BOEMRE Director Discusses the Future of Offshore Oil and Gas Development in the U.S. at Offshore Technology Conference
Houston, Texas Bureau of
Ocean Energy Management, Regulation and Enforcement (BOEMRE)
Director Michael R. Bromwich delivered remarks today at the 2011
Offshore Technology Conference (OTC) in Houston, Texas.
OTC is an international event,
bringing together experts from around the world focusing on the
development of offshore resources in the fields of drilling,
exploration, production and environmental protection.
Director Bromwich discussed the path
forward for United States (U.S.) regulation of offshore oil and gas
development, outlining the new offshore organizational and
regulatory framework.
Director Bromwich's remarks, as
prepared for delivery, are below:
Good afternoon. I want to thank the
conference organizers for putting together such an impressive event
and for inviting me to speak about the future of offshore oil and
gas development in the United States.
It was just over a year ago that I
became Director of BOEMRE. The agency had just received a new name
and had a huge task ahead of it: undertaking a top-to-bottom
reorganization and implementing major regulatory reforms, while at
the same time responding to the worst offshore oil spill in United
States history.
The Deepwater Horizon tragedy was
still unfolding in all its human and environmental horror. Eleven
men had lost their lives in the explosions and fire on the rig, many
others were injured, and the Macondo well continued spewing oil into
the Gulf of Mexico.
The tragic loss of life and the
enormous damage to the environment was a wake-up call for industry
and government alike, sending a clear message that we had to take a
good, hard look at existing safety technologies, practices, and
regulations and make immediate, and lasting, improvements.
Over the past year, my staff and I
have been working tirelessly to do just that:
-
We have issued rules and
regulations that substantially enhance drilling and workplace
safety and strengthen environmental protection.
-
We have implemented a requirement
that operators must have a plan and the demonstrated ability to
shut in a deepwater blowout and capture oil flowing from a wild
well. That is a huge advance over last year, when we watched
with a sense of profound helplessness as BP attempted to
improvise a response to contain the Macondo blowout.
-
We have put in place a number of
structural and procedural reforms to reduce the conflicts of
interest inherent in the mission of the Minerals Management
Service (MMS) and to enhance safety and elevate environmental
protection.
And today, I’d like to also announce
two new major developments relating to the way we provide
information to and regulate entities that operate offshore:
-
First, we are in the process of
developing improvements to the current process for submitting
and processing Applications for Permits to Drill (APD). In the
coming weeks, we will be issuing recommended procedures for
submitting APDs, which can be adopted by operators on a
voluntary basis and will be designed to assist them in complying
with our new regulations and to assist our staff in processing
APDs more rapidly. The guiding principles will be greater
clarity, transparency and consistency in the permitting process.
We will be providing more details on these improvements in the
coming weeks.
-
Second, I have mentioned several
times in recent weeks my interest in exercising regulatory
authority over not only offshore operators but contractors as
well. It has struck me as inappropriate to limit our authority
to operators if in fact we had legal authority that reached more
broadly to the activities of all entities involved in developing
offshore leases. We have completed our review of the issue and
have concluded that in fact we have broad legal authority over
all activities relating to offshore leases, whether it engaged
in by lessees, operators, or contractors. We can exercise such
authority as we deem appropriate. The reason for our historical
practice that has focused solely on regulating operator was that
it served to preserve clarity and the singular responsibility of
the operator. I am convinced that we can fully preserve the
principle of holding operators fully responsible -- and in most
cases solely responsible -- without sacrificing the ability to
pursue regulatory actions against contractors for serious
violations of agency rules and regulations. We will be careful
and measured in extending our regulatory authority to
contractors.
Over the past year, I have discussed
our many reforms at length, in front of a variety of audiences. I
have had the opportunity to meet with many of you in person – and
with some of you on multiple occasions – to discuss the lessons we
in the U.S. learned from our past.
Today, I want to focus on the future
– the path forward for U.S. regulation of offshore oil and gas
development. I will begin by presenting a blueprint for the new
offshore organizational and regulatory framework in the U.S.
