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{{org_field_name}}

Registration Number: {{org_field_registration_no}}


Risk Assessment and Risk Management Policy

1. Purpose

The purpose of this policy is to ensure that {{org_field_name}} maintains a consistent, systematic and effective approach to identifying, assessing, controlling, monitoring and reviewing risks arising from its activities as an employment business supplying temporary healthcare workers to clients in England. {{org_field_name}} does not provide or manage regulated care services and does not assume the client’s responsibility for the management of care, the premises, equipment, care plans, clinical governance or local systems of work. However, {{org_field_name}} recognises that it retains legal and contractual responsibilities for matters within its knowledge and control, including worker selection, suitability checks, communication of placement information, training, escalation of concerns and co-operation with clients.

Risk management is essential to protecting temporary workers, the agency’s internal staff, clients, service users and other persons who may be affected by the agency’s activities. This policy establishes the arrangements for assessing placement-related and organisational risks, obtaining and communicating relevant information, responding to incidents and concerns, and co-operating with clients to ensure that risks are controlled so far as is reasonably practicable.

This policy has been prepared with regard to the Health and Safety at Work etc. Act 1974; the Management of Health and Safety at Work Regulations 1999; the Reporting of Injuries, Diseases and Dangerous Occurrences Regulations 2013; the Conduct of Employment Agencies and Employment Businesses Regulations 2003, as amended; the Agency Workers Regulations 2010; the Personal Protective Equipment at Work Regulations 1992, as amended; the Control of Substances Hazardous to Health Regulations 2002; the Manual Handling Operations Regulations 1992; the Equality Act 2010; the Data Protection Act 2018 and UK GDPR; and other health and safety legislation applicable to the activities being undertaken. Where workers are supplied to a CQC-regulated client, they must comply with that client’s lawful policies, procedures and regulatory arrangements, but {{org_field_name}} does not represent that it is itself a CQC-registered care provider.

2. Scope

This policy applies to:

This policy does not replace a client’s health and safety policy, clinical governance arrangements, care plans, risk assessments, safeguarding procedures or emergency arrangements. The client remains responsible for matters under its management and control, including the safety of its premises, equipment and local systems of work. {{org_field_name}} will nevertheless take all reasonably practicable steps within its control and will co-operate and exchange relevant information with the client.

3. Related Policies

This policy should be read with the following policies and procedures:

4. Policy Statement

{{org_field_name}} is committed to preventing injury and work-related ill health and to managing risks so far as is reasonably practicable. It will:

5. Responsibilities

Directors and Health and Safety Lead

The directors have overall accountability for the agency’s health and safety and risk-management arrangements. They will:

Recruitment, Compliance and Placement Staff

Recruitment, compliance and placement staff will:

Clients and Hirers

Before a worker is supplied, the client will be required to provide accurate and sufficient information concerning:

The client is responsible for the day-to-day control of the work, safe premises, safe equipment, local induction, local supervision, emergency arrangements and placement-specific risk assessments. The client must inform {{org_field_name}} promptly of incidents, restrictions, concerns or material changes affecting a supplied worker.

Temporary Workers

Temporary workers must:

6. Principles of Risk Assessment

All risk assessments completed by or on behalf of {{org_field_name}} must be suitable and sufficient, proportionate to the nature of the risk and completed by a person with appropriate knowledge and competence. The assessment process will:

  1. identify hazards;
  2. identify who may be harmed and how;
  3. evaluate the likelihood and potential severity of harm;
  4. identify existing controls;
  5. apply the hierarchy of controls by eliminating risks where reasonably practicable and otherwise reducing them through substitution, engineering controls, safe systems of work, training, supervision and PPE;
  6. identify further action, the responsible person and completion date;
  7. record significant findings and communicate them in a comprehensible form to affected persons;
  8. verify that agreed controls have been implemented; and
  9. monitor and review the assessment.

Risk assessments must be reviewed where:

A routine review date does not remove the obligation to review an assessment sooner when any of these circumstances arise.

