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Statutory Instrument 2006 No. 2164The Measuring Instruments (Exhaust Gas Analysers) Regulations 2006(The document as of February, 2008) STATUTORY INSTRUMENTS2006 No. 2164WEIGHTS AND MEASURESThe Measuring Instruments (Exhaust Gas Analysers) Regulations 2006
The Secretary of State makes the following Regulations in exercise of the powers conferred by section 2(2) of the European Communities Act 1972[1]. He has been designated for the purposes of section 2(2) of the European Communities Act 1972 in relation to, and for purposes ancillary to, the regulation of specifications, construction, placing on the market and use of articles, instruments, containers or other equipment intended for weighing, measuring or testing[2]. Citation and commencement 1.—(1) These Regulations may be cited as the Measuring Instruments (Exhaust Gas Analysers) Regulations 2006. (2) This regulation, regulations 2, 7, 9 and 10 and Part 1 of Schedule 2 shall come into force on 7th September 2006. (3) The remaining regulations shall come into force on 30th October 2006. Interpretation 2.—(1) In these Regulations—
(b) which is used or is to be used—
(ii) by a local authority designated, by the Secretary of State, as respects England, by the National Assembly for Wales, as respects Wales, and by the Scottish Ministers, as respects Scotland, under Part 4 of the Environment Act 1995[5], for the purpose of testing vehicle emissions, or by any person acting on behalf of such a local authority for that purpose;
(b) received in legible form; and (c) capable of being used for subsequent reference;
(b) a United Kingdom notified body; and (c) for the purposes of regulations 4(1)(c), 16(1)(b) and 18(6), a person designated by another member State, who has been notified to the Commission and the other member States pursuant to Article 11.1;
(b) the reference of which is published—
(ii) in another member State by the competent authority pursuant to the third sub-paragraph of Article 13.1;
(b) in another member State by the competent authority pursuant to the third sub-paragraph of Article 13.2; and
(2) In these Regulations, a reference to a member State includes Norway, Iceland and Liechtenstein[8].
(b) first placed on the market or put into use on or after 30th October 2006. (2) These Regulations do not apply to an exhaust gas analyser—
(b) which is first passed as fit for use for the protection of the environment and public health pursuant to the requirements of OIML R99/ISO 3930[9]. (3) These Regulations do not apply to an exhaust gas analyser which is not compliant with the essential requirements and which is displayed or presented at a trade fair, exhibition or demonstration, if a sign displayed visibly on or near the instrument clearly indicates that the instrument—
(b) cannot be acquired or used until it is made compliant with those requirements by the manufacturer. Requirements for placing on the market and putting into use 4.—(1) No person shall place on the market or put into use an exhaust gas analyser unless the following requirements, or the corresponding requirements of the Directive as implemented under the law of another member State, are met—
(b) the manufacturer has demonstrated its compliance with the essential requirements in accordance with regulation 5; and (c) the instrument has affixed to it the CE marking, the M marking and the identification number of the notified body which carried out the conformity assessment procedure in respect of the instrument. (2) A person who fails to comply with the requirements of paragraph (1) shall be guilty of an offence and any exhaust gas analyser to which the offence relates shall be liable to be forfeited.
(b) correctly applying solutions set out in the relevant national standard; or (c) correctly applying solutions set out in the relevant normative document, and selecting and following one of the conformity assessment procedures.
(b) the instrument may be considered to be compliant with the essential requirements notwithstanding that the compliance of that device with the essential requirements has not been established. Conformity assessment procedures
(b) B and D; and (c) H1. (2) The manufacturer or his authorised representative shall provide to the notified body carrying out the relevant conformity assessment procedure the technical documentation set out in Schedule 3.
