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8/10/2019 GL Noble Denton http://slidepdf.com/reader/full/gl-noble-denton 1/269  TABLE OF CONTENTS Number Revision Title 0013 6 Guidelines for Loadouts 0021 8 Guidelines for the approval of towing vessels 0027 9 Marine lifting operations 0030 4 Guidelines for marine transportations 0032 0 Guidelines for moorings

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TABLE OF CONTENTS

Number Revision Title

0013 6 Guidelines for Loadouts

0021 8 Guidelines for the approval of towing vessels

0027 9 Marine lifting operations

0030 4 Guidelines for marine transportations

0032 0 Guidelines for moorings

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TECHNICAL POLICY BOARD

www.gl-nobledenton.com 

GUIDELINES FOR LOADOUTS

0013/ND

Once downloaded this document becomes UNCONTROLLED.

Please check the website below fo r the current version.

6 Dec 10 6 GPB Technical Policy Board

31 Mar 10 5 GPB Technical Policy Board

19 Jan 09 4 GPB Technical Policy Board

01 Dec 04 3 JR Technical Policy Board

01 Apr 02 2 JR Technical Policy Board

07 Jul 93 1 JR Technical Policy Board

16 Oct 86 0 JR Technical Policy Board

Date Revision Prepared by Authorised by

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GUIDELINES FOR LOADOUTS

PREFACE

This document has been drawn with care to address what are likely to be the main concerns based on theexperience of the GL Noble Denton organisation. This should not, however, be taken to mean that this documentdeals comprehensively with all of the concerns which will need to be addressed or even, where a particular matter isaddressed, that this document sets out the definitive view of the organisation for all situations. In using thisdocument, it should be treated as giving guidelines for sound and prudent practice on which our advice should bebased, but guidelines should be reviewed in each particular case by the responsible person in each project to ensurethat the particular circumstances of that project are addressed in a way which is adequate and appropriate to ensurethat the overall advice given is sound and comprehensive.

Whilst great care and reasonable precaution has been taken in the preparation of this document to ensure that thecontent is correct and error free, no responsibility or liability can be accepted by GL Noble Denton for any damage orloss incurred resulting from the use of the information contained herein.

© 2010 Noble Denton Group Limited, who will allow:  the document to be freely reproduced,

  the smallest extract to be a complete page including headers and footers but smaller extracts may bereproduced in technical reports and papers, provided their origin is clearly referenced.

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GUIDELINES FOR LOADOUTS

CONTENTSSECTION PAGE NO.

1  SUMMARY 5 

INTRODUCTION 6 2.1  Scope 6 

2.2  Revisions 6 

2.3  Downloads 8 

3  DEFINITIONS 9 

4  THE APPROVAL PROCESS 12 

4.1  General 12 

4.2  GL Noble Denton Approval 12 

4.3  Certificate of Approval 12 

4.4  Scope of Work Leading to an Approval 12 

4.5  Limitation of Approval 12 

4.6  Safety During Loadout 13 

5  CLASSES OF LOADOUT 14 

6  STRUCTURE TO BE LOADED 15 

6.1  Design 15 

6.2  Weight Control 16 

7  SITE AND QUAY 17 

7.1  Site Capacity 17 

7.2  Marine Aspects 17 

7.3  Loadout Path 17 

8  BARGE 18 

8.1  Class 18 

8.2 

Stability 18 

8.3  Barge Freeboard 18 

9  LINK BEAMS, SKIDWAYS AND SKIDSHOES 19 

10  MOORINGS 20 

11  GROUNDED LOADOUTS 21 

12  PUMPING AND BALLASTING 22 

13  LOADOUTS BY TRAILERS, SPMTS OR HYDRAULIC SKID-SHOES 24 

13.1  Structural Capacity 24 

13.2  Load Equalisation & Stability 24 

13.3  Vertical Alignment 24 

13.4  Skidshoes 24 

14 

PROPULSION SYSTEM DESIGN, REDUNDANCY AND BACK-UP 25 

15  LIFTED LOADOUTS 28 

16  TRANSVERSE LOADOUTS 29 

17  BARGE REINSTATEMENT AND SEAFASTENINGS 30 

18  TUGS 31 

19  MANAGEMENT AND ORGANISATION 32 

REFERENCES 33 

 APPENDIX A - CHECK LIST OF INFORMATION REQUIRED FOR APPROVAL 34 

TABLES

Table 5-1 

Loadout Classes 14 

Table 6-1  Load Factors 15 

Table 10-1 Seastate Reduction Factor 20 

Table 12-1  Required Pump Capacity 22 

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Table 12-2  Example of required pumping capacity calculation 23 

Table 14-1  Propulsion System Design 26 

Table 14-2  Typical Friction Coefficients 27 

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GUIDELINES FOR LOADOUTS

1  SUMMARY1.1  These Guidelines have been developed for the loadout of items including offshore jackets, SPAR

sections, modules, bridges and components from the shore onto floating or grounded barges and

ships.1.2

 

The principles of these Guidelines can also be applied to the load-in of structures onto the shore froma floating vessel/barge.

1.3  This document supersedes the previous revision, document no 0013/ND Rev 5 dated 31 March 2010.The only significant changes are in the Mooring Sections 10.2 to10.8 and the inclusion of Section 8.3.

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1.4  These Guidelines are intended to lead to an approval by GL Noble Denton, which may be soughtwhere an operation is the subject of an insurance warranty, or where an independent third party reviewis required.

1.5 

 A description of the Approval Process is included, for those projects which are the subject of aninsurance warranty.

1.6  This document includes the requirements for consideration, intended to represent sound practice, forthe structure to be loaded, loadout site, link beams and skidways, trailers, pumping and ballasting, jacking systems and winches, grounded loadouts, transverse loadouts, moorings, seafastenings, tugsand weather forecasts.

1.7  Methods for lifted loadouts are derived from GL Noble Denton’s 0027/ND “Guidelines for Marine LiftingOperations”, Ref. [1].

1.8  Check lists are appended, to act as a guide to information required.

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GUIDELINES FOR LOADOUTS

2  INTRODUCTION

2.1  SCOPE

2.1.1 

This document refers to the transfer of a cargo onto a barge or vessel by horizontal movement or bylifting, including structures such as jackets, SPAR sections, modules, topside components and bridges.It contains general recommendations and checklists of information required to allow approval of suchoperations by GL Noble Denton.

2.1.2  The guidelines and calculation methods set out in this document represent the views of GL NobleDenton and are considered sound and in accordance with offshore industry practice. Operators shouldalso consider national and local regulations, which may be more stringent.

2.1.3 

Due to the wide range of loadout and loadin methods, this document cannot cover all aspects of everyloadout or loadin scheme. Alternative proposals and methods will be considered on their own merits,and can be approved if they are shown to be in accordance with safe practice.

2.1.4  This document applies particularly to skidded and trailer transported floating loadouts, in tidal waters.

The varying requirements for grounded loadouts, or loadouts accomplished by lifting are also included.Reference to a 'barge' includes a 'ship' or a 'vessel' as applicable.

2.1.5  For lifted loadouts, the factors to be applied to rigging arrangements, lift points and structure may bederived from the latest revision of GL Noble Denton 0027/ND “Guidelines for Marine LiftingOperations”, Ref. [1]. It should be noted that Ref. [1], although aimed primarily at offshore liftingoperations, also includes methods and factors for lifts by floating cranes inshore, and for loadouts byshore-mounted cranes.

2.1.6  These guidelines are intended to lead to an approval by GL Noble Denton. Such approval does notimply that approval by designers, regulatory bodies and/or any other party would be given.

2.2  REVISIONS

2.2.1  Revision 2 dated 1 April 2002 superseded and replaced the previous Revision 1 dated 7 July 1993.Changes introduced in Revision 2 included:

  The inclusion of a Definitions Section

  Expansion of the Section on Limitation of Approval

  The introduction of the concept of classes of loadout, depending primarily on the tidal conditions

  Reference to the Draft ISO Standard on Weight Control

  Relaxation of under-keel clearance requirements.

  Expansion of the Section on Moorings

  Relationship of pumping requirements to the loadout class

  Relationship of propulsion, braking and pull-back system requirements to the loadout class

 

Limited allowance of friction for temporary seafastenings

  Reformatting and Section renumbering as necessary.

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2.2.2  Revision 3 superseded and replaced Revision 2. Changes included:

  Classes of loadout reduced from 6 classes to 5 (Sections 5, 12 and14.7)

  Reference to the ISOweight control standard, to reflect the change from a Draft to a publishedStandard (Section6.2)

 

Introduction of stability considerations for floating barges (Section 8.2)

  Reference to GL Noble Denton’s transportation guideline, for post-loadout stability (Section8.2.2)

  Consideration of stability of hydraulic trailer systems (Section 13.2.2)

  Introduction of a new section on transverse loadouts (Section 16)

  Modifications to the loading definition and stress levels for barge movements following loadout(Sections17.2 and17.4)

  Minor changes to the checklist of information required for approval (Appendix A)

  Deletion of the previous flow chart for lifted loadouts (previous Appendix B), which can beobtained from GL Noble Denton’s 0027/ND Lifting guideline, Ref. [1]

2.2.3  Revision 4 superseded and replaced Revision 3. Changes included:

   Addition of Sections 1.2, 4.5.5, 4.6, 6.2.6 to 6.2.8, 10.9, 11.10 to 11.12, 13.1.4, 13.3, 14.11,15.5, 16.6 and 16.7.

   Additions and revision to some Definitions.

  Minor text revisions (Sections 4.3.4, 6.1.2, 6.2.4, 7.1.1, 7.2.1, 8.2, 10.1, 10.6, 10.7, 13.2.3, 14.7 and17.3).

 

Change in the one third overload allowance in Sections 6.1.7 to6.1.10.

   Addition of requirements for site moves and trailer path grading (Section7.3).

  Skidway line and level documentation (Section 9.7) and Sections 9.8 and9.9 added.

 

 Additional safety factor included for single line failure mooring cases (Sections10.4 and10.5).

   Additional requirements for lifted loadouts (Sections15.2, 15.3, and15.4).

   Addition of tug inspection (Section18.3).

  Removal of Section 12.9 and the addition of an example for pumping system requirements inSection 12.9.

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2.2.4  Revision 5 superseded and replaced Revision 4. Significant changes included:

  Text in Sections 2.1.1 and2.1.2 amended

  Definitions (Barge, Insurance Warranty, IACS, Loadout, NDT, Survey, Sur veyor, Vessel,Weather Restricted Operation, and Weather Un-restricted Operations) in Section 3 revised.

 

Text in Section 4.3.2 revised to state loadout.

  Link beam adequacy in Section 4.5.3.included.

  Skidway tolerances included in Section 6.1.5.

  1% load cell accuracy deleted from Section 6.2.5.

  Class reinstatement added in Section 8.1.4 and Section 17.7 included.

  Grounding pad area and depth added to Section 11.1.

  Text added to Section 13.2.2 for stability of 3-point support.

  Text in Section 14.3  and Table 14-1  for Class 2 skidded loadout pull-back and braking,requirements changed from “Required” to “Recommended”. Slope changed to gradient.

 

Weight and CoG tolerances included in Section 16.7.  Requirements for weight reports and weighing enhanced in Section A.1.2 below.

  Link beam construction reports added in Section A.2.8.

  Reference to IACS for rigging added in Section A.8.4 and Section A.9.4.

2.2.5  This Revision 6 supersedes and replaces Revision 5. Theonly significant changes (indicated by a linein the right hand margin is in the Mooring Sections 10.2 to 10.8 which includes the new 0032/ND“Guidelines for Moorings”, Ref. [3] and the inclusion of a new Section8.3 on barge freeboard.

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2.3  DOWNLOADS

2.3.1 

 All GL Noble Denton Guidelines can be downloaded fromwww.gl-nobledenton.com.

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3  DEFINITIONS3.1  Referenced definitions are underlined.

Term or Acronym Definition

 Approval The act, by the designated GL Noble Denton representative, of issuing aCertificate of Approval.

Barge A non-propelled vessel commonly used to carry cargo or equipment.(For the purposes of this document, the term Barge can be considered toinclude Vessel or Ship where appropriate).

Certificate of Approval A formal document issued by GL Noble Denton stating that, in its judgement and opinion, all reasonable checks, preparations andprecautions have been taken to keep risks within acceptable limits, andan operation may proceed.

GL Noble Denton Any company within the GL Noble Denton Group including anyassociated company which carries out the scope of work and issues aCertificate of Approval, or provides advice, recommendations or designsas a consultancy service.

Gradient The maximum angle over the distance between supports that the loadoutskidway, barge deck and/or trailer loadout path makes with the horizontalplane.

IACS International Association of Classification Societies

Insurance Warranty A clause in the insurance policy for a particular venture, requiring theassured to seek approval of a marine operation by a specified

independent survey house.Link beam/ linkspan The connecting beam between the quay and the barge or vessel. It may

provide a structural connection, or be intended solely to provide a smoothpath for skidshoes or trailers /SPMTs.

Loadin The transfer of a structure from a barge or vessel onto land by horizontalmovement or by lifting.

Loadout The transfer of a structure onto a barge or vessel by horizontal movementor by lifting.

Loadout, floating A Loadout onto a floating barge or vessel.

Loadout Frame A structural frame that supports the structure during fabrication andloadout and may support the structure on a barge/vessel to the site. Mayalso be called a Module Support Frame (MSF).

Loadout, grounded A Loadout onto a grounded barge or vessel.

Loadout, lifted A Loadout performed by crane.

Loadout, skidded A Loadout where the Structure is skidded, using a combination ofskidways, skidshoes or runners, propelled by jacks or winches.

Loadout, trailer A Loadout where the Structure is wheeled onto the barge or vessel usingTrailers or SPMTs.

LRFD Load Resistance Factor Design.

MHWS Mean High Water on Spring Tides.

MLWS Mean Low Water on Spring Tides.

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Term or Acronym Definition

MSF Module Support Frame

NDT Non Destructive Testing

Operational referenceperiod

The planned duration of the operation, including a contingency period.

Seafastenings The means of restraining movement of the loaded structure on or withinthe barge or vessel

Site Move An operation to move a structure or partially assembled structure in theyard from one location to another. The site move may precede a loadoutif carried out as a separate operation or may form part of a loadout. Thesite move may be subject to approval if so desired.

Skidshoe A bearing pad attached to the Structure which engages in the Skidwayand carries a share of the vertical load.

Skidway The lower continuous rails, either on the quay or on the barge, on whichthe Structure is loaded out, via the Skidshoes.

SLS A design condition defined as a normal Serviceability Limit State / normaloperating case.

SPMT Self-Propelled Modular Transporter – a trailer system having its ownintegral propulsion, steering, jacking, control and power systems.

Structure The object to be loaded out

Surge A change in water level caused by meteorological conditions

Survey Attendance and inspection by a GL Noble Denton representative.

Other surveys which may be required for a marine operation, includingsuitability, dimensional, structural, navigational, and Class surveys.

Surveyor The GL Noble Denton representative carrying out a survey.

 An employee of a contractor or Classification Society performing, forinstance, a suitability, dimensional, structural, navigational, or Classsurvey.

Tidal Range Where practicable, the tidal range referred to in this document is thepredicted tidal range corrected by location-specific tide readings obtainedfor a period of not less than one lunar cycle before the operation.

Trailer A system of steerable wheels, connected to a central spine beam byhydraulic suspension which can be raised or lowered. Trailer modulescan be connected together and controlled as a single unit. Trailersgenerally have no integral propulsion system, and are propelled bytractors or winches. See also SPMT.

ULS A design condition defined as Ultimate Limit State / survival storm case.

Vessel A marine craft designed for the purpose of transportation by sea.

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Term or Acronym Definition

Weather restrictedoperation

 A marine operation which can be completed within the limits of anoperational reference period with a favourable weather forecast(generally less than 72 hours), taking contingencies into account. Thedesign environmental condition need not reflect the statistical extremesfor the area and season. A suitable factor should be applied between thedesign weather conditions and the operational weather limits.

Weather un-restrictedoperation

 An operation with an operational reference period generally greater than72 hours. The design weather conditions for such an operation shall beset in accordance with extreme statistical data for the area and season.

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GUIDELINES FOR LOADOUTS

4  THE APPROVAL PROCESS

4.1  GENERAL

4.1.1 

GL Noble Denton may act as a Warranty Surveyor, giving Approval to a particular operation, or as aConsultant, providing advice, recommendations, calculations and/or designs as part of the Scope ofWork. These functions are not necessarily mutually exclusive.

4.2  GL NOBLE DENTON APPROVAL

4.2.1  GL Noble Denton means any company within the GL Noble Denton Group including any associatedcompany which carries out the scope of work and issues a Certificate of Approval.

4.2.2  GL Noble Denton approval may be sought where an operation is the subject of an Insurance Warranty,or where an independent third party review is required.

4.2.3   An Insurance Warranty is a clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent survey house. The requirement is normallysatisfied by the issue of a Certificate of Approval. Responsibility for interpreting the terms of theWarranty so that an appropriate Scope of Work can be defined rests with the Assured.

4.3  CERTIFICATE OF APPROVAL

4.3.1  The deliverable of the approval process will generally be a Certificate of Approval.

4.3.2 

The Certificate of Approval is the formal document issued by GL Noble Denton when, in its judgementand opinion, all reasonable checks, preparations and precautions have been taken to keep risks withinacceptable limits, and an operation may proceed.

4.3.3  The Certificate confirming adequate preparation for an operation will normally be issued immediatelyprior to the start of the operation, by the attending surveyor.

4.4  SCOPE OF WORK LEADING TO AN APPROVAL

4.4.1 

In order to issue a Certificate of Approval for a loadout, GL Noble Denton will typically consider, asapplicable, the topics and information listed in Appendix A.

4.4.2  Technical studies leading to the issue of a Certificate of Approval may consist of:

a. 

Reviews and audits of procedures and calculations submitted by the client or his contractors, or

b.  Independent analyses carried out by GL Noble Denton to verify the feasibility of the proposals,or

c.   A combination of third party reviews and independent analyses.

4.4.3 

Surveys required typically include preliminary surveys of the barge, structure and site; attendance atloadout meetings; surveys of readiness to start loadout and witnessing of loadout operation.

4.5 

LIMITATION OF APPROVAL4.5.1   A Certificate of Approval is issued for a particular loadout only.

4.5.2 

 A Certificate of Approval is issued based on external conditions observed by the attending surveyor ofhull(s), machinery and equipment, without removal, exposure or testing of parts.

4.5.3 

Fatigue damage is excluded from any GL Noble Denton approval, unless specific instructions arereceived from the client to include it in the scope of work.

4.5.4   A Certificate of Approval for a loadout covers the marine operations involved in the loadout only.Loadout is normally deemed to start at the time when the structure is either moved from itsconstruction support(s) or the structure first crosses the edge of the quay or linkbeam. It is normallydeemed to be completed at the end of the marine operations forming part of the loadout, including setdown on the barge, completion of required initial seafastening to turn the barge, and turning the barge

back to the quay if carried out on the same tide as loadout.

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4.5.5   A Certificate of Approval for a loadin covers the marine operations involved in the loadin only. Loadinis normally deemed to start at the time when the structure is moved from its barge grillage support(s),and all barge ballasting and mooring activities are complete. It is normally deemed to be completed atthe end of the operations forming part of the loadin procedure, including set down on the shoresupports.

4.5.6 

Unless specifically included, a Certificate of Approval for loadout does not include any moorings of thebarge or vessel following completion of loadout or loadin. If approval of moorings is required, otherthan for the loadout or loadin operation itself, then specific approval should be requested.

4.5.7   Any alterations to the surveyed items or agreed procedures after issue of the Certificate of Approvalmay render the Certificate invalid unless the changes are approved by GL Noble Denton in writing.

4.6  SAFETY DURING LOADOUT

4.6.1  During the loadout there will be a number of construction activities ongoing and hazards present foroperations that will be carried out in a relatively short period of time. The Surveyor, and all othersinvolved in loadout operations, should be aware of these hazards and participate in the fabrication yardsafety culture that prevails. Some hazards are, but not limited to those listed below:

 

Wires under tension

  Trip hazards, grease on decks and hydraulic oil leaks

  Openings in the barge deck

  High pressure hoses/equipment

  Temporary access bridges /scaffolding /wire hand railing

  Hot works

  Overside working

  Other shipping operations in the vicinity.

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5  CLASSES OF LOADOUTThe loadout operation will be classed according to the tidal conditions. Requirements for design,reserves and redundancy of mechanical systems will vary according to the class of loadout.

Table 5-1 Loadout Classes

Class Tidal limitations

1The tidal range is such that regardless of the pumping capacity provided, it is notpossible to maintain the barge level with the quay throughout the full tidal cycle, and theloadout must be completed within a defined tidal window, generally on a rising tide.

2The tidal range is such that whilst significant pumping capacity is required, it is possibleto maintain the barge level with the quay during the full spring tidal cycle, and for atleast 24 hours thereafter.

3Tidal range is negligible or zero, and there are no tidal constraints on loadout. Pumping

is required only to compensate for weight changes as the loadout proceeds.

4Grounded loadout, with tidal range requiring pumping to maintain ground reactionand/or barge loading within acceptable limits.

5Grounded loadout requiring no pumping to maintain ground reaction and/or bargeloading within acceptable limits.

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6  STRUCTURE TO BE LOADED

6.1  DESIGN

6.1.1 

The item to be loaded, hereafter called the 'structure', shall be designed taking into account static anddynamic loads, support conditions, environmental loads and loads due to misalignment of the bargeand shore skidways or uneven ballasting.

6.1.2  For skidded loadouts, analyses which account for the structure and skidway should be presentedwhich consider the elasticity, alignment and as-built dimensions of the shore and barge skidways foreach stage of loadout. In the absence of detailed information, a 75/25 percent distribution of loadacross either diagonal may be considered as appropriate.

6.1.3 

For trailer or SPMT loadouts, the reactions imposed by the trailer configuration shall be considered.

6.1.4  For lifted loadouts, the structure, including the padeyes, shall be analysed for the loads and reactionsimposed during the lift, as set out in 0027/ND, Ref. [1]

6.1.5  The str ucture and supports shall be demonstrated as being capable of withstanding the subsidence of

any single support with respect to the others by at least 25mm.6.1.6

 

Consideration shall also be given to lifting off construction supports or onto seafastening supportswhere these operations form an integral part of the loadout operation.

6.1.7 

The primary structure shall be of high quality structural steelwork with full material certification andNDT inspection certificates showing appropriate levels of inspection. It shall be assessed using themethodology of a recognised and applicable offshore code including the associated load andresistance factors for LRFD codes or safety factors for ASD/WSD codes.

6.1.8 

Traditionally AISC has also been considered a reference code - see Section 6.1.9 below regarding itsapplicability. If the AISC 13th edition is used, the allowables shall be compared against memberstresses determined using a load factor on both dead and live loads of no less than those detailed inthe following Table 6-1.

Table 6-1 Load Factors

Type WSD option LRFD Option

SLS: 1.00 1.60

ULS: 0.75 1.20

6.1.9 

Except as allowed by Section 17.4, all load cases shall be treated as a normal serviceability limit state(SLS) / Normal operating case.

6.1.10 

The infrequent load cases covered by Section 17.4 may be treated as ultimate limit state (ULS) /Survival storm cases. This does not apply to:

 

Steelwork subject to deterioration and/or limited initial NDT unless the condition of the entireloadpath has been verified, for example the underdeck members of a barge or ship.

  Steelwork subject to NDT prior to elapse of the recommended cooling and waiting time asdefined by the Welding Procedure Specification (WPS) and NDT procedures. In cases wherethis cannot be avoided by means of a suitable WPS, it may be necessary to impose a reductionon the design/permissible seastate.

  Steelwork supporting sacrificial bumpers and guides.

  Spreader bars, lift points and primary steelwork of lifted items.

  Structures during a load-out.

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6.2  WEIGHT CONTROL

6.2.1  Weight control shall be performed by means of a well defined, documented system, in accordance withcurrent good practice, such as International Standard ISO 19901-5 – Petroleum and natural gasindustries – specific requirements for offshore structures – Part 5: Weight control during engineering

and construction, Ref. [4]

6.2.2  Ref. [4] states (inter alia) that:

  “Class A (weight control) will apply if the project is weight- or CoG- sensitive for lifting andmarine operations or during operation (with the addition of temporaries), or has manycontractors with which to interface. Projects may also require this high definition if risk givescause for concern”.

  “Class B (weight control) shall apply to projects where the focus on weight and CoG is lesscritical for lifting and marine operations than for projects where Class A is applicable”.

  “Class C (weight control) shall apply to projects where the requirements for weight and CoGdata are not critical”.

6.2.3 

Unless it can be shown that a particular structure and specific loadout operation is not weight or CoGsensitive, then Class A weight control definition will be needed, as shown in Ref. [4], Section 4.2. If the50/50 weight estimate as defined in Ref. [4] is derived, then a reserve of not less than 5% shall beapplied. The extremes of the CoG envelope shall be used.

6.2.4 

 A reserve of not less than 3% shall be applied to the final weighed weight.

6.2.5 

If weighing takes place shortly before loadout, the effect on the loadout procedures of any weightchanges shall be assessed, and the procedures modified if necessary.

6.2.6  Prior to any structure being weighed, a predicted weight and CoG report shall be issued, so that theweighed weight and CoG can immediately be compared with the predicted results.

6.2.7 

 Any items added after weighing shall be carefully monitored for weight and position to facilitate

accurate calculation of a final loadout weight and centre of gravity.6.2.8   A responsible engineer shall provide a statement verifying the adequacy of existing calculations and

analyses following reconciliation with the weight and CoG values used in those analyses and the finalderived weight values following weighing.

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GUIDELINES FOR LOADOUTS

7  SITE AND QUAY

7.1  SITE CAPACITY

7.1.1 

 A statement shall be submitted showing the adequacy for the loadout of the quay, quay approaches,wall and foundations. This can be in the form of historical data.

7.1.2 

 A statement shall be submitted showing the capacity of all mooring bollards, winches and otherattachments to be used for the loadout.

7.1.3 

Compatibility between quay strength and elasticity, and the support conditions used for analysis of thestructure, shall be demonstrated where appropriate.

7.2  MARINE ASPECTS

7.2.1  Bathymetric information for the area covered or crossed by the barge during loadout, post-loadoutoperations and sailaway shall be supplied. Underkeel clearance shall not normally be less than 1.0 mduring the period for which the barge is in position for loadout. This may be relaxed to 0.5 m, subjectto confidence in the lowest predicted water levels, and provided a check of the loadout area has beenmade by bar sweep, divers’ inspection or side-scan survey sufficiently recently to represent actualconditions at the time of loadout. Where there is a risk of debris reducing underkeel clearance, asweep shall be made immediately prior to the barge berthing to ensure that no debris exists that coulddamage the barge keel plating. The results of the sweep shall be confirmed by further soundingscheck around the barge perimeter after barge berthing.

7.2.2  For tidal loadouts, an easily readable tide gauge shall be provided adjacent to the loadout quay in sucha location that it will not be obscured during any stage of the loadout operation. Where the tide level iscritical, the correct datum should be established.

7.2.3 

Port authority approval for the operation should be obtained, and control of marine traffic instituted, asrequired.

7.3 

LOADOUT PATH7.3.1

 

The loadout path shall be freshly graded prior to loadout, pot holes filled and compacted, debrisremoved and obstructions to the loadout path identified and removed.

7.3.2  Where a structure cannot be loaded out directly onto a barge or vessel without turning, turning radiishall be maximised where possible. For small turning radii, lateral supports /restraints shall beinstalled between the trailer and the structure /loadout frame /cribbage. It is possible that a site movemay be part of the loadout operation.

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GUIDELINES FOR LOADOUTS

8  BARGE

8.1  CLASS

8.1.1 

The barge shall be classed by a recognised IACS Member. Alternatively, structural drawings andresults of structural analyses shall be supplied to GL Noble Denton for review. Additional surveys maybe required by GL Noble Denton.

8.1.2  The loads induced during loadout, including longitudinal bending, loads on internal structure and localloads, shall be checked to be within the approved design capabilities.

8.1.3 

Mooring attachments and all attachments for jacking or winching shall be demonstrated to be adequatefor the loads anticipated during or after loadout. See also Section10.

8.1.4  Some loadout operations may temporarily invalidate the class or loadline certificate, and it will benecessary for any items temporarily removed for loadout be reinstated after loadout. This may apply if,for instance, holes have been cut in the deck for ballasting, if towing connections have been removedor, in some instances, after grounding on a pad. In such cases the vessel must be brought back into

class prior to sailaway.

8.2  STABILITY

8.2.1 

Barge stability shall be shown to be adequate throughout the loadout operation. Particular attentionshould be paid to:

   A loadout onto a barge with a small metacentric height, where an offset centre of gravity mayinduce a heel or trim as the structure transfer is completed – i.e. when any transverse momentceases to be restrained by the shore skidways or trailers.

   A loadout where there is a significant friction force between the barge and the quay wall,contributed to by the reaction from the pull on system and the moorings. The friction may cause“hang-up” by resisting the heel or trim, until the pull-on reaction is released, or the friction force

is overcome, whereupon a sudden change of heel or trim may result. (See also Section 14.5).  Cases where a change of wind velocity may cause a significant change of heel or trim during

the operation.

8.2.2   After the structure is fully on the barge, then stability should comply with the requirements of 0030/ND“Guidelines for Marine Transportations”, Ref. [2] and those of the flag state.

8.3  BARGE FREEBOARD

8.3.1 

The minimum barge freeboard during loadout shall be 0.5 m plus 50% of the maximum wave heightexpected during the loadout operation. The bunding of openings in the barge deck shall also beconsidered for low freeboards.

6

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GUIDELINES FOR LOADOUTS

9  LINK BEAMS, SKIDWAYS AND SKIDSHOES9.1  Documentation including a statement showing the strength of the skidways, link beams and skid shoes

shall be submitted, demonstrating compatibility with the statements made and assumptions used for

the structural analysis.9.2

 

Link beams shall be checked for loads induced by barge moorings, barge movements and pull on/pullback forces.

9.3 

Tolerances on link beam movement shall be shown to be suitable for anticipated movements of thebarge during the operation.

9.4 

Where a barge, because of tidal limitations, has to be turned within the loadout tidal window the designof the link beams shall be such that when the loaded unit is in its final position they are not trapped, i.e.they are free for removal.

9.5 

Suitable lateral guides shall be provided along the full length of skidways.

9.6 

Sufficient articulation or flexibility of skid shoes shall be provided to compensate for level and slope

changes when crossing from shore to barge.9.7  The line and level of the skidways and skidshoes shall be documented by dimensional control surveys

and reports. The line and level shall be within the tolerances defined for the loadout operation andskidway/skidshoe design.

9.8  For floating loadouts care shall be taken to ensure that minimum friction exists between the barge andquay face. Where the quay has a rendered face, steel plates shall be installed in way of the bargefendering system.

9.9 

The interface between the barge and barge fendering shall be liberally lubricated with a grease orother substitute which complies with local environmental rules.

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GUIDELINES FOR LOADOUTS

10  MOORINGS10.1   A loadout may normally be considered a weather restricted operation. Limiting weather conditions for

the loadout operation shall be defined, taking into account:

 

the forecast reliability for the area

  the duration of the operation including a suitable contingency period

  the exposure of the site

  the time required for any operations before or after the loadout operation including bargemovements and moorings, ballasting, system testing, final positioning and initial seafastening

  currents during and following the operation, including blockage effects if applicable

  the wind area of the cargo and the barge/vessel.

10.2 

Unless agreed otherwise with GL Noble Denton, for loadout operations with an operational duration ofno more than 24 hours the maximum forecast seastate shall not exceed the design seastate multiplied

by the applicable factor from Table 10-1 below. For operations with other durations alternative factorsapply and should be agreed with GL Noble Denton. The forecast wind and current shall be similarlyconsidered when their effects on the operation or structure are significant.

Table 10-1 Seastate Reduction Factor

Weather Forecast Provision Reduction Factor

No project-specific forecast (in emergencies only) 0.50

One project-specific forecast source 0.65

One project-specific forecast source plus local wave monitoring (waverider buoy)

0.70

One project-specific forecast source plus local wave monitoring and localmeteorologist

0.75

610.3 

Moorings for the loadout operation shall be designed for the limiting weather as defined in Sections10.1 and10.2 above.

10.4  The analysis of environmental forces for the barge/vessel mooring arrangement, and the resultingdesign of the mooring system shall be carried out in accordance with 0032/ND “Guidelines forMoorings”, Ref [3].

10.5 

New synthetic lines/ropes, if used, should be pre-stretched.

10.6  If the mooring load is to be held on the winch brake, then the winch brake capacity, with the outer wrapon the drum, should exceed the maximum mooring design load (intact or damaged) times by a

minimum factor of 1.2.  Where winches are used, tension monitoring devices/meters shall be used.

10.7  In cases where existing yard loadout mooring equipment is being used, wires and winches maysometimes be offered which have a breaking load greater than the barge equipment to which they areconnected. Great care is needed in such situations, and the wire loadings should be controlled andmonitored.

10.8  Mooring prior to and after loadout shall normally be considered an unrestricted operation. If approvalis required for such moorings, they shall normally be designed to the 10 year return period storm forthe area and season and in accordance with 0032/ND, Ref [3].

10.9  Safety factors in mooring design may be reduced on a case by case basis on the submission of riskmitigation measures, provision of standby tugs, restricted operations or rigorous mooring designcalculations.

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GUIDELINES FOR LOADOUTS

11  GROUNDED LOADOUTS11.1  The plan area of the grounding pad with respect to the barge keel shall be of sufficient extent to ensure

stability of the edges of the grounding pad. Geotechnical site investigation data shall be submitted

together with geotechnical calculations demonstrating the capacity of the grounding pad.11.2

 

 A survey of levels over an area including the grounding pad shall be submitted, showing suitablesupport conditions for the barge.

11.3   A bar sweep or side-scan survey, supported by divers’ inspection if appropriate, shall be made justbefore positioning the barge, to ensure that no debris exists which could damage the barge bottomplating.

11.4 

If even support over the barge bottom plating cannot be achieved, then calculations shall be submittedshowing that no overstress will occur.

11.5 

The barge shall be ballasted to provide sufficient ground reaction to withstand the 10 year return periodstorm loadings, in both pre and post-loadout conditions, at mean high water spring tide and 10 yearstorm surge condition.

11.6 

The barge should be positioned and ballasted onto the pad several tides before the loadout operation,to allow for consolidation and settlement. Barge levels should be monitored during this time.

11.7 

Final skidway levels shall be compatible with assumptions used for structural analysis as in Sections6.1.1 and6.1.2.

11.8 

The ballast shall be adjusted during loadout, if required, to avoid barge settlement or overstress.

11.9   A plan shall be prepared for the initial seafastening and float-off operation following completion ofloadout.

11.10  Even when the barge is on the grounding pad, mooring lines between the barge and quayside shall bemaintained.

11.11  Between loadout and sailaway, the barge keel shall be inspected, either by diver survey or internal

tank inspection, in order to maintain the barge in class. Class surveyor attendance will be required.11.12  The grounding pad elevation shall be defined based on the actual depth of the barge and not the

moulded barge depth.

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GUIDELINES FOR LOADOUTS

12  PUMPING AND BALLASTING12.1  Pumping capacity shall be provided as follows, depending on the Class of loadout as defined in

Section 5, and to satisfy each Condition as defined below:

Condition A:  The nominal maximum pump capacity computed for the loadout as planned, tocompensate for tidal changes and weight transfer, with no contingencies.

Condition B:  The computed capacity required, as a contingency, to hold the barge level withthe quay, at the maximum rate of a rising or falling tide, assuming horizontalmovement of the structure is halted.

Condition C:  The computed capacity required, as a contingency, to provide the requirementsof either Condition A or Condition B, whichever is the greater, in the event of thefailure of any one pump, component or pumping system. Where two or morepumps are supplied from a common power source, this shall count as a singlesystem.

Table 12-1 Required Pump Capacity

Loadout Class ConditionPump capacity required, as a percentage of

computed capacity

 A 150%

B 150%1

(Tidal window)C 120%

 A 150%

B 120%

2

(Constant deck level>24hrs) C 100%

 A 100%

B No requirements3

(Little ti de)C 75%

 A 120%

B 120%4

(Grounded + pumping)C 100%

5 (Grounded)  All No requirements

12.2  Pump capacity shall be based on the published pump performance curves, taking account of themaximum head for the operation, and pipeline losses.

12.3 

If the barge pumping system is used as part of the main or back-up pump capacity, then a bargeengineer familiar with the system shall be in attendance throughout the operation. The loadoutcommunication system should include the pumproom.

12.4   All pumps and systems shall be tested and shown to be operational within 24 hours of the start ofloadout. At the discretion of the GL Noble Denton surveyor, a verification of pump capacity may berequired.

12.5  Pumps which require to be reversed in order to be considered as part of the back-up capacity shall becapable of such reversal within 10 minutes, and adequate resources shall be available to perform thisoperation.

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GUIDELINES FOR LOADOUTS

12.6  Pumps which require to be moved around the barge in order to be considered as part of the back-upcapacity, shall be easily transportable, and may only be so considered if free access is provided at allstages of loadout between the stations at which they may be required. Adequate resources shall beavailable to perform this operation.

12.7 

Ballast and barge levels shall be monitored during loadout, and shown to be within the limits ofmovements of any link beams and the structural limitations of the barge and structure.

12.8  Where a barge, vessel or ship has a compressed air ballast/de-ballast system the time lag needed topressurise or de-pressurise a tank should be taken into account, as should any limitations ondifferential pressure across a bulkhead.

12.9 

The following table gives an example for a Class 2 Loadout that assumes that the worst single systemfailure reduces the pumping capacity to 80% of the full capacity (with any consistent units).

Table 12-2 Example of required pumping capacity calculation

Condition Nominal capacity Factor Required capacity

 A 1,000 150% 1,500

B 1,100 120% 1,320

C 1,100 (Condition B) / 80% = 1,375 100% 1,375

Required 1,500  (Condition A)

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GUIDELINES FOR LOADOUTS

13  LOADOUTS BY TRAILERS, SPMTS OR HYDRAULIC SKID-SHOES

13.1  STRUCTURAL CAPACITY

13.1.1 

Maximum axle loading shall be shown to be within the trailer manufacturer's recommended limits.13.1.2  "Footprint" pressure on the quayside, linkbeam and barge deck shall be shown to be within the

allowable values.

13.1.3  Shear force and bending moment curves shall be prepared for the trailer spine structure, andmaximum values shall be shown to be within the manufacturer's allowable figures.

13.1.4  Linkspan bridge capacity shall be demonstrated by calculation and these calculations shall form part ofthe loadout procedure.

13.2  LOAD EQUALISATION & STABILITY

13.2.1  In general, hydraulic systems should be linked or balanced as a three point hydraulically linked systemto provide a statically determinate support system thus minimising torsion on the structure. In any

event the arrangement shall be compatible with the support assumptions considered for structuralanalysis of the structure being loaded out. A contingency plan shall be presented to cover potentialhydraulic leakage or power pack failure.

13.2.2  Stability of the hydraulic system to resist overturning shall be shown to be adequate, particularly whena 3-point hydraulic linkage system is proposed. The centre of action of the structure CoG shall remainwithin the middle quarter of the trailer support base, taking into account any uncertainty in:

  the horizontal and vertical centre of gravity,

  the design wind,

  any inclination of the structure/trailer assembly on shore,

  the predicted inclination of the barge under the design wind,

 

possible change of heel or trim due to release of hang-up between the barge and the quay, and  any free surface liquids within the structure.

Note:  Whilst a 3-point linkage system results in a determinate support system, a 3-point supportsystem is generally less stable than a 4-point support system. Stability for both 3 point and 4point support systems shall be documented.

13.2.3  Loadouts with high slender structures on narrow support bases, or offset from the barge centreline,shall be subject to special attention in terms of the effects of uncertainties in ballasting and de-ballasting.

13.3  VERTICAL ALIGNMENT

13.3.1 

Vertical alignment of barge, linkbeam and quay, including the effects of any change of slope and any

movement of the barge due to wave or swell action, should generally be within approximately one thirdof the maximum travel of the axles relative to the trailer spine.

13.4  SKIDSHOES

13.4.1 

 As appropriate, the requirements for trailers and SPMTs shall also apply to hydraulically operatedskidshoes. The stability of hydraulic skidshoes transverse to their line of action shall be demonstratedto be adequate. Attention should be paid to the effects listed in Section13.2.2.

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GUIDELINES FOR LOADOUTS

14  PROPULSION SYSTEM DESIGN, REDUNDANCY AND BACK-UP14.1  The propulsion system, including back-up and contingency systems shall be designed according to the

Class of loadout as defined in Table 5-1, and as shown in Table 14-1 . Requirements for skidded

loadouts include propulsion by wire and winch, hydraulic jacks or stand jacks. Requirements for non-propelled trailer loadouts include propulsion by wire and winch or tractors.

14.2 

“System redundancy” means that adequate back-up systems shall be provided such that the loadoutcan still proceed in the event of failure of any one mechanical component, hydraulic system, controlsystem, prime mover or power source.

14.3  Where Table 14-1 states that a requirement is “recommended” and it is not planned to provide thatrequirement, a risk assessment shall be carried out, and the risks shown to be acceptable to theapproving office. “Recommended” shall be taken to read “required” if a foreseeable failure couldextend the operation outside the planned window.

14.4 

Where a requirement is assumed to be “built-in”, including reversibility of motion, it shall bedemonstrated that this is indeed the case.

14.5 

Where the propulsion method induces a reaction between the barge and the quay, then the possibleeffects of this  reaction shall be considered, including “hang-up” and sudden release. (See alsoSections 8.2.1 and13.2.2). Mooring line tensions may also contribute to the reaction.

14.6 

Where a pull back system is required, and is achieved by de-rigging and re-rigging the pull on system,then the time taken to achieve this shall be defined, taking into account the Class of loadout.

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GUIDELINES FOR LOADOUTS

14.8  The coefficients of friction used for design of propulsion systems shall not be less than the “maximum”values shown in the following table, unless justification can be provided for a lower value. The “typical”values shown are for information only, and should be justified if used.

Table 14-2 Typical Friction Coefficients

Static MovingLevel surfaces

Typical Maximum Typical Maximum

Sliding

Steel /steel 0.15 0.30 0.12 0.20

Steel /Teflon 0.12 0.25 0.05 0.10

Stainless steel /Teflon 0.10 0.20 0.05 0.07

Teflon /wood 0.14 0.25 0.06 0.08

Steel /waxed wood 0.10 0.20 0.06 0.12Rolling

Steel wheels /steel 0.01 0.02 0.01 0.02

Rubber tyres /steel - 0.02 - 0.02

Rubber tyres /asphalt - 0.03 - 0.03

Rubber tyres /gravel 0.03 0.04 0.03 0.04

14.9 

The nominal computed load on winching systems shall not exceed the cer tified safe working load(SWL), after taking into account the requirements of Sections 14.7 and 14.8 and after allowance forsplices, bending, sheave losses, wear and corrosion. If no certified SWL is available, the nominalcomputed load shall not exceed one third of the breaking load of any part of the system.

14.10  The winching system should normally be capable of moving the structure from fully on the shore tofully on the barge without re-rigging. If re-rigging cannot be avoided, then this should be included inthe operational procedures, and adequate resources should be available.

14.11 

For skidded loadouts the structure may be moved closer to the quay edge prior to the commencementof loadout.

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GUIDELINES FOR LOADOUTS

15  LIFTED LOADOUTS15.1  Where the structure is lifted onto the barge by shore-based or floating crane, the requirements of

0027/ND “Guidelines for Marine Lifting Operations”, Ref. [1] shall apply, as appropriate.

15.2 

Loads imposed by shore-based mobile cranes on the quay shall be shown to be within allowablevalues, either by calculation or historical data.

15.3  Floating cranes shall be moored as required by Section 10. Thruster assistance may be used ifavailable to augment the mooring arrangement following successful DP tests carried out immediatelyprior to loadout.

15.4  Where the offshore lifting padeyes are used for loadout, then a programme for inspection of the liftpoints after loadout shall be presented. As a minimum, inspection of the padeyes and their connectioninto the structure shall be carried out by a qualified NDT inspector in accordance with the originalfabrication drawings. Access for this (including the possible de-rigging of the lift point) shall beprovided as required. At the discretion of the attending surveyor, additional NDT inspections may berequired.

15.5 

If the offshore lift rigging is used for loadout then the rigging shall be inspected by a competent personprior to departure of the structure.

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GUIDELINES FOR LOADOUTS

18  TUGS18.1   Approved tugs shall be available or in attendance as required, for barge movements, removal of the

barge from the loadout berth in the event of deteriorating weather, or tug back-up to the moorings.

18.2 

Towing operations following loadout should generally be in accordance with GL Noble Dentondocument 0030/ND – “Guidelines for Marine Transportations” Ref. [2].

18.3  If tugs are used as part of the loadout, inspections shall be carried out as part of the approval, i.e. forcommunications and adequacy. Tug inspections shall be carried out at least 12 hours prior to the startof operations.

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19  MANAGEMENT AND ORGANISATION19.1  Sufficient management and resources shall be provided to carry out the operation efficiently and

safely.

19.2 

Quality, safety and environmental hazards shall be managed by a formal Quality Management System.

19.3 

The management structure, including reporting and communication systems, and links to safety andemergency services should be demonstrated.

19.4 

Shift changes shall be avoided at critical stages of loadout.

19.5   A readiness meeting should be held shortly before the start of loadout, attended by all involved parties.

19.6 

 A weather forecast from an approved source, predicting that conditions will be within the prescribedlimits, shall be received not less that 48 hours prior to the start of the operation, and at 12 hourlyintervals thereafter, or more frequently if appropriate, until the barge is moor ed in accordance withSection 10.8 and the seafastening is completed in accordance with Section 17.2.

19.7 

Fit-for-purpose safety procedures shall be in effect.

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GUIDELINES FOR LOADOUTS

REFERENCES

[1] 

GL Noble Denton 0027/ND – Guidelines for Marine Lifting Operations.[2]  GL Noble Denton 0030/ND – Guidelines for Marine Transportations.

[3] 

GL Noble Denton 0032/ND - Guidelines for Moorings 6[4]  ISO International Standard ISO 19901-5 – Petroleum and natural gas industries – specific requirements for

offshore structures – Part 5: Weight control during engineering and construction.

 All GL Noble Denton Guidelines can be downloaded fromwww.gl-nobledenton.com 

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GUIDELINES FOR LOADOUTS

 APPENDIX A - CHECK LIST OF INFORMATION REQUIRED FOR APPROVAL

 A.1  STRUCTURE A.1.1  Structural analysis report, including:

  Structural drawings including any additional loadout steelwork

  Description of analyses programs used

  Structural model

  Description of support conditions

  Loadcases including derivation of weights and contingencies

  Unity checks greater than 0.8 for members and joints

 

Justification of over-stressed members  Detailed checks on structure support points, padeyes, winch connection points

  Proposals for reinforcements if required.

 A.1.2 

Weight report for structure (including results of weighing operation and load cell calibrationcertificates).

 A.2  SITE A.2.1

 

Site plan, showing loadout quay, position of structure, route to quay edge if applicable, position of allmooring bollards and winches and any reinforced areas with allowable bearing capacities.

 A.2.2  Section through quay wall.

 A.2.3  Drawing showing heights above datum of quay approaches, structure support points, barge,linkbeams, pad (if applicable) and water levels. The differential between civil and bathymetric datumsshall be clearly shown.

 A.2.4 

Statement of maximum allowable loadings on quay, quay approaches, wall, grounding pads andfoundations.

 A.2.5 

Specification and capacity of all mooring bollards and other attachment points proposed.

 A.2.6  Bathymetric survey report of area adjacent to the quay and passage to deep water, related to samedatum as item A.2.3.

 A.2.7  Bathymetric survey of pad, for grounded loadouts, related to the same datum as item A.2.3.

 A.2.8  Structural drawings of skidways and link beams, with statement of structural capacity, construction

(material and NDT reports) and supporting calculations. A.2.9

 

Method of fendering between barge and quay, showing any sliding or rolling surfaces and theirlubrication.

 A.3  BARGE A.3.1  General arrangement and compartmentation drawings.

 A.3.2 

Hydrostatic tables and tank tables.

 A.3.3  Details of class.

 A.3.4  Static stability at all stages of loadout.

 A.3.5   Allowable deck loadings and skidway loadings if applicable.

 A.3.6 

Specification and capacity of all mooring bollards.

 A.3.7  Details of any additional steelwork such as grillages or winch attachments.

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 A.3.8  Details of barge pumping system.

 A.4  TRAILERS A.4.1

 

Trailer specification and configuration.

 A.4.2 

Details of any additional supporting steelwork, including linkspan bridges and attachments.

 A.4.3   Allowable and actual axle loadings.

 A.4.4   Allowable and actual spine bending moments and shear forces.

 A.4.5  Schematic of hydraulic interconnections.

 A.4.6  Statement of hydraulic stability of trailer or SPMT system, with supporting calculations.

 A.4.7  For SPMTs, details of propulsion axles and justification of propulsion capacity.

 A.4.8  Specifications of tractors if used.

 A.5  PUMPS

 A.5.1 

Specification and layout of all pumps, including back-up pumps. A.5.2

 

Pipe schematic, and details of manifolds and valves where applicable.

 A.5.3  Pump performance curves.

 A.6  JACKING AND/OR WINCHING A.6.1  Jack/winch specification.

 A.6.2 

Layout of pull-on system.

 A.6.3  Layout of pull-back and braking systems.

 A.6.4  Details of power sources and back-up equipment.

 A.6.5 

Calculations showing friction coefficient, allowances for bending and sheaves, loads on attachment

points and safety factors. A.6.6

 

Reactions induced between barge and quay.

 A.7  BALLAST CALCULATIONS A.7.1  Planned date, time and duration of loadout, with alternative dates, tidal limitations and windows.

 A.7.2  Ballast calculations for each stage showing:

  Time

  Tidal level

  Structure position

 

Weight on quay, linkbeam and barge 

Ballast distribution

  Barge draft, trim and heel

  Pumps in use, and pump rates required

 

Moment to change heel and trim.

 A.7.3 

Stages to be considered should include as a minimum:

  Start condition with structure entirely on shore

   A suitable number of intermediate steps, e.g. 25%, 50% and 75% of travel, steps of 5 axles, orhalf jacket node spacing, whichever is appropriate

 

100% of weight on barge   Any subsequent movements on barge up to the final position.

 A.7.4   Any stages requiring movement or reconnection of pumps shall be defined.

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GUIDELINES FOR LOADOUTS

 A.8  LIFTED LOADOUTS A.8.1  Crane specification, including load-radius curve.

 A.8.2 

Copy of crane certification.

 A.8.3  Slinging arrangement.

 A.8.4  Copy of certificates of slings, shackles and other equipment. These certificates shall be issued orendorsed by bodies approved by an IACS member or other recognised certification body accepted byGL Noble Denton.

 A.8.5  For mobile cranes, position of crane at pick-up and set-down, travel route if applicable, actual andallowable ground bearing pressures at all locations.

 A.8.6  Non-destructive testing report of lifting attachments and connection into structure.

 A.8.7 

Mooring arrangements and thruster specification for floating cranes.

 A.8.8  If the lift points and offshore lift rigging will be re-used offshore, proposals for inspection after loadout.

 A.8.9  Rigging calculations.

 A.9 

MOORINGS A.9.1  Limiting design and operational weather conditions for loadout.

 A.9.2  Mooring arrangements for loadout operation and post-loadout condition.

 A.9.3  Mooring design calculations showing environmental loads, line tensions and attachment point loads forlimiting weather condition for loadout, and for post-loadout moorings if applicable.

 A.9.4  Specification and certificates of all wires, ropes, shackles, fittings and chains. This certificate shall beissued or endorsed by a body approved by an IACS member or other recognised certification bodyaccepted by GL Noble Denton.

 A.9.5  Specification for winches, details and design of winch foundation/securing arrangements.

 A.9.6  Details of fendering including lubrication arrangements as appropriate.

 A.10  TUGS A.10.1  Details of any supporting tugs including bollard pull and towing equipment.

 A.11  MANAGEMENT A.11.1  Organogram showing management structure and responsibilities.

 A.11.2 

Location of key personnel.

 A.11.3  Details of manning levels, showing adequate coverage for all operations and emergency procedures.

 A.11.4 

Times of shift changes, if applicable.

 A.11.5 

Weather forecast arrangements. A.11.6  Communications.

 A.11.7 

 Adequate lighting for all critical areas.

 A.11.8  Operation bar-chart showing time and duration of all critical activities including:

  Mobilisation of equipment

  Testing of pumps and winches

  Testing of pull-on and pull-back systems

  Barge movements

 

Initial ballasting

 

Structure movements  Loadout operation

  Trailer removal

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GUIDELINES FOR LOADOUTS

  Seafastening

  Re-mooring

  Decision points.

 A.11.9 

Methods of monitoring barge level and trim, and ballast quantities, including consideration of hang-upbetween barge and quay.

 A.11.10  If a computerised ballast control system is to be used, a description of the system, with back-uparrangements, should be supplied.

 A.11.11  Time and place for progress and decision meetings.

 A.11.12 

Safety procedures.

 A.11.13  HAZOPs, HAZIDs and Risk Assessments,

 A.12  CONTINGENCIES A.12.1  Contingency plans shall be presented for all eventualities, including as appropriate:

 

Pump failure

  Mains power supply failure

  Jack-winch failure

  Trailer/skidshoe power pack failure

  Trailer/skidshoe hydraulics failure

 

Trailer tyre failure

  Tractor failure

  Failure of any computerised control or monitoring system

  Mooring system failure

 

Structural failure  Deteriorating weather.

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TECHNICAL POLICY BOARD

GUIDELINES FOR THE APPROVAL OF

TOWING VESSELS

0021/ND 

Once downloaded this document becomes UNCONTROLLED.

Please check the website below fo r the current version.

31 Mar 10 8 RLJ Technical Policy Board

17 Nov 08 7 RLJ Technical Policy Board

4 Oct 06 6 PJD Technical Policy Board

1 Apr 02 5 JMRL Technical Policy Board

1 Dec 01 4 JMRL Technical Policy Board

1 Apr 01 3 JMRL /JR For use in TVAS

2 Apr 96 2 JMRL For use in TVAS

28 Dec 89 1 PAC Technical Policy Board

DATE REVISION PREPARED BY AUTHORISED BY

www.gl-nobledenton.com

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  GUIDELINES FOR THE  APPROVAL OF TOWING VESSELS 

PREFACE

This document has been drawn with care to address what are likely to be the main concerns based on theexperience of the GL Noble Denton organisation. This should not, however, be taken to mean that this documentdeals comprehensively with all of the concerns which will need to be addressed or even, where a particular matter isaddressed, that this document sets out the definitive view of the organisation for all situations. In using thisdocument, it should be treated as giving guidelines for sound and prudent practice on which our advice should bebased, but guidelines should be reviewed in each particular case by the responsible person in each project to ensurethat the particular circumstances of that project are addressed in a way which is adequate and appropriate to ensurethat the overall advice given is sound and comprehensive.

Whilst great care and reasonable precaution has been taken in the preparation of this document to ensure that thecontent is correct and error free, no responsibility or liability can be accepted by GL Noble Denton for any damage or

loss incurred resulting from the use of the information contained herein.

© 2010 Noble Denton Group Limited, who will allow:

 

the document to be freely reproduced,

  the smallest extract to be a complete page including headers and footers but smaller extracts may bereproduced in technical reports and papers, provided their origin is clearly referenced.

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CONTENTS

SECTION PAGE NO.

1  SUMMARY 5 

INTRODUCTION 6 

2.1  BACKGROUND 6 

2.2  TOWING VESSEL APPROVABILITY SCHEME (TVAS) 6 

2.3  SUMMARY OF REQUIREMENTS 6 

2.4  OTHER GL NOBLE DENTON GUIDELINES 7 

2.5  BOLLARD PULL AND EQUIPMENT TESTS 7 

3  DEFINITIONS 8 

4  TOWING VESSEL CATEGORIES 10 

4.1  OCEAN-GOING SALVAGE TUG (ST) 10 

4.2  UNRESTRICTED TOWAGES (U) 10 

4.3  COASTAL TOWAGES (C) 11 

4.4 

RESTRICTED TOWAGES (R1) 11 4.5  BENIGN AREA TOWAGES (R2) 11 

4.6  RESTRICTED BENIGN AREA TOWAGES (R3) 12 

4.7  LIMITED DURATION AND SHORT DISTANCE TOWAGES 12 

5  DOCUMENTATION 13 

5.1  GENERAL SPECIFICATION 13 

5.2  GENERAL ARRANGEMENT PLANS 13 

5.3  TOWING/ANCHOR-HANDLING WINCHES 13 

5.4  TOWING EQUIPMENT 13 

5.5  CERTIFICATES 14 

5.6  SALVAGE EQUIPMENT 14 

TOWING EQUIPMENT 15 

6.1 

OCEAN-GOING SALVAGE TUGS (ST) 15 

6.2  UNRESTRICTED (U) OR COASTAL (C) CATEGORIES 16 

6.3  RESTRICTED CATEGORIES (RI) 16 

6.4  BENIGN AREA CATEGORIES (R2) 17 

6.5  RESTRICTED BENIGN AREA CATEGORIES (R3) 17 

6.6   ALL ENTERED VESSELS 17 

7  TOWING WINCH 19 

8  TOWING WIRE PROTECTION AND CONTROL 20 

8.1  PROTECTORS 20 

8.2  TOW BARS, CARGO PROTECTION RAIL, BULWARKS, STERN RAIL, TAILGATE AND STERNROLLER 20 

8.3 

 ADJUSTABLE GOGWIRE SYSTEM 20 

8.4  FIXED GOGWIRE SYSTEM 20 

8.5  TOWING POD 20 

9  STABILITY 21 

10  MANNING AND ACCOMMODATION 22 

11  SEAKEEPING 23 

12   ADDITIONAL EQUIPMENT FOR SALVAGE TUGS (ST) 24 

REFERENCES 25 

 APPENDIX A - SUMMARY OF REQUIREMENTS 26 

 APPENDIX B - BOLLARD PULL TESTS 27 

 APPENDIX C - TOWING EQUIPMENT TESTS 29 

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TABLESTable 6-1 15 Towline Minimum Breaking Loads for Salvage TugsTable 6-2 16 Towline Minimum Breaking Loads for Unrestricted TowagesTable 6-3 16 Towline Minimum Breaking Loads for Restricted TowagesTable 6-4 18 Default Shackle SWL 

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1  SUMMARY

1.1 

These Guidelines are intended to lead to an approval by GL: Noble Denton for entry into the TowingVessel Approvability Scheme. They also provide guidance for the approval of towing vessels for

specific tows, and bollard pull tests. They do not cover the towage of specific vessels or barges,guidance for which may be found in 0030/ND.