7. Types of Risk

Risks relevant to the agency’s activities may include:

8. Risk Assessments Undertaken by {{org_field_name}}

{{org_field_name}} will maintain or arrange risk assessments appropriate to its activities, including:

A documented placement suitability assessment must be completed before the first supply to a new client or new type of assignment. It must be reviewed when the duties, location, service, working conditions or known risks materially change. The assessment must record the information supplied by the client, outstanding information, control measures, responsible persons, approval decision and review date.

Where {{org_field_name}} does not control the workplace, it will not attempt to replace the client’s workplace risk assessment. It will obtain, evaluate and communicate sufficient information to decide whether the placement and proposed worker are suitable and whether further clarification or controls are required.

9. Risk Assessments in Client Settings

Before starting an assignment, workers must receive or be given access to relevant placement information, including local induction, emergency arrangements, reporting procedures, role boundaries, material risk assessments and applicable safe systems of work.

Workers must:

Where a worker identifies a serious deficiency, the worker must notify the client and {{org_field_name}} without delay. {{org_field_name}} will assess whether the worker should remain at the placement, be temporarily withdrawn or be reassigned.

10. Placement Information Before Supply

{{org_field_name}} will not introduce or supply a worker unless it has obtained sufficient information to determine that the worker is suitable for the position. The information sought from the client will include:

Material information will be provided to the worker in a durable and comprehensible form before the assignment begins. Where information changes, the worker will be informed promptly and the suitability of the placement will be reassessed.

Where the client fails to provide sufficient information, the placement must not proceed until the information has been obtained and any material concern resolved.

11. Dynamic Risk Assessment and Serious or Imminent Danger

Dynamic risk assessment is a continuous process used when circumstances change or an unexpected hazard arises. It does not replace a suitable formal risk assessment.

A worker who encounters an unexpected risk must:

No worker will be instructed to resume work until the risk has been adequately assessed and controlled. A worker who leaves or refuses to return to a situation they reasonably believe presents serious and imminent danger must not be subjected to retaliation for raising the concern in good faith.

12. Incident, Accident, Near-Miss and Concern Reporting

Workers must report accidents, injuries, exposure incidents, near misses, dangerous conditions, safeguarding concerns and work-related ill health promptly to both the client and {{org_field_name}}, using the applicable reporting systems.

{{org_field_name}} will:

For a potentially reportable event under RIDDOR, {{org_field_name}} and the client will establish without delay which organisation is the “responsible person” required to submit the report. The decision and supporting reasons must be documented. Where {{org_field_name}} is the responsible person, it will make the report within the statutory timescale. Where the client is responsible, {{org_field_name}} will obtain confirmation that the matter has been considered and will co-operate by supplying relevant information.

Safeguarding referrals will be made to the relevant local authority, police, professional regulator or other appropriate body in accordance with the Safeguarding Policy. {{org_field_name}} will notify the CQC only where it has an applicable legal duty or is specifically providing information in support of a CQC-regulated client’s notification. The agency must not imply that it is itself a CQC-registered provider.

13. Risk Register

The directors will maintain an organisational Risk Register containing, as a minimum:

High or critical risks must be escalated to a director immediately and must not wait for the routine quarterly review. The Risk Register will be formally reviewed at least quarterly and whenever a significant new or changed risk is identified.

14. Training, Competence and Information

{{org_field_name}} will ensure that workers and internal staff receive information, instruction and training appropriate to their responsibilities and the risks they may encounter.

Training requirements will be determined by:

Depending on the assignment, training and competence requirements may include:

Training records must show the subject, provider, completion date, assessment outcome where applicable and expiry or refresher date. Expired or unverified training must not be treated as current. Workers must not be supplied to duties requiring competence that has not been verified.

Placement-specific induction remains the client’s responsibility, but {{org_field_name}} must obtain reasonable assurance that appropriate induction and supervision arrangements exist.

15. Personal Protective Equipment, Equipment and Health Surveillance

The placement assessment must establish what PPE, equipment, fit testing, health surveillance or occupational health controls are required and which organisation will provide them.

