AMMRL.
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n. AAE.
o. Validation of VIDS boards and operating procedures if using VIDS, or validation of current job
status or Work Center Work Load Report if operating NALCOMIS.
p. FOD Prevention.
s. Maintenance Training.
NOTE: For reasons of objectivity and impartiality, a common practice is for QA-related work center
audits (any work center which begins with the numbers 04) to be conducted by knowledgeable
individuals not assigned to that QA work center's division. While not a requirement, this
practice provides QA managers with an unbiased perspective of their division they would not
otherwise have access to.
10.7.4.2 Program audits evaluate specific programs, providing a systematic and coordinated method of
identifying deficiencies and determining adequacy of and adherence to technical publications and
instructions. R} D-level FRC auditors shall conduct program and special audits annually per local
instructions. QA shall audit the CSEC programs identified in figures 10.7-1 and 10.7-2, at a minimum,
annually.
NOTES: 1. The Weapons Department audits only those programs peculiar to that department.
2. While not all R} program titles listed in figures 10.7-1 and 10.7-2 are referred to as programs
in this instruction, they shall be treated as such for audit purposes.
3. The EAF Division audits only those programs peculiar to that division.
10.7.4.3 Special audits provide a systematic, coordinated method of investigating suspected or known
deficiencies in specific maintenance work centers, programs, or personnel. The QA Officer directs special
audits as necessary. The CSEC question(s) asked during a special audit will be determined by QA.
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The Oil Consumption Program establishes policy, responsibilities, and requirements for monitoring aircraft
equipment condition in an effort to detect impending failures without equipment removal or extensive
disassembly.
NOTES: 1. Engines, gearboxes, and transmissions that have specific consumption rates per applicable
MIMs/MRCs are required to comply with the requirements of this program. Gearboxes and
transmissions that only have established leak limits, such as drops per minute, fall outside the
scope of this program.
2. The Oil Consumption Program is optional for aircraft with engines capable of electronic oil
consumption monitoring.
10.8.2 Discussion
10.8.2.1 The Oil Consumption Program provides Navy and Marine Corps O-level activities the guidance
necessary to achieve required performance, efficiency, and logistic support by establishing policy for
integrated oil consumption requirements. All aspects of oil consumption/servicing, documentation, and trend
analysis are critical to flight safety.
10.8.2.2 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.8.3 Responsibilities
a. Develop local command procedures (as required) per Appendix D to identify the T/M/S, geographic
environmental, and local legal peculiarities.
b. Monitor oil consumption requirements and provide a standardized method for Maintenance Control
to ensure oil consumption limits are not exceeded prior to release of aircraft Safe for Flight.
a. Designate, in writing via the MMP, the MMCO as the Oil Consumption Program Manager.
c. Coordinate with the NATOPS Officer to ensure all pilots/aircrew are trained in oil consumption
documentation procedures while operating away from home base.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
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b. Provide indoctrination and follow-on training to personnel relating to their Oil Consumption Program
responsibilities.
d. Use CSEC information and reports (provided by the Program Monitor) to identify specific areas of
concern and to determine steps required for program/process improvement.
e. Ensure grade and quantity of oil added to each engine is annotated in block 6 of the Aircraft
Inspection and Acceptance Record (CNAF 4790/141) per this instruction. Block 8 may be used to document
gearbox oil, hydraulic fluid quantity, or other aircraft servicing information.
f. Ensure aircraft releasing authorities verify oil consumption limits have not been exceeded, per
applicable MIMs/MRCs, prior to releasing aircraft Safe for Flight.
g. Ensure personnel assigned duties of servicing engines and gearboxes are trained on proper servicing
techniques and documentation requirements.
h. Ensure Safe for Flight certified personnel receive adverse oil consumption values/trends certification
training as part of the qualification procedures for certification.
i. Ensure oil consumption rates are calculated and documented prior to releasing aircraft Safe for
Flight.
j. Ensure the current Engine/Gearbox Oil Consumption Record (Figure 10.8-1) is retained in the ADB
until completed. Completed forms shall be placed with the applicable AESR and accompany the
aircraft/engine when transferred. Gearbox oil consumption records can be disposed of locally after gearbox
transfer. Figure 10.8-1 is a sample format. Commands are authorized to deviate from this format for unit
specialization, ensuring required data elements are met.
NOTE: The Engine/Gearbox Oil Consumption Record, ADB, and AESR oil consumption requirements
are optional for engines capable of electronic oil consumption monitoring, for example, the C-
130 AE2100D3 Turboprop Engine.
k. Ensure appropriate action, per applicable MIMs, is taken when any consumption value or increase in
consumption value exceeds the authorized limits.
l. Ensure all pilots/aircrew taking aircraft on cross-country evolutions have been briefed on oil
consumption/servicing procedures and responsibilities.
10.8.3.1.4 The QA Officer shall designate, in writing via the MMP, a QAR as the Oil Consumption Program
Monitor. This assignment does not preclude other QARs from monitoring this program but places the overall
responsibility with one individual.
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c. Screen oil consumption records weekly for completeness and accuracy with particular attention paid
to abnormal trends and values that fall outside the authorized consumption limits.
a. Oil consumption rates are calculated and documented for engines/gearboxes prior to releasing aircraft
Safe for Flight.
b. An Engine/Gearbox Oil Consumption Record (Figure 10.8-1) is retained in the ADB until completed.
Completed forms shall be placed with the applicable AESR and accompany the aircraft/engine when
transferred. Gearbox oil consumption records can be disposed of locally after gearbox transfer.
a. Ensure Oil Consumption Program indoctrination and follow-on training is provided to personnel.
Training shall include personnel responsibilities and shall be documented on the NAMP Indoctrination
Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
NOTE: Servicing personnel shall inform Maintenance Control and document on Engine/Gearbox Oil
Consumption Record (Figure 10.8-1) how many ounces of oil were added to aircraft
engines/gearboxes.
b. Ensure oil consumption rates are calculated and documented on the Engine/Gearbox Oil
Consumption Record (Figure 10.8-1) prior to flight.
a. Develop local command procedures (as required) per Appendix D or OPNAVINST 5215.17.
b. Monitor oil consumption requirements and provide a standardized method for Production Control to
ensure oil consumption limits are calculated, not exceeded, and documented prior to releasing aircraft Safe
for Flight.
c. Ensure all pilots/aircrew are trained in oil consumption documentation procedures while operating
away from home base.
d. Ensure command personnel are knowledgeable of applicable MIMs, MRCs, and this instruction (as
appropriate).
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e. Review audit data and other related reports (generated within the command) to identify specific areas
of concern and to determine steps required for process improvement.
f. Ensure grade and quantity of oil added to each engine is annotated in block 6 of the Aircraft
Inspection and Acceptance Record (CNAF 4790/141) per this instruction. Block 8 may be used to document
gearbox oil, hydraulic fluid quantity, or other aircraft servicing information.
g. Ensure Safe for Flight certified personnel verify that oil consumption limits have not been exceeded,
per applicable MIMs/MRCs, prior to releasing aircraft Safe for Flight.
h. Ensure the current Engine/Gearbox Oil Consumption Record (Figure 10.8-1) is retained in the ADB
until completed. Completed engine forms shall be placed with the applicable AESR (CNAF 4790/29) and
accompany the aircraft/engine when transferred. Gearbox oil consumption records can be disposed of locally
after gearbox transfer. FRCs are authorized to deviate from Figure 10.8-1 format for unit specialization,
ensuring required data elements are met.
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10.9.1.1 NAMDRP establishes policy, responsibilities, and requirements for reporting substandard
workmanship, improper QA procedures, and deficiencies in material and publications.
10.9.1.2 References:
c. OPNAVINST 4410.2, Joint Regulation Governing the Use and Application of Uniform Source
Maintenance and Recoverability Codes.
i. NAVAIRINST 5100.11, Research and Engineering Technical Review of Risk Process and
Procedures for Processing Grounding Bulletins.
j. NAVSUPINST 4423.29, Navy Uniform Source, Maintenance and Recoverability (SMR) Codes.
n. NAVSUP Publication 719, Guide for Assignment, Application and Use of Source Maintenance and
Recoverability Codes.
10.9.2 Discussion
10.9.2.1 Safety shall be the primary consideration when submitting reports. All hands are charged with the
responsibility of reporting deficiencies, defects, and discrepancies which could adversely affect safety of
operations. Mishaps can be prevented by making others aware of hazards.
10.9.2.2 NAMDRP reports consist of HMRs, EIs, HMRs/EIs, PQDRs (CAT I and II), AIDRs, TPDRs (CAT
1, 2, 3 and 4), EMRs, EERs, CODRs and BTRs. If a DR meets the criteria for an HMR and warrants an EI, it
should be submitted as an HMR/EI.
10.9.2.2.1 HMRs, EIs, HMRs/EIs, PQDRs (CAT I and II), and AIDRs are reported and monitored under
NAMDRP via JDRS (https://jdrs.mil).
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NOTE: If a DR meets the requirement for an HMR or HMR/EI the DR shall be submitted via JDRS as
a CAT I EI with HMR intent indicated per JDRS web site procedures.
10.9.2.2.2 TPDRs (CAT 1, 2, 3, and 4) are reported and monitored under NAMDRP via JDRS
(https://jdrs.mil).
10.9.2.2.3 Explosive incidents, dangerous defects, and malfunctions or failures involving explosive systems,
launch devices, and AWSE are reported per OPNAVINST 5102.1 and OPNAVINST 8000.16 as an EMR,
EER, or CODR.
10.9.2.2.3.1 EMRs are reported and monitored under NAMDRP via WESS
(http://www.public.navy.mil/navsafecen/pages/wess/wess.aspx).
10.9.2.2.3.2 EERs and CODRs are reported and monitored under NAMDRP via AWIS
(https://awis.navair.navy.mil/awis).
a. Changes/corrections to aircraft NATOPS or tactical manuals are reported per OPNAVINST 3710.7.
b. Deficiencies resulting from incorrect packaging, preservation, marking, handling (as reported by
supply activities), or deficiencies in shipment which are the result of overage, shortage, expired shelf life, or
misidentified material are reported per NAVSUP Publication 723 or NAVSUPINST 4423.29.
c. Locally procured material found to be deficient by the buyer is reported per SECNAVINST 4855.3.
d. Deficiencies in letter type instructions and notices are reported by letter to the sponsor.
e. SM&R code change recommendations are submitted per NAVSUP Publication 719.
f. Recommendations for improvements in procedures which do not result from incorrect information
contained in publications are reported by letter to the ISSC/LMTC.
g. Transportation discrepancies that occur while the shipment is in-transit, for example, shortage, loss,
or damage in transit, are reported on a Transportation Discrepancy Report (SF 361) per DTR 4500.9-R.
h. Packaging and shipment type discrepancies, for example, misdirected material, supply
documentation, or packaging discrepancies attributable to shipper error, are reported using the Supply
Discrepancy Report (SF 364) per NAVSUP Publication 723.
i. NALCOMIS publication deficiencies are reported using trouble report/change proposal procedures
per OMA-SAM.
j. FMS items under the International Logistics Program, after conveyance of title, are reported under
SECNAVINST 4355.18 using the Supply Discrepancy Report (SF 364).
NOTE: JDRS shall not be used to recall quality deficient components. The TD Program shall be the
means to facilitate the recall/inspection of quality deficient components per NAVAIRINST
5215.12.
10.9.2.4 The NAMDRP supports the NAVRIIP performance improvement requirements to achieve and
continually improve aviation material readiness and safety standards with optimum use of manpower,
material and funds. In agreement with this philosophy, the ISSC can perform EIs of aeronautical equipment
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or material at any maintenance level whenever contributions to safety, reliability, availability, readiness, per-
formance, or economy can be realized. Mutually supporting teamwork and coordination between the ISSC
and all activities’ QA for component failure validation will improve the quality of NAMDRP reporting.
10.9.3 Responsibilities
a. Enroll in JDRS (https://jdrs.mil) as a DR submitter (Approve and Submit web site DRs -- Message
Release Authority) to ensure the MO receives all correspondence pertaining to the unit’s DRs.
d. Ensure an adequate number of DR submitters (Approve and Submit web site deficiency reports --
Message Release Authority) (if delegated) and DR drafters (draft only), are enrolled to facilitate NAMDRP.
e. Delegate, when necessary, their submitter privileges to the AMO, QA Officer, or NAMDRP Program
Manager.
a. Enroll in JDRS (https://jdrs.mil) as a DR Submitter (Approve and Submit web site DRs -- Message
Release Authority) (if delegated).
NOTE: For continuity, recommend that the NAMDRP Program Manager be assigned for a minimum of
12 months.
c. Ensure required reports are properly drafted and submitted within specified timeframes.
d. Review NAMDRP CSEC audits and direct corrective actions for process improvement.
e. Ensure the ASO reviews all correspondence relating to aviation ground, flight, flight related, and
explosive mishaps.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
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c. Assist work centers in determining which reports are needed. Review all DRs to ensure they are
accurate, clear, concise, and comprehensive.
e. Assist work centers and the HMC&M Supervisor in preparing environmental and NAMDRP DRs.
f. Assist QA in screening all DRs, including those dealing with environmental issues, to ensure they are
accurate, clear, concise, and comprehensive.
(2) ISSC/FST/LMTC/manufacturer responses received external to JDRS shall be retained for 1 year
or until final ISSC/FST/LMTC/manufacturer response (closing response/action) is received, whichever is
greater.
NOTE: DRs and technical dialog correspondence stored on JDRS do not require hard copy files.
h. Maintain an RCN log to ensure each DR, including EER, EMR, and CODR, is assigned an unique
RCN. A paper copy of the original DR shall be maintained for tracking purposes. This copy may be
discarded when the DR is closed. JDRS maintains all PQDR, AIDR, HMR, HMR/EI, and EI correspondence
and closed reports electronically. The RCN log shall contain the following:
(1) Date.
(2) RCN.
(3) DR Type.
(4) Nomenclature.
(5) P/N.
(7) NSN/NIIN.
(1) DR responses have not been received within prescribed timeframes (paragraph 10.9.3.2).
(2) Shipping instructions have not been released within 20 days of DR submission.
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(3) DRs do not meet this instruction’s metric requirements (Figures 10.9-1, 10.9-2, and 10.9-3).
NOTE: Web site tool handbooks are available under the JDRS Help Menu, “Handbooks” link to assist
users with tool operation.
k. Audit the unit users enrolled in JDRS on a monthly basis. Validate each user’s personal information,
such as phone number, e-mail address, PLA, office code, rank, and job title, and update (as appropriate).
Identify users who have transferred or no longer require access, and notify JDRS via the “Contact Us” tool to
update or delete profiles.
l. Ensure an adequate number of web site Drafters/Submitters are enrolled within the unit to initiate and
submit DRs via JDRS.
b. Ensure NAMDRP indoctrination and follow-on training is provided to personnel. Training shall
include personnel responsibilities and shall be documented on the NAMP Indoctrination Training sheet
(Figure 10.1-5) in the individual's qualification/certification record.
10.9.3.2 In-Service Support Center (ISSC)/Depot Level (D-Level) Fleet Readiness Center (FRC)
The ISSC/LMTC, Quality Team, or Cognizant screening point is required to respond to DRs, via the JDRS
(https://jdrs.mil) Acknowledge Receipt tool, within the following time frames:
a. One calendar day after receipt of an HMR, HMR/EI, CAT I PQDR or 1 working day for a CAT 1
TPDR.
10.9.3.3 ISSC Engineering Responsibilities for Processing HMR, EI, HMR/EI and CAT I and II
PQDR Reports
10.9.3.3.1 The ISSC is responsible for processing HMRs, EIs, and HMR/EIs for assigned material.
Activities responsible for investigations shall take action on EI requests per requirements of the
COMNAVAIRSYSCOM (AIR-4.0) EI process. These requirements, at a minimum, shall include the
following:
a. Examine the EI or HMR request to determine if the DR was sent to the correct ISSC/LMTC. If not,
readdress the request to the correct ISSC/LMTC, via JDRS (https://jdrs.mil) Acknowledge Receipt tool, for
action and inform the originator of the action taken. If the correct ISSC cannot be identified, forward the
report to the JDRS Clearinghouse, via the JDRS Acknowledge Receipt tool for action and forwarding.
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NOTE: Immediate Acknowledge/Forward action must be taken to ensure the correct ISSC/LMTC
completes the Acknowledge Receipt process within the time constraint per this instruction.
b. Import EI or HMR reports submitted by Command e-mail into the JDRS web site upon receipt.
c. Conduct liaison with the report originator (as required) to obtain amplifying/clarifying information
on the reported discrepancy/failure.
d. Study the history of failures to determine the need for and value of an investigation on the
equipment/material in question.
e. Confirm the criticality (CSI, CAI, or noncritical) of the discrepant item or establish the criticality if a
determination had not previously been made. Every EI, HMR, HMR/EI, and PQDR processed through JDRS
contains a link by which criticality determinations or recommendations can be submitted to appropriate
Critical Item Managers. This facilitates updating the official critical item database to better ensure the DOD
community is aware of and responsive to issues relating to critical parts.
f. Close EI reports via a Closing Report when an investigation will not be conducted. Close HMR
reports via an HMR response when an investigation will not be conducted.
NOTE: Ensure the Supply Department or unit holding the material is included as an action addressee
within the Closing Report or HMR Response and provide instructions stating the material will
not be required for investigation and may be released for repair via normal supply channels.
g. For EIs, and HMR reports being turned into an HMR/EI, complete the JDRS web site Go/No Go tool
to determine the engineering risk, cost analysis, or other factors that indicate whether an EI is required or not.
The ISSC engineer shall use the Technical Dialog tool to communicate with the report originator or other
POCs when additional information is required.
NOTE: The ISSC engineer shall summarize the factors that led to a decision when an investigation will
not be conducted via the web site Closing Report or Reclassification.
h. When it is determined an investigation is required, assign an ICN and provide shipping instructions,
via the JDRS Preliminary Disposition Report, for the discrepant equipment/material or describe the
arrangements for an on site investigation. All EI exhibits shall be shipped as directed by the shipping
instructions (Preliminary Disposition Report).
i. Use the EI request/PQDR investigation control system, for example, WC3EI-AV8-0001-04S, for
deriving ICNs per the following:
(1) The first three elements of the ICN shall be the D-level FRC identifier (Organization Code) per
the NALDA Organization Code Translator (http://www.navair.navy.mil/logistics/orgtranslator).
(2) The next elements shall be "EI" or "PQDR". The following element shall be a dash (-).
(3) The next two, three, or four elements shall be the system identifier, for example, F-4, T400,
ACCY, ELEC, AVNC. (PQDR only: Investigative quality organization may be used vice system identifier).
The following element shall be a dash (-).
(4) The next four elements are a sequentially assigned number. The numbers start with "0001" for
the first assigned EI/PQDR in a new calendar year. The following element shall be a dash (-).
(5) The next two elements shall be the calendar year identifier, beginning with "07" for calendar
2007, and continuing in arithmetic progression with changes in calendar year.
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(6) The last element shall be a request urgency indicator, that is, "R" for Routine, "S" for Safety,
and "M" for Mishap related. This indicator shall be based on the nature of the request as specified in the DR.
j. Develop an EI Exhibit Examination Plan via JDRS. Ensure the examination plan is provided to the
investigating activity and customer service team. Notify local investigating activity receiving personnel of
the request for the equipment/material exhibit so the exhibit can be properly identified and routed when
received.
NOTE: All possible follow-up actions shall be taken, particularly on equipment/material related to
HMRs, and aircraft mishaps.
l. Conduct or arrange for the accomplishment of the EI. EIs in support of aircraft mishaps shall be
assigned priority 1. HMR/EI investigations shall be assigned priority 1 or priority 2 depending on the
ISSC’s/LMTC’s assessment of the probable impact or effect of the reported problem.
m. If completion of an EI requires assistance from another ISSC/LMTC, request assistance directly from
that ISSC/LMTC with an information copy to the PMA and COMNAVAIRFOR (N442). If the investigation
must be accomplished by another Navy technical activity or a contractor, forward a letter or message to the
appropriate COMNAVAIRSYSCOM program office requesting assistance. In either case, the report
originator shall be officially notified of the change in action points and provided with new contact points.
Any Navy activity or contractor performing an EI shall submit a report of findings, conclusions, and
recommendations to the ISSC/LMTC only. The ISSC/LMTC shall review/amend the report, and then issue a
final report/closing action.
n. Provide interim message reports on EIs related to aircraft mishaps or priority 1 HMRs within 10
calendar days of receipt/induction of the exhibit, with a final report following within 20 calendar days of the
Preliminary Disposition Report. Reports on all other investigations shall be provided within 30 calendar days
of receipt/induction of exhibit.
o. For all other HMRs and EIs, the final reply shall be provided within 45 calendar days after receipt of
exhibit. If the investigation exceeds the 45 calendar days, an interim report shall be submitted.
p. Return, or provide for the return of, the unserviceable equipment or material to the CST for
disposition. Use the web site Material Disposition tool to inform the CST of the Condition of the Material
and disposition direction. Serviceable RFI material shall be certified as such and applicable documentation
(RFI Tag, etc.) shall accompany the component. If the equipment or material is extensively disassembled
and salvageable, it may be inducted for rework and should be entered into the Supply System inventory under
the proper condition code. In the case of EIs in support of mishap investigations, no disposition of the
equipment/material shall be made until released by the senior member of the AMB per OPNAVINST 3750.6.
NOTE: Mishap material shall be managed and maintained by the cognizant ISSC. It is the
responsibility of the Engineering Team to conduct follow up actions or disposition requests to
the AMB. Once the AMB approves the disposition of AMB material, the Engineering ISSC
shall contact the JDRS Clearinghouse for workflow assistance to reopen the DRs Disposition
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tool. The ISSC will then dispose of the material, via normal Material Disposition means. The
CST shall return the material from "L" condition to "A", "F" or "H" and process accordingly.
10.9.3.3.2 The ISSC/LMTC shall take action on all EI requests. The ISSC/LMTC may request assistance in
accomplishing an EI or initiate an EI within the ISSC/LMTC organization when a problem is suspected that
has not been reported.
10.9.3.3.4 The support activity is any activity having the responsibility for shipping/receiving EI related
material. When requested, supply support activities shall ensure the material has been prepared properly for
shipment and shipped to the ISSC/LMTC using the JDRS Shipping tool. Customer Service Support activities
receiving material are responsible for completing the JDRS exhibit receipt tool, maintaining identification of
the material, and expeditiously forwarding the material to the ISSC/LMTC.
10.9.3.3.5 Per OPNAVINST 3750.6, the NAVSAFECEN may provide a representative to assist an AMB,
and in certain special cases, conduct an independent safety investigation. As a direct representative of the
CNO, this investigating officer shall control the material undergoing EI until released to the AMB. The
NAVSAFECEN investigator shall be accorded full information, cooperation, and the use of facilities
necessary for proper discharge of the assignment.
a. Evaluate all incoming PQDRs to validate urgency, action required, and category.
b. Send a Technical Dialog to the quality team, confirming CAT I PQDR category/risk. CAT I
closing/final reports shall also be evaluated by the ISSC to ensure safety/mission impact issues have been
properly addressed.
c. Send a Technical Dialog to the quality team for CAT II PQDRs having safety impact or mission
impairment, requiring reclassification as a CAT I PQDR.
d. Send a Technical Dialog to the quality team for CAT I PQDRs which have been assessed as having
no impact on safety or mission impairment.
NOTE: Assigned ISSC personnel shall be mapped in the JDRS web site ISSC look-up Quality POC
section to receive submitted PQDRs via e-mail.
f. Initiate PQDRs during an EI, HMR, HMR/EI investigation when it is discovered that the failure was
the result of poor quality.
g. Follow PQDR submission guidelines within this instruction when reporting PQDRs.
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a. Serve as the focal point for coordinating the internal effort to ensure internally and externally
generated PQDRs are processed, investigated, and responded to within the established time frames of this
instruction.
b. Ensure changes and revisions to PQDR procedures receive the support necessary to effect their
timely implementation.
c. Ensure adequate and timely processing and closing action on all PQDRs for assigned material.
d. Effect the necessary review and follow-up to ensure deficiencies reported on assigned material are
receiving appropriate attention.
e. Maintain and provide PQDR trend analysis data. Sources of quality deficient data may be identified
using:
(1) D-level FRC or civilian contractor's quality organization internal accumulated data method.
(2) Aviation 3M MDS using the aircraft or component WUC and WD Code, for example, Code Y
for defective upon receipt or withdrawal from Supply.
f. Provide information concerning repetitive or similar defects on like items to benefit action points in
investigation and resolution of problems.
g. Keep and maintain an RCN log to ensure all D-level and ISSC generated NAMDRP DRs are
assigned unique RCNs.
a. Examine the PQDR request to determine if the DR has been sent to the correct Quality
Team/Screening Point. If not, readdress the request to the correct Quality Team/Screening Point, via the
JDRS (https://jdrs.mil) Acknowledge Receipt tool, for action and inform the originator of the action taken. If
the correct ISSC cannot be identified, forward the report to the JDRS Clearinghouse, via the JDRS
Acknowledge Receipt tool for action.
NOTE: Immediate Acknowledge/Forward action must be taken to ensure the correct ISSC/LMTC
completes the Acknowledge Receipt process within this instruction’s time constraints.
b. Evaluate all incoming and outgoing PQDRs to determine urgency, action required, and category,
using JDRS. When incomplete or incorrect areas are noted, obtain the necessary information by contacting
the originator, make the necessary changes, and complete the required processing as follows:
(1) Import PQDRs received by the FRCs via D-level FRCs via Command e-mail message into
JDRS upon receipt.
(2) Complete the JDRS Data Review tool to ensure accurate information has been received from the
originator via the JDRS Technical Dialog tool. When incomplete or incorrect areas are noted, obtain the
necessary information by contacting the originator, make the necessary changes via the Data Review tool,
and complete the required JDRS processing.
(3) Determine if the PQDR category (CAT I or CAT II) assigned by the originator is properly
assigned. Using the Data Review tool, the Screening Point may make necessary changes in category
assignment but shall notify and provide justification to the originator via the JDRS Technical Dialog tool of
these changes within 5 calendar days of the date of change.
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(4) Provide an immediate reply, via the JDRS Technical Dialog tool, to other participating
components (to include engineering ISSC) and activities when the report concerns safety in peculiar and
common use items.
(5) Determine (where possible) if a contract warranty applies or initiates any special actions
required. When the deficiency involves an item covered under a reliability improvement warranty, the
PQDR shall be processed per SECNAVINST 4855.3 (unless a Warranty Clause governs this workload).
(6) Identify material processed or reworked by another service component, such as Army or Air
Force. Send the original PQDR to the inter-service action point via the JDRS Data Review tool. Provide the
originator a copy of the request/transmittal and an information copy to COMNAVAIRSYSCOM (AIR-4.1.9).
This accomplishes further processing as necessary.
(7) Forward PQDRs, via JDRS, to COMNAVAIRSYSCOM (AIR-4.1.9) when the screening point
is unknown.
(8) Forward PQDRs to the appropriate Action Point, via JDRS, within the following time frames:
a. Ensure the interim or final reply does not exceed 28 calendar days for CAT I PQDRs not requiring
exhibits or 45 calendar days after receipt of exhibit for CAT I PQDRs with exhibits.
b. Ensure the interim or final reply does not exceed 45 calendar days for CAT II PQDRs not requiring
exhibits or 60 calendar days after receipt of exhibit for CAT II PQDRs with exhibits.
c. Complete the JDRS Shipping Instructions (Preliminary Disposition Report) to provide disposition
instructions to the Supply Activity holding the PQDR exhibit.
d. Ensure delivery of the exhibit or sample requested (if needed) from the holding activity and the
follow-up of equipment or material non-receipt. Under normal circumstances follow-up (Tracer Request) via
JDRS, shall be made 20 calendar days after Preliminary Disposition Report release, but the period may be
extended if it is known that shipment will take longer than 20 calendar days. At a minimum, the tracer
request shall include action addressees to the PQDR originator, the supply activity holding the exhibit, and
the Customer Service Team responsible for receipt of the exhibit.
g. Determine if the previously reported deficiency is under investigation or has been resolved.
h. Notify the originator, within the time frames previously outlined, that the problem is either under
investigation or has been previously resolved.
i. Determine if a quality investigation should be conducted, what action will prevent recurrence, and
what reports of findings will be required from affected support points. Provide affected support points with
action copies stating desired support.
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j. Initiate appropriate action on CAT I PQDRs to inform other activities (to include engineering
ISSCs), that may have received material with similar defects, of the defect and identify specific lot shipment
suspected.
k. Initiate appropriate action to the ICP or PCO/ACO which could preclude further procurement or
acceptance of deficient material. The ICP and PCO/ACO shall request distribution activities inspect or
screen their stock and issue ALERT notifications (when needed).
l. Provide an immediate reply, via the JDRS Technical Dialog tool, to other participating components
(to include engineering ISSCs) and activities when the report concerns safety in peculiar or common use
items.
m. Determine, where possible, if a contract warranty applies and initiate any special actions required.
When the deficiency involves an item covered under a reliability improvement warranty, the PQDR shall be
processed for information only per SECNAVINST 4855.3.
n. Determine if the PQDR category is properly assigned, make necessary changes in category
assignment, and notify the originator, via JDRS, of these changes within 5 calendar days of the date of
change.
o. Ensure CAT I Final Reports are reviewed by the Engineering ISSC; The Quality Team shall send
their Final Draft, via the JDRS Technical Dialog tool, allowing the engineering team 24 hours to provide any
comments and or changes.
a. Assist the Action Point, when requested, under the established time frames specified in this
instruction.
c. Receive DRs from across component lines (source of supply action point) for appropriate action.
d. Return, or provide for the return of, the equipment and material to the supply system after completing
the investigation unless otherwise directed or unless the material or equipment is beyond salvage. The
equipment or material may be inducted for rework if the item is extensively disassembled and salvageable.
In the case of CAT I PQDR in support of mishap investigations, no disposition of the equipment/material
shall be made until released by the senior member of the AMB per OPNAVINST 3750.6.
a. Serve as the PQDR administrator within COMNAVAIRSYSCOM by establishing and overseeing the
implementation of the policy and guidelines to manage the overall PQDR process.
b. Act as the screening point for PQDRs when the ISSC/LMTC cannot be determined or for
commercial contracts administered by a COMNAVAIRSYSCOM PCO.
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NOTE: For GFE material -- as acting screening/action point, send information copy to the PMA, ISSC,
and D-level FRC.
10.9.3.3.12 ISSCs/LMTCs ensure prompt corrective actions are taken by the LRA for all reported material
deficiencies.
10.9.3.3.13 LRAs investigate and take corrective action on all reported material deficiencies within the scope
of their authority. The LRA is further required to report on corrective actions. Response shall be the same
method as submitted by the originator, via JDRS (https://jdrs.mil), and will require the same precedence.
ISSCs/LMTCs and LRAs shall appoint a quality organization person to serve as PQDR representative.
a. The D-level FRC for those aircraft reworked (organic) under their cognizance.
d. The cognizant government PCO for aircraft manufactured/reworked under commercial contract or
inter-service agreement not administered by COMNAVAIRSYSCOM PCOs.
e. FRCWP for those aircraft reworked under their cognizance or at contractor facilities under their
cognizance.
a. Examine the AIDR request to determine if the DR has been sent to the correct Quality
Team/Screening Point. If not, readdress the request to the correct Quality Team/Screening Point, via the
JDRS Acknowledge Receipt tool, for action and inform the originator of the action taken. If the correct ISSC
cannot be identified, forward the report to the JDRS Clearinghouse, via the JDRS Acknowledge Receipt tool
for action.
NOTE: Immediate Acknowledge/Forward action must be taken to ensure the correct ISSC/LMTC
completes the Acknowledge Receipt process within this instructions time constraint.
b. Evaluate all incoming and outgoing AIDRs to determine urgency, action required, and category,
using JDRS.
c. Complete the JDRS Data Review tool to ensure accurate information has been received from the
originator. When incomplete or incorrect areas are noted, obtain the necessary information by contacting the
originator, make the necessary changes via the Data Review tool, and complete the required JDRS
processing.
d. Follow-up on AIDRs not received from the aircraft reporting custodian within 45 calendar days after
the aircraft is delivered to the reporting custodians.
g. Request the Action Point investigate those discrepancies identified by the Screening Point.
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h. Review the Action Point's investigative report for completeness and validity.
i. Provide final response, via JDRS, on all reported AIDR discrepancies as soon as possible, but not
later than 45 calendar days after receipt of the AIDR (30 calendar days for aircraft reworked at D-level
FRCs). Ensure the originator and all concerned activities receive a copy of the investigative report.
k. Conduct the necessary follow-up action to reduce the possibility of like occurrences.
a. Perform an investigation and address each deficiency as requested by the Screening Point.
NOTE: Some D-level FRCs serve as both the screening and action points.
10.9.3.4.1 It is NAMDRP policy to expeditiously resolve discrepancies while maintaining a high degree of
spares availability. To achieve this goal, the shipment of EI, HMR, HMR/EI or PQDR exhibits shall be
accomplished using the premium shipping tool on JDRS (https://jdrs.mil). Under no circumstances shall EI,
HMR or PQDR exhibits be shipped within the ATAC system. JDRS provides a means to ship HMR, EI, and
PQDR exhibits via a commercial express shipping online API tool at no charge to the unit. When the express
shipping tool is used, EI, HMR and PQDR exhibits can usually be delivered to the investigating activity
within 3 calendar days CONUS and 7 calendar days outside CONUS. JDRS also provides the means to
document shipments when the premium shipping tool is not needed. The COMNAVAIRSYSCOM JDRS
Clearinghouse shall provide assistance in resolving web site shipping issues, overweight and oversized
exhibits, connectivity issues, and waybill assistance, and can be reached at 1-888-832-5972 or by contacting
the local Clearinghouse representative for assistance. Clearinghouse contact information is listed on the
JDRS web site under the Help menu "Service Contacts" link. Assistance may also be requested through the
JDRS “Contact Us” feature.
NOTE: All shipments shall be documented on JDRS, regardless of the method of shipment. This is to
ensure the JDRS Material Management Branch and all POCs involved with the investigation
are kept informed of the exhibits whereabouts for tracking purposes.
10.9.3.4.2 EI/HMR/PQDR Exhibit Preparation, Storage and Shipping. Several steps shall be performed
prior to the exhibit being shipped to the investigation site. The QA Department shall prepare and handle all
outgoing EI, HMR, and PQDR exhibits as follows:
NOTES: 1. It is imperative that the guidelines within this paragraph be followed to ensure that the
exhibit is properly prepared for storage and subsequent shipment. The basis, or root cause of
the failure of the EI, HMR or PQDR can only be verified if the ISSC/Quality Team receives the
exhibit to carry out an investigation.
2. EI, HMR, and PQDR exhibits shall never be stored or shipped by activities other than the
activity that was selected in Block 21A of the Deficiency Report.
a. Use photographic equipment to capture the condition of the exhibit when the deficiency is
discovered. Digital pictures can be uploaded to the report during the submission process and to the
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Miscellaneous Attached Messages/Documents section of the report summary page once the report has been
submitted.
b. Prior to packaging the exhibit, ensure all pertinent information is recorded to support and assist the
report investigator. The RFI Tag (DD 1574) should be scanned or a digital photograph taken and up-
loaded/attached to the DR Submission. If after the fact, upload/attach to the Miscellaneous Attached
Messages/Documents section of the report summary page. This will assist the report screener in determining
and verifying the LRA. The contract number which the exhibit was manufactured or repaired under shall be
recorded and submitted in Block 10A of the DR. The contract number can be found on the Manufacturer’s
Invoice (DD Form 250) or on the Requisition and Invoice/Shipping Document (DD Form 1149). It may also
be found on package markings or may be stamped/printed on the defective item or data plate. Use logistic
tools, such as FedLog, to assist in determining the contract number.
c. Ensure the work center properly packages the material immediately upon removal from the system to
prevent corrosion, contamination, or other damage that may contribute to loss of possible cause factors.
Ensure that electrostatic discharge caps or tape is used on all exhibits that require it. Ensure that all fluid
openings are capped or plugged to prevent contamination or loss of fluids during storage and transportation.
Ensure that the work center does not adjust, disassemble, or perform any type of cleaning to the exhibit. If
any adjustment, disassembly, or cleaning was done during a local investigation, a detailed description of the
local investigation shall accompany the material to the ISSC, LMTC, or Quality Team.
d. Maintain material in an “as is” condition. Do not allow anyone to attempt to reassemble fragments
of failed material. Ensure each fragment is wrapped separately to prevent damage caused by relative
movement. When feasible, forward associated accessories, components, or material suspected of con-
tributing to the malfunction or mishap.
e. Ensure the work center marks the copy of the MAF or Work Document with “EI”, “HMR”, or
“PQDR” in 3-inch red letters in a manner not to obscure vital data prior to forwarding the defective material
to the supporting Supply Department.
f. Ensure the work center annotates the RCN in the Work Document’s Discrepancy block and annotates
BCM-8 and EI, HMR, or PQDR in the Corrective Action block.
NOTE: Consumables shall be treated as a DLR and placed in a BCM-8 status so the exhibit can be
placed in Litigation “L” Code condition by the supporting Supply Department.
g. Attach the MAF or Work Document, (DD Form 2332, PQDR Exhibit Tag) copy of the PQDR,
HMR, or EI request and shipping instructions (Preliminary Disposition Report) to the component or
assembly. If the component or assembly has a SRC or EHR card, ensure the appropriate card accompanies
the exhibit. Ensure all service records, for example, ASR, MSR, or AESR, have the appropriate logbook
entries and are stored in the appropriate shipping container.
h. Forward fluid samples in a clean, sealed, and authorized container. If contamination is suspected,
annotate the sample bottles accordingly.
i. Request special shipping instructions from the ISSC/LMTC if any hazardous conditions are evident.
10.9.3.4.3 In addition to paragraphs above, QA shall prepare and handle Aircraft Engine and Gas Turbine
Compressor/Engine related EI and PQDR exhibits to ensure:
a. The engine container is marked with 3-inch red letters as an EI, HMR, HMR/EI, or PQDR Exhibit.
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b. The engine logbook has been annotated as being transferred for EI or PQDR investigation and placed
in the designated engine logbook container along with pertinent administrative forms (Chapter 5).
c. Turn in defective material to Supply, except for environmentally sensitive material which must be
held in a HAZMAT storage area pending disposition instructions.
10.9.3.4.4 The supporting Supply Department shall hold the EI, HMR, HMR/EI, and PQDR exhibit until
shipping or disposition instructions (Preliminary Disposition Report) are received from the Action or Support
Point. All EI, HMR, and PQDR exhibits shall be shipped per Action or Support Point shipping instructions
(Preliminary Disposition Report). All exhibits shall be shipped using the JDRS Premium Shipping tool
unless stated otherwise in the Preliminary Disposition Report.
a. Hold the exhibit material until JDRS Preliminary Disposition Report instructions are received from
the ISSC/LMTC or the directing authority.
c. Ensure all EI, HMR, and PQDR material is placed in Condition Code L.
d. Quarantine and store all HMR, HMR/EI, EI, and PQDR exhibits separately from material being
processed under normal repair channels.
e. Ensure an adequate number of personnel are enrolled in the JDRS web site, possessing user roles of
Ship Exhibit and Ship Exhibit with Tracer.
NOTE: A request for Tracer Response can only be generated by the Originating Unit Submitter or
Exhibit Holding Point personnel having Ship Exhibit with Tracer user roles within JDRS
(message release authority).
f. If shipping instructions (Preliminary Disposition Report) have not been received from the ISSC or
Quality Team within 20 calendar days of the EI or PQDR DR initial submission, send a Technical Dialog via
JDRS and request the ISSC or Quality Team provide instructions. When connectivity prevents the use of a
Technical Dialog, contact the JDRS Clearinghouse for assistance.
g. Use the JDRS premium shipping tool to accomplish shipment of HMR, EI, HMR/EI, or PQDR
exhibits. Paragraph 10.9.3.4 provides Exhibit Handling Procedures.
NOTE: All shipments shall be documented in the JDRS, regardless of the method of shipment. This is
to ensure the Material Management Branch, and all POCs involved with the investigation, are
kept informed of the exhibits whereabouts for tracking and or tracing.
a. Ensure ample JDRS Customer Service representatives are enrolled to support the program.
b. Complete the JDRS Exhibit Receipt tool upon receipt of an HMR, EI, HMR/EI, or PQDR material
per workload priority (Figure 10.9-5).
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NOTE: The JDRS Exhibit Receipt tool provides capability to receive exhibits where the shipment was
not documented. The JDRS Exhibit Receipt tool remains live after record closure, to allow the
Customer Service Team to document receipt and notify the POCs of exhibits that were assumed
lost.
e. Complete the Material Disposition tool upon receipt when the ISSC or Quality Team has completed
their investigation and return the material from "L" condition and place back into supply per disposition
instructions.
10.9.4.1 HMRs provide a standard method for reporting material deficiencies which, if not corrected, could
result in death or injury to personnel, or damage to or loss of aircraft, equipment, or facilities. Such incidents
are reported regardless of how or when the discrepant condition was detected. Submitting an HMR does not
alleviate the OPNAVINST 3750.6 requirement to submit a Hazard Report.
NOTES: 1. ISSC Cherry Point (AIR-4.1) shall have process ownership responsibilities for the HMR/EI
Program.
2. DRs and EERs are extremely important sources of hazard information. However these
reports do not require chain of command endorsement and lack the visibility of an
OPNAVINST 3750.6 hazard report. They also do not reach the same audience as aviation
hazard reports since they do not use the OPNAVINST 3750.6 Collective Address System. The
Naval Aviation Safety Program also requires endorsement or response by action agencies and
tracking of corrective actions. When there are Safety of Flight or other significant safety issues,
a hazard report is required by the OPNAVINST 3750.6 as well as to be reported under
NAMDRP or via an EER for the same event. Commands are strongly urged to submit both
(when appropriate).
3. For incidents where lack of training or improper training is a contributor to the HMR, the
Center for Naval Aviation Technical Training, Pensacola, FL will be included in the info block
of the HMR message. PLA: CENNAVAVNTECHTRA PENSACOLA FL.
4. If a DR meets the requirement for an HMR or HMR/EI the DR shall be submitted via JDRS
as a CAT I EI with HMR intent indicated per JDRS web site procedures.
10.9.4.2 Reports meeting the criteria for HMRs and warranting EI requests should be transmitted as dual
message reports, for example, HMR/EI request.
10.9.4.3 Submit an HMR via JDRS (https://jdrs.mil). Within 24 hours of discovery under any of the
following conditions:
a. Malfunction or failure of a component which, if not corrected, could result in death or injury to
personnel, or damage to or loss of aircraft, equipment, or facilities.
c. Urgent action or assistance is required and corrective action must be completed at an early date
because of operational requirement.
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d. Detection of a design that would allow incorrect installation of parts resulting in possible system
malfunction or failure.
e. In-flight or ground loss of aircraft parts in which maintenance or material factors are involved.
TFOA is used when referring to such incidents. TFOA includes incidents generally categorized in other
areas, such as a FODed engine which sheds parts or a helicopter rotor blade pocket failure.
NOTES: 1. TFOA related AAE parts or components shall be reported to the applicable platform ISSC
via an HMR and reported to the applicable ordnance ISSC via a CODR.
2. AAE CODRs shall be submitted to the applicable ordnance ISSC per OPNAVINST 8000.16
and the Platform ISSC as an info addressee on the DR.
3. Exhibit Handling and preparation of Exhibit Material are in paragraph 10.9.3.4.
4. When JDRS is not accessible, report by priority precedence message within 24 hours of
discovery.
5. Submitting naval aircraft mishap reports required by OPNAVINST 3750.6 does not negate
the requirements for submitting reports required by the NAMDRP.
6. If a DR meets the requirement for an HMR or HMR/EI the DR shall be submitted via JDRS
as a CAT I EI with HMR intent indicated per JDRS web site procedures.
10.9.5.1 EIs apply to all aircraft and weapon systems, subsystems, equipment, components, related SE,
special tools, software, fluids, and materials used in equipment operation. EIs:
a. Provide an investigation process to determine cause and depth of fleet-reported material failures.
b. Support investigations of material associated with aircraft mishaps, lightning strikes, electromagnetic
interference, and stray voltage problems.
d. Support SRC, ASR, EHR, and MSR programs by providing for investigation of high-time and on-
condition components and assemblies to confirm, revise, or initiate component and assembly operating times.
f. Support mandatory investigation requirements for activated aircraft escape systems in OPNAVINST
3750.6.
a. Safety is involved. This includes EI requests prepared in conjunction with aircraft mishaps and
HMRs when unsafe conditions exist.
c. Aircraft readiness is seriously impaired due to poor material reliability (including SE).
d. A component is rejected through the NOAP after all authorized repairs are attempted.
e. Environmental issues force material or process changes conflicting with existing publications or TDs.
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10.9.5.3 Submit an EI request via JDRS (https://jdrs.mil) within 5 calendar days (Figure 10.9-1) from the
time the deficiency was discovered, unless combined with an HMR, in which case the combined report
follows HMR reporting criteria. When this is not accessible, report by routine precedence message (Figure
10.9-6) within 5 calendar days from the time the deficiency was discovered, unless combined with an HMR,
in which case the combined report follows HMR reporting criteria. Ensure the supporting Supply
Department and, for DLRs, the DSP are information addressees.
NOTE: Exhibit Handling and preparation of Exhibit Material are in paragraph 10.9.3.4.
10.9.6.1 PQDRs are used to report product deficiencies attributable to the supplier, contractor, or rework
facility through deficient material or manufacturing and substandard workmanship or rework. PQDRs apply
to all new or newly reworked material, products, and software, which do not meet contractual or specification
requirements. Deficiencies must have occurred at zero operating time, during initial installation, operation,
test, check, turn-up, or first flight. This includes premature failure of items within an identified warranty
period or specified level of performance. Deficiencies discovered after initial use shall be reported as EIs or
HMRs (as appropriate). PQDRs are targeted toward reporting possible deficiencies in quality during the
manufacturing or rework process. The PQDR process improves the quality of new and newly reworked
material provided by D-level FRC rework facilities, commercial rework facilities, OEMs, contractors, and
subcontractors. SECNAVINST 4855.3 provides overarching policy guidance for the PQDR Program.
NOTES: 1. COMNAVAIRSYCOM (AIR 4.1) shall have process ownership responsibilities for the PQDR
Program.
2. Do not submit PQDRs for material repaired by an IMA facility. This material shall be
Y-coded and returned to Supply. IMAs inducting material with a When Discovered Code Y
shall perform an investigation of the reported deficiency per Chapter 7.
3. NAMDRP requirements are applicable to material worked under a PBL/CLS contract.
4. Material damaged due to packaging, handling, storage, or transportation shall be reported
via an SDR per NAVSUP Publication 723.
5. “Suspected” counterfeit material shall be reported on a PQDR regardless of cost of material.
In Block 22A, Malfunction Defect Code, enter 766 (Specification, Out of). In description, state
“Suspect” Counterfeit and the description of the defect and include copies of all supporting
documents and photographs submitted to the JDRS web site (paragraph 10.9.6.5.2).
10.9.6.2 PQDRs may be initiated for warranty purposes only if specific direction (with COMNAVAIRFOR
(N422) concurrence) is provided to the affected communities and documented in the Miscellaneous/History
section of the logbook, record, or card.
10.9.6.3 New material is defined as material procured under contract from commercial or government
sources or manufactured by an organic facility. It is considered new until it has been proven in actual
operation. Reworked material is defined as material overhauled, rebuilt, repaired, or modified by a
government or commercial activity but unproven in actual operation.
10.9.6.4 Warranted material will be considered new for PQDR reporting purposes by FRCs until the
warranty expires.
10.9.6.5 CAT I PQDRs are used for all quality deficiencies which may cause death, injury, or severe
occupational illness; would cause loss of or major damage to a weapons system; critically restricts the
combat readiness capabilities of the using organization; or which would result in a production line stoppage.
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Discrepancies that potentially impact safety or a critical characteristic on a product identified as a CSI shall
be categorized as a CAT I PQDR. Discrepancies on CSIs that do not impact safety shall be categorized as
CAT II PQDRS.
10.9.6.5.1 CAT I PQDRs shall be submitted by routine precedence message, via JDRS (https://jdrs.mil),
within 24 hours from the time the deficiency was discovered. When this is not accessible, report by priority
precedence message (Figure 10.9-6) within 24 hours from the time the deficiency was discovered. A
timeline is in Figure 10.9-2.
10.9.6.5.2 Attach and include copies of all supporting documents to the JDRS PQDR web site submission.
For example, DOD Single Line Item Requisition System Document (DD 1348-1A), Order for Supplies or
Services (DD 1155), photographs, test reports, and other pertinent data. Ensure the PQDR RCN is on all
documents. The following information is necessary for the Quality Team Screener to adequately process the
PQDR. Failure to submit the following information may lead to record closure or loss of Charge Reversal
Decision:
10.9.6.5.4 PQDRs may be reported by telephone or in person when urgency dictates. Oral communication
shall be confirmed by message.
10.9.6.5.5 The supporting Supply Department and DSPs (for DLRs) shall be the information addressees.
NOTE: D-level FRC/ISSC activities (ISSC, Quality Teams and Strategic Business Offices) shall ensure
contractors (who manufacture and or overhaul components under a PBL or CLS contract)
adhere to COMNAVAIRSYSCOM’S NAMDRP PQDR Program requirements per this
instruction.
10.9.6.6 CAT II PQDRs are used for quality deficiencies assessed to have significant and widespread
material or human resource impact but do not affect safety of personnel or impair combat efficiency.
10.9.6.6.1 Submit CAT II PQDRs via JDRS (https://jdrs.mil) to the ISSC/LMTC within 5 calendar days
from the time the deficiency was discovered. When this is not accessible, report by routine precedence
message (Figure 10-9.6) within 5 calendar days from the time the deficiency was discovered. A timeline is in
(Figure 10.9-2).
NOTE: Activities experiencing difficulty connecting to JDRS shall submit CAT II PQDRs via naval
message to the appropriate D-level FRC PQDR Screening Point per paragraph 10.9.8 and
Figure 10.9-6. Additionally, contact the JDRS Clearinghouse by e-mail or phone (1-888-832-
5972 or 1-888-292-5919) to resolve web site issues.
10.9.6.6.2 Attach and include copies of all supporting documents to the PQDR web site submission, for
example, DOD Single Line Item Requisition System Document (DD 1348-1A), Order for Supplies or
Services (DD 1155), photographs, test reports, and other pertinent data. Ensure the PQDR RCN is on all
documents. The following information is necessary for the Quality Team Screener to adequately process the
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PQDR. Failure to submit the following information may lead to record closure or loss of Charge Reversal
Decision:
10.9.6.6.3 Paragraphs 10.9.3.4 through 10.9.3.4.6 detail handling and preparation of Exhibit.
10.9.7.1 The AIDR identifies/documents defects in newly manufactured, modified, or reworked aircraft,
including aircraft that have completed PMI, to ensure better quality maintenance and newly rework
procedures.
NOTE: COMFRC Policy and Quality Department shall have process ownership responsibilities for the
AIDR Program.
2. AIDRs are not applicable to ISR maintenance events. ISR maintenance events may be
documented at the local repair site using the Field Maintenance Team Feedback Report per
local instructions.
10.9.7.1.1 For aircraft newly reworked, modified, or having completed PMI-1, PMI-2, PMI-3, or PMI-4 by a
D-level FRC, submit the AIDR to the Organic Screening Point (NAVAIR Reworked) via the JDRS
(https://jdrs.mil) Support Team “ST” look-up tool.
10.9.7.1.2 For aircraft newly manufactured, modified, or having completed PMI-1, PMI-2, PMI-3, or PMI-4
by a commercial contractor, submit the AIDR to the Commercial Screening Point (New or Commercial
Rework) via the JDRS Support Team “ST” look-up tool.
10.9.7.2 Clear descriptions of defects and corrective actions are necessary for the AIDR to be effective in
initiating corrective or preventive action. Remarks must be of sufficient detail to identify the problem, the
parts involved, and to permit objective analysis of each discrepancy.
NOTE: Equipment shortages, ferry or shipping damages, deterioration during pool storage,
discrepancies not directly pertaining to the quality of rework or manufacture or discrepancies
not covered in the negotiated work package/rework specification are not reported on an AIDR.
10.9.7.3 Submit an AIDR (to include Zero Deficiency responses) via JDRS within 5 calendar days (Figure
10.9-3) after completing an acceptance inspection or post D-level FCF or within 5 calendar days after
acceptance, or post D-level inspection for any on-site D-level maintenance not requiring FCF. A
supplemental AIDR, if any, must be submitted within 30 calendar days of completion of the initial AIDR.
10.9.7.3.1 An acceptance or post-D-level inspection is performed and an FCF (if applicable) flown as soon
as possible after the aircraft’s return to the reporting custodian and prior to maintenance (other than required
to complete the acceptance or post- D-level inspection). Only those discrepancies noted by the ferry pilot
and those found during the acceptance or post- D-level inspection and FCF that can be attributed to the
manufacture, modification, or rework process are on the initial AIDR.
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NOTE: When documenting the discrepancies found during an acceptance inspection where the aircraft
was newly manufactured, modified, or reworked, or has completed PMI-1, PMI-2, PMI-3, or
PMI-4, MAL Code 174 shall be used in NALCOMIS or on the MAF.
10.9.7.3.2 Deficiencies found on subsequent inspections or flights which may be attributed to the
manufacture, modification, rework, or PMI process may be reported on a supplemental AIDR. Use the same
RCN as the initial AIDR and add a Sequence Code to the RCN (paragraph 10.9.8.2e). Add "Supplemental"
to the title, Block 6, and continue numbering from the discrepancies on the initial AIDR.
b. Major defects could result in failure or materially reduce usability of the unit for its intended purpose.
c. Minor defects are not likely to materially reduce usability of the unit or product for its intended
purpose, or depart from established standards.