8

1.2  This revision 8 supersedes revision 7 dated 17th Nov 2008. Changes are described in Section2.1.5.

1.3  This report refers to, and should be read in conjunction with other GL Noble Denton Guidelinedocuments, in particular Reference [1] - GL Noble Denton report 0030/ND - “Guidelines for MarineTransportations”.

1.4 

 A definitions section is included.

1.5   A description of the approval process is included.

1.6  There are Sections on:

 

Towing Vessel Categories (Section 4)

  Documentation (Section 5)

  Towing Equipment (Section6)

  Towing Winch (Section7)

  Towing Wire Protection and Control (Section 8)

  Stability (Section 9)

  Manning and Accommodation (Section 10)

 

Seakeeping (Section 11)

   Additional Equipment for Salvage Tugs (ST - Section12)

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2  INTRODUCTION

2.1  BACKGROUND

2.1.1 

These guidelines are the basis for the approval of towing vessels for specific towages.

2.1.2 

The guidelines are also the standard for owners, charterers, managers or builders of towing vesselswhen they seek entry of a vessel into the GL Noble Denton Towing Vessel Approvability Scheme(TVAS).

2.1.3  Revision 6 superseded Revision 5 dated 1st April 2002. Major changes were:

  Updating to reflect changes to 0030/ND

 

Modified definition of Approved Bollard Pull

  Recommendations for carrying a towing wire history for categories U and R1.

2.1.4 

Revision 7 superseded Revision 6 dated 4 October 2006. Major changes were:

 

Introduction of a new category, Coastal Towages (C), in Section 4.3 for smaller tugs for vesselswith an overall length of less than 40 metres unless they have very good seakeeping qualitiesincluding good propeller immersion in bad weather and a displacement greater than 1,000tonnes.

 

(For vessels with only one towing winch drum). Introduction in Section 7.10 of a maximum timerequirement for safely transferring a spare towline to the towing winch after a towline break inbad weather.

 

Introduction in Section 9 of stability requirements that allow for the effect of the towline force.

 

Removal of the draught /length ratios in Section 11.4.

  Introduction in Section 11.5 of a requirement for the height of raised forecastles to be at least 2metres above the freeboard deck for all categories except for in benign weather areas.

2.1.5  This revision 8 supersedes Revision 7 dated 17 November 2008. Changes include:

  the change from Noble Denton to GL Noble Denton8

  certificate requirements in Section 5.5

  reduction in the maximum ULC of bridles for Category ST in Section 6.1.6.

 

bollard pull test requirements in Section B.4.4.

2.2  TOWING VESSEL APPROVABILITY SCHEME (TVAS)

2.2.1  The GL Noble Denton entity in London operates the GL Noble Denton Towing Vessel ApprovabilityScheme on behalf of the GL Noble Denton Group.

2.2.2  These guidelines provide a standard against which a towing vessel will be assessed for the issue of aTowing Vessel Approvability Certificate and entry into the TVAS database.

2.2.3  Such approval does not imply that approval by designers, regulatory bodies, harbour authorities and/orany other parties would be given. Nor does it imply approval of a vessel for any specific towage oroperation for which further consideration of the suitability of the vessel for the towage or operationwould be required.

2.3  SUMMARY OF REQUIREMENTS

 A summary of the requirements for each towing vessel category is appended to this document as Appendix A.

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2.4  OTHER GL NOBLE DENTON GUIDELINES

This document shall be read in conjunction with other GL Noble Denton current guideline documents.In the event of conflict between two or more GL Noble Denton Guideline Documents, the last datedshall apply unless specifically agreed otherwise.

2.5  BOLLARD PULL AND EQUIPMENT TESTS

Guidance notes for carrying out bollard pull and towing equipment tests are appended to thisdocument as Appendices B and C.

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3  DEFINITIONS

3.1 

Referenced definitions are underlined.

Term or Acronym Definition

 Approved Bollard Pull The Approved Bollard Pull is the continuous static bollard pull which GLNoble Denton is prepared to accept for towing service.

Continuous static bollard pull is that obtained by a test at 100% of theMaximum Continuous Rating (MCR) of main engines, averaged over aperiod of 10 minutes.

Where a certificate of Continuous Static Bollard Pull less than 10 years oldcan be produced, then this will normally be used as the Approved BollardPull.

 Approved Bollard Pull for tugs under 10 years old without a bollard pull

certificate may be estimated as 1 tonne /100 (Certified) BHP of the mainengines.

 Approved Bollard Pull for tugs over 10 years old, without a bollard pullcertificate less than 10 years old, may be the greater of:

 

the certified value reduced by 1% per year of age since the BP test, or

 

1 tonne/100 (Certified) BHP reduced by 1% per year of age greaterthan 10.

Benign area An area which is free of tropical revolving storms and travellingdepressions, (but excluding the North Indian Ocean during the southwestmonsoon season and the South China Sea during the northeast monsoon

season). The specific extent and seasonal limitations of a benign areashould be agreed with the GL Noble Denton office concerned.

BHP /Brake Horse Power

The measure of horsepower at continuous engine output after thecombustion stage.

CBP /Continuous Bollard Pull

See Approved Bollard Pull (above)

GL Noble Denton Any company within the GL Noble Denton Group including any associatedcompany which carries out (part of) the scope of work and issues aCertificate of Approval.

GL Noble DentonConsultants Ltd.

The company in London within the GL Noble Denton Group operating theTowing Vessel Approvability Scheme.

IACS International Association of Classification Societies

MBL /Minimum BreakingLoad (MBL)

Certified Minimum Breaking Load of wire rope, chain, stretcher or shacklein tonnes.

MBP /Maximum Bollard Pull

The bollard pull obtained by a test, typically at 110% of the MaximumContinuous Rating (MCR) of main engines, over a period of 5 minutes.

MCR /Maximum Continuous

Rating

Manufacturer’s recommended Maximum Continuous Rating of the mainengines.

Register The list published from time to time of towing vessels, including all towingvessels entered into the Towing Vessel Approvability Scheme.

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0021/ND REV 8  Page 9

Term or Acronym Definition

Survey Attendance and inspection by a GL Noble Denton representative. Othersurveys which may be required for a marine operation, including suitability,dimensional, structural, navigational, and Class surveys.

Surveyor The GL Noble Denton representative carrying out a ‘Survey’.

 An employee of a contractor or Classification Society performing, forinstance, a suitability, dimensional, structural, navigational or Class survey.

SWL Safe Working Load in tonnes. (See also Working Load Limit)

Tonnes Metric tonnes of 1,000 kg (approximately 2,204.6 lbs) are used throughoutthis document. The necessary conversions must be made for equipmentrated in long tons (2,240 lbs, approximately 1,016 kg) or short tons (2,000lbs, approximately 907 kg).

Towing Vessel

 Approvability Scheme(the Scheme)

The scheme whereby owners of vessels may apply to have their vessels

surveyed and entered into the Scheme and the Register. The Scheme isadministered by Rules, a copy of which may be obtained from NDC.

Towing Vessel Report The surveyor’s report on which the issue of a TVAC is based.

TVAC /Towing Vessel Approvability Certificate

The document issued by NDC stating that a vessel complied with theseguidelines at the time of survey, or was reportedly unchanged at the timeof revalidation, in terms of design, construction, equipment and condition,and is considered suitable for use in towing service within the limitations ofits Category, bollard pull and any geographical limitations which may beimposed.

ULC /

Ultimate Load Capacity

Ultimate load capacity of a wire rope, chain or shackle or similar is the

certified minimum breaking load, in tonnes. The load factors allow forgood quality splices in wire rope.

Ultimate load capacity of a padeye, clench plate, delta plate or similarstructure, is defined as the load, in tonnes, which will cause general failureof the structure or its connection into the barge or other structure.

WLL /Working Load Limit

The maximum static load that the wire, cable or shackle is designed towithstand.

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4  TOWING VESSEL CATEGORIES

Vessels that are entered into the Scheme or proposed for towing duties will be designated one of six(6) categories. The requirements for each category are stated below, and summarised in Appendix A.

4.1  OCEAN-GOING SALVAGE TUG (ST)

4.1.1  Vessels within this category are approvable for all towages within the limits of their bollard pull in allgeographical areas subject to the vessel’s Ice Classification.

4.1.2  Vessels shall be equipped with two (2) main towing wires and a spare towing wire, all of which shallcomply with the strength and length requirements of Section 6.1.

4.1.3  Vessels shall be adequately manned for towing operations in all geographical areas. Each vessel shallhave a minimum complement of officers and crew as required in the safe manning certificates and alsohave the capability of accommodating increased manning levels where it is deemed necessary for aspecific towage. Refer to Section10 and Appendix A.

4.1.4  Vessels shall be of such a design that they are capable of undertaking towages in all geographicalareas subject to their Ice Classification (see Section 11). They must have very good seakeepingqualities including good propeller immersion in bad weather. These qualities are unlikely to besatisfied with a Length Over All (LOA) less than 40 metres and a displacement of less than 1,000tonnes.

4.1.5  Vessels shall have a minimum bunker capacity of at least 35 days consumption at 80% MCR.

4.1.6  Vessels shall be equipped with a workboat with sufficient power and capacity to carry four (4) personsplus material/equipment to the casualty/tow.

4.1.7  Vessels shall be equipped with the additional equipment listed in Section 12.

4.2  UNRESTRICTED TOWAGES (U)

4.2.1  Vessels within this category are approvable for all towages within the limits of their bollard pull in allgeographical areas subject to the vessels’ Ice Classification.

4.2.2  Vessels shall be equipped with a main towing wire and a spare towing wire, both of which shall complywith the strength and length requirements of Section 6.2.

4.2.3  Vessels shall be adequately manned for towing operations in all geographical areas. Each vessel shallhave a minimum complement of officers and crew as required in the safe manning certificates and alsohave the capability of accommodating increased manning levels where it is deemed necessary for aspecific towage. Refer to Section10 and Appendix A.

4.2.4 

Vessels shall be of such a design that they are capable of undertaking towages in all geographicalareas subject to their Ice Classification and Section 11. They must have very good seakeepingqualities including good propeller immersion in bad weather. These qualities are unlikely to besatisfied with a Length Over All (LOA) less than 40 metres and a displacement of less than 1,000tonnes.

4.2.5 

Vessels shall be equipped with a workboat with sufficient power and capacity to carry four (4) personsplus material/equipment to the tow. The man overboard boat may be considered as a workboatprovided there is sufficient space to carry out a workboat function and the appropriate flag state is inagreement that it will not only be used for man overboard duties.

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4.3  COASTAL TOWAGES (C)

4.3.1 

Vessels within this category are approvable for all coastal towages within the limits of their bollard pullin all geographical areas subject to the vessels’ Ice Classification. Coastal towages are defined as

routes for which a tow can safely reach a place of safety within the period of a reliable weatherforecast, or are in benign weather areas.

4.3.2  Vessels shall be equipped with a main towing wire and a spare towing wire, both of which shall complywith the strength and length requirements of Section 6.2.

4.3.3  Vessels shall be adequately manned for towing operations in all relevant geographical areas. Eachvessel shall have a minimum complement of officers and crew as required in the safe manningcertificates and also have the capability of accommodating increased manning levels where it isdeemed necessary for a specific towage. Refer to Section10 and Appendix A.

4.3.4 

Vessels shall be of such a design that they are capable of undertaking towages in all relevantgeographical areas subject to their Ice Classification and Section 11.

4.3.5 

Vessels shall be equipped with a workboat with sufficient power and capacity to carry four (4) personsplus material/equipment to the tow. The man overboard boat may be considered as a workboatprovided there is sufficient space to carry out a workboat function and the appropriate flag state is inagreement that it will not only be used for man overboard duties.

4.4  RESTRICTED TOWAGES (R1)

4.4.1  Vessels within this category are approvable for assisting with towages within the limits of their bollardpull in all geographical areas subject to the vessels’ Ice Classification.

4.4.2  Vessels shall be equipped with a minimum of one main towing wire which shall comply with thestrength and length requirements of Section 6.3.

4.4.3 

Vessels in this categoryshall comply with the requirements for manning and seakeeping as outlined inSections 4.2.3, 4.2.4, 10 and11.

4.4.4  If proposed as the lead or only tug for a particular towage, as may be allowed in Section 4.7, vesselsshall be equipped with a workboat with sufficient power and capacity to carry four (4) persons plusmaterial/equipment to the tow. The man overboard boat may be considered as a workboat providedthere is sufficient space to carry out a workboat function and the appropriate flag state is in agreementthat it will not only be used for man overboard duties.

4.5  BENIGN AREA TOWAGES (R2)

4.5.1 

Vessels within this category are approvable for towages within the limits of their bollard pull and the

defined geographical limits of Benign Areas.

4.5.2 

Vessels shall be equipped with a main towing wire and a spare towing wire, both of which shall complywith the strength and length requirements of Section 6.4.

4.5.3  Vessels shall be adequately manned for towage operations within the geographical limits of Benign Areas. These vessels shall have the capability of accommodating increased manning levels where it isdeemed necessary for a specific towage. Refer to Section10.

4.5.4 

Vessels shall be of such a design that they are capable of undertaking towages within the geographicallimits of Benign Areas. Refer to Section11.

4.5.5  If proposed as the lead or only tug for a particular towage, vessels shall be equipped with a workboatwith sufficient power and capacity to carry three (3) persons plus material/equipment to the tow. The

man overboard boat may be considered as a workboat provided there is sufficient space to carry out aworkboat function and the appropriate flag state is in agreement that it will not only be used for manoverboard duties.

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4.6  RESTRICTED BENIGN AREA TOWAGES (R3)

4.6.1 

Vessels in this category are approvable for assisting with towages within the limits of their bollard pulland the defined geographical limits of Benign Areas.

4.6.2 

Vessels shall be equipped with a minimum of one main towing wire which shall comply with thestrength and length requirements of Section 6.5.

4.6.3  Vessels shall comply with the requirements for manning and seakeeping as outlined in Sections 4.5.3,4.5.4, 10 and11.

4.7  LIMITED DURATION AND SHORT DISTANCE TOWAGES

4.7.1  GL Noble Denton will not in normal circumstances approve single tug towages where the tug isequipped with only one tow wire. However, vessels in category R1 may in certain circumstances beapproved for single tug towages where the towage is in sheltered waters or within the limits of areliable weather forecast. Approval of a vessel for this type of towage will be subject to a specific

assessment.

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5  DOCUMENTATION

Prior to a survey of the vessel being carried out for entry into the Scheme, and in order to assess thelikelihood of successful entry, copies of the following documents should be submitted to NDC for

review.

5.1  GENERAL SPECIFICATION

This should include, but is not limited to, general details of:

 

Overall dimensions and tonnages

 

Classification

 

Propulsion equipment

  Speed, consumption and bunker capacity

 

Towing and anchor-handling equipment

   Anchoring system

   Accommodation capacity and layout

5.2  GENERAL ARRANGEMENT PLANS

These should show the overall arrangement of the vessel, and should be sufficiently detailed to showthe deck area including the towing, anchor handling and mooring equipment.

5.3  TOWING/ANCHOR-HANDLING WINCHES

Specifications of the towing/anchor-handling winch and its foundation.

5.4  TOWING EQUIPMENT

Specifications of all towing equipment carried including bridles, chains, towing wires, pennant wires,stretchers, towing shackles and connecting links.

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5.5  CERTIFICATES

Copies of the following valid documents (unless not legally required, typically for some vessels lessthan 500 gt) shall be submitted to NDC, or made available to the surveyor at time of survey:

 

Certificate of registry

 

International load line certificate

 

Certificates of class for hull and machinery

  Cargo ship safety equipment certificate

  Cargo ship safety radio certificate

  Safety Construction Certificate

 

Certificate of safe manning

 

International Oil Pollution Prevention Certificate

 

Safety Management Certificate

 

International Ship Security Certificate

  Ballast Water Exchange Certificate (if required)

  Certificates for all required bridles, chains, tow wires, pennants, stretchers, and shackles andconnecting links. These certificates shall be issued or endorsed by bodies approved by anIACS member or other recognised certification body accepted by GL Noble Denton.

8

  Bollard Pull Certificate (by a recognised authority or body)

   Approved Stability Booklet.

5.6  SALVAGE EQUIPMENT

For the entry of Ocean-Going Salvage Tugs (ST) details of the salvage equipment should besubmitted. A list of the minimum requirements appears in Section 12.

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6  TOWING EQUIPMENT

6.1  OCEAN-GOING SALVAGE TUGS (ST)

6.1.1 

Vessels shall be equipped with two (2) main towing wires on separate winch drums, and one sparetowing wire, each of adequate strength to satisfy the requirements of Minimum Breaking Load (MBL)as follows:

Table 6-1 Towline Minimum Breaking Loads for Salvage Tugs

Bollard Pull (BP) Minimum Breaking Load (MBL)

Up to 90 tonnes (3.8 - BP/50) x BP

Over 90 tonnes 2.0 x BP

6.1.2  The minimum length (L) of both main wires and the spare towing wire shall be determined from theformula:

L = (BP/MBL) x 2,000 METRES

except that in no case shall the length be less than 800 metres (see also Section 6.6.4).

6.1.3   A towing log indicating service history, maintenance and inspections shall be kept for each tow wireand each synthetic stretcher held on board the vessel.

6.1.4  Vessels shall be equipped with at least four (4) towing pennants of not less than the required MBL ofthe towing wire, and of the same lay.

6.1.5  If a surge chain is supplied then the MBL shall not be less than that of the main towing wire. The surge

chain shall be a continuous length of welded studlink chain with an enlarged open link at each end.

6.1.6  Vessels shall be provided with the components for one towing bridle, which may be either all chain, ora combination of chain and wire. The ultimate load capacity (ULC), in tonnes, of each bridle leg shallbe not less than:

ULC = 1.25 x MBL (for MBL < 160 tonnes) or

ULC = MBL + 40 (for MBL >160 tonnes) with a maximum of ULC of 400 tonnes (consideredto be the maximum able to be handled at sea without a crane)

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6.1.7  Vessels shall be equipped with at least twelve (12) towing shackles in accordance with therequirements of Sections 6.6.13 and6.6.14.

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6.2  UNRESTRICTED (U) OR COASTAL (C) CATEGORIES

6.2.1 

Vessels shall be equipped with both a main and a spare towing wire, each of adequate strength tosatisfy the requirements of minimum breaking load (MBL) as follows:

Table 6-2 Towline Minimum Breaking Loads for Unrestricted Towages 

Bollard Pull (BP) Minimum Breaking Load (MBL)

Less than 40 tonnes 3.0 x BP

40 to 90 tonnes (3.8 - BP/50) x BP

Over 90 tonnes 2.0 x BP

6.2.2 

The minimum length (L) of both the main and spare towing wires shall be determined from the formula:

L = (BP/MBL) x 1,800 METRES

except that in no case shall the length be less than 650 metres for Unrestricted categories or 500metres for Coastal (see also Section 6.6.4).

6.2.3   A towing log indicating service history, maintenance and inspections is recommended to be kept foreach tow wire and each synthetic stretcher held on board the vessel.

6.3  RESTRICTED CATEGORIES (RI)

6.3.1  Vessels shall be equipped with one main towing wire of adequate strength to satisfy the requirementsof minimum MBL as follows.

Table 6-3 Towline Minimum Breaking Loads for Restricted Towages

Bollard Pull (BP) Minimum Breaking Load (MBL)

Less than 40 tonnes 3.0 x BP

40 to 90 tonnes (3.8 - BP/50) x BP

Over 90 tonnes 2.0 x BP

6.3.2 

The minimum length (L) of the towing wire shall be determined from the formula:

L = (BP/MBL) x 1,800 METRES

except that in no case shall the length be less than 650 metres (see also Section 6.6.4).

6.3.3  It is good practice to keep a towing log, indicating service history, maintenance and inspections, foreach tow wire and each synthetic stretcher held on board the vessel.

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6.4  BENIGN AREA CATEGORIES (R2)

6.4.1 

Vessels shall be equipped with both a main and spare towing wire each of adequate strength to satisfythe requirements of Minimum BL as follows:

MBL = 2.0 x BP

6.4.2  The minimum length (L) of both the main and spare towing wires shall be determined from the formula:

L = (BP/MBL) x 1,200 METRES

except that in no case shall the length be less than 500 metres (see also Section 6.6.4).

6.5  RESTRICTED BENIGN AREA CATEGORIES (R3)

6.5.1 

Vessels shall be equipped with a towing wire of adequate strength to satisfy the requirements of MBLas follows:

MBL = 2.0 x BP

6.5.2 

The minimum length (L) of the towing wire shall be determined from the formula:

L = (BP/MBL) x 1,200 METRES

except that in no case shall the length be less than 500 metres (see also Section 6.6.4).

6.6   ALL ENTERED VESSELS

6.6.1   All towing wires shall have hard eyes formed by a heavy-duty gusseted thimble, “pee-wee” or a closedspelter socket fitted at the outer end.

6.6.2 

The main towing wire(s) should be spooled onto the towing winch drum(s) using adequate tension.

The end of the wire must be adequately secured to the winch drum.

6.6.3 

Where a spare towing wire is carried, it shall be stowed on a winch drum, or reverse stowed on a reel.Where the spare wire is stowed on a reel, it shall be accessible even in heavy weather, and be in sucha position as to ensure that transfer to the main towing drum can be achieved safely and efficiently.

6.6.4  Where a reduced towline length demands a higher Minimum Breaking Load (MBL) in order to satisfythe towline length formula, then this increased MBL shall be the required MBL when determining thestrength of the other components in the towing arrangement.

6.6.5 

Vessels shall be equipped with at least 2 (4 for category ST) towing pennants of not less than therequired breaking load of the main towing wire.

6.6.6  Pennants shall be of the same lay as the towing wire.

6.6.7  Pennants shall have hard eyes formed by a heavy-duty gusseted thimble, “pee-wee” or a speltersocket at each end.

6.6.8  If a soft-eyed pennant is carried, then such pennant shall be additional to the other requirements of thisSection.

6.6.9  The towing pennants shall have a length appropriate to their intended service. Typically these will bein the range of 10 to 50 metres long but at least 2 should be suitable for making up a towing bridle.

6.6.10  If synthetic stretchers are used, at least 2 shall be carried. For Benign Areas, one (1) syntheticstretcher may be acceptable.

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6.6.11  If synthetic stretchers are used, the pennants should be in a sound condition and the MinimumBreaking Load should not be less than:

 

2.0 times the required towline MBL, for tugs with bollard pull less than 40 tonnes.

 

1.5 times the required towline MBL, for tugs with bollard pull greater than 90 tonnes. 

linearly interpolated between 1.5 and 2.0 times the required towline MBL for tugs with bollardpull between 40 tonnes and 90 tonnes.

When determining the required minimum towline break load the comments in Section 6.6.4 shall betaken into account.

6.6.12 

The synthetic stretchers shall have a heavy-duty gusseted thimble at each end and be adequatelyprotected against chafe.

6.6.13 

Vessels shall be equipped with at least 6 (12 for category ST) towing shackles or approved connectinglinks.

6.6.14  The required capacity of towing shackles or connecting links shall be determined from the Certified

Minimum Breaking Load (MBL), Certified Safe Working Load (SWL) or Certified Working Load Limit(WLL). If the MBL of a shackle is known, then the MBL shall not be less than 110% of the requiredMBL of the towing wire.

6.6.15  If the Minimum Breaking load of the shackle cannot be identified then the minimum Safe Working Loadmay be related to the continuous static bollard pull (BP) of the largest tug proposed, as follows:

Table 6-4 Default Shackle SWL

Bollard Pull (BP)(tonnes)

Safe Working Load (SWL) or Working Load Limit (WLL)(tonnes)

Less than 40 1.0 x BP

40 or more (0.5 x BP) + 20

except that the comments contained in Section 6.6.4 shall be taken into account as appropriate, andthe shackle SWL be increased in proportion.

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7  TOWING WINCH

7.1 

Vessels in all categories shall be provided with at least one towing winch, (two towing winch drums forcategory ST).

7.2 

The towing winch and its connection to the vessel shall be strong enough to withstand a force equal tothe breaking load of the tow wire acting at its maximum height above deck, without over-stressingeither the winch or the deck connections

7.3  If the power for the towing winch is supplied via a main engine shaft generator during normal operatingconditions, then another generator shall be available to provide power for the towing winch in case ofmain engine or generator failure.

7.4 

If a multi-drum winch is used, then each winch drum shall be capable of independent operation.

7.5  The towing winch drum(s) shall have sufficient capacity to stow the required minimum length of the towwire(s).

7.6 

 A spooling device shall be provided such that the tow wire(s) is effectively spooled on to the winchdrum(s).

7.7  The towing winch brake shall be capable of preventing the towing wire from paying out when thevessel is towing at its maximum continuous static bollard pull and shall not release automatically incase of a power failure.

7.8 

The winch shall be fitted with a mechanism for emergency release of the tow wire.

7.9 

There shall be an adequate means of communication between the winch control station(s) and theengine control station(s) and the bridge.

7.10 

If there is only one towing winch then the crew must be able to demonstrate that a spare tow wire canbe safely run onto the towing winch within 6 hours of a towline break in bad weather.

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8  TOWING WIRE PROTECTION AND CONTROL

8.1  PROTECTORS

8.1.1 

Sufficient towing wire protectors shall be provided to prevent the towing wire from being damaged byabrasion and chafe against tow bars, cargo protection rails, bulwarks, stern rail, tail gate or stern roller.

8.1.2  If a “fixed” gogwire system or towing pod is used, then whenever possible, towing wire protectorsshould also be provided for the towing wire at the gogwire shackle or towing pod.

8.2  TOW BARS, CARGO PROTECTION RAIL, BULWARKS, STERN RAIL, TAILGATE ANDSTERN ROLLER

8.2.1  The top of the tow bars, cargo protection rail, bulwarks, stern rail, tail gate and stern roller shall be freeof sharp edges, corners or obstructions which could damage the towing wire or prevent it from freelateral movement.

8.2.2 

Where, during normal towing conditions, the towing wire bears on tow bars, cargo protection rail,bulwarks, stern rail or tailgate, the radius of bend shall be at least ten (10) times the diameter of thetowing wire.

8.3   ADJUSTABLE GOGWIRE SYSTEM

8.3.1  Preference shall be given to the use of an adjustable gogwire system.

8.3.2  The winch or capstan used to adjust the gogwire system shall be controlled from a safe location.

8.4  FIXED GOGWIRE SYSTEM

8.4.1  If a single wire or single chain gogwire system is used, then the connection point on the aft deck shallbe on the centreline of the vessel.

8.4.2  The length of the single wire or single chain of the gogwire system shall not exceed half the distancebetween the cargo protection rails or bulwarks, whichever is less.

8.4.3  Either a “wide body” sling shackle, having an enlarged bearing surface at the bow, or a purpose-designed sheave, shall be used to connect the gogwire system to the towing wire.

8.5  TOWING POD

8.5.1 

The centre line of the towing pod shall be in line with the centre line of the towing wire winch drum.

8.5.2 

The towing pod shall be well faired and have a bend radius of at least ten (10) times the diameter ofthe towing wire.

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10  MANNING AND ACCOMMODATION

10.1 

Vessels in all categories shall be manned to meet the minimum requirements laid down by StatutoryRegulations.

10.2 

Manning levels for vessels in all categories will be subject to the requirements of a specific towage.

10.3 

Where vessels are required to undertake long duration towages, difficult towages or where the tow isunmanned, they shall have adequate certified accommodation to enable manning levels to beincreased. Any increase in manning levels will be subject to the limitations of the regulations relatingto life-saving appliances.

10.4  Category ST. In general, to satisfy category ST, certified accommodation and life-saving appliancesshall be provided for a minimum of twelve (12) persons.

10.5  Vessels in category ST shall, when engaged in towing operations, carry a minimum of five (5)certificated officers. These would normally be the Master, two (2) Deck Officers and two (2) EngineerOfficers.

10.6  Categories U, C and R1. In general, to satisfy categories U, C and R1, certified accommodation andlife-saving appliances shall be provided for a minimum of eight (8) persons.

10.7  Vessels in categories U, C and R1 shall, when engaged in towing operations, carry a minimum of four(4) certificated officers. These would normally be the Master, one (1) Deck Officer and two (2)Engineer Officers.

10.8  Vessels in Categories R2 and R3 shall, when engaged in towing operations, carry a minimum ofthree (3) certificated officers. These would normally be the Master, one (1) Deck Officer and one (1)Engineer Officer.

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11  SEAKEEPING

11.1 

Vessels in all categories shall be of such a design to allow them to operate safely and effectively intheir designated areas.

11.2 

Vessels in all categories must be purpose-built for towing operations or be of a multi-purpose designhaving towing capability.

11.3 

Vessels must be assigned an appropriate Classification by a recognised Classification Society.

11.4 

The length and normal operating draught of the vessel shall be adequate to maintain propellereffectiveness and reduce slamming in heavy weather conditions.

11.5 

Vessels in category ST, U, C and R1 shall have a raised forecastle with a height of at least 2 metresabove the freeboard deck. The forecastle shall be of such a design to ensure minimum waterretention.

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12   ADDITIONAL EQUIPMENT FOR SALVAGE TUGS (ST)

 All vessels in category ST shall carry the following equipment:

12.1  Lifting Equipment

 A deck crane or derrick with a minimum capacity of two (2) tonnes for transferring equipment.

12.2  Pumps

Portable salvage pumps with an ample supply of suitable hoses.

12.3  Generators

Portable generator or facilities and cabling to allow power to be distributed to the casualty /tow from thetug.

12.4   Air Compressor

Portable air compressor suitable for salvage purposes with ample supply of hoses or facility to allowcompressed air to be distributed to the casualty /tow.

12.5  Welding/Cutting

Portable welding and cutting equipment with ample supply of extension cables, hoses and

consumables.

12.6  Damage Control

 Assorted steel plate, timber, canvas, cement, sand, tools, etc. for damage control purposes.

12.7  Spare Parts

 A comprehensive inventory of spare parts should be carried, for the vessel to allow repairs to becarried out during long voyages.

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REFERENCES

[1] 

GL Noble Denton report 0030/ND - Guidelines for Marine Transportations

[2] 

International Maritime Organization (IMO), Guidelines for Safe Ocean Towing, Ref T1/3.02

 All GL Noble Denton Guidelines can be downloaded fromwww.gl-nobledenton.com 

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 APPENDIX A - SUMMARY OF REQUIREMENTS

The following table provides a summary of the requirements contained in this Guideline for each Category of vessel.Use of the table should be made together with reference to the appropriate text in the Guideline.

CategoryST

SalvageTug

UUnrestrict

ed

C

Coastal

R1

 Assist

R2Benign

area

R3 Assist /Benign

General design and range

 Adequate displac (LOA > 40m) Yes Yes - - - -

Raised fo’csle Yes Yes Yes Yes - -

Bunker capacity at 80% power 35 days - - - - -

Certificates/documentation

Registry Yes Yes Yes Yes Yes Yes

Loadline Yes Yes Yes Yes Yes Yes

Class, hull for this category Yes Yes Yes Yes Yes Yes

Safe manning Yes Yes Yes Yes Yes Yes

Safety equipment Yes Yes Yes Yes Yes YesSafety radio Yes Yes Yes Yes Yes Yes

 All towing equipment Yes Yes Yes Yes Yes Yes

Bollard Pull Yes Yes Yes Yes Yes Yes

Towing wire log Yes Yes Yes Yes - -

Towage and salvage equipment

Towing winch Yes Yes Yes Yes Yes Yes

Number of winch drums 2 1 1 1 1 1

Number of main tow wires 2 1 1 1 1 1

Number of spare tow wires 1 1 1 - 1 -

Towline MBL, tonnes (BP> 90t) 2.0 x BP 2.0 x BP 2.0 x BP 2.0 x BP 2.0 x BP 2.0 x BP

Towline MBL, tonnes (40<BP< 90t) (3.8-BP/50)

x BP

(3.8-BP/50)

x BP

(3.8-BP/50)

x BP

(3.8-BP/50)

x BP

2.0 x BP 2.0 x BP

Towline MBL, tonnes (BP<40t) (3.8-BP/50)x BP

3.0 x BP 3.0 x BP 3.0 x BP 2.0 x BP 2.0 x BP

Towline length, metres(European formula)

(BP/MBL) x2,000

(BP/MBL) x1,800

(BP/MBL) x1,800

(BP/MBL) x1,800

(BP/MBL) x1,200

(BP/MBL) x1,200

Minimum towline length (m) 800 650 500 650 500 500

Towing pennants 4 2 2 2 2 2

Shackles /Connecting Links 12 6 6 6 6 6

Surge chain Optional - - - - -

Towing bridle (see Section 6.1.6) 1 - - - - -

Salvage equipment Yes - - - - -

Work boat Yes Yes Yes Yes* Yes* -

Crane/derrick 2 tonnes - - - - -

Pumps Yes - - - - -

Compressor Yes - - - - -

Welding equipment Yes - - - - -

Damage control Yes - - - - -

Spares Yes - - - - -

Manning and accommodation

 Accommodation 12 8 8 8 - -

LSA 12 8 8 8 - -

Number of certificated officers 5 4 4 4 3 3

* A workboat is required for Categories R1 and R2 if the vessel is proposed as the lead tug or only tug for a

particular towage.

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 APPENDIX B - BOLLARD PULL TESTS

B.1  GENERAL

B.1.1 

The following guidance notes apply to the bollard pull test of any towing vessel which GL Noble Dentonis requested to approve or attend.

B.1.2 

The safe working load of the test equipment, fittings and any connection points ashore shall be at least10% in excess of the designed maximum continuous static bollard pull of the vessel.

B.2  LOCATION

B.2.1  The water depth at the test location shall be at least 20 metres within a radius of 100 metres of thevessel.

B.2.2 

If a water depth of 20 metres cannot be obtained at the test location, then a minimum water depth

which is equal to twice the maximum draught of the vessel may be accepted. The owner of the vesselmust be advised that the reduced water depth may adversely affect the test results.

B.2.3 

The test location shall be clear of navigational hazards and underwater obstructions within a radius of300 metres of the vessel.

B.2.4  The current shall be less than 0.5 metres/second from any direction.

B.2.5  The wind speed shall be less than 5 metres/second from any direction.

B.2.6  The condition of the sea at the test location shall be calm, without swell or waves.

B.3  VESSEL

B.3.1 

The draught and trim of the vessel shall be as near as possible to the draught and trim under normaloperating conditions.

B.3.2  The propellers and fuel used during the tests shall be the same as the propellers and fuel used undernormal operating conditions.

B.3.3 

 All auxiliary equipment such as pumps, generators and other equipment which are driven from themain engine(s) or propeller shaft(s) during normal operation of the vessel shall be connected duringthe test.

B.4  TEST

B.4.1 

The distance between the stern of the vessel and the shore shall be at least 300 metres.

B.4.2  If it is not possible to maintain a distance of 300 metres between the stern of the vessel and the shore,then a minimum distance which is equal to twice the waterline length of the vessel may be accepted.The owner of the vessel must be advised that the reduced distance between the vessel’s stern and theshore may adversely affect the test results.

B.4.3 

 Adequate communications shall be established between the vessel and instrument recording station.

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B.4.4  The Continuous Bollard Pull (CBP) test shall be carried out at the manufacturer’s recommendedmaximum continuous rating of the main engines (100% MCR), for a period of 10 minutes (see IMOrequirements in Ref [2]) with the vessel on a steady heading.

8

B.4.5 

Whenever possible a maximum (MBP) test shall be carried out at the manufacturer’s maximum ratingof the main engines (typically 110% MCR), for a period of 5 minutes.

B.4.6  When requested, continuous bollard pull may also be verified at different RPM and/or propeller pitchsettings or with fewer propellers or engines in use.

B.4.7 

The load cell used for measuring the bollard pull shall have an accuracy of 2% for the averagetemperature observed during the test and shall have been calibrated not more than six (6) months priorto the test date. The calibration certificate shall be available.

B.4.8   An autographic recording instrument giving a continuous read-out of the bollard pull shall be connectedto the load cell.

B.4.9  If no continuous record of the test is printed, then the bollard pull shall be the mean of consecutivereadings recorded at 20 second intervals over the test period.

B.5  BOLLARD PULL TESTS ACCEPTANCE

B.5.1  Bollard pull test certificates issued by Classification Societies are acceptable, or by another recognisedbody provided that acceptable procedures for the tests are produced.

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  GUIDELINES FOR THE  APPROVAL OF TOWING VESSELS 

 APPENDIX C - TOWING EQUIPMENT TESTS

C.1  GENERAL

C.1.1 

The following guidance notes apply to the towing equipment tests of any vessel which GL NobleDenton is requested to approve or attend.

C.1.2 

Before carrying out any tests, it shall be ascertained that the equipment to be tested has been installedaccording to the manufacturer’s recommendations and can be operated safely.

C.1.3  The wire used during the winch tests shall be equal to the towing wire in breaking load, diameter andconstruction and shall be spooled onto the towing winch drum with a tension of 25% of the vessel’sCBP or 40 tonnes, whichever is less.

C.1.4  During stalling, brake and quick release tests, the wire shall be kept as near as possible to the centreline of the vessel.

C.1.5  The safe working load of the test equipment, fittings and any connection points ashore shall be at leastten (10) percent in excess of the designed maximum static bollard pull of the vessel.

C.2  WINCH TESTS

C.2.1  Stalling Test

First Test: To be carried out with a full drum.

Second Test: To be carried out with an effective drum diameter which is estimated to stall thewinch at CBP.

The winch shall be heaving in wire while the engine revolution or propeller pitch is gradually increased.

When the winch stalls, the following shall be recorded:

a. 

Bollard Pull

b.  Effective Drum Diameter

C.2.2  Brake Test

The test shall be carried out with a full drum of wire.

 A wire of approximately 300 metres shall be connected to the winch wire if required.

The brake shall be applied at maximum holding capacity.

The engine revolutions or propeller pitch shall be gradually increased until CBP is achieved.

The following shall be recorded:

a.  Bollard Pull

b. 

Brake Pressure

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  GUIDELINES FOR THE  APPROVAL OF TOWING VESSELS 

0021/ND REV 8  Page 30

C.2.3  Quick Release Test

The quick release tests shall be carried out when the vessel is towing at approximately 30% of its CBP.

First Test: When heaving in the test wire.

Second Test: When the brake is engaged.

C.2.4  Spooling Gear Test (if fitted)

The spooling gear shall be engaged when tested.

The engine power or propeller pitch shall be gradually increased to CBP.

The test wire shall be at an angle of approximately 60° to the centreline, on each side of the vessel.

The duration of the test shall be not less than one (1) minute.

C.3  FIXED GOGWIRE SYSTEM, TOWING POD, LINE STOPS AND GUIDE PINS

TESTS

C.3.1 

The spooling gear, if fitted, shall be disengaged during the “fixed” gogwire system, towing pod, linestops and guide pin tests.

C.3.2  The engine power or propeller pitch shall be gradually increased to the CBP.

C.3.3  The test wire shall be at an angle of approximately 60° to the centreline, on each side of the vessel.

C.3.4  The duration of each test shall not be less than one (1) minute.

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TECHNICAL POLICY BOARD

GUIDELINES FOR MARINE LIFTING OPERATIONS

0027/ND

Once downloaded this document becomes UNCONTROLLED.Please check the website below fo r the current version.

31 Mar 10 9 GPB Technical Policy Board

23 Jun 09 8 GPB Technical Policy Board

15 Apr 09 7 GPB Technical Policy Board

19 Jan 09 6 GPB Technical Policy Board

17 Feb 06 5 RLJ Technical Policy Board

30 Nov 05 4 JR Technical Policy Board

15 Oct 02 3 JR Technical Policy Board

01 May 02 2 JR Technical Policy Board

11 Aug 93 1 JR Technical Policy Board

31 Oct 90 0 JR Technical Policy Board

DATE REVISION PREPARED AUTHORISED BY

www.gl-nobledenton.com 

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

PREFACE

This document has been drawn with care to address what are likely to be the main concerns based on theexperience of the GL Noble Denton organisation. This should not, however, be taken to mean that this documentdeals comprehensively with all of the concerns which will need to be addressed or even, where a particular matter isaddressed, that this document sets out the definitive view of the organisation for all situations. In using thisdocument, it should be treated as giving guidelines for sound and prudent practice on which our advice should bebased, but guidelines should be reviewed in each particular case by the responsible person in each project to ensurethat the particular circumstances of that project are addressed in a way which is adequate and appropriate to ensurethat the overall advice given is sound and comprehensive.

Whilst great care and reasonable precaution has been taken in the preparation of this document to ensure that thecontent is correct and error free, no responsibility or liability can be accepted by GL Noble Denton for any damage or

loss incurred resulting from the use of the information contained herein.

© 2010 Noble Denton Group Limited, who will allow:

  the document to be freely reproduced,

  the smallest extract to be a complete page including headers and footers but smaller extracts may bereproduced in technical reports and papers, provided their origin is clearly referenced.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

10  BUMPERS AND GUIDES 32 

10.1  INTRODUCTION 32 

10.2  MODULE MOVEMENT 32 

10.3  POSITION OF BUMPERS AND GUIDES 32 

10.4  BUMPER AND GUIDE FORCES 33 

10.5 

DESIGN CONSIDERATIONS 33 

11  PRACTICAL CONSIDERATIONS 35 

12  INFORMATION REQUIRED FOR APPROVAL 37 

12.1  GENERAL INFORMATION REQUIRED 37 

12.2  THE STRUCTURE TO BE LIFTED 37 

12.3  INDEPENDENT ANALYSIS 37 

12.4  CODES AND SPECIFICATIONS 38 

12.5  EVIDENCE OF SATISFACTORY CONSTRUCTION 38 

12.6  RIGGING ARRANGEMENTS 38 

12.7  THE CRANE VESSEL 39 

12.8  PROCEDURES AND MANAGEMENT 40 

12.9 

SURVEYS 41 

REFERENCES 42 

FIGURESFigure 5.1  Lift Calculation Flowchart 17 

TABLESTable 5-1 In Air Dynamic Amplification Factors (DAF) 19 

Table 5-2 Seastate Reduction Factor 20 

Table 5-3 Bending Efficiency Factors 22 

Table 5-4 Consequence Factors 23 

Table 12-1 Typically Required Surveys 41 

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

1  SUMMARY

1.1  These guidelines have been developed for the design and approval of marine lifting operations.

1.2  This document supersedes the previous r evision, document No. 0027/NDI Rev 8 dated 23 Jun 09.The changes are described in Section 2.12. 9

1.3  These guidelines cover lifting operations by floating crane vessels, including crane barges, craneships, semi-submersible crane vessels and jack-up crane vessels. They may also be applied to liftingoperations by land-based cranes for the purpose of loadout. They are intended to lead to an approvalby GL Noble Denton, which may be required where an operation is the subject of an insurancewarranty, or where an independent third party review is required.

1.4   A description of the approval process is given for those projects which are the subject of an insurancewarranty.

1.5 

The report includes guidelines for the load and safety factors to be applied at the design stage.

1.6  Comments on the practical aspects of the management of the operation are also offered.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

2  INTRODUCTION

2.1  This document provides guidelines on which the design and approval of marine lifting operations may

be based.

2.2 

It covers lifting operations by floating crane vessels, including crane barges, crane ships, semi-submersible crane vessels and jack-up crane vessels. It refers to lifting operations inshore andoffshore. Reference is also made to lifting operations by land-based cranes for the purpose of loadoutonto a barge or other transportation vessel.

2.3  The guidelines and calculation methods set out in this report represent the views of GL Noble Dentonand are considered to be sound and in accordance with offshore industry practice. Operators shouldalso consider national and local regulations, which may be more stringent.

2.4  The Report includes guidelines for the safety factors to be applied, comments on safe rigging practice

and the information and documentation to be produced by others in order to obtain GL Noble Dentonapproval.

2.5  Revision 2 superseded and replaced the previous version, Revision 1, dated 11 th  August 1993.Principal changes in Revision 2 included:

  Reference to the ISO Draft Standard on weight control

  Reserves specified on weights as calculated or measured according to the ISO/DIS

  Limitations of GL Noble Denton Approval clarified

 

Changes to the required clearances on pipelines and other subsea assets

 

 Addition to a section on heave-compensated lifts

   Addition of a section on lifts using Dynamic Positioning.

2.6 

Revision 3 superseded and replaced Revision 2, and includes additional clarification on safety factorsfor shackles, and testing and certification requirements.

2.7  Revision 4 superseded and replaced Revision 3, and includes:

  Changes to referenced documents (Sections 2.8 and References)

  Some changes to definitions (Section 3)

  Changes to Dynamic Amplification Factors, to eliminate discontinuities (Section 5.6)

  Elimination of an anomaly in the definition of Hook Load (Section 5.3)

  Inclusion of consideration of fibre slings (Sections 5.10, 5.15 and 12)

  Elimination of an anomaly in the treatment of spreader bars and frames (Sections 5.16 and 7.4)

  Modification of the flow chart (old Section 5.16)

  Changes to the derivation of bumper and guide design forces (Section 10.3).

2.8  Revision 5 superseded and replaced Revision 4, and corrected typographical errors in Table 5-1.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

2.9  Revision 6 superseded and replaces Revision 5, and made the following principal revisions,highlighted by a line in the right hand margin:

  The Guideline refers as appropriate to other standards, including

- ISO International Standard ISO2408 - Steel wire ropes for General Purposes -Characteristics [Ref. 4]

-  ISO International Standard ISO 7531 - Wire Rope slings for General Purposes -Characteristics and Specifications [Ref.5].

  Definitions in Section 3 were generally revised and expanded.

  Section 4.1.2 added for the Certificate of Approval

  Section 5  was re-ordered, Figure 5.1  revised, DAF's expanded to include submerged lifts,guidelines for 1 crane-2 hook lifts added, yaw factor for inshore lifts deleted, use of alternativecodes added, minimum sling angles included

 

Old Section 11 (Underwater Lifting) moved into Section 5.6.6  Section 5.6.8 added for inshore lifts made by jack-up crane vessels.

  Section 5.6.9 expanded to include weather forecast levels.

  Section 5.7.6 added: SKL for multi hook lifts.

  Table 5-4: consequence factors revised.

  Section 5.12.6 added: sling eye design.

  Sections 6.1.5 and 8.7 added.

  Old Section 12 (Heave compensated lifts) moved to Section 6.1.5

 

Section 8.5 expanded to include trunnions and sling retainers.

  Clearances in Section 9.3 generally updated and expanded.

  Dimensional control requirements added to 10.3 and design requirements in Section 10.5.4.

  Sections 9.2.6 - 9.2.8 added: bumper and guide clearances and dropped objects.

  Limitation on number of chained shackles and shackle orientation added in Section 11.11.

  Section 12 updated, showing requirements for sling certificates, doubled sling restrictions andrequirements for wire/sling type.

  Old Section 13 (Lifts using DP) moved to Sections 12.7.1 and 12.8.9.

 

Sections 12.8.7 and 12.8.8 amended for in field environmental condition monitoring.

  Section 12.8.10 added for risk assessments and HAZOPs

  General text changes and revisions made.

2.10  Revision 7 superseded and replaced Revision 6. The changes are the removal of “by Floating CraneVessels” in the document title and a correction in Section 5.14.1.

2.11 

Revision 8 superseded and replaced Revision 7. The change is a correction in Section 5.12.5.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

2.12  This Revision 9 supersedes and replaces Revision 8. The changes are:

  Definitions (Barge, IACS, Insurance Warranty, NDT, Survey, Vessel, Surveyor, WeatherRestricted Operation, and Weather Un-restricted Operations) in Section 3 revised.

 

Text modified in Section 4.1.4.

  Weather forecast needs modified in Section 4.4.1.

  Weight and CoG factor for piles added in Section 5.2.6.

  CoG factor included for lifts not using a CoG envelope in Section 5.5.3.

  DAF for lifts 100t to 1000t revised in Table 5-1.

  Text added in Section 5.7.7 for 4 unequal slings in a single hook lift.

  Factor for fibre rope sling splices included in Section 5.11.1.9

  Radius changed to diameter in Section 5.12.5.

 

Shackle MBL used instead of sling MBL in Section 5.14.2

  Text amended in Sections 6.1.4, 8.4.1 and 11.7.h.

  Clause added for tuggers attached to lift points in Section 7.3.3.

  Clearances clarified in Sections 8.7.2 , 9.2.1.

  Bumper force increased in Section 10.4.1.d.

  Secondary bumper and guide forces added in Section 10.4.4.

  Set down loads added in Section 10.4.3.

  IACS member certification added in Sections 12.1.1 and 12.6.1.

  Sling certificate validity added in Section 12.6.3.

  Spreader bar/frame certification added in Sections 12.6.6 and 12.6.7.

 

Reference 6 added.

  Mooring analysis requirements added to Sections 12.1.1 and 12.7.3 to 12.7.7.

  Reference [7] added.

2.13 

 All GL Noble Denton Guidelines can be downloaded from www.gl-nobledenton.com.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

3  DEFINITIONS

3.1  Referenced definitions are underlined.

Term or Acronym Definiti on

 Approval The act, by the designated GL Noble Denton representative, of issuinga Certificate of Approval

Barge  A non-propelled vessel commonly used to carry cargo or equipment.(For the purposes of this document, the term Barge can be consideredto include Vessel or Ship where appropriate).

Cable-laid sling  A cable made up of 6 ropes laid up over a core rope, as shown in Ref.[3], with terminations at each end.

Certificate of Approval The formal document issued by GL Noble Denton when, in its

 judgement and opinion, all reasonable checks, preparations andprecautions have been taken, and an operation may proceed.

CGBL /Calculated GrommetBreaking Load

The load at which a grommet will break, calculated in accordance withone of the methods shown in Ref. [3].

Consequence Factor  A factor to ensure that main structural members, lift points andspreader bars /frames have an increased factor of safety (includinglateral loads) related to the consequence of their failure.

Crane vessel The vessel, ship or barge on which lifting equipment is mounted. Forthe purposes of this report it is considered to include: crane barge,crane ship, derrick barge, floating shear-leg, heavy lift vessel, semi-submersible crane vessel (SSCV) and jack-up crane vessel.

CRBL /Calculated RopeBreaking Load

The load at which a cable laid rope will break, calculated in accordancewith one of the methods shown in Ref. [3].

CSBL /Calculated SlingBreaking Load

The load at which a sling will break, calculated in accordance with oneof the methods shown in Ref. [3]. The breaking load for a sling takesinto account the ‘Termination Efficiency Factor’

DAF /Dynamic AmplificationFactor

The factor by which the ‘gross weight’ is multiplied, to account foraccelerations and impacts during the lifting operation

Determinate lift  A lift where the slinging arrangement is such that the sling loads arestatically determinate, and are not significantly affected by minordifferences in sling length or elasticity

DP Dynamic Positioning

EB /Bending reduction factor

The reduction factor applied to the breaking load of a rope or cable totake account of the reduction in strength caused by bending round ashackle, trunnion or crane hook.

ET  /Termination efficiencyfactor

The factor by which the breaking load of a wire or cable is multiplied totake account of the reduction of breaking load caused by a splice ormechanical termination.

FMEA Failure Modes and Effects Analysis

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Term or Acronym Definiti on

GL Noble Denton  Any company within the GL Noble Denton Group including anyassociated company which carries out the scope of work and issues a‘Certificate of Approval’

Grommet  A grommet is comprised of a single length of unit rope laid up 6 timesover a core, as shown in Ref. [3] to form an endless loop

Gross weight The calculated or weighed weight of the structure to be lifted includinga weight contingency factor and excluding lift rigging. See also NTEweight.

Hook load The hook load is the ‘gross weight’ or NTE weight plus the ‘riggingweight’

IACS International Association of Classification Societies

Indeterminate lift Any lift where the sling loads are not statically determinate

Insurance Warranty  A clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent surveyhouse.

LAT Lowest Astronomical Tide

Lift point The connection between the ‘rigging’ and the ‘structure’ to be lifted.May include ‘padear’, ‘padeye’ or ‘trunnion’

Loadin The transfer of a major assembly or a module from a barge onto landby horizontal movement or by lifting

Loadout The transfer of a major assembly or a module from land onto a bargeby horizontal movement or by lifting

Matched pair of slings  A matched pair of slings are fabricated or designed so that thedifference does not exceed 0.5d, where d is the nominal diameter ofthe sling or grommet, Ref [3]

MBL /Minimum Breaking Load

The minimum allowable value of ‘breaking load’ for a particular sling orgrommet.

Mechanical Termination A sling eye termination formed by use of a ferrule that is mechanicallyswaged onto the rope, Ref. [4] and [5].

NDT Non Destructive Testing

Nett weight The calculated or weighed weight of a structure, with no contingency orweighing allowance

NTE Weight  A Not To Exceed weight, sometimes used in projects to define themaximum possible weight of a particular structure.

Operational referenceperiod

The planned duration of the operation, including a contingency period

Padear A lift point consisting of a central member, which may be of tubular orflat plate form, with horizontal trunnions round which a sling or grommetmay be passed

Padeye  A lift point consisting essentially of a plate, reinforced by cheek plates ifnecessary, with a hole through which a shackle may be connected

Rigging The slings, shackles and other devices including spreaders used to

connect the structure to be lifted to the craneRigging weight The total weight of rigging, including slings, shackles and spreaders,

including contingency.

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Term or Acronym Definiti on

Weather un-restrictedoperation

 An operation with an operational reference period generally greaterthan 72 hours. The design environmental condition for such anoperation shall be set in accordance with extreme statistical data.

WLL /Working Load Limit

The maximum load that rigging equipment is certified to raise, lower orsuspend

9-Part sling  A sling made from a single laid sling braided nine times with the singlelaid sling eyes forming each eye of the 9-part sling.

50/50 weight estimate The value representing the median value in the probability distributionof weight

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

4  THE APPROVAL PROCESS

4.1 

GL NOBLE DENTON APPROVAL

4.1.1 

GL Noble Denton approval may be sought where the lift forms part of a marine operation covered byan insurance warranty, or where an independent third party review is required.

4.1.2 

The Certificate of Approval is the formal document issued by GL Noble Denton when, in its judgementand opinion, all reasonable checks, preparations and precautions have been taken, and an operationmay proceed.

4.1.3 

 An Insurance Warranty is a clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent surveyor. The requirement is normallysatisfied by the issue of a Certificate of Approval. Responsibility for interpreting the terms of theWarranty so that an appropriate scope of work can be defined rests with the client.

4.1.4 

 Approval may be given for such operations as:  Installation of liftable jackets

  Hook-assisted installation of launched or lifted jackets

  Installation of templates and other sub-sea equipment

  Handling of piles

  Installation of decks, topsides modules, bridges and flare towers/booms

  Loadouts and Loadins.9

  Transfer of items between a transport barge and the deck of a crane vessel.

4.1.5 

Lifts may be by a variety of crane configurations, including single cranes, two cranes on a singlevessel, two or more cranes on separate vessels, single crane multi-hook sheerleg vessels, cranesmounted on jack-up vessels, or by one or more land based cranes.

4.1.6  GL Noble Denton approval may be given for the operation, including reviews of marine andengineering calculations and procedures, and consideration of:

  The actual and forecast weather conditions

  The suitability and readiness of all equipment

  The behaviour of the lifting vessel

   Any site changes in procedures

 

The general conduct of the preparations for the operation.

4.2  CERTIFICATE OF APPROVAL

4.2.1  The deliverable of the approval process will generally be a Certificate of Approval. This will be issuedon site, immediately prior to the lift taking place.

4.2.2 

For an offshore lift, the Certificate will normally be issued after lift rigging and tuggers have beenconnected / inspected and prior to cutting the seafastenings on the transport barge or vessel.Consideration shall be given where a partial seafastening removal is proposed to be carried out inparallel with rigging up operations. The lifting operation will be deemed to have commenced whenseafastening cutting starts. The lift will be deemed to be completed when the load is landed in its final

position, and the crane(s) has been disconnected.4.2.3  The Certificate confirming adequate preparation for an operation will normally be issued immediately

prior to the start of the operation, by the attending surveyor.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

4.3  SCOPE OF WORK LEADING TO AN APPROVAL

4.3.1  In order to issue a Certificate of Approval, GL Noble Denton will require to consider the followingtopics:

 

The strength of the structure to be lifted, including the strength of the lift points.  The capacity of the crane, taking into account the radius at which the lift will take place, whether

the crane will be fixed or revolving and whether any down-rating is required for operations in aspecified design and operational seastate.

  The capacity of the crane in the event that multiple hooks are used to suspend /upend a load.

  The rigging arrangement, including slings, shackles and any spreader frames or beams, andthe certification of the rigging components.

  The mooring arrangements for the crane vessel, as outlined in Section 4.4.

  The limiting weather conditions proposed, and the anticipated behaviour of the crane vessel in

those conditions.  The arrangements for handling and mooring the transport barge or vessel alongside the crane

vessel.

  The arrangements for cutting seafastenings prior to lifting.

  The management structure for the operations and Management of Change procedures.

  Risk assessments, HAZOP /HAZID studies carried out by Contractor involving all parties.

  Simultaneous Marine Operations (SIMOPS).

4.3.2 

The information required in order to issue a Certificate of Approval is discussed in more detail inSection 12.

4.4   APPROVAL OF MOORINGS

4.4.1   A lift may normally be considered a weather restricted operation. Limiting weather conditions for the liftoperation shall be defined, taking into account:

9  the weather forecast reliability and frequency for the area

  the duration of the operation, including a suitability contingency period

  the exposure of the site

  the time required for any operations before or after the lift operation, including crane vessel andtransport barge movements.

  currents on the lifting vessel/transport barge during the lift.

  currents on the lifted structure during lowering through the water column.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

4.4.2   An approval of a lift will normally include the approval of the crane vessel and transport bargemoorings in the limiting weather conditions specified for the lifting operation. When operatingalongside an offshore installation, procedures should be submitted which show that the crane vesseland transport barge can and will be removed to a safe distance when the weather conditions exceed aspecified level. An approval of a lift does not include approval of the vessel moorings in extremeweather conditions).

