Quarry Design Handbook
Quarry Design Handbook
Quarry Design Handbook
SITE SELECTION
DETAILED DESIGN
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As is indicated on the diagram in the introduction to Part II, in Figure 4-1, and mentioned throughout
this Handbook, there is a need for significant feedback, iteration and overlap between these design
stages, but they are listed above in generally chronological order. The information requirements and
investigations described in Chapters 2 and 5 are relevant throughout the operational and restoration
design stage, although most collection of information and site investigation is generally complete
before design stage iii. For some operations, there may be little or no distinction between the first two
stages, and items i. and ii. are often substantially completed during the site selection phase described
in Chapter 3, particularly if a site has been promoted by a Developer for inclusion in the land bank.
Each of the design stages listed above is given a separate section in this chapter, generally structured
as follows:
Objectives
Design requirements
Information requirements
Deliverables
The sections describing design stages ii, iii, and iv (sections 4.2 to 4.4) include examples of the design
plans produced for a hard rock (crushed rock aggregate) quarry and a sand and gravel quarry; the
same sites are used for all three examples to show the progression.
There are several design (or technical) requirements noted for each of the design stages described in
Sections 4.1 - 4.6 and illustrated on Figure 4-1. Appendix 4 in Part IV includes a number of more
detailed documents describing in more detail how these technical requirements can be met at each
stage in the design process. There are nine documents in this appendix, which identify the principal
design elements or activities required to design the operational layout, excavation geometry and
restoration scheme. The design elements selected for more detailed treatment in Appendix 4 are:
Appendix 4-1 Principles of design in sand and gravel quarries
Appendix 4-2 Principles of design in quarries producing crushed rock aggregate
Appendix 4-3 Resource evaluation
Appendix 4-4 Excavation and tip design
Appendix 4-5 Design of water management and lagoon systems
Appendix 4-6 Haulage method selection and design of haul routes
Appendix 4-7 Restoration and after-use design
Appendix 4-8 Design for enhanced conservation and access opportunities
Appendix 4-9 Key elements of EIA for quarries and design approaches to minimising
environmental impact
Appendix 4-10 Feasibility assessment and option selection
Appendix 4-11 Worked examples based on the sand and gravel case history
Appendix 4-12 Worked examples based on the crushed rock aggregate case history
The first two of these papers (Appendices 4-1 and 4-2) describe, in more detail than is possible in this
chapter, the particular approaches and constraints relevant to design in sand and gravel quarries and
quarries producing crushed rock aggregates. The specific design elements in Appendices 4-2 to 4-10
have been chosen as being those that most significantly affect operational and restoration layouts,
and/or which have the greatest impact on safety, efficiency, viability and environmental impact of a
quarry and/or its restoration scheme. Most of these design elements are relevant in varying levels of
detail and complexity at all of the key design stages listed above and discussed in Sections 4.1 to 4.6
below. For example, a resource evaluation made at the site selection or conceptual design phase
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must be constantly refined and re-visited as more information becomes available and as the design
becomes more detailed. By the end of the process, there should be high confidence in all the
assumptions underlying the resource statement, and the measurements themselves will have been
made from a detailed model meeting the key criteria for good quarry design. It should also be
possible, by the end of the detailed design stages (iv and v) to report the resources against individual
phases of working.
The relationships between the approaches and techniques described in Appendix 4 and the various
design stages described in Sections 4.1 to 4.6 are indicated in Figure 4-1 and highlighted in Appendix
4 as appropriate. Appendices 4-11 and 4-12 provide worked examples of the design requirements
and deliverables at each stage of the design process for the sand and gravel and hard rock case
studies used to illustrate sections 4.2 to 4.4 of the text.
Whilst providing more detailed information than sections 4.1 - 4.6 on individual design elements, the
documents in Appendix 4 are not intended to provide a detailed technical manual; it is not the purpose
of this Handbook to replicate the wealth of practical guidance already publicly available elsewhere.
However, the Handbook does set out to assist the reader to gain a good appreciation of what is
required and how it can be achieved. It also guides the reader to sources of detailed information and
guidance on techniques and methods through references to published and public access information.
Where there is no readily available supporting material easily accessible in the public domain, we
have incorporated in the Appendix 4 documents materials produced by the authors (but as yet
unpublished elsewhere). Appendix 4 can be found on the CD in Part IV.
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4.1 ESTABLISHING THE DESIGN BRIEF
4.1.1 Objectives
As described in Part I and in the introduction to this chapter, the quarry design process is a complex
balancing exercise between environmental, operational (including safety), commercial and planning
constraints. Unsatisfactory impacts on any of these may result in the project being abandoned
through refusal of planning permission or licence applications, through withdrawal of the proposals by
the developer (e.g. if that which is permitted is uneconomic to implement) or even failure of the
operation once underway if problems surface that were not recognised during the design process (e.g.
more waste arising than anticipated and no room to accommodate it).
The final design should be such that:
The proposed quarry operation will satisfy the financial and strategic requirements of the
owner/operator.
The site is capable of being worked safely, effectively and efficiently through all phases of the
project.
The project will stand up to environmental scrutiny, potential negative environmental impacts are
appropriately prevented or mitigated, and opportunities for environmental benefits are included.
The site can be operated in compliance with all relevant legislation and planning requirements.
Consideration and accommodation of concerns by non-statutory consultees, including the local
population and special interest groups, can be demonstrated.
Quarry design solutions should be practical to implement, appropriate to the scale and complexity of
the site and present real value for money. Beneath the over-arching design objectives listed above,
the financial, environmental and safety implications of design options should be clearly defined by the
design team to allow informed choices to be made by the Developer. Similarly, it is important that the
design team understands the Developers objectives and requirements in four critical areas:
Key dates for the design and application process
The total resources to be secured and the rate of mineral production
Minimum required return on investment
Successful negotiation of the planning and licensing system
As is illustrated in Figure 4-1, and in sections 4.2 to 4.6 below, progressive stages of design
necessarily lead to increasing complexity and detail. Feedback, input of further information collected
and analysis as part of an environmental assessment or geological/geotechnical site investigation, and
iteration are vital components in the process. There is a danger that the process becomes solely
focussed on one objective, often applying for and securing planning permission, and that other
objectives are overlooked.
Example scenario:
Between the conceptual design phase and submission of a planning application,
environmental assessment and comprehensive consultations have taken place. Two
major design changes have been made, that have a significant impact on the recoverable
resources within the site:
The floor level of the operation has been raised above the water table to address
objections by the Environment Agency relating to protection of an aquifer.
Final excavation slopes have been flattened, within the limit of excavation
established after the conceptual design stage, to mitigate landscape impacts of
the final restoration through landform replication.
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Planning permission is granted and it is not until a business plan is drawn up prior to
implementation of the permission that the Developer realises that the operation cannot
deliver the return on investment required
Agreement of clear objectives and a related design brief at an early stage is a helpful framework both
for managing a quarry design project (see also Chapter 8) and for avoiding unforeseen situations
arising (such as that described in the scenario) through early identification of imbalance between
operational, environmental and commercial objectives and outcomes. At the end of each design stage
and after any significant design change (especially those affecting recoverable resources), a review
should be carried out of key elements of the design brief, amounting to addressing the question are
we still prepared to invest our money in this project?.
4.1.2 Technical requirements
A design risk assessment approach to ongoing checking of a design against its agreed commercial
objectives is set out in Chapter 6.
The design risk assessment approach described in Chapter 6 considers all design risks at a variety of
scales and levels of importance in terms of potential impact of changes as the quarry design evolves.
Monitoring of compliance with the overall design brief is likely to be best achieved through repeated
updating of a discounted cash flow model created during the feasibility study phase and developed
through out the design phase so as to become the key element of a business plan (Appendix 6-*).
4.1.3 Information requirements
Information required by the design team as part of a design brief is listed at Section 5.* of Chapter 5.
At this time, it is likely that the primary information described in Chapter 2, at a level of detail
appropriate to conceptual design, will also be available and will inform the drawing up of the brief.
4.1.4 Deliverables
The complexity of the design brief is likely to vary, depending on the complexity of the project and
internal company systems. At its simplest, it might simply state that a planning application is required
for the site by a certain date and state the minimum saleable tonnage that must be produced on an
annual basis for a specified number of years. For more complicated projects, especially where there
is to be an EIA with wide scope, the design brief might be split into stages reflecting the design stages
that form the structure for this chapter. A detailed specification of work would be provided for each
design stage and decision points would be identified for checking the design against the overall
commercial objectives of the project (which are unlikely to be obtain planning permission whatever
the cost). The advantage of the latter approach is that it can form a basis for building a budget,
identifying appropriate specialist inputs required and appointing specialists, and monitoring
performance against the budget. If there is significant uncertainty in any key area (for example,
whether an ES will be needed and, if so, what its scope will be), it is sensible to set out the details of
the design brief in phases of work (that may reflect the quarry design stages in this chapter); early
phases can be carefully planned, with full details of later phases (and detailed programmes and
budgets) to be completed later as more information becomes available about what will be required.
The advantage of this approach is that the phases of work provide natural points at which to re-visit
the project objectives and to make positive decisions as to whether to continue or not.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
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Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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Figure 4-3 Sketches showing approaches to open pit development
Figure 4-4 Sketches showing approaches to restoration landform formation
Open pit quarry - method 1
1
2
3
4
Benches are worked successively, such that the
entire excavation area is disturbed throughout the
operation.
Overburden, soils, quarry waste and any material
that cannot be sold directly must be stored outside
the excavation limit, for which storage space is
required.
Method is suitable for bulk minerals where there is
plenty of out of pit tipping space for overburden,
soils, waste and stock storage, or in small sites
where method 2 is impractical.
Open pit quarry - method 2
1 2
3
A void is created to the full depth of the deposit (1)
and then full faces are advanced (2) then (3) at
multiple bench levels.
This method allows progressive replacement of
overburden and soils in low level restoration or
backfilling with landfill as soon as the faces have
advanced sufficiently to create space for this to
happen.
The overburden, soils, and quarry waste from the
initial void (1) must be stored outside the
excavation limit, but the space required will
generally be smaller than for method 1.
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4.2 CONCEPTUAL DESIGN, OPTION SELECTION AND FEASIBILITY STUDY
4.2.1 Objectives
Conceptual design is undertaken once a site has been identified for development. It is directed
towards:
Identification of aims and objectives of the quarry design (e.g. required production rates, total
reserve and reserve life required, preferred after-use or final restoration landform).
Broad brush design of one or more options for working and restoring the site at a level of detail
suitable for the investigation of feasibility, identification of key environmental, geotechnical and
operational constraints, and estimation of resources, waste and restoration materials.
Option selection based on environmental scoping and broad brush environmental and
operational assessments
An agreed specification for the detailed design answering the following questions or identifying
further work required to allow the design to proceed:
Where will the final excavation limits be?
What are the access requirements?
What excavated slope angles will be stable in each geotechnical domain, and what are
the design rules that should be applied to excavations?
What should the design rules be for tips (overburden, soils, mineral stockpiles, lagoons
etc) and excavations (including faces and haul roads)?
What will the excavated quarry floor levels be?
Will the workings be wet or dry?
If dry, will pumping of groundwater be required to keep them dry during the operation?
Will the quarry be worked by method 1 or method 2 depicted on Figure 4-3?
What will the direction(s) of working be and/or how will the operation be phased (in broad
terms)?
How will surface water be managed and where will surplus surface water be discharged?
What excavation and loading plant will be used at the face?
Will there be any blasting or other ground preparation required?
How will the mineral be hauled within the site (haul roads, conveyors)?
If haul roads, what will be the size and number of trucks used?
Is there a need for selective excavation to optimise quality or waste arisings?
If so, how can that be achieved?
What mineral processing will take place on site?
What are the plant site/staff and visitor requirements (layout and size of buildings and
other structures)?
How much space will it require and where will it be located?
What products will it produce?
How much process waste will arise (as a percentage of run of quarry material delivered to
the processing plant)?
Will there be progressive restoration?
If restoration will be progressive (see Figure 4-3, method 2), how much space will be
required out of pit to accommodate quarry and process waste, overburden and soils that
cannot be replaced in the working void in their permanent location in the early years?
If restoration will not be progressive, where will the waste, overburden and soils stripped
during the life of the quarry be stored? Will these storage arrangements be temporary
(i.e. replacement of material in the void on completion of extraction) or permanent?
What will the final restoration landform be (see Figure 4-4)?
What after-uses will the final restoration scheme be suitable for?
What are the key operational constraints and drivers on the operation (safety, feasibility)?
What are the key environmental constraints and drivers on the operation (EIA scoping)?
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Specification of further geological and geotechnical site investigations and environmental baseline
studies required to support detailed design phases.
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4.2.2 Design requirements
The principal design requirements at this stage are:
Preparation of 3D surface models of all key geological surfaces (Chapter 5, Section 5.* and
Appendix 4-3):
Ground surface
Rockhead (the interface between the bedrock and superficial materials)
Significant surfaces within the target mineral (e.g. top, base and lateral extent of materials
that comprise waste materials, water table, major faults)
The base of the target mineral (where relevant)
Definition of geotechnical domains and allocation of appropriate design rules for each domain.
3D design of final excavation voids and outline site layouts based on a range of possible
restoration, processing and phasing options and with varying sets of environmental and
commercial assumptions.
