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The Measuring Instruments Regulations 2016

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Regulation 2(1)

[F1SCHEDULE A1U.K.Disqualification and re-qualification marks

Disqualification markU.K.

1.  A disqualification mark must have the following form—

Re-qualification markU.K.

2.  A re-qualification mark must have the following form—]

Regulations 2(1) and 39(1)

SCHEDULE 1U.K.[F2ESSENTIAL REQUIREMENTS AND APPLICABLE CONFORMITY ASSESSMENT PROCEDURES

IntroductoryU.K.

1.  The essential requirements and conformity assessment procedure applicable to measuring instruments are as set out in this Schedule.

Water MetersU.K.

2.(1) The essential requirements relating to water meters intended for the measurement of volumes of clean, cold or heated water in residential, commercial and light industrial use are—

(a)the requirements set out in Annex I to the Directive; and

(b)the specific requirements of Annex III to the Directive subject to the modification specified in sub-paragraph (2).

(2) The modification referred to in sub-paragraph (1)(b) is that point 10 of the specific requirements in Annex III is to be read as follows—

Putting into use

10.  The requirements under points 1, 2 and 3 are determined by the utility or the person legally designated for installing the meter, so that the meter is appropriate for the accurate measurement of consumption that is foreseen or foreseeable.

(3) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to water meters of the kind referred to in sub-paragraph (1) are—

(a)B and F;

(b)B and D; or

(c)H1.

Gas metersU.K.

3.(1) The essential requirements relating to gas meters intended for residential, commercial and light industrial use are—

(a)the requirements of Annex I to the Directive; and

(b)the specific requirements set out in Part I of Annex IV to the Directive subject to the modification in sub-paragraph (2).

(2) The modification referred to in sub-paragraph (1)(b) is that point 10 of the specific requirements in Annex IV is to be read as follows—

Putting into use

10.(a) The measurement of residential use must be performed by means of any Class 1.5 gas meter, or by Class 1.0 gas meters which have a Qmax/Qmin ratio equal to or greater than 150.

(b)Measurement of commercial or light industrial use must be performed by any Class 1.0 or Class 1.5 gas meter.

(c)The person responsible for installing a gas meter must have regard to the requirements under Points 1.2 and 1.3 of Part I of Annex IV and must ensure that the gas meter is appropriate for the accurate measurement of consumption that is foreseen or foreseeable.

(3) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to gas meters are—

(a)B and F;

(b)B and D; or

(c)H1.

Volume conversion devicesU.K.

4.(1) In this paragraph “conversion device” means a device fitted to a gas meter that automatically converts the quantity measured at metering conditions into a quantity at the specified conditions to which the quantity of fluid is converted.

(2) The essential requirements relating to conversion devices intended for residential, commercial and light industrial use are—

(a)the requirements of Annex I to the Directive;

(b)the specific requirements set out in Part II of Annex IV.

(3) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to conversion devices are—

(a)B and F;

(b)B and D; or

(c)H1.

Active electrical energy metersU.K.

5.(1) The essential requirements in relation to active electrical energy meters intended for residential, commercial and light industrial use are—

(a)the requirements of Annex I of the Directive; and

(b)the specific requirements in Annex V subject to the modification in sub-paragraph (2).

(2) The modification referred to in sub-paragraph (1)(b) is that point 7 of the specific requirements in Annex V is to be read as follows—

Putting into use

7.(a) Subject to sub-paragraph (2), measurement may be performed by means of any active electrical energy meter provided that the temperature range to which an active electrical energy meter is exposed is not wider that the range specified by the manufacturer in relation to that active electrical energy meter in accordance with Point 1.3.1 and Table 1 in Annex 1 to the Directive.

(b)Class A active electrical energy meters may not be used when operating outside the temperature range of an upper temperature limit of 30°C to a lower temperature limit of 5 °C.

(c)The person responsible for installing the active electrical energy meter must determine the correct current range and assess the climatic environment.

(3) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to active electrical meters are—

(a)B and F;

(b)B and D; or

(c)H1.

Thermal Energy MetersU.K.

6.(1) The essential requirements in relation to thermal energy meters are—

(a)the requirements of Annex I of the Directive; and

(b)the requirements of Annex VI.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to thermal energy meters are—

(a)B and F;

(b)B and D; or

(c)H1.

Non-water liquid measuring systemsU.K.

7.(1) The essential requirements in relation to non-water liquid measuring systems are——

(a)the requirements of Annex I of the Directive; and

(b)the requirements of Annex VII.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to non-water liquid measuring systems are—

(a)B and F;

(b)B and D;

(c)H1; or

(d)G.

Automatic weighing instrumentsU.K.

8.(1) The essential requirements in relation to automatic weighing instruments are—

(a)in relation to automatic catchweighers—

(i)the requirements of Annex I of the Directive; and

(ii)the specific requirements in Chapter I and II of Annex VIII;

(b)in relation to automatic gravimetric filling instruments—

(i)the requirements of Annex I of the Directive; and

(ii)the specific requirements in Chapter I and Chapter III of Annex VIII;

(c)in relation to discontinuous totalisers—

(i)the requirements of Annex I of the Directive; and

(ii)the specific requirements in Chapter I and Chapter IV of Annex VIII;

(d)The essential requirements in relation to beltweighers are—

(i)the requirements of Annex I of the Directive; and

(ii)the specific requirements in Chapters I and V of Annex VIII; and

(e)The essential requirements in relation to automatic rail weighbridges are—

(i)the requirements of Annex I of the Directive; and

(ii)the specific requirements in Chapters I and VI in Annex VIII.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to automatic weighing instruments are—

(a)for mechanical systems—

(i)B and D;

(ii)B and E;

(iii)B and F;

(iv)D1;

(v)F1;

(vi)G; or

(vii)H1;

(b)for electromechanical instruments—

(i)B and D;

(ii)B and E;

(iii)B and F;

(iv)G; or

(v)H1; and

(c)for electronic systems or systems containing software—

(i)B and D;

(ii)B and F;

(iii)G; or

(iv)H1.

TaximetersU.K.

9.(1) The essential requirements in relation to taximeters are—

(a)the requirements of Annex 1 of the Directive; and

(b)the specific requirements in Annex IX.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to taximeters are—

(a)B and F;

(b)B and D; or

(c)H1.

Material measures of lengthU.K.

10.(1) The essential requirements in relation to material measures of length are—

(a)the requirements of Annex I of the Directive; and

(b)the specific requirements in Chapter I of Annex X.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to material measures of length are—

(a)F1;

(b)D1;

(c)B and D;

(d)G; or

(e)H.

Capacity serving measuresU.K.

11.(1) The essential requirements in relation to capacity serving measures are—

(a)the requirements of Annex I of the Directive; and

(b)the specific requirements in Chapter II of Annex X.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to capacity serving measures are—

(a)A2;

(b)D1;

(c)E1;

(d)F1;

(e)B and D;

(f)B and E; or

(g)H.

Dimensional measuring instrumentsU.K.

12.(1) The essential requirements in relation to dimensional measuring instruments are—

(a)the requirements of Annex I of the Directive; and

(b)the specific requirements in Annex XI.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to dimensional measuring instruments are—

(a)for mechanical or electromechanical instruments—

(i)D1;

(ii)E1;

(iii)F1;

(iv)H;

(v)H1;

(vi)G;

(vii)B and D;

(viii)B and E;

(ix)B and F;

(b)for electronic instruments or instruments containing software—

(i)B and D;

(ii)B and F;

(iii)G; or

(iv)H1.

Exhaust gas analysersU.K.

13.(1) The essential requirements in relation to exhaust gas analysers are—

(a)the requirements of Annex I of the Directive; and

(b)the specific requirements in Annex XII.

(2) The conformity assessment procedures specified in the modules in Annex II to the Directive applicable to exhaust gas analysers are—

(a)B and D;

(b)B and F; or

(c)H1.]

Regulation 2

[F3SCHEDULE 1AE+W+SESSENTIAL REQUIREMENTS (Annex I to the Directive)

A regulated measuring instrument shall provide a high level of metrological protection in order that any party affected can have confidence in the result of measurement, and shall be designed and manufactured to a high level of quality in respect of the measurement technology and security of the measurement data.

The essential requirements that shall be met by regulated measuring instruments are set out below and are supplemented, where appropriate, by instrument-specific requirements in Schedules 1C to 1J that provide more detail on certain aspects of the general requirements.

The solutions adopted in the pursuit of the essential requirements shall take account of the intended use of the instrument and any foreseeable misuse thereof.

DEFINITIONS

MeasurandThe measurand is the particular quantity subject to measurement
Influence quantityAn influence quantity is a quantity that is not the measurand but that affects the result of measurement.
Rated Operating ConditionsThe rated operating conditions are the values for the measurand and influence quantities making up the normal working conditions of an instrument.
DisturbanceAn influence quantity having a value within the limits specified in the appropriate requirement but outside the specified rated operating conditions of the regulated measuring instrument. An influence quantity is a disturbance if for that influence quantity the rated operating conditions are not specified.
Critical change valueThe critical change value is the value at which the change in the measurement result is considered undesirable.
Material MeasureA material measure is a device intended to reproduce or supply in a permanent manner during its use one or more known values of a given quantity.
Direct sales

A trading transaction is direct sales if:

— the measurement result serves as the basis for the price to pay; and

— at least one of the parties involved in the transaction related to measurement is a consumer or any other party requiring a similar level of protection; and

— all the parties in the transaction accept the measurement result at that time and place.

Climatic environmentsClimatic environments are the conditions in which regulated measuring instruments may be used. To cope with climatic differences, a range of temperature limits has been defined.
UtilityA utility is regarded as a supplier of electricity, gas or water.

ESSENTIAL REQUIREMENTS

Allowable ErrorsE+W+S

1.1.  Under rated operating conditions and in the absence of a disturbance, the error of measurement shall not exceed the maximum permissible error (MPE) value as laid down in the appropriate instrument-specific requirements.E+W+S

Unless stated otherwise in the instrument-specific Schedules, MPE is expressed as a bilateral value of the deviation from the true measurement value.

1.2.  Under rated operating conditions and in the presence of a disturbance, the performance requirement shall be as laid down in the appropriate instrument-specific requirements.E+W+S

Where the instrument is intended to be used in a specified permanent continuous electromagnetic field the permitted performance during the radiated electromagnetic field-amplitude modulated test shall be within MPE.

1.3.  The manufacturer shall specify the climatic, mechanical and electromagnetic environments in which the instrument is intended to be used, power supply and other influence quantities likely to affect its accuracy, taking account of the requirements laid down in the appropriate instrument-specific Schedules.E+W+S

1.3.1  Climatic environmentsE+W+S

The manufacturer shall specify the upper temperature limit and the lower temperature limit from any of the values in Table 1 unless otherwise specified in Schedules 1C to 1J and indicate whether the instrument is designed for condensing or non-condensing humidity as well as the intended location for the instrument, i.e. open or closed.

Table 1

Temperature Limits
Upper temperature limit30 oC40 oC55 oC70 oC
Lower temperature limit5 oC-10 oC-25 oC-40 oC

1.3.2  (a) Mechanical environments are classified into classes M1 to M3 as described below.E+W+S

M1This class applies to instruments used in locations with vibration and shocks of low significance, e.g. for instruments fastened to light supporting structures subject to negligible vibrations and shocks transmitted from local blasting or pile-driving activities, slamming doors, etc.
M2This class applies to instruments used in locations with significant or high levels of vibration and shock, e.g. transmitted from machines and passing vehicles in the vicinity or adjacent to heavy machines, conveyor belts, etc.
M3This class applies to instruments used in locations where the level of vibration and shock is high and very high, e.g. for instruments mounted directly on machines, conveyor belts, etc.

(b)The following influence quantities shall be considered in relation with mechanical environments:

  • — vibration

  • — mechanical shock

1.3.3.  (a) Electromagnetic environments are classified into classes E1, E2 or E3 as described below, unless otherwise laid down in the appropriate instrument-specific Schedules.E+W+S

E1This class applies to instruments used in locations with electromagnetic disturbances corresponding to those likely to be found in residential, commercial and light industrial buildings.
E2This class applies to instruments used in locations with electromagnetic disturbances corresponding to those likely to be found in other industrial buildings.
E3

This class applies to instruments supplied by the battery of a vehicle. Such instruments shall comply with the requirements of E2 and the following additional requirements:

— voltage reductions caused by energising the starter-motor circuits of internal combustion engines,

— load dump transients occurring in the event of a discharged battery being disconnected while the engine is running.

(b)The following influence quantities shall be considered in relation with electromagnetic environments:

  • — voltage interruptions;

  • — short voltage reductions;

  • — voltage transients on supply lines and/or signal lines;

  • — electrostatic discharges;

  • — radio frequency electromagnetic fields;

  • — conducted radio frequency electromagnetic fields on supply lines and/or signal lines;

  • — surges on supply lines and/or signal lines.

1.3.4.  Other influence quantities to be considered, where appropriate, are:E+W+S

  • — voltage variation;

  • — mains frequency variation;

  • — power frequency magnetic fields;

  • — any other quantity likely to influence in a significant way the accuracy of the instrument.

1.4.  When carrying out the tests as envisaged in these Regulations, the following points shall apply:E+W+S

1.4.1  Basic rules for testing and the determination of errorsE+W+S

Essential requirements specified in paragraphs 1.1 and 1.2 shall be verified for each relevant influence quantity. Unless otherwise specified in the appropriate instrument-specific Schedule, these essential requirements apply when each influence quantity is applied and its effect evaluated separately, all other influence quantities being kept relatively constant at their reference value.

Metrological tests shall be carried out during or after the application of the influence quantity, whichever condition corresponds to the normal operational status of the instrument when that influence quantity is likely to occur.

1.4.2  Ambient humidityE+W+S

(a)According to the climatic operating environment in which the instrument is intended to be used either the damp heat-steady state (non-condensing) or damp heat cyclic (condensing) test may be appropriate.

(b)The damp heat cyclic test is appropriate where condensation is important or when penetration of vapour will be accelerated by the effect of breathing. In conditions where non-condensing humidity is a factor the damp-heat steady state is appropriate.

ReproducibilityE+W+S

2.  The application of the same measurand in a different location or by a different user, all other conditions being the same, shall result in the close agreement of successive measurements. The difference between the measurement results shall be small when compared with the MPE.

RepeatabilityE+W+S

3.  The application of the same measurand under the same conditions of measurement shall result in the close agreement of successive measurements. The difference between the measurement results shall be small when compared with the MPE.

Discrimination and SensitivityE+W+S

4.  A regulated measuring instrument shall be sufficiently sensitive and the discrimination threshold shall be sufficiently low for the intended measurement task.

DurabilityE+W+S

5.  A regulated measuring instrument shall be designed to maintain an adequate stability of its metrological characteristics over a period of time estimated by the manufacturer, provided that it is properly installed, maintained and used according to the manufacturer's instruction when in the environmental conditions for which it is intended.

ReliabilityE+W+S

6.  A regulated measuring instrument shall be designed to reduce as far as possible the effect of a defect that would lead to an inaccurate measurement result, unless the presence of such a defect is obvious.

SuitabilityE+W+S

7.1.  A regulated measuring instrument shall have no feature likely to facilitate fraudulent use, whereas possibilities for unintentional misuse shall be minimal.E+W+S

7.2.  A regulated measuring instrument shall be suitable for its intended use taking account of the practical working conditions and shall not require unreasonable demands of the user in order to obtain a correct measurement result.E+W+S

7.3.  The errors of a utility measuring instrument at flows or currents outside the controlled range shall not be unduly biased.E+W+S

7.4.  Where a regulated measuring instrument is designed for the measurement of values of the measurand that are constant over time, the regulated measuring instrument shall be insensitive to small fluctuations of the value of the measurand, or shall take appropriate action.E+W+S

7.5.  A regulated measuring instrument shall be robust and its materials of construction shall be suitable for the conditions in which it is intended to be used.E+W+S

7.6.  A regulated measuring instrument shall be designed so as to allow the control of the measuring tasks after the instrument has been placed on the market and put into use. If necessary, special equipment or software for this control shall be part of the instrument. The test procedure shall be described in the operation manual.E+W+S

When a regulated measuring instrument has associated software which provides other functions besides the measuring function, the software that is critical for the metrological characteristics shall be identifiable and shall not be inadmissibly influenced by the associated software.

Protection against corruptionE+W+S

8.1.  The metrological characteristics of a regulated measuring instrument shall not be influenced in any inadmissible way by the connection to it of another device, by any feature of the connected device itself or by any remote device that communicates with the regulated measuring instrument.E+W+S

8.2.  A hardware component that is critical for metrological characteristics shall be designed so that it can be secured. Security measures foreseen shall provide for evidence of an intervention.E+W+S

8.3.  Software that is critical for metrological characteristics shall be identified as such and shall be secured.E+W+S

Software identification shall be easily provided by the regulated measuring instrument.

Evidence of an intervention shall be available for a reasonable period of time.

8.4.  Measurement data, software that is critical for measurement characteristics and metrologically important parameters stored or transmitted shall be adequately protected against accidental or intentional corruption.E+W+S

8.5.  For utility measuring instruments the display of the total quantity supplied or the displays from which the total quantity supplied can be derived, whole or partial reference to which is the basis for payment, shall not be able to be reset during use.E+W+S

Information to be borne by and to accompany the instrumentE+W+S

9.1.  A regulated measuring instrument shall bear the following inscriptions:E+W+S

(a)manufacturer's name, registered trade name or registered trade mark;

(b)information in respect of its accuracy; and, where applicable:

(c)information in respect of the conditions of use;

(d)measuring capacity;

(e)measuring range;

(f)identity marking;

(g)number of the type examination certificate or the design examination certificate;

(h)information whether or not additional devices providing metrological results comply with the provisions of these Regulations on legal metrological control.

9.2.  An instrument of dimensions too small or of too sensitive a composition to allow it to bear the relevant information shall have its packaging, if any, and the accompanying documents required by the provisions of these Regulations suitably marked.E+W+S

9.3.  The instrument shall be accompanied by information on its operation, unless the simplicity of the regulated measuring instrument makes this unnecessary. Information shall be easily understandable and shall include where relevant:E+W+S

(a)rated operating conditions;

(b)mechanical and electromagnetic environment classes;

(c)the upper and lower temperature limit, whether condensation is possible or not, open or closed location;

(d)instructions for installation, maintenance, repairs, permissible adjustments;

(e)instructions for correct operation and any special conditions of use;

(f)conditions for compatibility with interfaces or regulated measuring instruments.

9.4.  Groups of identical regulated measuring instruments used in the same location or used for utility measurements do not necessarily require individual instruction manuals.E+W+S

9.5.  Unless specified otherwise in an instrument-specific Schedule, the scale interval for a measured value shall be in the form 1 × 10n, 2 × 10n, or 5 × 10n, where n is any integer or zero. The unit of measurement or its symbol shall be shown close to the numerical value.E+W+S

9.6.  A material measure shall be marked with a nominal value or a scale, accompanied by the unit of measurement used.E+W+S

9.7.  The units of measurement used and their symbols shall be in accordance with the relevant enactments on units of measurement and their symbols.E+W+S

9.8.  All marks and inscriptions required under any requirement shall be clear, non-erasable, unambiguous and non-transferable.E+W+S

Indication of resultE+W+S

10.1.  Indication of the result shall be by means of a display or hard copy.E+W+S

10.2.  The indication of any result shall be clear and unambiguous and accompanied by such marks and inscriptions necessary to inform the user of the significance of the result. Easy reading of the presented result shall be permitted under normal conditions of use. Additional indications may be shown provided they cannot be confused with the metrologically controlled indications.E+W+S

10.3.  In the case of hard copy the print or record shall also be easily legible and non-erasable.E+W+S

10.4.  A regulated measuring instrument for direct sales trading transactions shall be designed to present the measurement result to both parties in the transaction when installed as intended. When critical in case of direct sales, any ticket provided to the consumer by an ancillary device not complying with the appropriate requirements of these Regulations shall bear appropriate restrictive information.E+W+S

10.5.  Whether or not a regulated measuring instrument intended for utility measurement purposes can be remotely read it shall in any case be fitted with a metrologically controlled display accessible without tools to the consumer. The reading of this display is the measurement result that serves as the basis for the price to pay.E+W+S

Further processing of data to conclude the trading transactionE+W+S

11.1.  A regulated measuring instrument other than a utility measuring instrument shall record by a durable means the measurement result accompanied by information to identify the particular transaction, when:E+W+S

(a)the measurement is non-repeatable; and

(b)the regulated measuring instrument is normally intended for use in the absence of one of the trading parties.

11.2.  Additionally, a durable proof of the measurement result and the information to identify the transaction shall be available on request at the time the measurement is concluded.E+W+S

Conformity evaluationE+W+S

12.  A regulated measuring instrument shall be designed so as to allow ready evaluation of its conformity with the appropriate requirements of these Regulations.

Regulations 2, 40(2),47(1)(b) and 52(8)

SCHEDULE 1BE+W+SCONFORMITY ASSESSMENT PROCEDURES (Annex II to the Directive)

MODULE A2:E+W+SINTERNAL PRODUCTION CONTROL PLUS SUPERVISED INSTRUMENT CHECKS AT RANDOM INTERVALS

1.  Internal production control plus supervised instrument checks at random intervals is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 3, 4, and 5, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned satisfy the requirements of these Regulations that apply to them.E+W+S

Technical documentationE+W+S

2.  The manufacturer shall establish the technical documentation set out in regulations 44 and 45. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

ManufacturingE+W+S

3.  The manufacturer shall take all measures necessary so that the manufacturing process and its monitoring ensure compliance of the manufactured instruments with the technical documentation referred to in paragraph 2 and with the requirements of these Regulations that apply to them.

Instrument checksE+W+S

4.  At the choice of the manufacturer, either an accredited in-house body or an approved body, chosen by the manufacturer, shall carry out instrument checks or have them carried out at random intervals determined by the body, in order to verify the quality of the internal checks of the instrument, taking into account, inter alia, the technological complexity of the instruments and the quantity of production. An adequate sample of the final regulated measuring instruments, taken on site by the body before the placing on the market, shall be examined and appropriate tests as identified by the relevant parts of the designated standard, and/or normative document, and/or equivalent tests set out in other relevant technical specifications, shall be carried out to verify the conformity of the instruments with the relevant requirements of these Regulations. In the absence of a relevant designated standard or normative document, the accredited in-house body or approved body concerned shall decide on the appropriate tests to be carried out.

In those cases where a relevant number of instruments in the sample do not conform to an acceptable quality level, the accredited in-house body or approved body shall take appropriate measures.

Where the tests are carried out by an approved body, the manufacturer shall, under the responsibility of the approved body, affix the approved body's identification number during the manufacturing process.

Conformity marking and declaration of conformityE+W+S

5.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations to each individual instrument that satisfies the applicable requirements of these Regulations.E+W+S

5.2.  The manufacturer shall draw up a written declaration of conformity for an instrument model and keep it together with the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument for which it was drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

Authorised representativeE+W+S

6.  The manufacturer's obligations set out in paragraph 5 may be fulfilled by his authorised representative, on his behalf and under his responsibility provided that they are specified in the mandate.

MODULE BE+W+STYPE EXAMINATION

1.  ‘Type examination’ is the part of a conformity assessment procedure in which an approved body examines the technical design of an instrument and verifies and attests that the technical design of the instrument meets the requirements of these Regulations that apply to it.E+W+S

2.  Type examination may be carried out in either of the following manners:E+W+S

(a)examination of a specimen, representative of the production envisaged, of the complete regulated measuring instrument (production type),

(b)assessment of the adequacy of the technical design of the instrument through examination of the technical documentation and supporting evidence referred to in paragraph 3, plus examination of specimens, representative of the production envisaged, of one or more critical parts of the instrument (combination of production type and design type);

(c)assessment of the adequacy of the technical design of the instrument through examination of the technical documentation and supporting evidence referred to in paragraph 3, without examination of a specimen (design type).

The approved body decides on the appropriate manner and the specimens required.

3.  The manufacturer shall lodge an application for type examination with a single approved body of his choice.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well;

(b)a written declaration that the same application has not been lodged with any other approved body;

(c)the technical documentation set out in regulations 44 and 45. The technical documentation shall make it possible to assess the instrument's conformity with the applicable requirements of these Regulations and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

The application shall in addition contain, wherever applicable:

(d)the specimens, representative of the production envisaged. The approved body may request further specimens if needed for carrying out the test programme;

(e)the supporting evidence for the adequacy of the technical design solution. This supporting evidence shall mention any documents that have been used, in particular where the relevant designated standards, and/or normative documents have not been applied in full. The supporting evidence shall include, where necessary, the results of tests carried out in accordance with other relevant technical specifications by the appropriate laboratory of the manufacturer, or by another testing laboratory on his behalf and under his responsibility.

4.  The approved body shall:E+W+S

For the instrument:

4.1.  examine the technical documentation and supporting evidence to assess the adequacy of the technical design of the instrument;E+W+S

For the specimen(s):

4.2.  verify that the specimen(s) have been manufactured in conformity with the technical documentation and identify the elements which have been designed in accordance with the applicable provisions of the relevant designated standards and/or normative documents, as well as the elements which have been designed in accordance with other relevant technical specifications;E+W+S

4.3.  carry out appropriate examinations and tests, or have them carried out, to check whether, where the manufacturer has chosen to apply the solutions in the relevant designated standards and normative documents, these have been applied correctly;E+W+S

4.4.  carry out appropriate examinations and tests, or have them carried out, to check whether, where the solutions in the relevant designated standards, and/or normative documents have not been applied, the solutions adopted by the manufacturer applying other relevant technical specifications meet the corresponding essential requirements of these Regulations;E+W+S

4.5.  agree with the manufacturer on the location where the examinations and tests will be carried out.E+W+S

For the other parts of the regulated measuring instrument:

4.6.  examine the technical documentation and supporting evidence to assess the adequacy of the technical design of the other parts of the regulated measuring instrument.E+W+S

5.  The approved body shall draw up an evaluation report that records the activities undertaken in accordance with paragraph 4 and their outcomes. Without prejudice to its obligations vis-à-vis the Secretary of State, the approved body shall release the content of that report, in full or in part, only with the agreement of the manufacturer.E+W+S

6.  Where the type meets the requirements of these Regulations, the approved body shall issue a type examination certificate to the manufacturer. That certificate shall contain the name and address of the manufacturer, the conclusions of the examination, the conditions (if any) for its validity and the necessary data for identification of the approved type. The type examination certificate may have one or more annexes attached.E+W+S

The type examination certificate and its annexes shall contain all relevant information to allow the conformity of manufactured regulated measuring instruments with the examined type to be evaluated and to allow for in-service control. In particular, to allow the conformity of manufactured instruments to be evaluated with the examined type regarding the reproducibility of their metrological performances, when they are properly adjusted using appropriate means, content shall include:

  • — the metrological characteristics of the type of instrument;

  • — measures required for ensuring the integrity of the instruments (sealing, identification of software, etc.);

  • — information on other elements necessary for the identification of the instruments and to check their visual external conformity to type;

  • — if appropriate, any specific information necessary to verify the characteristics of manufactured instruments.