4.4.3  Similarly, an approval of a lifted loadout will include the approval of the crane vessel and transportbarge moorings at the loadout quay in the limiting weather conditions specified for loadout. It does notnecessarily include approval of either moorings in extreme weather conditions. Note that for approvalof loadouts, reference should also be made to GL Noble Denton Report 0013/ND - Guidelines forLoadouts Ref. [1].

4.4.4   Additionally, and if specifically requested, GL Noble Denton will study and issue an approval of themoorings of the crane vessel or the transport barge, for a more extended period.

4.5  LIMITATION OF APPROVAL

4.5.1 

 A Certificate of Approval is issued for a particular lift only.

4.5.2   A Certificate of Approval is issued based on external conditions observed by the attending surveyor ofhull(s) machinery and equipment, without removal, exposure or testing of parts.

4.5.3 

 A Certificate of Approval for a lift covers the marine operations involved in the lift only. A lift is normallydeemed to start offshore when cutting of seafastenings starts, and after the crane is connected andslings tensioned. It is normally deemed to be completed when the lifted object is set down in itsintended position. For completion of lifted loadouts see Ref. [1].

4.5.4 

Unless specifically included, a Certificate of Approval for a lift excludes moorings of the crane vesseland transport barge outside the period of the immediate lift, as defined in Section 4.4.2.

4.5.5   Any alterations to the surveyed items or agreed procedures after issue of the Certificate of Approval

may render the Certificate invalid unless the changes are approved in writing by GL Noble Denton.

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  GUIDELINES FOR MARINE LIFTING OPERATIONS 

5  LOAD AND SAFETY FACTORS

5.1 

INTRODUCTION

5.1.1 

For any lift, the calculations carried out shall include allowances, safety factors, loads and load effectsas described in these guidelines.

5.1.2 

The various factors and their application are illustrated in Figure 5.1. This flowchart is for guidanceonly, and is not intended to cover every case. In case of any conflict between the flowchart and thetext, the text shall govern. Figures in parentheses relate to sections in these guidelines.

5.1.3 

Use of other recognised offshore codes of practice relating to lift engineering can also be considered,but care should be taken since not all other codes are exhaustive in determining the actual behaviourof lifting systems.

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Figure 5.1 Lift Calculation Flowchart

OBTAIN

  Crane data

 

Lift arrangement  Number of cranes & hooks

  Structure gross weight

  Lift point geometry

  In air or submerged lift

  Barge ballast data

RIGGING OK

CALCULATE STATIC AND DYNAMIC

HOOK LOADS [5.3]

DEFINE SLING / GROMMETCRBL OR CGBL & SHACKLE

WLL REQUIRED [5.10 to 5.15]

DETERMINE LATERALLIFT POINT LOAD [5.9]

REVIEW

  Installation clearances above &below waterline [9]

  Bumper & guide design &geometry [10]

VERIFY LIFT POINT ANDSPREADER BAR DESIGN

[7]

IDENTIFY / REPORTRIGGING UTILISATIONFACTORS & RIGGING

GEOMETRY

VERIFY GLOBAL

STRUCTURAL DESIGN OFTHE LIFTED STRUCTURE

[7]

CHECK HOOK LOADWITH CRANE

CAPACITY (STATIC &DYNAMIC) AT THE

GIVEN RADIUS [6.1]

 APPLY CONSEQUENCEFACTORS FOR SPREADERBAR & LIFT POINT DESIGN

CHECKS [5.16]

DETERMINE LIFT FACTORS

  DAF [5.6]

  SKL factor [5.7]

  Tilt factor (2-hook lift) [5.8]

  Yaw factor (2-hook lift) [5.8]

  CoG shift factor (2 hook lift) [5.8]

  Minimum Slin an le 5.4

 Apply weight contingency factor  [5.2] Calculate lift point and sling loads [5.5]

LIFT POINT &SPREADER BAR OK CRANE OK

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5.2  WEIGHT CONTINGENCY FACTORS

5.2.1  Weight control shall be performed by means of a well defined, documented system, in accordance withcurrent good practice, such as ISO International Standard ISO 19901-5:2003 – Petroleum and naturalgas industries – specific requirements for offshore structures – Part 5: Weight control duringengineering and construction Ref. [2], in order to derive correct loads for the design of rigging and liftpoints.

5.2.2  In relation to weight control classes, Reference [2] states (inter alia) that:

  “Class A shall apply if the project is weight or CoG-sensitive for lifting and marine operations orduring operation (with the addition of temporaries) or has many contractors with which tointerface. Project may also require this high definition if risk gives cause for concern”.

  “Class B weight control definition shall apply to projects where the focus on weight and CoG isless critical for lifting and marine operations”.

  “Class C weight control definition shall apply to projects where the requirement for weight and

CoG data are not critical”.

5.2.3  Unless it can be shown that a particular structure and specific lift operation are not weight or CoGsensitive, then Class A weight control definition will be needed, as shown in Ref [2], Section 4.2. If the50/50 weight estimate as defined in Ref. [2] is derived, then an appropriate weight contingency factor,which shall be not less than 1.05, shall be applied to the Nett Weight. The extremes of the CoGenvelope (if used) shall be used.

5.2.4 

For Class B and C structure lifts, the minimum weight contingency factor shall be 1.10 applied to theNett Weight for rigging and lift point design.

5.2.5  Except for piles, a weight contingency factor of not less than 1.03 shall generally be applied to the finalweighed weight. This may be reduced if a Certificate is produced from a Competent Body stating, forthe specific case in question, that the weighing accuracy is better than 3%.

5.2.6 

The weight and CoG contingency factors for piles shall be determined considering the pile length andplate thickness tolerances.

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5.3  HOOK LOADS

5.3.1  In general, when considering the loading on a lift point or the structure, the hook load includingcontingency should be used. Loads in lift points and slings, and the total loading on the crane shouldbe based on hook loads, where:

Static Hook load  = (gross weight or NTE weight) + (rigging weight)

Dynamic Hook load  = Static Hook load x DAF

5.3.2 

Rigging weight includes all items between the lift points and the crane hook, including slings, shacklesand spreaders as appropriate.

5.3.3  For twin hook lifts whether cranes are on the same vessel, or multiple vessels, or the structure issuspended from two hooks on the same crane on the same vessel, the factors as described in Section5.8 shall be used to derive individual hook loads.

5.4  RIGGING GEOMETRY

5.4.1  The rigging geometry shall normally be configured so that the maximum tilt of the structure does notexceed 2 degrees.

5.4.2  In special circumstances (e.g. flare booms, flare towers and cantilevered modules) the design angle oftilt may require to be greater than 2 degrees to permit the effective use of installation aids. Thesestructures shall be reviewed as special cases.

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5.5  LIFT POINT AND SLING LOADS

5.5.1  The basic vertical lift point load is the load at a lift point, taking into account the structure gross weightproportioned by the geometric distance of the centre of gravity from each of the lift points. The basic

lift point load is further increased by the factors as listed in Figure 5.1  as appropriate for the liftingarrangement under consideration.

5.5.2  Where the allowable centre of gravity position is specified as a cruciform or other geometric envelope,then the most conservative centre of gravity position within the envelope should be taken. Where aCoG envelope is used, an additional factor of 1.03 should be added, to account for errors in the finalCoG location.

95.5.3  If a CoG envelope is not used then a CoG inaccuracy factor of 1.10 shall be applied to the weight.

5.5.4  The sling load is the vertical lift point load resolved by the sling angle to determine the direct (axial)load in the sling and lift point using the minimum possible sling angle.

5.5.5   A minimum sling angle of sixty degrees is recommended, but a lower sling angle is possible, takingdue account of the forces on the lift points, the structure and the crane hook(s).

5.5.6 

For lift point design, the rigging weight shall not form part of the lift point load.

5.6  DYNAMIC AMPLIFICATION FACTORS

5.6.1  Unless operation-specific calculations show otherwise, for lifts by a single crane in air, the DAF shallbe derived from the following Table.

Table 5-1 In Air Dynamic Amplification Factors (DAF)

DAF

OnshoreGross weight, W

(tonnes)Offshore

Floating

Inshore Moving Static

W ≤100 1.30 1.15 1.00

100 < W < 500 1.25 1.10 1.00

500 < W < 1,000 1.20 1.10 1.00

1,000 < W ≤ 2,500 1.15 1.05 1.00

2,500 < W < 10,000 1.10 1.05 1.00

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5.6.2 

The DAF as indicated in Table 5-1 above shall also apply to the following lift combinations of vessels,

cranes and locations:

  For lifts by 2 cranes on the same vessel

  For inshore lifts, in totally sheltered waters, by 2 or more vessels

  For onshore lifts by 2 or more cranes

  For offshore lifts by 2 or more hooks on the same crane boom

5.6.3 

For offshore lifts by 2 or more vessels, the DAF shall be found by dynamic analysis.

95.6.4 

For offshore lifts by 2 or more hooks on the same crane boom, total load on the crane boom structureshall be documented, based on Table 5-1 DAF’s increased by 1.10 unless certified crane curves forthis specific application can be provided.

5.6.5 

For onshore lifts, where the crane(s) may move horizontally, the “Moving” column of Table 5-1  shallapply. The “Static” column shall only apply if there is no crane movement other than lifting or lowering.

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5.6.6  If any part of the lifting operation includes lifting or lowering through water, analyses shall be submitted,which either:

  Show how the total in-water lifting loads are derived, taking into account weight, buoyancy,entrained mass, boom-tip velocities and accelerations, inertia and drag forces, or;

 

Calculate the dynamic sling and hook loads to document that slack slings do not occur andprovide limiting seastate data for the offshore operation.

  Calculate slamming loads on the structure being lifted.

  The dynamic analysis results for a submerged or partially submerged lift may restrict theoperability of an operation that is subject to the issue of a Certificate of Approval, depending onthe DAF used for rigging and structure design.

5.6.7 

 As an alternative to the DAF’s in Table 5-1, the DAF may be derived from a suitable calculation ormodel test. Where the lift is from or onto a barge or vessel alongside the crane vessel, then the bargeor vessel motions must be taken into account as well as the crane boom-tip motions.

5.6.8  For lifts from floating barges/vessels made by Jack-up crane vessels at an inshore location the DAF asindicated in Table 5-1 Inshore column shall apply.

5.6.9 

Where a DAF is derived by calculation or model tests, the limiting operational seastate from thisanalysis shall recognise the uncertainties in weather forecasts when determining critical operationaldurations. Weather forecasting uncertainties can be mitigated by in-field wave monitoring and/or in-field meteorologists. The limiting design seastate shall be reduced based on Table 5-2  below formarine operations with an operational duration of 24 hours.

Table 5-2 Seastate Reduction Factor

Weather Forecast Provision Reduction Factor

No specific forecast 0.50

One forecast 0.65

One forecast plus in-field wave monitoring (wave rider buoy) 0.70

One forecast plus in-field wave monitoring and offshore meteorologist 0.75

5.6.10 

For marine operations with an operational duration less than 24 hours, special consideration (DAFanalysis results, water depth, lift vessel type/class, object form, rigging system, weather forecastprovision, exposure period, lowering procedure) shall be given to the reduction factors in Table 5-2.

5.7  SKEW LOAD FACTOR (SKL)

5.7.1 

Skew load is a load distribution factor based on sling length manufacturing tolerances, riggingarrangement and geometry, fabrication tolerances for lift points,  sling elongation, and should beconsidered for any rigging arrangement and structure (Section 7.1) that is not 100% determinate. Asignificantly higher SKL factor may be required for new slings used together with existing slings as onesling may exhibit more elongation than the others.

5.7.2  For indeterminate 4-sling lifts using matched pairs of slings, a Skew Load Factor (SKL) of 1.25 shall beapplied to each diagonally opposite pair of lift points in turn.

5.7.3 

For determinate lifts the SKL may be taken to be 1.0, provided it can be demonstrated that sling lengtherrors do not significantly affect the load attitude or lift system geometry. The permitted lengthtolerance on matched pairs of slings is defined according to Ref. [3].

5.7.4  For a lift system incorporating spreader bars using matched pairs of slings a SKL of 1.10 is applicable.

5.7.5 

For a lift system incorporating a single spreader bar using matched pairs of slings a SKL of 1.05 isapplicable.

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5.7.6  For multi hook lifts where the hook elevation can be shown to be individually controlled, a lower skewload factor than stated above may be applicable, subject to evaluation of sling length tolerances,rigging arrangement and crane operating procedures.

5.7.7 

For a single hook lift where four slings of un-equal length are used (i.e. not Matched Pairs), the skew

load factor shall be calculated by the designer (considering sling length tolerances and measuredlengths) and applied to the structure and lift system design accordingly. Where the calculated SKL isless 1.25 (as required in Section 5.7.2), an SKL of 1.25 shall be applied.

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5.8  2-HOOK LIFT FACTORS

5.8.1  For a 2-hook lift (hooks on the same vessel) the individual gross weight at each hook shall bemultiplied by the following factors, to account for increased loads due to the tolerances of the elevationin the crane hooks:

Centre of gravity shift factor = 1.03

Tilt factor = 1.03

Reduced factors to those defined above may be used, subject to supporting analyses, limiting seastatecriteria and installation procedure steps/controls.

5.8.2 

For a 2-hook lift, with 2 slings to each hook, the load to each lift point shall be multiplied by a yawfactor, to account for tolerances in lift radii of the 2 hooks:

Yaw factor = 1.05

Yaw factors for 2-hook lifts with other rigging arrangements will require special consideration.

5.8.3 

For 2 hook lifts where the crane hooks are located on separate vessels the factors in Sections 5.8.1 and 5.8.2 shall be applied for inshore lifts, and be subject to calculation for offshore lifts.

5.8.4  For 2 hook lifts where the hooks are on the same crane, the factors in Sections 5.8.1 and 5.8.2  shallbe applied.

5.9  LATERAL LIFT POINT LOAD

5.9.1  Provided the lift-point is correctly orientated with the sling direction, then a horizontal force equal to 5%of the resolved lift point load shall be applied, acting through the centreline and along the axis of thepadeye pin-hole or trunnion /padear geometric centre.

5.9.2 

If the lift point is not correctly orientated with the sling direction, then the computed forces actingtransverse to the major lift point axis of the pin-hole or trunnion /padear geometric centre shall beadded to the lateral lift point load as defined in Section 5.9.1 above.

5.10  2-PART SLING FACTOR

5.10.1 

Where a 2-part sling or grommet passes over, round or through a shackle, trunnion, padear or cranehook, other than at a termination, the total sling force shall be distributed into each part in the ratio45:55 to account for frictional losses over the bend.

5.10.2  Where a 2-part sling or grommet passes over a rotating greased sheave on a trunnion the total slingforce shall be distributed into each part in the ratio 49:51 to account for the frictional losses over therotating sheave on the trunnion.

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5.11  TERMINATION EFFICIENCY FACTOR

5.11.1  The breaking load of a sling ending in a termination shall be the calculated rope breaking loadmultiplied by a factor as follows:

  For hand splices, including fibre slings: 0.75

 

For resin sockets: 1.00

  Swage fittings, e.g. “Superloop or Flemish Eye”: 1.00

  Steel ferrules (mechanical termination): 0.80

  Fibre rope sling splices: 0.909

Other methods of termination (i.e. 9-part slings) will require special consideration.

5.12  BENDING EFFICIENCY FACTOR

5.12.1 

Where any wire rope sling or grommet is bent round a shackle, trunnion, padear or crane hook, thebreaking load shall be assumed to be the calculated breaking load multiplied by a bending efficiencyfactor in accordance with Ref. [3]:

Bending efficiency factor = 1 - 0.5/ 

( D/d),

where: d  = the sling or cable laid rope diameter

D  = the minimum diameter over which the sling body, sling eye, or grommet isbent.

5.12.2  For wire rope slings and grommets, this results in the bending efficiency factors detailed in thefollowing Table 5-3.

Table 5-3 Bending Efficiency Factors

D/d <1.0 1.0 1.5 2.0 3.0 4.0 5.0 6.0 7.0

Factor Not Advised

0.50 0.59 0.65 0.71 0.75 0.78 0.80 0.81

5.12.3 

For fibre rope slings, the bending efficiency may normally be taken as 1.00, provided the bendingdiameter is not less than the minimum specified by the manufacturer.

5.12.4  It should be noted that termination and bending factors should not be applied simultaneously. The onewhich results in the lower value of breaking load will govern, and should be used.

5.12.5  Under no circumstances should the sling or grommet body contact any surface where the diameter isless than 1.0d to maintain the sling in good condition under load. Bending in way of splices shall beavoided.

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5.12.6  In certain circumstances, it will be necessary to check sling eye bending losses around a shackle ortrunnion, where the D/d ratio is less that 4.0.

5.13  SLING OR GROMMET SAFETY FACTORS

5.13.1  The minimum safety factor on sling or grommet breaking load shall be calculated after:

  resolution of the load based on centre of gravity position and sling angle, and

 

consideration of the factors shown in Sections 5.2 to 5.12 as appropriate.

5.13.2  For steel slings and grommets the minimum safety factor shall be not less than 2.25.

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5.13.3  For fibre slings and grommets the minimum safety factor shall be not less than 4.75.

5.13.4  Further safety factors shall be applied to the sling design based on termination and sling bendingefficiency and sling usage.

5.14  SHACKLE SAFETY FACTORS

5.14.1  The shackle WLL should not be less than the static sling load.

5.14.2 

In addition to Section 5.14.1 above, the dynamic sling load (static sling load x DAF) shall not exceedthe shackle MBL divided by a safety factor equal to 3.0. 9

5.14.3  Where the shackle is at the lower end of the rigging, the weight of the rigging components above theshackle, (including effects of the DAF and taking account of sling angle) may be deducted from theshackle load.

5.15  GROMMETS

5.15.1 

Grommets require special consideration, to ensure that the rope breaking load and bending efficiencyhave been correctly taken into account. It is assumed that grommets are constructed and used inaccordance with Ref. [3].

5.15.2 

The load in a grommet shall be distributed into each part in the ratio 45:55, as indicated by Section5.10.

5.15.3  The core of a grommet should be discounted when computing breaking load. The breaking load of agrommet is determined in accordance with Ref. [3].

5.15.4 

The bending efficiency factors at each end of a grommet may differ, and the more severe value shouldbe taken. Bending efficiency is derived as in Section 5.12  where rope diameter is the single partgrommet diameter.

5.15.5  Bending in way of grommet butt and tuck positions shall be avoided. The location of the butt

connection shall be marked.

5.16  CONSEQUENCE FACTORS

5.16.1  The following consequence factors shall be further applied to the structure including lift points and thelateral load effects on lift points, and their attachments into the structure:

Table 5-4 Consequence Factors

Lift points including spreader bars and frames 1.30

 Attachments of lift points to structure 1.30

Members directly supporting or framing into the lift points 1.15

Other structural members 1.00

5.16.2  The consequence factors shown in Table 5-4 shall be applied based on the calculated lift point loadsafter consideration of all the factors shown in Sections 5.2 through 5.10. If a partial load factor designis used then the consequence factors in Table 5-4 shall also be applied to the partial load factors forstructural design. Consequence factors in Table 5-4 shall also be applied to lift point lateral loads.

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6  THE CRANE AND CRANE VESSEL

6.1 

HOOK LOAD

6.1.1 

The hook load shall be shown not to exceed the allowable crane capacity as taken from the load-radius curves. Crane curves are generally expressed as safe working loads or static capacities.Information should be obtained to document this.

6.1.2  The allowable load-radius curves as presented may sometimes include a dynamic effect allowance. Ifa suitable statement is received to this effect, the hook load may, for comparison with the load-radiuscurves, be derived from the dynamic hook load as defined in Section 5.3.

6.1.3  Some crane curves specify different allowable load curves for different seastates. These may similarlybe taken to include dynamic effects. A seastate representing the probable limits for the operationshould be chosen, and the gross weight used.

6.1.4 

If the DAF included in the crane curves differs from the operation-specific value derived from Section5.6, then the allowable load should be adjusted accordingly but shall not exceed the certified crane(SWL or WLL) load-radius curve.

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6.1.5 

Where heave compensated lifts are planned, then the following information on the crane or cranesshall be obtained:

  Crane technical description and operating procedures,

  Load radius curves in heave compensated mode plus limiting seastates and boom slew angles,

  Crane de-rating curves,

  FMEA for the crane system,

  DAF analysis in heave compensated mode

  Verify engine room/deck mechanics maintenance logs

6.2  DOCUMENTATION

6.2.1  Where Approval is required, the documentation as stated in Section 12 shall be submitted.

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7  STRUCTURAL CALCULATIONS

7.1 

LOAD CASES AND STRUCTURAL MODELLING

7.1.1 

Structural calculations, based on the load factors discussed above, shall include adequate loadcasesto justify the structure. For example, for an indeterminate, 4-point lift the following loadcases shouldnormally be considered:

a.  Base case, using gross or NTE weight, resolved to the lift points, but with no skew load factor.

b.  Gross or NTE weight, with skew load factor applied to one diagonal.

c. 

Gross or NTE weight, with skew load factor applied to the other diagonal.

7.1.2 

In all cases the correct or minimum sling angle and point of action, and any offset or torsional loadingimposed by the slings shall be considered.

7.2  STRUCTURE

7.2.1  The overall structure shall be analysed for the loadings shown in Section 7.1.

7.2.2 

The primary supporting members shall be analysed using the most severe loading resulting fromSection 7.1, with a consequence factor applied (see Section 5.16).

7.3  LIFT POINTS

7.3.1   An analysis of the lift points and attachments to the structure shall be performed, using the mostsevere load resulting from Section 7.1 and all the factors as appropriate from Section 5.

7.3.2 

Where the lift point forms an integral part of the structural node, then the lift point calculations shallalso include the effects of loads imposed by the members framing into the lift point.

7.3.3  Where tugger lines are attached to lift points their effect shall be considered in the lift point design.

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7.4  SPREADER BARS OR FRAMES

7.4.1 

Spreader bars or frames, if used, should be similarly treated, with loadcases as above. Aconsequence factor shall be applied to spreader bars and frames, in accordance with Section 5.16.

7.5   ALLOWABLE STRESSES

7.5.1 

The structural strength of high quality structural steelwork with full material certification and NDTinspection certificates showing appropriate levels of inspection shall be assessed using themethodology of a recognised and applicable offshore code including the associated load andresistance factors for LRFD codes or safety factors for ASD/WSD codes. Traditionally AISC and APIRP2A have also been considered a reference code - see Note 1 in Section 7.5.3  regarding itsapplicability.

7.5.2  Except for sacrificial bumpers and guides, the loading shall be treated as a normal serviceability limitstate (SLS) / Normal operating case.

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7.5.3  Infrequent load cases on sacrificial bumpers and guides should be treated as an ultimate limit state(ULS)/Survival storm case. This does not apply to:

  Steelwork subject to deterioration and/or limited initial NDT unless the condition of the entireloadpath has been verified, for example the underdeck members of a barge or ship

 

Steelwork subject to NDT prior to elapse of the recommended cooling and waiting time asdefined by the Welding Procedure Specification (WPS) and NDT procedures. In cases wherethis cannot be avoided by means of a suitable WPS, it may be necessary to impose a reductionon the design/permissible seastate

  Steelwork supporting sacrificial bumpers and guides

  Spreader bars, lift points and primary steelwork of lifted items

  Structures during a load-out.

Note: If the AISC 13th Edition is used, the allowables shall be compared against member stressesdetermined using a load factor on both dead and live loads of no less than:

WSD Option  LRFD Option

SLS: 1.00 1.60

ULS: 0.75 1.20

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8  LIFT POINT DESIGN

8.1 

INTRODUCTION

8.1.1 

In addition to the structural requirements shown in Sections 5 and 7, the following should be taken intoaccount in the lift point design:

8.2  SLING OVALISATION

8.2.1   Adequate clearance is required between cheek plates, shackle pins or inside trunnion keeper plates, toallow for ovalisation under load. In general, the width available for the sling shall be not less than(1.25D + 25mm), where D is nominal sling diameter. However, the practical aspects of the rigging andde-rigging operations may demand a greater clearance than this.

8.2.2  For cast padears the geometry of the padear shall be configured to fully support and maintain the slinggeometry and shape under load.

8.3  PLATE ROLLING AND LOADING DIRECTION

8.3.1  In general, for fabricated lift points, the direction of loading should be in line with the plate rollingdirection. Lift point drawings should show the rolling direction.

8.3.2 

Through thickness loading of lift points and their attachments to the structure should be avoided ifpossible. If such loading cannot be avoided, the material used shall be documented to be free oflaminations, with a recognised through-thickness designation.

8.4  PIN HOLES

8.4.1  Pin-holes should be bored /reamed, and should be designed to suit the shackle proposed. The pinhole diameter shall be 2mm or 3% larger than the diameter of the shackle pin, whichever is thegreater, up to a maximum of 6mm.

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8.5  CAST PADEARS AND WELDED TRUNNIONS

8.5.1  Cast padears and trunnions shall be designed taking into account the following aspects:

  The geometrical considerations as indicated in Section 8.2.

  The stress analysis and finite element design process (modelling and load application).

 

Load paths, trunnion geometry and space and support for slings. And grommets

  The manufacturing process and quality control.

  Sling keeper plates shall be incorporated into the padear/trunnions design to prevent the loss ofsling or grommets during load application and lifting. These devices shall be proportioned toallow easy rigging and de-rigging whilst being capable of supporting the weight of the slingsection during transportation.

8.6  NON-DESTRUCTIVE TESTING

8.6.1  The extent of NDT shall be submitted for review.

8.6.2 

Where repeated use is to be made of a lift point, a procedure should be presented for re-inspectionafter each lift.

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8.7  CHEEK PLATES

8.7.1  Individual cheek plate thicknesses shall not exceed 50% of the main plate thickness to maintain theprimacy of the main plate in load transfer to the structure, and to provide robustness to lateral loads.

8.7.2 

Non-load bearing spacer plates may be used to centralise shackle pins, by effectively increasing thepadeye thickness. The diameter of the internal hole in such spacer plates shall be greater than the pinhole diameter. Spacer plates, if used, shall provide a 20-30mm clearance to the inside width of theshackle (i.e. 10 to 15mm each side).

8.7.3  Cheek plate welds shall be proportioned and designed with due regard to possible uneven bearingacross the padeye/cheek plate thickness due to combined nominal (5%) and actual lateral loads.

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9  CLEARANCES

9.1 

INTRODUCTION

9.1.1 

The required clearances will depend on the nature of the lift, the proposed limiting weather conditions,the arrangement of bumpers and guides and the size and motion characteristics of the crane vesseland the transport barge.

9.1.2  Subject to the above, for offshore lifts, the following clearances should normally be maintained at eachstage of the operation. Smaller clearances may be acceptable for inshore or onshore lifts. Clearancesare based on a level lift (no tilt) of each structure. Additional clearances may be required for structureswith a prescribed tilt.

9.2  CLEARANCES AROUND LIFTED OBJECT

99.2.1 

3 metres between any part of the lifted object (including spreaders and lift points) and crane boom,when the load is suspended.

9.2.2  3 metres vertical clearance between the underside of the lifted object and any other previouslyinstalled structure, except in the immediate vicinity of the proposed landing area or installation aidwhere 1.5m clearance shall be adequate.

9.2.3  5 metres between the lifted object and other structures on the same transport barge unless bumpersand guides are used for lift-off.

9.2.4 

3 metres horizontal clearance between the lifted object and any other previously installed structure,unless purpose-built guides or bumpers are fitted.

9.2.5  3 metres remaining travel between travelling block and fixed block at maximum load elevation with the

lift vessel at LAT.9.2.6  Where a structure is securely engaged within a bumper/guide or pin/bucket system, clearance

between the extremities of the structure and the host structure must be demonstrated to be positive,considering the worst possible combinations of tilt. This may require dimensional control surveys to becarried out on the host structure and the structure to be installed.

9.2.7  Lift arrangement drawings shall clearly show all clearances as defined above.

9.2.8  Clearances above for lifts by floating crane vessels onto floating structures (e.g. spars, FPSO’s) willneed special consideration. It is expected that these clearances will need to be larger than thosestated above, and is dependent on the transient motion of the floating structure and the lifting vessel.

9.2.9 

Consideration should be given when lifting and overboarding structures over or in the vicinity of asubsea asset to provide sufficient horizontal clearance for dropped objects.

9.3  CLEARANCES AROUND CRANE VESSEL

9.3.1  Where the crane vessel is moored adjacent to an existing fixed platform the following clearancesapply, for an intact mooring system:

  3m between any part of the crane vessel/crane and the fixed platform on lifted structure;

  5m between any part of the crane vessel hull extremity and the fixed platform or submerged lift;

  10 m between any anchor line and the fixed platform.

9.3.2 

Where the crane vessel is dynamically positioned in accordance with class 3 DP regulations, a 5mnominal clearance between any part of the crane vessel and the fixed platform shall be maintained.

9.3.3 

3m between crane vessel keel (including thrusters) and seabed, after taking account of tidalconditions, vessel motions, increased draft and changed heel or trim during the lift.

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9.3.4  Clearances around the crane vessel either moored or dynamically positioned and any floating platform,drilling rig or submersible, shall be determined as special cases based on the station keeping analysisof the floating structure and the lifting vessel. Positioning equipment and procedures shall be definedto maintain minimum clearances for specific operations and minimum durations.

9.4  CLEARANCES AROUND MOORING LINES AND ANCHORS

9.4.1  The clearances stated below are given as guidelines to good practice. The specific requirements andclearances should be defined for each project and operation, taking into account particularcircumstances such as:

  water depth

  proximity of subsea assets

  survey accuracy

  the station keeping ability of the anchor handling vessel

 

seabed conditions

  estimated anchor drag during embedment

  single mooring line failure in the vessel stand-off position

  the probable weather conditions during anchor installation.

9.4.2  Operators may have their own requirements which may differ from those stated below, and shouldgovern if more conservative.

9.4.3  Clearances should take into account the possible working and stand-off positions of the crane vessel.

9.4.4 

Moorings should never be laid in such a way that they could be in contact with any subsea asset. Thismay be relaxed when the subsea asset is a trenched pipeline, provided it can be demonstrated that the

mooring will not cause frictional damage or abrasion to coating systems.

9.4.5  Moorings shall never be run over the top of a subsea completion or wellhead.

9.4.6  Whenever an anchor is run out over a pipeline, flowline or umbilical, the anchor shall be securelystowed on the deck of the anchor handling vessel. In circumstances where either gravity anchors orclosed stern tugs are used, and anchors cannot be stowed on deck, the anchors shall be doublesecured through the additional use of a safety strap or similar.

9.4.7  The vertical clearance between any anchor line and any subsea asset should be not less than 20metres in water depths exceeding 40 metres, and 50% of water depth in depths of less than 40 metres. Anchor catenaries shall be presented indicating minimum and maximum tensions in order todemonstrate that these clearances can be met. 9

9.4.8  Horizontal clearance between any mooring line and any structure other than a subsea asset should notbe less than 10 metres.

9.4.9 

When an anchor is placed on the same side of a subsea asset as the crane vessel, it should not beplaced closer than 100 metres to the subsea asset.

9.4.10 

When the subsea asset lies between the anchor and the crane vessel, the final anchor position shouldbe no less than 200 metres from the subsea asset.

9.4.11  During lifting operations, crossed mooring situations should be avoided wherever practical. Wherecrossed moorings cannot be avoided, the separation between active catenaries should be no less than30 metres in water depths exceeding 100 metres, and 30% of water depth in water depths less than100 metres.

9.4.12  If any of the clearances specified in Sections 9.4.7  to 9.4.11 are impractical because of the mooring

configuration or seabed layout, a risk assessment shall be carried out and special precautions taken asnecessary.

9.4.13  Temporary lay-down of an anchor wire (but not chain) over a pipeline, umbilical, spool or cable may beacceptable subject to all of the following being submitted to this office:

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a.  Evidence that there is no other practicable anchor pattern that would avoid the lay-down.

b.  The status of a pipeline or spool (e.g. trenched, live, rock-dumped, on surface) and its contents(e.g. oil, gas, water) and internal pressure.

c. 

Procedures clearly stating the maximum duration that the anchor wire is in contact with thepipeline, umbilical, spool or cable and the reason for the contact.

d.  Written evidence that the pipeline owner accepts the laying down of the anchor wire over thepipeline, umbilical, spool or cable.

e.  Evidence that the anchor wire will be completely slack i.e. no variation in tension.

f.  Evidence that the seastate during the lay-down will be restricted to an acceptable value.

g. 

Documentation demonstrating that the anchor wire or its weight will not overstress or damagethe coating on the pipeline, umbilical, spool or cable.

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10  BUMPERS AND GUIDES

10.1 

INTRODUCTION

10.1.1 

For module installation the arrangement and design philosophy for bumpers and guides shall besubmitted, where applicable. In general, bumpers and guides should be designed in accordance withthis Section taking into account of their use, configuration and geometry.

9

10.2  MODULE MOVEMENT

10.2.1 

The maximum module movement during installation should be defined. In general the module motionsshould be limited to:

  Vertical movement: + 0.75 m

 

Horizontal movement: + 1.50 m

  Longitudinal tilt : 2 degrees

  Transverse tilt: 2 degrees

  Plan rotation: 3 degrees.

10.2.2  The plan rotation limit is only applicable prior to engagement on the bumper/guide or pin/bucketsystem, and when the module is close to its final position or adjacent to another structure on a cargobarge.

10.3  POSITION OF BUMPERS AND GUIDES

10.3.1 

The position of bumpers and guides shall be determined taking into account acceptable support pointson the module.

10.3.2  Dimensional control reports shall be reviewed of the as-built bumper and guide system to ensure fit upoffshore.

10.3.3  Nominal clearances between bumpers/guides and pins/buckets shall be +/-25mm to account forfabrication and installation tolerances. These may be reduced based on trial fits and/or a morestringent dimensional control regime.

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10.4  BUMPER AND GUIDE FORCES

10.4.1  For offshore lifts, bumpers and guides should be designed to the following forces (where W = statichook load):

a. Vertical sliding bumpers

Horizontal force in plane of bumper: 0.10 x W

Horizontal (friction) force, out of plane of bumper: 0.05 x W

Vertical (friction) force: 0.01 x W

Forces in all 3 directions will be combined to establish the worst design case.

b. Pin/bucket guides 

Horizontal force on cone/end of pin: 0.05 x WVertical force on cone/end of pin: 0.10 x W

Horizontal force in any direction will be combined with the vertical force to establish theworst design case.

c. Horizontal “cow-horn” type bumpers with vertical guide

Horizontal force in any direction: 0.10 x W

Vertical (friction) force: 0.01 x W

Horizontal force in any direction will be combined with the vertical force to establish the worst

design case.

d. Vertical “cow-horn” type guide with horizontal bumper

Horizontal force in any direction: 0.10 x W

Vertical force on inclined guide-face: 0.10 x W

10.4.2 

Horizontal force in any direction will be combined with the vertical force to establish the worst designcase.

10.4.3 

For inshore lifts under controlled conditions, bumpers and guides may be designed to 50% of the

forces shown in Section 10.4.1.10.4.4

 

Bumpers and guides that are deemed to arrest secondary motions may be designed to 50% of theforces shown in Section 10.4. 9

10.5  DESIGN CONSIDERATIONS

10.5.1  The connection into the module, and the members framing the bumper or guide location, should be atleast as strong as the bumper or guide.

10.5.2  The stiffness of bumper and guide members should be as low as possible, in order that they maydeflect appreciably without yielding.

10.5.3  Design of bumpers and guides should cater for easy sliding motion of the guide in contact with

bumper. Sloping members should be at an acute angle to the vertical. Ledges and sharp cornersshould be avoided on areas of possible contact, and weld beads should be ground flush.

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10.5.4  With reference to Section 7.5.1, the strength of bumpers and guides that are deemed to be “sacrificial”should be assessed to the ultimate limit state (ULS). The bumper and guide connection to thesupporting structure shall be assessed to the normal serviceability limit state (SLS).

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11  PRACTICAL CONSIDERATIONS

11.1   Adequate and safe access and working platforms should be provided for connection of slings,

particularly where connection or disconnection is required offshore or underwater.

11.2 

Seafastening on the transport barge should be designed:

  To minimise offshore cutting

  To provide restraint after cutting

  To allow lift off without fouling.

11.3 

 All cut lines should be clearly marked. Where a 2-stage lift is planned - e.g. barge to lift vessel, then liftvessel to final position, involving 2 sets of cut lines, these should preferably be in different colours.

11.4   Adequate equipment must be available on the transport barge, including as appropriate:

  Burning sets

  Tuggers and lifting gear

  Means of securing loose seafastening material

  Lighting for night operations

  Safety equipment for personnel.

  Safe access to and from the transport barge.

11.5   All loose equipment, machinery, pipework and scaffolding shall be secured against movement during

the lift, and the weights and positions allowed for in the gross weight.

11.6  Prior to the start of the lift, a forecast of suitable weather shall be received, of a duration adequate tocomplete the operation, with contingencies, and taking into account any subsequent critical marineoperations.

11.7 

The sling laydown arrangement shall show that:

a. 

The slinging arrangement is in accordance with acceptable good practice.

b. 

Large diameter slings and grommets shall be painted with a white line along the length tomonitor twisting during handling and laydown.

c. 

The slings are matched as accurately as possible, unless the rigging arrangement isdeliberately non-symmetrical to take account of centre of gravity offset, in which case matchedpairs of slings should normally be used. Where minor mismatch in sling length exists, the slingsshould be arranged to minimise skew loads.

d. 

The slings are adequately secured against barge motions, prior to the start of the lift.

e.  The slings will not foul obstructions such as walkways and handrails when lifted, and anyunavoidable obstructions are properly protected.

f. 

The slings will not kink when lifted.

g.   After the lift the slings (and spreaders if used) can be safely laid down again, without damage.

h.  In the event that a single sling attached to a single lift point is planned, it should be doubled toprevent the sling unwinding under load.

11.8  Slings with hand spliced terminations must be prevented from rotation.

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11.9  No bending is allowed at or close to a termination.

11.10  It is permissible to shackle slings together end-to-end to increase the length. However, slings ofopposite lay should never be connected together.

11.11 

It is permissible to increase the length of a sling by inserting an extra shackle or specifically designedlink plates. Any shackle to shackle connections should be bow-to-bow, not pin-to-pin or pin-to-bow sothat shackles remain centred under load and also the load take-up.

11.12 

Crane vessel motions should be monitored in the period prior to the lift, to confirm that the dynamicbehaviour is acceptable, taking into account the weight and size of the lifted object, the clearances forlifting off the transport barge, the hoisting speed, the clearances for installation and the installationtolerances.

11.13  Transport barge motions should be similarly monitored prior to the start of the lift. The change inattitude of the transport barge when the weight is removed should be taken into account.

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12  INFORMATION REQUIRED FOR APPROVAL

12.1 

GENERAL INFORMATION REQUIRED

12.1.1 

Where approval is required, a package shall be submitted to GL Noble Denton for review, consistingof:

a. 

Justification of weight and centre of gravity, by Weight Control Report or weighing report.

b.  Structural analysis report for structure to be lifted, including lift points and spreaders, as set outin Section 7.

c.  Rigging arrangement package, showing sling geometry, computed sling loads, requiredbreaking loads, tabulation of slings and shackles proposed, certificates for slings and shackles.This certificate shall be issued or endorsed by a body approved by an IACS member or otherrecognised certification body accepted by GL Noble Denton. Crane details, including load-

radius curve with lift superimposed, and details of vertical and horizontal clearances.9

d.  Mooring arrangements, mooring analyses, anchor catenaries and anchor running procedures.

e. 

The management structure and marine procedures.

f. 

Site survey reports.

12.2  THE STRUCTURE TO BE LIFTED

12.2.1  Calculations shall be presented for the structure to be lifted, demonstrating its capacity to withstand,without overstress, the loads imposed by the lift operation, with the load and safety factors stated inSection 5, and the loadcases discussed in Section 7.

12.2.2 

The calculation package shall present, as a minimum:

a.  Plans, elevations and sections showing main structural members

b. 

The structural model. This should account for the proposed lifting geometry, including anyoffset of the lift points

c. 

The weight and centre of gravity

d. 

The steel grades and properties

e. 

The loadcases imposed

f.  The Codes used

g. 

 A tabulation of member and joint Unity Checks greater than 0.8h.  Justification or proposal for redesign, for any members with a Unity Check in excess of 1.0.

i. 

Copies of existing sling certificates planned to be used (consolidation and dimensionalconformity certificates). This certificate shall be issued or endorsed by a body approved by anIACS member or other recognised certification body accepted by GL Noble Denton.

12.2.3   An analysis or equivalent justification shall be presented for all lift points, including padeyes, padearsand trunnions, to demonstrate that each lift point, and its attachment into the structure, is adequate forthe loads and factors set out in Sections 5 and 7.

12.2.4 

 A similar analysis shall be presented for spreader bars, beams and frames.

12.3  INDEPENDENT ANALYSIS

12.3.1   Alternatively, GL Noble Denton will, if instructed, perform an independent analysis of the structure tobe lifted, including the lift points, on receipt of the necessary information.

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12.6.6  Where spreader bars or spreader frames are used in a lifting system, there shall either be a load testcertificate provided indicating the SWL or WLL, tested in accordance with ref [6], or an as-built dossierprovided with data as listed in Section 12.6.7.

12.6.7 

Where spreader bars or spreader frames are not load tested an as-built fabrication dossier shall be

provided listing the following minimum information:a.  Material certificates (3rd party endorsed),

b. 

Welding consumables certificates,

c. 

Weld procedures,

9d. 

NDT procedures,

e.  Welders and NDT operatives qualifications,

f.  Inspection and Test Plan (ITP) listing Hold Monitor and Witness points,

g. 

3rd party fabrication release note,

h. 

Technical queries/concession requests,

i. 

 As-built drawings,

 j.  Design report.

12.7  THE CRANE VESSEL

12.7.1 

Information shall be submitted on the crane vessel and the crane. This shall include, as appropriate:

  Vessel general arrangement drawings and specification

  Details of registry and class

 

Mooring system and anchors  Vessel station keeping procedures

  DP operating and positioning procedures (as applicable) and station keeping analyses/rosettes

  Vessel DP system FMEA

  Operating and survival drafts

  Crane specification and operating curves (including where necessary the dynamic cranecapacity / curve).

 

Details of any ballasting operations required during the lift.

12.7.2  The mooring arrangement for the operation and stand-off position shall be submitted. This shouldinclude the lengths and specifications of all mooring wires and anchors, and a mooring plan showingadequate horizontal clearances on all platforms, pipelines and any other seabed obstructions. Anelevation of the catenary for each mooring line, for upper and lower tension limits, shall demonstrateadequate vertical clearance over pipelines and horizontal clearance to fixed installations and thestructure being lifted.

12.7.3  Mooring analyses shall be submitted based on the 10 year seasonal return data for the vessel in thestand-off position, for moorings that are deployed for a period less than 30 days. The analysis shalldemonstrate that the mooring system is able to safely resist the environmental conditions, includingsingle line failure cases.

912.7.4  The mooring analysis shall also provide the limiting seastate for the crane vessel to remain in theworking position. The transient motions due to single line failure shall be considered.

12.7.5 

Factors of safety shall meet the requirements of Ref. [7].

12.7.6 

 Anchors shall be selected with sufficient holding capacity for the soils expected based on thegeotechnical and geophysical data for the location.

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12.7.7   A site survey of the area encompassing the anchor pattern shall be provided to verify the location of allsubsea infrastructure with respect to the proposed vessel anchor patterns. The survey shouldgenerally be carried out no less than 4 weeks prior to the start of installation.

9

12.8  PROCEDURES AND MANAGEMENT

12.8.1 

Sufficient management and resources shall be provided to carry out the operation efficiently andsafely.

12.8.2 

Quality, safety and environmental hazards shall be managed by a formal Quality Management system.

12.8.3  The management structure for the operation, including reporting and communication systems, andlinks to safety and emergency services shall be demonstrated.

12.8.4  The anticipated timing and duration of each operation shall be submitted.

12.8.5 

The arrangements for control, manoeuvring and mooring of barges and/or other craft alongside thecrane vessel shall be submitted.

12.8.6 

 A weather forecast from an approved source, predicting that conditions will be within the prescribed

limits, shall be received prior to the start of the operation, and at 12 hourly intervals thereafter, until theoperation is deemed complete, in accordance with Section 4.5.3.

12.8.7 

In field monitoring of waves (height, direction and period) should be considered to enhance the 12hourly forecast for each specific lift operation where a Certificate of Approval is required.

12.8.8 

In field monitoring of currents (speed and direction) for subsea lifts in areas where it is known that highcurrents exist in the water column should be considered to enhance the 12 hourly forecast where aCertificate of Approval is required.

12.8.9  For marine operations that are planned to carried out in close proximity to fixed or moored installations,appropriate risk assessments and vessel audits shall be carried out prior to issue of a certificate ofapproval. This may include attendance at vessel annual DP trials and witnessing of in-field DP checksthat are scheduled for a specific marine operation.

12.8.10 

Risk assessments, HAZOP/HAZID studies shall be carried out by the Contractor in the presence of theClient, MWS and actual Contractor’s operational personnel. These studies shall be completed at anearly stage so that the findings can be incorporated into the operational procedures.

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12.9  SURVEYS

12.9.1  Where GL Noble Denton approval is required the surveys shown in Table 12-1 will usually be needed:

Table 12-1 Typically Required Surveys

Survey Time Place

Sighting of inspection/test. certificates forslings and shackles

Prior to departure ofstructure from shore

GL ND / client's office orfabrication yard

Sighting of inspection /test certificates orrelease notes for lift points and attachments

Prior to departure ofstructure from shore

GL ND / client's office orfabrication yard.

Inspection of rigging laydown andseafastening

Prior to departure ofstructure from shore

Fabrication yard

Inspection of securing of loose items insidemodule

Prior to departure ofstructure from shore Fabrication yard

Suitability survey of crane vessel, if requiredPrior to start of marineoperations

 As available

Inspection of preparations for lift, and issueof Certificate of Approval

Immediately prior tocutting seafastening

 At lift site

Crane vessel mooring activitiesPrior to start of marineoperations

 At lift site

Crane vessel in field DP trialsPrior to start of marineoperations

 At lift site

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REFERENCES

[1]  GL Noble Denton Report 0013/ND - Guidelines for Loadouts.

[2] 

ISO International Standard ISO 19901-5:2003 – Petroleum and natural gas industries – specific requirementsfor offshore structures – Part 5: Weight control during engineering and construction.

[3]  The International Marine Contractors Association - Guidance on the Use of Cable Laid Slings and Grommets -IMCA M 179 August 2005.

[4]  ISO International Standard ISO2408 - Steel wire ropes for General Purposes - Characteristics

[5]  ISO International Standard ISO 7531 - Wire Rope slings for General Purposes - Characteristics andSpecifications.

[6]  Lloyds Register - Code for Lifting Appliances in a Marine Environment

[7]  GL Noble Denton Report 0032/ND - Guidelines for Moorings9

 All GL Noble Denton Guidelines can be downloaded from www.gl-nobledenton.com.

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PREFACE

This document has been drawn with care to address what are likely to be the main concerns based on theexperience of the GL Noble Denton organisation. This should not, however, be taken to mean that this documentdeals comprehensively with all of the concerns which will need to be addressed or even, where a particular matter isaddressed, that this document sets out the definitive view of the organisation for all situations. In using thisdocument, it should be treated as giving guidelines for sound and prudent practice on which our advice should bebased, but guidelines should be reviewed in each particular case by the responsible person in each project to ensurethat the particular circumstances of that project are addressed in a way which is adequate and appropriate to ensurethat the overall advice given is sound and comprehensive.

Whilst great care and reasonable precaution has been taken in the preparation of this document to ensure that thecontent is correct and error free, no responsibility or liability can be accepted by GL Noble Denton for any damage orloss incurred resulting from the use of the information contained herein.

 ©  2010 Noble Denton Group Limited, who will allow:

  the document to be freely reproduced,

  the smallest extract to be a complete page including headers and footers but smaller extracts may bereproduced in technical reports and papers, provided their origin is clearly referenced.

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CONTENTS

SECTION PAGE NO.

1  SUMMARY 8 1.1  CONTENT AND SCOPE  8 1.2  THE APPROVAL PROCESS  8 1.3  DOCUMENTATION  8 1.4  METEOROLOGICAL CONDITIONS, VESSEL MOTIONS & LOADINGS, & SEAFASTENING

DESIGN  8 1.5  STABILITY  8 1.6  BARGE, TRANSPORT VESSEL & TUG SELECTION, TOWING EQUIPMENT, MANNED TOWS  9 1.7  PLANNING & CONDUCT OF THE TOWAGE OR VOYAGE  9 1.8  MULTIPLE TOWAGES  9 1.9  SPECIAL CONSIDERATIONS  9 

2  INTRODUCTION 10 

3  DEFINITIONS & ABBREVIATIONS 13 

4  THE APPROVAL PROCESS 20 4.1  GENERAL  20 4.2  GL NOBLE DENTON APPROVAL  20 4.4  CERTIFICATE OF APPROVAL  20 4.5  SCOPE OF WORK LEADING TO AN APPROVAL  20 4.6  LIMITATION OF APPROVAL  22 

5  CERTIFICATION AND DOCUMENTATION 23 5.1  GENERAL  23 5.2  DOCUMENTATION DESCRIPTION  23 5.3  ICE CLASS  25 5.4  TRANSPORTATION OR TOWING MANUAL  25 5.5  REQUIRED DOCUMENTATION  26 

6  DESIGN ENVIRONMENTAL CONDITIONS 27 6.1  INTRODUCTION  27 6.2  OPERATIONAL REFERENCE PERIOD  27 6.3  WEATHER-RESTRICTED OPERATIONS  27 6.4  UNRESTRICTED OPERATIONS  28 6.5  CALCULATION OF “ADJUSTED” DESIGN EXTREMES, UNRESTRICTED OPERATIONS  28 6.6  CALCULATION OF EXPOSURE  29 6.7  CALCULATION OF VOYAGE SPEED  29 6.8  CALCULATION OF EXTREMES  29 

6.9  COMPARISON WITH PERCENTAGE EXCEEDENCE  30 6.10  CRITERIA FROM TRANSPORT SIMULATIONS  30 6.11  METOCEAN DATABASE BIAS  31 6.12  DESIGN WAVE HEIGHT  31 6.13  DESIGN WIND SPEED  31 6.14  METOCEAN DATA FOR BOLLARD PULL REQUIREMENTS  31 

7  MOTION RESPONSE 32 7.1  GENERAL  32 7.2  SEASTATE  32 7.3  PERIODS  32 7.4  VESSEL HEADING AND SPEED  33 7.5  THE EFFECTS OF FREE SURFACES  33 7.6  THE EFFECTS OF CARGO IMMERSION  33 7.7  MOTION RESPONSE COMPUTER PROGRAMS  33 7.8  RESULTS OF MODEL TESTS  34 7.9  DEFAULT MOTION CRITERIA  34 

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7.10  DIRECTIONALITY AND HEADING CONTROL  36 

8  LOADINGS 38 8.1  INTRODUCTION  38 8.2  LOADCASES  38 8.3  DEFAULT MOTION CRITERIA  39 

8.4  LONGITUDINAL BENDING  39 8.5  CARGO BUOYANCY AND WAVE SLAM  39 

9  DESIGN AND STRENGTH 40 9.1  COMPUTATION OF LOADS  40 9.2  FRICTION  41 9.3  SEAFASTENING DESIGN  43 9.4  CRIBBING  44 9.5  STRESS LEVELS IN CARGO, GRILLAGE & SEAFASTENINGS  44 9.6  SECURING OF PIPE AND OTHER TUBULAR GOODS  45 9.7  INSPECTION OF WELDING AND SEAFASTENINGS  47 9.8  FATIGUE  47 

9.9  USE OF SECOND HAND STEEL SEAFASTENINGS  47 10  STABILITY 48 

10.1  INTACT STABILITY  48 10.2  DAMAGE STABILITY  49 10.3  WIND OVERTURNING  50 10.4  DRAUGHT AND TRIM  51 10.5  COMPARTMENTATION AND WATERTIGHT INTEGRITY  51 

11  TRANSPORT VESSEL SELECTION 53 11.1  GENERAL  53 11.2  SUITABILITY AND ON-HIRE SURVEYS  53 

12  TOWING VESSEL SELECTION AND APPROVAL 54 

12.1  GENERAL  54 12.2  BOLLARD PULL REQUIREMENTS  55 12.3  MAIN & SPARE TOWING WIRES & TOWING CONNECTIONS  57 12.4  TAILGATES / STERN RAILS  57 12.5  TOWLINE CONTROL  57 12.6  WORKBOAT  58 12.7  COMMUNICATION EQUIPMENT  58 12.8  NAVIGATIONAL EQUIPMENT  58 12.9  SEARCHLIGHT  58 12.10  PUMP  58 12.11   ADDITIONAL EQUIPMENT  58 12.12  BUNKERS & OTHER CONSUMABLES  58 

12.13  TUG MANNING  59 13  TOWING & MISCELLANEOUS EQUIPMENT ON TOW 60 

13.1  TOWING EQUIPMENT & ARRANGEMENTS - GENERAL  60 13.2  STRENGTH OF TOWLINE & TOWLINE CONNECTIONS  61 13.3  RELATIONSHIP BETWEEN TOWLINE LENGTH AND STRENGTH  63 13.4  TOWLINE CONNECTION POINTS  63 13.5  BRIDLE LEGS  63 13.6  BRIDLE APEX  63 13.7  SHACKLES  63 13.8  INTERMEDIATE PENNANT OR SURGE CHAINS  64 13.9  SYNTHETIC SPRINGS  64 13.10  BRIDLE RECOVERY SYSTEM  64 13.11  EMERGENCY TOWING GEAR  65 13.12  CERTIFICATION  66 13.13  NAVIGATION LIGHTS & SHAPES  66 13.14   ACCESS TO TOWS  66 

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18.7  MULTIPLE TUGS TO ONE TOW  82 

19  SPECIAL CONSIDERATIONS FOR THE TRANSPORT OF JACK-UPS 83 19.1  GENERAL  83 19.2  MOTION RESPONSES  83 19.3  LOADINGS  83 

19.4  HULL STRENGTH  83 19.5  STRESS LEVELS  84 19.6  STABILITY AND WATERTIGHT INTEGRITY  84 19.7  TUGS, TOWLINES AND TOWING CONNECTIONS  85 19.8  SECURING OF LEGS  85 19.9  DRILLING DERRICK, SUBSTRUCTURE AND CANTILEVER  85 19.10  HELIDECK  86 19.11  SECURING OF EQUIPMENT AND SOLID VARIABLE LOAD  86 19.12  SPUD CANS  86 19.13  PUMPING ARRANGEMENTS  87 19.14  MANNING  87 19.15  PROTECTION OF MACHINERY  87 19.16   ANCHORS  87 19.17  SAFETY EQUIPMENT  87 19.18  CONTINGENCY STAND-BY LOCATIONS  87 

20  SPECIAL CONSIDERATIONS FOR THE TOWAGE OF SHIPS 88 20.1  GENERAL CONSIDERATIONS  88 20.2  TUG SELECTION  89 20.3  TOWLINES AND TOWING CONNECTIONS  89 20.4  STABILITY, DRAUGHT AND TRIM  90 20.5  COMPARTMENTATION AND WATERTIGHT INTEGRITY  90 20.6   ANCHORS  90 20.7  SECURING OF EQUIPMENT AND MOVEABLE ITEMS  90 

20.8  EMERGENCY PUMPING  91 20.9  CARRIAGE OF CARGO  91 

21  SPECIAL CONSIDERATIONS FOR THE TOWAGE OF FPSOS 92 21.1  GENERAL AND BACKGROUND  92 21.2  THE ROUTE AND WEATHER CONDITIONS  92 21.3  STRUCTURAL ISSUES  92 21.4  TUG SELECTION  93 21.5  BALLAST, TRIM AND DIRECTIONAL STABILITY  93 21.6  TOWING EQUIPMENT  94 21.7  SELF-PROPELLED OR THRUSTER-ASSISTED VESSELS  94 21.8  MANNING AND CERTIFICATION  94 21.9  EMERGENCY ANCHOR  94 21.10  MOORINGS & UNDER KEEL CLEARANCE  95 

22  SPECIAL CONSIDERATIONS FOR THE TOWAGE OF VESSELS AND STRUCTURES IN ICE COVEREDWATERS 96 22.1  GENERAL  96 22.2  VESSEL ICE CLASSIFICATION  97 22.3  TOWAGE WITHOUT INDEPENDENT ICEBREAKER ESCORT  98 22.4  TOWAGE OPERATIONS WITH INDEPENDENT ICEBREAKER ESCORT  99 22.5  MANNING  100 22.6  MULTIPLE TOWS AND MULTI-TUG TOWS  100 22.7  TOWING EQUIPMENT  101 22.8  TUG SUITABILITY  104 

22.9  CARGO LOADINGS  104 22.10  SEA-FASTENING DESIGN AND STRENGTH  104 22.11  STABILITY  104 22.12  BALLASTING  105 

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22.13  VOYAGE PLANNING  105 22.14  WEATHER /ICE RESTRICTED OPERATIONS  106 22.15  DAMAGE CONTROL AND EMERGENCY EQUIPMENT  107 

23  SPECIAL CONSIDERATIONS FOR CASPIAN SEA TOWAGES 108 23.1  BACKGROUND  108 

23.2  REQUIREMENTS WITHIN NORTHERN CASPIAN SEA  109 23.3  REQUIREMENTS FOR REMAINING CASPIAN SEA AREAS  110 23.4  REQUIREMENTS FOR TOWAGES BETWEEEN CASPIAN SEA AREAS  110 

REFERENCES 111 

APPENDIX A - EXAMPLE OF MAIN TOW BRIDLE WITH RECOVERY SYSTEM 112 

APPENDIX B - EXAMPLE OF EMERGENCY TOWING GEAR 113 

APPENDIX C - EXAMPLE OF SMIT-TYPE CLENCH PLATE 114 

APPENDIX D - EMERGENCY ANCHOR MOUNTING ON A BILLBOARD 115 

APPENDIX E - ALTERNATIVES TO THE PROVISION & USE OF AN EMERGENCY ANCHOR 116 

APPENDIX F - FILLET WELD STRESS CHECKING 118 

APPENDIX G - TRANSPORTATION OR TOWING MANUAL CONTENTS 122 

TABLESTable 5-1 Principal Documentation 23 Table 5-2 Required Documentation 26 Table 7-1 Value of JONSWAP γ, ratio of Tp:Tz and Tp:T1 for each integer value of K 33 Table 7-2 Default Motion Criteria 35 Table 7-3 Reduced Seastate v Heading 37 Table 9-1 Maximum allowable coefficients of friction & minimum seafastening forces 41 Table 9-2 Typical Friction Coefficients 45 Table 10-1 Intact Stability Range 48 

Table 10-2 Minimum draught & trim 51 Table 12-1 Towing Vessel Categories 54 Table 12-2 Meteorological Criteria for Calculating TPR (Towline Pull Required) 55 Table 12-3 Values of Tug Efficiency, Te  56 Table 12-4 Selecting Bollard Pull from TPR for Hsig = 5 m 57 Table 13-1 Minimum Towline Breaking Loads (MBL) 61 Table 13-2 Fairlead Resolved ULC 62 Table 13-3 Default Shackle SWL 64 Table 22-1 Polar Class Descriptions 97 Table 22-2 Previous Icebreaker Classifications 97 Table 22-3 Previous Vessel Ice Classifications 98 Table 22-4 Minimum Towline MBL in Ice 101 

FIGURESFigure 10-1 Wind Overturning Criteria (Intact Case) 50 Figure 10-2 Wind Overturning Criteria (Damaged Case) 50 Figure 12-1 Tug efficiencies in different sea states 56 Figure 12-2 Effective Bollard Pull in Different Sea States 57 Figure 13-1 Definition of angle  with and without a bridle 62 Figure 23-1 Northern Caspian Sea areas 108 

Figure F.1  Effective Throat Dimension ‘a’ for concave and Convex Fillet Welds 118 Figure F.2  Normal and Shear Stresses acting on the plane of Weld Throat 119 Figure F.3  Bracket connected by double Fillet Weld 120 Figure F.4  121 Stresses and Forces acting on Fillet Weld 

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1  SUMMARY

1.1  CONTENT AND SCOPE

1.1.1  These guidelines will be used by GL Noble Denton for approval of specialised marine transportations,including:

a.  Cargoes on ships or towed barges

b.  Towage of self-floating marine and oilfield equipment, civil engineering structures and ships

but are not normally intended to apply to “standard” cargoes such as bulk liquids, bulk solids,refrigerated cargoes, vehicles or containers.

