(1) The University of Queensland (UQ) is committed to managing hazardous noise in the workplace and its adverse effect on hearing. This Procedure supports UQ’s Health, Safety and Wellness Policy, which provides UQ’s commitment to continuous improvement in the prevention of injuries, illness and incidents through an effective health and safety management system. (2) This Procedure applies to all UQ workers that work in areas exposed to hazardous noise and outlines the measures in place at UQ to manage the risk of hearing loss to these workers. For the purposes of this Procedure, the definition of UQ workers is broad – including staff, higher degree by research students and contractors (excluding audiometric testing requirements), across all UQ operations and sites, including Controlled Entities – and is intended to ensure UQ meets its responsibilities under the Work Health and Safety Act 2011 (WHS Act). The definition of UQ workers is provided in Section 7. (3) UQ is legally obliged under the Work Health and Safety Regulation 2011 (WHS Regulation) to manage the risk of hearing loss to its workers associated with workplace noise. (4) UQ workers are responsible for taking reasonable care for their own health and safety and not adversely affecting the health and safety of others. UQ workers must comply with this Procedure and any other reasonable instructions relating to health and safety at UQ. (5) Heads of Organisational Units are responsible for ensuring: (6) UQ workers must wear appropriate hearing protection if hazardous noise in the workplace cannot be eliminated or minimised to acceptable levels, or as required by the Organisational Unit. (7) UQ workers deemed to be working in areas where they are routinely exposed to hazardous noise and/or to ototoxic substances, in some circumstances, are required to have their hearing monitored through regular audiological testing conducted by the UQ Health and Rehabilitation Audiology Clinic. (8) Organisational Units are responsible for the identification, control and ongoing management of hazardous noise in the workplace in accordance with the Queensland Government’s Managing Noise and Preventing Hearing Loss at Work Code of Practice 2021 and the UQ Hazardous Noise Risk Management Guideline. (9) The Code of Practice provides practical guidance on: (10) The UQ Hazardous Noise Risk Management Guideline provides Organisational Units with further practical information to assist with the management and control of hazardous noise and prevent the occurrence of noise induced hearing loss (NIHL) in the workplace at UQ. (11) Hearing protection should be used as a backup to noise reduction controls, not as the primary control. (12) UQ managers, supervisors and workers should refer to the Code of Practice and Guideline for information on how to achieve the standards of health, safety and welfare required. (13) Assessment of potential exposure to hazardous noise is to be undertaken in UQSafe by supervisors and managers in the Organisational Units. (14) The risk assessment of noise exposure will: (15) Audiological testing is an important part of managing the risks from hazardous noise exposure in the workplace. Where it is perceived that UQ workers (excluding contractors and subcontractors) may be routinely exposed to hazardous noise (and in some circumstances, exposure to ototoxic substances), an assessment of their work environment must be undertaken to confirm the need for referral to audiological testing. (16) Supervisors must ensure that UQ workers (excluding contractors and sub-contractors) routinely exposed to hazardous noise in the workplace, as identified through the risk assessment process, attend audiological testing as follows: (17) Organisational Units are responsible for meeting the costs associated with audiological tests for UQ workers (excluding contractors and sub-contractors). Guidance on the process for new appointees, ongoing testing, and managing test results are outlined in the UQ Hazardous Noise Risk Management Guideline. Audiological testing is currently conducted by the UQ Health and Rehabilitation Audiology Clinic in accordance with AS/NZS 1269.4:2005 (Occupational noise management - Auditory assessment). (18) Further guidance on the Audiometry Testing Program is included in the Hazardous Noise Risk Management Guideline. (19) Where a UQ worker (excluding contractors and sub-contractors) has been diagnosed with NIHL, UQ will conduct a comprehensive workplace noise risk assessment and medical assessment to determine whether the NIHL was due to the UQ worker’s noise exposure at UQ. (20) The Head of Organisational Unit is responsible for ensuring: (21) The Senior Manager (Specialist Services) of the Health, Safety and Wellness Division (HSW Division) is responsible for the medical screening/audiological testing and noise monitoring program that includes the following: (22) Health, Safety and Wellness Managers (HSW Managers) and Work Health and Safety Coordinators (WHSCs) are responsible for: (23) Managers and supervisors are responsible for: (24) UQ workers in areas who are exposed to hazardous noise are responsible for: (25) The Director, HSW is responsible for the communication of this Procedure to relevant stakeholders. (26) The HSW Division will: (27) The HSW Division will liaise with the UQ Health and Rehabilitation Audiology Clinic on UQ workers’ hearing test results. Where appropriate, the Occupational Health Nurse and Occupational Hygiene Advisor will maintain records of test results and sound level measurements in accordance with UQ Privacy requirements. An overall report will be included in the HSW Annual Report. (28) Audiometry test results are maintained within the Workday Health Monitoring System. (29) The HSW Division maintains UQSafe. UQSafe is an important component in UQ’s occupation health and safety management system and is where noise risk assessments and noise exposure incidents are recorded. (30) The HSW Division provides reports to UQ’s health and safety committees and to senior management committees regularly and when required or requested. (31) Relevant UQ contacts:Hazardous Noise Risk Management Procedure
Section 1 - Purpose and Scope
Context
Section 2 - Process and Key Controls
Section 3 - Key Requirements
Managing Noise Exposure Risks
Risk Assessment
Audiological Testing
Noise-induced Hearing Loss
Section 4 - Roles, Responsibilities and Accountabilities
Heads of Organisational Units
Health, Safety and Wellness Division
Health, Safety and Wellness Managers and Work Health and Safety Coordinators
Managers and Supervisors
UQ Workers
Top of PageSection 5 - Monitoring, Review and Assurance
Top of PageSection 6 - Recording and Reporting
Section 7 - Appendix
Definitions
Term
Definition
Hazardous Noise
For the purposes of this Procedure, hazardous noise means noise that exceeds the exposure standard for noise in the workplace as defined in the Work Health and Safety Regulation 2011.
Organisational Unit
A formal grouping of staff established to conduct a discrete set of activities within a functional area of UQ.
Ototoxic substances
Are chemicals that if absorbed into the bloodstream, may damage the cochlea (inner ear) and/or the auditory nerve pathways to the brain – which may lead to hearing loss and tinnitus.
UQ workers
For the purposes of this Procedure includes:
• staff - continuing, fixed-term, research (contingent funded) and casual staff;
• contractors, subcontractors and consultants (excluding audiometry requirements);
• visiting academics and researchers;
• affiliates - academic title holders, visiting academics, emeritus professors, adjunct and honorary title holders, industry fellows and conjoint appointments;
• higher degree by research students; and
• volunteers and students undertaking work experience (excluding audiometry requirements).
Contacts
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