The type examination certificate shall have a validity of 10 years from the date of its issue, and may be renewed for subsequent periods of 10 years each.

Where the type does not satisfy the applicable requirements of these Regulations, the approved body shall refuse to issue a type examination certificate and shall inform the applicant accordingly, giving detailed reasons for its refusal.

7.  The approved body shall keep itself apprised of any changes in the generally acknowledged state of the art which indicate that the approved type may no longer comply with the applicable requirements of these Regulations, and shall determine whether such changes require further investigation. If so, the approved body shall inform the manufacturer accordingly.E+W+S

8.  The manufacturer shall inform the approved body that holds the technical documentation relating to the type examination certificate of all modifications to the approved type that may affect the conformity of the instrument with the essential requirements of these Regulations or the conditions for validity of that certificate. Such modifications shall require additional approval in the form of an addition to the original type examination certificate.E+W+S

9.  Each approved body shall inform the Secretary of State concerning the type examination certificates and/or any additions thereto which it has issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of such certificates and/or any additions thereto refused, suspended or otherwise restricted.E+W+S

The other approved bodies and the Secretary of State may, on request, obtain a copy of the type examination certificates and/or additions thereto. On request, the Secretary of State may obtain a copy of the technical documentation and the results of the examinations carried out by the approved body.

The approved body shall keep a copy of the type examination certificate, its annexes and additions, as well as the technical file including the documentation submitted by the manufacturer until the expiry of the validity of that certificate.

10.  The manufacturer shall keep a copy of the type examination certificate, its annexes and additions together with the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.E+W+S

11.  The manufacturer's authorised representative may lodge the application referred to in paragraph 3 and fulfil the obligations set out in paragraphs 8 and 10, provided that they are specified in the mandate.E+W+S

MODULE D:E+W+SCONFORMITY TO TYPE BASED ON QUALITY ASSURANCE OF THE PRODUCTION PROCESS

1.  Conformity to type based on quality assurance of the production process is the part of a conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2 and 5, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned are in conformity with the type described in the type examination certificate and satisfy the requirements of these Regulations that apply to them.E+W+S

ManufacturingE+W+S

2.  The manufacturer shall operate an approved quality system for production, final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 3 and shall be subject to surveillance as specified in paragraph 4.

Quality systemE+W+S

3.1.  The manufacturer shall lodge an application for assessment of his quality system with an approved body of his choice, for the regulated measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well,

(b)a written declaration that the same application has not been lodged with any other approved body,

(c)all relevant information for the instrument category envisaged;

(d)the documentation concerning the quality system;

(e)the technical documentation of the approved type and a copy of the type examination certificate.

3.2.  The quality system shall ensure that the regulated measuring instruments are in conformity with the type described in the type examination certificate and comply with the requirements of these Regulations that apply to them.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. This quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to product quality;

(b)the corresponding manufacturing, quality control and quality assurance techniques, processes and systematic actions that will be used;

(c)the examinations and tests that will be carried out before, during, and after manufacture, and the frequency with which they will be carried out;

(d)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(e)the means of monitoring the achievement of the required product quality and the effective operation of the quality system.

3.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 3.2.E+W+S

It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.

In addition to experience in quality management systems, the auditing team shall have at least one member with experience of evaluation in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The auditing team shall review the technical documentation referred to in paragraph 3.1(e), to verify the manufacturer's ability to identify the relevant requirements of these Regulations and to carry out the necessary examinations with a view to ensuring compliance of the instrument with those requirements.

The decision shall be notified to the manufacturer. The notification shall contain the conclusions of the audit and the reasoned assessment decision.

3.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

3.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change of the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 3.2 or whether a re-assessment is necessary.

It shall notify the manufacturer of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

Surveillance under the responsibility of the approved bodyE+W+S

4.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

4.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned.

4.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

4.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to verify that the quality system is functioning correctly. The approved body shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

5.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations and, under the responsibility of the approved body referred to in paragraph 3.1, the latter's identification number to each individual regulated measuring instrument that is in conformity with the type described in the type examination certificate and satisfies the applicable requirements of these Regulations.E+W+S

5.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

6.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the documentation referred to in paragraph 3.1,

(b)the information relating to the change referred to in paragraph 3.5, as approved;

(c)the decisions and reports from the approved body referred to in paragraphs 3.5, 4.3 and 4.4.

7.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Authorised representativeE+W+S

8.  The manufacturer's obligations set out in paragraphs 3.1, 3.5, 5 and 6 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE D1:E+W+SQUALITY ASSURANCE OF THE PRODUCTION PROCESS

1.  Quality assurance of the production process is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 4 and 7, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned satisfy the requirements of these Regulations that apply to them.E+W+S

Technical documentationE+W+S

2.  The manufacturer shall establish the technical documentation set out in regulations 44 and 45. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

3.  The manufacturer shall keep the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.E+W+S

ManufacturingE+W+S

4.  The manufacturer shall operate an approved quality system for production, final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 5 and shall be subject to surveillance as specified in paragraph 6.

Quality systemE+W+S

5.1.  The manufacturer shall lodge an application for assessment of his quality system with an approved body of his choice, for the measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well;

(b)a written declaration that the same application has not been lodged with any other approved body;

(c)all relevant information for the instrument category envisaged;

(d)the documentation concerning the quality system;

(e)the technical documentation referred to in paragraph 2.

5.2.  The quality system shall ensure compliance of the regulated measuring instruments with the requirements of these Regulations that apply to them.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. This quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to product quality;

(b)the corresponding manufacturing, quality control and quality assurance techniques, processes and systematic actions that will be used;

(c)the examinations and tests that will be carried out before, during, and after manufacture, and the frequency with which they will be carried out;

(d)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(e)the means of monitoring the achievement of the required product quality and the effective operation of the quality system.

5.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 5.2.E+W+S

It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.

In addition to experience in quality management systems, the auditing team shall have at least one member with experience of evaluation in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The auditing team shall review the technical documentation referred to in paragraph 2 in order to verify the manufacturer's ability to identify the relevant requirements of these Regulations and to carry out the necessary examinations with a view to ensuring compliance of the instrument with those requirements.

The decision shall be notified to the manufacturer. The notification shall contain the conclusions of the audit and the reasoned assessment decision.

5.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

5.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change of the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 5.2 or whether a re-assessment is necessary.

It shall notify the manufacturer of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

Surveillance under the responsibility of the approved bodyE+W+S

6.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

6.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the technical documentation referred to in paragraph 2;

(c)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned.

6.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

6.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to verify that the quality system is functioning correctly. The approved body shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

7.1.  The manufacturer shall affix the UK marking, the M marking set out in these Regulations, and, under the responsibility of the approved body referred to in paragraph 5.1, the latter's identification number to each individual regulated measuring instrument that satisfies the applicable requirements of these Regulations.E+W+S

7.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

8.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the documentation referred to in paragraph 5.1;

(b)the information relating to the change referred to in paragraph 5.5, as approved;

(c)the decisions and reports of the approved body referred to in paragraphs 5.5, 6.3 and 6.4.

9.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Authorised representativeE+W+S

10.  The manufacturer's obligations set out in paragraphs 3, 5.1, 5.5, 7 and 8 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE E:E+W+SCONFORMITY TO TYPE BASED ON INSTRUMENT QUALITY ASSURANCE

1.  Conformity to type based on instrument quality assurance is that part of a conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2 and 5, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned are in conformity with the type described in the type examination certificate and satisfy the requirements of these Regulations that apply to them.E+W+S

ManufacturingE+W+S

2.  The manufacturer shall operate an approved quality system for final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 3 and shall be subject to surveillance, as specified in paragraph 4.

Quality systemE+W+S

3.1.  The manufacturer shall lodge an application for assessment of his quality system with an approved body of his choice, for the regulated measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well;

(b)a written declaration that the same application has not been lodged with any other approved body;

(c)all relevant information for the instrument category envisaged;

(d)the documentation concerning the quality system;

(e)the technical documentation of the approved type and a copy of the type examination certificate.

3.2.  The quality system shall ensure compliance of the regulated measuring instruments with the type described in the type examination certificate and with the applicable requirements of these Regulations.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. This quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to product quality;

(b)the examinations and tests that will be carried out after manufacture;

(c)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(d)the means of monitoring the effective operation of the quality system.

3.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 3.2.E+W+S

It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.

In addition to experience in quality management systems, the auditing team shall have at least one member with experience of evaluation in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The auditing team shall review the technical documentation referred to in paragraph 3.1(e), in order to verify the manufacturer's ability to identify the relevant requirements of these Regulations and to carry out the necessary examinations with a view to ensuring compliance of the instrument with those requirements.

The decision shall be notified to the manufacturer. The notification shall contain the conclusions of audit and the reasoned assessment decision.

3.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

3.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change to the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 3.2 or whether a re-assessment is necessary.

It shall notify the manufacturer of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

Surveillance under the responsibility of the approved bodyE+W+S

4.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

4.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned.

4.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

4.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to verify that the quality system is functioning correctly. The approved body shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

5.1.  The manufacturer shall affix the UK marking, the M marking set out in these Regulations, and, under the responsibility of the approved body referred to in paragraph 3.1, the latter's identification number to each individual instrument that is in conformity with the type described in the type examination certificate and satisfies the applicable requirements of these Regulations.E+W+S

5.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

6.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the documentation referred to in paragraph 3.1;

(c)the information relating to the change referred to in paragraph 3.5, as approved;

(c)the decisions and reports of the approved body referred to in paragraphs 3.5, 4.3 and 4.4.

7.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Authorised representativeE+W+S

8.  The manufacturer's obligations set out in paragraphs 3.1, 3.5, 5 and 6 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE E1:E+W+SQUALITY ASSURANCE OF FINAL INSTRUMENT INSPECTION AND TESTING

1.  Quality assurance of final instrument inspection and testing is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 4 and 7, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned satisfy the requirements of these Regulations that apply to them.E+W+S

Technical documentationE+W+S

2.  The manufacturer shall establish the technical documentation set out in regulations 44 and 45. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

3.  The manufacturer shall keep the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.E+W+S

ManufacturingE+W+S

4.  The manufacturer shall operate an approved quality system for final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 5 and shall be subject to surveillance as specified in paragraph 6.

Quality systemE+W+S

5.1.  The manufacturer shall lodge an application for assessment of his quality system with the approved body of his choice, for the regulated measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well;

(b)a written declaration that the same application has not been lodged with any other approved body;

(c)all relevant information for the instrument category envisaged;

(d)the documentation concerning the quality system;

(e)the technical documentation referred to in paragraph 2.

5.2.  The quality system shall ensure compliance of the regulated measuring instruments with the requirements of these Regulations that apply to them.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. The quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to product quality;

(b)the examinations and tests that will be carried out after manufacture;

(c)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(d)the means of monitoring the effective operation of the quality system.

5.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 5.2.E+W+S

It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.

In addition to experience in quality management systems, the auditing team shall have at least one member with experience of evaluation in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The auditing team shall review the technical documentation referred to in paragraph 2 in order to verify the manufacturer's ability to identify the relevant requirements of these Regulations and to carry out the necessary examinations with a view to ensuring compliance of the instrument with those requirements.

The decision shall be notified to the manufacturer. The notification shall contain the conclusions of the audit and the reasoned assessment decision.

5.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

5.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change to the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 5.2 or whether a re-assessment is necessary.

It shall notify the manufacturer of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

Surveillance under the responsibility of the approved bodyE+W+S

6.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

6.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the technical documentation referred to in paragraph 2;

(c)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned.

6.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

6.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to verify that the quality system is functioning correctly. The approved body shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

7.1.  The manufacturer shall affix the UK marking, the M marking set out in these Regulations, and, under the responsibility of the approved body referred to in paragraph 5.1, the latter's identification number to each individual regulated measuring instrument that satisfies the applicable requirements of these Regulations.E+W+S

7.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

8.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the documentation referred to in paragraph 5.1,

(b)the information relating to the change referred to in paragraph 5.5, as approved;

(c)the decisions and reports from the approved body referred to in paragraphs 5.5, 6.3 and 6.4.

9.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Authorised representativeE+W+S

10.  The manufacturer's obligations set out in paragraphs 3, 5.1, 5.5, 7 and 8 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE F:E+W+SCONFORMITY TO TYPE BASED ON PRODUCT VERIFICATION

1.  Conformity to type based on product verification is the part of a conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 5.1 and 6, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned, which have been subject to the provisions of paragraph 3, are in conformity with the type described in the type examination certificate and satisfy the requirements of these Regulations that apply to them.E+W+S

ManufacturingE+W+S

2.  The manufacturer shall take all measures necessary so that the manufacturing process and its monitoring ensure conformity of the manufactured regulated measuring instruments with the approved type described in the type examination certificate and with the requirements of these Regulations that apply to them.

VerificationE+W+S

3.  An approved body chosen by the manufacturer shall carry out the appropriate examinations and tests, or have them carried out, to verify the conformity of the instruments with the type as described in the type examination certificate and the appropriate requirements of these Regulations.

The examinations and tests to verify the conformity of the regulated measuring instruments with the appropriate requirements shall be carried out, at the choice of the manufacturer, either by examination and testing of every instrument as specified in paragraph 4, or by examination and testing of the regulated measuring instruments on a statistical basis as specified in paragraph 5.

4.  Verification of conformity by examination and testing of every instrumentE+W+S

4.1.  All regulated measuring instruments shall be individually examined and appropriate tests set out in the relevant designated standard(s) and/or normative documents, and/or equivalent tests set out in other relevant technical specifications, shall be carried out in order to verify their conformity with the approved type described in the type examination certificate and with the appropriate requirements of these Regulations.E+W+S

In the absence of a designated standard or normative document, the approved body concerned shall decide on the appropriate tests to be carried out.

4.2.  The approved body shall issue a certificate of conformity in respect of the examinations and tests carried out, and shall affix its identification number to each approved instrument or have it affixed under its responsibility.E+W+S

The manufacturer shall keep the certificates of conformity available for inspection by the market surveillance authorities for 10 years after the instrument has been placed on the market.

Statistical verification of conformityE+W+S

5.1.  The manufacturer shall take all measures necessary so that the manufacturing process and its monitoring ensure the homogeneity of each lot produced, and shall present his regulated measuring instruments for verification in the form of homogeneous lots.E+W+S

5.2.  A random sample shall be taken from each lot according to the requirements of paragraph 5.3. All regulated measuring instruments in a sample shall be individually examined and appropriate tests set out in the relevant designated standard(s) and/or normative document(s), and/or equivalent tests set out in other relevant technical specifications, shall be carried out in order to verify their conformity with the type described in the type examination certificate and with the applicable requirements of these Regulations, and to determine whether the lot is accepted or rejected. In the absence of such designated standard or normative document, the approved body concerned shall decide on the appropriate tests to be carried out.E+W+S

5.3.  The statistical procedure shall meet the following requirements:E+W+S

The statistical control will be based on attributes. The sampling system shall ensure:

(a)a level of quality corresponding to a probability of acceptance of 95 %, with a non-conformity of less than 1 %;

(b)a limit quality corresponding to a probability of acceptance of 5 %, with a non-conformity of less than 7 %.

5.4.  If a lot is accepted, all regulated measuring instruments of the lot shall be considered approved, except for those regulated measuring instruments from the sample that have been found not to satisfy the tests.E+W+S

The approved body shall issue a certificate of conformity in respect of the examinations and tests carried out, and shall affix its identification number to each approved instrument or have it affixed under its responsibility.

The manufacturer shall keep the certificates of conformity at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

5.5.  If a lot is rejected, the approved body shall take appropriate measures to prevent the placing on the market of that lot. In the event of frequent rejection of lots the approved body may suspend the statistical verification and take appropriate measures.E+W+S

Conformity marking and declaration of conformityE+W+S

6.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations, and, under the responsibility of the approved body referred to in paragraph 3, the latter's identification number to each individual instrument that is in conformity with the approved type described in the type examination certificate and satisfies the applicable requirements of these Regulations.E+W+S

6.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

If the approved body referred to in paragraph 3 agrees and under its responsibility, the manufacturer may also affix the approved body's identification number to the regulated measuring instruments.

7.  If the approved body agrees and under its responsibility, the manufacturer may affix the approved body's identification number to the regulated measuring instruments during the manufacturing process.E+W+S

Authorised representativeE+W+S

8.  The manufacturer's obligations may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate. An authorised representative may not fulfil the manufacturer's obligations set out in paragraphs 2 and 5.1.

MODULE F1:E+W+SCONFORMITY BASED ON PRODUCT VERIFICATION

1.  Conformity based on product verification is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 3, 6.1 and 7 and ensures and declares on his sole responsibility that the regulated measuring instruments concerned which have been subject to the provisions of paragraph 4, are in conformity with the requirements of these Regulations that apply to them.E+W+S

Technical documentationE+W+S

2.  The manufacturer shall establish the technical documentation set out in regulations 44 and 45. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

The manufacturer shall keep the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

ManufacturingE+W+S

3.  The manufacturer shall take all measures necessary so that the manufacturing process and its monitoring ensure conformity of the manufactured regulated measuring instruments with the applicable requirements of these Regulations.

VerificationE+W+S

4.  An approved body chosen by the manufacturer shall carry out the appropriate examinations and tests, or have them carried out, to verify the conformity of the regulated measuring instruments with the applicable requirements of these Regulations.

The examinations and tests to verify the conformity with the requirements shall be carried out, at the choice of the manufacturer, either by examination and testing of every instrument as specified in paragraph 5, or by examination and testing of the regulated measuring instruments on a statistical basis as specified in paragraph 6.

Verification of conformity by examination and testing of every instrumentE+W+S

5.1.  All regulated measuring instruments shall be individually examined and appropriate tests, set out in the relevant designated standards and/or normative documents, and/or equivalent tests set out in other relevant technical specifications, shall be carried out to verify their conformity with the requirements that apply to them. In the absence of such a designated standard, or normative document, the approved body concerned shall decide on the appropriate tests to be carried out.E+W+S

5.2.  The approved body shall issue a certificate of conformity in respect of the examinations and tests carried out, and shall affix its identification number to each approved instrument or have it affixed under its responsibility.E+W+S

The manufacturer shall keep the certificates of conformity at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

Statistical verification of conformityE+W+S

6.1.  The manufacturer shall take all measures necessary so that the manufacturing process ensures the homogeneity of each lot produced, and shall present his regulated measuring instruments for verification in the form of homogeneous lots.E+W+S

6.2.  A random sample shall be taken from each lot according to the requirements of paragraph 6.4.E+W+S

6.3.  All regulated measuring instruments in the sample shall be individually examined and appropriate tests set out in the relevant designated standards and/or normative documents, and/or equivalent tests set out in other relevant technical specifications, shall be carried out in order to verify their conformity with the applicable requirements of these Regulations and to determine whether the lot is accepted or rejected. In the absence of such designated standard, or normative document, the approved body concerned shall decide on the appropriate tests to be carried out.E+W+S

6.4.  The statistical procedure shall meet the following requirements:E+W+S

The statistical control will be based on attributes. The sampling system shall ensure:

(a)a level of quality corresponding to a probability of acceptance of 95 %, with a non-conformity of less than 1 %;

(b)a limit quality corresponding to a probability of acceptance of 5 %, with a non-conformity of less than 7 %.

6.5.  If a lot is accepted, all regulated measuring instruments of the lot shall be considered approved, except for those regulated measuring instruments from the sample that have been found not to satisfy the tests.E+W+S

The approved body shall issue a certificate of conformity in respect of the examinations and tests carried out, and shall affix its identification number to each approved instrument or have it affixed under its responsibility.

The manufacturer shall keep the certificates of conformity at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

If a lot is rejected, the approved body shall take appropriate measures to prevent that lot from being placed on the market. In the event of frequent rejection of lots the approved body may suspend the statistical verification and take appropriate measures.

Conformity marking and declaration of conformityE+W+S

7.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations, and under the responsibility of the approved body referred to in paragraph 4, the latter's identification number to each individual regulated measuring instrument that satisfies the applicable requirements of these Regulations.E+W+S

7.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual regulated measuring instruments in those cases where a large number of instruments is delivered to a single user.

If the approved body referred to in paragraph 5 agrees and under its responsibility, the manufacturer may also affix the approved body's identification number to the regulated measuring instruments.

8.  If the approved body agrees and under its responsibility, the manufacturer may affix the approved body's identification number to the regulated measuring instruments during the manufacturing process.E+W+S

9.  Authorised representativeE+W+S

The manufacturer's obligations may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate. An authorised representative may not fulfil the manufacturer's obligations set out in the first paragraph of paragraph 2, paragraph 3 and paragraph 6.1.

MODULE GE+W+SCONFORMITY BASED ON UNIT VERIFICATION

1.  Conformity based on unit verification is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2, 3 and 5 and ensures and declares on his sole responsibility that the instrument concerned, which has been subject to the provisions of paragraph 4, is in conformity with the requirements of these Regulations that apply to it.E+W+S

Technical documentationE+W+S

2.  The manufacturer shall establish the technical documentation and make it available to the approved body referred to in paragraph 4. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument.

The manufacturer shall keep the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

ManufacturingE+W+S

3.  The manufacturer shall take all measures necessary so that the manufacturing process and its monitoring ensure conformity of the manufactured instrument with the applicable requirements of these Regulations.

VerificationE+W+S

4.  An approved body chosen by the manufacturer shall carry out the appropriate examinations and tests set out in the relevant designated standards, and/or normative documents, or equivalent tests set out in other relevant technical specifications, to verify the conformity of the instrument with the applicable requirements of these Regulations, or have them carried out. In the absence of such a designated standard, or normative document, the approved body concerned shall decide on the appropriate tests to be carried out.

The approved body shall issue a certificate of conformity in respect of the examinations and tests carried out and affix its identification number to the approved instrument, or have it affixed under its responsibility.

The manufacturer shall keep the certificates of conformity at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.

Conformity marking and declaration of conformityE+W+S

5.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations and, under the responsibility of the approved body referred to in paragraph 4, the latter's identification number to each instrument that satisfies the applicable requirements of these Regulations.E+W+S

5.2.  The manufacturer shall draw up a written declaration of conformity and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with the regulated measuring instrument.

Authorised representativeE+W+S

6.  The manufacturer's obligations set out in paragraphs 2 and 5 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE H:E+W+SCONFORMITY BASED ON FULL QUALITY ASSURANCE

1.  Conformity based on full quality assurance is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2 and 5, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned satisfy the requirements of these Regulations that apply to them.E+W+S

ManufacturingE+W+S

2.  The manufacturer shall operate an approved quality system for design, manufacture and final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 3, and shall be subject to surveillance as specified in paragraph 4.

Quality systemE+W+S

3.1.  The manufacturer shall lodge an application for assessment of his quality system with the approved body of his choice, for the regulated measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well,

(b)the technical documentation for one model of each category of regulated measuring instruments intended to be manufactured. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). The technical documentation shall specify the applicable requirements and cover, as far as relevant for the assessment, the design, manufacture and operation of the instrument,

(c)the documentation concerning the quality system, and

(d)a written declaration that the same application has not been lodged with any other approved body.

3.2.  The quality system shall ensure compliance of the regulated measuring instruments with the requirements of these Regulations that apply to them.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. This quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to design and product quality;

(b)the technical design specifications, including standards, that will be applied and, where the relevant designated standards, and/or normative documents will not be applied in full, the means that will be used to ensure that the essential requirements of these Regulations that apply to the regulated measuring instruments will be met applying other relevant technical specifications;

(c)the design control and design verification techniques, processes and systematic actions that will be used when designing the regulated measuring instruments pertaining to the instrument category covered;

(d)the corresponding manufacturing, quality control and quality assurance techniques, processes and systematic actions that will be used;

(e)the examinations and tests that will be carried out before, during and after manufacture, and the frequency with which they will be carried out;

(f)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(g)the means of monitoring the achievement of the required design and product quality and the effective operation of the quality system.

3.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 3.2.E+W+S

It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.

In addition to experience in quality management systems, the auditing team shall have at least one member experienced as an assessor in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The auditing team shall review the technical documentation referred to in paragraph 3.1(b) to verify the manufacturer's ability to identify the applicable requirements of these Regulations and to carry out the necessary examinations with a view to ensuring compliance of the instrument with those requirements.

The manufacturer or his authorised representative shall be notified of the decision. The notification shall contain the conclusions of the audit and the reasoned assessment decision.

3.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

3.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change to the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 3.2 or whether a re-assessment is necessary.

It shall notify the manufacturer of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

Surveillance under the responsibility of the approved bodyE+W+S

4.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

4.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the design, manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the quality records as provided for by the design part of the quality system, such as results of analyses, calculations, tests.;

(c)the quality records as provided for by the manufacturing part of the quality system, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned.

4.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

4.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to check the proper functioning of the quality system. It shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

5.1.  The manufacturer shall affix the UK marking, the M marking set out in these Regulations and, under the responsibility of the approved body referred to in paragraph 3.1, the latter's identification number to each individual instrument that satisfies the applicable requirements of these Regulations.E+W+S

5.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

6.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the technical documentation referred to in paragraph 3.1,

(b)the documentation concerning the quality system referred to in paragraph 3.1,

(c)the information relating to the change referred to in paragraph 3.5, as approved;

(d)the decisions and reports of the approved body referred to in paragraphs 3.5, 4.3 and 4.4.

7.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Authorised representativeE+W+S

8.  The manufacturer's obligations set out in paragraphs 3.1, 3.5, 5 and 6 may be fulfilled by his authorised representative, on his behalf and under his responsibility, provided that they are specified in the mandate.

MODULE H1:E+W+SCONFORMITY BASED ON FULL QUALITY ASSURANCE PLUS DESIGN EXAMINATION

1.  Conformity based on full quality assurance plus design examination is the conformity assessment procedure whereby the manufacturer fulfils the obligations laid down in paragraphs 2 and 6, and ensures and declares on his sole responsibility that the regulated measuring instruments concerned satisfy the requirements of these Regulations that apply to them.E+W+S

ManufacturingE+W+S

2.  The manufacturer shall operate an approved quality system for design, manufacture and final product inspection and testing of the regulated measuring instruments concerned as specified in paragraph 3, and shall be subject to surveillance as specified in paragraph 5.