Next, I will discuss the new rules
that apply to offshore drilling in U.S. waters and bring you up to
date on the status of offshore drilling activities in the U.S.
I will then describe our engagement
with our international partners, through a variety of bilateral and
multilateral channels.
Finally, I will outline a
comprehensive set of guiding principles related to the future of
offshore drilling.
I. BOEMRE Reorganization
Starting on October 1, offshore
energy regulation in the United States will be carried out by three
strong, separate agencies within the Department of the Interior:
1. The Office of Natural
Resources Revenue will be responsible for collecting revenues from
offshore leases;
2. The Bureau of Ocean Energy
Management (BOEM) will promote resource development on the Outer
Continental Shelf (OCS);
3. The Bureau of Safety and
Environmental Enforcement (BSEE) will enforce safety and
environmental regulations on the OCS.
This structure is designed to
eliminate the inherent conflicts that existed when MMS was
responsible for promoting resource development, enforcing safety
regulations, and maximizing revenues from offshore operations.
The first stage of reorganization
took effect on October 1 of last year, when the revenue collection
arm of the former MMS became the Office of Natural Resources Revenue
– now located in a separate part of the Department, reporting
through a completely separate chain of command.
By October 1 of this year, the
offshore resource management function would have been separated from
the safety and enforcement functions. In BOEMRE’s place, we will
have the two brand new agencies I mentioned a few moments ago, BOEM
and BSEE.
In making the important structural
and design decisions that are shaping these two new agencies, we
have relied on several guiding principles.
First, separating resource management
from safety oversight to allow our permitting engineers and
inspectors greater independence, more budgetary autonomy and clearer
senior leadership focus.
For BSEE, the goal is to create an
aggressive, tough-minded but fair regulator that can effectively
evaluate the risks of offshore drilling, promote the development of
safety cultures in offshore operators, and keep pace with
technological advances.
Second, ensuring that we create a
sufficiently strong and effective BSEE so that it can properly carry
out the critical safety and environmental protection functions that
are central to its mission and that have been historically slighted
and underfunded within MMS.
Third, providing an organizational
structure that ensures that thorough environmental analyses are
conducted and that the potential environmental effects of proposed
operations are given appropriate weight during decision-making
related to resource management.
We are placing the balance of our
environmental science and environmental analysis resources in BOEM
to ensure that leasing and plan approval activities are properly
balanced and that environmental considerations are fully taken into
account at early stages of the process, not after important resource
decisions have already been made.
But organizational changes alone are
not enough to address the institutional weaknesses of the past. That is why we are taking concrete actions, over and above the
reorganization, to strengthen certain functions.
For example, we have taken a number
of steps to strengthen the role of environmental analysis and
enforcement in the new regulatory framework.
Among other things, we are creating
the brand new position of Chief Environmental Officer in BOEM to
provide institutional assurance that environmental considerations
will be given adequate consideration in resource development
decisions, including the development of five-year plans, leasing
decisions, exploration and development plan reviews, and other
decisions that bear on resource management.
We are recruiting nationally to fill
this important new position now and hope to attract an environmental
scientist of national reputation who will serve as an important
voice for environmental considerations in the agency. That person
will be a key player in developing the nation’s oceans policies.
We are also creating in BSEE a new
dedicated environmental enforcement and compliance program.
When we lease offshore, operators
agree to certain stipulations to minimize adverse impact on the
environment. Later on in the process, when operators submit their
exploration and development plans, they undertake to mitigate
environmental effects that their activities produce.
Historically, our overworked
personnel have tried from time to time to determine whether those
commitments – in the form of stipulations and mitigations – have
been fulfilled. But the agency has never had personnel specifically
dedicated to that task. Now we will.
We think this will make offshore
energy development more environmentally responsible and provide
opportunities for dedicated professionals interested in ensuring
that the ocean and coastal environments are protected.
As for our inspections program, we
are creating for the first time a National Offshore Training Center
led by a training director whom we are also currently seeking
through a nationwide search.