1.1.2  This Revision 4 includes changes described in Section 2.7. 4

1.1.3  It should be noted that this document cannot cover every case of all transportation types. The readershould satisfy himself that the guidelines used are fit for purpose for the actual transportation under

consideration.1.1.4  In general, in addition to compliance with these Guidelines, towing operations should comply with the

mandatory parts of relevant IMO documents. The approval of any transportation by GL Noble Dentondoes not imply that approval by any other involved parties would be given. These Guidelines areintended to ensure the safety of the transported equipment. They do not specifically apply to thesafety of personnel or protection of the environment, for which more stringent guidelines may beappropriate.

1.1.5  These Guidelines are not intended to exclude alternative methods, new technology and newequipment, provided an equivalent level of safety can be demonstrated.

1.2  THE APPROVAL PROCESS

1.2.1   A description of the Approval Process is included, for projects where GL Noble Denton is acting as aWarranty Surveyor. The extent and limitations of the approval given are discussed.

1.3  DOCUMENTATION

1.3.1  The documents and certificates which are expected to be possessed or obtained for differingoperations/equipment are described and tabulated.

1.4  METEOROLOGICAL CONDITIONS, VESSEL MOTIONS & LOADINGS, & SEAFASTENINGDESIGN

1.4.1  Guidelines are presented for determining the design meteorological conditions, for differing operational

durations and exposures.1.4.2   Alternative means of computing vessel motions are given, as are default motion criteria.

1.4.3  Methods of deriving the loadings resulting from vessel motions are stated.

1.4.4  Considerations are given for the design of grillage and seafastenings, and assessing the strength ofthe cargo.

1.5  STABILITY

1.5.1  Guidelines for intact and damage stability are presented, with reference to International Codes whereappropriate.

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1.6  BARGE, TRANSPORT VESSEL & TUG SELECTION, TOWING EQUIPMENT, MANNEDTOWS

1.6.1  Considerations in the selection of a suitable transport barge or vessel are listed.

1.6.2  Tug specification, bollard pull requirements and equipment are stated.

1.6.3  Towing and miscellaneous equipment to be provided on the tow is also stated, including pumpingsystems, anchoring and mooring systems.

1.6.4  Reasons for manning a tow in certain circumstances are discussed, and the equipment andprecautions to be taken in the event of manning.

1.7  PLANNING & CONDUCT OF THE TOWAGE OR VOYAGE

1.7.1  The planning and conduct of the towage or voyage are discussed in Section 14.

1.8  MULTIPLE TOWAGES

1.8.1  The different types of multiple towages are defined in Section 18, and the practical problems andacceptability of each are discussed.

1.9  SPECIAL CONSIDERATIONS

Special considerations are given for:

a.  Transport or towage of jack-ups in Section 19.

b.  Towage of ships, including demolition towages in Section 20.

c.  Towage of FPSOs and similar vessels in Section 21.

d.  Towages of vessels and structures in ice covered waters in Section 22.

4e.  Towages in the Caspian Sea in Section 23.

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2  INTRODUCTION

2.1  This document describes the guidelines for approval of specialised marine transportations, including:

a.  Transportation of cargoes on towed bargesb.  Transportation of specialised cargoes on ships

c.  Transportation of specialised cargoes on submersible, heavy lift vessels

d.  Towage of ships including demolition towages

e.  Towages of self-floating marine and oilfield equipment such as mobile offshore drilling units(MODUs), self floating jackets, floating docks, dredgers, crane vessels and Floating ProductionStorage and Offload vessels (FPSOs)

f.  One-off towages of self-floating civil engineering structures such as caissons, power plants,bridge components and submerged tube tunnel sections.

2.2  Where GL Noble Denton is acting as a consultant rather than a Warranty Surveyor, these Guidelinesmay be applied, as a guide to good practice.

2.3  These Guidelines are not intended to be applicable to “standard” cargoes such as bulk liquids, bulksolids, refrigerated cargoes, vehicles or containers.

2.4  The document refers to other GL Noble Denton guidelines as appropriate.

2.5  Revision 2 included an additional Section 22, relating to towages in ice covered waters. It alsosuperseded and replaced earlier Noble Denton guidelines:

a.  Guidelines for the transportation of specialised cargoes on ships and heavy transport vessels -0007/NDI

b.  Self-elevating platforms - guidelines for operations and towages (towage section only) -0009/ND [Ref. 1]

c.  Guidelines for Marine Transportations - 0014/NDI

d.  Guidelines for the Towage of Ships - 0026/NDI.

2.6  Revision 3 superseded Revision 2, and included:

a.  Modification of spectra definition in Section 7.3.5.

b.  Clarification of forward speed for motion analysis in Section 7.4.2.

c.  Minor changes to loadings in Sections 8.2, 8.3, and pump capacity in Section 15.5.1.

d.  Changes to friction in seafastenings in Section 9.2.

e.   Additional comments on the use of chain in seafastenings in Section 9.3.8.

f.  Changes of the use of 1/3 overload in Section 9.5.4 to 9.5.7

g.   Addition of Section 9.9 for use of second hand steel seafastenings.

h.  Default wind speed added for intact stability in Section 10.3.2.

i.  Removing the definition on “Field Move” for  jack-ups and replacing it with 24-hour moves, withrevised bollard requirements in Section 12.2 and tug efficiencies in Table 12-3.

 j.   Amplification of tug efficiencies in Sections 12.2.9 to 12.2.11.

k.  Clarification of the ULC for fairleads in Section 13.2.4.

l.  Implications of large bridle apex angles in Section 13.5.2.

m.  Introduction of surge chains in Section 13.8.5.

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n.  Increase in safety factor for bridle recovery .system in Section 13.10.5

o.   Addition of paragraphs on Hazardous materials in Section 14.17 and Ballast Water in Section14.18.

p.   Addition of Sections 14.19 to 14.22 on vertical and horizontal clearances on passage.

q.  Changes to the philosophy of emergency anchors in Sections 16.1 and 16.2.

r.   Amplification of Flag State approval of riding crews on transported cargo. In Sections 17.1.3 and 17.1.4.

s.   Additional restriction for carrying drill pipe etc in the derrick for field moves (Section 19.9.3)

t.  Reference is made to the IMO Stability code for icing in Section 22.11.1.

u.  Introduction of the IACS Polar class for vessels operating in ice in Section 22.2.2

v.   Additional Reference documents in the Reference Section.

w.   Addition of fillet weld stress checking in Appendix F.

2.7  This Revision 4 supersedes Revision 3, and includes:

a.  The addition of Transportation / Towage Manuals in Section 5.4 and Appendix G.

b.  Updates to required documentation in Table 5-2.

c.  Clarification of design extremes in Sections 6.5.4 and 6.8.7.

d.  Clarification of Sections 7.2.2, 7.8.1 and 9.5.7.4

e.   An additional option for design seastates in Sections 7.3.1 to 7.3.3.

f.   Additional default motion requirements in Section 7.9.1.

g.  Clarification of coupon testing results in Section 9.9.3.

h.  Minor changes for stability ranges in Table 10-1.

i.   Addition of towage requirements for concrete gravity units in Sections 12.1 and 14.20.

 j.   Additional requirements for certificates in Sections 13.2.2 and 13.12.1.

k.  The addition of Section 23 for Towages in the Caspian Sea.

2.8  It should be noted that this document cannot cover every case of all transportation types. The readershould satisfy himself that the guidelines used are fit for purpose for the actual transportation underconsideration.

2.9  Further information referring to other phases of marine operations may be found in:

a.  Self-elevating platforms – Guidelines for Elevated Operations 0009/ND [Ref. 1]b.  Guidelines for Loadouts - 0013/ND [Ref. 2]

c.  Concrete Offshore Gravity Structures – Guidelines for Approval of Construction, Towage andInstallation - 0015/ND [Ref. 3]

d.  Seabed and Sub-Seabed Data Required for Approvals of Mobile Offshore Units (MOU) -0016/ND [Ref. 4]

e.  Guidelines for the Approvability of Towing Vessels - 0021/ND [Ref. 5]

f.  Guidelines for Lifting Operations by Floating Crane Vessels - 0027/ND [Ref. 6]

g.  Guidelines for the Transportation and Installation of Steel Jackets 0028/ND - [Ref. 7].

2.10   All current GL Noble Denton Guidelines can be downloaded from www.gl-nobledenton.com.

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2.11  The approval of any transportation by GL Noble Denton does not imply that approval by designers,regulatory bodies, harbour authorities and/or any other involved parties would be given, nor does itimply approval of the seaworthiness of the vessel.

2.12  These Guidelines are intended to ensure the safety of the transported equipment. They do not

specifically apply to the safety of personnel or protection of the environment, which are covered byother International and National Regulations. In some cases more stringent guidelines may beappropriate in order to protect personnel and the environment.

2.13  These Guidelines refer both to towages of barges and other self-floating equipment, and to voyages ofself-propelled vessels. Where applicable, and unless particular distinction is required, the term“vessel” may include “barge”, and “voyage” may include “towage”, and vice versa.

2.14  The “Special Considerations” Sections 19  through 23  may amend, add to or contradict the generalsections. Care should be taken to ensure that the special requirements are considered as appropriate.

2.15  These Guidelines are not intended to exclude alternative methods, new technology and newequipment, provided an equivalent level of safety can be demonstrated.

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3  DEFINITIONS & ABBREVIATIONS

3.1  Referenced definitions are underlined.

Term or acronym Definition

24-hour Move  A jack-up move taking less than 24 hours between entering the water andreaching a safe airgap with at least two very high confidence good weatherforecasts for the 48 hours after entering the water, having due regard toarea and season.

 ABS American Bureau of Shipping

 AISC American Institute of Steel Construction

 API American Petroleum Institute

 Approval The act, by the designated GL Noble Denton representative, of issuing a‘Certificate of Approval’.

 ASPPR Arctic Shipping Pollution Prevention Regulations

 Assured The Assured is the person who has been insured by some insurancecompany, or underwriter, against losses or perils mentioned in the policy ofinsurance.

Barge A non-propelled vessel commonly used to carry cargo or equipment.

Benign area  An area that is free from tropical revolving storms and travellingdepressions, (but excluding the North Indian Ocean during the Southwestmonsoon season, and the South China Sea during the Northeast monsoonseason). The specific extent and seasonal limitations of a benign areashould be agreed with the GL Noble Denton office concerned.

BL /Breaking Load

Breaking load (BL) = Certified minimum breaking load of wire rope, chainor shackles, measured in tonnes.

BP /Bollard Pull

Bollard pull (BP) = Certified continuous static bollard pull of a tugmeasured in tonnes.

BV Bureau Veritas

Cargo Where the item to be transported is carried on a barge or a vessel, it isreferred to throughout this report as the cargo. If the item is towed on itsown buoyancy, it is referred to as the tow.

Cargo ship safetycertificates

(Safety Construction)(Safety Equipment)(Safety Radio)

Certificates issued by a certifying authority to attest that the vesselcomplies with the cargo ship construction and survey regulations, has

radiotelephone equipment compliant with requirements and carries safetyequipment that complies with the rules applicable to that vessel type.

Certificate validities vary and are subject to regular survey to ensurecompliance.

CASPRR Canadian Arctic Shipping Pollution Prevention Regulations

Certificate of Approval  A formal document issued by GL Noble Denton stating that, in its judgement and opinion, all reasonable checks, preparations andprecautions have been taken to keep risks within acceptable limits, and anoperation may proceed.

Class  A system of ensuring ships are built and maintained in accordance with theRules of a particular Classification Society. Although not an absolute legalrequirement the advantages (especially as regards insurance) mean thatalmost all vessels are maintained in Class.

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Term or acronym Definition

COSHH Control of Substances Hazardous to Health

Cribbing  An arrangement of timber baulks, secured to the deck of a barge or vessel,formally designed to support the cargo, generally picking up the strongpoints in vessel and/or cargo.

Demolition towage Towage of a “dead” vessel for scrapping.

Deratisation Introduced to prevent the spread of rodent borne disease, Certificationattesting the vessel is free of rodents (Derat Exemption Certificate) or hasbeen satisfactorily fumigated to derat the vessel (Derat Certificate).Certificates are valid for 6 months unless further evidence of infestationfound.

Design environmentalcondition

The design wave height, design wind speed, and other relevantenvironmental conditions specified for the design of a particulartransportation or operation.

Design wave height Typically the 10-year monthly extreme significant wave height, for the areaand season of the particular transportation or operation.

Design wind speed Typically the 10-year monthly extreme 1-minute wind velocity at areference height of 10 m above sea level, for the area and season of theparticular transportation or operation.

DNV Det Norske Veritas

Double tow The operation of towing two tows with two tow wires by a single tug. SeeSection 18.3.

Dry Towage (or DryTow)

Transportation of a cargo on a barge towed by a tug. Commonly mis-usedterm for what is actually a voyage with a powered vessel, more properly

referred to as ‘Dry Transportation’Dry Transportation Transportation of a cargo on a barge or a powered vessel.

Dunnage See cribbing.

EPIRB Emergency Position Indicating Radio Beacon

Flagged vessel  A vessel entered in a national register of shipping with all the appropriatecertificates.

Floating offload The reverse of floating onload

Floating onload The operation of transferring a cargo, which itself is floating, onto a vesselor barge, which is submerged for the purpose.

FPSO Floating Production, Storage and Offload vessel

GL Germanischer Lloyd

GL Noble Denton  Any company within the GL Noble Denton Group including any associatedcompany which carries out the scope of work and issues a Certificate of Approval, or provides advice, recommendations or designs as aconsultancy service.

GMDSS Global Maritime Distress and Safety System

GPS Global Positioning System

Grillage  A steel structure, secured to the deck of a barge or vessel, formallydesigned to support the cargo and distribute the loads between the cargo

and barge or vessel.GZ Righting arm

IACS International Association of Classification Societies

4

4

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Term or acronym Definition

IMDG Code International Maritime Dangerous Goods Code

IMO International Maritime Organisation

Independent leg jack-up

 A jack-up where the legs may be raised or lowered independently of eachother.

Insurance Warranty  A clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent survey house.

IOPP Certificate International Oil Pollution Prevention Certificate (see also MARPOL)

ISM Code International Safety Management Code - the International ManagementCode for the Safe Operation of Ships and for Pollution Prevention -SOLAS Chapter IX [Ref. 8]

Jack-up  A self-elevating MODU, MOU or similar, equipped with legs and jackingsystems capable of lifting the hull clear of the water.

Line pipe Coated or uncoated steel pipe sections, intended to be assembled into aPipeline

LOA Length Over All

Load line The maximum depth to which a ship may be loaded in the prevailingcircumstances in respect to zones, areas and seasonal periods. ALoadline Certificate is subject to regular surveys, and remains valid for 5years unless significant structural changes are made.

Loadout The transfer of a cargo onto a barge or vessel by horizontal movement,lifting, floatover etc.

Location move  A move of a MODU or similar, which, although not falling within thedefinition of a field 24-hour move, may be expected to be completed withthe unit essentially in 24-hour field move configuration, withoutoverstressing or otherwise endangering the unit, having due regard to thelength of the move, and to the area (including availability of shelter points)and season.

LRFD Load and Resistance Factor Design

LRS Lloyds Register of Shipping

Marine operation See Operation

MARPOL International Convention for the Prevention of Pollution from Ships1973/78, as amended.

Mat-supported jack-up  A jack-up which is supported in the operating mode on a mat structure, intowhich the legs are connected and which therefore may not be raised orlowered independently of each other.

MBL Minimum Breaking Load (see Sections 13.2.1 and 22.7.3.2)

MODU See MOU

MOU Mobile Offshore Unit. For the purposes of this document, the term mayinclude mobile offshore drilling units (MODUs), and non-drilling mobileunits such as accommodation, construction, lifting or production units

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Term or acronym Definition

MPME /Most ProbableMaximum Extreme

The value of the maximum of a variable with the highest probability ofoccurring over a period of 3 hours.

NOTE The most probable maximum is the value for which the probabilitydensity function of the maxima of the variable has its peak. It isalso called the mode or modus of the statistical distribution. Ittypically occurs with the same frequency as the maximum waveassociated with the design seastate.

Multiple tow The operation of towing more than one tow by a single tug. See Section18.1.

NDT Non Destructive Testing

Ocean towage  Any towage which does not fall within the definition of a restrictedoperation, or any towage of a MODU or similar which does not fall withinthe definition of a 24-hour move or location move.

Ocean transportation  Any transportation which does not fall within the definition of a restrictedoperation

Off-hire survey  A survey carried out at the time a vessel, barge, tug or other equipment istaken off-hire, to establish the condition, damages, equipment status andquantities of consumables, intended to be compared with the on-hiresurvey as a basis for establishing costs and liabilities.

Offload The reverse of loadout

On-hire survey  A survey carried out at the time a vessel, barge, tug or other equipment istaken on-hire, to establish the condition, any pre-existing damages,equipment status and quantities of consumables. It is intended to becompared with the off-hire survey as a basis for establishing costs andliabilities. It is not intended to confirm the suitability of the equipment toperform a particular operation.

Operation, marineoperation

 Any activity, including loadout, transportation, offload or installation, whichis subject to the potential hazards of weather, tides, marine equipment andthe marine environment,

Operational referenceperiod

The planned duration of an operation including a contingency period.

Parallel tow The operation of towing two tows with one tow wire by a single tug, thesecond tow being connected to a point on the tow wire ahead of the firsttow with the catenary of its tow wire passing beneath the first tow. See

Section 18.1.4.PIC Person In Charge

Pipe carrier A vessel specifically designed or fitted out to carry Line pipe

Port (or point) ofshelter

See Shelter point 

Port of refuge  A location where a towage or a vessel seeks refuge, as decided by theMaster, due to events occurring which prevent the towage or vesselproceeding towards the planned destination. A safe haven where atowage or voyage may seek shelter for survey and/or repairs, whendamage is known or suspected.

Procedure A documented method statement for carrying out an operation

4

4

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Term or acronym Definition

Registry Registry indicates who may be entitled to the privileges of the national flag,gives evidence of title of ownership of the ship as property and is requiredby the need of countries to be able to enforce their laws and exercise

 jurisdiction over their ships. The Certificate of Registry remains validindefinitely unless name, flag or ownership changes.

Restricted operation See Weather-restricted operation.

Risk assessment  A method of hazard identification where all factors relating to a particularoperation are considered.

SART Search and Rescue Radar Transponder

Seafastening The means of preventing movement of the cargo or other items carried onor within the barge, vessel, or tow.

Semi-submersible  A MODU or similar designed to operate afloat, generally floating oncolumns which reduce the water-plane area, and often moored to the

seabed when operating.

Shelter point (orshelter port, or pointof shelter)

 An area or safe haven where a towage or vessel may seek shelter, in theevent of actual or forecast weather outside the design limits for thetransportation concerned. A planned holding point for a stagedtransportation

Single tow The operation of towing a single tow with a single tug.

SLS  A design condition defined as a normal Serviceability Limit State / normaloperating case.

SMC /Safety Management

Certificate

 A document issued to a ship which signifies that the Company and itsshipboard management operate in accordance with the approved SMS.

SMS /Safety ManagementSystem

 A structured and documented system enabling Company personnel toimplement the Company safety environmental protection policy.

SOPEP Shipboard Oil Pollution Emergency Plan

Staged transportation  A transportation which can proceed in stages between shelter points, notleaving or passing each shelter point unless there is a suitable weatherforecast for the next stage. Each stage may, subject to certain safeguards,be considered a weather-restricted operation.

Submersible transportvessel

 A vessel which is designed to ballast down to submerge its main deck, toallow self-floating cargoes to be on-loaded and off-loaded.

Suitability survey  A survey intended to assess the suitability of a tug, barge, vessel or otherequipment to perform its intended purpose. Different and distinct from anon-hire survey.

Survey Attendance and inspection by a GL Noble Denton representative.

Surveyor The GL Noble Denton representative carrying out a Survey.

 An employee of the fabrication or loadout contractor or ClassificationSociety performing, for instance, a dimensional, structural or Class survey.

Tandem tow The operation of towing two or more tows in series with one tow wire froma single tug, the second and subsequent tows being connected to the sternof the tow ahead.

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Term or acronym Definition

Te /Tug efficiency (Te)

Defined as:

Effective bollard pull produced in the weather consideredCertified continuous static bollard pull

Tonnage  A measurement of a vessel in terms of the displacement of the volume ofwater in which it floats, or alternatively, a measurement of the volume ofthe cargo carrying spaces on the vessel. Tonnage measurements areprincipally used for freight and other revenue based calculations. TonnageCertificates remain valid indefinitely unless significant structural changesare made.

Tow The item being towed. This may be a barge or vessel (laden or un-laden)or an item floating on its own buoyancy. Approval by GL Noble Denton ofthe tow will normally include, as applicable: consideration of condition andclassification of the barge or vessel; strength, securing and weatherprotection of the cargo, draught, stability, documentation, emergencyequipment, lights, shapes and signals, fuel and other consumablesupplies, manning.

Towage The operation of transporting a non-propelled barge or vessel (whetherladen or not with cargo) or other floating object by towing it with a tug.

Towing (or towage)arrangements

The procedures for effecting the towage. Approval by GL Noble Denton ofthe towing (or towage) arrangements will normally include consideration oftowlines and towline connections, weather forecasting, pilotage, routeingarrangements, points of shelter, bunkering arrangements, assisting tugs,communication procedures.

Towing vessel See Tug

Towline connectionstrength

Towline connection strength (TC) = ultimate load capacity of towlineconnections, including connections to barge, bridle and bridle apex, intonnes.

TPR /Towline pull required

The towline pull computed to hold the tow, or make a certain speed againsta defined weather condition, in tonnes.

Transportation The operation of transporting a tow or a cargo by a towage or a voyage.

Tug The vessel performing a towage. Approval by GL Noble Denton of the tugwill normally include consideration of the general design; classification;condition; towing equipment; bunkers and other consumable supplies;emergency and salvage equipment; communication equipment; manning.

TVAC /Towing Vessel ApprovabilityCertificate

 A document issued by GL Noble Denton stating that a towing vesselcomplied with the requirements of Ref [5] at the time of survey, or wasreportedly unchanged at the time of revalidation, in terms of design,construction, equipment and condition, and is considered suitable for usein towing service within the limitations of its Category, bollard pull and anygeographical limitations which may be imposed.

TVAS /Towing Vessel Approvability Scheme

The scheme whereby owners of towing vessels may apply to have theirvessels surveyed, leading to the issue of a TVAC.

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Term or acronym Definition

ULC /Ultimate LoadCapacity

Ultimate load capacity of a wire rope, chain or shackle or similar is thecertified minimum breaking load, in tonnes. The load factors allow forgood quality splices in wire rope.

Ultimate load capacity of a padeye, clench plate, delta plate or similarstructure, is defined as the load, in tonnes, which will cause general failureof the structure or its connection into the barge or other structure.

ULS A design condition defined as Ultimate Limit State / survival storm case.

Vessel  A self-propelled marine craft designed for the purpose of transportation bysea.

Voyage For the purposes of this report, the operation of transporting a cargo on apowered vessel from one location to another.

Watertight  A watertight opening is an opening fitted with a closure designated byClass as watertight, and maintained as such, or is fully blanked off so that

no leakage can occur when fully submerged.

Weather un-restrictedoperation

 An operation with an operational reference period generally greater than72 hours. The design environmental condition for such an operation shallbe set in accordance with extreme statistical data.

Weather-restrictedoperation

 A marine operation which can be completed within the limits of anoperational reference period with a favourable weather forecast (generallyless than 72 hours), taking contingencies into account. The designenvironmental condition need not reflect the statistical extremes for thearea and season. A suitable factor should be applied between the designweather conditions and the operational weather limits.

Weathertight A weathertight opening is an opening closed so that it is able to resist anysignificant leakage from one direction only, when temporarily immersed ingreen water or fully submerged.

WMO World Meteorological Organisation

WPS Welding Procedure Specification

WSD Working Stress Design

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4  THE APPROVAL PROCESS

4.1  GENERAL

4.1.1  GL Noble Denton may act as a Warranty Surveyor, giving Approval to a particular operation, or as aConsultant, providing advice, recommendations, calculations and/or designs as part of the Scope ofWork. These functions are not necessarily mutually exclusive.

4.2  GL NOBLE DENTON APPROVAL

4.2.1  GL Noble Denton approval means approval by any company within the GL Noble Denton Groupincluding any associated company which carries out the scope of work and issues a Certificate of Approval.

4.2.2  GL Noble Denton approval may be sought where the towage, voyage or operation is the subject of anInsurance Warranty, or where an independent third party review is required.

4.3   An Insurance Warranty is a clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent survey house. The requirement is normallysatisfied by the issue of a Certificate of Approval. Responsibility for interpreting the terms of theWarranty so that an appropriate Scope of Work can be defined rests with the Assured.

4.3.1  GL Noble Denton approval may be required for the loadout and offload operations, either in addition tothe transportation, or where such operations are deemed to be part of the transportation.

4.4  CERTIFICATE OF APPROVAL

4.4.1  The deliverable of the approval process will generally be a Certificate of Approval.

4.4.2  The Certificate of Approval is the formal document issued by GL Noble Denton when, in its judgement

and opinion, all reasonable checks, preparations and precautions have been taken to keep risks withinacceptable limits, and an operation may proceed.

4.4.3   A Certificate confirming adequate preparation for a transportation will normally be issued by theattending surveyor immediately prior to departure, when all preparations including seafastening andballasting are complete, the barge or vessel, cargo, tug and towing connections (as applicable) havebeen inspected, and the actual and forecast weather are suitable for departure.

4.5  SCOPE OF WORK LEADING TO AN APPROVAL

4.5.1  In order to issue a Certificate of Approval, GL Noble Denton will typically require to consider, asapplicable, the following topics:

a.  History, condition and documentation of the tow or cargo

b.  Voyage or towage route, season and design environmental conditions, with shelter points ifapplicable

c.  Capability of the vessel or barge to carry the cargo

d.  Vessel, barge or tow motions

e.  Strength of the tow, cargo, seafastening and cribbing to withstand static and motion inducedtransportation loads

f.  Stability of the vessel, barge or tow

g.  Towing resistance and required bollard pull

h.  Towing vessel specification and documentationi.  Towing connections and arrangements

 j.  Weather protection of the tow or cargo

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k.  Seafastening of items and substructures within the tow or cargo

l.   Arrangements for receiving weather forecasts along the route

m.  Transportation or towing manual (see Section 5.4 and Appendix G). 4

4.5.2  If approval is also required for the onload and/or offload operations of a self-floating cargo onto/from asubmersible vessel or barge, then the following will typically require consideration:

a.  Location details, water depth, tidal conditions and meteorological exposure.

b.  Vessel or barge moorings.

c.  Stability and ballasting conditions during the load transfer operation and the critical parts of thedeballasting/ballasting operation.

d.  Cribbing position and securing during submergence.

e.  Towing and handling arrangements for the cargo.

f.  Cargo positioning arrangements.

g.  Reactions between vessel or barge and cargo.

h.  Limiting weather conditions for the operation.

4.5.3  If approval is required for loadout from the shore onto a vessel or barge, offload from a vessel or bargeto the shore, or lifting from a vessel or barge to a platform, reference should be made to documents0013/ND [Ref. 2] and 0027/ND [Ref. 6] as appropriate.

4.5.4  Technical studies leading up to the issue of a Certificate of Approval for transportation may consist of:

a.  Reviews of specifications, procedures and calculations submitted by the client or hiscontractors, or

b.  Independent analyses carried out by GL Noble Denton to verify the feasibility of the proposals,or

c.   A combination of third party reviews and independent analyses.

4.5.5  Surveys required in order to issue a Certificate of Approval will typically include:

a.  Survey of the transport vessel or barge

b.  Survey of the tow or cargo

c.  Survey of completed seafastenings and other voyage preparations including vessel or bargereadiness, ballast condition, cargo securing, weather-tightness and internal seafastening

d.  Survey of tug and towing connections, if applicable

e.  Inspection of documentation for vessel, barge and tug as appropriate

f.  Review of actual and forecast weather for departure

4.5.6  The above surveys may be carried out immediately before departure, but the client may consider it inhis interests to have initial surveys carried out in advance, to reduce the risk of rejection of any majoritem.

4.5.7  Tugs in possession of a GL Noble Denton Towing Vessel Approvability Certificate (TVAC) may be pre-approved in principle in advance. It may be advisable to request a survey of an unknown tug prior tomobilisation.

4.5.8  Whilst not forming part of the surveys required for approval, the client may also consider it in hisinterests to have on- and off-hire surveys performed of equipment taken on charter, in order toestablish inventories of equipment and consumables, and liability for degradation or damage.

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4.6  LIMITATION OF APPROVAL

4.6.1   A Certificate of Approval is issued for a specific towage, voyage or operation only.

4.6.2   A Certificate of Approval is issued based on external conditions observed by the attending surveyor ofhull, machinery and equipment, without removal, exposure or testing of parts.

4.6.3   A Certificate of Approval shall not be deemed or considered to be a general Certificate ofSeaworthiness.

4.6.4   A Certificate of Approval for a towage or voyage does not include any moorings prior to the start of thetowage or voyage, or at any intermediate shelter, bunkering or arrival port, unless specifically approvedby GL Noble Denton.

4.6.5  No responsibility is accepted by GL Noble Denton for the way in which the towage or voyage isconducted, this being solely the responsibility of the master of the tug or vessel.

4.6.6  The towage is deemed to be completed and the related Certificate of Approval invalidated when theapproved tug(s) is/are disconnected.

4.6.7  Fatigue damage is excluded from any GL Noble Denton approval, unless specific instructions are

received from the client to include it in the scope of work.4.6.8   Any alterations in the surveyed items or agreed procedures or arrangements, after issue of a

Certificate of Approval, may render the Certificate void unless the alterations are specifically approvedby GL Noble Denton.

4.6.9  The Certificate covers the surveyed items within the agreed scope of work only. It does not, forinstance, cover any other cargo on board a vessel or barge, or any damage to the surveyed cargo as aconsequence of inadequacy of any other cargo or its seafastenings, unless specifically included in thescope of work.

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5  CERTIFICATION AND DOCUMENTATION

5.1  GENERAL

5.1.1  In general, some or all of the documentation listed in the Table 5-1  and Table 5-2  below will berequired. Some documentation is mandatory to comply with international legislation and standards.The documentation and certification requirements for any particular structure, vessel or operationshould be determined in advance. Where new documentation is needed, the issuing authority and theRules to be applied should be identified.

5.2  DOCUMENTATION DESCRIPTION

5.2.1  Principal documentation and certification is described in the following Table 5-1:

Table 5-1 Principal Documentation

Document / Certificate DescriptionShip Safety Construction Covers the hull, machinery and equipment of a ship, (over 500

gt) and shows that the ship complies with the construction andsafety regulations applicable to the ship and the voyages she isto be engaged in. Issued by the Flag State, or appointedClassification Society.

Ship Safety Equipment This is a record of the safety equipment carried on the vessel(over 500 gt), in compliance with SOLAS, including life savingappliances, fire fighting equipment, lights and shapes, pilotladders, magnetic compass etc. Issued by the Flag State, orappointed Classification Society.

Class (Hull and machinery) Vessels and their machinery, built and maintained in accordancewith the Rules of a Classification Society will be assigned aclass in the Society’s Register Book, and issued with therelevant Certificates, which will indicate the character assignedto the vessel and machinery. Issued by the ClassificationSociety.

Customs clearance Issued by Customs confirming that so far as they are concernedthe vessel is free to sail. Issued after light dues have been paid,and on production of various other mandatory documentation.

De-rat, or De-rat Exemption A De-rat Certificate is issued after a vessel has been fumigated,or dealt with be other means to rid her of rats. A De-ratexemption is issued where inspection has shown no evidence of

rats on board. Issued by a Port medical officer.Garbage Management Plan A Class-approved document for management of waste.

International Oil PollutionPrevention

Certifies that the vessel complies with international oil pollutionregulations (MARPOL Annex 1). Unless stated otherwise, allvessels over 400 grt must comply with the requirements of thecode. Issued by the Flag State, or appointed ClassificationSociety.

Lifesaving Appliances Normally covered under Cargo Ship Safety EquipmentCertificate. Where temporary equipment, e.g. liferafts or firefighting equipment, is placed on a structure not in possession ofa Cargo Ship Safety Equipment Certificate, it is expected thateach would be individually certified, with an in-date inspection.

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Document / Certificate Description

Load Line Issued after a vessel has been marked with her assigned loadline marks. The Certificate gives details of the dimensionsrelated to the freeboard, and the various special marks, e.g. TF

(Tropical Fresh), WNA (Winter North Atlantic) etc. The vesselmust be periodically inspected, to confirm that no changes haveoccurred to the hull or superstructure which would render invalidthe data on which the assignment of freeboard was made.Issued by the Flag State, or appointed Classification Society.

Load Line Exemption Where a vessel or structure is exempt from some or all of theprovisions of the above, it may be issued with a Load LineExemption Certificate, which will include any qualifyingprovisions. Issued by the Flag State, appointed ClassificationSociety, or Port Authority.

Navigation Lights and Shapes Normally covered under Cargo Ship Safety EquipmentCertificate. Where temporary lights are placed on a structure

not in possession of a Cargo Ship Safety Equipment Certificate,it is expected that they would be individually certified, or inpossession of a manufacturer’s guarantee of compliance.

Panama Canal documentation For transit through the Panama Canal, drawings are requiredshowing the extent of visibility from the bridge, and theextension of bilge keels, if fitted.

Registry The Certificate of Registry is required by all commercial vessels.It contains the details from the Flag State Register in which thevessel has been registered, including principal dimensions,tonnage, and ownership. Issued by the Flag State Register.

Safe Manning document A document issued by Flag State, showing the minimum safemanning for a vessel

Safety Management Certificate(SMC) - Document ofCompliance

 A document issued to a ship which signifies that the Companyand its shipboard management operate in accordance with theapproved Safety Management System. Issued by the FlagState, or appointed Classification Society.

Safety Radio Issued by the Flag State after survey of the vessel’s radioinstallation, declaring that it is satisfactory for the intendedservice.

SOPEP Shipboard Oil Pollution Emergency Plan - Class approved

Tonnage Shows the Tonnage as obtained by measurement, and is ameasure of volume rather that weight. 1 ton equals 2.83 cu.m(100 cu.ft). Measured by a surveyor appointed by the Flag

State.Transportation or towing manual A manual providing the Master with the key information that he

needs, including the cargo and route.

Trim and Stability booklet A booklet setting out the vessel’s stability particulars, andallowing the actual draught, trim and stability characteristics andlimitations to be determined for any cargo arrangement. Usuallyprepared by designers, and must be approved by the Flag State.

4

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5.3  ICE CLASS

5.3.1  See the comments relating to Ice Class vessels in Section 22.2.

5.4  TRANSPORTATION OR TOWING MANUAL

5.4.1   A transportation or towing manual is required for all transportations or towages for the followingreasons:

a.  It shall provide the Master with the key information that he needs, including the cargo and route.

b.  It shall describe the structural and any other limitations of the cargo.

c.  It shall summarise contingency plans in the event of an emergency including contact details

4d.  It shall give approving bodies the key information that they require for approval.

e.  It shall define the responsibilities of different parties if parts of the transport / tow and installationare performed by different contractors. The scope split between the contractors shall be clearly

defined, to ensure that all parties are aware of their responsibilities, handover points andreporting lines.

5.4.2  More details are given in Appendix G.

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5.5  REQUIRED DOCUMENTATION

5.5.1  In general the following documentation (shown as “”) will be required or recommended (those shownas “*” will depend on the regulatory bodies) for the transportation of various types of vessels and

floating structures. Some regulatory bodies may require extra documentation.

Table 5-2 Required Documentation

Document

    C   a   r   g   o   v   e   s   s   e    l   s

    (    N   o    t   e    1    )

    T   u   g   s    (    N   o    t   e    1    )

    B   a   r   g   e   s    (    N   o    t   e    2    )

    F    P    S    O

    /    F    P    U   e    t   c

    t   o   w   a   g   e   s

    D   e   m   o    l    i    t    i   o   n    t   o   w   a   g   e   s

    O    t    h   e   r    t   o   w   a   g   e   s

Certificate of registry       * *

Certificate of class (hull)

 

 

 

  *Certificate of class (machinery)       *

Tonnage certificate       * *

Cargo ship safety construction certificate       * *

Cargo ship safety equipment certificate       * *

Certificates for navigation lights & shapes        

Load line certificate or load line exemption       *  

Load line exemption (if unmanned)   *  

 Air Pollution Prevention (IAPP) certificate * * * * * *

IOPP Certificate         *

Safety Management Certificate (SMC)    Customs clearance            

Deratisation certificate, or exemption          

Radio certificate, including GMDSS    

Trim and Stability booklet        

Bollard pull certificate  

Certificates for bridle, tow wires, pennants,stretchers and shackles

         

Suez or Panama Canal documentation (if relevant)            

Transportation or Towing manual            

Manned towed objectsLoad line or Load Line Exemption            

Certificates for life saving appliances            

Crew list            

Radio Certificate            

4

Notes:

1.  Smaller vessels (typically < 500 gt) may be exempt from some Certification requirements.4

2.  Unmanned barges will not be required to have Safety Equipment Certificates, Derat Certificate orIOPP, unless fitted with machinery.

3.  Some documentation is not required for inland voyages or inland towages.

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6  DESIGN ENVIRONMENTAL CONDITIONS

6.1  INTRODUCTION

6.1.1  Each transportation shall be designed to withstand the loads caused by the most adverseenvironmental conditions expected for the area and season through which it will pass, taking accountof any agreed mitigating measures.

6.1.2  For each phase of a transportation or marine operation, the design criteria should be defined,consisting of the design wave, design wind and, if relevant, design current. It should be noted that themaximum wave and maximum wind may not occur in the same geographical area, in which case itmay be necessary to check the extremes in each area, to establish governing loadcases.

6.1.3  Except as allowed by Sections 6.3 and 6.5 below, the transportation should generally be designed tothe 10-year monthly extremes for the area and season, on the basis of a 30 day exposure.

6.2  OPERATIONAL REFERENCE PERIOD6.2.1  Planning and design of marine transportations shall be based on an operational reference period equal

to the planned duration of the operation plus a contingency period.

6.2.2  The planned duration for a transportation shall include, typically:

a.  The time anticipated, after the departure decision, preparing for departure or waiting for thecorrect tidal conditions

b.  The time anticipated for the voyage or towage itself

c.  Time anticipated on arrival, waiting for the correct tidal conditions to enter harbour

d.  If the operation following the transportation is a weather-dependent marine operation such asinstallation, the time required after arrival at the installation site to reach a safe condition.

6.2.3  The contingency period shall include, as appropriate, an allowance for:

a.  slower than predicted voyage or towing speed, because of adverse weather conditions orvessel performance below specification

b.  the time required to reach and enter the planned shelter point, in worsening weather conditionsif the operation following the transportation is a weather-dependent marine operation such asinstallation, and the contingency action is to return to shelter.

6.3  WEATHER-RESTRICTED OPERATIONS

6.3.1   A transportation with a reference period generally less than 72 hours may be classed as a weather-

restricted operation. The design environmental conditions for such an operation may be setindependent of extreme statistical data, provided that:

a.  The statistics indicate an adequate frequency and duration of the required weather windows

b.  Dependable weather forecasts are available

c.  The start of the operation is governed by an acceptable weather forecast, covering thereference period

d.   A risk assessment has been carried out and the risks shown to be acceptable.

e.   Adequate marine procedures are in place.

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6.3.2   A transportation with a reference period greater than 72 hours may exceptionally be classed as aweather-restricted operation, provided that:

a.   An adequate shelter point which can be entered in worsening weather is always available within48 hours or the transport has sufficient speed to avoid the area of forecast severe weather

b.   An acceptable weather routeing service is contracted and is available for advice at any time

c.  Weather forecasts are received at appropriate intervals

d.  The weather forecast service is contracted to issue a warning should the weather forecastdeteriorate

e.  Management resources of interested parties are always available with the right authority level tomonitor any decision to proceed to shelter

f.   A risk assessment has been carried out and the risks shown to be acceptable.

g.   Adequate marine procedures and equipment are in place.

6.3.3  For weather-restricted operations, the maximum forecast operational criteria should be lower than thedesign criteria by a margin depending on the area and season, the delicacy of the operation, and thetypical reliability of the forecast. The factor is dependent on the duration of the operation and the levelof the design criteria set. Typically a factor of 0.7 times the design maxima may be used to determinethe maximum forecast operational criteria.

6.4  UNRESTRICTED OPERATIONS

6.4.1  Except as allowed in Section 6.3.2, transportations with an operational reference period greater than72 hours shall be defined as un-restricted operations.

6.5  CALCULATION OF “ADJUSTED” DESIGN EXTREMES, UNRESTRICTED OPERATIONS

6.5.1  The risk of encounter of extreme conditions by a particular transport is dependent on the length of timethat it spends in those route sectors where extreme conditions are possible. If the length of time isreduced, then the probability of encountering extreme conditions is similarly reduced.

6.5.2  It is generally accepted that for a prolonged ocean transport the wind and wave design criteria shouldbe those with a probability of exceedance per voyage of 0.1 or less. For an ocean transport of 30 days(or more), through meteorologically and oceanographically consistent areas, this corresponds to the 10year monthly extreme.

6.5.3  Many transports last less than 30 days, or are potentially exposed to the most severe conditions forless than 30 days. Consequently, for shorter exposures, the 10 year monthly extreme may beadjusted for reduced exposure. This value is equivalent to the 10 voyage extreme and is also referredto as the 10% risk level extreme. This must not be confused with the 10% exceedance value for the

transport, as discussed in Section 6.9.

6.5.4  When the 10% risk level extremes are less than the 1-year return monthly extremes, the 1-yearmonthly extremes are the minimum that shall be used for design. 4

6.5.5  If the 10 year extremes are due to a tropical cyclone it may not be appropriate to design to adjustedextremes. This is likely to be the case for barge or MODU towages that are not able to respondeffectively to weather routeing.

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6.6  CALCULATION OF EXPOSURE

6.6.1  For the purpose of the calculation of “adjusted” extremes the exposure time to potentially extreme ornear extreme conditions is calculated taking consideration of the points discussed below.

a.  The initial 48 hours of the transportation, is assumed to be covered by a reliable departureweather forecast and is excluded

b.  The speed of the transport is reduced by taking the monthly mean wave heights along the routeinto consideration as described in Section 6.7.2.

c.  The speed of the transport is adjusted to take into consideration the mean currents asdescribed in Section 6.7.3.

d.   A contingency time of 25 percent of the time is added. This allowance is to account for severeadverse weather, for tug breakdowns or other operational difficulties

e.   A minimum exposure time of 3 days is considered.

6.7  CALCULATION OF VOYAGE SPEED

6.7.1  Voyage duration shall be calculated using the speed in the monthly mean sea state for each routesector and shall allow for adverse currents as described below.

6.7.2  The effect of the mean sea state on the transport speed in each route sector is calculated assumingthat the wave height in which the transport will come to a dead stop is b (metres). This is typically 5mfor barge towages, and 8m for ships. The calm weather speed is multiplied by a factor, F, defined by:

2

1     

  

b H 

 F  m  

where Hm is the monthly mean wave height in that route sector.

6.7.3  The effect of the mean current on the transport speed in each route sector is calculated by adding thecurrent vector (resolved with respect to the transport heading). For the calculation of exposure to theextreme conditions only negative currents which act to delay the transport shall be taken into account.

6.8  CALCULATION OF EXTREMES

6.8.1  The probability of non-exceedance of a value of wind speed or significant wave height in a particularroute sector is expressed as a cumulative frequency distribution (e.g. a Weibull distribution).

6.8.2  The probability that during some 3 hour period for waves (or 1 hour for wind) the transport willexperience a significant wave height (or wind speed) less than some value x is given by F  X (x).

6.8.3  If it takes M hours to pass through the route sector and making the assumption that consecutive wave

height and wind speed events are independent then the probability of not exceeding the value x isgiven by [F  X (x)] N  where N=M/T where T=1 hour is applied for winds and T=3 hours for waves, whichare a more persistent form of energy.

6.8.4  If it is reasonable to expect that extremes of wind speed or wave height could occur in more than oneroute sector then the probability of not exceeding the value x is given by the product

i

 N 

 X i

i x F  )(  

6.8.5  The probability of encountering an extreme value of wind speed or significant wave height, during aparticular transport, that is reached or exceeded once on average for every 10 transports is 0.1. Thevalue of x is varied until

i

 N  X 

i

i x F  )(1 is equal to 0.1

to give the 10 transport extreme for the voyage or towage.

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6.8.6  This value is also referred to as the “adjusted” extreme for the transport, or as having a risk level of10%. The method may be adjusted to give other risk levels (e.g. 1% or 5%).

6.8.7  The extremes used for design shall not be less than the 1-year return monthly extremes. 4

6.9  COMPARISON WITH PERCENTAGE EXCEEDENCE6.9.1  Given a series of values of wind speed or significant wave height, as may be observed during a

complete transport, some value y will be exceeded at some times but not others and the percentageexceedance of value y is equal to:

nsobservatioof number total 

exceeded  ytimesof number  )(100 

6.9.2  If each observed value of wind speed or significant wave height is assumed to last for some duration(typically 1 hour for winds and 3 hours for waves) then for example, during a transport lasting 10 daysthere will be 240 wind events and 80 wave events. On the transport, if a wind speed greater than 30knots is observed during 24 separate, hourly occasions then the percentage exceedance of 30 knots is

10%.6.9.3  The 10% risk level (as defined in Section 6.5.3) for a transport along a specific route, departing on a

specific date is expected to occur only once, on average, in every 10 transports. However a value witha 10% exceedance level for the same route and departure date is likely to occur on average for 10% ofthe time on every transport.

6.9.4  Thus a 10% exceedance value is far more likely to occur than a 10% risk level value, or an adjusted,10 year extreme value.

6.10  CRITERIA FROM TRANSPORT SIMULATIONS

6.10.1  If continuous time series of winds and waves are available along the entire transport route (e.g. from

hindcast data or satellite observations), an alternative way to develop criteria with a specified risk ofexceedance in a single transport is to perform tow simulations. A large number of simulations can beperformed, with uniformly spaced (in time) departure times during the specified month of departureover the number of years in the database. For each simulated transport, the maximum wind speedand the maximum wave height experienced somewhere along the tow route are retained. Then theprobability distribution of these transport-maxima can be used to determine the design value with aspecified risk of exceedance. For example, the value exceeded once in every 20 transports, onaverage, can be determined by reading off the value of wave height from the distribution of transport-maximum wave heights at the 95th percentile level.

6.10.2  If fatigue during tow is an issue, the complete distributions of winds and waves experienced during thesimulated transports (not just the transport-maximum values) can be retained. These can be used togive scatter diagrams of wave height against period and/or direction, and wind speed against direction.

6.10.3  The transport simulation method can be made to be very realistic and account for. variation of speeddue to inclement weather or ocean currents, weather avoidance en route through forecasting/routeingservices, or the use of safe havens, etc. If the transport simulator cannot accommodate all thesefeatures, a reasonably conservative estimate of criteria can be derived by using a conservative (slow)estimate of the average speed. Care should be taken when choosing the average speed estimate - aslow speed may not be conservative if it results in the vessel apparently arriving in a route sector lateenough to miss severe weather, which might have been encountered if arrival had been earlier.

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6.11  METOCEAN DATABASE BIAS

6.11.1  Regardless of whether the method described in Section 6.8 or the method described in Section 6.10 isused, it is important to know the accuracy of the metocean database being used. Specifically, if there

is a known bias in the wind or wave statistics for any segment of a tow, it is essential to adjust thecriteria accordingly.

6.12  DESIGN WAVE HEIGHT

6.12.1  The design wave height shall be the significant wave height (H sig), where Hsig = 4m0 where m0 is thesea surface variance. In sea states with only a narrow band of wave frequencies, Hsig is approximatelyequal to H1/3  (the mean height of the largest third of the zero up-crossing waves). Advice should beprovided as to the appropriate spectra.

6.13  DESIGN WIND SPEED

6.13.1  The design wind speed shall be the 1 minute mean velocity at a reference height of 10m above sealevel. The 1 hour wind may also be needed in the calculation process.

6.14  METOCEAN DATA FOR BOLLARD PULL REQUIREMENTS

6.14.1  The design extremes are not normally used for calculation of bollard pull requirements, which arecovered in Section 12.2.

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7  MOTION RESPONSE

7.1  GENERAL

7.1.1  Design motions may be derived by means of motion response analyses, from model tank testing, or byusing the default equivalent motion values shown in Section 7.9.

7.2  SEASTATE

7.2.1  For the motion analyses, seastates shall include all relevant spectra up to and including the designwave height for the most severe areas of the proposed voyage route. A wave height smaller than thedesign wave height, at the natural period of roll and/or pitch of the tow, should also be checked ifnecessary. "Long-crested" seas will be considered unless there is a justifiable basis for using "short-crested" seas. Consideration should be given to the choice of spectrum which should be applicable tothe geographic area and Hsig of the design sea states.

7.2.2  The most probable maximum extreme (MPME) responses are to be based on a 3 hour exposureperiod and shall be used for design.

7.3  PERIODS

7.3.1  The range of periods associated with the extreme seastate may be calculated in two different ways,with due consideration given to the influence of swell.

7.3.2  In the simplest method the peak period (Tp) for all seastates considered, should be varied as:

 (13.Hsig) < Tp <  (30.Hsig)

where Hsig  is in metres, Tp  in seconds. The effects of swell should also be considered if not alreadycovered in this peak period range.

However, this method incorrectly assumes that all periods are equally probable. As a result thismethod should generally produce higher design accelerations than would be the case when using themore robust Hsig-Tp method described in the following section.

4

7.3.3  In the alternative method, a contour is constructed within the H sig-Tp  plane that identifies equallyprobable combinations of Hsig  & Tp  for the design return period subject to theoretical constraints onwave breaking. This contour should also cover swell. The combinations should be tested in motionresponse calculations to identify the worst case response.

7.3.4  The relationship between the peak period Tp and the zero-up crossing period Tz is dependent on thespectrum. For a mean JONSWAP spectrum (γ=3.3) Tp/Tz = 1.286; for a Pierson-Moskowitz spectrum(γ=1) Tp/Tz = 1.41.

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7.3.5  The following Table 7-1  indicates how the characteristics of the JONSWAP wave energy spectrumvary over the range of recommended seastates. The constant, K, varies from 13 to 30 as shown in theequation in Section 7.3.1 above. T1 is the mean period (also known as Tm).

Table 7-1 Value of JONSWAP γ, ratio of Tp:Tz and Tp:T1 for each integer value of K

Constant K γ  Tp /Tz Tp /T1 Constant K γ  Tp /Tz  Tp /T1 

13 5.0 1.24 1.17 22 1.4 1.37 1.27

14 4.3 1.26 1.18 23 1.3 1.39 1.28

15 3.7 1.27 1.19 24 1.1 1.40 1.29

16 3.2 1.29 1.20 25 1.0 1.40 1.29

17 2.7 1.31 1.21 26  1.0  1.40  1.29 

18 2.4 1.32 1.23 27 1.0 1.40 1.29

19 2.1 1.34 1.24 28 1.0 1.40 1.29

20 1.8 1.35 1.25 29  1.0  1.40  1.29 

21 1.6 1.36 1.26 30 1.0 1.40 1.29

7.4  VESSEL HEADING AND SPEED

7.4.1  The analyses should be carried out for zero vessel speed for head, bow quartering, beam, sternquartering and stern seas.

7.4.2  In addition the analysis should be carried out for non-beam sea cases for the maximum service speedof the vessel or the maximum speed that can be maintained in the given seastate. The range ofprobable peak wave periods, Tp, should be adjusted for the speed of the vessel as follows:

where V SHIP   is the ship speed in m/s and θ   is the ship’s heading in degrees (0 = head seas, 180 =following seas).

7.5  THE EFFECTS OF FREE SURFACES

7.5.1  The application of free surface corrections to reduce metacentric height (GM) and hence to increasenatural roll period will not generally be accepted. The effect of any reduction in GM must, however, beconsidered in intact and damage stability calculations.

7.6  THE EFFECTS OF CARGO IMMERSION

7.6.1  The effect of cargo immersion in increasing GM and hence reducing natural roll period as well asincreasing damping should be considered in motion response analyses.

7.7  MOTION RESPONSE COMPUTER PROGRAMS

7.7.1  Computer programs shall be validated against a suitable range of model test results in irregular seas.The validation is to be made available to GL Noble Denton and is to contain appropriate analyticalwork which must be compared with applicable model tests.

7.7.2  When applying the results of a first-order motion response analysis program, heave shall be assumedto be parallel to the global vertical axis. Therefore the component of heave parallel to the deck at the

computed roll or pitch angle (theta) is additive to the forces caused by the static gravity component andby the roll or pitch acceleration.

 sig 

SHIP 

 sig 

 P 

 sig 

SHIP 

 sig 

 H V 

 H T 

 H V 

 H 

3056.1cos1

30

1356.1cos1

13

  

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7.8  RESULTS OF MODEL TESTS

7.8.1  Model tests may be used to derive design motions, provided the tests pass the usual review of overallintegrity. Generally, for transportation analyses, the model test results should present the standarddeviation of the relevant responses. The standard deviation of the responses should then be multiplied

by (2.logn(N)), where N is the number of zero-upcrossings, to obtain the most probable maximumextreme (MPME) in 3 hours, which is required for design. The individual measured maxima frommodel tests should generally not be used in design as these vary between different realisations of thesame sea conditions, and are therefore unreliable for use as design values. These recommendationsapply to Gaussian responses, which is an appropriate assumption for most wave frequency motionresponses. If in the unlikely event that the response is significantly non-Gaussian, then alternativemethods should be used.

4

7.8.2  Maximum values of global loads, motions or accelerations from model test results can be usedprovided ten similar realisations, or greater, are carried out to ensure that variations between individualtests are accounted for. The mean and standard deviations of the maxima should be calculated. Thedesign value should be the mean plus two standard deviations.

7.8.3  Scale effects should also be accounted for by increasing the design loads by a further 10% or amutually agreed value.

7.9  DEFAULT MOTION CRITERIA

7.9.1  If neither a motions study nor model tests are performed, then for standard configurations and subjectto satisfactory marine procedures, the following motion criteria may be acceptable.

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Table 7-2 Default Motion Criteria

SingleamplitudeNature of Transportation

Cas

e

LOA(m)

B[1] (m)  L/B[1] 

BlockCoeff

Fullcycleperiod

(secs) Roll Pitch

Heave

1 > 140 and > 30 n/a < 0.9 10 20  10  0.2 g

Unrestricted 2 > 76 and > 23 n/a any 10 20  12.5  0.2 g

3 < 0.9 30 

4≤ 76 or ≤ 23 ≥  2.5 10

≥  0.9 25 15  0.2 g

5 < 0.9 30  30 

6≤ 76 or ≤ 23 < 2.5 10

≥  0.9 25  25 0.2 g

7 any ≥  2.5 any 10 10  5  0.1 gWeather restricted operations in non-benign areas for aduration <24 hours (see Section 7.9.2 d. For L/B < 1.4use unrestricted case. 8 any

< 2.5,≥ 1.4

any 10 10  10  0.1 g

9 any ≥  2.5 any 10 5  2.5  0.1 gWeather restricted operations in benign areas (see

Section 7.9.2.e). For L/B < 1.4 use unrestricted case. 10 any < 2.5,≥ 1.4

any 10 5  5  0.1 g

Inland and sheltered water transportations (see Section7.9.2.f ). For L/B < 1.4 use unrestricted case.