The adequacy of the technical design of the regulated measuring instruments shall have been examined in accordance with paragraph 4.

Quality systemE+W+S

3.1.  The manufacturer shall lodge an application for assessment of the quality system with the approved body of his choice for the regulated measuring instruments concerned.E+W+S

The application shall include:

(a)the name and address of the manufacturer and, if the application is lodged by the authorised representative, his name and address as well;

(b)all relevant information for the instrument category envisaged;

(c)the documentation concerning the quality system;

(d)a written declaration that the same application has not been lodged with any other approved body.

3.2.  The quality system shall ensure compliance of the regulated measuring instruments with the requirements of these Regulations that apply to them.E+W+S

All the elements, requirements and provisions adopted by the manufacturer shall be documented in a systematic and orderly manner in the form of written policies, procedures and instructions. This quality system documentation shall permit a consistent interpretation of the quality programmes, plans, manuals and records.

It shall, in particular, contain an adequate description of:

(a)the quality objectives and the organisational structure, responsibilities and powers of the management with regard to design and product quality;

(b)the technical design specifications, including standards, that will be applied and, where the relevant designated standards and/or normative documents will not be applied in full, the means that will be used to ensure that the essential requirements of these Regulations that apply to the regulated measuring instruments will be met, applying other relevant technical specifications;

(c)the design control and design verification techniques, processes and systematic actions that will be used when designing the regulated measuring instruments pertaining to the instrument category covered;

(d)the corresponding manufacturing, quality control and quality assurance techniques, processes and systematic actions that will be used;

(e)the examinations and tests that will be carried out before, during and after manufacture, and the frequency with which they will be carried out;

(f)the quality records, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned;

(g)the means of monitoring the achievement of the required design and product quality and the effective operation of the quality system.

3.3.  The approved body shall assess the quality system to determine whether it satisfies the requirements referred to in paragraph 3.2. It shall presume conformity with those requirements in respect of the elements of the quality system that comply with the corresponding specifications of the relevant designated standard.E+W+S

In addition to experience in quality management systems, the auditing team shall have at least one member experienced as an assessor in the relevant instrument field and instrument technology concerned, and knowledge of the applicable requirements of these Regulations. The audit shall include an assessment visit to the manufacturer's premises.

The manufacturer or his authorised representative shall be notified of the decision. The notification shall contain the conclusions of the audit and the reasoned assessment decision.

3.4.  The manufacturer shall undertake to fulfil the obligations arising out of the quality system as approved and to maintain it so that it remains adequate and efficient.E+W+S

3.5.  The manufacturer shall keep the approved body that has approved the quality system informed of any intended change to the quality system.E+W+S

The approved body shall evaluate any proposed changes and decide whether the modified quality system will continue to satisfy the requirements referred to in paragraph 3.2 or whether a re-assessment is necessary.

It shall notify the manufacturer or his authorised representative of its decision. The notification shall contain the conclusions of the examination and the reasoned assessment decision.

3.6.  Each approved body shall inform the Secretary of State of quality system approvals issued or withdrawn, and shall periodically or upon request, make available to the Secretary of State the list of quality system approvals refused, suspended or otherwise restricted.E+W+S

Design examinationE+W+S

4.1.  The manufacturer shall lodge an application for examination of the design with the approved body referred to in paragraph 3.1.E+W+S

4.2.  The application shall make it possible to understand the design, manufacture and operation of the instrument, and to assess the conformity with the requirements of these Regulations that apply to it.E+W+S

It shall include:

(a)the name and address of the manufacturer;

(b)a written declaration that the same application has not been lodged with any other approved body;

(c)the technical documentation. The documentation shall make it possible to assess the instrument's conformity with the relevant requirements, and shall include an adequate analysis and assessment of the risk(s). It shall, as far as relevant for such assessment, cover the design and operation of the instrument;

(d)the supporting evidence for the adequacy of the technical design. This supporting evidence shall mention any documents that have been used, in particular where the relevant designated standards and/or normative documents have not been applied in full, and shall include, where necessary, the results of tests carried out in accordance with other relevant technical specifications, by the appropriate laboratory of the manufacturer, or by another testing laboratory on his behalf and under his responsibility.

4.3.  The approved body shall examine the application, and where the design meets the requirements of these Regulations that apply to the instrument it shall issue a design examination certificate to the manufacturer. That certificate shall give the name and address of the manufacturer, the conclusions of the examination, the conditions (if any) for its validity and the data necessary for identification of the approved design. That certificate may have one or more annexes attached.E+W+S

That certificate and its annexes shall contain all relevant information to allow the conformity of manufactured regulated measuring instruments with the examined design to be evaluated and to allow for in-service control. It shall allow the evaluation of conformity of the manufactured instruments with the examined design regarding the reproducibility of their metrological performances, when they are properly adjusted using appropriate means, including:

(a)the metrological characteristics of the design of the instrument;

(b)measures required for ensuring the integrity of the instruments (sealing, identification of software, etc.);

(c)information on other elements necessary for the identification of the instrument and to check its visual external conformity to the design;

(d)if appropriate, any specific information necessary to verify the characteristics of manufactured instruments;

(e)in the case of a sub-assembly, all necessary information to ensure the compatibility with other sub-assemblies or regulated measuring instruments.

The approved body shall establish an evaluation report in this regard and keep it at the disposal of the Secretary of State. Without prejudice to paragraph 9 of Schedule 5, the approved body shall release the content of this report, in full or in part, only with the agreement of the manufacturer.

The certificate shall have a validity of 10 years from the date of its issue, and may be renewed for subsequent periods of 10 years each.

Where the design does not satisfy the applicable requirements of these Regulations, the approved body shall refuse to issue a design examination certificate and shall inform the applicant accordingly, giving detailed reasons for its refusal.

4.4.  The approved body shall keep itself apprised of any changes in the generally acknowledged state of the art which indicate that the approved design may no longer comply with the applicable requirements of these Regulations, and shall determine whether such changes require further investigation. If so, the approved body shall inform the manufacturer accordingly.E+W+S

The manufacturer shall keep the approved body that has issued the design examination certificate informed of any modification to the approved design that may affect the conformity with the essential requirements of these Regulations or the conditions for validity of the certificate. Such modifications shall require additional approval – from the approved body that issued the design examination certificate – in the form of an addition to the original design examination certificate.

4.5.  Each approved body shall inform the Secretary of State of the design examination certificates and/or any additions thereto which it has issued or withdrawn, and shall, periodically or upon request, make available to the Secretary of State the list of certificates and/or any additions thereto refused, suspended or otherwise restricted.E+W+S

The other approved bodies and the Secretary of State may, on request, obtain a copy of the design examination certificates and/or additions thereto. On request, the Secretary of State may obtain a copy of the technical documentation and of the results of the examinations carried out by the approved body.

The approved body shall keep a copy of the design examination certificate, its annexes and additions, as well as the technical file including the documentation submitted by the manufacturer until the expiry of the validity of the certificate.

4.6.  The manufacturer shall keep a copy of the design examination certificate, its annexes and additions with the technical documentation at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market.E+W+S

Surveillance under the responsibility of the approved bodyE+W+S

5.1.  The purpose of surveillance is to make sure that the manufacturer duly fulfils the obligations arising out of the approved quality system.E+W+S

5.2.  The manufacturer shall, for assessment purposes, allow the approved body access to the design, manufacture, inspection, testing and storage sites, and shall provide it with all necessary information, in particular:E+W+S

(a)the quality system documentation;

(b)the quality records as provided for by the design part of the quality system, such as results of analyses, calculations, tests, etc.;

(c)the quality records as provided for by the manufacturing part of the quality system, such as inspection reports and test data, calibration data, qualification reports on the personnel concerned, etc.

5.3.  The approved body shall carry out periodic audits to make sure that the manufacturer maintains and applies the quality system and shall provide the manufacturer with an audit report.E+W+S

5.4.  In addition, the approved body may pay unexpected visits to the manufacturer. During such visits the approved body may, if necessary, carry out instrument tests, or have them carried out, in order to check the proper functioning of the quality system. It shall provide the manufacturer with a visit report and, if tests have been carried out, with a test report.E+W+S

Conformity marking and declaration of conformityE+W+S

6.1.  The manufacturer shall affix the UK marking and the M marking set out in these Regulations, and, under the responsibility of the approved body referred to in paragraph 3.1, the latter's identification number to each individual instrument that satisfies the applicable requirements of these Regulations.E+W+S

6.2.  The manufacturer shall draw up a written declaration of conformity for each instrument model and keep it at the disposal of the market surveillance authorities for 10 years after the instrument has been placed on the market. The declaration of conformity shall identify the instrument model for which it has been drawn up and shall mention the number of the design examination certificate.E+W+S

A copy of the declaration of conformity shall be made available to the market surveillance authorities upon request.

A copy of the declaration of conformity shall be supplied with each regulated measuring instrument that is placed on the market. However, this requirement may be interpreted as applying to a batch or consignment rather than individual instruments in those cases where a large number of instruments is delivered to a single user.

7.  The manufacturer shall, for a period ending 10 years after the instrument has been placed on the market, keep at the disposal of the market surveillance authorities:E+W+S

(a)the documentation concerning the quality system referred to in paragraph 3.1,

(b)the information relating to the change referred to in paragraph 3.5, as approved;

(c)the decisions and reports of the approved body referred to in paragraphs 3.5, 5.3 and 5.4.

Authorised representativeE+W+S

8.  The manufacturer's authorised representative may lodge the application referred to in paragraphs 4.1 and 4.2 and fulfil the obligations set out in paragraphs 3.1, 3.5, 4.4, 4.6, 6 and 7, on his behalf and under his responsibility, provided that they are specified in the mandate.

Regulations 2 and 39(1)

SCHEDULE 1CE+W+SWATER METERS (MI-001) (Annex III to the Directive)

The relevant requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule, apply to water meters intended for the measurement of volumes of clean, cold or heated water in residential, commercial and light industrial use.

DEFINITIONS

Minimum Flowrate (Q1)The lowest flowrate at which the water meter provides indications that satisfy the requirements concerning the maximum permissible errors (MPEs.)
Transitional Flowrate (Q2)The transitional flowrate is the flowrate value occurring between the permanent and minimum flowrates, at which the flowrate range is divided into two zones, the ‘upper zone’ and the ‘lower zone’. Each zone has a characteristic MPE.
Permanent Flowrate (Q3)The highest flowrate at which the water meter operates in a satisfactory manner under normal conditions of use, i.e. under steady or intermittent flow conditions.
Overload Flowrate (Q4)The overload flowrate is the highest flowrate at which the meter operates in a satisfactory manner for a short period of time without deteriorating.

SPECIFIC REQUIREMENTS

Rated Operating ConditionsE+W+S

The manufacturer shall specify the rated operating conditions for the instrument, in particular:

1.  The flowrate range of the water.E+W+S

The values for the flowrate range shall fulfil the following conditions:

  • Q3/Q1 ≥ 40

  • Q2/Q1 = 1.6

  • Q4/Q3 = 1.25

2.  The temperature range of the water.E+W+S

The values for the temperature range shall fulfil the following conditions:

0.1 °C to at least 30 °C

3.  The relative pressure range of the water, the range being 0.3 bar to at least 10 bar at Q3.E+W+S

4.  For the power supply: the nominal value of the AC voltage supply and/or the limits of DC supply.E+W+S

MPE

5.  The MPE, positive or negative, on volumes delivered at flowrates between the transitional flowrate (Q2) (included) and the overload flowrate (Q4) is:E+W+S

2 % for water having a temperature ≤ 30 °C,

The meter shall not exploit the MPE or systematically favour any party.

6.  The MPE, positive or negative, on volumes delivered at flowrates between the minimum flowrate (Q1) and the transitional flowrate (Q2) (excluded) is 5 % for water having any temperature.E+W+S

The meter shall not exploit the MPE or systematically favour any party.

Permissible Effect of Disturbances

Electromagnetic immunityE+W+S

7.1.1.  The effect of an electromagnetic disturbance on a water meter shall be such that:E+W+S

  • — the change in the measurement result is no greater than the critical change value as defined in paragraph 7.1.3, or

  • — the indication of the measurement result is such that it cannot be interpreted as a valid result, such as a momentary variation that cannot be interpreted, memorised or transmitted as a measuring result.

7.1.2.  After undergoing an electromagnetic disturbance the water meter shall:E+W+S

  • — recover to operate within MPE, and

  • — have all measurement functions safeguarded, and

  • — allow recovery of all measurement data present just before the disturbance.

7.1.3.  The critical change value is the smaller of the two following values:E+W+S

  • — the volume corresponding to half of the magnitude of the MPE in the upper zone on the measured volume;

  • — the volume corresponding to the MPE on the volume corresponding to one minute at flowrate Q3.

DurabilityE+W+S

7.2.  After an appropriate test, taking into account the period of time estimated by the manufacturer, has been performed, the following criteria shall be satisfied:

7.2.1.  The variation of the measurement result after the durability test, when compared with the initial measurement result, shall not exceed:E+W+S

  • — 3 % of the metered volume between Q1 included and Q2 excluded;

  • — 1.5 % of the metered volume between Q2 included and Q4 included.

7.2.2.  The error of indication for the volume metered after the durability test shall not exceed:E+W+S

  • — ± 6 % of the metered volume between Q1 included and Q2 excluded;

  • — ± 2.5 % of the metered volume between Q2 included and Q4 included for water meters intended to meter water with a temperature between 0.1 °C and 30 °C,

SuitabilityE+W+S

8.1.  The meter shall be able to be installed to operate in any position unless clearly marked otherwise.

8.2.  The manufacturer shall specify whether the meter is designed to measure reverse flow. In such a case, the reverse flow volume shall either be subtracted from the cumulated volume or shall be separately recorded. The same MPE shall apply to both forward and reverse flow.E+W+S

Water meters not designed to measure reverse flow shall either prevent reverse flow or shall withstand an accidental reverse flow without any deterioration or change in metrological properties.

Units of MeasurementE+W+S

9.  Metered volume shall be displayed in cubic metres.

Putting into UseE+W+S

10.  The requirements under paragraphs 1, 2 and 3 are determined by the utility or the person legally designated for installing the meter, so that the meter is appropriate for the accurate measurement of consumption that is foreseen or foreseeable.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to water meters that the manufacturer can choose between are:

(a)B and F;

(b)B and D; or

(c)H1.

Regulations 2 and 39(1)

SCHEDULE 1DE+W+SGAS METERS (MI-002) (Annex IV to the Directive)

The relevant requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule, apply to gas meters.

DEFINITIONS

Minimum flowrate (Qmin)The lowest flowrate at which the gas meter provides indications that satisfy the requirements regarding maximum permissible error (MPE).
Maximum flowrate (Qmax)The highest flowrate at which the gas meter provides indications that satisfy the requirements regarding MPE.
Transitional flowrate (Qt)The transitional flowrate is the flowrate occurring between the maximum and minimum flowrates at which the flowrate range is divided into two zones, the ‘upper zone’ and the ‘lower zone’. Each zone has a characteristic MPE.
Overload Flowrate (Qr)The overload flowrate is the highest flowrate at which the meter operates for a short period of time without deteriorating.
Base conditionsThe specified conditions to which the measured quantity of fluid is converted.

PART IE+W+SSPECIFIC REQUIREMENTS

GAS METERS

1.  Rated operating conditionsE+W+S

The manufacturer shall specify the rated operating conditions of the gas meter, taking into account:

1.1.  The flowrate range of the gas shall fulfil at least the following conditions:E+W+S

ClassQmax/QminQmax/QtQr/Qmax
1.5 150 101.2
1.0 20 51.2

1.2.  The temperature range of the gas, with a minimum range of 40 °C.E+W+S

The fuel/gas related conditionsE+W+S

1.3.  The gas meter shall be designed for the range of gases and supply pressures of the United Kingdom. In particular the manufacturer shall indicate:

  • — the gas family or group;

  • — the maximum operating pressure.

1.4.  A minimum temperature range of 50 °C for the climatic environment.E+W+S

1.5.  The nominal value of the AC voltage supply and/or the limits of DC supply.E+W+S

Maximum permissible error (MPEs)E+W+S

Gas meter indicating the volume at metering conditions or massE+W+S

Table 1
Class1.51.0
Qmin ≤ Q < Qt3 %2 %
Qt ≤ Q ≤ Qmax1.5 %1 %

The gas meter shall not exploit the MPEs or systematically favour any party.

2.2.  For a gas meter with temperature conversion, which only indicates the converted volume, the MPE of the meter is increased by 0.5 % in a range of 30 °C extending symmetrically around the temperature specified by the manufacturer that lies between 15 °C and 25 °C. Outside this range, an additional increase of 0.5 % is permitted in each interval of 10 °C.E+W+S

Permissible effect of disturbancesE+W+S

Electromagnetic immunityE+W+S

3.1.1.  The effect of an electromagnetic disturbance on a gas meter shall be such that:E+W+S

  • — the change in the measurement result is no greater than the critical change value as defined in paragraph 3.1.3, or

  • — the indication of the measurement result is such that it cannot be interpreted as a valid result, such as a momentary variation that cannot be interpreted, memorised or transmitted as a measuring result.

3.1.2.  After undergoing a disturbance, the gas meter shall:E+W+S

  • — recover to operate within MPE, and

  • — have all measurement functions safeguarded, and

  • — allow recovery of all measurement data present just before the disturbance.

3.1.3.  The critical change value is the smaller of the two following values:E+W+S

  • — the quantity corresponding to half of the magnitude of the MPE in the upper zone on the measured volume;

  • — the quantity corresponding to the MPE on the quantity corresponding to one minute at maximum flowrate.

Effect of upstream-downstream flow disturbancesE+W+S

3.2.  Under installation conditions specified by the manufacturer, the effect of the flow disturbances shall not exceed one third of the MPE.

DurabilityE+W+S

4.  After an appropriate test, taking into account the period of time estimated by the manufacturer, has been performed, the following criteria shall be satisfied:

Class 1.5 Gas MetersE+W+S

4.1.1.  The variation of the measurement result after the durability test when compared with the initial measurement result for the flow rates in the range Qt to Qmax shall not exceed the measurement result by more than 2 %.E+W+S

4.1.2.  The error of indication after the durability test shall not exceed twice the MPE in paragraph 2.E+W+S

Class 1.0 Gas MetersE+W+S

4.2.1.  The variation of the measurement result after the durability test when compared with the initial measurement result shall not exceed one-third of the MPE in paragraph 2.E+W+S

4.2.2.  The error of indication after the durability test shall not exceed the MPE in paragraph 2.E+W+S

SuitabilityE+W+S

5.1.  A gas meter powered from the mains (AC or DC) shall be provided with an emergency power supply device or other means to ensure, during a failure of the principal power source, that all measuring functions are safeguarded.E+W+S

5.2.  A dedicated power source shall have a lifetime of at least five years. After 90 % of its lifetime an appropriate warning shall be shown.E+W+S

5.3.  An indicating device shall have a sufficient number of digits to ensure that the quantity passed during 8,000 hours at Qmax does not return the digits to their initial values.E+W+S

5.4.  The gas meter shall be able to be installed to operate in any position declared by the manufacturer in its installation instruction.E+W+S

5.5.  The gas meter shall have a test element, which shall enable tests to be carried out in a reasonable time.E+W+S

5.6.  The gas meter shall respect the MPE in any flow direction or only in one flow direction clearly marked.E+W+S

UnitsE+W+S

6.  Metered quantity shall be displayed in cubic metre, or in kilogram.

PART IIE+W+SPUTTING INTO USE AND CONFORMITY ASSESSMENT

7.  Putting into useE+W+S

(a)The measurement of residential use must be performed by means of any Class 1.5 gas meter, or by Class 1.0 gas meters which have a Qmax/Qmin ratio equal to or greater than 150.

(b)Measurement of commercial and/or light industrial use must be performed by any Class 1.0 or Class 1.5 gas meter.

(c)The person responsible for installing a gas meter must have regard to the requirements under paragraphs 1.2 and 1.3 of Part I of this Schedule and must ensure that the gas meter is appropriate for the accurate measurement of consumption that is foreseen or foreseeable.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to gas meters that the manufacturer can choose between are:

(a)B and F;

(b)B and D; or

(c)H1.

Regulations 2 and 39(1)

SCHEDULE 1EE+W+SACTIVE ELECTRICAL ENERGY METERS (MI-003) (Annex V to the Directive)

The relevant requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule, apply to active electrical energy meters.

Note:

Electrical energy meters may be used in combination with external instrument transformers, depending upon the measurement technique applied. However, this Schedule covers only electrical energy meters but not instrument transformers.

DEFINITIONS

An active electrical energy meter is a device which measures the active electrical energy consumed in a circuit.

I=the electrical current flowing through the meter;
In=the specified reference current for which the transformer operated meter has been designed;
Ist=the lowest declared value of I at which the meter registers active electrical energy at unity power factor (polyphase meters with balanced load);
Imin=the value of I above which the error lies within maximum permissible errors (MPEs) (polyphase meters with balanced load);
Itr=the value of I above which the error lies within the smallest MPE corresponding to the class index of the meter;
Imax=the maximum value of I for which the error lies within the MPEs;
U=the voltage of the electricity supplied to the meter;
Un=the specified reference voltage;
f=the frequency of the voltage supplied to the meter;
fn=the specified reference frequency;
PF=power factor = cosφ = the cosine of the phase difference φ between I and U.

SPECIFIC REQUIREMENTS

AccuracyE+W+S

1.  The manufacturer shall specify the class index of the meter. The class indices are defined as: Class A, B and C.

Rated operating conditionsE+W+S

2.  The manufacturer shall specify the rated operating conditions of the meter; in particular:

The values of fn, Un, In, Ist, Imin, Itr and Imax that apply to the meter. For the current values specified, the meter shall satisfy the conditions given in Table 1;

Table 1

1 For Class B electromechanical meters Imin 0.4 ∙ Itr shall apply.

Class AClass BClass C
For direct-connected meters
Ist 0.05 ∙ Itr 0.04 ∙ Itr≤ 0.04 ∙ Itr
Imin 0.5 ∙ Itr 0.5 ∙ Itr 0.3 ∙ Itr
Imax 50 ∙ Itr 50 ∙ Itr 50 ∙ Itr
For transformer-operated meters
Ist 0.06 ∙ Itr 0.04 ∙ Itr 0.02 ∙ Itr
Imin 0.4 ∙ Itr 0.2 ∙ Itr1 0.2 ∙ Itr
In = 20 ∙ Itr = 20 ∙ Itr = 20 ∙ Itr
Imax 1.2 ∙ In 1.2 ∙ In 1.2 ∙ In

The voltage, frequency and power factor ranges within which the meter shall satisfy the MPE requirements are specified in Table 2. These ranges shall recognise the typical characteristics of electricity supplied by public distribution systems.

The voltage and frequency ranges shall be at least:

  • 0.9 ∙ UnU 1.1 ∙ Un

  • 0.98 ∙ fn f 1.02 ∙ fn

power factor range at least from cosφ = 0.5 inductive to cosφ = 0.8 capacitive.

MPEsE+W+S

3.  The effects of the various measurands and influence quantities (a, b, c,…) are evaluated separately, all other measurands and influence quantities being kept relatively constant at their reference values. The error of measurement, that shall not exceed the MPE stated in Table 2, is calculated as:

When the meter is operating under varying-load current, the percentage errors shall not exceed the limits given in Table 2.

Table 2

Operating temperaturesOperating temperaturesOperating temperaturesOperating temperatures
MPEs in percent at rated operating conditions and defined load current levels and operating temperature
Operating temperaturesOperating temperaturesOperating temperaturesOperating temperatures
+ 5 °C … + 30 °C

– 10 °C … + 5 °C

or

+ 30 °C … + 40 °C

– 25 °C … – 10 °C

or

+ 40 °C … + 55 °C

– 40 °C … – 25 °C

or

+ 55 °C … + 70 °C

Meter classABCABCABCABC

Single phase meter; polyphase meter if operating with balanced loads

Imin ≤ I < Itr3.52152.51.373.51.7942
Itr ≤ I < Imax3.5204.52.5173.51.3941.5

Polyphase meter if operating with single phase load

Itr ≤ I < Imax

, see exception below

42.51531.3741.794.52
For electromechanical polyphase meters the current range for single-phase load is limited to 5Itr ≤ I ≤ Imax

When a meter operates in different temperature ranges the relevant MPE values shall apply.

The meter shall not exploit the MPEs or systematically favour any party.

4.  Permissible effect of disturbancesE+W+S

4.1.  GeneralE+W+S

As electrical energy meters are directly connected to the mains supply and as mains current is also one of the measurands, a special electromagnetic environment is used for electricity meters.

The meter shall comply with the electromagnetic environment E2 and the additional requirements in paragraphs 4.2 and 4.3.

The electromagnetic environment and permissible effects reflect the situation that there are disturbances of long duration which shall not affect the accuracy beyond the critical change values and transient disturbances, which may cause a temporary degradation or loss of function or performance but from which the meter shall recover and shall not affect the accuracy beyond the critical change values.

When there is a foreseeable high risk due to lightning or where overhead supply networks are predominant, the metrological characteristics of the meter shall be protected.

Effect of disturbances of long durationE+W+S

Table 3

Critical change values for disturbances of long duration
DisturbanceCritical change values in percent for meters of class
ABC
Reversed phase sequence1.51.50.3
Voltage unbalance (only applicable to polyphase meters)421
Harmonic contents in the current circuits10.80.5
DC and harmonics in the current circuit631.5
Fast transient bursts642
Magnetic fields; HF (radiated RF) electromagnetic field; Conducted disturbances introduced by radio-frequency fields; and Oscillatory waves immunity321

In the case of electromechanical electricity meters, no critical change values are defined for harmonic contents in the current circuits and for DC and harmonics in the current circuit.

Permissible effect of transient electromagnetic phenomenaE+W+S

4.3.1  The effect of an electromagnetic disturbance on an electrical energy meter shall be such that during and immediately after a disturbance:E+W+S

— any output intended for testing the accuracy of the meter does not produce pulses or signals corresponding to an energy of more than the critical change value,

and in reasonable time after the disturbance the meter shall:

  • — recover to operate within the MPE limits, and

  • — have all measurement functions safeguarded, and

  • — allow recovery of all measurement data present prior to the disturbance, and

  • — not indicate a change in the registered energy of more than the critical change value.

(m being the number of measuring elements of the meter, Un in Volts and Imax in Amps).