In the past, our inspectors have
learned how to do their jobs through a combination of on-the-job
training and industry-sponsored courses aimed at teaching how
certain types of equipment function. The agency has never had a
training center dedicated to training inspectors on how to do their
jobs. Now we will.
The Director of the National Offshore
Training Center will develop national training strategies and
programs to maintain and improve the technical capabilities of
offshore inspections and compliance personnel throughout the
bureau.
We are also examining the feasibility
of remote monitoring of certain activities on offshore rigs through
available onshore monitoring facilities and control centers. BOEMRE
is in the process of conducting a pilot study of the feasibility of
such remote monitoring.
Tomorrow, I am going to begin a tour
of a number of industry control centers to learn more about the
types of activities that can be monitored from shore, as well as the
equipment, personnel and procedures involved in remote monitoring.
My visit will start in New Orleans
with the onshore command centers of Shell, then return to Houston,
where I will visit Schlumberger, Anadarko, Chevron and Statoil. I
look forward to learning more about the technologies that are being
used by operators and contractors in the Gulf.
Depending on the results of our
review and subsequent discussions, remote monitoring may prove to be
a very useful tool for making offshore regulation more effective and
efficient.
In addition to these reforms, last
fall we created a number of Implementation Teams, which have been
hard at work for several months analyzing critical aspects of
BOEMRE’s structures, functions and processes, and implementing
needed changes.
These teams are integral to our
reorganization and reform effort. They are working from the various
recommendations for improvement that we have received from numerous
sources, including the investigations of the Safety Oversight Board
commissioned by Secretary Salazar, the Department of the Interior’s
Inspector General, the Council for Environmental Quality (CEQ), the
President’s Commission, and our own analyses of the agency’s
policies and procedures.
Through their work, these teams are
laying the foundation for lasting change in the way BOEMRE currently
does business and the way its successor agencies – BOEM and BSEE –
will do business in the future.
We are also in the midst of reviewing
our application of the National Environmental Policy Act (NEPA),
including in particular the use of categorical exclusions.
We have obtained public comments on
our NEPA policy and are reviewing and analyzing these comments,
while working with CEQ to develop a new framework designed to ensure
that environmental risks are thoroughly analyzed and appropriate
protective measures are implemented.
In the meantime, we are requiring
that site-specific environmental assessments, as opposed to the
categorical exclusion reviews performed in the past, be conducted
for all new and revised exploration and development plans in
deepwater.
Finally, we are taking steps to
address conflicts of interest within the agency.
First, we have issued a tough new
recusal policy that will reduce the potential for real or perceived
conflicts of interest in our enforcement programs. Under the new
policy, employees in our district offices, including our permitting
engineers and inspectors, must notify their supervisors about any
potential conflict of interest and request to be recused from
performing any official duty where such a conflict exists.
As a result, our inspectors are
required to recuse themselves from performing inspections of the
facilities of former employers. Also, our inspectors must report
any attempt by industry or by other BOEMRE personnel to
inappropriately influence, pressure or interfere with his or her
official duties.
Soon, we will be issuing a broader
version of the policy that applies these ethical standards across
the agency.
In addition, we created the
Investigations and Review Unit (IRU), which is composed of
professionals with law enforcement backgrounds or technical
expertise who promptly respond to allegations or evidence of
misconduct and unethical behavior by Bureau employees.
The IRU also pursues allegations of
misconduct against oil and gas companies involved in offshore energy
projects when there is credible evidence that rules and regulations
have been violated.
II. Regulatory Developments and the
Current Status of Offshore Drilling
In addition to reforming our
organization and procedures, we have implemented a number of new
regulations to improve the effectiveness of government oversight of
offshore energy development and drilling. These changes in safety
and accident prevention, blowout containment and spill response are
both substantial and necessary.
We have done all of this through the
development and implementation of the two new rules, announced last
fall, that raise standards for the oil and gas industry’s operations
on the OCS.
The first rule, the Drilling Safety
Rule, is an emergency rule prompted by Deepwater Horizon. It
creates tough new standards for well design, casing and cementing –
and well control procedures and equipment, including blowout
preventers.
