Food Safety Regulations

Regulation (EC) N° 178/2002

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(hereafter “the Regulation”) was adopted on 28

January 2002. One of its objectives is to establish common definitions and to lay

down overarching guiding principles and legitimate objectives for food law in

order to ensure a high level of health protection and the effective functioning of

the internal market.

Chapter II of the Regulation seeks to harmonise at Community level general food

law principles (Articles 5 to 10) and  requirements (Article 14 to 21), already

existing in Member States’ legal history, placing them in the European context and

providing the basic framework of definitions, principles and requirements for

future European food law.

Following an informal working practice, the Commission’s Health and Consumer

protection Directorate General has set up a Working  Group with experts from

Member States in order to examine and reach consensus on a series of issues

concerning the implementation and interpretation of the Regulation.

In addition, in the interest of transparency, the Commission has encouraged all

parties concerned to discuss the implementation and application of the Regulation

openly and in forums where Member States can be consulted and where different

socio-economic interests can express an opinion. To this end the Commission has

organised a meeting with representatives from Member States, producers,

industry, commerce and consumers to discuss general issues relating to the

implementation of the Regulation (held on 19 April 2004). However, it should be

noted that matters relating to the non-compliance of national legislation with the

Regulation remain outside the scope of this exercise and will continue to be dealt

with in accordance with established Commission procedures.

Finally, the Standing Committee on the Food Chain and Animal Health has

approved the following conclusions at its meeting of 20 December 2004 and

considers that this useful procedure should continue in the light of the experience

gained by the full application of the  Regulation from 1 January 2005. These

conclusions shall be made widely available to interested parties.

Since then, the guidance document has therefore been reviewed and

complemented. A new section has been developed on food safety requirements,

and the sections on traceability, withdrawal/recall and export of food and feed,

have been redrafted with a view to simplifying, clarifying and completing them.

The Standing Committee on the Food Chain and Animal Health has approved the

revised version of the guidance document at its meeting of 26 January 2010.

The present document aims to assist all players in the food chain to better

understand and to apply correctly and in a uniform way the Regulation. However,

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Regulation (EC) N°178/2002 of the European parliament and of the Council of 28 January 2002 laying

down the general principles and requirements of food law, establishing the European Food safety

Authority and laying down procedures in matters of food safety. 5

this document has no formal legal status and in the event of a dispute, ultimate

responsibility for the interpretation of the law lies with the Court of Justice.

It is also mentioned that some issues, specific to a category of food business

operators, have been subject to written position from the Commission

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.

The following issues will be addressed:

ƒ Food safety requirements (Article 14);

ƒ Responsibilities (Article 17);

ƒ Traceability (Article 18);

ƒ Withdrawal, recall and notification for food and feed  (Articles 19 and 20) in

relation to food and feed safety requirements (Articles 14 and 15);

ƒ Imports and exports (Articles 11 and 12).

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Written question E-2704/04 of W. Pieck on the implementation of traceability requirements to charities. 6

I. ARTICLE 14

FOOD SAFETY REQUIREMENTS

Recital 1

The free movement of safe and wholesome food is an essential aspect of the internal

market and contributes significantly to the health and well-being of citizens, and to

their social and economic interests.

Recital 10

E x p e r i e n c e   h a s   s h own   t h a t   i t   i s   n e c e s s a  r y   t o   a do p t  m e a s u r e s   a im e  d   a t

guaranteeing that unsafe food  is not placed on the market and at ensuring that

systems exist to identify and respond to food safety problems in order to ensure the

proper functioning of the internal market and to protect human health. Similar

issues relating to feed safety should be addressed.

Recital 23

The  safety  and  confidence of  consumers within  the Community,  and  in  third  count r i e s ,

i s  of  pa r a mount   i mpor t anc e .  The  Communi ty  i s   a  ma jor  globa l   trader in food and

feed and, in this context, it has entered into international trade agreements, it

contributes to the development of international standards which underpin food law,

and it supports the principles of free trade in safe feed and safe, wholesome food in a

non-discriminatory manner, following fair and ethical trading practices.

Recital 26

Some Member States have adopted horizontal legislation on food safety

imposing, in particular, a general obligation on economic operators to market only food

that is safe. However, these Member States apply different basic criteria for

e s t a b l i s h i n g   w h e t h e r   a   f o o d   i s   s a f e .   G i v e n   t h e s e   d i f f e r e n t   approaches, and in

the absence of horizontal legislation in other Member States, barriers to trade in

foods are liable to arise. Similarly such barriers may arise to trade in feed.

Recital 27

It is therefore necessary to establish general requirements for only safe food and feed

to be placed on the market, to ensure that the internal market in such products

functions effectively.

Article 14

1. Food shall not be placed on the market if it is unsafe.

2. Food shall be deemed to be unsafe if it is considered to be:

(a)  injurious to health;

(b)  unfit for human consumption. 7

3. In determining whether any food is unsafe, regard shall be had:

(a) to the normal conditions of use of the food by the consumer and at each stage of

production, processing and distribution, and

(b) to the information provided to the consumer, including information on the label, or

other information generally available to  the consumer concerning the avoidance of

specific adverse health effects from a particular food or category of foods.

4. In determining whether any food is injurious to health, regard shall be had:

(a) not only to the probable immediate and/or short-term and/or long-term effects

of that food on the health of a person consuming it, but also on subsequent

generations;

(b) to the probable cumulative toxic effects;

(c) to the particular health sensitivities of a specific category of consumers where

the food is intended for that category of consumers.

5. In determining whether any food is unfit for human consumption, regard shall be

had to whether the food is unacceptable for human consumption according to its

int ended us e ,   for   r easons  of   contaminat ion,  whe the r  by   e x traneous matter  or

otherwise, or through putrefaction, deterioration or decay.

6. Where any food which is unsafe is part of a batch, lot or consignment of food of

the same class or description, it shall be presumed that all the food in that batch, lot or

consignment is also unsafe, unless following a detailed assessment there is no evidence

that the rest of the batch, lot or consignment is unsafe.

7. Food that complies with specific Community provisions governing food safety

shall be deemed to be safe insofar as the aspects covered by the specific

Community provisions are concerned.

8. Conformity of a food with specific provisions applicable to that food shall not bar

the competent authorities from taking appropriate measures to impose restrictions on it

being placed on the market or to require its withdrawal from the market where there

are reasons to suspect that, despite such conformity, the food is unsafe.

9. Where there are no specific Community provisions, food shall be deemed to be safe

when it conforms to the specific provisions of national food law of the Member State

in whose territory the food is marketed, such provisions being drawn up and

applied without prejudice to the Treaty, in particular Articles 28 and 30 thereof. I.1. Rationale

• The   s a f e ty  and  a c c ept abi l i ty of   food  i s   of   c r i t i c a l   impor t anc e .  Consumers must

have confidence and assurance that the food they buy will be what they expect and will

do them no harm or have an adverse effect. The aim of Article 14 is to protect the

consumer from food that is either a health risk or unacceptable.

