ILLINOIS POLLUTION CONTROL BOARD
May 18,
1995
KATHE’S AUTO SERVICE CENTER,
)
Petitioner,
)
v.
)
PCB 95—43
(UST-Appeal)
ILLINOIS ENVIRONMENTAL
)
PROTECTION AGENCY,
)
)
Respondent.
PHILLIP MANDELL AND SIGI OFFENBACH APPEARED ON BEHALF OF
PETITIONER;
JOHN BURDS AND DANIEL P.
MERRIMAN
APPEARED ON BEHALF OF
RESPONDENT.
OPINION AND ORDER OF THE BOARD
(by E. Dunham):
On January 23,
1995 Kathe’s Auto Service Center
(Kathe)
filed an appeal pursuant to Sections 57.7(c) (4) (D) and 40(á)
of
the Environmental Protection Act
(Act)
concerning the Illinois
Environmental Protection Agency’s
(Agency) rejection of Kathe’s
Site Classification Completion Report
(Site Report).
(415 ILCS
5/57.7(c) (4) (D) and 5/40(a)
(1993).)’
A hearing was conducted in
this matter by Hearing Officer June Edvenson on March 13 and 14,
1995, at the Board’s Chicago offices.
At the hearing Kathe
presented one witness,
Mr. Ronald Schrack, the consultant who
prepared the Site Report for Kathe.
The Agency presented two
witnesses,
Mr. Todd Rowe and Ms. Kendra Brockamp, at the second
day of hearings.
Background
Kathe owns a facility located at 835 Milwaukee Ave.
Glenview,
Illinois.
On November 28,
1992 Kathe filed an Illinois
Emergency Management Agency
(IEMA)
report as a result of a
‘On February 7,
1995, Kathe filed an appeal of the Agency’s
reimbursement determination concerning early action activities at
the site which was docketed as PCB 95-48.
Kathe’s petition in
this case and the Agency’s Post-Hearing Brief argue the question
of early action reimbursement which is no longer before the Board
in this matter.
2
leaking waste oil tank.
(Ag.
Rec. at 2.)2
Kathe filed a
Corrective Action Plan on January 22,
1993 pursuant to the
underground storage tank
(UST)
regulations which were in effect
prior to the passage of P.A. 88-496,
often referred to as H.B.
300, which created Title XVI Petroleum Underground Storage Tanks.
(415 ILCS 5/57 et seq.
(1993).)
Governor Edgar signed
11.8.
300
into law on September 13,
1993, which became effective
immediately.
(Ag. Brief at 5-8.)
However, regulations
effectuating the new program were to be proposed by the Agency
within six
(6) months of the effective date of the law and
finally adopted by the Board within six
(6) months of the Agency
proposal.
Therefore no regulations were adopted until September
13,
1994 and were not in effect at the time of Kathe’s filing of
its Site Report.
Kathe filed a revised Corrective Action Plan
and Site Report pursuant to Title XVI, on October 14,
1993, which
classified the site a “Low Priority” site.
(Ag. Rec.
at 108—149,
151—190.)
However, on November 8,
1993, Kathe filed a letter
stating the site should be re-classified as a “No Further Action”
site pursuant to Title XVI.
(Ag. Rec.
at 151—190,
191-192.)
On February 10,
1994 the Agency rejected the revised
Corrective Action Plan and Site Report filed by Kathe on October
14,
1993.
(Ag.
Supp. Rec.
at 1.)~ Among other reasons the
Agency rejected the Site Report because it failed to demonstrate
that the site is located in an area where the physical soil
classification is consistent with areas designated D,
E,
F and G
on the Berg Circular4
it failed to demonstrate whether the
underground storage tank is within the minimum or maximum setback
zone of a potable water supply well or regulated recharge area of
a potable water supply well; and it failed to submit a
certification from a Licensed Professional Engineer verifying the
site’s classification as a “High Priority, Low Priority,
or No
Further Action” site in accordance with Section 57.7(b)
of the
Act.
(Ag.
Supp. Rec. at 4-6.)
The Agency’s rejection letter
also set forth the activities necessary for Kathe to satisfy the
requirements of the Act which were identified as lacking in the
2The Agency’s record in this matter will be referenced as
“Ag.
Rec. at
“.
3The Agency filed a supplement to its record on March 13,
1995 which will be cited to as “Ag.
Supp. Rec. at
“.
4AS noted in Section 57.7(b) (2) (A)
of the Act, the Berg
Circular is a combination of hydrogeologic properties and
stratigraphic position of geologic materials which demonstrate in
map form the potential for contamination for aquifers.
Richard
C.
Berg, John P. Kempton, Keros Cartwright,
“Potential for
Contamination of Shallow Aquifers in Illinois,”
(1984),
Circular
No.
532.
3
Site Report.
The following are some of those activities:
1.
To demonstrate a site has geology consistent with a No
Further Action Area the following items should be performed
and the supporting documentation should be supplied to the
Agency:
a.
At least one soil boring per tank field should be
performed to a depth sufficient to classify:
(1)
50 feet of native soil or;
(2)
soils to the point bedrock is encountered.
(A
sample of bedrock must be collected to determine
permeability or an in-situ hydraulic conductivity
test must be conducted.
Additional information
about this is located in Item (b)(5)
below.)
A tank field includes all USTs which reside within a
circle with a 100 foot radius.
