|
CFSAN/Office of Compliance
January 2005
The U.S. Food and Drug Administration's (FDA) National Retail Food Team has released a report on certain food preparation practices and employee behaviors in 9 food facility types that are most frequently reported to the Centers for Disease Control and Prevention as contributing factors to foodborne illness outbreaks. The following questions and answers may help provide a better understanding of the report and its contents.
The 2004 "FDA Report on the Occurrence of Foodborne Illness Risk Factors in Selected Institutional Foodservice, Restaurant, and Retail Food Store Facility Types" (the Report) is an effort to observe and document food safety practices and employee behaviors that have the potential to contribute to foodborne illness. The study is designed to collect this data in selected foodservice and retail food establishments at five-year intervals. These data collection efforts are designed to get an accurate picture of the extent to which foodservice and retail food operations have active managerial control over contributing factors to foodborne illness. Using data from multiple collection periods, FDA hopes to evaluate trends and determine whether progress is being made toward the goals of reducing the occurrence of food safety practices and employee behaviors that could contribute to foodborne illnesses.
In developing the design for
this study, the U.S. Food and Drug Administration's National Retail Food Team
used information from the Centers for Disease Control and Prevention's (CDC)
Surveillance Report for 1988 - 1992 to identify which food safety practices
should be the focus of its data collection efforts. This CDC surveillance
report identified food safety practices and employee behaviors most associated
with foodborne illness outbreaks. Some of these reported contributing factors
relate to food safety concerns within foodservice and retail food store
facility types and include: food from unsafe sources, improper holding/time
and temperature, inadequate cooking, poor personal hygiene, and contaminated
equipment/prevention of contamination.
For the purposes of this study FDA designated these five areas as foodborne illness risk factors. FDA added another category to assess control of potential chemical hazards. It is important that one not confuse the term risk
factor as it is used in this FDA study with another use of the same term which
is to describe characteristics of the person, food, or location that are
statistically linked to an illness by an epidemiological investigation. The
results for the FDA 2004 Report should not be used to infer a correlation
between the occurrence of a foodborne illness risk factor with the actual
occurrence of human illness.
The 2004 Report provides a summary of not one FDA study but 9 separate studies, one for each of the nine facility types. These 9 facilities types are drawn from 3 targeted industry segments - Institutional Foodservice, Restaurants and Retail Food Stores.
Institutional Foodservice
Restaurants
Retail Food Stores
The results from the data should not be used to compare one facility type with another. Different food safety practices and employee behaviors are observed within each of the 9 facility types.
The data presented in the 2004 study were collected in 2003 during 926 inspections of foodservice and retail food facilities across the U.S as part of a 10-year plan for data collection during 1998, 2003, and 2008.
The data collection tool used to record the data for the
study includes 42 individual data items sorted among the 5 foodborne illness
risk factor categories and the other chemical category. Dividing each of the
foodborne illness risk factors into individual data items allows the study to
assess what specific food safety practices and employee behaviors are in most
need of attention.
For each individual data item, the data collector determined
whether it was:
The same 42 data items will be assessed for each of the data collection periods in the study (1998, 2003, and 2008). The critical limits and standards contained in the 1997 FDA Food Code will be used to assess each of these 42 data items for all 3 data collection periods.
One of the purposes of the project is to track changes related to industry's efforts to control foodborne illness risk factors over time. For this type of study, the standard of measurement used to evaluate these comparisons - in this case the 1997 Food Code - must remain constant for each of the data collection periods.
Suppose the recommended standard in the Food Code was relaxed between data collection periods in the study and the data item was changed accordingly. Let's say that the next data collection shows an improvement in the IN Compliance percentage for that data item. One would not know if the improvement was due to an improvement in employee food safety practices or whether it was due to the change in the Food Code standard.
The study is designed to track changes in industry's active managerial control of food safety practices and employee behaviors; not simply compliance with regulatory standards.
FDA is assessing what impact changes to the Food Code may have on the compliance percentages for individual data items and foodborne illness risk factors.
The data collection form contains a section titled, Supplemental Items. These additional items were added to assess some industry food safety practices not addressed in the first report and assess what impact, if any, changes in the Food Code may have on the data results. Only a couple of data items from the original study contain standards or critical limits that have been changed since the release of the 1997 Food Code.
Three levels of data analysis are conducted for each of the 9 facility types:
The Out of Compliance percentage for an individual data item is calculated by dividing the total number of observations that are Out of Compliance by the total number of observations (both IN and OUT). Not Observed and Not Applicable markings are not used to determine Out of Compliance percentages. This is because the study is designed to be an assessment of actual observations.
Note that an observation is defined as the totality of the evaluations of a single data item for one establishment. For example, if handwashing was evaluated 10 times in an establishment and one or more of these evaluations was "out of compliance" then the observation would be considered "Out of Compliance". If all 10 evaluations were "in compliance", then the observation would be considered "IN Compliance".
The Out of Compliance percentage for a data item represents the proportion of establishments where that data item was found Out of Compliance at least once when the practice or procedure could be observed. For example, the report shows a 40% Out of Compliance percentage for proper, adequate handwashing in nursing homes. This percentage should NOT be interpreted to mean that food workers were not washing their hands properly 40% of the time.
What the 40% Out of Compliance percentage means is that in 4 out of 10 nursing home establishments where handwashing was observed, there was at least one instance of improper or inadequate handwashing.
The second level of analysis is to determine the Out of Compliance percentage for each of the foodborne illness risk factors for each of the facility types. Each of the risk factors is comprised of a number of individual data items. The Out of Compliance percentage for each foodborne illness risk factor is determined by dividing the total number of Out of Compliance observations of all the data items that comprise a risk factor by the total number of observations (both IN and OUT) made of those data items.