• Ar t i c l e   1 4   d e f i n e s   t he   g e n e r a l   f o o d   s a f e  t y   r e q u i r em e nt s  wh i c h   a r e   u s e d  with the

risk management requirements covered by Article 19 to reduce or eliminate any risk due

to the placing of unsafe foods on the market.

I.2. Implications

• The objective of this Article is to protect public health. It establishes therefore the factors

that need to be taken into consideration when deciding whether food, as defined in Article

2 of the Regulation, is injurious to health or unfit for human consumption.

• The requirements of Article 14 apply to food that is 'placed on the market'.  The

definition of 'placing on the market'3 is quite wide  and it  includes all sales and

supplies, including one-off sales, one-off supplies free of charge, and holding food

for the purpose of sale.     The Article does not, however, cover primary production

for private domestic use, or the use of food for private domestic consumption,

which are exempted by Article 1(3) of the Regulation.

I.3. Contribution/impact

I.3.1. Article 14 (1)

This Article prohibits food being placed on the market if it is unsafe. 'Unsafe' is defined

below.

I.3.2. Article 14 (2)

Food is considered to be 'unsafe' if it is either:

• injurious to health, or

• unfit for human consumption.

Food that is injurious to health

Once a hazard is identified which may make food injurious to health, an assessment of the

associated risk should be carried out, taking the factors in Article 14(3) and (4) into account.

Not all hazards that might be found in food are controlled by specific regulations.  Food could

be injurious to health  without exceeding a particular legal limit.   For example, this could

apply when glass, which is not a specifically banned substance, is found to be present in food,

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TP

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Placing on the market’ is defined in Article 3 Point 8 of Regulation (EC) No 178/2002, as ‘the holding of food

[…] for the purpose of sale or any other form of transfer, whether free of charge or not, and the sale, distribution,

and other forms of transfer themselves’. or if, for example, a hazardous chemical not specifically identified by legislation on

contaminants in food is found to be present.  The key point is that once a hazard of any kind

has been identified, the paramount need is to assess the risk it may poses to health.

When there are concerns that a particular food may be injurious to health, food businesses

must then consider how serious the risk is in this context.  This will enable them to take

decisions on appropriate action.  The responsibility for the risk assessment lies with the food

business operators, under the control of national competent authorities once informed, as

stated in Article 17.

Food that is unfit for human consumption

The central concept of unfitness is unacceptability.  Food can be rendered unfit by reason of

contamination, such as that caused by a high level of non-pathogenic microbiological

contamination (see Article 14(3) and (5) of  the Regulation), by the presence of foreign

objects, by unacceptable taste or odour as well as by more obvious detrimental deterioration

such as putrefaction or decomposition.

I.3.3. Article 14 (3) – Considerations in determining whether food is unsafe

Food can be unsafe because of an intrinsic property of the food, such as contamination from

pathogenic bacteria. However, food should not be considered unsafe if the normal conditions

of use would render it safe (see Article 14(3)(a)). For example it is generally accepted that

mo s t  m e a t   n e e d s   t o   b e   c o o k ed   c o r r e c t l y   i n   o r d e r   f o r   i t  t o   b e   s a f e l y   consumed.

On the other hand where, in certain cases, essential information on the use of food is not

supplied or is incorrect, this could render the food unsafe. Article  14(3)(b) states that

regard shall be had to the information provided to the consumer including information

on the label or other available information  about avoidance of specific adverse health

effects from a particular category of foods.  An example of this would be where a food or a

food ingredient may pose a risk to the health of a specific group of consumers in the case

where mandatory information about that food or one of its ingredients was not effectively

communicated.

I.3.4. Article 14 (4) – Considerations in determining whether food is injurious to health

The concept of 'injurious to  health' relates to the potential to harm human health. An

example might be botulinum toxin in a manufactured food. Food could be injurious even

if the harm was cumulative or only became apparent over a long period of time, such as

contamination with dioxins, methyl mercury, or genotoxic carcinogens that could affect

subsequent generations.

Article 14 (4) (c) requires  that if food is produced for a group of consumers with

pa r t i cul a r  he a l th  s ens i t ivi t i e s   ( e .g.   intol e r ant or   a l l e rgi c ) ,   then  the s e   sensitivities should

be taken into account when determining whether a food is injurious to health. An example

would be food that is unintentionally cross contaminated with nuts, which would be injurious

to health if it was designed for those who needed a nut-free diet. However, when a product is

not making a claim that it is intended for a group with particular health sensitivities, the fact

that it may be harmful for that group does not automatically mean it is injurious within the

meaning described in this Regulation (except where the mandatory information is not

appropriately communicated).

9I.3.5. Article 14 (5) – Considerations in determining whether food is unfit for human

consumption

The concept of 'unfit' relates to unacceptability. Some food may not pose a risk to health at

all, but will still qualify as unfit because it would be reasonably    considered to be

unacceptable for human consumption. Examples could be:

• Decomposing fish with a strong smell; or

• A fingernail in a sausage roll.

Food can also be unfit where it may also  pose a risk to health –  depending on the level of

contamination.  For example:

• Certain types of  mouldy food. This could include food that contains mould that is not

immediately apparent (e.g. in a fruit filling) and is not a normal characteristic of the

product;

• Fish containing parasites or

• Food carrying an abnormally high level of non-pathogenic micro-organisms.

I.3.6. Article 14(7) Food in compliance with food safety legislation

This paragraph states that food that complies with specific Community provisions governing

food safety shall be deemed to be safe insofar as the aspects  covered by the specific

Community provisions are concerned.   It means, therefore, that food that does not comply

with specific safety Community provisions shall be deemed to be unsafe, unless a risk

assessment proves otherwise.

In particular, food businesses should apply Article 14(7) in a proportionate way when meeting

their obligation under Article 17 and taking decisions under Article 19.

For example, a breach of a particular legal limit with the Community legislation on residues

would mean that it is likely that the food is injurious to health in the light of Article 14(4) or

unfit for human consumption in the light of Article 14(5).

In that context, an assessment should be carried out, considering the factors in Articles 14(3)-

(5) in the light of the legislation concerned. If, however, that assessment shows that the food

is neither injurious to health nor unfit for human consumption, it would not be regarded as

unsafe for the purposes of Article 19 of the Regulation. This could be the case, for example,

because a tolerance level has been built into legislation for pesticide residues in food and

whilst a food was in breach of the legal limit, it would not be considered to be unsafe for the

purposes of Article 19 of the Regulation, because the maximum residue level for pesticides

takes account of good agricultural practice.  However, it would still be in breach of the

relevant legislation on pesticide residues and should not be placed on the market.