If anomalies are encountered, additional soil boring(s)
may be necessary to verify the site geology.
The soil
boring(s) must be continuously sampled.
The boring(s)
should be performed within 200 feet of the outer edge
of the tank field or at the property boundary,
whichever is
less.
Reasonable attempts should be made
to limit vertical migration of contamination.
If sand or gravel lenses or seams are encountered,
additional investigation will be required to determine
if such conditions are continuous and/or extend off—
site.
Continuous sand and gravel
lenses and seams were
mapped in the circular and may indicate inconsistency
with areas D and E.
Any water bearing units encountered must be sealed
during drilling.
b.
The following tests shall be performed on a
representative sample of each stratigraphic unit
encountered at the site:
(1)
Particle—Size Analysis of Soils
——
ASTM D 422—63
and ASTM D 1140—54
(2)
Moisture Content
--
ASTM D 2216-90 or ASTN D 4643-
87
(3)
Soil Classification
—-
ASTM D 2488-90 or ASTM D
2487—90
4
(4)
Unconfined compression strength using a hand
penetrometer
(5)
Hydraulic Conductivity
c.
In the event that the licensed Professional Engineer
determines during the course of investigation that the
soil classification is consistent with other than area
D,
E,
F, or G, physical soil classification activities
may cease.
The Site Classification Completion Report
should document the soil conditions which were
encountered and explain the basis for determining the
site geology is not consistent with area D,
E,
F, or G.
Soil boring logs should be provided for all borings
performed at the site.
Borings should be logged on the
Agency’s standardized boring log or using a similar
format which includes all required information listed
below:
(1)
sampling device,
sample distance, and amount of
recovery
(2)
total depth of boring to nearest
6 inches
(3)
detailed field observations describing materials
encountered in the boring.
Such description
should include soil constituents, consistency,
color,
density,
moisture, and any odors.
Sand and
for gravel lenses/seams must be recorded if
greater than or equal to
1 inch in thickness
(4)
Soil borings should be continuously screened with
field instruments capable of detecting petroleum
hydrocarbon vapor
(5)
Indicate location of sample(s) used for physical
and/or chemical analysis
(6)
Groundwater levels—-while boring and at completion
(7)
Moisture content
(8)
Unconfined compression strength using a hand
penetrometer
(9)
USCS soil classification of all stratigraphic
units
2.
To satisfy the requirements of Section 57.7(b) (3) (B)
of
the Act the following activities may be performed:
5
a.
An investigation must be conducted to determine
the location of all potable water supply wells
within 2500 feet of the site.
This investigation
should include, but not be limited to contacting
the Illinois State Geologic Survey and the
Illinois State Water Survey.
All local units of
government must be contacted to determine
ordinances concerning potable water supply wells.
In addition, regulated recharge areas are
designated by the Illinois Pollution Control Board
and would be published in the Illinois Register.
A description of all sources consulted to make a
determinations should be provided.
b.
Provide a map to scale showing the locations of
potable water supply wells within 2500 feet of the
site.
Radii of 200,
400, and 1000 feet from the
site should be indicated on the map.
c.
Provide a table that indicates the setback zone
for each well and the distance of the well from
the site.
Map locations should be numbered
consistently with the information in the table.
Kathe, pursuant to Section 57.13(b)
of the Act, elected to
proceed under Title XVI of the Act on February 20,
1994,
instead
of the prior UST regulations.
(415 ILCS 5/57.13(b)
(1993).)
(Ag. Rec.
at 202.)~ On March
9,
1994 Kathe submitted a letter
regarding budget and billing forms which contained a site
classification work plan.
(Ag. Rec at 203-237.)
On June 23,
1994, the Agency responded by sending a letter to Kathe modifying
the Physical Soil Classification and Groundwater Investigation
Plan that was submitted on March 9,
1994.
(Ag. Rec.
at 238—243.)
Pursuant to a phone conversation between Kathe and the Agency,
Kathe filed a revised Table
1 of the Site Classification Work
Plan on June 21,
1994.
(Ag. Rec.
at 244—245.)
On August
18,
1994, Kathe filed with the Agency the Site
Report which is the subject of this appeal.
Kathe states that
the Site Report was “...completed in accordance with the
requirements of Title
XVI
of the Act and the first proposed
regulations as stipulated in Illinois Title 35
-
Part 732,
Subpart C
—
Site Evaluation and Classification (March 17, 1994).”
(Ag. Rec.
at 246-284.)
The Agency issued its rejection of the
5Although Kathe’s filing of October
13,
1994 states that it
was completed in compliance with Title XVI, Section 57.13(b)
requires a written statement by the owner or operator stating its
election to proceed under Title XVI to be submitted to the
Agency.
6
Site Report on December 20,
1994.
(Ag.
Rec. at 288—299.)
Pursuant to Section 57.7(c) (4) (D)
of the Act, the Agency’s
rejection letter must contain an explanation of the sections of
the Act and/or Board regulations which may be violated if the
plan were approved.
(415 ILCS 5/57.7
(c)(4)(D)(1993).)
The Agency’s letter sets forth in detail the reasons for
rejection.
The following is a brief summary of the Agency’s
reasons for its rejection of the Site Report.
The Agency
believes the Site Report as submitted failed to demonstrate that:
1)
the soil borings were continuously sampled to ensure
that no gaps appears in the sample column as required by 35
Ill.