11 any ≥  1.4 any StaticEquivalent to0.1 g in both

directions0.0

Independent leg jack-ups, ocean tow on own hull. 12 n/a > 23 < 1.4 n/a 10 20  20  0.0

Independent leg jack-ups, 24-hour or location move. 13 n/a > 23 < 1.4 n/a 10 10  10  0.0

Mat-type jack-ups, ocean tow on own hull. 14 n/a > 23 < 1.4 n/a 13 16  16  0.0

Mat-type jack-ups, 24-hour or location move. 15 n/a > 23 < 1.4 n/a 13 8  8  0.0

4

[1] B = maximum moulded waterline breadth, L = waterline length. n/a = not applicable

Block coefficient = 0.9 is the cut-off between barge-shaped hulls (>0.9) and ship-shaped hulls.

7.9.2  The default motion criteria shown in Section 7.9.1, shall only be applied in accordance with thefollowing:

a.  Roll and pitch axes shall be assumed to pass through the centre of floatation.

b.  Heave shall be assumed to be parallel to the global vertical axis. Therefore the component ofheave parallel to the deck at the roll or pitch angles shown above is additive to the forcescaused by the static gravity component and by the roll or pitch acceleration.

c.  Phasing shall be assumed to combine, as separate loadcases, the most severe combinations of

  roll + heave

  pitch + heave

d.  For Cases 7 and 8, the departure shall be limited to a maximum of Beaufort Force 5, with animproving forecast for the following 48 hours. The voyage duration including contingencies,should not be greater than 24 hours.

4

e.  For Cases 9 and 10, the criteria stated is given as general guidance for short duration bargetowages and vessel transports. The actual criteria should be agreed with the GL Noble Dentonoffice concerned, taking into account the nature of the vessel or barge and cargo, the voyageroute, the weather conditions which may be encountered, the shelter available and the weatherforecasting services to be utilised.

f.  For Case 11, the design loading in each direction shall be taken as the most onerous due to:

  a 0.1g static load parallel to the deck, or

  the static inclination caused by the design wind, or

  the most severe inclination in the one-compartment damage condition.

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7.9.3   Alternative default motion criteria may be acceptable, as set out, for instance, in DNV Rules for theClassification of Ships, January 2003, Part 3, Chapter 1, Section 4 [Ref. 9], or IMO Code of SafePractice for Cargo Stowage and Securing, 2003 Edition, Section 7 [Ref. 10]. Care should be taken toensure that the criteria adopted are applicable to the actual case in question.

7.10  DIRECTIONALITY AND HEADING CONTROL

7.10.1  The incident weather shall be considered to be effectively omni-directional, as stated in Section 7.4.No relaxation in the design seastates from the bow-quartering, beam and stern-quartering directionsshall be considered for:

a.   Any transport where the default motion criteria are used, in accordance with Section 7.9, orsimilar

b.  Single tug towages, or voyages by vessels with non-redundant propulsion systems (see Section7.10.3 below).

c.   Any transport where the design conditions on any route sector are effectively beam on or

quartering, of constant direction, and of long duration, including, for example, crossing of theIndian Ocean or Arabian Sea in the south-west monsoon

d.   Any towage in a Tropical Revolving Storm area and season

e.   Any un-manned towage.

f.   Any transport where the vessel does not have sufficient, redundant systems to maintain anydesired heading in all conditions up to and including the design storm, taking account of thewindage of the cargo.

7.10.2  Relaxation in the non-head sea cases may be considered for:

a.  Manned, multiple tug towages, where after breakdown of any one tug or breakage of any onetowline or towing connection, the remaining tug(s) still comply with the criteria of Section 12.2.

b.  Voyages by self-propelled vessels with redundant propulsion systems. A vessel with aredundant propulsion system is defined as having, as a minimum:

  2 or more independent main engines

  2 or more independent fuel supplies

  2 or more independent power transmission systems

  2 or more independent switchboards

  2 or more independent steering systems, or an alternative means of operation of a singlesteering system (but excluding emergency steering systems that cannot be operated fromthe bridge)

  the ability to maintain any desired heading in all conditions up to and including the designstorm, taking account of the windage of the cargo.

7.10.3   Any vessel not complying with all the above shall be considered non-redundant.

7.10.4   An advance survey may be required, to establish whether or not a vessel can be considered to have aredundant propulsion system.

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7.10.5  In general, where a relaxation is allowed in accordance with Section 7.10.2, the following is a guide tothe acceptable sea state values. This should be confirmed as being suitable on a case-by-case basis.

Table 7-3 Reduced Seastate v Heading

Incident angle(Head Seas = 0 )

Applicable Hsig, as % of design sea state(adjusted as appropriate)

0 - + 30  100%

+ (30 - 60) Linear interpolation between 100% and 80%

+ 60  80%

+ (60 - 90) Linear interpolation between 80% and 60%

+ 90  60%

+ (90 - 120) Linear interpolation between 60% and 80%

+ 120  80%

+ (120 - 150) Linear interpolation between 80% and 100%

+ (150 - 180) 100%

7.10.6  For any transport where a relaxation is allowed in accordance with Sections 7.10.2 and 7.10.5, a riskassessment shall be carried out and the risks shown to be acceptable.

7.10.7  Such relaxation shall only apply to considerations of accelerations, loads and stresses. It shall not beapplied to considerations of stability.

7.10.8  For any transport where a relaxation is allowed in accordance with Sections 7.10.2  and 7.10.5, thetowage/voyage arrangements shall contain, in a format of use to the Master:

a.  The limitations on critical parameters

b.  Procedures for monitoring and recording of critical parameters

c.  Procedures for heading control

d.  Results of the risk assessment, and any recommendations arising

e.  Contingency actions in the event of any breakdown.

7.10.9  Critical parameters should preferably be ones the Master can observe or measure. The Master shouldconfirm that he can accept that the effects of these restrictions are practicable.

7.10.10  For any transport where a relaxation is allowed in accordance with Sections 7.10.2 and 7.10.5, it isstrongly recommended that an independent Company (Cargo Owner’s) Representative is on board towitness events. He should be qualified to discuss with the Master weather conditions forecast and

encountered, routeing advice received and avoidance techniques adopted.

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8.3  DEFAULT MOTION CRITERIA

8.3.1  For loads computed in accordance with Section 7.9, the loads applied to the cargo shall be:

S1 + F1 + F3 + F4 + F6 

where: S1, F1, F3, F4 and F6 are as defined in Section 8.2.2. The effects of buoyancy and wave slamloading shall also be considered if appropriate.

 As stated in Section 7.9.2 c) roll and pitch cases are to be considered separately. Combined roll andpitch are not required.

8.4  LONGITUDINAL BENDING

8.4.1  The potential effects of longitudinal wave bending effects need to be considered if:

a.  The towed hull is not a classed, seagoing vessel or barge, or

b.  The cargo is longer than about 1/3rd of the transport barge or vessel length, or

c.  The cargo is supported longitudinally on more than 2 groups of supports, or

d.  The relative stiffness of the hull and cargo could cause unacceptable stresses to be induced ineither, or

e.  The seafastening design allows little or no flexibility between cargo and barge.

8.4.2  Some cargoes, such as large steel jackets, may be inherently much stiffer than the barge, and willreduce barge deflections, at the expense of increased cargo stresses.

8.4.3  See also Sections 9.2.2 for friction, 9.3 for seafastening design and 19.4 for jack-ups.

8.5  CARGO BUOYANCY AND WAVE SLAM

8.5.1  Cargo overhangs which are occasionally immersed, and which may receive loadings due to wave slamand/or immersion, will require special consideration.

8.5.2  Buoyant cargoes, particularly where the buoyancy contributes to stability requirements, shall beadequately secured against lift-off unless it can be shown that lift-off will not occur.

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9  DESIGN AND STRENGTH

9.1  COMPUTATION OF LOADS

9.1.1  The loads acting on grillages, cribbing, dunnage, seafastening and components of the cargo shall bederived from the loads acting on the cargo, according to Sections 6, 7 and 8, as applicable.

9.1.2  The loads shall include components due to the distribution of mass and rotational inertia of the cargo.This is of particular importance in the calculation of shear forces and bending moments in the legs ofself-elevating units and similar tall structures.

9.1.3  If the computed loads are less than the “Minimum allowable seafastening force” shown in Table 9-1,then the values in the Table shall apply.

9.1.4  Care should be taken in cases where the cargo may be designed for service loads in the floatingcondition, but is being dry-transported. Its centre of gravity may be higher above the roll centre in thedry-transportation condition than in any of its floating service conditions. Even though the

transportation motions may appear to be less than the service motions, the loads on cargocomponents and ship-loose items may be greater.

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9.2.2  Friction is allowed as a contribution to seafastening restraint subject to the following:

a.  Loadings are computed in accordance with Sections 7.2  though 7.8 and 8.2  above. Frictionmay not be used if the loadings are computed in accordance with the default criteria in Sections7.9 and 8.3, except as allowed by Section 9.6.

b.  Friction forces shall be computed using the normal reaction between the vessel and cargocompatible with the direction of the heave.sin(theta) term used in computing the forces parallelto the deck in Section 8.2.2. Thus, when heave.sin(theta) increases the force parallel to thedeck, it also increases the normal reaction and vice-versa.

c.  The cargo is supported by wood dunnage or cribbing – friction is not allowed for steel to steelinterfaces.

d.  The overhang is the distance from the side of the vessel to the extreme outer edge of the cargo.

e.  For wood cribbing less than 600 mm high, with a width not less than 300 mm, the friction forcedue to the friction coefficient permitted in Table 9-1 may be assumed to act in any directionrelative to the cribbing provided that:

(i)  the cribbing is reasonably well balanced in terms of the proportion in the fore-aft andtransverse directions, AND

(ii)  each of these groups is reasonably well balanced about the cargo CoG in plan.

f.  Provided that the conditions in (e) above are met, for cribbing heights between 600 and 900mm, with a width not less than 300 mm, then the percentage computed friction force at rightangles to the longitudinal axis of a cribbing beam shall not exceed (900 - H)/3 %, where H = theheight of cribbing above deck, in mm. In the direction of the longitudinal axis of a cribbingbeam, the full friction force can be used. 4

g.  For wood cribbing over 900 mm high, or with a width less than 300 mm, no friction force isassumed to act in a direction at right angles to the longitudinal axis of a cribbing beam.

h.  If greater cribbing friction is required than available according to (f ) and (g) above, stanchionsmay be fitted to provide transverse cribbing restraint. Where such stanchions are fitted, theyshould be designed to carry loads due to a friction coefficient of 0.5 (to ensure they are able tocarry loads due to upper-bound friction assumptions).

i.  The underlying assumption in the approach given above is that the seafastenings havesufficient flexibility to deflect in the order of at least 2mm without failing. This will be reasonablein most cases, but when this is not the case the more detailed approach given in ( j) below shallbe used.

 j.   As an alternative to (e) through (h) above, a more detailed approach may be used. In suchcases, the friction permitted in Table 9-1 can be doubled, but the relative flexibility of the

cribbing and seafastenings shall be taken into account. The arrangements shall be such as toensure that the required lateral load can be carried by the combination of friction & seafasteningreactions BEFORE the seafastenings are overstressed. Where stanchions are used, they shallcomply with (h) above.

k.  The “Minimum allowable seafastening force” is the minimum allowable value of seafasteningrestraint, expressed as a percentage of cargo weight, in the event that the total requiredseafastening force, as computed, is less than this value.

l.  For very short duration moves in sheltered water, such as turning a barge back alongside thequay after a loadout, then friction may be allowed to contribute. The entire load path, includingthe potential sliding surfaces, shall be demonstrated to be capable of withstanding the loadinggenerated.

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9.3.13  Welding of seafastenings should not be carried out in wet conditions. Weather protection should beused to minimise the effects of wet conditions.

9.3.14  For cargoes that will be removed offshore, the seafastenings should be capable of being released instages, such that the cargo is secure for a 10 degree static angle until the release of the final stage.

The release of seafastenings, and the removal of any one item, should not disturb the seafastenings ofany other item.

9.3.15  Where a lift is made onto a barge offshore, the seafastenings should be designed accordingly,normally by means of guides or a cradle, which will hold the cargo whilst it is being seafastened.

9.3.16  Items of the cargo which are vulnerable to wave action, wetting or weather damage shall be suitablyprotected. This may require provision of breakwaters or waterproofing of sensitive areas.

9.3.17  Internal seafastenings may be needed to prevent items moving inside structures or modules. See alsothe caution in Section 9.1.4 for dry transportations.

9.3.18  Guide posts should not be used for seafastenings unless specifically designed for that purpose.

9.4  CRIBBING

9.4.1  Where the cargo is supported on wooden cribbing or dunnage, rather than steel-to-steel supports, thensufficient material should be provided to ensure an adequate distribution of load to the underside of thecargo and to the deck of the transport vessel, under the static loadings and the design environmentalloadings as shown in Sections 7 and 8.

9.4.2  Cribbing designed to pick up structural members in the underside of the cargo, the transport vesseldeck, or both, and fixed to the deck of the vessel, should not normally be less than 200 mm high. Seealso the comments on cribbing width in Sections 9.2.2.f  and 9.2.2.g.

9.4.3   A minimum clearance of 0.075 m should be provided between the lowest protrusion of the cargo andthe deck of the barge or vessel.

9.4.4  The nominal bearing pressure on the cribbing should not normally exceed 4 N/mm2  for softwood.

Should it be demonstrated that the cargo, vessel and cribbing, without crushing, can withstand a higherpressure, then this may be acceptable. The cribbing pressure should be calculated taking into accountthe deadweight of the cargo plus the loads caused by the design environmental loadings.

9.4.5  Ideally the type of timber selected should withstand the computed cribbing pressures without crushing.Localised crushing to accommodate cargo and cribbing imperfections is permissible. A satisfactoryarrangement may consist of hardwood for the main cribbing structure, topped by a soft packing layer,say 50 mm thick.

9.4.6  In the case of a random or herring-bone dunnage layout supporting a flat-bottomed cargo, withouttaking into account the strong points, then the maximum cribbing pressures should not exceed 1N/mm2, subject to consideration of the overall allowable loads on the deck of the vessel and theunderside of the cargo.

9.4.7  For cargoes floated on and/or off a grounded or partially grounded transport barge or vessel, thecribbing should be designed to withstand loads caused by point loads and trim or heel angles duringon-load and off-load. A minimum of 5º should be considered.

9.5  STRESS LEVELS IN CARGO, GRILLAGE & SEAFASTENINGS

9.5.1  The cargo, grillage and seafastenings shall be shown to possess adequate strength to resist the loadsimposed during the voyage. Any additional loadings caused by any overhang of the cargo over theside of the transport vessel, buoyancy forces and wave slam loadings shall be included.

9.5.2  The cargo shall be shown to have adequate strength to withstand the local cribbing and seafasteningloads.

9.5.3  Stress levels shall be within those permitted by the latest edition of a recognised and applicable

offshore structures code.

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9.5.4  The structural strength of high quality structural steelwork with full material certification and NDTinspection certificates showing appropriate levels of inspection (see Section 9.7) shall be assessedusing the methodology of a recognised and applicable offshore code including the associated load andresistance factors for LRFD codes or safety factors for ASD/WSD codes. Traditionally AISC has alsobeen considered a reference code. If the AISC 13th Edition is used, the allowables shall be comparedagainst member stresses determined using a load factor on both dead and live loads of no less than:

WSD option  LRFD Option

SLS: 1.0 1.60

ULS: 0.75 1.20

9.5.5  Stress in fillet fillet welds for brackets loaded by a force acting in a direction parallel to the weld beadshall be assessed using the method presented in Appendix F. The allowables shall be comparedagainst member stresses determined using a load factor on both dead and live loads of no less than

SLS: 1.40

ULS: 1.05

9.5.6   Any load case may be treated as a normal serviceability limit state (SLS) / Normal operating case.

9.5.7  Most probable maximum extreme (MPME) load cases, (which typically occur at the same frequency asthe maximum wave associated with the design seastate) may be treated as an ultimate limit state(ULS) / Survival storm case provided that they are dominated by environmental forces. This does notapply to:

4

  Steelwork subject to deterioration and/or limited initial NDT unless the condition of the entireloadpath has been verified, for example the underdeck members of a barge or vessel.

  Steelwork subject to NDT prior to elapse of the recommended cooling and waiting time as definedby the Welding Procedure Specification (WPS) and NDT procedures. In cases where this cannotbe avoided by means of a suitable WPS, it may be necessary to increase the strength or impose

a reduction on the design/permissible seastate.

9.6  SECURING OF PIPE AND OTHER TUBULAR GOODS

9.6.1  This section refers to the transport of tubulars, including line pipe, casing, drill pipe, collars, piles,conductors marine risers and similar, hereafter called “pipes”, on vessels and barges. Transport of drillpipe, collars etc on jack-ups is covered in Section 19.11. The degree and design of securing requiredwill depend on the type of vessel, the nature of the cargo, the duration of the towage or voyage, andthe weather conditions expected.

9.6.2  For these types of cargoes, friction may be assumed to resist longitudinal seafastening loads, andSections 9.2.1 and 9.2.2.a do not apply. The following friction coefficients may be used, as examples:

Table 9-2 Typical Friction Coefficients

Materials in contact Friction coefficient

Concrete coated pipe - concrete coated pipe 0.5

Concrete coated pipe - timber 0.4

Timber - timber 0.4

Uncoated steel - timber 0.3

Uncoated steel - uncoated steel 0.15

Epoxy coated pipe - timber 0.1

Epoxy coated pipe - epoxy coated pipe 0.05

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9.6.3  Caution should be exercised where sand may be present between the friction surfaces as this mayconsiderably reduce the friction coefficient.

9.6.4  Generally speaking, pipes should be stowed in the fore and aft direction.

9.6.5  Where pipes are stacked in several layers, the maximum permissible stacking height shall be

established, in order to avoid overstress of the lower layers. Reference may be made to API RP 5LW“Recommended practice for transportation of line pipe on barges and marine vessels” [Ref. 14].

9.6.6  Smaller diameter pipes such as drill pipe may be stacked without individual chocking arrangementsand restrained transversely by means of vertical stanchions. Timber dunnage or wedges shall be usedto chock off any clearance between the pipes and the stanchions. The stanchions, taken collectively,shall be capable of resisting the total transverse force computed.

a.  For weather-restricted operations, and 24-hour or location moves of jack-ups, the stack may besecured by means of transverse chain or wire lashings over the top, adequately tensioned.Provided it can be demonstrated that sufficient friction exists to prevent longitudinal movement,no end stops need be provided.

b.  For unrestricted operations, including ocean transportations of jack-ups, steel strongbacks

should be fitted over the top layer, and each stow (group of pipes) set up hard by drivingwooden wedges between the strongbacks and the top layer of pipe. End stops or bulkheadsshall be provided.

9.6.7  Line pipe on pipe carrier vessels may be stacked between the existing stanchions/crash barriers, onthe wooden sheathed deck. Timber dunnage or wedges should be used to chock off any clearancebetween the pipes and the stanchions.

a.  For weather restricted operations, provided it can be demonstrated that adequate friction existsto prevent longitudinal movement, no end stops need be provided. This is likely to apply toconcrete coated pipe, but uncoated or epoxy coated pipe should be treated with caution.

b.  For unrestricted operations, steel strongbacks should be fitted over the top layer, and each stow

set up hard by driving wooden wedges between the strongbacks and the top layer of pipe. Endstops or bulkheads shall be provided.

9.6.8  Larger diameter pipes such as piles are often individually chocked, and end stops provided, often atone end only. Unless it can be demonstrated that the piles cannot roll out of the chocks furtherrestraints may be necessary, such as individual wire or chain lashings, stanchions or strongbacks.

9.6.9  In all cases of transportation of coated line pipe, the transportation and securing arrangements must bedesigned so that the coating will be protected from damage. The manufacturer’s and/or shipper’srecommendations should be sought.

9.6.10  Where end stops are provided for pipes with prepared ends, the end preparation should be protected,either with protectors on the pipe, or by wood sheathing on the end stops.

9.6.11  When open ended pipes are carried as deck cargo and the pipes could become partially filled with

water, care should be taken to ensure that:a.  the vessel’s stability meets the requirements of Section 10, with particular reference to the

effects of entrapped water, and

b.  the deck and pipe layers are not overstressed.

Otherwise, it may be necessary to seal the ends of at least the lowest level of the stack.

9.6.12  Note: the trim and stability booklet of some vessels may include suitable example loading conditionsand should be considered.

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9.7  INSPECTION OF WELDING AND SEAFASTENINGS

9.7.1  For newly-constructed cargoes, an adequate system of construction supervision, weld inspection andtesting shall be demonstrated. For other cargoes, the extent of inspection and testing shall be agreed.

9.7.2  Principal seafastening welds shall be visually checked and the weld sizes confirmed against theagreed design.

9.7.3  Non-destructive testing (NDT), by a suitable and agreed method, shall be carried out on the structuralmembers of the seafastenings. NDT acceptance criteria should be to EEMUA 158 “Constructionspecification for fixed offshore structures in the North Sea” [Ref. 15], AWS D1.1 “Structural weldingcode – steel” [Ref .16] or equivalent. The following is a guide to the minimum recommended extent ofNDT:

a.  100% visual

b.  Penetration welds - 40% UT and 20% MPI

c.  Fillet welds - 20% MPI

d.   All welds to barge/vessel deck - 100% MPI with additional 40% UT for penetration welds

e.  In any case, the extent of NDT should be not less than the Project specification requirements

f.  For critical areas or where poor welding quality is suspected, then 100% inspection may berequired.

9.7.4  Care should be taken where the seafastening load path depends on the tension connection of the deckplating of a barge or vessel to underdeck stiffeners or bulkheads. In cases of any doubt about thecondition, an initial visual inspection should be undertaken, to establish that fully welded connectionsexist, and that the general condition is fit for purpose. Further inspection may be required, dependingon the stress levels imposed and the condition found.

9.7.5   Any faulty welds discovered shall be repaired and re-tested.

9.8  FATIGUE

9.8.1  Notwithstanding the exclusion in Section 4.6.7, clients may wish the effects of fatigue on the towedobject, cargo and/or seafastenings to be considered, in which case they should instruct GL NobleDenton accordingly.

9.9  USE OF SECOND HAND STEEL SEAFASTENINGS

9.9.1  When second hand steel seafastenings are used, any wastage caused during previous removal(s) oruse should not affect its fitness for purpose, and there should be sufficient documentation to ensurethe traceability of the steel and in particular documentation relating to the grade of steel.

9.9.2  There should be NDT inspection reports for areas of previous fabrication, old welds, burnt offattachments etc, to demonstrate no cracking or lamellar tearing in critical areas.

9.9.3  Should sufficient documentation of the type of steel (e.g. EN10025) be unavailable, coupon testing isacceptable to determine the steel type. The guaranteed minimum properties of this type of steel are tobe used, not the tested values which may not be representative of the rest of the steel.

4

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10  STABILITY

10.1  INTACT STABILITY

10.1.1  The intact range of stability, defined as the range between 0º degrees heel or trim and the angle atwhich the righting arm (GZ) becomes negative, shall not be less than the values shown in the followingTable 10-1. Objects which do not fall into the categories shown in the Table, which are non-symmetrical, or which have an initial heel or trim which is not close to 0º, may require specialconsideration. Where there is a significant difference between the departure, arrival or anyintermediate condition, then the most severe should be considered, including the effects of any ballastwater changes during the voyage.

Table 10-1 Intact Stability Range

Vessel or towed object, type and size Intact range

Large and medium vessels, LOA > 76 m and B[1] > 23 m 36 Large cargo barges, LOA > 76 m and B[1] > 23 m 36 

Small cargo barges, LOA <76 m or B[1] < 23 m 40 

Small vessels, LOA <76 m or B[1] < 23 m 44 

Jack-ups with B[1], [2] > 23 m for ocean towages 36 

Jack-ups with B[1], [2] > 23 m for 24-hour or location moves 28 

Inland and sheltered water (in ice areas) 36 

Inland and sheltered water (out of ice areas) 24 

Notes:

1.  B = maximum moulded waterline beam

2.  Jack-ups with B < 23 m and without radiused bilges shall be considered as small barges. Thosewith radiused bilges shall be considered as small vessels.

10.1.2   Alternatively, if maximum amplitudes of motion for a specific towage or voyage can be derived frommodel tests or motion response calculations, the intact range of stability shall be not less than:

(20 + 0.8θ)

where θ = the maximum amplitude of roll or pitch caused by the design seastate as defined in Section6.1.3, plus the static wind heel or trim caused by the design wind, in degrees.

10.1.3  Metacentric height (GM) shall be positive throughout the range shown in Section 10.1.1 or 10.1.2. The

initial metacentric height, GM0, should include an adequate margin for computational and otherinaccuracies. A GM0 of around 1.0 m will normally be required, and in any case shall not be less than0.15 m.

10.1.4  Cargo overhangs shall generally not immerse as a result of heel from a 15 m/s wind in still waterconditions.

10.1.5  Subject to Sections 8.5 and 10.1.4, buoyant cargo overhangs may be assumed to contribute to therange of stability requirement of Section 10.1.1.

10.1.6  The effects of free surface shall be considered in the stability calculations. The effects of free surfaceliquids in the cargo must also be taken into account, as must residual free surface due to incompleteventing, such as may occur if ballasting when trimmed.

10.1.7  Vessels shall comply with the mandatory parts of the International Maritime Organisation (IMO)

Resolution A.749 (18) as amended by Resolution MSC.75 (69) - “Code on Intact Stability” [Ref. 17],and the IMO International Convention on Load Lines, Consolidated Edition 2002 [Ref 18].

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security of hatch covers, and damage stability characteristics. See the IMO International Conventionon Load Lines, Consolidated Edition 2002, [Ref. 15] for further details.

10.3  WIND OVERTURNING

10.3.1  For the intact condition, the area under the righting moment curve shall be not less than 40% in excessof the area under the wind overturning arm curve. The areas shall be bounded by 0º heel or trim, andthe second intercept of the righting and wind overturning arm curves, or the downflooding angle,whichever is less.

10.3.2  The wind velocity used for intact wind overturning calculations shall be the 1-minute design windspeed, as described in Section 6.13. In the absence of other data, 50 metres /second shall be used.

0.0

0.8

0 40HEEL ANGLE (DEGREES)

   R   I   G   H   T   I   N   G    A

   R   M    (

   G   Z   )

 

Figure 10-1 Wind Overturning Criteria (Intact Case)

(A + B) > 1.4 (B + C)

Downfloodingangle

Intact GZ

WindOverturning Arm

 A

Intercept angle

C B

10.3.3  For the damage condition, the area under the righting moment curve shall be not less than 40% inexcess of the area under the wind overturning arm curve. The areas shall be bounded by the angle ofloll, and the second intercept of the righting and wind overturning arm curves, or the downfloodingangle, whichever is less.

0

0.6

0 40HEEL ANGLE (DEGREES)

   R   I   G   H   T   I   N   G    A

   R   M    (

   G   Z   )

 

Figure 10-2 Wind Overturning Criteria (Damaged Case)

(A + B) > 1.4 (B + C)

Damaged GZ

 Angle ofLoll

Downfloodingangle

WindOverturning Arm

 A

Intercept angle

BC

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10.3.4  The wind velocity used for overturning moment calculations in the damage condition shall be 25metres /second, or the wind used for the intact calculation if less.

10.4  DRAUGHT AND TRIM

10.4.1  For vessels and barges with a load-line certificate, the draught shall never exceed the appropriateload-line draught, except for temporary on-load and off-load operations under controlled conditions.

10.4.2  The draught should be small enough to give adequate freeboard and stability, and large enough toreduce motions and slamming. Typically, for barge towages, it will be between 35% and 60% of hulldepth, which is usually significantly less than the load-line draught.

10.4.3  For barges and large towed objects, such as FPSOs, the draught and trim should be selected tominimise slamming under the forefoot, to give good directional control, and to allow for the forward trimcaused by towline pull.

10.4.4  For guidance, and for discussion with the Master of the tug, the tow should be ballasted to thefollowing minimum draughts and trims:

Table 10-2 Minimum draught & trim

Length of Towed Vessel Minimum Draught Forward Minimum Trim by Stern

30 metres 1.0 metre 0.3 metre

60 metres 1.7 metres 0.6 metre

90 metres 2.4 metres 0.8 metre

120 metres 3.1 metres 1.0 metre

150 metres 3.7 metres 1.2 metres

200 metres 4.0 metres 1.5 metres

10.4.5  Where barges with faired sterns are fitted with directional stabilising skegs, it may be preferable tohave no trim. This should normally be documented in the Trim and Stability booklet. Howeverallowance should be made for trim caused by the towline force and there should be adequatefreeboard at the bow (and possibly a breakwater) to minimise damage from “green water” coming overthe bow.

10.4.6  It may be preferable to tow structures such as floating docks, at minimum draught with zero trim, inorder to minimise longitudinal bending moments.

10.4.7  Draught marks forward and aft shall be easily readable and, if necessary, re-painted in the area abovethe waterline.

10.4.8  Where the tow is unmanned, and in order that the tug may monitor any increased draught during the

towage, it may be advantageous to paint a broad distinctive line of contrasting colour around the bowapproximately 0.5 metre above the waterline.

10.5  COMPARTMENTATION AND WATERTIGHT INTEGRITY

10.5.1  Where the watertight integrity of any tow is in question, particularly for demolition tows, part built shipsand MODUs, it shall be checked by visual inspection, chalk test, ultrasonic test, hose test or air test asconsidered appropriate by the attending surveyor.

10.5.2   Any opening giving an angle of downflooding less than 20 degrees, or (θ + 5) degrees if less than 20degrees, where θ is the angle as defined in Section 10.1.2, shall be closed and watertight, or protectedby automatic closures in operable condition.

10.5.3  Hatches, ventilators, gooseneck air pipes and sounding pipes shall be carefully checked for properclosure and their watertight integrity confirmed. Where such equipment could be damaged by seaaction or movement of loose equipment, then additional precautions should be considered.

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10.5.4  Outboard accommodation doors shall be carefully checked for proper closure and their weathertightintegrity confirmed. All dogs shall be in good operating condition and seals shall be functioningcorrectly.

10.5.5  Watertight doors in holds, tween decks and engine room bulkheads, including shaft alleyway and boiler

room spaces, shall be checked for condition and securely closed.10.5.6   Any watertight doors required to be opened for access during the transportation, shall be marked, on

both sides, “To be kept closed except for access” or words to that effect. In some cases a length ofbar or pipe may be required to assist opening and closing.

10.5.7  Portholes shall be checked watertight. Porthole deadlights shall be closed where fitted. Any openingwithout deadlights that may suffer damage in a seaway shall be plated over.

10.5.8  Windows which could be exposed to wave action shall be plated over, or similarly protected.

10.5.9   All tank top and deck manhole covers and their gaskets shall be in place, checked in good condition,and securely bolted down.

10.5.10   All overboard valves shall be closed and locked with wire or chain. Where secondary or back-upvalves are fitted for double protection, they shall also be closed.

10.5.11  Closure devices fitted to sanitary discharge pipes, particularly near the waterline, shall be closed. Anydischarge pipe close to the waterline not fitted with a closure device, may need such a facilityincorporated, or be plated over.

10.5.12   All holds, void spaces and engine room bilges shall be checked before departure and should bepumped dry.

10.5.13   All other spaces shall be sounded prior to departure. It is recommended that all spaces should beeither pressed up or empty. Slack tanks should be kept to a minimum.

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11  TRANSPORT VESSEL SELECTION

11.1  GENERAL

11.1.1  The following points should be considered in the selection of a suitable transport barge or vessel:

a.  Is there adequate deck space for all the cargo items planned, including room for seafastenings,access between cargo items, access to towing and emergency equipment, access to tankmanholes, installation of cargo protection breakwaters if needed, and for lifting offshore ifrequired?

b.  Has the barge or vessel adequate intact and damage stability with the cargo and ballast asplanned, including any requirement for ballast water exchange?

c.  Does the barge or vessel as loaded have sufficient freeboard to give reasonable protection tothe cargo?

d.  If a floating loadout is planned, is there sufficient water depth to access and leave the loadoutberth? Can the loadout be carried out in accordance with GL Noble Denton document 0013/ND- Guidelines for Loadouts [Ref. 2]

e.  If a submerged loadout is planned, can the barge or vessel be submerged, within its Classlimitation, so as to give adequate clearance over the deck, and adequate stability at all stages,within the water depth limitations of the loadout location?

f.  Is the deck strength adequate, including stiffener, frame and bulkhead spacing and capacity, forloadout and transportation loads?

g.  For a vessel, does securing of seafastenings require welding in way of fuel tanks?

h.  For a barge, is it properly equipped with main and emergency towing connections, recovery

gear, pumping equipment, mooring equipment, anchors, lighting and access ladders?i.  Will the motion responses as calculated cause overstress of the cargo?

 j.  Is all required equipment and machinery in sound condition and operating correctly?

k.  Does the barge or vessel possess the relevant, in date, documentation as set out in Section 5?

11.2  SUITABILITY AND ON-HIRE SURVEYS

11.2.1  In his interest, the charterer is advised to have a suitability survey and an on-hire survey of the bargeor vessel carried out prior to acceptance of the charter.

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12.2  BOLLARD PULL REQUIREMENTS

12.2.1  The following Table summarises the different conditions to be considered. The most severe conditionsthat apply to a particular towage should be used. The conditions are described in more detail in the

indicated sections.

Table 12-2 Meteorological Criteria for Calculating TPR (Towline Pull Required)

Section Condition Hsig (m) Wind (m/sec) Current (m/sec)

12.2.2 Limited searoom DesignDesign

(1 hour mean)0.5

or predicted current if greater

12.2.3Continuous adversecurrent or weather

 As agreed with the GL Noble Denton office concerned to ensure areasonable speed in moderate weather.

12.2.4 Standard 5 20 0.5

12.2.5 24-hour jack-up move 3 15 0.5or predicted current if greater

12.2.6 Benign weather areas As agreed with the GL Noble Denton office concerned but not less than: 

2 15 0.5

12.2.7 Sheltered from waves As agreed with the GL Noble Denton office concerned.

12.2.2  For towages which pass through an area of restricted navigation or manoeuvrability, outside thevalidity of the departure weather forecast and which cannot be considered a weather-restrictedoperation, the minimum Towline Pull Required (TPR) should be computed for zero forward speedagainst the following acting simultaneously:

  the design wave height (see Section 6), and

  1 hour design wind speed (see Section 6), and

  0.5 metres/second current, or the maximum predicted surface current if greater.

12.2.3  If the tow route passes through an area of continuous adverse current or weather, or if a particulartowing speed is required in calm or moderate weather, a greater TPR may be appropriate and agreedwith the GL Noble Denton office concerned. In any event, an assessment should be made that areasonable speed can be achieved in moderate weather.

12.2.4  For towages where adequate searoom can be achieved within the departure weather forecast andmaintained thereafter, the TPR shall be computed for zero forward speed against the following acting

simultaneously:  5.0 metre significant seastate, and

  20 metres/second wind, and

  0.5 metres/second current, or the maximum predicted surface current if greater.

12.2.5  For 24-hour moves of jack-ups the following reduced criteria, acting simultaneously, may be used forthe calculation of TPR:

  3.0 metres significant seastate, and

  15 metres/second wind, and

  0.5 metres/second current, or the maximum predicted surface current if greater.

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12.2.6  For benign weather areas, the criteria for calculation of TPR shall be agreed with the GL Noble Dentonoffice concerned. Generally these should not be reduced below:

  2.0 metres significant seastate, and

  15 metres/second wind, and

  0.5 metres/second current.

12.2.7  For towages partly sheltered from wave action, but exposed to strong winds, the criteria shall beagreed with the GL Noble Denton office concerned.

12.2.8  TPR shall be related to the continuous static bollard pull of the tug(s) proposed (BP) by:

TPR = (BP x Te/100)

where: Te = the tug efficiency in the sea conditions considered, %(BP x Te/100) is the contribution to TPR of each tug

 means the aggregate of all tugs assumed to contribute.

12.2.9  Tug efficiency, Te, depends on the size and configuration of the tug, the seastate considered and the

towing speed achieved. In the absence of alternative information, Te  may be estimated for goodocean-going tugs according to the following Table 12-3. However tugs with less sea-kindlycharacteristics will have significantly lower values of Te in higher sea states.

Table 12-3 Values of Tug Efficiency, Te 

Tug Efficiency, Te %Continuous BollardPull (BP), tonnes Calm Hsig = 2 m Hsig = 3 m Hsig = 5 m

BP < 30 80 50 + BP 30 + BP BP

30 < BP < 90 80 80 52.5 + BP/4 7.5 + 0.75 x BP

BP > 90 80 80 75 75

12.2.10  These efficiencies are shown graphically in the following Figure.

0

10

20

30

40

50

60

70

80

90

100

0 10 20 30 40 50 60 70 80 90 100

STATIC CONTINUOUS BOLLARD PULL (tonnes)

   T   U   G   E   F   F   I   C   I   E   N

   C   Y ,   T  e   %

 

Figure 12-1 Tug efficiencies in different sea states

calm

2m Hsig

3m Hsig

5m Hsig

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12.2.11  The resulting effective bollard pull in the different sea states is shown in the following Figure:

0

10

20

30

40

50

60

70

80

0 10 20 30 40 50 60 70 80 90 100

STATIC CONTINUOUS BOLLARD PULL (tonnes)

   E   F   F   E   C   T   I   V   E   B   O   L   L   A   R   D   P   U   L   L   (   t  o  n  n  e  s   )

 

Figure 12-2 Effective Bollard Pull in Different Sea States

5m Hsig 

< 2 m Hsig

2m Hsig

Calm

3m Hsig 

12.2.12   Alternatively, for the Hsig = 5.0 m case, BP can be related to TPR by:

Table 12-4 Selecting Bollard Pull from TPR for Hsig = 5 m

Towline Pull Required (TPR), tonnes Continuous Bollard Pull (BP), tonnes

TPR < 9 (100 x TPR)

9 < TPR < 67.5 [25 + (300 x TPR) /2.25] - 5

TPR > 67.5 TPR /0.75

12.2.13  Only those tugs connected so they are capable of pulling effectively in the forward direction shall beassumed to contribute. Stern tugs shall be discounted in the above calculation.

12.3  MAIN & SPARE TOWING WIRES & TOWING CONNECTIONS

12.3.1  The main and spare towing wires, pennants and connections shall be in accordance with Section 13.

12.4  TAILGATES / STERN RAILS

12.4.1  Where a towing tailgate or stern rail is fitted, the radius of the upper rail shall be at least 10 times thediameter of the tug’s main towline, and adequately faired to prevent snagging.

12.5  TOWLINE CONTROL

12.5.1  Where a towing pod is fitted, its strength shall be shown to be adequate for the forces it is likely to

encounter. It should be well faired and the inside and ends must have a minimum radius of 10 timesthe towline diameter.

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12.5.2  Where no pod is fitted, the after deck should be fitted with a gog rope, mechanically operated andcapable of being adjusted from a remote station. If a gog rope arrangement is fitted then a spare shallbe carried. Where neither a towing pod nor gog rope is fitted, then an alternative means of centringthe tow line should be provided.

12.5.3  On square-sterned towing vessels, it is preferred that mechanically or hydraulically operated stops befitted near the aft end of the bulwarks, to prevent the towline slipping around the tug's quarter in heavyweather.

12.6  WORKBOAT

12.6.1   A powered workboat must be provided for emergency communication with the tow, and must haveadequate means for launching safely in a seastate associated with Beaufort Force 4 to 5. An inflatableor RIB may be acceptable provided it has flooring suitable for carriage of emergency equipment to thetow.

12.7  COMMUNICATION EQUIPMENT

12.7.1  In addition to normal Authorities’ requirements, the tug shall carry portable marine VHF and/or UHFradios, for communication with the tow when tug personnel are placed on board for inspections orduring an emergency. Spare batteries and a means of recharging them shall be provided.

12.8  NAVIGATIONAL EQUIPMENT

12.8.1  Towing vessels shall be provided with all necessary navigational instruments, charts and publicationsthat may be required on the particular towage, including information for possible diversion ports andtheir approaches.

12.9  SEARCHLIGHT

12.9.1  The tug shall be fitted with a searchlight to aid night operations and for use in illuminating the towduring periods of emergency or malfunction of the prescribed navigation lights. The searchlight(s)should provide illumination both forward and aft, thereby allowing the tug to approach the tow eitherbow or stern on.

12.10  PUMP

12.10.1  On any tow outside coastal limits, the tug shall carry at least one portable pump, equipped with meansof suction and delivery and having a self contained power unit with sufficient fuel for 12 hours usage atthe pump’s maximum rating. The pump shall be suitable for the requirements outlined in Section15.2.1.e  through 15.2.1.h, but may not be considered to be a substitute for the pump(s) required bySection 15. The methods and feasibility of deployment should be considered.

12.11  ADDITIONAL EQUIPMENT

12.11.1   Anti-chafe gear should be fitted as necessary. Particular attention should be paid to contact betweenthe towline and towing pods, tow bars and stern rail.

12.11.2   All tugs should be equipped with burning and welding gear for use in emergency.

12.12  BUNKERS & OTHER CONSUMABLES

12.12.1  The tug should carry fuel and other consumables including potable water, lubricating oil and stores, forthe anticipated duration of the towage, taking into account the area and season, plus a reserve of atleast 5 days supply. If refuelling en route is proposed, then suitable arrangements must be made

before the towage starts, and included in the towing procedures.

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12.13  TUG MANNING

12.13.1  Notwithstanding minimum manning levels for tugs as described in Ref. [5], or those required by Stateor Port Authorities, consideration shall be given to the fact that in an emergency situation, two or moreof the tug crew may need to board and remain on the tow for an extended period. This should be

taken into account when approving the manning level of a towing vessel.

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13  TOWING & MISCELLANEOUS EQUIPMENT ON TOW

13.1  TOWING EQUIPMENT & ARRANGEMENTS - GENERAL

13.1.1  Towage should normally be from the forward end of the barge or tow via a suitable bridle as shown in Appendix A. The components of the system are:

a.  Towline connections, including towline connection points, fairleads, bridle legs and bridle apex

b.  Intermediate pennant

c.  Bridle recovery system

d.  Emergency towing gear.

13.1.2  There may be a case for towing some structures by the stern. These could include:

a.  Part-built or damaged ships, or any structure when the bow sections could be vulnerable towave damage.

b.  Part-built ships, converted ships or FPSOs without a rudder or skeg, or with a turret or spiderfitted forward, where better directional stability may be obtained if towed by the stern.

c.   Any structure with overhanging or vulnerable equipment near the bow, which could bevulnerable to wave damage, or could interfere with the main and emergency towingconnections.

13.1.3   A decision whether to tow by the stern should be based on the results of a risk assessment which shallbe presented to GL Noble Denton for review.

13.1.4  If two tugs are to be used for towing, then in general the larger tug should be connected to the bridle,and the smaller tug to a chain or chain/wire pennant set to one side of the main bridle. Alternativelytwo bridles may be made up, one for each tug. For two balanced tugs, the bridle may be split and the

tugs should tow off separate bridle legs, via intermediate pennants. This is not generally preferred fortows with rectangular bows. Whichever system is used, a recovery system should be provided for theconnection point for each tug.

13.1.5  For tows where a bridle is not appropriate, such as multiple tug towages, then normally each tugshould tow off a chain pennant and an intermediate wire pennant.

13.1.6  It is normal that the towline and the intermediate pennant are supplied by the tug. However, thestrength requirements are presented here, to bring together the requirements for towlines and towingconnections.

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13.2  STRENGTH OF TOWLINE & TOWLINE CONNECTIONS

13.2.1  The Minimum Breaking Loads (MBL) of the main and spare towlines, and the ultimate load capacity ofthe towline connections to the tow including each bridle leg, shall be related to the actual continuous

static bollard pull (BP) of the tug as follows, (BP, MBL and ULC are in tonnes):a.  Towline breaking load MBL shall be computed as follows:

Table 13-1 Minimum Towline Breaking Loads (MBL)

Bollard Pull (BP) Benign Areas Other Areas

BP < 40 tonnes 2.0 x BP 3.0 x BP

40 < BP < 90 tonnes 2.0 x BP (3.8 - BP/50) x BP

BP > 90 tonnes 2.0 x BP 2.0 x BP

b.  The Ultimate Load Capacity (ULC), in tonnes, of towline connections to the tow, including bridlelegs, chain pennants, and fairleads, where fitted, shall be not less than:

ULC = 1.25 x MBL (for MBL < 160 tonnes) or

ULC = MBL + 40 (for MBL >160 tonnes)

See Section 13.5.2 for bridle apex angle >120o. 

13.2.2   A certificate to demonstrate the MBL of each towline shall be available. MBL may be obtained bytesting, or by showing the aggregate breaking load of its component wires, with a spinning reductionfactor. This certificate shall be issued or endorsed by a body approved by an IACS member or otherrecognised certification body accepted by GL Noble Denton.

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13.2.3  Each bridle leg, and the connections to which it is attached, shall be designed to the full value of ULC,as shown in Section 13.2.1.b.

13.2.4  Fairleads, where fitted, shall be designed to take loadings as the tug deviates from the nominal towingdirection, as follows, where:

 = a. the horizontal angle of  towline pull from the nominal towing direction when a bridle isnot used, as shown in Figure 13-1, or  

b. the horizontal angle of the bridle leg from its normal direction (with bridle apex anglesof less than 120o - see Section 13.5.2).

ULC is as defined in Section 13.2.1.b.

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Figure 13-1 Definition of angle  with and without a bridle

Table 13-2 Fairlead Resolved ULC

Deviated bridleleg direction 

Nominal towingdirection with bridle

 Deviatedtowline

direction

Nominaltowing

direction

Horizontal angle, Fairlead ultimate load capacity, resolved as appropriate

0 <  < 45  ULC

45 <  < 90  Linear interpolation with  between ULC and (0.5 x ULC)

 > 90  0.5 x ULC

13.2.5  Where no fairleads are fitted, the towing connections shall be similarly designed.

13.2.6  If a fairlead or towing connection is to be used either with or without a bridle, it should be designed forboth cases.

13.2.7  For tows where it may be operationally necessary to apply the full value of towline pull at any angle,the connections and fairleads may require special consideration, and the reduction shown in Section13.2.4 may not be appropriate.

13.2.8  Where towing connections or fairleads may be subjected to a vertical load, the design shall takeaccount of the connection or fairlead elevation, the proportion of bridle and towline weight taken at theconnection or fairlead, and the towline pull, at the maximum pitch angle computed.

13.2.9  It should be noted that the above requirement represents the minimum values for towline connectionstrength. It may be prudent to design the main towline connections to allow for the use of tugs largerthan the minimum required.

13.2.10  In particular circumstances, where the available towing vessel is oversized with regard to TPR (seeSection 12.2), and the towline connections are already fitted to the tow, then the towline connections(but not the towline itself) may be related to the required BP rather than the actual BP. Such relaxationshall be with the express agreement of the Master of the tug, and shall be noted in the towingarrangements. It shall not apply for towages in ice areas. 

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13.3  RELATIONSHIP BETWEEN TOWLINE LENGTH AND STRENGTH

13.3.1  Except in benign areas and sheltered water towages, the minimum length available of each of the mainand spare towlines (L) shall be determined from the “European” formula:

L > (BP/MBL) x 1800 metres

except that in no case shall the available length be less than 650 metres, apart from coastal towageswithin a good weather forecast when this may be reduced to 500m.

13.3.2  For benign areas, the minimum length available shall be not less than:

L > (BP/MBL) x 1200 metres

except that in no case shall the available length be less than 500 metres.

13.3.3  The available length shall take into account the minimum remaining turns on the winch drum, and thedistance from the drum to the stern rail or roller. One full strength wire rope pennant which ispermanently included in the towing configuration may be considered when determining the available

length.13.3.4  MBL as shown in Section 13.2.1 shall be increased if required for L to comply with Section 13.3.1 or

13.3.2 as appropriate. ULC shall be correspondingly increased.

13.4  TOWLINE CONNECTION POINTS

13.4.1  Towline connections to the tow shall be of an approved type. Preferably they should be capable ofquick release under adverse conditions, to allow a fouled bridle or towline to be cleared, but must alsobe secured against premature release. A typical bracket design is shown in Appendix C.

13.4.2  Towline connections and fairleads shall be designed to the requirements of Section 13.2.

13.4.3  Sufficient internal/underdeck strength must be provided for all towline connections and fairleads.

13.4.4  Where fitted, fairleads should be of an approved type, located close to the deck edge. They should befitted with capping bars and sited in line with the towline connections, to prevent side load on thetowing connections.

13.4.5  Where the bridle might bear on the deck edge, the deck edge should be suitably faired and reinforcedto prevent chafe of the bridle.

13.4.6  Where towing connections are of a quick-release type, then the fairlead design shall allow all thereleased parts to pass easily through the fairlead.

13.5  BRIDLE LEGS

13.5.1  Each bridle leg should be of stud link chain or composite chain and wire rope. If composite, the chainshould of sufficient length to extend beyond the deck edge and prevent chafing of the wire rope.

13.5.2  The angle at the apex of the bridle should normally be between 45 and 60 degrees. If it exceeds 120o then the strength of the bridle legs, fittings and towing connections will need to be increased to allowfor the increased resolved load in the bridle from the towline force.

13.5.3  The end link of all chains shall be a special enlarged link, not a normal link with the stud removed.

13.5.4   All wire ropes shall have hard eyes or sockets.

13.6  BRIDLE APEX

13.6.1  The bridle apex connection should be a towing ring or triangular plate, often called a Delta, Flounder orMonkey Plate, or an enlarged bow shackle.

13.7  SHACKLES13.7.1  The breaking load of shackles forming part of the towline shall be at least 110% of the actual breaking

load of the towline to be used.

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13.7.2  The breaking load of shackles forming part of the bridle shall be not less than 110% of the required breaking load of the connected parts.

13.7.3  If the breaking load of a shackle cannot be identified then the minimum Safe Working Load (SWL) maybe related to the continuous static bollard pull (BP) of the largest tug proposed, as follows:

Table 13-3 Default Shackle SWL

Continuous bollard pull, BP, tonnesMinimum Safe Working Load,

SWL, tonnes

BP < 40 1.0 x BP

BP > 40 (0.5 x BP) + 20

13.8  INTERMEDIATE PENNANT OR SURGE CHAINS

13.8.1   An intermediate wire rope pennant should be fitted between the main towline and the bridle or chainpennant. Its main use is for ease of connection and reconnection. All wire rope pennants shall havehard eyes or sockets, and be of the same lay (i.e. left or right hand) as the main towline.

13.8.2   A synthetic spring, if used, should not normally replace the intermediate wire rope pennant.

13.8.3  The length of the wire pennant for barge tows is normally 10-15 metres since this can be handled onthe stern of most tugs without the connecting shackle reaching the winch. Longer pennants may beneeded in particular cases.

13.8.4  The breaking strength of the wire rope pennant shall not be less than that of the main towline with thepossible exceptions in Section 13.8.6.

13.8.5   A surge chain may be used, especially in shallow water when a long towline catenary cannot be used,to provide shock absorption. If a surge chain is supplied then the MBL shall not be less than that of the

main towing wire. The surge chain shall be a continuous length of welded studlink chain with anenlarged open link at each end (see Section 13.5.3). A method of recovery of the chain shall beprovided in case a tow wire breaks.

13.8.6  GL Noble Denton may approve a “fuse” or “weak link” pennant provided that:

a.  The strength reduction is not more than 10% of the actual strength of the main towline, and

b.  The resulting strength of the pennant is at least equal to that required for the towline.

13.9  SYNTHETIC SPRINGS

13.9.1  Where a synthetic spring is used, its breaking load shall be at least 1.5 times that required for the maintowline. As synthetic springs have a limited life due to embrittlement and ageing, they must be in good

condition, and have been stored to protect them from wear, solvents and sunlight. See Section 22.7.7 for towages when icing can occur.

13.9.2  If used, a synthetic spring should normally be connected between the main towing wire and theintermediate pennant, rather than connected directly into the bridle apex.

13.9.3   All synthetic springs shall have hard eyes. A synthetic spring made up as a continuous loop with ahard eye each end is generally preferable to a single line with an eye splice each end.

13.10  BRIDLE RECOVERY SYSTEM

13.10.1   A system shall be fitted to recover the bridle or chain pennant, to allow reconnection in the event oftowline breakage. The preferred type of bridle recovery system is shown in Appendix A. It consists ofa winch and a recovery line connected to the bridle apex, via a suitable lead, preferably an A-frame.

13.10.2  The recovery winch shall be capable of handling at least 100% of the weight of the bridle, plusattachments including the apex and the intermediate pennant. It shall be suitably secured to thestructure of the tow. Except for very small barges, the winch should have its own power source. It

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should be noted that an adequate winch will be useful for initial connection of the towline. Adequatefuel should be carried.

13.10.3  If the winch is manually operated, it should be fitted with ratchet gear and brake, and should be gearedso that the tow bridle apex can be recovered by 2 persons.

13.10.4  Should no power source be available, and manual operation is deemed impractical, then arrangementsshall be made, utilising additional pennant wires as necessary, which will allow the tug to reconnect.

13.10.5  The breaking load of the recovery wire, shackles, leads etc shall be at least 6 times the weight of thebridle, apex and intermediate pennant. The winch barrel should be adequate for the length and size ofthe wire required.

13.11  EMERGENCY TOWING GEAR

13.11.1  Emergency towing gear shall be provided in case of towline failure, bridle failure or inability to recoverthe bridle. Preferably it should be fitted at the bow of the tow. It may consist of a separate bridle andpennant or a system as shown in Appendix B. Precautions should be taken to minimise chafe of allwire ropes.

13.11.2  The emergency system will typically consist of the following:

a.  Towing connection on or near the centreline of the tow, over a bulkhead or other suitable strongpoint

b.  Closed fairlead

c.  Emergency pennant, minimum length 80 metres, with hard eyes or sockets, preferably in onelength. This length may be reduced for small barges and in benign areas

d.  Extension wire, if required, long enough to prevent the float line chafing on the stern of the tow

e.  Float line, to extend 75-90 metres abaft the stern of the tow

f.  Conspicuous pick-up buoy, with reflective tape, on the end of the float line.

13.11.3  The strength of items a, b and c above should be as for the main towline connections, as shown inSection 13.2.1. The breaking load of the handling system, items d and e above should be not lessthan 25 tonnes, and must be sufficient to break the securing devices.

13.11.4  If the emergency towline is attached forward, it must be led over the main tow bridle. It should besecured to the outer edge of the tow, outside all obstructions, with soft lashings, or metal clips openingoutwards, approximately every 3 metres.

13.11.5  If the emergency towing gear is attached aft, the wire rope should be coiled or flaked near the stern, sothat it can be pulled clear. The outboard eye should be led over the deck edge to prevent chafe of thefloat line.

13.11.6  For towage of very long vessels, alternative emergency arrangements may be approvable but any

arrangement shall be agreed with the Master of the tug to ensure that reconnection is possible in anemergency.

13.11.7  Whatever the arrangement agreed, care shall be taken that no chafe can occur to the floating linewhen deployed.

13.11.8  It is good practice to have swivels at the connection of the float line to the pennant line or extensionwire, and at the connection of the float line to the buoy.

13.11.9  The following reconnection equipment should also be considered, and placed on board if the durationand area of the towage demand it:

a.  Heaving lines

b.  Line throwing equipment

c.  Spare shackles.

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13.12  CERTIFICATION

13.12.1  Valid certificates shall be available for all chains, wires and shackles utilised in the towingarrangement. Where certification is not available or attainable for minor items the surveyor mayrecommend that oversized equipment shall be fitted. Certificates shall be issued or endorsed by

bodies approved by an IACS member or other recognised certification bodies accepted by GL NobleDenton.

4

13.12.2  The GL Noble Denton surveyor may reject any items that appear to be unfit for purpose, or are lackingvalid certification.

13.13  NAVIGATION LIGHTS & SHAPES

13.13.1  The tow shall carry the lights and shapes required by the International Regulations for PreventingCollisions at Sea, 1972 amended 1996 (COLREGS [Ref. 19]) and any local regulations.

13.13.2  Navigation lights shall be independently powered (e.g. from an independent electric power sources orfrom gas containers). Fuel or power sources shall be adequate for the maximum duration of thetowage, plus a reserve. Spare mantles or bulbs should be carried, even if the tow is unmanned.

13.13.3  It is desirable that a duplicate system of lights be provided.

13.13.4  Towed objects which may offer a small response to radar, such as barges or concrete caissons withlow freeboard, should be fitted with a radar reflector. The reflector should be mounted as high aspractical. Octahedral reflectors should be mounted in the “catch-rain” orientation.

13.14  ACCESS TO TOWS

13.14.1  Whether a tow is manned or not, suitable access must be provided. This may include at least onepermanent steel ladder on each side, from main deck to below the waterline.

13.14.2  Where practical, ladders should be recessed, back painted for ease of identification, be clear ofoverhanging cargo, and faired off to permit access by the tug’s workboat.

13.14.3   Alternatives may be accepted if it can be demonstrated that they will provide a safe and reliable meansof access during the towage. For example, a pilot ladder on each side or over the stern, secured toprevent it being washed up on deck, may be accepted for short tows or where it can be deployed froma manned tow.

13.14.4  Objects with high freeboard (e.g. over about 10 m) may need special consideration. Ladders shouldbe enclosed, except within 5 m of the towage waterline, with resting platforms every 10 metres. Wherepractical, stairways are preferable to ladders.

13.14.5  Where practical, a clear space should be provided and appropriately marked, with access ladders ifnecessary so that, in an emergency, men may landed or recovered by helicopter. If it is required toland a crew on board prior to entering port, for instance to start pumps and reduce draught, then aproperly marked and certified helideck or landing area would be an advantage.

13.14.6   A boarding party should be appropriately equipped with survival suits, lifejackets and communicationequipment.

13.14.7  Even if the tow is not manned, consideration should be given to placing life saving appliances onboard, appropriate to the hazards a boarding party may face once aboard.