For example, the Poor Personal Hygiene risk factor is comprised of 5 data items. The Out of Compliance percentage is determined by dividing the total Out of Compliance observations of these 5 data items by the total number of observations (both IN and OUT) of the 5 data items.
The third level of data analysis is to determine the Overall IN Compliance percentage for each of the 9 facility types. This is done by dividing the total number of IN Compliance observations of all 42 data items by the total number of observations (both IN and OUT) made of those data items. The 1998 Overall IN Compliance percentage represents the study's Baseline measurement for each facility type.
Two limitations were imposed by the nature of the inspection process. First, the timing of the inspection could not always coincide with some of the procedures FDA wanted to observe, such as an establishment receiving food items from their suppliers or the end-of-the-day breakdown and storage of food products.
Second, the length of inspection time did not always provide an opportunity to observe completion of an important food process. This is particularly true of the cooling process for cooked foods.
Although data on foodservice and retail food establishments throughout the country have been collected for this study, it was not designed to support comparisons of foodborne illness risk factors across states, counties, cities, or regions of the U.S. Similarly, there is not enough data to justify comparisons of chains of restaurants or chains of grocery stores.
FDA has developed a strategic plan directed toward establishing a national retail food program model that regulatory agencies can use to:
The FDA Voluntary National Retail Food Regulatory Program Standards (Program Standards) provide a framework for public health administrators to assess their retail food protection program using national recognized criteria. Endorsed by the Conference for Food Protection, the Program Standards are not based on minimum criteria but rather set a high bar for an effective public health food safety program to aspire to.
The Program Standards are comprised of nine separate Standards. The criteria established for each of these program areas are designed to address important retail food protection issues:
Are regulatory requirements that apply to food establishments based on science and sound public health interventions? Does the agency have the statutory authority to effectively enforce its requirements?
Does the program ensure that personnel are properly trained and standardized in the essential elements of food safety and effective inspection and enforcement principles?
Do facility inspections focus on the status of the key foodborne illness risk factors and the correction of out-of-control risk factors through active managerial control by the operator?
Does the agency have a quality assurance program that promotes uniform interpretation and application of the regulatory requirements and policies?
Are reports of foodborne illness, injury and intentional contamination investigated, analyzed, and documented in an effective manner?
Do agency compliance procedures result in the timely correction of out-of-control risk factors? Are appropriate enforcement actions taken when necessary and are they applied consistently across the industry?
Does the program foster communication and information exchange between it and the regulated industry, consumers, and other stakeholders?
Does the program have the funding, staff, and equipment needed to support an effective risk-based food safety program?
Does the program strive for excellence in the services it provides? Does the program employ the "best practices" to achieve a reduction in foodborne illness risk factors?
The criteria are not intended as pass/fail criteria, but instead they direct an enrolled agency toward a desired set of performance outcomes. By working toward the stated performance outcomes, an agency will position itself to achieve the greatest public health benefit given the resource constraints under which it operates. Each Standard requires that program management take a hard look at the structure and implementation of its program.
One of the most important findings from the original 2000 Report was that the following three foodborne illness risk factors were identified as the areas in most need of attention:
The data results in the 2004 Report once again identify these 3 foodborne illness risk factors and the individual data items that comprise them as priorities for all the facility types. This is not meant to imply that a comparison is being made between the two reports. It is simply noting that as two stand alone studies, conducted at different time intervals (1998 and 2003), they identify, for the most part, the same food safety practices and employee behaviors as priorities.
Many establishments within the foodservice and retail food segment of the industry have taken proactive measures to enhance the effectiveness of their food safety management systems. At the same time, more and more regulatory agencies are incorporating a risk-based inspection methodology into their food inspection programs. The identification of the same areas in these stand alone reports does not necessarily mean that regulatory and industry intervention strategies in response to the first report have been ineffective. At this time, there is simply not enough data upon which to draw any meaningful conclusions as to the impact of these intervention strategies. The study design requires a minimum of 3, possibly more, data collection periods, to assess improvement or regression patterns related to the control of foodborne illness risk factors.
It appears that the presence of a Certified Food Protection Manager has a positive effect on compliance. Four facility types had overall IN Compliance percentages that were significantly higher in establishments with a Certified Food Protection Manager than in establishments without one. There was also a significantly higher percent IN Compliance for establishments with a Certified Food Protection Manager than for those without one for specific risk factors in some facility types.
For many food safety professionals there will be a normal and understandable urge to focus on the out of compliance percentages for the risk factors and data items. This fixation on compliance percentage numbers can, however, draw attention from one of the more important uses of the data results. The 2004 Report should be used as a strengths/weaknesses assessment of a regulatory retail food protection program or an industry food safety management system.
For industry, when the study identifies a food safety practice or employee behaviors as having a high out of compliance percentage, the question to ask is what procedures or processes are currently in place to ensure active managerial control of that specific item? Assess existing food safety management systems to ensure there are not any gaps in control measures for the specific item identified.
For regulatory food safety professionals, an examination should be made of current food inspection protocols to ensure that food safety practices and employee behaviors with high out of compliance percentages are inspection priorities. Is time being taken to assess industry's active managerial control of these areas?
The 2004 Report is intended to be read, and the data interpreted, as a stand alone study. It provides important insights into the effectiveness of regulatory and industry efforts to enhance the level of public health protection within foodservice and retail food store facility types. If the nation's foodservice and retail food protection system is to be significantly improved, the industry and regulatory communities must remain focused in their efforts to reduce the individual data items identified in the 2004 Report as having the most significant Out of Compliance percentages.
FDA Report on the Occurrence of Foodborne Illness Risk Factors in Selected Institutional Foodservice, Restaurant, and Retail Food Store Facility Types (2004) September 14, 2004