Adm. Code 732.307(c) (1) (E);
2)
any water bearing units encountered will be protected as
necessary to prevent cross—contamination of water bearing
units during drilling as required by 35 Ill. Adm. Code
732.306(c) (1) (G);
3)
the requirement of 35 Iii. Adm. Code 732.307(c) (2)
for
Method One for Physical Soil Classification was completed;
4)
the requirement of 35
Ill.
Adm. Code 732.307(c) (3) for
Hydraulic Conductivity was completed;
5)
the survey for water wells were conducted pursuant to 35
Ill. Adm. Code 732.307(f)
6)
a groundwater investigation report was performed by the
Licensed Professional Engineer as required by 35
Ill. Adm
Code 732.307(j) (1);
7)
all soil borings were submitted as required by
732.308(a);
8)
the bore hole was abandoned pursuant to 77 Iii.
Adm.
Code 920.120 as required by 35 Ill. Adm.
Code 732.308(b);
and
9)
the physical soil classification procedure confirmed the
Berg Circulator designation of a “No Further Action” site
classification and that the UST is not within the minimum or
maximum setback zone of a potable water supply well or
regulated recharge area of
a potable water supply well as
is
required by 35 Ill. Adm. Code 732.302(a)
to classified as a
“No Further Action.”
In summary, the Agency believed that the soil boring was
inadequate, the boring log did not contain the necessary
information,
and it could not be determined whether the UST was
within the minimum or maximum setback zone for a potable water
7
supply well or regulated recharge area of a potable water supply
well.
On January 23,
1995, Kathe appealed the Agency rejection
letter to the Board.
In Kathe’s petition to the Board,
it
responds to each of the Agency’s reasons and attaches a revised
Water Table
2 and soil boring
log.
(Pet.
at 2_5.)6
Kathe
is
requesting the following forms of relief:
“upon
review of a
revised water well Table and Soil Boring Log provided in
Attachment
3 from the petitioner,
sic)
the IEPA approve the ‘No
Further Action’ Classification certified by the petitioner’s
licensed professional engineer”,
“....acknowledge
that the early
remedial actions proposed to be completed at the site will be
conducted in accordance with the minimum allowable actions
stipulated in 35 IAC 732.202 and will be eligible costs for
reimbursement’from the UST Fund”,
“...g)rant
the petitioner
financial relief for the legal and professional representation
costs incurred for the filing of this appeal based on the grounds
that the Agency acted in an arbitrary and capricious manner
during review of this Site Classification Completion Report”,
“grant
such other and further relief as may be appropriate.”
(Pet.
at 10.)
Regulatory Background
The Board’s authority to review the Agency’s determination
in UST Site Classification appeals arises from Section
57.7(c) (4) (D)
of the Act.
Section 57.7(c) (4) (D)
grants
individuals the right to appeal an Agency determination to the
Board in accordance with the procedures of Section 40 of the Act.
Section 40 of the Act is the general appeal section for permits
and has been used by the legislature as the basis for other types
of appeals to the Board,
including this type of appeal.
There is
a large body of case law developed concerning the respective
roles of the appealing party, the Agency and the Board under
Section 40 appeals.
Summarizing those roles and authority,
the
Board stated in City of Herrin v. Illinois Environmental
Protection Agency,
(March 17,
1994),
PCB 93-195
Petition for review of permit denial is authorized by
Section 40(a)(1)
of the Act
415
ILCS 5/40
(a)(1)) and
35 Ill. Adm. Code Section 105.102(a).
The Board has
long held that in permit appeals the burden of proof
rests with the petitioner.
The petitioner bears the
burden of proving that the application,
as submitted to
the Agency, would not violate the Act or the Board’s
regulations.
This standard of review was enunciated in
Browning—Ferris Industries of Illinois,
Inc.
v.
6Kathe’s appeal petition will be referenced as “Pet. at
“.
8
Pollution Control Board,
179 Ill. App.
3d
598,
534 N.E.
2d 616,
(Second District 1989)
and reiterated in John
Sexton Contractors Company v.
Illinois
(Sexton), PCB
88—139, February 23,
1989.
In Sexton the Board held:
...that the sole question before the Board is
whether the applicant proves that the application,
as submitted to the Agency, demonstrated that no
violations of the Environmental Protection Act
would have occurred if the requested permit had
been issued.
Therefore, the petitioner must establish to the Board
that the permit would not violate the Act or the
Board’s rules
if the requested permit was to be issued
by the Agency.
In addition, the Agency’s written
response to the permit application frames the issues on
appeal from that decision.
(Pulitzer Community
Newspapers,
Inc.
v.
Illinois Environmental Protection
Agency, PCB 90—142, at
6
(December 20,
1990); Centralia
Environmental Services,
Inc.
v. Illinois Environmental
Protection Agency, PCB 89—170, at
6
(May 10,
1990);
City of Metropolis v. Illinois Environmental Protection
Agency, PCB 90—8
(February 22,
1990).
Additionally,
in Clarendon Hills Bridal Center
(Learsi and
Company,
Inc.)
v. Illinois Environmental Protection Agency,
(February 16,
1995), PCB 93-55, the Board ruled that it would not
consider evidence that was not before the Agency prior to its
final determination concerning corrective action cost
reimbursement.