4.3.2.  For overcurrent the critical change value is 1.5 %.E+W+S

SuitabilityE+W+S

5.1.  Below the rated operating voltage the positive error of the meter shall not exceed 10 %.E+W+S

5.2.  The display of the total energy shall have a sufficient number of digits to ensure that when the meter is operated for 4,000 hours at full load (I = Imax, U = Un and PF = 1) the indication does not return to its initial value and shall not be able to be reset during use.E+W+S

5.3.  In the event of loss of electricity in the circuit, the amounts of electrical energy measured shall remain available for reading during a period of at least 4 months.E+W+S

Running with no loadE+W+S

5.4.  When the voltage is applied with no current flowing in the current circuit (current circuit shall be open circuit), the meter shall not register energy at any voltage between 0.8 ∙ Un and 1.1 Un.

StartingE+W+S

5.5.  The meter shall start and continue to register at Un, PF = 1 (polyphase meter with balanced loads) and a current which is equal to Ist.

UnitsE+W+S

6.  The electrical energy measured shall be displayed in kilowatt-hours or in megawatt-hours.

Putting into useE+W+S

7.(a) Subject to sub-paragraph (b), measurement may be performed by means of any active electrical energy meter provided that the temperature range to which an active electrical energy meter is exposed is not wider than the range specified by the manufacturer in relation to that active electrical energy meter in accordance with paragraph 1.3.1 and Table 1 in Schedule 1A to these Regulations.

(b)Class A active electrical energy meters may not be used when operating outside the temperature range of an upper temperature limit of 30°C to a lower temperature limit of 5°C.

(c)The person responsible for installing the active electrical energy meter must determine the correct current range and assess the climatic environment.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to active electrical energy meters that the manufacturer can choose between are:

(a)B and F;

(b)B and D; or

(c)H1.

Regulations 2 and 39(1)

SCHEDULE 1FE+W+SMEASURING SYSTEMS FOR THE CONTINUOUS AND DYNAMIC MEASUREMENT OF QUANTITIES OF LIQUIDS OTHER THAN WATER (MI-005) (Annex VII to the Directive)

The relevant essential requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule, apply to measuring systems intended for the continuous and dynamic measurement of quantities (volumes or masses) of liquids other than water. If appropriate, the terms ‘volume, and L’ in this Schedule can be read as: ‘mass and kg’.

DEFINITIONS

MeterAn instrument designed to measure continuously, memorise and display the quantity at metering conditions of liquid flowing through the measurement transducer in a closed, fully charged conduit.
CalculatorA part of a meter that receives the output signals from the measurement transducer(s) and possibly, from associated regulated measuring instruments and displays the measurement results.
Associated Measuring InstrumentAn instrument connected to the calculator for measuring certain quantities which are characteristic of the liquid, with a view to make a correction and/or conversion.
Conversion Device

A part of the calculator which by taking account of the characteristics of the liquid (temperature, density, etc.) measured using associated regulated measuring instruments, or stored in a memory, automatically converts:

— the volume of the liquid measured at metering conditions into a volume at base conditions and/or into mass, or

— the mass of the liquid measured at metering conditions into a volume at metering conditions and/or into a volume at base conditions

Note:

A conversion device includes the relevant associated measuring instruments.

Base conditionsThe specified conditions to which the measured quantity of liquid at metering conditions is converted.
Measuring SystemA system that comprises the meter itself and all devices required to ensure correct measurement or intended to facilitate the measuring operations.
Fuel dispenserA measuring system intended for the refuelling of motor vehicles, small boats and small aircraft.
Self-service arrangementAn arrangement that allows the customer to use a measuring system for the purpose of obtaining liquid for his own use.
Self-service deviceA specific device that is part of a self-service arrangement and which allows one of more measuring systems to perform in this self-service arrangement.
Minimum measured quantity (MMQ)The smallest quantity of liquid for which the measurement is metrologically acceptable for the measuring system.
Direct indicationThe indication, either volume or mass, corresponding to the measure and that the meter is physically capable of measuring.
Note:
The direct indication may be converted into another quantity using a conversion device.
Interruptible/non-interruptibleA measuring system is considered as interruptible/non-interruptible when the liquid flow can/cannot be stopped easily and rapidly.
Flowrate rangeThe range between the minimum flowrate (Qmin) and maximum flowrate (Qmax).

SPECIFIC REQUIREMENTS

Rated operating conditionsE+W+S

1.  The manufacturer shall specify the rated operating conditions for the instrument, in particular;

The flowrate rangeE+W+S

1.1.  The flowrate ran ge is subject to the following conditions:

(i)the flowrate range of a measuring system shall be within the flowrate range of each of its elements, in particular the meter.

(ii)meter and measuring system:

Table 1

Specific measuring systemCharacteristic of liquidMinimum ratio of Qmax: Qmin
Fuel dispensersNot Liquefied gases10: 1
Liquefied gases5: 1
Measuring systemCryogenic liquids5: 1
Measuring systems on pipeline and systems for loading shipsAll liquidsSuitable for use
All other measuring systemsAll liquids4: 1

1.2.  The properties of the liquid to be measured by the instrument by specifying the name or type of the liquid or its relevant characteristics, for example:E+W+S

  • — Temperature range;

  • — Pressure range;

  • — Density range;

  • — Viscosity range.

1.3.  The nominal value of the AC voltage supply and/or limits of the DC voltage supply.E+W+S

1.4.  The base conditions for converted values.E+W+S

This is without prejudice to the Secretary of State's obligations to require use of a temperature of 15 °C in accordance with section 12(1) of the Finance Act 1993.

Accuracy classification and maximum permissible errors (MPEs)E+W+S

2.1.  For quantities equal to or greater than 2 litres the MPE on indications is:E+W+S

Table 2

Accuracy Class
Accuracy Class
0.30.51.01.52.5
Measuring systems (A)0.3 %0.5 %1.0 %1.5 %2.5 %
Meters (B)0.2 %0.3 %0.6 %1.0 %1.5 %

2.2.  For quantities less than two litres the MPE on indications is:E+W+S

Table 3

Measured volume VMPE
V < 0.1 L4 × value in Table 2, applied to 0.1 L
0.1 L ≤ V < 0.2 L4 × value in Table 2
0.2 L ≤ V < 0.4 L2 × value in Table 2, applied to 0.4 L
0.4 L ≤ V < 1 L2 × value in Table 2
1 L ≤ V < 2 LValue in Table 2, applied to 2 L

2.3.  However, no matter what the measured quantity may be, the magnitude of the MPE is given by the greater of the following two values:E+W+S

  • — the absolute value of the MPE given in Table 2 or Table 3,

  • — the absolute value of the MPE for the minimum measured quantity (Emin).

2.4.1  For minimum measured quantities greater than or equal to 2 litres the following conditions apply:E+W+S

Condition 1

Emin shall fulfil the condition: Emin ≥ 2 R, where R is the smallest scale interval of the indication device.

Condition 2

Emin is given by the formula: Emin = (2MMQ)x (A/100) where:

  • — MMQ is the minimum measured quantity,

  • — A is the numerical value specified in line A of Table 2.

2.4.2.  For minimum measured quantities of less than two litres, the above mentioned condition 1 applies and Emin is twice the value specified in Table 3, and related to line A of Table 2.E+W+S

Converted indicationE+W+S

2.5.  In the case of a converted indication the MPEs are as in line A of Table 2.

Conversion devicesE+W+S

2.6.  MPEs on converted indications due to a conversion device are equal to ± (A — B), A and B being the values specified in Table 2.

Parts of conversion devices that can be tested separately

(a)Calculator

MPEs on quantities of liquid indications applicable to calculation, positive or negative, are equal to one-tenth of the MPEs as defined in line A of Table 2.

(b)Associated regulated measuring instruments

Associated regulated measuring instruments shall have an accuracy at least as good as the values in Table 4:

Table 4

MPE on MeasurementsAccuracy classes of the measuring system
0.30.51.01.52.5
Temperature± 0.3 °C± 0.5 °C± 1.0 °C
Pressure

Less than 1 MPa: ± 50 kPa

From 1 to 4 MPa: ± 5 %

Over 4 MPa: ± 200 kPa

Density± 1 kg/m3± 2 kg/m3± 5 kg/m3

These values apply to the indication of the characteristic quantities of the liquid displayed by the conversion device.

(c)Accuracy for calculating function

The MPE for the calculation of each characteristic quantity of the liquid, positive or negative, is equal to two fifths of the value fixed in (b).

2.7.  The requirement (a) in paragraph 2.6 applies to any calculation, not only conversion.E+W+S

2.8.  The measuring system shall not exploit the MPEs or systematically favour any party.E+W+S

Maximum permissible effect of disturbancesE+W+S

3.1.  The effect of an electromagnetic disturbance on a measuring system shall be one of the following:E+W+S

  • — the change in the measurement result is not greater than the critical change value as defined in paragraph 3.2, or

  • — the indication of the measurement result shows a momentary variation that cannot be interpreted, memorised or transmitted as a measuring result. Furthermore, in the case of an interruptible system, this can also mean the impossibility to perform any measurement, or

  • — the change in the measurement result is greater than the critical change value, in which case the measuring system shall permit the retrieval of the measuring result just before the critical change value occurred and cut off the flow.

3.2.  The critical change value is the greater of MPE/5 for a particular measured quantity or Emin.E+W+S

DurabilityE+W+S

4.  After an appropriate test, taking into account the period of time estimated by the manufacturer, has been performed, the following criterion shall be satisfied:

The variation of the measurement result after the durability test, when compared with the initial measurement result, shall not exceed the value for meters specified in line B of table 2.

SuitabilityE+W+S

5.1.  For any measured quantity relating to the same measurement, the indications provided by various devices shall not deviate one from another by more than one scale interval where devices have the same scale interval. In the case where the devices have different scale intervals, the deviation shall not be more than that of the greatest scale interval.E+W+S

However, in the case of a self-service arrangement the scale intervals of the main indicating device on the measuring system and the scale intervals of the self-service device shall be the same and results of measurement shall not deviate one from another.

5.2.  It shall not be possible to divert the measured quantity in normal conditions of use unless it is readily apparent.E+W+S

5.3.  Any percentage of air or gas not easily detectable in the liquid shall not lead to a variation of error greater than:E+W+S

  • — 0.5 % for liquids other than potable liquids and for liquids of a viscosity not exceeding 1 mPa.s, or

  • — 1 % for potable liquids and for liquids of a viscosity exceeding 1 mPa.s.

However, the allowed variation shall never be smaller than 1 % of MMQ. This value applies in the case of air or gas pockets.

Instruments for direct salesE+W+S

5.4.1.  A measuring system for direct sales shall be provided with means for resetting the display to zero.E+W+S

It shall not be possible to divert the measured quantity.

5.4.2.  The display of the quantity on which the transaction is based shall be permanent until all parties in the transaction have accepted the measurement result.E+W+S

5.4.3.  Measuring systems for direct sales shall be interruptible.E+W+S

5.4.4.  Any percentage of air or gas in the liquid shall not lead to a variation of error greater than the values specified in paragraph 5.3.E+W+S

Fuel DispensersE+W+S

5.5.1.  Displays on fuel dispensers shall not be capable of being reset to zero during a measurement.E+W+S

5.5.2.  The start of a new measurement shall be inhibited until the display has been reset to zero.E+W+S

5.5.3.  Where a measuring system is fitted with a price display, the difference between the indicated price and the price calculated from the unit price and the indicated quantity shall not exceed the price corresponding to EminHowever this difference need not be less than the smallest monetary value.E+W+S

Power supply failureE+W+S

6.  A measuring system shall either be provided with an emergency power supply device that will safeguard all measuring functions during the failure of the main power supply device or be equipped with means to save and display the data present in order to permit the conclusion of the transaction in progress and with means to stop the flow at the moment of the failure of the main power supply device.

Putting into useE+W+S

Table 5

Accuracy classTypes of Measuring system
0.3Measuring systems on pipeline
0.5All measuring systems if not differently stated elsewhere in this Table, in particular:
fuel dispensers (not for liquefied gases),
measuring systems on road tankers for liquids of low viscosity (< 20 mPa.s)
1.0Measuring systems for liquefied gases under pressure measured at a temperature equal to or above – 10 °C
Measuring systems normally in class 0.3 or 0.5 but used for liquids
whose temperature is less than – 10 °C or greater than 50 °C
whose dynamic viscosity is higher than 1,000 mPa.s
whose maximum volumetric flowrate is not higher than 20 L/h
1.5Measuring systems for liquefied gases under pressure measured at a temperature below – 10 °C (other than cryogenic liquids)
2.5Measuring systems for cryogenic liquids (temperature below – 153 °C)

Units of measurementE+W+S

8.  The metered quantity shall be displayed in millilitres, cubic centimetres, litres, cubic metres, grams, kilograms or tonnes.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to measuring systems for the continuous and dynamic measurement of quantities of liquids other than water that the manufacturer can choose between are:

(a)B and F;

(b)B and D;

(c)H1; or

(d)G.

Regulations 2 and 39(1)

SCHEDULE 1GE+W+SAUTOMATIC WEIGHING INSTRUMENTS (MI-006) (Annex VIII to the Directive)

The relevant essential requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in Chapter I of this Schedule, apply to automatic weighing instruments defined below, intended to determine the mass of a body by using the action of gravity on that body.

DEFINITIONS

Automatic weighing instrumentAn instrument that determines the mass of a product without the intervention of an operator and follows a predetermined programme of automatic processes characteristic of the instrument.
Automatic catchweigherAn automatic weighing instrument that determines the mass of pre-assembled discrete loads (for example prepackages) or single loads of loose material.
Weight labellerAn automatic catchweigher that labels individual articles with the weight value.
Weight/price labellerAn automatic catchweigher that labels individual articles with the weight value, and price information.
Automatic gravimetric filling instrumentAn automatic weighing instrument that fills containers with a predetermined and virtually constant mass of product from bulk.
Discontinuous totaliser (totalising hopper weigher)An automatic weighing instrument that determines the mass of a bulk product by dividing it into discrete loads. The mass of each discrete load is determined in sequence and summed. Each discrete load is then delivered to bulk.
Continuous totaliserAn automatic weighing instrument that continuously determines the mass of a bulk product on a conveyor belt, without systematic subdivision of the product and without interrupting the movement of the conveyor belt.
Rail-weighbridgeAn automatic weighing instrument having a load receptor inclusive of rails for conveying railway vehicles.

SPECIFIC REQUIREMENTS

CHAPTER IE+W+SRequirements common to all types of automatic weighing instruments

Rated Operating ConditionsE+W+S

1.  The manufacturer shall specify the rated operating conditions for the instrument as follows:

1.1.  For the measurand:E+W+S

The measuring range in terms of its maximum and minimum capacity.

1.2.  For the electrical supply influence quantities:E+W+S

In case of AC voltage supply:the nominal AC voltage supply, or the AC voltage limits.
In case of DC voltage supply:the nominal and minimum DC voltage supply, or the DC voltage limits.

1.3.  For the mechanical and climatic influence quantities:E+W+S

The minimum temperature range is 30 °C unless specified otherwise in the following chapters of this Schedule.

The mechanical environment classes according to Schedule 1A, paragraph 1.3.2 are not applicable. For instruments which are used under special mechanical strain, e.g. instruments incorporated into vehicles, the manufacturer shall define the mechanical conditions of use.

1.4  For other influence quantities (if applicable):E+W+S

  • The rate(s) of operation.

  • The characteristics of the product(s) to be weighed.

2.  Permissible effect of disturbances — Electromagnetic environmentE+W+S

The required performance and the critical change value are given in the relevant Chapter of this Schedule for each type of instrument.

SuitabilityE+W+S

3.1.  Means shall be provided to limit the effects of tilt, loading and rate of operation such that maximum permissible errors (MPEs) are not exceeded in normal operation.E+W+S

3.2.  Adequate material handling facilities shall be provided to enable the instrument to respect the MPEs during normal operation.E+W+S

3.3.  Any operator control interface shall be clear and effective.E+W+S

3.4.  The integrity of the display (where present) shall be verifiable by the operator.E+W+S

3.5.  Adequate zero setting capability shall be provided to enable the instrument to respect the MPEs during normal operation.E+W+S

3.6.  Any result outside the measurement range shall be identified as such, where a printout is possible.E+W+S

Conformity assessmentE+W+S

4.  The conformity assessment procedures specified in the modules in Schedule 1B applicable to automatic weighing instruments that the manufacturer can choose between are:

(a)For mechanical systems:

(i)B and D;

(ii)B and E;

(iii)B and F;

(iv)D1;

(v)F1;

(vi)G; or

(vii)H1.

(b)For electromechanical instruments:

(i)B and D;

(ii)B and E;

(iii)B and F;

(iv)G; or

(v)H1.

(c)For electronic systems or systems containing software:

(i)B and D;

(ii)B and F;

(iii)G; or

(iv)H1.

CHAPTER IIE+W+SAutomatic Catchweighers

1.  These categories are divided into four accuracy classes:E+W+S

Y(I), Y(II), Y(a) & Y(b)

which shall be specified by the manufacturer.

MPEE+W+S

2.1.  MPE Category Y instrumentsE+W+S

Table 1

Net Load (m) in verification scale intervals (e)Maximum permissible mean errorMaximum permissible error
Y(I)Y(II)Y(a)Y(b)StaticAutomatic
0 < m ≤ 50,0000 < m ≤ 5,0000 < m ≤ 5000 < m ≤ 50± 0.5 e± 1 e
50,000 < m ≤ 200,0005,000 < m ≤ 20,000500 < m ≤ 2,00050 < m ≤ 200± 1.0 e± 1.5 e
200,000 < m20,000 < m ≤ 100,0002,000 < m ≤ 10,000200 < m ≤ 1,000± 1.5± 2 e

Verification scale interval — single interval instrumentsE+W+S

Table 2
Accuracy classesVerification scale intervalNumber of verification scale intervalsn = Max/e
MinimumMaximum
MinimumMaximum
XIY(I)0.001 g ≤ e50,000
XIIY(II)0.001 g ≤ e ≤ 0.05 g100100,000
0.1 g ≤ e5,000100,000
XIIIY(a)0.1 g ≤ e ≤ 2 g10010,000
5 g ≤ e50010,000
XIIIIY(b)5 g ≤ e1001,000

Verification scale interval — multi-interval instrumentsE+W+S

Table 3

1 For i = r the corresponding column of Table 2 applies with e replaced by er.

Verification scale intervalNumber of verification scale intervalsn = Max/e

Minimum value1

n = Maxi /e(i+1)

For i = r the corresponding column of Table 2 applies with e replaced by er.

Maximum value

n = Maxi /ei

Y(I)0.001 g ei50,000
Y(II)0.001 g ei 0.05 g5,000100,000
0.1 g ei5,000100,000
Y(a)0.1 g ei50010,000
Y(b)5 g ei501 000

Where:

  • i =  1, 2, … r

  • i =  partial weighing range

  • r =  total number of partial ranges

Measurement RangeE+W+S

3.  In specifying the measurement range for class Y instruments the manufacturer shall take account that the minimum capacity shall not be less than:

class Y(I):100 e
class Y(II):20 e for 0.001 g ≤ e ≤ 0.05 g, and 50 e for 0.1 g ≤ e
class Y(a):20 e
class Y(b):10 e
Scales used for grading, e.g. postal scales and garbage weighers:5 e

Dynamic SettingE+W+S

4.1.  The dynamic setting facility shall operate within a load range specified by the manufacturer.E+W+S

4.2.  When fitted, a dynamic setting facility that compensates for the dynamic effects of the load in motion shall be inhibited from operating outside the load range, and shall be capable of being secured.E+W+S

Performance Under Influence Factors And Electromagnetic DisturbancesE+W+S

5.1.  The MPEs due to influence factors are:E+W+S

5.1.1.  For category Y instrumentsE+W+S

  • — For each load in automatic operation; as specified in Table 1,

  • — For static weighing in non-automatic operation; as specified in Table 1.

5.1.2.  The critical change value due to a disturbance is one verification scale interval.E+W+S

5.2.  Temperature range:E+W+S

  • — For class Y(I) the minimum range is 5 °C,

  • — For class Y(II) the minimum range is 15 °C.

CHAPTER IIIE+W+SAutomatic Gravimetric Filling Instruments

Accuracy classesE+W+S

1.1.  The manufacturer shall specify both the reference accuracy class Ref(x) and the operational accuracy class(es) X(x).E+W+S

1.2.  An instrument type is designated a reference accuracy class, Ref(x), corresponding to the best possible accuracy for instruments of the type. After installation, individual instruments are designated for one or more operational accuracy classes, X(x), having taken account of the specific products to be weighed. The class designation factor (x) shall be ≤ 2, and in the form 1 × 10k, 2 × 10k or 5 × 10k where k is a negative whole number or zero.E+W+S

1.3.  The reference accuracy class, Ref(x) is applicable for static loads.E+W+S

1.4.  For the operational accuracy class X(x), X is a regime relating accuracy to load weight and (x) is a multiplier for the limits of error specified for class X(1) in paragraph 2.2.E+W+S

MPEE+W+S

Static weighing errorE+W+S

2.1.1.  For static loads under rated operating conditions, the MPE for reference accuracy class Ref(x), shall be 0.312 of the maximum permissible deviation of each fill from the average; as specified in Table 5; multiplied by the class designation factor (x).E+W+S

2.1.2.  For instruments where the fill may be made up from more than one load (e.g. cumulative or selective combination weighers) the MPE for static loads shall be the accuracy required for the fill as specified in paragraph 2.2 (i.e. not the sum of the maximum permissible deviation for the individual loads).E+W+S

Deviation from average fillE+W+S

Table 4
Value of the mass, m (g), of the fillsMaximum permissible deviation of each fill from the average for class X(1)
m ≤ 507.2 %
50 < m ≤ 1003.6 g
100 < m ≤ 2003.6 %
200 < m ≤ 3007.2 g
300 < m ≤ 5002.4 %
500 < m ≤ 1,00012 g
1,000 < m ≤ 10,0001.2 %
10,000 < m ≤ 15,000120 g
15,000 < m0.8 %

Note:

The calculated deviation of each fill from the average may be adjusted to take account for the effect of material particle size.

Error relative to pre-set value (setting error)E+W+S

2.3.  For instruments where it is possible to pre-set a fill weight; the maximum difference between the pre-set value and the average mass of the fills shall not exceed 0.312 of the maximum permissible deviation of each fill from the average, as specified in Table 4.

Performance Under Influence Factor And Electromagnetic DisturbanceE+W+S

3.1.  The MPE due to influence factors shall be as specified in paragraph 2.1.E+W+S

3.2.  The critical change value due to a disturbance is a change of the static weight indication equal to the MPE as specified in paragraph 2.1 calculated for the rated minimum fill, or a change that would give equivalent effect on the fill in the case of instruments where the fill consists of multiple loads. The calculated critical change value shall be rounded to the next higher scale interval (d).E+W+S

3.3.  The manufacturer shall specify the value of the rated minimum fill.E+W+S

CHAPTER IVE+W+SDiscontinuous Totalisers

1.  Accuracy ClassesE+W+S

Instruments are divided into four accuracy classes as follows: 0.2; 0.5; 1; 2.

2.  MPEsE+W+S

Table 5

Accuracy classMPE of totalised load
0.2± 0.10 %
0.5± 0.25 %
1± 0.50 %
2± 1.00 %

Totalisation scale intervalE+W+S

3.  The totalisation scale interval (dt) shall be in the range: 0.01 % Max ≤ dt ≤ 0.2 % Max

Minimum Totalised Load (Σmin)E+W+S

4.  The minimum totalised load (Σmin) shall be not less than the load at which the MPE is equal to the totalisation scale interval (dt) and not less than the minimum load as specified by the manufacturer.

Zero SettingE+W+S

5.  Instruments that do not tare weigh after each discharge shall have a zero setting device. Automatic operation shall be inhibited if zero indication varies by:

  • — 1 dt on instruments with automatic zero setting device;

  • — 0.5 dt on instruments with a semi-automatic, or non-automatic, zero setting device

Operator InterfaceE+W+S

6.  Operator adjustments and reset function shall be inhibited during automatic operation.

PrintoutE+W+S

7.  On instruments equipped with a printing device, the reset of the total shall be inhibited until the total is printed. The printout of the total shall occur if automatic operation is interrupted.

Performance under influence factors and electromagnetic disturbancesE+W+S

8.1.  The MPEs due to influence factors shall be as specified in Table 6.E+W+S

Table 6

Load (m) in totalisation scale intervals (dt)MPE
0 < m ≤ 500± 0.5 dt
500 < m ≤ 2,000± 1.0 dt
2,000 < m ≤ 10,000± 1.5 dt

8.2.  The critical change value due to a disturbance is one totalisation scale interval for any weight indication and any stored total.E+W+S

CHAPTER VE+W+S

Accuracy classesE+W+S

1.  Instruments are divided into three accuracy classes as follows: 0.5; 1; 2.

Measurement RangeE+W+S

2.1.  The manufacturer shall specify the measurement range, the ratio between the minimum net load on the weighing unit and the maximum capacity, and the minimum totalised load.E+W+S

2.2.  The minimum totalised load Σmin shall not be less thanE+W+S

  • 800 d for class 0.5,

  • 400 d for class 1,

  • 200 d for class 2.

Where d is the totalisation scale interval of the general totalisation device.

MPEE+W+S

Table 7
Accuracy classMPE for totalised load
0.5± 0.25 %
1± 0.5 %
2± 1.0 %

Speed of the beltE+W+S

4.  The speed of the belt shall be specified by the manufacturer. For single-speed beltweighers, and variable-speed beltweighers having a manual speed setting control, the speed shall not vary by more than 5 % of the nominal value. The product shall not have a different speed than the speed of the belt.

General Totalisation DeviceE+W+S

5.  It shall not be possible to reset the general totalisation device to zero.

Performance under influence factors and electromagnetic disturbancesE+W+S

6.1.  The MPE due to influence factor, for a load not less than the Σmin, shall be 0.7 times the appropriate value specified in Table 7, rounded to the nearest totalisation scale interval (d).E+W+S

6.2.  The critical change value due to a disturbance shall be 0.7 times the appropriate value specified in Table 7, for a load equal to Σmin, for the designated class of the beltweigher; rounded up to the next higher totalisation scale interval (d).E+W+S

CHAPTER VIE+W+SAutomatic Rail Weighbridges

Accuracy classesE+W+S

1.  Instruments are divided into four accuracy classes as follows: 0.2; 0.5; 1; 2.

MPEE+W+S

2.1.  The MPEs for weighing-in-motion of a single wagon or a total train are shown in Table 8.E+W+S

Table 8

Accuracy classMPE
0.2± 0.1 %
0.5± 0.25 %
1± 0.5 %
2± 1.0 %

2.2.  The MPEs for the weight of coupled or uncoupled wagons weighing-in-motion shall be one of the following values, whichever is the greatest:E+W+S

  • — the value calculated according to Table 8, rounded to the nearest scale interval;

  • — the value calculated according to Table 8, rounded to the nearest scale interval for a weight equal to 35 % of the maximum wagon weight (as inscribed on the descriptive markings);

  • — one scale interval (d).