(b) "D" means declaration of conformity to type based on quality assurance of the production process, as set out in Annex D; (c) "F" means declaration of conformity to type based on product verification, as set out in Annex F; and (d) "H1" means declaration of conformity based on full quality assurance plus design examination, as set out in Annex H1. Designation of United Kingdom notified bodies
(b) may be made subject to such conditions as may be specified in the designation, which may include conditions which—
(ii) require the use of test equipment for the purpose of conformity assessment appropriate to the exhaust gas analyser being assessed; and (iii) limit the description of any exhaust gas analyser for which the person is designated; (c) subject to regulation 10, may last for such period as may be specified in the designation; (5) In exercising the power conferred on him by paragraph (1), the Secretary of State may (in addition to the matters of which he is required to satisfy himself pursuant to paragraph (2)) have regard to any matter appearing to him to be relevant.
(b) the reference of which is published—
(ii) in another member State by the competent authority pursuant to Article 11.2. Functions of notified bodies
(b) complies with any condition to which its designation is subject; and (c) complies with these Regulations, but, unless it appears to him that there are circumstances which make it necessary or expedient to do so, he shall not carry out an inspection within two years from the date of designation under regulation 7 or of any later inspection under this paragraph.
(b) it appears to him necessary or expedient to do so. (2) The Secretary of State may terminate the designation made under regulation 7—
(b) if it appears to him that any condition of the designation is not complied with; or (c) if in his opinion the United Kingdom notified body ceases to satisfy the notified body criteria. (3) Where the Secretary of State is minded to—
(b) terminate a designation pursuant to paragraph (2)(b) or (c), he shall—
(ii) give that notified body the opportunity to make representations within a period of 21 days from the date of that notice and consider any representations made to him within that period. (4) If a designation is terminated under paragraph (2), the Secretary of State may—
(b) notwithstanding sub-paragraph (a), authorise another United Kingdom notified body to take over the functions of the United Kingdom notified body the subject of the termination in respect of such cases as he may specify. Fees
(b) an amount on account of profit which is reasonable in the circumstances having regard to—
(ii) the commercial rate normally charged on account of profit for that work or similar work. (3) The power in paragraph (1) includes the power to require the payment of fees or a reasonable estimate of such fees in advance of carrying out the work requested by the applicant.
(b) the notified body which carries out the conformity assessment procedure in respect of that instrument shall affix its identification number to the instrument, or may agree that the manufacturer shall do so on its behalf. (2) Any other marking may be affixed to the exhaust gas analyser provided that the visibility and legibility of the CE marking, the M marking and the identification number of the notified body are not reduced.
(b) the M marking means the capital letter "M" which shall be compliant with the requirements of paragraphs 2, 4 and 5 of Schedule 4; and (c) the identification number of the notified body shall be compliant with the requirements of paragraphs 3, 4 and 5 of Schedule 4. Conformity with other directives Enforcement authority 14.—(1) The Secretary of State may enforce Part 2 of these Regulations and for that purpose may appoint any person to act on his behalf. (2) No proceedings for an offence under these Regulations may be instituted in England and Wales except by or on behalf of an enforcement authority. (3) Nothing in these Regulations shall authorise an enforcement authority to bring proceedings in Scotland for an offence. Compliance notice procedure 15.—(1) Where an enforcement authority establishes that, in the case of an exhaust gas analyser that has been placed on the market or put into use, the CE marking or the M marking has, or both have, been affixed unduly, the following provisions of this regulation shall have effect. (2) The enforcement authority shall serve a compliance notice on the manufacturer or his authorised representative which shall—
(b) describe the exhaust gas analyser to which it relates in a manner sufficient to identify that instrument; (c) state that the enforcement authority is of the opinion that the CE marking or the M marking has, or both have, been affixed unduly to the exhaust gas analyser and give reasons for its opinion; (d) require the person on whom the notice is served to end the infringement under conditions specified in the notice; (e) specify the date, being not less than 21 days from the date of the notice, by which the infringement must be ended; and (f) warn that person that, where the non-conformity continues beyond the date specified in sub-paragraph (e), the enforcement authority may take further action under regulation 16 in respect of that exhaust gas analyser. (3) For the purposes of paragraph (1)—
(b) the M marking shall be considered to have been affixed unduly if it is not compliant with the requirements of regulation 12(3)(b). (4) Where a compliance notice is served by an enforcement authority other than the Secretary of State, it shall, at the same time as it serves that notice, send a copy to the Secretary of State.