In doing so, the Board recognized the fact that
in prior cases
it has admitted evidence which was not contained
in the Agency record, because the Agency had not promulgated
regulations identifying for petitioners the type of information
necessary to complete a reimbursement application.7
In those
prior cases the Board reasoned that without such regulations,
petitioners could not anticipate what information the Agency
would require, and therefore petitioners should be allowed to
supplement the record in order to clarify why a disputed cost
should be reimbursed.
However,
in Clarendon the Board found that
“...petitioner knew or was obligated to know that,
at a minimum,
it was required to demonstrate that the disputed cost was for
corrective action.”
(Id. at 10.)
The Board reasoned that
“Section 22.18(b)
of the Act clearly states that an owner or
operator can only recover from the Fund the costs
of corrective
7See Sparkling Spring Mineral Water Co.
v.
Illinois
Environmental Protection Agency
(August 26,
1993)
PCB 92—203, and
Chuck
& Dan’s Auto Service v.
Illinois Environmental Protection
Agency (August
26,
1993)
PCB 92—203.
9
wtion” and that “the
initial burden on the party seeking
reimbursement is to demonstrate that the remediation costs
3atisfy the definition of corrective action.
(Platolene 500.
tnc.
V.
IEPA (May 7,
1992)
PCB 92—9,
133 PCB 259 at 7.)
Thus,
~he Board stated that if the petitioner, who carries the burden
f proof, knew what was required or was obligated to know the
3oard would not allow the petitioner to admit evidence after the
~etermination had been made.
In the instant case,
the Board is confronted with an appeal
)f
a UST Site Report which the Agency has rejected for lack of
information necessary to demonstrate that the site is indeed a
‘No Further Action” site as defined by Section 57.7(b)
of the
~ct.
Section 57.7(b)
states:
i)
Site Classification.
1)
After evaluation of the physical soil classification
and groundwater investigation results, when required, and
general site information, the site shall
be classified as
“No further Action”,
“Low Priority”,
or “High Priority”
based on the requirements of this Section.
Site
classification shall be determined by a Licensed
Professional Engineer in accordance with the requirements of
this Title and the Licensed Professional Engineer shall
submit a certification to the Agency of the site
classification.
The Agency has the authority to audit site
classifications and reject or modify any site classification
inconsistent with the requirement of this Title.
2)
Sites shall be classified as No Further Action if both
of the following are met:
A)
The site is located in an area designated D,
E, F
and G on the Illinois Geological Survey Circular
(1984)
titles “Potential for Contamination of Shallow Aquifers
in Illinois,” by Berg, Richard C.,
et al.;
a site
evaluation under the direction of a Licensed
Professional Engineer verifies the physical soil
classification conditions are consistent with those
indicated on the Illinois Geological Survey Circular
(1984)
titles “Potential for Contamination of Shallow
Aquifers in Illinois,” by Berg, Richard C., et al.; and
the conditions identified in subsections
(b) (3) (B),
(C),(D), and
(E)
do not exist.
B)
No groundwater investigation monitoring shall be
required to demonstrate that a site meets the criteria
of a No Further Action site.
10
Section 57.7(b) (3)
states in pertinent part:
B)
The underground storage tank is within the minimum
or maximum setback zone of a potable water supply well
or regulated recharge area of a potable water supply
well.
C)
There is evidence that, through natural or manmade
pathways, migration of petroleum or vapors threaten
human health or human safety or may cause explosions in
basements, crawl spaces, utility conduits,
storm or
sanitary sewers,
vaults or other confined spaces.
D)
Class III special resource groundwater exists
within 200 feet of the excavation.
E)
A surface water body is adversely affected by the
presence of a visible sheen or free product layer as
the results of an underground storage tank release.
Throughout the Agency’s rejection letters and the transcript
of the hearing, both parties reference 35 Ill. Adm. Code Part
732.
However, as stated previously, Kathe filed its Site Report
on August 18,
1994,
prior to the Board’s adoption of those
regulations.
The Board subsequently adopted regulations at 35
Ill. Adm. Code Part 732 on September 13,
1994, which set forth
the informational requirements of the Site Classification
Completion Report.
Therefore, the Board’s review is limited to
the requirements of the Act.
Arguments
Preliminary to its arguments concerning the soil boring
method, setback zone, and the boring log, the Agency questions
the credibility and qualifications of Kathe’s witness, Mr.
Schrack.
The Agency challenges the witness on grounds that he
was not a Licensed Registered Professional Engineer at the time
of the hearing, and that certain evidence admitted after its
determination should be stricken from the record before the
Board.
(Ag. Brief at 8-12.)
Additionally, the Agency makes
arguments concerning reimbursement for early action activities in
its Post-Hearing Brief on pages 42-48.
As stated previously
(supra p.1, n.l), the issue of reimbursement for early action
activities is not before the Board in this matter, and therefore
we will not address those arguments.
The Agency argues that,
as
Mr. Schrack was not a Licensed
Registered Professional Engineer at the time of the hearing and
since it was not allowed to voir dire Mr. Schrack, as to his
expertise,
the credibility of his testimony is diminished.
(Ag.
Brief at
8.)
As proof,
the Agency offers a certification from
the Illinois Department of Professional Regulation that states
11
that Mr. Schrack’s license expired as of November 30,
1994 and
has not renewed.
(Ag. Brief Attachment A.)
Based on these
reasons the Agency objects to Mr. Schrack’s qualifications as an
expert and requests that the Board strike those portions of his
testimony that were offered based upon his qualifications as a
Licensed Professional Engineer.