In instances, however, where the food is found not to comply with sector-specific Community

legislation and is also subsequently assessed to be in breach of the food safety requirements of

Article 14, the requirements  of Article 19 of the Regulation would be, nevertheless,

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applicable.  Therefore, each incident needs to be dealt with on a case by case basis for the

purposes of Article 19 requirements.

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II.  ARTICLE 17

RESPONSIBILITIES

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Article 17

1. Food and feed business operators at all stages of production, processing and distribution

within the businesses under their control shall  ensure that foods or feeds satisfy the

requirements of food law which are relevant to their activities and shall verify that such

requirements are met.

2. Member States shall enforce food law, and monitor and verify that the relevant

requirements of food law are fulfilled by food and feed business operators at all stages of

production, processing and distribution.

For that purpose, they shall maintain a system of official controls  and other activities as

appropriate to the circumstances, including public communication on  food and feed safety

and risk, food and feed safety surveillance and other monitoring activities covering all stages

of production, processing and distribution.

Member States shall also lay down the  rules on measures and penalties applicable to

infringements of food and feed law. The measures and penalties provided for shall be

effective, proportionate and dissuasive. 13

II.1. Rationale

• This Article lies within the objective that was set in the White Paper on Food Safety to

define the roles of competent Member States authorities and all categories of

stakeholders in the food and feed chains –indicated thereafter by the term “food chain”

(i.e. farmers, feed and food manufacturers, importers, brokers, distributors, public and

private catering businesses…).

• Given that a food business operator

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is best placed to devise a safe system for

supplying food/feed and ensuring that the  food/feed it supplies is safe, it holds

primary legal responsibility for ensuring compliance with food law

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and in

particular food safety.

II.2. Implications

• Article 17 (1) imposes on food business operators an obligation according to which

they must actively participate in implementing food law requirements by verifying that

such requirements are met. This general  requirement is closely linked to other

mandatory requirements laid down by specific legislation (i.e. HACCP

implementation in the field of food hygiene).

• Thus Article 17 (1) implies a responsibility of the operators  for the activities under

their control pursuant to the classical liability  rules according to which any person

should be held liable for things and acts under his control. It consolidates this

requirement in the Community legal order applicable in the field of food law (not only

food safety legislation but also other food  legislation), and thus prohibits Member

States from maintaining  or adopting nationally legal provisions which would

exonerate any food business operator from this obligation.

• Though the requirement laid down in Article  17 (1) is directly applicable from 1

January 2005, the liability of food business operators should flow in practice from the

breach of a specific food law requirement (and from the rules for civil or criminal

liability which can be found in the national legal order of each Member state). The

liability proceedings will not be based on Article 17 but on a legal basis to be found in

the national legal order and in the specific infringed legislation.

• Article 17 (2) establishes a general duty for the competent Authorities in the Member

States to monitor and control that food law requirements have comprehensively and

effectively been enforced at all stages of the food chain.

II.3. Contribution/Impact

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For the understanding of the present document, the term “food business operator” covers both food and feed

business operators.

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For the understanding of the present document, the term “food law” covers both food and feed law and the term

“food safety” covers both food and feed safety.  14

II.3.1. General Compliance and verification requirement

• From 1 January 2005 this rule becomes  a general requirement applicable in all

Member States and all areas of food law.

• The consolidation of this requirement should eliminate disparities resulting in barriers

to trade and competitive distortion between food business operators.

• It takes full account of the fundamental role of food businesses to the  farm to table

policy - covering all sectors of the food chain, in particular in ensuring food safety.

II.3.2.  Allocation of liability

• Article 17 aims at:

- Defining responsibilities of food business operators and differentiating

them from those of Member States and,

- Extending to all areas of food law,  the principle according to which

primary responsibility for ensuring  compliance with food law, and in

particular the safety of the food, remains with the food business.

• The Article does not have the effect of introducing a Community regime regulating the

allocation of liability among the different links of the food chain. Determining the

facts and circumstances which may render an operator liable to criminal penalties

and/or civil liability is a complex matter which depends very much on the structure of

the different national legal systems.

• It should be noted that any discussion related to matters of responsibility should take

into account the fact that interactions between producers, manufacturers and

distributors are becoming increasingly complex. Thus for example, in many cases

primary producers have contractual obligations to manufacturers  or distributors to

meet specifications which cover quality and/or safety. Distributors increasingly have

products produced under their own brand-name and play a key role in product

conception and design.

This new situation should then result in greater joint responsibility throughout the food

chain, rather than dispersed individual responsibilities. However, each link in the food

chain should take the measures necessary to ensure compliance with food law

requirements within the context of its own specific activities, applying HACCP-type

principles and other similar instruments.

Where a product is found failing food law requirements, the liability of each link in the

chain should be reviewed according to whether or not it has properly fulfilled its own

specific responsibilities.

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III.  ARTICLE 18

TRACEABILITY

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Recital 28

Experience has shown that the  functioning of the internal market in food or feed can be

jeopardised where it is impossible to trace food and feed. It is therefore necessary to establish

a comprehensive system of traceability within food and feed businesses so that targeted and

accurate withdrawals can be undertaken or information given to consumers or control

officials, thereby avoiding the potential for unnecessary wider disruption in the event of food

safety problems.

Recital 29

It is necessary to ensure that a food or feed business including an importer can identify at least

the business from which the food, feed, animal or substance that may be incorporated into a

food or feed has been supplied, to ensure that on investigation, traceability can be assured at

all stages.

Article 3 Point 3

‘Food business operator’ means the natural or legal persons responsible for ensuring that the

requirements of food law are met within the food business under their control.

Article 3 Point 6

‘Feed business operator’ means the natural or legal persons responsible for ensuring that the

requirements of food law are met within the feed business under their control.

Article 3 Point 15

‘Traceability’ means the ability to trace and follow a food,  feed, food-producing animal or

substance intended to be, or expected to be incorporated into a food or feed, through all stages

of production, processing and distribution.

Article 18

1. The traceability of food, feed, food-producing animals, and any other substance intended to

be, or expected to be, incorporated into a food or feed shall be established at all stages of

production, processing and distribution.

2. Food and feed business operators shall be able to identify any person from whom they have

been supplied with a food, a feed, a food-producing animal, or any substance intended to be,

or expected to be, incorporated into a food or feed.

To this end, such operators shall have in place systems and procedures which allow for this

information to be made available to the competent authorities on demand.

3. Food and feed business operators shall have in place systems and procedures to identify

the other businesses to which their products have been supplied. This information shall be

made available to the competent authorities on demand. 16

4. Food or feed which is placed on the market or is likely to be placed on the market in the

Community shall be adequately labelled or identified to facilitate its  traceability, through

relevant documentation or  information in accordance with the relevant requirements of more

specific provisions.