(b) an exhaust gas analyser, which is placed on the market or put into use, does not bear one or more of the CE marking, the M marking and the identification number of the notified body which carried out the conformity assessment procedure in respect of that instrument; or (c) an exhaust gas analyser which bears the marking and identification requirements referred to in sub-paragraph (b) does not meet the essential requirements when placed on the market, or properly installed and put into use in accordance with the manufacturer's instructions, the following provisions of this regulation shall have effect.
(b) describe the exhaust gas analyser to which it relates in a manner sufficient to identify that instrument; (c) specify, with reasons, the respects in which, in the opinion of the enforcement authority, the requirements of these Regulations have not been complied with; (d) specify the date, being not less than 21 days from the date of the notice, by which the person to whom the notice is given is required to comply with it; and (e) inform that person of the judicial remedies available to him and of the time limits to which those remedies are subject. (3) A notice under paragraph (2) may—
(b) prohibit or restrict the placing on the market or putting into use of the exhaust gas analyser; and (c) specify that unless steps are taken which ensure—
(ii) that the manufacturer or his authorised representative acts as required under sub-paragraph (a) or (b), any certificate or notification, issued by a notified body in accordance with the relevant conformity assessment procedure applicable to the exhaust gas analyser that the instrument satisfies the essential requirements, may be withdrawn by that notified body. (4) Where an enforcement notice is served by an enforcement authority other than the Secretary of State, it shall, at the same time as it serves that notice, send a copy to the Secretary of State.
(b) which is granted under the law of another member State, if the Secretary of State is of the opinion that consideration ought to be given to whether the certificate or notification should be withdrawn, he shall inform the relevant competent authority of that fact. Review by the Secretary of State
(b) state the grounds on which the application is made; and (c) be sent to the Secretary of State within 21 days from the date of the notice referred to in paragraph (1). (3) The Secretary of State may—
(b) appoint an assessor for the purposes of assisting him with his review. (4) The Secretary of State shall, within a reasonable time, inform the aggrieved person and the enforcement authority referred to in paragraph (1) in writing of his decision whether to uphold the notice served by that authority, together with reasons for his decision.
(b) alters or defaces an authorised mark affixed to the instrument; (c) removes an authorised mark affixed to the instrument; or (d) affixes any other marking to the instrument which is likely to deceive any person as to the meaning or form, or both, of an authorised mark. (2) Where the alteration or defacement of an authorised mark is occasioned solely—
(b) by an enforcement officer in the carrying out of any of his functions under these Regulations, that person or his authorised agent, or enforcement officer shall not be guilty of an offence under paragraph (1)(b).
(ii) an authorised mark that has been altered or defaced otherwise than in the circumstances referred to in paragraph (2); or (iii) any marking which is likely to deceive any person as to the meaning or form, or both, of an authorised mark; or (b) from which, to his knowledge, an authorised mark has been removed. (4) An exhaust gas analyser in respect of which an offence under this regulation has been committed and any implement used in the commissioning of the offence shall be liable to be forfeited.
(b) inspect and take copies of any document relating to an exhaust gas analyser; and (c) enter any premises at which he has reasonable cause to believe there to be an exhaust gas analyser, not being premises used only as a private dwelling house. (2) Subject to the production if so requested of his credentials, an enforcement officer may, at any time, seize and detain—
(b) any document or goods which he has reason to believe may be required as evidence in proceedings for an offence under these Regulations. (3) If a justice of the peace, on written information on oath—
(b) is also satisfied either that—
(ii) an application for admission, or the giving of such a notice would defeat the object of the entry, or that the case is one of urgency, or that the premises are unoccupied or the occupier is temporarily absent,
(5) An enforcement officer entering any premises by virtue of this regulation may take such other persons and such equipment as may appear to him necessary, and on leaving such premises which he has entered by virtue of a warrant under paragraph (3), being premises which are unoccupied or the occupier of which is temporarily absent, he shall leave them as effectively secured against a trespasser as he found them. (6) If an enforcement officer or other person who enters any work-place by virtue of this regulation discloses to any person any information obtained by him in the work-place with regard to any secret manufacturing process or trade secret, he shall, unless the disclosure was made in the performance of his duty, be guilty of an offence. (7) It shall not be an offence under paragraph (6) for a person to disclose information in circumstances where—
(b) the information is disclosed more than 50 years after it was received. (8) Nothing in this regulation shall authorise any person to stop any vehicle on a highway.