(Ag. Brief at 9.)
Additionally, the Agency argues that Kathe presented
evidence that was not before the Agency prior to the Agency’s
final determination of December 20,
1994.
(Ag. Brief at 10.)
The Agency requests that the evidence should be treated as an
amendment of the August 18,
1994 Site Report and remanded to the
Agency for review pursuant to Section 57.7(b) (1)
of the Act.
(Ag. Brief
at 12.)
The Agency argues that the Board should apply
the same standard as it did in Clarendon Hills Bridal Center
(Learsi and Company,
Inc.)
v. Illinois Environmental Protection
Agency,
(February 16,
1995), PCB 93—55.
In Clarendon the Board
found that it would only consider evidence that was before the
Agency prior to its final determination.
(Ag. Brief at 11—12.)
The Agency argues to rule otherwise “...would: destroy the
obvious remedy of submitting an amended report or plan to the
Agency...render the Agency’s review meaningless.. .violate all
concepts of fundamental fairness....”
(Ag. Brief at 11.)
The
Agency concludes that it should be allowed to view the very
information it determined was missing.
(Ag. Brief at 42.)
The main information which the Agency believes is lacking in
the Site Report concerns;
(l)whether the soil boring conducted by
Kathe demonstrates that the site conditions correlate with a Type
E designation of the Berg Circular;
(2)does the soil boring log
contain sufficient information for an Agency determination; and,
(3)whether the Agency could determine from the Site Report
whether the UST was within the minimum or maximum setback zone
for public water supply well or regulated recharge area of a
potable water supply well.
The following is a summary of the
arguments concerning those three questions.
Soil Boring
Kathe argues that the sample soil boring was completed and
continuously sampled to fifty
(50) feet in depth to classify the
soil types.
(Pet at 2.)
At the hearing, Mr. Schrack testified
that in his opinion the fifty
(50) foot boring was continuously
sampled, that any sampling gaps were the result of normal
industry practice and that this soil sampling method is the same
method he utilized at other sites which the Agency has approved.8
(Tr. at 84,
48,
37-39.)
Kathe further states that it had
8The transcript of the hearings held on March 13 and 14 will
be referenced as “Tr.
at
“.
12
“...completed one continuous 50 foot soil boring for site
classification prior to collection of the two Shelby Tube samples
from a second 50 foot soil boring...” and that although it had
not documented this “thorough approach”, the Agency does not
specify under Method One or
Two
that such documentation is
required.
(Pet.
at 3.)
In addition, Kathe states that pursuant
to 35 Ill. Adm.
Code 732.307(c) (1) (H) (2)
it is allowed to utilize
techniques other than those specified in subsection
(C)
(1) of 35
Ill.
Adm. Code 737.307(c) (1)) “...for soil classification
provided that the techniques have been successfully utilized in
applications similar to the application.”
(Pet.
at 2.)
Kathe
asserts that the procedures utilized at its site are identical to
procedures utilized at several sites where the Site Report was
approved by the Agency.
(Pet. at
2, Post-Hearing Brief at 2-5.)
Therefore, Kathe concludes that,
since the Agency has approved
those soil classifications where the applicant utilized the same
procedures as in the instant case, the requirements have also
been met here.
(Pet.
at
9, Post-Hearing Brief 5—11.)
The Agency asserts that since the soil boring contains
sampling gaps,
the site was not continuously sampled making it
impossible to determine how many stratigraphic units might be at
the site.
(Ag. Brief at 18.)
As a result of these sampling gaps
the Agency argues that it cannot be verified that the site’s
conditions meet the Type E designation of the Berg Circular.
(Ag. Brief at
22.)
At the hearing the Agency’s witness, Mr.
Rowe,
specifically testified that without information on the soil
for certain portions of the fifty
(50)
foot boring sample, they
cannot determine if the actual soil classification is Type E as
indicated by the Berg Circular.
(Tr. at 443-446.)
The Agency
argues that the sampling must be continuous because a sampling
gap of even an inch in thickness may overlook a sand or gravel
seam that would result in the actual physical soil classification
at the site to be something other than a Type E designation.
(Ag. Brief at 22,
Tr. at 445,472.)
Furthermore, the Agency
asserts that a sampling gap may also miss a manmade pathway.
(Ag. Brief at 22.)
The Agency also states that the fifty
(50)
foot site classification boring actually constituted only twenty—
one
(21)
feet with documentation for only fifteen
(15)
feet of
the total
soil.
(Ag. Brief at 27,
Tr. at 452—466.)
Additionally, the Agency notes that Mr. Schrack testified that
the Shelby Tube samples listed within the log were not obtained
from the boring identified as KAB23,
but rather from a different
boring taken three feet away.
(Ag. Brief at 27)
Finally, the
Agency argues that Kathe agreed to conduct the activities set
forth in the February 10,
1994 rejection letter by its submission
of the revised Site Classification Work Plan dated March 9,
1994
and that Kathe failed to perform an analysis for each
stratigraphic unit as required by the approved Site
Classification Work Plan.
(Ag. Brief at 22—25,
31.)
For these
reasons, the Agency concludes that the sampling method does not
provide the necessary information for it to make a determination.
13
Soil Boring Log
Kathe asserts that the format for its soil boring logs in
this Site Report contains the same information and format as the
soil boring logs submitted in other cases in which the Agency
approved the classification.
(Pet.
at 6.)