10.9.7.5.1 Critical deficiencies on components that are discovered during initial inspection of an aircraft
shall be reported via JDRS as a CAT I PQDR and referenced in Block 22 of the initial AIDR. This dual
reporting will provide data for immediate action on CAT I PQDRs and assist in the complete investigation of
all discrepancies.
10.9.7.5.2 Critical deficiencies that are against aircraft systems or are logbook error and are not attributable
to a single component do not require generation of a CAT I PQDR.
10.9.7.6 Submit a response if “No deficiencies Noted” are found on initial acceptance of newly
manufactured, modified, newly reworked aircraft, or completed PMI-1, PMI-2, PMI-3, or PMI-4. Do not add
a deficiency.
10.9.8 Joint Deficiency Reporting System (JDRS) HMR, EI, HMR/EI, PQDR (CAT I and CAT II),
AIDR, and TPDR Submittal Process
10.9.8.1 Submit all HMR, EI, HMR/EI, PQDR (CAT I and CAT II), and AIDR DRs to the ISSC/LMTC for
the component, aircraft, software, SE, or program, via JDRS (https://jdrs.mil). JDRS can automatically
identify the correct ISSC/Quality Team/SWPT by using the Support Team “ST” Look-up feature. If the
ISSC/Quality Team/SWPT cannot be determined, contact the JDRS Clearinghouse, via the JDRS web site,
using the Technical Dialog or Contact Us tool, or by phone (1-888-832-5972 or 1-888-292-5919). For
assistance, the local Clearinghouse Representative contact information is listed on the web site, under the
"Help Menu", "Contact Us" link.
10.9.8.1.1 Submit all DRs per this instruction when deficiencies are discovered. DRs shall NOT be
annotated with the phrase “Submitted for Tracking Purposes Only”. The ISSC or Quality Team shall
determine if the DR shall only be used for tracking/trending purposes based on their review of the
discrepancy. It shall be assumed an investigation will take place, unless the ISSC or Quality Team closes the
investigation, via a Closing Report or HMR Response, to include disposition instructions of the exhibit (if
applicable).
10.9.8.1.2 Follow this instruction’s guidelines for TPDR and BTR submission. For support, contact
NALDA Customer Support, via the National Help Desk, at 1-888-292-5919 or COMM (301) 342-3104.
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Figure 10.9-4 is a partial listing of ISSCs. Figure 10.9-7 is a complete listing of LMTC assignments. If
COMNAVAIRSYSCOM or COMSPAWARSYSCOM is the ISSC, send the report to the cognizant
maintenance engineering team.
10.9.8.1.3 LMTCs may assist ISSCs, however they do not take the place of program ISSCs, for example,
F/A-18 and F110. Normally, the action addressee is either the ISSC or LMTC, not both. Information copies
can also be sent to the appropriate ISSC or LMTC.
10.9.8.1.4 Conflicts may arise with existing technical publications, TDs, and procedures caused by rapidly
changing HAZMAT and HAZWASTE environmental compliance regulations. Conflicts should be reported
to the ISSC/LMTC on an environmental report, HMR, EI, or TPDR with FRCSE (Code 4.3.4) and
ACC/TYCOM as information addressees.
10.9.8.1.5 COMNAVAIRSYSCOM (AIR-4.0) has provided a JDRS web site enabled capability to O-level,
I-level and D-level maintenance facilities to create, transmit, and track HMR, EI, HMR/EI, PQDR, AIDR,
and TPDR and BTR discrepancy reports. JDRS automatically routes reports to assigned ISSCs and other
concerned activities. JDRS also permits maintenance activities to receive reports and other information, and
conduct technical dialog with the ISSC engineer and quality team. The JDRS web site (https://jdrs.mil) is
accessible by all organizations with a role in discrepancy reporting.
10.9.8.2 RCNs are assigned by the Originating Activity per service directives. Assign an RCN to each DR,
composed as follows:
a. Element (1) Service designator code (N, V, or R) of originating activity. N is for Navy and Marine
Corps aviation non-deploying units, V is for Navy and Marine Corps aviation Atlantic Fleet operating forces,
and R is for Navy and Marine Corps Pacific Fleet operating forces.
b. Elements (2) through (6). DODAAC/UIC of the originating activity, for example, 54056.
d. Elements (9) through (12). Locally assigned control number (Numeric Only), sequence throughout
the calendar year without regard for type of report. The first report is 0001 and may be an AIDR, 0002 may
be a CAT I PQDR, 0003 may be a TPDR, and 0004 may be another AIDR.
e. Elements (13 and 14). Sequence Code (leave blank if not applicable): Sequence codes are used to
identify supplemental AIDRs, for example, S1 and S2.
10.9.8.3 Reference the RCN and message DTG of the originating activity on all supplemental
correspondence. Include shipping information and the investigation control number (if assigned).
NOTE: DRs prepared as a result of an aircraft mishap are not privileged. JDRS users shall exercise
extreme care to ensure these reports and requests do not contain privileged information
(OPNAVINST 3750.6).
10.9.8.4 HMR, EI, HMR/EI, AIDR, and PQDR (CAT I and CAT II) requests and reports shall be created
and transmitted using JDRS. When JDRS is not accessible, HMRs, HMR/EIs, and PQDRs (CAT I and CAT
II) will use the following content and format (Figure 10.9-6):
NOTE: The NTP-3 provides the latest message format information and PLA.
Precedence: Priority/routine (as applicable)
FM Message Originator
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TO ISSC/LMTC
(2) NAVSUP WSS Philadelphia PA or Mechanicsburg PA (when reporting defective new material).
NOTE: Conflicts may arise with existing technical publications, TDs, and procedures caused by rapidly
changing HAZMAT and HAZWASTE environmental compliance regulations. Conflicts should
be reported to the ISSC/LMTC on an environmental report, HMR, EI, or TPDR with FRCSE
Jacksonville (Code 4.9.7) and ACC/TYCOM as information addressees.
(7) Appropriate command listed below when flight safety considerations involve aircraft or equipment
common to the Air Force, Army, Coast Guard, or NASA.
NOTE: List of naval aircraft and engines common to other U.S. military services:
Aircraft Type Model Service Engine Type Model Service
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(10) NAVAIRWARCENACDIV Patuxent River MD (for engines, engine-related components, and their
fuels/lubricants).
(11) Supporting Supply Department and DSP for DLRs (CAT I PQDR and EI request only).
(12) Security Classifications are defined in OPNAVINST 5513.1; however, every attempt should be made to
use UNCLAS to expedite routing.
SUBJ (Applicable subject or combination of subjects and T/M/S aircraft or equipment nomenclature, for
example, HMR/EI E-2C or CAT 1 PQDR T56 TURBOPROP ENGINE.
REF/A/DOC/COMNAVAIRFORINST 4790.2/01FEB05//
REF/B/DOC/OPNAVINST 3750.6R/01MAR01//
REF/C/DOC/OPNAVINST 5102.1D/07JAN05//
REF/D/RMG/Related report(s) and mishap investigation report(s) submitted per OPNAVINST 3750.6, with
mishap classification and serial number from the referenced message, for example, USS DWIGHT D
EISENHOWER 141956Z SEP 04 VFA-151 CLASS A RTD 10-04. Include only the references applicable to
the occurrence. Include issue date and the latest change date of reference technical manuals. Ensure
referenced instructions are current.
AMPN/NARR (Provide amplifying information for reference(s) listed above (if applicable)).
2. ISSC/LMTC for failed item. Enter the LMTC or aircraft ISSC when reporting common and general
material not installed on or peculiar to a specific aircraft.
4. Julian date deficiency discovered and location of reporting unit. Omit location if entry will cause message
to become classified.
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8. Manufacturer's PN.
NOTE: For AVDLRs, the Re-order Requisition Number is important to provide proper credit for the
deficient part.
11. New, Repaired, Reworked, modified, PMI-1, or PMI-2, PMI-3, or PMI-4 (from RFI Tag).
17. Dollar value of deficient material (if known) and man-hours to repair; otherwise UNK.
18. If hazardous material or procedure, include MILSPEC, type, class/grade, or NONE if no MILSPEC is
available (otherwise N/A).
20. WUC.
22. Details
A. Narrative description of abnormal function, known or probable causes, pertinent TDs not incorporated,
environmental issues listing references and regulatory agency, comments/recommendations, and EI (if
requested).
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C. Number of similar deficiencies in like items reported by the originating activity, for example, five in the
past four months.
D. How deficiency was detected or confirmed, for example, visual or functional operation and where
discovered, for example, maintenance or in-flight.
F. Indicate if supporting documents will be supplied. When photographs are taken, place a ruler alongside the
object so as to appear in each photograph. Measurements should also appear on sketches.
H. Recommendations.
I. Name, title, DSN and commercial telephone numbers of cognizant official (E-7 or above). If deployed,
delete phone number and insert the word "DEPLOYED".
K. Aircraft engine, APU, or SEGTE, model and serial number, TSN, TSO, last overhaul activity, and number
of overhauls. Enter information only if applicable and not already included.
1. Last maintenance performed on, or entry into, affected area. Last time item repaired/replaced.
2. Description of damage to TFOA item and any remaining portions attached to aircraft. Comment if
photos are available. The activity shall request an EI if a TFOA item is recovered or portion of it remains on
the aircraft and the cause of departure is not readily apparent.
10.9.9.1 TPDRs provide a simplified procedure to submit technical publications safety hazards and routine
deficiencies to the FST with engineering responsibility for the equipment covered by the technical
publications. JDRS shall also be used by FSTs/LMTCs to initiate changes via TPDRs to technical
publications under their engineering authority, either to correct deficiencies found by the FST, or to
incorporate new acquisition-related data, such as formal TD changes. TPDRs shall not be used for reporting
deficiencies in instructions or notices. All TPDRs shall be submitted via the JDRS, either directly through
the JDRS web site (https://jdrs.mil), or indirectly via program-specific IETM interfaces. Program requests
for deviation from this policy shall be addressed to the Product Data Competency, COMNAVAIRSYSCOM
(AIR-6.8.5), to the attention of “JDRS TPDR Waiver Request.” TPDR status and various reports are
available from the JDRS web site. The TPDR Drafter and Submitter will receive e-mail notification of
changes in the status of the TPDR. Additionally, if e-mail addresses are provided during TPDR submission,
the originator and other addressees will also receive status feedback. If there is difficulty in submitting
TPDRs to JDRS, contact the on-call JDRS Clearinghouse or contact the local JDRS Clearinghouse
representative for assistance. For additional information, contact the NATEC TPDR Clearinghouse
Coordinator (NATEC Code 6.8.5) at DSN 735-4425, or COMM (619) 545-4425. Information is also
available in NAVAIR 00-25-100. Originators shall submit separate TPDRs for each deficiency whether the
deficiencies are in the same or a different publication. This facilitates tracking and final resolution of valid
TPDRs for incorporation into the deficient technical publication. IETM users shall also submit separate
TPDRs for each deficiency via electronic format.
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NOTE: COMNAVAIRSYSCOM (AIR-6.8) shall have process ownership responsibilities for the TPDR
Program.
10.9.9.2 Technical publications include MRCs, checklists, WUC manuals, shop process cards, MIMs,
weapons or stores loading manuals, conventional or nuclear weapon checklists, stores reliability cards, IPBs,
and TDs.
10.9.9.3 A CAT 1 TPDR (Figure 10.9-8) shall be initiated and sent by Priority Message, via JDRS, within 24
hours of discovery, when a safety related technical publication deficiency is detected which, if not corrected,
could result in death or injury or damage to or loss of aircraft, equipment, or facilities. The JDRS prepares
and formats the message using an embedded standard template. Originators shall include NATEC as an
addressee on messages using the PLA: NATEC SAN DIEGO CA//6.8.5//. In the event that JDRS web site
connectivity is unavailable a Priority Message shall be submitted within 24 hours of discovery of a safety
related deficiency in the following format:
NOTE: Refer to NTP-3 for latest GENADMIN MTF and PLA information.
Precedence: Priority
FM Message Originator
Security classifications are defined in OPNAVINST 5513.1; however, every attempt should be made to use
UNCLAS to expedite routing.
SUBJ (Applicable subject and T/M/S aircraft or equipment nomenclature, for example, CAT 1 TPDR SH-60F
or CAT 1 TPDR T700 TURBOSHAFT ENGINE)
REF/A/DOC/COMNAVAIRFORINST 4790.2/01FEB05//
AMPN/NARR (Provide amplifying information for reference(s) listed above (if applicable).
RMKS/
2. Aircraft/equipment/program FST/LMTC.
4. Julian date deficiency was discovered and location of reporting unit. Omit location if entry will cause the
message to become classified.
5. NSN of publication.
22. Details.
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F. Page number.
G. Paragraph number.
I. Through K. NA.
N. Name, title, e-mail address, DSN and commercial telephone numbers of cognizant official (E-7 or above).
If deployed, omit phone numbers and insert the word "DEPLOYED".
10.9.9.4 CAT 2, 3, and 4 TPDRs are non-safety related technical publication deficiencies which, if not
corrected, may impact mission readiness but would not result in death or injury or damage to or loss of
aircraft, equipment, or facilities. CAT 2, 3, and 4 TPDRs include technical errors, incorrect measurement
values, incorrect use of SE, incorrect sequence of adjustments, PN errors or omissions and List of Effective
Pages errors. They are defined as follows:
a. CAT 2 TPDR is a non-safety related technical publication deficiency that results in ineffective
maintenance that directly impacts mission readiness in an adverse manner, causing a maintenance delay of 8
hours or more. All non-safety related measurement value discrepancies, such as PSI, rate of flow, torque
values or electrical readings shall be submitted as a CAT 2 TPDR. Due to the potential for significant
confusion and degradation of maintenance action, all List of Effective Pages errors shall be reported as CAT
2 TPDRs. In addition, PN discrepancies causing a maintenance delay of 8 hours or more shall be submitted
as a CAT 2 TPDR.
b. CAT 3 TPDR is a non-safety related technical publication deficiency that results in a maintenance
delay of less than 8 hours through an acceptable workaround. In addition, PN discrepancies resulting in
supply requisition errors causing a maintenance delay of less than 8 hours shall be submitted as a CAT 3
TPDR.
NOTE: CAT 4 TPDRs shall not be used to report List of Effective Pages errors, measurement value
discrepancies, including PSI, rate of flow, torque values, electrical readings or other
measurement readings, or illegible or incorrect PNs. These are not considered typographical
errors and shall be reported as CAT 1, 2 or 3, as previously defined.
10.9.9.5 CAT 2, 3 and 4 TPDRs shall be submitted using JDRS. TPDR status and various reports are
available from the JDRS web site. The TPDR Drafter and Submitter will receive email notification of
changes in the status of the TPDR. Additionally, if email addresses were provided during TPDR submission,
the originator and other addressees will also receive status feedback. Since JDRS provides e-mail notifica-
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tion at every step of TPDR processing, users should select addressees carefully to reduce the volume of
unnecessary or redundant e-mail. Users may also wish to filter JDRS-generated e-mail to reduce redundant
notifications. However care must be taken to ensure primary notifications are not missed.
10.9.9.6 NATEC (Code 6.8.5.3), as the central distribution manager for all COMNAVAIRSYSCOM
technical publications and the central clearinghouse for COMNAVAIRSYSCOM’s TPDR Program, shall:
b. Maintain an active and historical record of all technical publication deficiencies within the JDRS web
site and the TMAPS link on the NATEC web site (https://mynatec.navair.navy.mil).
c. Monitor status of all CAT 1 TPDRs and assign action to the responsible ISSC/FST/LMTC, if
acknowledgement has not taken place within 1 working day after receipt of a CAT 1 TPDR by the TDA.
10.9.9.7 ISSCs/FSTs/LMTCs shall perform the following using the JDRS web site:
10.9.9.7.1 Screen and acknowledge all incoming TPDRs to ensure they have been submitted using the
correct categories (CAT 1, CAT 2, CAT 3, or CAT 4) and change or update status on each within the JDRS
web site. TPDR acknowledgment time frame, per fleet entitlements, is defined as:
b. Safety Triage screening within 5 working days of receipt of CAT 2, 3, or 4 TPDR to ensure CAT 2,
3, or 4 TPDRs do not contain safety issue(s) which requires submission as a CAT 1 TPDR.
10.9.9.7.2 Determine validity and develop corrective action(s) (as appropriate) to provide resolution per the
following timeframes:
10.9.9.7.2.1 CAT 1 TPDRs. Develop and complete resolution and issue corrective action within 30 days of
receipt of CAT 1 TPDRs. Corrective action is defined as an IRAC, RAC, Change, or Revision to applicable
technical publication(s).
a. If resolution is not determined within 5 working days of receipt of CAT 1 TPDR a Preliminary
Response shall be provided. In all cases, a response or report shall be provided within 5 working days of
receipt of a CAT 1 TPDR either as a Preliminary Response or a Final Report. Responses may be a
Preliminary Response message or a Final Report message including the actual IRAC (if applicable), or a
combination thereof. Responses to CAT 1 TPDRs shall be via JDRS message format and addressed to the
same PLA as the original CAT 1 TPDR.
b. If resolution is not determined within 30 days and for every 30 days thereafter an Interim
Response(s) shall be provided until final resolution.
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c. Upon final resolution, a Final Report shall be provided indicating final disposition and
pending/closing action(s) (as appropriate). A Final Report may take the place of a Preliminary Response if
final resolution is determined within 5 working days of receipt of CAT 1 TPDR.
10.9.9.7.2.2 CAT 2 TPDR. Complete validation and annotate TPDR status within the JDRS to indicate
validity and additional steps to be taken (if any). Every effort shall be made to complete resolution and issue
corrective action within 120 days of receipt of CAT 2 TPDRs. Corrective action for CAT 2 TPDRs shall
include incorporation into a planned technical publication change or revision; issue as a separate emergent
change or revision; or as urgency demands, issue as an IRAC or RAC to the applicable technical
publication(s). Multiple CAT 2 TPDRs may be consolidated and resolved in a single corrective action if it is
more efficient.
10.9.9.7.2.3 CAT 2, 3, and 4 TPDRs. Screen for safety related technical publication deficiencies within 5
working days and to acknowledge that the “Safety Triage has been completed” within the JDRS web site.
10.9.9.7.2.4 CAT 3 and 4 TPDRs shall be held for additional review, validation and incorporation as funding
permits. The ISSC/FST/LMTC shall attempt to incorporate CAT 3 and 4 TPDRs in conjunction with higher
priority manual changes. Program Offices will review the volume of CAT 3 and CAT 4 TPDRs accumulated
against active technical publications biannually and fund their incorporation at minimum once every 3 years.
10.9.9.7.4 Coordinate with the NATEC TPDR Clearinghouse to resolve problems with identification of
responsibility for TPDRs, to ensure they are:
b. Managed effectively to provide technical publication users timely and accurate corrective actions.
10.9.9.7.5 TDs generated by ISSCs. The TD system is the authorized medium for directing the accomplish-
ment and recording of modifications and one-time inspections of all equipment procured by or for COM-
NAVAIRSYSCOM, including manufacturing or procurement by field activities and procurements by ICPs.
10.9.9.7.6 Initiate changes to publications under their engineering authority, either to correct deficiencies
found by the FST/LMTC, or to revise publications by incorporating acquisition related technical data, such as
formal TDs. The FST/LMTC shall use the JDRS “Fast Track” option to initiate TPDRs for any changes
made to their publications, using each TPDR initiated to establish a Technical Manual Source Data Record as
the authorized method of effecting a change to a publication.
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10.9.10.1 BTRs (Figure 10.9-9) are used to report NTCSS Optimized OMA NALCOMIS baseline
deficiencies found in a specific PMA baseline. They are not used for reporting deficiencies in instructions or
notices.
10.9.10.2 The report is required when a deficiency is detected which, if not corrected, will not allow the user
to issue WOs against inspections, tracked components, TDs, or unscheduled maintenance. Deficiencies
include wrong WUC to CAGE/PN relationship, items with no WUC, incorrect removal intervals for a life
limited component, TDs received by the activity and not in the baseline, and incorrect inspection intervals for
an aircraft or tracked component, such as, AAE, MME, and buddy stores.
10.9.10.3 BTRs shall be reported via JDRS. When connectivity is not available, submit BTRs by priority
naval message, addressed to the Baseline Help Desk (COMNAVAIRSYSCOM AIR-6.8) with info copy to
COMNAVAIRFOR (N421) and the appropriate Type Wing in the following format:
NOTES: 1. AFCs and AFBs assigned at the O-level use a generic airframe WUC, such as 1000000. CM
ALS electronic history requires that TDs assigned to specific components be assigned to the
WUC, CAGE, and PN for that component.
2. Refer to NTP-3 for latest message formats information and PLA.
Precedence: Priority
FM Message Originator
TO NAVAIRWARCENACDIV ___________________//3.3//
T/M/S Wing/MAG/CVW
INFO TYCOM
Security classifications are defined in OPNAVINST 5513.1; however, every attempt should be made to use
UNCLAS to expedite routing.
SUBJ (Applicable subject and T/M/S aircraft or equipment nomenclature, for example, BTR SH-60B or BTR
SH-60B TD PPC 101.)
REF/A/DOC/COMNAVAIRFORINST 4790.2/10NOV09//
AMPN/NARR (Provide amplifying information for reference(s) listed above (if applicable)).
4. Calendar date deficiency was discovered and location of reporting unit, Home or Deployed.
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11. Name, title, DSN and commercial telephone numbers of cognizant official, and if available the e-mail
address.
b. Acknowledging receipt of each BTR and assigning action as required. Notification will be
accomplished within one working day after receipt of a BTR.
c. Coordinating action with depot baseline managers and contractors to ensure correction to baselines.
10.9.10.6 COMNAVAIRSYSCOM (AIR-6.8) will monitor and coordinate BTRs for possible software
changes and baseline management document changes. COMNAVAIRSYSCOM (AIR-6.8) will coordinate
all NAMP policy deficiencies.
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T1 Acknowledge T2 T3 T4 T5 T6 T7 T8
Action Point Prelim Supply Shipping Examination Cycle Exhibit Disposition Cycle
Receipt Cycle Data Review Cycle Acknowledge (Goal: CAT I 45 (Goal: 7 days)
(Goal: 2 days) (Goal: 3 days) Receipt Cycle Report Cycle Response Cycle Cycle days Change Reversal Decision
(Goal: 2 days) (Goal: 3 days) (Goal: 7 days) (Goal: 3 days) CAT II: 60 days) Cycle
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Final
Report
Approval
T1 Acknowledge T2 T3 T7
Receipt Cycle Data Review Cycle Action Point Acknowledge Examination Cycle Goal:
(Goal: 3 days) (Goal: 3 days) Receipt Cycle Organic Facilities: 45 days
(Goal: 2 days) Commercial Facilities: 62 days
NOTE: Goals deployed on timeline reflect the average TAT goal for each process step and include additional
time to allow for weekends and holidays.
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Emergency repairs to missiles, aircraft, power plants, components, and customer services to
meet operational requirements established by command authority. Regularly scheduled in-
use SE requirements, including calibration and related support activities.
Industrial field team modifications and on-site SE (including calibration) industrial field
team support.
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FRCSE JACKSONVILLE FL
Materials Testing (Mechanical Testing & Chemical Analysis) (904) 790-6402; DSN 942
Paint/Organic Coatings -6402
Thermal Spray -6417
NAVSURFWARCENDIV CRANE IN
Energy, Power and Interconnect Technologies Division (812) 854-4103; DSN 482
Electrical/Electronic Assemblies/Electrostatic Discharge -1973
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PRECEDENCE: PRIORITY
FM STRKFITRON TWENTY TWO
COMNAVAIRSYSCOM PATUXENT RIVER MD//6.8//PMA-265
INFO COMNAVAIRFOR SAN DIEGO CA//JJJ//
COMSTRKFITWINGSPAC LEMOORE CA//JJJ//
FRC SAN DIEGO CA//
BT
UNCLAS //04790//
MSGID/GENADMIN/VFA-22//
SUBJ BTR F/A-18C TD PPC 117
REF/A/DOC/COMNAVAIRFORINST 4790.2/15FEB08//
AMPN/REF A IS NAVAL AVIATION MAINTENANCE PROGRAM
RMKS/1. VFA-22/PA3/09561
2. F/A-18C/PMA-265.
3. BTR VFA-22 CALENDAR DATE/SN
4. 00118/NAS LEMOORE CA
5. F/A-18C/96406/3103821-01
6. PPC 117
7. COMNAVAIRFOR 291630Z APR 04
8. N/A
9. TD PPC 117 IS MISSING FROM IN THE OPTIMIZED OMA BASELINE.
10. CHANGE BASELINE TO REFLECT PPC 117.
11. AZC K. HARLIN, LCPO, DSN 949-1111, COMM 409-998-1111
BT
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10.10.1.2 References:
e. NATEC San Diego, Code 6.8.5.3, Weekly Summary for Issued TDs.
10.10.2 Discussion
10.10.2.1 The TD Compliance Program is the only authorized medium for directing the modification or the
accomplishment of one-time inspections of naval aircraft and is associated per NAVAIRINST 5215.12. TDs
are documents issued by COMNAVAIRSYSCOM to provide technical information necessary to properly
and systematically inspect or alter the configuration of aircraft, engines, systems, weapons, or equipment.
10.10.2.2 Naval aircraft and associated equipment and systems are to be maintained in a configuration which
ensures safety and affordable material readiness. The TD System is an important element in achieving this
objective and is also an integral part of the NAMP to ensure the following:
NOTE: The TD system is a multi-layer system requiring inputs, review, approval, and release from
many sources.
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10.10.2.3 TD Compliance
10.10.2.3.1 NAVAIR 00-25-300 shall be executed to direct, control, accomplish, and record modification
and changes to Naval aircraft, associated equipment, and systems procured by or for
COMNAVAIRSYSCOM.
10.10.2.3.2 TDs are issued by configuration of aircraft, engines, systems, weapons, or equipment.
10.10.2.3.3 TDs consist of information that cannot be disseminated by revisions to technical manuals.
10.10.2.3.4 TD management is an all hands effort that when properly managed, assures fleet readiness,
operational capability, and safety of personnel and material. All levels of maintenance and logistic support
activities are directly responsible for compliance.
10.10.2.4 Approved TDs. Retrofit configuration changes to naval aviation systems including aircraft,
engines, airborne weapons, airborne systems and system components, aircraft launch and recovery
equipment, aviation SE and training systems shall be made only upon receipt of an approved TD, with the
following exceptions:
a. Operating commanders are authorized to take actions necessary to ensure safe operation of assigned
aviation systems per this instruction and OPNAVINST 8000.16 for ordnance.
d. Record Purpose category TDs are authorized for installation prior to approval of the formal TD.
f. Release and installation of data files does not require a TD; however, this exclusion shall not apply to
any data file that is produced as part of an ECP.
10.10.2.5.1 With ACC/TYCOM concurrence, all TDs will be issued by COMNAVAIRSYSCOM and PMAs
who have been chartered to hold their own CCBs and have been certified to sign TDs.
10.10.2.5.2 ISSCs are authorized to prepare and issue bulletins, changes, interim changes, and RAMECs,
except those which restrict flight operations. Proposed bulletins, prepared by originating activities other than
the assigned ISSCs, will be reviewed by the ISSC and released by the PMA. Proposed RAMECs prepared by
operating activities will be reviewed and may be sponsored by the appropriate ISSC.
NOTE: PMAs may authorize ISSCs/D-levels to issue bulletins which do not restrict fight operations by
requiring compliance before further flight, preflight, turnaround, or daily, inspection, or within
the next 10 flight hours.
10.10.2.6.1 All TDs which significantly impact fleet operations due to imposition of flight/operational
restrictions or severe/unique impact on logistic support shall be processed as Grounding TDs/bulletins and
shall be forwarded to the cognizant PMA and to the Assistant Commander for Logistics for action.
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10.10.2.6.2 Approval of COMNAVAIRSYSCOM (AIR-00) and the appropriate concurrence of the CNO
and the CMC are required before issuing Grounding TDs/bulletins. The CNO and CMC (as appropriate)
shall be advised of the cause and effect of the pending action using a Red Stripe memorandum per
NAVAIRINST 5216.11.
NOTE: All Grounding TDs/bulletins shall be coordinated with ACC/TYCOMs prior to official release.
10.10.2.7 TDSA
10.10.2.7.1 The TDSA system provides on-line configuration status accounting for naval aircraft, engines,
SE, maintenance trainers, and serial numbered weapon system components. The TDSA system gathers TD
application and compliance data on individual equipment items and provides that data in the form of tailored
automated reports, to operating and management activities per NAVAIR 00-25-300.
a. INC/NINC status of TDs applicable to each trackable equipment item (airframes, engines, SE, and
maintenance trainers) and INC data for TDs which apply to components/systems.
b. Projected modification man-hour requirements and summary reports for modification management
and budgeting.
10.10.2.7.3 TDSA databases are updated daily to reflect new TD compliance actions against applicable
equipment items. The TDSA system provides for:
b. Production of quarterly INC/NINC reports for reporting custodians and functional wings.
f. Annual purge of completed TD data from the active files of the active databases to the history files of
the history databases.
10.10.2.7.4 The initial TD data in the TDSA databases are established by the COMNAVAIRSYSCOM
Configuration Management (Logistics) Division (AIR-6.8.5.2) based on information contained in official
documents, such as CCB change directives, implementation letters, and published TDs.
10.10.2.7.5 TDSA databases are updated daily to reflect TD compliance actions reported directly into TDSA
by FRCs/NADEPs and by inter-service depot activities and contractors with direct TDSA access. Basic
validation checks are performed on the transactions to ensure appropriate data have been entered in key
fields. The transactions are then placed on a disk file by system (airframe, engine, SE) and a report is
produced indicating valid and erroneous data elements. COMNAVAIRSYSCOM (AIR-6.8.5.2) controls the
actual updating of the databases by listing the validated disk files and submitting the update jobs. Update
reports are sent directly back to the compliance reporting activities for their correction.
10.10.2.7.6 The TDSA databases are updated daily to reflect TD compliance reports received from the fleet
via SALTS and OOMA. Error reports on these compliance transactions are analyzed by COM-
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NAVAIRSYSCOM (AIR-6.8.5.2) specialists and corrections are made based upon the best available naval
aviation maintenance experience and judgment.
10.10.2.7.7 The history databases are established and maintained by COMNAVAIRSYSCOM (AIR-6.8.5.2)
to reduce the volume of the active files and thereby reduce operating costs. These history files are updated
annually by blocking those TD numbers that have been completed, such as no outstanding requirements. The
first TD number with outstanding requirements and all subsequent TD numbers will be in the active file.
Completed and canceled TDs remain in the active files until their number is reached in the annual block
purge.
10.10.2.7.8 The cooperation and involvement of all users are required to keep TDSA databases up-to-date
and TDSA reports accurate. Timely and accurate reporting of TD compliance actions will provide accurate
INC/NINC status listings of all applicable TDs. Accurate and reliable TD listings provide ACC/TYCOMs,
functional wings, reporting custodians, APMLs/LMs, and all management levels with valuable information
with which to make informed decisions involving:
a. Equipment configuration.
c. Workload projections.
10.10.2.7.9 Additional information and TDSA report listings are in NAVAIR 00-25-300.
R} 10.10.3 Responsibilities
(3) Aircraft, equipment, trainers, spares, MAMs, and test bench installation application.
(4) Logistics support, including availability and source of parts and kits, SE requirements, and
availability, and technical manuals.
(5) Impact of aircraft out of service time and O-level and I-level man-hour requirements.
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(8) Configuration management, to include ensuring publications and drawings are updated if ECP
or RAMEC.
NOTE: Activities shall not incorporate proposed TDs or RAMECs. A preliminary TD may be in-
corporated if approved by COMNAVAIRSYSCOM (AIR-6.8.2.2) and the ACC/TYCOM/SECA.
a. Release bulletins which restrict flight operations by requiring compliance prior to further flight,
turnaround, daily inspection, or other compliance severely restricting fleet availability of aircraft.
COMNAVAIRSYSCOM will also release all changes, interim changes and RAMECs.
b. Provide KINs and manage TD change kits and associated GFE (when required) to support TDs.
c. Assign APMLs/ISSCs (as required) to review and provide concurrence with TDSA database for
applicable NAVAIR 00-500C reports on a semiannual basis.
d. Ensure logistic support is provided (as required) to operate, maintain, and repair the end item and
included in the initial TD implementing action by the responsible COMNAVAIRSYSCOM activity. The
elements of logistic support shall consist of:
(2) New items of SE, including the furnishing of kits and SE change TDs.
(5) GFE.
(6) Trainers.
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e. Establish and maintain basic cataloging data for approved COMNAVAIRSYSCOM TDs. This data
shall be loaded/updated daily reflecting information received in official COMNAVAIRSYSCOM documents,
for example, CCB Change Directives, implementation letters, and approved/published TDs.
f. Correct errors in TDSA data annotated by reporting custodians on applicable reports and returned to
COMNAVAIRSYSCOM (AIR-6.8.5.2) for corrective action and ensure proper documentation has been
processed via the aviation 3M System.
g. Maintain aircraft inventory data with info from OPNAV X-ray messages.
h. Update the active databases daily to reflect TD compliance reports received from FRCs/NADEPs,
inter-service activities, and contractors.
i Update the active databases daily to reflect TD compliance reports received from fleet units via
SALTS and OOMA.
j. Review and correct the SALTS/OOMA Transaction/Error Report daily. Notify cognizant
ACC/TYCOMs of excessive error reporting.
k. Maintain close liaison with TDSA users including ACC/TYCOMs, NALCOMIS OOMA/CMIS
BLM, Type Wings, ISSC, reporting custodians, COMNAVAIRSYSCOM System Team members, NATEC,
CNATTU and its units, NADEPs, FRCs, inter-service depot activities, defense plant representatives, and
contract administrators.
a. Support APMLs/LMs as the LEM for technical data, including publications and TDs.
b. Assign each TD a unique TD number; to include assignment of part, revision and amendment
numbers.
c. Ensure digital copies of TDs are formatted per the requirements posted on the NATEC web site.
j. Format and disseminate Weekly Summary of Issued Technical Directives (Figure 10.10-1).
NOTE: Weekly Summary of Issued TDs messages are available and authorized for download/use from
the NATEC web site: (https://mynatec.navair.navy.mil).
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a. Review proposed and newly issued TDs for parts availability, accuracy, format, and content. If the
TD is deficient in any area, notify the applicable ACC/TYCOM/SECA of the discrepant area.
c. Conduct timely liaison with assigned IMA to provide necessary support to ensure parts and kits are
received within required time frames.
f. Conduct scheduled evaluation visits with subordinate activities to ensure TD compliance procedures
are current and correct.
g. Validate deviation requests before submitting to the ACC/TYCOM/SECA, for example, TD kits are
unavailable, compliance time frame is unreasonable, and aircraft deployed to remote site.
a. Ensure TD compliance.
b. Designate, in writing via the MMP, the MMCO/FRC equivalent as the TD Compliance Program
Manager.
NOTE: Aircraft and equipment are restricted from use if URGENT, IMMEDIATE, or ROUTINE TDs
are not incorporated within the required compliance time unless a deviation has been approved
by the ACC/TYCOM. O-level COs are authorized to apply a one-time contingency deviation for
"ROUTINE" TDs designated for O-level compliance only. Contingency deviations shall not
exceed the next compliance due time, for example, next phase. Contingency deviations shall be
applied on a one-time basis to a specific aircraft, by BUNO, or specific serial numbered
equipment when parts/kits are on order but not received or if flight operations will be disrupted.
CO's contingency deviations require notification via naval message to Type Wing,
ACC/TYCOM, and ISSC. Logbook entries shall be entered in the miscellaneous/history record
of the aircraft logbook, AESR, MSR, or repair/rework/overhaul/exceedances section of the ASR,
maintenance record of the EHR, or repair/rework/overhaul section of the SRC. Attach a copy
of the deviation message to Parachute Record (OPNAV 4790/101), Seat Survival Kit Record
(OPNAV 4790/137), Aircrew Systems Record (OPNAV 4790/138), Aircrew Personal Equipment
Record (OPNAV 4790/159), or miscellaneous history record section of the SE Custody and
Maintenance History Record (CNAF 4790/51). A contingency deviation cannot be applied after
any other deviation has been granted. Deviations beyond a contingency deviation require
ACC/TYCOM approval.
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NOTE: Upon designation as Program Manager/FRC equivalent, a self-audit shall be performed within
30 days and annually thereafter using the CSEC. The most current self-audit shall be retained
within the program file.
a. Ensure TD Program compliance requirements are adhered to and maintained within the maintenance
department, and continuous TD verifications are performed to maintain TD Program effectiveness.
b. Designate, in writing via the MMP, a collateral duty TDPC. The TDPC shall be an E-6 or above or
civilian equivalent assigned to Maintenance/Production Control or Maintenance Administration for Marine
Corps activities.
e. Review, sign and date NA500C verification reports after TDPC, Logs and Records clerk and
Maintenance Administration (Marine Corps) has completed verification.
g. Submit a waiver/deviation request to the ACC/TYCOM/SECA (if applicable) via the chain of
command, if parts/kits have been canceled, kit status is unavailable, or TD has exceeded compliance time for
reasons beyond the activity’s control. Ensure the following steps are followed when submitting deviation
requests:
(2) Contact the COMNAVAIRSYSCOM (AIR-6.8.3.2) Kit Manager to determine the availability
of kits and parts (if applicable). Ensure requests include:
(b) TD title.
(d) TD category.
(g) Justification.
h. Ensure all TDs awaiting parts are reconciled at least weekly with Material Control.
i. Ensure the TD Routing and Tracking Sheet (Figures 10.10-2, 10.10-3 and 10.10-4) is signed/initialed
by a QAR before a TD is logged in the appropriate logbook as NA.
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j. Ensure supporting shore and ship supply officers are informed of aircraft configuration change(s) as a
result of incorporation of TDs. The Supply Officer must be advised of any supply action as dictated by the
TD; for example, removal of item of stock for modification or replacement with new stock to ensure support
of new configuration.
10.10.3.7 The Material Control Officer shall, prior to a squadron’s deployment, ensure all TD-related
supplies ordered have been received or proper arrangements have been made with local supply activities
either to cancel the requisitions or to provide for further shipment to the unit. Material Control, Maintenance
Control, TDPC, Logs and Records clerk, and Maintenance Administration (Marine Corps) shall jointly
process a MOV listing all low priority requisitions. All valid TD requisitions shall be flagged for immediate
shipment to the squadron. All material shall be shipped via traceable means. A cut-off date shall be
established to terminate shipments of TDs, for example, 45-60 days prior to the return of the squadron. TD
material shall be retained by station Supply and controlled by the Wing until the squadron returns. The IMA
shall ship urgent TD kits to deployed units via traceable means. Routine TD kits shall be retained until the
unit returns.
b. Stock is screened and purged (as required) by the TD and replacement item is stocked.
c. Newly received components/shelf/stock/PUK components and applicable records are screened upon
receipt of equipment/upon receipt of TDs. QA determines as applicable.
a. Complete Maintenance Control PQS and attend appropriate CNATTU courses (Logs and Records,
Quality Assurance, Maintenance Control and NALCOMIS/OOMA).
b. In coordination with QA, provide oversight of CTPL TD control procedures for the department.
f. Review NATEC Weekly Summary for issued TD messages for applicable T/M/S and General Series
TDs.
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NOTE: Corrected Copy message type TDs shall not be taken for action. ACC/TYCOMs shall contact
originating program offices to ensure requirements to amend/revise TDs are adhered to per
NA 00-25-300.
h. Order on a MAF/WO required TD parts and kits for applicable BUNO/SERNO and submit to
Material Control. Ensure that Material Control assigns DDSNs.
(1) When parts and kits are received, ensure they are screened for accuracy and completeness.
(2) Ensure parts and kits are properly packaged and identified by BUNO/SERNO (if applicable)
until ready for incorporation on the aircraft or equipment.
i. Ensure the TD Routing and Tracking Sheet (Figures 10.10-2, 10.10-3 and 10.10-4) is signed/initialed
by a QAR before a TD is logged in the appropriate logbook as NA.
j. Reconcile all TDs AWP DDSNs, at least weekly, with Material Control/Expeditor.
k. Verify the NALCOMIS SA/A adds newly applicable TDs to the NALCOMIS TD configuration file.
l. Ensure NALCOMIS activities initiate a down TD MAF/WO for equipment that has an outstanding
TD past its compliance requirements. To sign off these MAF/WOs, manually change the completion date in
the TD configuration file. After completion of all TD documentation, change the TD configuration file to
reflect the original completion date of the TD.
m. Retain all completed TD MAF/WOs until local NALCOMIS (Optimized NTCSS and Legacy) and
TDSA databases are verified. MAF/WOs may be discarded after completion of verification.
n. Validate incorporation of all applicable TDs. The combined review of the sources below will ensure
all applicable TDs have been screened:
(4) NALDA TDSA NAT01, TD Catalog Report (with index codes B and D).
(5) NALDA TDSA NAT02, SE TD Listing (with index codes B and D).
10.10.3.9.1 NA500C/NAT01/NAT02 report verifications shall be performed by reporting custodians per the
following:
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10.10.3.9.1.2 Perform subsequent applicable NAVAIR TDSA report verifications and label report
“SUBSEQUENT”. Refer NA (administrative) amendment TDs to the “BASELINE” report. This will reduce
redundant research and focus on the newly added or removed TDs. File/replace previous subsequent
applicable NAVAIR TDSA report verifications with most recent subsequent applicable NAVAIR TDSA
report verifications on top of the “BASELINE” report in the correlating aircraft historical file, manila
envelope of AESRs or appropriate location as determined by the TD Program Manager.
NOTES: Removal of TDs from applicable NAVAIR TDSA reports does not relieve reporting custodians
of responsibility to verify or know status of these TDs. Cancelled, Completed (process of
removing TDs from applicable NAVAIR TDSA reports) or Superseded TDs are not to be
deleted from the equipment record until the item to which the TD was incorporated has been
replaced with a new part number or has been removed due to obsolescence.
b. Annotate TD status as INC, NINC, CANX, or NA, per line item, on NAVAIR 00-500C reports.
NOTES: 1. Ensure NA annotations include reason for NA entry, for example, Not This BUNO, Not this
Part Number, or administrative changes such as TCD.
2. NA annotations for ALSS gear are only required to be documented on the TD Routing and
Tracking Sheet (Part 1) (Figure 10.10-2).
c. Upon completion of NA500C report verifications, ensure MMCO/Civilian Equivalent (TD Program
Manager) reviews, signs and dates file copies.
10.10.3.9.2 Reconcile all TDs awaiting parts at least weekly with Material Control. When parts and kits are
received, screen them for accuracy and completeness. Maintain parts and kits, properly packaged and
identified by BUNO/SERNO (if applicable) until ready for incorporation on the aircraft or equipment.
Maintenance Control/Production Control will initiate parts and kits request for TDs and submit to Material
Control. Only Material Control will requisition parts and kits for TDs.
10.10.3.9.2.1 O-level activities shall ensure Logs and Records clerks and Maintenance Administration
(Marine Corps) add all and newly applicable TDs are added to the NALCOMIS Legacy TD configuration
file. (The Baseline manager pushes TDs to Optimized OMA activities).
NOTE: No MAF is required for TDs destined for I-level/D-level compliance but Logs and Records and
Maintenance Administration (Marine Corps) shall track I-level/D-level TDs for incorporation
prior to and upon completion of I-level repair or PMI/Depot rework. When adding I-level/D-
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level TDs for tracking and visibility, ensure affected BUNO/SERNOs are added. Annotate
appropriate maintenance level and ensure NINC remarks identify compliance criteria.
10.10.3.9.2.2 I-level activities shall ensure Logs and Records clerks (I-level SA/DBA) and Maintenance
Administration (Marine Corps) add all and newly applicable TDs to the NALCOMIS TD configuration file.
NOTE: No MAF is required for TDs destined for D-level compliance but Logs and Records clerks and
Maintenance Administration (Marine Corps) shall track D-level TDs for incorporation prior to
equipment being BCM/issued RFI to ensure TD compliance criteria is not exceeded.
10.10.3.10 QA shall:
b. Ensure appropriate SME QAR/CDQARs review all TDs and the NATEC Weekly Summary for
Issued TDs (Figure 10.10-1) from the CTPL for TD applicability:
(2) No MAF/WO shall be initiated for TDs QA determines as N/A. This process is equivalent to a
QAR verifying the use of Status Code D. However, all required logbooks and associated records
documentation on the Technical Directives (CNAF 4790/24A), or equipment record whether documenting a
basic, an amendment or a revision, shall be adhered to.
(3) O-level activities shall track outstanding I-level and D-level TDs for compliance per applicable
TD compliance schedules, for example, next phase or induction to depot, but shall not initiate/use TD
MAF/WOs to track outstanding I-level and D-level TDs.
c. Designate, in writing via the MMP, a QAR as the TD Compliance Program Monitor. This
assignment does not preclude other QARs from monitoring this program, but places the overall responsibility
with one individual.
a. Upon receipt of a TD, request SME QAR/CDQAR review TD for applicability to assigned
equipment. This may necessitate use of other work centers within the activity.
NOTE: Corrected Copy message type TDs shall not be taken for action. ACC/TYCOMs shall contact
originating program offices to ensure requirements to amend/revise TDs per NA 00-25-300 are
adhered to.
b. Once SME QAR/CDQAR determines the TD is applicable, the Central Technical Publications
Librarian shall:
(1) Apply the control stamp (stamp shall include the activity, copy number, location, per NAVAIR
00-25-100, WP 019 00), and enter the date the TD was received to those TD copies received (Figure 10.10-
5).
(2) Create records in the TPL program for the master copy and any additional copies located in
work centers.
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(3) Attach TD Routing and Tracking Sheet (Parts 1 and 2) (Figures 10.10-2, 10.10-3 and 10.10-4)
and route to TDPC for continued processing.
c. Requisition all required TDs, revisions and amendments. NAVSUP Publication 485 provides
applicable procedures. If copies of TDs cannot be obtained from NATEC, other squadrons, supporting FRCs
or requisitioned via normal supply channels, O-level activities shall request TDs from cognizant Type Wing.
NOTE: Controlled copies of TDs related to ALSS shall be maintained in the ALSS work center.
10.10.3.11.1 The requirement to maintain paper TDs is optional. Master paper copies for historical TDs not
on active TDSA reports are not required to be maintained by CTPL. However, the entry within the TPL
program database shall not be destroyed. The location for historical TDs within the TPL database will be
changed from actual location of paper copy to History. The retention of the entry in the TPL program
database will ensure a digital historical copy is maintained.
NOTE: If paper copies are used, master copies shall be filed in binders by T/M/S, oldest on bottom to
most current on top. Additional copies not issued to work centers shall be placed in a pending
file.
10.10.3.11.2 Weekly Summary for Issued Technical Directives (Figure 10.10-1) is a Naval Message type
report of TDs issued during previous week that is disseminated by NATEC to fleet activities. The Weekly
Summary for Issued TDs is also available on the NATEC web site (https://mynatec.navair.navy.mil),
however, should activities fail to receive the Weekly Summary of Issued TDs message, contact the
appropriate ACC/TYCOM/Type Wing/MALS/MAG.
10.10.3.11.2.1 Copies of TD summaries shall be annotated and maintained on file by each activity for a
period of 6 months. The file of TD summaries may be in either paper or digital format.
10.10.3.11.2.2 TDs identified as applicable but not received shall be annotated on the summary and procured
by the CTPL librarian and reviewed by SME QAR/CDQAR as identified on the TD Routing and Tracking
Sheet (Figures 10.10-2, 10.10-3, and 10.10-4).
10.10.3.11.3 Upon return of W/C TD copies, update TPL program TD record(s) to reflect check in date(s).
Change affected TD record(s) location from W/C to HIST to indicate TD returned and TD record moved to
historical (dead) file. To relocate active TD record(s) to history (dead) file, go to technical manual search
mode and with the search results on display, check the delete box(es) (far right column) for each W/C TD
copy returned. Then check delete at the bottom of the column. This will relocate TD records from the active
database to history (dead) file. Refer to NA 00-25-100 for detailed procedures.
NOTE: 1. TD records moved from the active database to history (dead) file will remain in history (dead)
file for one year to ensure digital historical data is accessible.
2. TD history (dead) file records shall not be deleted by the CTPL from the history (dead) file.
Deletion of TD history records will permanently remove TD record(s) and issue/return data
from historical (dead) files.
10.10.3.12 Logs and Records and Maintenance Administration (Marine Corps) shall, upon receipt:
(1) Legacy OMA activities shall ensure all applicable TDs, regardless of maintenance level are
loaded into the legacy NALCOMIS OMA TD configuration file ensuring the appropriate maintenance level
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is identified, the affected BUNO/SERNO are added to the TD, and the NINC remarks field appropriately
describes the TD compliance criteria.
(2) NALCOMIS Optimized activities shall use the manual process in CM Inventory Explorer for
removing non-applicable and administrative TD tasks that do not apply which will remove the TD from the
database and all reports.
NOTE: The above process will not work for AFBs or AFCs as they are written against a specific BUNO
and can only be removed by the baseline manager.
b. Initiate a MAF/WO for all TDs as required by QA. Annotate the incorporation compliance time and
event on the MAF/WO, for example, incorporation no later than next phase or not later than next 10 flight
hours. If compliance time involves aircraft, engines, or components, annotate the current time plus (+) the
compliance time to determine the maximum time until the aircraft or item is restricted from flight and use, for
example, current flight hours 3984 + 10 flight hours = 3994 maximum aircraft/equipment hours when TD is
due. In addition, annotate time compliance in the system reason block of the MAF (up to 25 characters), for
example, AFB 566/NXT 224 DAY or AFC 771 RA/NXT PHZ. These steps will prevent missing the
compliance interval.
NOTES: 1. SE tracked by lot will have a separate MAF initiated for each item of SE requiring a TD
action. Activities are not authorized to issue a single MAF to incorporate a TD on an entire lot.
If any of the items listed as part of the lot do not receive the required TD action, indicate, in
pencil, the reason for noncompliance on the SE Custody and Maintenance History Record
(CNAF 4790/51) in Column B of Section VI (next to the S/N for that item). Once the TD has
been complied with, erase the reason for noncompliance from Section VI and record the item
S/N in the remarks column of Section IV (TD Section). This will indicate the item was handled
separately from the lot.
2. The TD compliance time shall be calculated from the DTG on message type TDs and date of
formal TD.
c. Make appropriate logbook entries. Some TDs may require multiple entries in the logbook and
applicable records.
e. Complete logbook and record entries upon incorporation, and annotate Lists Nos. 02 and 04 (if
applicable) or complete Technical Directives page entry requirements.
f. Upon receipt and transfer of all aircraft, engines, SE, components, AWSE, and ALSS:
(1) Compare TD configuration requirements against the appropriate Lists Nos. 02 and 04, Technical
Directives (CNAF 4790/24A), SE Custody and Maintenance History Record (CNAF 4790/51), and
component cards.
(3) Ensure all Lists Nos. 02 and 04, Technical Directives (CNAF 4790/24A), SE Custody and
Maintenance History Record (CNAF 4790/51), and component history cards are maintained per this
instruction and OPNAVINST 8000.16 as TD action occurs.
(4) Verify, upon receipt, new Lists Nos. 02, 04, and 04H, against the previous lists and take action
on any discrepancies (Chapter 5). Return the updated copy of the new List No. 02 to COM-
NAVAIRSYSCOM (AIR-6.8.5.2) within 30 days of receipt.
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(5) In coordination with R} the TDPC, review the Aeronautical Technical Directive Index Report
(NA500C) for T/M/S aircraft, NALDA TDSA NAT01 and NAT02, and the Weekly Summary for Issued
Interim Technical Directives for TD deficiencies. If deficiencies are discovered, research the historical files
for TD documentation. If documentation is missing, issue a MAF/WO to verify TD incorporation.
NOTE: Removal of TDs from R} NA500C reports does not relieve reporting custodians of responsibility
to verify or know status of these TDs. Canceled, Completed (process of removing TDs from
NA500C reports) or Superseded TDs are not to be deleted from the equipment record until the
item to which the TD was incorporated has been replaced with a new part number or has been
removed due to obsolescence.
(1) The component shall be held by Supply in a suspended status. The S/N(s) of the component(s)
will be supplied to Production Control using a TD Screening Request/Results (Figure 10.10-6).
(2) Production Control, upon receipt of the completed TD Screening Request/Results (Figure
10.10-6), will update the TD Configuration File for those S/Ns listed on the form. Material Control will
initiate TD MAFs for those affected components using a Supply JCN.
(3) Supply will maintain custody of the component(s) and hold them in suspension until the parts or
kits are received.
(4) Upon notification from Production Control of receipt of the parts and kits, Supply will induct
the component.
(5) Upon incorporation of the TD, the component and updated Log Set for OOMA will be returned
to Supply via Production Control.
(6) Request assistance for TD program issues from the appropriate ACC/TYCOM/SECA.
b. Incorporate TDs upon receipt of MAF/WOs, parts, and kits from Maintenance Control or Production
Control.
c. Ensure all TDs are documented on a MAF/WO, per Chapter 15, upon completion. Use Transaction
Codes:
(1) 41 - for compliance with no part number change or for non serialized components and O-level
close out of SCIR impacted TD items (NALCOMIS Legacy).
(2) 47 - for compliance on all serialized components, regardless of whether there is a part number
change. Use of Transaction Code 47 requires the (E) and (G) sections of the MAF to be completed.
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d. Be aware of any TD that affects the work center and the TD Compliance interval. For IMA, this
includes all components ordered and received from Supply.
e. Immediately inform Maintenance Control or Production Control and QA in the event a TD cannot be
incorporated after it has been issued. If the TD requires additional parts, return TD MAF to Maintenance
Control or Production Control.
f. Ensure all engines and engine components received are verified by Logs and Records and
Maintenance Administration (Marine Corps) for TD configuration.