13.14.8  Not withstanding the potential for piracy in some areas, means of boarding shall still be available.

13.15  ANCHORING & MOORING EQUIPMENT

13.15.1  See Section 16.

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13.16  DAMAGE CONTROL & EMERGENCY EQUIPMENT

13.16.1  When the length and area of the towage demand it, the following equipment should be carried on thetow in suitable packages or in a waterproof container secured to the deck:

a.  Burning gear

b.  Welding equipment

c.  Steel plate - various thicknesses

d.  Steel angle section - various sizes and lengths

e.  Plywood sheets - 25 mm thick

f.  Lengths of 3” x 3” (75mm x 75mm) timber

g.  Caulking material

h.  Sand and cement (suitably packaged)

i.  Nails - various sizes

 j.  Wooden plugs – various sizes

k.  Wooden wedges – various sizes

l.   A selection of tools, including a hydraulic jack, hammers, saws, crowbars, Tirfors.

m.  Portable coamings 60 cm minimum height, with a flange and boltholes to suit the manholedesign. The top should be constructed to avoid damage to hoses and cables

n.   A sounding tube extension, of 60 cm minimum height, threaded so that it can be screwed intoall sounding plug holes

o.  Sounding tapes

p.  Fire fighting equipment as appropriate

q.  Personal protection equipment - gloves, goggles, hard hats, survival suits etc

r.  Emergency lighting.

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14  VOYAGE PLANNING

14.1  GENERAL

14.1.1  The following recommendations apply with respect to the way in which the towage or voyage isconducted. The Certificate of Approval is based on agreed towage or voyage arrangements, whichshall not be deviated from without good cause, and where practical with the prior agreement ofGL Noble Denton.

14.2  PLANNING

14.2.1  Planning of the voyage or towage shall be carried out in accordance with the requirements of the IMOInternational Safety Management Code [Ref. 8].

14.3  ROUTEING

14.3.1  Routeing procedures shall be agreed with the Master prior to commencement of the towage or voyage,taking into account the transport vessel or tug’s capacity and fuel consumption, the weather andcurrent conditions and normal good navigation and seamanship.

14.3.2  Piracy in some areas, for instance South East Asia, is prevalent, and slow moving vessels or tows areparticularly at risk. Maintaining sufficient distance from land throughout the tow will reduce this riskand also ensure there is sufficient sea room in case of emergency. Guidance on prevention of piracymay be found in IMO MSC/Circ.623 - Piracy and armed robbery against ships [Ref. 20].

14.4  WEATHER ROUTEING & FORECASTING

14.4.1  Weather forecasts for the departure area should be commenced at least 48 hours before the

anticipated departure date. Whenever possible a second weather forecast should be obtained from adifferent independent source prior to departure.

14.4.2  For any towage, the weather conditions for departure from the departure port or any intermediate portor shelter area shall take into account the capabilities of the towing vessel, the marine characteristicsof the tow, the forecast wind direction, any hazards close to the departure port or shelter area and thedistance to the next port or shelter area. A suitable weather forecast may be one that predicts aminimum 48 hour period with winds not in excess of Beaufort Force 5 and a favourable outlook for afurther 24 hours.

14.4.3  If appropriate, a weather routeing service, provided by a reputable company, should be arranged priorto the start of the towage or voyage. The utilisation of a weather routeing service may be arequirement of the approval. See also Section 6.3.2. In any event, every effort shall be made by theMaster to obtain regular and suitable weather forecasts from a reputable source during the towage.

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14.5  DEPARTURE

14.5.1  Prior to departure, a departure condition report for the tow or vessel shall be provided by the owners ortheir agents, for the Master and the GL Noble Denton surveyor. This report should contain as a

minimum:a.  The documentation referred to in Section 5 as appropriate

b.  Lightship weight

c.  Tabulation and distribution of ballast, consumables, and cargo, including any hazardousmaterials

d.  Calculated displacement and draughts

e.   Actual draughts and displacement

f.  For ships, a statement that the longitudinal bending and shear force are within the allowableseagoing limits

g.  Calculated VCG

h.  Calculated GM and confirmation that it is within allowable limits

i.  GZ Curve and confirmation that it is within allowable limits.

14.5.2  Departure condition shall be verified to be satisfactory regarding the stability of the tow with properallowance made for any slack tanks.

14.5.3  If no stability documentation is available then it may be necessary to perform an inclining experiment tocheck that the GM is satisfactory. Calculations may be needed to establish righting and overturninglever curves.

14.5.4  It shall be verified that the tow floats in a proper upright attitude and at a draught and trim appropriateto the calculated weight and centre of gravity.

14.5.5  The Certificate of Approval shall be issued on agreed readiness for departure and on receipt of asuitable weather forecast.

14.6  PORTS OF SHELTER, SHELTER AREAS, HOLDING AREAS

14.6.1  Ports of shelter, or shelter areas on or adjacent to the route, with available safe berths, mooring orholding areas, shall be agreed before departure and all necessary permissions obtained.

14.6.2  Where such shelter points are required as part of a weather-restricted operation, as described inSection 6.3, they shall be capable of entry in worsening weather.

14.7  BUNKERING

14.7.1  Bunkering ports, if required, shall be agreed before departure. If it is not practical to take the tow intoport, then alternative arrangements must be agreed which may include:

a.  Where the towage is by more than one tug, each tug in turn may be released to proceed to anearby port for bunkers, subject to a f avourable weather forecast. The remaining tug(s) shouldmeet the requirements of Section 12.2, or some other agreed criterion.

b.  Relief of the towing tug by another suitable tug, which itself is considered suitable to undertakethe towage, so that the towing tug may proceed to a nearby port for bunkers.

c.  Bunkering at sea from a visiting vessel, subject to suitable procedures and calm weatherconditions.

14.7.2  Such procedures shall form part of the approved towage or voyage arrangements.

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14.8  ASSISTING TUGS

14.8.1   Assisting tugs shall be engaged at commencement of the towage, at any intermediate bunkering portand at the arrival destination, as appropriate.

14.9  PILOTAGE

14.9.1  The Master shall engage local pilotage assistance during the towage or voyage, as appropriate.

14.10  LOG

14.10.1   A detailed log of events shall be maintained during the towage or voyage.

14.11  INSPECTIONS DURING THE TOWAGE OR VOYAGE

14.11.1  Unless the tow is manned, it should be boarded on a regular basis by the crew of the tug, particularlyafter a period of bad weather, in order to verify that all the towing arrangements, condition of the cargo,

seafastenings and watertight integrity of the tow are satisfactory. Suitable access shall be provided -see Section 13.14.

14.11.2  For manned tows, and self propelled vessels, the above inspections should be carried out on a dailybasis as relevant - see also Section 17.5.

14.11.3   Any adjustable seafastenings or lashings should be re-tensioned as necessary.

14.12  REDUCING EXCESSIVE MOVEMENT & THE SHIPPING OF WATER

14.12.1  The Master should take any necessary measures to reduce excessive movement or the shipping ofwater which may damage the cargo, cribbing or seafastenings. This may entail changes of course, orspeed, or both.

14.13  NOTIFICATION

14.13.1   After departure of an approved towage or voyage, regular notification shall be sent to GL Noble Dentonregarding progress, the reporting of any unusual or abnormal events, or necessary deviation from theagreed towing arrangements.

14.14  DIVERSIONS

14.14.1  Should any emergency situation arise during the towage or voyage which necessitates diversion to aport of refuge, then GL Noble Denton shall be advised. GL Noble Denton will review and advise on thevalidity of the existing Certificate of Approval for continuing the towage or voyage depending on thecircumstances of the case. A further attendance at the port of refuge may be required in order to re-

validate the Certificate of Approval.

14.15  RESPONSIBILITY

14.15.1  The Towmaster is responsible for the overall conduct of a tow, and towing arrangements during thetowage.

14.15.2  If any special situations arise during the towage or voyage and it is not possible to comply with anyspecific recommendations, agreed procedures or International Regulations, then such measures asappropriate for the safety of life and property shall be taken. GL Noble Denton shall be informed assoon as practical of any such circumstances.

14.15.3  Nothing in this document shall set aside or limit the authority of the Master who remains solelyresponsible for his vessel during the voyage in accordance with maritime laws.

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14.16  TUG CHANGE

14.16.1  The tug(s) approved for any towage, as noted on the Certificate of Approval, shall be the only tug(s)approved for that specific towage and should remain with the tow throughout the towage. Should it berequired to change the tug(s) for any reason, except in emergency or where special arrangements

have been agreed for bunkering, the replacement tug must be approved by GL Noble Denton and anew Certificate of Approval issued.

14.17  HAZARDOUS MATERIALS

14.17.1  Hazardous substances may be considered as materials which, when released in sufficient quantities orimproperly handled, have the potential to cause damage to the asset, personnel or the environmentthrough chemical means or combustion. Unless it is necessary the carriage of such materials shouldbe avoided, unless it can be shown that the substances are effectively controlled. Stowage of suchmaterials should take into account that the transportation may be unmanned and therefore remedialaction in the case of inadvertent release will be limited.

14.17.2  The properties of such material should be contained in the COSHH (Control of Substances Hazardous

to Health) data sheets and the recommended method of stowage and handling is found in the IMDG(International Maritime Dangerous Goods) Code.

14.17.3  Where identifiable hazardous material is found on board prior to a tow / transportation taking place, itshould be controlled either through isolation or removal ashore.

14.18  BALLAST WATER

14.18.1  The IMO Ballast Water Convention of 2004 (Resolution A.868(20)) requires the monitoring andrecording of ballasting and de-ballasting operations. Vessels flagged in signatory states are requiredto have on board and to implement a Ballast Water Management Plan. This plan is specific to eachvessel and the record of ballast operations may be examined by the Port State Authorities.

14.18.2  Vessels may need to change ballast water before or at their arrival port for operational reasons(loading /discharging). There may be local laws that will have an impact on these activities. In theU.S.A. there are numerous state laws that cover these operations. Compliance with these rules mayneed to become part of the voyage planning.

14.18.3  The necessary ballast plan and records should be available for any attending surveyor.

14.19  RESTRICTED DEPTHS, HEIGHTS & MANOEUVRABILITY

14.19.1  The following recommended clearances are general, and each towage should be assessed on its own,taking into account

a.  environmental conditions,

b.  length of areas of restricted manoeuvrability,c.  any course changes within the areas of restricted manoeuvrability,

d.  cross section of areas of restricted manoeuvrability in relation to underwater area/shape of thebase structure, and

e.  capability of the tugs.

14.19.2  The recommended values give guidance. If it can be proved that smaller values give the same or evenbetter level of confidence these values should be taken.

14.19.3  For areas where the under-keel or side clearance is critical, a survey report that is not older than 3months shall be available. If not, the tow route should be surveyed with a width of 5 times the beam,with a minimum of 500 metres. Side-scan sonar and bathymetric data should be provided. The

equipment used should be of a recognized industry standard. The spacing between depth contourlines should be appropriate for the purpose. Current surveys should be made in restricted parts of thetow route.

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14.19.4  The survey requirements can be relaxed if it can be shown that the on-board bathymetry measurementsystems and position management systems have sufficiently high precision.

14.19.5  Ideally passages through areas of restricted manoeuvrability and passing under bridges and powercables should not take place in darkness.

14.20  UNDER-KEEL CLEARANCES

14.20.1  The under-keel clearance allowing for protrusions below the hull shall account for the effects of

a.  Roll, pitch and initial heel and trim,

b.  heave,

c.  tow-line pull,

d.  inclination due to wind,

e.  tolerance on bathymetry,

f.  changes in draught of the transport or towed object,

g.  differences in water density,

h.  low water tidal height variations,

i.  squat effects,

 j.  deflections of the structure

4k.  errors in measurement, and

l.  negative surge.

and shall include a margin of not less than the greater of one metre or ten percent of the maximumdraught. The 10% may be reduced in very benign conditions after agreement with the GL Noble

Denton office concerned.14.20.2  Under-keel clearances for departure from dry-docks or building basins are covered in 0015/ND [Ref 3].

14.20.3  If sections of the passage are tidally dependent, safe holding areas should be identified in the vicinitywith adequate sea room and water depth to keep the structure afloat at low tide, while maintaining theminimum under-keel clearance. Any delay time waiting for the tide must be included in the overallplanning.

14.20.4  Immediately before critical sections of the passage the tidal level shall be confirmed by measurement.

14.20.5  Use of an air cushion to reduce draft to assist in crossing localised areas of restricted water depth maybe considered subject to:

a. Any conceivable loss of air not increasing the draft by more than the reserve on underkeel

clearance, andb. The recommendations contained in 0015/ND [Ref 3] on air cushions.

14.21  AIR DRAUGHT

14.21.1  When passing under bridges and power cables, the overhead clearance shall be calculated allowing a margin of not less than one metre plus dimensional tolerances on the items listed in Section 14.20.1 excluding squat. Where clearance is limited then a dimensional survey of the barge/vessel andstructure shall take place just prior to sailaway in order to ensure that the required clearance exists.

14.21.2  Power cables need a 'spark gap', as well as a physical clearance; the transmission company will havetheir own criteria on the minimum allowable clearance. It should be noted that the catenary of thepower cable will change depending on the load being carried in the cable; the lowest position shouldbe used.

14.21.3  The actual clearance shall be confirmed with all appropriate authorities including those responsible forthe obstruction.

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14.21.4  Immediately before the passage the tidal level shall be confirmed by measurement.

14.22  CHANNEL WIDTH & RESTRICTED MANOEUVRABILITY

14.22.1  The minimum channel width along any inshore legs of the tow route with the underkeel clearance and

air draught required in Sections 14.20  and 14.21  should be three times the maximum width of thetowed object after allowances for yaw. Additional channel width may be required in exposed areas, ifthere are significant cross currents or if needed for the tugs to manoeuvre safely.

14.22.2  Side clearances for departure from dry-docks or building basins are covered in 0015/ND [Ref 3].

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15  PUMPING AND SOUNDING

15.1  GENERAL

15.1.1  Emergency-pumping arrangements should be available for any tow.

15.1.2  Pumps in accordance with this section are primarily required for barges. The need for, andspecification of, pumps for other tows, including self-floating objects, MODUs, FPSOs and ships, willbe assessed on a case-by-case basis, depending on the nature of the towage and the extent andavailability of any installed system.

15.1.3  Some relaxation may be possible, agreed on a case-by-case basis, for a towage considered as aweather-restricted operation.

15.1.4  Whatever pumping system is agreed, and whether or not a tow is manned, the pumping system shallbe available at short notice. Any time required for connection or warm-up should be included in thepumping times and capacities shown in Section 15.5.

15.1.5  Where a tow is not manned, then the tug master and chief engineer shall be aware of the availablepumping system. Members of the tug crew shall be familiar with the systems, and be able to board thetow and run the pumps at short notice. Procedures for pumping shall be known and available,including any restrictions arising from considerations of stability or hull stresses, and any vents, whichmust be opened before pumping starts.

15.2  PURPOSE OF PUMPS

15.2.1  Pumps may be required for the following:

a.  Ballasting before, during and after loadouts

b.  Ballasting to the agreed departure condition

c.  Restoration of draught and trim after discharge (especially at sea)

d.  Deballasting to reduce draught to enter port

e.  Damage control, including counterflooding

f.  Deballasting after accidental grounding

g.  Trimming to allow inspection and repair below normal waterline

h.   Access to a flooded compartment (e.g. pump room, anchor winch room).

15.2.2  The use of a barge compressed air system may not be practicable for all these cases, especially ifmanhole covers have been removed, or the barge is holed above the waterline. A compressed airsystem should have a compressor on board and available, connected into the permanent lines.

15.2.3  It should be possible to sound and pump into or from critical compartments (defined in Section 15.3.2)in severe weather. The following shall be provided:

a.  Pumping system

b.  Watertight manholes

c.  Portable coamings

d.  Sounding plugs, extensions and tapes or rods. An additional remote sounding system may beneeded for compressed air ballasting systems

e.  Vents to all compartments.

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15.3  PUMPING SYSTEM

15.3.1  It is recommended that barges have one of the following systems, able to pump into and from allcritical spaces, in order of preference:

a.  Two independent pumprooms or one protected pumproom, as described below

b.   An unprotected pumproom with an independent emergency system that can pump out thepumproom

c.   A system of portable pumps.

15.3.2  A critical space is defined as any tank or compartment which:

1.  when flooded or emptied, at any stage of the voyage, may lead to:

a.  non compliance of intact or damage stability criteria, or

b.  non compliance of structural load limits, or

c.  heeling or trimming that may prevent the tow from continuing its passage safely and free

from obstructions in shallow water, or

d.  maximum allowable transit draught being exceeded.

2.  may be required for ballasting / de-ballasting so that the barge or vessel can safely continue herpassage after any single compartment is damaged.

4

15.3.3  Independent pumprooms should have separate power supply, pumps, control and access. Eachpumproom should be able to work into all spaces.

15.3.4  To be considered protected, a pumproom, and any compartment required for access, should beseparated from the bottom plating by a watertight double bottom not less than 0.60 m deep and fromthe outer shell by other compartments or cofferdams not less than 1.5 metres wide.

15.4  PUMP TYPE

15.4.1  If portable pumps are used then either they should be portable enough to be moved around the barge(and cargo) by two men, or enough pumping equipment should be carried so that any criticalcompartment can be reached.

15.4.2  Each portable pump should be able to pump out from the deepest space (with portable coaminginstalled). This requires submersible pumps for barges over about 6 metres depth, due to suctionhead. Portable submersible pumps must be able to fit through tank manholes.

15.5  PUMP CAPACITY

15.5.1  The total capacity of the fixed or portable pumps should be such that any one wing space (or other

critical tank or pumproom) can be emptied or filled in 4 hours for an unmanned tow, or 12 hours for amanned tow. At least two pumps shall be provided, except where there is a protected pump room.

15.5.2  Whatever type of pumps are fitted or supplied, sufficient fuel shall be carried for at least 72 hourscontinuous operation.

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15.6  WATERTIGHT MANHOLES

15.6.1  If manholes to critical compartments are covered by cargo then either alternative manholes should befitted, or cutting gear should be installed and positions marked for making access. Welding gear and

materials shall be carried to restore watertight integrity.15.6.2  Where the barge is classed, the owner should inform the classification society in good time of any

holes to be cut or any structural alterations to be made.

15.6.3   Access shall always be available to pumprooms and other work areas.

15.6.4  Ladders to the tank bottom are required from each manhole position.

15.6.5  Suitable tools shall be provided for removal and refastening of manhole covers and sounding plugs. All manhole covers should be properly secured with bolts and gaskets, renewed as necessary.

15.6.6  Portable coamings to suit the manhole design should be carried, if required by Section 13.16.1.m.

15.7  SOUNDING PLUGS AND TAPES

15.7.1  For vessels or barges with compressed air ballast systems, gauges should be provided in lieu ofsounding pipes.

15.7.2   A sounding plug shall be installed in each compartment (in manhole covers if necessary) to avoidremoving manhole covers. Sounding tapes and chalk shall be carried on board the tow.

15.7.3  For spaces that will be sounded regularly, a tube and striker plate are recommended.

15.8  VENTS

15.8.1   All compartments connected to a pumping system should have vents fitted, preferably of an approved,automatic, self-closing type. If not automatic, then the vents should be sealed for towage with woodenbungs or steel blanks, but with a 6 mm diameter breather hole fitted. This will give audible warning or

reduce pressure differentials in event of mishap, and compensate for temperature changes. Thebreather hole can be drilled into the gooseneck of the vent or through the wooden bung used to closethe vent.

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16  ANCHORS AND MOORING ARRANGEMENTS

16.1  EMERGENCY ANCHORS

16.1.1  Emergency anchors have traditionally been required to reduce the risk of a tow running aground if atowing vessel is disabled or a towline broken. However in many cases the disadvantages (describedin Section E.4 of Appendix E) associated with using such anchors may outweigh the advantages.

16.1.2  If a tow passes through an area of restricted sea room, a comparative risk assessment should beperformed to determine the preferred arrangements. Appendix E sets out topics to be taken intoaccount in this risk assessment. One possible outcome may be the provision of suitably sized extratugs in some sectors of the tow.

16.1.3  The same requirements apply for towed ships, including demolition towages. See Section 20.6.Where such towages may need to wait for a few days on arrival at the end of a voyage beforedocumentation is completed then, if this is in a high-current area, anchoring or mooring arrangementsmay be required.

16.1.4  For self-elevating platforms, see also Section 19.16.

16.2  SIZE AND TYPE OF ANCHOR

16.2.1  For classed vessels and barges, the anchor(s) fitted in accordance with Class requirements willgenerally be acceptable unless there is deck cargo.

16.2.2  In other cases the minimum weight of the emergency anchor should be 1/10 of the towline pullrequired (TPR) for the tow, as defined in Section 12.2. A high holding power anchor with anti-rollstabilisation is preferred.

16.3  ANCHOR CABLE LENGTH

16.3.1  The normal minimum effective length of anchor cable required is 180 metres, preferably mounted on awinch. If the cable runs through a spurling pipe, or other access, to storage below decks, then the pipeor access should be capable of being made watertight.

16.4  ANCHOR CABLE STRENGTH

16.4.1  For cable on a winch, or capstan, which can be paid out under control, the minimum breaking load ofthe cable should be 15 times the weight of the anchor, or 1.5 times the holding power of the anchor ifgreater.

16.4.2  For cable flaked out on deck, the minimum breaking load of the cable should be 20 times the weight ofthe anchor, or twice the holding power if greater, to allow for the extra shock load.

16.4.3  The last few flakes of cable on deck should have lashings that will break and slow down the cablebefore it is fully paid out.

16.5  ATTACHMENT OF CABLE

16.5.1  The inboard end of the cable should be led through a capped fairlead near the barge centre line andbe securely fixed to the barge. Precautions should be taken to minimise chafe of the cable.

16.5.2  The breaking load of the connections of the cable to padeye or winch, and padeye or winch to thebarge structure should be greater than that of the cable.

16.5.3  For towed ships, and tows with similar arrangements, the anchor cable(s) shall be properly secured,with the windlass brake(s) applied. Any additional chain stopper arrangements that are fitted shall be

utilised, or alternatively, removable preventer wires should be deployed.16.5.4  Spurling pipes into chain lockers should be made watertight with cement plugs, or another satisfactory

method.

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16.6  ANCHOR MOUNTING AND RELEASE

16.6.1  If there is no suitable permanent anchor housing the anchor should be mounted on a billboard, asshown in Appendix D, at about 60 degrees to the horizontal.

16.6.2  The anchor should be held on the billboard in stops to prevent lateral and upwards movement. It

should be secured by wire rope and/or chain strops that can be easily released manually withoutendangering the operator.

16.6.3  The billboard should normally be mounted on the stern. It should be positioned such that on releasethe anchor will drop clear of the barge and the cable will pay out without fouling.

16.6.4  For any system, it shall be possible to release the anchor safely, without the use of power to releasepawls or dog securing devices. If the anchor is held only on a brake, an additional manual quickrelease fastening should be fitted.

16.6.5  The anchor arrangement should be capable of release by one person. Adequate access shall bemade available.

16.7  MOORING ARRANGEMENTS

16.7.1   All vessels and floating objects should be provided with at least four mooring positions (bollards /staghorns etc.) on each side of the barge unless it is impracticable to moor them, e.g. because ofdraught limitations.

16.7.2  If fairleads to the bollards are not installed then the bollards should preferably be provided with cappingbars, horns, or head plate to retain the mooring lines at high angles of pull. Suitable chafe protectionshould be fitted as required e.g. to the deck edge for low angles of pull.

16.7.3   At least four mooring ropes in good condition of adequate strength and length, typically about 50-75mm diameter polyprop or nylon, and each 60-90 metres long, should be provided.

16.7.4  Mooring ropes should be stowed in a protected but accessible position.

16.7.5  Objects with very large freeboard such as FPSOs may advantageously be fitted with mooring and

towing connection points along the side, at a convenient height above the towage waterline. Thesemay provide a more convenient connection for mooring lines and harbour tugs than bollards at decklevel. Care should be taken that the connection points cannot damage, or be damaged by, attendingvessels.

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17  MANNED TOWS AND TRANSPORTATIONS

17.1  GENERAL

17.1.1  Manning of tows should generally be limited to those where early intervention by a riding crew can beshown to reduce the risks to the tow, for example tows of MODUs, passenger ships and Ro-Rovessels.

17.1.2  Where a riding crew is carried on a tow for commissioning and/or maintenance, sufficient marinepersonnel shall be included to operate the equipment listed in Section 17.4 and to carry out the dutiesin Section 17.5. A riding crew may be carried on an FPSO for similar reasons.

17.1.3  There is sometimes a requirement for a riding crew on a dry transportation to maintain or commissionsystems or to carry out general maintenance. Riding crew carried on any dry transportation must bewithin the carrying vessel’s Flag State limits for life saving appliances; any exceedance of the FlagState limit must be approved by the Flag State in advance.

17.1.4  GL Noble Denton will only be able to approve the transport with respect to the riding crew when thedocumented flag state approval for the proposed number of riding crew has been seen. Thetransportation contractor is therefore advised to obtain this Flag State approval in good time. Theunderwriters should also be informed if a large riding crew is proposed.

17.1.5  The health and safety of the riding crew shall be assured at all times.

17.1.6   A risk assessment shall be carried out to demonstrate the acceptability of the proposed arrangements.

17.2  INTERNATIONAL REGULATIONS

17.2.1   Accommodation, consumables, lifesaving appliances, pumping arrangements and communicationfacilities with the tug shall comply with International Regulations.

17.3  RIDING CREW CARRIED ON THE CARGO

17.3.1  Where a riding crew is carried on the cargo, for instance a maintenance crew on a dry-transported jack-up rig, the total number of persons on board may exceed the capacity of the vessel or barge.Subject to Flag State approval (see Section 17.1.3) this may be permissible. Additional precautionswhich may be necessary include:

a.   Access to/from the cargo /rig forward and aft, and to the liferaft launching area

b.  The cargo /rig’s liferafts and lifeboats should be relocated and the falls lengthened, if necessary,so that on launching they will land in the water.

c.   A firewater supply should be made available to the cargo /rig.

d.  The cargo /rig’s and vessel’s alarm systems should be linked, so that an alarm on the cargo /rigis repeated on the vessel, and vice versa.

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17.4  SAFETY AND EMERGENCY EQUIPMENT

17.4.1  Notwithstanding the requirements of SOLAS and any or all international regulations for Life Saving Appliances and Fire Fighting Equipment, the minimum complement of safety and emergency

equipment carried aboard the tow shall be as follows:a.  Certified liferafts located on each side of the tow, clear of any possible wave action, provided

with means of launching and fitted with hydrostatic releases. The liferaft or liferafts on eachside of the tow shall be capable of taking the full crew complement. Adequate means of accessto the water shall be provided

b.  4 lifebuoys, two located on each side of the tow and including two fitted with self igniting lightsand two with a buoyant line

c.   Approved life jackets to be provided for each crew member plus 25% reserve

d.  If appropriate, a survival suit to be provided for each crew member

e.  First aid kit

f.  Fire fighting equipment, which may consist of an independently powered fire pump withadequate hoses, and portable fire extinguishers as appropriate.

g.  6 parachute distress rockets and 6 hand held flares

h.   A daylight signalling lamp and battery

i.  2 portable VHF radios, fitted with all marine VHF channels, with appropriate battery chargingequipment

 j.  Hand held GPS (Global Positioning System) receiver

k.  GMDSS radio (Global Maritime Distress and Safety System)

l.  Charts covering the route

m.   An EPIRB (Emergency Position Indicating Radio Beacon) emergency transmitter

n.  2 SARTs (Search and Rescue Radar Transponder ) 

o.  Heaving line(s) and/or line throwing apparatus if appropriate.

17.4.2   All members of the riding crew shall be adequately trained in the use of the safety equipment. At least1 crew member shall possess the appropriate radio operator’s licences.

17.5  MANNED ROUTINE

17.5.1  The riding crew shall take the following actions during the towage:

a.  Maintain a daily log and include all significant events

b.  Inspect towing arrangements and navigation lights

c.  Inspect all seafastenings and any other accessible, critical structures

d.  Tension any adjustable seafastenings or lashings as necessary

e.  Check soundings of all bilges and spaces

f.  Monitor any unexpected or unexplained ingress of water

g.  Pump out any ingress of water

h.  Maintain regular contact by radio with the tug, reporting any abnormalities.

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18  MULTIPLE TOWAGES

18.1  DEFINITIONS

18.1.1  This section expands on the definitions in Section 3 for multiple towages:

18.1.2  Double tow  – 2 tows each connected to the same tug with separate towlines. One towline is ofsufficient length that the catenary to the second vessel is below that of the first.

18.1.3  Tandem tow – 2 (or more) tows in series behind 1 tug, i.e. the second and following tows connected tothe stern of the previous one.

18.1.4  Parallel tow  – the method of towing 2 (or more) tows, using one tow wire, where the second (orsubsequent) tow(s) is connected to a point on the tow wire ahead of the preceding tow, and with eachsubsequent towing pennant passing beneath the preceding tow.

18.1.5  Two tugs (in series) towing one tow – where there is only 1 towline connected to the tow and theleading tug is connected to the bow of the second tug.

18.1.6  More than 1 tug (in parallel) towing one tow – each tug connected by its own towline, pennant orbridle to the tow.

18.2  GENERAL

18.2.1  Compared with single towages, multiple towages have additional associated problems including thoseof:

a.  Manoeuvring in close quarter situations

b.  Reconnecting the towlines after a breakage

c.  Maintaining sufficient water depth for the longer and deeper catenaries required.

18.2.2  With the exception of the cases described in Section 18.1.6, multiple towages may only be approvablein certain configurations, areas and seasons, and subject to a risk assessment.

18.2.3  When approval is sought, then full details of the operation, including detailed drawings, procedures andequipment specifications shall be submitted to GL Noble Denton for review and comment. An initialassessment of the method will then be made, and if the basic philosophy is sound, recommendationsmay be made for the approval process to continue.

18.2.4   Approval may be rejected if any doubt exists as to the viability of the operation proposed.

18.2.5  For those multiple towages that are approvable, each tow shall be prepared as described in theseGuidelines.

18.2.6   Additional factors may be applied to the towing arrangements, so that the probability of breakage isfurther reduced.

18.2.7  The bollard pull requirement of the tug shall be according to the number and configuration of the towsconnected. The Towline Pull Required (TPR) should be the sum of those required for each tow. Thetowing arrangements on each tow shall have sufficient capacity for the Bollard Pull (BP) of the tug(s).

18.2.8  The tug shall be equipped as in Ref. [5], although additional or stronger equipment and longer towlinesmay be necessary. Where longer towlines are required, these may be formed by the utilisation ofpennant wires of no less Ultimate Load Capacity than the main tow wires.

18.2.9  Where the towing configuration requires the use of 2 towlines from 1 tug, a third tow wire shall becarried on board the tug, stowed in a protected position, whence it can be safely transferred at sea toeither towing winch.

18.2.10  It may be necessary to include (surge) chain or a stretcher to improve the spring, or to provide therequired catenary in any towing arrangement.

18.2.11  If a synthetic stretcher is included in any towing arrangement, it shall comply with Section 13.9. Aspar e stretcher shall be carried aboard the tug for each stretcher utilised in the towing arrangement.

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18.2.12  Multiple tows being towed behind a single tug may yaw in different directions. Special arrangementsshall be made on the deck of the tug to separate the towlines.

18.2.13  It is particularly difficult to reconnect to a tow that has broken loose when another tow or tows areconnected to the same tug. Special procedures must be agreed for reconnection.

18.2.14  Due to the difficulties that will be encountered if a towline breakage should occur, GL Noble Dentonmay recommend a higher total number of crew on the tug.

18.3  DOUBLE TOWS

18.3.1  These are usually only considered as acceptable:

a.  In benign areas

b.  For short duration towages covered by good weather forecasts

c.  Where there is sufficient water depth along the tow route to allow for the catenary required forthe second tow.

18.3.2  The tug should be connected to each tow with a separate towline on a separate winch drum. It shallalso carry a spare towline, stowed on a winch, or capable of being spooled onto a winch at sea.

18.4  TANDEM TOWS

18.4.1  These are normally only acceptable in very benign areas or in ice conditions where the towed bargeswill follow each other.

18.4.2  In ice conditions the towlines between tug and lead tow and between tows will normally be shortenough for the line to be clear of the water. Care must be taken to avoid tows over-running eachother, or the tug.

18.5  PARALLEL TOWS

18.5.1  This method is generally only approvable in extremely benign areas, and may be subject to additionalsafety factors with respect to the capacity of the towing arrangements.

18.6  TWO TUGS (IN SERIES) TOWING ONE TOW

18.6.1  This is usually only feasible when a small tug is connected to the bow of a larger, less manoeuvrabletug to improve steering.

18.6.2  This configuration is generally only acceptable if:

a.   All the towing gear (towline/pennants/bridles/connections etc.) between the second tug and thetow is strong enough for the total combined bollard pull

b.  The second tug is significantly heavier than the leading tug (to avoid girding the second tug).

18.7  MULTIPLE TUGS TO ONE TOW

18.7.1  This is generally considered acceptable, provided that each tug has a separate towline to the vessel(via bridles or pennants as required). Care must be taken that the tugs do not foul each other or theirtowing equipment.

18.7.2  Consideration should be given to matching the size and power of the tugs.

18.7.3  The use of eccentric bridles may be advantageous but care must be taken to avoid chafe.

18.7.4  Normally there will not be more than 3 tugs, except for the towage of very large objects, such asFPSOs and concrete gravity structures.

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19  SPECIAL CONSIDERATIONS FOR THE TRANSPORT OF JACK-UPS

19.1  GENERAL

19.1.1  This Section is intended to cover the special requirements of jack-up platforms, not covered by othersections. The terms 24-hour move, location move, ocean towage and ocean transportation have themeanings shown in Section 3.

19.1.2  Reference [24] – “UKOOA Guidelines for Safe Movement of Self-Elevating Offshore Installations” andReference [25] “The Safe Approach, Set-Up And Departure of Jack-Up Rigs to Fixed Installations”describe good practice for jack-up moves within the North Sea and many of these practices can beusefully followed in other areas.

19.2  MOTION RESPONSES

19.2.1  The motion responses for towage of a jack-up on its own hull, or for transport on a barge or ves sel,

may be derived from Section 7, either by calculation, from the standard motion criteria in Section 7.9,or by model tests.

19.3  LOADINGS

19.3.1  Loads in legs, guides, jack-houses and jack-house connections into the hull, as appropriate, shall bederived in accordance with one of the methods set out in Section 8.

19.3.2  For jack-ups transported on a barge or vessel, the loads in cribbing and seafastenings shall besimilarly derived in accordance with Section 8.

19.4  HULL STRENGTH

19.4.1  For units transported on their own buoyancy, either the hull shall be built to the requirements of arecognised Classification Society, and be in Class or verified to comply with Class building andinspection requirements. Otherwise the requirements of Section 19.4.2 through 19.4.5 shall apply.

19.4.2  If not in Class, the hull shall be demonstrated to be capable of withstanding the following loadings:

a.  Static loading, afloat in still water, with all equipment, variable load and legs in towage position,plus either:

b.  Longitudinal or transverse bending, as derived from Section 19.4.3, or

c.  Loads imposed on the hull and guide support structures by the legs, when subjected to theagreed motion criteria.

19.4.3  Longitudinal and transverse bending may be derived by quasi-static methods, assuming a wave

length, Lw, equal to the unit’s length or beam, and height:

Hw = 0.61Lw,

where Lw is in metres.

19.4.4  External plating shall be demonstrated to have adequate strength to withstand the hydrostatic loadsdue to the immersion of the section of shell plating considered, to a depth equivalent to that whichwould be caused by inclining the hull, in towage condition, to the static angle equal to the amplitude ofmotion as considered in Section 7.9.1.

19.4.5  Hull and superstructure construction, details, materials and workmanship shall be shown to be inaccordance with sound marine practice, and shall be in sound condition.

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19.5  STRESS LEVELS

19.5.1  Stress levels in legs, guides, jack-houses, hull and all temporary securing arrangements shall complywith Section 9.5. The hull in way of seafastenings to a barge or transportation vessel shall also bechecked to comply with Section 9.5. See also the caution for dry transportations in Section 9.1.4.

19.5.2   A critical motion curve may be drawn up, or provided in the Operations Manual, reflecting the motionlimits for the legs or any other component. This may be used as a guide during the towage or voyage,indicating whether course or speed should be changed, or the legs lowered, as appropriate.

19.5.3  Prior to an ocean transportation of a jack-up, an inspection programme, including non-destructivetesting, for critical structural areas shall be implemented. Typically, this should include, as appropriate,the areas of legs from just below the lower guides to 2 bays above the upper guides, with the legs inany proposed transport condition. It should also include the guide connections, the jack-houseconnections to the deck and connections of the spudcans to the leg chords.

19.5.4  The exclusion stated in Section 4.6.7 regarding fatigue damage should be noted. Local areas of jack-up platforms may be particularly prone to fatigue damage. The effects of fatigue damage will beexcluded from any Certificate of Approval issued by GL Noble Denton unless specific instructions are

received from the client.

19.6  STABILITY AND WATERTIGHT INTEGRITY

19.6.1  For units transported on their own buoyancy, the following shall apply:

a.  The intact stability requirements set out in Sections 10.1 and 10.3.

b.  The damage stability requirements of Sections 10.2 and 10.3.

19.6.2  For ocean towages, the compartmentation and watertight integrity requirements of Section 10.5 shallbe particularly addressed. Engine room intake vents and exhausts, shall comply with Section 10.5.2.Other special considerations for jack-ups include:

a.   All compartments and their vents, intakes, exhausts and any other appurtenances or openingsshall be effectively watertight up to the waterline associated with the minimum requireddownflooding angle (see Section 10.5.2), or 3 m above main deck level, whichever is thehigher.

b.   All compartments and their vents, intakes, exhausts and any other appurtenances or openingsshall be structurally capable of withstanding hydrostatic pressure due to inclination to theminimum required downflooding angle, and direct loadings from green water.

c.   All air intakes and exhausts for equipment that must be kept running and/or which must beavailable for emergency use must extend above the waterline associated with the minimumrequired downflooding angle, or 3 m above main deck level, whichever is the higher.

d.   Any jetting lines and pumping nipples in lines shall be checked closed and watertight before

departure.

e.   All pre-load dump valves shall be closed and secured.

f.  Mud return lines from shale shaker pumps etc, leading below main deck, shall be blanked off.

g.  Dump valves in mud pits shall be checked closed secured.

h.  Overboard discharges shall be blanked off, or fitted with non-return valves.

19.6.3  For all towages, liquid variable loads shall be minimised and shall be in pressed up tanks wherepossible.

19.6.4  Free surface in the mud pits is not generally acceptable, except for very short 24-hour moves incontrolled conditions.

19.6.5  Free surface effects of all remaining liquid variables, except those in pressed up tanks, shall be takeninto account in the stability calculations.

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19.6.6  Stability calculations shall accurately reflect the position and buoyancy of the spud cans. Spud canwater shall be taken into account in weight and centre of gravity calculations, where appropriate.

19.7  TUGS, TOWLINES AND TOWING CONNECTIONS

19.7.1  Tugs shall be selected in general accordance with Section 12, using the categories required in Section4 of 0021/ND - Ref [5] as applicable to:

a.  ocean towages

b.  24-hour or location moves.

19.7.2  The particular requirements for manoeuvring on and off location may be taken into account whenselecting the towing fleet, unless additional tugs are used for manoeuvring. Similarly additional tugsmay be required when in congested waters or when approaching a lee shore when there may not besufficient time to reconnect a tug after a broken towline or breakdown in the forecast weatherconditions.

19.7.3  Towlines and towing connections shall, as a minimum, be in accordance with Section 13. The

cautions in Section 13.2.8 (for vertical loads) and 13.2.9 (for larger tugs) should be noted.

19.8  SECURING OF LEGS

19.8.1  For ocean transportations, legs shall be properly secured against excessive horizontal movement bymeans of shimming in the upper and lower guides, or by means of an approved locking device. Shimmaterial specification should take into account the pressures expected, particularly for units withguides having a small contact area.

19.8.2  For 24-hour and location moves, leg position and securing arrangements shall be agreed, and shallcomply with designers’ recommendations.

19.8.3  For electric jacking systems, all motors should be checked for torque and equalised in accordance withmanufacturers’ instructions.

19.8.4  Hydraulic and pneumatic jacking systems shall be secured in accordance with manufacturers’recommendations.

19.8.5  For jacking systems fitted with elastomeric pads, clearances should be shimmed or preload applied inaccordance with the manufacturer’s specifications.

19.8.6  For tilt-leg jacking systems, tie bars shall be fitted to by-pass the tilt mechanism.

19.8.7  Where lowering of legs or jacking on a standby location is envisaged during the towage, then any legsecuring arrangements shall be quickly removable.

19.8.8  Where a critical motion curve, or equivalent limitation, is provided for the legs, it may be necessary tolower the legs in order to comply. Instructions and limitations for this operation shall be clearly definedin the Operations Manual, taking into account any lesser motion limitation during the lowering

operation. The lowering operation shall be carried out well before the onset of forecast bad weather.

19.9  DRILLING DERRICK, SUBSTRUCTURE AND CANTILEVER

19.9.1  The drilling derrick, substructure and cantilever shall be shown to be capable of withstanding themotions as derived from Sections 7 and 19.2. For 24-hour and location moves the crown block may beleft in place. For ocean transportations the derrick shall be considered in the condition proposed fortransportation, with the crown block lowered if required. Other machinery and equipment are to besimilarly considered.

19.9.2  For ocean transportations and location moves, no setback shall be carried.

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19.9.3  For 24-hour moves, towage with setback in the derrick may be considered, provided it can bedemonstrated that all of the following apply:

a.  The derrick, with the setback proposed and after suitable allowance for wear, corrosion orfatigue, can withstand the motion criteria derived from Section 19.2.

b.   All pipe, collars and other equipment racked in the derrick are secured to meet the samecriteria.

c.  The seabed conditions at the arrival location are confirmed as presenting virtually zero risk of apunch-through.

d.  The stability of the unit can meet the requirements of Section 19.6.

e.  The carriage of setback in the derrick is clearly documented. The limitations thereof, thesecuring method, and any special precautions shall be clearly stated.

19.9.4  For ocean transportations the travelling block and/or topdrive should be lowered and secured. The drillline should be tightened, and secured against movement.

19.9.5  The cantilever and substructure shall be skidded to their approved positions for tow, and secured inaccordance with manufacturers’ recommendations.

19.10  HELIDECK

19.10.1  For ocean towages, it shall be shown that at an inclination in still water of 20 degrees about anyhorizontal axis, no part of the helideck plating or framing is immersed.

19.10.2   Alternatively, model tests may be used to demonstrate that the helideck remains at least 1.5 m clear ofwave action, in any seastate up to the design seastate as defined in Section 6.

19.10.3  If neither Section 19.10.1 nor 19.10.2 can be satisfied, then all or part of the helideck shall be removedfor the towage.

19.11  SECURING OF EQUIPMENT AND SOLID VARIABLE LOAD

19.11.1  Weight of equipment variable load carried on board shall not exceed the maximum variable loadallowed for jacking.

19.11.2   All items  of equipment above and below decks shall be secured to resist the motions indicated inSections 7 and 19.2.

19.11.3  For 24-hour and location moves, drill pipe, collars and other tubulars shall be properly stowed on thepipe deck and in the bays provided with stanchions erected. Chain lashings over each stack shall beused. See also Section 9.6.

19.11.4  For ocean transportations, drill pipe, collars and other tubulars shall be stowed in the piperacks, to aheight above the rack beams of no more than 1.8 metres. Drill pipes should normally be stowed on top

of collars. Timber battens should be placed between each layer of pipe. See also Section 9.6.19.11.5  For ocean transportations, the well logging unit shall be secured in position and stops fitted to prevent

rotation.

19.11.6   All crane and l ifting derrick booms shall be laid in secure boom rests. For ocean transportations, thebooms should be shimmed or wedged against transverse and vertical movements, but left free tomove axially. Fitted brake systems for prevention of crane rotation shall be implemented. Electricpower shall be isolated at the main switchboard. Cranes shall not be used at sea except in anemergency.

19.11.7  Deepwell and leg well pumps shall be fully raised and secured.

19.12  SPUD CANS

19.12.1  For 24-hour and location moves, the spud cans should normally be full. See also Section 19.6.6  forstability calculations.

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19.12.2  For ocean towages, the spud cans may be full or empty. See also Section 19.6.6. If empty, and if thetowage procedures call for lowering of legs (see Section 19.8.7), then the lowering procedures mustinclude procedures for filling the spud cans.

19.12.3  For dry transports, the spud cans should be empty and vented. Safety notices should be posted at

each spudcan, and at the control panel.

19.13  PUMPING ARRANGEMENTS

19.13.1  For units transported on their own buoyancy, the gener al pumping requirements of Section 15  shallapply. The requirements of Sections 19.13.2 and 19.13.3 shall also apply.

19.13.2   All spaces should be capable of being pumped by the unit’s own pumping systems. Sufficientgenerator capacity should be available to operate bilge and ballast systems simultaneously.

19.13.3   Additionally for ocean towages, 2 no x 3 inch portable, self-contained, self-priming salvage pumps shallbe on board, with not less than 30 metres each of suction and delivery hose.

19.14  MANNING

19.14.1  Units transported on their own buoyancy should usually be manned, and the general manningrequirements of Section 17 shall apply.

19.14.2  Units transported on a barge or vessel need not be manned. However, it may be advantageous forperson(s) familiar with the unit’s structure, machinery and systems to be on board the tug or thetransport vessel, and to inspect the unit periodically.

19.15  PROTECTION OF MACHINERY

19.15.1  Where practical, and where the unit is manned, main and auxiliary machinery should be runperiodically during the transportation.

19.15.2  For ocean transportation, electrical equipment which cannot be run, including motors, switchgear and junction boxes, should have dehumidifying chemicals placed inside, and then be wrapped againstwetting damage. Heaters, where fitted, should be run periodically.

19.16  ANCHORS

19.16.1  The general emergency anchor /risk assessment requirements of Section 16 shall apply.

19.16.2  For ocean towages where anchors are fitted, the forward anchors should normally be removed, andsecured on deck. The aft anchors should be left in place and stopped on the racks to prevent lateralmovement. A retaining wire tightened by a turnbuckle and incorporating a quick-release systemshould be passed through the anchor shackle and secured on deck. The turnbuckle and quick-releasesystem shall be on deck and accessible.

19.17  SAFETY EQUIPMENT

19.17.1  For towages on a unit’s own buoyancy, safety equipment in accordance with SOLAS and any or allregulations for Life Saving Appliances and Fire Fighting Equipment shall be carried. Considerationshould be given to any additional safety and emergency equipment listed in Section 17.4.1.

19.17.2  For ocean towages, it may be necessary to relocate liferafts stowed forward or overboard to a securearea protected from wave action. Securing arrangements for liferafts stowed aft should be checked.

19.18  CONTINGENCY STAND-BY LOCATIONS

19.18.1  Where the towing arrangements envisage jacking up at any intermediate location, suitable procedures

shall be written to cover location feasibility, preloading requirements, airgap requirements, localclearances and Customs formalities etc.

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20  SPECIAL CONSIDERATIONS FOR THE TOWAGE OF SHIPS

20.1  GENERAL CONSIDERATIONS

20.1.1  This Section sets out the technical and marine aspects, which would be considered by GL NobleDenton for approval of the towage of ships, including demolition towages and as appropriate, towagesof FPSOs.

20.1.2  It is recognised that all ships are different and these guidelines are therefore general in nature. Eachspecific approval depends on a survey to identify any particular problems which may exist for thevessel(s) in question.

20.1.3  It is preferred that any towed vessel should be in Class with a recognised Classification Society, andpossess a current Load Line or Load Line Exemption Certificate. It is recognised that for demolitiontowages, the Class and other documentation may have expired, and renewal may be impractical.Minimum certification and documentation requirements are shown in Section 5.

20.1.4  The existence of current classification and certification will be taken into account when determining theextent of survey required.

20.1.5   After carrying out an inspection, and in order to verify that the structural strength and watertightintegrity of the tow is approvable for the intended voyage, the attending surveyor may require one ormore of the following:

a.   An extended, in depth, survey of the vessel structure involving one or more specialistsurveyor(s). Facilities for close-up survey of inaccessible parts of the hull structure may berequired.

b.  Thickness determination (gauging) of specified areas of the vessel structure. This survey maybe in limited areas or extend over large parts of the hull structure. Such surveys shall becarried out by a reputable independent company. An existing survey report may be acceptable

provided that it is not more than 1 year old, and there is no evidence of damage or significantdeterioration since that date.

c.   A GL Noble Denton review of classification society approved scantling drawings.

d.  Calculations to show that the structural strength of particular local areas of the vessel isadequate. The extent of the calculation required to be determined by the results of the surveys.

20.1.6  Should any doubt exist as to the ability of the vessel to complete the proposed towage, after all thenecessary surveys and calculations have been undertaken, a dry dock survey of the vessel may benecessary.

20.1.7   After complying with the requirements of Sections 20.1.2 through 20.1.6 above, GL Noble Denton maydeem that the vessel is unfit for tow and decline to issue a Certificate of Approval. Alternatively the

vessel may only be considered fit for tow after specified repairs or temporary strengthening have beencarried out.

20.1.8  The towage of any vessel which is damaged below the waterline, is suspected of being damagedbelow the waterline or has suffered other damage or deterioration which could affect the structuralstrength will not normally be approved except where it is clearly shown by survey and calculation thatthe strength of the vessel and its watertight integrity is satisfactory for the intended towage.

20.1.9  Passenger ships and warships, because of the complex nature of their systems, pose particularproblems with respect to their compartmentation, and require special consideration. Ro-Ro ships mayalso pose particular problems, on account of the potentially large free surface in the event of flooding.Passenger ships and Ro-Ro ships will generally only be approved for towage if the tow is manned, topermit early intervention in the event of any problems.

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20.3.9  If deemed appropriate an anchor chain from the tow may be used after removal of the associatedanchor. The condition and capacity of the chain shall be assessed with reference to Section 13.2. Ifsuch a method is utilised then appropriate safety measures shall be applied as follows:

a.  Windlass in gear

b.  Windlass brake applied

c.  Chain claw or stopper deployed

d.  Back-up wire to connect chain to base of windlass or other suitable securing point.

20.3.10   A single chain passing through one side fairlead, around a strongpoint such as the windlass base andout of a fairlead on the other side may be approvable. An alternative arrangement may consist of asingle chain passing up one hawse pipe and out of the other. In either case the outboard ends shouldbe made up into a bridle. Each leg should have preventers on the inboard side to stop the chainsliding and it should not interfere with the vessel’s emergency anchoring arrangements.

20.3.11  On a vessel which is not provided with suitable attachments, or where the anchoring arrangements donot permit the single chain method described above, a chain, or a combination of chain and wire may

be positioned around a part of, or the whole superstructure of the vessel and made up into a bridle atthe bow.

20.3.12  Where mooring bitts are utilised to secure chain to the tow, and in order to ensure that the towingarrangement is securely anchored on the vessel and does not slip on the bitts, the chain should bebacked-up to further bitts abaft the main connection points using suitable wire pennants locked intoposition with clips. If such an arrangement is used then the first bitts used must have the requiredultimate capacity, unless positive load-sharing can be achieved. Bitts and fairleads shall be cappedwith welded bars or plates of sufficient strength to prevent equipment jumping off or out of thearrangement.

20.4  STABILITY, DRAUGHT AND TRIM

20.4.1  Stability, draught and trim shall be in accordance with Sections 10.1 through 10.4.

20.5  COMPARTMENTATION AND WATERTIGHT INTEGRITY

20.5.1  Compartmentation and watertight integrity shall be in accordance with Section 10.5.

20.6  ANCHORS

20.6.1   An emergency anchor shall be provided if required as a result of the risk assessment described inSection 16.1 and appropriate access afforded for deployment by one person.

20.6.2  Port and starboard anchor cables shall be properly secured with the windlass brake applied. Anyadditional chain stopper arrangements that are fitted shall be utilised or, alternatively, removable

preventer wires shall be deployed.

20.6.3  Spurling pipes into chain lockers shall be made watertight with cement plugs or other satisfactorymethod.

20.7  SECURING OF EQUIPMENT AND MOVEABLE ITEMS

20.7.1  In general, all equipment shall be secured to meet the appropriate motion requirements of Section 7,and seafastenings of loose items designed in accordance with Sections 8 and 9.

20.7.2  See Section 19.11.6 for securing and use of cranes and lifting derricks.

20.7.3  The rudder shall be positioned in the amidships position, or as agreed with the Tug Master, andimmobilised.

20.7.4  The propeller shaft shall be immobilised, or disconnected, to prevent damage to machinery during thetowage.

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20.7.5  Every effort shall be made to limit the carriage of any loose deck equipment to an absolute minimum.Where equipment must be carried on an exposed deck then it shall be protected and secured againstmovement using welded brackets, chain or wire. Equipment in other areas shall also be secured.

20.7.6  For large equipment, engineering calculations shall be carried out in order to verify that the securing of

items is satisfactory.20.7.7   Additional protection or securing may be required for equipment exposed to wave slam.

20.8  EMERGENCY PUMPING

20.8.1  Emergency pumping arrangements shall be available on the tow, in general accordance with Section15.

20.9  CARRIAGE OF CARGO

20.9.1  The carriage of manifested cargo on the tow shall not normally be approved unless the tow is mannedand is fully classed by a Classification Society, including the possession of a current International Load

Line Certificate.20.9.2  International Load Line Regulations shall be strictly followed. Approval shall not be given to any

towage where the prescribed Load Line draught is exceeded.

20.9.3   A cargo plan shall be provided for agreement by the attending surveyor.

20.9.4  The cargo shall be loaded in a seaman-like manner making proper allowances for load distributionboth during loading and for the duration and route of the towage. Longitudinal strength requirementsshall be complied with.

20.9.5  Bulk cargoes shall be properly trimmed to prevent shifting in a seaway. Shifting boards or otherpreventative methods shall be utilised where appropriate.

20.9.6   All other cargoes shall be secured in accordance with Sections 7, 8 and 9.

20.9.7  Particular attention shall be paid to the securing of scrap steel, which if carried shall be properlyseafastened. If carried in a hold, it shall not be treated as a bulk cargo.

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21  SPECIAL CONSIDERATIONS FOR THE TOWAGE OF FPSOS

21.1  GENERAL AND BACKGROUND

21.1.1  Many of the foregoing guidelines apply equally to the towage of FPSOs, and similar large vessels. Theaim of this Section is to address the specific marine-related issues associated with the towage of theseunits. Although it is recognized that there are many more marine activities in an FPSO development,towage to field is a critical and often long operation, which must be addressed by the project teamearly in the schedule.

21.1.2  Some FPSO developments are ‘fast-track’, resulting in construction and commissioning activities beingcompleted during the tow.

21.1.3  New-build or converted FPSOs usually undertake a limited number of towages only, followingconstruction or conversion. There may be a further towage at the end of their working life.

21.1.4  Frequently the design weather conditions for towage are more severe than the service conditions.

There is a natural reluctance to build in additional strength or equipment which will have no practicalvalue during the service life.

21.1.5  Project-specific fit-for-purpose guidelines must be agreed in each case.

21.2  THE ROUTE AND WEATHER CONDITIONS

21.2.1  Metocean design criteria should be carefully established early in the project, in accordance withSection 6. In many cases, the field’s operational criteria may be less onerous than the tow-to-fieldcriteria, so temporary-phase operational limits may define structural load cases and equipment motioncriteria.

21.2.2  Mitigation of the design extremes may be achieved by the use of a staged towage, in accordance withSection 6.3.

21.2.3  In such cases the towage route must be planned to incorporate a series of safe-havens, meaningsheltered locations where the tow can safely ride out severe weather. It may also be necessary toidentify suitable bunker ports. These requirements may conflict with the requirement for adequatesearoom, and such conflicts should be resolved.

21.2.4  Passage through restricted or busy waters should be considered, and the need for appropriateadditional tugs determined.

21.3  STRUCTURAL ISSUES

21.3.1  FPSOs are intended to remain at sea without dry-docking for their entire working life, usually in theorder of 20 years. In this respect the integrity of the hull must be maintained and precautions taken to

ensure no damage occurs during the tow. A commercial vessel is usually assumed, for designpurposes, to spend about 20% of its life in port, and is periodically dry-docked. These differencesplace much greater emphasis on the reliability, integrity and quality of the hull including its coating.These qualities must not be compromised during the tow other than by reasonable wear and tear.

21.3.2  For long towages, fatigue damage may need to be considered.

21.3.3  The capability of the FPSO to withstand design towage conditions shall be demonstrated. Checksshould include hull girder strength, local plating strength, operating limit states for process equipmentincluding rotating machinery.

21.3.4  Equipment foundations shall be designed for the temporary phase operations. Fatigue damage to theconnections between the topsides and hull should be considered.

21.3.5   Any temporary equipment aboard shall be secured to withstand the design conditions. If construction,

completion, or commissioning work is performed during tow, then all the scaffolding, temporary powerpacks, work containers etc shall be installed to withstand the design criteria. Any scaffolding or othertemporary works which cannot comply with the design criteria shall be dismantled or removed.

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21.6  TOWING EQUIPMENT

21.6.1  Requirements for assisting tugs to provide additional manoeuvring control, and to assist with berthingor connection to the permanent mooring system shall be assessed for:

a.  Departure

b.   Any intermediate ports

c.   Any shelter areas

d.  Bunkering

e.   Arrival.

21.6.2  The towing equipment shall be configured to accommodate additional and assisting tugs and to allowconnection and disconnection when required. These activities may dictate the equipment on board theunit. For example, tugger winches, davits or cranes could be needed.

21.6.3   As noted in Section 21.5, FPSOs may exhibit a lack of directional stability during towage. There are

two key tow-gear-related issues to address this problem and minimise the risk of gear failure:a.  The towing brackets on the vessel need to be wide-spaced, preferably more than one-half of

the beam

b.  The chafe chains should be generously oversized (typically +50%) to allow for accelerated wearduring the voyage.

21.6.4   At least one emergency towline is mandatory, and means to recover each bridle after any breakageshall be provided. The possible manning of the vessel will influence the type and location of anyrecovery gear.

21.7  SELF-PROPELLED OR THRUSTER-ASSISTED VESSELS

21.7.1  In some cases, the FPSO may have its own propulsion, which may be either the original ship’s systemor thruster units to be used in service. If these are to be used for the voyage to site, the vessel mustcomply fully with all regulatory requirements.

21.7.2  The specification of the thruster units, power supplies and manning should be reviewed, to ensure thatthey are compatible with the voyage requirements.

