Comments provided on DAR identify areas where industry may find it difficult to comply with the standard and areas where enforcement officers may find it difficult to enforce them.
Standard 4.2.1 Primary Production & Processing Standard for Seafood
This title includes the word ‘processing’ which is not ordinarily associated with primary production. No definition is provided in Standard 4.2.1 to differentiate the use of this word in this Standard to the use of the word “process” in Standard 3.2.2.
- recommends the words “and processing” be removed from the title of the Standard.
2 Interpretation / Clause 6 Seafood Storage
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Temperatures referenced in Standard (where it is stated “unless the contrary intention appears, the definitions in Chapter 3 of this Code apply for the purposes of this Standard”).
Questions whether there is a need for a chilled or frozen seafood definition. States they are only referenced in clauses 6 & 7 as examples of types of food. These definitions may lead to enforcement difficulties as an enforcement officer would not know which standard to apply.
For example:
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should a frozen product be hard, below -18°C or another temperature that ensures the safety of the food;
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if the product is between -2°C and -17°C it is under temperature control, is safe and suitable, but is outside the definitions of chilled seafood or frozen seafood. How would this be enforced? In reality, there would be a conflict of standards so standard 3.2.2 (temperature control definition) would prevail (clause 1(2)). Therefore, why put the conflicting definitions in the Seafood Standard in the first place?
Believes the reference to the thermal centre of the seafood after thermal stabilisation adds unnecessary complexity to the standard. The thermal centre is not always easily and readily identifiable and will be dependent on external influences at the time of freezing. Every block of fish will be different. It would therefore be virtually impossible to demonstrate compliance with this requirement and similarly difficult to enforce it.
States that in Standard 3.2.2 there is no reference to thermal centres for either hot or cold foods, so to maintain consistency, the reference to thermal centre after thermal stabilisation should be removed.
- recommends these definitions/descriptions be removed or replaced as editorial notes as guidance for good practice
Seafood Storage (Clause 6(4)
Notes that Food Safety Standard 3.2.2 clause 22 requires food businesses to have a temperature measuring device where potentially hazardous food is handled that is: readily accessible and can accurately measure the temperature of potentially hazardous foods to +/- 1°C.
Comments that given Standard 4.2.1 is also measuring potentially hazardous food, it would seem appropriate that the same standard applies i.e. device accessible and accurate.
- recommends the wording from 3.2.2 clause 22 be included in 4.2.1
Notes that temperatures are monitored and are not recorded. This is in line with 3.2.2 but is not an acceptable standard as a business is unable to demonstrate they have complied without written records.
3 General seafood safety management
Comments that the current wording does not require a business to document that it has systematically examined its operations. Therefore, a business will not be able to demonstrate that it has complied with the standard.
- recommends that the words “and document” be inserted in the Standard after “systematically examine”
or alternatively:
- delete clause 3 as it would be impossible to enforce.
5 Inputs and harvesting areas / Division 3 (16) harvesting bivalve molluscs for human consumption and (17) harvesting bivalve molluscs for depuration or relaying
Comments that Clause 5(2) adequately addresses the issue of harvesting seafood from only ‘safe areas’.
Believes these clauses duplicate this requirement in much unnecessary detail for bivalve molluscs. Clause 5(2) and clauses 16 and 17 provide the same outcome. Believes the reference to the SSCA requirements may place an unnecessary financial burden on small fishermen.
Cites an example if a scallop fisherman was harvesting scallops from many different areas, he would be required to supply and pay for the water analysis from each place the scallops were caught. This could involve many areas on one trip. Results of analysis would only be available after the fresh scallops had been sold which makes the results superfluous to the fisherman especially if the fisherman may never return to exactly the same area.
Samples from geographic areas need to be interpreted with weather conditions, currents and tides and the sea is an ever-moving object. In addition, fishermen would need to be trained on how water samples should be collected, stored and transported to ensure handling does not compromise results. However, the scallop fisherman would be able to demonstrate that scallops were not caught in restricted areas by recording the areas in which the catch was made and comparing them against the latest list of restricted areas. If State/Territory government(s) require water samples to be taken to provide them with more information to identify restricted areas, this would be outside the scope of the seafood standard.
