ILLINOIS POLLUTION CONTROL BOARD
    March 18,
    1983
    In the matter of:
    R82—19
    PHASE II RCRA
    RULES
    PROPOSED RULE.
    FIRST
    NOTICE
    PROPOSED OPINION OF
    TILE
    BOARD
    (by D.
    Anderson):
    On August 18, 1982 the Board opened this docket for the
    purpose of promulgation of Phase II
    RCRA
    regulations in response
    to the United States
    Environmental
    Protection
    Agency’s
    (USEPA’s)
    promulgation of interim final rules allowing permit applications
    for new and existing hazardous waste management
    (HWN)
    facilities
    (47 FR 32,369, July 26,
    1983),
    These rules became effective on
    January 26,
    1983.
    Section
    22.4(a)
    of the Environmental Protec-
    tion Act
    (Act)
    requires the Board to adopt within
    180 days
    regulations or amendments thereto promulgated by USEPA pursuant
    to Sections 3001 through 3005 of the Resource Conservation and
    Recovery Act (RCRA).
    The Board previously adopted regulations allowing Illinois
    to receive Phase
    I interim authorization
    (R8l-22, Opinion and
    Order of February
    4,
    1982;
    6 Ill.
    Reg.
    4828).
    Authorization
    was received on May 17, 1982
    (47 Fed.
    Reg.
    21,043),
    The Phase
    I
    rules
    have recently been amended to reflect amendments to the
    corresponding federal rules
    (R82-l8,
    Order of January 13,
    1983).
    In
    a related action the Board adopted regulations to allow
    Illinois to receive authorization for an underground injection
    control
    (UIC)
    program (R81-32, Opinion and Order, May
    13, 1982;
    6 Ill. Reg.
    12,479,
    October 15,
    1982).
    Authorization for this
    program has not yet been received.
    In summary, this action will involve adoption of a RCRA
    permit program and standards for
    HWM
    facilities and several
    types of treatment, storage and disposal
    (TSD)
    unit.
    The
    permit program proposal consists of new Part 703, and amendments
    to Parts 702 and 705, which were previously adopted with the
    UIC package.
    Parts
    702, 703 and 705 correspond to 40 CFR 122,
    Subparts A and B,
    and 40 CFR 124.
    The operating standards
    proposal consists of new Part 724, which corresponds to 40
    CFR 264.
    There will also be miscellaneous amendments to other
    Parts so that the entire RCRA/UIC package is up to date and
    consistent.
    51-286

    —2—
    Federal Regulations
    The proposal is current with federal regulations appearing
    in
    the
    Federal Register on or before October 29,
    1982.
    The
    following amendments have been incorporated:
    35
    Ill. Adm. Code
    47 Fed. Reg.
    Part 702
    4996
    (November 23,
    1981 through October 29,
    1982)
    15,306
    27,533
    32
    ,
    369
    41,563
    Part 703
    32,369
    (1982
    CFR
    plus
    July
    1 through October 29,
    1982)
    32,372
    Part
    705
    (No changes resulting from federal amendments)
    Part 724
    28,267
    (1982 CFR plus July
    1 through October 29,
    1982)
    28,627
    30,446
    32 ,349
    44,738
    46,277
    In order to bring the rest of the RCRA/UIC package up to
    date,
    it will be necessary to propose miscellaneous amendments
    to
    Parts
    700,
    704,
    720,
    721,
    722,
    723,
    725
    and
    730.
    These
    will be proposed after the main package in order to even out
    the typing load.
    These will appear at a later date
    in the
    Illinois Register, but soon enough to allow comment prior to
    adoption of the Phase II rules.
    Overview of the RCRA Program
    Part 703 contains the RCRA permit requirement.
    Together
    with
    Parts
    702
    and
    705
    it provides for applications, public
    participation
    and
    permit
    issuance.
    Generally, existing facili-
    ties obtained interim status by filing a Part A application.
    The Agency will call in Part B applications in order to
    initiate actual permit issuance.
    New facilities will be
    required to file both. Part A and Part B of the application.
    The Agency will review
    permit
    applications against the opera-
    ting standards of Part 724.
    The Part 724 standards consist of two broad divisions:
    1.
    Subparts A—H contain rules generally applicable
    to all
    HWM
    facilities;
    51-287