For the first time, operators are now
required to obtain independent third-party inspection and
certification of the proposed drilling process. In addition, an
engineer must certify that blowout preventers meet new standards for
testing and maintenance and are capable of severing the drill pipe
under anticipated well pressures.
The second rule we issued is the
Workplace Safety Rule, which requires operators to systematically
identify risks and establish barriers to those risks and thereby
seeks to reduce the human and organizational errors that lie at the
heart of many accidents and oil spills.
This rule introduces for the first
time in the US regulatory regime performance-based standards similar
to those used by regulators in the North Sea, where operators are
responsible for identifying and minimizing the risks associated with
drilling operations. This rule was being developed prior to
Deepwater Horizon but, as described by the Presidential Commission’s
report, its issuance was frustrated over many years.
Under this rule (also known as the
Safety and Environmental Management Systems or SEMS Rule), operators
now are required to develop a comprehensive safety and environmental
management program that identifies the potential hazards and
risk-reduction strategies for all phases of activity, from well
design and construction, to operation and maintenance, and finally
to the decommissioning of platforms.
Although many progressive,
forward-looking companies had developed such SEMS systems on a
voluntary basis in the past, many had not. And our reviews had
demonstrated that the percentage of offshore operators that had
adopted such programs voluntarily was declining.
In addition to these important new
rules, we have issued Notices to Lessees (or NTLs) that provide
additional guidance to operators on complying with existing
regulations.
Last summer, we issued NTL-06, which
requires that operator’s oil spill response plans include a
well-specific blowout and worst-case discharge scenario – and that
operators also provide the assumptions and calculations behind these
scenarios. Our engineers and geologists then independently verify
these worst case discharge calculations to ensure that we have an
accurate picture of the spill potential of each well.
Following the lifting of the
deepwater drilling moratorium last year, we issued NTL-10, a
document that establishes informational requirements, including a
mandatory corporate statement from the operator that it will conduct
drilling operations in compliance with all applicable agency
regulations, including the new Drilling Safety Rule.
The NTL also confirms that BOEMRE
will be conducting well-by-well evaluations of whether the operator
has demonstrated that it has access to, and can deploy, subsea
containment resources that would be sufficient to promptly respond
to a deepwater blowout or other loss of well control. Operators
must now have a plan and access to necessary equipment – in advance
– to shut in a deepwater blowout and capture oil flowing from a wild
well.
Our regulatory changes over the past
year have been sweeping and swift, especially compared to the
historical pace of change. We worked through the policy and
implementation issues diligently and consulted frequently with
members of industry in both the Gulf of Mexico and in Washington to
provide guidance on complying with the rules.
This process was constructive, it was
done in good faith, and we made very substantial progress in further
defining and clarifying issues for the operators and the industry
more generally. In fact, it was an example of appropriate
engagement between government and industry.
Unfortunately, we were still faced
with claims from certain public officials and industry trade
associations that we had imposed a “de facto” moratorium or created
a “permitorium” that was blocking the issuance of drilling permits. That could not have been further from the truth. In fact, the chief
obstacle standing in the way of our approving deepwater drilling
permits, from October (when the deepwater moratorium was lifted)
through the middle of February, was the lack of adequate
capabilities to contain a subsea blowout.
Last summer, the major oil and gas
companies announced the formation of the Marine Well Containment
Company (MWCC) whose mission was precisely to develop such a
capability and make it available to the community of deepwater
operators.
Subsequently, a second industry
group, the Helix Well Containment Group (Helix), announced its
intention to build a separate containment system with similar
capabilities.
We encouraged both, without endorsing
either. During the period from October through mid-February, we had
numerous meetings with the containment companies and with individual
operators, who acknowledged that they understood no deepwater
permits could be issued until those capabilities had been developed,
tested, and reviewed. Unfortunately, that failed to make much of an
impression on those alleging a “de facto” moratorium. Needless to
say, it would have been irresponsible to resume deepwater drilling
before viable containment systems were available.