Using the surface models and 3D excavation design, measurement of volumes of all materials to
be excavated (mineral, top soil, sub soil, superficial material, waste within the deposit) and
estimation of run of mine and recoverable tonnages (Appendix 4-3)
For each working option, provisional zoning of excavation into geotechnical domains within which
similar potential modes of failure may occur and require particular design solutions (Appendix 4-4)
Provisional identification of primary environmental constraints for each working option considered,
and scoping of environmental assessment (Appendix 4-9)
Comparative analysis of options (Figure 4-5 and Appendix 4-10
4.2.3 Information requirements
Information requirements (see Chapter 5, section 5.*):
Base mapping and geological desk studies
Ground survey and site boundaries
Provisional geological models and quality information
Provisional geotechnical design rules
Results of environmental baseline studies completed to date
Significant environmental controls and key restoration concepts (e.g. landform replication)
4.2.4 Deliverables
A set of plans and resource tables identifying one or more options available for working the site
Comparative analysis of design options produced at Stage i, and agreement of the design option
that should go forward to be worked up into a planning application (see Figures 4-5 and 4-6 and
the worked examples based on the case study sites in Appendices 4-11 and 4-12).
Feasibility study of the selected option including building of an economic model (Appendix 4-10
and 6-*)
A design brief for the preparation of the planning application, including a set of plans, tables and
descriptive material for the conceptual design option selected (see Figures 4-7 and 4-8 and
Appendices 4-11 and 4-12).
A scoping study (or matrix) for an EIA (suitable for submission to the MPA with a request for a
scoping opinion) (Appendices 4-9, 4-11 and 4-12.
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Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
Excavation option:_____________________ Restoration option:_______________________
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N/A Notes
Open pit working method
Direction of working/overall phasing
Final restoration geometry/landform
After-use potential
Accommodation of waste
Potential for progressive restoration
Suitability for proposed after-uses
Environmental constraints/issues
Visual/landscape impact
Noise and vibration impact
Traffic impact
Impact on surface and groundwater
Impact on ecology
Impact on geodiversity
Impact on archaeology and cultural/social
heritage
Impact on soils and land-use
Geotechnical constraints/issues
Excavated slope stability (including rockfall,
bench and face scale failures, weak materials)
Tip material properties and foundation
conditions
Hydrogeological setting
Water management requirements
Haulage proposals
Processing proposals
Estimated recoverable resource m tonnes
Resource life
Figure 4-5 Proforma for SWOT analysis of alternative conceptual design options
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Excavation option 1 Excavation option 2 Excavation option 3
Restoration option 1 Restoration option 2 Restoration option 3
Key quantities and issues for
Option 1
Key quantities and issues for
Option 2
Key quantities and issues for
Option 3
Figure 4-6 Thumbnail sketches and descriptions showing range of conceptual design
options
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Final excavation plan and site layout (with annotations)
Final restoration contour plan and site layout (with annotations)
Explanatory cross section(s)
Figure 4-7 Example of a conceptual design for a sand and gravel site
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Final excavation plan and site layout (with annotations)
Final restoration contour plan and site layout (with annotations)
Explanatory cross section(s)
Figure 4-8 Example of a conceptual design for a crushed rock aggregate operation
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4.3 DESIGN OF THE FINAL VOID AND RESTORATION SCHEME
4.3.1 Objectives
The objectives of this design stage are to refine the selected conceptual quarry design to produce a
detailed scheme that will form part of the planning application and, eventually, operational plans. This
refinement has the following objectives:
Incorporation of results of further geological, geotechnical, or environmental site investigations and
related modelling and assessment that may have been indicated at the conceptual design stage to
address unacceptable uncertainty identified through feasibility study/option selection.
Incorporation of design changes resulting from consultations and environmental assessment of
the conceptual scheme, in particular landscape and visual impact analysis, noise and ecology.
Changes are likely to be iterative until the best safe, economic and environmental solution is
agreed by the design team and relevant statutory and other consultees.
Incorporation of changes in operating methods, haulage, processing, etc identified during the
more detailed financial analysis of the conceptual scheme, taking account of further information.
Preparation of more detailed design models than at conceptual design phase, suitable as the
basis for detailed environmental assessment activities (e.g. modelling of noise or visual/landscape
impacts requires the detail of benches, final roads to be shown).
Preparation of updated resource statements and associated economic models.
4.3.2 Design requirements
Detailed design of final excavated slope design (layout and profiles) based on geotechnical
analysis of proposed slopes, assessment of risks and mitigation measures with respect to specific
site areas and activities (Appendix 4-4).
Design of out of pit tips, bunds and stockpiles (see Appendix 4-4)
Detailed haul road (or conveyor route) design (see Appendix 4-6).
Detailed design of water management infrastructure (in-pit sumps, attenuation ponds, settlement
lagoons, discharge arrangements, pumping arrangements and ditches) (See Appendix 4-5)
Detailed design of final restoration landform incorporating site derived and (if appropriate)
imported fill materials and taking account of excavated slope requirements in restoration (e.g.
flattened slopes for landscape, geoconservation, margins of water bodies, replication natural
landforms etc) (Appendices 4-7 and 4-8)
Iterative consideration of the results of the ongoing EIA and adjustments to elements of the design
to eliminate or mitigate unacceptable impacts (see Appendix 4-9)
Provision of revised assumptions and parameters for the economic/feasibility model and
adjustments to design to reflect further economic appraisal and commercial risk assessment
(Appendices 4-10 and 6-*).
4.3.3 Information requirements
Results of further site investigations undertaken after conceptual design phase.
Results of ongoing EIA.
Amended commercial assumptions that affect design (e.g. change in annual output, change of
processing plant leading to change to amount of process waste and/or product mix etc)
4.3.4 Deliverables
A detailed plan showing the final excavation geometry of the quarry on completion (including all
benches and haul routes) and the layout of all site infrastructure (site access arrangements,
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processing plant, site offices, weighbridge, wheelwash etc, water management facilities, out of pit
tipping areas for overburden and waste, and areas for the storage of soils)
A schedule derived from the final excavation geometry setting out the measured volume and
estimated in situ and recoverable tonnages of mineral to be recovered in the designed final void,
and detailing volumes of:
soils to be stripped and stored
overburden to be stripped and stored
waste within the deposit to be excavated and discarded before processing
processing waste that will arise
A detailed plan showing the final restoration geometry of the quarry on completion and the land-
use(s) following closure.
A restoration schedule setting out the total area to be disturbed and the amount of soils and other
restoration materials required to deliver the proposed restoration landform.
An updated resource statement based on measurement of volumes from the detailed design
model(s) and refined economic model and incorporation of cost assumptions reflecting the
operational design decisions confirmed at this stage.
Examples of final excavation and restoration design plans for the case study operations are shown on
Figures 4-9 and 4-10 and worked examples of the design requirements and deliverables are included
in Appendices 4-11 and 4-12.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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Final excavation plan and site layout (with annotations)
Final restoration contour plan and site layout (with annotations)
Explanatory cross section(s)
Figure 4-9 Example of a detailed final excavation/restoration design for a sand and gravel
site
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Final excavation plan and site layout (with annotations)
Final restoration contour plan and site layout (with annotations)
Explanatory cross section(s)
Figure 4-10 Example of a final excavation/restoration design for a crushed rock aggregate
operation
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4.4 DESIGN OF PHASED WORKING AND RESTORATION SCHEME
4.4.1 Objectives
The objective of designing a phased working and restoration scheme is to demonstrate that the site
can be taken from its current state to the proposed end state designed in stage iii (section 4.3), and
describe exactly how that will be achieved. There are three reasons why this is important:
To demonstrate to the operator that the proposed scheme is feasible and can be implemented
safely and economically throughout, with no surprises such as a temporary surplus of overburden
or waste that cannot be accommodated in the available backfill or tip space at that time, or
problems moving from one phase to another without double handling of material, loss of resources
or encountering adverse geotechnical settings.
To provide the environmental assessment team with the information they need to model impacts
at critical stages throughout the operational life of the quarry, for the purposes of producing an
environmental statement, to provide feedback to the design so that design changes can be
considered to avoid unacceptable environmental impacts where possible, and as a basis for
recommendation of mitigation measures where design amendments are not possible or not
sufficiently effective.
To explain to the MPA, consultees and all other stakeholders how the operation will unfold during
its life and underpin environmental impact assessments demonstrating its impacts during
operation and how they are to be mitigated (or avoided through design).
Although this design stage is presented here as part of an overall design process associated with
preparing a planning application for new development (including extensions), it can be an important
component of operational planning where planning permissions exist but no phased operational
design exists as part of the permission (only a final restoration geometry, or sometimes only a final
excavation geometry). Whilst such planning permissions are now fewer in number, (as a result of the
periodic reviews of mineral planning applications described in Chapter 1 of this Handbook), some still
do exist and even those which have been reviewed under the relevant acts may not have detailed
phase plans attached to them. Design of all excavations and tips is a requirement of the Quarries
Regulations and is the basis for operational and business planning.
4.4.2 Design requirements
Establishment of design rules for ongoing operations These design rules will be additional to
those established during the design of the final geometry of the operation (section 4.3) to reflect all
activities and structures within the quarry excavation as it is worked. These are likely to include:
Working face and bench alignment and geometry
Haul route alignments and traffic flow arrangements
Tipping rules for waste materials and overburden placed in backfill or out of pit tips
Minimum standoffs between backfill/restoration and working areas of the quarry
Arrangements for managing surface water within the pit (sump, pump and ditch
requirements)
Frequency of soil and overburden stripping
Arrangements for progressive restoration requirements
Preparation of detailed staged working plans ensuring a balance at every stage between non-
mineral materials (soils, overburden, quarrying waste, process waste) shown to be in storage or
placed in final restoration with volumes excavated (and arising from processing). The preparation
of these detailed working plans is likely to give rise to adjustments to some of the features shown
on the final excavation/final restoration designs produced at stage iii (Section 4.3) either because
of design changes for environmental mitigation or as a result of the process of scheduling non-
mineral materials, leading to amendments to tip capacities or the amount of progressive
restoration that can be achieved at any particular stage.
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4.4.3 Information requirements
Results of ongoing EIA and outcomes of ongoing public consultation and pre-application
discussions with the MPA and consultees.
Amended commercial assumptions that affect design (e.g. change in annual output, change of
processing plant leading to change to amount of process waste and/or product mix etc)
4.4.4 Deliverables
Typically, plans representing the operation at given time periods (e.g. every 5 years for a 20 year
life operation) or representing critical stages in the development would be prepared for a planning
application.
The phase plans should be accompanied by a schedule which relates to the phases shown and
includes details such as total and incremental volume and tonnage of mineral recovered, volume
of spoil in permanent and temporary storage, area of working, area available for permanent
restoration.
Description of the operation (supported by the plans and schedule) to form the basis for
supporting material in the Planning Application and Environmental Statement (and/or for related
PR and consultation initiatives).
Updated resource statement and economic model incorporating all up to date volumes, tonnages
and working assumptions.
Examples of phased excavation and restoration designs are shown in Figures 4-11 and 4-12 and
worked examples of the design requirements, larger scale versions of the plans and supporting
documents are provided in Appendices 4-11 and 4-12.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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Figure 4-11 Example of phased working and restoration plans for a sand and gravel
operation
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Figure 4-12 Example of phased working and restoration plans for a crushed rock aggregate
operation
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4.5 PREPARATION AND SUBMISSION OF PLANNING APPLICATION
4.5.1 Objectives
4.5.2 Design requirements
4.5.3 Information requirements
4.5.4 Deliverables
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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4.6 PRE-PRODUCTION REQUIREMENTS
4.6.1 Objectives
Once planning permission has been granted, it cannot be implemented until certain preliminary
matters are dealt with:
All relevant permits or licences must be obtained (e.g. discharge licence, abstraction licence,
licences relating to the movement of protected species, PPC permit for any imported landfill if
applicable (or a waste exemption certificate application)).
All obligations in legal agreements (e.g. Section 102) and the planning conditions must be
complied with. These may include submission and approval of schemes of monitoring, details of
access or offsite road improvement works, completion of purchase or access arrangements or
provision of information.
The notice, documentation and reporting requirements of the Quarries Regulations must be
complied with.
The preliminary site works (e.g. erection of plant and offices, construction of access
arrangements, initial overburden and soil removal etc) must be planned and contracts may need
to be drawn up and put out to tender.
Quarry phase and final excavation/restoration plans may be supplied to the quarry management
team at suitable scales and/or 3D models to support the setting out and ongoing working of the
site.
Economic models may be supplied to the quarry management team as a basis for drawing up
detailed business plans and implementing management systems.
A good quality quarry design should incorporate or anticipate all of these requirements so that further
design work at this stage is, where possible, limited to the abstraction of detail from the application
documents (including the ES) and presentation in an appropriate format. There may be additional
technical matters to cover, especially if the permitted restoration is to be achieved through importation
landfill that requires a PPC permit some of the risk assessments required in these circumstances will
go beyond what is necessary for an EIA.
4.6.2 Design requirements
Members of the design team may contribute the following at the pre-production stage:
Geotechnical assessments and, where indicated, geotechnical appraisals of the design and
related reporting and/or HSE notifications for the health and safety file (Quarries Regulations
1999, especially Regulation 7 and Part VI (Regulations 30-38)).