NOTE: It is the responsibility of the Work Center Supervisor to be aware of all TDs affecting equipment
repaired by the work center and to validate the configuration of all equipment and components
inducted for repair.
g. Ensure all other equipment, for example, ALSS, avionics, and SE, received for use, installation, or
repair is verified for proper TD configuration.
a. Attend appropriate CNATTU courses (Logs and Records, Quality Assurance, Maintenance Control,
NALCOMIS/OOMA and CTPL).
b. Ensure SME QAR/CDQARs review NATEC Weekly Summary for Issued TDs applicable to T/M/S.
c. Maintain/update TD Routing and Tracking sheets Part 1 and Part 2 (Figures 10.10-2, 10.10-3 and
10.10-4).
d. Ensure the TD Routing and Tracking Sheet Part 2 (Figure 10.10-4) is annotated with JCNs by Logs
and Record Clerk Maintenance Administration (Marine Corps) to identify those BUNO/SERNO being
tracked for compliance of applicable TDs. The TD compliance time shall be calculated from the DTG on
message type TDs and date of formal TD.
NOTE: No MAF is required for TDs destined for I-level/D-level compliance but Logs and Records
(Maintenance Administration for Marine Corps) shall track I-level/D-level TDs for
incorporation prior to and upon completion of I-level repair or PMI/Depot rework. When
adding I-level/D-level TDs for tracking and visibility, ensure affected BUNO/SERNO are added.
Annotate appropriate maintenance level and ensure NINC remarks identify compliance criteria.
e. As signed off TD MAF/WOs are received, verify that all Logs and Records and W&B entries
required by NAVAIR 01-1B-50, have been made and initial columns IV, V, and VI of TD Routing and
Tracking Sheet Part 2 (Figure 10.10-4).
f. Once completed, attach TD Routing and Tracking Sheets, Part 1 and Part 2 (Figures 10.10-2, 10.10-3
and 10.10-4) to master copy of the TD.
All TDs shall be prepared and processed by the ISSC or PMA per NAVAIR 00-25-300 requirements.
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The PEO, U&W requires ordnance related TDs to be processed through the All Weapons Information System
(AWIS) web site (https://awis.navair.navy.mil/awis) in a web based tool titled Technical Directive System
(TDS). TDs processed via TDS can not be release without required electronically signed approvals (PMAs,
ACC/TYCOM, and applicable fleet verifications).
10.10.4.3.1 TDs may be issued via naval message/official letter type distributed via mail or local delivery.
All message type TDs shall include all ACC/TYCOM (COMNAVAIRFOR, COMNAVAIRFORES,
CNATRA, and COMNAVAIRSYSCOM AIR-5.0D) concurrence and amplifying remarks prior to official
release.
a. Basic
b. Amendment
(1) Clarifies, corrects, adds to, deletes from, makes minor changes to, changes a target completion
date for, or cancels an existing TD, revision, or amendment. Amendments are not complete TDs. They
supplement existing TDs, identifying only the changes, additions, or deletions that need to be made.
(2) Shall not be issued to TDs when the size of the amendment will approximate the number of
pages in the basic TD. In such cases, a revision should be issued in lieu of an amendment.
(3) TDs may be amended a maximum of three times. An exception to this rule is that a fourth
amendment may be used to cancel a TD, a revision, or a previously issued amendment. A TD revision shall
be required to change a TD that has been amended three times.
(5) TDs may only be canceled by formally approved and issued TD amendments. When a
cancellation amendment is issued to discontinue incorporations of a previously issued TD, it must state the
required configuration of each item initially specified to be modified.
c. Revision. A Revision is a complete new edition of an existing TD. A revision is required when:
(1) The changes, additions, or deletions, involved are more than minor in nature.
(4) Reactivating a TD that was completed and retired to the history file and reactivation by
amendment is impractical.
NOTE: TD amendments and revisions shall be issued via the same media and to the same
distribution/addressee list as the TD documents being amended/revised, for example, TDs issued
by message shall be amended/revised by message.
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(1) The total directed action will be accomplished incrementally in separate distinct parts.
(3) Directed action involves separate reportable compliance actions at different maintenance levels.
(4) When a TD is to be issued in parts, the first or basic issuance of the TD will always be Part 1,
even though it will not be identified as such in the TD number. Subsequent issuances shall be identified by
Arabic numbers as Part 2, Part 3, etc., for example, F-18 AFC-217 Part 2. All parts shall have the same
category and subject. Each part shall be a complete, stand-alone TD.
10.10.4.3.3 Once a TD is issued, it may only be changed by formally approved and issued TD amendments
or TD revisions. Message type TDs that state Corrected Copy in the subject line or correct errors in the body
of the message shall not be taken for action. ACC/TYCOM shall contact originating program offices to
ensure adherence to NA 00-25-300 requirements to amend/revise message type TDs.
10.10.4.4.1 TD Categories are important to the Material Control centers because they determine priority on
which the kit/parts may be ordered.
a. Immediate Action. The Immediate Action category is assigned when unsafe conditions exist which,
if uncorrected, could result in fatal or serious injury to personnel, or extensive damage to or destruction of
valuable property; and such conditions embody risks which are calculated to be unacceptable. The urgency
of these TDs requires immediate action to ground aircraft, prevent launch of missiles, or deny the use of
related SE or munitions. Whenever possible, methods for correcting the unsafe condition are included in the
Immediate Action TD. Assignment of this category shall be justified by incident, accident, hazard, or similar
reports, and must be concurred with by COMNAVAIRFOR/Marine Forces.
b. Urgent Action. The Urgent Action category is assigned when factors of combat necessity, potential
hazardous conditions which could result in personal injury or damage to valuable property, or unacceptable
reductions in operational readiness exist; and such conditions, if uncorrected, would compromise safety or
embody risks which are calculated to be acceptable within defined time/performance limits. These
conditions are less serious than those for which the Immediate Action category would be assigned. Urgent
Action TDs shall require compliance within specified time limits. If compliance is not accomplished by
expiration of the specified time limit, action will be required to ground aircraft, discontinue use of air-
launched weapons, prevent launch of missiles, discontinue operation of ground communications, electronic
or meteorological equipment, or discontinue use of SE, personnel equipment, materials, or munitions.
c. Routine Action. The Routine Action category will be assigned whenever the urgency of the situation
does not warrant assignment of Immediate or Urgent Action categories and the assignment of Record
Purpose would be inappropriate. The Routine Action category shall not be assigned to Interim Change TDs
or Bulletins. Assignment of Routine Action is appropriate when conditions exist which embody degrees of
risk calculated to be acceptable within broad time limits. Governing factors include equipment or procedural
deficiencies of a material, mechanical, operational, or tactical nature, the uncorrected existence of which
could:
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NOTE: Routine Action TDs are issued to authorize retrofit changes and provide detailed instructions
for installing those changes. When attrition changes require a TD they shall be assigned the
Routine Action category.
d. Record Purpose. The Record Purpose category is assigned to Formal Change TDs issued to
document configuration changes that have been incorporated in all affected equipment by the change
designer/originator before the TD is issued. The primary purpose of the Record Purpose TD is to provide the
official record of an engineering change for TDSA purposes. Some additional criteria governing use of
Record Purpose TDs are:
(1) TDs that require forced retrofit or changes to spares in the inventory may not be assigned the
Record Purpose category.
(2) TDs issued to supersede and formalize Interim Change TDs may not be Record Purpose.
(3) Bulletins, Interim Change TDs, RAMECs, and other message TDs may not be assigned the
Record Purpose category.
(4) The Record Purpose category may be assigned only to Formal Change TDs and only when the
period for change incorporation in all affected systems is 12 months or less.
NOTE: When the incorporation period will exceed 12 months, a Routine Action TD in data package
format shall be prepared instead of a Record Purpose TD and the TD shall be issued prior to the
beginning of the installation program instead of at the end.
(5) Record Purpose TDs may be used to support changes applicable only to FMS, on an exception
basis, when approved by COMNAVAIRSYSCOM (AIR-6.8.5.2).
NOTE: LESs or other engineering advisories shall not be used to incorporate configuration changes.
10.10.4.5.1 There are four types of TDs: Bulletins, Interim Changes, Formal Changes, and RAMECs.
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(1) Categories. Bulletins are issued via naval message and categorized as either Immediate or
Urgent.
(2) Effectivity. The period of effectivity for bulletins is self rescinding. All bulletins shall contain
a self rescinding date effective on the last day of the 6 month period (30 June or 31 December) in which the
compliance statement requires completion of the inspection.
NOTE: Bulletin TDs shall not be used to effect technical manual changes, for example, to establish
continuing inspection requirements. Such changes shall be made via the established technical
manual updating process.
b. Interim Change. Urgency sometimes requires change incorporations be initiated without delay,
following CCB approval. In such cases, proposed changes are submitted to COMNAVAIRSYSCOM in TD
format and, after approval, are disseminated immediately by message. These message TDs are designated
Interim Changes, for example, IAFC and IAVC, and are filed in publications libraries in the same manner as
Formal Change TDs. When an Interim Change TD is issued, a formal ECP shall be obtained within 180 days
to permit thorough review of all engineering and logistic elements of the change. Then, after ECP review
and approval, a Formal Change TD shall be issued to supersede the Interim Change.
(2) Change Kit. Normally, the activity preparing the TD will also develop and provide necessary
change kits required to accomplish the TD.
(3) Effectivity. The period of effectivity for all interim changes shall be explicitly stated to be in
effect until they are superseded by issuance of a formal change. The action of Supersedure by issuance of a
formal change is required in all cases.
(1) Categories. Formal changes are categorized as Immediate, Urgent, Routine, and Record
Purpose based upon the importance and urgency of accomplishing the work involved.
(2) Change Kit. Normally, the activity preparing the TD will also develop and provide any
necessary change kits required to accomplish the TD.
(3) Verification. ISSC/PMA shall ensure prerequisites to verification are complete as follows:
(c) Validation has been completed and endorsed by the applicable ISSC Engineering
Department.
(d) The TD is complete and within the scope of the approved ECP.
(4) Effectivity. The period of effectivity for formal changes shall be established as follows:
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(a) Immediate and Record Purpose only changes shall have a maximum rescission interval of
2 years.
d. RAMECs. The concept of the RAMEC program is fleet self-help. Procedures are designed so that
minor engineering changes may be processed expeditiously and, after approval, incorporated promptly by
O-level/IMAs to ensure commonality of configuration throughout the inventory. D-level incorporation is not
authorized except in the case of RAMECs for SE (used at both the I-level and D-level.). Changes approved
per RAMEC procedures are issued as numbered TDs. Proposed RAMECs are initiated by fleet activities,
ISSCs, or engineering activities in response to requirements identified by fleet activities.
NOTE: PMAs, COMNAVAIRSYSCOM HQ, or contractors may not sponsor or initiate RAMECs.
(1) RAMECs shall not be used to affect retrofit of, or to satisfy logistics requirements resulting
from, Class II production changes. Fleet activities must request RAMEC sponsorship from their ACCs prior
to prototyping one item. After successfully prototyping a prospective RAMEC change, the proposed
RAMEC TD will be prepared and forwarded to the sponsoring ACC for processing.
COMNAVAIRSYSCOM ISSCs may initiate and sponsor proposed RAMECs on items for with primary
cognizance, provided they accept responsibility for coordinating related fleet support and obtaining
concurrences from affected ACC/TYCOM.
(2) RAMECs are issued by naval messages or letters (in message format) as change TDs, for
example, AFCs, AVCs, within seven working days of CCB approval. Drawings and publications impacted
by RAMECs are updated to provide for subsequent parts procurement and maintenance instructions for the
modified aircraft, systems, or components.
(3) When a RAMEC is modifying an item of supply, re-identification of the modified item may be
required, such as new part number. When re-identification is required, the ISSC will obtain new part
numbers from contractors when the master drawings are held by the contractor, or assign a new ISSC part
number. The following guidelines apply:
(a) When master drawings are held by a contractor who agrees to update the drawings to
reflect the proposed design change, the ISSC shall obtain the estimated cost to update the drawings from the
contractor and include them in the proposed RAMEC.
(b) When master drawings cannot be located or when master drawings are held by a contractor
who refuses to modify them to reflect the design change, the RAMEC may be forwarded to COMNAVAIR
SYSCOM HQ for approval only if the cognizant ISSC is prepared to create new drawings and to serve as the
production source for the modified parts. In these cases, the ISSC shall provide cost estimates for creating
the new drawings.
(4) Use of the RAMEC TD is restricted by its special application. To receive COMNAVAIR-
SYSCOM approval, a RAMEC must:
(a) Be confined to a simple change that can be easily and rapidly incorporated, and that does
not require extensive technical review or work effort.
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NOTE: RAMECs will not normally be incorporated by D-level maintenance activities. However, if a TD
is being incorporated by a Depot activity and an unincorporated RAMEC is a prerequisite, the
RAMEC may be incorporated by the Depot.
(d) Use only standard stock items/raw materials, source-coded items that may be manufactured
by the cognizant FRC. This material should be readily obtainable by a requesting activity through normal
supply system requisitioning procedures. The total cost of the material required should not exceed $1,500
per installation. For the purposes of satisfying this requirement, items procured for specific applications and
local open-purchase items are not considered standard stock items.
(e) Be complied with as directed by the applicable TD, but not later than the next
calendar/phase inspection requiring access to the area/zone containing the item(s) to be changed, or next
induction of the item(s) into an I-level maintenance activity.
(f) Be coordinated with, and agreed to by, each affected ACC/TYCOM, PMA, and ISSC.
Coordinated with, and agreed to, by CNATTU activities when trainers under their cognizance are affected.
(h) Not require the development, fabrication, procurement, or stocking of retrofit kits.
(l) Not affect operational or avionics automatic test equipment or missile subsystem test sets,
or the software programs/tapes associated therewith.
(m) Not require changes to general-purpose electronic test equipment under the technical/
procurement cognizance of the SPAWARSYSCEN.
(o) Not apply to items having an SM&R code with D in the fourth position, excepting SE
items.
(p) Not apply to nonconsumable items procured and managed by another service. (Formal
ECPs are required to change such items). Further details concerning the preparation and processing of
RAMEC TDs are in NAVAIR 00-25-300.
(6) RAMECs shall only be authorized for O-level or I-level implementation, including regular
contractor maintenance support activities.
(7) Review. RAMECs require review by all affected ACCs prior to release. The RAMEC will be
forwarded to the ACCs requesting concurrence/non-concurrence of the need, applicability, and technical
approach.
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(8) Verification. RAMEC verification will be requested of ACCs prior to release. ACCs will
determine the need for verification and, when required, will assign the task to an activity of the same
maintenance level as that proposed for the compliance in the TD.
(9) Effectivity. RAMECs shall have a maximum rescission interval of 5 years after date of issue.
NOTE: FRC implementation is not authorized except in the case of RAMECs for SE used at both I-level
and D-level.
10.10.4.6.1 Each TD is assigned a title by the APML/LM. TD titles are assigned that appropriately reflect
the object or purpose of the TDs. For example, a change or a RAMEC affecting an airframe or integral
airframe component would be given the title “Airframe Change” (AFC). A similar Interim Change would be
titled, “Interim Airframe Change” (IAFC) and a Bulletin, “Airframe Bulletin” (AFB). TD titles are
represented by TD codes (TDCs) in the aviation 3M and TDSA systems. For example, all AFCs, including
IAFCs, are represented by TDC 50 and all AFBs by TDC 74. Associated title abbreviations and TDCs are
shown in TDC number sequence in TD Code Numbers (Appendix E). Additional information for TD titles is
in NAVAIR 00-25-300.
10.10.4.6.2 NATEC assigns each TD a unique TD number; this includes assignment of part, revision, and
amendment numbers. Change TD numbers are assigned immediately following CCB change approval.
Bulletin TD numbers are assigned prior to release for compliance. TDs are either numbered sequentially by
title, for example, Avionics Change (AVC) 3500, or sequentially by title within specified type/model of
equipment, for example, F-18 Airframe Change (AFC) 100).
10.10.4.6.3 When a TD is applicable to a foreign country under an FMS program, the two-letter country
organization and code (DOD 55105.38-M), is placed after the TD number, for example, P-3 AFC 002 (JA)
for Japan.
10.10.4.6.4 Amendments are identified numerically and revisions are identified alphabetically, for example,
AVC 3500 Amendment 1 or AVC 3500 Revision A. The approval authority for TD amendments and
revisions is normally the same as for the basic TD.
Validation is an engineering process by which the originator accomplishes all tasks required by a proposed
change to ensure the modified items function as intended. Validation is usually conducted at an organic depot
or contractor facility, but may be conducted at an operational site as directed by the APML/LM.
10.10.4.8.1 Verification is the process for determining the accuracy and adequacy of a proposed TD and
reporting results to the preparing activity. Verification is the actual installation of change kits, incorporation
of changes or performance of inspections by personnel of the prescribed skill, using a proposed TD, SE and
special tools available at, and in an environment comparable to, the average service facilities of the lowest
authorized compliance maintenance level. Verification also includes the administrative review of the
proposed TD by the appropriate personnel at COMNAVAIRSYSCOM and cognizant ISSC. Successful
verifications are authorized installations.
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10.10.4.8.1.2 TDs shall be verified prior to issuance. TD verification shall be assigned a sufficiently high
priority to enable completion of the required action within the prescribed time limit.
10.10.4.8.1.3 Verifications shall include the procedures associated with gaining access to the
areas/equipment involved and performing tests required to ensure satisfactory operation after completion.
10.10.4.8.1.4 Verification of ordnance related TDs shall be recorded in the Ordnance TDS.
10.10.4.8.1.5 Verification of power plant and component changes shall include interface, clearance, and fit
checks (as necessary) to ensure compatibility with installation and with support systems, for example,
verification of power plant changes may require engine buildup and installation in an aircraft/compatibility
checks with SE and reusable shipping containers when external dimensions are changed. Verification of
power plant TDs on multi-engine platforms may require verification on all installed engines due to differing
access/compatibility problems among installed engines.
10.10.4.8.1.6 Verification of software TDs will normally be performed by designated software support
activities. Software verification at a Navy user level installation activity (if required) will normally be
limited to verifying proper installation and operation of the software.
10.10.4.8.1.7 TDs applicable to more than one aircraft/equipment T/M/S shall be verified on each affected
aircraft/equipment T/M/S, unless waived by Assistant Commander for Logistics and Industrial Operations
COMNAVAIRSYSCOM (AIR-6.0). TDs requiring compliance action at more than one maintenance level
shall be verified at all maintenance levels involved.
10.10.4.8.1.8 Organic D-level verification plans shall be coordinated with COMNAVAIRSYSCOM (AIR-
6.0). Verifications performed by O-level or I-level maintenance activities shall be coordinated through
applicable ACC/TYCOM.
10.10.4.8.1.9 Verifying activities shall report results to the APML/LM. If a verifying activity determines a
TD to be unsatisfactory or deficient in any respect, that activity shall report difficulties and request
instructions from the APML/LM via official correspondence.
10.10.4.8.1.10 Verifying activities shall evaluate costs to the installing activity for materials required
incident to TD compliance. If these costs are projected to exceed $1,000 per squadron, the verifying activity
shall identify the excess costs in the verification report to the cognizant APML/LM who will determine
whether to restructure or cancel the TD.
10.10.4.8.1.11 When a proposed amendment invalidates the verification performed on the basic TD, a new
verification shall be performed.
10.10.4.8.1.12 When a proposed revision invalidates the verification performed on the original TD or
previously issued revision or amendment thereto, the proposed revision shall have a new verification
performed.
b. Verification is not required for TDs prepared in data package format when installations are
performed entirely by the design activity.
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e. During critical or urgent operational conditions, when the requirement for verified accuracy is
outweighed by the urgent need for the change, TD verification may be waived by Assistant Commander for
Logistics and Industrial Operations (COMNAVAIRSYSCOM (AIR-6.0)).
The APML/LM may authorize accomplishment of verification concurrent with validation when the change is
relatively uncomplicated. When combined VAL/VER is performed, each functional and responsible activity
must be clearly defined. Engineering personnel responsible for validation shall not be involved with, or
assist in, the verification. This is particularly important when the VAL/VER is performed by O-level or
IMAs. Concurrent VAL/VER performed by contractors, or by the Navy with contractor participation, shall
not be authorized by an APML/LM without the concurrence of the Assistant Commander for Logistics and
Industrial Operations (COMNAVAIRSYSCOM (AIR-6.0)).
10.10.4.10.1 Approved TDs (except Record Purpose TDs) are COMNAVAIRSYCOM directives to
designated maintenance activities to comply with TD requirements within prescribed time periods per
prescribed schedules. Each TD shall be complied with and reported as required by the TD, this instruction,
and OPNAVINST 8000.16 for weapons.
10.10.4.10.2 All TDs are issued for compliance at designated maintenance level(s); O-level, I-level/D-level.
D-level encompasses nondepot government engineering/industrial activities, such as laboratories and ISSCs.
TDs that route all affected items back to the manufacturer for modification shall cite “Contractor” as the
compliance maintenance level.
10.10.4.10.3 Compliance maintenance levels are assigned by the APML/LM, in consultation with
ACCs/TYCOMs, ISSCs, and using commands; and are approved by appropriate COMNAVAIRSYSCOM
TD approval authorities. Maintenance level assignment is based on a number of factors. These factors
include personnel skill level, special tools, SE, facilities, man-hours required, and SM&R codes of affected
equipment. The designation of O-level or I-level compliance does not prohibit accomplishment by I-level or
D-level maintenance activities. However, designation of D-level compliance does prohibit accomplishment
by O-level or I-level maintenance activities unless specific authority is granted by COMNAVAIRSYSCOM.
NOTE: The TD compliance time shall be calculated from the DTG on Message Type TDs and date of
formal TD.
d. Actions to be performed are within the concept and capability of the O-level or I-level maintenance.
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NOTES: 1. O-level or I-level compliance normally will not be assigned when EOS time will exceed 8
hours or if more than 10 man-hours per compliance action will be required.
2. All TDs, except Bulletins, require prior concurrence from affected ACC/TYCOM to assign
O-level or I-level compliance.
b. Affected equipment will be out of service for a relatively long period of time.
d. Skills, tools, SE, or facilities are required that are not routinely available at lower maintenance levels.
10.10.4.10.4 Man-hours required, in addition to accomplishing the directed modification, will include work
tasks such as gaining access to perform the work, and post-modification operational checks.
10.10.4.11.1 All TDs, except Interim Changes, are assigned TCDs. This date represents a future point in
time when compliance requirements are expected to be complete.
10.10.4.11.2 TCDs initiate a review of TD status. The review shall be performed 90 days prior to TCDs by
the cognizant APML/LM and COMNAVAIRSYSCOM (AIR-6.8.5.2).
NOTE: The TCD is only used by the originating PMA and COMNAVAIRSYSCOM (AIR-6.8.5) to
perform an administrative review of the status of TD incorporation and resolve any issues
impeding its completion. This date is not for use by fleet activities, nor does it drive the
requirement for a deviation or waiver due to TCD expiration.
10.10.4.11.3 When TD compliance requirements remain outstanding, TCDs shall be formally extended by
TD amendments or revisions.
10.10.4.11.4 Unless extended, Bulletin TDs shall be automatically completed and moved to the inactive
status at their assigned TCDs except for AFBs and PPBs, which depend on outstanding requirements.
10.10.4.11.5 Change TDs shall be formally completed and moved to the inactive status when TCDs expire
and when status accounting records show no noncompliances outstanding.
10.10.4.11.6 When status accounting data is inadequate or unreliable, Change TDs shall be declared
completed at the judgment of COMNAVAIRSYSCOM (AIR-6.8.5.2) and the cognizant APML/LM after
there has been no compliance activity and no kit demand for at least 1 year.
10.10.4.11.7 At TD completion, kits/materials for Change TDs are identified for reclamation/disposal.
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10.10.4.11.8 Occasionally, outstanding non-compliances will arise for TDs that have been completed or have
passed their TCDs. A TD does not have to be extended or reactivated to be complied with. Kits should be
ordered, COMNAVAIRSYSCOM (AIR-6.8.5.2) should issue kits (on demand), and compliance actions
should be performed, regardless of whether a TD is in active or completed status. If no kits are in stock,
COMNAVAIRSYSCOM (AIR-6.8.5.2) shall notify the cognizant APML/LM.
10.10.4.11.9 Completed TDs shall not be discarded. They shall be retained as a permanent record of system
configuration by NATEC and at the designated compliance maintenance level.
10.10.4.11.10 TCDs shall be assigned as the last day of the 6-month period when compliances are scheduled
to be completed and shall be either 30 June or 31 December.
10.10.4.11.13 TCDs for Record Purpose TDs shall be 18 months or less from date of CCB approval.
10.10.4.12.1 During preparation, validation, verification, approval and publication, TDs pass through a
number of developmental stages. The 4 most commonly used developmental stages are as follows:
a. Draft - Applied to initial versions of TD documents that pertain to changes that are validated but are
not verified. Draft TDs shall be submitted for information, review/comment. Draft TDs shall not be
distributed to activities outside COMNAVAIRSYSCOM without approval of the cognizant APML/LM.
b. Proposed - Applied to bulletins, interim change TDs and RAMECs and shall be included in the TD
subject line while the TD is pending review and approval. Distribution of Proposed TDs shall be strictly
controlled by the APML/LM. Distribution of Proposed TDs for verification should include ACC/TYCOMs,
designated verifying activities, COMNAVAIRSYSCOM (AIR 6.8.5.2), NAVSUP WSS, and cognizant ISSC.
c. Preliminary - Applied to Formal Change TDs only. The term “Preliminary” denotes that a Formal
Change TD has been verified but has not yet been posted to the NATEC web site or has not yet been bar
coded and distributed. A Preliminary TD shall not be used in lieu of an approved TD to incorporate a change
or to deliver kits unless a waiver is granted by COMNAVAIRSYSCOM (AIR-6.0). Distribution of
Preliminary TDs shall be strictly controlled by the APML/LM.
d. Approved TDs - TDs are publications and are approved when they are signed by the
COMNAVAIRSYSCOM TD approval authority and posted to the NATEC web site or bar coded and
formally distributed by NATEC. NATEC electronic publication media satisfies bar-coding and formal
publishing requirements. Interim Change, Bulletin and RAMEC TDs are approved when they are released
for compliance.
NOTE: Proposed/Preliminary TDs shall not be incorporated by fleet activities unless directed by
applicable ACC/TYCOM.
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10.10.4.13.1 Proposed TDs, for example, validation/verification TDs, shall be updated by TD preparers to
incorporate verification comments for submission to the cognizant APML/LM as preliminary TDs.
a. Review the Master TDs prior to presenting them to the approval authority for signature. This review
shall include the availability of the resources necessary for TD compliance, for example, change kits, GFE,
spares, and the delivery schedules and status of logistics resources necessary for system support after TD
installation. The APML/LM will complete a TD Logistics Support Checklist (NAVAIR 00-25-300)
documenting this review and include it with each Formal and Interim Change type TD submitted to the TD
approval authority for signature.
NOTE: 1. The TD Logistics Support Checklist is not used for RAMEC, Bulletin, or Software TDs.
2. TDs shall be signed/approved either by COMNAVAIRSYSCOM (AIR-6.0) or individuals
with signature authority granted by COMNAVAIRSYSCOM (AIR-6.0). TDs affecting common
equipment shall be coordinated via the common PMA, with all affected programs. Immediate
Action category TDs and TDs involving aircraft grounding or flight restrictions shall require
concurrence by CNO/CMC and approved by COMNAVAIRSYSCOM (AIR-00) prior to
release.
b. Ensure appropriate issue dates and TCDs are assigned to Formal Change TDs before they are
forwarded to NATEC for publication. Formal Change TD issue dates shall be post-dated from date of
signature to allow for printing and distribution lead-time. Lead-time is normally 6 weeks. This date shall
also represent the time when sufficient change kits will be available to sustain the incorporation schedule, or
when the new system configuration is expected to be logistically supportable (either by normal or interim
support), whichever is later. Formal Change TDs issued to supersede Interim Change TDs shall be assigned
issue dates the same as the dates the Interim Change TDs were issued.
c. Ensure appropriate TCDs are assigned before releasing RAMEC and Bulletin TDs for transmission.
Interim Change TDs are not assigned TCDs.
d. Ensure a digital copy of both Formal and Message TDs are formatted per the requirements posted on
the NATEC web site (https://mynatec.navair.navy.mil) and are forwarded to NATEC for pub-
lication/electronic posting.
10.10.4.14.1 Message type TDs are approved when they complete the approval process, and shall include all
ACC/TYCOMs concurrence/amplifying remarks paragraphs (Figure 10.10-7) and are released for
compliance.
NOTE: Corrected Copy message type TDs that state Corrected Copy in the subject line, or correct
errors in the body of the message shall not be taken for action. ACC/TYCOM shall contact
originating program offices to ensure requirements to amend/revise TDs are adhered to per
NAVAIR 00-25-300.
10.10.4.14.2 Only one message shall be released per TD (applies to all TDs; Basic, Amendments/Revisions)
and include a final paragraph that identifies all ACC/TYCOM concurrence and amplifying remarks prior to
official release by originators. This paragraph will be titled ACC/TYCOM Concurrence and Amplifying
Remarks (Figure 10.10-7) and will:
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(1) COMNAVAIRFOR.
(2) COMNAVAIRFORES.
(3) CNATRA.
10.10.4.14.3 TDs determined to be Not Applicable to a particular ACC/TYCOM shall still be reviewed by
respective ACC/TYCOM. ACC/TYCOM paragraph shall state “Not Applicable”, include reason for non-
applicability, for example, equipment not maintained/used at this ACC/TYCOM, and respective POC name,
rank/rate/grade, office code, DSN/COMM telephone.
10.10.4.14.4 Message type TDs that include ACC/TYCOM concurrence and amplifying remarks (Figure
10.10-7) will be posted on the NATEC web site (https://mynatec.navair.navy.mil), reported to TDSA and
authorized for fleet compliance/incorporation.
NOTE: Previous ACC/TYCOM readdressed message type TDs are no longer required. All message
type TDs previously released prior to 06 February 2008 and posted to the NATEC web site are
authorized for fleet use and filing. For TDs missing from the NATEC web site, contact NATEC
at: [email protected].
10.10.4.14.5 Issuing activities shall provide proposed list(s) of affected fleet activity message addresses to
ACC/TYCOMs for review and concurrence and release message type TDs only after obtaining and including
all ACC/TYCOM concurrence and amplifying remarks paragraphs.
NOTE: Message type TDs released after 06 February 2008 and missing ACC/TYCOM concurrence and
amplifying remarks paragraph (Figure 10.10-7) shall not be taken for action. Contact the
originator POC provided in the header of the message type TD, via the chain of command, for
further action.
a. Due to urgency, grounding bulletins affecting only COMNAVAIRFOR activities may be released
upon obtaining COMNAVAIRFOR concurrence and without additional non-COMNAVAIRFOR
ACC/TYCOM concurrence and amplifying remarks.
b. Grounding bulletins that only affect ACC/TYCOM outside of COMNAVAIRFOR will require
concurrence and amplifying remarks from each ACC/TYCOM affected.
NOTE: TDs are available via the NATEC web site (https://mynatec.navair.navy.mil).
a. To provide uniformity throughout the system of all aircraft and equipment, all changes, bulletins, and
revisions shall be recorded in the appropriate section of the logbook, Aeronautical Equipment Service Record
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(CNAF 4790/29), SE Custody and Maintenance History Record (CNAF 4790/51), Technical Directives
(CNAF 4790/24A), Parachute Record (OPNAV 4790/101), Seat Survival Kit Record (OPNAV 4790/137),
Aircrew Systems Record (OPNAV 4790/138), and Aircrew Personal Equipment Record (OPNAV 4790/159).
b. The Technical Directive (CNAF 4790/24A) Form (Chapter 5) is used in the logbook and the AESR
and contains a record of TDs affecting the airframe or equipment structure and its integral parts. All TDs,
including revisions and amendments, shall be logged in the sequence received. A separate form shall be
initiated for each type TD affecting the basic equipment. AFC and AFB are tracked via TDSA Lists Nos. 2
and 4.
NOTES: 1. For ALSS and Escape/Survival systems, ensure VFS Trace, CAD/PAD or VFS Trace Life
Support is updated via CAD/PAD VFS (https://cadpad.navair.navy.mil).
2. A} Activities using NALCOMIS OOMA are not authorized to use CAD/PAD VFS to generate
ALSS history records. The Aircrew Equipment/Personal Record generated in NALCOMIS
contains all pertinent information and meets all requirements per this instruction.
d. Power Plants documentation shall be per the NTCSS Optimized OMA NALCOMIS User Guide.
10.10.5.1.1 If a TD is complied with at the O-level (on-equipment work), all maintenance actions will be
documented using the MAF/WO.
NOTE: Any administrative change that does not add additional work shall not require a MAF/WO.
Within NALCOMIS OOMA, completion of administrative tasks shall be accomplished via the
manual process in CM Inventory Explorer by the Logbook Clerk.
10.10.5.1.2 If, during compliance with a TD, it becomes necessary to forward an item to the IMA for
modification or inspection and return, the following procedures will be followed:
10.10.5.1.2.1 If the IMA informs the O-level that the item requires repair, the O-level must initiate another
MAF (Chapter 15) for turn-in and requisitioning purposes using the original JCN. The outstanding TD
Compliance MAF, originally provided to the IMA, will be cancelled. After the repair action is complete,
Production Control will then initiate a replacement TD Compliance MAF using a supply JCN.
10.10.5.1.2.2 Items processed in excess of 1 may be entered only when the TEC block contains a code
beginning with Y, D, S, H, or G or ending with 9 and is either a non-serialized item or does not include a part
number change in the Removed/Old Item or Installed/New Item blocks. Serialized items for which a part
number change is reflected in blocks E or G must be accomplished on an individual TD Compliance
MAF/WO.
10.10.5.1.2.2.1 On-equipment. The MAF is used to document all TD compliance. The TD Compliance
MAF is also used by reporting custodians for planning workload and material requirements, and for con-
figuration accounting. Data obtained from the form allows identification of all direct man-hours expended
complying with directives. Maintenance Control originates the TD Compliance MAF. Maintenance Control
will retain all copies of the MAF except Copy 2, following annotation of parts and kit by Material Control (if
required), and forward Copy 2 to QA. When parts, kits, aircraft, and equipment are available for TD
compliance, forward Copy 1 and Copy 5 to the primary work center. Hold Copy 3 in suspense on the VIDS
board and Copy 4 in the ADB until the TD is complete and Copy 1 has been received from the work center.
If more than one work center is involved, Maintenance Control must initiate a separate TD Compliance MAF
for each assist work center to document their portion of the TD. TD removals will be documented in the
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same manner as TD incorporation's except for block A35 and the (H-Z) record. TD Status Code Q will be
entered in block A35 and the (H-Z) record will be left blank (Chapter 15).
NOTES: 1. If operating NALCOMIS OMA, the above process is automated. NALCOMIS MAFs are
always routed to appropriate work centers upon initiation.
2. QECK, QEC, and propeller bulletins/changes are considered to be incorporated on the
airframe. The TEC consists of type and model of the aircraft followed by a 9 in the fourth
position, for example, APB9. The BUNO/SERNO will identify the QECK or the propeller (if
applicable).
10.10.5.1.2.2.2 Off-equipment. TDs will frequently require off-equipment work, specifying accomplishment
at IMA. In these cases, the activity will use the one character code which actually describes the maintenance
level that was performed in block A34 of the TD Compliance MAF/WO.
10.10.5.1.2.2.2.1 If the TD compliance is directly applicable to a component, the removal and replacement
of the component and the associated man-hours will be documented on a MAF/WO. Once the removal is
completed, the maintenance action remains outstanding until the reinstallation has been accomplished. Those
man-hours and the EMT expended in removal may be annotated in the accumulated work hours block for
calculation of the total man-hours and EMT to be entered in blocks A41 and A45 when the reinstallation is
complete. The O-level activity will then originate a TD Compliance MAF for the component being
forwarded to the IMA. This TD Compliance MAF will accompany the component to the IMA for
documenting the accomplishment of the TD compliance action and processing. If a component is not
ordered, IMA will sign MAF Copy 2, indicating receipt of the component, and return the Copy 2 to the
O-level activity as an IOU receipt.
10.10.5.1.2.2.2.2 The IMA will complete the remainder of the TD Compliance MAF, accounting for the
item(s) processed in block A39.
10.10.5.1.2.2.2.3 If the IMA informs the O-level that the component requires repair, the O-level must initiate
another MAF for turn-in and requisitioning purposes using the original JCN.
10.10.5.1.2.2.3 Close Out. A close out is required for TDs that impact aircraft mission capability. Chapter
15 provides MAF close out procedures.
10.10.5.2.1 D-level TD Compliance is accomplished per the Aircraft Modification Program (06). The
Aircraft Modification Program (06) workload is budgeted, funded, and managed as a separate direct program
(06) from its parent Aircraft Rework Program (00). The modification of missiles, power plants, components,
and SE included in their respective parent direct programs.
10.10.5.2.2 Aircraft Modification Workload Description. Work performed that changes the original design
of an aircraft for the purpose of improving safety, performance, reliability, physical maintainability,
readiness, or mission effectiveness.
10.10.5.2.3 Aircraft Modification Workload Requirements. Requirements for the installation of modifica-
tion changes are developed by the applicable T/M/S Program Manager based upon actual and projected
availability of the modification change kits and the availability of the aircraft. These requirements are
normally generated by the Operational/Safety Improvement Program and ECP items that are approved by
COMNAVAIRSYSCOM with the follow-on purchase of kits and the issuance of TDs prescribing the
incorporation of the modification change in aircraft. This type of work is accomplished at the naval aviation
industrial establishments (either Navy organic, interservice, or commercial contractor) or on-site by industrial
field teams.
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10.10.5.2.4 Aircraft Modifications Workload Specifications. The TD system is the authorized medium for
directing the accomplishment and recording of modifications and one-time inspections of COMNAVAIR-
SYSCOM (AIR-6.6) accepted aircraft either in the contractor's or the Navy's possession. Requirements for
the development and preparation of TDs are detailed in NAVAIR 00-25-300 and AR-41.
10.10.5.2.5 Aircraft Modification Workload Scheduling. The installation of modification change kits in air-
craft may be performed concurrent with standard rework. They may also be installed by industrial field
teams or at a naval aviation industrial establishment on a drive-in basis. COMNAVAIRSYSCOM (AIR-6.1)
allocates direct labor man-hours specifically for the installation of modifications in aircraft under a pre-
established schedule.
R} 10.10.5.3 D-Level Technical Directive (TD) Documentation and Record Keeping Procedures
10.10.5.3.1.1 The Technical Directives (CNAF 4790/24A) form is used in the logbook and the AESR. It
contains a record of TDs affecting the airframe structure and its integral parts. Separate pages are required to
record each type of TD on equipment and its integral parts. All TDs, including revisions and amendments,
shall be logged in the sequence received. A separate form shall be initiated for each type of TD affecting the
basic equipment. AFCs and AFBs are tracked via TDSA Lists. TDs concerning equipment require careful
screening to ensure the AESR reflects the actual configuration of the equipment.
10.10.5.3.1.2 Preparation. To provide uniformity throughout the system for all aircraft and equipment, all
applicable changes and bulletins, including revisions, are recorded in this section of the logbook or AESR
with the NAVAIR 00-500C as the baseline. Prior TDs not listed in the NAVAIR 00-500C are no longer
applicable to the T/M/S and are part of the current configuration.
10.10.5.3.1.3 TDs that affect a component for which an MSR, ASR, EHR, or SRC card is required are also
recorded in the TD part of that record as well as the logbook or AESR (multiple entry). In this instance, the
TD identification is entered and a notation to refer to the applicable MSR, ASR, EHR, or SRC card is entered
in the title/remarks column, for example, see (component nomenclature) SRC card. No other information or
signature is required. The complete information regarding the change is then entered, with authenticating
signature, in the appropriate section of the MSR, ASR, EHR, or SRC card.
10.10.5.3.1.4 When documenting TDs on ASR, EHR, and SRC cards, only those TDs that apply to the
respective component nomenclature are recorded, such as an AYB that applies to a hydraulic pump need not
be recorded on a generator SRC card. Likewise, a PPC that applies to an afterburner module need not be
recorded on an accessory MSR. If the TD is applicable only to a specific part number or range of part
numbers, enter the directive in the TD identification blocks, enter "NA" in the status block and the statement,
"NA this P/N," in the title/remarks block.
10.10.5.3.1.5 For airframe TDs requiring one time or continuing inspections, the initial, or one time
inspection, is logged on the Technical Directives page of the logbook. Subsequent or continuing inspection
requirements are added to the MRCs as required in the basic TD. When this action has been completed, no
further logbook entry is required for that TD.
10.10.5.3.1.6.1 List No. 02, NINC directives applicable to a specific bureau/serial number and List No. 04,
INC directives applicable to a specific bureau/serial number, can be retrieved from NALDA by each FRC.
10.10.5.3.1.6.2 When initial Lists Nos. 02 and 04 are received, verify them against the Technical Directives
page in the logbook. After verification, the Technical Directives page may be destroyed at the discretion of
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the reporting custodian (aircraft only). Thereafter, Lists Nos. 02 and 04 will be used to log all applicable
AFCs and AFBs. TDs that are not applicable will not be on Lists No. 02 or 04. Technical Directives pages
will be initiated for logging all other type TDs applicable to the aircraft. Some TDs will require multiple
documentation in the logbook (with a refer to statement) and applicable records. This includes TDs, such as
accessory changes and bulletins, that will be logged on applicable SRC/EHR cards and QECs and bulletins
that will be logged in the AESR.
NOTE: Lists Nos. 02 and 04 may replace the Technical Directives page for aircraft only. All other List
Nos. 02 and 04 are provided for use as a management tool only. For aircraft, care must be taken
before destroying Technical Directives pages. Production equivalents and ECPs performed on
the aircraft by the manufacturer are not presently covered by the TDSA Program and will not
appear on Lists Nos. 02 and 04. A separate Technical Directives page will be used to log all
production equivalents and ECPs and will be maintained for historical reasons.
10.10.5.3.1.6.3 List No. 04H is a history file created and maintained by COMNAVAIRSYSCOM (AIR-
6.3.5) to reduce active file volume and operating cost. The List No. 04H is produced and distributed annually
to reporting custodians and marked "Historical Inc., Retain for Permanent Record."
NOTE: Care must be taken when removing List No. 04 each quarter to ensure List No. 04H is not
mistakenly removed. Not all aircraft have a history baseline, therefore, not all aircraft have List
No. 04H available. Contact the appropriate TDSA manager if a question develops.
10.10.5.3.1.6.4 Insert Lists Nos. 02 and 04 in the Technical Directives section of the logbook. List No. 02
precedes List No. 04.
10.10.5.3.1.7 When a new TD is received, use a black ball point pen to identify the TD on List No. 02. As a
minimum, the following information must be listed (if applicable); I (if interim), TD code, TD basic number,
revision letter, amendment number, TD part number and kit required. When the TD is complied with,
annotate the TD status code immediately to the left of SER column. Transcribe all TD identification data and
TD status codes to List No. 04. This will provide a complete, up-to-date configuration listing of the aircraft
at all times.
10.10.5.3.1.8 Production Equivalents, ECPs, and Prototype or Modification of Aircraft or Equipment. P&E
or E&E will comply with the details in the related correspondence describing the action to be accomplished
(if authorized). Logbook entries will be made as required on the appropriate Technical Directives page/Mis-
cellaneous/History page or applicable record's Technical Directives section.
10.10.5.3.1.9 Block Entry Procedures. Block entries are authorized for use by the original accepting activity,
rework activities, and I-level first degree engine repair sites upon completion of first degree engine repair.
The use of this type of entry provides for a consolidated accounting of TDs when the equipment is new and
upon completion of each standard rework or first-degree engine repair. Block entries may be used only for a
series of consecutively numbered TDs having the same status code. This procedure is necessary so
subsequent custodians can determine the configuration of the aircraft without being required to screen the
entire file of TDs for applicability. Original accepting activities ensure each entry in this section is valid and
is supported by an official TD. NAVAIR 00-500C is the TD accountability baseline. All previous TDs are
part of current configuration.
NOTE: Block entries are authorized for use by all activities when consolidating ASRs, EHR cards, and
SRC cards.
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10.10.5.3.1.9.1 INC. Use block entries when possible. Enter basic number, status, activity, date, and
signature. The date is considered to be the date of acceptance or the date of overhaul. Examples of INC
block entries follow:
a. When a change is incorporated during production and a TD is issued, the assigned TD number is
entered as INC and the notation "Production Equivalents" is entered for a block of incorporated changes in
the title/remarks column and lists the applicable TD numbers of such changes, for example, an entry may be
120-155 INC. If production equivalent changes are included within this block, the title/remarks column
might contain the notation "129, 139, 152, Production Equivalents". These changes often differ physically
from changes issued to field and operating activities and require this notation to avoid confusion. A separate
page will be used to log all ECPs. All incorporated ECPs shall be entered numerically, using the block entry
procedure, and remain as a permanent logbook entry.
b. When a series of incorporated TDs is entered in block form, the next line is used for listing
subsequently issued, not incorporated revisions to TDs included within the entry. The notation "Revisions to
above block entries" appears on this line, and the listing of revisions shall follow. Operating activities also
use this line for listing revisions that are subsequently issued to TDs within the block entry. The actual
records of status and compliance are entered on the pages designated revisions.
10.10.5.3.1.9.2 NINC. Separate entries are required. Enter the TD identification, the status code (in pencil),
priority, and title/remarks.
10.10.5.3.1.9.3 NA. Use block entries when possible using NAVAIR 00-500C as the baseline. Only the TD
identification, activity, and signature are required. When a new version of the same model aircraft is
produced, it is the responsibility of the original accepting activity to account for changes to the original
model by making a logbook entry, for example, 1-155 NA, and the notation "PPCs 1-155 are now part of
current configuration or apply to another T/M/S", in the title/remarks column. This entry ensures all TDs in
the model series are accounted for, and cites by number, either those TDs not applying to the new version, or
those considered part of the current configuration. Here, no action is required by Navy activities. The entry
is not to be construed as indicating the modifications prescribed by the TDs contained within the block entry
may not have been included in the production models of the new version.
10.10.5.3.1.9.4 NIS. Separate entries are required. Enter the TD identification and status code only.
10.10.5.3.1.9.5 CANX. Use block entries when possible. Only activity and signature are required.
10.10.5.3.1.10.1 Prior to the removal of any TD, proper authorization must be obtained. ACCs have
authority to approve TD removal via message if operational necessity dictates. However, the COMNAV-
AIRSYSCOM APML must be an info addressee on the authorization message. Financial responsibility for
parts to reinstall the TD lies with the ACC/TYCOM and reporting custodian.
10.10.5.3.1.10.2 TD removal will be documented in the same manner as TD incorporation. The only ex-
ception is the use of TD Status Code Q in the A/T field of the MAF/WO.
10.10.5.3.1.10.3 The Technical Directives page will be annotated in the following manner:
a. Draw a single line through the TD status code (block 6), enter TD Status Q in the same block, with
initials of the person authorized in writing to sign logbooks and records.
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b. Make an entry on the Miscellaneous/History page, specify the reason for removal, authority, location
of parts removed, and other pertinent information.
10.10.5.3.1.11 When reinstalling a removed TD, document as a normal TD incorporation. Make a complete
TD entry on the revision page. When documenting the removal and reinstallation of a TD on an item which
has an MSR, ASR, EHR, or SRC card, see specific documentation for that applicable record.
a. INC. Indicates the specified TD has been completely incorporated. A complete entry is required.
b. NINC. A temporary entry made in pencil. This code is used to indicate TDs that have been issued
but not incorporated, including TDs that are only partially incorporated. It is not necessary to assign codes to
denote reasons for nonincorporation. Activities should screen logbooks at frequent intervals to determine the
interim status of nonincorporated TDs. Enter TD identification, status code (in pencil), and title.
d. NA. TDs that do not apply to the particular aircraft model or BUNO. Enter TD identification, status
code, activity, and signature. A brief notation is made in the title/remarks column to indicate
nonapplicability, for example, previous models only or not this bureau number. Title of the TD is not
required.
e. NIS. TDs that have not been issued, will not be issued, or have not been received. This entry is
made in pencil unless it is determined the TD will not be issued, in which case a permanent entry is made.
Enter TD identification and status code. No other information or signature is required.
f. CANX. This code is used when a TD has been previously issued but is cancelled prior to
incorporation. Enter TD identification, status code, activity, and signature. No title of the TD is required;
however, the cancelling reference should be noted in the title block. When a TD has been incorporated and is
later cancelled, the TD status code remains INC.
10.10.5.3.2 Purging. Upon completion of off-site standard rework, the rework activity will purge the AESR.
Consolidate this section of the aircraft logbook using block entries on new pages. The FRC activity, upon
completion of repair or rework, will consolidate this section of the AESR using block entries on new pages.
IMC/P and A} EPM aircraft AESRs will be purged by a D-level activity once per FSP as directed by the
T/M/S Program Manager.
Block 1 - TYPE DIRECTIVE. Enter the type of TD. Separate pages will be maintained for each type
of TD.
Block 2 - AIRCRAFT MODEL/EQUIPMENT NAME. Enter the aircraft T/M/S. If equipment, enter
the equipment name.
Block 4 - BUNO OR SERIAL NUMBER. Enter the aircraft BUNO or equipment serial number.
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Block 5a - BASIC. Enter the basic number of the TD. All TDs are logged in numerical sequence
except on the pages titled "Revisions and Amendments". These are logged in the order they are
received. This includes numbered spaces for TDs not received.
Block 5b - INT. Interim TDs are recorded on the same sheet as formal TDs and are identified by an I
in the INT Block. When cancellation instructions in an interim TD indicate it will be superseded by a
regular TD, enter in pencil the regular TD number on the following line with a temporary status code
NINC.
Block 5c - REV. Enter the letter to indicate revision. They are logged as received on the revision
page.
Block 5d - AM. Enter the number to indicate the amendment. A separate line is required for each
amendment. When different amendments are to be incorporated by different levels of maintenance a
temporary code of NINC (in pencil) will be made for the applicable amendment. In instances where a
single line has been left for a TD not received (NIS status) and a TD is subsequently received with an
amendment or multiple amendments, the basic TD is entered and accounted for on the applicable
Technical Directives page. This entry will also reference the remaining amendments, which are
recorded on the Revision page.
NOTE: All applicable amendments will be logged with the exception of those listed on List Nos. 02 and
04. NAVAIR 00-500C is the baseline for applicable amendments.
Block 5e - PT. Multiple Part TD. Some TDs consist of several parts. Accounting for this type
directive presents special problems when the separate parts are assigned different priorities or are to be
accomplished at different times. You will know to use the part number if it appears in the title line of
the TD. To provide a standard recording procedure for this type of TD, logbook and AESR entries are
made per the following:
a. When a TD is composed of several parts, separate consecutive entries are made for each part
indicating the priority and status of each. A multiple part TD is not included in a block entry unless
all parts have been incorporated.
b. In instances where a single line has been left for a TD not received (NIS status) and a
multiple part TD is subsequently received, part one is entered and accounted for on the applicable
Technical Directives page. This entry also will reference the remaining parts, which are to be
recorded on the applicable Technical Directives revisions page(s).
Block 5f - KIT. Enter kit number as identified in the TD; if none, enter 00. Use a separate line for
each A kit.
Block 5g - PRI. Enter I for Immediate, U for Urgent, R for Routine, or K for Record Purpose, as
applicable. Category K shall be used when a modification has been completely incorporated by the
contractor in all accepted equipment prior to issuance of the TD, and when retrofit of repairables in the
Navy's possession is not required.
Block 6 - STATUS. Enter the appropriate status code. No status codes other than those prescribed
shall appear in the logbook, nor is any code used to indicate other than its intended meaning. When
documenting the removal and reinstallation of a TD on an item which has an MSR, ASR, EHR, or
SRC card, see specific documentation for that applicable record.
Block 7 - TITLE/REMARKS. Enter the title of the TD and any necessary remarks. This need not be
the complete subject title of the TD. For items which have an MSR, ASR, EHR, or SRC card, see
specific documentation for that applicable record.
Block 8 – COMPLIANCE.
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Block 8a - BY (Activity). Enter the short title of the activity complying with the TD, for example,
VF-1.
Block 9 - SIGNATURE. A person having logbooks and records signature authority will sign this
block.
10.10.5.3.4 When documenting TD amendments involving only administrative actions (part number change,
completion date, or BUNO) the following required entries shall be made on the respective TD page, titled
Revision and Amendments:
Block 5f - KIT. Enter the kit number as identified in the TD; if none, enter 00.
Block 5g - PRI. As applicable, enter I for Immediate, U for Urgent, R for Routine, or K for Record
Purpose. PRI shall be the same as the basic or last revision issued.
Block 6 - STATUS. If the amendment is a cancellation to the basic TD or revision, enter CANX. If
the amendment is not applicable, enter NA. For items having an MSR, ASR, EHR, AESR, SRC, or
Aircrew Record, leave blank and enter appropriate record.
Block 7 - TITLE and REMARKS. Enter the purpose of the amendment (change completion date, add
BUNO/SERIAL) for items having an MSR, ASR, EHR, AESR, SRC, or Aircrew Record, enter
applicable notation, for example, “see Air Turbine Starter EHR Card".
Block 8a - BY (Activity). Enter the short title of the activity complying with the TD, for example,
VAW-115. Leave blank for those items that are not an integral part of the airframe.
Block 8b - DATE. Enter the YYMMDD of the compliance. For items having an MSR, ASR, EHR,
AESR, SRC, or Aircrew Record, leave blank and enter on appropriate record.
Block 9 - SIGNATURE. A person having logbooks and records signature authority will sign this
block. For items having an MSR, ASR, EHR, AESR, SRC, or Aircrew Record, leave blank and enter
on appropriate record.