(b) without reasonable cause fails to give that officer any assistance or information which the officer has reasonably required of him for the purpose of the performance by the enforcement authority of its functions under these Regulations. (2) A person shall be guilty of an offence if, in giving an enforcement officer such information as is mentioned in paragraph (1)(b), that person gives any information which he knows to be false.
(b) reliance on information given by another, that person shall not, without the leave of the court, be entitled to rely on the defence, unless, not less than 7 clear days before the hearing of the proceedings (or, in Scotland, the trial diet), he has served a notice in accordance with paragraph (3) on the person bringing the proceedings.
(b) whether he had any reason to disbelieve the information. Liability of persons other than the principal offender
(b) as a result of the negligence of an officer of the body corporate, the officer, as well as the body corporate, shall be guilty of the offence.
(b) a person purporting to act as a director, manager, secretary or other similar officer; and (c) if the affairs of the body corporate are managed by its members, a member. (4) In this regulation, references to a "body corporate" include references to a partnership in Scotland, and in relation to such partnership, any reference to a director, manager, secretary or other similar officer of a body corporate is a reference to a partner. Service of documents 24.—(1) Any document required or authorised by these Regulations to be served on a person may be so served—
(b) if the person is a body corporate, by serving it in accordance with sub-paragraph (a) on the secretary or clerk of that body corporate; or (c) if the person is a partnership, by serving it in accordance with sub-paragraph (a) on a partner or on a person having control or management of the partnership business. (2) For the purposes of paragraph (1), and for the purposes of section 7 of the Interpretation Act 1978[10] (which relates to the service of documents by post) in its application to that paragraph, the proper address of any person on whom a document is to be served in accordance with these Regulations shall be his last known address except that—
(b) in the case of service on a partnership or a partner or a person having the control or management of a partnership business, it shall be the principal office of the partnership, and for the purposes of this paragraph the principal office of a company registered outside the United Kingdom or of a partnership carrying on business outside the United Kingdom is its principal office within the United Kingdom. 1.The essential requirements are the relevant requirements relating to exhaust gas analysers contained in Annex I and Annex MI-010 set out in this Schedule. Definitions 2.In these Regulations—
(b) carbon dioxide (CO2); (c) oxygen (O2); and (d) hydrocarbons (HC) of which the content has to be expressed as concentration of n-hexane (C6H14), measured with near-infrared absorption techniques, and the volume fractions of the gas components are expressed as a percentage (% vol) for CO, CO2 and O2 and in parts per million (ppm vol);
Allowable Errors
(b) Mechanical environments—
(ii) The following influence quantities shall be considered in relation with mechanical environments—
(bb) mechanical shock. (c) Electromagnetic environments—
E1: This class applies to exhaust gas analysers used in locations with electromagnetic disturbances corresponding to those likely to be found in residential, commercial and light industrial buildings. E2: This class applies to exhaust gas analysers used in locations with electromagnetic disturbances corresponding to those likely to be found in other industrial buildings. (ii) The following influence quantities shall be considered in relation with electromagnetic environments—
(bb) short voltage reductions; (cc) voltage transients on supply lines and/or signal lines; (dd) electrostatic discharges; (ee) radio frequency electromagnetic fields; (ff) conducted radio frequency electromagnetic fields on supply lines and/or signal lines; (gg) surges on supply lines or signal lines or both. (6) Other influence quantities to be considered, where appropriate, are—
(b) mains frequency variation; (c) power frequency magnetic fields; (d) any other quantity likely to influence in a significant way the accuracy of the exhaust gas analyser. (7) When carrying out the tests as envisaged in these Regulations, the following paragraphs apply—