Design and related risk assessments for any imported waste that has been permitted (either for a
PPC permit application or an application for a Waste Management Licence or Waste Exemption
Certificate).
Design and submission for approval of any details or schemes of working or monitoring that may
be required by the planning conditions.
Preparation of bills of quantity and/or working specification for work that may be done under
contract (e.g. soil and/or overburden stripping, construction of lagoons and ditches etc).
4.6.3 Information requirements
All the information required to deliver the pre-production requirements should exist with the quarry
design, either in the planning application/ES itself or in the supporting schedules, models and working
papers associated with the design process.
4.6.4 Deliverables
Any and all required documents to support the pre-production requirements. This will always include:
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The health and safety file required by the Quarries Regulations 1999;
Applications for permits and licences; and
Details required to be submitted to the MPA and others under the planning conditions.
The pre-production documentation to which the design team may contribute may also include:
Contract documents for preliminary or ongoing works that will be put out to contract
Operational and business planning and monitoring documents
Examples of pre-production documentation are given in Appendices 4-11 and 4-12 for the case
studies.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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CHAPTER 5
INFORMATION REQUIREMENTS AND INVESTIGATIONS TO
SUPPORT DESIGN OF THE OPERATION
5.1 INFORMATION TO SUPPORT ESTABLISHMENT OF THE BRIEF..........................4
5.2 SITE PLAN................................................................................................................6
Why?...................................................................................................................... 6
What & How? ........................................................................................................ 6
Who? ..................................................................................................................... 6
Input into the design process.............................................................................. 6
Design of the operation and its restoration............................................................6
Environmental assessment ...................................................................................7
Safety ...................................................................................................................7
Costs and benefits ................................................................................................7
5.3 GEOLOGY.................................................................................................................9
Why?...................................................................................................................... 9
What & How? ........................................................................................................ 9
Desk Study ...........................................................................................................9
Design and notification of site Investigation...........................................................9
Investigation (this section needs expansion and references to appendices with
details) ..................................................................................................................9
Reporting ............................................................................................................10
Who? ....................................................................................................................10
Input into the design process.............................................................................10
Design of the operation and its restoration..........................................................10
Environmental assessment .................................................................................11
Safety .................................................................................................................11
Costs and benefits ..............................................................................................11
5.4 GEOCONSERVATION............................................................................................12
Why?.....................................................................................................................12
What & How? .......................................................................................................12
Who? ....................................................................................................................12
Input into the design process ..............................................................................12
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Environmental assessment .................................................................................13
Safety .................................................................................................................13
Costs and benefits ..............................................................................................13
5.5 SURFACE WATER..................................................................................................14
Why?.....................................................................................................................14
What and how?....................................................................................................14
Background desk study.......................................................................................14
Site Investigations...............................................................................................15
Analysis and consultations..................................................................................15
Who? ....................................................................................................................15
Input into the design process.............................................................................15
Design of the operation and its restoration..........................................................15
Environmental assessment .................................................................................16
Safety .................................................................................................................16
Costs and benefits ..............................................................................................16
5.6 GROUNDWATER....................................................................................................18
Why?.....................................................................................................................18
What & How? .......................................................................................................18
Desk study. .........................................................................................................18
Baseline investigations.......................................................................................18
Conceptual modelling..........................................................................................19
Further site investigations ...................................................................................19
Who? ....................................................................................................................19
Input into the design process.............................................................................19
Design of the operation and its restoration..........................................................19
Environmental assessment .................................................................................19
Safety .................................................................................................................19
Costs and benefits ..............................................................................................20
5.7 LANDSCAPE AND VISUAL.....................................................................................21
Why?.....................................................................................................................21
What & How..........................................................................................................21
Background desk study.......................................................................................21
Site visits and investigations ...............................................................................21
Who? ....................................................................................................................22
Input into the design process.............................................................................22
Design of the operation and its restoration..........................................................22
Environmental assessment .................................................................................23
Safety .................................................................................................................23
Costs and benefits ..............................................................................................23
5.8 ARCHAEOLOGY/CULTURAL HERITAGE ..............................................................24
Why?.....................................................................................................................24
What & How? .......................................................................................................24
Background desk study.......................................................................................24
Site visits and investigations ...............................................................................24
Who? ....................................................................................................................25
Input into the design process.............................................................................25
Design of the operation and its restoration..........................................................25
Environmental assessment .................................................................................25
Safety .................................................................................................................25
Costs and benefits ..............................................................................................25
5.9 TRAFFIC .................................................................................................................27
Why?.....................................................................................................................27
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What & How? .......................................................................................................27
Background desk study.......................................................................................27
Site/surrounding investigation .............................................................................27
Who? ....................................................................................................................27
Input into the design process.............................................................................28
Design of the operation and its restoration..........................................................28
Environmental assessment .................................................................................28
Safety .................................................................................................................28
Costs and benefits ..............................................................................................28
5.10 ECOLOGY...............................................................................................................30
Why?.....................................................................................................................30
What & How? .......................................................................................................30
Background desk study.......................................................................................30
Site visits and investigations ...............................................................................31
Who? ....................................................................................................................31
Input into the design process.............................................................................31
Design of the operation and its restoration..........................................................31
Environmental assessment .................................................................................31
Safety .................................................................................................................31
Costs and benefits ..............................................................................................31
5.11 SOILS......................................................................................................................33
Why?.....................................................................................................................33
What & How? .......................................................................................................33
Who? ....................................................................................................................33
Input into the design process.............................................................................33
Design of the operation and its restoration..........................................................33
Environmental assessment .................................................................................33
Safety .................................................................................................................33
Costs and benefits ..............................................................................................33
5.12 AIR QUALITY ..........................................................................................................34
Why?.....................................................................................................................34
What & How? .......................................................................................................34
Who? ....................................................................................................................34
Input into the design process.............................................................................34
Design of the operation and its restoration..........................................................34
Environmental assessment .................................................................................34
Safety .................................................................................................................34
Costs and benefits ..............................................................................................34
5.13 NOISE AND VIBRATION.........................................................................................35
Why?.....................................................................................................................35
What & How? .......................................................................................................35
Who? ....................................................................................................................35
Input into the design process.............................................................................35
Design of the operation and its restoration..........................................................35
Environmental assessment .................................................................................35
Safety .................................................................................................................35
Costs and benefits ..............................................................................................35
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5 INFORMATION REQUIREMENTS AND INVESTIGATIONS
This chapter describes the information required to support the quarry design and investigations that
may need to be undertaken to collect that information. After an initial section on establishing the
design brief, each element of information/investigation is presented in a common format:
Why is the information/investigation required?
What is required to be done/collected and How will this be achieved?
Who is responsible for this category of information/investigation?
Input into the design process
Design of the operation and its restoration
Environmental assessment
Safety
Costs and benefits
At the end of each section, some selected references, relevant legislation and a list of supporting
material in Part IV, are provided.
Throughout this chapter and in Chapter 5, we refer to the Design Team as the group of people
responsible for designing the whole operation. This team may be entirely in-house, comprised of
consultants or, most commonly, a combination of in-house and consultant personnel. The selection of
such teams and their management is covered in Part III. The Developer is the person or company
seeking to establish (or extend) a quarry at the selected site.
5.1 INFORMATION TO SUPPORT ESTABLISHMENT OF THE BRIEF
As discussed in the introduction to Part II, and in the Foreword, the primary objectives of good quarry
design are the safe, efficient and profitable extraction of the maximum usable material from the
minimum area of land while causing the minimum environmental disturbance and resulting in
beneficial final restoration and land uses. The first of the detailed design phases described in Chapter
4 is Establishment of the design brief.
In addition to the primary information described in Chapter 2, the initial design brief following site
selection will need to take account of:
Proposed production rate. What is the proposed production rate for the new development? Is it
anticipated to change over the operating period and if yes, to what and why?
Required minimum reserve life. A minimum reserve life may be required, for example, to justify
new capital expenditure on plant?
Proposed markets and products. Does the company see the markets and products changing?
Are there any new market objectives that have been identified?
Proposed excavation method. Current method, plant type and number of units. Bench heights,
current site practices and problems. Proposed changes if any.
Haulage. Existing and proposed arrangements. Plant type, model and number.
Proposed processing plant. Details of type, model and specification (products produced and in
what proportions?)
Water usage. Processing water requirements and potential sources.
Information and plans concerning the location of underground and overhead services.
Plans showing current Ownership boundaries, lease boundaries etc.
Previous planning applications and copies of any reasons for refusal/existing planning conditions.
All site investigation information, boreholes and monitoring locations for the site.
Where an extension is being planned, it is helpful to have all of the above information for the current
operation, and to know whether (and how) conditions in the extension are expected to vary.
Documents that may also exist for current operations that are to be extended include:
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i. The quarry safety document, especially hazard appraisals and geotechnical reports (Reg.
32 and 33 Quarries Regulations 1999 and any reports prepared under superseded
regulations).
ii. Site surveys including historical paper copies if available as well as 3D digital terrain
models.
iii. All site investigation information, boreholes and monitoring locations for the existing site.
iv. All design reports and drawings relevant to the existing site and current planning
permissions.
v. Discharge and abstraction licences.
vi. Previous resource reports, sampling and analysis.
vii. Blast Monitoring reports.
viii. Prohibition notices, stop notices past and present and relevant correspondence with the
HSE.
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5.2 SITE PLAN
Why?
Accurate base map information at appropriate scales is fundamental to all stages of the quarry design
process and Environmental Impact Assessment. Moreover, the availability of good quality mapping at
the design stage provides huge benefits during the development of the site in allowing progress
against the permitted development to be monitored, volumes to be accurately measured and planning
boundaries and services to be safeguarded. Subsequent management of the survey information and
update surveys (required under the Quarries Regulations 1999) is critical to making full use of the
survey information as a resource in the production phase.
What & How?
Creation of base plan information, which can be used flexibly at different scales for displaying a
diversity of information sets, usually requires compilation of information supplied in different digital and
non-digital formats. These may include historical paper surveys and ownership plans, digital 3D
surveys, 2D Ordnance survey base maps and aerial photography. Modern computer technology
allows the merging of data from a variety of sources into a single model of the land surface of the site
and the surrounding area. The information should extend far enough to cover sensitive locations
beyond the site boundary. It is unusual today for production of drawings for mineral planning
applications to be completed without the use of computer drawing software and the use of digital data
has become the norm. Production of the base map may be divided into three processes;
Desk study compilation of available 2D base maps (including recent and historic Ordnance
survey sheets), aerial photography, commercial 3D data, previous 2D and 3D site information,
service plans, planning and ownership boundaries.
3D ground survey of the current site including all relevant features. The special requirements of
the design team and the MPA may include identification of disturbed areas, water levels, springs,
public roads, bund levels, nearby residential buildings, ditches, inlet structures, footpaths, trees
and tree canopies, geological and geotechnical features. Close co-operation between the
surveyors and the design team is desirable. It is imperative that the survey is supplied in 3D
digital format for ease of transmission between team members. 2D surveys, whether supplied on
paper or digitally, are always false economy.
Compilation of all relevant information into an easily accessible format on a common National Grid
system with levels relative to Ordnance Datum, for distribution to the design team.
A guide to the general requirements, specification and pitfalls of the site survey and management of
base information is given in (ref Practical Guide to Specification of a site survey).
Who?
The desk study is generally carried out by members of the design team. The most critical element of
the base plan is the survey of the existing site, which should be carried out by an experienced survey
team.
The importance of obtaining a good quality ground survey at an early stage in the design process
cannot be over emphasised. A comprehensive survey, carried out by surveyors who are experienced
in mineral operations, may present the owner or developer with a relatively high up-front cost.
However it will invariably prove cost effective in the longer term by avoiding repeat site visits, missing
or ambiguous information, and by providing reliable data on which to base the subsequent design and
planning application. The owner/operator or their consultants should be rigorous in the specification of
the survey and always with a view to the specialist requirements of different team members. Ideally
the survey will be specified by members of the design team, although in practice the whole design
team may not be in place this at this stage of the project.
Input into the design process
Design of the operation and its restoration
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All the elements of the design process and environmental assessment will have requirements from the
base plan.
It will provide a common base location plan for all further site investigations.
The 3D surface information is needed to create a geological model of the site including surface
expression of the geology.
A 3D representation of the ground surface and accurate positioning of boundaries etc is necessary
for effective 3D modelling of the proposed development layout and ensuring sufficient space is
available for all elements of the proposal including roads, plant, stocking areas, landscaping, water
treatment and drainage arrangements.
A good 3D representation of the ground surface is necessary for reliable measurement of
excavation and fill volumes.
Landscape assessment and visual impact is based on an analysis of the existing ground surface
and generally will require details of surface features, topography and development some distance
from the site boundaries.
The MPA will require details of topography, properties, drainage, roads etc beyond the site
boundary to be shown on development plans.
Computer generated visualisation of the development is frequently used to show the effect on
landscape for display to the public and planners.
Noise, dust, traffic and transport, surface water and ecology assessments use base information for
baseline studies, impact assessments and design of monitoring schemes.
Surveys of existing drainage systems, including inlet structures, ditches and culverts, sometimes
extending outside the site boundary, are usually required for design of the surface water
management scheme.
Ground water studies generally extend beyond the site boundaries and spring and well locations,
catchment characteristics, source protection zones etc to be superimposed onto 3D base
information.
Environmental assessment
..