10.10.5.4.1 This CM ALS record provides a record of TDs affecting the airframe structure and its integral
parts. Separate subsections are required to record each type of TD.
10.10.5.4.2 The source for updating this O-level, I-level, and D-level record, is a WO or CM Inventory
Explorer task that provides a detailed listing of TD requirements pushed down from the COMNAVAIR-
SYSCOM baseline.
10.10.5.4.3 TDs that affect a CM ALS component are recorded electronically in the TD part of that record.
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10.10.5.4.4 TDs requiring continuing inspections are logged on the CM ALS inspection record. Subsequent
or continuing inspection requirements are pushed down from COMNAVAIRSYSCOM Baseline Managers as
required in the basic TD.
10.10.5.4.5 Production Equivalents, ECPs, and Prototype or Modification of Aircraft or Equipment. The
CM ALS Administrator will comply with the details in the related correspondence describing the action to be
accomplished (if authorized). CM ALS entries will be made (as required) on the appropriate Miscellaneous
History record.
10.10.5.4.6 TD Removal.
10.10.5.4.6.1 Prior to the removal of any TD, proper authorization must be obtained. ACCs have authority
to approve TD removal via message if operational necessity dictates. However, the COMNAVAIRSYSCOM
APML must be an info addressee on the authorization message. Financial responsibility for parts to reinstall
the TD lies with the ACC/TYCOM and reporting custodian.
10.10.5.4.6.2 TD removal will be documented in the same manner as TD incorporation. The only exception
is the use of TD Status Code Q.
b. Make an entry on the Miscellaneous History Record, specify the reason for removal, authority,
location of parts removed, and other pertinent information.
10.10.5.4.7 The TD record includes the following columns: TD Code, Number, Interim, Revision,
Amendment, Part, Kit Priority, Issue Date, Title/Remarks, Maintenance Level, Man-hours, Target
Completion Date, Status, Completion Date, Activity, and Signature.
10.10.5.4.8 When reinstalling a removed TD, document it as a normal TD incorporation. Make a complete
TD entry on the TD record. When documenting the removal and reinstallation of a TD on an item with a CM
ALS MSR, ASR, EHR, TCR, or SRC, see specific documentation for that applicable record.
NOTE: The OMA-UG/Online Help provides detailed information of the records and hot link definitions
for functionality.
10.10.5.5 Aircraft Engine and Airborne Auxiliary Power Unit (APU) Maintenance Documentation
10.10.5.5.1 General Information. The aircraft is considered to be the end item when work is performed on
engines, except for TD compliance at the O-level. Engines to be sent to IMA for any reason will be
considered the end item and the turn-in document will list the engine TEC and the engine PSSN, or the
module S/N, in blocks A48 and A52 of the MAF. When documentation requires an engine or APU to be
identified in the Removed/Old Item or Installed/New Item blocks (E08-E52 or G08-G48), the MFGR block
(E08 and G08) will reflect the engine and APU TEC and position number, for example, JHDA2. The Part
Number blocks (E23 and G23) will be left blank when TECs are used in the MFGR blocks to identify
engines and APUs. Documentation procedures, whether an aircraft engine or airborne APU are the same
with the following exceptions:
a. Block 14 (H-Z) MFGR Code. When identifying an APU always enter numeric 1 for engine position;
for example, PHAB1.
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b. Block E08 and G08. When identifying an APU always enter numeric 1 for engine position; for
example, PHAB1.
c. Block E42 and G38. When documenting APU enter the engine hour meter or start counter reading,
as appropriate.
10.10.5.5.2 Engine TD Compliance. The MAF/WO will be used to document all TD compliance
maintenance actions per Chapter 15. The TD Compliance MAF/WO is also used by reporting custodians for
planning workload and material requirements, and for configuration accounting. Data obtained from the
MAF/WO allows identification of all direct man-hours expended complying with directives. Maintenance
Control will generate the TD Compliance MAF/WO. If more than one work center is involved, Maintenance
Control must initiate a separate TD Compliance MAF for each assist work center to document their portion
of the TD. If the TD has multiple parts, a separate MAF/WO must be initiated for each part.
b. WUC will be that of the module or component of the module, never the engine.
c. TEC block (A48) will reflect the equipment category, model and series of the engine. For modules,
the engine application series (fourth position) will be X, for example, F404-GE-400 module would be
TXAX. If a component is being sent from supply for TD compliance, the TEC will be for the equipment
category, model and series with an X in the application series (fourth position), for example, F404-GE-400
engine component separate from a module would be TXAX.
d. TDs that apply to more than one module, a separate MAF/WO with a unique JCN will be issued for
each module.
e. Transaction Code 41 will be used with TD compliance with no part number change.
f. Transaction Code 47 will be used for all serialized modules with or without a part number change, or
a TD incorporation on a component. Blocks E08 through E52 and G08 through G48 will be completed.
h. The PSSN will be entered in the discrepancy block for engines that are being turned in for TD
compliance.
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UNCLASSIFIED//
R 202102Z MAY 08
FM NATEC SAN DIEGO CA (UC)
AIG 428
AL 428 (uc)
MSGID/GENADMIN/NATEC SAN DIEGO CA/6.8.5.3//
SUBJ/TECHNICAL DIRECTIVE WEEKLY SUMMARY//
REF/A/MSGID-DOC/NAVAIR 00-25-200/YMD: 200080601//
AMPN/REF (A) NAVAIRSYSCOM TO SYSTEM MANAGEMENT AND PROCEDURES MANUAL//
POC/NAME AS APPLICABLE /6.8.5.2/UNIT:NATEC TD SECTION LEAD/-
/TEL:XXX-XXX-XXXX/TEL:DSN XXX-XXXX/EMAIL: NAME AS APPLICABLE @NAVY.MIL//
GENTEXT/REMARKS/WEEKLY SUMMARY FOR TD’S POSTED DURING WEEK ENDING 16 MAY 08
4. THE FOLLOWING RECENTLY-RELEASED TD’S, ISSUED DURING THE PAST 90 DAYS, WERE
POSTED TO THE NATEC WEB SITE DURING THE PRIOR WEEK. PRESIDENTIAL CHANGE TD’S AND
ALL FMS TD’S ARE EXCLUDED FROM THIS SUMMARY.
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1. CTPL Librarian Action (Upon receipt of new TD): TD Number: _______________________Date Received: _______________
a. Stamp and Date original TD, and maintain as the master
b. Stamp and Date copy and route to QA for screening
2. QA Action:
a. TD has been screened by SME QAR/CDQAR and APPLIES / DOES NOT APPLY (circle one) to
Equipment:_____________________________________________________________________________________________
b. TD compliance Target Completion Date: _____________________________________________________________________
c. TD compliance due no later than, and maintenance level: ________________________________________________________
Remarks: ___________________________________________________________________________________________________
________________________________________________________________________________________________________
Subsequent to:_______________________________________________________________________________________________
Concurrent with:_____________________________________________________________________________________________
Print: __________________________________________________
a. Update Legacy NALCOMIS TD configuration files. (F/D/A); for OOMA, verify the TD Configuration file has been updated
by the T/M/S Baseline Manager. If the baseline has not been updated, ensure SA submits a Baseline Trouble Report.
b. For Legacy NALCOMIS Initiate MAFs (ensure compliance is clearly spelled out on each MAF as required). For OOMA
attach the Task to the CM Module then initiate applicable Work Orders. Brief all affected work centers on the requirements
of the TD and determine material support/timeSE required with the assistance of the expeditor and work center, order parts,
and kits as required.
c. Complete columns I, II, III, of the TD Routing and Tracking Sheet (Part 2)
d. Screen for Support required; i.e. Supply Stock screening (using Figure 10-10-6 (I-Level Only)), NDI/P&E/ Not Applicable
e. Initial column IX of the TD Routing and Tracking Sheet (Part 2) when Parts/Kits are on order.
4. MMCO Action:
a. Screen for Weight and Balance: APPLIES / DOES NOT APPLY (Circle One). If it applies leave block VII of the TD
Routing and Tracking Sheet (Part 2) blank until step 7 below.
b. For TD’s that Weight and Balance does not apply, slash Column VII of TD Routing and Tracking Sheet (Part 2), write NA
and sign below.
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a. Make Appropriate Logs and Records Entries and update Column V of TD Routing and Tracking Sheet (Part 2), ensure TD
Coordinator returns the TD Routing and Tracking Sheet (Part 1) to the Program Monitor.
6. Final Logs and Records Action (Upon receipt of TD MAF sign-off or Field Team Request Form):
a. Upon signing LOGS and REC on a TD MAF, print and place in appropriate individual aircraft/equipment TD Folder.
b. As required, complete any Logs and Records entries for TD and update column VI of the TD Routing and Tracking Sheet
(Part 2)
7. MMCO Action:
a. Weight and Balance Entries Completed (If applicable) YES N/A (Circle One)
b. After the Weight and Balance Program has been updated and all applicable forms have been printed initial block VII of the TD
Routing and Tracking Sheet (Part 2).
a. Legacy NALCOMIS review MDR-4-1 or MDR-4-2 to ensure MAF was processed and initial Column VIII. (This block is left
blank for D-level TDs).
b. N/A for OOMA commands.
a. Review current TD Outstanding Report and TD Completed Report to verify NALCOMIS TD Configuration File accuracy.
b. Verify all Logs, Records, Weight and Balance and the TD Routing and Tracking Sheet (Part 2) has been completed, initial
block VI of the TD Routing and Tracking Sheet (Part2).
c. Upon completion of all routing requirements, remove Part 1 and Part 2 from Copy, attach to Master and file in historical
binders.
Program Monitor Signature: __________________________________________________ Date: ____________________
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L/R QAR
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ROUTINE ACTION
1. AIMD NORTH ISLAND
DEPARTMENT OF THE NAVY 2. COPY NUMBER 001
NAVAL AIR SYSTEMS COMMAND
3. LOCATION 04A
RADM WILLIAM A. MOFFETT BUILDING
47123 BUSE ROAD, BLDG. 2272 DEC 12 2004
PATUXENT RIVER, MD 20670-1547
DISTRIBUTION STATEMENT C: Distribution authorized to U.S. Government agencies and their contractors to
protect publications required for official use or for administrative or operational purposes only, effective (see issue date).
Other requests for the document shall be referred to Commanding Officer, Naval Air Technical Data and Engineering
Service Command (NATEC), Naval Air Station North Island, Building 90, P.O. Box 357031, San Diego, California
92135-7031.
DISTRIBUTION NOTICE: For unclassified limited documents, destroy by any method that will prevent disclosure of
contents or reconstruction of the document.
DETAILED INSTRUCTIONS:
Equipment Maintenance CY J F M A M J J A S O N D
Level
Basic Intermediate 04 12 12 12 12
05 12 12 12 12 12 12 12 12 12 12 12 12
06 12 12 12 12 12 12 10
________________________________
By Direction of the
Commander
Naval Air Systems Command
VERIFIED BY: This amendment does not generate any change, which invalidates the verification performed on the
basic technical directive.
0870LD1034320
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TD Screening Request/Results
Date: _________________________
From: AIMD MMCO
To: Supply Officer
1. The following TD applies to the LRCA/MAMs/Test Bench Installations/SE listed below. Any assets
requiring the TD must be inducted for incorporation.
a. TD Number: ________________________
b. Purpose: ___________________________
NIIN: ______________________________
__________________________________________________________
Date: ________________________
1. All supply assets have been screened. The following stock assets require the TD and will be inducted
for incorporation:
NIIN: ______________________________
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2) POC: LAST NAME, FIRST, RATE/RANK T/M/S CLASS DESK, OFFICE COMMAND
CODE NXXXX, DSN ###-###-####/COMM ###-###-####.
2) POC: LAST NAME, FIRST, RATE/RANK T/M/S CLASS DESK, OFFICE COMMAND
CODE NXXXX, DSN ###-###-####/COMM ###-###-####.
C. CNATRA: N/A
2) POC: LAST NAME, FIRST, RATE/RANK T/M/S CLASS DESK, OFFICE COMMAND
CODE NXXXX, DSN ###-###-####/COMM ###-###-####.
2) POC: LAST NAME, FIRST, RATE/RANK T/M/S CLASS DESK, OFFICE COMMAND
CODE NXXXX, DSN ###-###-####/COMM ###-###-####.
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10.11.1.1 The FOD Prevention Program establishes policy, responsibilities, and requirements to prevent
damage to aircraft, engines, SE and other aeronautical equipment, and to provide uniform FOD reporting
procedures.
10.11.2 Discussion
10.11.2.1 The FOD Prevention Program is applicable to commercial and other government activities
performing contract maintenance, production, or other support functions on naval aircraft, and all Navy and
Marine Corps activities operating or directly involved in the repair of aircraft, gas turbine engines, or SE and
units directly supporting flight operations. O-level, I-level, and FRC activities shall establish written FOD
Prevention Program procedures and maintain an effective FOD Prevention Program that is planned,
integrated, and developed in conjunction with production, maintenance, test, safety, and QA functions. The
FOD Prevention Program is an all hands effort and must be supported by every individual assigned to the
command. Ingestion of foreign objects by gas turbine engines accounts for the largest percentage of
premature engine removals from naval aircraft. FOD presents personnel and material hazards, consumes
valuable maintenance man-hours, imposes additional unscheduled workloads on both using and supporting
activities, creates shortages, wastes dollars, and reduces operational readiness.
10.11.2.2 Most FOD can be attributed to poor housekeeping, facility deterioration, improper maintenance
practices, or carelessness. FOD must be controlled.
10.11.2.3 An effective FOD Prevention Program which identifies, corrects, and eliminates causal factors is a
command responsibility and must be a part of the maintenance program. Each unit operating aircraft,
engines, or SE or directly supporting flight operations, shall designate a FOD Prevention Program Manager,
and form a command FOD Prevention/Investigation Team. The FOD Prevention Program Manager, Safety
Department, and QA Division shall be included members of the FOD Prevention/Investigation Team. The
team is responsible to the CO to carry out the FOD Prevention Program on a day-to-day basis. COs of FRCs
shall establish a FOD Prevention Program, FOD Prevention Committee, and appoint a FOD Committee
Chairperson. The FOD Prevention Committee shall have sufficient authority and organizational freedom to
identify and implement FOD prevention measures whenever and wherever required. The FOD prevention
committee is to develop and implement plans and programs to prevent hardware damage during storage,
transporting, flight line, and launch operations. The committee will be responsible for providing information
to update the status of the local FOD Prevention Program and will ensure prevention efforts are in
consonance with local policy, direction, and procedures. A successful program requires command support,
personnel knowledge and awareness, and integration into the total maintenance effort.
NOTE: Quality organization officers and safety officers shall not be appointed chairpersons of FOD
Prevention Committees.
10.11.2.4 Potential FOD is a condition where a foreign object is in a position to cause damage when a
product or system is used. Examples are, but not limited to:
a. Tools, manufacturing or inspection hardware, and other objects left in the vicinity of or in the
migratory path of engine inlets.
b. Metal or wire clippings, solder balls, and other debris lying in the vicinity of electrical terminals,
circuitry, connectors, or components.
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c. Tools, hardware, or debris left in the vicinity of or in the migratory path of a vehicle's control system.
10.11.2.5 FOD is damage to a gas turbine engine caused by ingestion of objects not organic to the affected
engine and that can be expressed in physical or monetary terms and may or may not degrade product safety
or performance characteristics. Engine FOD incidents are categorized as reportable and nonreportable.
a. Reportable FOD is defined as one which requires aircraft engine/module removal; occurs on an
engine test cell; or in the case of an engine, such as the TF34/T56 that require fan blade or turbine
replacement, without engine removal.
b. Nonreportable FOD is defined as repair without engine, fan blade, or module removal.
10.11.2.6 Each engine FOD incident (including FOD due to natural causes, such as birds or ice) shall be
investigated, and an Engine FOD Incident Report (Figure 10.11-1) shall be submitted by the FOD Prevention
Program Manager within 5 working days of discovery for each reportable FOD. In cases where two or more
engines on a multi-engine aircraft incur FOD during a single incident, reporting custodians may include all
reportable engines on a single Engine FOD Incident Report. A copy of the Engine FOD Incident Report shall
accompany all FOD related engine retrogrades. A mishap report may be required per OPNAVINST 3750.6.
The report does not satisfy mishap reporting required per OPNAVINST 3750.6. In addition, a supplemental
Engine FOD Incident Report, which provides additional significant information, may be submitted by
O-level, I-level, or FRC activities (as appropriate). The supplemental report shall reference the initial Engine
FOD Incident Report DTG.
10.11.2.7 Internal engine component failure and the damage resulting from such failure shall not be
interpreted or reported as FOD. Minor roughness or erosion of blades or vanes, within serviceable limits,
shall not be interpreted or reported as FOD.
10.11.2.8 The Engine Removal/Turn-in, VIDS/MAF (OPNAV 4790/60), shall reflect MAL Description
Code 030 (mishap damage) when FOD is the direct result of an aircraft mishap. The related mishap report
submitted per OPNAVINST 3750.6 shall clearly state the events that justify use of MAL Description Code
030 and discuss the FOD damage occurring in the course of the mishap.
10.11.2.9 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
R} 10.11.3 Responsibilities
10.11.3.1 ACCs, TYCOMs, COMFAIRs, and MAWs shall monitor FOD incidents/rates for all reporting
commands. Negative trends shall be identified and appropriate commanders immediately notified.
a. Compile data received from Engine FOD Incident Reports from subordinate activities and analyze it
to identify causes, hazards, and FOD prone areas of the aircraft and establish or recommend to ACC,
TYCOM, COMFAIR, or MAW any perceived aircraft engineering deficiency which has, or could contribute
to a FOD incident, and procedures to inspect/eliminate the hazard.
b. Assist subordinate activities in evaluating all aspects of FOD prevention and provide in-depth
training for all hands in proven FOD prevention methods and type aircraft peculiarities.
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d. TRAWING commanders, in addition to (1) and (2) above, designate a FOD Prevention Officer to
serve as the point of contact on all matters pertaining to FOD and will work in liaison with the Naval Air
Training Management Support Activity Detachment to ensure program and contractual compliance.
10.11.3.3 COs of aviation capable ships and aviation ships/stations and other commands supporting aircraft
operations or maintenance shall:
a. Include at least one person from each aviation unit or department that have personnel working in or
around aircraft operating/maintenance areas as a member of the FOD Prevention/Investigation Team.
b. Aggressively support the FOD Prevention Program by ensuring flight decks and runways/taxiways
are thoroughly inspected prior to daily flight operations and are clear of foreign objects.
c. Ensure assigned personnel receive indoctrination training, encompassing the importance of the FOD
Prevention Program and fastener control procedures.
a. Submit an Engine FOD Incident Report (Figure 10.11-1) within 5 working days after discovery for
each FOD incident meeting the criteria of this instruction.
b. Address the Engine FOD Incident Reports to the cognizant ACC/TYCOM, MAW, or Navy Type
Wing. Information addressees shall also include the ship/station where the FOD incident occurred and where
discovered, concerned Commander Task Force/COMFAIR, the activity to which the engine is transferred,
and the ISSC of the engine. Marine Corps activities shall also include cognizant Commanding General
Marine Force as information addressee. Activities operating from aviation ships or aviation capable ships
shall include the concerned surface type commander as an information addressee.
c. Report internal engine failures via the MDS, per Chapter 15. If flight safety is involved, report to the
engine ISSC via HMR/EI request. The unit ASO or DOSS will determine if a Hazard or Mishap Report is
required per OPNAVINST 3750.6.
d. Make Miscellaneous/History page entries in the engine AESR or MSR indicating the extent, cause,
and disposition of FODed engines. Include in the AESR entry, the VIDS/MAF (OPNAV 4790/60) JCN, and
the SERNO and DTG of the Engine FOD Incident Report (Figure 10.11-1).
e. Establish and enforce effective aircraft/engine fastener control procedures. The QA Division shall
investigate the cause(s) of missing or loose fasteners, maintain a database for trend analysis per Type
Wing/MAW directive, and take immediate action to correct or eliminate those causes.
f. Ensure a FOD inspection is performed on aircraft which have completed phase maintenance,
extensive corrosion control inspection, engine repair, engine or major component change, and after extended
downtime in excess of thirty days.
NOTE: For loose or missing fasteners on aircraft or an item of SE at the O-level and I-level/FRC, the
discrepant fastener shall be marked and documented on a MAF.
a. Screen the AESR/MSR of all non-RFI engines/modules for FOD related entries.
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b. Inspect all engines inducted for inspection or repair for evidence of FOD. For engines FODed,
identify the actual or evidenced foreign object(s) involved, using residual material recovered, location,
pattern, distribution, type, and extent of damage to fan/compressor/turbine sections.
c. Report FOD incidents discovered but not occurring at the I-level activities, for example, lacking O-
level VIDS/MAF (OPNAV 4790/60), AESR entries, or copies of Engine FOD Incident Reports. The I-level
activity shall submit an Engine FOD Incident Report to document the FOD with the last engine operating
activity as an information addressee.
d. Provide cause of FOD feedback to originator, addressees, and activities listed on the Engine FOD
Incident Report.
e. Submit Engine FOD Incident Reports, per subparagraphs 10.11.3.4 a through d, for FOD incidents
occurring while operating an engine on a test cell/stand.
f. Assist supported activities FOD prevention/investigation teams in FOD mishap investigation efforts.
c. Establish and assign, in writing, a FOD Prevention/Investigation Team consisting of the FOD
Prevention Program Manager, QA Officer, Safety Officer, FOD Prevention Program Monitor, and additional
members with expertise (as required) to investigate FOD mishaps.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Be knowledgeable of OPNAVINST 3750.6 and this instruction, and provide indoctrination and
follow-on training for all assigned personnel, regardless of their rate. Training shall be tailored to assigned
aircraft, engine, and SE FOD hazards, individual operating and maintenance environmental conditions, and
shall emphasize the importance of aircraft, engine, and SE fastener control. FOD training shall include an
explanation of what FOD is, how and where it occurs, and its consequences. Personnel should be shown how
their job relates to the FOD Prevention Program. Training should focus on areas which have FOD causing
potential as well as prevention methods that can be employed. They should know what actions they can take
to prevent FOD and be able to identify conditions which, if left uncorrected, could cause FOD. Additionally,
FOD prevention training shall be included in the driver training syllabus for all personnel who operate self-
propelled vehicles on the flight line. Ensure assigned personnel receive indoctrination training, encom-
passing the importance of the FOD Prevention Program and fastener control procedures.
b. Use CSEC information and reports (provided by the Program Monitor) to aid in identifying specific
areas of concern and to determine corrective action for program improvement.
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d. For O-level activities, to include stations and MAGs, develop local command procedures (as
required) per Appendix D, in concert with the Safety Officer.
e. For IMAs/FRCs, develop local command procedures (as required) per Appendix D, in concert with
the station, MAG, or ship FOD Prevention/Safety Officer.
f. Ensure each engine FOD incident is investigated and an Engine FOD Incident Report is submitted
for each reportable FOD. If the cause cannot be determined at the O-level, use of the supporting activity's
FOD Prevention/Investigation Team is mandatory. An EI shall not be requested until the supporting activity
has completed its investigation. Coordinate with the FOD Prevention Officer to ensure FOD walkdowns are
scheduled and performed on a daily basis in spaces and areas for which an activity is responsible.
NOTE: All activities performing daily flight operations shall ensure FOD walk down is conducted prior
to the first flight of the day, and subsequently through out the day as required. Cooperative
programs in FOD prevention among operational and supporting units are strongly encouraged.
g. Routinely spot check selected areas, such as parking ramps, turn-up areas, work spaces, taxiways,
runways, flight decks, catwalks, test cell areas, hangar bays, runway and flight deck cleaning equipment and
procedures, and SE.
h. Coordinate with the Wing, MAG, station, or ship FOD Prevention Officer to ensure FOD walkdowns
are scheduled and performed on a regular basis in spaces and areas for which an activity is responsible.
Review and take appropriate action on QA recommendations concerning missing or loose fasteners and FOD
Program deficiencies identified to correct or eliminate the cause(s).
i. Ensure FOD prevention is part of all QA inspections. Maintain cleanliness of build-up, production
and manufacturing areas during the performance of work.
j. Review and take appropriate action on QA recommendations concerning missing or loose fasteners
and FOD Program deficiencies identified to correct or eliminate the cause(s). Establish procedures and
processes for the thorough inspection and cleaning of components, assemblies, and completed products.
l. Require proper use and care of assembly and equipment protective devices including stringent use of
masking materials.
m. Protect the end product and its components during handling, installation, and operation.
n. Require all personnel to identify and properly dispose of potential foreign objects.
o. Ensure effective foreign object prevention practices are followed throughout all aspects of
production, handling, test, and storage.
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p. Ensure FOD walkdowns are scheduled and performed on a daily basis on all flight areas, engine test
facilities, and adjacent aprons. Monitor FOD walkdowns to ensure maximum participation, and analyze
collected FOD for possible trends.
q. Ensure aircraft compartments and hidden areas are verified to be free of foreign objects before
closure. Inaccessible areas found to contain foreign objects that are not removable will be noted by a
logbook entry. Conduct foreign object inspections of all closed areas, entrapment compartments, and
migratory routes prior to final sealing. The approval of personnel designated to perform the quality
verification/inspection functions must be obtained before closing designated critical areas and any
compartment. If subsequent access should be required, prior certification shall be voided and the area,
compartments, and routes shall be re-inspected, re-verified, or recertified (as necessary) prior to closure.
r. Develop plans, procedures, schedules, and controls needed to ensure attainment of a viable FOD
Prevention Program.
s. Ensure each engine FOD incident is investigated and an Engine FOD Incident Report (Figure 10.11-
1) is submitted within 5 working days after discovery for each reportable FOD incident meeting the criteria
of this instruction.
NOTE: If the cause cannot be determined at the O-level, use of the supporting activity's (IMA/FRC)
FOD Prevention/Investigation Team is mandatory. An EI shall not be requested until the
supporting activity has completed its investigation.
t. Report internal engine failures if flight safety is involved to the engine ISSC via HMR/EI request,
and if appropriate, via the Hazard/Mishap Report System per OPNAVINST 3750.6.
u. Make Miscellaneous/History page entries in the engine AESR or MSR indicating the extent, cause,
and disposition of FOD’ed engines.
NOTE: O-level and I-level/FRC include in the AESR entry, the VIDS/MAF (OPNAV 4790/60) JCN, and
the SERNO and DTG of the Engine FOD Incident Report (Figure 10.11-1).
v. Ensure FOD inspections are part of the QA inspection process of all aircraft, aircraft equipment, and
SE which have completed R} IMC/P or EPM, phase maintenance, extensive corrosion control, aircraft engine
repair or modification by FRC or contract field teams, engine or major component change, or after extended
down time in excess of 30 days.
w. Ensure work spaces are routinely spot checked for evidence of program support, such as FOD
procedures and posters.
x. Ensure personnel account for all tools, equipment, and pieces/parts removed or unused prior to
installing, operating, or activating the repaired equipment.
a. Designate, in writing via the MMP, a QAR as the FOD Prevention Program Monitor. This
assignment does not preclude other QARs from monitoring this program, but places overall responsibility
with one individual.
b. Ensure FOD inspections are part of the QA inspection process of all aircraft, aircraft equipment, and
SE which have completed phase maintenance, extensive corrosion control, aircraft engine repair or
modification by D-level or contract field teams, engine or major component change, or after extended down
time in excess of thirty days.
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b. Review applicable CSEC information and reports, and provide appropriate recommendations to the
Program Manager.
d. Brief contractor and field maintenance teams regarding the FOD Prevention Program requirements
and ensure disparities are reported to the Program Manager.
e. Monitor FOD walkdowns to ensure ALL HANDS participation, and analyze collected FOD for
possible trends.
f. Investigate the cause(s) of missing or loose fasteners, and review recommendations for corrective
action with the Program Manager.
NOTE: The Aviation Safety Program and DLQP at each selected FRC shall monitor the FOD
Prevention Program and will perform periodic audits, investigations, and verifications.
a. Be responsible for assisting the Program Manager in implementing, enforcing, and managing the
FOD Prevention Program.
b. Ensure work spaces are routinely spot checked for evidence of program support, such as FOD
procedures and posters.
a. FOD Prevention Program indoctrination and follow-on training is provided to personnel. Training
shall include personnel responsibilities and shall be documented on the NAMP Indoctrination Training sheet
(Figure 10.1-5) in the individual's qualification/certification record.
b. Personnel assigned are informed of and comply with the FOD Prevention Program and keep the work
area and all SE free of foreign and loose objects.
c. Personnel perform thorough pre-maintenance and post maintenance inspections of tool containers,
ducts, plenum chambers, crevices, engine cavities, and work areas.
d. Personnel account for each tool, item of SE and part used in the repair of equipment before installing,
operating, or activating.
f. Personnel install closures or duct covers when not actively engaged in maintenance on or adjacent to
gas turbine engines.
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h. All FOD hazards are reported to Maintenance Control/Production Control and the FOD Prevention
Program Manager.
i. In the case of loose or missing fasteners on aircraft or an item of SE, the discrepant fastener shall be
marked and documented on a VIDS/MAF (OPNAV 4790/60).
j. Personnel entering/leaving the flight deck/flight line area thoroughly check personal equipment for
missing/loose parts.
NOTE: For loose or missing fasteners on aircraft or an item of SE, the discrepant fastener shall be
marked and documented on a MAF/WO.
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FM ORIGINATOR
TO AIRCRAFT CONTROLLING CUSTODIAN
INFO COMNAVAIRFOR SAN DIEGO CA//N45/N23//
COMNAVAIRSYSCOM PATUXENT RIVER MD//AIR-6.6.5//
COMNAVSAFECEN NORFOLK VA//12//
OTHER ADDRESSEE(S) (SEE CHAPTER 10 PARAGRAPH 10.11.3.4b)
BT
UNCLAS //N04790//
MSGID/GENADMIN/-//
SUBJ/(COMMAND SUBMITTING INITIAL OR SUPPLEMENTAL REPORT) ENGINE FOD INCIDENT REPORT SERIAL NUMBER
(SEQUENTIAL NUMBER WITHIN EACH CALENDAR YEAR FOLLOWED BY LAST TWO DIGITS OF CALENDAR YEAR) (USE
SEQUENTIAL NUMBERING REGARDLESS OF WHETHER THIS IS AN INITIAL OR SUPPLEMENTAL REPORT) EXAMPLE OF
SUBJECT LINE: VA-100 ENGINE FOD INCIDENT REPORT SERIAL NUMBER 03-97//
REF/A/DOC/COMNAVAIRFOR//15MAY2012//
REF/B/DOC/-/-//
NARR/REF A IS COMNAVAIRFORINST 4790.2B//15MAY2012//
POC/(SENIOR MEMBER OF FOD INVESTIGATION TEAM) NAME/RANK/CODE/PHONE
RMKS/1. SUMMARY (SUMMARIZE CONTENTS OF REPORT IN 2 LINES OR LESS)
2. DATA:
A. AIRCRAFT
(1) TYPE/MODEL/SERIES
(2) BUREAU NUMBER
B. ENGINE(S)
(1) TYPE/MODEL/SERIES
(2) SERIAL NUMBER(S)/PSSN(S) (IF APPLICABLE)
(3) INSTALLED POSITION(S) AT THE TIME OF FOD, IF UNINSTALLED N/A
C. JULIAN DATE(S)/TYPE OF LAST MAINTENANCE
(1) ON AIRCRAFT
(2) ON ENGINE(S)/MODULE(S)
D. LOCATION OF ENGINE(S) AT TIME OF FOD (FOR EXAMPLE, MCAS MIRAMAR,OCEANA, CV-62 DEPLOYED,
FRCSE JACKSONVILLE TEST CELL)
E. EMPLOYMENT OF UNIT AT TIME OF FOD (FOR EXAMPLE, REFTRA, FLEETEX, WEAPONS DET, ORANGE AIR)
F. JULIAN DATE FOD DISCOVERED
(1) WHERE DISCOVERED (FOR EXAMPLE, LINE, FLIGHT DECK, IMA/FRC, TEST CELL)
(2) HOW DISCOVERED (FOR EXAMPLE, DAILY, PRE-INDUCTION INSPECTION, TURNAROUND)
G. DISPOSITION OF ENGINE(S)/MODULE(S) (FOR EXAMPLE, BLENDING, I-LEVEL TURN IN, RETURN TO DEPOT)
(INDICATE NEXT RECEIVING ACTIVITY)
H. PREVIOUS ACTIVITY OPERATING ENGINE(S)/MODULE(S). IF A FACTOR (FOR EXAMPLE, FOD DISCOVERED
UPON RECEIPT) INDICATE IF FOD AESR ENTRY WAS MADE
I. OTHER REFERENCE(S) TO SAME FOD INCIDENT
(1) ETR SERIAL NUMBER(S) (ENSURE ENGINE FOD INCIDENT REPORT SERIAL NUMBER(S) IS/ARE INCLUDED IN
THE REMARKS SECTION OF THE ORIGINAL ETR LISTING REASON FOR REMOVAL CODE 5C OR 5D). NOTE: REASON
FOR REMOVAL CODE 3Q SHALL NOT BE USED FOR ENGINES DAMAGED BY INGESTION OF FOREIGN OBJECTS.
(2) JCN(S) (ENSURE ENGINE FOD INCIDENT REPORT SERIAL NUMBER IS INCLUDED IN DISCREPANCY FIELD OF
TURN-IN VIDS/MAF.)
(3) OTHER APPLICABLE MSG DTGs (LIST SEPARATELY)
3. COSTS DATA
A. ENGINE(S) REPAIR COST (BASED ON CURRENT NAVSAFECEN MSG OF REPORTABLE ENGINE(S) REPAIR COST)
B. AIRCRAFT DAMAGE COST (BASED ON P&E REPORT, OTHERWISE N/A)
C. TOTAL INJURY COST (REFER TO APPENDIX 4B OF OPNAVINST 3750.6)
D. OTHER PROPERTY DAMAGE COST
E. TOTAL COST (TOTAL OF A, B, C, AND D ABOVE)
4. INVESTIGATION
A. DESCRIBE EVIDENCE
B. ANALYSIS OF EVIDENCE
C. ACTUAL FOREIGN OBJECT INGESTED (IF KNOWN)
D. SUSPECTED FOREIGN OBJECT INGESTED IF ACTUAL IS UNKNOWN.(DO NOT REPORT UNKNOWN)
5. DATE/SERIAL NUMBER OF LAST FOD INCIDENT MESSAGE
6. CORRECTIVE ACTION
A. LOCAL CORRECTIVE ACTION TAKEN TO PREVENT RECURRENCE
B. RECOMMENDED CORRECTIVE ACTION IF BEYOND THE CAPABILITY OF THE ORIGINATOR TO IMPLEMENT
CORRECTIVE ACTION
7. COMMANDING OFFICER'S COMMENTS//
BT
Figure 10.11-1: Engine FOD Incident Report Format
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10.12.1.1 The TCP establishes policy and responsibilities for implementing, maintaining, controlling,
storing, replacing, and inventorying common hand tools.
10.12.2 Discussion
10.12.2.1 The TCP is applicable to all Navy and Marine Corps O-level, I-level, and D-level activities
performing or supporting aircraft maintenance. The TCP shall apply to all commercial and other government
activities performing contract maintenance, production, or other support functions on naval aircraft. This
program provides instant inventory capability through internally configured tool containers with each tool
positioned in an individually tailored location. The primary objectives of the TCP are the enhancement of
safety by eliminating accidents and equipment damage attributed to uncontrolled tools and minimizing tool
replacement costs. An effective TCP is the responsibility of all maintenance personnel and all levels of the
chain of command.
10.12.2.2 The ISSC for the TCP is: COMMANDING OFFICER, NAVAL AIR WARFARE CENTER
AIRCRAFT DIVISION, CODE 4.8.6.10, HWY 547, LAKEHURST NJ, 08733-5091, DSN 624-2066 or
COMM (732) 323-2066.
10.12.2.3 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
R} 10.12.3 Responsibilities
NOTE: All COMNAVAIRFOR authorized D-level FRC equivalent forms shall contain, at a minimum,
all data elements required by the corresponding NAMP form.
10.12.3.1 ACCs/TYCOMs may designate subordinate activities as Tool Control Model Managers for
specific T/M/S aircraft. To reduce the administrative burden of processing TCM changes/deviations through
multiple wings, expedite handling, and effectively use their expertise, model managers shall:
b. Screen change recommendations for technical content and fleet wide applicability. Maintain a copy
for standardization and forward to NAVAIRWARCENACDIV Lakehurst, NJ, or return to originator
disapproved.
a. Develop local command procedures for the TCP (as required) per Appendix D. The local command
procedures shall outline a comprehensive, integrated, and monitored TCP in areas where tooling is required
for the performance of aircraft, aircraft component, and related equipment maintenance, rework, and
installation. Adequate levels of tool control shall be determined by FOD potential. When the potential for
foreign objects is less likely and the work is being performed at a D-level facility, a less stringent level of
control may be used in specified areas.
b. Ensure each TCP assigns specific responsibilities and procedures outlined in command directives and
this instruction to:
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(1) Designate, in writing via the MMP/SME listing, the Material Control Officer as the TCP
Manager.
(2) Ensure all TCM changes/deviations are processed via the Tool Control Model Managers, if
assigned, prior to submission to the ISSC via appropriate ACC/TYCOM.
(3) Not release aircraft/equipment for flight/operation, in the event a tool or part of a tool is missing
and not recovered, until an investigation is conducted to confirm the tool/tool part is not in the
aircraft/equipment. O-level and FRC activities will use the Missing/Broken/Worn Tool Report (Figures
10.12-1 and 10.12-2) or an equivalent D-level form. During the absence of the MO, the AMO or person
designated in writing by the CO, shall perform this function.
NOTE: For outside CONUS shore AIMDs this responsibility may be delegated to the Assistant OINC or
MMCO
(4) Coordinate with the NATOPS Officer to ensure all aircrew are thoroughly trained in TCP
procedures for in-flight maintenance and maintenance performed on the aircraft at other than home station.
10.12.3.3 The Weapons Officer shall establish tool control procedures for AWSE, as described in this
instruction, and provide a final copy of the Missing/Broken/Worn Tool Report (Figures 10.12-1 and 10.12-2)
to the I-level QA.
a. Provide initial, follow on, or as needed TCP training to all aviation maintenance personnel. Training
shall place emphasis on personnel TCP responsibilities and missing tool procedures. Document TCP training
within the individual’s training jacket or qualification/certification record.
b. Develop a local tool control plan to consolidate tools from each TCM if assigned to an activity with
more than one T/M/S aircraft.
c. Determine the tool containers and tools necessary to perform repetitive tasks in each work center and
develop a TCP for IMAs and activities without an established TCM. Test station drawers, wall lockers, and
roll around tool containers, which are securable and provide sight inventory when opened, shall be evaluated
by the TCP Manager and approved/disapproved for use. Be the approving authority to add, delete, or modify
tool containers per a Tool Container Change Request (Figure 10.12-3).
d. Assume the responsibilities of the TCP Manager if a Material Control Officer is not assigned.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
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c. Review all AFM Fund (OFC-50) requisitions or allocated FRC OM&N funding requisitions
submitted by the TCP Coordinator for the purchase of replacement and spare tools to ensure unauthorized or
excess tools are not purchased.
d. Ensure all SERVMART shopping lists are screened prior to, and at the completion of, shopping to
ensure no unauthorized purchases are made.
f. Plan and budget funds for the procurement of approved tool containers and hand tools.
g. Ensure TCP procedures are established and complied with in all areas involving work on aircraft,
systems, and components.
b. Implement and maintain tool control procedures per NAVAIR 17-1 series and this instruction.
c. Issue tool containers by container number to the Work Center Supervisor using a Controlled
Equipage Custody Record (NAVSUP 306). Obtain the Work Center Supervisor's signature for each tool
container number assigned.
(1) Issue replacement tools on a one-for-one exchange basis and only for properly marked tools.
NOTE: Activities shall issue replacement tools upon receipt of approved Missing/Broken/Worn Tool
Report (Figures 10.12-1 and 10.12-2) or an equivalent form for D-level FRC activities.
(2) Ensure a record is maintained that outlines replacement tool nomenclature, document number,
tool report number, tool container number, status of requisitions, and date received/issued.
(3) Establish replacement tool inventory records detailing NSN/PN, nomenclature, and quantity on
hand. Maintain inventory accuracy when tools are replenished/issued.
(5) Establish a permanent tool marking system. Tools used on aircraft and in FOD critical
areas shall be etched so they can be readily identified to a specific source. They shall be etched with
the activities identifier/organization code per the NALDA Organization Code Translator
(http://www.navair.navy.mil/logistics/orgtranslator) and have a unique number/designator that represents a
tool rollaway, toolbox, tool container, or tool crib. Tools too small to be etched will be kept in silhouetted
containers with an inventory list identifying them.
NOTE: Replacement tools will have the same markings as the original tool, including a method to
distinguish second and subsequent replacements.
e. Provide all SERVMART lists and tool requisitions to the TCP Manager prior to shopping or placing
tools on order. Provide document numbers to the Work Center Supervisor/Tool Control Representative.
Follow up monthly with Material Control/Supply Department on outstanding tool requisitions.
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f. Coordinate activity change/deviation and TPDR requests. Maintain approved deviations as long as
they are in effect. Investigate and approve or disapprove, in writing, all requests to modify, add, or delete
tools to/from existing tool containers.
g. Conduct semiannual/annual tool container inventories with the Work Center Tool Control
Representatives. Reconcile/document semiannual/annual inventories with master inventories to ensure no
unauthorized additions/deletions to tool containers have occurred.
(1) An inventory list for spare/subcustody tools to include those tools maintained in satellite tool
rooms.
(2) Completed Missing/Broken/Worn Tool Reports (Figures 10.12-1 and 10.12-2) or D-level FRC
equivalent form. Forms/reports shall be retained for 1 year.
(4) Outstanding and completed change/deviation requests as long as they are in effect.
(5) A master copy of each individual tool container inventory and photograph/diagram with the
Controlled Equipage Custody Record (NAVSUP 306) (only IMAs and activities not on an established TCP).
One master copy of container inventory and diagram may be maintained for multiple identical tool containers
used by the same work center.
k. Ensure proper disposal of broken/worn tools. Maintain in locked container and eradicate all etching
from tool prior to disposal. The TCP Coordinator shall acquire a signed copy of the disposal receipt and keep
on file for 1 year.
l. Attempt to redistribute tools that are no longer required prior to R} DLA Disposition Services.
m. Establish and maintain custodial controlled and properly operated centralized tool control centers (as
required). Visually inventory special tool kits checked out from and returned to a centralized tool room.
Tools not already in TCP approved containers will be checked out from a centralized tool area and will be
returned immediately after use. Employee-owned tools shall not be authorized for use.
n. Design and manufacture rapid inventory tool containers. The position of each tool shall be
silhouetted. The silhouetted outline will highlight each tool location within the container. Silhouetting may
be accomplished by use of paint, etching, or other similar methods, which do not contribute to FOD or
become a system contamination hazard. Each tool location shall be listed with a corresponding number on
the inventory list. Procure or modify existing containers to provide control and mark for identification.
Issue, maintain, and replace all authorized tool containers. This includes all tool containers needed to process
aircraft and related components and equipment.
NOTE: Ensure all Tool containers used for maintenance, servicing of any aircraft, engine, or SE in the
physical custody of the depot, or serviced at on-site locations by depot field service teams are
incorporated into the command’s TCP.
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o. Maintain a log/tool custody inventory record that includes an inventory of all tools for each tool
container configuration. Each specific tool container will require an inventory list for verification. Only
those tools on the inventory list shall be kept in the tool container.
p. Monitor the effectiveness of the command’s TCP through audits, process improvement studies,
investigations, surveys, and verification efforts. Forward program related findings to appropriate manage-
ment and supervisory personnel for determination of needed corrective actions or improvements.
10.12.3.8 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR or D-level QA
Specialist as the TCP Monitor. This assignment does not preclude other QARs/QA Specialists from
monitoring this program but places the overall responsibility with one individual.
b. Assist/conduct missing tool investigations and annotate findings on the Missing/Broken/Worn Tool
Report (Figures 10.12-1 and 10.12-2) or D-level FRC equivalent form.
c. Establish and maintain a log to assign a report number to each Missing/Broken/Worn Tool Report. A
sequential numbering system shall be used and consist of year, type of report, and serial number, for
example, 95-M001 (M = missing), 95-B002 (B = broken), or 95-W003 (W = worn). The logbook shall
contain, at a minimum, the following information: report number, calendar date, initiated by, work center,
tool box/item number, nomenclature, investigator assigned, and final disposition. At D-level FRC activities,
the log may be in paper or electronic format using this or a locally developed sequential numbering system.
d. Report tools received bad/defective from Supply or tools of poor quality on a CAT II PQDR per
paragraph 10.9.
e. Brief and monitor work performed by FRC field teams, contractor maintenance teams, or
AIMD/MALS maintenance personnel, detailing on arrival TCP, FOD policies, conditions of the contract, and
associated specifications. Conduct beginning and final inventories of tools, IMRL and consumables using
Figure 10.12-4 or equivalent form for D-level FRC activities. QA shall annotate in-process on the
squadron’s MAF/WO, stating that all tools/IMRL/consumables were accounted for. If the volume of tools
precludes a practical inventory, a modified procedure is authorized where the field team leader lists each tool
used and certifies accountability following work accomplishment. Maintain the form on file for 1 year.
NOTE: On-site D-level FRC IMC/P A} and EPM teams will be briefed by the Wing and monitored
by the D-level FRC quality representative. Hosting activities shall brief depot field
teams/contractors on the TCP (Figure 10.12-4) and their local command procedures before
work is started. The D-level field teams/contractors shall comply with the TCP and the local
command procedures of the hosting activity.
f. Conduct spot checks of work in progress to verify compliance with the TCP.
b. Ensure proper security and control is maintained over all tools and equipment assigned to the
division. Positive key control of tool containers and divisional tool rooms shall be maintained at all times.
c. Ensure formal TCP training is conducted upon indoctrination and as required by the AMO.
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a. Ensure Tool Control Program indoctrination and follow-on training is provided to personnel.
Training shall include personnel responsibilities and shall be documented on the NAMP Indoctrination
Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
f. Inventory all tool containers, special tools, and PPE at the beginning and end of each shift and
document change of shift inventories using a logbook or locally generated Tool Control Log. A historical
record of the tool logbook/log shall be retained for 30 days. Ensure tool containers are FOD free at all times.
NOTE: Due to the size and complexity of D-level work centers/shops, only D-level FRC work center
supervisors shall inventory and document, at a minimum, one tool container each week.
g. Ensure all tool containers are locked or secured when not in use.
h. Note the tool container number on Copy 1 of the MAF in the Tool Box block upon task assignment.
The supervisor or CDI and the technician shall do a sight inventory prior to starting each task and at each
work stoppage. After maintenance has been completed and before an operational systems check, the
inspection process shall once more be performed.
NOTE: NTCSS Optimized OMA NALCOMIS allows the ability to delete the tool box number and
initials on the WO after the CDI has initialed the appropriate data fields. This permits
personnel with a QAR, CDI, or work center supervisor SMQ to delete and reenter the corrected
data in the tool box number and initials data fields. Work center supervisors, QARs, and CDIs
shall ensure that any changes to the Tool Box data field are strictly controlled.
i. Ensure all personnel are familiar with missing/broken/worn tool reporting procedures.
j. Ensure a Tool Container Shortage List (Figure 10.12-5) (or equivalent form at D-level activities) is
maintained within each tool container, excluding tool pouches and ESD work center's tool containers.
k. Ensure tool control within the ALSS Division is enforced per paragraph 10.12.5.
l. Submit Tool Container Change Requests (Figure 10.12-3), Tool Control Manual Change/Deviation
Requests (Figure 10.12-6), or TPDRs (as applicable) for changes/deviations to tool containers.
m. Accompany the QAR during audits. Correct minor discrepancies immediately, and major dis-
crepancies requiring significant remedial action expeditiously.
NOTE: The flight engineer, crew chief, or senior maintenance man (in the absence of an assigned crew
chief) shall assume those responsibilities of the Work Center Supervisor applicable to the TCP
for in-flight maintenance or maintenance performed on the aircraft at other than home station.
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(1) Notify the pilot that a tool is missing, initiate a Missing/Broken/Worn Tool Report (Figures
10.12-1 and 10.12-2) or D-level FRC equivalent form, and conduct a thorough search of the aircraft. The
Missing/Broken/Worn Tool Report will be completed at the end of the flight if the tool is discovered missing
in flight.
(2) The flight engineer, crew chief, or senior maintenance man (in the absence of an assigned crew
chief) will assist/conduct missing tool investigations and annotate findings on the Missing/Broken/Worn Tool
Report (Figures 10.12-1 and 10.12-2) or D-level FRC equivalent form.
(3) If not airborne, ground the aircraft until completion of the missing tool investigation. In the
event a tool or part of a tool is missing and not recovered, the pilot shall release the aircraft only after an
investigation is conducted to confirm the missing tool/tool part is not in the aircraft.
(4) Upon return to home station, notify Maintenance Control that a missing tool was not located and
give them the completed Missing/Broken/Worn Tool Report (Figures 10.12-1 and 10.12-2) or D-level FRC
equivalent form.
a. Be responsible to the Work Center Supervisor for all matters concerning the work center TCP.
b. Maintain tools and tool containers assigned to the work center and ensure containers are FOD free at
all times.
c. Conduct semiannual tool container inventories with the TCP Coordinator and provide the inventory
results to the TCP Coordinator, via the Work Center Supervisor, for reconciliation with the master inventory.
d. Ensure replacement tools are etched with the ORG code, work center, and tool container number
upon receipt from TCP Coordinator.
e. Provide assistance to the Work Center Supervisor in the preparation of the following:
(1) TPDRs.
f. Maintain a TCP file for all information pertaining to the work center TCP, to include:
(3) A listing of tools on order which includes tool report number, tool container, nomenclature,
document number, and status.
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a. Inventory all assigned tool containers, special tools, and PPE at the beginning and end of each shift
or task and ensure tool containers are FOD free at all times.
(3) The legible signature or certification stamp imprint of the individual who did the inventory or
the inspection.
(2) Maintenance tasks are assigned, at work stoppage, prior to system check, upon job completion
or when a change of maintenance task occurs.
(3) In compliance with tool control procedures applicable to the FRC sites to which they are
assigned.
d. Comply with tool control procedures applicable to the FRC site to which they are assigned.
NOTE: Signification that the artisan has successfully completed the tool inventory occurs only after
signing the ACCUM WORK HOURS field on the MAF/WO or in NALCOMIS.
10.12.4.1.1 TCMs/local tool directives contain information that includes material requirements, tool
inventories, and detailed instructions for the implementation and operation of the TCP for a specific
type/model aircraft. Compliance with applicable TCMs/local tool directives is mandatory for all levels of
maintenance.
NOTE: Activities with more than one T/M/S aircraft may consolidate tools from each TCM. Likewise,
activities operating a single aircraft, for example, OMD/Station Operations and Engineering
Squadrons, may consolidate containers to conform to their exclusive mode of operations. These
consolidations shall be processed as a TCM deviation.
10.12.4.1.2 In the event a TCM does not exist for a specific T/M/S aircraft, a local TCM will be developed
by the reporting custodian using other published TCMs as guidance, and submitted via the chain of command
to the cognizant Wing for approval for local use and forwarding to NAVAIRWARCENACDIV Lakehurst,
NJ.
10.12.4.1.3 Activities using NAVAIR 17-1 series shall identify the tools required using the tool inventory
list provided by the TCM.
10.12.4.1.4 IMA-Afloat new construction initial outfitting begins with authentication of COSAL Part II
Section C, of the Allowance Equipage Lists. Advise COMNAVAIRSYSCOM (AIR-1.2) via Allowance
Change Requests for nondemand-based changes submitted per SPCCINST 4441.170. IMA-Ashore and
activities not on an established TCM shall determine the tools necessary to perform repetitive tasks in each
work center and develop a tool inventory list.
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10.12.4.1.5 Inventory lists shall identify each tool by item number, nomenclature, specific quantity, and
NSN. Tools that are multiples shall be identified in detail, for example, "stamping dye set 10 pieces plus 2
piece case total 12", or "feeler/depth gauge 14 blades", or "hacksaw with blade". All types of flashlights are
considered multiple piece tools.
10.12.4.1.6 Etch as many tools as possible, including all pieces of a set and pieces that can be removed by
hand. Use permanent marker/indelible ink for items not suitable for etching, for example, batteries, goggles,
and lenses. Inventory lists shall identify those tools too small or unsuitable to etch by the use of an asterisk
(*) in the left margin of the inventory lists, for example, in a 10 piece allen wrench set, annotate in the
inventory remarks column that only the 3/32 wrench is too small to etch.
10.12.4.2.1 Activities using NAVAIR 17-1 series shall establish tool container configuration per the TCM.
Assemble supporting hardware and drill/cut required holes for holding tools securely in containers. It is
essential that hardware placement, for example, clips and brackets, and drilling of holes be exactly as
indicated in the drawings. If a tool is not available, do not drill/cut the required holes until the tool becomes
available. Record the missing tool(s) on the Tool Container Shortage List (Figure 10.12-5).
10.12.4.2.2 IMAs and activities not on an established TCM shall determine the number of tool containers
required for each work center.
10.12.4.2.3 Tool containers shall be numbered with the aviation 3M organization code, work center code,
and container number, for example, AC3-110-2. If the work center is authorized more than one of the same
type tool container, the additional containers shall be identified with a numerical suffix, for example, AC3-
110-2-1.
NOTE: D-level FRC and contractor-owned tool containers and the tools contained therein may have
unique organizational codes and numbering systems providing identification to the same level of
accountability as stated above.