2.3.  The MPEs for the weight of train weighing-in-motion shall be one of the following values, whichever is the greatest:E+W+S

  • — the value calculated according to Table 9, rounded to the nearest scale interval;

  • — the value calculated according to Table 9, for the weight of a single wagon equal to 35 % of the maximum wagon weight (as inscribed on the descriptive markings) multiplied by the number of reference wagons (not exceeding 10) in the train, and rounded to the nearest scale interval;

  • — one scale interval (d) for each wagon in the train, but not exceeding 10 d.

2.4.  When weighing coupled wagons; the errors of not more than 10 % of the weighing results taken from one or more passes of the train may exceed the appropriate MPE given in paragraph 2.2, but shall not exceed twice the MPE.E+W+S

Scale interval (d)E+W+S

3.  The relationship between the accuracy class and the scale interval shall be as specified in Table 9.

Table 9
Accuracy classScale interval (d)
0.2d ≤ 50 kg
0.5d ≤ 100 kg
1d ≤ 200 kg
2d ≤ 500 kg

Measurement rangeE+W+S

4.1.  The minimum capacity shall not be less than 1 t, and not greater than the value of the result of the minimum wagon weight divided by the number of partial weighings.E+W+S

4.2.  The minimum wagon weight shall not be less than 50 d.E+W+S

Performance under influence factor and electromagnetic disturbanceE+W+S

5.1.  The MPE due to an influence factor shall be as specified in Table 10.E+W+S

Table 10

Load (m) in verification scale intervals (d)MPE
0 < m ≤ 500± 0.5 d
500 < m ≤ 2,000± 1.0 d
2,000 < m ≤ 10,000± 1.5 d

5.2.  The critical change value due to a disturbance is one scale interval.E+W+S

Regulations 2 and 39(1)

SCHEDULE 1HE+W+STAXIMETERS (MI-007) (Annex IX to the Directive)

The relevant requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule apply to taximeters.

DEFINITIONS

Appropriate Licensing Authority

Within this Schedule, “appropriate licensing authority” means –

(a)in relation to the area to which the Metropolitan Public Carriage Act 1869 applies, Transport for London;

(b)in relation to any other area in England and Wales, the authority responsible for licensing taxis in that area;

(c)in relation to Scotland, the district or islands council responsible for licensing taxis in that area;

(d)and in relation to Northern Ireland, the Department of the Environment for Northern Ireland.

Taximeter

A device that works together with a signal generator to make a regulated measuring instrument.

This device measures duration, calculates distance on the basis of a signal delivered by the distance signal generator. Additionally, it calculates and displays the fare to be paid for a trip on the basis of the calculated distance and/or the measured duration of the trip.

Fare

The total amount of money due for a trip based on a fixed initial hire fee and/or the length and/or the duration of the trip. The fare does not include a supplement charged for extra services.

Cross-over speed

The speed value found by division of a time tariff value by a distance tariff value.

Normal calculation mode S (single application of tariff)

Fare calculation based on application of the time tariff below the cross-over speed and application of the distance tariff above the cross-over speed.

Normal calculation mode D (double application of tariff)

Fare calculation based on simultaneous application of time tariff and distance tariff over the whole trip.

Operating position

The different modes in which a taximeter fulfils the different parts of its functioning. The operating positions are distinguished by the following indications:

‘For Hire’:The operating position in which the fare calculation is disabled
‘Hired’:The operating position in which the fare calculation takes place on the basis of a possible initial charge and a tariff for distance travelled and/or time of the trip
‘Stopped’:The operating position in which the fare due for the trip is indicated and at least the fare calculation based on time is disabled.

DESIGN REQUIREMENTS

1.  The taximeter shall be designed to calculate the distance and to measure the duration of a trip.E+W+S

2.  The taximeter shall be designed to calculate and display the fare, incrementing in steps equal to the resolution fixed by the appropriate licensing authority in the operation position ‘Hired’. The taximeter shall also be designed to display the final value for the trip in the operating position ‘Stopped’.E+W+S

3.  A taximeter shall be able to apply the normal calculation modes S and D. It shall be possible to choose between these calculation modes by a secured setting.E+W+S

4.  A taximeter shall be able to supply the following data through an appropriate secured interface(s):E+W+S

  • — operation position: ‘For Hire’, ‘Hired’ or ‘Stopped’;

  • — totaliser data according to paragraph 15.1;

  • — general information: constant of the distance signal generator, date of securing, taxi identifier, real time, identification of the tariff;

  • — fare information for a trip: total charged, fare, calculation of the fare, supplement charge, date, start time, finish time, distance travelled;

  • — tariff(s) information: parameters of tariff(s).

Where a device is required to be connected to the interface(s) of a taximeter, it shall be possible, by way of a secured setting, to inhibit automatically the operation of the taximeter for reasons of the non-presence or improper functioning of the required device.

5.  If relevant, it shall be possible to adjust a taximeter for the constant of the distance signal generator to which it is to be connected and to secure the adjustment.E+W+S

RATED OPERATING CONDITIONS

6.1.  The mechanical environment class that applies is M3.E+W+S

6.2.  The manufacturer shall specify the rated operating conditions for the instrument, in particular:E+W+S

  • — a minimum temperature range of 80 °C for the climatic environment;

  • — the limits of the DC power supply for which the instrument has been designed.

MAXIMUM PERMISSIBLE ERRORS (MPEs)

7.  The MPE, excluding any errors due to application of the taximeter in a taxi, are:E+W+S

  • — For the time elapsed: ± 0.1 %

  • minimum value of mpe: 0.2 s;

  • minimum value of mpe: 4 m;

  • minimum, including rounding: corresponding to the least significant digit of the fare indication.

PERMISSIBLE EFFECT OF DISTURBANCES

8.  Electromagnetic immunityE+W+S

8.1.  The electromagnetic class that applies is E3.E+W+S

8.2.  The MPE laid down in paragraph 7 shall also be respected in the presence of an electromagnetic disturbance. POWER SUPPLY FAILUREE+W+S

9.  In case of a reduction of the voltage supply to a value below the lower operating limit as specified by the manufacturer, the taximeter shall:E+W+S

  • — continue to work correctly or resume its correct functioning without loss of data available before the voltage drop if the voltage drop is temporary, i.e. due to restarting the engine;

  • — abort an existing measurement and return to the position ‘For Hire’ if the voltage drop is for a longer period.

OTHER REQUIREMENTS

10.  The conditions for the compatibility between the taximeter and the distance signal generator shall be specified by the manufacturer of the taximeter.E+W+S

11.  If there is a supplement charge for an extra service, entered by the driver on manual command, this shall be excluded from the fare displayed. However, in that case a taximeter may display temporarily the value of the fare including the supplementary charge.E+W+S

12.  If the fare is calculated according to calculation mode D a taximeter may have an additional display mode in which only the total distance and duration of the trip are displayed in real time.E+W+S

13.  All values displayed for the passenger shall be suitably identified. These values as well as their identification shall be clearly readable under daylight and night conditions.E+W+S

14.1.  If the fare to be paid or the measures to be taken against fraudulent use can be affected by the choice of functionality from a pre-programmed setting or by free data setting, it shall be possible to secure the instrument settings and data entered.E+W+S

14.2.  The securing possibilities available in a taximeter shall be such that separate securing of the settings is possible.E+W+S

14.3.  The provisions in paragraph 8.3 of Schedule 1A apply also to the tariffs.E+W+S

15.1.  A taximeter shall be fitted with non-resettable totalisers for all of the following values:E+W+S

  • — The total distance travelled by the taxi;

  • — The total distance travelled when hired;

  • — The total number of hirings;

  • — The total amount of money charged as supplements;

  • — The total amount of money charged as fare.

The totalised values shall include the values saved according to paragraph 9 under conditions of loss of power supply.

15.2.  If disconnected from power, a taximeter shall allow the totalised values to be stored for one year for the purpose of reading out the values from the taximeter to another medium.E+W+S

15.3.  Adequate measures shall be taken to prevent the display of totalised values from being used to deceive passengers.E+W+S

16.  Automatic change of tariffs is allowed due to the:E+W+S

  • — distance of the trip;

  • — duration of the trip;

  • — time of the day;

  • — date;

  • — day of the week.

17.  If properties of the taxi are important for the correctness of the taximeter, the taximeter shall provide means to secure the connection of the taximeter to the taxi in which it is installed.E+W+S

18.  For the purpose of testing after installation, the taximeter shall be equipped with the possibility to test separately the accuracy of time and distance measurement and the accuracy of the calculation.E+W+S

19.  A taximeter and its installation instructions specified by the manufacturer shall be such that, if installed according to the manufacturer's instructions, fraudulent alterations of the measurement signal representing the distance travelled are sufficiently excluded.E+W+S

20.  The general essential requirement dealing with fraudulent use shall be fulfilled in such a way that the interests of the customer, the driver, the driver's employer and the fiscal authorities are protected.E+W+S

21.  A taximeter shall be designed so that it can respect the MPEs without adjustment during a period of one year of normal use.E+W+S

22.  The taximeter shall be equipped with a real-time clock by means of which the time of the day and the date are kept, one or both can be used for automatic change of tariffs. The requirements for the real-time clock are:E+W+S

  • — the timekeeping shall have an accuracy of 0.02 %;

  • — the correction possibility of the clock shall be not more than 2 minutes per week. Correction for summer and wintertime shall be performed automatically;

  • — correction, automatic or manually, during a trip shall be prevented.

23.  The values of distance travelled and time elapsed, when displayed or printed in accordance with these Regulations, shall use the following units:E+W+S

Distance travelled:

  • — kilometres;

  • — miles.

Time elapsed:

— seconds, minutes or hours, as may be suitable; keeping in mind the necessary resolution and the need to prevent misunderstandings.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to taximeters that the manufacturer can choose between are:

(a)B and F;

(b)B and D; or

(c)H1.

Regulations 2 and 39(1)

SCHEDULE 1IE+W+SMATERIAL MEASURES (MI-008) (Annex X to the Directive)

CHAPTER 1E+W+SMaterial measures of length

The relevant essential requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this chapter, apply to material measures of length defined below. However, the requirement for the supply of a copy of declarations of conformity may be interpreted as applying to a batch or consignment rather than each individual instrument.

SPECIFIC REQUIREMENTS

Reference ConditionsE+W+S

1.1.  For tapes of length equal to or greater than 5 metres, the maximum permissible errors (MPEs) are to be met when a tractive force of fifty newtons or other force values as specified by the manufacturer and marked on the tape accordingly, or in the case of rigid or semi-rigid measures no tractive force is needed, is applied.

1.2.  The reference temperature is 20 °C unless otherwise specified by the manufacturer and marked on the measure accordingly.E+W+S

MPEsE+W+S

2.  The MPE, positive or negative in mm, between two non-consecutive scale marks is (a + bL), where:

  • — L is the value of the length rounded up to the next whole metre; and

  • — a and b are given in Table 1 below.

When a terminal interval is bounded by a surface, the MPE for any distance beginning at this point is increased by the value c given in Table 1.

Table 1
Accuracy Classa(mm)bc(mm)
I0.10.10.1
II0.30.20.2
III0.60.40.3

The MPE for the length between consecutive scale marks, and the maximum permissible difference between two consecutive intervals, are given in Table 2 below.

Table 2
Length i of the intervalMPE or difference in millimetres according to accuracy class
IIIIII
i ≤ 1 mm0.10.20.3
1 mm < i ≤ 1 cm0.20.40.6

Where a rule is of the folding type, the jointing shall be such as not to cause any errors, supplementary to those above, exceeding: 0.3 mm for Class II, and 0.5 mm for Class III.

MaterialsE+W+S

3.1.  Materials used for material measures shall be such that length variations due to temperature excursions up to ± 8 °C about the reference temperature do not exceed the MPE.

3.2.  Measures made from material whose dimensions may alter materially when subjected to a wide range of relative humidity, may only be included in Classes II or III.E+W+S

MarkingsE+W+S

4.  The nominal value shall be marked on the measure. Millimetre scales shall be numbered every centimetre and measures with a scale interval greater than 2 cm shall have all scale marks numbered.

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to material measures of length that the manufacturer can choose between are:

(a)F1;

(b)D1;

(c)B and D;

(d)H; or

(e)G.

CHAPTER IIE+W+SCapacity serving measures

The relevant essential requirements of Schedule 1A, and the specific requirements and the conformity assessment procedures listed in this chapter, apply to capacity serving measures defined below. However, the requirement for the supply of a copy of declarations of conformity may be interpreted as applying to a batch or consignment rather than each individual instrument. Also, the requirement for the instrument to bear information in respect of its accuracy shall not apply.

DEFINITIONS

Line measureA capacity serving measure marked with a line to indicate nominal capacity.
Brim measureA capacity serving measure for which the internal volume is equal to the nominal capacity.
Transfer measureA capacity serving measure from which it is intended that the liquid is decanted prior to consumption.
CapacityThe capacity is the internal volume for brim measures or internal volume to a filling mark for line measures.

SPECIFIC REQUIREMENTS

Reference ConditionsE+W+S

1.1.  Temperature: the reference temperature for measurement of capacity is 20 °C.E+W+S

1.2.  Position for correct indication: free standing on a level surface.E+W+S

MPEsE+W+S
Table 1
LineBrim
Transfer measures
Transfer measures
< 100 ml± 2 ml– 0
+ 4 ml
≥ 100 ml± 3 %– 0
+ 6 %
Serving measures
< 200 ml± 5 %– 0
+ 10 %
≥ 200 ml± (5 ml + 2.5 %)– 0
+ 10 ml + 5 %
MaterialsE+W+S

3.  Capacity serving measures shall be made of material which is sufficiently rigid and dimensionally stable to maintain capacity within the MPE.

ShapeE+W+S

4.1.  Transfer measures shall be designed so that a change of contents equal to the MPE causes a change in level of at least 2 mm at the brim or filling mark.E+W+S

4.2.  Transfer measures shall be designed so that the complete discharge of the liquid being measured will not be impeded.E+W+S

MarkingE+W+S

5.1.  The nominal capacity declared shall be clearly and indelibly marked on the measure.E+W+S

5.2.  Capacity serving measures may also be marked with up to three clearly distinguishable capacities, none of which shall lead to confusion one to the other.E+W+S

5.3.  All filling marks shall be sufficiently clear and durable to ensure that MPEs are not exceeded in use.E+W+S

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to capacity serving measures that the manufacturer can choose between are:

(a)A2;

(b)F1;

(c)D1;

(d)E1;

(e)B and E;

(f)B and D; or

(g)H.

Regulations 2 and 39(1)

SCHEDULE 1JE+W+SEXHAUST GAS ANALYSERS (MI-010) (Annex XII to the Directive)

The relevant requirements of Schedule 1A, the specific requirements of this Schedule and the conformity assessment procedures listed in this Schedule, apply to exhaust gas analysers to the extent that they are also regulated measuring instruments.

The volume fractions of the exhaust gas components are expressed as a percentage (% vol) for carbon monoxide (CO), carbon dioxide (CO2) and oxygen (O2) and in parts per million (ppm vol) for hydrocarbons (HC).

The content of HC has to be expressed as concentration of n-hexane (C6H14), measured with near-infrared absorption techniques.

DEFINITIONS

LambdaLambda is a dimensionless value representative of the burning efficiency of an engine in terms of air/fuel ratio in the exhaust gases.

SPECIFIC REQUIREMENTS

Instrument ClassesE+W+S

1.  Two classes (0 and I) are being defined for exhaust gas analysers. The relevant minimum measuring ranges for these classes are shown in Table 1.

Table 1

Classes and measuring ranges
ParameterClasses 0 and I
CO fractionfrom 0 to 5 % vol
CO2 fractionfrom 0 to 16 % vol
HC fractionfrom 0 to 2,000 ppm vol
O2 fractionfrom 0 to 21 % vol
λfrom 0.8 to 1.2

Rated operating conditionsE+W+S

2.  The values of the operating conditions shall be specified by the manufacturer as follows:

2.1.  For the climatic and mechanical influence quantities:E+W+S

  • — a minimum temperature range of 35 °C for the climatic environment;

  • — the mechanical environment class that applies is M1.

2.2.  For the electrical power influence quantities:E+W+S

  • — the voltage and frequency range for the AC voltage supply

  • — the limits of the DC voltage supply.

2.3.  For the ambient pressure:E+W+S

— the minimum and the maximum values of the ambient pressure are for both classes: pmin ≤ 860 hPa, pmax ≥ 1,060 hPa.

Maximum permissible errors (MPEs)E+W+S

3.  The MPEs are defined as follows:

3.1.  For each of the fractions measured, the maximum error value permitted under rated operating conditions according to paragraph 1.1 of Schedule 1A is the greater of the two values shown in Table 2. Absolute values are expressed in % vol or ppm vol, percentage values are percent of the true value.E+W+S

Table 2

ParameterClass 0Class I
MPEs
CO fraction

± 0.03 % vol

± 5 %

± 0.06 % vol

± 5 %

CO2 fraction± 0.5 % vol± 0.5 % vol
±5 %± 5 %
HC fraction± 10 ppm vol± 12 ppm vol
± 5 %± 5 %
O2 fraction± 0.1 % vol± 0.1 % vol
± 5 %± 5 %

3.2.  The MPE on lambda calculation is 0.3 %. The conventional true value is calculated according to the formula set out in point 5.3.7.3 of Regulation No 83 of the Economic Commission for Europe of the United Nations (UN/ECE).E+W+S

For this purpose, the values displayed by the instrument are used for calculation.

Permissible effect of disturbancesE+W+S

4.  For each of the volume fractions measured by the instrument, the critical change value is equal to the MPE for the parameter concerned.

5.  The effect of an electromagnetic disturbance shall be such that:E+W+S

  • — either the change in the measurement result is not greater than the critical change value laid down in paragraph 4; or

  • — the presentation of the measurement result is such that it cannot be taken for a valid result.

Other requirementsE+W+S

6.  The resolution shall be equal to or of one order of magnitude higher than the values shown in Table 3.

Table 3

Resolution
COCO2O2HC
Class O and class I0.01 % vol0.1 % vol0.01 % vol for measurand values below or equal to 4 % vol, otherwise 0.1 % vol.1 ppm vol

The lambda value shall be displayed with a resolution of 0.001.

The standard deviation of 20 measurements shall not be greater than one third of the modulus of the MPE for each applicable gas volume fraction.

8.  For measuring CO, CO2 and HC, the instrument, including the specified gas handling system, must indicate 95 % of the final value as determined with calibration gases within 15 seconds after changing from a gas with zero content, e.g. fresh air. For measuring O2, the instrument under similar conditions must indicate a value differing less than 0.1 % vol from zero within 60 seconds after changing from fresh air to an oxygen-free gas.E+W+S

9.  The components in the exhaust gas, other than the components whose values are subject to the measurement, shall not affect the measurement results by more than the half of the modulus of the MPEs when those components are present in the following maximum volume fractions:E+W+S

  • 6 % vol CO,

  • 16 % vol CO2,

  • 10 % vol O2,

  • 5 % vol H2,

  • 0.3 % vol NO,

  • 2,000 ppm vol HC (as n-hexane),

water vapour up to saturation.

10.  An exhaust gas analyser shall have an adjustment facility that provides operations for zero-setting, gas calibration and internal adjustment. The adjustment facility for zero-setting and internal adjustment shall be automatic.E+W+S

11.  For automatic or semi-automatic adjustment facilities, the instrument shall be unable to make a measurement as long as the adjustments have not been made.E+W+S

12.  An exhaust gas analyser shall detect hydrocarbon residues in the gas handling system. It shall not be possible to carry out a measurement if the hydrocarbon residues, present before any measurement, exceed 20 ppm vol.E+W+S

13.  An exhaust gas analyser shall have a device for automatically recognising any malfunctioning of the sensor of the oxygen channel due to wear or a break in the connecting line.E+W+S

14.  If the exhaust gas analyser is capable to operate with different fuels (e.g. petrol or liquefied gas), there shall be the possibility to select the suitable coefficients for the Lambda calculation without ambiguity concerning the appropriate formula.E+W+S

CONFORMITY ASSESSMENT The conformity assessment procedures specified in the modules in Schedule 1B applicable to exhaust gas analysers that the manufacturer can choose between are:

(a)B and F;

(b)B and D; o

(c)H1.

Regulation 47(1)(c)

SCHEDULE 1KE+W+SDeclaration of Conformity

Declaration of Conformity (No. XXXX)E+W+S

1.  Instrument model/instrument (product, type, batch or serial number):

2.  Name and address of the manufacturer and, where applicable, his authorised representative:E+W+S

3.  This declaration of conformity is issued under the sole responsibility of the manufacturer.E+W+S

4.  Object of the declaration (identification of the instrument allowing traceability; it may, where necessary for the identification of the instrument, include an image):E+W+S

5.  The object of the declaration described above is in conformity with the relevant statutory requirements:E+W+S

6.  References to the relevant designated standards or normative documents used or references to the other technical specifications in relation to which conformity is declared:E+W+S

7.  The approved body (name, number) performed … (description of intervention) and issued the certificate:E+W+S

8.  Additional information:E+W+S

Signed for and on behalf of: (place and date of issue): (name, function) (signature):]

Regulation 3(4)

SCHEDULE 2U.K.MEASURING INSTRUMENT WHICH MAY CONTINUE TO BE PUT INTO USE

Cold water metersU.K.

1.  A cold-water meter—

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which was first passed as fit for trade and stamped before 30th October 2016 under the Measuring Equipment (Cold-water Meter Regulations) 1988 M1.

Marginal Citations

2.  A cold-water meter—E+W+S

(a)in respect of a pattern of which EEC pattern approval was granted before 30th October 2006 in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 (or in accordance with the measures in force in another EEA state which implement Council Directive 75/33/EEC M2); and

(b)which bears a mark of EEC initial verification or of EEC partial verification, in either case, affixed before 30th October 2016 in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 (or in accordance with the measures in force in another EEA state which implement Council Directive 71/316/EEC M3 as amended by Council Directives 72/427/EEC M4, 83/575/EEC M5, 87/354/EEC M6 87/355/EEC M7 and 88/665/EEC M8.

Extent Information

E1This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Marginal Citations

M2OJ No. L14, 20.1.75, p.1. Directive 75/33/EEC was repealed by Directive 2004/22/EC (OJ No. L135, 30.04.04, p.1).

M3OJ No. L202, 6.9.71, p.1, OJ/SE 1971(II), p.707.

M4OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

M5OJ No. L332, 28.11.83, p.43.

M6OJ No. L192, 11.7.87, p.43.

M7OJ No. L192, 11.7.87, p.46.

M8OJ No. L382, 31.12.88, p.42.

2.  A cold-water meter—N.I.

(a)in respect of a pattern of which EEC pattern approval was granted before 30th October 2006 in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 (or in accordance with the measures in force in another [F46relevant] state which implement Council Directive 75/33/EEC F47); and

(b)which bears a mark of EEC initial verification or of EEC partial verification, in either case, affixed before 30th October 2016 in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 (or in accordance with the measures in force in another [F46relevant] state which implement Council Directive 71/316/EEC F48 as amended by Council Directives 72/427/EEC F49, 83/575/EEC F50, 87/354/EEC F51 87/355/EEC F52 and 88/665/EEC F53.

Extent Information

E21This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F47OJ No. L14, 20.1.75, p.1. Directive 75/33/EEC was repealed by Directive 2004/22/EC (OJ No. L135, 30.04.04, p.1).

F48OJ No. L202, 6.9.71, p.1, OJ/SE 1971(II), p.707.

F49OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

F50OJ No. L332, 28.11.83, p.43.

F51OJ No. L192, 11.7.87, p.43.

F52OJ No. L192, 11.7.87, p.46.

F53OJ No. L382, 31.12.88, p.42.

Gas metersU.K.

3.  A gas meter for use for trade which was—

(a)stamped under section 17 of the Gas Act 1986 M9 and placed on the market before 30th October 2016; or

(b)stamped under article 22 of the Gas (Northern Ireland) Order 1996 M10 and placed on the market before 30th October 2016;

4.  A gas meter for use for trade—E+W+S

(a)in respect of which an EEC pattern approval was granted before 30th October 2006—

(i)under the Measuring Instruments (EEC Requirements) Regulations 1988 M11, as applied to gas meters by the Measuring Instruments (EEC Requirements) (Gas Volume Meters) Regulations 1988 M12; or

(ii)by any other EEA state in accordance with the relevant provisions of measures in force which implement Council Directive 71/318 M13,

and

(b)which bears a mark of EEC initial verification affixed before 30th October 2016 under those Regulations (as so applied) or by any other EEA state in accordance with those provisions.

Extent Information

E2This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Marginal Citations

M13Directive 71/318 on the approximation of the laws of member States relating to gas meters.

4.  A gas meter for use for trade—N.I.

(a)in respect of which an EEC pattern approval was granted before 30th October 2006—

(i)under the Measuring Instruments (EEC Requirements) Regulations 1988 F54, as applied to gas meters by the Measuring Instruments (EEC Requirements) (Gas Volume Meters) Regulations 1988 F55; or

(ii)by any other [F56relevant] state in accordance with the relevant provisions of measures in force which implement Council Directive 71/318 F57,

and

(b)which bears a mark of EEC initial verification affixed before 30th October 2016 under those Regulations (as so applied) or by any other [F56relevant] state in accordance with those provisions.

Extent Information

E22This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F57Directive 71/318 on the approximation of the laws of member States relating to gas meters.

Active electrical energy metersU.K.

5.  An active electrical energy meter for use for trade which was—

(a)of a pattern or construction approved before 30th October 2006 by or under regulations made under paragraph 2 of Schedule 7 to the Electricity Act 1989 M14, where such approval has not been revoked under regulations so made; and

(b)before 30th October 2016,—

(i)certified under paragraph 5 of that Schedule or excepted from the requirement for certification under paragraph 2(2) of that Schedule; and

(ii)placed on the market.

Marginal Citations

6.  An active electrical energy meter for use for trade which was—U.K.

(a)of a pattern or construction approved before 30th October 2006 by or under regulations made under paragraph 3 of Schedule 7 to the Electricity (Northern Ireland) Order 1992 M15 where such approval has not been revoked under regulations so made; and

(b)before 30th October 2016—

(i)certified under paragraph 6 of that Schedule or excepted from the requirement for certification under paragraph 3(2) of that Schedule; and

(ii)placed on the market.

