Reasonable Suspicion and Post Accident Drug Testing Sample Clauses

Reasonable Suspicion and Post Accident Drug Testing. All Juvenile Detention Officers who are reasonably suspected to be under the influence of alcohol or drugs by a trained management representative will be required to submit to drug and/or alcohol testing. Reasonable suspicion referrals will be made by a management representative who is trained to detect the signs and symptoms of drug and alcohol use and on the basis of documented objective facts and circumstances. Employees who are requested to submit to reasonable suspicion testing shall be removed from all duties until determined fit for duty. Employees will be subject to post-accident drug and alcohol testing when involved in an on-the-job motor vehicle accident that results in injury, death, or a moving violation that causes the vehicle to be towed from the accident scene. With the exception of a medical emergency or detention by law enforcement, an employee must receive supervisor approval to leave the accident scene. An employee subject to post-accident drug test shall be transported to the collection site by a management representative and will not be permitted to drive. When an employee, including non-vehicle operators, is involved in a qualifying motor vehicle accident and leaves the scene without a justifiable explanation prior to being released by a supervisor or submitting to drug and alcohol testing, the employee’s actions will be considered a refusal to test.
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Reasonable Suspicion and Post Accident Drug Testing. (a) The drug(s) identified for testing must be rationally related to the basis for the Reasonable Suspicion testing. It requires a recommendation of a supervisor who is at least one level of supervision higher than the immediate supervisor of the employee in question. Administration shall promptly detail in writing the circumstances which formed the basis of the determination that the reasonable suspicion existed to warrant the testing. A copy must be given to the employee upon request. The original documentation must be kept by the employer for one (1) years and must be kept confidential. (b) Post- Accident Testing will commence at the discretion of the Fire Chief, or designee, if there is a belief that the employee contributed to the accident or there are signs of obvious impairment of the vehicle operator. . These determinations must be made at the time of the incident and any drug test ordered must be completed within 48 hours. on all vehicle operators of all vehicle accidents; resulting in property or equipment damage, if injuries occurred and have the potential for lost time and/or are serious in nature, and on all injuries due to inattentiveness. Administration shall promptly detail in writing the circumstances which formed the basis of the determination that the reasonable suspicion existed to warrant the testing. A copy must be given to the employee upon request. The original documentation must be kept by the employer for one (1) year and must be kept confidential. (c) Tests will include saliva based. Saliva swab tests will include Amphetamines (AM), Methamphetamines (ME), Marijuana (TH), Phencyclidine (PC), Cocaine (CO), Opiates (OP), and Alcohol. Any swab level of alcohol below 0.02% is considered a negative test and no discipline will follow. Any swab level of alcohol above a 0.02% is considered a positive test and will be followed by a confirmation test.
Reasonable Suspicion and Post Accident Drug Testing. 1. Reasonable Suspicion Drug Testing

Related to Reasonable Suspicion and Post Accident Drug Testing

  • Reasonable Suspicion Testing All Employees Performing Safety-Sensitive Functions A. Reasonable suspicion testing for alcohol or controlled substances may be directed by the Employer for any employee performing safety-sensitive functions when there is reason to suspect that alcohol or controlled substance use may be adversely affecting the employee’s job performance or that the employee may present a danger to the physical safety of the employee or another. B. Specific objective grounds must be stated in writing that support the reasonable suspicion. Examples of specific objective grounds include but are not limited to: 1. Physical symptoms consistent with alcohol and/or controlled substance use; 2. Evidence or observation of alcohol or controlled substance use, possession, sale, or delivery; or 3. The occurrence of an accident(s) where a trained manager, supervisor or lead worker suspects alcohol or other controlled substance use may have been a factor.

  • Workplace Violence Prevention and Crisis Response (applicable to any Party and any subcontractors and sub-grantees whose employees or other service providers deliver social or mental health services directly to individual recipients of such services): Party shall establish a written workplace violence prevention and crisis response policy meeting the requirements of Act 109 (2016), 33 VSA §8201(b), for the benefit of employees delivering direct social or mental health services. Party shall, in preparing its policy, consult with the guidelines promulgated by the U.S. Occupational Safety and Health Administration for Preventing Workplace Violence for Healthcare and Social Services Workers, as those guidelines may from time to time be amended. Party, through its violence protection and crisis response committee, shall evaluate the efficacy of its policy, and update the policy as appropriate, at least annually. The policy and any written evaluations thereof shall be provided to employees delivering direct social or mental health services. Party will ensure that any subcontractor and sub-grantee who hires employees (or contracts with service providers) who deliver social or mental health services directly to individual recipients of such services, complies with all requirements of this Section.