    —3—
    2.
    Subparts 1-0 modify and supplement these rules as
    applied to specific types of TSD units,
    The regulated TSD units fall into seven categories:
    1.
    Containers
    (storage);
    2.
    Tanks
    (storage
    and
    treatment);
    3.
    Surface
    impoundments
    (storage
    and
    treatment);
    4.
    Waste piles
    (storage);
    5.
    Land
    treatment
    (sludge application);
    6.
    Landfills
    (disposal, including surface impoundments
    and waste piles used for disposal);
    7.
    Incinerators
    (treatment).
    Exemptions from Part 724
    Among the exemptions
    are the following:
    1.
    Underground injection ~724.101(d)
    1;
    2.
    Publicly owned treatment works
    5724.101(e);
    3.
    Small quantities
    5724.101(g)
    (1);
    4.
    Farmers
    5724.101(g)
    (4)1;
    5.
    Totally enclosed treatment facilities, elementary
    neutralization units and indoor wastepiles
    5724.101(g)
    (5)
    and
    (6);
    §724.290;
    6.
    Addition of absorbent materials
    5724.101(g)
    (10));
    Requirements Common to All HWM
    The following requirements are common to all HWM facilities:
    1.
    USEPA ID number
    (5724.111);
    2.
    Security:
    surveillance, fence and signs
    (5724.114);
    3.
    Personnel training program, job descriptions and
    titles
    (5724.116)
    ;
    4.
    Outside 100 year flood plain 15724.118(b);
    51-288

    —4—
    5.
    Internal and external communications, ~ff
    ire extinguishers
    and
    water or foam (5724,132);
    6.
    Aisle space for emergency equipment
    (5724,135);
    7.
    Arrangements with local emergency units
    (5724,137);
    8.
    Contingency plan describing the action of personnel
    in
    certain
    emergencies
    (5724,152);
    9.
    A designated emergency coordinator
    (5724,155);
    10.
    Manifest system
    (5724,171);
    11.
    Operating
    record
    (5724,173);
    12.
    Annual reports
    (5724,177)
    ;
    13.
    Financial
    responsibility
    (5724,240),
    Financial
    Requirements
    There
    are
    three
    types
    of
    financial
    requirements:
    1.
    Financial assurance for closure
    (5724,243);
    2.
    Financialassurance
    for
    post-closure
    care
    (5724,245);
    3.
    Liability
    for
    sudden
    and
    non-sudden
    accidental
    occurrences
    (5724,247),
    Financial assurance for closure and post-closure care
    may be conveniently discussed together, since
    a single mechanism
    may be used
    (5724.246).
    All HWN operators must give closure
    assurance, but only operators of disposal units must give post—
    closure care assurance.
    Disposal units include landfills,
    and
    piles and impoundments when it appears that it will not be
    possible to remove all waste residues on closure
    (5724,240),
    The
    closure
    rules begin with an estimate of closure cost
    8at
    the
    point
    in the facility’s operating life when the extent
    and manner of its operation would make closure the most expen-
    sive,
    as indicated by its closure plan”
    (5724.243),
    This must
    be revised by the
    operator
    annually
    and
    whenever
    a change in
    the closure plan increases the cost of closure.
    Note that
    closure
    could
    range
    from
    removal
    of
    a
    few
    barrels
    at
    a
    container
    storage area to closure of a hazardous waste landfill costing
    millions of dollars.
    Facilities
    with
    disposal
    units
    must
    estimate
    the
    post-
    closure cost, which is,
    in current dollars, the annual
    51-289