Marginal Citations

M15S.I. 1992 No 231 (N.I. 1).

7.  An active electricity meter for use for trade—E+W+S

(a)in respect of which an EEC pattern approval was granted before 30th October 2006—

(i)under the Measuring Instruments (EC Requirements) (Electrical Energy Meters) Regulations 1995 M16; or

(ii)any other EEA state in accordance with the relevant provisions of measures in force which implement Council Directive 76/891 M17; and

(b)which bears a mark of EEC initial verification affixed before 30th October 2016 under those Regulations or by any other EEA state in accordance with those provisions.

Extent Information

E3This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Marginal Citations

M17Directive 76/891 on the approximation of the laws of member States relating to electrical energy meters.

7.  An active electricity meter for use for trade—N.I.

(a)in respect of which an EEC pattern approval was granted before 30th October 2006—

(i)under the Measuring Instruments (EC Requirements) (Electrical Energy Meters) Regulations 1995 F58; or

(ii)any other [F59relevant] state in accordance with the relevant provisions of measures in force which implement Council Directive 76/891 F60; and

(b)which bears a mark of EEC initial verification affixed before 30th October 2016 under those Regulations or by any other [F59relevant] state in accordance with those provisions.

Extent Information

E23This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F60Directive 76/891 on the approximation of the laws of member States relating to electrical energy meters.

Automatic Weighing instrumentsU.K.

8.  An Automatic gravimetric filing instrument—

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which before 30th October 2016 was first passed as fit for use for trade and stamped under—

(i)the Weights and Measures Regulations 1963 M18;

(ii)the Weighing Equipment (Filing and Discontinuous Totalising Automatic Weighing Machines) Regulations 1986 M19; or

(iii)the Weighing Equipment (Automatic Gravimetric Filling Instruments) Regulations 2000 M20.

Marginal Citations

M18S.I. 1963/1710, as amended by S.I. 1970/1370, S.I. 1972/767, S.I. 1974/1326, S.I. 1977/1932, S.I. 1978/484, S.I. 1979/1612, S.I. 1980/1070, S.I. 1980/1079, S.I. 1983/914, S.I. 1984/1446, S.I. 1985/1532, S.I. 1986/1320, S.I. 1986/1682, S.I. 1988/120, S.I. 1988/876, S.I. 1994/1249, S.I. 1995/735, S.I. 2000/388, S.I. 2001/599, S.I. 2001/1208, S.I. 2003/2454 and S.I. 2003/2761.

M19S.I. 1986/1320, as amended by S.I. 1994/1851, S.I. 1996/797, S.I. 2000/387, S.I. 2001/85 and S.I. 2003/2014.

Measuring systems for the measurement of liquid fuel and lubricantsU.K.

9.  A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel lubricants or a mixture of liquid fuels and lubricants in a quantity not exceeding 100 litres or 100 kilograms—

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which was before 30th October 2016 first passed as fit for use for trade and stamped under the Measuring Equipment (Liquid Fuel and Lubricants) Regulations 1995 M21.

Marginal Citations

10.—(1) A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel, lubricants or a mixture of liquid fuels and lubricants in a quantity not exceeding 100 litres or 100 kilograms—E+W+S

(a)in respect of which an EEC pattern approval was granted before 30th October 2006; and

(b)which bears a mark of EU initial verification or EU partial verification affixed before 30th October 2016.

(2) For the purposes of paragraph (1)—

(a)a grant of EEC pattern approval or the affixing of a mark of EEC initial verification must have been in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 M22 or, in the case of any other EEA state, in accordance with the measures in force which implemented—

(i)Council Directive 71/319 EEC M23;

(ii)Council Directive 71/348/EEC M24 as amended by the Treaty of Accession 1994 M25; and

(iii)Council Directive 77/313/EEC M26 as amended by Commission Directive 82/625/EEC M27; and

(b)the affixing of a mark of EEC partial verification must have been in accordance with the 1988 Regulations, or in the case of any other EEA state in accordance with the measures in force which implemented Council Directive 71316/EEC M28 as amended by Council Directives 72/427/EEC M29, 83/575/EEC M30, 87/354/EEC M31, 87/355/EEC M32 and 88/665/EEC M33.

Extent Information

E4This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Marginal Citations

M23OJ No. L202, 6.9.71, p.32, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M24OJ No. L239, 25.10.71, p.9 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M25The Treaty concerning the accession of Norway, Austria, Finland and Sweden, signed 24.06.94.

M26OJ No. L105, 28.4.77, p. 18, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M27OJ No. L252, 27.8.82, p.10 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M28OJ No. L202, 6.9.71, p.1, OJ/SE 1971 (II), p 707.

M29OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

M30OJ No. L332, 28.11.83, p.43.

M31OJ No. L192. 11.7.87, p.43.

M32OJ No. L192, 11.7.87, p.46.

M33OJ No. L382, 31.12.88, p.42.

10.—(1) A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel, lubricants or a mixture of liquid fuels and lubricants in a quantity not exceeding 100 litres or 100 kilograms—N.I.

(a)in respect of which an EEC pattern approval was granted before 30th October 2006; and

(b)which bears a mark of EU initial verification or EU partial verification affixed before 30th October 2016.

(2) For the purposes of paragraph (1)—

(a)a grant of EEC pattern approval or the affixing of a mark of EEC initial verification must have been in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 F61 or, in the case of any other [F62relevant] state, in accordance with the measures in force which implemented—

(i)Council Directive 71/319 EEC F63;

(ii)Council Directive 71/348/EEC F64 as amended by the Treaty of Accession 1994 F65; and

(iii)Council Directive 77/313/EEC F66 as amended by Commission Directive 82/625/EEC F67; and

(b)the affixing of a mark of EEC partial verification must have been in accordance with the 1988 Regulations, or in the case of any other [F62relevant] state in accordance with the measures in force which implemented Council Directive 71316/EEC F68 as amended by Council Directives 72/427/EEC F69, 83/575/EEC F70, 87/354/EEC F71, 87/355/EEC F72 and 88/665/EEC F73.

Extent Information

E24This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F63OJ No. L202, 6.9.71, p.32, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F64OJ No. L239, 25.10.71, p.9 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F65The Treaty concerning the accession of Norway, Austria, Finland and Sweden, signed 24.06.94.

F66OJ No. L105, 28.4.77, p. 18, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F67OJ No. L252, 27.8.82, p.10 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F68OJ No. L202, 6.9.71, p.1, OJ/SE 1971 (II), p 707.

F69OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

F70OJ No. L332, 28.11.83, p.43.

F71OJ No. L192. 11.7.87, p.43.

F72OJ No. L192, 11.7.87, p.46.

F73OJ No. L382, 31.12.88, p.42.

Measuring systems used for deliveries from road tankersU.K.

11.  A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel in a quantity exceeding 100 litres or 100 kilograms, delivered from a road tanker—

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which was first passed as fit before 30th October 2016 for use for trade and stamped under the Measuring Equipment (Liquid Fuel delivered from Road Tankers) Regulations 1983 M34.

Marginal Citations

M34S.I. 1983/1390, as amended by S.I. 1986/1210, S.I. 1994/1851, S.I. 1995/3117, S.I. 2001/85 and S.I. 2003/214.

12.—(1) A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel in a quantity exceeding 100 litres or 100 kilograms, delivered from a road tanker—E+W+S

(a)in respect of a which an EEC pattern approval was granted before 30th October 2006; and

(b)which bears a mark of EU initial verification or EU partial verification affixed before 30th October 2016.

(2) For the purposes of paragraph (1)—

(a)a grant of EEC pattern approval or the affixing of a mark of EEC initial verification must have been in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 M35 or, in the case of any other EEA state, in accordance with the measures in force which implemented—

(i)Council Directive 71/319 EEC M36;

(ii)Council Directive 71/348/EEC M37 as amended by the Treaty of Accession 1994 M38; and

(iii)Council Directive 77/313/EEC M39 as amended by Commission Directive 82/625/EEC M40; and

(b)the affixing of a mark of EEC partial verification must have been in accordance with the 1988 Regulations, or in the case of any other EEA state in accordance with the measures in force which implemented Council Directive 71316/EEC M41 as amended by Council Directives 72/427/EEC M42, 83/575/EEC M43, 87/354/EEC M44, 87/355/EEC M45 and 88/665/EEC M46.

Extent Information

E5This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Marginal Citations

M36OJ No. L202, 6.9.71, p.32, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M37OJ No. L239, 25.10.71, p.9 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M38The Treaty concerning the accession of Norway, Austria, Finland and Sweden, signed 24.06.94.

M39OJ No. L105, 28.4.77, p. 18, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M40OJ No. L252, 27.8.82, p.10 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

M41OJ No. L202, 6.9.71, p1, OJ/SE 1971 (II), p 707.

M42OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

M43OJ No. L332, 28.11.83, p.43.

M44OJ No. L192. 11.7.87, p.43.

M45OJ No. L192, 11.7.87, p.46.

M46OJ No. L382, 31.12.88, p.42.

12.—(1) A measuring system for use for trade in the making of a continuous and dynamic measurement of liquid fuel in a quantity exceeding 100 litres or 100 kilograms, delivered from a road tanker—N.I.

(a)in respect of a which an EEC pattern approval was granted before 30th October 2006; and

(b)which bears a mark of EU initial verification or EU partial verification affixed before 30th October 2016.

(2) For the purposes of paragraph (1)—

(a)a grant of EEC pattern approval or the affixing of a mark of EEC initial verification must have been in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988 F74 or, in the case of any other [F75relevant] state, in accordance with the measures in force which implemented—

(i)Council Directive 71/319 EEC F76;

(ii)Council Directive 71/348/EEC F77 as amended by the Treaty of Accession 1994 F78; and

(iii)Council Directive 77/313/EEC F79 as amended by Commission Directive 82/625/EEC F80; and

(b)the affixing of a mark of EEC partial verification must have been in accordance with the 1988 Regulations, or in the case of any other [F75relevant] state in accordance with the measures in force which implemented Council Directive 71316/EEC F81 as amended by Council Directives 72/427/EEC F82, 83/575/EEC F83, 87/354/EEC F84, 87/355/EEC F85 and 88/665/EEC F86.

Extent Information

E25This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F76OJ No. L202, 6.9.71, p.32, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F77OJ No. L239, 25.10.71, p.9 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F78The Treaty concerning the accession of Norway, Austria, Finland and Sweden, signed 24.06.94.

F79OJ No. L105, 28.4.77, p. 18, repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F80OJ No. L252, 27.8.82, p.10 repealed by Directive 2004/22/EC (OJ No. L13, 30.4.04, p.1.

F81OJ No. L202, 6.9.71, p1, OJ/SE 1971 (II), p 707.

F82OJ No. L291, 28.12.72, p.156, OJ/SE 1972, 28-30 Dec., p.71.

F83OJ No. L332, 28.11.83, p.43.

F84OJ No. L192. 11.7.87, p.43.

F85OJ No. L192, 11.7.87, p.46.

F86OJ No. L382, 31.12.88, p.42.

TaximetersU.K.

13.  A Taximeter—

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which was passed as fit for use before 30th October 2016 for the protection of consumers and marked under the Metropolitan Conditions of Fitness M47.

Marginal Citations

M47The Public Carriage Office issued the Construction and Licensing of Motor Taxicabs in London: Conditions of Fitness in 2000. (This document is usually referred to as “the Metropolitan Conditions of Fitness.) The Metropolitan Conditions of Fitness are made under the London Cab Order 1934 (S.I. 1934/1346), article 35. The relevant amending instruments are S.I. 1985/933, 1990/2003 and 2000/1666. S.I. 1934/1346 was made under the Metropolitan Public Carriage Act 1869 (c. 115), section 6. Article 35 of the London Cab Order requires the installation of an approved taximeter. The requirements that must be met by an approved taximeter are set out in the Notice to Owners and Manufacturers of Motor Cabs and Taximeters regarding Taximeters to be used on Taxicabs in the Metropolitan Police District and the City of London, which was issued by the Public Carriage Office in July 1997.

Material measures of lengthU.K.

14.  A material measure of length—

(a)which was first passed as fit for use for trade and stamped before 30th October 2006 under the Measuring Equipment (Measures of Length) Regulations 1986 M48; and

(b)which was placed on the market before 30th October 2016.

Marginal Citations

15.—(1) A material measure of length—U.K.

(a)in respect of which an EEC pattern approval was granted under the Measuring Instruments (EEC Requirements) Regulations 1988 M49

(b)which bears a mark of EEC initial verification or of EEC partial verification, which was affixed before 30th October 2016.

(2) For the purposes of paragraph (1)—

(a)a grant of EEC pattern approval, or the affixing of a mark of EEC initial verification must have been in accordance with the relevant provisions of the Measuring Instruments (EEC Requirements) Regulations 1988 or, in the case of any other member State, in accordance with the relevant provisions of measures in force which implemented Council Directive 73/362/EEC M50 as amended by Council Directive 78/629/EEC M51 and Commission Directive 85/146/EEC M52; and

(b)the affixing of a mark of EEC partial verification must have been in accordance with the Measuring Instruments (EEC Requirements) Regulations 1988, or in the case of any other member State, in accordance with the measures in force which implemented Council Directive 71/316/EEC M53 as amended by Council Directives 72/427/EEC M54, 83/575/EEC M55, 87/354/EEC M56, 87/355/EEC M57 and 88/665/EEC M58.

Marginal Citations

M50OJ No. L335, 5.12.73, p.56 (repealed by Directive 2004/22/EC (OJ No.L135, 30.4.04, p.1).

M51OJNo.L209, 29.7.78, p.8.

M52OJ no.L054, 23.2.85, p29.

M53OJ No. L202, 6.09.71, p.1, OJ/SE 1972 1971 (II) p 707.

M54OJ No. L291, 28.12.72, p156, OJ/SE 1972, 28-30 Dec.,p.71.

M55OJ No. L 332 ,28.11.83, p.43.

M56OJ No. L192, 11.7.87

M57OJ No. L192, 11.7.87, p.46.

M58OJ No L382, 31.12.88, p.42.

Exhaust gas analyserU.K.

16.  An exhaust gas analyser

(a)in respect of which a certificate of approval was granted before 30th October 2006; and

(b)which was first passed as fit for use for the protection of the environment and public health pursuant to the requirements of OIML, R99/ISO 3930 M59 before 30th October 2016.

Marginal Citations

M59OIML, the Organisation International de Métrologie Légal, is an intergovernmental body dedicated to the harmonisation of the national metrology regulations of its members. The OIML R99 standard edition 2000E, was developed by the OIML subcommittee TC16/SC 1, Air pollution.

Regulation 4

SCHEDULE 3U.K.REVOCATIONS AND TRANSITIONAL AND CONSEQUENTIAL PROVISIONS

Instruments revokedU.K.

1.  Subject to paragraph 2, the Regulations listed in the table in this paragraph are revoked.

Instrument titleReference
The Measuring Instruments (Automatic Discontinuous Totalisers) Regulations 2006S.I.2006/1255
The Measuring Instruments (Automatic Rail-weighbridges) Regulations 2006S.I. 2006/1256
The Measuring Instruments (Automatic Catchweighers) Regulations 2006S.I. 2006/1257
The Measuring Instruments (Automatic Gravimetric Filling Instruments) Regulations 2006S.I. 2006/1258
The Measuring Instruments (Beltweighers) Regulations 2006S.I. 2006/1259
The Measuring Instruments (Capacity Serving Measures) Regulations 2006S.I. 2006/1264
The Measuring Instruments (Liquid Fuel and Lubricants) Regulations 2006S.I. 2006/1266
The Measuring Instruments (Material Measures of Length) Regulations 2006S.I. 2006/1267
The Measuring Instruments (Cold Water Meters) Regulations 2006S.I. 2006/1268
The Measuring Instruments (Liquid Fuel delivered from Road Tankers) Regulations 2006S.I. 2006/1269
The Measuring Instruments (Non-Prescribed Instruments) Regulations 2006S.I. 2006/1270
The Measuring Instruments (Active Electrical Energy Meters) Regulations 2006S.I. 2006/1679
The Measuring Instruments (Exhaust Gas Analysers) Regulations 2006S.I. 2006/2164
The Measuring Instruments (Taximeters) Regulations 2006S.I. 2006/2304
The Measuring Instruments (Amendment) Regulations 2006S.I. 2006/2625
The Measuring Instruments (Gas Meters) Regulations 2006S.I. 2006/2647
The Measuring Instruments (Amendment) Regulations 2010S.I. 2010/2881

Transitional provisionsU.K.

2.—(1) In this paragraph, “the former law” means the Regulations referred to in paragraph 1.

(2) This sub-paragraph applies to a regulated measuring instrument placed on the market or put into use before the commencement date which was required by any provision of the former law to meet the essential requirements.

(3) A regulated measuring instrument to which sub-paragraph (2) applies which meets the requirements of the former law applicable to it is treated as meeting the requirements of these Regulations.

(4) Where a regulated measuring instrument to which sub-paragraph (2) applies does not meet the requirements of the former law, these Regulations apply to that instrument as they apply to a regulated measuring instrument placed on the market or put into use after the commencement date which does not comply with the requirements of these Regulations.

(5) Part 6 (Use for trade of regulated measuring instruments) applies to instruments to which sub-paragraph (2) applies as it applies to a regulated measuring instrument placed on the market or put into use after the commencement date.

(6) A certificate granted under any provision of the former law has effect as if granted under the corresponding provision of these Regulations.

(7) An application to be recognised as a notified body which is made before the commencement date is to be treated as having been made under these Regulations if it meets the requirements of these Regulations.

(8) Except in a case where paragraph (7) applies, a requirement of these Regulations (“the relevant requirement”) is to be treated as having been satisfied by anything done on or after 20th April 2016 but before the commencement date where that thing—

(a)was done for the purposes of complying with a requirement of the Directive; and

(b)if it had been done on or after the commencement date it would have met the relevant requirement.

(9) Regulation 77 (offences by economic operators etc.) does not apply to the putting into use of—

(a)an instrument to which paragraph (2) applies; or

(b)an instrument of a kind which is listed in Schedule 2 (measuring instruments which may continue to be put into use.

[F4Transitional provisions relating to UK withdrawal from the EUE+W+S

2A.(1) In this regulation—

pre-exit period” means the period beginning with the commencement date and ending immediately before IP completion day;

(2) Subject to paragraph (3), where a regulated measuring instrument was made available on the market during the pre-exit period, despite the amendments made by Schedule 27 of the Product Safety and Metrology (Amendment etc.) (EU Exit) Regulations 2019, any obligation to which a person was subject under these Regulations as they had effect immediately before IP completion day, continues to have effect as it did immediately before IP completion day, in relation to that regulated measuring instrument.

(3) Paragraph (2) does not apply to—

(a)any obligation of any competent authority to inform the European Commission or Member States of any matter; or

(b)any obligation to take action outside of the United Kingdom in respect of that regulated measuring instrument.

F5(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

[F6(5) Where paragraph (6) applies to a regulated measuring instrument, regulations 72 and 73 have effect in relation to that instrument, subject to the modifications set out in paragraph (7).

(6) This paragraph applies to a regulated measuring instrument that has been placed on the market—

(a)during the pre-exit period; or

(b)pursuant to Article 41 of the EU withdrawal agreement.

(7) The modifications referred to in paragraph (5) are that—

(a)the reference in regulation 72(2)(a) to “UK marking” is to be read as a reference to the CE marking within the meaning of Article 4(22) of the Directive;

(b)the reference in regulation 72(2)(b) to “M marking” is to be read as a reference to the supplementary metrology marking as described in Article 21(2) of the Directive.

(c)the reference in regulation 72(2)(c) to “approved body” is to be read as a reference to the body that undertook the conformity assessment procedure in accordance with Article [F717] of the Directive;

(d)the references in regulations 72(3)(b) and 73(3)(b) to “type examination certificate” are to be read as references to an “EU-type examination certificate” issued under the conformity assessment procedure set out under the heading “MODULE B: EU-TYPE EXAMINATION” in Annex II to the Directive; and

(e)the references in regulations 72(3)(b) and 73(3)(b) to “design examination certificate” are to be read as references to an EU-design examination certificate issued in accordance with the conformity assessment procedure set out under the heading “MODULE H1: CONFORMITY BASED ON FULL QUALITY ASSURANCE PLUS DESIGN EXAMINATION” in Annex II to the Directive.]

F8(8) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

F9(9) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .]

Amendments to the Consumer Rights Act 2015U.K.

3.—(1) Schedule 5 to the Consumer Rights Act 2015 is amended as follows.

(2) After paragraph 3(1)(g), add—

(ga)the Department for Infrastructure in Northern Ireland;

(gb)the Utility Regulator in Northern Ireland.

(3) Omit the following entries from the list in paragraph 10—

(a)“regulation 17 of the Measuring Instruments (Automatic Discontinuous Totalisers) Regulations 2006 (SI 2006/1255);”;

(b)“regulation 18 of the Measuring Instruments (Automatic Rail-weighbridges) Regulations 2006 (SI 2006/1256);”;

(c)“regulation 20 of the Measuring Instruments (Automatic Catchweighers) Regulations 2006 (SI 2006/1257);”;

(d)“regulation 18 of the Measuring Instruments (Automatic Gravimetric Filling Instruments) Regulations 2006 (SI 2006/1258);”;

(e)“regulation 18 of the Measuring Instruments (Beltweighers) Regulations 2006 (SI 2006/1259);”;

(f)“regulation 16 of the Measuring Instruments (Capacity Serving Measures) Regulations 2006 (SI 2006/1264);”

(g)“regulation 17 of the Measuring Instruments (Liquid Fuel and Lubricants) Regulations 2006 (SI 2006/1266);”;

(h)“regulation 16 of the Measuring Instruments (Material Measures of Length) Regulations 2006 (SI 2006/1267);”;

(i)“regulation 17 of the Measuring Instruments (Cold-water Meters) Regulations 2006 (SI 2006/1268);”; and

(j)“regulation 18 of the Measuring Instruments (Liquid Fuel delivered from Road Tankers) Regulations 2006 (SI 2006/1269);”.

F10(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Modifications to the application of the Gas Act 1986E+W+S

4.—(1) Section 17 of the Gas Act 1986 M60 (meter testing and stamping) has effect in its application to a meter which is a regulated measuring instrument under regulation 3(2)(b) subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to commencement date, the Measuring Instruments (Gas Meters) Regulations 2006 M61), it is to be deemed for the purposes of section 17(1) and (11) to have been stamped.

(3) Subsections (2)(b) and (3) to (5) must be disregarded.

(4) Sub-paragraphs (2) and (3) do not apply if the error of measurement of the meter exceeds—

(a)in relation to a Class 1.5 gas meter within the meaning of [F11Schedule 1D to the Measuring Instruments Regulations 2016], twice the maximum permissible error as set out in relation to that class, in Table 1 in paragraph 2.1 of Annex IV to the Directive;

(b)in relation to a Class 1.0 gas meter within the meaning of [F12Schedule 1D to the Measuring Instruments Regulations 2016], the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of [F13Schedule 1D to the Measuring Instruments Regulations 2016];

(5) The Gas (Meters) Regulations 1983 M62 do not apply to a meter which is a regulated measuring instrument except for regulation 4 and (so far as is necessary for the interpretation of that regulation) regulation 2.

(6) In regulation 4 of those Regulations—

(a)references, however expressed, to a meter stamped under section 30 of the Gas Act 1972 M63 (which provision is re-enacted in section 17 of the Gas Act 1986) shall be construed as references to a meter bearing the CE marking and M marking;

(b)references to a stamp shall be construed as including references to those markings; and

(c)references to the standard or standards prescribed by regulation 3 of those Regulations shall be construed as—

(i)in relation to a class 1.5 gas meter within the meaning of [F14Schedule 1D to the Measuring Instruments Regulations 2016], twice the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of [F15Schedule 1D to the Measuring Instruments Regulations 2016];

(ii)in relation to a Class 1.0 gas meter within the meaning of [F16Schedule 1D to the Measuring Instruments Regulations 2016], the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of [F17Schedule 1D to the Measuring Instruments Regulations 2016].

Extent Information

E6This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

Marginal Citations

M601986 c.44. Section 17 was substituted by paragraph 13 of Schedule 3 to the Gas Act 1995 (c.45).

Modifications to the application of the Gas Act 1986N.I.

4.—(1) Section 17 of the Gas Act 1986 F87 (meter testing and stamping) has effect in its application to a meter which is a regulated measuring instrument under regulation 3(2)(b) subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to commencement date, the Measuring Instruments (Gas Meters) Regulations 2006 F88), it is to be deemed for the purposes of section 17(1) and (11) to have been stamped.

(3) Subsections (2)(b) and (3) to (5) must be disregarded.

(4) Sub-paragraphs (2) and (3) do not apply if the error of measurement of the meter exceeds—

(a)in relation to a Class 1.5 gas meter within the meaning of Annex IV to the Directive, twice the maximum permissible error as set out in relation to that class, in Table 1 in paragraph 2.1 of Annex IV to the Directive;

(b)in relation to a Class 1.0 gas meter within the meaning of Annex IV to the Directive, the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of Annex IV;

(5) The Gas (Meters) Regulations 1983 F89 do not apply to a meter which is a regulated measuring instrument except for regulation 4 and (so far as is necessary for the interpretation of that regulation) regulation 2.

(6) In regulation 4 of those Regulations—

(a)references, however expressed, to a meter stamped under section 30 of the Gas Act 1972 F90 (which provision is re-enacted in section 17 of the Gas Act 1986) shall be construed as references to a meter bearing the CE marking and M marking;

(b)references to a stamp shall be construed as including references to those markings; and

(c)references to the standard or standards prescribed by regulation 3 of those Regulations shall be construed as—

(i)in relation to a class 1.5 gas meter within the meaning of Annex IV to the Directive, twice the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of Annex IV;

(ii)in relation to a Class 1.0 gas meter within the meaning of Annex IV to the Directive, the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of Annex IV.

Extent Information

E26This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F871986 c.44. Section 17 was substituted by paragraph 13 of Schedule 3 to the Gas Act 1995 (c.45).

Modifications to the application of the Gas (Northern Ireland) Order 1996E+W+S

5.—(1) Article 22 of the Gas (Northern Ireland) Order 1996 M64 (meter testing and stamping) has effect in its application to a meter which is a regulated measuring instrument subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or prior to the commencement date, the Measuring Instruments (Gas Meters) Regulations 2006), it shall for the purposes of article 22(1) and (10), be deemed to have been stamped.

(3) Article 22(2) (insofar as it relates to the duty of a meter examiner to stamp, or authorise the stamping, of a meter) and (3) to (5) must be disregarded.