Safety
The quality of the survey has implications for safety during quarry operations including:
The accurate positioning of services.
The accurate representation of slopes and face positions.
The accurate positioning of hazards including old lagoons, mine workings, tips, shafts etc or ability
to flag up areas where these may be present on the site plan.
Provides a starting point for subsequent survey updates and will form an important part of
Regulation 33 reporting and documentation of site development documentation (reference to
section on site health and safety documentation in Chapter 5).
Costs and benefits
Costs
Initial data collection, site survey and processing can add a considerable amount to the initial costs of
a minerals application. For a major development, which has the potential to affect a wide
geographical area, or is perceived as a controversial development, it may be appropriate to obtain
extensive DTM (digital terrain model) and/or air photography, which may cost several thousand
pounds.
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The cost of the site survey will depend on the size and complexity of the site, the effective
management of the survey, and its specification. Open greenfield sites are quickly and efficiently
surveyed by GPS techniques. Where there are existing quarry faces, extensive areas of woodland
and existing structures, or specialist requirements such as geotechnical surveys, the survey may take
considerably longer and require different equipment including targetless levels. It may also be
necessary for the surveyor to be accompanied by a geologist or other specialist to ensure that the
correct information is collected.
Benefits
A good digital 3D base plan with relevant 2D overlays such as planning and ownership
boundaries, residential properties, transport infrastucture etc, allows efficient production of
application documents using shared base information among the design team.
Accurate ground surface information made available early in the design process should prevent
unnecessary and costly revisions of work which occurs when partial information, for example 5m
contours based on OS 1:25,000 mapping, is used for initial design work.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.3 GEOLOGY
Notes: Geology (modelling of geology) geotechnical investigations based on geological
interpretation leading to design rules quality (sampling and testing)
Why?
A good understanding of the geology and geotechnical setting of the site and the characteristics of the
material types is the starting point for a safe, commercially viable and environmentally acceptable
quarry design. The geology controls, to a greater or lesser extent, all aspects of the project from site
selection, definition of excavation boundaries and void geometry to waste production, restoration,
plant selection, working method and economic potential.
What & How?
Desk Study
The first part of any geological investigation is a comprehensive desk study and review of existing
information. The aim is to establish a provisional geological interpretation for the site and to design a
site investigation, sampling and testing programme appropriate to the material types, geological
setting of the site and potential mineral operation.
The principal sources of background geological information are:
British Geological Survey (BGS), Geological survey of Northern Ireland (GSNI), Geological Survey
of Ireland (GSI) maps, memoirs and other publications.
Previous investigations including BGS borehole database, company documents and previous
planning applications.
Records of past mining and quarrying history. Note that the Borehole Sites and Operations
Regulations (1995) require that the HSE are notified before boreholes greater than 30m in depth
are drilled in mining areas.
Published books and academic papers relevant to the site and material types
Local geodiversity action plan (LGAP).
Design and notification of site Investigation
Following the desk study a provisional model of the geological and hydrogeological setting of the site
may be constructed based on available ground surface information. Time and expense taken on the
desk study will help to target the site investigation and ensure that un-necessary work is avoided, and
that all information required for design is collected. For example, in a limestone sequence, it may be
known from the geological survey sheet or memoir that a confined aquifer may lie beneath a clay
horizon below the site. This may have an impact of the working depth in the proposed development
and should be investigated by borehole investigations. The drilling programme can then be efficiently
designed to reach the target depths. In superficial deposits, areas of thick overburden or absence of
the mineral may be inferred. The borehole or trial pit investigation may then be planned intelligently to
prove the margins of workable mineral. The geological model should be continually revised as the site
investigation progresses, and the design of the investigation refined.
The geological consultant supervising borehole investigations is required to notify the relevant
Statutory Authorities of proposed exploration drilling. Details of the conditions of notification are
included in Appendix * (reference to Mineral exploration permitted development.doc).
** how to tell if the site investigation is appropriate guide for planners? **
Investigation (this section needs expansion and references to appendices with
details)
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a) Geological and geotechnical site investigations and sampling. Supervision by a suitably
qualified geologist will allow the geological model to be developed and the investigation to be
amended as appropriate during the investigation. Effective sampling for material quality and
geotechnical testing depends on a good understanding of the nature and potential variability of the
material recovered and the selection of an appropriate investigation method. Sample recovery can be
greatly increased in difficult ground by employing experienced drill operators.
b) Analysis geological model and preliminary hydrogeological model, geotechnical design
parameters, material properties.
Reporting
The geological consultant should provide the quarry developer with comprehensive factual,
interpretative and resource reports following the guidelines set out in (ref AGES Guidelines, Reporting
Code poss include summary in appendix). These documents should include the results of the desk
study, all raw data, borehole and trial pit logs, location plans, testing schedules and test results and
should form part of the site documentation. Information may then be extracted for inclusion in the
planning application supporting statement. The minimum information necessary for inclusion in the
supporting statement is;
A survey plan showing all borehole, trial pit and sampling locations, and other relevant information.
General geological setting and stratigraphic sequence.
Summary schedule of boreholes and trial pits, including records of core recovery, sampling
methods, piezometer installation, groundwater and final treatment.
Structural contour and isopachyte plans and cross sections etc illustrating the geological and
geotechnical interpretation.
Sample quality, testing methods.
Discussion of the adequacy of data, reliability of geological interpretation and quality of
information.
Who?
Specification, reporting and interpretation of geological site investigations should be carried out by a
suitably experienced geologist or geotechnical engineer. Geotechnical investigations are specialist
and should be designed and overseen by a geotechnical specialist. Although the selection of a
geotechnical specialist can be fundamental both to the design of the quarry and the long term
performance of the design, there is no easy way to confirm the competence of a consultant.
Designation of CEng presumes a certain level of experience and competence, but in reality the expert
should have a proven track record of successful design and experience in similar geotechnical
conditions.
If resource information is to be used in public documents, the requirements for reporting exploration
information under the European Code for Reporting Mineral Exploration Results should be followed
(reference to Guide to reporting mineral exploration result.doc).
Input into the design process
Design of the operation and its restoration
The geological model and geotechnical design parameters, together with the base plan are the
fundamental tools necessary for the first phase of the design of the quarry void and measurement
of quantities of excavated mineral and waste materials.
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The geological interpretation forms the base model for groundwater studies and the design of
groundwater investigations and monitoring and management schemes.
Environmental assessment
Safety
Poor site investigation and poor understanding of the results may lead to the use of erroneous
information or unsound interpretation of data. The consequences to design of slopes and ultimately to
safety and quarry operations may be severe.
Costs and benefits
Costs
Geological and geotechnical investigations together with hydrogeological investigations, which may
take place at the same time (link to section) represent a significant financial investment in the early
stage of a Planning Application. The costs of site investigations and reporting of the results are
related to the complexity of the geology and are generally carried out in one, two or even three
phases. The financial risks resulting from a poor understanding of the geology should be considered
by the owner or operator before rejecting what may appear to be expensive infill site investigations.
Benefits
Comprehensive investigations will minimise the occurrence of unexpected variations in the
geology which can lead, for example, to an underestimate of the amount of waste, unpredicted
geotechnical conditions leading to redesign of slopes, or an unanticipated change in the quality of
the product. Loss of reserve for these reasons during the production phase of the development,
leads to a reduced life expectancy of the site, with direct financial consequences for the operating
company.
Efficient, safe and cost effective slope design and avoidance of conservative over design where
appropriate requires a good control on the geotechnical setting and material properties.
Reliable and defensible information is needed to support good quality planning applications and
environmental assessments and may influence the acceptance of the application.
Poor slope design resulting from lack of understanding of the geotechnical setting may result in
slope failure or risk of failure leading to loss of reserves or increased production costs.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.4 GEOCONSERVATION
Why?
Geoconservation is the protection (conservation) of geodiversity which includes all aspects of
geological, geomorphological and soil features, the processes that formed them and the interactions
between them. It includes rocks, fossils, minerals, geological structures and landforms, and the
industrial and cultural heritage which were influenced by them. Inclusion of principals of
geoconservation into quarry design promotes the provision for education opportunities, tourism,
academic study.
National planning policies with respect to geoconservation in mineral and non-mineral developments
are set out in Planning Policy Statement 9 (PPS9) Biodiversity and Geological Conservation
(ODPM, 2005). The key requirement of PPS9 is that where a planning decision would result in
significant harm to biodiversity and geological interests which cannot be prevented or adequately
mitigated against, appropriate compensation measures should be sought. If that significant harm
cannot be prevented or compensated for, then planning permission should be refused. In accordance
with PPS9, planning authorities are implementing more stringent requirements for the consideration of
geodiversity and the inclusion of geoconservation into development proposals. The opportunities and
implications need to be considered by the developer and quarry design team from the earliest stages
of the project.
What & How?
The potential for geological interest often emerges from the geological desk study and site
investigation. In an area of few exposures, drilling, and in particular core drilling, may provide a useful
guide to the potential for developing a new geoconservation site. The focus of interest in a site may
be specialist and it is important that advice is taken from Nature England, the District Geologist or local
geoconservation group if the expertise is not available within the design team.
As part of baseline studies, a geodiversity audit should be conducted, including the relationship of
geology to landscape, existing natural or manmade exposures, and cultural heritage related to past
mining or quarrying. If existing exposures are present, the site may be already included in the
geodiversity audit prepared for a local geodiversity action plan (LGAP).
Who?
Provision of geoconservation into the design of the site is an integral part of the quarry design and
requires the co-operation of the design team and relevant organisations and experts which may
include English Nature, the local geology trust, district or county geologist, or academic geologists.
Input into the design process
The same stepped approach to planning decisions based on PPS9 (ODPM, 2005) should also be
applied to the design of a quarry operation. These steps in order of consideration are;
1. Avoidance: can the quarry design avoid damage to existing features of geological interest?
2. Mitigation: where adverse effects on existing sites are unavoidable, are there mitigation
measures that can minimise these?
3. Compensation: If damage or destruction of a site cannot be avoided or faces cannot be safely
retained, can another exposure be created that would provide similar quality information.
4. New Benefits: are there opportunities for creating new geological exposures or educational
experiences?
The above apply not just to the final excavation and restoration scheme, but also during the life of
quarrying operations. Temporary exposures during operations provide important information to the
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specialist geologist. Provision of access to specialists is likely to become a requirement of many
planning authorities as LGAPs are implemented and their impact feeds through the county and district
planning systems. Among the possible features that could be included in the design are;
Provision for restricted public access operations to interesting or important geological features
during operations and permanent viewing platforms.
Provision for collecting areas safely accessible for the general public including school parties
Provision for geological trails (including disabled access) in the final restoration scheme.
Restricted access for monitoring, face logging and fossil collection by specialist geologists during
operations
Aftercare access and provision for maintenance
Environmental assessment
Safety
The safety and stability of any long term slopes left in the final restoration scheme is paramount,
particularly if the final scheme includes public access to areas of geological interest. The design and
treatment of all slopes must take the end use into account. The design of low stepped faces which
can be easily accessed for the full height may be possible without significant loss of mineral reserves,
however the long term maintenance and safety of any rock (or fill) slopes must be considered as part
of the design.
Costs and benefits
Consideration of geodiversity may add a small cost to the operations and implementation of
restoration scheme, however this should be weighed against the benefits, which might include a
positive public image and easier progress through the planning process.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.5 SURFACE WATER
Why?
Quarrying on any scale will change the surface water regime in and around the site during production
and after closure and restoration. Effective management of surface water in and around quarries is a
key element of the design process and is beneficial to the operator in two principal areas:
i. To ensure compliance with planning and licence conditions directed to controlling
environmental impact and risk to the public and property during the operating stage and after
closure and restoration.
ii. Minimise the potential for surface water to adversely effect normal quarry operations, either
directly or indirectly through the need to suspend operations so health and safety
requirements are respected.
Design of surface water management in quarries, from routing in ditches, to storage, treatment and
discharge, is often far from rigorous, however the consequences of poor provision can extend beyond
the site itself and the implications for safety, the environment and the financial interests of the operator
may be severe.
Within site Outside Site
Hazards
Erosion of excavated or fill slopes Flooding
Failure of tips and fill slopes Ground erosion
Rock slope instability Pollution of watercourses
Pollution of groundwater by fuel etc.
Flooding of pit floor or other working areas
Reduction (or increase) in flow in streams and
ditches
Overflow of lagoons and sumps Pollution of groundwater by fuel etc.
Erosion and derogation of haul roads
Risks
Health and safety
Accidents - in particular on haul roads, and
lagoons and sumps, slope failures
Poorly maintained, eroded roads lead to
increased injury to drivers.
Environmental
Poorly maintained Changes in flow may affect ecological balance,
fishing, licensed abstractions etc
Suspended sediment affects quality of water in
watercourses.
Financial
!nterruptions to site operations and
production
Expensive remedial works
Damage to reputation of company with
possible implications for future applications
Permitted discharge levels exceeded may lead to
stop notice and prosecution by Environment
Agency.
Property damage leading to compensation claims
All these risks may be minimised through careful design and good maintenance of the surface water
management system. Imaginative restoration designs to realise the potential of quarry sites for
increasing biodiversity are frequently planned around surface water bodies.
What and how?