Finally, in mid-February, both Helix
and the MWCC said that their systems were ready to operate. The
systems, including the capping stacks, were tested in the presence
of our engineers, and the test results were reviewed. In addition,
Secretary Salazar and I went down to Houston, met with both groups,
and looked at the capping stacks. The availability of the
containment system is what led, on February 28, to the issuance of
the first new deepwater drilling permit since Deepwater Horizon.
Since February 28, we have permitted
12 deepwater drilling wells. We were able to do so because in each
and every case, the applications complied fully with our more
rigorous safety and environmental requirements, and each of them had
demonstrated the ability to contain a subsea spill, through entering
into contractual arrangements with either Helix or the MWCC.
To be clear, we have no preference. The requirement is solely that the resources be adequate to deal
with a blowout of the particular well that has unique
characteristics of water depth, well depth, pressure, and other
well-specific characteristics. This well-by-well analysis is a
time-intensive, labor intensive process but one that is crucial to
ensuring that adequate containment resources are available for each
deepwater well that is drilled.
As we have moved forward with
appropriate speed in deep water, we have continued to issue shallow
water permits in every case where the application complies with all
of our heightened standards that apply to shallow water operations.
As of last Friday, we have approved
51 drilling permits for new wells in shallow water since last
summer, and our pace of shallow water permitting has been consistent
for many months, averaging six per month since October 2010.
While this pace is slightly below
historical averages, there is not a backlog of pending permit
applications – there currently are only five shallow water permit
applications pending, with another four having been returned to the
operator for more information.
But such historical comparisons are
at some level beside the point. Because we don't have a permit
quota, or even a permitting goal. Our goal is to approve every
fully compliant permit application – with the emphasis on fully
compliant – as promptly as we can – with our limited resources.
Which brings us to the key issue of
resources.
On many occasions over the past year,
I have addressed the consistent and shameful historical underfunding
of MMS. Despite MMS's important missions, and the revenues
generated for the U.S. Treasury by offshore leasing, exploration and
production, the agency was put on an unsustainably meager diet
throughout its history, which became progressively worse in recent
years.
The unanimous conclusion of the many
reviews and investigations of the former MMS is that the major
source of the problems with the nation’s oversight of offshore
energy development has been the lack of resources. Even so,
financial support has been slow in coming.
President Obama submitted a
supplemental budget request last summer seeking an additional $100
million for the agency. Until just a few short weeks ago, that
promise of a brighter future remained a hollow promise because
Congress had not acted on that request.
We were poised to hire the additional
inspectors, environmental scientists, and permitting personnel that
we have needed, but we didn’t have the funding.
Now at least a part of that request
has been met. Last month, Congress passed, and the President
signed, a continuing resolution that provides the Department of the
Interior a total of $68 million above FY 2010 funding levels for
both BOEMRE and the Office of Natural Resources Revenue. BOEMRE
will receive approximately $47 million of that amount.
That is far less than we need, but it
is a significant sum, especially in a constrained budget environment
where the funding of most other agencies is being cut.
Our funding needs have real-world
implications. The 2011 funding will preserve our most essential
functions for the remainder of the year as the President promised,
and it will allow us to make significant incremental progress. But
it won’t allow us to improve operations for the future to the extent
– and in the ways – that we think are desirable and necessary, and
that others who have reviewed the agency’s operations think are
desirable and appropriate.
We desperately need more engineers,
inspectors and other safety personnel. We desperately need more
environmental scientists and more personnel to do environmental
analysis. We desperately need more personnel to help us with the
permitting process. And much more.
We have already taken the first steps
to ramp up our hiring in certain key areas.
Last October and November, I visited
five engineering and petroleum engineering schools in Louisiana and
Texas as part of a drive to recruit engineers and inspectors to work
for the agency. We generated more than 500 job applications in 10
days, but our hiring was clouded by the continued uncertainty about
funding.
Last month, we extended that
recruitment drive to include environmental scientists. I visited
nine top environmental science schools on the West Coast in five
days, and additional schools in the Gulf and on the East Coast. In
response we have already received more than 1,000 job applications.
Now that we have funding, we will be
able to hire some of these enthusiastic environmental scientists and
petroleum engineers who can help us perform our mission, as well as
some of the engineering students who applied last fall.