(ii) the metrological tests shall be carried out during or after the application of the influence quantity, whichever condition corresponds to the normal operational status of the exhaust gas analyser when that influence quantity is likely to occur. (b) In relation to ambient humidity—
(ii) the damp heat cyclic test is appropriate where condensation is important or when penetration of vapour will be accelerated by the effect of breathing. In conditions where non-condensing humidity is a factor the damp-heat steady state is appropriate. Reproducibility
(b) information in respect of its accuracy, plus, when applicable:
(d) measuring capacity; (e) measuring range; (f) identity marking; (g) number of the EC-type examination certificate or the EC design examination certificate; (h) information whether or not additional devices providing metrological results comply with these Regulations. (2) The exhaust gas analyser shall be accompanied by information on its operation, unless the simplicity of the instrument makes this unnecessary. Information shall be easily understandable and shall include where relevant—
(b) mechanical and electromagnetic environment classes; (c) the upper and lower temperature limit, whether condensation is possible or not, open or closed location; (d) instructions by installation, maintenance, repairs, permissible adjustments; (e) instructions for correct operation and any special conditions of use; (f) conditions for compatibility with interfaces or other measuring instrument. (3) Groups of identical exhaust gas analysers used in the same location do not necessarily require individual instruction manuals.
(b) the exhaust gas analyser is normally intended for use in the absence of one of the trading parties. (2) Additionally, a durable proof of the measurement result and the information to identify the transaction shall be available on request at the time the measurement is concluded.
Rated operating conditions 16.—(1) The values of the operating conditions shall be specified by the manufacturer, as follows. (2) For the electrical power influence quantities, the limits of the DC voltage supply. (3) For the ambient pressure, the minimum and the maximum values of the ambient pressure are for both classes: Pmin ≤ 860 hPa, Pmax ≥ 1 060 hPa. MPE 17.The MPEs are defined as follows—
MPEs
(c) for this purpose, the values displayed by the instrument are used for calculation. Permissible effect of disturbance
(b) the presentation of the measurement result is such that it cannot be taken for a valid result. Other requirements
(¹) 0.01 % vol for measurand values below or equal to 4 % vol, otherwise 0.1 % vol. The lambda value shall be displayed with a resolution of 0.001. (2) The standard deviation of 20 measurements shall not be greater than one third of the modulus of the MPE for each applicable gas volume fraction. (3) For measuring CO, CO2 and HC, the instrument, including the specified gas handling system, must indicate 95 % of the final value as determined with calibration gases within 15 seconds after changing from a gas with zero content, such as fresh air. For measuring O2, the instrument under similar conditions must indicate a value differing less than 0.1 % vol from zero within 60 seconds after changing from fresh air to an oxygen-free gas. (4) The components in the exhaust gas, other than the components whose values are subject to the measurement, shall not affect the measurement results by more than the half of the modulus of the MPEs when those components are present in the following maximum volume fractions—
(b) 16 % vol CO2; (c) 10 % vol O2; (d) 5 % vol H2; (e) O.3 % NO; (f) 2 000 ppm vol HC (as n-hexane); (g) water vapor up to saturation. (5) An exhaust gas analyser shall have an adjustment facility that provides operations for zero-setting, gas calibration and internal adjustment. The adjustment facility for zero-setting and internal adjustment shall be automatic. 1.The body, its director and staff involved in conformity assessment tasks shall not be the designer, manufacturer, supplier, installer or user of the exhaust gas analyser that they inspect, nor the authorised representative of any of them. In addition, they may not be directly involved in the design, manufacture, marketing or maintenance of the exhaust gas analyser, nor represent the parties engaged in these activities. The preceding criterion does not, however, preclude in any way the possibility of exchanges of technical information between the manufacturer and the body for the purposes of conformity assessment. 