5. Provisions for the purpose of applying the requirements of this Article in respect of specific

sectors may be adopted in accordance with the procedure laid down in Article 58(2).

III.1. Rationale

Past food incidents have demonstrated that being able to trace food and feed throughout the

food chain is of prime importance for the protection of public health and consumers’ interests.

In particular, traceability records help to:-

o Facilitate targeted withdrawal and recall of food, thereby avoiding unnecessary

disruption of trade;

o Enable consumers to be provided with accurate information concerning

implicated products, thereby helping to maintain consumer confidence;  -

o Facilitate risk assessment by control authorities.

Traceability does not itself make food safe. It is a way of assisting in containing a food safety

problem.

The focus of Regulation 178/2002 is on food safety and the removal of unsafe food from the

market. However, apart from their food safety  role, traceability requirements also help to

ensure:-

o Fair trading amongst operators;

o The reliability of information supplied to consumers in terms of substantiating

claims made by manufacturers.

III.2. Requirements

• Article 18 requires food business operators:

- To be able to identify from whom and to whom a product has been supplied;

- To have  systems and procedures in place that allow for this information to be

made available to the Competent Authorities upon request.

The requirement relies on the “one step back”-“one step forward” approach which implies for

food business operators that: 17

- They shall have in place a system enabling them to identify the immediate

supplier(s) and immediate customer(s) of their products.

- A link “supplier-product” shall be established (which products supplied from

which suppliers).

- A link “customer-product” shall be established (which products supplied to

which customers). Nevertheless, food business operators do not have to identify

the immediate customers when they are final consumers.

III.3. Impact on Food Business Operators

• Although traceability is not a new notion in the food chain, it is the first time that the

obligation for all food business operators to identify the suppliers and direct recipients

of their food/feed is stipulated explicitly in a horizontal Community legal text.

Consequently, Article 18 created a new general obligation for food business operators.

• Article 18 is worded in terms of its goal and intended result, rather than in terms of

prescribing how that result is to be achieved.

Without prejudice to specific requirements, this more general approach allows industry

greater flexibility in the implementation of  the requirement and is  thus likely to reduce

compliance costs. However, it requires both food businesses and the control authorities to take

an active role in ensuring effective implementation.

III.3.1.  Scope of the traceability requirement

i)  Covered products.

• Article 18 refers to  “any substance intended to be, or expected to be, incorporated

into a food or feed”. However, this provision does not apply to veterinary medicinal

products, plant protection products and fertilisers. It should be noted that some of

these products are covered by specific Community Regulations or Directives that may

even impose more stringent requirements on traceability.

• The covered substances are those intended or expected to be “incorporated”, as a part

of a food or feed during its manufacture, preparation or treatment. This would cover

for example all types of food and feed ingredients, including grain when incorporated

in a feed or food. But, it would exclude grain when used as seed for cultivation.

• Similarly, packaging material does not meet the definition of  'food' laid down in

Article 2 of the Regulation and therefore, it does not fall within the scope of Article

18. The traceability of those food packaging materials has been covered by Regulation

(EC) No 1935/2004 of the European Parliament and of the Council on materials and

articles intended to come into contact with food and repealing Directives 80/950/EEC

and 89/109/EEC. 18

• Furthermore, the Food Hygiene Package

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and the Feed Hygiene Regulation

7

ensure a

link between food/feed and veterinary medicinal and plant protection products,

covering this gap as farmers have to keep and retain records on these products.

ii)  Covered operators

• Article 18 of the Regulation applies to  food business operators at all stages of the

food/feed chain, from primary production (food producing animals, harvests),

food/feed processing to distribution and supply, including brokers, regardless of

whether they take physical possession of the food/feed in question.  This may also

include charities; however, Member States should take into account the degree of

organisation and continuity of their activities for the purposes of the application of

Article 18

• Article 3 Points 2 and 5 define a food/feed business as “any undertaking…carrying out

any of the activities related to any stage of production, processing and distribution of

food/feed”. Independent transporters and storage businesses, as undertakings involved

in the distribution of food/feed, are covered by this definition and are required to

comply with Article 18.

• Where transportation/storage is integrated within a food/feed business, the business as

a whole must comply with the provision of Article 18. For the transport unit,

maintaining records of products supplied to customers may be sufficient as other units

within the business would maintain records of products received from suppliers.

• The manufacturers of veterinary medicinal products and agricultural production inputs

(such as seeds) are not subject to the requirements of Article 18.

iii)  Applicability to third country exporters (in connection with Article  11)

• The traceability provisions of the Regulation  do not apply outside the EU. This

requirement covers all stages of production, processing and distribution in the EU,

namely from the EU importer up to retail level, excluding, however, supply to the final

consumer.

• Article 11 should not be construed as extending the traceability requirement to food

business operators in third countries. It requires that food/feed imported into the

Community complies with the relevant requirements of EU food law.

• Exporters in trading partner countries cannot be legally required to fulfil the

traceability requirement imposed within the EU (unless there are special bilateral

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Regulation (EC) No 852/2004 of the European Parliament and of the Council on the hygiene of foodstuffs;

Regulation (EC) No 853/2004 of the European Parliament and of the Council laying down specific hygiene rules

for food of animal origin; and, Regulation (EC) No 854/2004 of the European Parliament and of the Council

laying down specific rules for the organisation of official controls on products of animal origin intended for

human consumption.

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Regulation (EC) No 183/2005 of the European Parliament and of the Council laying down requirements for

feed hygiene, OJ L 35, 8.2.2005, p. 1. 19

agreements for certain sensitive sectors or where there are specific Community legal

requirements, for example in the veterinary sector).

• The objective of Article 18 is sufficiently  fulfilled in cases of food/feed imports

because the requirement extends to the EU importer. The EU importer must be able to

identify from whom the product was exported in the third country

• It is common practice among  some EU food business operators to request trading

partners to meet the traceability requirements even beyond the “one step back-one step

forward” principle. However, it should be noted that such requests are part of the food

business’s contractual arrangements and are not required by the Regulation.

III.3.2.  Implementation of traceability requirements

i) Identification of suppliers and customers by food business operators

A food business operator should be able to identify any “person” from whom food/raw

materials are received. This person can be an individual (for example a hunter or a

mushroom collector) or a legal person (such as a business or company).

It should be clarified that the term “supply” should not be interpreted as the mere

physical delivery of the food/feed or food producing animal. This term refers more to

the transfer of ownership  of the food/feed or food producing animal.  However,

brokers must be considered as a form of supplier for the purposes of this Article,

whether or not they take physical possession of the goods.  Identifying the name of the

person physically delivering is not the objective pursued by this rule and it would not

be sufficient to guarantee the traceability along the food chain.