10.12.4.2.4 The position of each tool shall be silhouetted against a contrasting background. The silhouetted
outline will highlight each tool location within the container. Silhouetting may be accomplished by use of
paint, etching, or other similar methods which do not contribute to FOD or become a system contamination
hazard. Each tool location shall be numbered with a corresponding number on the inventory list.
10.12.4.2.5 The outside of the container shall include the appropriate stenciled warning, "contains tools too
small to etch", "contains tools unsuitable for etching," or "OXYGEN USE ONLY" for applicable work
centers.
10.12.4.2.6 Tool pouches shall be fabricated to identify each tool within a separate position. Each tool
pouch shall have a flap cover that attaches securely on all edges to ensure tools do not fall out. Tool tags will
not be included in tool pouches.
10.12.4.2.7 Activities using TCMs will maintain a copy of the TCM inventory list, TCM diagram, and Tool
Container Shortage List (Figure 10.12-5) within all tool containers, firmly attached, so they do not become a
source of FOD.
10.12.4.2.8 IMAs and activities not on an established TCM will maintain a copy of the inventory list,
provided by the TCP Coordinator, and Tool Container Shortage List (Figure 10.12-5), within all tool
containers, firmly attached, so they do not become a source of FOD.
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NOTE: To reduce the possibility of FOD and for ESD considerations, tool pouches and ESDS work
centers shall keep the inventory lists, diagrams, and shortage list in the Tool Control
Representative’s TCP file.
10.12.4.2.9 Ensure portable tool containers, excluding pouches and established "OXYGEN USE ONLY"
containers, contain tool tags to be used to check out additional tools when required to supplement a tool
container.
NOTE: Portable tool containers are to be used for performing maintenance on one aircraft/piece of
equipment at a time. Tools from portable containers may not be checked out for simultaneous
maintenance on multiple aircraft/equipment.
10.12.4.2.10 A shop tool container is designed to accommodate maintenance actions which require multiple
or special tools. When using a portable container for a maintenance action, a tool tag from the portable
container shall be used to check out a tool from the shop container. If not using a portable tool container, a
shop container logbook shall be used. Ensure the shop container logbook contains at a minimum the
following:
b. Box/Item Number.
c. JCN/MCN/JON.
10.12.4.3.1 The work center immediately notifies Maintenance Control or Production Control of a missing
tool and conducts a thorough search of the work area(s).
10.12.4.3.2 A Missing/Broken/Worn Tool Report (Figures 10.12-1 and 10.12-2) is promptly initiated by the
individual reporting the missing tool and forwarded to Maintenance Control or Production Control.
Maintenance Control or Production Control shall:
a. Notify the MO, AMO, MMCO, CVW MO, and Flight Deck Control (as applicable), and QA that a
tool is missing.
b. Upon notification of a missing tool, flag the ADB and the Aircraft Status Query/Workload Inquiry
Screen/VIDS board to prevent release of the aircraft/components/engines/equipment prior to completion of
the missing tool investigation. Initiate a MAF if necessary.
c. Flag the work center status board and stop production for the job involved (IMA only).
d. Notify supported activity, ASD S6 Division or squadron, if any equipment/component has been
certified as RFI from the work center/tool container involved. Resume production only after the
investigation/paperwork is completed or the tool is accounted for. If a suspect component has been delivered
to a supported activity, it shall be turned in on a work request for an internal FOD check. After an internal
FOD check has been completed by a CDI/QAR, the item is "CERTIFIED FOD FREE". The hard copy of the
work request shall accompany the original MAF.
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10.12.4.3.3 Maintenance Control or Production Control shall forward the Missing/Broken/Worn Tool Report
to QA. QA assist/conduct missing tool investigations and annotate findings on the Missing/Broken/Worn
Tool Report (Figures 10.12-1 and 10.12-2).
10.12.4.3.4 Missing tools not located after the directed search, the QA investigator shall annotate the missing
tool report number and sign a statement in the corrective action block of the MAF that a missing tool
investigation was conducted and the tool could not be found.
10.12.4.3.5 The QA Officer based upon results of investigation will provide recommendations.
10.12.4.3.6 In the event a tool or part of a tool is missing and not recovered, the MO shall release the
aircraft/equipment only after an investigation is conducted to confirm the missing tool/tool part is not in the
aircraft/equipment.
(1) All work activity in the affected area of the aircraft or system shall cease and an immediate
search for the item will begin.
(2) When a tool cannot be located after completing a search, prepare and submit a written report
identifying the missing tool(s) to the immediate supervisor. A locally prepared form may be used to identify
data elements, for example, the BUNOs of aircraft worked on by the employee using the tool, the BUNOs of
the aircraft searched, the date and time the tool was found to be lost or missing, the date and time the search
was completed, the names and codes of key personnel notified or who participated in the search, whether the
tool was found, and whether logbook entries were made (if required).
(2) Identify those areas where work was or may have been performed.
(3) Stop work and begin an intensive search in the suspected areas until the missing tool(s) is/are
found or permission to resume work is received from the appropriate manager. Request assistance (if
required).
(4) Advise the appropriate manager, in writing, that each area and adjacent open areas have been
thoroughly searched.
(5) Notify the appropriate supervisory and quality verification function personnel if the missing
tool(s) has/have not been found after a thorough search and before any open areas are closed.
(6) Forward copies of the written documentation concerning the missing tool(s) as required by local
directives.
(7) If the investigation fails to locate the missing tool during the same shift, inform the oncoming
shift supervisors of the missing tool(s) and actions taken to locate the tool(s).
NOTE: All missing tool investigations and associated documentation regardless of level of tool control,
shall be immediately initiated and closed appropriately.
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10.12.5.1 All tools must be accounted for after the repack and inspection of each item, for example,
parachutes and floatation equipment, since these items cannot be functionally checked prior to use. Upon
completion of the repack/inspection for each item at the I-level, the CDI, QAR, or D-level FRC equivalent
QA supervisor stamp/SMQ in the "Inspected By" block signifies the job was performed to proper standards
and that all tools used have been accounted for. The supervisor’s signature certifies that screening has been
performed and that the QA and TCP requirements have been complied with.
10.12.5.2 The following exceptions and considerations will be given to ALSS Tool Control:
a. All tools shall be maintained in a clean, oil and grease free condition.
b. All tools used on oxygen components shall be segregated with the container marked "OXYGEN USE
ONLY."
c. Long bars and fids shall not be etched. Etching could cause snagging of the canopy material.
d. All special and locally manufactured tools shall be accounted for per the TCP.
10.12.6.1 The TCP Coordinator with the assistance from the Tool Control Representative, shall etch tools
contained with a container number identical to the container number assigned per paragraph 10.12.4.2.
Etching of tool tags shall also include the tag number. Common hand tools contained within and as part of
IMRL tool kits, for example, wire repair kits, do not require etching due to the frequent transfer between
activities.
10.12.6.2 Special tools, as defined in this instruction, are locally manufactured tools and tools used for
shipboard damage control/3M PMS. Special tools are subject to the same positive control and inventory
processes as are standard tools. Therefore, special tools held by the work center or tool room shall, where
feasible, be silhouetted against a contrasting background or placed in silhouetted containers. Special tools
shall be etched, inventoried, and diagrammed under the same conditions as standard hand tools.
10.12.6.3 Ensure consumable materials not included on the tool container inventory, such as safety wire,
electrical tape, and acid brushes, are accounted for prior to and at the completion of each task. Tool
containers shall not be used for hardware storage.
10.12.6.4 Ensure multiple piece tools containing a type of locking nut that can fall off is peened or spot
welded to eliminate the possibility of FOD, for example, hex keys and feeler gauges.
10.12.6.5 Tool Container Shortage Lists (Figure 10.12-5) shall be used as follows:
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b. Annotate document number received from the TCP Manager. If the tool is to be purchased from
SERVMART, enter data of TCP managers next anticipated SERVMART run and the word "SERVMART".
10.12.6.6 Tool rooms may be established as centralized points within an activity/department/division for
issuance of special tools/IMRL items. Tool rooms shall follow the same positive tool control procedures as
outlined in this chapter. The following guidelines apply:
a. Establish tool room containers, for example, wall boards, drawers, and lockers. Each container and
tools assigned shall be marked with organizational code, work center code, and container number. Examples
of container markings are in paragraphs 10.12.4.1 and 10.12.4.2. D-level FRC activities shall mark each
container and tools assigned with the D-level FRC identifier/organization code per the NALDA Organization
Code Translator (http://www.navair.navy.mil/logistics/orgtranslator) and have a unique number/designator
that represents a tool rollaway, tool box, tool container, or tool crib.
b. Where feasible, tools shall be silhouetted per paragraph 10.12.4.2.4. Each tool location shall be
numbered with a corresponding number on the inventory list. Reflective/embossing tape shall only be used
on tool room boards.
c. Tools will be issued in exchange for a tool tag on a one-for-one basis. In the event a tool is required
to be checked out by an individual without access to tool tags, tool issue procedures shall be established to
ensure control and accountability are maintained.
NOTE: The Tool Room Supervisor is responsible for shift change and semiannual inventories of tools
assigned to the tool room. Work center supervisors are responsible for all other inventories.
10.12.6.7 When tools are no longer required, they shall be turned in to the TCP Coordinator. D-level
activities shall turn in extra/spare tools per local directives. At no time will extra/spare tools that are not part
of the TCP be retained in the work centers.
10.12.6.8 Tools associated with flight packets shall be controlled and accounted for as part of the tool control
plan. The TCP Coordinator shall establish Controlled Equipage Custody Record (NAVSUP 306), an
inventory list, and diagram for these tools. The work center that normally issues the tools for use with flight
packets shall be the responsible work center.
10.12.7 Changes/Deviations
10.12.7.1 O-level TCM Changes/Deviations. To reduce the administrative burden of processing TCM
changes/deviations through multiple wings, expedite handling, and use the expertise of on-site managers, the
Tool Control Model Manager concept was developed. Duties are outlined as follows:
a. A TCM change is defined as a tool inventory or container layout diagram that is changed and is
determined to have fleet-wide applications. A proposed change shall be forwarded with appropriate
justification to the Tool Control Model Manager, if assigned, using Tool Control Manual Change/Deviation
Request (Figure 10.12-6). Model managers recommend approval by entering a TPDR directly into the JDRS
web site (https://jdrs.mil). Disapproved requests shall be returned by the Tool Control Model Manager to the
submitting activity with appropriate comments. Changes to the layout, content or design of a tool container
shall not be made until formal authorization is received. Retain changes approved by NAVAIR-
WARCENACDIV Lakehurst, NJ until receipt of new TCM.
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b. A TCM deviation departs from the formal TCM to meet unique operational situations. Deviation
requests shall be submitted to the Tool Control Model Manager in Figure 10.12-6 format. The model
manager shall approve/disapprove the request. Deviations to layout, content, or design of a tool container
shall not be made until formal authorization is received from the Tool Control Model Manager.
c. When a Tool Control Model Manager is not assigned, the ACC/TYCOM shall assume those
responsibilities and functions.
10.12.7.2 IMAs and activities not on an established TCM requiring a change to the tool control plan shall
initiate a Tool Container Change Request (Figure 10.12-3). Changes shall not be made without approval
from the MMCO. The TCP Manager shall maintain the approved request on file for 1 year.
10.12.7.3 D-level FRC activities shall establish local procedures for investigating, approving, and
disapproving all request for modifications, additions, and deletions to/from existing tool containers using
local forms.
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Note: Complete sections A, C, and F for Broken/Worn tool reports. A missing tool requires a complete
investigation and report.
A. Report Originator
Circumstances:
Notify: MO, AMO, MMCO, CVW MO (afloat), Flight Deck Control (afloat), QA
Remarks:
/ /
Maintenance/Production Control Signature / Date / Time
-----------------------------------------------------------------------------------------------------------------------------------
C. Quality Assurance
/ /
Investigator Signature / Date / Time
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/ /
Quality Assurance Officer Signature / Date / Time
---------------------------------------------------------------------------------------------------------------------------------
E. Maintenance Officer
Aircraft released for flight /Equipment released for use? Yes / No (circle one)
Comments
Tool replaced from Yes / No (circle one) SERVMART Item? Yes / No (circle one)
spare
Document SERVMART
Number: Date:
Supply status:
/ /
Tool Coordinator Program Coordinator Signature / Tool Control Representative Signature /
Date Date
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NSN/PN CAGE
Nomenclature QTY
Justification
Originator
Appropriate Signatures
QA Date
Recommended/Not Recommended
MMCO Date
Approved/Disapproved
On Order/Requisition No.
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From:
To: Contractor/Field Maintenance Team
Subj: CONTRACTOR /FIELD MAINTENANCE TOOL CONTROL PROGRAM (TCP) AND FOREIGN
OBJECT DAMAGE (FOD) BRIEF
1. Reference (a) requires Quality Assurance (QA) brief contractor/field maintenance teams on the command TCP and
FOD requirements prior to maintenance actions.
2. A Quality Assurance Representative (QAR)/QA Supervisor and the contractor/field maintenance team leader shall
jointly conduct a tool inventory prior to and upon completion of each maintenance assignment. The team leader shall
notify QA of any additional tools introduced after the initial tool inventory. If the volume of tools precludes a practical
inventory, the team leader will list each tool used to certify accountability following work accomplishment.
3. The team leader shall immediately notify QA upon discovery of a missing or broken tool. Tools broken during a
maintenance action will be sighted by a QAR/QA Supervisor and all pieces accounted for.
4. I have been briefed by the activity QAR/QA Supervisor on the responsibilities of all personnel working in, on, and
around aircraft/systems/component/Support Equipment with respect to proper TCP and FOD procedures. Copy of tool
inventory attached.
Figure 10.12-4: Contractor/Field Maintenance Team Tool Control/FOD Brief and Inventory
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CONTAINER SHORTAGES
Tool Container No:
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From:
To:
b. Deviation Requested:
c. Justification:
2. Point of Contact:
DSN: Commercial:
----------------------------------------------------------------------------------------------------------------------------------------------------------------------------
FIRST ENDORSEMENT
From:
To:
Signature: Date:
Copy to:
(As appropriate)
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10.13.1.2 References:
a. OPNAVINST 5100.19, Navy Safety and Occupational Health (SOH) Program Manual for Forces
Afloat.
b. OPNAVINST 5100.23, Navy Safety and Occupational Health (SOH) Program Manual.
d. NAVAIR 01-1A-509-1, Cleaning and Corrosion Control, Volume I, Corrosion Program and Corro-
sion Theory.
h. MIL-STD-2161B(AS), Paint Schemes and Exterior Markings for U.S. Navy and U.S. Marine Corps
Aircraft.
j. NAVAIR 00-80T-121, Chemical, Biological, Radiological, and Nuclear Defense NATOPS Manual.
m. NAVAIR 01-1A-509-3, Cleaning and Corrosion Control, Volume III (Avionics and Electronics).
R} 10.13.2 Discussion
10.13.2.1 This program applies to all Navy and Marine Corps activities, and commercial and other
government activities performing contract maintenance, production, D-level, or other support functions on
naval aircraft and SE. All activities shall place special emphasis on the importance of the Corrosion Preven-
tion and Control Program and lend full support to ensure that corrosion prevention/control receives a priority
for timely accomplishment, along with other required maintenance. To prevent aircraft mishaps, excessive
out-of-service time, serious damage to aircraft and equipment, and a resultant reduction in readiness with
increased cost, corrosion must be discovered and corrected by each level of maintenance in the very earliest
stages of development. To accomplish this, responsibilities are assigned to all departments in each activity to
ensure that sufficient expertise is available to perform all required inspections. Discovering and correcting
corrosion in the earliest stages of development will prevent flight related mishaps, excessive out-of-service
time, serious damage to aircraft and equipment, and reduction in readiness.
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10.13.2.2 Detecting corrosion on hidden surfaces of aircraft, engines, components, and SE is difficult
because of inaccessibility and generally can be accomplished only after disassembly. Accordingly,
identifying and correcting corrosion in these areas requires special attention. Exterior corrosion is easily
detected through visual means and prescribed scheduled inspection requirements.
10.13.2.3 SE Corrosion
10.13.2.3.1 Since SE structures (frame and skin) are commonly made of ferrous metals, SE is not normally
susceptible to intergranular corrosion and catastrophic structural failure due to corrosion as are nonferrous
metals on aircraft. However, SE end items are usually susceptible to surface/pitting corrosion and must be
cleaned on a scheduled basis (as required) to preclude salt and stack gas residue/dirt and oil contaminant
accumulation. Corrosion control is mandatory, and shall be performed to maintain the protective envelope on
SE and not merely for cosmetic purposes. Shipboard SE requires cleaning and corrosion prevention/treat-
ment more frequently than shore-based SE.
10.13.2.3.2 SE, AWSE, and WHE preservation is designed to protect the material condition of equipment,
which is not expected to be used for extended periods of time. This equipment may be preserved at any time,
regardless of material condition, when it is determined to be in the best interest of the equipment or activity.
ISSCs have the responsibility to determine when this equipment is required to be placed in preservation.
Equipment not placed in preservation shall receive corrosion prevention/treatment per applicable
MIMs/MRCs. For standardized management of personnel and resources, activities may use the following
categories to determine the level of preservation desired:
a. Category A - SE/AWSE/WHE which has anticipated usage within the next 90 days. This equipment
shall be maintained under current SE/PMS directives.
b. Category B - SE/AWSE/WHE that could possibly be used within the next 180 days. This equipment
may be placed in a minimum of Level I.
c. Category C - SE/AWSE/WHE not needed for extremely long periods of time (in excess of 180 days)
may be placed in Level II or III preservation depending on the resources at the geographical area.
d. Levels of preservation for SE/AWSE/WHE are defined below. Dehumidification (Level III) is the
preferred method of preservation.
10.13.2.4 Corrosion recognition and reporting is an all hands responsibility. This program is designed to
incorporate command, middle management, maintenance, and flight crew participation. Responsibilities are
assigned to all aviation maintenance work areas to ensure sufficient expertise is available to perform all
required inspections.
10.13.2.5 The term qualified as used in this chapter denotes individuals who are trained in the cleaning and
repair of corrosion areas, inspection, identification, treatment, preservation, lubrication, hazardous waste
disposal, and proper documentation reporting. The term qualified will also signify personnel who have
completed training per paragraph 10.13.6.
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10.13.2.6 LMTC
a. Aircraft Weapons System Cleaning and Corrosion Control is COMMANDING OFFICER, FRCSW
NORTH ISLAND, CODE 4.3.4.6.0, BLDG 469, PO BOX 357058, SAN DIEGO CA 92135-7058, DSN 735-
9756 or COMM (619) 545-9759.
10.13.2.7 ISSC
b. Naval Aviation Nuclear, Biological and Chemical Defense is COMMANDER, NAVAL AIR
SYSTEMS COMMAND, COMBAT SURVIVABILITY DIVISION, CODE 4.1.8 (CHEMICAL
BIOLOGICAL DEFENSE), BLDG 2187, 48110 SHAW ROAD, SUITE 1120, PATUXENT RIVER, MD
20670-1906, DSN 342-0202 or COMM (301) 342-0202.
10.13.2.8 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
A} D-level FRCs may document requirements via a locally approved training management system.
R} 10.13.3 Responsibilities
a. Designate, in writing via the MMP/SME listing, a Corrosion Prevention and Control Program
Manager/Coordinator.
b. Ensure corrosion prevention, evaluation, removal, arrestment, and treatment is accomplished and
supervised by qualified personnel. To achieve and retain an effective Corrosion Prevention and Control
Program, in-service training and formal schools shall be used to ensure personnel are capable of detecting,
identifying, reporting, and treating various forms of corrosion.
c. Develop local command procedures (as required) per Appendix D A} or OPNAVINST 5215.17 for
D-level FRCs to include emergency reclamation procedures/processes (Chapter 3). The local command
procedures shall reference NAVAIR 00-80T-121 and FM 3-11.5 to ensure emergency reclamation team
members are familiar with NBC decontamination procedures for aircraft, engines, components, and SE.
NOTE: Reporting custodians deployed to the Indian Ocean, Red Sea, Arabian Sea, and Persian Gulf
shall develop local command procedures per Appendix D.
d. Assign Emergency Reclamation Team members, in addition to those personnel assigned to Work
Center 12C, Corrosion Control Team or production work centers, and any augmentees deemed necessary.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
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a. Ensure the Industrial Hygienist conducts, as part of the activity’s comprehensive baseline survey, a
work place assessment (walk through) and exposure assessment of all touch-up painting operations on
aircraft and aeronautical equipment per OPNAVINST 5100.19 and OPNAVINST 5100.23. Permanent
changes to the process or its components require a new written baseline survey.
NOTE: In the case of contractor operations/personnel, the Industrial Hygienist shall conduct a new
written baseline survey prior to the work place being turned over to the contractor or DON.
b. Ensure personnel assigned duties involving opening, mixing, or application of coating materials
receive preplacement training, periodic medical surveillance evaluations, and respirator fit testing/use as
recommended by the Industrial Hygienist. For additional guidance, refer to OPNAVINST 5100.19 and
OPNAVINST 5100.23.
c. Ensure personnel assigned duties involving exposure to potentially harmful dusts, mists, or vapors
use required PPE.
d. Place special emphasis on the HMC&M Program and fully support all federal, state, local, and
OPNAV environmental laws/regulations.
g. Provide Corrosion Prevention and Control Program indoctrination training and emergency
reclamation processes/procedures training.
(2) Syllabus identifying the activity’s corrosion prevention and control and Emergency Reclamation
Team training requirements.
(3) Listing of maintenance personnel who have completed all required corrosion control courses.
i. Review CSEC information and reports to aid in identifying specific areas of concern and determine
what steps are required for improvement.
j. Provide technical advice and assistance to all work centers in matters pertaining to corrosion
prevention and control.
k. Ensure Plane Captains are trained in corrosion prevention and control and are aware of their
responsibilities to identify and report corrosion.
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l. Ensure aircraft paint schemes are maintained per MIL-STD-2161B(AS). Deviations shall not be
made without written ACC/TYCOM approval.
m. Maintain sufficient quantities of required materials, equipment, and tools to support the Corrosion
Prevention and Control Program and emergency reclamation actions/procedures.
NOTE: All hazardous material on hand to support emergency reclamation shall be retained at the
CHRIMP site and will be jointly inventoried quarterly, by the Emergency Reclamation Team
Leader/CHRIMP Site Supervisor, to verify that items are on hand, in the correct quantities, and
within prescribed shelf life.
n. Supervise the Emergency Reclamation Team. Conduct and document quarterly training and drills to
refresh team members in emergency reclamation actions. The drills shall encompass specific O-level or
I-level maintenance and all emergency reclamation procedures for aircraft, engines, components, and SE,
except the physical removal of components and aircraft or SE washing.
o. Ensure entries are made on the Miscellaneous/History (CNAF 4790/25A) form in the appropriate
Logbook/AESR per Chapter 3, for aircraft/equipment exposed to large quantities of salt water/fire fighting
chemicals.
p. Verify ultrasonic/water solution component cleaning and drying is not attempted on components and
other equipment unless specified by MRCs, MIMs, or official technical data.
10.13.3.3 The QA Officer shall designate, in writing via the MMP/SME listing, a corrosion control qualified
QAR/QA Specialist (AM senior petty officer/D-level equivalent) as the Corrosion Prevention and Control
Program Monitor. This assignment does not preclude other qualified QARs/QA specialists from monitoring
this program but places the overall responsibility with one individual.
10.13.3.4 The QA Supervisor (O-level and IMA only) shall monitor Corrosion Control/Treatment Reports
(MDR-11) for corrosion control/treatment using When Discovered Code R percentage rates in the MDR-11
to provide guidance to QA inspectors.
b. Develop and administer a written open-book corrosion prevention and control CDI test, and an
Artisan test (if applicable). Any QAR/QA specialist may administer the examination.
e. Monitor Corrosion Control/Treatment Reports to ensure corrosion prevention and control are
accomplished by each work center during the processing of A/C, engines, components and SE.
a. Ensure corrosion control inspections are performed per applicable directives. Any aircraft with
AWM corrosion discrepancies that are within maintenance capability shall be restricted from flight if the
discrepancies are not corrected within 28 calendar days from the date of discovery. Where operational
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commitments preclude compliance with this directive, a waiver to defer the corrective action beyond the 28
calendar days may be granted by the ISSC via ACC/TYCOM. Waivers and extensions shall be maintained
and monitored by the ISSC and ACC/TYCOM with the new required corrective action maintenance
timeframes based on the ISSC/ACC/TYCOM assessment.
b. Request P&E assistance for corrosion discrepancies beyond maintenance level capability.
d. Ensure aircraft, engines, components, and SE preservation procedures are accomplished per
applicable directives.
a. Ensure Corrosion Prevention and Control Program and Emergency Reclamation indoctrination and
follow-on training is provided to personnel. Training shall include personnel responsibilities and shall be
documented on the NAMP Indoctrination Training sheet (Figure 10.1-5) in the individual's qualifica-
tion/certification record/artisan’s electronic IQR.
b. Ensure sufficient numbers of work center personnel are qualified in emergency reclamation
procedures, and all those with corrosion prevention and control/emergency reclamation responsibilities
comply with the Respirator Protection Program per OPNAVINST 5100.19 and OPNAVINST 5100.23.
c. Report defective corrosion prevention and control materials received from Supply.
e. Ensure authorized corrosion prevention and control materials are used. Materials R} with an expired
shelf life shall not be used once the shelf life has been exceeded.
g. Ensure work center personnel use authorized procedures for aircraft and equipment cleaning,
corrosion treatment, and preservation.
10.13.4 Procedures
a. Develop an effective corrosion control capability per OPNAVINST 5100.19, OPNAVINST 5100.23,
OPNAVINST 8000.16, NAVAIR 15-01-500, NAVAIR 01-1A-509-1, NAVAIR 17-1-125, DODINST
6050.05, MIL-STD-2161B(AS), and OPNAVINST 3750.6 (as applicable).
b. Utilize personnel having completed Aircraft Corrosion Control course (Course N-701-0013) or
Aircraft Corrosion course (Course C-600-3183) to conduct quarterly OJT for maintenance personnel and
aircrew on corrosion prevention and corrosion control to include inspection, detection, identification,
treatment, and corrosion documentation using available resources and training aids.
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c. Ensure corrosion prevention and control are accomplished and properly documented by each work
center during the processing of A/C, engines, components and SE.
d. Ensure availability of material and equipment for rapid processing and corrective action for
emergency reclaimed equipment.
e. Ensure activities assigned seven or more aircraft establish a Work Center 12C or a Corrosion Control
Team.
NOTE: Marine Helicopter Squadron One Executive Flight Detachment is exempted from establishing a
dedicated Work Center 12C.
(1) One AM, E-6 or above, qualified aircraft painter assigned as Work Center/Corrosion Control
Team Supervisor and one AM, E-5 or above, qualified aircraft painter assigned as the Corrosion Program
Monitor.
NOTE: One of the above personnel shall be qualified in aircraft paint touch-up and coatings
maintenance.
(3) Three personnel having completed Aircraft Corrosion Control course (Course N-701-0013) or
Aircraft Corrosion course (Course C-600-3183).
g. Assign qualified corrosion control personnel to the Airframes Branch, or the equivalent, in small
detachments and OMDs with fewer than seven aircraft as follows:
(1) One aircraft: Two AMs, E-3 or above, qualified as aircraft painters.
(2) Two through six aircraft: One AM, E5 or above, and two AMs, E-3 or above, qualified as
aircraft painters.
h. Assign additional personnel as required to enhance each activity’s Corrosion Prevention and Control
Program and Emergency Reclamation Team.
a. Develop an effective corrosion control capability for each work center per OPNAVINST 5100.19,
OPNAVINST 5100.23, OPNAVINST 8000.16, NAVAIR 01-1A-509-1, NAVAIR 15-01-500, NAVAIR 17-
1-125, DODINST 6050.05, MIL-STD-2161B(AS), and OPNAVINST 3750.6 (as applicable). Conduct
formal training and OJT using NATEC personnel and other corrosion control training facilities.
b. Ensure corrosion prevention and control are accomplished by each work center during the processing
of engines, components, and SE.
c. Assist supported activities during reclamation actions and provide expertise and equipment not
authorized at O-level activities.
d. Assist supported activities by providing expertise and equipment for corrosion repairs when
requirements exceed O-level activity capability.
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e. Ensure one AM, E-5 or above, and two AM personnel assigned to the Airframes Division are
qualified as aircraft painters.
f. Assign one AS, E-6, and two AS personnel that are qualified aircraft painters to the Support
Equipment Division.
b. Ensure corrosion prevention and control are accomplished by each work center during the processing
of engines, components, and SE.
c. Publish and maintain local command procedures per Appendix D or OPNAVINST 5215.17 that
outline processing procedures for reclaiming salt water or chemical damaged equipment, work area personnel
assignments/duties, team personnel training program, and required materials and equipment.
d. Assist supported activities during reclamation actions and provide expertise and equipment not
authorized at O-level and IMA activities.
e. Ensure availability of material and equipment for rapid processing and corrective action for
emergency reclaimed equipment.
f. Assign additional personnel as required to enhance the command’s Corrosion Prevention and Control
Program and Emergency Reclamation Team. Corrosion prevention and control-qualified artisans from the
following work areas are highly recommended:
(2) Avionics
(5) Ordnance qualified personnel (if ordnance related equipment workload is assigned to the
activity).
NOTE: One of the airframes team members shall be qualified in aircraft paint touch-up and coatings
maintenance.
10.13.5.1 General procedures and basic policies for recovery, reclamation, and transfer of crash damaged
aircraft are in Chapter 5 and OPNAVINST 3750.6.
10.13.5.2 When an aircraft crashes within the land area of a naval organization in CONUS, and subsequent
to request by the reporting custodian to the CGMAW, the nearest Navy or Marine Corps air station, facility,
or activity designated by the cognizant type wing/CGMAW is responsible for recovering the damaged
aircraft. However, the reporting custodian furnishes officer and enlisted personnel to assist in the recovery
(as requested). When a damaged aircraft is suitable for repair/rework, and if practicable, it should be
inspected at the scene of the accident by a FRC P&E.
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10.13.5.3 When an aircraft crashes outside CONUS, the reporting custodian notifies the cognizant COM-
FAIR/CGMAW, who makes necessary arrangements for disposition and, if necessary, reclamation of the
aircraft. The cognizant COMFAIR also designates the station, facility, or unit that is to recover and accept
physical custody of the damaged aircraft. The cognizant COMFAIR/CGMAW arranges for qualified person-
nel to determine the suitability of aircraft damaged outside CONUS for rework/repair or other disposition.
a. When a damaged aircraft is determined to be beyond rework, the aircraft shall be reported as a
category one strike per Chapter 5. In this case, the aircraft may be transferred to the nearest CONUS naval
air activity for return to COMNAVAIRSYSCOM for custody and final disposition.
10.13.5.5.1 FRC activities shall publish and maintain a facility instruction outlining processing procedures
for reclaiming salt water or chemical damaged equipment, work center personnel assignments/duties, team
personnel training program, and required materials and equipment.
10.13.5.5.2 During reclamation actions, FRC activities will assist supported activities by providing expertise
and equipment not authorized for O-level maintenance.
10.13.6.1 O-level and I-level personnel engaged in aircraft, engine, component, or SE maintenance shall
complete one of the following corrosion control training courses:
NOTES: 1. Maintainers completing Aviation “A” School between April 1992 and October 2005 received
corrosion control training equivalent to those listed in subparagraph 10.13.6.1a.
2. The training noted in subparagraphs 10.13.6.1a or 10.13.6.1b are prerequisite courses which
must be satisfied prior to attending Aircraft Corrosion Control course (Course N-701-0013) or
Aircraft Corrosion course (Course C-600-3183).
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10.13.6.2 O-level Work Center 12C or Corrosion Control Team personnel as well as the I-level Work
Centers 51B, 60A, and 92D supervisors shall complete the Aircraft Corrosion Control course (Course N-701-
0013) or Aircraft Corrosion course (Course C-600-3183) within 60 days of assignment.
NOTE: The corrosion training noted in subparagraph 10.13.6.2 is a prerequisite for Aircraft
Paint/Finish Course (Course C-600-3182) or Aircraft Paint Touch Up and Markings Course
(Course N-701-0014).
10.13.6.3 Personnel performing Aircraft and SE Painting operations (subparagraphs 10.13.4.1 and 10.13.4.2)
shall complete the Aircraft Paint Touch Up and Markings course (Course N-701-0014) or Aircraft
Paint/Finish course (Course C-600-3182) prior to painting aircraft/SE. This qualification is valid for an
unlimited period.
NOTE: Activities may request on-site training for both Corrosion Control and Paint Final Finish from
NATEC or FRC Mobile Training Teams via ACC/TYCOM. FRC Mobile Training Teams can
provide Aircraft Corrosion Control course (Course N-701-0013)/Aircraft Paint Touch-up and
Markings course (Course N-701-0014) training. NATEC can provide the Aircraft Corrosion
Control course (Course N-701-0013) or Aircraft Corrosion course (Course C-600-
3183)/Paint/Finish course (Course N-701-0014/C-600-3182) but must be granted written
permission from the course manager from the respective course. FRC and NATEC
representatives providing formal course support are required to be qualified instructors and
subject matter experts. Setup, facilities, materials, publications, attendance and other
considerations become the requesting unit’s responsibility.
10.13.6.4 O-level QARs shall complete the Aircraft Corrosion Control course (Course N-701-0013) or
Aircraft Corrosion course (Course C-600-3183) within 60 days of designation, if not previously completed.
At a minimum, I-level AM (Navy) and Marine Corps structures mechanics (MOS 6062/6092) shall complete
one or both of the above courses within 60 days of designation, if not previously completed.
10.13.6.5 Wing Material Condition Inspectors and squadron QA/QARs shall complete annual inspection
OJT with FRC PMI representatives to include general inspection techniques, common discrepancy issues,
and current FAL items being observed by the FRC/ISSC/TYCOM team.
NOTE: Each Type Wing/MAW Commander shall develop local command procedures (as required) per
Appendix D to document common and specific T/M/S general inspection techniques and FAL
areas of interest covered during annual training.
10.13.6.6 Wing Material Condition Inspectors shall complete the Aircraft Corrosion Control course (Course
N-701-0013) or Aircraft Corrosion course (Course C-600-3183) within 90 days of assignment.
NOTES: 1. Subparagraphs 10.13.6.4 through 10.13.6.6 (above) may be waived by the T/M/S Wing for
operational commitments but must be satisfied within 90 days after completion of that
operational commitment.
2. Course information for all NAVAIR and CENNAVAVNTECHTRA courses is available on
CANTRAC at https://main.prod.cetars.training.navy.mil.
10.13.6.7 D-level artisans performing corrosion inspections, prevention, abatement, and treatment shall
complete locally prepared corrosion prevention and control and aircraft painting courses for qualification in
corrosion control:
NOTES: 1. Maximum use of the FRC corrosion control training Aircraft Corrosion Control Course
(N-701- 0013) is recommended for all personnel involved in aircraft/equipment maintenance.
2. Civilian contractor maintenance personnel that have attended OEM or equivalent training
have met the intent of this requirement.
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10.14.1.1 The Plane Captain Qualification Program establishes policy for the qualification, designation,
recertification, and suspension/revocation of plane captains.
10.14.1.2 References
d. NAVAIR 00-80T-122, Helicopter Operating Procedures for Air-Capable Ships NATOPS Manual.
R} 10.14.2 Discussion
10.14.2.1 The Plane Captain Qualification Program is applicable to all Navy and Marine Corps activities that
operate aircraft. Commercial and other government activities performing contract maintenance or support
functions on naval aircraft shall, when possible, ensure contractor personnel in positions with no
corresponding Navy rate meet the same or equivalent standards as Navy and Marine Corps personnel.
10.14.2.2 Due to the high degree of responsibility assigned, only those personnel that possess sufficient
mechanical ability, aptitude, and personal integrity should be designated as a Plane Captain.
10.14.2.3 The designation of plane captains in no way nullifies the requirement for designating aircrewmen
per OPNAVINST 3710.7. In commands where Naval Aircrewmen (AWF, AWS, AWV, AWR, or AWO)
perform the functions of a plane captain, completion of the training curriculum and the designation as a
Naval Aircrewman by the CO per the NATOPS Evaluation Report (OPNAV 3710/7) shall qualify the
aircrewman for plane captain duties. In such cases, the Naval Aircrewman training syllabus must include all
plane captain qualifications/requirements. Naval Aircrewmen qualified as plane captains per this paragraph,
are not required to take a separate plane captain examination, appear before the Plane Captain Selection
Board, or be designated via the Plane Captain Designation (CNAF 4790/158) (Figure 10.14-1). In those
commands where the Naval Aircrewman training syllabus does not include plane captain qualification
requirements, personnel shall qualify as plane captains per paragraph 10.14.3.7.
NOTE: Plane Captains shall not perform engine/APU ground turn-up unless trained and certified per
the requirements in Chapter 3.
R} 10.14.3 Responsibilities
a. Develop a standard plane captain training syllabus for initial designation, requalification, and
refresher training, to include the associated lesson guides and practical and written examinations for the
T/M/S aircraft for which they are responsible. PQS and MATMEPs, or D-level FRC specific prerequisites
(when available), shall be integrated into the training syllabus.
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b. The training syllabus and testing requirements shall be sufficient to ensure plane captains are
knowledgeable and skilled in their duties for the designated T/M/S aircraft and its system. The Plane Captain
Training Syllabus Topics (Figure 10.14-2) provides guidance on the areas to be covered.
c. Ensure the syllabus and related forms are available in ASM and used for documenting training and
designations by commands implemented with ASM.
d. As required, update the syllabus to keep it current with changes to procedures and references.
a. Establish a Plane Captain Selection and Examining Board, chaired by the MO and consisting of the
Line/Power Line Division Officer, Squadron Safety Officer, Line/Power Line Division Supervisor,
QAR/QAS, and others (as appropriate). Each candidate shall receive a thorough written and practical
examination prior to initial designation.
b. Designate, in writing, qualified plane captains using the Plane Captain Designation (CNAF
4790/158) (Figure 10.14-1) (or ASM equivalent).
c. Suspend or revoke designations of plane captains who display a disregard for safety or established
aircraft maintenance/handling procedures. Designations shall only be reinstated after the individual has
completed the plane captain refresher training syllabus, demonstrated proficiency to the QA Plane Captain
Qualification Program Monitor by passing a practical examination, and is recommended for reinstatement by
the Plane Captain Selection and Examining Board.
NOTE: For squadrons that employ contractors to perform plane captain duties, the Contractor Site
Manager, when assigned, shall designate, in writing, qualified contractor plane captains using
the Plane Captain Designation (CNAF 4790/158) (Figure 10.14-1). The Contractor Site
Manager shall not delegate the authority to perform these duties.
d. The CO may (excluding detachments) delegate, in writing, the authority to sign Plane Captain
Designations, recertifications, suspensions, revocations and reinstatements to the MO. Squadrons with
detachments that deploy in excess of 90 days are authorized deviations to allow the OINC to
designate/recertify and suspend/reinstate Plane Captain Designations. The CO of the parent squadron must
specifically grant this authority, in writing, to each OINC. All procedures and requirements for designating a
plane captain must be accomplished by the detachment.
a. Designate, in writing via the MMP/SME listing, the Line/Power Line Division Officer or D-level
FRC equivalent as the Plane Captain Qualification Program Manager.
c. Chair the Plane Captain Selection and Examining Board. The Board shall review training
documentation and conduct an interview of plane captain candidates to ensure each candidate is fully
qualified before recommending designation to the CO. As a minimum, the interview shall cover all areas of
the Wing/MAG T/M/S Plane Captain Training Syllabus.
NOTE: Newly assigned personnel that are qualified and have a current Plane Captain Monitor in the
same T/M/S aircraft from their previous command may be recommended for designation if, as a
minimum, they demonstrate proficiency by practical examination and successful completion of
the new command’s Plane Captain Selection and Examining Board.
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NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
b. Conduct the Plane Captain training program per the Wing/MAG syllabus.
c. Assign a highly experienced designated plane captain to each plane captain trainee. The designated
plane captain shall serve as an instructor for the trainee, ensuring the trainee receives close supervision while
performing assigned tasks. During the training cycle, trainees shall not be given full or final responsibility
for inspection of the aircraft. This responsibility rests with the designated plane captain.
d. Initiate the Plane Captain Designation (CNAF 4790/158) (Figure 10.14-1) (or ASM equivalent) and
request a Plane Captain Selection and Examining Board once the trainee has completed all training
requirements, passed the written and practical examinations, and is deemed fully prepared and capable of
assuming the responsibilities of a plane captain. Tthe designation shall be entered on page 4 of the
individual’s Service Record (Section III of the US Marine Corps Enlisted Aviation Maintenance Personnel
Training and Qualification Jacket) (or ASM equivalent). D-level FRC civilian personnel shall have a
separate CNAF 4790/158 designation filed in their IQR for each TMS aircraft designated.
e. Ensure designated plane captains assigned away from plane captain duties for a period over 90 days,
for example, TAD, convalescent leave, or other special assignment away from the activity, receive refresher
training (Figure 10.14-3) and are interviewed by the Program Manager prior to resuming plane captain duties.
f. Ensure an adequate number of personnel are under instruction to compensate for plane captain
attrition.
(1) POCs.
h. Review CSEC information and reports (provided by the program monitor) to identify areas of
concern and take corrective action to improve the program.
i. Ensure the MMP lists all currently designated plane captains and the due date of their next semi-
annual monitor.
j. Ensure a designated plane captain, flight engineer, or crew chief qualified to perform plane captain
functions supervises all launches and recoveries of aircraft.
10.14.3.5 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR/QAS as Plane
Captain Qualification Program Monitor. The QAR/QAS designated as the Plane Captain Qualification
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Program Monitor shall be currently qualified as a Plane Captain. This assignment does not preclude other
QARs/QASs from monitoring this program, but places overall responsibility with one individual.
(1) The command is conducting a comprehensive (formal and informal) training and designation
program encompassing all duties performed by plane captains, flight engineers, and crew chiefs that perform
plane captain functions per the Wing/MAG standard syllabus and this instruction.
(2) An adequate number of personnel are assigned under instruction to compensate for plane
captain attrition.
b. Administer the written and practical application examinations for plane captain designations and
recertifications. All plane captain trainees must obtain a minimum score of 90% on the plane captain
examination.
NOTE: Any QAR/QAS from the activity can administer the written portion of the examination. Any
QAR/QAS that is a currently qualified plane captain can administer the practical application
examination for initial designation. Any QAR/CDQAR that is a currently qualified plane
captain can administer the semi-annual monitors.
c. Ensure all plane captains and Naval Aircrewman (AWF, AWS, AWV, AWR, or AWO qualified per
paragraph 10.14.2.3) receive a semi-annual monitor by a qualified plane captain QAR/CDQAR to ensure
their currency and proficiency in plane captain duties.
d. Ensure plane captains that are not current with semi-annual monitors or that do not have the refresher
syllabus or Plane Captain Qualification Designation/Reinstatement completed (as applicable) are restricted
from performing plane captain functions until the requalification/refresher syllabus and a QA monitor are
completed.
a. Complete the plane captain training syllabus, successfully pass the Plane Captain Selection and
Examining Board, and be designated in writing on the Plane Captain Designation (CNAF 4790/158) (Figure
10.14-1) (or ASM equivalent).
b. Maintain currency and practical proficiency in all areas covered in the Wing/MAG Plane Captain
training syllabus.
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6a. DATE OF WRITTEN EXAM 6b. RESULTS 7a. DATE OF PRACTICAL EXAM 7b. RESULTS
PART II - CERTIFICATION
I certify that I understand my responsibilities as set forth in the current COMNAVAIRFORINST 4790.2.
The certification of members of the Plane Captain Selection and Examining Board of the completion of all requirements for the requested
designation in Part I is this date approved. The Military Personnel Officer is requested to prepare an entry in the member's service record.
It is certified that the approved designation has this date been entered in the service record .
16a. SIGNATURE OF MILITARY PERSONNEL OFFICER 16b. DATE
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The Egress/Explosive System Checkout Program establishes policy, responsibilities, and requirements for
egress system checkout procedures.
R} 10.15.2 Discussion
10.15.2.1 Due to the inherent dangers associated with egress/explosive systems, all Navy and Marine Corps
activities, to include commercial and other government activities that perform on/off aircraft/equipment
maintenance, or other support functions on naval aircraft shall maintain an Egress/Explosive Systems
Checkout Program. All maintenance personnel (military or civilian) assigned to or assisting activities
operating aircraft with egress/explosive systems shall be indoctrinated on each T/M/S aircraft/equipment
assigned prior to coming in contact with or performing aircraft maintenance.
NOTES: 1. No personnel visiting the command, whether military or civilian, shall enter the cockpit area
for any reason without prior approval from the CO.
2. Navy and Marine Corps units that operate UAS that do not have explosive systems are
exempt from the Egress/Explosive Systems Checkout Program. In units that operate both UAS
and manned aircraft, only the UAS without explosive systems are exempt from the
Egress/Explosive System Checkout Program.
10.15.2.2 The ISSC for CADs and PADs is COMMANDING OFFICER, NAVAL SURFACE WARFARE
CENTER INDIAN HEAD DIVISION (Code E22 and E-21 respectively), 101 STRAUSS AVE, INDIAN
HEAD MD 20640-5035, DSN 354-2225/2101 or COMM (301) 744-2225/2101.
10.15.2.3 The ISSC for ejection seats is COMMANDING OFFICER, FLEET READINESS CENTER
EAST, PSC BOX 8021, CHERRY POINT NC 28533-0021, DSN 451-8553 or COMM (252) 464-8553.
R} 10.15.3 Responsibilities
a. Designate, in writing via the MMP/D-level FRC SME listing, the Egress/Explosives Systems
Checkout Program Manager.
b. Develop local command procedures (as required) per Appendix D. (OPNAVINST 5217.17 for
D-level FRCs).
d. Review and sign approval for a Checkout Training Syllabus for each TMS aircraft assigned.
NOTES: 1. Squadrons with ejection seat equipped aircraft shall only designate instructors, program
managers, and program monitors who are qualified and certified AME or MOS 628X
technicians. Additionally, the Program Manager shall be the Work Center 13B Supervisor.
2. Squadrons with non-ejection seat equipped aircraft and no AME assigned are authorized to
designate a PR/AO or MOS 6048/6531 as the Program Manager. These individuals shall be
ordnance certified.
3. Activities consistently operating under the detachment/homeguard concept with non-ejection
seat equipped T/M/S and no AME/PR assigned to the detachment shall designate a qualified
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NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Develop an Egress/Explosive Systems Checkout Training Guide for each T/M/S aircraft assigned.
The guide shall include, but is not limited to:
(4) General rules, hazards, and safety precautions while working in or around ejection seats.
(5) General rules, hazards, and safety precautions associated with canopy jettison/fracturing
systems.
NOTES: 1. When available, the syllabus shall include web-based training/IMI provided by the ISSC.
CAD/PAD, Safety, and Process Training is available at https://cadpad.navair.navy.mil.
2. The Checkout Training Syllabus shall be approved by the MO.
b. Recommend qualified and certified personnel for designation as egress/explosive system checkout
instructors for each T/M/S aircraft assigned (paragraph 10.15.2.1).
d. Ensure egress/explosive system training and checkout for all maintenance personnel upon reporting
aboard and every 6 months thereafter.
e. Ensure personnel removed from aircraft maintenance responsibilities for 90 days or longer receive an
egress/explosive system checkout before performing any aircraft maintenance.
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g. Ensure personnel from other activities that are performing/assisting with maintenance on the
activity’s aircraft/equipment receive egress/explosive systems indoctrination on each T/M/S air-
craft/equipment assigned prior to coming in contact with or performing maintenance.
(1) POCs.
(2) The master copy of the Egress/Explosive Systems Training Guide and check sheet used for
training and checkout.
i. Ensure only qualified and certified personnel administer egress/explosive system checkouts.
j. Monitor completion of egress/explosive system checkouts and inform work center supervisors if any
personnel are overdue.
k. Review CSEC information and reports (provided by the Program Monitor) to identify areas of
concern and take corrective action to improve the program.
l. Ensure a list of personnel due for requalification during the following month, to include personnel
TAD and the date TAD commenced, is published in the MMP.
10.15.3.3 The QA Officer shall designate, in writing via the MMP/D-level FRC SME listing, a qualified
AME QAR as the Egress/Explosive System Checkout Program Monitor. This assignment does not preclude
other qualified QARs from auditing this program, but simply places the overall responsibility with the
Program Monitor.
NOTE: D-level FRC QA officers/directors may designate a quality manager as the Program Monitor,
however, a qualified QAS shall audit the program.
10.15.3.5 The Aircraft Division Officer shall coordinate egress/explosive system safety indoctrination and
training of all assigned aircrew.
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c. Sign Egress/Explosive System Checkout Certification (Figure 10.15-2) for each additional re-
certification. D-level FRCs shall enter the certification in their locally approved TMS.
a. Ensure all work center personnel receive an egress/explosive system safety checkout by designated
personnel prior to being assigned to work on/around aircraft and remain current. Personnel removed from
aircraft maintenance for 90 days or longer shall receive an egress/explosive system checkout before resuming
aircraft maintenance duties.
b. Ensure all checkouts are documented on the Egress/Explosive System Checkout Certification (Figure
10.15-2) and maintained in the individual’s qualification/certification record and a copy placed in the
program file for non-ASM commands. D-level FRCs shall enter the certification in their locally approved
TMS.
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Signature:
A. Required Reading:
Signature Date
Egress/Explosive System Checkout
Program (NAMPSOP)
MIMs/MRCs
Signature Date
1.
2.
3.
4.
5.
3. Recommended.
13A/13B Work Center Supervisor Signature Date
4. Recommended.
Aircraft Division Officer Signature Date
5. Designated.
Maintenance Officer Signature Date
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10.16 Support Equipment (SE) Operator Training and Licensing Program (NAMPSOP)
10.16.1 Introduction
10.16.1.1 The SE Operator Training and Licensing Program establishes policy, responsibilities, and
requirements for SE training and licensing.
10.16.1.2 References:
a. NAVAIR 00-80T-96, Basic Handling & Safety Manual, US Navy Support Equipment Common.
d. NAVSEA SW020-AF-HBK-010, Motor Vehicle Driver’s and Shipping Inspector’s Manual for
Ammunition, Explosives and Related Hazardous Material.
f. NAVSUP MHE538, Management of Materials Handling Equipment (MHE) and Shipboard Mobile
Support Equipment (SMSE).
NOTE: Forklift trucks are MHE, not SE, therefore are not covered in this chapter. Refer to NAVSUP
MHE538 and MCO P11240.106 for MHE guidance and training requirements and NAVSEA
SW023-AH-WHM-010 for explosive operator training requirements.
10.16.2 Discussion
10.16.2.1 Proper operation of SE is the key to safe, efficient aircraft and equipment maintenance. Improper
use of SE has resulted in excessive ground handling mishaps, repair and replacement costs amounting to
millions of dollars annually, and reduced operational readiness. All personnel operating SE must be fully
knowledgeable of operational characteristics, safety precautions, and emergency procedures. Command
attention in these matters will significantly reduce the potential for personal injury and equipment damage.
10.16.2.2 Specialized skills are required to maintain and operate present day weapon systems and associated
equipment. Other available training programs are Navy training schools, initial training, rate training
manuals, and in-service training. These instructions do not, however, emphasize or define the SE aspect of
aviation training, nor do they provide for licensing of personnel to operate such equipment.
NOTE: FRC activities may have additional training requirements identified in the organization’s
Training, Special Process Certification and Licensing Program.
b. Training and qualification of O-level, I-level, and D-level personnel in the proper operation of SE for
the particular aircraft/equipment maintenance functions for which they will use the SE (Phase II).
NOTE: Paragraphs 10.16.4.6 and 10.16.4.7 provide specific requirements for Phase I and Phase II.
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10.16.2.5 A USN Aviation Support Equipment Operator's License (CNAF 4790/102) (Figures 10.16-1 and
10.16-2) is required of all personnel who operate SE, regardless of rate, rating, civilian pay grade, or title. A
valid U.S. Government Motor Vehicle Operator's Identification Card (OF-346) for motor vehicles or valid
state operator's license is a prerequisite for issuing an SE license for self-propelled SE. Figure 10.16-3 is a
master list of all SE requiring an operator's license. NATEC/COMNAVAIRSYSCOM engineering and OEM
SME representatives providing initial training of new or newly modified SE do not require a USN Aviation
Support Equipment Operator's License.
10.16.2.6 Training materials are produced and distributed by CENNAVAVNTECHTRA under the direction
of and in cooperation with COMNAVAIRSYSCOM (PMA-205). Licensing requirements are effective 90
days following availability of a new course at an activity. SE operator courses contain course outlines, lesson
guides, and training aids (as appropriate). Training on equipment not included in the program due to limited
use, nonavailability, or for other reasons dictated by unusual circumstances, will be conducted by NATEC/
COMNAVAIRSYSCOM engineers, public works departments, or at IMAs/FRCs using locally prepared
courses.
10.16.2.7 Navy Wing/MAG SE Training and Licensing Program managers coordinate development of Phase
II SE training written exams covering equipment operating procedures, safety precautions, emergency
procedures, and on-aircraft interface/operation. Specific Phase II SE training requirements for WHE are in
NAVAIR 00-80T-119.
10.16.2.8 Recommendations concerning any aspect of SE training programs should be forwarded via the
chain of command to CNO (N00T) with a copy to COMNAVAIRSYSCOM (PMA-205).
10.16.2.9 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.16.3 Responsibilities
a. Designate, in writing via the MMP/SME listing, the AMO (O-level)/SE Division Officer/QA
Specialist (I-level/FRC) as the SE Operator Training and Licensing Program Manager/Coordinator.
c. Sign USN Aviation Support Equipment Operator's License (CNAF 4790/102) or applicable ASM
qualification as licensing official for all command operators upon satisfactory completion of Phase I and
Phase II SE training. This responsibility may be delegated in writing to the OINC/Assistant OINC and
AMO.