Background desk study
The required background information for baseline reporting includes:
Plan of site and surrounding areas with topography (including site survey if available);
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Identification of watercourses, standing water bodies, springs, catchment area;
Surface water abstraction and discharge licenses;
Use of water on site (processing) and off site e.g. fishing, irrigation etc;
Rainfall and evaporation data (Met Office);
Historical records of flooding, water levels;
Existing monitoring records on active sites;
Identification of ecologically sensitive areas (LBAP);
Early consultation with the EA, MPA and conservation organisations.
Site Investigations
Site walkover and identification of water bodies, springs, ditches, drainage paths, culverts and
other significant structures, ecologically sensitive areas, distribution of vegetation, agricultural land
and other surface types.
Baseline monitoring selection and specification of monitoring which may include flow rates,
water chemistry and temperature, rainfall. Monitoring over a year to include periods of anticipated
high and low flow rates. If flow rates are will needed then stream cross-sections will also need to
be measured.
Stream/ditch/culvert survey to establish the cross-sections, capacities and condition of the
receiving system downstream from the site
Existing water management in active or closed sites including condition and maintenance of silt
ponds and drainage ditches, discharge and monitoring records.
Analysis and consultations
The surface water baseline report and recording of baseline information and methodology
Interactions between surface water, groundwater and ecology
Sensitivity of receiving water courses to additional / reduced flows
Importance of groundwater v surface water in baseline flow
Who?
Specification of baseline investigations and the design of surface water management and monitoring
schemes should be overseen by an experienced engineer or hydrologist who is a core member of the
design team. It is particularly important to co-ordinate ecological, groundwater and surface water
investigations. A full hydrological year (October to September) of observations and monitoring is
generally needed to define the baseline conditions adequately.
Input into the design process
Design of the operation and its restoration
The baseline data are used as the basis for predicting the effect of the quarrying and associated
activities on the surface water flow. This in turn will determine what measures are required to mitigate
the impacts on water quality and quantity discharged form the site.
There are four parts to the water management system of an active site:
i. Surface drainage on site ditches, culverts, french drains etc.
ii. Water storage including sumps and attenuation ponds
iii. Water treatment settlement ponds, oil interceptors, cyclones
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iv. Discharge soakaway design, discharge structures and remedial works required downstream
of discharge point.
Some of the baseline data will allow analysis of the water balance in the restoration scheme. This is
vital to ensure sustainability of open water bodies, wetland etc in the scheme and ensure no longterm
adverse effects e.g. flooding, from the development.
Identification of opportunities for long term additional benefits to the local community or environment,
such as solutions to existing flooding through improved drainage or attenuation capacity outside the
site.
Environmental assessment
Safety
Appreciation of the space requirements for water treatment structures (including silt lagoons) is an
often overlooked element at both the conceptual and detailed design stage, but can have serious
implication for safety and production if insufficient consideration is given to design and maintenance.
An underestimate of the amount of space needed for silt ponds may lead to undesigned, and possibly
unstable, raising of lagoon embankments to increase capacity.
Lack of effective water management system may lead to flooding of critical areas of the site and
development of poor and sometimes unsafe working conditions.
Attenuation ponds, sumps and other components of the surface water drainage system should be
located in such a way to minimise risks to mobile plant operators, other vehicles and pedestrians.
Silt settlement ponds can be particularly hazardous if not correctly designed and maintained. Design
should always have the safety of mobile plant operators and other workers as a priority and aim to
minimise the risk at all stages of the design process.
Poor drainage management of benches and at the crest of faces may lead to erosion of faces,
instability and hazardous conditions.
Costs and benefits
Effective surface water management is required under environmental legislation to meet discharge
targets for water quality. Significant financial penalties are generally incurred for breaches.
A good understanding of the surface water regime is needed for the design of effective drainage
measures and assessing pumping requirements and attenuation capacities during and after
extreme rainfall events. Failure to do so may result in stoppages or access problems due to
incapacity of drainage system to cope and consequent flooding.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
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comprehensive list, see Part V dynamic bibliography)
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5.6 GROUNDWATER
Why?
Hydrogeology relates to groundwater. A good understanding of the hydrogeological regime within and
surrounding a quarry is necessary for a viable quarry design, both commercially and environmentally.
Within the quarry hydrogeology can control or restrict the final base of working and the method of
working. Outside the site, the quarry may impact local groundwater flow direction and groundwater
quality. This may consequently influence the abstraction of groundwater downstream of the site and
vulnerable ecosystems sustained by groundwaters. The hydrogeology of a site and local area is
tightly linked to the geology and surface water factors and as such desk studies and site investigations
for geological and hydrogeological purposes should, where possible be designed and conducted
together.
What & How?
Desk study.
A comprehensive desk study should be conducted to understand the local groundwater, including
different rock types and aquifers, flow direction, quality of groundwater, groundwater levels, vulnerable
eco-systems, groundwater abstractions etc. This information shall then help to conceptualise the
hydrogeological regime and design the site investigation. Sources of information include:
Topographic plan at a scale of at least 1:25,000 of the site and surrounding area and identification
from the plans of local wells, springs etc.
British Geological Survey (BGS) or Geological survey of Northern Ireland (GSNI) maps, memoirs
and other publications.
Institute of Geological Sciences hydrogeological maps.
British Geological Survey publications: The physical properties of major aquifers in England and
Wales and The physical properties of minor aquifers in England and Wales.
National Rivers Authority (now Environment Agency) publications in the series Policy and practice
for the protection of groundwaters.
Groundwater level and groundwater quality data from the Environment Agency.
Details of local source Protection Zones (SPZs) and water bodies potentially at risk under the
Water Framework Directive from the Environment Agency website.
Licensed groundwater abstractions, protected rights water sources and discharge licences from
the Environment Agency.
Unlicenced groundwater abstractions from local councils.
Search on websites (for example) www.magic.com for environmentally sensitive sites or sites with
environmental designations, including Sites of Special Scientific Interest (SSSI), Ramsar Sites,
Special Areas of Conservation (cSACs), Special Protection Areas (SPAs) etc.
Previous site investigations for geological information, groundwater monitoring installations etc.
and any existing monitoring information from the proposed site or surrounding area.
Baseline investigations
Hydrogeological site investigation, testing and sampling with supervision from a suitably qualified
hydrogeologist or geologist experienced in hydrogeological investigations, as the geology
intercepted will influence how the investigation proceeds.
The site investigation should allow all pertinent hydrogeological features of the strata to be logged,
i.e. thickness of the unit, the presence for example of clays within sands or fissures or karstic
structures in limestone, water strike levels, rest water level, artesian flow etc.
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Samples of hard strata should be taken when appropriate for review when required and samples
of sand and gravel may be taken for particle size analysis.
Early stage site investigations may include falling head tests being conducted on different
geological units to establish the permeability of relevant units.
Piezometers should be installed to allow the monitoring of the groundwater level and quality.
Baseline monitoring of the groundwater levels and groundwater quality should be carried out at
regular intervals for a period of at least one year to gauge seasonal variability.
At all stages of the site investigation the British Standard BS5930:1999, Code of practice for site
investigations should be adhered to.
Conceptual modelling
A conceptual hydrogeological model of the area should be constructed to define the groundwater
flow direction, typical groundwater level, permeability and other hydrogeological properties of the
relevant geological units, areas and volumes for recharge groundwaters and discharges of
groundwaters. This should identify any impact of groundwaters on the proposed quarry design
and workings and any impact the quarry may have on groundwaters and related abstractions or
ecosytems.
Throughout the modelling of the hydrogeological regime, consultations with the surface water
hydrologist and ecologist should take place to further refine the model.
If a quarry is to be worked wet, consultation with geotechnical engineers will be required to ensure
the base of excavation and slopes are designed accordingly.
After about one year of collecting groundwater level and groundwater quality data, this information
should be added to the hydrogeological model.
Further site investigations
Additional site investigations may be required at a later stage, including for example, pumping tests to
determine the impacts on the surrounding area if a quarry were to consider dewatering.
Who?
Specification, supervision and factual reporting of the hydrogeological site investigations and desk
study should be carried out by a suitably qualified hydrogeologist or suitable qualified geologist with
experience in hydrogeological investigations. Modelling of a hydrogeological regime is specialist and
should be carried out by a suitably qualified hydrogeologist that is experienced in hydrogeological
issues relating to mineral extraction.
Input into the design process
Design of the operation and its restoration
Groundwater levels are necessary in some cases for the design of the excavation floor level and
the determination of the method of working.
Determination of the un-saturated zone, saturated zone, groundwater flow paths and receptors of
groundwaters downstream of the quarry will influence the potential environmental impact of the
quarry.
The desk study and investigations shall determine the ability to source groundwaters, locally for
processing needs.
Environmental assessment
Safety
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Poor understanding of the groundwater regime may lead to saturation and erosion of faces,
instability and potentially slope failure.
Poor understanding and interpretation of groundwater data may impact on the quarry design.
Unsuitable quarry and slope designs may provide un-safe working conditions, the consequences
of which could be severe.
Costs and benefits
Costs
Preliminary site investigation costs shall be shared with the need for geological data. Piezometer
installations are relatively low cost and if positioned correctly and maintained will provide important
and necessary groundwater level and quality information for baseline monitoring before works
commence, for the life of the operation and after restoration. This is as required by the
Environment Agency and local planning authorities.
If required, pumping tests are typically expensive, but at sensitive sites are a necessity if planning
permission is to be granted.
Benefits
Reliable and defensible information is needed to support good quality planning applications and
environmental assessments and may influence the acceptance of the application.
A robust understanding of the hydrogeological regime will identify any locally sensitive sites and
as such measures to mitigate any impacts from the quarry can be designed. Failure to
understand the regime which may lead to environmental damage as a direct result of quarry
workings may cause stop notices to be issued or even prosecution.
Poor understanding of groundwater levels and seasonal variations in them may result in the loss
of reserves, potentially cause slope failures and impede the chosen method of working.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.7 LANDSCAPE AND VISUAL
Why?
Quarries (active, dormant or restored) are part of the landscape; they also sit within the wider
landscape contributing to or detracting from it. Landscape is considerably more than just the visual
perception of a combination of landform, vegetation and land uses. It embodies the history, culture,
geology, wildlife etc in addition and is dynamic. Different people may evaluate, experience and value
the same landscape differently. Landscape and visual assessments are a mixture of objective and
subjective analysis. Objective baseline data is, therefore, of prime importance.
What & How
The landscape architect is one of the key professionals whose input is required from the beginning of
the project. Such input may include:
landscape and visual assessments;
site selection on a national, regional, county or local scale;
definition of quarry boundaries, internal configurations and directions of working;
soil, overburden and quarry waste handling and placement;
location and design of plant, structures and access/haul roads;
protection/avoidance of retained landscape features;
phasing;
mitigation measures;
progressive restoration;
afteruse;
aftercaremaintenance/management.
Background desk study
Plans of the site (or site search area) and surrounds with topography and drainage (with detailed
site survey if available);
Vertical aerial photographs of the site and area;
Plans, descriptions and definitions of all relevant planning designations (these range from National
Parks to SSSIs and from Listed Buildings to Ancient Woodlands);
All Rights of Way;
All easements and restrictions created by pipelines, powerlines, utilities etc.
The Landscape Character Areas (including description) covering the site and the surrounding
area;
The geology, soils and agricultural classification;
Ownership, control and management boundaries;
Transport network and access points;
All buildings, villages and urban areas.
Site visits and investigations
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Following the background desk study, an area is defined which encompasses or would encompass all
landscape and visual impacts irrespective of the detailed quarry design/direction of workings/access
points etc. This Study Area is typically 10kms x 10kms but this varies principally as a consequence of
landform and intervisibility.
Theoretical Zone of Visual Influence (ZVI) studies are executed (visually by computer) using the
existing site surface; this establishes the worst-case scenario from where any part of the site may be
seen (without mitigation). If structures or plant are proposed or likely to be proposed, the ZVI study is
executed to take these into account wherever they may be placed ultimately.
Any areas within the Study Area but identified as outside of the ZVI study results cannot have sight of
any proposed quarry/plant irrespective of design and internal location.
The Study Area is visited to confirm, record and assess the baseline with regard to:
Landscape.
Intervisibility.
a) Landscape
The landscape is described by way of landform, land cover, land use, elements, designated
features/areas and historical/cultural association. The Landscape Character Areas will already
provide some of this base information. In particular, the site visit aims to establish the distribution,
value, rarity, distinctiveness and sensitivity of Landscape Character Areas, elements or features.
b) Intervisibility
The site visit should cover all receptors within the ZVI area of potential impact, grouping them if this is
appropriate. A representative selection of receptors and receptor types should be chosen. Their
sensitivity to visual impacts i.e. negative change should be recorded as well as potential mitigation
measures. Photographs should be taken for potential use as photomontages.
Two further specific aspects need to be addressed on the site visit: the impacts of season (particularly
leaf cover) and night time (lighting).
Who?
Landscape and Visual Assessments and inputs to quarry planning/design and to restoration/aftercare
are usually undertaken by a landscape architect. The Landscape Institute is the body chartered by the
government to manage the landscape profession. Lists of suitably qualified practices are available
from www.landscapeinstitute.org.
Input into the design process
Design of the operation and its restoration
The landscape assessment provides the team with features and areas to avoid (or acceptable
standoffs). It provides restoration objectives such as typical landforms, vegetation, landuses etc
as well as any beneficial contributions e.g. flat land, biodiversity, water etc.