As all States/Territories already operate the ASQAP, questions whether it is necessary to bring this quality requirement into a food safety standard?
9 Seafood for disposal
Comments that the wording in this clause implies that food must be labelled “returned”, “recalled”, or “unsafe” or “unsuitable”.
States that the outcome required is that food for disposal is not accidentally used, so questions why specify the different terms for a label. Some businesses have marked ‘quarantine’ areas – these would not technically comply.
10 Seafood Receipt
Comments that this clause implies that food is being received by the primary seafood business. A primary industry is one at the beginning of the chain. If a business is receiving food it is actually the second link in the chain not the first, and does not fall under the definition of primary producer in 3.1.1.
In addition, if food is received at 60°C or above it must have undergone substantial transformation. Therefore, the businesses would not satisfy the definition of primary producer.
- recommends that the clause be deleted.
12 Skills and knowledge
Believes the wording is in conflict with clause 3 of Standard 3.2.2 as it does not apply to persons supervising food handling operations.
- recommends the wording be the same in both Standards to avoid confusion along the food chain.
13 Health and hygiene requirements
Questions who determines which hygiene and health practices are commensurate with the food safety risks, especially if the supervisors are not required to have skills and knowledge of food hygiene or food safety matters. In addition, no guidance is provided about what the term “health practices” means.
The editorial notes reference Division 4 of 3.2.2 for processing, but any contamination will already be in the seafood by the time the food reaches the processor, unless clear guidance is provided to the primary producers.
- recommends that the following requirements be included in the seafood standard:
Standard 3.2.2 clause 14
Standard 3.2.2 clause 15(1) a-g
Standard 3.2.2 clause 15(2)
Standard 3.2.2 clause 15 (3)
Believes this will provide seafood businesses with the necessary guidance to supervise seafood handlers and protect food from contamination.
18 Wet Storage of bivalve molluscs / 19 Co-mingling of bivalve molluscs
Questions whether these items need to be listed separately, especially if the seafood business is required to have a food safety program based on HACCP principles. The food safety program would identify all hazards and provide ways to control their risks.
- recommends these clauses be deleted.
15 Interpretation
States that if clauses 16-19 were removed, this clause would be redundant.
20 Specified seafood safety management systems
Notes the editorial note provides a list of acceptable systems.
- believes a reference to at least Standard 3.2.1 should be put in clause 20 (preferably Commonwealth Export Control Orders as well) as the editorial notes are not enforceable.
- in addition 3.2.1 refers to ‘food safety programs’, but this draft standard refers to ‘safety management system’. Believes this inconsistency in the use of terms may cause unnecessary confusion.
Naming of seafood
Comments that this has not been included in the Seafood Standard on the grounds that it is considered a consumer fair trading issue.
Believes this misses the main point of traceability. If seafood is called by different names along the food chain, it will be impossible to recall it at the consumer level. The primary producers are the ones who identify the fish for sale, so it would make sense to include reference to fish names in the primary producers’ standard. This would help address traceability issues and the reference could be amended if an Australian Standard is developed.
Unloading seafood in Victoria and New South Wales
Comments that both Victoria and New South Wales require seafood businesses to have in place a food safety program. If a fisherman on the state borders is forced by bad weather to land and sell fish in another state, they would fall foul of local state laws.
Questions whether Victoria and NSW will accept the Primary Production and Processing Standard for Seafood for foods sold in their jurisdiction under such circumstances.
If not, believes consideration should be given to applying the food safety programs requirement to the entire sector around Australia in the interests of consistency and in order to overcome any internal trade barriers that may develop.
Imported Foods
Questions whether seafood imported into Australia will be required to demonstrate it has been grown/collected/harvested in accordance with this standard. Also questions whether food imported into NSW and Victoria and all bivalve molluscs imported into anywhere in Australia be required to demonstrate that they have food safety programs that comply with Standard 3.2.1. If not, believes we have a double standard and the local industry is being disadvantaged.
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