To further extend our recruiting, we
plan to visit a number of other schools in various regions around
the country.
But we are determined not to simply
use these additional resources and personnel to do more of what we
have done before.
We need to learn from our
shortcomings, address our weaknesses, and figure out better and more
efficient methods for doing our work – both on the resource
development side as well as on the safety oversight and enforcement
side.
We will be aided to a great extent by
the recommendations that will flow from the implementation teams I
mentioned earlier. But we will seek guidance from other sources as
well.
One of those sources is the new Ocean
Energy Safety Advisory Committee, chaired by former Sandia
Laboratory Director Dr. Tom Hunter, which met for the first time two
weeks ago. This federal advisory committee includes representatives
of federal agencies, industry, and academia.
The 15-member committee will work on
a variety of issues related to offshore energy safety, including
drilling and workplace safety, well intervention and containment and
oil spill response. The Committee will also provide recommendations
about the establishment of a permanent Ocean Energy Safety Institute
to foster long-term collaboration among key stakeholders.
This will be a key component of a
long-term strategy to address on an ongoing basis the technological
needs and inherent risks associated with offshore drilling, and
deepwater drilling in particular.
The advice and recommendations of
this distinguished Advisory Committee will be welcomed by our
agency, and after October by BSEE. Most importantly, the Advisory
Committee, and eventually the Institute, are key components of a
long-term strategy to address on an ongoing basis the technological
needs and inherent risks associated with offshore drilling, and
deepwater drilling in particular.
Later this month, I will travel to
Massachusetts for the meeting of another key advisory body, the OCS
Scientific Committee. This 15-member public federal advisory
committee is chaired by Dr. Michael Fry, the Director of
Conservation Advocacy for the American Bird Conservancy. The
committee provides advice on the appropriateness, feasibility and
scientific value of BOEMRE’s OCS Environmental Studies Program and
informs decisions related to environmental aspects of the offshore
energy and marine minerals programs.
This committee is central to our
efforts to ensure scientific integrity in our decision-making
regarding offshore energy development.
III. International Standards and
Cooperation
A final – and very important – part
of our long-term strategy includes continuing and strengthening our
collaboration with our international counterparts.
The recommendations of the
President’s Commission stress the importance of sharing experiences
across different international systems and establishing global
standards and best practices. We agree with that.
Offshore regulators have much to gain
from collaborating to elevate the safety and environmental soundness
of offshore operations around the world.
To this end, last month Secretary
Salazar, Deputy Secretary David Hayes and I hosted ministers and
senior energy officials from twelve countries and the European Union
for the Ministerial Forum on Offshore Drilling Containment.
This was a historic meeting for the
Department – and it led to a fruitful dialogue about best practices
and how best to develop cutting edge, effective safety and
containment technologies. The meeting concluded with the unanimous
recognition that this dialogue should continue at the highest levels
of government.
Going forward, we will continue to
work to strengthen the channels for international cooperation and
the sharing of best practices across different regulatory regimes.
BOEMRE will also continue its
engagement with the International Regulators Forum (IRF), an
organization that BOEMRE helped to found in 1994. The offshore
regulatory agencies of the U.S., the U.K., Brazil, Norway, Canada,
the Netherlands, Australia, New Zealand and Mexico participate in
the IRF.
As many of you know, these countries
share information on technological advances, safety issues, accident
investigations, regulatory policies, international standards and
conventions, performance measurement, and research. Members may
also exchange personnel, and establish reciprocal agreements. BOEMRE will continue its participation in this important forum.
In addition to these multilateral
efforts, BOEMRE participates in a number of government-to-government
initiatives.
We are working with foreign
regulatory agencies around the world to share best practices and
build regulatory capacity through the Department of State’s Energy
Governance and Capacity Initiative (EGCI). This is a multi-agency
global effort to provide a range of technical and capacity-building
assistance to the governments and institutions of countries that are
expected to become emerging oil and gas producers.