A food business operator must also identify the other food/feed businesses to whom it

provides its products (excluding final consumers).  In the case of trade between a

retailer such as a supermarket and a restaurant, the traceability requirement still

applies.

Cold store operators and transporters are food businesses and they should also keep

traceability records.

ii)  Internal traceability

• Without prejudice to sector specific rules, the Regulation does not expressly compel

operators to establish a link (so called  internal traceability) between incoming and

outgoing products. Nor is there any requirement for records to be kept identifying how

batches are split and combined within a business to create particular products or new

batches.

• Nevertheless an internal traceability system would contribute to  more targeted and

accurate withdrawals. Food business operators are likely to save costs in terms of time

of a withdrawal and in avoiding unnecessary wider disruption. This in turn would help

maintain consumer confidence. Traceability systems also provide information within

food businesses to assist in process control and stock management.  The decision on 20

whether to adopt an internal traceability system and the level of detail should be left to

the Food Business Operator, commensurate  with the size and nature of the food

business.

iii) Traceability systems laid down by specific legislation

Apart from specific legislation establishing food safety traceability rules for certain

sectors/products, such as Beef Labelling,

8

Fish Labelling

9

and GMOs

10

, there are specific

regulations laying down marketing and quality standards for certain products. These

regulations often have fair trade purposes and contain provisions about the identification of

the products, the transmission of the documents accompanying the transactions, the keeping

of records, etc.

Any other system of identification of products existing within the framework of specific

provisions may be used to satisfy the requirement established by Article 18, insofar as it

allows the identification of the suppliers and of the direct recipients  of the products at all

stages of production, processing and distribution.

However, the traceability requirements of the Regulation are  general requirements and are

therefore always applicable. Food Business Operators should determine whether sectoral

traceability provisions already meet Article 18 requirements.

iv) Information to be kept

Article 18 does not specify what type of information should be kept by the food and feed

business operators. However, to fulfil the objective of Article 18, the following information

should be kept at least.

o Name, address of supplier, and identification of products supplied;.

o Name, address of customer, and identification of products delivered;.

o Date and, where necessary, time of transaction / delivery;

o Volume, where appropriate, or quantity:

It may be that if printed traceability records are kept, these will already have on them the date

and time of delivery as well as the name and address of the supplier and customer. If not, the

date should be specifically recorded, and the time if there is more than one supply/ delivery in

8

Regulation (EC) No 1760/2000 of the European Parliament and of the Council of 17 July 2000 establishing a

system for the identification and registration of bovine animals and regarding the labelling of beef and beef

products and repealing Council Regulation (EC) No 820/97, OJ L 204, 11.8.2000, p. 1

9

Regulation (EC) No 2065/2001of 22 October 2001laying down detailed rules for the application of Council

Regulation (EC) No 104/2000 as regards informing consumers about fishery and aquaculture products, OJ L

278, 23.10.2001 p.6

10

Regulation (EC) No 1829/2003 of the European Parliament and of the Council on genetically modified food

and feed, OJ L 268, 18.10.2003, p. 1; Regulation (EC) No 1830/2003 of the European Parliament and of the

Council concerning the traceability and labelling of genetically modified organisms and the traceability of food

and feed products produced from genetically modified organisms and amending Directive 20018/18/EC, OJ L

268, 18.10.2003, p. 24.21

a particular day. Whilst not compulsory, it would also be very helpful if details are kept of any

reference or batch number enabling the product to be identified.

Food crises in the past have shown that tracing the commercial flow of a product by keeping

invoices was not sufficient to follow the physical flow of the products, as food/feed could be,

for example, sent for storage. Therefore, it is  essential that the traceability system of each

food / feed business operator is designed to follow the physical flow of the products.

v)  Time of reaction for traceability data availability

• Article 18 requires food and feed operators to have in place systems and procedures to

ensure the traceability of their products. Although the Article does not provide any details

about these systems, the use of terms “systems” and “procedures” implies a structured

mechanism able to deliver the needed information upon request from the competent

Authorities.

• When developing a traceability system, it does not necessarily mean that Food and Feed

Business Operators need to have a dedicated system. It is the need to provide information

that is important, not the format in which it is kept. The traceability records should be

sufficiently organised to enable availability ‘on demand', without unduly delaying the

requirements imposed by Article 19.

• A traceability system is good when it delivers accurate information in a fast manner; this

would help to satisfy the objective pursued as described in Recital 28 of the Regulation. A

delay in the delivery of this relevant information would undermine a prompt reaction in

case of crisis.

vi) Time for keeping Records

Article 18 does not specify a minimum period of time for keeping records, and therefore it is

for the businesses to decide, bearing in mind that failure to produce adequate records would

constitute an offence. On a broad basis, it is considered that commercial documents are

usually registered for a period of 5 years for taxation controls. It is suggested that this 5 year

period, where applied from date of manufacturing or delivery to traceability records

11

, would

be likely to meet the objective of Article 18.

However, this common rule would need to be adapted in some cases:

- For highly perishable products, which have a “use by” date less than 3 months or

without a specified date

12

, destined directly to final consumer, records could be kept

for the period of 6 months after date of manufacturing or delivery.

- For other products with a "best before" date, records could be kept for the period of

the shelf-life plus 6 months;

11

more particularly to records belonging to the first category of information foreseen in paragraph II. 3. 4.

12

Products such as fruits, vegetables and non pre-packed products. 22

- For products

13

without a specified durability date, the general rule of 5 years could

apply).

Finally, it should be taken into account that, apart from the traceability provisions of Article

18 of the Regulation, many food businesses are subject to more specific requirements in terms

of record keeping (type of information to be kept and time). Competent authorities should

ensure that they comply with these rules.

*

*  *

13

Products, such as wine. 23

IV.  ARTICLE 19

WITHDRAWAL, RECALL AND NOTIFICATION

BY FOOD BUSINESS OPERATORS

_________________

Article 19

1. If a food business operator considers or has reason to believe that a food which it has

imported, produced, processed, manufactured or distributed is not in compliance with the

food safety requirements, it shall immediately initiate procedures to withdraw the food in

question from the market where the food has left the immediate control of that initial food

business operator and inform the competent authorities thereof.  Where the product may have

reached the consumer, the operator shall effectively and accurately inform the consumers of

the reason for its withdrawal, and if necessary, recall from consumers products already

supplied to them when other measures are not  sufficient to achieve a  high level of health

protection.

2. A food business operator responsible for retail or distribution activities which do not affect

the packaging, labelling, safety or integrity of the food shall, within the limits of its respective

activities, initiate procedures to withdraw from the market products not in compliance with

the food-safety requirements and shall participate in contributing to the safety of the food by

passing on relevant information necessary to trace a food, cooperating in the action taken by

producers, processors, manufacturers and/or the competent authorities.