NOTE: For D-level FRCs, the CO may designate the appropriate Department Head as licensing official.
The licensing official shall also have the authority to revoke, suspend, or reinstate SE licenses
per this NAMPSOP.
d. Ensure all instances of SE misuse and abuse are thoroughly investigated and properly reported.
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(2) Is involved in an accident or incident and the resulting investigation determines negligence.
(4) Loses on-base driving privileges or the U.S. Government Motor Vehicle Operator's
Identification Card (OF-346) or state driver's license becomes invalid for any reason. (This applies to self-
propelled equipment only.)
h. Provide Phase I SE training to all command and tenant activity personnel requiring licensing (IMA
only).
NOTE: For explosive handling equipment forklifts, the Weapons Officer shall verify completion of
training requirements of NAVSEA SW023-AH-WHM-010 (IMA and FRC activities only).
NOTES: 1. Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
2. Ensure SE Licenses reflect the most current version of the State drivers license extension
policies. State drivers license extension policies can be obtained from COMNAVAIRFOR's web
portal.
(3) Assist the wing/group in developing standardized Phase II written examination requirements.
(2) Establish a formal course of instruction on each end item of SE in the inventory and the List of
Equipment Requiring an SE Operator’s License (Figure 10.16-3).
(3) Ensure Phase I instructors are trained and capable in the proper techniques on instruction.
Instructors shall be designated in writing, be E-5 or above or civilian SME, and licensed on all SE for which
designated to provide training.
(4) Provide the best possible facilities for classroom and laboratory areas.
(5) Provide Phase I SE training (paragraph 10.16.4.6), as requested by the SE Operator Training
Request (Figure 10.16-4) or equivalent modified form, to all command and tenant activity personnel.
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(6) Forward completed SE License Certification (Figure 10.16-5) or equivalent modified form to
each individual's assigned activity.
(7) Publish schedule of Phase I SE training (minimum of 30 days in advance), identifying course,
location, and time of instruction.
(8) Upon completion of Phase I SE training, sign and forward the Phase I Section of the SE License
Certification (Figures 10.16-5 and 10.16-6) to the individual's permanent activity.
(9) Develop Phase I operator courses (as outlined in paragraph 10.16.4.6a using Figures 10.16-7
and 10.16-8) if not furnished or developed by CENNAVAVNTECHTRA. Phase I operator course require-
ments for WHE are in NAVAIR 00-80T-119, Appendix C.
(10) Develop Phase II written examinations with the cognizant Division Officer/Training
Management Office. WHE Phase II requirements for WHE operators and personnel who operate WHE for
maintenance purposes only are in NAVAIR 00-80T-119.
(11) Notify all user activities if a course update revision affects equipment operating procedures or
requirements.
(12) Ensure all personnel TAD to the SE pool have completed Phase II requirements for each T/M/S
aircraft supported.
(13) Ensure individuals receive Phase II SE training to qualify them to operate the SE described on
the license for the T/M/S aircraft identified in the restrictions block and maintenance tasks they will perform
with the SE.
10.16.3.3 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR/QA Specialist as the
SE Operator Training and Licensing Program Monitor. This assignment does not preclude other QARs/QA
Specialists from monitoring this program but places the overall responsibility with one individual.
b. Periodically monitor work in process to ensure only properly licensed personnel operate SE.
Monitors shall include review of the expiration date of the individual's state/government driver's license for
personnel operating self-propelled SE.
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e. Administer Phase II SE training written examinations to trainees and maintain a log ensuring all test
results are identified as initial or renewal testing.
a. Review and forward SE Operating Training Requests (Figure 10.16-4) for class quotas to the
supporting IMA/FRC activities.
b. Review and endorse SE License Certification (Figures 10.16-5 and 10.16-6) and forward to the MO
for signature (may be delegated to appropriate authority).
c. Ensure individuals receive Phase II SE training to qualify them to operate the SE described on the
license for the T/M/S aircraft identified in the restrictions block and maintenance tasks they will perform with
the SE.
d. Provide a signed copy of current license with a specified period of authorized use (not to exceed 30
days) for SE issue and receipt until permanent license is issued whenever personnel surrender licenses for
renewal or additional qualifications (if applicable).
e. Provide proficiency verification per paragraph 10.16.4 for new and temporarily assigned operators
possessing valid licenses from a previous command.
g. Develop, in conjunction with the IMA/FRC SE Division Officer/Training Management Office, Phase
II SE training requirements using Figures 10.16-7 and 10.16-8 as minimum criteria, to include practical and
written examination standards for SE used within the division. (For IMA/FRCs/Air Operations/Weapons
Division Officers only).
a. Ensure SE Operator Training and Licensing Program indoctrination and follow-on training is
provided to personnel. Training shall include personnel responsibilities and shall be documented on the
NAMP Indoctrination Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
b. Ensure an adequate number of personnel are trained and licensed for each type equipment required.
c. Ensure all personnel operating SE have valid licenses or are in Phase II SE training under direct
supervision of licensed personnel.
d. Ensure the SE License Certification (Figures 10.16-5 and 10.16-6) Phase I and II SE training
documentation is filed in the individual's qualification/certification record or U.S. Marine Corps Enlisted
Aviation Maintenance Personnel Training/Qualification Jacket. NKO Phase I SE Certificates shall be filed in
the member’s training Certification jacket/MATMEP or scanned into their ASM record.
e. Stress to work center personnel the value and operational importance of SE and their responsibility to
report incidents of SE misuse or abuse.
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c. Report any changes in personal qualifications. Changes include revocation, suspension, or expiration
of state or government motor vehicle operators licenses, and changes to physical qualifications, for example,
loss of hearing or taking medications that impair motor skills or cause drowsiness.
d. Report any observed reckless operation or intentional misuse/abuse of SE to the Division Officer/QA
Program Coordinator.
10.16.4.1 SE operator licenses are valid for type equipment and aircraft for 3 years, regardless of activity
assigned. The MO of issuing activities may, as conditions warrant, require personnel to requalify sooner than
3 years. Transfer to an activity operating the same type/model but a different series merely requires
verification of proficiency. Transfer to an activity operating a different type/model shall require a new Phase
II. If an activity elects to honor valid licenses issued by other activities for permanently assigned or TAD
augment personnel, they shall have the operator complete the Phase II practical portion of the SE License
Certification (Figure 10.16-6) prior to using SE.
10.16.4.2 Licenses shall be renewed only after passing the Phase II written and practical tests. Personnel
who fail either the practical or written test during license renewal or verification of proficiency must repeat
Phase I course of instruction and Phase II SE training for the equipment concerned. Personnel who fail either
the practical or written test while in training for initial licensing must receive additional Phase II OJT before
being retested.
10.16.4.3 An expired, revoked, or suspended state license or U.S. Government Motor Vehicle Operator's
Identification Card (OF-346) cancels authorization to operate self-propelled SE. State drivers license
extension policies are listed on COMNAVAIRFOR's web portal.
10.16.4.4 If a USN Aviation Support Equipment Operator’s License (CNAF 4790/102) (Figures 10.16-1 and
10.16-2) is revoked for an item of SE, the individual must pass the written and practical tests required for a
first time licensee to requalify on that item.
10.16.4.5 The USN Aviation Support Equipment Operator’s License (CNAF 4790/102) (Figures 10.16-1 and
10.16-2) shall only list equipment the individual has been trained and certified to operate.
10.16.4.5.1 Write all dates in alpha-numeric DD/MMM/YY format, for example, 15 MAY 12.
10.16.4.5.3 Block 4 (U.S. Government/State Motor Vehicle Operator’s License). If the license has self-
propelled SE, list the individual's state or government driver's license number, state, and expiration date. If
the state permits automatic extension, and (if required) all requirements have been met for such an extension,
type "AUTO EXT" above the expiration date.
10.16.4.5.5 Block 6 (Signature of Licensee). Shall be signed by the member prior to use of equipment.
10.16.4.5.6 Block 7. MO/FRC Equivalent Officer signature (may be delegated to appropriate authority).
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10.16.4.5.7 Block 8A. Entries must have specific equipment identification, for example, NC-2A and
A/S32A-31A. Licenses containing general entries, for example, mobile electric power plants or powered
bomb hoists, instead of specific entries, for example, NC-2C or HLU-196/E are not valid. Only one item of
SE shall be listed per line unless items are model variations of the same type equipment and taught in the
same course of instruction, for example, TA-75A/B/C tow tractors. Entries certifying engine test system
operation shall contain the test system and type engine.
10.16.4.5.8 Block 8B. Expiration date for each specific type SE. Entries for self-propelled SE must not
exceed the expiration date in block 4 (unless auto extend) or 3 years, whichever comes first. Expiration dates
shall be based on the date of the Phase II written examination.
NOTE: Corrections will be made by drawing a single line through each erroneous entry and inserting
the correct entry above or below as space permits. Corrective tape and correction fluid are not
authorized.
10.16.4.5.9 Block 8C. MO/FRC Equivalent Officer initials (may be delegated to appropriate authority).
10.16.4.5.10 Block 9. "Restrictions" on the back of the USN Aviation Support Equipment Operator’s
License (CNAF 4790/102) (Figure 10.16-2) shall be annotated as follows:
a. To indicate the specific (T/M/S) aircraft the individual is certified to operate SE on, activities shall
annotate block 9 “For (T/M/S) aircraft only” or “Restricted to Non-Aircraft Use.”
b. Due to the various types of transient aircraft serviced by OMDs, SE licenses for transient line
personnel may be annotated "Transient Aircraft Use" in block 9. "Transient Aircraft Use" is limited to
launch, recovery, servicing, and handling operations. The transient aircrew shall provide assistance as
required. Additionally, block 9 of licenses for transient line personnel shall list the T/M/S of any "Other
Than Transient" aircraft for which the MO is certifying proficiency.
c. Personnel assigned to Air Departments aboard CV- and L-class ships shall be licensed under the
same provisions as transient line personnel and shall be required to document Phase II SE training for only
one T/M/S aircraft. Their licenses shall be annotated in block 9, "Flight/Hangar Deck Operations Only".
Aircraft hookup shall be required to be performed by a licensed plane captain for the T/M/S aircraft under
tow.
d. IMA/FRC personnel not operating equipment on aircraft shall have an entry "Restricted to Non-
Aircraft Use" placed in block 9.
e. IMA/FRC personnel being licensed to operate self-propelled mobile cranes for maintenance purposes
only shall have "For Maintenance Only" annotated in block 9.
10.16.4.6 Phase I SE training does not qualify the student for an SE license. Phase II SE training, on the
specific T/M/S aircraft/maintenance tasks the individual will perform with the SE, is required before
licensing and is the responsibility of the activity issuing the license.
NOTE: I-level/D-level Phase I instructors must be at least E-5 or above and licensed on all SE for which
designated to provide training.
a. All SE with one or more of the following characteristics, and for which there is no CENNAVAVN-
TECHTRA, NATEC, or FRC course, shall be evaluated by the supporting activity’s MO to determine
whether to establish formal operator training and licensing. All locally developed operator training courses
shall be based on the outline in Figures 10.16-7 and 10.16-8. These courses shall be forwarded to
COMNAVAIRSYSCOM (PMA-205) via the ACC/TYCOM for determination of need to update the master
list of SE requiring licensing and establishment of a CENNAVAVNTECHTRA developed instructors guide.
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(6) Manually operated SE that is highly hazardous in its operation and requires a specific, critical
sequence of events to prevent injury or aircraft/equipment damage.
c. Activities providing Phase I SE training shall document training in the Phase I Section of the SE
License Certification (Figure 10.16-5). Phase I SE training completed on line via NKO shall be documented
in the Phase I Section of SE License Certificate with a copy of the completion letter attached. Annotate “see
attached certificate” on the SE Division Officer Signature block on the Phase I.
10.16.4.7 Phase II SE training consists of required reading, a minimum of three OJT sessions, and practical
and written tests. These requirements ensure individuals become qualified to operate SE on specific T/M/S
aircraft or maintenance tasks. This training must be accomplished prior to certification for T/M/S aircraft
handling, servicing, or testing operations. Phase II SE training is required before licensing, and is the
responsibility of the activity issuing the license. Phase II training can be provided by NATEC/COM-
NAVAIRSYSCOM engineers, and OEM SME representatives to license personnel in the use of new SE.
These SMEs shall issue a certificate of training to formally document the type of training provided. The
certificate of training shall be retained in the trainees training records as a permanent record and proof of
certification after it has been routed to the certifying official for the issuance of the license. A practical and
written test for the initial stand-up training qualifier is not required; however, the initial qualifier shall be
designated in writing by the MO/FRC SE Division Officer of the issuing activity. Once a qualifier has been
established, the QA test and operators course shall be available for follow-on training.
10.16.4.7.1 SE training in the proper operation and O-level maintenance of end items is part of Phase II of
the AMT training track (where required), while licensing is a squadron/activity responsibility. SE training
will only be conducted by the CENNAVAVNTECHTRA/CNATTMARU when the successful completion of
PJT is entirely dependent on all students operating the end item of the SE on the aircraft. The hook up of
hoses/cables on the aircraft from the end item of SE is not considered to be operating the SE, therefore,
requires no formal SE training. The instructor will normally operate the end item of SE while the students
are performing PJT. OPNAV (N98) approval is required to perform SE training at the CENNAVAVN-
TECHTRAU/CNATTMARU. Where SE training is conducted in the AMT training track, the CENNAV-
AVNTECHTRA/CNATTMARU will prepare a completion certificate for each student and forward the
certificate to the student’s permanent activity.
10.16.4.7.2 Phase II SE training is required for each item of SE for which the individual is licensed. For
model variations of the same type equipment and taught in the same course of instruction, for example,
TA-75A/B/C tow tractors, Phase II SE training on one model is sufficient to license an individual on all
models. Training, examination, and certification shall be documented on the Phase II Section of the SE
License Certification (Figures 10.16-5 and 10.16-6).
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NOTE: Wings shall develop standardized WHE Phase II SE training and documentation procedures for
the T/M/S aircraft they support per NAVAIR 00-80T-119. IMAs shall develop the training and
documentation procedures for the WHE they maintain per NAVAIR 00-80T-119.
10.16.4.7.3 OJT and practical training require use of a training syllabus based on Figures 10.16-5 and
10.16-6 and NAVAIR 00-80T-119.
10.16.4.7.4 QA shall administer written Phase II examinations. A passing grade of 85 percent is required. A
licensed operator shall administer the practical examination.
10.16.4.7.5 Foreign armed forces military personnel operating SE in support of foreign armed forces aircraft
detachments shall meet minimum proficiency requirements as defined by the host IMA/FRC having reporting
responsibility for the SE to be operated. At the discretion of the host IMA/FRC, this may encompass the
entire Phase I/Phase II qualification process. At a minimum, safety parameters/procedures and qualification
in the principles of equipment operation for each item shall be satisfactorily demonstrated to qualified host
IMA/FRC personnel prior to independent use of SE by visiting foreign militaries. In cases where the foreign
military operates a T/M/S not commonly supported by the host station, the proficiency demonstration shall
specifically include the hosting activity with IMA/FRC observation of on-aircraft use for each piece of SE to
ensure compliance with basic safety requirements. The OINC, Production Officer, or FRC Equivalent
Officer of the host IMA/FRC must expressly designate by equipment type those individuals approved under
the provisions of this paragraph.
10.16.4.8 Engine test system operators are certified to operate a particular test system and type engine.
Training, certification, and recertification requirements for GTETS/GTF operators are specified in paragraph
10.23.
10.16.4.9 For hand signals, refer to NAVAIR 00-80T-96, NAVAIR 00-80T-119, and OPNAVINST 3710.7
(as applicable).
10.16.4.10 PPE training shall be included in all operator training courses, and specifically in all WHE
courses.
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Figure 10.16-1: USN Aviation Support Equipment Operator's License (CNAF 4790/102) (Front)
(Sample)
CNAF 4790/102 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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9. RESTRICTIONS
Figure 10.16-2: USN Aviation Support Equipment Operator's License (CNAF 4790/102) (Back)
(Sample)
CNAF 4790/102 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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EQUIPMENT EQUIPMENT
Courses for the SE listed above are stocked by CENNAVAVNTECHTRA. To request a special/replacement course, forward the
request to: COMMANDING OFFICER, NAVAL AVIATION TECHNICAL TRAINING, 230 CHEVALIER AVE, STE C,
PENSACOLA FL 32508-5003. Refer to the Catalog of Naval Training Courses (CANTRAC) NAVEDTRA 10500, Volume II for
course number, description, and implementation date.
___________________________________________________________________________________________________________
Operator training courses have not been developed by CENNAVAVNTECHTRA for the following equipment. Training on this
equipment may be obtained from NATEC, Public Works, or at the IMA using locally prepared courses (as appropriate).
MHAC-2AC-302-8 LIQUID COOLANT FILTERING UNIT
HM-GT1-C HYDROMITE (DIESEL/ELECTRIC)
___________________________________________________________________________________________________________
NOTE: Operation of like SE installed in Naval aircraft does not require SE licensing and shall be
operated per aircraft publications.
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From:
Division Officer
To: SE Licensing Support Activity
Via: Assistant Maintenance Officer
a. Initial qualification
b. Requalification
5. Currently Possesses:
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SE LICENSE CERTIFICATION
Last Name First MI Rate/Rank SSN Activity T/M/S Aircraft
State License No. Expiration Date Auto Extend License No. Expiration Date
Yes No
PHASE I SECTION
Training Activity
E.
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PART E. CERTIFICATION
Work Center Supervisor Signature Recommended Yes No
Division Officer Signature Recommended Yes No
Support Equipment Officer (IMA only) Signature Recommended Yes No
AMO (OMA only) Signature Recommended Yes No
MO Signature Recommended Yes No
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10.17.1.1 The Support Equipment Planned Maintenance System Program establishes policy, responsibilities,
and requirements for planned maintenance of SE/AWSE.
10.17.1.2 References:
b. NAVICP Publication 2003, Unabridged Navy Index of Publications, Forms, and Directives.
c. NAVAIR 17-1-114.1, Inspection and Proof Load Testing of Lifting Slings for Aircraft and Related
Components.
h. NAVAIR 00-80T-96, Basic Handling & Safety Manual, US Navy Support Equipment Common.
10.17.2 Discussion
10.17.2.1 SE includes all equipment used to make an aeronautical system or end item operational in its
intended environment. Both IMRL and non-IMRL SE shall be maintained and documented under the
aviation 3M System or other COMNAVAIRSYSCOM approved system.
10.17.2.2 Required SE maintenance varies from basic cleaning, preservation, and corrosion treatment to
complex and detailed maintenance inspections, servicing, preservation, and storage. The following elements
of PMS are designed to ensure safety, proper operation, extended material life, and maximum equipment
availability:
a. Acceptance inspections are required upon receipt of each item of SE/AWSE. The Support
Equipment Acceptance/Transfer Inspection Checklist (Figures 10.17-1 and 10.17-2) shall be used for
tracking acceptance/transfer inspections. COMFRC activities develop similar procedures and forms for
accomplishing and tracking acceptance inspections. If ALSs are not received with SE, contact the previous
reporting custodian, OMAWHOLE, and SECA. When records cannot be obtained, perform all PM
inspections specified in the applicable MRCs.
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NOTE: Upon receipt of newly manufactured SE/AWSE that has never been placed into service, the PM
cycle shall be established from the completion of acceptance inspection date. PMs are not
required until the prescribed intervals have been reached as specified by applicable MRCs.
b. Periodic inspections are performed by squadrons, supporting IMAs, or FRCs to thoroughly examine
the equipment in static and functional states. Inspection periods are established in increments of days, weeks,
operating hours, and starts, depending on which variable most affects equipment performance.
NOTE: FRC activities may have additional training requirements identified in the organization’s
Training, Special Process Certification and Licensing Program.
c. Preoperational inspections shall be conducted on SE/AWSE prior to the first anticipated use each day
and prior to each use as specified in applicable MRCs. Inspections include visual and functional verification
that a unit is properly serviced and ready for use.
d. SE/AWSE shall be inducted into the IMA when calibration is required. FRCs shall coordinate induc-
tion of SE/AWSE calibration workload with supporting calibration activity.
e. Transfer inspections shall be performed on SE/AWSE prior to transfer to another activity. The
Support Equipment Acceptance/Transfer Inspection Checklist (Figures 10.17-1 and 10.17-2) shall be used for
tracking transfer inspections. FRCs shall develop similar procedures and forms for accomplishing and
tracking transfer inspections.
f. Cleaning/corrosion control/preservation shall be per MRCs. All SE/AWSE that will not be used for
extended periods shall be preserved per NAVAIR 17-1-125 and this instruction to maintain material
condition.
10.17.2.3 Scheduled PM is required for equipment that meets one or more of the following conditions:
b. Personnel injury or equipment damage may occur if the item fails during use. This includes common
aeronautical equipment whose operation involves hazards, such as moving parts, hazardous chemicals, or
discharge of material/extreme heat/cold/electrical shock.
d. Normal use involves rough handling or exposure to extreme environmental conditions, such as high
humidity, heat, cold, or wind. These factors have historically degraded equipment condition beyond
acceptable levels. The MO or MMCO/Production Control Officer shall determine which items fall into this
category.
e. Items previously maintained under the surface 3M System, detailed in OPNAVINST 4790.4, shall
have all maintenance performed and documented under aviation 3M per this instruction. Paragraph 10.17.7
provides guidance on transitioning items from surface to aviation methods.
NOTE: SE not meeting the above criteria for scheduled PM shall still be visually inspected for
corrosion/serviceability before being used. Some items may only require basic corrosion
prevention, cleaning, or preservation to maintain material condition. These are typically used as
part of, or in conjunction with, a larger major assembly and do not have movable or detachable
parts. Although scheduled PM may not be required, division officers and work center
supervisors shall remain responsible for material condition of all SE under their control.
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10.17.2.4 SE PMS publications provide a basis for planning, scheduling, and performing periodic and
preoperational inspection requirements. One or more of the following is for every maintenance task:
a. COMNAVAIRSYSCOM approved MRCs provide a basis for planning, scheduling, and performing
scheduled maintenance requirements. The requirements are scheduled with intervals, such as calendar time
or operating hours. MRC publications take precedence in conflicts with other directives.
b. COMNAVSEASYSCOM approved MRCs apply to SE that is common to both surface and aviation
activities. Although in a different format than COMNAVAIRSYSCOM MRCs, they provide similar
scheduling, material, and maintenance task information and shall be incorporated into the SE PMS Program.
c. Many MIMs specify requirements for periodic inspections or preoperational inspections and give
detailed procedures for accomplishment. When a COMNAVAIRSYSCOM MRC has not been established,
inspection scheduling, material requirements, and maintenance accomplishment will be performed per the
MIMs.
d. Manufacturers' publications may be used in lieu of local MRCs if they are the only publications
available and give detailed procedures and specific intervals for periodic inspections or preoperational
inspections.
10.17.2.5 SESS, used in conjunction with NALCOMIS, is designed for the management of SE. This system
provides automated methods of PM scheduling for SE, TD compliance, and supply requisition management.
10.17.2.6 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.17.3 Responsibilities
a. Verify, during all scheduled assist and evaluation visits, that subordinate activities maintain SE in
satisfactory material condition.
d. Designate, in writing via the MMP, the MMCO/Production Control Officer as the SE PMS Program
Manager.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Develop procedures for scheduling all SE Periodic/PM. Include procedures to track hourly/metered
requirements. They cannot be scheduled in SESS.
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b. Screen all SE for PMS applicability using the criteria per paragraph 10.17.2.3.
c. Ensure acceptance inspections and transfer inspections are conducted on all incoming and outgoing
SE, using the Support Equipment Acceptance/Transfer Inspection Checklist (Figures 10.17-1 and 10.17-2).
f. Ensure all scheduled maintenance and unscheduled maintenance requirements are accomplished.
g. Include all SE periodic inspection due dates in the MMP. Production Controls may use SESS
produced monthly schedules instead, with copies forwarded to divisions/work centers for tracking purposes,
and a locator sheet in the MMP listing the location of applicable schedules.
i. Monitor status of all SE/AWSE requiring scheduled periodic inspections and generate reports (as
necessary) for recalling any SE/AWSE coming due for periodic inspections. Reports shall be sorted by work
center, month, and due dates. Activities using SESS may use SESS-produced monthly schedules instead.
Forward copies to applicable production areas/work centers for SE tracking purposes. A locator sheet listing
the location of applicable schedules may be used instead of multiple copies of the schedules.
a. Designate, in writing via the MMP/SME listing, a QAR/QA Specialist as the SE PMS Program
Monitor. This assignment does not preclude other QARs from monitoring this program, but places the
overall responsibility with one individual.
b. Ensure mandatory QA inspections are conducted per applicable references and this instruction. This
includes QARs and CDIs performing the functions of spot checker on COMNAVSEASYSCOM MRCs per
OPNAVINST 4790.4 to ensure compliance with requirements such as tool control, documentation, and
corrosion control.
d. Ensure QARs routinely conduct required inspections on all equipment inducted for scheduled
maintenance/unscheduled maintenance and upon receipt/transfer of equipment.
e. Ensure CDI/CDQAR/QAR/QA Specialist candidates receive training to inspect and evaluate material
condition of SE per NAVAIR 17-1-125, NAVAIR 01-1A-17, NAVAIR 01-1A-20, and NAVAIR 17-1-537.
Coordinate training through the 3M System Coordinator (NEC 9512) or equivalent to include all
requirements of NAVEDTRA 43241-H or locally developed training requirements.
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g. Ensure the Central Technical Publications Librarian reviews all COMNAVSEASYSCOM MRCs to
verify that only current MRCs are held in the central and dispersed libraries upon receipt of the FR from the
3M System Coordinator.
b. Perform in-process monitoring to ensure the safety procedures prescribed in NAVAIR 00-80T-96 are
being followed.
a. Ensure Support Equipment Planned Maintenance System Program and follow-on training is provided
to personnel. Training shall include personnel responsibilities and shall be documented on the NAMP
Indoctrination Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
b. Continuously screen all SE within their custody to ensure proper material condition.
c. Ensure proper configuration of SE within their custody per NALDA TDSA NAT02.
d. Ensure proper use of SE by work center personnel, including compliance with all procedures outlined
in NAVAIR 00-80T-96.
e. Ensure preoperational inspections are performed prior to each use and periodic inspections are
conducted per SE PMS requirements.
a. Review all COMNAVSEASYSCOM MRCs to verify current MRCs are held in the central and
dispersed libraries (paragraph 10.17.7.2).
b. Incorporate all required technical publications, including COMNAVSEASYSCOM MRCs, into the
CTPL.
10.17.4 Records/Forms/Documents
10.17.4.1 The SE Custody and Maintenance History Record (CNAF 4790/51) (Figures 10.17-3 through
10.17-6) is used to record acceptance information, custody and transfer, record of rework,
preservation/depreservation, TDs and inspections that involve NDI, proofload testing, and dis-
assembly/reassembly. This form shall accompany all items of SE that have maintenance requirements and
applicable TDs, for example, MRCs, MIMs, and manufacturer's handbook. Exceptions are PME, engine test
cells, stands, and GB-1As which have their own records.
10.17.4.1.1 The latest completed copy and current copy shall be retained in Maintenance Control/Production
Control. This form will accompany AWSE to the Weapons Department when subcustodied from the IMA.
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10.17.4.1.2 The person making the entries will initial all corrections and sign the form. Corrections will be
made by drawing a single line through each erroneous entry and inserting the correct entry above or below as
space permits. Corrective tape and correction fluid are not authorized. Letters of designation are not
required for persons making entries.
10.17.4.1.3 The following are specific documentation procedures for all items of SE requiring SE Custody
and Maintenance History Records (CNAF 4790/51) (Figures 10.17-3 through 10.17-6):
Block 1. NOMENCLATURE: Noun name, such as Mobile Electric Power Plant. The nomenclature in
this block shall match the nomenclature on the equipment’s applicable MRC deck.
Block B. FROM: UIC and the name of the activity transferring equipment, for example, 03366/USS
America.
Block C. TO: UIC and name of activity to which equipment is being transferred.
Block F. RECEIVED: Date (YYMMDD) and signature of person making logbook/record entries
SECTION II - RECORD OF REWORK (this section to be filled out by rework activity personnel)
Block A. DATE INDUCTED: Enter date (YYMMDD) equipment was inducted into rework.
Block D. AUTHORIZATION: References authorizing the work, such as directives message DTG.
Block B. RE-PRESV. DUE DATE: Pencil entries for preservation integrity checks/represervation due
dates.
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Block (6). PT: Numerical TD part number, for example, part 01, 02 (if applicable).
Block (8). PRI: Enter I for Immediate, U for Urgent, R for Routine, or K for Previously
Incorporated (record purpose only).
Block B. STATUS: Code indicating status of TD. The only authorized status codes and instructions
for their use are as follows:
NINC. Temporary entry made in pencil to indicate TDs that have been issued but not
incorporated and TDs that are only partially incorporated.
NIS. Entry normally made in pencil, to account for TDs in numeric sequence that have not been
issued. Only basic number and status code entries are required. No signature is required.
C. Canceled: Enter TD identification, status code, canceling reference, activity, and signature.
No title is required. When an incorporated TD is subsequently canceled, status code remains INC.
Block C. TITLE/REMARKS: Enter the title and a brief description of the TD.
Block D. COMPLIANCE.
Block (1). BY (Activity): Three-position organization code of activity incorporating TD, for
example, AT6.
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Block D. DATE COMPLETED: The date (YYMMDD) maintenance function was completed.
Block B. REMARKS: All entries require a signature and short title of the activity making the entry.
Refer to Block D for specific entries.
Block D. REMARKS: All entries require a signature and short title of the activity making the entry.
Specific entries include:
Verification for TD applicability. Activities shall download a NALDA TDSA NAT02 with Index
Code B TDs at a minimum yearly for review. Annotate with the following statement, "Verified
NALDA TDSA NAT02 dated YYMMDD."
For equipment that includes cylinders, annotate with the following statement, "Hydrostatic
inspection performed. Date(s) YYMMDD. Serno(s) 123456." (List dates and serial numbers in
pencil.)
Annotate forced removal dates for synthetic rubber hoses as follows: "Hose part number
MS28741-4-1800, installation date YYMMDD, and forced removal date YYMMDD."
10.17.4.1.4 Consolidation Procedures. SE Custody and Maintenance History Records may be consolidated
at any maintenance level when no space is available for further entries within any one section. Retain the
previous form and the most current form. All sections are to be closed out on the previous form and required
data transcribed to the current form. The following directions are the minimum requirements to be used
when consolidating:
Block 1. NOMENCLATURE: Noun name, such as Mobile Electric Power Plant. The nomenclature
in this block shall match the nomenclature on the equipment’s applicable MRC deck.
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Block F. RECEIVED: Replace original signature with the word “CONSOLIDATED” indicating this
entry is a result of consolidation.
Block A. DATE INDUCTED: Transcribe the date (YYMMDD) of the last rework and last repair
action. This may be one entry if the last repair action was a rework.
Block B. DATE COMPLETED: Transcribe the completion date (YYMMDD) of the last rework and
last repair action. This may be one entry if the last repair action was a rework.
Block C. DESCRIPTION OF WORK: Transcribe the last rework and last repair action. This may be
one entry if the last repair action was a rework.
Block F. SIGNATURE: Enter the word “CONSOLIDATED” indicating this entry is a result of a
consolidation.
Block A. DATE PRESV.: (YYMMDD) Transcribe last entry from old record if item is preserved.
Block B. RE-PRESV. DUE DATE: (YYMMDD) Transcribe last entry from old record if item is
preserved.
Block C. TYPE: Transcribe last entry from old record if item is preserved.
Block D. DATE DE-PRESV.: (YYMMDD) Transcribe last entry from old record if item is
preserved.
Block E. DIRECTIVE COMPLIED WITH: Transcribe last entry from old record if item is
preserved.
Block F. REASON FOR INACTIVE STATUS: Transcribe last entry from old record if item is
preserved.
Block G. ACTIVITY: Transcribe last entry from old record if item is preserved.
Block H. SIGNATURE: Enter the word “CONSOLIDATED” indicating this entry is the result of a
consolidation.
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Block B. STATUS: Enter PINC indicating previously incorporated or N/A indicating non-
applicability to the specific component.
Block C. TITLE/REMARKS: Enter the basic numbers and associated revisions, amendments, and
parts.
Block D. COMPLIANCE: Enter the 3M ORG code of the activity consolidating the SE Record and
the date (YYMMDD) the SE Record was consolidated.
Block E. SIGNATURE: Enter the word “CONSOLIDATED” indicating this entry is a result of a
consolidation.
Block entries do not indicate the activity that actually incorporated the TDs. They signify the TDs
have been previously incorporated or verified as not applicable to the specific component. All
applicable TD numbers must be listed in the TITLE/REMARKS block for the applicable status code.
A blanket statement indicating that all TDs up to a specific basic have been incorporated is not
authorized. Applicable TDs that have not been incorporated or have been removed must have separate
line entries and be documented per paragraph 10.17.4.1.3. TDs incorporated during the consolidation
effort and not documented on the original SE Record must have a separate line entry on the
consolidated form.
Block D. DATE COMPLETED: (YYMMDD) Transcribe last pertinent entries from old record.
Block E. NEXT PM DATE: (YYMMDD) Transcribe last pertinent entries from old record.
Block G. SIGNATURE: Enter the word “CONSOLIDATED” indicating this entry is the result of
consolidation.
Block A. DATE: (YYMMDD) Transcribe the date of the last pertinent information for each like
entry.
Block B. REMARKS: Transcribe the last pertinent information for each like entry, for example, last
hydrostatic test date with serial numbers, or last NAT 02 verification. All entries shall contain the
original activity short title followed by the word “CONSOLIDATED” indicating this entry is a result
of consolidation..
Block C. DATE: (YYMMDD) Transcribe the date of the last pertinent information for each like
entry.
Block D. REMARKS: Transcribe the last pertinent information for each like entry, for example, last
hydrostatic test date with serial numbers, or last NAT 02 verification. All entries shall contain the
original activity short title followed by the word “CONSOLIDATED” indicating this entry is a result
of consolidation.
Upon completion of SE Custody and Maintenance History Record consolidation, make an entry
in SECTION VI - MISCELLANEOUS HISTORY RECORD with a YYMMDD date indicating the
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date of card consolidation and the statement, “CONSOLIDATED, all entries are certified to be
correct.” This entry requires a signature.
10.17.4.2 SE Preoperational Record (OPNAV 4790/52). This form shall be maintained by the work center
responsible for performing preoperational inspections. It shall be replaced with a new card when completely
filled and the old card retained for 30 days from date of last entry (Chapter 5).
10.17.4.3 SE Transaction Report (TR) (CNAF 4790/64). This form is used to record transfer, receipt, and
subcustody of SE reported under the IMRL Program (Chapter 5).
10.17.4.4 Historical files will be maintained in sequence of TEC and serial number for all items requiring
PMS. They shall be organized as follows:
Left Side
Scheduled inspection or maintenance Retain current completed PM MAFs until the next like
MAFs inspection filed in JCN sequence.
.
CNAF 4790/51 Last completed form and most current form
(Figures 10.17-3 through 10.17-6).
Right Side
Unscheduled maintenance MAFs Retain for 6 months from completion date, filed in JCN
sequence.
Preservation/Depreservation Checklist One complete preservation cycle.
Acceptance/Transfer Retain until the next like inspection.
Figures 10.17-1 and 10.17-2
Technical Directive MAFs Retain for 6 months
NOTES: 1. Historical files and all outstanding discrepancy MAFs shall accompany SE that is transferred
or temporarily loaned to another activity.
2. Historical files for SE with 13/26/52 week PM cycles will include the current completed 13,
26, and 52 week PM MAFS, and each inspection MAF shall be purged only after the next like
inspection is completed.
3. FRCs with NALCOMIS History Retrieval implemented will store completed MAF data in
the NALCOMIS database for 6 months from completion date, and documents in support of PM
inspections will be stored for one complete inspection cycle or until SE is transferred. All SE
requiring PM inspections will have the current PM MAFs filed and retained in the historical
record until the next like inspection. Anytime an FRC with NALCOMIS History Retrieval
implemented transfers or temporarily loans SE to another activity, the transferring activity
shall produce a NALCOMIS ad hoc SE transfer report (Figure 10.17-7) and send it to the
receiving activity.
4. All scheduled (one complete inspection cycle), unscheduled, transfer, and all outstanding
discrepancy MAFs shall be printed and placed in historical file and accompany SE that is
transferred or temporarily loaned to another activity. O-level activities shall maintain FRC
supporting MAFs.
10.17.5.1 All personnel shall have in their possession a valid SE operator's license and comply with all
applicable safety precautions for specific equipment being checked out/in.
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10.17.5.2 Issuing and receiving personnel shall perform a joint preoperational inspection, using applicable
MRCs, prior to issue.
10.17.5.3 The SE Custody and Maintenance History Record (CNAF 4790/51) and the SE Preoperational
Record (OPNAV 4790/52) shall accompany items (when applicable).
10.17.5.4 Joint preoperational inspections and inventory shall be performed, using applicable MRCs, upon
return of items.
10.17.6.1 Like items maintained in large quantities (10 or more) may be grouped into homogeneous lots for
PMS inspections. The size of any lot will not exceed 10 items, the same MRC or MIM must apply to the
entire lot and the work must be able to be completed in a normal work shift. For example, an activity has 50
ESD protective mats. One technician can inspect 10 mats in one work day. Rather than issuing 50 MAFs and
maintaining 50 SE Custody and Maintenance History Record (CNAF 4790/51) forms, a command can issue
5 MAFs and maintain 5 SE Custody and Maintenance History Record (CNAF 4790/51) forms, with serial
numbers 1 through 10 on the first, 11 through 20 on the second. Homogeneous lots shall be documented on
the SE Custody and Maintenance History Record (CNAF 4790/51) as follows:
b. List the serial number of the first item in block 3 and the remaining serial numbers in Column B of
Section VI. Comments may be annotated in pencil in case of changes in serial numbers.
c. Indicate the reason for noncompliance in Column B of Section VI next to the serial number for that
item. If any item in a lot does not receive the required inspection/maintenance/TD compliance action initiate
a separate MAF. When the item is inspected or repaired, erase reason for noncompliance from Section VI and
record item serial number in remarks column of Section IV or V (as applicable). This will indicate the item
was handled separately from the group.
d. Annotate the lot card to reflect the loss when an item is transferred or deleted. Using information on
the lot card, generate a new SE Custody and Maintenance History Record (CNAF 4790/51) for each item.
Transfer this new card and photocopies of historical files with the equipment.
a. Initiate a separate MAF for each item of SE, unless provisions of paragraph 10.17.6.1 for
homogeneous lot apply. The lead serial number in the BU/SER block (A52) of the lot MAF must coincide
with the lead serial number on the lot CNAF 4790/51.
b. Inventory of all records and components that make up the item of SE/AWSE.
NOTE: Upon approval by the cognizant SECA, non-RFI SE being transferred shall have all supply
documentation attached to the appropriate SE Custody and Maintenance History Record
(CNAF 4790/51). All parts removed for maintenance and all received parts not installed shall be
forwarded with the SE.
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10.17.6.3 PM inspections shall be performed at intervals prescribed by applicable MIMs or MRCs. If there
is no guidance on PM interval, the MMCO/Production Control Officer shall designate an interval appropriate
for maintaining material condition of the equipment. PM which requires internal parts replacement, such as
filters, hoses, bearings, load test, or NDI shall be performed by the supporting IMA. All other PM will be
performed at the lowest practical level.
10.17.6.4 A single PM inspection MAF may be issued for each lot if items requiring PM have been grouped
into homogenous lots. Each serial number on the associated lot CNAF 4790/51 shall be listed in the
discrepancy block immediately following the entry for the applicable PM.
10.17.6.5 Unscheduled maintenance (repair including unscheduled corrosion control) requires a separate
MAF for each discrepancy on each item of SE. Lot MAFs are not authorized for repair actions.
10.17.6.6 TD compliance shall be documented on a MAF and on an SE Custody and Maintenance History
Record (CNAF 4790/51). Separate MAFs shall be initiated for each item of SE for each TD compliance
action, even if the item is tracked by lot for periodic inspection purposes. Lot MAFs are not authorized for
incorporating TDs.
10.17.7.1 Some SE is common to both aviation and surface requirements. For reporting requirements,
document everything under aviation 3M procedures.
10.17.7.1.1 Continue to use COMNAVSEASYSCOM MRCs for scheduled maintenance for items without
COMNAVAIRSYSCOM MRCs. Document them under aviation 3M requirements.
10.17.7.1.1.1 Verify ships' 3M Maintenance Index Page against the ships' 3M List of Effective Parts and
highlight line items to ensure COMNAVSEASYSCOM MRCs are still received.
10.17.7.1.1.2 Verify required SE is listed on the FR to ensure continuous distribution, update, and feedback
on all required COMNAVSEASYSCOM publications and MRCs.
10.17.7.1.1.3 Technical publication support from COMNAVSEASYSCOM will continue for all
COMNAVSEASYSCOM documentation. Ensure maintenance personnel are trained on procedures for
initiating TFBRs to identify discrepancies on COMNAVSEASYSCOM MRCs.
10.17.7.1.1.4 Submit a TFBR to request coverage for new maintenance requirements, to clarify procedures
as written in existing documentation, or to request more detail in the procedures to the ACC/TYCOM, via the
ships' 3M Coordinator, for all COMNAVSEASYSCOM MRCs.
10.17.7.1.1.5 Initiate a SE Custody and Maintenance History Record (CNAF 4790/51) for each item of SE
covered by ships' 3M. Detailed procedures for proper entries are outlined in paragraph 10.17.6. Cite this
chapter in Section I, Block D of the SE Custody and Maintenance History Record (CNAF 4790/51) as the
authority for conversion. Use the following transition codes to convert periodicity codes into aviation terms:
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NOTE: Schedule on a 30-day cycle for SESS purposes. The 7th position of the WUC shall be B per
Appendix E.
10.17.7.1.2 Enter all SE into the NALCOMIS database using NALCOMIS (N501) for SE inventory gains.
10.17.7.1.3 For scheduling and reporting purposes, aviation 3M procedures apply. Scheduling in ships' 3M is
not required because this is a duplication of effort.
10.17.7.2 Incorporate all COMNAVSEASYSCOM publications and MRCs into CTPL control. All
NAVAIR 00-25-100 accountability, audit, and control procedures apply. Additional requirements are as
follows:
a. QA/CTPL will review all COMNAVSEASYSCOM MRCs to verify that only current MRCs are held
in CTPL and dispersed libraries upon receipt of the FR from the Surface 3M Coordinator.
b. CTPL clerks shall be trained to verify, correct, and audit the FR. They must complete Surface 3M
System NAVEDTRA 43241-H sections pertaining to FR, list of effective pages, Maintenance Index Page,
and MRCs or local developed training requirements that cover these areas. The Surface 3M System
Coordinator (NEC 9512 or equivalent) can provide training.
c. The Planned Maintenance System (PMS) Feedback Report (OPNAV 4790/7B) shall be used to
replace Maintenance Index Page/MRCs, identify COMNAVSEASYSCOM technical publications/MRC
discrepancies, or request ACC/TYCOM assistance. TFBR is similar to the TPDR for COMNAVAIR-
SYSCOM publications. See NAVAIR 00-25-100 for further guidance.
NOTE: Maintenance Index Page/MRCs can be obtained from Automatic Library Technical Manual
System CD-ROM. Only when a Maintenance Index Page number is not listed in the CD-ROM
are TFBRs submitted to request duplicate issue.
NOTE: COMNAVSEASYSCOM uses U-checks to complement R-cards for repair follow-up. When a U
MRC is used, initiate a MAF for unscheduled maintenance.
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e. SU - Start-up maintenance to transition equipment back to operational status (SU-1, SU-2, etc.)
corresponding to COMNAVAIRSYSCOM depreservation requirements.
f. OT - Operational test maintenance to complete transition to operational status (OT-1, OT-2, etc.),
corresponding to COMNAVAIRSYSCOM preoperational tests after equipment depreservation or
unscheduled maintenance, to verify SE is operational.
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QUALITY ASSURANCE
MAINTENANCE/PRODUCTION CONTROL
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WORK CENTER
All requirements of this acceptance/transfer inspection have been accomplished and records updated as required by
COMNAVAIRFORINST 4790.2.
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A. DATE PRESV. B. RE-PRESV. C. TYPE D. DATE DE-PRESV. E. DIRECTIVE COMPLIED WITH F. REASON FOR G. ACTIVITY H. SIGNATURE
DUE DATE INACTIVE STATUS
Figure 10.17-3: SE Custody and Maintenance History Record (CNAF 4790/51) Page 1 (Sample)
CNAF 4790/51 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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(1) (2) (3) (4) (5) (6) (7) (8) (1) (2)
CODE BASIC INT REV AM PT KIT PRI BY (Activity) DATE
Figure 10.17-4: SE Custody and Maintenance History Record (CNAF 4790/51) Page 2 (Sample)
CNAF 4790/51 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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Figure 10.17-5: SE Custody and Maintenance History Record (CNAF 4790/51) Page 3 (Sample)
CNAF 4790/51 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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Figure 10.17-6: SE Custody and Maintenance History Record (CNAF 4790/51) Page 4 (Sample)
CNAF 4790/51 (Appendix B, Table B-1, provides additional CNAF fillable forms)
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10.18.1.1 The METCAL Program establishes policy, responsibilities, and requirements to ensure SE/TMDE
performance is compared to reference CALSTDs of known and sufficiently greater accuracy. Calibration
ensures SE/TMDE is operating within established tolerance limits.
10.18.1.2 References:
b. OPNAVINST 3960.16A, Navy Test, Measurement, and Diagnostic Equipment (TMDE), Automatic
Test (ATS), and Metrology and Calibration.
c. OP43P6B, Metrology Automated System for Uniform Recall & Reporting (MEASURE).
f. NAVAIR 17-35QAL-15, Naval Aircraft Carrier and Amphibious Assault Ship Metrology and
Calibration (METCAL) Program Manual.
g. NAVAIR 17-35FR-06, Facility Requirements for Navy and Marine Corps Field Calibration
Laboratories.
i. NAVAIRINST 13680.1, Depot Level Rework Program for Support Equipment End Items.
j. NAVSEA SE700-AA-MAN-100, RADIAC Policy and Procedures Manual; Navy RADIAC Program
Users Manual.
m. COMNAVAIRSYSCOM METCAL Fiscal Year (current FY) Scheduling Procedures for Calibration
of Aviation Support Equipment (SE), Test, Measurement and Diagnostic Equipment (TMDE), and
Calibration Standards (CALSTDS) Letter, referred to in this document as the NAVAIR METCAL
Scheduling Letter.
NOTE: This letter, published annually, provides information on POCs, SE/TMDE scheduling, reference
CALSTDs repair, on-site calibration, deployment planning, Operation Interlab Program,
MEASURE procedures, restricted repair reference CALSTDs, Depot man-hour reporting, flow
meter calibration requirements data, AIG, packaging and shipping of reference CALSTDs, and
authorized commercial/calibration service providers.
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10.18.2 Discussion
10.18.2.1 Calibration compares SE/TMDE to reference CALSTDs of known and sufficiently greater
accuracy to detect variation from required performance specifications. As appropriate; repair, adjustment,
alignment, or trimming is required to bring performance of an out-of-specification item to within specified
limits. Through the calibration process the traceability of all measured values can be traced through a series
of repeatable measurements to nationally accepted references for units of measurement maintained by the
NIST and the USNO.
10.18.2.2 The calibration process detects hidden failures within SE/TMDE and is treated as a failure finding
or an operational check PM task by RCM to ensure performance standards are met. Calibration is mandatory
for SE/TMDE and reference CALSTDs used to make quantitative measurements or to provide a reference
quantity of known value. Periodic calibration of SE/TMDE on or before the calibration due date recorded on
the applied calibration label ensures an acceptable level of measurement reliability is achieved when these
assets are called upon for use. Reference CALSTDs are calibrated by reference CALSTDs of even higher
accuracy, often in upper echelon calibration laboratories with traceability to national standards maintained by
NIST, USNO, natural physical constants, or ratio type calibrations.
10.18.2.3 Maintenance and calibration shall be performed at the maintenance level that can best ensure
proper accomplishment, taking into consideration applicable laws, urgency, priority, crew impact, capability,
capacity, and total cost of ownership. Calibration is Off-Flight Line level (level 2) or D-level (level 3)
maintenance that is conducted at the NPSL, FRC’s, Navy Calibration Laboratories, RCCs, Inter-service
D-level Calibration Laboratories, and FCAs. FCAs are located in IMA/Work Center 670, or supporting
RCCs. COMNAVAIRSYSCOM no longer designates laboratories as Type I, II, III, or IV.
10.18.2.4 Selected FCAs have been augmented with qualified CETS personnel to perform designated
D-level calibrations as approved by COMNAVAIRSYSCOM. D-level CETS personnel assigned to
expanded capabilities laboratories, known as "X" labs, comply with the QA policies of the parent IMA and
perform workload per paragraph 10.18.7.
10.18.2.5 COMNAVSEASYSCOM is the lead systems command for the Navy's METCAL Program.
OPNAVINST 3960.16 outlines the responsibilities of the lead systems command.
10.18.2.6 OPNAVINST 3960.16 and NAVAIRINST 13640.1 prescribe policies for the Naval Aviation
METCAL Program. COMNAVAIRSYSCOM (AIR-6.7.6.3) METCAL Program Office provides policy,
procedures, management, and funding for the Naval Aviation METCAL Program. COMNAVAIRSYSCOM
(AIR-6.7.6.3) is the ISSC for calibration and related matters.
10.18.2.7 MEASURE is the MIS for the METCAL Program. OP43P6B outlines procedures applying to
calibration laboratories/activities using MEASURE. METER Cards are used when inducting SE/TMDE for
calibration/repair. All calibration/repair data will be recorded on the METER Card. Completed METER
Cards are entered into MIQ program for transmittal to MOCC. MOCCs in Norfolk, VA and San Diego, CA
publish and monitor equipment recall schedules to provide for automated recall, workload/funding
requirements, and technical data used by Measurement Science Department (NSWC MSD) Corona, CA in
support of the METCAL Program. The following typical formats are described in OP43P6B:
a. Inventory Format 310 lists all calibratable PME/TMDE under a customer activity's cognizance. It
provides part number, serial number, subcustodian, calibration interval, and next due date. Format 310 is
maintained by the customer activity.
b. Format 311 provides each calibration activity with an inventory of their reference CALSTDs. This
inventory is extracted from the parent Format 310.
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c. Inventory Format 350 lists items from the parent Format 310 for which the subcustodian is
responsible. It is normally distributed by customer activities and maintained by subcustodians.
d. Recall Format 805 lists all equipment scheduled into a laboratory, by due date; that is overdue for
calibration, due calibration in the present month and the upcoming 2 months.
e. Recall Format 802 is a recall listing of items due for turn-in to the calibration laboratory. It is
distributed to customer activities monthly and sequenced by subcustodian. It lists items overdue for
calibration, due calibration in the present month and the upcoming 2 months. Customer activities distribute
Format 802 reports to appropriate subcustodians.
10.18.2.8 All reference CALSTDs and calibratable SE/TMDE must be labeled to indicate calibration status,
when last calibrated, by what activity, calibration next due date, and special conditions of use. DATE and
DUE calibration dates are annotated on the appropriate lines by day, month, and year (with 18Jun00 being
the preferred format), the three-letter laboratory code of the servicing activity written or stamped on each
label/tag, and item serial number annotated in the space provided (if available). Detailed information is in
NAVAIR 17-35TR-8. Figures 10.18-1 through 10.18-5 identify calibration labels and tags for the following
categories:
NOTES: 1. Previous editions of calibration labels are considered valid until replaced.
2. NAVAIR 17-35TR-8 may be accessed at any Navy/Marine Corps calibration facility using the
METPRO suite.
a. CALIBRATED (NAVSEA 4734/8, NAVSEA 4734/9, and NAVSEA 4734/11) are the most
commonly used labels in the Navy METCAL Program. They indicate the instrument is within tolerance on
all parameters and there are no qualifying conditions for use as specified by the calibration procedure.
b. CALIBRATED - The Report of Calibration (NAVSEA 4734/13) is used when actual measurement
values and associated uncertainties must be known.
c. SPECIAL CALIBRATION (NAVSEA 4734/15 and NAVSEA 4734/16) are used when unusual or
special conditions should be noted, such as deviations from usual calibration tolerances, multiple calibration
intervals, a special requirement for in-place calibration or to refer to a correction factor chart.
(1) Deviation from specifications. In cases where the user does not require full instrument
capability, the calibration could be performed to reduced tolerances or cover less than all ranges or functions.
Special Calibrations may not be used to reduce the accuracy stated in the ICP unless directed by the ICP or
COMNAVAIRSYSCOM (AIR-6.7.6.3).
(2) Multiple Calibration Intervals. Some instruments have components which require calibration
less frequently than the rest of the instrument. For example, the attenuator in a signal generator may require
calibration every 12 months. Since the attenuator calibration is time consuming and may require unavailable
standards, use of the multiple interval approach can save considerable man-hours as well as permit the more
frequent calibration to be performed at a lower level laboratory. When a specific instrument has been
designated for multiple calibration intervals, such information is provided in the applicable calibration
procedure. The special calibration label or tag is annotated with "Multiple Interval" and the type of
calibration performed is indicated, for example, partial 1 of 2, 2 of 2, complete calibration. The calibration
due date reflects the due date of the next partial or complete calibration (as appropriate).
(3) Calibrated "In-Place". Some instruments should be calibrated in-place. Annotation on the
special calibration label or tag will alert both user and calibrator the instrument should not be removed, but
should be calibrated "in-place".
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(4) For existing TMDE, Special Calibration labels are placed next to a service provider’s calibration
label to indicate the service provider is authorized to perform the calibration (paragraph 10.18.2.10). Due
date on label will correspond to the METRL cycle, not the service provider’s calibration cycle.