Through this program, BOEMRE experts
have participated in needs assessments and have conducted workshops
in Suriname, Uganda, Papua New Guinea and Liberia.
Later this month, a BOEMRE team will
travel to Uganda to discuss the specifics of oil and gas reserves
classification and economic valuation for both discovered and
undiscovered resources.
A separate team will visit Guyana to
conduct a workshop entitled U.S. Experience in Managing the Offshore
Oil and Gas Sector.
In addition to this State
Department-sponsored initiative, BOEMRE continues with long-term
technical assistance with the governments of Iraq and India. In
February 2011, we held a second joint industry-regulator workshop in
New Delhi, focused on asset integrity management, with our
regulatory counterpart in India.
This month, BOEMRE will participate
in an interagency team, sponsored by the State Department, to
provide technical assistance on unitization of oil and gas contracts
to the Government of Iraq, specifically the Ministry of Oil’s
Petroleum Contract and Licensing Department.
Finally, and very significantly, we
are also working with our counterparts in Mexico toward an agreement
that would define regulatory protocols for the potential development
of trans-boundary oil and natural gas reservoirs in the Gulf of
Mexico. The development of common standards for major deepwater
operations in our shared waters of the Gulf of Mexico is a priority
for the Bureau, as it is for the government of Mexico.
As a result of these
government-to-government engagements, we have embraced the
opportunities to establish long-term working relationships and
promote sound energy governance.
Going forward, it is my hope that we
will continue to collaborate with our foreign counterparts, both
through bilateral government-to-government assistance programs and
through appropriate multilateral channels in developing safer, more
environmentally responsible drilling in the world’s oceans.
There is no escaping the central fact
that offshore drilling not only will continue, but that there is
strong interest in expanding drilling to ever more challenging areas
including deeper waters and the Arctic. The world demands energy,
and to an increasing extent the oceans are where we find it. We
need the global institutions and standards necessary to meet these
challenges and to ensure safe and responsible development offshore
resources around the world.
IV. The Future of Offshore Drilling
Offshore drilling in the United
States OCS, and indeed around the world, will never be the same as
it was a year ago. That much is clear. The changes that we have
put in place will endure because they were urgent, necessary and
appropriate. And more change will surely come, although not at the
frantic pace of the past year. In fact, we are moving ahead right
now.
First, we will be launching in the
very near future a major rulemaking designed to further enhance
offshore drilling safety. This process will be broad, inclusive and
ambitious. Our goal will be nothing less than a further set of
enhancements that will increase drilling safety and diminish the
risks of a major blowout. It will address weaknesses and necessary
improvements to blowout preventers, as well as many other issues.
We genuinely hope that the broad
efforts undertaken by the industry in the wake of Deepwater Horizon,
through its joint industry task forces, recently-announced Center
for Offshore Safety, and other vehicles, will provide the basis for
solid recommendations of best practices, including those that should
be included within prescriptive or performance-based regulations.
Second, we will be enhancing the SEMS
rule we issued last fall by requiring third-party audits of the SEMS
programs, as well as other modifications and improvements to the
SEMS rule.
We are determined that this rule live
up to its promise by causing operators to comprehensively and
responsibly identify, address and remediate the risks of offshore
drilling, especially those risks associated with the conditions of
deepwater drilling.
While a lot has changed over the past
year, and as I discussed we are continuing to improve drilling
standards, I want to be absolutely clear about something – the
process of making offshore energy development both safe and
sufficient to help meet the nation’s and world’s energy demands will
never be complete. It is a continuing, ongoing, dynamic
enterprise.
Therefore, those who ask whether the
regulatory system is “fixed” yet, or whether the agency is “fixed”
yet, are asking the wrong question. A system of regulation – and
the agency responsible for it – are not wristwatches or carburetors
that can be fixed like a mechanical object. They need to constantly
evolve and adapt.
In fact, the central challenge that
Deepwater Horizon exposed and highlighted is the need to establish
the institutions and systems – and the processes of cultural change
and improvement– necessary to ensure that neither government nor
industry ever again becomes self satisfied to the point that they
think no further change is necessary. It’s exactly that sort of
complacency and over-confidence that set the stage for Deepwater
Horizon.