2.The body, its director and staff involved in conformity assessment tasks shall be free from all pressures and inducements, in particular financial inducements, that might influence their judgement or the results of their conformity assessment, especially from persons or groups of persons with an interest in the results of the assessments. 3.The conformity assessment shall be carried out with the highest degree of professional integrity and requisite competence in the field of metrology. Should the body sub-contract specific tasks, it shall first ensure that the sub-contractor meets the requirements of these Regulations, and in particular of this Schedule. The body shall keep the relevant documents assessing the sub-contractor's qualifications and the work carried out by him under these Regulations at the disposal of the Secretary of State. 4.The body shall be capable of carrying out all the conformity assessment tasks for which it has been designated, whether those tasks are carried out by the body itself or on its behalf and under its responsibility. It shall have at its disposal the necessary staff and shall have access to the necessary facilities for carrying out in a proper manner the technical and administrative tasks entailed in conformity assessment. 5.The body's staff shall have—
(b) satisfactory knowledge of the rules governing the tasks which it carries out, and adequate experience of such tasks; and (c) the requisite ability to draw up the certificates, records and reports demonstrating that the tasks have been carried out. 6.The impartiality of the body, its director and staff shall be guaranteed. The remuneration of the body shall not depend on the results of the tasks it carries out. The remuneration of the body's director and staff shall not depend on the number of tasks carried out or on the results of such tasks. Assessment of applications for certificates or notifications 9.—(1) Subject to paragraph 10, a notified body shall assess an application made by a manufacturer for the issue of—
(b) a design or type examination certificate; or (c) a notification of approval of the manufacturer's quality system, in accordance with the Annex applicable to the relevant conformity assessment procedure in respect of an exhaust gas analyser.
(b) may have regard to any other standard or other technical criteria appearing to it to be relevant. (3) Where, in the opinion of the notified body, the exhaust gas analyser to which an application relates is compliant with the essential requirements, it shall issue a certificate or notification in accordance with paragraph 12.
(b) is accompanied by all relevant documentation, in which all writing is in English or another language acceptable to that notified body; and (c) includes particulars of which applicable standards the manufacturer has applied or proposes to apply in respect of the instrument. (2) A notified body shall not be required to determine an application for a certificate or notification where the manufacturer has not—
(b) made available to the notified body such information as it may reasonably require to determine the application. (3) A notified body shall not be required to carry out the functions referred to in regulation 7(4)(d) if—
(b) the notified body reasonably believes that, having regard to the number of applications made to it pursuant to its designation which are outstanding, it will be unable to commence the required work within three months of receiving the application. Contractors
(b) require the applicant to satisfy another person with respect to any matter at the applicant's expense. (2) But nothing in sub-paragraph (1) authorises a notified body to rely on the opinion of another person with regard to whether an exhaust gas analyser is compliant with any of the essential requirements.
(b) give the name and address—
(ii) where the applicant is not the manufacturer, of the manufacturer; (c) be signed by or on behalf of the notified body and give the identification number of the notified body;
(ii) the number of the certificate or notification; (e) give particulars of the relevant exhaust gas analyser (where applicable, in relation to each variant) to which it relates sufficient to identify it, and shall state whether the instrument to which it relates is a single item or a representative, or if it covers a number of variants of that instrument; and Conditions in certificates or notifications
(b) a requirement that the exhaust gas analyser is only to be installed at a specific site. (3) The conditions imposed pursuant to sub-paragraph (1) may be varied in accordance with paragraph 15 by the notified body which issued the certificate or notification and such variation may include the imposition of new conditions or the removal of conditions.