Where {{org_field_name}} is legally responsible for providing PPE, it will provide suitable PPE free of charge, together with appropriate information, instruction, training, storage, maintenance and replacement arrangements. Where the client provides PPE because it controls the task and workplace, {{org_field_name}} will obtain reasonable assurance that suitable PPE will be available without charge to the worker.

PPE must be suitable for the risk, task, environment and individual worker. Workers must report missing, defective, poorly fitting or unsuitable PPE immediately and must not be required to undertake a task where necessary protection is unavailable.

Where health surveillance is required by law, the responsible organisation must ensure that suitable arrangements are in place. Relevant information about any required health surveillance must be provided to the worker before duties commence.

16. Pregnancy, New Mothers and Breastfeeding

A worker is encouraged to notify {{org_field_name}} in writing as soon as reasonably practicable if she is pregnant, has given birth within the previous six months or is breastfeeding, so that relevant workplace risks can be assessed.

On receiving notification, {{org_field_name}} will:

A worker must not be subjected to unfavourable treatment because of pregnancy, maternity or a related health and safety requirement.

17. Young Workers

{{org_field_name}} will not employ or supply a person under 18 unless a specific assessment of risks to young persons has been completed and the proposed work is lawful and suitable.

The assessment must consider the young person’s lack of experience, maturity and awareness of risk; exposure to physical, biological or chemical agents; work equipment; work organisation; training; supervision; working hours; and the nature and degree of any unavoidable risk.

A young worker must not be supplied to work beyond their physical or psychological capacity or to prohibited or unsuitable duties. Enhanced instruction, training and supervision must be arranged where necessary.

18. Communication and Worker Consultation

{{org_field_name}} will provide health and safety information in a form that is accurate, timely, comprehensible and appropriate to the worker’s role.

The agency will:

A worker who does not understand the information provided must seek clarification before carrying out the affected task.

19. Person-Centred Practice and Client Care Plans

{{org_field_name}} recognises that workers supplied to health and social care clients may be required to support lawful, person-centred decisions involving a balance between safety, autonomy, dignity and choice.

The client is responsible for assessing and documenting service-user risks, care plans, capacity decisions and best-interests decisions. Temporary workers must:

Where immediate action is necessary to prevent harm, the worker must take proportionate action within their competence and report and document the circumstances without delay.

20. Refusal, Suspension or Withdrawal of a Placement

{{org_field_name}} may refuse to commence, suspend or terminate a placement where:

The decision, reasons, immediate safeguards and required follow-up action must be recorded. Where withdrawal could affect continuity or safety, {{org_field_name}} will communicate promptly with the client while ensuring that the worker is not required to remain in serious or imminent danger.

21. Monitoring, Assurance and Policy Review

The directors will monitor the effectiveness of this policy using:

This policy will be formally reviewed at least annually and earlier where:

22. Definitions

For the purposes of this policy:

Regulated activity means an activity requiring registration under the Health and Social Care Act 2008 regulatory framework. {{org_field_name}} supplies temporary workers and does not itself carry on a regulated care activity unless its operating model is formally changed..

Agency worker means an individual supplied by {{org_field_name}} to work temporarily under the supervision and direction of a client or hirer.

Client or hirer means the organisation or person to whom a worker is introduced or supplied.

Employment business means a business that supplies persons to work temporarily for and under the control of another person.

Hazard means anything with the potential to cause injury or ill health.

Risk means the likelihood that harm will occur and the severity of that harm.

Suitable and sufficient risk assessment means an assessment proportionate to the nature of the work and risk, capable of identifying significant hazards and the measures required to control them.

Dynamic risk assessment means an immediate assessment made in response to changing or unexpected circumstances; it does not replace formal assessment.

Serious and imminent danger means a situation presenting a real and immediate risk of serious harm.

Competent person means a person with sufficient training, knowledge, experience and other qualities to assist in managing the relevant health and safety matter.


Responsible Person: {{org_field_registered_manager_first_name}} {{org_field_registered_manager_last_name}}
Reviewed on:
{{last_update_date}}
Next Review Date:
{{next_review_date}}
Copyright © {{current_year}} – {{org_field_name}}. All rights reserved.

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