Let me describe for you some of the
key elements that my vision of the future of offshore energy
oversight and development includes, most of which flow directly from
the issues I have just discussed.
-
First, a well-funded and
resourced offshore safety regulator that evaluates the relevant
risks associated with offshore drilling and other energy
development activities in designing its regulations, its
compliance program, and its enforcement programs.
This includes the development of more sophisticated metrics for
measuring risk, and designing programs for evaluating those
risks and assessing whether industry is managing those risks
appropriately.
-
Second, a set of industry
performance standards that requires operators to engage in
rigorous and deeply self-critical evaluation of the hazards
posed by their operations and the measures implemented to
address those hazards.
-
Third, a regulatory agency that
has the tools and the resources – both technological and human –
to hold all players involved in drilling and production activity
in the nation’s oceans to high standards and, if there are
safety or environmental violations, or an accident, holds all
responsible parties accountable.
This includes not only those companies that operate leases, the
traditional subjects of agency regulation and enforcement, but
their contractors and service providers such as the owners of
drilling rigs as well.
-
Fourth, institutions that spur
continued government and industry focus on and innovation in the
areas of risk assessment, technological advances in safety
equipment, emergency response equipment, and further
improvements in the effectiveness and availability of subsea
containment resources, and oil spill response systems and
coordination.
-
Fifth, a system in which all
available scientific information and analysis is factored in to
a process to ensure balanced decision making with respect to the
environmental risks and economic benefits of offshore resource
development.
-
Sixth, a regulatory system that
strikes appropriate balances and ensures that energy development
is conducted safely and in an environmentally responsible
manner, while also being more efficient, transparent and
responsive.
-
Seventh, a leasing and revenue
generation system that encourages the active development of the
nation’s natural resources made available to industry to provide
for the country’s energy needs.
-
Eighth, a set of common
principles and standards by which companies drilling and
producing in the oceans govern their conduct, regardless of
where in the world they are operating.
-
And finally, an ocean energy
program that includes not only the development of oil and gas
resources, but also the aggressive and responsible development
of renewable energy sources. The long-term solution to meeting
the nation’s energy needs must include power derived from clean
and renewable sources such as offshore wind.
V. Conclusions
Following Deepwater Horizon, a broad consensus quickly emerged – in
government and industry – that there was an urgent need for
upgrading the safety rules and practices within the oil and gas
industry.
But far more quickly than many people
anticipated, that consensus began to weaken as new rules were
developed and new requirements were imposed on companies operating
offshore.
Some offshore operators and support
companies plainly recognized that Deepwater Horizon was the symptom
of a broader failure in both industry and government – a systemic
failure to ensure that advances in drilling and workplace safety
kept pace with increasingly risky operations. And as a result, they
have supported our efforts to strengthen oversight of offshore
drilling and, indeed, have undertaken their own efforts to raise
standards for drilling and workplace safety, spill containment, and
spill response.
But there have been others who, with
surprising speed, have seemed all-too-ready to shrug off Deepwater
Horizon as a complete aberration. They point to the lack of a
similar blowout in the decades before the explosion and spill and
suggest that the steps taken in response have been an overreaction
and were unnecessary.
Needless to say, that is
disappointing and short-sighted. We need to do everything possible
to keep the complacency from creeping back – into my agency and into
industry. Industry and government regulators alike must continue to
resist the fierce pressures to return to business as it used to be
conducted. Down that path lies another Deepwater Horizon.
It has been a long ten months, and I
have no expectation that it will get easier any time soon. But I
believe in the tangible results I have seen, and I have seen the
intense interest in what we are doing in industry, in the
environmental community, and among the public at large. People are
watching our work around the world, are interested and invested in
it, and know the stakes involved in whether we succeed.
We are determined to succeed in
creating a system that allows continued offshore development while
ensuring safety and environmental protection. That’s the goal we
will continue to pursue with single-minded determination.
I thank you for your time and
attention and am happy to take some questions.
Contact: BOEMRE
Public Affairs