21.7.3   A risk assessment shall be undertaken to determine the need for assisting tugs.

21.8  MANNING AND CERTIFICATION

21.8.1  Most FPSOs are not classed as ships during their service life. The documentation set out in Section 5 shall be provided.

21.8.2  If the towage is to be manned, then the requirements of Section 17 shall be considered.21.8.3  Regardless of the presence of construction or commissioning personnel, a dedicated marine riding

crew is recommended, as shown in Section 17.1.4.

21.8.4  In all cases, whether manned or unmanned, the unit must be fitted with appropriate means of boarding,in accordance with Section 13.14.

21.9  EMERGENCY ANCHOR

21.9.1  The general emergency anchor requirements of Section 16 shall apply.

21.9.2  FPSO mooring systems (whether turret-type or spread), being only for in-place conditions, are notconfigured to act as emergency moorings during transit. On a conversion the permanent anchors will

often be removed. For many designs the deck space where an emergency anchor might be sited istaken up with the permanent mooring equipment.

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21.10  MOORINGS & UNDER KEEL CLEARANCE

21.10.1  The need for moorings before, during or immediately after the towage shall be considered. Design andlayout of such quayside moorings should be incorporated into the overall arrangement of the vessel as

described in Section 16.7.21.10.2  Wherever an FPSO hull is moored in shallow water, a minimum of 1m underkeel clearance must be

maintained at all levels of tide for the duration of the vessel’s stay in a particular location. Theclearance should be calculated after consideration of:

a.  Lowest predicted astronomical tide,

b.  Maximum negative surge

c.  Other environmental factors,

d.  Weight growth due to construction activities and loading of modules,

e.  Ballast, trim and heel changes,

f.  Bottom protrusions,

g.  Hull girder bending,

h.  Water density,

i.  Squat (when moored in a river or tidal stream),

 j.  Seabed conditions.

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22.2  VESSEL ICE CLASSIFICATION

22.2.1  The tug(s) and towed vessel shall have an appropriate ice classification or equivalent for transitthrough the anticipated ice conditions identified in the Tow Plan and verified by GL Noble Denton.

22.2.2  The International Association of Classification Societies (IACS) introduced “Requirements concerningPolar Class” in 2007 [Ref 23] which came into effect on ships contracted for construction on and after 1March 2008. These are described in the following Table:

Table 22-1 Polar Class Descriptions 

Polar Class Ice Description (based on WMO Sea Ice Nomenclature)

PC 1 Year-round operation in all Polar waters

PC 2 Year-round operation in moderate multi-year ice conditions

PC 3Year-round operation in second-year ice which may include multiyear iceinclusions

PC 4 Year-round operation in thick first-year ice which may include old ice inclusions

PC 5Year-round operation in medium first-year ice which may include old iceinclusions

PC 6Summer/autumn operation in medium first-year ice which may include old iceinclusions

PC 7Summer/autumn operation in thin first-year ice which may include old iceinclusions

22.2.3  The following tables summarize the previous nominal ice classification equivalencies for someclassification societies and regulators.

22.2.4  It is important to note that the structural requirements of various classification societies are differentand that many requirements have changed substantially over the years so that the ‘equivalencies’shown in the tables should only be used for general guidance. This may result in a vessel’s icecapability being interpreted by GL Noble Denton to be different to that indicated by the table.

22.2.5  Vessels classed as Ice breakers:

Table 22-2 Previous Icebreaker Classifications

Operating Criteria

PolarClasses

Russian LRSCanadian

Arctic ClassCASPRR

DNV Typical WMO icetype & thickness

capability

Icethickness

PC 5Ice 05

Winter ice withpressure ridges

0.5 m

PC 4

(LL4)LU6

C1 CAC4

Ice 10 1.0 m

Ice 15

Thick first year icewith old ice inclusions 1.5 m

PC 3

(LL3)LU7

 AC1.5 CAC3Polar 10

PC 2(LL2)LU8

 AC2 CAC2 Polar 202.0 m

PC 1(LL1)LU9

 AC3 CAC1 Polar 30

Multi-year ice floesand glacial ice

inclusions3.0 m

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22.2.6  Vessels classed For Ice Navigation:

Table 22-3 Previous Vessel Ice Classifications

Canada

(ASPPR) GL Russian ABS BV DNV LRS

Typical WMO ice type

and thickness capability

E E(L4)LU

D0 1D Ice C 1DGrey

(0.0 m - 0.15 m)

D E1(L3)LU2

1C 1C 1C1C

(Ice 3)Grey white

(0.15 m - 0.3 m)

C E2(L2)LU3

1B 1B 1B1B

(Ice 2)Thin first year (1st stage -

0.3 m - 0.5 m)

B E3(L1)LU4

1A 1A 1A1A

(Ice 1)Thin first year (2nd stage -

0.5 m - 0.7 m)

 A E4(UL/ULA)

LU51AA

1ASuper

1A*1A

SuperMedium first year(0.7 m - 1.2 m)

For Russian Classes L-ICE U-REINFORCED A-ARCTIC

22.3  TOWAGE WITHOUT INDEPENDENT ICEBREAKER ESCORT

22.3.1  Where no independent icebreaker escort is identified in the tow-plan for the intended voyage, the tugand tow must be of appropriate ice classification and power to maintain continuous headway in theanticipated ice conditions. When a tow is anticipated to take more than three (3) days (the maximumfor a reasonably accurate weather/ice forecast) or longer in ice conditions that includes a concentrationof five (5) tenths or more of limiting ice types, the tow-plan must indicate the location of the nearesticebreaker support and the anticipated time before independent icebreaker assistance (Coast Guard orCommercial) can be provided.

22.3.2  With the exception of a vessel pushed ahead (push-towed), the ice classification requirement for thetowed object may be considered for reduction if it is determined that the tug has a higher thannecessary level of ice classification and can protect the tow from potentially damaging ice interaction.

22.3.3  CONVENTIONAL TOW OPERATIONS:

a.  the tug must have sufficient power and hull strength (ice classification) to be capable of safelymaintaining continuous towing headway through the worst anticipated ice conditions including, ifnecessary, the breaking of large diameter floes and deformed ice with no requirement forramming and:

b.  the tow-plan must show that the towage should not be subjected to ice pressure.

22.3.4  CLOSE-COUPLE TOWING OPERATIONS

22.3.4.1  Close-couple towing is an operation that allows a specially designed icebreaker to combine towing andicebreaking assistance. The stern of the icebreaker has a heavily fendered ‘notch’ into which the bowof a ship is pulled by the icebreaker’s towline. The towline remains attached and the icebreakersteams ahead, usually with additional power provided by the towed vessel in the notch. In this way anicebreaker can tow a low-powered and low ice classed ship quickly (up to 3 times faster thanconventional towing in ice) and safely (better protection of the towed vessel and less risk of collisiondue to over-running) through high concentrations of difficult ice. For close-couple towages: 

a.  The beam of the icebreaker must be more than that of the towed ship in order to avoid shoulderdamage to the towed vessel and excessive towline stress and:

b.  The icebreaker is fitted with a constant tension winch or equipment that will reduce the effects

of shock-loading:c.  The bow of the towed ship must be compatible with the notch design of the icebreaker.

Preferably the entrance of the towed ship is not so sharp as to apply excessive force on the

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22.5  MANNING

22.5.1  In addition to Section 12.13 concerning manning, special consideration should be given to the number,qualification and experience of personnel required on the navigating bridge to ensure safe navigationincluding steering and engine control, lookout, operation of searchlights and, emergency operation of

the towing winch abort system.22.5.2  The master in charge of a tow (tow-master) should typically have at least 3 years experience of towing

in ice conditions similar to those anticipated for the proposed towage. Other navigating officers on tugsinvolved in a towage in ice should also have previous experience of towages in ice.

22.6  MULTIPLE TOWS AND MULTI-TUG TOWS

22.6.1  Multiple Towages in ice are subject to the appropriate provisions set out in this section regarding iceclassification, equipment and suitable propulsion power as well as the general provisions (particularlythose presented in Section 18). However, only in exceptional circumstances of very light ice and/orvery low ice concentration (trace) will a Double Tow (Section 18.1.1) or a Parallel Tow (Section 18.1.4)be considered for approval. An in-depth risk assessment would be required and the risks shown to be

acceptable.

22.6.2  In addition to the provisions presented in Section 18 concerning towing operations that use more thanone tug or multiple tows: 

a.  To avoid collision or over-running  each tug shall have a quick release and re-set system asdescribed in Sections 22.7.2.1 and 22.7.2.2.

b.  The most experienced tug Master shall be designated as the tow-master and give directions tothe other vessels. All other tug Masters and senior navigating officers involved in the multi-tugtowage should have an appropriate level of experience of towing in ice and be familiar with theassociated difficulties and hazards.

c.   A multi-tug tow-plan that is presented to GL Noble Denton for approval that does not include

independent icebreaker escort assistance shall demonstrate clearly why it is not considerednecessary. As an acceptable example, the tow could be configured such that one or more tugswith the capability to perform ice management (escort duties) can be released, and theremaining tug(s) have sufficient BP to continue making towing progress. In somecircumstances a tow-plan can include the contingency of releasing one or more tugs that aretowing in the conventional manner to push-tow provided that:

  the towed vessel is appropriately ice strengthened:

  the towed vessel is appropriately designed and strengthened in the pushing location(s):

  the tugs are designed and adequately fendered for pushing:

  such action would only be considered in a high ice concentration where there is no

influence by sea or swell.

d.  When two tugs are towing in series as described in Section 18.6 in an ice infested area, specialattention shall be given to the strength of the towing connections on the foredeck of the secondtug in case it is necessary for the lead tug to break through ice floes of varying thickness thatmay cause shock-loading.

e.   A tandem tow of barges as described in Section 18.4.2 is sometimes referred to as ice-coupled.Where the presence of ice increases the potential for rapid changes to the towing speed, thistype of close connection necessitates good fenders to be in place between each unit in the tow.

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22.7  TOWING EQUIPMENT

22.7.1  GENERAL

22.7.1.1  The towing techniques that are used in ice typically require a short distance between the tug and towto increase manoeuvrability and so that the propeller wash from the towing vessel can assist inclearing ice accumulation around the bow of the towed vessel. Because of the short towing distanceand reduction of towline catenary it is necessary for the towing arrangement to be suitable for theadditional stress that can be experienced. The stress on the towing arrangement can varyconsiderably with:

a.  the thickness and concentration of ice as well as ice pressure,

b.  the difference in beam between the tug and tow resulting in ice interaction on the shoulders ofthe towed vessel and ice accumulation in front of the tow as well as the use and effectivenessof independent icebreaker escort and

c.  large heading deviations due to manoeuvring through and around ice and

d.  unintentional tug interaction with heavy ice floes which can result in shock-loading to towingcomponents due to whiplash and the tow taking charge.

It is for these reasons that additional provisions concerning towing equipment strength, type andconfiguration are necessary.

22.7.2  ADDITIONAL EQUIPMENT REQUIREMENTS FOR TOWING IN ICE

22.7.2.1  In addition to Section 12.5 (Tow-line Control), a tug involved in towing in ice infested waters must befitted with an operational towline quick release/reset system (tow-wire abort system):

a.  when towing in ice that could rapidly reduce towing speed or

b.  when a tug is involved in a multiple tow orc.  when a tug is involved with a multi-tug tow.

22.7.2.2  The towline quick release system should be capable of immediate winch brake release for pay out oftow-wire as well as winch brake re-set from the navigation bridge and the winch control station (ifdifferent).

22.7.2.3  With reference to Section 12.9, a tug involved in a towage in ice should be fitted with at least twosearchlights that can be directed from the navigation bridge.

22.7.2.4   As recommended in Sections 12.11.2 and 13.16, every tug that is towing in ice shall be equipped withburning and welding gear for ice damage control and repair.

22.7.3  STRENGTH OF TOWLINEWith reference to Section 13.2.1 (a):

22.7.3.1  For a tug that is planning a conventional single towline towage in ice the Minimum Towline BreakingLoad (MBL) should be computed as follows:

Table 22-4 Minimum Towline MBL in Ice

Bollard Pull (BP) MBL (tonnes)

BP ≤ 40 tonnes 3.7 x BP + 12

40 < BP ≤ 90 tonnes (4.2 – BP/50) x BP + 24

BP > 90 tonnes 2 x BP + 60

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22.7.3.2   An exception can be made for short tows in very thin ‘new’ ice or in very low concentrations (<3/10ths)of medium or thick ‘rotten’ ice. In these circumstances the Minimum Towline Breaking Load (MBL)should be computed as shown for a ‘non-benign’ tow in Section 13.2.

22.7.3.3  The strength of all other towing connections and associated equipment should be appropriately

calculated as required by the provisions of Section 13.2.

22.7.3.4  Further, ALL tugs involved in a towage in ice must carry a spare tow-wire of the same length andstrength as the main tow-wire that is immediately available on a reel to replace the main tow-wire. Inaddition, there must be enough competent personnel, equipment and spares on board to crop and re-socket the main tow-wire at least once.

22.7.4  SPECIAL CASES OF REDUCED TOW-WIRE STRENGTH

22.7.4.1  The minimum size of tow-wire that is typically used by icebreaking tugs of 160te BP for close-coupletowing is for example, 64mm EIPS rove through a multiple sheave floating ‘Nicoliev Block’ system. Inthis system a single bridle wire, usually of the same size and strength as tug's main tow-wire, is madefast to each bow of the vessel being towed.. The tow-wire goes from the towing winch to the floating

block on the bridle and back via a fairlead to a towing damper on the tug. For larger powered tugs, thetow-wire may be doubled up again by passing the wire through a standing block on the tug’s deck andaround a second sheave on the floating block before it is made fast to the towing damper. This makesthe bridle wire the ‘weak link’ in the system and because of this an icebreaking tug shall carry sufficientspare bridle wires, typically at least 6.

22.7.4.2  To meet the minimum towline strength criteria a tug that has an appropriate bollard pull may, inexceptional circumstances, be considered for approval of a conventional towage in calm waterscontaining ice using two towlines provided that:

a.  Each of the two independent towlines is a minimum of 90% of the required strength and

b.  Each tow-wire is on a separate towing winch that can be adjusted, quick released and resetindependently from the other and

c.  Each tow-wire meets the requirements of a single tow-wire in terms of minimum length,construction etc. and

d.  Each tow-line has a monitoring system to enable load sharing.

22.7.5  TOWING WINCHES

22.7.5.1  Towing winches are required due to the typical manoeuvring restrictions and hazards that are inherentto towing in ice. Towing hooks do not allow for the rapid adjustment of towline length.

22.7.5.2  Each towing winch should have sufficient pull to allow the towline to be shortened under tension.When possible, the navigating bridge and winch operator should be provided with continuous readoutsof towline length deployed and towline tension.

22.7.5.3  Winch controls and winch operating machinery should be suitably protected from environmentalconditions, particularly low temperatures that can result in winch malfunction.

22.7.5.4  Towing winches shall have a quick release and re-set system as described in Sections 22.7.2.1 and22.7.2.2.

22.7.6  CHAIN BRIDLES

22.7.6.1   A chain bridle is typically used for a towage in ice with a chain pigtail connected to a ‘fuse wire’ ordirectly to the towline. In some circumstances where high shock loads are anticipated, an extra longchain pigtail may be considered appropriate. Wire pennants and bridles are sometimes used for smallbarge and vessel tows, especially when the close-couple or ice-couple towing technique is anticipated.

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22.7.7  SYNTHETIC ROPE

22.7.7.1  Synthetic rope is prone to rapid cutting both internally by ice crystals and externally by ice edges andtherefore is not approved for use in a towing system for an in-ice towage. Sections 13.8.2 and all partsof Section 13.9 do not apply in ice transits or in very low temperatures where icing can occur.

22.7.8  BRIDLE RECOVERY SYSTEM

22.7.8.1  In addition to the requirements of Section 13.10:

a.  To reduce direct ice interaction and disconnection of the bridle recovery wire, the wire should belightly secured to one leg of the bridle and the end shackled onto the apex or a chain link closeto the apex of the tri-plate.

b.  The fuel mentioned in Section 13.10.2 for a motorized recovery winch shall be appropriate forthe anticipated temperatures. 

22.7.9  EMERGENCY TOWING GEAR

22.7.9.1  With reference to Section 13.11, special arrangements may be required for the emergency towing

gear, especially on an unmanned tow proceeding in ice. For all towages in ice the emergency towinggear should be fitted and arranged to tow from the bow unless it can be shown that the object beingtowed is designed for multi-directional towing.

22.7.9.2   A floating line and pick-up buoy are susceptible to being cut and lost or snagged by ice and pulledclear of the soft lashings or metal clips. It is recommended that a different arrangement is employed inhigh concentrations of ice. For example, an intermediate wire may be attached to the end of theemergency tow-wire and lightly secured to a pole extended astern at least 5 metres. The eye of theintermediate wire is suspended above the surface of the ice approximately 1 metre above the aftworking deck of the tug where it can be captured for connection to a tugger-winch wire. The float lineand pick-up buoy are shackled to the emergency tow-wire in the same way as described in Section13.11.2, but remain coiled on the deck of the tow for deployment once the towage arrives in open

water.

22.7.10  ACCESS TO TOWS

22.7.10.1  With reference to Section 13.14, whether a tow is manned or not, suitable access must be provided.For towages in ice, a permanent steel ladder should be provided at the stern from the main deck to justabove the waterline. As discussed in Section 13.14.2, ladders, particularly side ladders should berecessed to avoid ice damage. A tug workboat should carry suitable equipment to de-ice recessedaccess arrangements and ladders to tows. Pilot ladders used as a short term alternative should beclosely inspected for ice damage before being used. Typically, a pilot ladder secured at the stern ofthe tow is subject to the least amount of ice interaction.

22.7.11  TOWING EQUIPMENT CERTIFICATION AND SPECIAL PRECAUTIONS

22.7.11.1   As described in Section 13.12, all equipment used in the main and emergency towing arrangementsfor a towage in ice shall have valid certificates. Special precautions are necessary for equipment thathas been, or will be, used in extremely low temperatures. Regardless of anticipated temperaturesduring the proposed towage, a GL Noble Denton surveyor may request to have sockets, chains,flounder plates and shackles used in the towing process non-destructively tested (NDT). Based on theresults of a visual inspection of the tow-wire, the surveyor may also require that the tow-wire is croppedand re-socketed prior to the towage.

22.7.12  RECOMMENDED SAFETY EQUIPMENT FOR THE WORKBOAT

22.7.12.1  In addition to Section 12.6, sufficient Arctic survival suits shall be carried on board the tug for allpersonnel that may be operating the workboat and personnel transferred to the tow by the work boat.

These additional survival suits should be fitted with hard soled boots, belts and detachable gloves.

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22.8  TUG SUITABILITY

22.8.1  The tug shall have a bollard pull appropriate for the anticipated ice and weather conditions. Thecalculated BP should never be less than that necessary for an open ocean towage, as shown inSection 12.2.

22.8.2  OVERSIZED TUG

22.8.2.1  For all towages in ice, Section 13.2.10 concerning towing connections does not apply. In the case ofan oversized tug (in terms of TPR) all connections should be at least equal to the MBL of the tow-wirein use. The tow-master must be fully aware of any strength reduction to the connections, carryadequate replacement spares and the towing procedures should identify the maximum power settingthat may be applied.

22.9  CARGO LOADINGS

22.9.1  Special attention should be given to cargo overhangs on a case-by-case basis.

22.9.2  In general, cargo overhang for a towage in ice will not be approved unless it can be shown that thecargo is adequately protected such that no ice interaction can occur.

22.9.3  To determine the potential for ice interaction, calculations must show that the cargo has at least threemeters clearing height above the maximum height of ice deformity that can be experienced during thetow. In all ice concentrations this minimum clearing height will be maintained in all conditions of roll,pitch and heave (see Sections 7  and 8). Due to the potential for ice impact and resulting  damage cargo overhang cannot be allowed to immerse under any circumstance, so that Sections 7.6, 8.5,10.1.4 and 10.1.5 are not applicable.

22.10  SEA-FASTENING DESIGN AND STRENGTH

22.10.1  The motions of a vessel transiting through low concentrations of ice should be assumed to be as

severe as those experienced in clear open water storm conditions. Swell waves can persist for manymiles even into an ice edge of very high ice concentration. In high ice concentrations where no wavesare evident, impact or over-running of thick ice floes can cause sudden deceleration, headingdeflections, listing and rolling of the tow. For these reasons the strength of cargo and sea-fasteningsfor transportation in ice conditions should be of appropriate design and not less than that required forunrestricted transportations in non-benign areas - see Sections 7 and 8. The cargo mass shall includethe effect of ice accretion calculated in accordance with the IMO Intact Stability Code [Ref. 17],Chapter 5.

22.10.2  INSPECTION OF WELDING AND SEAFASTENINGS

22.10.2.1  With reference to Section 9.7, consideration of special welding procedures and techniques may benecessary for sea-fastenings installed in very cold temperatures.

22.10.3  PIPES AND TUBULARS

22.10.3.1  With reference to Section 9.6.4 - stress on pipes in a stack, and Section 9.6.10 - open ended pipes,special consideration should be given to pipes filling with ice due to freezing spray and/or wave actionin low temperatures and the potential to overstress lower levels of pipe, seafastenings and deckstructures. The effect on the vessel stability should also be considered.

22.11  STABILITY

22.11.1  Stability calculations for vessels, including tugs and tows, operating in very cold temperatures and inice conditions shall be submitted to GL Noble Denton for review against the IMO Intact Stability Code[Ref. 17], Chapter 5.

22.11.2  The intact range of stability of a towed vessel (see Section 10.1.1) shall never be less than 36 degrees,including inland and sheltered towages.

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22.11.3  For transit in ice-infested waters, the statement in Section 10.1.4 of these guidelines shall be modifiedto read ‘Cargo overhangs shall be such that no immersion is possible in the anticipated environmentalconditions’.

22.11.4  Section 10.1.5 referring to buoyant cargo overhangs does not apply to transits in ice.

22.11.5  In addition to the requirements of Section 10.2.1, towed objects shall have positive stability with anytwo compartments flooded or broached.

22.11.6  The damaged stability relaxations for towed objects referenced in Sections 10.2.4 and 10.2.5 do notapply in any area where ice interaction can occur. See also Section 10.2.7.

22.11.7  The integrity of all underwater compartments of a tug and compartments subject to down-flooding mustbe safeguarded from flooding by watertight doors and hatches that access such compartments. This isa critical requirement for an approval to conduct a towage in ice. All compartment accesses must bechecked for watertight integrity and kept closed at all times throughout the towage.

22.11.8  The draughts mentioned in Section 10.4.4  are the minimum for open water operations. In an iceenvironment, additional consideration must be given to the location of any specially strengthened ‘icebelt’ and to the exposure of areas vulnerable to ice damage such as propulsion and steering

equipment that may require specific and/or deeper overall ice transit draughts.22.11.9   A vessel being towed or pushed (regardless of being self propelled) shall not be excessively trimmed.

On manned tows the trim should be appropriate to provide watch personnel with as much forwardvisibility as possible for observation of approaching ice conditions and the movements of other vesselsinvolved in the towage to reduce the potential for ice impact and/or collision damage.

22.12  BALLASTING

22.12.1  Ballasting of the forepeak (to above the waterline) of a tug and towed vessel is done to assist with iceimpact load dispersal. This also provides protection against developing excessive trim by the head inthe event that a forward compartment is breached by ice and flooded. In addition, the emptying of aballasted forward compartment can assist with exposing damage for emergency repair or to raise the

damaged area clear to avoid continued ice interaction and escalation of damage.22.12.2  Special precautions should be taken to avoid structural damage caused by pressurizing compartments

when ballasting and deballasting due to water freezing in tanks or inside tank vent pipes. This is inaddition to the freezing of tank vents from coating with freezing spray in very low temperatures.

22.13  VOYAGE PLANNING

22.13.1  In addition to the requirements listed in Section 14, a written voyage plan or tow-plan should besubmitted for review and comment by GL Noble Denton in advance of a proposed towage in an ice-infested region.

22.13.2  The plan should include: 

a.   A general description of the proposed voyage (manned/unmanned towage etc)b.  Tug and tow particulars including ice classifications and certification

c.  Research documentation indicating the anticipated ice/weather conditions

d.  Routeing including shelter and holding locations

e.  Navigation and communications equipment appropriate for the region

f.  Summary of tow-master and senior officer experience

g.   Arrangements for receiving weather and ice information and/or routeing

h.  Voyage speed and fuel calculations including any bunkering requirements and procedures tocomply with National regulations

i.  Contingency fuel, hydraulic & lubricating oils of suitable viscosity for the low ambienttemperatures

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 j.  Main and emergency towing arrangements and certification

k.  Stability calculations and location of all cargoes, consumables, ballast and pollutants for the tugand tow

l.  Sea-fastening (cargo securing) arrangements

m.   Arrangements for assist tugs for docking etc and for ice management as required

n.  Damage and pollution control equipment as applicable

o.  Contingency procedures for ice damage, tug breakdown, fire, broken tow, man overboard andthe nearest icebreaker assistance.

22.13.3  In addition to the list in Section 14.5.1, prior to departure the tow-master of an unmanned towageshould be supplied with the appropriate drawings that indicate the basic structure, watertightcompartments, ballast system, cargo securing arrangements on the tow, and manuals that provide thetug crew with operating procedures for emergency equipment such as ballast pumps (see Section 15),

the emergency generator, the emergency anchor system and the tow bridle retrieval system.

22.13.4  RE-FUELLING THE TUG

22.13.4.1  The tow-plan should indicate the calculated fuel usage during the tow for the required power in theanticipated ice conditions.

22.13.4.2  For the portion of the voyage that will be carried out in ice conditions, in addition to the times listed inSection 6.2.2  - the operational reference period, and Section 6.7 – calculation of voyage speed, theplanned duration will include:

a.  typical towing speeds of not more than 2 knots in ice covered areas as a conservative estimatewhere the actual towing distance is unlikely to be direct. A towing speed of 5 knots may beused where it can be shown that the tow will only encounter very thin new ice or alternatively

very low concentrations (<3/10ths) of thick rotting ice and:

b.  waiting for appropriate ice conditions for departure, transit and arrival and:

c.  up to 25% additional fuel (and other consumables) may be required (see Sections 6.2  and12.12).

22.13.4.3  The tow-plan must indicate compliance with the International, National and Local regulations andguidelines concerning the carriage of oil cargoes, the allowable quantity and distribution of fuel oil orany other pollutant or dangerous cargo. In addition, where a tow-plan indicates the requirement to re-fuel the tug from the tow or from another vessel this will normally require special approval from aNational authority and also require that the tug carries appropriate pollution containment and clean-upequipment. The re-fuelling approval from the appropriate jurisdiction, as well as the re-fuelling

procedure and equipment, shall be provided in the tow-plan for review.

22.14  WEATHER /ICE RESTRICTED OPERATIONS

22.14.1  In addition to the requirements of Section 6.3, for a towage in an ice infested area, dependable iceforecasts must be available and the tug must have appropriate equipment on board to receive iceinformation including ice maps, bulletins, advisories and forecasts.

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22.15  DAMAGE CONTROL AND EMERGENCY EQUIPMENT

22.15.1  Special consideration should be given to the remoteness of the area and the anticipated ice conditionswhere a towage will take place to determine the availability of emergency response, assistance and

equipment. In addition to the damage control equipment listed in Section 13.16, additional equipmentis recommended for a towage in ice: 

a.  Portable generator

b.  Portable compressor

c.  Portable salvage pump(s)

d.  Bracing shores

e.  Portable de-icing equipment

f.  Space heaters

g.  Extension ladders

h.  Chain falls

i.  Collision mat materials.

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23  SPECIAL CONSIDERATIONS FOR CASPIAN SEA TOWAGES

23.1  BACKGROUND

23.1.1  For the purposes of these guidelines the Caspian Sea has been divided into the shallow Northern area(North of 45oN latitude as shown in Figure 23.1), an Intermediate area between 45oN and Kuryk(approximately 43oN), and the Southern area. The Intermediate area has been introduced for vesselstravelling between the Northern and the Southern areas with relaxations subject to suitable weatherrouteing.

Figure 23-1 Northern Caspian Sea areas

INTERMEDIATE AREA  Aktau

 Astrakhan

43oN

Kuryk

45oN

 Astrakhansea buoy

10m WD

Bautino

5m WD

NORTHERN AREA

4

23.1.2  The Northern area contains 25% of the total Caspian Sea area but only 5% of the water volume. Theshallow water (typically 3 to 5 m deep, and very rarely more than 10 m) is a feature of the area whichleads to the ready formation of ice in the winter months. Although winds can be very strong, the limitedfetches and shallow water do not allow significant wave heights above about 3.5 to 4 metres.

23.1.3  Because the water level depends on river inflows balancing the evaporation, there are long term andseasonal rises and falls in the mean sea level and seawater density. As at 2005, the mean sea level(MSL) was 27 metres below Baltic Datum (equivalent to global mean sea level) and 1.0m aboveCaspian Datum.

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23.1.4  The whole Caspian Sea suffers from a large number of unmarked fishing nets which provide a serioushazard to tugs which can be immobilised by these nets fouling their propellers. Therefore singlepropeller tugs are not recommended, unless there are suitable additional (redundant) tugs inattendance to replace them.

23.1.5  Many of the tugs found in this region are pusher tugs which should not be used for pushing in openwaters.

23.2  REQUIREMENTS WITHIN NORTHERN CASPIAN SEA

23.2.1  GENERAL The following departures from the requirements shown in Sections 5 to 22 of theseguidelines may be accepted for tows that take place totally within the Northern area (North of 45oNlatitude).

23.2.2  BOLLARD PULL REQUIREMENTS Because of the limited wave heights (due to the shallow water)the meteorological criteria for calculating the Towline Pull Required (TPR) referred to in Section 12.2.7,when there is no ice, may be taken as:

Hsig  = 2.5 m

Wind = 20 m/sec

Current = 0.5 m/sec

provided that the tow will have adequate sea room after the initial departure. If there will not beadequate searoom, then Section 12.2.2 will apply.

4

23.2.3  TOWLINE LENGTHS Because of the very shallow water depths and limited wave heights theminimum towline lengths required in Section 13.3.1 may be reduced within this area as follows. Theminimum length available for each of the main and spare towlines (L) shall be determined from the“European” formula:

L > (BP/MBL) x 1,200 metresexcept that in no case shall the available length be less than 200 metres.

23.2.4  TOWLINE STRENGTH Because of the short towlines there will be little catenary to absorb shockloads in bad weather. Unless other methods of reducing the shock loads are used, the towline MBLshall be increased in line with Section 13.3.2. As an example, a deployed towline length of 200m willrequire a towline MBL of 6 (=1,200/200) times the continuous static bollard pull. The towingconnection capacities in Section 13.2.1 b shall be related to the increased required towline MBL.

23.2.5  TOWING CONNECTIONS Suitably positioned, purpose-built  quick-release towing connections arepreferred. Where bollards have to be used as the towline connection:

  The capacity of the bollards and their foundations must comply with the requirements of Section

13.4.

  Suitable fairleads and anti-chafe arrangements must be used.

   A keeper plate, capping bar or other means of keeping the towing bridle connected to thebollards must be provided and this must be suitable for any vertical loads likely to beencountered.

  The design must also allow for quick release of the keeper plate, capping bar or another provenmethod to rapidly clear a fouled bridle.

23.2.6

23.2.7  WORKBOAT  A twin screw tug fitted with a bow thruster and two anchors in accordance with Classrequirements may be exempt from the requirement for a workboat in Section 12.6 provided the voyage

can be completed within a favourable weather forecast. The tug must also be able to come alongsidethe barge at sea so that crew can board with any necessary equipment for pumping, repairs, droppingthe barge’s anchor or reconnecting a towline.

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23.2.8  BUNKERS  The requirement for 5 days reserve in Section 12.12 may be reduced to 3 days (pumpablereserve) provided that:

  the towage can be completed within a good weather forecast period, and

  there are suitable bunkering ports within 3 days sailing at all times, and  there are suitable tugs available to take over the tow if required during a diversion for refuelling.

23.2.9  TOWAGES IN ICE Section 22 applies.

23.3  REQUIREMENTS FOR REMAINING CASPIAN SEA AREAS

23.3.1   All tows in this area should follow the requirements in Sections 5 to 22 of these guidelines forunrestricted ocean tows outside benign weather areas, as applicable.

23.3.2  In addition, tugs with a single propeller are not recommended, unless there are suitable additional(redundant) tugs in attendance to replace them.

423.4  REQUIREMENTS FOR TOWAGES BETWEEEN CASPIAN SEA AREAS

23.4.1  Many shallow draft tugs that are designed for working in the shallow Northern area will be unable tocarry towing gear suitable for towing in the Southern area. When it is not practicable for towages tochange tugs when travelling between these areas whilst within the intermediate area defined in Section23.1.1, and subject to suitable weather routeing, the following relaxations may be accepted:

  Deployable towline length to be at least 400 m, and

  Towline and towing connection strength requirements of Sections 22.3.4 and 23.2.5 will apply,and

  Minimum bollard pull requirements as in Section 23.2.2.23.4.2  Weather routeing will include:

  Voyage planning to avoid travelling too close to a lee shore and to identify sufficient suitablesafe places of shelter for different weather directions, and

  Receipt of regular marine weather forecasts and a commitment to go to a suitable safe place ofshelter on receipt of a bad weather forecast.

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REFERENCES

[1]  GL Noble Denton document 0009/ND - Self-Elevating Platforms - Guidelines for Elevated Operations

[2]  GL Noble Denton document 0013/ND - Guidelines for Loadouts[3]  GL Noble Denton document 0015/ND - Concrete Offshore Gravity Structures - Guidelines for Approval of

Construction and Installation

[4]  GL Noble Denton document 0016/ND - Seabed and Sub-Seabed data required for Approvals of MobileOffshore Units (MOU)

[5]  GL Noble Denton document 0021/ND - Guidelines for the Approval of Towing Vessels

[6]  GL Noble Denton document 0027/ND - Guidelines for Marine Lifting Operations

[7]  GL Noble Denton document 0028/ND - Guidelines for the Transportation and Installation of Steel Jackets

[8]  IMO International Safety Management Code - ISM Code - and Revised Guidelines on Implementation of the

ISM Code by Administrations - 2002 Edition[9]  DNV Rules for the Classification of Ships, January 2003, Part 3, Chapter 1, Section 4

[10]  IMO Code of Safe Practice for Cargo Securing and Stowing - 2003 Edition

[11]   API Recommended Practice 2A-WSD (RP 2A-WSD), Twenty First Edition, December 2000, Errata andSupplement 1, December 2002.

[12]   API Recommended Practice 2A-LRFD (RP 2A-LRFD), First Edition, July 1, 1993

[13]   AISC Allowable Stress Design and Plastic Design, July 1, 1989, with Supplement 1

[14]   API RP 5LW - Recommended Practice for Transportation of Line Pipe on Barges and Marine Vessels

[15]  EEMUA 158 - Construction Specification for Fixed Offshore Structures in the North Sea,

[16]   AWS D1.1 - Structural Welding Code - steel

[17]  IMO Resolution A.749 (18) as amended by Resolution MSC.75(69) - Code on Intact Stability

[18]  International Convention on Load Lines, Consolidated Edition 2002

[19]  International Regulations for Preventing Collisions at Sea, 1972 (amended 1996) (COLREGS)

[20]  IMO MSC/Circ.623 - Piracy and armed robbery against ships - guidance to ship-owners and ship operators,shipmasters and crews on preventing and suppressing acts of piracy and armed robbery against ships

[21]  IMO Document Ref. T1/3.02, MSC/Circ.884 - Guidelines for Safe Ocean Towing

[22]  IMO BWM/CONF/36 - International Convention for the Control & Management of Ships' Ballast Water &

Sediments, 2004[23]  IACS Requirements concerning Polar Class Oct 2007

[24]  UKOOA Guidelines for Safe Movement of Self-Elevating Offshore Installations (Jack-ups) April 1995

[25]  UK HSE circular “The Safe Approach, Set-Up And Departure of Jack-Up Rigs to Fixed Installations” Sept 03from www.hse.gov.uk/foi/internalops/hid/spc/spctosd21.pdf  

[26]  Eurocode 3: Design of steel structures - Part 1-8: Design of Joints (BS EN 11993-1-8:2005)

 All GL Noble Denton Guidelines can be downloaded from www.gl-nobledenton.com 

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 APPENDIX A - EXAMPLE OF MAIN TOW BRIDLE WITH RECOVERY SYSTEM

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 APPENDIX B - EXAMPLE OF EMERGENCY TOWING GEAR

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 APPENDIX C - EXAMPLE OF SMIT-TYPE CLENCH PLATE

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 APPENDIX D - EMERGENCY ANCHOR MOUNTING ON A BILLBOARD

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 APPENDIX E - ALTERNATIVES TO THE PROVISION & USE OF AN EMERGENCYANCHOR

E.1   An anchor may be required in an emergency situation, for instance in the event of a broken towline, or

tug failure due to breakdown or fire. The requirement for an emergency anchor in areas of restrictedsearoom may be determined as a result of a risk assessment as set out in Section 16.1.2 and whichshould satisfy all parties that the precautions proposed are adequate.

E.2  For very large tows, such as GBS’s, TLP’s and FPSO’s, an emergency anchor may be impractical, andalternative means of achieving an equivalent level of safety should be sought.

E.3  FPSO mooring systems (whether turret-type or spread), being only for in-place conditions, are notnormally configured to act as emergency moorings during transit. On a conversion the permanentgear is usually removed. For many designs the deck space where an emergency anchor might besited is taken up with the permanent mooring equipment.

E.4  For any tow, there are arguments for and against the provision of anchors:

For:

a.  Conventional marine and insurance industry practice is that an anchor is provided, and anyalternative arrangement must be justified.

b.  Once access is gained to the tow, or if the tow is manned, an anchor may provide a “last resort”method of controlling the tow.

Against:

a.   A chain locker must be provided together with an anchor windlass, chain stoppers etc. andthese will be for one use only. A billboard arrangement, as shown in Section 16.6  and Appendix D would almost certainly be ineffective for large tows.

b.  Whereas ships and ship-FPSO conversions may retain a hawse pipe, chain locker, anchorwindlass, chain stoppers etc, most new build FPSO’s are not fitted with these facilities.

c.  For most of an ocean towage, and close to steep-to coastlines, the depth of water will be toogreat for an anchor to be effective.

d.  If the tow is not manned, then boarding it in bad weather could pose an unacceptable hazard tothe boarding crew, and deploying the anchor may prove to be impossible. In this respect aspare tug rather than an anchor would be more useful.

e.  In some restricted areas, especially with pipelines, cables or subsea equipment, anchoring isprohibited, even in emergency situations.

f.  Unless the anchor can be paid out under control, the shock loads when the anchor beds in and

the cable comes taut may be excessive, and could result in damage, loss of the anchor orunacceptable risk to the riding crew.

g.  Under adverse conditions the anchor may drag, and the tow could still be lost.

h.  If 2 or more tugs are towing, then it is unlikely that any attempt to deploy an anchor would bemade until all tugs or towlines had failed. If, for instance, 2 tugs were towing, dropping ananchor after a single towline failure would seriously hamper the efforts of the remaining tug tocontrol the situation. An anchor will probably only be dropped, therefore, if all towlines break.

i.   After deployment of an anchor the towage must resume at some point. The anchor must eitherbe retrieved or cut and abandoned for later retrieval. It is probable that the tow would then belacking an anchor, at least for a time. It is suggested that any anchor used is fitted with aretrieval pennant and buoy.

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E.5  If sufficient towing capacity and redundancy is provided, in the towing spread, tugs will provide a moreflexible and manoeuvrable means of controlling the tow. Reaction time will be faster and controlshould be possible in all water depths.

E.6  Proposed criteria, if anchor(s) are not used, include:

a.  Provision of at least N main towing tugs, any (N-1) of which comply with the requirements ofSection 12.2, or:

b.  Provision of at least 2 main towing tugs, which together comply with the requirements of Section12.2, and:

c.  If 1 or 2 main towing tugs are provided, an additional tug will be required to escort the tow, if thetow comes within an agreed distance of any coastline or offshore hazard. (48 nautical miles issuggested as a minimum, assuming the tow may drift uncontrollably at 2 knots for 24 hours).

d.  The escort tug should be approximately equal in specification to the larger main towing tug.

e.  The escort tug is not always required to hook up for escort duties, but contingency plans and

equipment must allow for it to be connected rapidly, either in place of one of the other two tugs,or in addition, such that the configuration is still reasonably balanced.

f.  In restricted waters, if one of the main towing tugs has a breakdown, it may be preferable toconnect the escort tug to the bow of the broken-down tug, rather than to the tow

g.  The towage route must be drawn up showing the proximity to coastlines or other hazards, andthe route sectors where an escort tug is required. Planning should ensure that the escort tughas time to arrive and connect up before the searoom is below the agreed limits.

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GUIDELINES FOR MARINE TRANSPORTATIONS 

 APPENDIX F - FILLET WELD STRESS CHECKING

F.1  The effective length of a fillet weld, l , should be taken as the length over which the fillet is full-size.This may be taken as the overall length of the weld reduced by twice the effective throat thickness a.

Provided that the weld is full size throughout its length, including starts and terminations, no reductionin effective length need be made for either the start or the termination of the weld.

F.2  The effective throat thickness, a, of a fillet weld should be taken as the height of the largest triangle(with equal or unequal leg) that can be inscribed within the fusion faces and the weld surface,measured perpendicular to the outer side of this triangle, see Figure F.1.

a aa a

 

Figure F.1 Effective Throat Dimension ‘a’ for concave and Convex Fillet Welds

F.3   A uniform distribution of stress is assumed on the throat section of the weld, leading to the normal andshear stresses shown in Figure F.2.

σ ┴  = normal stress perpendicular to the throat

σ║ = normal stress parallel to the axis of the weld

τ ┴  = shear stress (in the plane of the throat) perpendicular to the axis of the weld

τ║ = shear stress (in the plane of the throat) parallel to the axis of the weld

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σ  ┴ 

τ  ┴ 

τ ║

σ ║σ  ┴ 

τ  ┴ 

τ ║

σ ║

 

Figure F.2 Normal and Shear Stresses acting on the plane of Weld Throat

F.4  The normal stress σ║ parallel to the axis is not considered when verifying the design resistance of theweld.

F.5  The two stress conditions perpendicular to the axis of the weld, σ┴  and τ┴  may be considered to beequal in magnitude in the case where the load P  acting on the bracket is applied parallel to the axis ofthe weld. This can be seen in the assumption in Figure F.2 that the load vectors should be drawn withthe symmetry that is illustrated.

F.6  The design resistance of the fillet weld will be sufficient if the following is satisfied:

 yield m            

5.02

11

22

Eqn 1

Where:

σyield is the yield stress of the material

γm is the appropriate material factor selected

Fillet Welded Bracket

F.7  For a bracket subjected to a load P  parallel to the weld line as shown in Figure F.3 and where the basestructure to which the bracket is welded is adequately stiff the bending load applied to the weld line canbe considered to vary linearly and the shearing load at the weld to be constant, as shown in the figure.

F.8  In this case the maximum perpendicular load per unit weld length, f v , can be described as shown inEqn 2.

2

16

l h P  f v     Eqn 2

F.9  The uniform shear load per unit weld length, f h, is given by

 P  f h     Eqn 3

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GUIDELINES FOR MARINE TRANSPORTATIONS 

h

P

a

 Plane ofthroat of

weld 

a.t - = shear force per unit length

 fv = 6.P.h/(l 2 )= max bending tension

 per unit length

h

P

a

 Plane ofthroat of

weld h

P

a

 Plane ofthroat of

weld h

P

a

 Plane ofthroat of

weld 

a.t - = shear force per unit length

 fv = 6.P.h/(l 2 )= max bending tension

 per unit length

 

Figure F.3 Bracket connected by double Fillet Weld

Double Fillet

F.10  For a double fillet weld as shown in Figure F.4 the force f v  may be considered as being resisted by acombination of normal and shear stresses acting on the throat of the weld as illustrated in the diagram.The applied load also produces a shear stress on the weld throat of τ║ acting at right angles to theother shear stress τ ┴ .

F.11  These stresses can be combined to form the von Misses equivalent stress (see Eqn 1). The equationsfor σ┴ , τ┴  and τ║ are given in Eqn 4 and Eqn 5.

22

3

l a

h P 

         Eqn 4

l a

 P 

2ll    Eqn 5

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Stresses and

 Resultant Forces

 f v = 6.P.h/(l 2 )

a.σ  ┴ 

a.τ  ┴ 

a.σ  ┴ 

a.τ  ┴ 

 Fillet weld #1

 Fillet weld #2

 f v = 6.P.h/(l 2 )

a.σ  ┴  a.σ  ┴ 

a.τ  ┴ 

a.τ  ┴ Weld #2 Weld #1

Vector Force DiagramStresses and

 Resultant Forces

 f v = 6.P.h/(l 2 )

a.σ  ┴ 

a.τ  ┴ 

a.σ  ┴ 

a.τ  ┴ 

 Fillet weld #1

 Fillet weld #2

 f v = 6.P.h/(l 2 )

a.σ  ┴  a.σ  ┴ 

a.τ  ┴ 

a.τ  ┴ Weld #2 Weld #1

Vector Force Diagram

 

Figure F.4 Stresses and Forces acting on Fillet Weld

F.12  The resulting limiting value for the weld throat thickness, a, is given in Eqn 6.

 

 

 

 

 

  

 

 

 

 

 

4

318.

2

h

 P a

 yield m       Eqn 6

Single Fillet 

F.13  For a bracket with a single fillet weld of length l  the resulting limiting value for the weld throat thickness,a, is given in Eqn 6.

 

 

 

 

 

  

 

 

 

 

 

372.

2

h

 P a

 yield m       Eqn 6

Selection of Yield Stress and Material Factor

F.14  The yield stress used should be the lowest of the yield stress values of the weld itself and the two partsof metal welded together.

F.15  The material factor, γ m, shall be taken as 1.0.

Note: The applied loads shall be increased by the following factors:

1.40 for serviceability limit state (SLS) checks and

1.05 for ultimate limit state (ULS) checks.

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GUIDELINES FOR MARINE TRANSPORTATIONS 

 APPENDIX G - TRANSPORTATION OR TOWING MANUAL CONTENTS

G.1  The purpose of the transportation or towing manual described in Section 5.4 is to give to:

  the vessel or tug Master and  Persons In Charge (PIC), or Responsible Persons ashore for emergency response planning in

the event of an incident or accident,

information about:

1.  The cargo,

2.  Routeing, including possible deviations to shelter points if required,

3.  What to do in an emergency,

4.  Contact details (client, owner, local authorities, Marine Warranty Surveyor etc.),

5.  Organogram showing the scope split between different contractors (if applicable). These must be

clearly defined, to ensure that all parties are aware of their responsibilities, handover points andreporting lines.

G.2  The contents of the manual shall be in a form and language that can be clearly understood by theMaster and senior officers undertaking the operations.. Revisions should be clearly marked andattached drawings, with their revision numbers noted in the main text. 4

G.3  Where a manual has been produced to satisfy local authority requirements then this should takeprecedence, providing it satisfies the main requirements detailed below.

G.4  The list below is what the Marine Warranty Surveyor would expect to see in the transportation ortowage manual. The list also includes the essential details needed by the vessel’s Master. Detailedcalculations and other documents may be in separate manuals referenced in the transportation or

towage manual.1.  Introduction. What is the cargo, where is it being transported or towed, who for and why.

2.  Description of the vessel and cargo.

3.  Proposed route (with plot or chart) including waypoints and any refuelling arrangements,anticipated departure date and speed.

4.  Metocean conditions for the route for anticipated departure date.

5.   Any limiting criteria and motions (roll, pitch and period etc) for the transport or tow, weatherforecasting arrangements and weather routeing details if applicable.

6.  Contact details and responsibilities.

7.  Reporting details: who to, how often and content.

8.  Summary of ballast conditions and stability (usually including anticipated departure and arrivalloading conditions) with corresponding stability calculations and GZ curves. Calculations shouldalso be provided for any ballasting required for loading or discharging where applicable.

9.  Motions and strength - detailed supporting calculations for the motions and accelerations,longitudinal strength and strength of the seafastening and cribbing/grillage.

10.   Arrival details, contacts, field plan etc.

11.  Contingency arrangements.

12.  Drawings to include, where applicable, cargo, GA and other key drawings of vessel and cargo,stowage plan, towing arrangement, cribbing /grillage arrangement, load-out /discharge plan,seafastening arrangement, guidepost details etc.

13.  Reference documents.

14.  Tug bollard pull calculation (if applicable).

15.  Tug or transport vessel specification.

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TECHNICAL POLICY BOARD

www.gl-nobledenton.com 

0032/ND

Once downloaded this document becomes UNCONTROLLED.

Please check the website below for the current version.

GUIDELINES FOR MOORINGS

6 Dec 10 0 RK Technical Policy Board

Date Revision Prepared by Authorised by

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GUIDELINES FOR MOORINGS

CONTENTSSECTION PAGE NO.

1  SUMMARY 5 1.1  Scope 5 1.2  Contents 5 

2  INTRODUCTION 6 

3  DEFINITIONS 7 

4  THE APPROVAL PROCESS 10 4.1  General 10 4.2  Scope of work leading to an approval 10 

5  CODES AND STANDARDS 11 5.1  General 11 

5.2 

Offshore moorings 11 

5.3  Inshore moorings and quayside moorings 11 

6  INFORMATION REQUIRED 13 6.1  General 13 6.2  Operation 13 6.3  Design criteria 13 6.4  Location 13 6.5  Design environmental conditions 13 6.6  Vessel 14 6.7  Mooring system 14 

7  DESIGN ENVIRONMENTAL CONDITIONS 15 7.1  General 15 

7.2  Unrestricted operations 15 7.3  Weather-restricted operations 15 7.4  Use of seasonal / directional Metocean data 16 7.5  Wind 17 7.6  Current 17 7.7  Waves 17 7.8  Tide 17 

8  ENVIRONMENTAL LOADS AND MOTIONS 18 8.1  General 18 8.2  Wind loads 18 8.3  Current loads 18 

8.4 

Wave loads 18 

8.5  Wave frequency motions 19 8.6  Low frequency motions 19 

9  MOORING ANALYSIS 20 9.1  General 20 9.2   Analysis cases 20 9.3  mooring Line length/tension adjustment 21 9.4   Analysis techniques 21 

10  DESIGN AND STRENGTH 23 10.1  General 23 10.2  Redundancy 23 10.3  mooring pattern 23 10.4  Mooring line and connection strength 23 10.5   Anchor capacity 24 

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11  CLEARANCES 26 11.1  General 26 11.2  Horizontal anchor clearances 27 11.3  Horizontal Wire or Chain clearances 27 11.4  Line vertical clearances 27 11.5  Line-line clearances 28 11.6  Installing Anchors 28 

12  MOORING EQUIPMENT 29 12.1  Mooring integrity 29 12.2  Certification 29 12.3   Anchors 29 12.4  Chain 29 12.5  Wire rope 29 12.6  Fibre rope 29 12.7  Connectors 29 12.8  Buoys (surface and subsurface) 30 

12.9  Vessel connection points 30 12.10  Fendering 30 

13  PROCEDURAL CONSIDERATIONS 32 13.1  General 32 13.2   Anchor proof loading 32 13.3  Manning 32 13.4  Inspection, monitoring and maintenance 32 

14  DOCUMENTATION 33 14.1  Leading to approval 33 14.2  Office review 33 14.3  On site 33 

15 

SPECIAL CONSIDERATIONS FOR INSHORE AND QUAYSIDE MOORINGS 34 

15.1  Background 34 15.2  Locations within harbour limits 34 15.3  Contingency arrangements 34 15.4  Mooring considerations 34 15.5  Shore mooring points / bollards / winches 35 15.6  Procedures 35 15.7  Cold stacking 35 15.8  Ice loading 35 

16  SPECIAL CONSIDERATIONS FOR PERMANENT MOORINGS 36 16.1  General 36 

REFERENCES 37 

TABLES

Table 7-1 Environmental Return Periods 15 Table 7-2 Seastate Reduction Factors for 24 hour Operational Duration 16 Table 9-1  Recommended Analysis Methods and Conditions 20 Table 9-2 Types of Analyses 22 Table 10-1  Line Tension Limits and Design Safety Factors 24 Table 10-2 Drag Anchor Holding Capacity Design Safety Factors 24 Table 10-3 Design Safety Factors for Holding Capacity of Anchor Piles and Suction Piles 24 Table 10-4 Design Safety Factors for Holding Capacity of Gravity and Plate Anchors 25 Table 11-1 Summary of Minimum Mooring Clearances 26 

FIGURES

Figure 11.1  Minimum Horizontal Anchor Clearances from Pipelines or Cables 27 

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PREFACE

This document has been drawn with care to address what are likely to be the main concerns based on theexperience of the GL Noble Denton organisation. This should not, however, be taken to mean that this documentdeals comprehensively with all of the concerns which will need to be addressed or even, where a particular matter isaddressed, that this document sets out the definitive view of the organisation for all situations. In using thisdocument, it should be treated as giving guidelines for sound and prudent practice on which our advice should bebased, but guidelines should be reviewed in each particular case by the responsible person in each project to ensurethat the particular circumstances of that project are addressed in a way which is adequate and appropriate to ensurethat the overall advice given is sound and comprehensive.

Whilst great care and reasonable precaution has been taken in the preparation of this document to ensure that thecontent is correct and error free, no responsibility or liability can be accepted by GL Noble Denton for any damage orloss incurred resulting from the use of the information contained herein.

 ©  2010 Noble Denton Group Limited, who will allow:

  the document to be freely reproduced,

  the smallest extract to be a complete page including headers and footers, but smaller extracts may bereproduced in technical reports and papers, provided their origin is clearly referenced.

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GUIDELINES FOR MOORINGS

1  SUMMARY

1.1  SCOPE

1.1.1  This document describes the guidelines which will be used by GL Noble Denton for the approval ofmoorings, including:

a.  Offshore catenary or taut leg moorings of mobile offshore units (MOU)

b.  Offshore catenary or taut leg mooring of floating offshore installations (FOI)

c.  Inshore mooring of MOUs and FOIs, e.g. for stacking

d.  Temporary mooring of offshore installations in an afloat condition during construction,installation or decommissioning

e.  Quayside mooring of MOUs and FOIs, e.g. during maintenance or conversion

f.  Mooring of vessels during loadouts and installation operations.

1.2  CONTENTS

1.2.1  The following aspects of moorings are described:

a.  The approval process

b.  Codes and standards

c.  Information required

d.  Design environmental conditions

e.  Environmental loads

f.  Motion response

g.  Mooring analysis

h.  Design and strength

i.  Clearances j.  Mooring equipment

k.  Procedural considerations

l.  Documentation

m.  Special considerations for inshore and quayside moorings

n.  Special considerations for permanent moorings.

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GUIDELINES FOR MOORINGS

2  INTRODUCTION2.1  This document describes the guidelines which will be used by GL Noble Denton for the approval of

moorings, including:

a.  Offshore catenary or taut leg moorings of mobile offshore units (MOU)

b.  Offshore catenary or taut leg mooring of floating offshore installations (FOI)

c.  Inshore mooring of MOUs and FOIs, e.g. for stacking

d.  Temporary mooring of offshore installations in an afloat condition during construction,installation or decommissioning

e.  Quayside mooring of MOUs and FOIs, e.g. during maintenance or conversion

f.  Mooring of vessels during loadouts and installation operations.

2.2  Where GL Noble Denton is acting as a consultant rather than a Warranty Surveyor, these Guidelinesmay also be applied as a guide to good practice.

2.3 

This document is not intended to apply to “standard”, temporary moorings such as ships in port oranchored or moored by the bow where the vessels are fully manned, have a full marine watch, liveengines and tugs available.

2.4  This document does not cover all types of mooring and every mooring application. Readers shouldtherefore satisfy themselves that the Guidelines used are fit for purpose for the actual mooring underconsideration.

2.5  This document refers to recognised standards and design codes and to other GL Noble DentonGuidelines as appropriate. All current GL Noble Denton Guideline documents can be downloadedfrom www.gl-nobledenton.com.

2.6  This document gives guidance on engineering analysis and practical marine considerations, both ofwhich will form the basis for any approval.

2.7  These Guidelines are intended to lead to an approval by GL Noble Denton. Approval by GL NobleDenton does not necessarily imply that submitted proposals will comply with the requirements of anyother party or organisation (e.g. as defined by codes, national legislation, guidelines, etc).

2.8  This document is submitted for general guidance and it should be noted that each mooring will differ indesign due to the nature of the moored structure and the particulars of the location. This documenttherefore contains general guidance and detailed recommendations that will apply to individual cases.

2.9  These Guidelines are not intended to exclude alternative methods, new technology and newequipment, provided that an equivalent level of safety can be demonstrated.

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GUIDELINES FOR MOORINGS

3  DEFINITIONSReferenced definitions are underlined.

Term or Acronym Definition

Approval The act, by the designated GL Noble Denton representative, of issuing a‘Certificate of Approval’.

ATA  Automatic Thruster Assist

Barge  A non-propelled vessel commonly used to carry cargo or equipment.(For the purposes of this document, the term Barge can be considered toinclude Vessel or Ship where appropriate).

Benign Area  An area that is free from tropical revolving storms and travellingdepressions, (excluding the North Indian Ocean during the Southwestmonsoon season and the South China Sea during the Northeastmonsoon season). The specific extent and seasonal limitations of abenign area should be agreed with the GL Noble Denton officeconcerned.

Certificate of Approval  A formal document issued by GL Noble Denton stating that, in its judgement and opinion, all reasonable checks, preparations andprecautions have been taken to keep risks within acceptable limits, andan operation may proceed.

Client The company to which GL Noble Denton is contracted to perform marinewarranty or consultancy activities.

Cold Stacking Cold stacking is where the unit is expected to be moored up for asignificant period of time and will have minimum or, in some cases, no

services or personnel available.DNV Det Norske Veritas

DP Dynamic Positioning

FLS Fatigue Limit State

FOI Floating Offshore Installation

FOS Factor of Safety

GL Noble Denton  Any company within the GL Noble Denton Group including anyassociated company which carries out the scope of work and issues aCertificate of Approval, or provides advice, recommendations or designsas a consultancy service.