  • Erosion Prevention and Control Purchaser’s Operations shall be conducted reasonably to minimize soil erosion. Equipment shall not be operated when ground conditions are such that excessive damage will result. Purchaser shall adjust the kinds and intensity of erosion control work done to ground and weather condi- tions and the need for controlling runoff. Erosion control work shall be kept current immediately preceding ex- pected seasonal periods of precipitation or runoff.

  • Musculoskeletal Injury Prevention and Control The hospital in consultation with the Joint Health and Safety Committee (JHSC) shall develop, establish and put into effect, musculoskeletal prevention and control measures, procedures, practices and training for the health and safety of employees.

  • Random Drug Testing All employees covered by this Agreement shall be subject to random drug testing in accordance with Appendix D.

  • Evaluation, Testing, and Monitoring 1. The System Agency may review, test, evaluate and monitor Grantee’s Products and services, as well as associated documentation and technical support for compliance with the Accessibility Standards. Review, testing, evaluation and monitoring may be conducted before and after the award of a contract. Testing and monitoring may include user acceptance testing. Neither the review, testing (including acceptance testing), evaluation or monitoring of any Product or service, nor the absence of review, testing, evaluation or monitoring, will result in a waiver of the State’s right to contest the Grantee’s assertion of compliance with the Accessibility Standards. 2. Grantee agrees to cooperate fully and provide the System Agency and its representatives timely access to Products, records, and other items and information needed to conduct such review, evaluation, testing, and monitoring.

  • Meteorological Data Reporting Requirement (Applicable to wind generation facilities only)

  • Post-Accident Testing All Employees‌ Post-accident drug and alcohol testing may be conducted by the Employer for any employee when a work-related incident has occurred involving death, serious bodily injury or significant property/environmental damage, or the potential for death, serious bodily injury, or significant property/environmental damage, and when the employee’s action(s) or inaction(s) either contributed to the incident or cannot be completely discounted as a contributing factor. Referral for post-accident testing will be made in accordance with Subsection 22.5 C, above.

  • Drug Testing (A) The state and the PBA agree to drug testing of employees in accordance with section 112.0455, F.S., the Drug-Free Workplace Act. (B) All classes covered by this Agreement are designated special risk classes for drug testing purposes. Special risk means employees who are required as a condition of employment to be certified under Chapter 633 or Chapter 943, F.S. (C) An employee shall have the right to grieve any disciplinary action taken under section 112.0455, the Drug-Free Workplace Act, subject to the limitations on the grievability of disciplinary actions in Article 10. If an employee is not disciplined but is denied a demotion, reassignment, or promotion as a result of a positive confirmed drug test, the employee shall have the right to grieve such action in accordance with Article 6.

  • Clinical Data and Regulatory Compliance The preclinical tests and clinical trials, and other studies (collectively, “studies”) that are described in, or the results of which are referred to in, the Registration Statement or the Prospectus were and, if still pending, are being conducted in all material respects in accordance with the protocols, procedures and controls designed and approved for such studies and with standard medical and scientific research procedures; each description of the results of such studies is accurate and complete in all material respects and fairly presents the data derived from such studies, and the Company and its subsidiaries have no knowledge of any other studies the results of which are inconsistent with, or otherwise call into question, the results described or referred to in the Registration Statement or the Prospectus; the Company and its subsidiaries have made all such filings and obtained all such approvals as may be required by the Food and Drug Administration of the U.S. Department of Health and Human Services or any committee thereof or from any other U.S. or foreign government or drug or medical device regulatory agency, or health care facility Institutional Review Board (collectively, the “Regulatory Agencies”); neither the Company nor any of its subsidiaries has received any notice of, or correspondence from, any Regulatory Agency requiring the termination, suspension or modification of any clinical trials that are described or referred to in the Registration Statement or the Prospectus; and the Company and its subsidiaries have each operated and currently are in compliance in all material respects with all applicable rules, regulations and policies of the Regulatory Agencies.

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