NOTE: Service provider refers to any non-DOD agency that provides calibration services (paragraph
10.18.2.9).
(5) For Acceptance of initial calibration of new equipment, attach a Special Calibration label to the
TMDE as close as possible to the OEM's calibration label indicating the OEM’s name, acceptance authority,
and corresponding METER Card Next Due Date (paragraph 10.18.2.10).
d. USER CALIBRATION (NAVSEA 4734/19) designates calibration performed by the user. This
label is not replaced at each calibration. Requirements and calibration intervals (each use, daily, weekly,
every 100 hours, etc.) are listed in the METRL.
e. INACTIVE (NAVSEA 4734/17) remains on the instrument until it is recalibrated. The instrument is
not to be used while bearing this label.
f. CALIBRATION NOT REQUIRED (NCR) Not Used for Quantitative Measurement (NAVSEA
4734/26 and NAVSEA 4734/27) remains on the instrument indefinitely unless calibration requirements
change. SE not requiring calibration is shown as NCR in the METRL. METRL Section 1 also contains
criteria for placing instruments in the NCR category.
g. REJECTED (NAVSEA 4734/7). Used when an instrument fails to meet calibration criteria.
Instruments shall not be used while bearing this tag.
h. CALIBRATION VOID IF SEAL BROKEN (NAVSEA 4734/28) and (NAVSEA 4734/29) is placed
over readily accessible (usually exterior) calibration/adjustment points to prevent tampering that could affect
calibration. These labels may also be used to prevent removal/interchange of plug-ins, modules,
subassemblies, etc., when such removal or interchange will affect the calibration. The use of these labels to
detect if instrument covers/faceplates have been removed is discouraged.
k. WARNING CLEANED FOR OXYGEN SERVICE (NAVSEA 4734/20) is a packaging label for
oxygen system SE/TMDE requiring special cleaning and contamination control processing. This label,
affixed to the outer wrapping after an instrument has been cleaned and calibrated, is used in addition to the
CLEANED FOR OXYGEN SERVICE (NAVSEA 4734/23) label.
10.18.2.9 Authorized calibration service providers are non-navy calibration facilities that have been
approved by COMNAVAIRSYSCOM METCAL Program as meeting the requirements of paragraph
10.18.1.2k. A listing of the authorized calibration providers is maintained by COMNAVAIRSYSCOM
METCAL Program Office (AIR-6.7.6.3). Calibration services by an authorized calibration provider may be
accepted by a COMNAVAIRSYSCOM cognizant calibration laboratory by applying a special calibration
sticker to the asset stating the authority that authorizes acceptance (authorized service providers list or
NAVAIR 17-35MTL-1 remarks entry) and applying the calibration cycle listed in NAVAIR 17-35MTL-1.
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a. AIG 9913 (COMNAVAIRSYSCOM), AIG 428 (COMNAVAIRFOR) messages provide policy and
information relative to the FCA METCAL Program and repair of SE. AIG 9938 (MOCC Norfolk FCAs and
laboratories), AIG 7692 (MOCC San Diego customers) and AIG 9929 (MOCC San Diego FCAs and
laboratories) messages pertain to the MEASURE Program.
b. Aircraft carriers and amphibious assault ships have historically operated three separate calibration
programs managed by the AIMD Officer, the Operations Officer, and either the Engineering or Reactor
Officer. NAVAIR 17-35QAL-15 defines organization and responsibilities for the METCAL Program as they
relate to the CV/CVN/LHA/LHD community.
c. All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
d. The IMA is responsible for inventory control and calibration of equipment held for issue to O-level
activities. A METER Card (OPNAV 4790/58) is used for inducting SE for calibration or authorized repairs.
All calibration/repair data will be recorded on the METER Card (as appropriate). VIDS/MAFs are not
required.
(1) All calibratable SE/PME/TMDE are forwarded through Work Center 670 at each IMA. Work
Center 67A shall be established to handle these responsibilities wherever regionalization has occurred.
Within the IMA, the METCAL Program Manager is responsible for coordinating the recall of equipment for
calibration, and the physical movement of equipment and follow-up, to ensure prompt return of equipment to
users after calibration.
(2) The date an item is due calibration may be found in the Recall Format 800 series, the Inventory
Format 310 and 350 series, and on the decal attached to the equipment. The focal point for recall is the
supporting IMA. See OP43P6B for further recall information.
e. IMRL assets may be used to perform calibration provided they are called for in an authorized calibra-
tion procedure. IMRL shall not be requisitioned for calibration use, designated as calibration standards, or
provided priority calibration. Additionally, IMRL shall not be repaired using COMNAVAIRSYSCOM
calibration funds or included in TYCOM managed calibration standards inventories.
NOTE: NAVAIR 17-35NCE-1 provides listings of primary standards and substitutes. Questions
regarding standards equivalency shall be referred to the NSWC-MSD Corona, CA via the
COMNAVAIRSYSCOM (AIR-4.12.9) METCAL CFA.
f. I-level calibration standards are under inventory control of the cognizant TYCOM and shall not be
reported under the AMMRL Program. Funding for calibration and repair of FCA standards is provided by
COMNAVAIRSYSCOM METCAL PST. I-level calibration standards shall not be loaned out/used by other
work centers with the exception of ATE calibration.
(1) Transfer the information from the OEM’s Certificate of Calibration to a METER Card (OPNAV
4790/58) to account for the calibration. Indicate the correct condition received by the service provider in
block 61. Servicing lab code (block 21) will be that of the receiving laboratory. Servicing label attached
(block 59) will be a Special Calibration label. The Next Due Date (block 29) will be calculated based on the
OEM's calibration date and applying the calibration cycle listed for the asset in NAVAIR 17-35MTL-1.
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Attach a copy of the Certificate of Calibration to the METER Card. Additional guidance is in the NAVAIR
METCAL Scheduling Letter.
(2) Attach a Special Calibration label to the TMDE as close as possible to the OEM's calibration
label. The Special Calibration label shall state “(OEM’s name) calibration is accepted per (state authority,
such as this instruction, NAVAIR METCAL Scheduling Letter, or NAVAIR 17-35MTL-1)”. Ensure the
Next Due Date on the Special Calibration label agrees with block 29 of the METER Card.
R} 10.18.3 Responsibilities
a. Ensure the calibration work areas meet all environmental and facility requirements per NAVAIR 17-
35FR-06, NAVAIR 01-1A-512, and the following:
(1) Record probable causes for significant temperature and humidity changes that exceed specified
limits, such as power outage and air conditioner failure, in a paper or electronic log. Maintain all recorded
data on file for a minimum of 1 year.
(2) Supervise all calibration technicians assigned to the calibration laboratory. Ensure compliance
with safety regulations. Electrical retrieval devices (ropes, canes, etc.) shall be readily available and safety
posters prominently displayed. Use appropriate safety attire, such as goggles, gloves, and aprons. Section 1
of NAVAIR 17-35FR-06 contains additional details on safety requirements.
b. Ensure military and civilian personnel performing calibration are graduates of approved calibration
training courses per NAVAIR 17-35POP-01. Navy personnel shall be from electronics technical ratings and
possess one of the following NECs: 6673, 6718, or 1589. Marine Corps personnel must possess MOS 6492.
The following are exceptions to these requirements:
(1) Personnel from other ratings/MOS may perform basic physical/mechanical calibration actions,
Phase B and D, if properly trained, qualified, and documented through local professional training/OJT.
Calibration work center supervisors, at a minimum, must provide final qualification verification for personnel
using OJT as a qualification standard.
(2) Activities supporting the R} AN/USM CASS Family of ATE benches can use NEC 6705 and
MOS 6469 to perform calibration of, and apply the calibration label to, the ATE/CASS bench: ATE/CASS
calibration requires documentation on the MEASURE METER Card.
c. Establish a PME/TMDE Production Control Work Center 67A. When the FCA has been transferred
to a Regional Calibration Center, the IMA will retain Production Control Work Center 67A and perform the
same functions previously performed by the FCA.
d. Maintain approved instrument calibration procedures, and commercial maintenance manuals for
calibration or repair of SE within the FCA work area. They are to be updated and purged regularly.
f. Monitor and evaluate items inducted into higher level calibration activities for feasibility of
calibrating at the FCA level in support of "calibrating at the lowest level possible" concept.
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g. Initiate depot repair actions on IMRL assets per NAVAIRINST 13680.1 if repair is beyond FCA
capability. To initiate exchange of general purpose electronics test equipment, refer to appropriate TYCOM
SERMIS and IMRL guidelines.
h. Submit recommended changes to the SE Repair Program (SERMIS Systems 835, 835A, and 835B)
per applicable TYCOM SERMIS and IMRL directives.
i. Augment FCA calibration and repair capabilities with SE contained in the activity IMRL. As IMRL
assets, no standards decal ("meat ball") will be affixed. Additionally, COMNAVAIRSYSCOM METCAL
Program funds shall not be used for their repair. Phase R5 assets are specifically designated for use in the
test equipment repair center and are listed in SERMIS Systems 835, 835A, and 835B. Other SE for SE
IMRL systems may also be used to augment calibration or repair capability.
NOTE: Phase R5 SE shall not have a standards decal affixed or be reported on Inventory Format 311.
j. Submit I-level calibration standards for calibration per intervals established by NAVAIR 17-
35MTL-1. FCAs are authorized to repair and calibrate the standards within their capability. Repair of the
remaining calibration standards shall be limited to their externally accessible components, for example,
power cords, fuses, and indicator lights. Preventive maintenance actions, such as lubrication and cleaning of
filters not affecting the accuracy of the standard, will be accomplished at the I-level. Calibration standards
not within the capability of the FCA will be identified to the COMNAVAIRSYSCOM METCAL Program
Manager. Recommendations concerning additional items of SE to be included in the I-level calibration
segment of the METCAL Program shall be submitted to the cognizant TYCOM.
k. Periodically, review each calibration standard held for its current applicability. Evaluate FCA
standards requirements using NAVAIR 17-35NCE-1. Further, each newly received standard must be
compared with NAVAIR 17-35NCE-1. Identify all obsolete, excess, redundant, unused, substitute, duplicate,
rejected, and other standards no longer required which may be purged from the FCA inventory, to the
appropriate TYCOM METCAL Program Manager. FCA standards shall not be inactivated.
l. Submit requirements for additional phases, standards, temporary replacement standards, or for
disposition instructions for excess standards to appropriate TYCOM via facsimile, letter, or message. Include
the following data (as appropriate):
(1) Work load candidates by model/part number, quantity serviced, aircraft/weapons system
supported, and depot man-hour avoidance if calibrated by the FCA.
(2) Instrument calibration procedures and standards listed therein. Review NAVAIR 17-35NCE-1
for additional substitutes and identify suitable alternates.
(3) If a loan standard is required, identify the servicing laboratory holding the failed standard and
describe the nature of the failure.
(4) Identify excess calibration standards, with rationale for deletion, to obtain disposition
instructions and authority to delete standards from the MEASURE inventory. See paragraph 10.18.3.1ac for
standards deletion procedures.
m. Manage calibration standards required for ATE support and designated in NAVAIR 17-35NCE-1
phase packages for METCAL Program contingency support packages. These standards may be used in
support of ATE, such as Hybrid Test Stations, Radar Communication Test Stations, Radar Set Test Stations,
Electro Optical Test Stations, Intermediate Automated Test Stations, CASS Test Stations, Electro Optical
Test Stations, and Servo Cylinder Test Stations. They are controlled, reported, calibrated, and repaired
exactly like other FCA calibration standards and may be temporarily distributed to the work center as use
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requirements dictate and as requested. Calibration standards specifically designated for CASS are usually
held in the appropriate user work center. Calibration standards not required for full time CASS station
operation may also be used by the FCA to augment calibration capability.
n. Use the calibration standards ISSC METCAL PST (Team 2) as engineering support for METCAL
standards and related matters.
o. Document all calibration and repair actions on a METER Card (OPNAV 4790/58) per OP43P6B. In
addition to MEASURE documentation, document repair actions into NALCOMIS to facilitate parts
procurement. Only repair actions requiring parts procurement will be entered into NALCOMIS.
p. Ensure QA functions prescribed in this instruction are applied to the I-level calibration effort. The
inspector’s stamp/signature shall be affixed to the buff copy of the METER Card (OPNAV 4790/58) in the
quality verification section.
q. Comply with the D-level calibration man-hour account management guidelines as follows:
(1) Ensure D-level recall schedules do not include SE authorized to be calibrated by FCAs if
capability exists. If SE becomes temporarily beyond the FCA capability, for example, personnel, standards,
or publications, calibration services may be obtained from a regional FCA, Navy Calibration Laboratory,
Mobile Calibration Complex, or FRC upon scheduling by COMNAVAIRSYSCOM METCAL PST.
(2) Forward SE/TMDE scheduled for induction into D-level laboratories and above to the
designated laboratory via the METCAL Program Manager. This will ensure only operable SE/TMDE are
forwarded to the D-level calibration laboratories. Equipment scheduled for calibration will be checked for
operable condition. SE/TMDE found to require repair will be returned to the appropriate work center for
repair or processed under the SE rework program (as applicable). The cost of repair and calibration of I-level
metrology standards by D-level facilities is a responsibility of the COMNAVAIRSYSCOM METCAL PST.
(3) Use the METCAL Program Invoice (Figure 10.18-6) or similar form, when trans-
ferring/inducting aviation SE into COMNAVAIRSYSCOM-approved outside calibration/repair activities. A
properly completed METER Card (OPNAV 4790/58) is also required for each asset.
(4) D-level man-hour allocations are provided to each COMNAVAIRSYSCOM customer for
calibration support of IMRL assets and FCA standards. An analysis of these qualifying customers’ D-level
calibration requirements is made approximately 30 days prior to the beginning of each fiscal year quarter.
Based on available funding, a portion of these requirements is allocated to each customer. Prudent use of
these man-hours is paramount to the successful support of fleet operational commitments.
(5) Use the standard man-hour figure shown on MEASURE Inventory Format 310 to track man-
hour utilization by reducing the appropriate man-hour account with each submission of an asset. MEASURE
reports, MSRPT14 (weekly summary of man-hours used), and MSRPT15 (weekly itemized list of assets
submitted) provide feedback of man-hour utilization. Immediately, notify appropriate TYCOM of
discrepancies. Prioritize depot workload to ensure the most important assets are calibrated within the
allocated hours.
(6) Induction of standards and SE into depot laboratories beyond authorized man-hour allocations
shall be authorized by the COMNAVAIRSYSCOM METCAL Program Manager.
(7) When D-level calibration requirements are expected to exceed allocated man-hours, forward
requests for additional man-hours via facsimile, letter, or message to appropriate TYCOM. Ships pre-
deployment depot calibration requirements are an example of a valid condition for an increased allocation.
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s. Deliver and pick up SE to/from SE custodians and, if practical, adjacent tenant activities. Ensure
proper handling, transportation, and storage of calibratable SE/PME/TMDE to preclude equipment damage.
Protective measures shall include:
(1) ESD protective shielding material shall be used on all exposed electrical connectors for
equipment requiring special ESD protection.
(2) Use tie down cords and padding, such as horse hair and bubble wrap, in sufficient quantity, to
preclude damage during transportation.
u. Ensure radiac equipment is calibrated and repaired per NAVSEA SE700-AA-MAN-100. POCs are
provided in the annual COMNAVAIRSYSCOM scheduling letter. Radiac interval extension request
information is addressed in paragraph 10.18.5.6.
v. Schedule/perform calibration services on jet engine test cells consistent with the intervals cited in
NAVAIR 17-35MTL-1. All special D-level calibration services required prior to the correlation process shall
be performed by the activity performing the correlation.
x. Screen inducted items for required SECs/SEBs and incorporate outstanding requirements per local
procedures.
y. Maintain a file of METCAL Program directives and AIG messages in the FCA Work Center. Retain
METCAL AIG messages for a minimum of 1 year.
z. Review NSWC MSD Corona, CA monthly metrology bulletins for pertinent METCAL Program
information. See paragraph 10.18.5.7 for interval change information.
aa. Initiate misuse/abuse reports with QA for items where negligence is suspected.
ab. Report calibration standards inventory additions via the METER Card (OPNAV 4790/58) ensuring
subcustodian and Phase are properly completed and block 65 is checked as "X". Sign and mail the DD
1149/DD 1348 to the Calibration Standards Ready Issue Activity.
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(1) Forward a request to delete calibration standards via facsimile, letter, or message to the
TYCOM with an information copy to the cognizant MOCC and other chain of command activities as
appropriate. Describe the standard to be deleted and rationale for deletion.
(2) Ensure standards are properly packaged. Annotate the outside of each standard with the model
number, serial number, and next due date. Additional information is contained in the annual NAVAIR
METCAL Program Scheduling Letter. Provide pertinent information on rejected standards. When prior
authorization has been obtained, forward calibration standards to the appropriate Calibration Standards Ready
Issue Activity listed below:
c. Ensure requirements of NAVAIR 17-35FR-06 are met upon establishment of an FCA, and
maintained to those requirements.
e. Ensure manpower requirements, manning, and staffing levels reflected in the Navy AMD, SMD, and
Marine Corps Table of Organization (as applicable) are kept updated to provide adequate personnel for
support of the FCA effort.
f. Ensure a vehicle is assigned to the FCA (shore-based only) and that it meets vibration and weather
protection requirements per NAVAIR 17-35FR-06.
10.18.3.3 The Avionics Division Officer shall designate, in writing via the MMP, a METCAL Program
Manager (IMA only).
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
b. Ensure all calibratable SE/PME/TMDE is forwarded through Work Center 670. Work Center 67A
shall be established to handle these responsibilities wherever regionalization has occurred.
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d. Update and correct Inventory Format 310, 311 and 350 reports (including Inventory Format 350
reports returned from other work centers) and submit necessary changes to the designated MOCC per
OP43P6B. Designate safety related SE on the MEASURE inventory per paragraph 10.18.5.4.
e. Ensure that all TMDE or standards submitted for repair are processed with a completed Support
Equipment Discrepancy Report (Figure 10.18-7).
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Ensure timely delivery of SE/PME/TMDE scheduled for calibration to Work Center 670. Work
Center 67A shall be established to handle these responsibilities wherever regionalization has occurred.
Obtain a receipt, and follow up to ensure prompt return of equipment after calibration.
b. Ensure equipment is turned in complete with cables, accessories, charts, and peculiar technical data
required during calibration. Indicate any missing items or nonoperational conditions.
c. Induct for repair all nonoperational or suspect SE/PME/TMDE regardless of actual calibration due
date. Provide complete written description (Figure 10.18-7 or similar form) of discrepancies for each item.
d. Update MEASURE data via the FCA whenever SE/PME/TMDE is transferred or received.
e. Retain METER Card (OPNAV 4790/58) pink copies until Inventory Format 350 reflects new
calibration date.
f. Update and return corrected original Format 350 report to the supporting customer activity within 5
working days. Retain a copy on file until corrections appear on subsequent reports. Maintain current Format
802 to assist in timely submission of SE/PME/TMDE.
g. Ensure SE/PME/TMDE are handled, transported, and stored per paragraph 10.18.3.1s.
i. Ensure items requiring local one-time interval extensions meet all the conditions per paragraph
10.18.5.
k. Plan calibration of SE to minimize equipment becoming due date expiration during deployment.
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l. Arrange for calibration services from an in-area FCA or Navy Calibration Laboratory, for example,
an FCA within the battle group or on a nearby CV, CVN, LHA, or LHD having calibration capability (if
deployed without direct FCA support).
m. Coordinate deployment requirements with the supporting FCA using paragraph 10.18.4 as a guide.
10.18.3.6 The QA Officer shall designate, in writing via the MMP, a QAR as the Naval Aviation METCAL
Program Monitor. This assignment does not preclude other qualified QARs from monitoring this program,
but places the overall responsibility with one individual.
10.18.3.7 The Program Monitor shall perform audits using CSEC per paragraph 10.7.
10.18.3.8 The IMRL Manager shall route all SE transfers and receipts through the METCAL Program
Manager (O-level)/Work Center 67A (I-level) to ensure MEASURE reports are updated.
a. Review MEASURE Inventory Formats 310 and 311 monthly upon receipt and submit required
corrections to the cognizant MOCC within ten working days. OP43P6B gives detailed procedures. Give
special attention to new or recently received items which may not have been previously reported.
b. Receive and distribute Inventory Format 350 and Recall Format 802 reports to appropriate
subcustodians.
c. Update Work Center 67A’s Inventory Format 310 and Recall Format 805 reports using inputs from
subcustodian’s Inventory Format 350 report.
(1) Recall Format 800 series are published monthly and project quarterly requirements. The focal
point for recall is the supporting IMA. See OP43P6B for recall format information.
(2) Inventory Format 300 series list items by part number. See OP43P6B for inventory format
information.
f. Notify QA of any item noted on MEASURE reports as being overdue for calibration.
g. Ensure PME/TMDE inducted for calibration or repair are accompanied by a preprinted METER Card
(OPNAV 4790/58). If the preprinted METER Card is not available, hand scribe a METER Card using all
available data, for example, MEASURE reports, equipment data plate, and publications.
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h. Verify all SE have a serial number assigned. If no serial number is affixed to the equipment by the
manufacturer, the FCA shall assign a serial number per OP43P6B.
i. Ensure proper use of all METER Card (OPNAV 4790/58) parts per OP43P6B, page C-1. Ensure
inspectors use QA stamps or stamp number in the quality verification steps when required and list model and
serial number of all standards used. File all buff copies in Inventory Format 310 order and maintain on file
for 12 months or one calibration cycle, whichever is greater.
NOTE: For items returned from outside activities without a buff copy, copy the pink section and file as a
buff.
j. Provide initial and periodic training to all subcustodian calibration representatives, such as
calibration petty officers, on the proper use of MEASURE reports and local induction/receipt policies.
k. Review all AMMRL transfers/receipts to ensure timely update of appropriate MEASURE data.
l. Manage the transportation, tracking, and receiving of all items inducted into outside calibration
facilities.
m. Ensure items requiring local one-time interval extensions meet all the conditions per paragraph
10.18.5.
a. Ensure Naval Aviation METCAL Program and follow-on training is provided to personnel. Training
shall include personnel responsibilities and shall be documented on the NAMP Indoctrination Training sheet
(Figure 10.1-5) in the individual's qualification/certification record.
b. Ensure all SE/PME/TMDE under MEASURE is properly calibrated, paying special attention to
recently received items that may have not been previously reported. Do not use equipment without valid
calibration labels or items with damaged "CALIBRATION VOID IF SEAL BROKEN" labels.
c. (IMA only): Update and return corrected original Inventory Format 350 report to the METCAL
Program Manager within 5 working days. Retain a copy on file until corrections appear on subsequent
reports. Maintain current Format 802 to assist in timely submission of all SE/PME/TMDE.
d. Turn in all nonoperational and suspect PME/TMDE regardless of actual calibration due date. Ensure
all required cables, accessories, charts, and peculiar technical data are included. Provide a complete written
description of discrepancies (Figure 10.18-7 or similar form) for each item inducted for repair.
e. Replace all "REJECTED" items via appropriate supply channels. Dispose of consumable
"REJECTED" TMDE/PME per local policy.
f. Update MEASURE data via the FCA when SE/PME/TMDE are transferred or received.
g. (IMA/FRC only): Retain METER Card (OPNAV 4790/58) pink copies until Inventory Format 350
reflects new calibration date. Ensure data fields on the pink copy match the new Inventory Format 350 data.
h. Ensure SE/PME/TMDE are handled, transported, and stored per paragraph 10.18.3.1s.
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a. Sixty days prior to deployment, review METCAL requirements and annotate shortages and due dates
of assets held by squadron or detachment.
b. Thirty days prior to deployment, review METCAL requirements with Type Wing and supporting
FCA Program Manager. All possible effort must be made to ensure due dates extend beyond the scheduled
return date.
NOTE: Ensure SE that cannot be supported by the cognizant FCA while deployed are calibrated prior
to deployment.
c. Five days prior to departure, pick up Inventory Format 350 and preprinted METER Cards from the
FCA.
NOTE: Recall formats for deployment periods of 90 days or less are not required. As deployments of
longer than 90 days require flagging of MEASURE products, recall data will be provided by the
appropriate MOCC.
d. While deployed, ensure MEASURE reports are updated as calibration actions are completed by the
supporting FCA. Mail copies of completed transactions to the home FCA a minimum of once per month.
Retain the METER Card (OPNAV 4790/58) pink copies. Following deployment, provide the original pink
copies to the home FCA. Detachments are to forward MEASURE update information to the home FCA via
their parent squadron.
a. MEASURE customer activities will notify the appropriate MOCC of subcustodian deployment
approximately 45 days prior to deployment to flag all MEASURE products for the deploying subcustodian.
In the case of a "short fuse" deployment, notify the appropriate MOCC as soon as possible. Notification will
include MEASURE customer code, subcustodian, deployment address, and effective date of flagging. Upon
completion of deployment the customer activity will notify the appropriate MOCC that the subcustodian has
returned and submit request to deflag their MEASURE products.
(1) Calibration requirements and tentative locations will be discussed at TYCOM predeployment
conferences and with appropriate area of responsibility coordinators.
(2) Supporting MOCC will print and distribute Inventory Formats 310 and 350, Recall Formats 802
and 805, and preprinted METER Cards (as applicable).
(4) All deployed customers/subcustodians will send completed METER Cards to supporting MOCC
for processing and printing/distribution of preprinted METER Cards and updating of the MEASURE
database.
(5) Upon completion of deployment, equipment requiring calibration will be forwarded to regularly
scheduled laboratories as before.
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d. During deployment, COMNAVAIRSYSCOM, will be the primary authority for induction of assets at
calibration laboratories. Add-to-inventory items may also be delivered to supporting calibration laboratories
(as required) with COMNAVAIRSYSCOM METCAL PST authorization.
10.18.5.1 Operational circumstances may inhibit the performance of scheduled calibration services.
Accordingly, and only under critical/unusual situations, MOs of deployed FCAs are authorized to extend SE
calibration intervals except for flight or personnel safety SE. The maximum local extension term is limited to
one interval per the current NAVAIR 17-35MTL-1 or 4 months, whichever is less. When no aviation FCA is
available within the deployed battle group, the Battle Group Commander has local extension authority.
Extensions beyond local authority must have prior approval from appropriate ACC/TYCOM, or designated
agent. SE suspected to be out of tolerance may not be extended and must be removed from service.
10.18.5.2 Extending an interval past the scheduled due date is a management decision to be exercised in
cases where no other alternative is available. If calibration capability is available from the FCA, or like in-
cal items are available, interval extensions are not an option. Interval extensions are an interim, short-term
resolution to a maintenance problem, not a permanent fix. As soon as possible after the operational
requirement has been satisfied or calibration capability becomes available, submit the extended SE for
calibration per current scheduling instructions.
10.18.5.3 A SPECIAL CALIBRATION (NAVSEA 4734/15) label shall be placed next to, but not over, the
expired calibration label of each extended asset. The special calibration label shall cite the written authority,
such as the Maintenance Officer letter, authorizing the extension. Written authorization letters, using the
format in paragraph 10.18.5.5 shall be maintained on file in the cal lab for a minimum of 2 years. As soon as
operational requirements are satisfied, extended SE shall be scheduled for calibration.
10.18.5.4 Safety related SE shall be designated on the MEASURE inventory with a pound sign (#) as the last
character in the subcustodian field (block 6 of METER Card (OPNAV 4790/58)). There is no definitive list
of safety related SE. Safety determination is an interpretation based on facts about a particular SE use which
could adversely impact safety of flight or personnel safety. An item used for aircraft support might impact
safety, but when used for a different function may not.
10.18.5.5 Extension requests for SE affecting safety of flight or personnel safety shall be submitted to the
TYCOM (or COMFAIRWESTPAC if operating in WESTPAC) in the following format:
a. Part number.
b. Serial number.
c. Nomenclature.
g. Number and status of like items on hand (all assets that perform same maintenance function).
Include location. Otherwise, state "None."
h. Safety certification (whether or not safety related when used in that particular application).
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i. Asset condition statement. Indicate any significant maintenance since last calibration.
j. Justification/remarks (why interval extension is required). Describe any additional particulars in-
volved.
10.18.5.6 Calibration interval extension request for radiac equipment shall be forwarded to
COMNAVSEASYSCOM (Code 04R) via NAVSEA Detachment Radiological Affairs Support Office
Yorktown, VA (Code 02) for consideration, on a case-by-case basis, per NAVSEA SE700-AA-MAN-100.
Send information copies to ACC/TYCOM (COMFAIRWESTPAC (Code N422) if operating in WESTPAC).
10.18.5.7 Interval changes issued by TYCOMs or the monthly NSWC MSD Corona, CA Metrology Bulletin
(METBUL) shall be implemented upon receipt. Indicate new intervals by placing a SPECIAL
CALIBRATION (NAVSEA 4734/15) label next to, but not over, the current calibration label and cite the
METBUL, by month and year of publication, as the authority document, via METER Card (OPNAV
4790/58), by rescheduling the due date. If any SE intervals are shortened to the point where they become
overdue, the SE shall be recalled within 30 days of notification, calibrated, and placed in service with new
interval.
D} 10.18.6
10.18.7.1 METCAL is budgeted, funded, and managed as subprograms 10, 11, 12, and 20 under the Aircraft
Support Services Program (04). COMNAVAIRSYSCOM (AIR-6.7.6.3) is responsible for promulgating
policy, budgeting and allocating funds, establishing procedures, ensuring pre-engineered parametric
capabilities, and managing and performing operations.
10.18.7.2 METCAL tasks for calibratable SE, PME, and TMDE are treated as failure finding or operational
check PM tasks by RCM to ensure performance standards are met. MEASURE provides management
information and data required to execute the COMNAVAIRSYSCOM METCAL Program, for example,
control of calibration laboratory man-hour expenditures regardless of the location of the PME/TMDE and
monitoring compliance with those schedules.
10.18.7.3 METCAL Workload Description. Primarily, the accomplishment of calibration and incidental
repair of PME/TMDE used to perform O-level and I-level maintenance functions by the operating forces.
This has direct application to all D-level laboratories with traceability and engineering support by NPSL.
They include:
(4) In-house equipment (that requires calibration) within the laboratory's capability (not recalled or
scheduled by COMNAVAIRSYSCOM (AIR-6.7)).
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c. Providing specialized calibration training on the theory and use of specific items of equipment for
other Navy standards and calibration laboratory personnel.
f. Providing pickup and delivery service, transporting PME/TMDE and standards between custodians
(customers) and COMNAVAIRSYSCOM calibration laboratories, as directed by COMNAVAIRSYSCOM
(AIR-6.7), using government owned or commercial vehicles. The vehicle used for this service will be
specially equipped with shock absorbing racks, shelves, and tie down devices designed for bolt-in
installation.
10.18.7.4 METCAL Workload Requirements. D-level METCAL scheduling program requirements are
developed by COMNAVAIRSYSCOM (AIR-6.7.6.3).
a. The inventory of laboratory standards and equipment used to perform calibration functions must be
adjusted as new PME/TMDE are brought into operational environments. Requirements for new or additional
standards must be identified and requested. Requests are submitted to COMNAVAIRSYSCOM (AIR-
6.7.6.3).
b. Standards requiring National Institute of Standards and Technology (NIST) servicing will be
forwarded to the NIST via NPSL.
10.18.7.4.2 In-house Assets. Workload generated by in-house calibratable assets must be included in
requirements projections.
10.18.7.5 METCAL Workload Specifications. Work specifications are applicable in the following general
areas and have direct application to D-level laboratories, including NPSL:
a. Metrology standards and equipment used to perform calibration functions must be current, that is, in
calibration, and all measurements traceable to standards maintained by the NIST and the USNO. To provide
this assurance, a complete and current inventory of standards, regardless of cost or source, will be maintained
under the MEASURE system. The MEASURE system will be used to control these inventory assets and as
the repository for respective inventory listings.
b. Calibration laboratory operations shall be technically adequate to provide the quality required by
COMNAVAIRSYSCOM customers. The NAVAIR 17-35QAC-01 is the primary basis for ensuring the
technical adequacy of COMNAVAIRSYSCOM calibration laboratories; along with the proper use of existing
COMNAVAIRSYSCOM METCAL engineering and support elements.
c. Technicians must be qualified to perform the calibration functions expected of them and for which
the laboratory has responsibility to perform per NAVAIR 17-35POP-01.
d. Calibration Procedures. Approved calibration procedures for calibration standards and PME/TMDE
are specified in the Metrology Requirements List (NAVAIR 17-35MTL-1). As prescribed by COM-
NAVAIRSYSCOM instructions, assistance for procurement of calibration technical data and procedures is
available from COMNAVAIRSYSCOM (AIR-6.7.6.3). Pending approval, interim local calibration pro-
cedures may be prepared and authorized by metrology engineering staff. The METCAL ISSC shall prepare
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or concur with any local calibration procedures required for fleet assets. The originator of the local cali-
bration procedure shall actively follow-up for final approval and incorporation into NAVAIR 17-35MTL-1.
10.18.7.6.1 The recall of equipment for calibration, at established intervals, is facilitated by MEASURE.
MEASURE provides management information and data required to make recall schedules.
COMNAVAIRSYSCOM (AIR-6.8.4.1) will publish and monitor equipment recall schedules and
COMNAVAIRSYSCOM (AIR-6.7.6.3) will allocate resources required to execute the schedules. These
schedules determine workload composition, authorizing MEASURE customers to forward specific
equipment to the laboratories indicated for calibration.
10.18.7.6.2 D-level laboratories provide calibration and repair of the PME/TMDE and FCA standard
workloads. NPSL workloads will be more oriented towards engineering support and traceability.
10.18.7.6.3 Most equipment is calibrated in the laboratory, but some must be done on-site by field teams
(normally from D-level laboratories). All workloads will be scheduled or authorized by COMNAVAIR-
SYSCOM (AIR-6.7.6.3).
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SPECIAL REJECTED
CALIBRATION
SERVICING ACTIVITY MANUFACTURER
SERVICING ACTIVITY MANUFACTURER
DATE MODEL
DATE MODEL
SUBMITTING ACTIVITY SERIAL
SUBMITTING ACTIVITY SERIAL
REASON
REASON
BLACK ON YELLOW
FORM NO 4734/6
CALIBRATED
NAVY
METCAL
PROGRAM USE REVERSE SIDE IF REQUIRED
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BLACK ON WHITE
FORM NO 4734/10 CALIBRATED
WITH FLAP REFER TO
FORM NO 4734/9 NAVY REPORT OF
METCAL CALIBRATION
PROGRAM
DATE
DUE
RED ON WHITE
FORM NO 4734/13
SPECIAL
CALIBRATION
NAVY
METCAL
PROGRAM
SER. NO.
DATE
DUE
REASON:
BLACK ON YELLOW
FORM NO 4734/15
SPECIAL
CALIBRATION
NAVY REFER TO
METCAL ATTACHED
PROGRAM TAG
DATE:
DUE
BLACK ON YELLOW
FORM NO 4734/16
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REJECTED
INACTIVE REFER TO
ATTACHED
NAVY
METCAL TAG
CALIBRATE PROGRAM
NAVY BEFORE USE
METCAL
PROGRAM
DATE ___________________
BLACK ON RED
DATE
FORM NO. 4734/18
GREEN ON WHITE
FORM NO 4734/17
WARNING
CLEANED FOR OXYGEN
SERVICE
USER
CALIBRATION
NAVY THIS DEVICE HAS BEEN
METCAL CLEANED & IS READY FOR
PROGRAM
USE IN OXYGEN SYSTEMS.
CALIB. EACH USE
DO NOT OPEN UNTIL
CALIB. EVERY
READY FOR USE
OTHER
BLACK ON GREEN
FORM NO. 4734/20
ETCA L PR
Y M OG
AV R
N
AM
Y ME T C AL PR
V O
A G
N CLEANED R
FOR OXYGEN SERVICE A
CA
M
DATE
D
LI
B
R
RA
TI O DA BY
N S TA N
BLACK ON BLUE BLACK ON LT. GREEN
FORM NO 4734/22 FORM NO 4734/23
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USE USE
COUNTER-CLOCKWISE CLOCKWISE
ONLY ONLY
NAVY METCAL PROGRAM NAVY METCAL PROGRAM
CALIBRATION CALIBRATION
NOT REQUIRED NOT REQUIRED
NOT USED FOR
NAVY NOT USED FOR QUANTITATIVE
METCAL QUANTITIVE MEASUREMENT
NAVY
PROGRAM MEASUREMENT
METCAL
PROGRAM
AUTH.
ORANGE ON WHITE
FORM NO 4734/27
ORANGE ON WHITE
FORM NO. 4734/26
CALIBRATION Calibration
VOID IF VOID
SEAL BROKEN if seal is
broken
BLACK ON WHITE
FORM NO 4734/28
BLACK ON WHITE
FORM NO 4734/29
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NAVSEA
TITLE FORM NO. COLOR SIZE (Inches)
LABELS
TAGS
SPECIAL CALIBRATION 4734/6 Black on Yellow 3-1/8 x 4-1/4
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TO: LOCATION:
AUTHORIZATION (Officers Name, Rank, Signature) PHONE OR EXT. NO. JOB NO: (Not For FCA USE)
DATE ACCOUNTING
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From: ___________________________________________
To: Work Center 670/Field Calibration Activity
_______________________________________ _________________
Technician noting discrepancy Phone Number
_______________________________________
Work Center Supervisor
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10.19.1.1 The Hazardous Material Control and Management Program establishes policy, procedures,
responsibilities, and requirements for the safe use, handling, and disposal of HAZMAT.
10.19.1.2 References:
c. OPNAVINST 5100.19, Navy Occupational Safety and Health (NAVOSH) Program Manual for
Forces Afloat.
d. OPNAVINST 5100.23, Navy Occupational Safety and Health (NAVOSH) Program Manual.
f. NAVMC DIR 5100.8, Marine Corps Occupational Safety and Health (OSH) Program Manual
(Marine Corps only).
10.19.2 Discussion
10.19.2.1 HMC&M applies to all Navy, Marine Corps, and other government activities performing
maintenance or other functions in support of naval aviation. To ensure safe use of HAZMAT, the Navy has
adopted the "cradle to grave" concept in which HAZMAT is closely managed throughout its life cycle, from
acquisition to use and eventual disposal. HAZMAT management, control, and minimization serve to protect
personnel and preserve the environment.
10.19.2.2 The term HAZMAT in this chapter includes materials that may not normally be considered
HAZMAT. For example, plastics negatively impact ocean environment. Specific international
environmental treaties and laws apply to plastics discharged into the sea. Each command shall consider all
disposal actions that may affect the environment and act accordingly. OPNAVINST 5090.1 provides
guidelines for HAZMAT disposal.
NOTE: Local regulations may prevent authorization for HAZMAT listed in the AHML to be used at the
installation level.
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10.19.2.4 Aircraft maintenance departments must place special emphasis on the HMC&M Program and fully
support all federal, state, and local environmental laws and regulations concerning HAZMAT handling,
storage, use, reuse, minimization, and disposal. Failure to comply with these regulations could result in civil
or criminal liability.
10.19.2.5 The HMIRS contains MSDSs as well as value-added information on specific HAZMAT
characteristics to assist in the management of HAZMAT throughout its life cycle. Activities shall ensure that
value added information sheets are not used in lieu of MSDSs because they do not meet the minimum
requirements for an MSDS per OSHA Standards 29 CFR 1910.1200. MSDSs, along with adequate training
in proper use of products, assist users in managing HAZMAT to minimize risks involved in performing
various maintenance actions. HMIRS also provides labeling and packaging requirements, shipping and
storage handling safety precautions, and other information. HMIRS is available on the internet
(http://www.dlis.dla.mil/hmirs) and CD-ROMs for locations that do not have reliable internet connectivity.
OPNAVINST 5100.19 and OPNAVINST 5100.23 outline the Navy’s HMIRS operations (both ashore and
afloat) and provide HMIRS access information.
10.19.2.6 Integral to HMC&M is CHRIMP, defined in NAVSUP Publication 722 and mandated by
OPNAVINST 5090.1 and OPNAVINST 5100.23. The controlling arm of the CHRIMP concept is the ship
and station HAZMINCEN, designed to be the only source for work centers to acquire HAZMAT. The
HAZMINCEN controls and manages HAZMAT by using either the Hazardous Inventory Control System
Windows afloat or Regional Hazardous Inventory Control System ashore.
10.19.2.7 NAVSUP WSS Mechanicsburg, PA coordinates HAZMAT substitutions generated from SHML
Feedback Reports. Requests are forwarded to appropriate COMNAVAIRSYSCOM and COMNAV-
SEASYSCOM POCs for processing. Issues related to HMC&M under CHRIMP should be referred to
COMNAVSUPSYSCOM (Code C3).
10.19.2.8 All letters of designation, qualification, certification, course completion, medical certification, and
completed PQS shall be filed in the individual's qualification/certification record.
10.19.3 Responsibilities
a. Designate, in writing, an officer or civilian equivalent as the Command HMC&M Program Manager.
NOTE: Helicopter mine countermeasures squadrons will use the same HMC&M Program Manager and
Supervisor for Aircraft Maintenance and Airborne Mine Countermeasures Maintenance
Department.
b. Maintain close liaison with the host station environmental office or ship HAZMAT and
HAZWASTE Coordinator on all environmental issues.
c. Ensure command adheres to CHRIMP requirements and acquires all HAZMAT through the
ship/station's HAZMINCEN.
a. Nominate, to the CO, an officer or civilian equivalent as the Maintenance Department HMC&M
Program Manager.
b. Develop local command procedures (as required) per Appendix D. Include written emergency
procedures to contain, control, and resolve HAZMAT spills.
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c. Designate, in writing via the MMP/SME listing, a department HMC&M Supervisor (E-5 (or above)
or civilian SME).
d. Gain adequate familiarity, through local ship/station environmental office, with applicable DOD and
local environmental, HAZMAT and HAZWASTE laws, rules, regulations, and procedures pertaining to the
Maintenance Department.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Ensure an aggressive program of environmental awareness and compliance within the Command.
Recognize a CO’s potential personal liability for infractions and bring to the CO's immediate attention any
potential violations or concerns that may impact achieving 100 percent compliance.
b. Assist in identifying and resolving any potential or actual environmental compliance, HAZMAT, or
HAZWASTE related problems. Keep the chain of command informed of any violations or noncompliance
issues.
c. Supervise and coordinate the HMC&M Program to ensure compliance with OPNAVINST 5090.1,
OPNAVINST 5100.19, OPNAVINST 5100.23, NAVSUP Publication 722, DODINST 6050.05, 29 CFR, 40
CFR, and all applicable federal, state, and local regulations.
e. Maintain close liaison with the ship or station Environmental Office and Legal Department in all
environmental issues.
g. Review CSEC audits and reports to aid in the assessment of the HMC&M Program.
h. Nominate, to the MO, an E-5 (or above) or civilian SME as Department HMC&M Supervisor.
i. When ashore, ensure all materials used are listed in AUL, and are properly handled. Submit
recommended AUL changes, via the ACC/TYCOM, to COMNAVAIRSYSCOM (AIR-6.7.1.4). When
afloat, ensure all materials used are listed in the SHML and are properly handled. Submit recommended
SHML feedback report changes via the ship’s HAZMAT Coordinator and the ACC/TYCOM. The
ACC/TYCOM will forward the request to NAVSUP WSS-M for review.
j. Coordinate with ship or station HAZMINCEN 6 months prior to deployment to establish HAZMAT
requirements and ensure product availability during all shifts.
l. Fully use the CHRIMP facility once established by the host ship or station.
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m. Attend the Introduction to Hazardous Materials (Ashore) course (Course A-493-0031) and
Introduction to Hazardous Waste Generation and Handling (Course A-493-0080) applicable to their CONUS
duty location or Overseas Hazardous Waste Facility Operations course (Course A-493-0093) applicable to
their OCONUS duty location within 60 days of assignment and hold this position for a minimum of 12
months.
NOTE: Annual refresher training shall be completed through the RCRA Hazardous Waste Review
course (Course A-493-0081/CDP 2300).
(1) Introduction to Hazardous Material (Ashore) course (Course A-493-0031), the preferred course
for the HMC&M Supervisor because it contains Navy specific information.
(2) Defense Hazardous Material/Hazardous Waste Handling course (Course ALMC-HA) provided
by Army Logistic Management College and approved by Inter-Service Environmental Review Board.
NOTES: 1. This assignment shall not be a collateral duty in those activities that have an OPNAV 1000/2
established billet.
2. Personnel at a detachment location within another state must meet the Hazardous Waste
Generation and Handling course (Course A-493-0080) requirements for that state.
3. Attending the HMC&M Technician course (Course A-322-2600/2601) does not preclude shore
command HMC&M supervisors from attending Introduction to Hazardous Material (Ashore)
course (Course A-493-0031) or the Defense Hazardous Material/Hazardous Waste Handling
course (Course ALMC-HA).
(1) Applicable POCs, at a minimum, shall include all HMC&M Program AMMT Inspectors, Wing
Inspector, HAZMINCEN Supervisor, Industrial Hygienist, Safety Officer, and Environmental Officer.
(2) Active list of AUL and SHML used within the Command. This document shall include the
Unique Identifier NSN or NIIN, Nomenclature, MIL SPEC, and T/M/S.
(6) All emergency spill drills performed and documentation retained for a period of 1 year.
c. Maintain an up-to-date library of MSDSs, either through an electronic database, such as the HMIRS,
HMMS, or the HAZMINCEN, of all HAZMAT used within the command. HMIRS is the central repository
for MSDSs. If the MSDS is not in the HMIRS, provide an electronic copy to NAVSUP WSS-M
([email protected]) or facsimile to DSN 430-3480. Ensure an MSDS for each HAZMAT used is
available at a centralized location within the activity.
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d. Ensure only materials listed in the AUL are available and properly labeled, handled, and used. When
ashore, change recommendations to AUL for HAZMAT listed on the AHML shall be made following local
procedures. If the HAZMAT is not listed on the AHML, submit an AHML change recommendation via the
Shipboard/Shorebased/Airborne Aviation Requirements (SSAR) web site (https://ssar.nswc.navy.mil). If the
HAZMAT is approved for use on an aviation weapon system, the AHML will be updated and the AUL
change shall be processed via local procedures. If the HAZMAT is not approved, an alternative will be
provided. When afloat, materials listed in the AUL must also be listed in the SHML to be available in the
HAZMINCEN, forward SHML change recommendations to NAVSUP WSS via the ship HAZMAT
Coordinator and appropriate ACC/TYCOM.
NOTE: The AHML only lists HAZMAT for use on aviation weapon systems and SE as authorized by
the cognizant engineering technical authority. General office and housekeeping HAZMAT are
not included in the AHML.
e. The AUL document shall include a unique identifier for reference, cross-reference and retrieval
between the label, MSDS, AUL and HM inventory. Additionally, the unique identifier shall be used on the
MSDS Training Documentation Form (Figure 10.19-1). The unique identifier is defined as a character
(letter, number or alphanumeric) assigned by the activity to assist in the expeditious identification of an
MSDS as it relates to an item of HAZMAT during an emergency condition per OPNAVINST 5100.23.
g. Conduct meetings with all work center supervisors or their designated HMC&M Petty Officers at
least monthly (more often if required) to discuss HMC&M implementation, review procedures, and
disseminate new regulations and requirements.
h. Ensure all work center supervisors and their designated HMC&M Petty Officers/NCO/shop
coordinators have completed formal or local HAZMAT storage and handling training within 30 days of
assignment.
NOTE: Formal HAZMAT storage and handling training is provided by the station HAZMINCEN.
Local training curricula will be provided by the HMC&M supervisor and shall be tailored to
include State and local HAZWASTE laws and regulations.
i. Provide liaison between Maintenance Departments and Supply for monitoring HAZMAT procure-
ment.
NOTE: Stockpiling of HAZMAT is not consistent with the goals of the HMC&M Program and shall be
avoided.
j. Control Maintenance Department HAZMAT storage facilities HAZWASTE collection points and
ensure all HAZMAT is properly containerized, labeled, and stored per OPNAVINST 5090.1 and established
ship or shore requirements. Ensure all HAZMAT and HAZWASTE is stored in an approved storage locker
or container and incompatible materials are segregated, for example, flammables shall be stored in an
approved flammable storage locker.
k. Ensure work center supervisors maintain Uniform HAZWASTE Manifests and other required
documents per OPNAVINST 5090.1.
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m. Assist QA in screening all DRs dealing with environmental issues to ensure they are accurate, clear,
concise, and comprehensive.
NOTE: Conflicts may arise with existing technical publications, TDs, and procedures caused by rapidly
changing HAZMAT and HAZWASTE environmental compliance regulations. Conflicts should
be reported to the ISSC/LMTC on an environmental report, HMR, EI, or TPDR, with
COMNAVAIRSYSCOM (AIR-6.7.1.4 and AIR-4.3.4P) and ACC/TYCOM as information
addressees.
n. Review recommended changes to the AUL and SHML or procedural changes that affect the
HMC&M Program.
o. Fully use the CHRIMP facility once established by the host ship or station.
p. Review and recommend, via QA, any material or process changes that may need ISSC/LMTC or
ACC/TYCOM attention for approval.
q. Ensure effective shelf life processes are in effect for RFI HAZMAT.
r. Maintain a HAZMAT log to identify material issued, used, retained for reuse, and disposed of as
HAZWASTE.
s. Conduct emergency spill drill, at a minimum quarterly. Spill drills shall be documented in a manner
that captures the particulars of the event, any identified discrepancies and subsequent corrective actions. This
documentation shall be retained in the program file and used to identify and correct negative trends.
10.19.3.5 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR/civilian equivalent as
the HMC&M Program Monitor. This designation does not prevent other QARs/civilian equivalents from
monitoring the program but places overall responsibility with one individual.
b. Assist the HMC&M Supervisor and work centers in preparing environmental DRs.
c. Monitor and verify shelf life processes are in effect for RFI HAZMAT.
d. Monitor and verify HAZMAT storage facilities and HAZWASTE collection points to ensure:
(1) All HAZMAT is properly containerized, labeled, and stored per OPNAVINST 5090.1,
OPNAVINST 5100.23, OPNAVINST 5100.19, and established ship or shore requirements.
(2) All HAZMAT and HAZWASTE is stored in an approved storage locker or container and
incompatible materials are segregated, for example, all flammables shall be stored in approved flammable
storage lockers.
a. Ensure all divisional HAZMAT from aircraft, SE, and related maintenance actions is properly
handled, collected, and disposed of per all applicable federal, state, and local regulations.
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c. Gain adequate familiarity, through local ship/station environmental office, with applicable DOD and
local environmental, HAZMAT, and HAZWASTE laws, rules, regulations, and procedures pertaining to the
division.
d. Ensure an aggressive program of environmental awareness and compliance is maintained within the
division. Recognize the CO’s potential personal liability for infractions and bring to the CO’s immediate
attention any potential violations or concerns that may impact the command’s ability to achieve 100 percent
compliance.
a. Ensure Hazardous HMC&M Program and follow-on training is provided to personnel. Training shall
include personnel responsibilities and shall be documented on the NAMP Indoctrination Training sheet
(Figure 10.1-5) in the individual's qualification/certification record.
b. Ensure all personnel receive command HMC&M and HAZCOM training per OPNAVINST 5100.19
and OPNAVINST 5100.23 within 30 days of assignment and annually thereafter. Training shall be
documented on the NAVOSH/Safety Training sheet (Figure 10.1-2) and maintained in the individual's
qualification/certification record.
c. Review work center AUL and SHML annually and route change recommendations through the
HMC&M Supervisor per OPNAVINST 5090.1.
d. Ensure personnel directly involved in the handling and use of HAZMAT have received MSDS OJT
job specific training per OPNAVINST 5100.19 and OPNAVINST 5100.23.
NOTE: MSDS OJT job special training shall be conducted and documented using Figure 10.19-1 prior
to personnel contacting HAZMAT. Individuals shall sign and date all appropriate blocks.
Collective entry is not authorized. MSDS training documentation will be retained for 5 years
and maintained in the individual‘s qualification/certification record.
e. Use an effective shelf life process for all work center HAZMAT.
f. Maintain complete and accurately prepared HAZMAT logs to identify material issued, used, retained
for reuse, and disposed of as HAZWASTE.
NOTE: In sites where a CHRIMP has been established by the host ship or station, work center
supervisors should use the CHRIMP computer-generated reports to satisfy the requirements of
paragraphs 10.19.3.8e and 10.19.3f above.
g. Provide the HMC&M Supervisor with updated lists of HAZMAT in the work center. Forward all
material substitutions and process changes.
h. Ensure personnel only use HAZMAT acquired from the HAZMINCEN (nothing borrowed from
another source).
j. Maintain Uniform HAZWASTE Manifests and other required documents per OPNAVINST 5090.1.
a. Assist the Work Center Supervisor in all matters related to HMC&M in the work center.
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c. Maintain an inventory of all HAZMAT present in the work center and ensure current shelf life has
not expired.
f. Maintain an adequate supply of containers, labels, spill response material, and related items in the
work center.
g. Ensure a weekly inspection of work center HAZMAT and HAZWASTE sites is accomplished and
maintain a record of all inspections for a minimum of 1 year.
h. Ensure all HAZMAT and HAZWASTE containers are properly labeled, segregated, and free of
corrosion and leakage.
i. Contact the Maintenance Department HMC&M Supervisor when collection drums are full.
l. Notify the Maintenance Department HMC&M Supervisor prior to establishing new HAZWASTE
streams or HAZWASTE collection points.
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10.20.1.1 The ICRL Program establishes policy, responsibilities, and requirements for local repair capa-
bilities of the IMA.
10.20.1.2 Reference. NAVSUP Publication 719, Guide for the Assignment, Application and Use of Source,
Maintenance and Recoverability Codes.