Mr. Schrack
specifically testified that the soil boring log contains all the
information necessary and is the same format as in other sites
which the Agency approved.
(Tr. at 37-39.)
Additionally, as Mr.
Schrack testified and Kathe asserts, specific information that
may not be in the soil boring log is contained elsewhere in the
Agency record and was before the Agency prior to its
determination.
(Tr. at 85-105, Post-Hearing Brief at 2.)
Kathe
concludes that the Agency cannot now deny the adequacy of this
Site Report which contains the same information and has been
prepared in the same format as other Site Reports that have been
approved.
However, Kathe does state that information concerning
the name of the drilling company, depth to groundwater levels
while boring,
and the Unified Soil Classification Symbol group
symbol was not provided.
(Pet.
at 6.)
Kathe asserts, however,
that the symbols used by Schrack Environmental Consulting,
Inc.
provide more information than the Unified Soil Classification
Symbols and therefore exceed the minimum requirements of 35 Ill.
Adm. Code 732.
(Pet. at 6.)
The Agency simply argues that the prior approvals are not
relevant to this matter and should not be admitted by the Board.
(Ag. Brief at 33-34.)
However, the Agency asserts that those
prior approvals are distinguishable and that the Board has
correctly found that the applicable law, and not Agency policy,
appropriately decides the matter citing to State Bank of
Whittington v.
IEPA,
(June
3,
1993), PCB 92-152.
(Ag. Brief at
36-37.)
The Agency argues that the three site approvals,
argued
to be identical,
Fortune, Mertes and Complete, are
distinguishable.
The Agency states that the Complete and Fortune
cases were “High Priority” site classifications and were not
approved until February 3,
1995 and January 5,
1995,
respectively, which is much after the August
18,
1994 date that
Kathe filed its Site Report.
(Ag. Brief at 34.)
Therefore,
the
Agency concludes that it was impossible for Mr. Schrack or Kathe
to rely on the approval in those approvals in filing the Site
Report in this matter.
(Ag. Brief at 34.)
Finally, the Agency
asserts the Mertes case utilized a different evaluation method
and therefore is substantially different than this case.
(Ag.
Brief at 35—36.)
Thus, the Agency concludes that those approvals
are substantially different and, pursuant to State Bank of
Whittington, are irrelevant to the Board’s decision of this issue
in this case.
(Ag. Brief at 36.)
Water Well Survey
Kathe argues in its petition that the revised Table
2
14
attached to its petition demonstrates where the UST is not within
the minimum or maximum setback zone for public water supply wells
and the distance of the
iJST
in relation to the public water
supply wells.
(Pet. at 4.)
Additionally, Kathe states that Mr.
Schrack contacted the Illinois State Water
Survey
(ISWS) to
locate and map out potable wells prior to the determination of
the Site Report and that after the Agency determination he
contacted the Illinois State Geological Survey
(ISGS).
(Post-
Hearing Brief at 9.)
Kathe also states that the employee at the
ISGS stated that its information is based on that of the ISWS.
(Post-Hearing Brief at 9.)
Kathe argues that the Agency’s
emphasis on the fact that the ISGS was not contacted by Kathe
prior to the Agency’s determination
is “emphasizing a useless
act.”
(Post-Hearing Brief at 10.)
Kathe asserts that since the
information of the ISWS is the same as that of ISGS,
it should
not have to contact the ISWS.
(Post-Hearing Brief at 10.)
Therefore Kathe argues that it has met the informational
requirements concerning the water well survey.
The Agency asserts that Kathe was aware of the type of
information necessary to demonstrate whether the UST is within
the minimum or maximum setback zone of a potable water supply
well or regulated recharge area of a potable water supply well.
(Ag. Brief at 38.)
The Agency argues that its rejection letter
of February 10,
1994, which was issued six
(6) months prior to
Kathe’s submission of the Site Report, set forth the
informational requirements necessary for the Site Report.
(Ag.
Brief at 38.)
In addition, the Agency states that the Table
2
submitted by Kathe is deficient and that Kathe’s filing of a
revised Table
2 corroborated this fact.
(Ag. Brief at 41.)
The
Agency asserts that the Table
2 filed on August
18,
1994 failed
to provide the location of the UST in relation to the minimum or
maximum setback zones of the listed wells and that Kathe failed
to contact the ISGS.
(Ag. Brief at 42.)
Finally, the Agency
states that even Mr. Schrack testified that, based on the Site
Report,
it is difficult to determine whether the UST was within
the maximum setback zone of a potable water supply well or
regulated recharge area of a potable water supply well.
(Ag.
Brief at 42.)
In general, Kathe argues that its submittal,
prepared by Mr.
Schrack,
is the same type of submittal which the Agency has
approved in at least three other sites completed by Mr. Schrack,
the Fortune, Mertes, and Complete sites.
Kathe asserts that for
the Agency to now say that the submittal is inadequate is
arbitrary,
capricious and fundamentally unfair.
(Post—hearing
Brief at 11.)
Alternatively, Kathe argues that the techniques
utilized by Mr. Schrack meet the requirements of 35 Ill. Adm.
Code 732.307(c) (1) (H) for the use of alternative techniques and
should be accepted by the Agency.
(Post-hearing Brief at 4.)
Additionally, Kathe argues that the information contained in the
revised Table
2 and the revised soil boring log, demonstrates
15
that its site meets the “No Further Action” classification
requirements of Section 57.7(b)
of the Act.