(b) vary a certificate or notification (other than at the request of the person to whom it was given); or (c) withdraw a certificate or notification, it shall give to the applicant, or the person to whom the certificate or notification was given, a notice in writing—
(ii) specifying the date on which the refusal, variation or withdrawal is to take effect; and (iii) giving the applicant or person the opportunity to make representations within 21 days from the date of the notice and stating that the notified body shall consider any representations made to it within that period by that applicant or person. (2) Where a notified body, having considered representations made to it under sub-paragraph (1), remains of the opinion that—
(b) a certificate or notification should be varied or withdrawn, it shall inform the applicant, or the person to whom the certificate or notification was given, of that decision in writing and give that applicant or person information about the judicial remedies available to him. 1.The technical documentation shall render the design, manufacture and operation of the exhaust gas analyser intelligible and shall permit an assessment of its conformity with the appropriate requirements of these Regulations. 2.The technical documentation shall be sufficiently detailed to ensure—
(b) the reproducibility of the metrological performances of produced exhaust gas analysers when properly adjusted using appropriate intended means; and (c) the integrity of the exhaust gas analyser. 3.The technical documentation shall include insofar as relevant for assessment and identification of the type and/or exhaust gas analyser—
(b) conceptual design and manufacturing drawings and plans of components and circuits; (c) manufacturing procedures to ensure consistent production; (d) if applicable, a description of the electronic devices with drawings, diagrams, flow diagrams of the logic and general software information explaining their characteristics and operation; (e) descriptions and explanations necessary for the understanding of sub-paragraphs (b), (c) and (d), including the operation of the instrument; (f) a list of the relevant national standards and/or relevant normative documents, applied in full or in part; (g) descriptions of the solutions adopted to meet the essential requirements where the relevant national standards and/or relevant normative documents have not been applied; (h) results of design calculations and examinations; (i) the appropriate test results, where necessary, to demonstrate that the type and/or instrument is compliant with the requirements of these Regulations under declared rated operating conditions and under specified environmental disturbances; and (j) the EC-type examination certificates or EC design examination certificates in respect of instruments containing parts identical to those in the design. 4.The manufacturer shall specify where seals and markings have been applied. 1.The CE marking consists of the symbol "CE" according to the design laid down in paragraph I.B(d) of the Annex to Decision 93/465/EEC[13]. The CE marking shall be at least 5 mm high. 2.The M marking consists of the capital letter "M" and the last two digits of the year of its affixing, surrounded by a rectangle. The height of the rectangle shall be equal to the height of the CE marking. The M marking shall immediately follow the CE marking. 3.The identification number of the notified body concerned shall follow the CE marking and the M marking. 4.When an exhaust gas analyser consists of a set of devices operating together, the markings shall be affixed on the instrument's main device. 5.The CE marking and the M marking shall be indelible. The identification number of the notified body concerned shall be indelible or self destructive upon removal. All markings shall be clearly visible or easily accessible. 1.In regulation 2(1), for the definition of "exhaust gas analyser" substitute the following definition—
(b) which is used or is to be used by a person authorised by the Department of the Environment for Northern Ireland to carry out the testing or inspection of vehicles under Part 3 of the Road Traffic (Northern Ireland) Order 1995[14];". 2.In regulation 14—
3.In regulation 19—
(b) for paragraph (9), substitute the following paragraph—