The visual assessment identifies the key receptors and their sensitivity. It helps to determine
direction of working (to avoid visual impacts), phasing, plant and access locations.
The landscape and visual assessments contribute to the integration of the quarry into the
surrounding landscape with no or minimal negative impacts. Where this cannot be achieved,
mitigation measures (themselves integrated into the landscape) are identified.
The assessments contribute to the landscape maintenance and management programme
(including planting/agricultural schemes).
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Environmental assessment
Safety
Costs and benefits
Costs
The undertaking of landscape and visual assessments together with the ongoing contribution of the
landscape architect to the iterative planning and design process is a cost to the project.
Benefits
compliance with planning;
efficient materials handling;
minimising the need for mitigation measures;
good neighbour relations/pr;
maximisation of productive afteruse.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.8 ARCHAEOLOGY/CULTURAL HERITAGE
Why?
Britain has a rich cultural past such that most of the landscape has historical associations. Quarrying,
unlike some other land uses, can remove or destroy all physical traces of these associations.
Consequently, it is a planning policy requirement under PPG 16 Archaeology and Planning that local
authorities in their development plans should include policies for the protection, enhancement and
preservation of archaeological sites and their settings. Important sites should be protected and,
wherever possible, preserved in situ. Where this is not possible, preservation by record through
excavation should be effected. It places the onus on the developer to fund appropriate archaeological
works prior to development.
What & How?
Cultural heritage (physical) consists of:
Archaeology.
Historic Buildings and structures.
Historic landscapes.
Parks and Gardens.
Scheduled monuments.
The archaeologist may provide inputs including:
Desktop/aerial photograph assessments.
Site walk over assessments.
Trial trenching or pits results.
Site attendance during soil stripping or activities close to identified features.
Archaeological section to ES.
Mitigation measures.
Afteruse/aftercare/management regime.
Public access reports.
Background desk study
Plans of the site (surrounding area) with topography and drainage (with detailed site survey if
available).
Vertical aerial photographs of the site and area (including old photographs, military photographs).
International/National designations and scheduling.
Local sites and Monuments Records (SMRs).
Local Authority Development Plans and Documents.
Published works, research, investigations etc.
All easements and restrictions created by Rights of Way, utilities etc.
The geology, soils and agricultural classification.
Ownership, control and management boundaries.
Site visits and investigations
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If, following the desk studies and discussions with the Mineral Planning Authority, there appears to be
a likelihood that archaeological remains are likely to be directly or indirectly affected by proposed
quarrying activities, fieldwork will be necessary. A programme for this work needs to be agreed with
the MPA. The Confederation of British Industry (CBI) Code published in 1991 suggests that 1-2% of
the affected area should be subject to trenching but the agreed figure is often higher depending on the
nature of the site and the likelihood of finding archaeological remains and their potential value/rarity.
Any site visits, field walking, trenching or detailed excavation is not just undertaken to establish or help
to estimate the extent and nature of any archaeological remains but also to determine the indirect
affects on known SAMs or Listed Buildings, for example. The historical context or current setting of
monument or building may require protection, avoidance or mitigation.
Fieldwork together with discussions with other professionals, such as hydrologists, is important for
establishing other indirect potential impacts. Dewatering, for example, may have an affect upon
foundations or the conservation of waterlogged or palaeoenvironmental remains.
Who?
Archaeological investigations should be undertaken by competent professionals experienced in the
relevant area of Britain, in the necessary investigation techniques and in the relevant periods of
archaeological interest. A list of practices may be obtained from the Institute of Field Archaeologists at
www.archaeologists.net.
Input into the design process
Design of the operation and its restoration
The archaeological assessment provides the team with features and areas to avoid (or acceptable
standoffs).
The field investigations (especially trenching) both identify features and help to predict the
likelihood of discovery during quarrying activities.
An agreed programme with the MPA may include a watching brief by a competent person during
key soil stripping or excavation activities.
The archaeological assessment and team discussions should lead to a restoration scheme which
avoids key elements, protects their context and, where possible, enhances such context. It also
schedules Mitigation Measures where appropriate and the phasing and season of stripping and
key excavation activities.
The assessment will also contribute to the on-going maintenance and management programme.
Environmental assessment
Safety
Costs and benefits
Costs
The undertaking of archaeological assessments including all desk and field work and input to the
iterative design process is a cost (often substantial) to the project.
Benefits
avoidance of litigation and criminal proceedings if a sam, for example, is damaged;
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avoidance or minimisation of re-design and re-configuration caused by archaeological discovery
during extraction;
compliance with planning;
efficient materials handling;
minimisation of mitigation;
positive PR.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.9 TRAFFIC
Why?
Quarries generate additional traffic movement. This comes not just from the transport of the
excavated materials and products for sale but also from the construction traffic, visitors, staff,
maintenance and supply vehicles. The Government encourages transportation of freight by rail and
water but while some quarries use rail, sea, canal, river and pipeline, the vast majority of traffic
movements connected with quarrying are by road.
While the internal configurations of haul roads, car/lorry parks and circulation routes are important, it is
the impact of lorries on local road networks which is one of the key interests of the general public.
Vehicle (primarily lorry) movements have a variety of impacts beyond the increased pressure on local
road infrastructure which causes congestion, road safety concerns and damage. In addition, there
are the impacts of noise, fumes, vibration, dust and spillages as well as the visual and psychological
impacts.
What & How?
Rail, ship, barge and pipeline studies are outside of the scope of this Handbook. Road transport
implications, however, are defined and evaluated by two steps: Traffic Assessments (TA) and
Environmental Assessments (EA).
Background desk study
The required background information for baseline reporting includes:
details of existing or previous TAs, EAs, planning applications/permissions, Conditions, Section
106 Agreements, Section 278 Agreements and other traffic flow/accident reports/studies;
details of the site, current accesses, traffic/transport network, markets;
details of the proposed development including site boundaries, ownerships, mineral/product/waste
generation by volume, rates of productions, quarry life, importation of materials, staff
numbers/movements, visitor/maintenance/construction numbers/movements, lorry/vehicle types
and proposed mitigation measures such as sheeting, wheelwashing, routeing etc;
details of other permitted schemes in the area;
average daily traffic generation broken down by vehicle type;
existing HGV routeing and restrictions;
daily/weekly/monthly/seasonal/annual variations in vehicle movements;
reports from other team members on noise, dust, vibration, air quality, pollution, hydrology and
socio-economic impacts.
Site/surrounding investigation
confirmation of vehicle movements by survey;
confirmation of access suitability (sight lines etc);
confirmation of widths/gradients/curves/signage etc;
confirmation of on-site provision of lorry parks, staff/visitor car parks, circulation, weighbridges,
delivery points, signage, health and safety, fuelling points, maintenance areas, sheeting facilities,
wheel washes, staff facilities etc;
confirmation of cut/fill exercises.
Who?
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Environmental and Traffic Assessments should be undertaken by competent persons. The Institute of
Highway Incorporated Engineers has a Register of Specialists at www.ihie.org.uk.
Input into the design process
Design of the operation and its restoration
Traffic Assessment.
Environmental Assessment.
Mitigation Measures.
Operator Code of Conduct/routeing agreements.
Negotiations with Highways Agency, Government Departments, Regional Authorities, Highways
Authority, local bodies and groups.
Specification/location of access points, circulation routes, restrictions, lorry/car parks, facilities
such as weighbridges/wheelwashes.
Environmental assessment
Safety
Traffic and highway assessment and advice contributes to four vital areas of safety:
- public;
- off-site staff (drivers etc);
- on-site staff;
- visitors.
Costs and benefits
Traffic represents the main interface and link between the quarry and the surrounding community;
failure to address this key interface risks large costs and delays to quarry operations.
Access roads, improvements to the Public Highway, weighbridges, vehicle Maintenance Depots
etc all represent large capital outlays which are minimised by comprehensive input to the quarry
design team throughout the process.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
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comprehensive list, see Part V dynamic bibliography)
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5.10 ECOLOGY
Why?
Britain has rich and diverse flora, fauna and habitats; it is also widely covered by various nature
conservation and protection designations. Quarrying often takes place near land covered by such
designations. It can have negative effects e.g. loss of habitat, reduction in species numbers or by
indirect impacts caused by dust, noise or habitat fragmentation. It can also have positive effects e.g.
enhancement of biodiversity from restoration schemes and geoconservation by the exposure,
scheduling and protection of rock and minerals together with their associated flora and fauna.
What & How?
The ecologist/geologist provide inputs through environmental assessments and throughout the quarry
design process. Nature conservation matters are covered by International, European, national and
local laws, regulations, directives, policies and designations. Ecology, especially site survey and field
investigation, is often subject to season and this may complicate or extend the environmental impact
assessment and planning consultation/application process.
Nature conservation and enhancement matters are covered by the following key legislation and
designations:
EU Council Directive on the Conservation of Wild Birds (79/409/EEC) this establishes Special
Protection Areas (SPAs) for birds, listing species for which protection must be offered for all
stages of their life cycle.
EU Council Directive on the Conservation of Natural Habitats and Wild Flora and Fauna
(92/43EC) this establishes Special Areas of Conservation (SACs).
UK Wildlife and Countryside Act (1981) (1985):
Establishes Sites of Scientific Interest (SSSIs).
Schedule 1 lists protected bird species, Schedule 5 lists protected animals.
UK Countryside and Rights of Way Act (2000).
UK The Badgers Act (1973)/The Protection of Badgers Act (1992).
Local Wildlife Sites/Sites of Nature Conservation Interest (SNCI).
Biodiversity Action Plans (1994) (BAPs) are produced by local authorities to identify individual
Local Action Plans.
Ecologists/geologists may need to agree with English Nature (Natural England) any operations
(including site survey) which might be harmful to nature conservation interests in an SSSI, in advance.
Scheduling is, therefore, a key input to the design team in order to avoid lost time and abortive work.
Background desk study
Plans of site/surrounds including watercourses, buildings, woodlands etc.
Aerial photographs (including historic).
Plans/schedules/designations of SACs, SPAs, SSSIs, Action Areas, local Wildlife Sites/Nature
Reserves, SNCIs etc.
Rights of Way.
Geology (including sites of geoconservation RIGS regionally important geological sites).
Potential areas of disturbance including off-site works, accesses, conveyor routes, temporary
stockpile areas etc.
Potential conflicts including off-site impacts from fugitive dust, surface water run-off, noise etc.
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Potential improvements to the nature conservation environment including the creation of additional
areas of rare habitat e.g. chalk grassland, heathland, reedbed etc.
Potential mitigation measures, protection areas, translocation areas, temporary refuges or
protection seasons/times.
Site visits and investigations
Following the background desk study, the ecologist/geologist will have identified all relevant
designated sites/species and highlighted all likely affected species. Discussions with EN (NE), the
MPA and local/national conservation bodies will have agreed an access/site survey timetable and
modus operandi.
The preferred seasonal timings for site surveys is shown on Figure X.
NOTE: Figure 9.1 from Section B-1
Who?
Ecological assessments and contributions to the quarry design process should be undertaken by
competent persons experienced in the necessary investigation/survey techniques, the flora/fauna and
scope/opportunity for mitigation and/or enhancement. A list of ecology practices may be obtained
from the Institute of Ecology and Environmental Management www.ieem.org.uk. A list of geological
consultants may be obtained at www. .
Input into the design process
Design of the operation and its restoration
The ecological assessment provides the quarry design team with areas/features to avoid (or
acceptable standoffs). It provides restoration/access objectives.
The assessment provides a phased approach including seasonal restrictions on activities.
The ecologist/geologist provides input on mitigation measures (on-site/off-site), translocation
areas, barriers and additional nature conservation benefits (such as the creation of additional rare
habitat or the linking of islands of interest).
The ecologist/geologist provides a maintenance and management schedule/programme to ensure
that the features of importance are retained and enhanced by, for example, the removal of
invasive species, damage from public access etc.
Environmental assessment
Safety
Costs and benefits
Costs
Ecological assessment and contribution to the quarry design process is a cost to the project.
Benefits
Avoids litigation from damage to Designated sites and Protected species (together with statutory
penalties).
Avoids loss of time in the application process (and during extraction) by early identification of
Protected species and Designated sites together with the obtaining of licences from DEFRA.
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Avoids loss of time by maximising use of the windows when surveys/disturbance is permitted.
Avoids an automatic objection from EN(NE) if certain assessments have not been completed prior
to Planning Application submission.
Avoids bad PR.
Adds potentially to local bio and geo diversity.
Monitoring systems to identify emerging harmful impacts at as early a stage as possible.
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.11 SOILS
Why?
What & How?
Who?
Input into the design process
Design of the operation and its restoration
Environmental assessment
Safety
Costs and benefits
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.12 AIR QUALITY
Why?
What & How?
Who?
Input into the design process
Design of the operation and its restoration
Environmental assessment
Safety
Costs and benefits
Dust Assessment Study (MPS 2)
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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5.13 NOISE AND VIBRATION
Why?
What & How?
Who?