3. A food business operator shall immediately inform the competent authorities if it considers

or has reason to believe that a food which it has placed on the market may be injurious to

human health.  Operators shall  inform the competent authorities of the action taken to

prevent risks to the final consumer and shall not prevent or discourage any person from

cooperating, in accordance with national law and  legal practice, with the competent

authorities, where this may prevent, reduce or eliminate a risk arising from a food.

4. Food business operators shall collaborate with the competent authorities on action taken to

avoid or reduce risks posed by a food which they supply or have supplied.

IV.1. Rationale

• Article 19 aims at mitigating the problems caused when foodstuffs that do not meet

the food safety requirements have left a  food business’s control and at preventing,

reducing or eliminating the risk, when a business has placed on the market food which

may be injurious to health.

• The obligation to withdraw, recall or notify unsafe food under Article 19 arises when

the food is or may be unsafe under Article 14 of Regulation 178/2002. 24

• Food business operators must apply the criteria in Article 14 for determining whether

food is unsafe and action should be taken under Article 19.

• The notification of competent Authorities  by food business operators enables those

authorities to monitor whether the business operators have taken the appropriate

measures to address the risks posed by a food placed on the market and to order or

take additional measures if necessary for avoiding the risks.

IV.2. Implications

• Article 19 imposes specific obligations from 1

st

January 2005 on food business

operators to withdraw from the market food that  does not meet the food safety

requirements and to notify this to competent authorities. Where the product may have

reached the consumer, the operator shall inform the consumer and if necessary recall

from consumer products already supplied to them.

• Article 19 provides for the necessary cooperation between operators in different parts

of the food distribution chain, so as to ensure the withdrawal of unsafe food from the

market.

• Article 19 also imposes an additional  obligation on the food  business operator to

inform the competent Authorities should they consider or have reason to believe that a

food which it has placed on the market may be injurious to health.

• It provides a general obligation on food  business operators to co-operate with

competent authorities on action taken to avoid or reduce risks posed by a food which

they supply or have supplied.

IV.3. Contribution/ Impact

IV.3.1.  Article 19 (1)

i)  Obligation to withdraw

Article 19 (1) imposes the specific obligation on food business operators to withdraw from the

market a food which has left their immediate control and that does not meet the food safety

requirements, and inform the competent authorities thereof.

Withdrawal is not defined in Regulation  (EC) 178/2002, but is commonly understood to be

the process by which a product is removed from the supply chain, with the exception of a

product that is in the possession of consumers.  The definition in Directive 2001/95/EC on

General Product Safety is useful, as it indicates that withdrawal is aimed at preventing the

distribution, display or offer of a product 25

It should be emphasised that under Article 19:

- The withdrawal from the market may take place at any step along the food chain and not

only at time of delivering to the end consumer;

- The obligation to notify a withdrawal to the competent Authorities is a consequence of the

obligation to withdraw;

- The obligation to withdraw from the market applies when the following two cumulative

criteria are met:

¾ i. the food in question is considered unsafe by the operator as not being in

compliance with the food safety requirements

Article 14 of Regulation 178/2002 specifies the food safety requirements to be used in

deciding whether the food is unsafe.

¾ ii. a food

14

is on the market and has left the immediate control of the initial food

business.

So Article 19(1) does not apply where a food  business operator has placed the food on the

market (and thus is considered as the initial food business) but it is still in their immediate

control.

A food is considered to have left the immediate control of a food business operator when it

has been sold or supplied free of charge or otherwise transferred so that the initial operator no

longer has the legal right to the food, for example when they have sent it to a wholesaler or it

is with any other operators later in the distribution chain.

ii)  Notification of the withdrawal to the competent authorities

When a food business operator withdraws a food in accordance with Article 19 (1), it shall

notify this withdrawal to the competent authority, which has enforcement responsibility for

the operator’s establishment, and the national authority.

It is up to the national authority to issue the RASFF as in point III.3.5 if necessary.

If the product is removed before being placed on the market or if it is under the immediate

control of a particular food  business operator, there are no notification obligations under

Article 19 (1).

iii) Methods of the notification to competent authorities

14

As defined in Article 2 of Reg.178/2002 26

It is for competent authorities in individual Member States to decide what methods of

notification are appropriate.

iv) Recall and information to the consumers

When a withdrawal is necessary and the product may have reached the consumer, Article 19

(1) requires the food business operators:

- to inform the consumer accurately and effectively of the reason for withdrawal

and,

- if necessary  to recall from consumers products already supplied to them - i.e. to take “any

measure aimed at achieving the return of an unsafe product that has already been supplied or

made available to consumers by a food business operator”. A recall will mean asking

consumers to take the product back to the place of purchase or to destroy it.  The recall is

necessary when other measures are not sufficient to achieve a high level of health protection.

v)  Responsibility for application of Article 19 (1)

All food business operators who have imported, produced, processed, manufactured or

distributed a food are covered  by the provisions of Article 19 (1) (withdrawal and/or recall

and notification).   This may include retailers, when they have sent the product on to another

retailer or have recall obligations because they have sold or supplied the product to

consumers.

Cooperation between each level of the food chain will be necessary to achieve the objectives

of Article 19 (1) – please see the obligations in Article 19(2).

IV.3.2.  Article 19 (2)

Article 19 (2) places a requirement on food  business operators responsible for retail

15

or

distribution activities, which do not affect the packaging, labelling, safety or integrity of food

(i.e. retailers and distributors of branded food). The purpose of this provision is to ensure that

these food business operators also play their part in withdrawal of food not in compliance

with food safety requirements, and in passing on relevant information. For example, when a

producer withdraws/recalls a food for which it is responsible, the distributor and/or the retailer

is/are required to participate as necessary.   It also compels them to let the manufacturer know

if there is a safety problem, so that the manufacturer can co-ordinate the withdrawal.

IV.3.3.  Article 19 (3)

Article 19 (3) places a specific, stronger requirement on food business operators when they

consider or have reason to believe that a food that they have ‘placed on the market’ may be

‘injurious to health. In this case, they must immediately inform the competent Authorities and

detail the action taken to prevent the risk.

15

Retail is defined in Article 3 Point 7   27

Article 19 (3) does not impose systematically a withdrawal but provides for immediate

information of the competent authorities of a potential risk and the action taken to prevent it.

The following conditions need to be met to trigger the application of Article 19 (3):

- The food in question is placed on the market

16

Placing on the market’ also covers food’ .

products which have already been produced by food business operators or imported and are

being held with a view to sale or supply free of charge. It does not include food products

which are still under processing, or raw materials provided by suppliers.

and

- The food in question may be injurious to health.

The objective of this Article is to ensure that the competent authorities are informed in case of

a potential risk for health for a product which is placed on the market, even if the product is

under the immediate control of the operator.

Article 19 (3) can be applied in different types of cases such as:

- the operator definitely knows that the food is injurious to health and it is still in his/her

possession.