HAZID Hazard Identification

Hot Stacking Hot stacking may be defined as mooring the vessel in a mannedfunctional condition, with the option to run machinery to provide sufficientpower to operate all mooring winches, thrusters, etc as may be required.

IACS International Association of Classification Societies.

Inshore Mooring  A mooring operation in relatively sheltered coastal waters, but not at aquayside.

Insurance Warranty  A clause in the insurance policy for a particular venture, requiring theapproval of a marine operation by a specified independent survey house.

Loadout The transfer of a major assembly or a module onto a barge, e.g. byhorizontal movement or by lifting.

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Term or Acronym Definition

MBL Certified Minimum Breaking Load (of a wire, chain or other mooringsystem component).

Mobile Mooring Mooring system, generally retrievable, intended for deployment at aspecific location for a short-term duration, such as those for mobileoffshore units.

MODU Mobile Offshore Drilling Unit

Mooring System Consists of all the components in the mooring system including shackleswindlasses and other jewellery and, in addition, rig/vessel and shoreattachments such as bollards.

MOU Mobile Offshore Unit

n/a Not Applicable

NMD Norwegian Maritime Directorate.

Operational ReferencePeriod

The planned duration of the operation, including a contingency period.

OCIMF Oil Companies International Marine Forum.

Permanent Mooring Mooring system normally used to moor floating structures deployed forlong-term operations, such as those for a floating production system.

PSA Petroleum Safety Authority Norway

QTF /Quadratic TransferFunction

Refers to the matrix that defines second order mean wave loads on avessel in bi-chromatic waves. When combined with a wave spectrum themean wave drift loads and low frequency loads can be calculated.

Quayside Mooring  A mooring that locates a vessel alongside a quay (usually at a shelteredlocation).

RAO /Response AmplitudeOperator

Defines the vessel’s (first order) response in regular waves and allowscalculation of vessel wave frequency (first order) motion in a givenseastate using spectral analysis techniques.

Redundancy Check Check of the failure loadcase associated with the applicable extreme(survival) environment, e.g. the one leg damaged case.

Semi-Submersible Unit  A floating structure normally consisting of a deck structure with a numberof widely spaced, large cross-section, supporting columns connected tosubmerged pontoons.

Self-Elevating Unit More commonly know as a ‘Jack-up’. It is a Marine Unit equipped with

legs and jacking systems capable of lifting the hull clear of the water. A‘Jack-up’ unit may be used as a production platform, drilling platform,construction support platform or accommodation platform.

SLS /Serviceability LimitState

 A design condition defined as a normal Serviceability Limit State / normaloperating case.

Survey  Attendance and inspection by a GL Noble Denton representative. Othersurveys which may be required for a marine operation, includingsuitability, dimensional, structural, navigational, and Class surveys.

Surveyor The GL Noble Denton representative carrying out a survey. An employeeof a contractor or Classification Society performing, for instance, a

suitability, dimensional, structural, navigational or Class survey.

TA Thruster Assist

UKCS United Kingdom Continental Shelf

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Term or Acronym Definition

ULS /Ultimate Limit State

The intact loadcase associated with the applicable extreme (survival)environment.

VLA Vertical Load Anchors.Vessel Within the scope of this document refers to any structure which is being

moored.

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GUIDELINES FOR MOORINGS

4  THE APPROVAL PROCESS

4.1  GENERAL

4.1.1  GL Noble Denton may act as a warranty surveyor, issuing an approval for a particular mooring ormooring operation, or as a consultant providing advice, recommendations, calculations and/or designsas part of the scope of work. These functions are not necessarily mutually exclusive.

4.1.2   Agreement is required on the start point (or point of no return) for the mooring or mooring operationand the end point (or termination) which may apply to each issued certificate of approval.

4.2  SCOPE OF WORK LEADING TO AN APPROVAL

4.2.1  Technical studies leading to the issue of a certificate of approval may consist of:

a.  Reviews and audits of procedures, calculations and/or physical model tests submitted by theclient or his contractors, or

b.  Independent analyses carried out by GL Noble Denton to verify the feasibility of the proposals,

orc.   A combination of third party reviews and independent analyses.

4.2.2  Surveys and attendances carried out as part of GL Noble Denton's scope of work typically include:

a.  Site survey or examination of the mooring system, confirming that it complies with mooringdesign as submitted to GL Noble Denton

b.  Review of the certification of all component parts of the system

c.  Confirmation of the general condition of the vessel in terms of machinery and manning

d.  Inspection and verification of procedures for maintenance and operation of mooring equipmentand actions in an emergency including availability of tugs, etc.

e.  Discussions with the local port authority or pilots as appropriate

f.  Examination and/or function testing of any key items of equipment, vessels, etc. to be employedduring the installation of the mooring system or in the as installed operational condition

g.   Attendance at HAZIDs, risk assessment meetings as required

h.   Attendance and witnessing mooring installation activities, including deployment, test tensioning,etc.

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5  CODES AND STANDARDS

5.1  GENERAL

5.1.1   A number of recognised standards and design codes covering moorings are already in existence. It isnot intended that this document should redefine recommendations in areas already well covered byestablished codes. The default standard for mooring system design and approval is ISO 19901-7.

5.1.2   Although many aspects of mooring design and practice are covered by existing codes, it is oftennecessary to draw upon more than one source. This document aims to collate relevant guidance fromseveral sources where necessary. Care shall be taken to use coherent input data, analysis methodsand safety factors; in general this means that these should be taken together from a single source.Combining the least conservative options from different sources is not acceptable.

5.1.3  References to guidance on best practice relating to specific issues are provided in this documentwherever possible.

5.1.4  In some subject areas, particularly in relation to inshore or quayside moorings of offshore units, there is

little relevant guidance available. It is intended that this document be a primary source of reference forthese areas.

5.2  OFFSHORE MOORINGS

5.2.1  The International Standard ISO 19901-7, Ref. [2], represents the most modern and widely acceptedset of criteria and guidelines for offshore moorings. GL Noble Denton considers ISO 19901-7 to be thepreferred code for the design of all mooring systems.

5.2.2   API Recommended Practice 2SK (RP 2SK), Ref. [3] is to be incorporated within, and superseded by,ISO 19901-7 but at present it includes extensive guidance that is not included within the InternationalStandard. This document makes reference to API RP 2SK guidance on some subjects not covered indetail by ISO 19901-7:2005.

5.2.3  DNV OS E301, Position Mooring (POSMOOR E301), Ref. [6], is considered by GL Noble Denton to bean acceptable alternative to ISO 19901-7 when used in conjunction with DNV RP C205.

5.2.4  DNV Rules for the Classification of Mobile Offshore Units, Part 6, Chapter 2: Position Mooring(POSMOOR ‘96), Ref. [6]  has been superseded by DNV Offshore Standard E301. HoweverPOSMOOR ‘96 still remains the de facto standard code in some regions. GL Noble Denton will acceptits use in some circumstances, such as if specifically requested by a field operator for MOUs withexisting POSMOOR notation under the Rules for the Classification of Mobile Offshore Units Ref. [6].

5.3  INSHORE MOORINGS AND QUAYSIDE MOORINGS

5.3.1   Although the environmental loads experienced by a vessel moored in a sheltered inshore location oralongside a quayside are likely to be significantly lower than those it may experience offshore, the riskprofile of these types of mooring is high due to a combination of the following factors:

a.  Offshore mooring systems are generally designed for large deployed lengths of mooring wire orchain whereas inshore moorings will generally have short taut lines which can lead to very hightensions and can result in uplift on anchors

b.  High consequence of failure given the proximity to shore, other assets and limited responsetime

c.  Potential lack of suitable or degraded connection points on the vessel and onshore, e.g.quayside

d.  Uncertainty in the calculation of environmental forces due to wind shear effects and shallowwater blockage effects

e.  Potential limitations on the ability to adjust moorings and balance the line tensions in adverseweather conditions

f.  Potential difficulty in knowing the actual tensions in the lines, in other words a lack ofinstrumentation

g.  Potential for failures due to chafe points and abrasion (especially for quayside moorings).

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5.3.2  The basic approach to the review and approval of inshore and quayside moorings will be similar to thatfor offshore moorings, and the basic design philosophy should be the same although suitably modifiedto take account of the key features of these applications. Acceptance criteria (safety factors, etc.)should be based upon either the  codes discussed in Section 5.2  (subject to the limitations statedtherein) or those given in Sections 5.3.4 and 10 of this Guideline.

5.3.3  BS6349-6 “Design of Inshore Moorings and Floating Structures”, Ref. [7], whilst somewhat outdated ina number of aspects (material selection and analytical techniques being two primary areas) providessuitable guidance for the assessment of pontoons, floating docks and Admiralty-type buoy moorings. Ifused, the general philosophy must be consistent with that laid out in this guideline.

5.3.4  OCIMF, Ref. [11], is considered appropriate for evaluating quayside mooring requirements of marinevessels such as tankers. It also provides good guidance on the use of quayside moorings and ondesign factors of safety for common vessel connections such as bitts, Smit brackets and Panamachocks.

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6  INFORMATION REQUIRED

6.1  GENERAL

6.1.1  This section outlines the information required for the approval of a mooring or for carrying out mooring-related consultancy work.

6.1.2  Where relevant the approved operations manual should be submitted, for example, where it containsdetails of approved wind and current load coefficients, motions response amplitude operators, wavedrift coefficients, etc. The manual is also likely to be relevant where it defines any limitations,guidelines or performance criteria relating to the active control of winches, windlasses and thrusters.

6.2  OPERATION

6.2.1  Details of the operation to be undertaken should be established, including:

a.  Nature of operation

b.  Timing, e.g. dates

c.  Durationd.   Any operational mooring system performance criteria

e.  Whether the mooring system will be active or passive; an active system allows linetension/length adjustment

f.  Manned or unmanned and, if manned, whether on a 24 hour basis.

6.3  DESIGN CRITERIA

6.3.1   All relevant design criteria should be established, including the code or standard to which the designhas been carried out.

6.4  LOCATION

6.4.1   All relevant details of the mooring location should be established including

a.  Geographical location, e.g. grid coordinates and possible local currents e.g. river outflows

b.  Water depth including bathymetry covering the full area of the mooring spread

c.  Seabed conditions, e.g. soil type

d.  Geotechnical information, e.g. soil properties derived from core samples, if required

e.  Details of any existing installations or infrastructure on the surface and subsea, documented byreliable surveys

f.  For inshore or quayside moorings some details of the local topography may be required to helpdetermine the wind sheltering effects and the wind shear profiles that should be applied

g.  Quay wall section drawings detailing water levels and elevation of fendering arrangements

h.  Capacity of quayside bollards (see Section 15.5).

6.4.2  Further details of seabed and geotechnical data requirements are given in GL Noble Denton Guideline0016/ND, Ref [9]  “Seabed and Sub-seabed Data Required for Approvals of Mobile Offshore Units(MOU)”.

6.5  DESIGN ENVIRONMENTAL CONDITIONS

6.5.1  The environment considered in any analysis is dependent on the design criteria used but, in general,environmental information should include the following:

a.  Design seastate is usually characterised by significant wave height and mean zero-crossingperiod, together with a parametric wave spectrum, e.g. JONSWAP spectrum

b.  Design wind speed and, if applicable, gust spectrum

c.  Design current and, if applicable, current profile

d.  Long period swell and direction,

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e.  Minimum temperature if below 0oC.

6.6  VESSEL

6.6.1  The type and characteristics of the vessel to be moored should be established. The required

information can be broadly categorised as shown below.6.6.2  Vessel condition:

a.  Intended draught(s)

b.  Details of loading condition, if required.

6.6.3  Environmental loading and response characteristics (for all relevant draughts):

a.  Response Amplitude Operators (RAOs)

b.  Quadratic Transfer Functions (QTFs)

c.  Wind load coefficients

d.  Current load coefficients

e.  Displacement and frequency dependent added mass and damping.

6.6.4  Vessel mooring points:

a.  Fairleads - type, positions and documented structural capacity including supporting structure

b.  Winches or windlasses - number, type, brake capacity, stopper capacity, stall capacity, pawldetails, etc.

c.  Position and capacity of onboard bollards, mooring bitts or Smit brackets

d.  Dimensions, condition and load capacity of anchor racks (cow catchers).

6.6.5  Propulsion and dynamic positioning systems:

a.  Thrusters - number, type, thrust and positions and operational; status

b.  Control system - manual joystick or fully dynamically positioned (TA / ATA)

c.  Critical failure modes - thrust available following a worst case single point failure.

6.7  MOORING SYSTEM

6.7.1  Details of mooring system components including:

a.   Anchors - number, type and weight

b.  Mooring line make-up, length, type and age of each component

c.  Mooring line diameter, area, minimum breaking load, axial stiffness and weight per length

d.  Latest mooring line inspection report

e.  Details of any buoys or clump weights

f.  Details of any connecting hardware

g.  Condition and operational status of equipment.

6.7.2  If GL Noble Denton is undertaking a mooring analysis, details of any Operator or Drilling Contractorpreferred or standard anchor patterns should be supplied.

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7  DESIGN ENVIRONMENTAL CONDITIONS

7.1  GENERAL

7.1.1  Moorings shall be designed to withstand the loads caused by the most adverse environmentalconditions expected for the location and duration of the mooring. Guidance and requirements relatingto the design environment are included in most of the mooring codes, and these should be referred toin the first instance. This section contains general information and additional specific guidancecovering situations outside the scope of existing codes.

7.2  UNRESTRICTED OPERATIONS

7.2.1   An unrestricted operation is one which is effectively free of any environmental limits. An unrestrictedmooring is designed to be able to withstand a design environment with a large return period such thatthe probability of it being encountered is suitably small.

7.2.2  The following table identifies minimum return periods generally applicable to a variety of mooring typesand durations.

Table 7-1 Environmental Return Periods

Mooring DurationMooring Type

< 6 months 6m ≤ t < 20 yr ≥ 20 years

Quayside / Inshore 10 year [1]  100 year

Offshore - Mobile near another asset 10 year 100 year

Offshore - Permanent N/A 100 year

Offshore - Mobile in Open Location 5 year

See Section7.2.3

N/A

[1]  A longer return period will be required when the moored item is high-value, e.g. a concrete production

platform under construction

7.2.3  For mooring durations greater than 6 months, 100 year return period can be used. Alternatively aproject specific return period environmental return period may be determined to give risk levelsequivalent to those of systems designed to 20 year exposure with 100 year return period.

7.2.4  Joint probability data should only be used when permitted by the referenced standard.

7.2.5  Mobile moorings should generally be designed with reference to a 10 year return period when in thevicinity of any other infrastructure. Where a mobile mooring is in an open location, with reducedconsequence from mooring failure, a five year return period may  be  acceptable. Where applicableseasonal/monthly and/or directional metocean data as in Section 7.4 can be used with the specifiedreturn period.

7.2.6  When evaluating the consequence of failure, consideration should be given to whether risers will beconnected, proximity to other installations and the type of operation being undertaken. For pipe layingoperations, the expected duration of the operation, plus a suitable contingency value should beaddressed.

7.3  WEATHER-RESTRICTED OPERATIONS

7.3.1  Where a weather restricted mooring is to be approved, procedures addressing all the issues identifiedin this section shall be provided for office review together with the mooring analysis.

7.3.2   A weather restricted operation is one in which a design environmental limit for an operation isidentified, independent of extreme statistical data.

7.3.3  In general weather restricted operations will be operations with a total duration less than 72 hours.

7.3.4  To undertake any operation, the “operation criteria” shall be less than the “design criteria”. The marginis a matter of judgement, dependent on factors specific to each case, but should be documented.

7.3.5  Unless agreed otherwise with GL Noble Denton, for marine operations with an operational duration ofno more than 24 hours the maximum forecast seastate shall not exceed the design seastate multiplied

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by the applicable (sometimes called alpha, α) factor from Table 7-2 below. For operations with otherdurations alternative factors apply and should be agreed with GL Noble Denton. The forecast windand current shall be similarly considered when their effects on the operation or structure are significant.

Table 7-2 Seastate Reduction Factors for 24 hour Operational Duration

Weather Forecast Provision Reduction Factor

No project-specific forecast (in emergencies only) 0.50

One project-specific forecast source 0.65

One project-specific forecast source plus in-field wave monitoring (waverider buoy)

0.70

One project-specific forecast source plus in-field wave monitoring andoffshore meteorologist

0.75

7.3.6  In tropical and sub-tropical regions the short term extreme weather conditions are likely to be

associated with the possibility of thunderstorm activity and the squalls associated with the passage of astorm front. Unless local weather radar is available together with an on site forecaster, it is difficult topredict the onset and severity of these squalls and even then there can be considerable uncertainty.Conduct of operations for design conditions below the 10 year seasonal squall may, therefore, behighly restricted during some seasons.

7.3.7  Planning and design of moorings shall be based on the length of time that the vessel is to be moored.Short term moorings of less than 72 hours (e.g. during a loadout) may be deemed weather-restrictedoperations provided that:

a.  Metocean statistics indicate an adequate frequency and duration of the required weatherwindows

b.  Regular, reliable weather forecasts for the specific location are readily available

c.  The start of the operation is governed by an acceptable weather forecast covering the referenceperiod

d.   A documented risk assessment has been carried out and the results accepted by GL NobleDenton

e.  Reference is made to an appropriate code

f.  Detailed marine procedures are in place for the operation, including contingency plans in theevent that the weather or the weather forecast deteriorates after the mooring has beenestablished.

7.3.8  The length of time required to complete an operation is referred to as the reference period. Whencalculating the operational reference period, allowance should be made for:

a.  The time anticipated, after the decision to commence the operation, for preparing to start orwaiting for appropriate environmental conditions

b.  The time anticipated for the operation itself

c.  The time anticipated, upon completion, for awaiting correct tidal conditions for departure and forrecovering the mooring spread

d.   A contingency period allowing for over-run of the operation

e.  The time required for intervention in the event of mooring component or equipment failure.

7.4  USE OF SEASONAL / DIRECTIONAL METOCEAN DATA

7.4.1  Metocean data specific to the month(s) or season(s) during which the mooring will be utilised may be

used where appropriate.7.4.2  Directional metocean data may also be used with suitable spreading functions to reflect directional

divergence in the design environment.

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7.5  WIND

7.5.1  Wind speeds should be referenced at 10m above the still water level.

7.5.2  For permanent moorings the more onerous of the following should be considered:

a.  Steady one minute mean velocity; or

b.  One hour mean plus a suitable gust spectrum.

7.5.3  Generally the ISO 19901 gust spectrum Ref. [2] would be applicable to 7.5.2b unless an alternativecan be clearly justified.

7.5.4  For mobile moorings either a steady state wind speed or a suitable gust spectrum may be useddepending upon the stiffness of the mooring system. The 10 minute averaged wind speed can beused to analyse catenary moorings if the effect of wind dynamics on the line tension is shown to beinsignificant.

7.5.5  For inshore or quayside moorings care must be taken to ensure that all natural periods of response ofthe system have been considered. Some of the mooring system response periods may be shorterthan one minute but on the other hand the use of shorter gust periods may not represent a sustained

design wind that will act at the same time across the whole of the structure. The representative designwind sampling period, therefore, has to be carefully established on a case by case basis for inshoreand quayside moorings.

7.6  CURRENT

7.6.1  The design current shall taking account of mean spring tide, the return period storm surge, fluvial(river) and wind-driven components.

7.7  WAVES

7.7.1  For mobile moorings it is generally acceptable to consider a single extreme significant wave height andassociated zero crossing period corresponding to the relevant return period for a location.

7.7.2 

For permanent moorings a number of Hs-Tz combinations along the 100 year return period contourline have to be considered for the analysis. If a contour plot is not available, a sensitivity study byvarying peak period for the 100 year return period sea state is required. This is to ensure that extremeline tensions due to low frequency motion at lower periods are captured in the analysis, especially forship shaped floaters.

7.8  TIDE

7.8.1  For moorings at locations where the tidal range is greater than 10% of the water depth, the highest andlowest still water levels at the location for the duration of the mooring should be established andconsidered in the analysis of the mooring.

7.8.2  For quayside moorings the effect of tide should always be considered including possible means toadjust line lengths for locations subject to substantial tidal variations and also to monitor line tensions

with the possible provision of an alarm system (24 hour monitoring required) when tensions approachpre-specified levels.

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8  ENVIRONMENTAL LOADS AND MOTIONS

8.1  GENERAL

8.1.1  This section addresses the calculation of forces imposed by the environment upon a moored vessel, itsmooring spread and appendages, such as risers and umbilicals.

8.1.2  Unless it is clearly demonstrated that any of the following forces or motions are insignificant, theyshould always be considered in any mooring analysis.

8.1.3  Drag coefficients or model tests should be representative of the vessel at the draught(s) underconsideration. Line tensions should be evaluated for all possible vessel draughts.

8.2  WIND LOADS

8.2.1  Wind loads should be considered to have a variable component modelled by an appropriate gustspectrum.

8.2.2  Wind loads may be determined through model tests, by numerical modelling (computational fluid

dynamics analysis), or by calculation using accepted drag coefficients.8.2.3  Offshore wind shear profiles may also not be appropriate for inshore or quayside moorings. The use of

an offshore design wind with an offshore shear profile will always be conservative for an inshorelocation unless it is exposed to funnelling or squalling effects. Conversely the use of an inshoresheltered wind extreme with an offshore wind shear profile may be non-conservative because ofsubstantially different wind shear profiles that are typical of inshore locations.

8.2.4  Wind loads are likely to be the dominant source of loading for inshore and quayside moorings.Therefore the design wind conditions need to be very carefully established.

8.3  CURRENT LOADS

8.3.1  Current loads may be determined through model tests, by numerical modelling or by calculation usingaccepted drag coefficients.

8.3.2  If current profile information is available it should be utilised when calculating current loads and/ordamping associated with mooring lines. Only the surface current speed need be considered whencalculating current loads on conventional draught vessels (ship-shaped, barges, semi-submersibles).

8.3.3  Current loads upon mooring lines, risers, umbilicals and power cables shall be assessed and theireffects must be taken into account in a mooring analysis unless they have been shown to havenegligible effect.

8.3.4   Any increase in the effective drag diameter of mooring line and risers due to marine growth shall betaken into account when analysing a permanent mooring. Guidance on estimating the effect of marinegrowth can be found in Section 6.7.4 of DNV RP C205.

8.3.5  When mooring takes place in shallow water depths (<75m) account should be taken of increase in

current loads due to current blockage effects. Note that additional blockage effects will also arisewhen mooring alongside a quay.

8.4  WAVE LOADS

8.4.1  In addition to causing motions (see Section 8.5) waves also impose mean and slowly varying loadsupon a vessel. The mean wave drift force contributes to the mean environmental load. The slowlyvarying loads contribute to low frequency motions of a moored vessel at its natural periods, sometimescalled slow drift behaviour.

8.4.2  Wave drift forces are generally calculated from the wave spectrum and QTFs.

8.4.3  The direct effect of waves upon mooring lines can generally be neglected.

8.4.4  Shallow water corrections will be required for vessels in water depths less than 100m.

8.4.5  The possible impact of long period swell should be checked.

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8.5  WAVE FREQUENCY MOTIONS

8.5.1  Forces imposed by waves upon a vessel lead to a wave frequency motion response of the vessel. Themagnitude and phase of this response is generally calculated from the wave spectrum and the vessel’sRAOs. RAOs may be derived from the results of model tests, or by numerical analysis (e.g. diffraction

analysis taking a suitable level of damping into account). The RAOs should be determined at therelevant vessel draughts.

8.5.2  Where moorings take place in areas where the seas can be considered short crested, a reduction inthe first order motion may be justifiable, e.g. in line with Section A.8.7 of ISO 19901-1, Ref. [1]. Incases where short-crestedness increases the responses this should be taken into account.

8.5.3  When mooring takes place in shallow water depths (<100m), account should be taken of increase inwave frequency motions due to elliptical particle orbits and attenuation of motions due to reduced waveenergy for standard wave height.

8.5.4  For quayside moorings in relatively exposed locations the impact of long period swell should be takeninto account, preferably by a time domain analysis (see Section 15.4.1).

8.6 

LOW FREQUENCY MOTIONS8.6.1  Catenary moored vessels (i.e. not moored against a fixed structure) are often subject to low frequencysurge, sway, and yaw motions. These are due to the excitation of the combined vessel / mooringsystem, at periods close the natural frequency of the overall system, by low frequency variable loadsincluding

a.  Varying wind load (due to gust spectrum);

b.  Frequency difference components of the wave drift force.

8.6.2  Low frequency motions often have a marked influence on mooring line tensions, particularly in deeperwater. Unless it is clearly demonstrated that second order motions are not significant they shouldalways be considered in any mooring analysis.

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9  MOORING ANALYSIS

9.1  GENERAL

9.1.1  This section addresses the calculation of mooring line tensions based on environmental loadsevaluated using the methods described in the preceding section.

9.2  ANALYSIS CASES

9.2.1  To ensure that redundancy requirements discussed in Section 10.2 are met, mooring analyses shouldinclude, as a minimum, an examination of the following cases for each environment direction (at leastevery 45 degrees, and including the directions of environmental maxima):

a.  The mooring system as designed (intact case)

b.  For each line, as the environment is applied round the clock, but with one of the loaded linesremoved from the analysis (single line failure case / redundancy check)

c.  If thruster assistance is being considered, the system as designed, with available thrust reduced

to that available following the worst case single point failure in the propulsion or DP system.

9.2.2  In cases where the moored vessel is in close proximity to a structure (other than a quayside) orspecific operational constraints upon the vessel offset exist (e.g. a connected drilling riser), the vessel’strajectory immediately following each single point failure should be calculated (transient analysis).Relevant closest points of approach and maximum offsets of points of interest should be extractedfrom the output of the transient analysis.

9.2.3  Full guidance on expected analysis cases is given in Section 6.2 of ISO 19901-7, Ref. [2] and Table 1therefrom is reproduced below:

Table 9-1 Recommended Analysis Methods and Conditions

Type of Mooring Limit State Conditions to be Analysed Analysis Method

Intact / Redundancy Check DynamicULS

Transient[1] Quasi-Static or Dynamic

FLS Intact Dynamic

PermanentMooring

SLS No guidance given No guidance given

Intact / Redundancy Check Quasi-static or DynamicULS

Transient[1],[2] Quasi-static or Dynamic

FLS Not required Not applicableMobile Mooring

SLS No guidance given No guidance given

NOTES

[1]  Applicable only if another installation is in proximity to the mooring.

[2]  Applicable for MODUs drilling in deepwater where excessive transient motions can causestroke-out of the riser slip joint.

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9.3  MOORING LINE LENGTH/TENSION ADJUSTMENT

9.3.1  ISO 19901-7, Ref [2] permits only the consideration of adjustments “for operational reasons and/or inadvance of foreseeable environmental events” not “the modelling of active adjustments of line tensionduring the analysis of design situations”. This is interpreted as follows:

a.  Line manipulations to maintain vessel position, etc, in operating (SLS) cases ARE permittedprovided that tension levels remain below winch stall capacities

b.   A reduction in line pretensions in advance of worsening weather or on moving to survival draftIS permitted provided a single adjusted spread is used for all environmental loadcases

c.  Line adjustments following line failure ARE NOT permitted

d.  Line adjustments to optimise tensions in particular loadcases, e.g. windward / leeward linemanipulations ARE NOT permitted.

9.3.2  Where it is permissible under the selected code and is permitted by the vessel mooring equipmentclassification and where a policy of leeward line slackening has been demonstrated to be activelyemployed on a vessel, it is considered acceptable to take account of this in a survival analysis,

provided:

a.  Line manipulations are only performed in the intact case

b.  Due consideration is made regarding to winch/windlass stall limits

c.  The adjustments performed are intuitive and with regard to the intact mooring system only (i.e.not with regard to optimising tension distributions after line failure)

d.  The operations are carried out in advance of any worsening weather conditions that have beenforecast. Note location specific forecasts are required.

e.   Adequate trained and experienced personnel are available on board (24 hour call off basis) tocarry out mooring line adjustment operations.

9.4 

ANALYSIS TECHNIQUES9.4.1  Two principal classes of analytical technique for the calculation of mooring line tensions are in common

use. The advantages, limitations and validity of each technique are briefly described below. Furtherguidance on analytical methods is available in Section 5 of API RP 2SK 3rd Edition (2005), Ref. [3].

9.4.2  In quasi-static analysis, the mean environmental force is applied and the mean vessel offsetcalculated. The low frequency and wave frequency responses in the horizontal plane are combined tofind the maximum instantaneous offset. The wave frequency response shall be determined taking theeffects of the mooring system into account when these are significant. Mooring line tensions are thencalculated statically for this maximum offset position. Quasi-static analysis is known to increasinglyunderestimate line tensions as water depth increases. Design codes generally allow for this byrequiring higher safety factors to be applied to the results of quasi-static analyses. However, in deeper

water this is no longer a conservative approach.9.4.3  In contrast, dynamic analysis takes account of both moored vessel responses and line dynamics

resulting from the fairlead motions and the hydrodynamic forces on the mooring lines. It is generallymore accurate than quasi-static analysis, particularly so in deep water.

9.4.4  Frequency domain analysis is significantly faster with respect to computation time than time domainanalyses, but generally cannot handle nonlinear systems as accurately.

9.4.5  For most moorings a frequency domain analysis is adequate - for long term or non standard mooringsthe adequacy of results should be confirmed with a check of key cases by a time domain simulation.

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9.4.6  Not withstanding any specific code requirements, the types of analysis shown in Table 9-2  aregenerally considered suitable:

Table 9-2 Types of Analyses

DynamicType of Analysis Quasi-StaticFrequency Time

Quayside / Inshore      

Short Term Offshore Open Location      

Short Term Offshore alongside a FixedInstallation

     

Short Term Offshore Vessel alongsidea Floating Offshore Installation

     

Long Term Offshore      

Key: = Normally Preferred  = Normally acceptable  = Not suitable

9.4.7   A recognised dynamic analysis method should be used, unless:

  it can be demonstrated that quasi-static analysis yields line tension capacity utilisations that arenot significantly less than those produced by dynamic analysis, or

  code requirements dictate otherwise.

9.4.8  If dynamic analysis of line tensions is carried out, any increase in the effective drag diameter ofmooring lines, risers, umbilicals and power cables due to marine growth shall be taken into account.Guidance on estimating the effect of marine growth can be found in Section 6.7.4 of DNV RP C205,Ref. [4]

9.4.9 

Care should be taken when undertaking mooring analyses of systems with fibre ropes due to theirnonlinear stiffness characteristics. Fibre rope conditioning and fibre rope storm stiffness should beaddressed in the analyses.

9.4.10  Guidance on calculating the design maximum combined low frequency and wave frequency motion ofa moored vessel is given in Section 8.10.2 of ISO 19901-7:2005, Ref. [2].

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10  DESIGN AND STRENGTH

10.1  GENERAL

10.1.1  This section discusses how the design forces on mooring components may be calculated. It providesguidance on determining the acceptability of these calculated forces, together with guidance ongeneral design considerations.

10.2  REDUNDANCY

10.2.1  The mooring system must have sufficient built in redundancy, such that the failure of any singlecomponent will not result in a loss of ability to maintain station or an infringement of safe clearancesfrom other structures.

10.2.2  Failure cases should consider the worst potential failure case which may include shore or vesselconnection points.

10.2.3  Mooring systems without single point failure capacity may be found acceptable and approved, providedthat both the following are submitted:

a.  Emergency response procedures showing that suitable arrangements are in place, e.g. 24-hourmanning / monitoring, vessel assistance on standby and other practical arrangements to ensurethat any loss of position can be identified and controlled;

b.   A risk assessment that has been or can be accepted by GL Noble Denton; this shall include theeffect of losing buoys if these are used.

Note: The approach of simply doubling the safety factor requirements to compensate for lack ofredundancy is not acceptable for systems, including chain and associated connectors, becausemooring failures are not always directly related to a design overload. A case by case review taking intoaccount the age and condition of all the mooring line components should be carried out.

10.3 

MOORING PATTERN10.3.1  The mooring pattern chosen should be balanced, with line pretensions as evenly distributed as is

practicable. Patterns should be as close to symmetrical as practicable taking into account the actualsurveyed sea-bed infrastructure.

10.3.2  The methods for achieving design pretensions and sensitivity to variations therein will be of particularimportance in quayside moorings where the typically short line lengths and highly asymmetric mooringarrangements can lead to very uneven load sharing between the lines.

10.3.3  Mooring line bearing angles should be selected to avoid placing out-of-plane loads on all componentsincluding padeyes and pivoting fairleads, which have limited rotation angles.

10.3.4  In deeper water analytical checks must be carried out to confirm that mooring lines do not makecontact with the vessel itself or with the anchor racks/bolsters, as the resulting abrasive wear can

damage both the mooring line(s) and the vessel.

10.4  MOORING LINE AND CONNECTION STRENGTH

10.4.1  For quayside moorings the implications of tidal variation and how this could potentially result in chafingand abrasion of moorings should be taken into account with respect to line protection and thearrangements for mooring line adjustment, monitoring and maintenance.

10.4.2  The maximum analysed line tensions, when multiplied by a recognised appropriate safety factor shallnot exceed the MBLs of the mooring lines and the ultimate strength of the connections andattachments, taking their present condition into account.

10.4.3  Mooring line tension safety factors for various analysis methods and cases are given in Section 10.2 ofISO 19901-7:2005, Ref. [2].

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Table 10-1 Line Tension Limits and Design Safety Factors

Analysis Condition Analysis MethodLine Tension Limit(percent of MBL)

Design Safety Factor

Intact Quasi-Static 50% 2.00

Intact Dynamic 60% 1.67

Redundancy Check Quasi-Static 70% 1.43

Redundancy Check Dynamic 80% 1.25

Transient Quasi-Static 95% 1.05

10.4.4  The above safety factors are applicable to wire, chain and fibre rope mooring lines.

10.4.5  Certification of minimum breaking strength of fibre ropes shall be according to Section 12.6.3. Wherethe minimum breaking strength of fibre ropes does not conform to this certification criteria or whereequivalent reliability cannot be established (either on breaking strength or stiffness), the design safety

factors in Table 10-1

 shall be doubled. 

10.4.6  The safety factors specified in design codes are intended for mooring hardware that is regularlyinspected and maintained. The breaking loads used with these factors should account for anyreduction in the diameter of the mooring lines due to mechanisms including wear and corrosion.

10.4.7  If inspection or maintenance is not proposed an additional agreed allowance shall be made for wearand corrosion. This also applies to quayside moorings if replacement lines are not readily available incase of chafing or abrasion damage.

10.5  ANCHOR CAPACITY

10.5.1  It shall be demonstrated that the design environment does not lead to anchor forces in excess of theholding capacity of the anchors, including a recognised safety factor.

10.5.2 

The following safety factors, consistent with ISO 19901-7, Ref. [2], should be considered applicable inthe absence of other code specific requirements:

Table 10-2 Drag Anchor Holding Capacity Design Safety Factors

Condition Quasi-Static Dynamic Analysis

Permanent Mooring

Intact Condition n/a 1.50

Redundancy Check n/a 1.00

Mobile Mooring

Intact Condition 1.00 0.80

Redundancy Check Not required Not required

Table 10-3 Design Safety Factors for Holding Capacity of Anchor Piles and Suction Piles

Permanent Moorings Mobile Moorings

Analysis ConditionAxial

LoadingLateral

LoadingAxial

LoadingLateral

Loading

Intact Condition 2.00 1.60 1.50 1.20

Redundancy Check 1.50 1.20 1.20 1.00

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Table 10-4 Design Safety Factors for Holding Capacity of Gravity and Plate Anchors

Gravity Anchors Plate Anchors

PermanentMoorings

Mobile MooringsAnalysis Condition

Axial Lateral Axial Lateral

Permanent

Moorings

Mobile

Moorings

Intact Condition 2.00 1.60 1.50 1.20 2.00 1.50

Redundancy Check 1.50 1.20 1.20 1.00 1.50 1.20

10.5.3   Anchor forces may be reduced by friction between the grounded portion of the mooring line and theseabed. Guidance on mooring line seabed friction is given in Annex A.10.4.5 of ISO 19901-7:2005,Ref. [2] 

10.5.4   Anchor holding capacity for mobile moorings may be determined by referring to manufacturer’sdatasheets for the size and type of anchor under consideration taking into account the seabed soil typedetermined by location survey findings.

10.5.5  Where seabed conditions are unknown, or of a type not characterised by typical manufacturer data,anchor capacity should be demonstrated by proof loading; normally, to the maximum intact tensiondetermined in the mooring analysis.

10.5.6  For permanent moorings and those utilising VLAs (Vertical Load Anchors), e.g. DENLA / StevManta orpile anchors, detailed soil data and a full geotechnical assessment will generally be required.

10.5.7  It is generally accepted that modern drag embedment anchors (e.g. Stevpris Mk V and Bruce FFTS)are capable of resisting significant uplift forces. It is considered acceptable that this vertical loadcapacity is utilised, provided that the calculation is based on recognised guidelines, e.g. Appendix D of API RP 2SK 3rd Edition (2005), Ref. [3].

10.5.8  If traditional drag embedment anchors (not specifically designed to resist vertical uplift forces) areused, it must be shown that sufficient mooring line is deployed to prevent uplift in the intact case. Inthe single line failure case it is generally acceptable to have some uplift, provided that the vertical forceat the anchor is much less than the submerged weight of the anchor.

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11  CLEARANCES

11.1  GENERAL

11.1.1  The clearances stated below are given as guidelines to good practice. The specific requirements andclearances should be defined for each project and operation, taking into account particularcircumstances such as:

  water depth

  proximity of subsea assets

  survey accuracy

  the station keeping ability of the anchor handling vessel

  seabed conditions and slope

  estimated anchor drag during embedment

  single mooring line failure

  the probable weather conditions during anchor installation

11.1.2  Field operators and subsea asset owners may have their own requirements which differ from thosestated below, and should govern if more conservative. Agreement should be obtained from suchoperators and/or owners in advance if the moorings will be close to their assets.

11.1.3  If any of the clearances specified below are impractical because of the proposed mooring configurationor seabed layout a risk assessment shall be carried out to determine the necessary precautions. Theresults of the risk assessment shall be agreed with the relevant GL Noble Denton office.

11.1.4  Moorings should be designed and laid in such a way that there is positive clearance with any subseaasset during installation.

11.1.5  The following Table 11-1 summarises the minimum clearances described in the Sections below. The

minimum clearances are based on the worst intact configuration accounting for external loads.

Table 11-1 Summary of Minimum Mooring Clearances

Condition Minimum Clearance0032/ND Reference

Section

 Allowance for anchor placing inaccuracy 50 m (typical) 11.2.1

 Anchor horizontal distance from a subsea asset 100 m 11.2.2

Horizontal distance to pipeline or asset in line ofanchor drag

300 m 11.2.2

Line horizontal to subsea wellhead, manifold or

other asset100 m 11.3.1

Line/Vessel horizontal to platform* 10 m 11.3.2

Line above pipeline ≥40m WD 10 m 11.4.1

Line above pipeline <40m WD25% WD,

but not less than 5 m11.4.1

Line to line20 m

(30 m - if repositioning bywinching)

11.5.1

* This is only for platforms which project above Water Level (WL)

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11.2  HORIZONTAL ANCHOR CLEARANCES

11.2.1   Adequate clearance shall be maintained between anchors and any associated laydown pennants(where applicable) and seabed infrastructure. Allowance must be made for inaccuracies andunpredictability in the laying and embedment of drag anchors (typically 50m in the most critical

direction).11.2.2   Anchors should not be placed within 100m of a subsea asset. Additionally where the drag path of the

anchor is towards the asset, drag embedment anchors should be located more than 300m radially fromthe point where the anchor line crosses the pipeline, cable or subsea structure as shown in thefollowing Figure 11.1. These distances must be maintained throughout the mooring life.

Figure 11.1 Minimum Horizontal Anchor Clearances from Pipelines or Cables

11.3  HORIZONTAL WIRE OR CHAIN CLEARANCES

11.3.1  Moorings shall never be run over subsea assets, other than pipelines or cables, or within 100mhorizontally from them.

11.3.2  In the absence of code specific requirements minimum horizontal clearances of 10m should bemaintained both above and below the water line between the line and any structure that projects abovethe water level (structures that are fully submerged are classed as subsea assets).

11.4  LINE VERTICAL CLEARANCES

11.4.1  In the absence of code specific requirements minimum vertical clearances of 10m over pipelinesshould be maintained at any tension in the intact condition. In shallow water depths of less than 40mthe minimum clearance should not be less than 25% of the water depth, but not be less than 5.0m. Any reduction in clearance to less than that specified shall be based on a documented risk assessment(GL Noble Denton present) and provision for constant monitoring of the clearances during theoperation of the unit.

11.4.2   A reduced vertical clearance may be justified for fibre rope due to the greatly reduced weight of thematerial provided that the fibre rope connections are maintained clear of the thrash zone and thepipeline / umbilical / subsea infrastructure.

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11.4.3  Temporary lay-down of an anchor wire or fibre rope (but not chain) over a pipeline, umbilical, spool orcable may be acceptable subject to all of the following being submitted to review:

  Evidence that there is no other practicable anchor pattern that would avoid the lay-down.

  The status of a pipeline or spool (e.g. trenched, live, rock-dumped, on surface) and its contents

(e.g. oil, gas, water) and internal pressure.

  Procedures clearly stating the maximum duration that the anchor wire/fibre rope is in contactwith the pipeline, umbilical, spool or cable and the reason for the contact.

  Written evidence that the pipeline owner accepts laying down of the anchor wire over theirpipeline, umbilical spool or cable and has contingency measures in place in case of damageand a possible hydrocarbon leak.

  Evidence that the anchor wire will be completely slack i.e. no variation in tension.

  Evidence that the seastate during the lay-down will be restricted to an acceptable value.

  Documentation demonstrating that the anchor wire or its weight will not overstress or damagethe coating on the pipeline, umbilical, spool or cable.

11.5 

LINE-LINE CLEARANCES

11.5.1  Crossed mooring lines are generally not acceptable except:

a.  Where crossing points are visible and contact avoided / wear mitigated with suitable protection;

b.  Where a minimum line-line clearance requirement of 20 m (or 30 m if repositioning bywinching), can be demonstrated for the combinations of tensions and vessel motions that aremost critical from the clearance perspective. This would normally apply to independentlymoored vessels.

11.6  INSTALLING ANCHORS

11.6.1  Whenever an anchor is run out over a pipeline, flowline or umbilical, the anchor shall be securely

stowed on the deck of the anchor handling vessel. In circumstances where either gravity anchors orclosed stern tugs (tugs without stern rollers) are used, and anchors cannot be stowed on deck, theanchors shall be double secured through the additional use of a safety strap or similar.

11.6.2   At no time shall an anchor wire come in contact with a pipeline, cable or subsea structure while runningout or retrieving an anchor.

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12  MOORING EQUIPMENT

12.1  MOORING INTEGRITY

12.1.1  Whilst the selection of a mooring system to meet code requirements is imperative to ensure the overallsafety of a moored structure, it should be borne in mind that inappropriate selection of materials(connections and jewellery, etc) and inadequate inspection and maintenance programmes are likely tobe the primary factors in most failures.

12.1.2  Care shall be taken such that all mooring hardware is used in strict accordance with the manufacturer’srecommendations and best industry practice.

12.1.3  Experience is required to assess the suitability of a proposed mooring system for a long termapplication. Reference should be made to the principal findings from Noble Denton’s Phase 1 andPhase 2 Mooring Integrity Joint Industry Projects (JIPs). See Refs [12] and [13].

12.2  CERTIFICATION

12.2.1   All components of a mooring system should be certified and their certificates available for inspection byan attending surveyor.

12.3  ANCHORS

12.3.1   Anchors should be of a type approved by a recognised classification society and suitable for theseabed composition at the location. In particular, at locations where the seabed is hard, anchorscapable of taking the full load through the fluke tips alone should be used.

12.3.2  Where applicable, anchors should be correctly configured for the seabed composition at the location,e.g. fluke angle should be set as per manufacturer’s recommendations.

12.4  CHAIN

12.4.1  Mooring chain shall be manufactured in accordance with an appropriate standard for offshore mooring

chain (such as an IACS classification society) and certified by an IACS member or other recognisedcertification body accepted by GL Noble Denton.

12.5  WIRE ROPE

12.5.1  Wire rope mooring components for offshore mooring shall comply with the requirements of Section11.1.2 of ISO 19901-7, Ref. [2] (Stationkeeping Systems) and be certified by an IACS member or otherrecognised certification body accepted by GL Noble Denton.

12.6  FIBRE ROPE

12.6.1  In general, contact between fibre rope and the seabed should be avoided in normal operatingconditions.

12.6.2 

Given the nonlinear stiffness characteristics of fibre ropes, it is essential that appropriate data isobtained on the stiffness characteristics under load.

12.6.3  Minimum breaking strength of fibre ropes shall be certified in accordance with a standard industrypractice (such as API RP 2SM) by bodies approved by an IACS member or other recognisedcertification body accepted by GL Noble Denton.

12.7  CONNECTORS

12.7.1  Mooring chains should be composed of continuous lengths of chain where practicable.

12.7.2  Where it is necessary to use in-line connectors, the mooring pattern should be designed, so as toensure that no connecting hardware is subjected to thrashing against the seabed. If this is notpossible this should be risk assessed on a case by case basis and suitable contingency measures putin place in case of failure at this location.

12.7.3  Only classification society approved Long Term Mooring (LTM) connectors should be used where adouble locking mechanism has been employed to restrain the main load bearing pins of the connector.

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12.8  BUOYS (SURFACE AND SUBSURFACE)

12.8.1  Spring buoys should be designed in accordance with the requirements of a recognised design code.Guidance on spring buoy design is given in Section 11.1.5 of ISO 19901-7, Ref. [2], (StationkeepingSystems).

12.8.2  It should be ensured that any subsurface buoy is supplied with a suitable submersion rating for theintended application.

12.8.3  For long term applications, the dynamic response of the buoy and the resulting fatigue implications forall connections should be addressed. Experience has shown that such analyses are complex and timeconsuming and do not necessarily predict possible failure modes which may be experienced in thefield.

12.8.4  Where buoys are used to provide clearances, means to detect their loss should be provided e.g.tension monitoring (this should reveal a loss), transponders, etc. The operating procedures shoulddocument the loss monitoring procedure and the remedial actions required. Suitable spares shouldalso be readily available and stored in a convenient location.

12.9 

VESSEL CONNECTION POINTS12.9.1  Where vessel connections are to fairleads / winches / windlasses that make up part of a classedmooring system for a vessel, e.g. under POSMOOR notation, it is acceptable to assume that thesehave adequate strength (as the capacities of these are specified under the class rules in relation to theMBL of the vessel’s mooring lines).

12.9.2  Vessel connections points (including windlasses, winches, fairleads, Smit brackets, bollards, bitts etc)should generally be designed for a load equal to 1.1 times the MBL of the connected mooring line.The foundation structure must also be demonstrated to be suitable for the same design loads.

12.9.3  Where design calculations and/or certificates are unavailable, it may  be acceptable to demonstrateadequate connection capacity through proof loading. OCIMF, Ref. [11], gives some guidance onsuitable levels of proof loading for common vessel connections (e.g. double bitts, panama chocks etc).Proof loading is potentially hazardous and a detailed, risk assessed procedure, will be required beforecommencing such proof loading operations.

12.9.4  Notwithstanding any class requirements, winches/windlasses should have a stall capacity sufficiently inexcess (typically 20%) of the maximum line tensions in the limiting operating environment to allow thevessel to safely move to the standby/survival condition (as applicable).

12.10  FENDERING

12.10.1  When a vessel is to be moored against another structure such as a quayside, adequate fendering shallbe provided to prevent damage to the vessel and structure.

12.10.2  In cases where fendering must restrain the vessel (e.g. when the vessel is blown on to the quay),fenders shall be considered to be structural elements of the mooring system and shall be subject to thesame redundancy requirements as mooring lines.

12.10.3  It must be demonstrated that the maximum analysed load upon any fender when multiplied by theappropriate safety factor (see Table 10-1) does not exceed the static reaction force rating of thefender.

12.10.4  The pressure exerted by a fender on the hull of the vessel and the quay shall be calculated, and it shallbe demonstrated that this pressure is not in excess of that which the vessel’s structure and the quayare designed to resist.

12.10.5  The rated energy absorption capacity of the fendering shall be at least twice the energy associatedwith the vessel’s peak velocity due to the environment or wake induced motion from passing traffic.

12.10.6  Structural elements of fendering (e.g. pressure membranes) shall be protected (e.g. with sacrificialelements such as tyres) such that they are not damaged through contact with the vessel or quayside.

12.10.7 

Moveable fenders shall be restrained to prevent excessive movement. Restraints shall be designed toresist a load equal to the maximum analysed load on the fender multiplied by the maximum coefficientof friction between the fender and vessel.

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12.10.8  Particular care should be taken where it is intended to employ a spacer barge as a fender. Thesearrangements have historically proven to have high failure potential and should, therefore, always bethe subject of careful design and independent scrutiny.

12.10.9  Fenders should be arranged to avoid the possibility of a vessel “hang up” against the quayside. The

fender arrangement should be subject to a local site inspection. This is particularly relevant for loadoutoperations where “hung up” barges may suddenly come free as the load of a module is beingtransferred from the quayside to a barge.

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13  PROCEDURAL CONSIDERATIONS

13.1  GENERAL

13.1.1  The planning and preparation for mooring a vessel should be carried out sufficiently in advance of theoperation such that the analyses described in this document can be carried out.

13.1.2  Non-standard mooring operations such as quayside moorings of MODUs shall be risk assessed toconfirm that all factors relating to the security of the vessel have been taken into account and that thelevel of risk is controlled. The risk assessment shall be submitted for approval by GL Noble Denton.The risk assessment should also take into account political or crime related security risks associatedwith the location.

13.1.3  Prior to designing a mooring spread a mooring analysis needs to be carried out and the factorsdetailed in Sections 7, 8 and 9 are to be taken into account.

13.2  ANCHOR PROOF LOADING

13.2.1   After installation, anchors should be proof load tested to ensure adequate embedment. Proof loadsshould be maintained for at least 15 minutes.

13.2.2  For mobile moorings in open locations, proof loads will generally be to the maximum expectedoperating tension at a location.

13.2.3  For mobile moorings in proximity to other installations, proof load is expected to be the maximum intacttension identified in a mooring analysis.

13.2.4  Mooring test loading for permanent moorings shall be in accordance with Section 10.4.6.2 of ISO19901-7, Ref [2].

13.3  MANNING

13.3.1  The level of manning shall be sufficient in terms of numbers, skill competency and experience tooperate all the relevant machinery and to manage the mooring system and emergency systems, on atwenty-four hour basis, without the need for any personnel to work excessively long hours. Thenumbers shall be sufficient to take appropriate action in the case of any emergency to ensure thesafety and security of the crew, the vessel and the location infrastructure (including port facilities,moored vessels and environmental considerations).

13.3.2  Where appropriate shore-side assistance should be available on a 24-hour basis with direct lines ofcommunication to the moored vessel.

13.4  INSPECTION, MONITORING AND MAINTENANCE

13.4.1  Where practicable, an inspection, monitoring and maintenance programme should be in place toensure that all mooring components are in a serviceable condition and that their certified MBLs remainvalid. Discard criteria shall be documented and applied in line with recognised industry standards

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14  DOCUMENTATION

14.1  LEADING TO APPROVAL

14.1.1  For GL Noble Denton to issue approval, the following documentation must be provided.

14.2  OFFICE REVIEW

14.2.1  Mooring analysis report detailing:

a.  Location and Vessel Data (see Sections 6 and 7);

b.  Environmental Loads and Motions (see Section 8);

c.  Mooring Analysis Results (see Sections 9, 10, 11 and 12).

14.2.2  Mooring plan detailing vessel location and mooring arrangement.

14.2.3  Supporting procedures and risk assessments (particularly where the mooring is weather restricted or isnot fully redundant).

14.3 

ON SITE

14.3.1  Certification for all mooring components including vessel and shore connection points. Thesecertificates shall be issued or endorsed by bodies approved by an IACS member or other recognisedcertification bodies accepted by GL Noble Denton. If the certification is old, on site inspection by acompetent person should have been carried out to check the present condition of connection points,etc.

14.3.2  Details of manning and emergency response plan.

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15  SPECIAL CONSIDERATIONS FOR INSHORE AND QUAYSIDE MOORINGS

15.1  BACKGROUND

15.1.1  The engineering, design, verification and execution of inshore and especially quayside moorings isvery frequently underestimated leading to a gap between the strict requirements for approval and whatthe client / contractor may wish to provide. The default standards used often fall below therequirements of a 10 year return period design to recognised codes.

15.2  LOCATIONS WITHIN HARBOUR LIMITS

15.2.1  The intended location of the unit within the port area should be established with the Port Authority. Insome cases the Port Authority will have determined this well in advance and it will not be subject tochange. In some Ports, where commercial shipping forms the core of their business, the berthselected by the Port may be subject to change. In all cases discussions should be held with the Port Authority to determine the berth likely to be selected and its characteristics and those of any likelyalternatives.

15.2.2  If the Port Authority is reluctant to commit to a particular berth the importance of the details of the berthin the project planning and design should be emphasised in discussions with the Port Authority. Inorder to avoid delays it may be necessary to undertake analyses for not only the most probable berthbut also a number of contingencies.

15.2.3  The potential for surge due to passing traffic, particularly if moored in a river or canal, should beassessed. The unit may experience surge up and down the berth and may be drawn off it.

15.2.4  The Port Authority should be requested to issue a Notice to Mariners requesting passing marine trafficto reduce their speed to limit any effect of surge on the moorings.

15.3  CONTINGENCY ARRANGEMENTS

15.3.1  Details of tug capacity and shore-based manpower, their availability, call out times, phone numbers

and port emergency procedures should all be provided for review and taken into account in the riskassessment (see Sections 13.1.2 and 13.3).

15.4  MOORING CONSIDERATIONS

15.4.1  Even very small magnitude motions induced by waves or long period swell, can result in very largetensions on the short, stiff mooring lines commonly utilised in quayside moorings. This effect shouldbe evaluated closely (see Section 8.5.4).

15.4.2  Motions will also increase the likelihood of abrasion damage particularly in fibre ropes. Chafe chain,stretchers and adequate protection should be employed to minimise chafe points. Chafe points shouldbe regularly inspected and if significant damage is found the damaged components should be replacedas a matter of priority. Thus, adequate contingency spares are required at the site of the mooring.

15.4.3  Wind loads shall take account of all construction phases and can be increased due to scaffolding, windand weather protection, etc.

15.4.4  It is often impossible to properly tension and adjust moorings at quayside. It is therefore necessary totake account of large variations in working tension in the mooring analysis. A suitable method forachieving and verifying the design pretension should be considered during mooring design. In practicea smaller number of high capacity, lines with similar lengths and pretensions is better than multiplesmall ones in an asymmetric arrangement.

15.4.5  In some cases a mooring is simply not feasible without some means of adjustment and this can besomewhat difficult and expensive to provide if it is not available on the vessel. It, however, representsa wise investment given the likely value of the moored object.

15.4.6  Quayside moorings will often necessitate the use of multiple connections, strops etc to make up the

mooring lines. These need to be reviewed carefully to ensure that there are no unforeseen failuremodes. All connections shall be properly matched and all soft rope to hard tackle connections shallhave properly fitted hard eyes.

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15.4.7   Adequate fendering is hard to achieve on larger vessels, semi-submersibles, etc. because the loadsinvolved can be large. Spacer barges, in particular, have a poor record in operation and proposals touse spacer barges should always be carefully engineered. If possible, some means of holding thevessel off the quay as well as the fenders should be provided. Laying offshore anchors on a semi-submersible moored at the quayside can provide an additional contingency.

15.4.8  Inshore and especially quayside moorings will typically require a careful local study of environmentaldesign extremes. Usually it is not feasible to design the mooring to resist the omni-directionalextremes so some form of directional metocean study is required. It is rare to have available a full setof data on current and tides, and it may be necessary to take some local measurements to determinethe actual current at the quayside.

15.4.9  Quayside moorings typically have short natural periods. Therefore the wind and wave excitationfrequencies need to be carefully established.

15.5  SHORE MOORING POINTS / BOLLARDS / WINCHES

15.5.1  The capacity of shore mooring points and winches, including their foundations, should bedemonstrated by certification or by design. Where these are unavailable, proof loading may be

undertaken to demonstrate capacity. Proof loads should be a minimum of 1.25 times the maximumintact tension for that line calculated in the mooring analysis. Proof loading operations can bepotentially very hazardous and should be carefully planned taking into account the possibility ofcatastrophic failure of connection points. A suitable, risk assessed, proof testing procedure should beavailable.

15.6  PROCEDURES

15.6.1  Procedures should detail and quantify, where applicable,

  mooring tension monitoring, inspection, line adjustment and

  emergency response arrangements, including spare equipment and availability of tugs andshore-based manpower as described in Section 15.3.

  mooring line tending arrangements to account for predicted variations in tidal height

  safe access to vessels accounting for potentially significant tidal variations.

15.7  COLD STACKING

15.7.1   Approval for cold stacking can only be given when it can be demonstrated that all of the factorsmentioned in this document have been taken into account and it can be demonstrated by a riskassessment accepted by GL Noble Denton that cold stacking presents no substantially increased riskto the unit. It is clear, however, that moorings on cold stacked units still require regular inspection andit should be documented that steps have been put in place for this to be carried out.

15.8  ICE LOADING

15.8.1  For locations where loading from drifting ice is expected on a moored structure the impact on mooringline tensions shall be assessed.

15.8.2  Mooring lines employed in locations where sea ice is expected shall be qualified by the manufacturersfor the range of temperatures expected in the region. The mooring lines shall be resistant to abrasion.

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16  SPECIAL CONSIDERATIONS FOR PERMANENT MOORINGS

16.1  GENERAL

16.1.1  Requirements for permanent moorings are fairly comprehensively covered in the industry standardcodes referred to previously.

16.1.2   Additional considerations over mobile moorings are likely to include the following with furtherinformation available in the Mooring Integrity JIP OTC papers, Ref. [12] and [13]:

  Fatigue (axial, bending and torsion)

  Marine growth and how to r remove it for inspection to take place

  Wear and corrosion including , microbial induced corrosion (MIC)

  Mooring line failure detection and instrumentation

  Spring buoy failure detection.

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REFERENCES