Input into the design process
Design of the operation and its restoration
Environmental assessment
Safety
Costs and benefits
Relevant legislation and statutory guidance
Supporting materials in Part IV relevant to this section
Recommended further reading, reference and guidance material (for a more
comprehensive list, see Part V dynamic bibliography)
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CHAPTER 6
DESIGN RISK ASSESSMENTS
6.1 INTRODUCTION..................................................................................................... 2
6.1.1 Elements of design risk assessment .......................................................... 2
6.1.2 Key terms................................................................................................... 3
6.1.3 Environmental, operational and commercial risks....................................... 4
6.2 RISK ASSESSMENT............................................................................................... 5
6.2.1 Description of action................................................................................... 6
6.2.2 Hazard identification................................................................................... 6
6.2.3 Identification of consequences ................................................................... 8
6.2.4 Estimation of the magnitude of consequences ........................................... 8
6.2.5 Magnitude of consequences....................................................................... 9
Magnitude of environmental consequences .......................................... 9
Magnitude of operational consequences ............................................. 10
Magnitude of commercial consequences............................................. 11
6.2.6 Estimation of the probability of consequences.......................................... 12
6.2.7 Risk estimation......................................................................................... 12
6.2.8 Risk evaluation......................................................................................... 13
6.2.9 Risk perception ........................................................................................ 14
6.2.10 Reviewing the process ............................................................................. 15
6.3 DEVELOPMENT AND MAINTENANCE OF A RISK REGISTER........................... 16
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6 DESIGN RISK ASSESSMENT
6.1 INTRODUCTION
6.1.1 Elements of design risk assessment
This chapter deals with the identification, assessment and mitigation of design risks, focussing on
environmental, operational and commercial risks associated with quarry design and operation.
Environmental risk assessment identifies the hazards in the context of their potential for damage to
the environment. All quarrying activities carry environmental risks; by their nature they disturb the
existing environment. The inputs to environmental risk assessment clearly arise naturally from the
activity of environmental impact assessment. Avoidance or mitigation of environmental impacts (and
therefore environmental risk) through design can best be achieved alongside the process of
Environmental Impact Assessment (EIA).
Operational risk assessment identifies hazards arising from all aspects of the quarrying operation.
The framework for operational risk assessment is the Quarries Regulations 1999; the need for design
of quarries is a key requirement of the Regulations. The aspects of the design of quarry operations,
which can most significantly influence operational risks in quarries, are:
Design of stable excavated slopes both at the final limits of working and in all intermediate faces.
Selection of excavation plant appropriate to the ground conditions and design of working faces
promoting safe use of such plant.
Design of safe haul roads suitable for the selected mobile plant and the required intensity of use.
Design of safe waste tips and structures such as stockpiles, lagoons and screening bunds and
specification of safe methods of construction and operation.
Commercial risk assessment identifies hazards in the context of their potential to impact on the
viability of the operation (profitability and asset value). Clearly, commercial risk can arise from failure
to avoid or control environmental or operational risks.
Example: commercial risks arising from environmental design failure
Failure to allow sufficient space for effective water management infrastructure may make it impossible
to obtain and/or comply with a discharge licence following grant of planning permission without major
changes to site layouts. This could lead to one or more of a number of commercial consequences,
e.g.:
The need for expensive re-design work with associated EIA.
The need to apply for a new or amended planning permission expensive and not guaranteed to
succeed.
Delays to commencement of production leading to delays to revenue generation.
Prosecution if the operation goes ahead without a discharge licence or the conditions are
breached.
Loss of reserves resulting from making available sufficient space to construct settlement and
attenuation ponds.
Increased pumping costs if gravity drainage cannot be arranged, given the topography.
Example: commercial risks arising from operational design failure
Failure to appreciate that bedding will dip out of the face within which the main haulage route is to be
constructed until planning permission has been granted and construction has commenced, leading to
unacceptably high risks of major slope failure involving the road unless major stabilisation work is
carried out, or the road is re-positioned on the other side of the excavation to avoid undercutting
bedding. This could lead to one or more of a number of commercial consequences e.g.:
The need for the design and implementation of extensive (and expensive) engineering support
works (e.g. rock bolting, buttressing etc).
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The need for expensive re-design work and, potentially, for an application to vary the planning
permission and associated EIA relating especially to noise and vibration if the re-design gives rise
to significant differences in the phasing and layout of the site.
Loss of reserves if the faces have to be flattened overall for stability reasons.
Commercial risk may also arise quite independently from environmental or operational failures. For
example, failure to model (or modelling with insufficient detail) quality variations within a deposit of
sand and gravel could give rise to unrealistic processing, recovery or marketing assumptions during
design, any or all of which could have serious consequences for profitability as and when the material
of unforeseen quality is encountered.
Design risk assessment, covering the three specific risk areas described above and their interactions,
allows a quarry designer to identify those aspects of quarry design where an intended course of action
might result in risks that are intolerable so that amendments to the proposals can be made to mitigate
the impacts. If risks are too high, the proposals should be modified and the risks reassessed until a
tolerable outcome is achieved. Only when this has been done can the designer decide whether the
benefits of proceeding with a development (i.e. income from the operation or its residual value) justify
the costs involved. Common risk estimation techniques, and particularly the development and
maintenance of a risk register to quantify the magnitude and possible consequences of the hazards
identified are described in this chapter and some examples and supporting checklists, tools and
further explanations are included in Part IV.
In many cases, the costs and benefits of a proposed quarry development affect only the mineral
operator. However, in other circumstances, the mineral operators actions will affect other people in
ways that are not reflected in purely financial terms. This is particularly the case with environmental
impacts. Risk assessment and management in regard to these aspects are crucial in the context of
the possible effects on the wider environment and on human health.
6.1.2 Key terms
Risk assessment is the structured gathering of information available about risks and the forming of a
judgement about them. Risk management involves using these data to make and implement
decisions based on the balance of costs and benefits for a range of options that produce the desired
outcome.
The vocabulary associated with risk assessment appears, on first consideration, to be non-technical
because its words are often used interchangeably in everyday speech. Confusion also arises
because specialists in different fields use similar definitions and terms in different ways. The following
terms are used in this chapter and have the meanings ascribed to them. These are commonly used in
many forms of risk assessment:
Hazard A property or situation that in particular circumstances could lead to harm;
Consequence The adverse effect or harm as the result of realising a hazard which cause the
quality of human health or the environment to be impaired in the short or long term; and,
Probability The mathematical expression of chance (e.g. 1 in 5, or 20%) of a consequence
arising. The definition may be applied to the occurrence of a particular event in a given period, or
as one among a number of possible events. In many cases, when applied to design risk
assessment, it is not possible to express probability quantitatively, and it may only be expressed
qualitatively (e.g. high, medium or low probability of a consequence arising).
In applying the everyday meanings of estimation and evaluation to the concept of risk, there are
further terms that require definition:
Risk estimation which is concerned with the outcome (or consequence) of an action taking
account of the probability of occurrence;
Risk evaluation which is concerned with determining the significance of the estimated risks for
those affected (i.e. includes the element of risk perception);
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Risk perception which is the overall view of risk held by an individual or group and includes
both feeling and judgement;
Risk assessment consists of both risk estimation and risk evaluation; and,
Risk management the process of implementing decisions about accepting or altering risks.
The process of quarry development includes a series of actions, which are anticipated by the process
of design. These actions should be the subject of the risk assessment, including a do nothing action.
With the assessments prepared, the quarry designer will be informed about the various benefits and
costs associated with any particular action or set of actions. These will be used in preparing a risk
management strategy, with certain benefits arising from a reduction in design risk. Such benefits are
not necessarily financial or wholly financial. Figure 6-1 illustrates how the various stages in the risk
assessment process are related.
Figure 6-1 Stages in risk assessment and preparation of management controls
6.1.3 Environmental, operational and commercial risks
In the context of risk to people, it is often considered relatively simple to assess the risks and prepare
management plans. There is a clear need to preserve human life and all actions and mitigation
Description of action
Hazard identification
Identification of consequences
Estimation of probability of
consequences
Risk Estimation
Risk
perception
Data collection
and definition of
input
assumptions
Estimation of magnitude of
consequences
Risk Evaluation
Risk Management
Risk Assessment
Data
assessment and
predictions of
risk
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measures will address this fundamental principle. The harm that can arise is clear and apparent - loss
of life or injury. By any measure, these outcomes would be considered significant. Whilst commercial
risks can be readily appreciated in terms of tangible effect on profitability, unless systematically
considered the knock on effects of failures in design on the commercial viability of a quarry may be
missed.
When assessing risks relating to the environment, it is often less clear what harm might be produced.
Since any quarrying activity will alter the existing environment, it may always be considered that harm
has been caused. This might include direct harm to an existing eco-system (e.g. plants removed,
species disrupted, water systems modified), but equally it could be considered that environmental
disturbance harms humans. Harm is often taken to include effects on a persons property (including
physical damage or financial loss) or an offence to their senses. In this context it should be realised
that the concept of significance is important and this concept is fundamental to EIA. Measuring the
significance of harm arising from an action in an environmental sense is only possible if suitable and
sufficient baseline data is available. It is necessary to know what changes naturally occur in the
environment in response to other influences (i.e. seasonal variations, longer term changes, effects
from other land-uses, etc). In such cases, it may only be relevant to consider the potential harm
arising from an action if this is outside normal environmental variations.
For most activities, environmental impact is not automatically reflected in the costs of carrying out the
action leading to the impact. For example, for production blasting, the noise or vibration impacts
arising are reflected in the costs of the blast. They arise as a one off event associated with that blast,
and commercial risks associated with uncontrolled costs for this activity can be mitigated through
careful planning and cost control. The visual impacts of a quarry are not reflected in the costs of
working the site however. The visual impact arises as a consequence of developing the site as a
whole. The methods of mitigating the impact might therefore have costs associated with them that are
not directly related to any particular activity. Quarry screening bunds might be required to mitigate
visual impact. This might be a direct additional cost. To mitigate the undesirable impacts of blasting,
the blast size might be reduced this could be cost neutral in overall terms (since less explosive is
used in each blast, but more blasts are required), but operationally more complicated.
The assessment of risk, the accompanying assessment of cost and benefit and the decision as to
whether or not to go ahead with a particular action require a judgement to be made regarding the
tolerability of the harm to be experienced. Tolerability does not, however, necessarily mean
acceptability:
Tolerability refers to a willingness to live with a risk to secure certain benefits provided that the
risk is properly controlled and managed. The benefits might accrue to a mineral operator (in the
form of profits from the operation) or may accrue to wider society (in the form of provision of
necessary construction materials). Toleration of a risk does not imply it is negligible or ignored,
but something that is kept under review and reduced wherever practicable.
Acceptability implies that the risk is simply accepted as it is, and little further effort is expended in
managing or reducing it. In many cases, acceptability is not an option. All risks should ideally be
kept under review.
6.2 RISK ASSESSMENT
The following section outlines the steps required in the risk assessment process, as identified in
Figure 6-1 above. Before the risk assessment can be properly undertaken, there are five stages to be
considered in preparation for the process:
1 Description of action;
2 Hazard identification;
3 Identification of consequences;
4 Estimation of the magnitude of the consequences; and,
5 Estimation of the probability of the consequences.
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Although the five initial stages are related to each other, some can be considered independently.
These stages must be considered before risk estimation and risk evaluation can be undertaken, since
these activities rely on the inputs from the five stages noted.
At every stage of the process, assumptions will need to be made and it is important that these are
explicitly defined so that any further review can establish whether there have been sufficient changes
to warrant modification. These assumptions should be properly recorded as a reference for the
assessment and future review. Most assessments will, by their nature, be made on the basis of
incomplete or uncertain information.
The keeping of proper records of the stages of the assessment process and the underlying
assumptions will allow justification of the measures adopted for any proposed actions. It also allows
subsequent reviews to be made in the light of new experience or knowledge, particularly for those
assumptions made on incomplete or uncertain information. Many actions proposed in the quarry
design (or, later in the operation of a quarry) will affect the interests of both the mineral operator and
other concerned parties. The decisions on what actions are to be taken is bound to favour one party
rather than another, or at least appear to do so to one party. Since any decision has the potential for
criticism, it is important to keep proper records to show that due attention was paid to the various
concerns and the selected decision was made in good faith and was justifiable in the context of
knowledge at that time. There is also clear benefit to consultation and communication) with all relevant
stakeholder groups during the assessment process (Chapter 7).
6.2.1 Description of action
The quality of any risk assessment is directly related to the extent of knowledge of what action is to be
taken and the effects of that action. It must also take account of the conditions prior to undertaking the
action, and what the conditions will be on completion. The process of quarry design and the
information upon which it is based (described in Chapters 4 and 5) is an essential basis for meeting
these requirements in design risk assessment for quarries.
There are four main groups of questions to be addressed, relating to the intrinsic characteristics of the
environment that is to be affected, or the processes that will be involved:
(i) What conditions existed before undertaking the action?
(ii) What conditions will be applied in undertaking the action?
(iii) What are the intended individual steps and overall outcomes in the operation as a whole?
(iv) What conditions will exist on completion of the actions?
The description of the actions to be taken is generally detailed in the design itself and associated EIA
prepared for the proposed workings. This recorded description of the proposed actions provides a
summary of the proposals from which it will be possible for other parties to tell what was taken into
account and what was ignored. For those intimately involved in the design process, it is often easy for
them to make implicit assumptions or take account of knowledge that may not be available to others
reviewing the proposals and again; good reporting will help overcome such gaps in the records.
At this first stage in the process, there should be no attempt to identify or evaluate the consequences
of any action or the proposed development overall. It is the description of the actions in this first stage
that is necessary to assist in identifying, in the second stage, those features that have the potential to
cause environmental or other harm.