4.In regulation 25(3), the reference to section 14(1) of the Civil Evidence Act 1968 shall be construed as a reference to section 10(1) of the Civil Evidence Act (Northern Ireland) 1971[15]. (This note is not part of the Regulations) These Regulations implement Directive 2004/22/EC of the European Parliament and of the Council on measuring instruments (OJ No. L135, 30.4.2004, p.1) ("the Directive") in relation to exhaust gas analysers, which are measuring instruments covered by the Directive. Part 1 provides that these Regulations apply, with certain exceptions, to exhaust gas analysers intended for use for the protection of the environment and public health which are first placed on the market or put into use on or after the 30th October 2006. Part 2 deals with the requirements for placing on the market and putting into use. These are that exhaust gas analysers are compliant with the essential requirements, that the manufacturer has demonstrated such compliance with the essential requirements and that the instrument has the CE marking, the M marking and the identification number of the relevant notified body affixed to them (regulation 4(1)). It is an offence under regulation 4(2) to place on the market and put into use an exhaust gas analyser without complying with the requirements of regulation 4(1). The essential requirements are set out in Schedule 1. Compliance with the essential requirements can be demonstrated in accordance with the provisions in regulation 5. Regulation 6 sets out the different conformity assessment procedures available to a manufacturer to demonstrate compliance. The technical documentation required is set out in Schedule 3. Regulations 7 to 11 and Schedule 2 contain provisions relating to the eligibility and designation of persons as notified bodies and with the administrative procedures relating to their appointment, functions and fees. Requirements relating to the marking of exhaust gas analysers are set out in regulation 12 and Schedule 4. Regulation 13 provides for a presumption of conformity of an exhaust gas analyser with other applicable directives conferred by the CE marking. Part 3 deals with enforcement of these Regulations. Regulation 14 provides that the Secretary of State may act as an enforcement authority in relation to Part 2 and for that purpose may appoint any person to act on his behalf. Regulations 15 (compliance notice procedure) and regulation 16 (immediate enforcement action) confer powers on the enforcement authorities to take action in respect of non-compliant exhaust gas analysers. Regulation 17 permits a review by the Secretary of State of notices issued by other enforcement authorities under regulations 15 and 16. Regulation 18 details the offences relating to the unauthorised application of authorised marks. Regulation 19 provides a power of entry and inspection for enforcement officers. Regulation 20 provides for offences relating to the obstruction of an enforcement officer. A person guilty of an offence under Part 2 or Part 3 is liable on summary conviction to a fine not exceeding level 5 on the standard scale (which is currently £5,000) (regulation 21). A defence of due diligence in relation to any offence under these Regulations is provided for in regulation 22 and the liability of persons other than the principal offender is set out in regulation 23. Part 4 (regulations 24 to 26) deals with miscellaneous matters including the application of the Regulations to Northern Ireland to the extent set out in Schedule 5 (regulation 26). A full regulatory impact assessment of the effect that these Regulations will have on the costs of business is available from the Department for Transport, 5th floor, Southside, 105 Victoria Street, London SW1E 6DT (telephone number: 020 7944 2455). As these Regulations transpose the Directive in relation to exhaust gas analysers, a transposition note setting out how the Directive has been transposed into UK law has been prepared and can be obtained from the above address. Copies of these documents have been placed in the library of each House of Parliament. These documents may also be accessed on the OPSI website www.opsi.gov.uk. Copies of the EC Directives referred to in these Regulations can be obtained from the Stationery Office. Copies of the OIML R99/ISO 3930 may be obtained on-line at www.iso.org on payment of the appropriate charge. Notes: [1]1972 c. 68.back [2]S.I. 1975/427.back [3]OJ No. L135, 30.4.2004, p.1.back [4]1988 c.52.back [5]1995 c.25. S.I. 2002/1808, S.I. 2003/300 (W.42), and S.S.I. 2003/212 were made under the Environment Act 1995, section 87(1)(c), (2) and (5) and Schedule 11, paragraph 5.back [6]OJ No. L204, 21.7.1998, p.37.back [7]OJ No. L217, 5.8.1998, p.18.back [8]The application of Directive 2004/22/EC (OJ No. L135, 30.4.2004, p.1) was extended in 2005 to the European Economic Area by Decision No. 31/205 (OJ No. L198, 28.7.2005, p.20).back [9]OIML, the Organisation Internationale de Métrologie Légale, is an intergovernmental body dedicated to the harmonisation of the national metrology regulations of its members. The OIML R99 standard, edition 2000E, was developed by the OIML subcommittee TC16/SC 1, Air pollution. It was approved for final publication by OIML in 1997 and was submitted at the international conference in 2000. The OIML R99 standard is the same as ISO standard 3930. The Commission has identified and published this OIML standard pursuant to Article 16.back [10]1978 c.30.back [11]1968 c. 64.back [12]OJ No. L350, 28.12.1998, p.17.back [13]OJ No. L220, 30.8.1998, p.23.back [14]S.I. 1995/2994 (N.I.18).back [15]1971 c. 36.back ISBN0 11 074985 5 -- Back --
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