    —5—
    post—closure cost estimate times the number of years post-
    closure care will be required (5724.444).
    It must be changed
    annually or
    when
    the.
    post-~c1osure
    plan
    is
    changed.
    Post-
    closure care involves,
    for example, maintenance of cover and
    continued groundwater monitoring,
    The operator is required to give financial assurance in
    an
    amount
    equal
    to
    the
    closure
    cost
    estimate
    and,
    for
    disposal
    units,
    the
    post—closure
    cost
    estimate.
    This
    may
    be
    done
    through a combination of the following mechanisms:
    1.
    A trust fund
    55724.243(a)
    and 724.245(a);
    2.
    Surety
    bond
    guaranteeing
    payment
    into
    trust
    fund
    155724.243(b)
    and 724.245(b);
    3.
    Surety bond guaranteeing performance or payment
    into trust fund 55724.243(c)
    and 724.245(c);
    4.
    Letter of credit which
    will
    obligate
    a
    financial
    institution to fund a trust
    55724.243(d)
    and
    724.245(d);
    5.
    Insurance
    obligating
    the
    insurer
    to
    pay
    closure
    or post—closure care costs
    at the direction of
    the Agency
    55724.243(e)
    and 724.245(e);
    6.
    Self-insurance by an operator or by its parent
    corporation which meets
    a financial test
    55724.243(f)
    and 724.245(f).
    The first four work together:
    the operator could set up
    a trust fund and pay
    part
    of
    the
    closure
    and
    post—closure
    cost
    into the trust.
    The rest of the financial assurance could be
    given by
    a combination of bonds and letters
    of credit payable
    to the trust.
    Part of the assurance could also be given with
    insurance, which does not involve a trust fund.
    In addition to the federal mechanisms, the Board has
    proposed to allow an alternative state—required mechanism for
    closure, but not post—closure, assurance:
    the operator may
    give a bond without surety secured by a certificate of deposit
    or a State of
    Illinois
    bond
    in an amount equal to the closure
    cost estimate 15724.243(j).
    This will work like method
    (1)
    with the.
    State
    acting
    as
    the.
    trustee
    holding
    property
    equal
    to the closure cost estimate.
    The intention is to allow small
    operators to avoid the costs associated with profits to private
    trustees, sureties and insurance companies.
    For a small busi-
    ness with a hazardous waste storage area,
    the annual adininistra-
    tive costs could easily exceed the closure cost.
    51-290

    —6—
    The financial assurance regulations function through
    permit modifications which affect the amount or type of
    assurance which must be given.
    Disputes could arise between
    the permittee and the Agency if the Agency modified the permit
    to
    increase
    the cost estimate,
    if
    the
    permittee
    requested
    a
    decrease in the estimate, if the Agency decided the operator
    or parent corporation no longer met a financial test or if the
    Agency deemed the facility abandoned or othexwise modified the
    permit to require closure to begin.
    Section 724.243(j)
    deems
    these events to be permit denials allowing appeal to the Board.
    See also §724.245(k).
    Section 724.247(a)
    requires the operator to maintain
    insurance for sudden accidental occurrences in the amount of
    at least $1 million per occurrence with an annual aggregate
    of
    $2 million.
    Section 724.247(b)
    requires at least $3 million
    for non—sudden occurrences, with an annual aggregate of
    $6
    million.
    Sections 724.247(c)
    and
    Cd)
    allow the level of
    required liability to be adjusted up or down at the instance
    of the Agency or the operator.
    Section 724.247(f)
    allows self
    insurance under conditions similar to closure assurance.
    Rather than set forth the form of instruments
    in detail,
    the Board has incorporated 40 CFR 264.151 by reference.
    The
    Agency will promulgate standardized forms, based on the federal
    rules modified to reflect Illinois
    law.
    Changes in the amount or type of financial assurance or
    liability insurance are permit modifications which must proceed
    by way of the Part 705 procedures and may be appealed to the
    Board.
    Requirements Not Common to All HWM Facilities
    Some requirements vary depending on the type
    of HWM
    facility.
    These include the following, which will be discussed
    at greater length below:
    1.
    Inspections;
    2.
    Waste Analysis;
    3.
    Special requirements for ignitable, reactive or
    incompatthle waste;
    4.
    Design standards
    (other than groundwater protection);
    5.
    Groundwater protection:
    liner design, leak detection
    and monitoring;
    6.
    Closure and Post—closure;
    51-291

    —7—
    7.
    Exemptions from groundwater protection and final
    cover requirements.
    Inspection
    The general inspection requirements require a written
    schedule for inspection of monitoring, emergency, operating
    and structural equipment and security devices
    15724.115(b).
    The operator must follow the schedule and maintain a log
    1SS724.1l5(a)
    arid
    (6).
    Specific schedules and types of
    inspection are specified for the various types of TSD unit.
    Inspections include both routine operating inspections and
    inspections during construction or repair.
    “Inspections” are
    carried out by the operator, not the Agency.
    This is also
    sometimes referred to as “monitoring”, to be distinguished
    from “groundwater monitoring”, which is
    a separate topic.
    This
    use of the terms “inspection”
    and “monitoring” differs from the
    usual meaning in Board rules.
    Examples of operating inspection requirements include:
    1.
    Tanks:
    Daily inspection of overfilling equipment,
    pressure and temperature guages and actual liquid
    level; weekly inspection for corrosion, wet spots
    and dead vegetation;
    complete inspection as scheduled
    by permit condition
    (5724.294).
    2.
    Surface impoundments:
    Weekly inspection, and after
    storms, of overtopping controls,
    for sudden drops in
    level,
    for liquids in any leak detection system and
    for erosion.
    Structural integrity must be certified
    by an engineer if
    an impoundment has been out of
    service for more than six months
    5724.326
    (b).
    3.
    Piles:
    Weekly inspections, and after storms,
    of
    run—on/run-off and wind dispersal controls, and
    for liquids in any leak detection system or leachate
    collection system 5724.354(b).
    4.
    Land treatment:
    Weekly inspections, and after storms, of
    run—on/run—off and wind dispersal controls and for
    liquids in any leak detection or leachate collection
    system 15724.403(b).
    6.
    Incinerators:
    Continuous monitoring of combustion
    temperature, waste feed rate, “indicator combustion
    gas
    velocity”
    and
    carbon
    monoxide;
    daily
    inspections
    for spills and leaks; weekly testing of alarms and
    emergency waste feed cutoff
    (5724.447).
    51-292