6.2.2 Hazard identification
As noted in Section 6.1, a hazard is a property or circumstance that could give rise to harm. In some
circumstances, hazard identification may be relatively obvious (e.g. through certain intrinsic properties
of materials, such as explosives, or identified through geotechnical assessments identifying certain
failure modes for slopes), although in others it may not be so well recognised (e.g. increase in traffic
on certain stretches of public roads, effects on the groundwater regime from uncontrolled escapes of
diesel fuel etc).
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Hazard is often related to location and it is not always possible therefore to draw on previous studies
or research in quantifying the nature or severity of a hazard. Geotechnical or geological hazards will
be totally site specific, and will also be affected by working proposals. Site investigation and data
assessment is essential in identifying potential hazards. Similarly, measurements of other factors and
modelling may be necessary to identify hazards associated with a quarrying operation that could arise
at some remote location.
The basic question to be answered in order to derive a first order hazard identification is:
Which of the identified properties of the proposed operation or process could lead to an adverse
effect on the environment, on operational safety or on the viability of the operation?
The properties may relate to a physical activity as part of the operation or may be a function of
materials used or the way the project is organised and managed. The hazards identified will be very
broad at this stage, but should be as clearly defined as possible. This will improve the final risk
assessment. If there is insufficient information to assess whether a particular hazard is present or not,
the assumption for the purposes of subsequent assessment should be that it is until such time as it
can be ruled out. Some examples are given in Figure 6-2.
First order design hazards Possible Consequences
1. Failure to write precise brief and establish clear
objectives.
Abortive works, mistakes, lost time, inefficient
use of land, poor mineral recovery, double
handling etc.
2. Failure to secure and define land ownership or
control.
Abortive work, commercial risk from
competitors.
3. Failure to define market/demand/competition. Poor design brief, missed opportunities,
unprofitability.
4. Failure to define timescales and key deadlines. Slippage, missed deadlines e.g. Planning
Committees, repeated work.
5. Failure to appoint design/assessment team and
leader at early stage.
Abortive work or missed inputs and delay to
scoping, EA, quarry design process and
application.
6. Failure to acquire, collate and circulate base
information to design team.
Abortive work or missed inputs and delay to
scoping, EA, quarry design process and
application.
7. Failure to define protocols, formats, computer
software etc.
Abortive work, mistakes, poor presentation.
8. Failure to schedule baseline studies. Missed seasons and/or delay.
9. Failure to secure a screening opinion from the
LPA/MPA.
Invalidity, legal challenge or delay.
10. Failure to secure agreed scoping decision from
LPA/MPA.
Abortive or missed work on non-relevant
subjects, invalidity, legal challenge or delay.
11. Failure to communicate and lack of input of
team to quarry design iteration.
Delay, additional fees, fundamental design
flaws, re-assessments of amended schemes,
inefficiency of design solution and failure to
maximise mineral recovery.
12. Failure to consult statutory and non-statutory
consultees.
Planning refusal, legal challenge, delay,
abortive work and loss of seasons for
assessment.
13. Failure to consult public/stakeholder groups. Poor PR, objections, lack of local knowledge or
local inputs.
14. Failure to conform to EA Regulations. Rejection of EA, planning refusal.
15. Failure to assess alternative sites, do-nothing
scenario, impacts during construction, operation
and on de-commissioning.
Rejection of EA, planning refusal.
16. Failure to apply for appropriate licences, permits
and approvals.
Criminal proceedings, costs, bad PR.
Figure 6-2 First order hazard identification
The set of possible hazards identified at this stage of the assessment could be very large, and some
judgement may be required about which can be ignored for practical purposes until a later stage in the
process. Hazards may also be inter-linked (in the way illustrated in the examples given in section 6.1).
A second question that may be asked in preparing the hazard identification, is:
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Where, and to what extent, might an operation or process (or the individual stages of an operation),
by virtue of their nature and through failure, cause environmental harm, unsafe working environments
or unfavourable economic impacts?
In many cases the search for operational or process failures is likely to be appropriate only when
intrinsically hazardous properties have been identified. For example, the failure of a silt lagoon
retaining bund has high potential for causing harm, but this may be even greater if the lagoon is built in
a sensitive location (e.g. by virtue of physical location or underlying foundation conditions). By
contrast, the construction of a screening bund using the same materials in a suitable location has
much less potential for harm even if it were to collapse.
6.2.3 Identification of consequences
The potential consequences of an operation are determined in the first instance by the hazards
identified. A specific consequence only arises if the underlying hazard is realised. This can only
happen if the potential receiving environment possesses the necessary characteristics and/or if the
operational or process failures do indeed take place.
Identifying the potential outcome depends on the combination of the hazard and the characteristics of
the receiving environment that are relevant to the particular hazard. The characteristics of the
environment may be such that certain hazards will not arise (e.g. noise from a quarry in an area far
from any centres of population is unlikely to generate offence (harm) to the general population, but
may still be an issue for persons working at the site).
The source pathway receptor model used in EIA is a helpful context for identifying
consequences, particularly for environmental consequences but also in relation to safety and
economic consequences. For example, when considering the consequences of emissions from a site,
the source of those emissions and the potential for exposure of the receiving environment or people to
that substance should be estimated (taking account of the routes (pathways) by which they might be
affected). Such estimates may well include consideration of effects far removed from the working site
at points downstream, downwind or down aquifer from it. The exposure may be concentrated at a
point or affect a wider local or regional area. For safety issues arising, for example, from slope
instability, consequences of failure will be very different in an area where no workers are ever present
as compared with an area where machinery and personnel work routinely.
The consequences arising from particular hazards may affect both the living and non-living
environments. The effects on the living environment may be more apparent than those on the non-
living environment, and the effects on people within the quarry are perhaps the most obvious. The
clearing of a site prior to quarrying may involve the removal of existing plants, which in turn might
support other forms of life (insects, birds, mammals etc.). The same action also has an effect on the
non-living environment however. Ground clearance may lead to greater run-off and higher erosion
rates, which in turn could add silt to local watercourses or change local drainage patterns. Higher run-
off might also lead to reduced infiltration and affect underlying aquifers. These consequences may
have both safety and commercial implications.
It must also be recognised when assessing consequences that the hazard identified may not cause
physical harm to persons, but certain activities or operations may have the potential to cause offence.
This may arise in the context of loss of visual amenity, increased noise, dust or vibration or a general
perception of damage. Such effects should be considered in the design risk assessment, abut may
only really be relevant if they occur widely and affect significant numbers. Quarrying is often an
unpopular activity and there will always be individuals who will take offence, no matter how limited the
impacts are in reality.
6.2.4 Estimation of the magnitude of consequences
The consequences of a specific hazard being realised are, by definition, harm or adverse affects on
people, the environment or the commercial success of the operation. In some cases, it may be
possible to quantify the magnitude and even to ascribe a monetary value (e.g. the cost of rebuilding a
house damaged by blast induced vibration). Where it is not possible to fully quantify the
consequences, it may be possible to predict the order of magnitude or to adopt a semi-quantitative
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approach. Consequences may also be predicted by comparison with other sites or activities (where
these are themselves comparable with the proposed operations).
Consideration of the magnitude of consequences may be divided into the effects on the living and
non-living environment.
6.2.5 Magnitude of consequences
Magnitude of environmental consequences
For the living environment (but excluding humans), the following degrees of magnitude may be
applicable:
Severe The actions result in a significant change in the numbers of one or more species, including
beneficial or endangered species, over the short or long term. The actions also have a
negative effect on the functioning of the particular ecosystem and/or neighbouring
ecosystems.
Moderate The actions produce a significant change in population densities, but not a change which
results in total eradication of a species or affects any endangered species.
Mild The action causes some change in population densities, but does not cause eradication
and has no negative effect on the ecosystem function.
Negligible The action causes no significant changes in any of the populations in the environment or
any changes in ecosystem function.
The above ranking depends on a broad knowledge of the species present in the receiving
environment as well as the likely effects on those species produced by the proposed actions.
Complete loss of a species is of prime significance, but is qualitatively different from a local
eradication. However, at a local level, total eradication of a species (or its habitat, leading to
migration) might have an undesirable knock-on effect in the local ecosystem.
Any significant changes in functioning of the ecosystem would be slow to recover, if indeed it ever
could. The ability of the environment to recover may be related to the generation time of the species
affected. If the operation (or action) causing the consequence is very short-lived, the consequences
might be low if regeneration or re-colonisation from the surrounding environment could take place
fairly rapidly. This might be encouraged by early and/or progressive restoration of worked areas of the
site.
For the non-living environment, a similar approach may be adopted in defining orders of magnitude of
consequences:
Severe The action results in irreparable damage to natural features (e.g. geological type localities)
or destruction of important buildings (e.g. historical properties, monuments, etc).
Moderate The action causes damage to important structures/buildings or natural features.
Mild The action causes damage to less important structures/building, and such damage can be
repaired.
Negligible The action causes only cosmetic damage to less important structures/buildings.
The scale of the operation must also be considered in assessing the consequences of the operation.
The scale should not only be addressed in absolute terms but also in relation to the affected
environment (e.g. a 1 million tonne per annum quarry in a previously worked area might be considered
to be less damaging than a 0.1 million tonne per annum quarry in an area of virgin rainforest).
Spreadsheets, flow charts and checklists are included in Appendix 6 (Part IV) to assist with applying
the definitions of orders of magnitude for environmental risks as summarised above to the progressive
phases of design.
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Magnitude of operational consequences
The Quarries Regulations require that hazards relating to excavations and tips (broadly defined to
include all parts of a quarry site where the original ground surface is modified by excavation or
accumulation of material, including haul roads and lagoons
1
) are ranked according to the magnitude of
the consequences of their failure, determined through a system of geotechnical appraisal and
assessment. The procedure to be followed is explained in detail in Part VI of the Approved Code of
Practice and Guidance issued in relation to Regulations 30-38, which cover:
Regulation 30 General duty to ensure safety of excavations and tips
Regulation 31 Excavations and tips rules
Regulation 32 Appraisal of excavations and tips
Regulation 33 Meaning of geotechnical assessment and operators duties in relation to
geotechnical assessment
Regulation 34 Operators duties in relation to excavations and tips which are a significant
hazard (notifiable excavations and tips)
Regulation 35 Operators duties in relation to excavations and tips which are not a significant
hazard
Regulation 36 Duty to keep record of substances tipped
Regulation 37 Notification of excavations and tips
Regulation 38 Transitional provisions
Throughout the Regulations the obligation to design all excavations and tips (i.e. the whole quarry
operation) and to anticipate all the hazards and assess their significance is repeatedly stressed. The
relationship between appraisal and assessment and the elements involved are illustrated in Figure 5 in
the guidance in the Approved Code of Practice, which is reproduced in Figure 6-3 below. The
Quarries Regulations distinguish between significant hazards and other hazards as follows:
295 The hazard should be considered significant if such a failure would, directly or indirectly, be:
(a) liable to endanger premises, roadways or other places where people are to be found off-site;
or
(b) likely to kill or seriously injure anyone.
296 If the degree of hazard is not clear and the excavation or tip is not in the categories described in
paragraphs 300 and 301, the advice of a geotechnical specialist should be sought.
(ACOP, paragraphs 295 and 296)
Spreadsheets, flow charts and checklists are included in Appendix 6 (Part IV) to assist with applying
the requirements of the Quarries Regulations as summarised above to the progressive phases of
design.
1
Excavations and tips are defined in Regulation 2: excavation means any place at the quarry where minerals are or
have been extracted and includes the ground, faces or sides of the quarry and any other incline; tip means an accumulation
or deposit of any substance at a quarry (whether in a solid or liquid state or in solution or suspension) and includes, but is not
limited to, overburden dumps, backfill, spoil heaps, stock piles and lagoons, and where any wall or other structure retains or
confines a tip then it shall be deemed to form part of the tip.
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Figure 6-3 Appraisal and assessment of excavations and tips (from Quarries Regulations
1999, Approved Code of Practice, Figure 5)
Magnitude of commercial consequences
As noted above in relation to hazard identification (section 6.2.2), many commercial hazards (and
therefore commercial consequences associated with them) arise as a direct result of environmental or
operational hazards. The business plan itself will set out a number of commercial objectives, against
which magnitude of commercial consequences may be assessed. Typically, the commercial
objectives will include statements such as:
Return on investment throughout the operational life of the quarry shall exceed x%;
The operation shall have paid back investment by the end of year y;
The framework for assessing magnitude of any commercial hazard that is identified, is the business
plan, and particularly the cash flow model that is likely to be included within it. A paper on the
principles of economic appraisal, together with working example cash flow models to demonstrate
assessment of the commercial magnitude of consequences of design hazards are included in the
materials included Appendix 6 (Part IV).
Does/will the
proposed or existing
tip or excavation
create a significant
hazard
on or off
site?
Does the
geotechnical
specialist agree that
the hazard is likely to
be significant?
Carry out next appraisal when
specified or in the event of
change or discovery likely to
significantly increase hazard
Complete geotechnical assessment.
Prepare/review design and working
methods, rules, inspection
schemes/reports.
Identify any necessary remedial
measures.
Prepared report
Notify HSE
Carry out next assessment when
specified or in the event of
change or discovery likely to
significantly increase hazard.
Appraisal
Assessment