(Pet. at 4.)
The Agency in its Post-Hearing Brief states that “nowhere
in the Agency’s Technical Record,
in Petitioner’s consultant’s
testimony at the hearing or in Petitioner’s Post-Hearing Brief
does the Petitioner—or his consultant—offer any real explanation
for the failure to continuously sample or to otherwise comply
with the terms and conditions of the approved March
9,
1994 Site
Classification Work Plan.”
(Ag. Brief at 33.)
The Agency argues
that Kathe’s first explanation given, that the Agency has
approved prior sites utilizing the same techniques
in the past,
can be distinguished and that the Board in State Bank of
Whittinaton v.
IEPA,
(June
3,
1993),
PCB 92-152, correctly found
that the applicable law and not Agency policy determines the
issue at hand.
(Ag Brief at 36.)
The Agency also asserts that
Kathe’s argument that it is utilizing a new technique pursuant to
35 Ill. Adm. Code 732.307(c) (1) (H)
is misplaced.
(Ag. Brief at
37.)
The Agency states that the “...provision allows the use of
techniques other than those specified in Physical Soil
Classification Method One, but only upon the owner and operator
obtaining prior written approval from the Agency before starting
its classification investigation.”
(Ag. Brief at 37.)
The
Agency argues that the provision does not apply to a particular
consultant’s techniques and therefore rejects Kathe’s claim that
the Agency’s action on other sites involving Mr. Schrack
validated his approach at the Kathe’s site.
(Ag. Brief
at 37.)
Finally, the Agency argues that “given
the detailed
sic
particularly of the Agency’s February 10,
1994 correspondence
(Supp Rec. pp.
1-12)
and the Petitioner’s March
9,
1994 Site
Classification Work Plan (Tech.
Rec. pp.
203-237),
it is
difficult to imagine a more clear and precise standard.”
(Ag.
Brief at 38.)
Thus the Agency asserts that Kathe’s claim that
the Agency interpretation of the law is arbitrary and the
requirements of the law are vague and uncertain are unfounded.
(Ag. Brief a 37—38.)
Discussion
Prior to our decision of the issue on appeal, there are
three evidentiary matters that the Agency presents to the Board:
(l)whether the evidence entered into the record after its
decision should be allowed;
(2)whether the testimony of Mr.
Schrack should be stricken; and,
(3)whether evidence of other
Site Reports should be allowed into the record.
There is also one matter raised by Kathe concerning the use
of alternative techniques set forth in 35 Ill. Adm. Code
732.307(c)(1)(H).
As discussed previously,
since the Board did
not adopt 35 Ill.
Adm. Code Part 732 until September 13,
1994
those regulations do not apply to Kathe’s Site Report.
Therefore, any arguments made by either the Agency concerning
16
what information is required and by Kathe concerning this issue
are inapplicable.
Thus the Board will not make a decision as to
whether Kathe properly utilized 35 Ill. Adm. Code
732.307(c) (1) (H).
Concerning the first evidentiary issue, the Board finds that
the evidence entered into the record after the Agency made its
final determination of December 20,
1994, should be stricken and
will not be considered by the Board in its ruling.
As the Board
held in Clarendon, we will not consider evidence that was not
before the Agency prior to its final determination.
The initial
burden on the applicant seeking site approval pursuant to Section
57.7(b) of the Act is to demonstrate that the Site Report
verifies that in—situ soil meets the appropriate designation of
the Berg Circular.
(Platolene 500,
Inc.
v. IEPA (May 7,
1992)
PCB 92—9,
133 PCB 259 at 7.)
This case is distinguishable from
the cases where the Board held that where petitioners could not
anticipate what information the Agency would require, petitioners
should be allowed to supplement the record in order to clarify a
disputed question.
Here, Kathe knew what information the Agency
required in the Site Report.
The Agency’s rejection letter of
February 10,
1994 listed the information
it required and what
activities were necessary for Kathe to undertake to fulfill those
informational requirements of the Site Report.
To allow
supplemental evidence would undermine the statutory role of the
Agency in making such determinations.
Kathe can amend its Site
Report with the new information in the revised Table
2 and
revised soil boring log,
along with any other information it
acquired for the purposes of this appeal,
in a new submittal to
the Agency.
Therefore, the revised Table
2 and revised Soil
Boring log submitted as Attachment
3 of its petition and any
testimony alleging new facts that were not before the Agency at
the time of its determination will be stricken from the record in
this case.
Concerning the second evidentiary issue,
the Board will not
strike Mr. Schrack’s testimony because his license lapsed in
November 1994.
Although the Hearing Officer may have erred
in
not allowing the Agency to voir dire the witness since he was
being offered as an expert, the Agency rejection of the Site
Report is not based on Mr. Schrack’s qualifications,
and they are
not dispositive of the issues before the Board.
Therefore,
the
Board will not strike the testimony given by Mr. Schrack based
upon his qualifications as a Licensed Professional Engineer as
requested by the Agency, but the appropriate weight will be given
to the fact that he was not a Licensed Professional Engineer at
the time of the hearing.
Concerning the third evidentiary issue, the Board will allow
Kathe’s submission of the other Site Classification Approvals,
entered into the record as Petitioner’s Exhibits A,
B, and C.
This information is allowed for the limited purposes of Kathe’s
17
argument that the Agency is bound by its prior approvals.