    —8—
    During
    construction,
    liners
    must
    be
    inspected
    for
    uni-
    formity, damage and
    imperfections.
    Soil-based
    liners
    must
    be
    inspected for lenses, root holes,
    etc.
    Synthetic liners must
    be inspected for tight joints and the absence of tears
    15~724.326(a),724,354(~~~nd 724.403(a).
    Waste
    Analysis
    The operator must obtain a detailed physical and chemical
    analysis
    of
    any
    hazardous
    waste
    before
    he
    treats,
    stores
    or
    disposes of it 15724.113(a).
    This must be repeated as neces~
    sary
    to
    ensure
    that
    it
    is
    accurate
    and
    up
    to
    date
    5724.113(a)
    (3).
    The
    facility
    permit
    requires
    a
    waste
    analysis
    plan
    specifying
    the
    types
    of
    tests,
    sampling
    methods
    and
    frequencies
    at
    which
    the
    initial analysis will be reviewed 5724.113(b).
    For off-site facilities, the waste analysis plan must also
    specify procedures used to inspect incoming loads to ensure
    that they match the identity of the waste on the manifest
    5724.113(c).
    This does not necessarily require
    a chemical
    analysis of each load, unless the plan calls for such
    5724.113(c)
    (2).
    The waste analysis rules depart from the norm only with
    respect to incinerators
    (5724.441).
    Permit applications
    require more detailed information on waste
    feed,
    including
    the heat value, viscosity and Appendix VIII hazardous constitu-
    ents
    (35 Ill. Adm.
    Code 703.223 and 703.224).
    Throughout
    operation the operator must conduct sufficient analyses to
    confirm that the waste feed is within the physical and chemical
    composition limits specified in the permit
    5724.441(b).
    Ignitable
    and
    Reactive
    Waste
    General
    requirements
    for
    ignitable,
    reactive
    and
    incom-
    patible waste include the following:
    1.
    Protection
    from
    sources
    of
    ignition,
    “No
    Smoking”
    signs
    and
    all
    smoking
    and
    flames confined to
    specifically designated locations;
    2.
    Precautions for extreme heat or pressure, toxic
    gases
    and
    damage
    to
    structural
    integrity;
    3.
    Documentation from literature search must be included
    with the permit application
    (5724.117).
    Additional specific requirements
    for types of TSD unit
    include
    the
    following:
    1.
    Tanks:
    Protection
    of
    construction
    material
    from
    wastes
    which
    are
    incompatible with construction
    51-293