(4) Paragraphs (2) and (3) do not apply if the error of measurement of the meter exceeds—

(a)in relation to a Class 1.5 gas meter within the meaning of [F18Schedule 1D to the Measuring Instruments Regulations 2016], twice the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of [F19Schedule 1D to the Measuring Instruments Regulations 2016];

(b)in relation to a Class 1.0 relevant instrument within the meaning of [F20Schedule 1D to the Measuring Instruments Regulations 2016], the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of [F21Schedule 1D to the Measuring Instruments Regulations 2016].

Modifications to the application of the Gas (Northern Ireland) Order 1996N.I.

5.—(1) Article 22 of the Gas (Northern Ireland) Order 1996 F91 (meter testing and stamping) has effect in its application to a meter which is a regulated measuring instrument subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or prior to the commencement date, the Measuring Instruments (Gas Meters) Regulations 2006), it shall for the purposes of article 22(1) and (10), be deemed to have been stamped.

(3) Article 22(2) (insofar as it relates to the duty of a meter examiner to stamp, or authorise the stamping, of a meter) and (3) to (5) must be disregarded.

(4) Paragraphs (2) and (3) do not apply if the error of measurement of the meter exceeds—

(a)in relation to a Class 1.5 gas meter within the meaning of Annex IV to the Directive, twice the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of Annex IV;

(b)in relation to a Class 1.0 relevant instrument within the meaning of Annex IV to the Directive, the maximum permissible error as set out, in relation to that class, in Table 1 in paragraph 2.1 of Annex IV.

Extent Information

E27This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F91S.I. 1996 No. 275 (N.I. 2).

Modifications to the application of the Electricity Act 1989E+W+S

6.—(1) Schedule 7 to the Electricity Act 1989 M65 (use etc. of electricity meters) has effect in its application to a meter which is a regulated measuring instrument under regulation 3(2)(c) subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to the commencement date was put into use within the meaning of and in accordance with the Measuring Instruments (Active Electrical Energy Meters) Regulations 2006 M66), it shall, for the purpose of paragraphs 2(1)(a), 3(1)(a) and 9(3) of the Schedule, be deemed to be of an approved pattern or construction and installed in an approved manner; and the following rules apply—

(a)for the purposes of paragraphs 2(1)(b) and 3(1)(b) of the Schedule, the meter shall be deemed to be certified under paragraph 5;

(b)for the purpose of the application of paragraphs 7(1)(c) and (2) and 9(3) and (4) of the Schedule, “prescribed margins of error” shall mean the maximum permissible error as set out in paragraph 3 of [F22Schedule 1E of the Measuring Instruments Regulations 2016].

(3) Paragraphs 5(2)(a) and 7(1)(b) of Schedule 7 must be disregarded.

(4) Sub-paragraph (2)(a) above does not apply if the error of measurement of the meter exceeds the maximum permissible error as set out in paragraph 3 of [F22Schedule 1E of the Measuring Instruments Regulations 2016].

(5) If a meter which is a regulated measuring instrument is put into use within the meaning of and in accordance with these Regulations—

(a)regulation 10 of the Meters (Certification) Regulations 1998 M67; and

(b)regulation 3 of the Meters (Approval of Pattern or Construction and Manner of Installation) Regulations 1998 M68,

do not apply to the meter.

Modifications to the application of the Electricity Act 1989N.I.

6.—(1) Schedule 7 to the Electricity Act 1989 F92 (use etc. of electricity meters) has effect in its application to a meter which is a regulated measuring instrument under regulation 3(2)(c) subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to the commencement date was put into use within the meaning of and in accordance with the Measuring Instruments (Active Electrical Energy Meters) Regulations 2006 F93), it shall, for the purpose of paragraphs 2(1)(a), 3(1)(a) and 9(3) of the Schedule, be deemed to be of an approved pattern or construction and installed in an approved manner; and the following rules apply—

(a)for the purposes of paragraphs 2(1)(b) and 3(1)(b) of the Schedule, the meter shall be deemed to be certified under paragraph 5;

(b)for the purpose of the application of paragraphs 7(1)(c) and (2) and 9(3) and (4) of the Schedule, “prescribed margins of error” shall mean the maximum permissible error as set out in paragraph 3 of Annex V to the Directive.

(3) Paragraphs 5(2)(a) and 7(1)(b) of Schedule 7 must be disregarded.

(4) Sub-paragraph (2)(a) above does not apply if the error of measurement of the meter exceeds the maximum permissible error as set out in paragraph 3 of Annex V to the Directive.

(5) If a meter which is a regulated measuring instrument is put into use within the meaning of and in accordance with these Regulations—

(a)regulation 10 of the Meters (Certification) Regulations 1998 F94; and

(b)regulation 3 of the Meters (Approval of Pattern or Construction and Manner of Installation) Regulations 1998 F95,

do not apply to the meter.

Modifications to the application of the Electricity (Northern Ireland) Order 1992E+W+S

7.—(1) Schedule 7 to the Electricity (Northern Ireland) Order 1992 M69 (use etc. of electricity meters) has effect in its application to a meter which is a regulated measuring instrument subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to the commencement date was put into use under the Measuring Instruments (Active Electrical Energy Meters) Regulations 2006), it shall, for the purpose of paragraphs 3(1)(a), 4(1)(a) and 10(3) of the Schedule, be deemed to be of an approved pattern or construction and installed in an approved manner; and the following rules shall apply—

(a)for the purposes of paragraphs 3(1)(b) and 4(1)(b), the meter shall be deemed to be certified under paragraph 6; and

(b)for the purpose of the application of paragraphs 8(1)(c) and (2) and 10(3) and (4), “prescribed margins of error” shall mean the maximum permissible error as set out in paragraph 3 of [F23Schedule 1E of the Measuring Instruments Regulations 2016].

(3) Paragraphs 6(2)(a) and 8(1)(b) of Schedule 7 must be disregarded.

(4) Paragraph (2)(a) above does not apply if the error of measurement of the meter exceeds the maximum permissible error as set out in paragraph 3 of [F23Schedule 1E of the Measuring Instruments Regulations 2016].

(5) If a meter which is a regulated measuring instrument is put into use within the meaning of and in accordance with these Regulations—

(a)regulation 10 of the Meters (Certification) Regulations (Northern Ireland) 1998 M70; and

(b)regulation 3 of the Meters (Approval of Pattern or Construction and Manner of Installation) Regulations (Northern Ireland) 1998 M71,

do not apply to the meter.

Extent Information

E8This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

Marginal Citations

M69S.I 1992 No 231(N.I. 1).

M70S.R.N.I. 1998 No. 444.

M71S.R.N.I. 1998 No. 443.

Modifications to the application of the Electricity (Northern Ireland) Order 1992N.I.

7.—(1) Schedule 7 to the Electricity (Northern Ireland) Order 1992 F96 (use etc. of electricity meters) has effect in its application to a meter which is a regulated measuring instrument subject to paragraphs (2) to (4) below.

(2) If the meter is put into use within the meaning of and in accordance with these Regulations (or, prior to the commencement date was put into use under the Measuring Instruments (Active Electrical Energy Meters) Regulations 2006), it shall, for the purpose of paragraphs 3(1)(a), 4(1)(a) and 10(3) of the Schedule, be deemed to be of an approved pattern or construction and installed in an approved manner; and the following rules shall apply—

(a)for the purposes of paragraphs 3(1)(b) and 4(1)(b), the meter shall be deemed to be certified under paragraph 6; and

(b)for the purpose of the application of paragraphs 8(1)(c) and (2) and 10(3) and (4), “prescribed margins of error” shall mean the maximum permissible error as set out in paragraph 3 of Annex V to the Directive.

(3) Paragraphs 6(2)(a) and 8(1)(b) of Schedule 7 must be disregarded.

(4) Paragraph (2)(a) above does not apply if the error of measurement of the meter exceeds the maximum permissible error as set out in paragraph 3 of Annex V to the Directive.

(5) If a meter which is a regulated measuring instrument is put into use within the meaning of and in accordance with these Regulations—

(a)regulation 10 of the Meters (Certification) Regulations (Northern Ireland) 1998 F97; and

(b)regulation 3 of the Meters (Approval of Pattern or Construction and Manner of Installation) Regulations (Northern Ireland) 1998 F98,

do not apply to the meter.

Extent Information

E28This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

F96S.I 1992 No 231(N.I. 1).

F97S.R.N.I. 1998 No. 444.

F98S.R.N.I. 1998 No. 443.

Regulation 39(2)

SCHEDULE 4U.K.OPERATIONAL OBLIGATIONS OF [F24NOTIFIED] [F24APPROVED] BODIES

1.  Conformity assessment must be carried out in a proportionate manner, avoiding unnecessary burdens for economic operators.U.K.

2.  Conformity assessment bodies must perform their activities taking due account of—U.K.

(a)the size of an undertaking;

(b)the sector in which it operates,

(c)its structure;

(d)the degree of complexity of the of the measuring instrument technology in question; and

(e)the mass or serial nature of the production process,

but respecting the degree of rigour and the level of protection required for compliance of the measuring instrument with these Regulations.

3.  Where [F25an approved] body finds that the essential requirements have not been met by a manufacturer—E+W+S

(a)it must require that manufacturer to take appropriate corrective measures; and

(b)it must not issue a certificate of conformity.

Extent Information

E9This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

3.  Where a notified body finds that the essential requirements have not been met by a manufacturer—N.I.

(a)it must require that manufacturer to take appropriate corrective measures; and

(b)it must not issue a certificate of conformity.

Extent Information

E29This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

4.  Where in the course of the monitoring of conformity following the issue of a certificate, [F26an approved] body finds that a measuring instrument no longer complies, it must require the manufacturer to take appropriate corrective measures and must suspend or withdraw the certificate if necessary.E+W+S

Extent Information

E10This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

4.  Where in the course of the monitoring of conformity following the issue of a certificate, a notified body finds that a measuring instrument no longer complies, it must require the manufacturer to take appropriate corrective measures and must suspend or withdraw the certificate if necessary.N.I.

Extent Information

E30This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

5.  Where corrective measures are not taken or do not have the required effect, the [F27approved] body must restrict, suspend or withdraw any certificates, as appropriate.E+W+S

Extent Information

E11This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

5.  Where corrective measures are not taken or do not have the required effect, the notified body must restrict, suspend or withdraw any certificates, as appropriate.N.I.

Extent Information

E31This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

6.  Where a person is aggrieved at a decision taken by [F28an approved] body in relation to the conformity assessment of a measuring instrument, the [F27approved] body must have appropriate arrangements for the review of that decision by a person who was not involved in the taking of that decision.E+W+S

Extent Information

E12This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

6.  Where a person is aggrieved at a decision taken by a notified body in relation to the conformity assessment of a measuring instrument, the notified body must have appropriate arrangements for the review of that decision by a person who was not involved in the taking of that decision.N.I.

Extent Information

E32This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

7.  [F27Approved] bodies must inform the [F29Secretary of State] of the following—E+W+S

(a)any refusal, restriction, suspension or withdrawal of a certificate;

(b)any circumstances affecting the scope of or conditions for [F30approval];

(c)any request for information which they have received from market surveillance authorities regarding conformity assessment; and

(d)on request, conformity assessment activities performed within the scope of their [F31approval] and any other activity performed, including cross-border activities and subcontracting.

7.  Notified bodies must inform the notifying authority of the following—N.I.

(a)any refusal, restriction, suspension or withdrawal of a certificate;

(b)any circumstances affecting the scope of or conditions for notification;

(c)any request for information which they have received from market surveillance authorities regarding conformity assessment; and

(d)on request, conformity assessment activities performed within the scope of their notification and any other activity performed, including cross-border activities and subcontracting.

Extent Information

E33This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

8.  [F27Approved] bodies must provide other bodies [F32approved] [F27approved] under [F33these Regulations] carrying out similar conformity assessment activities covering the same measuring instruments with relevant information on issues relating to negative and, on request positive conformity assessment results.E+W+S

Extent Information

E14This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

8.  Notified bodies must provide other bodies notified under this Directive carrying out similar conformity assessment activities covering the same measuring instruments with relevant information on issues relating to negative and, on request positive conformity assessment results.N.I.

Extent Information

E34This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

9.  [F27Approved] bodies must—E+W+S

(a)when requested by the Secretary of State, nominate a representative to attend a group F34...; and

(b)ensure attendance of that representative at meetings of the group.

9.  Notified bodies must—N.I.

(a)when requested by the Secretary of State, nominate a representative to attend a group convened by the Commission pursuant to Article 40 of the Directive; and

(b)ensure attendance of that representative at meetings of the group.

Extent Information

E35This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Regulation 55(4)

SCHEDULE 5U.K.REQUIREMENTS RELATED TO [F35NOTIFIED] [F35APPROVED] BODIES

[F361.(1) A conformity assessment body must have legal personality and must be established in—E+W+S

(a)the United Kingdom; or

(b)the territory of a party to the CPTPP.

(2) In sub-paragraph (1) “the CPTPP” has the meaning set out in section 1 of the Trade (Comprehensive and Progressive Agreement for Trans-Pacific Partnership) Act 2024.]

Extent Information

E15This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

1.  A conformity assessment body must be established under the national law of [F99a relevant] state and have legal personality.N.I.

Extent Information

E36This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

2.  A conformity assessment body must be independent of the organisation or the measuring instrument it assess. A body belonging to a business association or professional federation representing undertakings involved in the design, manufacturing, provision, assembly, use or maintenance of measuring instruments which it assesses, may, on condition that its independence and the absence of any conflict of interest are demonstrated, be considered such a body.U.K.

3.—(1) A conformity assessment body, its top level management and the personnel responsible for carrying out the conformity assessment tasks must not be—E+W+S

(a)the designer, manufacturer, supplier, installer, purchaser, owner, user or maintainer of the measuring instruments they assess; or

(b)the representative of any of the parties referred to in paragraph (a).

(2) Sub-paragraph (1) does not preclude the use of assessed measuring instruments that are necessary for the operations of the conformity assessment body or the use of such instruments for personal purposes.

(3) A conformity assessment body, its top level management and the personnel responsible for carrying out the conformity assessment tasks must not—

(a)be directly involved in the design, manufacture or construction, the marketing, installation, use or maintenance of the measuring instruments they assess;

(b)represent the parties engaged in the activities referred to in paragraph (a); or

(c)engage in any activity that may conflict with their independence of judgement or integrity in relation to conformity assessment activities for which they are [F37approved], in particular consultancy services.

(4) Paragraph (3) does not preclude the possibility of exchanges of technical information between the manufacturer and the body for the purposes of conformity assessment.

(5) Conformity assessment bodies must ensure that the activities of their subsidiaries or sub-contractors do not affect the confidentiality, objectivity or impartiality of their conformity assessment activities.

Extent Information

E16This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

3.—(1) A conformity assessment body, its top level management and the personnel responsible for carrying out the conformity assessment tasks must not be—N.I.

(a)the designer, manufacturer, supplier, installer, purchaser, owner, user or maintainer of the measuring instruments they assess; or

(b)the representative of any of the parties referred to in paragraph (a).

(2) Sub-paragraph (1) does not preclude the use of assessed measuring instruments that are necessary for the operations of the conformity assessment body or the use of such instruments for personal purposes.

(3) A conformity assessment body, its top level management and the personnel responsible for carrying out the conformity assessment tasks must not—

(a)be directly involved in the design, manufacture or construction, the marketing, installation, use or maintenance of the measuring instruments they assess;

(b)represent the parties engaged in the activities referred to in paragraph (a); or

(c)engage in any activity that may conflict with their independence of judgement or integrity in relation to conformity assessment activities for which they are notified, in particular consultancy services.

(4) Paragraph (3) does not preclude the possibility of exchanges of technical information between the manufacturer and the body for the purposes of conformity assessment.

(5) Conformity assessment bodies must ensure that the activities of their subsidiaries or sub-contractors do not affect the confidentiality, objectivity or impartiality of their conformity assessment activities.

Extent Information

E37This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

4.  Conformity assessment bodies and their personnel must—U.K.

(a)carry out the conformity assessment activities with the highest degree of professional integrity and the requisite technical competence in the specific field; and

(b)be free from all pressures and inducements, particularly financial, which might influence—

(i)their judgement or

(ii)the results of their conformity assessment activities, especially as regards persons or groups of persons with an interest in those activities.

5.—(1) A conformity assessment body must be capable of carrying out all the conformity assessment tasks assigned to it by Schedule [F381B] and in relation to which it has been [F37approved], whether those tasks are carried out by—E+W+S

(a)the conformity assessment body itself; or

(b)on its behalf and under its responsibility.

(2) At all times and for each conformity assessment procedure and each kind or category of measuring instruments in relation to which it has been [F37approved], a conformity assessment body must have at its disposal the necessary—

(a)personnel with technical knowledge and sufficient and appropriate experience to perform the conformity assessment tasks;

(b)descriptions of procedure in accordance with which conformity assessment is carried out, ensuring, the transparency and the ability of reproduction of those procedures;

(c)appropriate policies and procedures in place that distinguish between tasks it carries out as [F39an approved] body and other activities; and

(d)procedure for the performance of activities which take due account of the size of and undertaking, the sector in which it operates, its structure, the degree of complexity of the measuring instrument technology in question and the mass or serial nature of the production process.

(3) A conformity assessment body must have—

(a)the means necessary to perform the technical and administrative tasks connected with the conformity assessment activities in an appropriate manner; and

(b)access to all necessary equipment or facilities.

Extent Information

E17This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

5.—(1) A conformity assessment body must be capable of carrying out all the conformity assessment tasks assigned to it by Schedule 1 and in relation to which it has been notified, whether those tasks are carried out by—N.I.

(a)the conformity assessment body itself; or

(b)on its behalf and under its responsibility.

(2) At all times and for each conformity assessment procedure and each kind or category of measuring instruments in relation to which it has been notified, a conformity assessment body must have at its disposal the necessary—

(a)personnel with technical knowledge and sufficient and appropriate experience to perform the conformity assessment tasks;

(b)descriptions of procedure in accordance with which conformity assessment is carried out, ensuring, the transparency and the ability of reproduction of those procedures;

(c)appropriate policies and procedures in place that distinguish between tasks it carries out as a notified body and other activities; and

(d)procedure for the performance of activities which take due account of the size of and undertaking, the sector in which it operates, its structure, the degree of complexity of the measuring instrument technology in question and the mass or serial nature of the production process.

(3) A conformity assessment body must have—

(a)the means necessary to perform the technical and administrative tasks connected with the conformity assessment activities in an appropriate manner; and

(b)access to all necessary equipment or facilities.

Extent Information

E38This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

6.  The personnel responsible for carrying out conformity assessment tasks must have the following—E+W+S

(a)sound technical and vocational training covering all the conformity assessment activities in relation to which the conformity assessment body has been [F37approved];

(b)satisfactory knowledge of the requirements of the assessments they carry out and adequate authority to carry out those assessments;

(c)appropriate knowledge and understanding of—

(i)the essential requirements;

(ii)the applicable [F40designated] standards and normative documents; and

(iii)the relevant provisions F41... of [F42applicable] legislation; and

(d)the ability to draw up certificates, records and reports demonstrating that assessments have been carried out.

6.  The personnel responsible for carrying out conformity assessment tasks must have the following—N.I.

(a)sound technical and vocational training covering all the conformity assessment activities in relation to which the conformity assessment body has been notified;

(b)satisfactory knowledge of the requirements of the assessments they carry out and adequate authority to carry out those assessments;

(c)appropriate knowledge and understanding of—

(i)the essential requirements;

(ii)the applicable harmonised standards and normative documents; and

(iii)the relevant provisions of [F100any NI Protocol obligation] and of national legislation; and

(d)the ability to draw up certificates, records and reports demonstrating that assessments have been carried out.

Extent Information

E39This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

7.—(1) The impartiality of the conformity assessment bodies, their top level management and of the personnel responsible for carrying out the conformity assessment tasks must be guaranteed.U.K.

(2) The remuneration of the top level management and personnel responsible for carrying out the conformity assessment tasks of a conformity assessment body must not depend on the number of assessments carried out or the results of those assessments.

8.—(1) Conformity assessment bodies must take out liability insurance.U.K.

(2) Sub-paragraph (1) does not apply to the Secretary of State or a body where liability for conformity assessment activities is assumed by the Crown.

9.—(1) The personnel of a conformity assessment body must observe professional secrecy with regard to all information obtained in the carrying out their tasks under these Regulations F43....E+W+S

(2) Proprietary rights must be protected.

Extent Information

E19This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

9.—(1) The personnel of a conformity assessment body must observe professional secrecy with regard to all information obtained in the carrying out their tasks under these Regulations except in relation to competent authorities of the [F101relevant] states in which its activities are carried out.N.I.

(2) Proprietary rights must be protected.

Extent Information

E40This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

10.  Conformity assessment bodies must participate in, or ensure that their personnel responsible for carrying out the conformity assessment tasks are informed of, the relevant standardisation activities and the activities of the [F37approved] body co-ordination group established [F44by the Secretary of State] and must apply as general guidance, the administrative decisions and documents produced as a result of the work of that group.E+W+S

Extent Information

E20This version of this provision extends to England and Wales and Scotland only; a separate version has been created for Northern Ireland only

Textual Amendments

10.  Conformity assessment bodies must participate in, or ensure that their personnel responsible for carrying out the conformity assessment tasks are informed of, the relevant standardisation activities and the activities of the notified body co-ordination group established under the relevant Union harmonisation legislation [F102as it applies in Northern Ireland under a NI Protocol obligation] and must apply as general guidance, the administrative decisions and documents produced as a result of the work of that group.N.I.

Extent Information

E41This version of this provision extends to Northern Ireland only; a separate version has been created for England and Wales and Scotland only

Textual Amendments

Regulation 61

SCHEDULE 6U.K.IN SERVICE REQUIREMENTS FOR CERTAIN REGULATED MEASURING INSTRUMENTS IN GREAT BRITAIN

PART 1U.K.INTRODUCTORY

1.—(1) This Schedule applies to the use for trade of regulated measuring instruments as follows—U.K.

(a)Part 2 applies to water meters used for trade for the supply of potable water in the temperature range from 0.1°C to and including 30°C;

(b)Part 3 applies to measuring systems which are used for the continuous and dynamic measurement in a quantity not exceeding 100 litres or 100 kilograms of a liquid fuel, lubricant or a mixture of fuel and lubricant other than—

(i)liquefied petroleum gas; or

(ii)liquefied natural gas;

(c)Part 4 applies to measuring systems (other than one used in connection with the refuelling of aircraft, ships or hovercraft) which are used for the continuous and dynamic measurement in a quantity exceeding 100 litres or 100 kilograms of liquid fuels delivered from a road tanker other than—

(i)liquefied gases;

(ii)lubricating oils;

(iii)liquid fuels of a temperature below -153°C; or

(iv)liquid fuels of a dynamic viscosity exceeding 100 millipascal seconds at 15°C;

(d)Part 5 applies to automatic catchweighers;

(e)Part 6 applies to automatic gravimetric filling instruments;

(f)Part 7 applies to automatic discontinuous totalisers;

(g)Part 8 applies to automatic rail weighbridges;

(h)Part 9 applies to beltweighers;

(i)Part 10 applies to material measures of length; and

(j)Part 11 applies to capacity serving measures.

(2) In this Schedule, “minimum measured quantity” means, in relation to a measuring system, the smallest quantity of liquid fuel for which the measurement is metrologically acceptable for the measuring system.

PART 2U.K.COLD WATER METERS

Requirements for use for tradeU.K.

2.  No person may use for trade a water meter for the supply of potable water to domestic premises in the temperature range from 0.1°C to and including 30°C (“a cold water meter”) unless—

(a)it is compliant with the essential requirements applicable to cold water meters (other than the provisions relating to maximum permissible errors);

(b)it operates within the maximum permissible errors set out in paragraph 3; and

(c)the requirements of paragraph 4 are complied with.

Maximum permissible errorU.K.

3.—(1) Where a cold-water meter is used for trade within a flowrate range set out in column 1 of the following Table, it must operate within the maximum permissible error specified for that flowrate range set out in column 2 of that Table.

Column 1Column 2
Flowrate rangeMaximum permissible error as a percentage of quantity delivered
Q1 to ˂ Q2± 6%
Q2 to and including Q4± 2.5%

(2) For the purposes of that Table—

(a)“Q1” is the lowest flowrate at which the cold-water meter provides indications that satisfy the requirements concerning the maximum permissible errors;

(b)“Q2” is the flowrate value occurring between the permanent and minimum flowrates, at which the flowrate range is divided into two zones, the upper zone and the lower zone, each zone having a characteristic maximum permissible error;

(c)“Q3” is the permanent flowrate; and

(d)“Q4” is the highest flowrate at which the cold-water meter operates in a satisfactory manner.

4.—(1) Where a cold water meter is marked with—U.K.

(a)a temperature range, it must not be used for trade in temperatures outside that range; or

(b)a flowrate range, it must not be used at a flowrate outside that range.

(2) Where a cold-water meter bears a mark which signifies the manner and purposes of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) A cold water meter must not be used for trade in circumstances—

(a)in which it may be prevented from operating consistently or accurately; or

(b)which are likely prematurely to degrade its metrological characteristics.

(4) A cold-water meter must not be used for trade unless, when adjusted, the calibration of the instrument is set as close to zero as practicable.

PART 3U.K.LIQUID FUEL AND LUBRICANTS

Requirements for use for tradeU.K.

5.  In this Part of this Schedule, “measuring system” means a measuring system which is used for the continuous and dynamic measurement in a quantity not exceeding 100 litres or 100 kilograms of a liquid fuel, lubricant or a mixture of fuel and lubricant other than—

(a)liquefied petroleum gas; or

(b)liquefied natural gas.

6.  No person may use for trade a measuring system unless—U.K.

(a)it is compliant with the essential requirements other than the provisions relating to maximum permissible errors;

(b)it is so positioned as to facilitate testing;

(c)it operates within the maximum permissible errors in paragraph 7; and

(d)the requirements of paragraph 8 are complied with.

Maximum permissible errorU.K.

7.—(1) In the case of a measuring system used to measure a quantity of liquid fuel—

(a)above the minimum measured quantity of the measuring system, the maximum permissible error shall be determined in accordance with the following Table.

