Revised E.coli O157 control of cross-contamination guidance published

9 Jul 2014 04:28 PM

The FSA E.coli O157 control of cross-contamination guidance has been revised and updated to take into account the results from independent research into the effectiveness of disinfecting complex equipment, and the views of industry and local authority stakeholders. The aim of the guidance is to ensure that businesses manage the risk to consumer health from the presence of E.coli in food. 

We first produced guidance for businesses into how to control the risks of cross-contamination in 2011. This was in response to the public inquiry into the 2005 E.coli O157 outbreak in South Wales.

Greater flexibility

The revised guidance provides greater flexibility for businesses on how they may manage food safety risks, subject to their assessment of the particular risks relating to their business and subsequent assessment by the relevant local authority.

The revised guidance clarifies that:

User friendly

We have also revised the layout of the guidance so that it now follows that commonly used in industry guides. This will make it easier for businesses to follow and distinguish between legal requirements, FSA guidance on compliance, and good practice.

Comments

The revised guidance can be found at the link below. Business and other stakeholders have a period of eight weeks to provide any further comments they would like to be considered.

You can provide your comments online.

The deadline for comments is Friday 29 August 2014.

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