    —9—
    materials 15724.292(a);
    washing between incompatible
    wastes
    (5724.299); exemption where wastes are treated
    so
    as
    to
    no
    longer
    be.
    reactive
    or
    ignitable
    immedi-
    ately
    after entry into tank 15724.298(a) (1) (A);
    buffer zone requirements
    5724.298(b);
    exemption for
    tanks
    to
    be
    used
    for
    emergency
    storage,
    as
    for
    example
    a
    waste
    feed
    diversion
    from
    an
    incinerator
    15724.298
    (a)
    (3),
    2.
    Impoundments:
    Authorization
    for
    treatment
    in
    impoundment
    immediately
    after
    placement
    and
    for
    emergency
    use
    (5724.329),
    3.
    Piles:
    Separation from other wastes by berm or wall;
    cleaning of base between incompatible wastes
    (5724.357).
    4.
    Land
    Treatment:
    Authorization
    if
    waste
    is
    immediately
    incorporated
    into
    the
    soil
    so
    it
    is
    no
    longer
    ignitable
    or
    reactive
    (5724.381),
    5.
    Landfills:
    Ignitable
    wastes
    may
    be
    landfilled
    in
    containers
    if
    usual
    precautions
    are
    followed;
    reactive
    waste is prohibited unless
    it is treated in place so
    it
    is
    no
    longer
    reactive
    immediately
    after
    placement.
    6.
    Incinerators:
    No
    special
    requirements.
    Design
    and
    Operating
    Standards
    Other
    Than
    Groundwater Protection
    The design standards center on different factors depending
    on the type of TSD unit,
    The design and operating rules closely
    related to groundwater protection are discussed in the sections
    which follow.
    The following are design and operating rules
    which
    are
    not
    closely
    related
    to
    groundwater
    protection:
    1.
    Tanks:
    foundation
    shell
    strength,
    pressure control,
    corrosion,
    over—filling
    controls
    and
    freeboard
    (5724.291)
    2.
    Surface
    impoundments
    (storage):
    freeboard
    and
    dike
    integrity
    to
    prevent
    massive
    failure
    without
    relying
    on liner
    systems
    5724,321(d).
    3.
    Waste. piles
    (storage):
    Wind dispersal controls
    15724.351(f).
    4.
    Land
    treatment:
    the
    design
    is
    left
    pretty
    much
    open,
    but
    the
    operator
    must
    make
    a
    “treatment
    demonstration”
    showing that hazardous constituents can be “completely
    degraded,
    transformed
    or
    immobilized
    in
    the
    treatment
    5 1-294

    —10—
    zone”
    15724,371(b),
    There are limitations on the
    growth of food chain crops and the rate of application
    of cadmium (5724.376).
    5.
    Landfills:
    wind dispersal controls
    (5724.401).
    6.
    Incinerators:
    Performance is evaluated by selected
    “principal organic hazardous constituents”
    (POHCs)
    (5724,442),
    Incinerator must achieve 99,99
    destruc-
    tion and removal of POHCs.
    Particulate standard is
    180 mg/dscm
    (5724,443),
    Fugitive emissions must be
    controlled
    (5724,445)
    Groundwater Protection Program
    The “groundwater monitoring and response program” has
    three stages
    (5724,191):
    1.
    Detection
    monitoring
    program;
    2.
    Compliance monitoring program;
    3.
    Corrective action program.
    In
    the
    facility
    permit
    the
    Agency
    specifies
    which
    programs
    apply
    5724.191(b).
    For a new facility this should be a
    detection monitoring program.
    If leaks
    are detected during
    operation, the permit
    should
    be
    amended
    to
    require
    a
    compliance
    monitoring and/or corrective action program,
    as will be dis~
    cussed in greater detail below,
    The
    general
    groundwater
    monitoring
    program,
    applicable
    to
    all three stages,
    includes the following,
    as specified in the
    facility
    permit:
    1.
    A sufficient number of wells,
    at appropriate depths
    and locations,
    to represent background water quality
    and
    the
    water
    quality
    at
    the downgradient “point of
    compliance” specified in the facility permit
    55724.195
    and 724.197(a);
    2.
    Determination of groundwater surface elevation
    5724,197(f);
    3.
    Establishment of background levels
    5724.197(g);
    4.
    Sampling, analytical and statistical procedures
    5724.197(d)
    and
    (h).
    51-295

    —1
    1~
    Detection Monitoring Program
    The
    first
    stage
    of the groundwater monitoring and response
    program is the “detection monitoring
    program”
    (5724.198).
    This
    applies to everybody subject to the groundwater monitoring
    requirements who is not in the compliance monitoring or correc-
    tive action programs
    (g724..191),
    Some
    existing
    facilities
    may
    initially be permitted with compliance monitoring or corrective
    action programs.
    The limitations
    on applicability of the
    groundwater protection rules are discussed below.
    An operator subject to detection monitoring must monitor
    for “indicator parameters”, specified in the facility permit,
    which will “provide a reliable indication of the presence of
    hazardous constituents in groundwater”
    15724,198(a).
    The
    operator must determine groundwater quality at each monitoring
    well at least twice each year,
    and the groundwater flow rate
    and
    direction
    annually
    5724,198(d)
    and
    (e)j.
    If
    the
    detection
    monitoring
    program
    reveals
    a
    “statistically
    significant increase” over background levels for the indicator
    parameters specified in the permit, the operator must:
    1.
    Notify
    the Agency
    5724.198(h)
    and
    (i);
    2.
    Undertake additional
    sampling
    to
    establish
    background
    levels for “Appendix VIII hazardous constituents”
    (see
    40 CFR 261) 5724.198(h)
    (1)
    and
    (2);
    3.
    Within 90 days, submit a
    permit
    application
    for
    a
    compliance monitoring program 5724.198(h)
    (4);
    4.
    Within 180 days, submit an engineering feasibility
    study
    for
    a corrective action program
    5724.198(h)
    (5)).
    The operator has two options which do not delay the time
    limits for permit modification applications.
    To avoid the
    compliance monitoring and corrective action programs, the
    operator may:
    1.
    Demonstrate that
    a source other than a regulated
    unit caused the increase
    5724.198(i));
    or
    2.
    Demonstrate
    an error in sampling, analysis or evalua-
    tion,
    5 1-296