These
approvals are not new information to the Agency and are not being
entered into the record as information that goes specifically to
the Agency’s final determination of December 20,
1994, regarding
Kathe’s site.
Therefore,
the first issue remaining before the Board is
whether the Agency’s prior practices,
i.e.
Site Report approvals,
should be considered in determining whether Kathe’s Site Report
demonstrates that it is a “No Further Action
“
site.
We find
that the Agency’s prior approvals at other sites do not limit the
Board in making a determination in this case.
While the Board is
mindful of the potential confusion that may occur if the Agency
utilizes inconsistent reviewing practices from site to site,
in
this case, Kathe failed to object to the Agency’s rejection
letter of February 10,
1994 which established the informational
requirements of the Site Report for its site.
Pursuant to
Section 57.7(c)(4)(D)
of the Act Kathe elected to incorporate the
Agency’s modification contained in its February 10,
1994 letter
by submitting a revised plan on March
9,
1994, which incorporated
those modifications.
(Ag. Rec.
at 121.)
Although the Agency
cites to 35 Ill. Adm. Code 732, which is not applicable to this
case,
Section 57.7(c)(4)(D)
allows for the Agency to modify
plans,
i.e.
Site Reports, and did so by describing the specific
actions that it requires Kathe do perform in developing its Site
Report.
Thus, Kathe was aware of the requirements applicable to
it and waived any review of them by failure to timely appeal.
While the Board will hold the Agency to its prior practices in
some instances,
as we stated in State Bank of Whittington, the
Board will determine the issue based on applicable
law and not
Agency policy.
Therefore reliance on the other site reviews
is
not compelling in this matter.
The remaining issue
is a factual question as to whether
Kathe’s Site Report,
as submitted to the Agency, demonstrates
that the site should be designated as
a
“No Further Action” site
pursuant to Section 57.7(b)
of the Act.
The parties’ focus their
arguments on the soil boring method on what does
it mean,
by the
requirement, to take a continuous sampling for fifty
(50)
feet in
demonstrating that the site should be designated as a “No Further
Action” site.
The term “continuous” refers to a geologic column being
characterized without any significant gaps.
Continuous sampling
involves the collection of samples, typically from
1 to
2 feet in
length,
from the ground surface down to the desired depth
(in
this case fifty
(50)
feet).
However, continuous sampling does
not necessarily mean complete recovery of every inch of sampled
material.
We agree with Kathe that, even in properly conducted
“continuous” sampling, some amount of material would be lost back
into the bore hole itself during boring and pounding and some
material would be lost during extraction process.
18
However,
in order to develop detailed site geologic profiles
at remediation sites or landfills, one or more soil borings are
sampled continuously to a specified depth.
The purpose of the
site characterization is to verify, based on site-specific data,
that the site geology meets Type E classification or other
applicable classification.
Therefore,
it is important to
identify all significant stratigraphic units.
Particularly with
regards to a UST site,
since the site classification determines
whether or not any corrective action is required at the site.
Large sampling gaps may overlook significant stratigraphic units
such as sand or gravel seams which may result in a site being
classified as a “Low Priority” or “High Priority” site instead of
being classified as a “No Further Action” site.
Here, Kathe indicates the boring was continuously sampled at
a 2-foot interval to a depth of
15 feet, but from 15 to 50 feet,
the boring was sampled at five—foot intervals while no sample was
taken between 40 to 50 feet.
Thus,
the boring log includes
a
number of sampling gaps between the depths of
15 to 50 feet.
Since there are significant gaps in the information, we find that
the Site Report as submitted does not provide enough information
to demonstrate that the site conditions meet the Type E
designation of the Berg Circular.
Finally, Kathe’s Table
2 and Exhibit
7 of its Site Report do
not state whether the UST is within the maximum setback zone of
a
potable water supply well or regulated recharge area of a potable
water supply well.
Mr. Schrack admitted that it could not be
determined whether the UST was within a maximum setback zone.
Section 57.7(b)
of the Act requires that the UST not be within
the minimum or maximum setback zone of
a potable water supply
well or regulated recharge area of a potable water supply well.
Thus in order for the Agency to make such a determination this
information is required.
We find that the Site Report
is lacking
this information.
For these reasons, we affirm the Agency’s determination that
Kathe’s Site Classification Completion Report of August
18,
1994,
is lacking information necessary to demonstrate that the site is
a “No Further Action” site pursuant to Section 57.7(b)
of the
Act.
Additionally, Kathe requested the Board to award legal and
consultant fees in this matter.
Since the Board is affirming the
Agency’s determination this issue is moot.
This opinion constitutes the Board’s findings of fact and
conclusions of law in this matter.
Order
19
The Board affirms the Agency’s determination dated December
20,
1994, disapproving Kathe’s Site Classification Completion
Report dated August 18,
1994.
IT IS SO ORDERED.
Section 41 of the Environmental Protection Act (415 ILCS
5/41) provides for the appeal of final Board orders within 35
days of the date of service of this order.
(See also 35 Ill.
Adm. Code 101.246, Motion for Reconsideration.)
I, Dorothy M. Gunn, Clerk of the Illinois Pollution Control
Board, hereby cer~J~fy
that the above opinion and order was
adopted on the
/y4(~i
day of
_____________,
1995,
by a vote of
Dorothy M7jGunn, Clerk
Illinois(~~ól1utionControl Board