R} 10.20.2 Discussion
10.20.2.1 The ICRL is a management tool which provides an IMA with the ability to relate its maintenance
capability to individual items. The ICRL indicates if local repair capability exists for components inducted
into the AMSU for repair, check, or test and identifies the work center with that capability. An ICRL shall
have, as its focus, a listing of aircraft components supported by the IMA. End items should not be listed in
an activity’s ICRL. Work centers that only perform inspections, such as 530, and work centers that only
repair end items, such as 731 and 910, would not normally have an ICRL. The ICRL provides:
a. Logic in NTCSS Optimized IMA NALCOMIS for expeditious induction of components for repair, or
expeditious turnaround of components in AMSU back to supply for repair and return to FRCs and shore
AIMD/MALS.
10.20.2.2 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.20.2.3 The COMNAVAIRFOR combined R} ICRL is available for download from COMNAVAIRFOR's
Combined ICRL web portal.
R} 10.20.3 Responsibilities
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NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
a. Be responsible to the MMCO for the proper maintenance and use of the ICRL.
(1) Request two ICRL reports, by work center code, from the DBA and issue to work centers.
(2) Assign a due date for work centers to complete their reviews.
(3) Direct work centers to annotate changes on both ICRL reports, retain one as the working copy,
and forward one copy back to the ICRL Program Manager. The Program Manager’s copy shall be retained
for a minimum of 12 months.
(4) Verify SM&R codes, P/Ns, COGs, and NSNs using FEDLOG and web sites such as NAVSUP
WSS (https://www.navsup.navy.mil/navsup), NALDA (http://www.navair.navy.mil/logistics), and WebFLIS
(http://www.dlis.dla.mil/webflis).
(5) After incorporating all valid changes, request new printouts and distribute copies to Production
Control/AMSU and the Supply ICRL Program Representative. Distribute new copies to specific work
centers upon request.
(6) Ensure all X2 CC requests are routed to the IMRL Manager or TCP Coordinator to obtain
required equipment or tools, and all X6 CC requests are routed to the CTPL to obtain required technical data.
(7) Ensure all X3 CC requests are routed to the MMCO and AMO.
NOTE: Ensure no SM&R code changes are made to the ICRL until official notification is received from
NAVSUP WSS or COMNAVAIRSYSCOM.
e. Retain all ICRL Change Requests (Figure 10.20-1) and other pertinent data on file for a minimum of
12 months or until all changes have been incorporated, whichever is greater.
f. Ensure all ICRL Change Requests (Figure 10.20-1) are routed to applicable personnel.
g. Validate CCs X2, X3 and X6, TCCDT quarterly. (Figure 10.20-2 provides CC descriptions and
required actions.)
h. R} Execute the ICRL Error Mailbox correction process. As AMSU inducts components, various
data elements from the MAF/WO are validated against the activity’s ICRL. The W/C, WUC, TEC, CAGE
and P/N blocks from the MAF/WO must match the activity’s ICRL. When these data elements do not match,
an ICRL Error Mailbox message is created for the ICRL Manager. If upon review, the ICRL is found to be
correct and the MAF/WO documentation is wrong, the ICRL manager shall delete the ICRL error message
and contact the NALCOMIS DBA to ensure the MAF/WO is corrected. When the ICRL Error message
indicates the ICRL is incorrect, the ICRL Manager shall validate and correct the ICRL.
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(1) Locate the applicable work center to induct items that do not appear in the local ICRL. Locate
the NIIN or CAGE/PN of ICRL entries at other similar type IMAs and determine if the same work center has
repair capability.
(2) Compare repair capability of the local IMA to similar type IMAs, paying particular attention to
the comparison of parts repaired at other IMAs that are loaded in the local ICRL as no repair authorized.
(4) A} Provide POC information to COMNAVAIRPAC. Names and e-mail addresses of ICRL
managers and NALCOMIS Maintenance DBAs are listed on COMNAVAIRFOR's Combined ICRL web
portal.
10.20.3.5 The QA Officer shall designate, in writing via the MMP/SME listing, a QAR/QA Specialist as the
ICRL Program Monitor. This assignment does not preclude other QARs/program specialists from
monitoring this program but places the overall responsibility with one individual.
b. Verify, sign, and date ICRL Change Request (Figure 10.20-1) prior to forwarding to the MMCO for
review and approval.
c. Be familiar with all ICRL data fields and contents. Additional emphasis is placed on knowledge and
comprehension of SM&R codes defined in NAVSUP Publication 719.
a. Ensure only the ICRL Program Manager is issued the SMQ for incorporating ICRL changes.
b. R} Quarterly, forward a DBAG-2L ICRL extract to the TYCOM for use in building the
COMNAVAIRFOR Combined ICRL. Details of data submission times and procedure are promulgated by
COMNAVAIRFOR via naval message.
NOTE: A} The COMNAVAIRFOR Combined ICRL is repopulated during the first month of each
quarter. Coordinate the DBAG2L submission with the ICRL Manager to ensure the quarterly
review updates are complete.
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a. Ensure each P/N inducted is identical to the P/N on the component identification plate. If the ID
plate is missing, validate with the IPB (TRU/MAF originator). New P/Ns will be added to NALCOMIS by
TRU.
b. Ensure all components inducted into work centers are properly identified in the activity's ICRL.
c. Verify P/N and CAGE code on the incoming component against the MAF and ICRL P/N and CAGE
code entries. Accuracy of P/Ns is to include, but is not limited to, slashes and dashes to prevent duplication
of P/Ns in the ICRL.
d. Initiate an ICRL Change Request (Figure 10.20-1) for all P/Ns being inducted for the first time.
Complete blocks 1 through 10 with the basic information and forward the form to the ICRL manager.
e. Validate the X1 CC during BCM reviews and induct part to work center if review date has expired.
The Local Use column shall include the BCM review date and work center responsible for review.
f. Screen discrepancies against X1 CC items. Items with minor discrepancies, for example,
broken/missing knobs or fasteners, shall be referred to Production Control for investigation of possible repair.
10.20.3.9 Material Control shall assist the ICRL Program Manager in training QARs, work center
supervisors, and ICRL petty officers on the compatibility of repairable/consumable COGs with SM&R and
CC documentation.
b. Update temporary Navy item control numbers with permanent NSNs as they are issued by NAVSUP
WSS.
a. Designate Work Center ICRL petty officers using a Work Center ICRL Petty Officer Designation
(Figure 10.20-3).
b. Ensure each ICRL Petty Officer/NCO receives training from the ICRL Manager.
c. Review applicable ICRL Change Requests (Figure 10.20-1) and forward valid requests to QA.
a. Ensure Individual Component Repair List Program and follow-on training is provided to personnel.
Training shall include personnel responsibilities and shall be documented on the NAMP Indoctrination
Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
b. Nominate a knowledgeable candidate to the Division Officer for designation as ICRL Program Petty
Officer.
c. Review and validate the degree of repair capability assigned to each component.
d. Ensure quarterly ICRL reviews are properly documented and signed before forwarding to the ICRL
Program Manager.
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e. Use the ICRL Change Request (Figure 10.20-1) to request changes to the ICRL and provide
justification for each request. Ensure applicable blocks 1 through 15 are completed accurately and forward to
QA via the Division Officer. Block 11b is an anticipated repair capability for some future date, and differs
from the current capability. TCC and CC are never the same. If no change in current capability is
anticipated, TCC and TCCD shall remain blank.
b. Attend ICRL Program Manager training to become familiar with the fundamental data included in
the ICRL.
c. Research all items listed in the ICRL using applicable IPBs, FEDLOG, and web sites such as
NAVSUP (https://www.navsup.navy.mil) and WebFLIS (http://www.dlis.dla.mil/webflis) to ensure all data
entered is complete and accurate.
d. Ensure quarterly ICRL reviews are completed by the due date assigned by the ICRL Program
Manager.
e. Ensure all X2 and X6 CC have the required materials on order and provide documentation to the
ICRL Program Manager.
10.20.4.1 PART NO. Enter the P/N or other reference number (if the P/N is not available) of the end
item being processed. P/N and reference number are hereafter referred to as P/N. Ensure all elements of a
P/N are used, for example, dashes and slashes. Maintenance and Supply publications, Master Cross
Reference List, FEDLOG, and web sites such as NAVSUP (https://www.navsup.navy.mil) or WebFLIS
(http://www.dlis.dla.mil/webflis) can be used for P/N, CAGE code, and NIIN cross referencing.
10.20.4.2 CAGE. Enter the CAGE code used with the P/N. A specific P/N may have multiple CAGE codes.
10.20.4.3 WUC. Enter the WUC (up to 32 alphanumeric characters) that identifies the P/N. A WUC with
the 5th digit ending in 9 (NOC) shall only be used when no other WUC is applicable.
10.20.4.4 TEC. Enter the TEC applicable to the end item. A specific P/N may have multiple TECs.
10.20.4.5 SRC IND. Enter A, E, M, or S for those items requiring a history record or card. A = ASR/AESR,
E = EHR Card, M = MSR, and S = SRC Card. Leave blank if no history record or card is required.
10.20.4.6 CC. Enter the CC which reflects the IMA’s repair capability for the P/N. Refer to ICRL
Capability Codes (Figure 10.20-2) for specific descriptions.
10.20.4.7 WC. Enter the work center designated as having repair or test and check capability.
10.20.4.8 SM&R. Enter the SM&R code for the specific P/N, CAGE code, and NIIN as identified by
FEDLOG, NAVSUP (https://www.navsup.navy.mil) or WebFLIS (http://www.dlis.dla.mil/webflis).
NAVSUP Publication 719 provides definition of SM&R code composition and identifies specific information
for Supply and Maintenance personnel. Comparison of an SM&R code and the activity’s CC may be the
basis for requesting an SM&R code change.
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10.20.4.9 Nomenclature. Enter a brief description of the item. It is recommended to use the same
nomenclature as used by FEDLOG, NAVSUP (https://www.navsup.navy.mil) or WebFLIS
(http://www.dlis.dla.mil/webflis).
10.20.4.10 COG-MCC-FSC-NIIN-SMIC. Enter the COG, MCC, FSC, NIIN, and SMIC as identified by
FEDLOG, NAVSUP WSS (https://www.navsup.navy.mil), or WebFLIS (http://www.dlis.dla.mil/webflis).
10.20.4.12 TCC. Enter the IMA’s anticipated repair CC. ICRL Capability Codes (Figure 10.20-2) defines
CCs. ICRL Requirements for Target Capability Codes and Target Capability Code Dates (Figure 10.20-4)
provide guidelines for assigning TCCs.
10.20.4.13 TCC DT. Enter the Julian date which approximates when the TCC will be achieved, A} not to
exceed 90 days. ICRL Requirements for Target Capability Codes and Target Capability Code Dates (Figure
10.20-4) provide specific criteria.
10.20.4.14 ICRL UPDAT DT. Date is automatically updated when information is changed.
10.20.4.15 BC. Enter a locally assigned number to identify a test bench within a work center.
10.20.4.17 Local Use. Entries in this column represent nonstandard data of significance only to the
R} repair facility on whose ICRL they appear, for example, to flag P/Ns which are Repair and Return to other
repair facilities, special notes, or to enter a repair capability based on use of the Huntron Tracker or Pin Point
Program.
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1. Date
2. Work Center:
3. a. Addition: b. Change: c. Delete:
(check one)
d. Reason:
4. Nomenclature:
5. NSN Data:
a. CAGE: b. P/N: c. NSN:
d. COG: e. MCC: f. SMIC:
g. FGC: h. Repairable: Consumable:
(check one)
6. WUC
7. SM&R:
8. TEC:
9. a. ASR: b. EHR: c. MSR: d. SCR: e. AESR:
(check one)
10. a. TD Code: b. TD No.
11. a. CC b. TCC: c. TCCDT:
12. a. (X6) Tech Data (Pub,TPI,TPD): b. Doc No./MSG DTG (required):
13. a. (X2)IMRL revision needed (Y/N): b. IMRL Line Item no.
c. IMRL Equipment P/N: d. IMRL Petty Officer/NCO
NOTE: X2 CC requires IMRL Manager or TCP Coordinator to review for obtaining required equipment or
Tools X6 CC requires Central Technical Publications Librarian to review for obtaining required
technical data. Document number of message DTG must be furnished to the ICRL Manager.
NOTE: To be retained on file by the ICRL Program Manager for at least 12 months to ensure all changes have
been incorporated.
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C1 - Full Repair. This code identifies items for which a normal range of failures can be completely repaired
by the I-level activity per applicable directives, for example, Maintenance Plan; Source, Maintenance, and
Recoverability (SM&R) codes; and Maintenance Instruction Manuals (MIMs).
C3 - Limited Repair. This code identifies items for which repair of the normal range of failures cannot be
accomplished. However, repair to some extent beyond test and Ready For Issue (RFI) certification is
performed.
A1 - Check and Test Only. This code identifies items which can be tested for range of common failures but
cannot be repaired at the activity.
M1 - Assemble/Manufacture. This code identifies material which can be assembled or fabricated by the
I-level activity.
R1 - Repair and Return to Originating Activity. This code identifies components that are automatically and
routinely sent from one shore I-level activity to another shore I-level activity for repair and return. The R1
capability code is NOT to be used in an afloat IMA's ICRL. This code can only be used with Work Center
05A.
X1 - Repair Not Authorized. This code indicates the activity is not authorized to repair the component. This
code is equivalent to BCM 1 and indicates that the I-level activity is not authorized to repair the component.
X1 may not be used for field level repairable equipment and can only be used with Work Center 05A.
X3 - Lack of Required Technical Skills. This code indicates required skills are not available. This code must
always be accompanied with a TCC and a TCCDT.
X6 - Lack of Technical Data. This code indicates repair cannot be accomplished due to lack of maintenance
manuals, drawings, test program disk/tape, test program instruction, etc., which describe detailed repair
procedures and requirements. This code must always be accompanied by a TCC and a TCCDT.
Z1 - Consumable Material. This code identifies material assigned SM&R code with ZZ in the fourth and
fifth positions or B in the fourth position for which a repair program has not been planned but a capability
exists to repair a limited range of failures, or for which the I-level activity is capable of performing a
servicing function, for example, flushing or cleaning.
D1 - Full D-Level Capability. This code identifies items for which the full range of failures can be
completely repaired, reworked, or overhauled. This code signifies an activity as being a DRP.
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From:
Division Officer
To:
(Work Center ICRL Petty Officer/NCO)
WORK CENTER ICRL PETTY OFFICER/NCO
Subj DESIGNATION
1. You are assigned as the Work Center ____________ ICRL Petty Officer/NCO and shall perform
your duties per references (a) and (b). Your duties will include but are not limited to the following:
c. Research all items listed in the ICRL using applicable IPBs, FEDLOG, and web sites, such as
NAVSUP WSS (https://www.navsup.navy.mil) and WebFLIS (http://www.dlis.dla.mil/webflis) to ensure
all data entered is complete and accurate.
d. Ensure quarterly ICRL reviews are complete by the due date assigned by the ICRL Program
Manager.
e. Ensure all items with capability codes X2 and X6 have the required materials on order and
provide documentation to the Program Manager.
2. I certify that I have read and understand the responsibilities of the assigned billet and shall perform
the duties to the best of my ability.
Original to:
Individual’s Qualification/Certification Record
Copy to: ICRL Program Manager
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1. Target Capability Codes (TCCs) and Target Capability Code Dates (TCCDTs) apply only to the
following capability codes:
X2 - Test equipment/special tools required to perform the maintenance on the component is not
available. The Work Center Individual Component Repair List (ICRL) Petty Officer shall
coordinate obtaining required equipment or tools with the Individual Material Readiness List
(IMRL) Manager or Tool Control Program (TCP) Coordinator. Documentation to support the
request for the equipment will be provided by the IMRL Manager by message to the Support
Equipment Controlling Authority requesting the equipment, or a revision, be submitted to add it to
the activity's IMRL. If the item is a special tool (nonIMRL), the TCP Coordinator shall provide a
document number to the Work Center ICRL Petty Officer and ICRL Program Manager and provide
status updates during the quarterly ICRL review until the tool is received.
X6 - When used, the Work Center ICRL Petty Officer shall place the required publication on
order through the Central Technical Publications Library (CTPL), or required test program disk,
test program medium, test program instruction, or test program set through the IMRL Manager.
The document number or message DTG must be provided to the ICRL Program Manager when
submitting changes during quarterly ICRL review.
2. TCCDTs shall not exceed 90 days and shall be reviewed and updated every quarter. During the quarterly
ICRL review, each Work Center ICRL Program Petty Officer shall validate the X2 and X6 document
numbers to ensure they are still valid and update as required.
3. When the equipment or technical data is received, the IMRL Manager, TCP Coordinator, or CTPL shall
ensure the Work Center ICRL Program Petty Officer is notified so the ICRL changes can be submitted to the
ICRL Program Manager.
4. The ICRL Program Manager shall update the ICRL as changes are received.
Figure 10.20-4: ICRL Requirements for Target Capability Codes and Target Capability Code Dates
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10.21.1.1 The EMI/ESD Control Program establishes policy, R} for EMI prevention and reporting and for
handling, transportation, storage, and maintenance of ESDS devices/components.
10.21.1.2 References:
d. D}
NOTE: A} OPNAVINST 2400.20, NAVAIRINST 2400.1, NAVAIR 00-80T-117, and NAVSEA OP 3565
provide guidance for implementing an EMI control program. MIL-HDBK-263B and MIL-STD-
1686C provide policy and guidance for implementing an effective ESD Program. NAVAIR 01-
1A-23 defines ESD control and protection requirements for 2M Electronic Assembly Repair.
NAVSUP Publication 723 contains SDR information. NAVAIR 17-600-193-6-1 provides a
preoperational checklist for the PRC-10000-2M System Electronic Rework Power Unit.
NAVAIR 17-600-193-6-2 addresses PM requirements for ESD protected work areas. MIL-
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HDBK-773 contains instructions for packaging ESDS circuit cards and modules for shipment
and storage.
10.21.2 Discussion
10.21.2.1 Effects of the EME on complex electronic systems remain one of the least understood mission
threatening problems confronting naval aviation today. EMI and ESD directly affect naval aviation weapons
systems. The total sum of all radiated and conducted electromagnetic energy in a given area is the EME. As
naval aircraft operate in this EME, these effects can become more pronounced as new systems employ
increased emitter power, increased receiver sensitivity, smaller more susceptible solid-state devices/circuitry,
and the increased use of composite materials in aircraft structures. These technical improvements can result
in decreased combat readiness, increased mission aborts, increased maintenance man-hours per flight hour,
and adverse impact on safety of flight.
10.21.2.2 Knowing the effects of ESD on solid state electronic components and equipment is a necessary
part of aviation maintenance. Improper handling, transportation, and storage techniques can cause
electrostatic sensitive devices and components to fail. The insidious nature of ESD induced failures requires
ESD control protection measures to be integral parts of aviation maintenance and supply disciplines. All
solid state electronic components and assemblies containing such components are considered ESDS items
unless otherwise directed by higher authority. These items include printed circuit board assemblies, modules,
SRAs, WRAs, individual components, and integrated circuits.
10.21.2.3 D}
10.21.2.4 Personnel and aircrew safety cannot be overstressed in this program. EMI can cause degraded
performance of mission critical systems that can result in damage to equipment and systems and even loss of
an aircrew in extreme cases. Maintenance personnel must be aware of conditions that may lead to EMI
incidents. ESD also poses a shock hazard to personnel, in addition to possible damage to SRAs/WRAs. In
the past, technicians have been isolated from electrical shock by nonconductive rubber mats. In ESD
protected work areas, these nonconductive mats have been replaced with conductive material/devices through
which the technician is tied to a "soft ground" (a connection to ground through an impedance sufficiently
high to limit current flow to safe levels for personnel (normally 5 milliamperes)). Impedance needed for soft
ground is dependent upon the voltage levels which could be contacted by personnel near the ground. The
practice of removing SRAs/WRAs with power applied is strictly prohibited.
10.21.2.6 D}
R} 10.21.3 Responsibilities
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d. Keep required ESDS protective materials in the local supply system for all levels of maintenance.
e. Retain ESDS items in protective packaging while in pre-expended bins and other storage areas.
NOTE: R} Perform a self-audit of the program within 30 days of assignment and annually thereafter,
using the CSEC. The most current self-audit shall be retained within the program file.
a. Be responsible to the MO, Production Officer, or Supply Officer for implementing the EMI/ESD
Program and enforcing compliance.
c. Provide indoctrination and refresher training to all personnel who handle, inspect, package, or
transport ESDS items. MIL-HDBK-263B contains information to aid in developing lessons.
f. Conduct periodic work area reviews with the Program Monitor and Work Center EMI/ESD Petty
Officers, ensuring sufficient ESD protective materials are available and being used.
g. Ensure ESD protected work areas are A} maintained per paragraph 10.21.1.2.
(1) POCs.
a. Be responsible to the Supply Officer for implementing the EMI/ESD Program and enforcing
compliance.
b. Ensure this instruction and MIL-HDBK-263B, MIL-STD-1686C, NAVAIR 01-1A-23, NAVAIR 17-
600-193-6-2, A} NAVAIR 17-600-193ESD-6-1, MIL-HDBK-773, OPNAVINST 2400.20, NAVAIR 00-
80T-117, NAVSUP Publication 700, OPNAVINST 3750.6R, NAVSEA OP 3565, and the P700-CNP web
site (https://tarp.navsisa.navy.mil/p700.nsf) are readily available and complied with.
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c. Provide EMI/ESD indoctrination and refresher training to all personnel who handle, inspect,
package, or transport ESDS items. MIL-HDBK-263B contains information to aid in developing lessons.
d. Conduct periodic work area reviews with the Supervisor, Program Monitor, and Work Center
EMI/ESD petty officers or NCOs, ensuring sufficient ESD protective materials are available and being used.
e. Ensure ESD protected work areas are A} maintained per paragraph 10.21.1.2.
(1) POCs.
j. Ensure personnel monitoring the EMI/ESD program are trained in their areas of responsibility.
10.21.3.5 The QA Officer shall designate, in writing via the MMP/SME listing, an avionics QAR/QA
Specialist as the EMI/ESD Program Monitor. This assignment does not preclude other QARs/QA specialists
from monitoring this program but places the overall responsibility with one individual.
b. Ensure all QARs/QA specialists are trained in EMI/ESD as applicable to their areas of responsibility.
c. Coordinate with the Program Manager and Program Coordinator to resolve packaging, handling, and
transportation discrepancies.
10.21.3.7 Division officers shall ensure division personnel comply with EMI/ESD Program directives and
procedures.
a. Ensure compliance with the EMI/ESD Program within the work center R} including preoperational
requirements.
b. Return ESDS items to Supply packaged per the requirements of paragraph 10.21.4.1.
c. Report, via SDR, any ESDS items received without appropriate packaging per NAVSUP Publication
700, MIL-HDBK-773, and P700-CNP (https://tarp.navsisa.navy.mil/p700.nsf).
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a. Ensure EMI/ESD Program and follow-on training is provided to personnel. Training shall include
personnel responsibilities and shall be documented on the NAMP Indoctrination Training sheet (Figure 10.1-
5) in the individual's qualification/certification record.
NOTE: O-level and I-level activities shall document training using the NAMP Indoctrination Training
sheet (Figure 10.1-5) in the individual's qualification/certification record.
b. Ensure compliance with the EMI/ESD Program within the work center.
c. Ensure all ESDS items remain in their protective packaging when AWM, AWP, or in long term local
storage until installed or ready for test, repair, inspection, or assembly at an ESD protected work area.
d. Ensure all test equipment, aircraft, SE, and personnel are grounded to an authorized ground prior to
handling or working with unprotected ESDS items. All applicable items and personnel must be connected to
an authorized ground when ESDS items are opened for repair or inspection.
NOTE: R} WRAs identified by the ISSC as susceptible to damage from ESD/EMI events transmitted
through uncapped connector receptacles shall have ESD conductive shunts affixed to WRA
connectors whenever aircraft harness connectors are removed.
e. Ensure, after opening a package containing an ESDS item to verify its contents, the ESDS item is
repackaged and labeled.
NOTE: Components, circuit boards, modules, subsystems, or systems classified ESDS require ESD
packaging and caution labels.
10.21.3.10 Maintenance Control/Production Control and Material Control Division personnel shall:
a. Return ESDS items to Supply packaged per the requirements of paragraph 10.21.4.1.
b. Affix appropriate ESD caution labels, as identified in NAVAIR 01-1A-23, to packages containing
ESDS items. Opened packages shall have new ESD caution labels affixed before transporting. Common
ESD Protective Materials (Figure 10.21-1) provides NSNs for ESD caution labels.
NOTE: Components, circuit boards, modules, subsystems, or systems classified ESD require ESD
packaging and caution labels.
c. Report, via SDR, any ESDS items received from stock without appropriate packaging per NAVSUP
Publication 723, MIL-HDBK-773 and P700-CNP (https://tarp.navsisa.navy.mil/p700.nsf). When improperly
packaged items are received from another command, their QA Division shall be notified.
d. Consider electronic assemblies exposed to ESD or handled without protective equipment as non-RFI.
Such items shall be tested prior to declaring as RFI.
R} 10.21.4 Procedures
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10.21.4.1.1 For uninstalled WRAs, cover external cannon plugs and connector pins with original metal
cannon plug, connector caps, ESD conductive plug caps, or grid tape. If authorized caps, plugs, and grid tape
are not available, an inner layer of anti-static pink poly material and an outer layer of static shielding material
may be used to enclose the entire WRA. Figure 10.21-1 lists common materials used for ESD protection.
NOTE: A current and more extensive list of ESD protective materials is provided at
https://asemicap.navair.navy.mil.
10.21.4.1.2 Once a WRA has covers installed and approved conductive caps and tape applied to exposed
plugs and connectors, it is considered ESD safe and, if necessary, can be cushioned with clear poly bubble
wrap and secure with masking tape for local storage and transport.
10.21.4.1.3 Affix ESD caution labels to or near the face of R} ESDS WRAs. The list of common ESD
Protective Materials (Figure 10.21-1) provides an NSN for this label.
10.21.4.1.4 Maintain ESDS items in protective packaging until ready for use or opened at an ESD protected
work area. Protect retrograde items immediately upon removal from aircraft or equipment.
10.21.4.1.5 Wrap SRAs with an inner layer of anti-static pink poly material and an outer layer of static
shielding material. This protection may be afforded by one bag with both characteristics.
NOTE: Antistatic (static dissipative) pink poly bubble wrap, bags and caps are not static shielding
materials; they provide physical protection only.
10.21.4.1.6 ESD caution labels must be affixed to the outside of the static shielding materials. Other
nonstatic producing seals shall not be used unless ESD caution labels are not available.
10.21.4.1.7 Keep ESD protective materials in place while carrying uninstalled ESDS items from one location
to another, including hangar decks, flight lines, flight decks, work centers, and AMSU.
NOTE: Some ESD protective materials, for example, conductive caps and anti-static shielding bags,
constitute a FOD hazard and shall be positively controlled on flight lines and flight decks.
COMNAVAIRSYSCOM has determined ESD grid tape is not a FOD hazard and is the
preferred material to be used for ESDS item protection in those areas.
10.21.4.1.8 Construct or modify maintenance and repair kits containing ESDS items to physically surround
ESDS items with a barrier of conductive material. Kits include in-flight troubleshooting kits, squadron
packup kits, and maintenance assist kits used by I-level technicians. Protecting individual kit items provides
a minimum acceptable level of ESD protection.
a. Handle unprotected ESDS items only at ESD protected work areas that comply with requirements
identified in MIL-HDBK-263B, NAVAIR 01-1A-23, and NAVAIR 17-600-193-6-2.
b. Identify ESD protected work areas with signs or posters per NAVAIR 01-1A-23.
c. ESD protected work areas will contain, at a minimum, a conductive or dissipative work surface,
either hard laminate or soft mat, and appropriate quantities of personnel wrist straps. The work surface and
wrist strap shall be grounded per NAVAIR 17-600-193-6-2.
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d. Use conductive floor matting only where carpeting is installed or personnel wrist straps do not
provide adequate protection. If wrist straps cannot be used, personnel must wear heel grounders.
e. Safety floor matting may be used to provide electrical safety when an area is used for both
troubleshooting energized equipment and handling ESDS items. ESD control and prevention procedures
must be followed when handling ESDS items on or around the test bench, for example, installed ESD mat
and wrist straps.
f. No prime generators, as defined in NAVAIR 01-1A-23, shall be closer than 24 inches to an ESD
protected work area.
g. Perform periodic maintenance R} for permanent ESD protected work areas per NAVAIR 17-600-
193-6-2. For commands which maintain constant monitor work stations, periodic maintenance shall be
performed per the manufacturer's specifications. Perform preoperational checks for ESD protected work
areas per NAVAIR 17-600-193ESD-6-1.
h. Supply personnel shall have an ESD protected work area or portable ESD station and be trained in its
use.
a. Handle unprotected ESDS items only at ESD protected work areas that comply with requirements
identified in MIL-HDBK-263B and NAVAIR 01-1A-23.
b. Activities which, at any time, remove or replace SRAs or components within WRAs shall have ESD
protected work areas, or, as a minimum, a portable ESD station, in applicable work centers.
c. Use portable ESD field service kits when removing or replacing individual SRAs or components
onboard aircraft during in-flight or ground maintenance. Ground work mats and wrist straps against the
aircraft frame.
d. Material Control personnel shall have an ESD protected work area or portable ESD station and to be
trained in its use.
e. Detachments deployed aboard air capable ships shall have, as a minimum, an ESD field service kit if
maintenance requires removing or replacing SRAs or components within WRAs.
f. Perform periodic maintenance R} for permanent ESD protected work areas per NAVAIR 17-600-
193-6-2. Perform preoperational checks for ESD protected work areas per NAVAIR 17-600-193ESD-6-1.
g. Identify ESD protected work areas with signs or posters per NAVAIR 01-1A-23.
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10.21.4.4.1 Most EMI discrepancies discovered in flight cannot be duplicated on ground checks; therefore it
is essential that ground maintenance personnel receive a thorough debrief from pilots and aircrews when EMI
occurs. When attempting to duplicate an EMI incident on the ground, known circumstances must be
duplicated as close as possible. EMI historical data is available from the EMI Problem Database
(https://asemicap.navair.navy.mil).
10.21.4.4.2 EMI incidents shall be reported to higher authority via hazardous material report per this
instruction and OPNAVINST 3750.6.
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The following part numbers/NSNs are provided as a sample of available ESD protective material.
The list is not intended to be all inclusive, but to provide a foundation to assist activities in
obtaining required protective materials.
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10.22.1.1 The 2M Program establishes policy, responsibilities, and requirements for the repair of
miniature/microminiature electronic assemblies and the certification/recertification and training of personnel.
10.22.1.2 References:
10.22.2 Discussion
10.22.2.1 The complexity of electronic assemblies and the sensitivity of their components to physical and
electrical overstress requires repairs be performed by formally trained and certified 2M repair technicians at
designated 2M activities. NAVAIR SE-004-PQS-000 reflects the combined COMNAVAIRSYSCOM/
COMNAVSEASYSCOM 2M certification and recertification requirements. It provides guidance to
TYCOMs and I-level activities to manage and monitor 2M repair facilities and technicians.
10.22.2.2 2M repairs shall be accomplished only by activities which have been designated 2M capable by
the cognizant ACC/TYCOM.
10.22.2.3 COMNAVAIRSYSCOM approved 2M SE will be added to the IMRL for tracking and
accountability purposes. I-level activities assigned electronic assembly repair responsibilities will be
provided with logistic support to include tooling and test equipment for verification testing and fault
isolation, documentation, spare parts, and training.
10.22.2.6 All letters of designation, qualification, certification, course completion, medical certification, and
completed maintenance related PQS shall be filed in the individual's qualification/certification record.
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R} 10.22.3 Responsibilities
a. Ensure AMMT 2M evaluators maintain currency in 2M programs, policies, procedures, and training
techniques to provide assistance to fleet activities in 2M matters. AMMT 2M evaluator requirements are in
NAVAIR SE-004-PQS-000.
b. Validate 2M repair sites during AMI to ensure compliance with the 2M Program, using CSEC and
NAVAIR SE-004-PQS-000.
b. Designate, in writing via the MMP, a responsible senior technician possessing NEC 9526, normally
the 2M Work Center Supervisor, as the 2M Program Manager.
e. Ensure the 2M Technician Recertifier conducts technician recertifications upon request from outside
aviation activities. NAVAIR SE-004-PQS-000 provides guidance for completing these requirements.
NOTE: Upon designation as Program Manager, a self-audit shall be performed within 30 days and
annually thereafter using the CSEC. The most current self-audit shall be retained within the
program file.
c. Ensure a PM program is in effect, and Work Center 69B and satellite 2M stations are maintained per
NAVAIR 17-15-99 and NAVAIR 17-600-193-6-2 (as applicable).
d. Ensure only NAVAIR 01-1A-23 authorized materials are used during 2M repair.
e. Coordinate with the 2M Technician Recertifier to develop local training for certified personnel to
practice 2M repair techniques not encountered during routine maintenance. NAVAIR SE-004-PQS-000
identifies tasks required for recertification. These tasks should be used as minimum requirements for
training.
f. Coordinate with the 2M Technician Recertifier to maintain a record of all 2M certified technicians.
Forward approved 2M technician recertifications for inclusion in members’ service records.
g. Ensure the command has adequate QA inspector expertise, for conducting 2M repair inspections,
with at least the same skill level as the repair work being inspected. Because a large percentage of 2M repair
is at the microminiature level, 2M CDIs should be microminiature certified.
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h. Ensure all 2M CDIs are familiar with specifications and standards, including projects not
encountered during normal maintenance. CDIs shall demonstrate knowledge of 2M standards, procedures,
and techniques and their relationship to repairs, QA, and reliability.
NOTE: The objective of 2M training is to ensure technicians retain full 2M skills and dexterity
necessary to provide quality 2M. Training projects should be performed using non-RFI
electronic assemblies. R} DLA Disposition Services may be a source for 2M training material.
(2) Listing of 2M qualified technicians, including name, rate, work center, certification level, next
recertification date, and projected rotation date.
j. Use CSEC information and reports to identify areas of concern and determine corrective action.
10.22.3.2.3 The QA Officer shall designate, in writing via the MMP, an avionics QAR as the 2M Program
Monitor. This assignment does not preclude other QARs from monitoring this program but places the overall
responsibility with one individual.
b. Review applicable CSEC information and reports and provide appropriate recommendations to the
chain of command.
d. Verify instructions are complied with and 2M related problems immediately reported.
e. Verify the 2M Work Center Supervisor and one QAR possess NEC 9526 or MOS 6423
(Microminiature Electronic Repair Technician level).
NOTES: 1. Marine Corps IMAs may assign any 64XX SNCO as a QAR.
2. A CDQAR who is microminiature qualified will be assigned to monitor the 2M Program
whenever the 64XX SNCO assigned to QA has not previously held MOS 6423.
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a. Be an E-5 or above with NEC 9503 for Navy recertifiers. For Marine Corps, recertifiers shall be an
E-5 or above with MOS 6423. All must meet NAVAIR SE-004-PQS-000 requirements.
b. Be a microminiature CDI.
d. Ensure all 2M technicians can satisfactorily perform any 2M task authorized for their certification
level and are able to consistently perform quality 2M repairs.
c. Sufficient expertise is available for conducting all required electronic assembly repair inspections.
e. ESD protective measures are observed while performing 2M repairs per NAVAIR 01-1A-23.
f. Each 2M workstation has the minimum required consumables, tools, and SE for
miniature/microminiature repair capability per NAVAIR SE-004-PQS-000, Appendix F.
NOTE: 2M repair is a skill intensive task. Maintaining acceptable skills and dexterity requires
recurring training/practice which shall encompass all procedures authorized for each
individual's 2M certification level.
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b. Develop local command procedures (as required) per Appendix D or OPNAVINST 5215.17.
d. Ensure the 2M Program Manager conducts 2M site verifications for all 2M stations within the
activity per NAVAIR SE-004-PQS-000 which provides guidance for completing these requirements.
NOTE: The AMMT 2M Evaluator shall perform validations and certifications during the AMI site visit.
b. Be familiar with and ensure all personnel with 2M program responsibilities are knowledgeable of this
NAMPSOP, NAVAIR SE-004-PQS-000, NAVAIR 01-1A-23, NAVAIR 17-15-99, NAVAIR 17-600-193-6-
2, and COMUSFLTFORCOMINST 4790.3.
d. Ensure a PM program is in effect, and all 2M workstations are maintained per NAVAIR 17-15-99
and NAVAIR 17-600-193-6-2 (as applicable).
e. Ensure NAVAIR 01-1A-23 or FST approved materials are used during 2M repair.
f. Establish local training for certified personnel to practice 2M repair techniques not normally
encountered during routine maintenance. NAVAIR SE-004-PQS-000 identifies tasks required for
recertification. These tasks should be used as minimum requirements for training.
NOTE: 2M repair is a skill intensive task. Maintaining acceptable skills and dexterity requires
recurring training/practice which shall encompass all procedures authorized for each
individual's 2M certification level. Training projects should be performed using non-RFI
electronic assemblies. R} DLA Disposition Services may be a source for 2M training material.
NOTE: Duplicate paper records are not required if the activity site is using an electronic training
management system or ASM.
(2) Listing of 2M qualified technicians, including name, shop, certification level and date of last
recertification.
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NOTES: 1. Due to the varying workload within the activities, portable 2M workstations are authorized.
These portable 2M workstations are designed to accommodate the 2M processes required by the
workload/shop. Each activity shall have a minimum of one fully outfitted 2M workstation per
NAVAIR SE-004-PQS-000, Appendix F, including consumables.
2. Due to the complex nature of certain electronic systems and the advancement of new tech-
nologies, specialized rework equipment may be used if approved by the 2M Program Manager
(COMNAVAIRSYSCOM (AIR-6.7.1)) in writing prior to use.
10.22.3.3.3 The QAO/QA Director shall designate a QAS with avionics background as the 2M Program
Monitor. This assignment does not preclude other QASs from monitoring this program but places the overall
responsibility with one individual.
b. Ensure the 2M program is adequately monitored for compliance with all related instructions and 2M
related issues are immediately reported and corrective action is taken.
10.22.3.3.5 The Safety Department shall ensure medical evaluation, industrial hygiene survey, and safety
determination services are obtained (as required) to support continued safe operation of the 2M work areas.
NOTE: Duplicate paper records are not required if the activity site is using an electronic training
management system or ASM.
d. Ensure all qualified 2M technicians perform authorized 2M tasks per NAVAIR SE-004-PQS-000.
e. Assist the Program Manager in developing and implementing 2M, ESD and other training (as
required).
h. Ensure ESD protective measures are observed while performing 2M repairs/training per NAVAIR
01-1A-23.
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b. Ensure 2M training site certifications are requested and performed every 18 months.
c. 2M technicians perform training per NAVAIR SE-004-PQS-000 to keep certification levels current.
d. Ensure ESD protective measures are observed while performing 2M repairs per NAVAIR 01-1A-23.
e. Ensure each 2M workstation has the minimum required consumables, tools, and SE for
miniature/microminiature repair/task per NAVAIR SE-004-PQS-000.
f. A periodic maintenance program is in effect, and all 2M work stations, including portable 2M work
stations, are maintained per NAVAIR 17-15-99 and NAVAIR 17-600-193-6-2.
10.22.4 2M Certification/Recertification
10.22.4.1 Initial miniature certification will be granted upon completion of Miniature Electronics Repair
course (Course A-100-0072).
10.22.4.2 Initial microminiature certification will be granted upon completion of Microminiature Electronics
Repair course (Course A-100-0073) and the prerequisite Miniature Electronic Repair course (Course A-100-
0072).
10.22.4.3 Skill proficiency of 2M technicians shall be evaluated every 18 months using NAVAIR SE-004-
PQS-000.
10.22.4.4 2M Instructors/Technician Recertifiers shall be recertified every 18 months per NAVAIR SE-004-
PQS-000.
10.22.4.5 Activities without 2M Technician Recertifiers shall request such service from the nearest activity
authorized to conduct 2M technician recertifications.
10.22.4.6 ACCs/TYCOMs will be consulted when 2M technician recertifications must be requested from
off-station.
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10.23 Gas Turbine Engine Test System (GTETS) and Global Test Facility (GTF) Operator
Training and Certification Program (NAMPSOP)
10.23.1 Introduction
10.23.1.1 The GTETS and GTF Operator Training and Certification Program establishes policy,
responsibilities, and requirements for the training and licensing of jet engine test facility operators and
qualifiers.
10.23.1.2 References:
a. NAVAIRNOTE 4700, Gas Turbine Engine Three Degrees of Intermediate Maintenance Activity
Assignments.
b. NAVPERS 18068F, Manual of Navy Enlisted Manpower and Personnel Classifications and
Occupational Standards.
d. N88-NTSP-A-50-8616B/A, Approved Navy Training System Plan for the Gas Turbine Engine Test
Systems.
10.23.2 Discussion
10.23.2.1 Proper operation of gas turbine engine test facilities is paramount to safe and efficient aircraft
engine maintenance. Improper training and operation can result in mishaps, reduced operational readiness
and unnecessary engine replacement costs. All gas turbine engine test facility (test cell) operators and
qualifiers must be knowledgeable of operational characteristics, safety precautions and emergency
procedures to significantly reduce the potential for personal injury and equipment damage.
10.23.2.2 Accessories, components, and engines reworked, repaired, or overhauled normally require an
operational test or functional check in a test cell or facility to determine performance parameters and
characteristics. Operator training requirements for GTETS/GTF are unique. GTETS/GTF operators and
qualifiers are certified to operate a particular test system/test cell and type engine or equipment. Only
qualified test cell operators or test cell operators under instruction shall be authorized to perform test cell
operations. Employees certifying test cell operations determine performance after rework, repair,
modification, or overhaul. Those employees certifying the Serviceable Tag-Material (DD-1574), shall be
thoroughly familiar with, and demonstrate a practical proficiency of, the test cell capabilities, limitations,
safety precautions, and the procedures to adequately measure or determine performance parameters and
characteristics of the item being evaluated.
10.23.2.3 GTETS/GTF training shall be provided by a NATEC JTS representative or a senior petty
officer/NCO/civilian technician certified and designated in writing as a GTETS/GTF qualifier on the specific
test cell and type engine or equipment.
10.23.2.5 Navy ashore and afloat test cells (excluding GTFs) are being replaced with commercial off the
shelf computer controlled facilities, referred to as JETI for turbo-fan type engines, SETI for turbo-shaft type
engines, and TPTI for turbo-prop engines. All models of the new test cell (shipboard, shore-based and
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portable applications) will have identical instrumentation which will aid in standardizing engine training and
operation.
10.23.2.6 All letters of certification and designation, qualification syllabuses, course completion certificates,
and completed maintenance related PQS shall be filed in the individual's qualification/certification record.
10.23.3 Responsibilities
a. Be responsible for the development, update, and distribution of the Navy Training Systems Plan for
the Gas Turbine Engine Test Systems (N88-NTSP-A-50-8616B/A). This requirement excludes GTFs.
b. Develop, update and distribute, via NATEC and TYCOMs, GTETS Operator OJT Handbooks per
N88-NTSP-A-50-8616B/A.
c. Ensure a CSEC is developed and updated for the proper monitoring of this program.
a. Evaluate all activities operating GTETS/GTF for compliance of operator training and certification,
and qualifier designation, as well as proper safety operating procedures.
b. Inspect individual qualification/certification records and EDVR to ensure all aircraft engine test cell
operators qualified for 12 months or longer possess NEC 6422/MOS 6023 or an artisan equivalent series
designation.
a. Designate, in writing via the MMP/SME Listing, the Power Plants Division Officer as the GTETS
and GTF Operator Training and Certification Program Manager/Coordinator.
b. Develop local command procedures for certification/recertification per Appendix D. Local command
procedures shall include OJT syllabuses tailored to each activity’s peculiar engine test system and
differentiate operation for each type engine or equipment for the purpose of certifying GTETS and GTF
operators.
c. Designate, in writing, GTETS qualifiers. GTF qualifiers will be designated per local policy. Prior to
designation, GTETS/GTF qualifiers shall be trained and recommended by a NATEC JTS representative and
GTETS/GTF Program Manager/Coordinator for the test system and type engine or equipment. Previous
training for initial certification as a GTETS or GTF operator does not satisfy this requirement. For activities
using ASM, qualification may be documented in ASM.
d. Certify, in writing or ASM, GTETS operators and endorse GTETS operator recertifications. GTF
operators will be certified per local policy.
e. Suspend GTETS Operator certifications when a mishap involving injury to a person or when damage
occurs to an engine or equipment until an investigation is completed and responsibility determined. Reinstate
the certification if the operator is deemed “not at fault.” GTF operator certification shall be suspended or
revoked per local FRC policy.
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(3) Is involved in an accident or incident and the resulting investigation determines negligence.
g. Submit a Navy Enlisted Classification Code Change Recommendation (EPMAC 1221/2) for all
individuals trained and certified as GTETS Operators (IMAs only).
a. Manage the GTETS and GTF Operator Training and Certification Program. In the event of conflict
between this instruction and another instruction/manual, for clarification, or requests for deviation, contact
the respective TYCOM for guidance.
b. Provide GTETS and GTF Operator Training and Certification Program indoctrination and follow-on
training. Training shall include personnel responsibilities and shall be documented on the NAMP
Indoctrination Training sheet (Figure 10.1-5) in the individual's qualification/certification record.
c. Ensure an adequate number of GTETS/GTF operators and qualifiers (as required) are assigned,
taking attrition into account.
d. Develop local (in-service) training lectures and local OJT training syllabuses for training and
certification of GTETS/GTF operators. The use of computer based training via AMTCS/NKO
(https://wwwa.nko.navy.mil) and the use of NATEC JTS representative GTF Program Manager/Coordinator
lesson guides is highly encouraged. Marine Corps personnel shall use the MATMEP individual qualification
record for Aircraft Power Plant Test Cell Operator (MOS 6023).
f. Ensure that Navy and contracted GTETS/GTF operators recertify every 24 months per paragraph
10.23.4, at a minimum.
g. Ensure a minimum of one qualified test cell operator, one technician, and one safety observer are
present during all aircraft engine operations, in addition to applicable fire bottle watches and support
equipment operators.
h. Ensure SE used in support of GTETS/GTF operation is properly maintained and operated and SE
operators possess valid USN Aviation Support Equipment Operator’s Licenses (CNAF 4790/102) per
paragraph 10.16.
i. Recommend to the MO personnel demonstrating the knowledge, skill, and maturity to be designated
as GTETS Qualifiers. FRC GTF qualifiers shall be certified per local policy.
j. Prepare a checklist for start up, shutdown, and emergency procedures to be used during engine test
system operation. The checklist will be available within the control cab and used by all operators.
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(1) Listing of GTETS or GTF operators, including name, rate/rank, or series/grade (as applicable),
specific test cell, type engine(s), date certified, next recertification date, and projected rotation date.
(2) Listing of GTETS or GTF qualifiers, including name, rate/rank, or series/grade (as applicable),
specific test cell, type engine(s), date designated, projected rotation date.
(3) Copy of GTETS or GTF qualifier designation letters signed by the MO (may delegate signature
authority). Designation may be recorded/documented in ASM for those activities using that system.
(4) Copy of documentation from NATEC/FRC JTS representative identifying GTETS Qualifier
training conducted for each qualifier assigned.
l. Use CSEC information and reports to identify areas of concern and determine corrective action.
10.23.3.5 The QA Officer shall designate, in writing via the MMP/SME Listing, a QAR/QA Specialist as the
GTETS/GTF Training and Certification Program Monitor. This assignment does not preclude other
QARs/QA Specialists from monitoring this program but places the overall responsibility with one individual.
b. Review applicable CSEC information and reports and provide appropriate recommendations to the
chain of command.
c. Administer written certification and recertification examinations for GTETS/GTF operators. (Any
QAR/Training Management Office personnel from the activity can administer the written examination.)
a. Be an E-5 or above with NEC 6422/MOS 6023, or a qualified artisan certified as an operator in the
activity.
b. Be certified on the test cell and type engine for which training is to be provided.
c. Receive GTETS or GTF qualifier training from a NATEC/JTS representative or GTF Program
Manager/Coordinator and be thoroughly familiar with safety and emergency procedures.
e. Assist the program manager/coordinator in developing, implementing and tracking GTETS or GTF
operator proficiency training.
10.23.3.8 GTETS and GTF Supervisors shall ensure GTETS and GTF operators complete proficiency
training conducive to maintaining required certification levels.
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10.23.4 Certification
10.23.4.1 Formal local (in-service) training and OJT can be provided under the supervision of a NATEC JTS
representative or designated GTETS/GTF qualifier for the test cell and type engine or equipment regardless
of command assigned. Training shall be obtained at the IMA/FRC or activities using the standardized
training approved by the NTSP in conjunction with locally prepared site specific OJT. OJT syllabuses shall
be developed and maintained by the program manager/coordinator, GTETS/GTF qualifiers, and QA
personnel and be approved for use by the MO. Marine Corps personnel shall use the MATMEP individual
qualification record for Aircraft Power Plant Test Cell Operator (MOS 6023).
10.23.4.2 NATEC on-site training can be provided by a NATEC JTS representative and is normally
requested by the activity to be performed coincident with the initial installation and calibration of the test
facility. NATEC on-site training can also be requested to improve technical knowledge and skill to improve
operational readiness and allow for the maximum use of propulsion testing facilities, equipment and human
resources across all IMA/COMFRC activities.
10.23.4.3 Upon completion of training, the nominee must satisfactorily complete a written exam
administered by QA/Training Management Office and a practical exam (pass/fail) administered by a GTETS
Qualifier or NATEC JTS representative. The initial certification and subsequent recertification(s) will
require a written and practical examination given by designated personnel to include test cell pre-start, start,
turn-up, shutdown, and emergency procedures. Both written and practical examinations shall be prepared by
QA/Training Management Office, GTETS/GTF qualifiers, or NATEC JTS representatives and maintained by
QA/Training Management Office. The MO shall issue a letter of certification indicating the engine test
system and type engine(s). Certification(s)/recertification(s) may be documented in ASM for those activities
using that system.
10.23.4.4 Navy and contracted GTETS/GTF operators and qualifiers are required to maintain proficiency for
each type engine for which they are certified. As a minimum, GTETS/GTF operators and qualifiers shall run
any type/model aircraft engine every 90 days, and shall run at least one engine for each type certified every
12 months. Engine runs for proficiency may be run on any type test cell with a certified operator for that test
cell, and will be documented in the individual’s qualification/certification record. Every attempt should be
made to maintain proficiency on all type engines for safety and effectiveness. Failure to maintain proficiency
on one type engine within a one-year period will result in loss of certification for that specific type engine.
10.23.4.5 Navy and contracted GTETS/GTF operators shall be recertified every 24 months. Recertification
will consist of a written examination administered by QA/Training Management Office and a practical exam
(pass/fail) administered by a GTETS/GTF qualifier or NATEC JTS representative on any one type engine for
which they are certified. Afloat activities that are unable to operate their test cell for extended periods of
time (greater than 3 months) may perform their recertification practical exams at another activity with a
NATEC JTS representative or GTETS/GTF qualifier designated in writing for that type test cell.
Additionally, for planning purposes and operational commitments, recertification exams can be completed up
to 3 months prior to the GTETS/GTF Operator’s certification expiration date. Recertification exams should
place emphasis on safety and emergency procedures. GTETS/GTF operators exceeding 24 months will not
be considered certified until they have completed refresher training by a GTETS/GTF qualifier or NATEC
JTS representative and successfully completed a written and practical examination. GTETS/GTF operators
failing either the written or practical examinations will be required to complete refresher training or complete
the entire OJT syllabus, as determined by the program manager/coordinator.
10.23.4.6 Prior to designation, GTETS/GTF qualifiers shall be trained by a NATEC JTS representative for
the test system and type engine. Previous training by NATEC/FRC for initial certification as a GTETS or
GTF operator does not satisfy this requirement. GTETS and GTF qualifiers are not required to recertify as
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GTETS and GTF operators while assigned to the same command as long as proficiency is maintained per
paragraph 10.23.4.4.
10.23.4.7 Activities without GTETS qualifiers may request such services from the nearest activity authorized
to conduct GTETS Operator training for the same test system and type engine(s) being certified on.
Activities without GTF qualifiers may request such services from the system OEM for the same test system
and type SE being certified on.
10.23.4.8 Previously certified GTETS operators may be certified at the discretion of the MO after
successfully completing a written exam administered by QA/Training Management Office and a practical
examination administered by a GTETS Qualifier or NATEC JTS representative. Previously certified GTETS
operators failing either the written or practical examinations will be required to complete refresher training or
complete the entire OJT syllabus, as determined by the program manager/coordinator. Previous certification
records shall be retained in the individual’s qualification/certification record. Previously certified GTF
operators may be certified per local policy.
10.23.4.9 Locally developed OJT syllabuses will include, as a minimum, the following task/knowledge
areas:
d. Engine test facility installed systems such as fuel, lubrication, engine start, fire extinguishing,
vibration and temperature monitoring systems.
e. Installation and inspection of engine on run trailer, including engine/adapter servicing and FOD
prevention inspections.
f. Pre-operational inspections of engine test system and engine per applicable MIMs/MRCs.
g. Safety and responsibility briefs, including communications and hand signals to be used.
h. Simulated emergencies, such as fuel spills/leaks, engine/propeller overspeed, engine fire, throttle
input failure, unstable engine, and personnel injuries per applicable MIMs.
j. Post-operational inspections of engine test system and engine per applicable MIMs/MRCs.
l. Minimum of two performance runs as the GTETS or GTF Operator under the direct supervision of a
GTETS or GTF qualifier or NATEC JTS representative as part of the pass/fail practical examination.
Personnel certified as GTETS or GTF operators by a previous command on the same engine test system and
type engine are not required to complete a performance run prior to taking the practical examination
administered by a GTETS or GTF Qualifier or NATEC JTS representative.
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