Accuracy class of measuring system
0.30.51.01.52.5
Column 1Column 2Column 3Column 4Column 5Column 6
QuantityMPEMPEMPEMPEMPE
Less than 0.1L

+ 4.8mL

-2.4mL

+8mL

-4mL

+16mL

-8mL

+24mL

-12mL

+40mL

-20mL

From 0.1L to ˂ 0.2L

+ 4.8%

-2.4%

+ 8%

-4%

+16%

-8%

+ 24%

-12%

+ 40%

-20%

From 0.2L to ˂ 0.4L

+ 4.8mL

-2.4mL

+ 8mL

-4mL

+ 16mL

-8mL

+ 24mL

-12mL

+ 40mL

-20mL

From 0.4L to ˂ 1L

+ 1.2%

-0.6%

+ 2%

-1%

+ 4%

-2%

+ 6%

-3%

+ 10%

-5%

From 1L to ˂ 2L

+12mL

-6mL

+20mL

-10mL

+40mL

-20mL

+60mL

-30mL

+100mL

-50mL

2L or more

+0.6%

-0.3%

+1%

-0.5%

+2%

-1%

+3%

-1.5%

+5%

-2.5%

(b)equal to the minimum measured quantity of the measuring system, the maximum permissible error shall be determined in accordance with the following Table.

Accuracy class of measuring system
0.30.51.01.52.5
Column 1Column 2Column 3Column 4Column 5Column 6
QuantityMPEMPEMPEMPEMPE
Less than 0.1L

+4.8mL

-2.4mL

+8mL

-4mL

+16mL

-8mL

+24mL

-12mL

+40mL

-20mL

From 0.1L to ˂ 0.2L

+ 4.8%

-2.4%

+8%

-4%

+ 16%

-8%

+24%

-12%

+40%

-20%

From 0.2L to ˂ 0.4L

+ 9.6mL

-4.8mL

+ 16mL

-8mL

+ 32mL

-16mL

+ 48mL

-24mL

+ 80mL

-40mL

From 0.4L to ˂ 1L

+ 2.4%

-1.2%

+ 4%

-2%

+8%

-4%

+ 12%

-6%

+ 20%

-10%

From 1L to ˂ 2L

+24mL

-12mL

+40mL

-20mL

+80mL

-40mL

+120mL

-60mL

+200mL

-100mL

2L or more

+1.2%

-0.6%

+2%

-1%

+4%

-2%

+6%

-3%

+10%

-5%

(2) But the maximum permissible error for a quantity above the minimum measured quantity of the measuring system shall not be less than the maximum permissible error for a quantity equal to the minimum measured quantity.

(3) Where the measuring system falls within an accuracy class of 0.3, 0.5, 1.0, 1.5 or 2.5, it shall, for a quantity set out in column 1 of the relevant Table, operate within the maximum permissible error set out in column 2, 3, 4, 5 or 6 of that Table for that class and that quantity.

Manner of useU.K.

8.—(1) Where a measuring system is marked with—

(a)a temperature range, it must not be used for trade in temperatures outside that range; and

(b)a flowrate range, it must not be used for trade at a flowrate outside that range.

(2) A measuring system must not be used for trade unless it is marked in a manner which is sufficiently clear to enable the buyer to identify the product which that measuring system delivers but this paragraph does not apply where the measuring system is used in the absence of the buyer.

(3) A measuring system must not be used for trade in circumstances which are likely prematurely to degrade its metrological characteristics.

(4) A measuring system must not be used for trade unless the sales indicator—

(a)is set to zero before measurement of the liquid fuel commences;

(b)remains at zero until that fuel starts to emerge from the system;

(c)is not reset to zero during measurement of that fuel; and

(d)cannot be advanced by any means other than by the discharge of that fuel from the system and the proper operation of the system.

(5) If a measuring system is adjusted, it must not be used for trade unless the calibration of the system is set as close to zero error as is practicable.

(6) Where a measuring system used for trade bears a mark (other than a mark referred to in paragraph (1)) which signifies the manner and purpose of use, that system must not be used in a manner or for a purpose which does not accord with that marking.

(7) A measuring system must not be used in circumstances in which it may be prevented from operating consistently or accurately.

(8) Nothing in paragraphs (6) or (7) shall prevent the use for trade of a measuring system where a buyer chooses to take a delivery which is less than the minimum measured quantity.

PART 4U.K.LIQUID FUEL DELIVERED FROM ROAD TANKERS

Requirements for use for tradeU.K.

9.  In this Part of this Schedule, “measuring system” means a measuring system (other than one used in connection with the refuelling of aircraft, ships or hovercraft) which is used for the continuous and dynamic measurement in a quantity exceeding 100 litres or 100 kilograms of liquid fuel delivered from a road tanker other than—

(a)liquefied gases;

(b)lubricating oils;

(c)liquid fuels of a temperature below -153°C; or

(d)liquid fuels of a dynamic viscosity exceeding 100 millipascal seconds at 15°C.

10.  No person shall use for trade a measuring system unless—U.K.

(a)it is compliant with the essential requirements other than the provisions relating to maximum permissible errors;

(b)it is erected an installed so as to facilitate testing;

(c)it operates within the maximum permissible errors in paragraph 11; and

(d)the requirements of paragraphs 12 and 13 are complied with.

Maximum permissible errorU.K.

11.—(1) A measuring system which falls within an accuracy class of 0.3, 0.5 or 1.0 must, when used to measure a quantity set out in column 1 of the following Table, operate within the maximum permissible error as set out in column 2, 3 or 4 of that Table for that class and that quantity.

Accuracy class
0.30.51.0
Column 1Column 2Column 3Column 4
Quantity deliveredMaximum permissible errorMaximum permissible errorMaximum permissible error
MMQ to and including MMQ x 2± 0.6% x MMQ± 1% x MMQ±2% x MMQ
˃MMQ x 2± 0.3% x quantity delivered± 0.5% x quantity delivered± 1.0% x quantity delivered

(2) In the Table, “MMQ” means minimum measured quantity.

Manner of useU.K.

12.—(1) Where a measuring system is marked with—

(a)a temperature range, it must not be used for trade in temperatures outside that range; or

(b)a flowrate range, it must not be used for trade at a flowrate outside that range.

(2) A measuring system which bears a mark which signifies the manner and purpose of use must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) If a measuring system is adjusted, it must not be used for trade unless the calibration of the system is set as close to zero error as is practicable.

(4) A measuring system must not be used for trade unless it is fitted with a ticket printing mechanism which provides an individual printed ticket.

(5) A measuring system must not be used for trade in circumstances which are likely prematurely to degrade its metrological characteristics.

(6) A measuring system must not be used for trade unless the sales indicator—

(a)is set to zero before measurement of the liquid fuel commences;

(b)remains at zero until that fuel starts to emerge from the instrument;

(c)is not reset to zero during measurement of that fuel; and

(d)cannot be advanced by any means other than by the discharge of that fuel from the instrument and the proper operation of instrument.

(7) A measuring system must not be used in circumstances—

(a)which are likely prematurely to degrade its metrological characteristics; or

(b)in which it may be prevented from operating consistently or accurately.

Minimum measured quantityU.K.

13.—(1) A measuring system must not be used to measure quantities of liquid fuel delivered from a road tanker that are less than the minimum measured quantity but this paragraph does not apply where—

(a)a measurement is made to determine payments in respect of any customs or excise duty; or

(b)a frustrated delivery has taken place and all reasonable precautions have been taken and all due diligence has been exercised to avoid a frustrated delivery.

(2) In sub-paragraph (1)(b), “frustrated delivery” means a delivery of liquid fuel from a road tanker which cannot be completed because—

(a)there is insufficient space in the buyer's storage tank;

(b)continuing the delivery would result in contamination of the liquid fuel or the mixing of different types of liquid fuel; or

(c)a component of the meter measuring system breaks down.

PART 5U.K.AUTOMATIC CATCHWEIGHERS

Interpretation of PartE+W+S

14.  In this Part references to an automatic catchweigher are to accuracy classes Y(I), Y(II), Y(a) and Y(b) as defined in [F45Schedule 1G].

Requirements for use for trade of automatic catchweighersU.K.

15.—(1) No person shall use for trade an automatic catchweigher unless—

(a)it is compliant with the essential requirements other than the provisions relating to maximum permissible errors;

(b)in the case of an automatic catchweigher of accuracy class Y(I), Y(II), Y(a) or Y(b) it operates within the maximum permissible errors in paragraph 16;

(c)the requirements of paragraphs 17 to 20 are complied with; and

(d)it has been erected and installed in accordance with the requirements of paragraph 21.

Maximum permissible errorU.K.

16.—(1) The maximum permissible error for an automatic catchweigher in automatic operation is to be determined in accordance with the following table—

Net Load (m) in verification scale intervals (e)Maximum permissible error
Y(I)Y(II)Y(a)Y(b)
0 ˂ m ≤ 50 0000 ˂ m ≤ 5 0000 ˂ m ≤ 5000 ˂ m ≤ 50±2e
50 000 ˂ m ≤ 200 0005 000 ˂ m ≤ 20 000500 ˂ m ≤ 20 200050 ˂ m ≤ 200±3e
200 000 ˂ m20 000 ˂ m≤ 100 0002 000 ˂ m ≤ 10 000200 ˂ m ≤ 20 1 000±4e

(2) The maximum permissible error for an automatic catchweigher in non-automatic operation is to be determined in accordance with the following table—

Net Load (m) in verification scale intervals (e)Maximum permissible error
Y(I)Y(II)Y(a)Y(b)
0 ˂ m ≤ 50 0000 ˂ m ≤ 5 0000 ˂ m ≤ 5000 ˂ m ≤ 50±1e
50 000 ˂ m ≤ 200 0005 000 ˂ m ≤ 20 000500 ˂ m ≤ 20 200050 ˂ m ≤ 200±2e
200 000 ˂ m20 000 ˂ m≤ 100 0002 000 ˂ m ≤ 10 000200 ˂ m ≤ 20 1 000±3e

Manner of useU.K.

17.  An automatic catchweigher marked with a measurement range may be used for trade for determining the difference between two weights where both items fall within the measurement range.

18.  Where an automatic catchweigher is marked with a measurement range, no person may use the catchweigher for trade for determining a weight outside that range in relation—U.K.

(a)to, or to articles made from, gold, silver or other precious metals, including gold or silver thread or fringe;

(b)to precious stones or pearls; or

(c)to drugs or other pharmaceutical products.

19.  No person may use for trade an automatic catchweigher other than catchweigher of accuracy class Y(I) or Y(II) in any transaction—U.K.

(a)in, or in articles made from gold silver or other precious metals, including gold or silver thread or fringe; or

(b)in precious stones or pearls.

20.—(1) Where an automatic catchweigher is marked with a temperature range, it must not be used for trade in temperatures outside that range.U.K.

(2) Where an automatic catchweigher bears a mark which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) An automatic catchweigher of accuracy class Y(b) must only be used for weighing ballast or waste.

(4) An automatic catchweigher must not be used for trade in circumstances—

(a)in which it may be prevented from operating consistently or accurately; or

(b)which are likely prematurely to degrade its metrological characteristics.

(5) For the purposes of paragraph (3), “waste” means any substance that its holder discards, or intends or is required to discard, including any waste disposed of for reprocessing or recycling purposes.

Manner of erection and installationU.K.

21.—(1) Every automatic catchweigher must be positioned so as to facilitate cleaning and testing.

(2) The installation of an automatic catchweigher must be so designed that an automatic weighing operation will be the same for testing as for use for a transaction.

(3) If an automatic catchweigher has any special equipment for its control which is not a permanent fixture of the catchweigher, it must be kept in the vicinity of the catchweigher.

PART 6U.K.AUTOMATIC GRAVIMETRIC FILLING INSTRUMENTS

22.—(1) No person may use for trade an automatic gravimetric filling instrument unless—U.K.

(a)it is compliant with the essential requirements other than the provisions relating to permissible errors;

(b)the instrument operates within the limits of the maximum permissible error determined in accordance with paragraph 23;

(c)the requirements of paragraphs 24 and 25 are complied with;

(d)it has been erected and installed in accordance with the requirements of paragraph 26;

(e)subject to paragraph (f), where test fills are required these limits are determined on the basis of consecutive fills; and

(f)in the case of an instrument of the description and maximum capacity set out respectively, in columns 1 and 2 of the Table set out in this paragraph, it is within the accuracy class specified for that instrument in column 3 or within an accuracy class of a higher level of precision than the specified class.

Accuracy classes for automatic gravimetric filling instruments used for trade

Description of use of filling instrumentMaximum capacity of filling instrumentsAccuracy Class
(1)(2)(3)
For use for weighing potato crisps and other snack foodsAny capacityX(2)
For use for weighing solid fuel110 kg or lessX(1)
For use for weighing vegetable produce55 kg or lessX(1)
For weighing wasteAny capacityX(1)
For use for weighing materials not described in any of the aboveLess than 5 kgX(1)
5 kg or moreX(0.5)

Maximum permissible errorU.K.

23.—(1) A automatic gravimetric filling instrument shall have a specified accuracy class X(x) for which the maximum permissible error value of each fill from the average shall be equal to the limits specified in the following table, multiplied by the class designation factor (x) calculated in accordance with sub-paragraph (2)—

Value of the mass of the fills (m) in gramsMaximum permissible deviation of each fill from the average for class X(1)
In use
m ≤ 509%
50 ˂ m ≤ 1004.5 grams
100 ˂ m ≤ 2004.5%
200 ˂ m ≤ 3009 grams
300 ˂ m ≤ 5003%
500 ˂ m ≤ 100015 grams
1 000 ˂ m ≤ 10 0001.5%
10 000 ˂ m ≤ 15 000150 grams
15 000 ˂ m1%

(2) In sub-paragraph (1), (x) shall be 1 x 10k, 2 x 10k, 5 x 10k, k being a positive or negative whole number or zero.

(3) For in-service testing, when the reference particle mass exceeds 0.1 of the maximum permissible in-service deviation, the values derived from the table in sub-paragraph (1) shall be increased by 1.5 times the value of the reference particle mass. However the maximum value of the maximum permissible deviation shall not exceed (x) by 9%.

(4) Particle mass correction is not applicable to limits which are derived from the table in sub-paragraph (1) including influence quality tests and zero setting.

(5) The table in sub-paragraph (1) is illustrative of the maximum permissible deviation where the class designation factor is 1.

Manner of useU.K.

24.—(1) Where an automatic gravimetric filling instrument is marked with a temperature range, it must not be used for trade in temperatures outside that range.

(2) Where an automatic gravimetric filling instrument bears a mark which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) An automatic gravimetric filling instrument must only be used for trade for the purpose of weighing material the value of which, expressed in units of measurement of mass, is neither less than the value of the minimum capacity nor more than the value of the maximum capacity.

(4) An automatic gravimetric filling instrument must not be used for trade in circumstances—

(a)in which it may be prevented from operating consistently or accurately; or

(b)which are likely prematurely to degrade its metrological characteristics.

Automatic gravimetric filling instruments to be set to zeroU.K.

25.—(1) Subject to sub-paragraph (2), a person must not use an automatic gravimetric filling instrument for trade unless it is properly balanced or set to zero immediately prior to use.

(2) Paragraph (1) does not apply in the case of an instrument if it is designed so as not to balance when unloaded.

Manner of erection and installationU.K.

26.—(1) Every automatic gravimetric filling instrument must be so positioned as to facilitate cleaning and testing.

(2) Any special equipment for the control of measuring tasks performed by an automatic gravimetric filling instrument which is not a permanent fixture of the instrument must be kept in the vicinity of the instrument.

PART 7U.K.AUTOMATIC DISCONTINOUS TOTALISERS

Requirements for use for tradeU.K.

27.  No person shall use for trade an automatic discontinuous totaliser unless—

(a)it is compliant with—

(i)the essential requirements other than the provisions relating to maximum permissible errors;

(ii)the requirements of paragraph 28;

(b)it has been erected and installed in accordance with the requirements of paragraph 29; and

(c)in the case of a totaliser falling within an accuracy class set out in column 1 of the following Table, it falls within the maximum permissible error for that class set out in column 2 of that Table.

(1)(2)
Accuracy classMaximum permissible error of totalised load
0.2± 0.2%
0.5± 0.5%
1± 1.0%
2± 2.0%

Manner of useU.K.

28.—(1) Where an automatic discontinuous totaliser is marked with a temperature range, it must not be used for trade in temperatures outside that range.

(2) Where an automatic discontinuous totaliser bears a mark which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) An automatic discontinuous totaliser shall only be used for trade for the purpose of weighing material the value of which, expressed in units of measurement of mass, is not—

(a)less than the minimum totalised load;

(b)less than the value of the minimum capacity unless processed as the last discrete load of a trade transaction; or

(c)more than the value of the maximum capacity.

(4) An automatic discontinuous totaliser must not be used for trade in such a manner as to cause—

(a)spillage of material from the load receptor; or

(b)loading of the weighing unit above its maximum capacity.

(5) An automatic discontinuous totaliser must not be used for trade in circumstances—

(a)in which it may be prevented from operating consistently or accurately; or

(b)which are likely prematurely to degrade its metrological characteristics.

Manner of erection and installationU.K.

29.—(1) An automatic discontinuous totaliser must be so positioned as to facilitate cleaning and testing.

(2) If any special equipment for an automatic discontinuous totaliser is not a permanent fixture of the instrument, it must be kept in the vicinity of the instrument.

(3) In this paragraph “special equipment” means equipment to allow the control of the measuring tasks.

(4) An automatic discontinuous totaliser which has either a non-automatic zero-setting device or semi-automatic zero setting device must be erected in such a manner that the operator can readily take up a position from which he can check the zero and operate the zero setting controls.

PART 8U.K.AUTOMATIC RAIL WEIGHBRIDGES

Requirements for use for tradeU.K.

30.  No person shall use for trade an automatic rail-weighbridge unless—

(a)it is compliant with the essential requirements other than the provisions relating to maximum permissible errors;

(b)it is erected and installed in accordance with paragraph 31;

(c)it operates within the maximum permissible errors in paragraph 32;

(d)the requirements of paragraph 33 are complied with.

Manner of erection and installationU.K.

31.—(1) Every automatic rail-weighbridge must be—

(a)so positioned as to facilitate cleaning and testing; and

(b)installed so that the weighing operation is the same for testing as it is for a transaction.

(2) If the weighing mechanism of the automatic rail-weighbridge is contained in a pit, there must be provision for drainage to ensure that no portion of the rail-weighbridge becomes submerged or partially submerged in any liquid.

Maximum permissible error and accuracy classU.K.

32.—(1) Where an automatic rail-weighbridge falls within an accuracy class in column 1 of the following Table, the rail-weighbridge must operate within the maximum permissible error specified for that class in column 2 of that Table—

Column 1Column 2
Accuracy classMaximum permissible error as a percentage of the mass of a single wagon or total train
0.2± 0.2%
0.5± 0.5%
1± 1.0%
2± 2.0%

(2) Where an automatic rail-weighbridge falls within an accuracy class 2, it shall only be used for trade for the weighing of a wagon loaded with—

(a)any of the materials to which the expression “ballast” applies in Schedule 4 of the 1985 Act;

(b)any material the disposal of which constitutes a landfill disposal as defined in section 70(2) of the Finance Act 1996 M72, whether or not the disposal amounts to a taxable disposal as defined in section 40 of that Act; or

(c)waste.

(3) For the purposes of paragraph (2)(c), “waste” means any substance that its holder discards, or intends or is required to discard, including any waste disposed of for reprocessing or recycling purposes.

Marginal Citations

Manner of useU.K.

33.—(1) Where an automatic rail-weighbridge is marked with—

(a)a temperature range, it must not be used for trade in temperatures outside that range;

(b)a weight measurement range, it must not be used for trade in a manner or for a purpose that does not accord with that marking.

(2) Where an automatic rail-weighbridge bears a mark which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) An automatic rail-weighbridge must not be used for trade—

(a)unless it is properly balanced or set to zero immediately prior to use; or

(b)in circumstances—

(i)in which it may be prevented from operating consistently or accurately; or

(ii)which are likely prematurely to degrade its metrological characteristics.

(4) Where an automatic rail-weighbridge is fitted with a printing device, the rail-weighbridge must not be used for trade unless the printing device produces a printout which—

(a)indicates the weight or each wagon weighed or, in the case of a total train, the weight of that total train;

(b)indicates which wagon, if any, has travelled over the load receptor at a speed outside the range of operating speeds; and

(c)is not altered due to any wagon travelling over the load receptor more than once.

PART 9U.K.BELTWEIGHERS

Requirements for use for tradeU.K.

34.  No person shall use for trade a beltweigher unless—

(a)it is compliant with the essential requirements other than the provisions relating to maximum permissible errors;

(b)the requirements of paragraphs 35 and 36 are complied with;

(c)it has been erected and installed in accordance with the requirements of paragraph 37; and

(d)in the case of a beltweigher which is stated to be of an accuracy class set out in column 1 of the Table set out in this paragraph it is within the maximum permissible error for that accuracy class as set out in column 2 of that Table.

Column (1)Column 2
Accuracy ClassMaximum permissible error for totalised load
0.5± 0.5%
1± 1.0%
2± 2.0%

Manner of useU.K.

35.—(1) Where a beltweigher is marked with a temperature range, it must not be used for trade in temperatures outside that range.

(2) Where a beltweigher bears a mark which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that marking.

(3) A beltweigher of accuracy class 2 must only be used for trade for weighing any of the materials to which the term “ballast” applies in Schedule 4 of the 1985 Act.

(4) A beltweigher must not be used for trade in such a manner as to cause—

(a)spillage of material from the belt; or

(b)loading of the weighing unit above its maximum capacity.

(5) A beltweigher must not be used for trade in circumstances—

(a)in which it may be prevented from operating consistently or accurately; or

(b)in which are likely prematurely to degrade its metrological characteristics.

Position of the operatorU.K.

36.  Every beltweigher must be erected in such a manner that the operator can readily take up a position from which he can—

(a)read any indication of zero totalisation;

(b)operate any zero-setting control; and

(c)see whether the belt passing over the weighing unit is empty.

Manner of erection and installationU.K.

37.—(1) Every beltweigher must be positioned so as to facilitate cleaning and testing.

(2) The installation of a beltweigher must be so designed that an automatic weighing operation will be the same for testing as for a transaction.

(3) Every beltweigher must be erected in such a way that it is possible to carry out a material test in a place where it is to be used, including in particular the depositing on, or removal from, the belt of material test loads in a reliable and easy manner, without disrupting the normal operation of the beltweigher.

(4) Any special equipment for the control of the measuring tasks of a beltweigher which is not a permanent fixture of the beltweigher, must be kept in the vicinity of the beltweigher.

PART 10U.K.MATERIAL MEASURES OF LENGTH

Requirements for use for tradeU.K.

38.  No person shall use for trade a material measure of length unless—

(a)it is compliant with the essential requirements other than the provisions relating to limits of maximum permissible errors;

(b)it operates within twice the limits of maximum permissible error referred to in the essential requirements; and

(c)the requirements of paragraph 39 are complied with.

Manner of useU.K.

39.—(1) Where a material measure of length is marked with a temperature range, it must not be used for trade in temperatures outside that range.

(2) Where a measure bears an inscription which signifies the manner and purpose of use, it must not be used for trade in a manner or for a purpose which does not accord with that inscription.

(3) No person shall use a material measure of length for trade in such manner as to expose it to environmental or other influences which may adversely affect its accuracy or function

PART 11U.K.CAPACITY SERVING MEASURES

Requirements for use for tradeU.K.

40.  No person shall use for trade a capacity serving measure unless—

(a)it is compliant with the essential requirements;

(b)the requirements of 41 are complied with; and

(c)it does not bear any decorations or designs which may cause confusion in use.

Manner of useU.K.

41.  No person shall use for trade a capacity serving measure for the measurement of intoxicating liquor before its transfer to a container in which the buyer is to receive it, unless the buyer has a clear and unobstructed view of the measurement and transfer.

Regulations 33(4), 60(8) and 66(4)

SCHEDULE 7U.K.MONETARY PENALTIES

IntroductionU.K.

1.  This Schedule applies in relation to the imposition by the Secretary of State of a monetary penalty under these Regulations.

ProcedureU.K.

2.—(1) Before imposing a monetary penalty under these Regulations, the Secretary of State must notify the economic operator of the Secretary of State's intention to do so.

(2) The notice must—

(a)specify the proposed amount of the penalty which must not exceed £50,000;

(b)specify the Secretary of State's reasons for proposing to impose the penalty;

(c)specify the period during which the [economic operator] may make representations about the proposal (“the specified period”), and

(d)specify the way those representations may be made.

(3) The specified period must not be less than 28 days beginning with the date on which the notice is received.

(4) The Secretary of State must have regard to any representations made by the economic operator during the specified period in deciding whether to impose a monetary penalty on it.

(5) Having decided whether or not to impose a monetary penalty, the Secretary of State must notify the economic operator of its decision.

(6) Where the decision is to impose a monetary penalty, the notice must specify—

(a)the amount of the penalty, and

(b)the period within which the penalty must be paid

(7) The notice must also contain information as to—

(a)the grounds for imposing the penalty,

(b)how payment may be made,

(c)rights of appeal,

(d)the period within which an appeal may be made, and

(e)the consequences of non-payment.

(8) The requirement to pay the penalty is suspended at any time when an appeal could be brought in respect of the penalty or such an appeal is pending.

(9) But that does not prevent the requirement to pay taking effect if the economic operator on whom the penalty is imposed notifies the Secretary of State that it does not intend to appeal.

AppealsU.K.

3.—(1) An economic operator on whom a penalty is imposed may appeal to the First-tier Tribunal against—

(a)a decision under any provision of these Regulations to impose a penalty;

(b)a decision as to the amount of the penalty.

(2) An appeal may be made under this paragraph may be made on the grounds—

(a)that the decision was based on an error of fact;

(b)that the decision was wrong in law;

(c)that the decision was unreasonable.

(3) On an appeal under this paragraph, the Tribunal may—

(a)withdraw the requirement to pay the penalty;

(b)confirm the requirement;

(c)vary that requirement;

(d)remit the decision whether to confirm the requirement to pay the penalty, or any matter relating to that decision to that decision, to the Secretary of State

Interest and recoveryU.K.

4.—(1) This paragraph applies if all or part of a monetary penalty imposed under these Regulations is unpaid by the time when it is required to be paid.

(2) The unpaid amount of a penalty for the time being—

(a)carries interest at a rate for the time being specified in section 17 of the Judgments Act 1838 M73, and

(b)does not also carry interest as a judgment debt under that section.

(3) The total amount of interest imposed under sub-paragraph (2) must not exceed the amount of the penalty.

(4) The Secretary of State may recover from the economic operator on whom it is imposed as a civil debt, the unpaid amount of the penalty and any unpaid interest.

(5) Any sums received by the Secretary of State by way of a penalty imposed under these Regulations or interest under this paragraph must be paid into the Consolidated Fund.

Marginal Citations

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