- New information in possession of the operator leading to consider the food as injurious to

health but this information diverges from other information. For example, when an operator

withdraws internally an unsafe food and informs thereof the supplier of this food, the supplier

might consider that the information sent contradicts other information in its possession.

-  Information that the product is likely to be injurious to health, but this information is not yet

completely confirmed; this could originate from consumer complaints or batches placed on

the market where sampling had proved satisfactory where other batches had not.

- Information of an emerging risk.

The aim of this provision is to enable the competent Authorities not only to be aware of

definitely unsafe food, but to receive early  warnings or to identify potential (possibly

emerging) risks in order to ensure the most efficient and proportionate ways to manage it.

In some cases, for example when further or more validated information confirms that the

product is injurious to health and the product has left the immediate control of the initial food

business operator, the withdrawal and recall  obligations set up in Article 19 (1) will also

apply.

The operator responsible for providing the information to the competent Authorities is the

operator that has placed the product on the market.

16

‘Placing on the market’ is defined in Article 3.8 as ‘the holding of food (or feed) for the purposes of sale or

any other form of transfer, whether free of charge or not, and the sale, distribution, and other forms of transfer

themselves’ 28

The second part of Article 19 (3) is designed to prevent food business operators from

discouraging their employees and others from cooperating with competent Authorities where

this may prevent, reduce or eliminate a risk arising from food.

IV.3.4. Article 19 (4)

This paragraph requires that the food business cooperates with the competent authorities on

action taken to avoid or reduce risks posed by a food which they supply or have supplied.

For example, food business operators should contact the competent authorities when they

need help in determining how to fulfil their obligations.

In accordance with the general objective of prevention set up in Article 19 (3), operators, in

particular small operators should be encouraged to contact the competent authorities in case of

uncertainty on the risk at stake.

Assistance should be given by the competent authorities when operators contact them in the

framework of Article 19.

IV.3.5. Notification to the Rapid Alert System for Food and Feed (RASFF)

A clear distinction should be made between the RASFF and  the obligation of notification

provided by Articles 19 and 20. The RASFF involves only competent Public Authorities

(Commission, Member States and EFSA). Food  operators have an obligation, under certain

circumstances (see part III on notification),  to notify only the competent authorities (at

appropriate level depending on Member States rules) and not the RASFF.

*

*  *29

V.  ARTICLE 20

WITHDRAWAL, RECALL AND NOTIFICATION

BY FEED BUSINESS OPERATORS

________________

Article 20

1.   If a feed business operator considers or has reason to believe that a feed which it has

imported, produced, processed, manufactured or distributed does not satisfy the feed safety

requirements, it shall immediately initiate procedures to withdraw the feed in question from

the market and inform the competent authorities thereof.  In these circumstances or, in the

case of Article 15(3), where the batch, lot or  consignment does not satisfy the feed safety

requirement, that feed shall  be destroyed, unless the competent authority is satisfied

otherwise.  The operator shall effectively and accurately inform users of the feed of the reason

for its withdrawal, and if necessary, recall from them products already supplied when other

measures are not sufficient to achieve a high level of health protection.

2.   A feed business operator responsible for  retail or distribution activities which do not

affect the packaging, labelling, safety or integrity of the feed shall, within the limits of its

respective activities, initiate  procedures to withdraw from the market products not in

compliance with the feed-safety requirements  and shall participate in contributing to the

safety of food by passing on relevant information necessary to trace a feed, cooperating in the

action taken by producers, processors, manufacturers and/or the competent authorities.

3.   A feed business operator shall immediately inform the competent authorities if it considers

or has reason to believe that a feed which it  placed on the market may not satisfy the feed

safety requirements.  It shall inform the competent authorities of the action taken to prevent

risk arising from the use of that feed and  shall not prevent or discourage any person from

cooperating, in accordance with national law and  legal practice, with the competent

authorities, where this may prevent, reduce or eliminate a risk arising from a feed.

4.   Feed business operators shall collaborate with the competent authorities on action taken

in order to avoid risks posed by a feed which they supply or have supplied.

V.1. Rationale

• The objectives of this Article are the same as those of Article 19, applied to feed mutatis

mutandis.

• However, some of the wordings used in 20 (1) are specific to the feed sector and need to

be explained.

• In the context of feed, it is important to take into account that some type of feed in some

of its raw state prior to processing is not fit for animal consumption.      30

V.2. Implications

• Mostly similar to those of Article 19, except that Article 20 (1) provides in particular for

the destruction of the feed or batch of feed considered as non compliant with the feed

safety requirements, unless the competent authority is satisfied otherwise.

• In the context of feed, the information on withdrawal will concern the users (farmers) of

the feed and not consumers.

V.3. Contribution / Impact

V.3.1. Article 20 (1)

i)  Withdrawal and notification to the competent authorities

The first sentence of Article 20 (1) “If a feed business operator considers or has reason to

believe that a feed which it has imported, produced, processed, manufactured or distributed

does not satisfy the feed safety requirements, it shall immediately initiate procedures to

withdraw the feed in question from the market and inform the competent authorities thereof”

contains a similar wording to the one used in Article 19 (1).

Therefore, the same approach as the one explained for Article 19 (1) can be followed with the

following differences:

• The first cumulative criterion to be met for the application of Article 19 (1) is worded

slightly differently in Article 20 (1). The withdrawal of the feed is a withdrawal from the

market, which implies that the product is on the market. However, the further condition

“which has left the immediate control” is not included in Article 20  (1). This will mean

that the feed operators will have to withdraw and notify unsafe feed that is placed on the

market but that might still be under their immediate control. In practice, this will concern

the holding of feed for the purpose of sale (e.g. definition of “placing on the market” in

Article 3.8). The holding for sale takes place once all internal processes making a product

ready for sale have been applied. Therefore, actions, including taking the product out of

the food chain, undertaken before the product  is ready for sale are not meant to be

withdrawals in the meaning of Article 19 (1) and do not have to be notified.

• The second cumulative criterion “the feed is considered by the operator as not meeting the

feed safety requirements” is similar to the one used in Article 19 (1). Therefore, the feed

safety requirements mentioned in Article 15 will need to be taken into consideration. In

particular, Article 15.2 specifies the intended use of a feed has to be taken into

consideration to consider it unsafe. For  example, it is notable that for certain

contaminants, processing that results in the removal of the contaminant could be allowed

under certain conditions, laid down by the relevant specific legislation.

• In addition, since Article 15 provides that feed shall be deemed to be unsafe for its

intended use if it is considered a) to have an adverse effect on human or animal health, b)

to make the food derived from food-producing animals unsafe for human consumption,

the requirements of Article 14 in relation to the determination of an unsafe food have to be

taken into account to implement Article 15.  31

ii) Destruction

The second sentence of Article 20 (1) is specific to the feed sector. Its provides that in

addition to the withdrawal and the information of the competent  authorities, the feed

considered as not meeting the feed safety requirement and any related batch, lot or

consignment which is considered not to meet the feed safety requirement as provided for in

Article 15 (3), shall be destroyed, unless the competent authority is satisfied otherwise. It is

the case, for example, where another measure, specified by the relevant legislation, could be

used.

Destruction shall be therefore the rule unless the competent authority is satisfied otherwise. In

addition, in accordance with Article 15 (3) any  related batch, lot or consignment shall be

presumed unsafe and destroyed, unless following a detailed assessment there is no evidence

that it fails to satisfy the feed safety requirement.

Therefore, when informing the competent authority of the withdrawal of an unsafe feed (and

any related batch, lot or consignment) the feed operator shall specify if the destruction is

planned or propose alternative measures ensuring that no unsafe feed shall be placed on the

market or fed to any food-producing animal. An agreement of the competent authority on the

alternative measures proposed is necessary in order for the operator to apply such measures,

under the conditions laid down by the specific legislation.

iii)  Information of users and recall

The comments made under Article 19 (1) in relation to information and recalls are applicable

mutadis mutandis. However, as this provision applies in the context of feed, the information

on withdrawal will usually concern the users of the feed, usually farmers, and not consumers.

V.3.2. Article 20 (2), (3) and (4)

The comments made for the application of paragraphs 2, 3 and 4 of Article 19 are valid

mutadis mutandis for the application of paragraphs 2, 3 and 4 of Article 20.

*

*  *32

VI.  ARTICLE 11

IMPORT OF FOOD AND FEED

_________________

Article 11

Food and feed imported into the Community

Food and feed imported into the Community for placing on the market within the Community

shall comply with the relevant requirements of food law or conditions recognised by the

community to be at least equivalent thereto or, where a specific agreement exists between the

Community and the exporting country, with requirements contained therein.

The traceability provisions of the General Food Law do not have an extra-territorial effect

outside the EU. This requirement covers all stages of production, processing and distribution

in the EU, namely from the importer up to the retail level.

Article 11 should not be construed as extending the traceability requirement to food/feed

business operators in third countries. It requires that food/feed imported into the Community

complies with the relevant requirements of EU food/feed law.

Exporters in trading partner countries are not legally required to  fulfil the traceability

requirement imposed on operators within the EU by Article 18 of Reg. 178/2002. However,

there may be circumstances where there are special bilateral legal requirements for certain

sectors or where there are specific Community legal requirements, for example in the

veterinary sector, where certification rules require information concerning the origin of the

good. These requirements are not affected by the traceability provisions of the general food

law.

The objective of Article 18 is sufficiently fulfilled because the requirement extends to the

importer. Where the EU importer is able to identify from whom the product was exported in

the third country, the requirement of Article 18 and its objective is deemed to be satisfied.

It is common practice

17

among some EU food business operators to request trading partners to

meet the traceability requirements and even beyond the “one step back-one step forward”

principle. However, it should be noted that such requests are part of food business’

contractual arrangements and not of requirements established by the Regulation.

*

*  *

17

cf explanations in chapter II. 3. 1. iii). 33

VII.  ARTICLE 12

EXPORT OF FOOD AND FEED

Article 12

1. Food and feed exported or re-exported from the Community for placing on the market of a

third country shall comply with the relevant requirements of food law, unless otherwise

requested by the authorities of the importing country or established by the laws, regulations,

standards, codes of practice and other legal and administrative procedures as may be in force

in the importing country.

In other circumstances, except in the case where foods are injurious to health or feeds are

unsafe, food and feed can only be exported or re-exported if the competent authorities of the

country of destination have expressly agreed, after having been fully informed of the reasons

for which and the circumstances in which the food or feed concerned could not be placed on

the market in the Community.

2. When the provisions of a bilateral agreement concluded between the Community or one of

its Member States and a third country are applicable, food and feed exported from the

Community or that Member State to that third country shall comply with the said provisions.

VII.1. Rationale and objective

It is necessary to ensure that food and feed exported or re-exported from the Community

complies with Community law or the requirements set up by the importing country. In the

latter case, the objective is to take into account the level of protection established by

importing countries.

In all other circumstances, food and feed can only be exported or re-exported, if the importing

country has expressly agreed. The rationale of this provision is to prevent the “exportation” of

crisis. When a new risk arises, not all countries are likely to have set up relevant safety

requirements to prevent this risk. As such, (re)exportation of food and feed must be subject to

the express agreement of the competent authorities of the country of destination and only after

these authorities have been fully informed of the reasons for which the food or feed concerned

could not be placed on the Community market. However, even where there is express

agreement of the importing country, food that is considered injurious to health or feed that is

considered unsafe may in no event be exported or re-exported.

18

18

See Recital 24. 34

VII.2. Scope of Article 12

The scope of Article 12 is limited to food/feed produced within the EU (exported) or

food/feed that has been put on the EU market after having been imported (re-exported)

including food/feed that has been allowed to enter the Community, pending the results of

sample border screening. However, this Article does not apply to feed and food rejected at the

external border of the EU.

VII.3. Article 12 (1)

This first subparagraph of Article 12 (1) provides for a general rule that food and/or feed

exported or re-exported from the Community for placing on the market of a third country (i.e.

a country not in the EU) shall comply with either Community law, or with the law of that

third country. The latter situation referred to is the most usual one: Third countries have set

their own level of protection for a particular food or feed and exporting business operators

must then comply with the requirements set up by importing countries.

Where no requirements are set up by the authorities of the importing countries (legislation or

administrative procedures), the food and feed intended for export or re-export must comply

with the relevant requirements of Community food law.

The second subparagraph of Article 12 (1) provides for cases not covered by the first

paragraph. In such circumstances, food may only be exported or re-exported if the competent

authorities of the country of destination have expressly agreed, preferably in writing and only

after having been fully informed of the reasons why the food or feed could not be placed or

remain on the market within the EU.

However, this procedure does not apply in cases where the competent authority of the

exporting EU Member State considers food to be injurious to health or feed to be unsafe. In

such cases, the food or feed concerned may not be exported or re-exported and must be

disposed of safely.

For food and feed rejected at the external border of the EU and which can be re-dispatched,

Article 21 of the Regulation (EC) No 882/2004 of the European Parliament and of the Council

on official controls performed to ensure the verification of compliance with feed and food

law, animal health and animal welfare

19

rules applies.

VII.4. Article 12 (2)

Article 12 (2) refers to the situation where a Member State or the Community have concluded

a bilateral agreement with a third country. In such a case, the rules to comply with are those

laid down in that agreement.

*

*  *

19

OJ L 191, 28.5.2004, p. 1.