    Compliance
    Monitoring
    Program
    The
    “compliance
    monitoring
    program”
    involves
    a permit
    modification which establishes
    a “groundwater protection
    standard”
    in
    permits
    “when
    hazardous
    constituents
    have
    entered
    the groundwater
    from
    a
    regulated
    unit”
    (55724,192
    and
    724.199).
    Establishment of the “groundwater protection standard” proceeds
    by four steps:
    1.
    Specification of “hazardous constituents”, from
    40 CFR 261, Appendix VIII, which have been detected
    in
    the
    uppermost
    aquifer and which are reasonably
    expected
    to
    be
    in
    or
    derived
    from
    the unit, subject
    to
    a
    demonstration
    by
    the
    operator
    “that
    the
    constitu-
    ent is not capable of posing a present or potential
    hazard to human health or
    the
    environment”
    (5724.193).
    2.
    Specification
    in
    the
    permit
    of a “concentration limit”
    equal
    to
    (5724,194)
    A.
    The background level at the time the hazardous
    constituent is first specified in the permit;
    B.
    For certain constituents
    (7 metals, selenium
    and
    6 pesticides), a limit specified by rule,
    unless the background is already over the limit;
    or
    C.
    ~An
    alternate
    limit established by the Agency.
    3.
    A “point of compliance” at the downgradient limit
    of the unit or “area”
    (5724,195),
    (This
    is specified
    in the detection monitoring program also,)
    4.
    A “compliance
    period”,
    extending from the time of
    establishment of the standard for a period of time
    equal to the active life of the facility
    (including
    time prior to permitting)
    plus the closure period,
    subject to extension if the operator is still in
    corrective action at the end
    (5724.196),
    As an example of the “compliance period”, consider a
    landfill opened in 1970 and closed in 1983, with hazardous
    constituents first detected in groundwater in 1985.
    The compli-
    ance. period will be 1985 through 1998, subject to extension if
    the facility is still in corrective action in 1998.
    This
    is
    based on the assumptions:
    that hazardous constituents first
    crossed the liner when the
    unit
    was opened in 1970; that it took
    15 years
    to reach groundwater;
    and, that the liner stopped
    leaking when the landfill was
    closed
    13 years
    later.
    Thus
    a
    13—year
    plume
    is moving into the groundwater, reaching ground-
    water between 1985 and 1998,
    5 1-297

    The
    “compliance
    monitoring program”
    is
    a
    permit
    modifica-
    tion
    which
    ~re~uires
    the
    operator to monitor groundwater to
    determine
    whether
    regulated units are in compliance with the
    groundwater protection standard
    1S724,199(a),
    If
    the
    operator
    determines that the ~groundwaterprotection standard is being
    exceeded at any regulated unit, he must notify the Agency and
    submit
    a permit modification application for a “corrective
    action program”, subject to the possibility of showing a sam-
    pling error or other source of the increase, or asking for an
    alternative standard 5724.199(i)
    and
    (j).
    Corrective Action Program
    The “corrective action program”
    is
    a permit modification
    which requires the operator to prevent hazardous constituents
    from exceeding
    the
    concentration limits
    specified
    in
    the
    permit
    “by removing the hazardous waste constituents or treating them
    in place”
    5724,200(b)
    and
    Ce).
    A groundwater monitoring
    program is
    established
    “to demonstrate the effectiveness
    of
    the corrective action program”
    5724,200(d).
    Corrective
    action continues
    until
    the end of the compliance period, and
    beyond
    that
    until
    the groundwater protection standard has not
    been exceeded for three consecutive
    years
    5724.200(f).
    Closure and Post-closure
    The operator must close the facility so as to minimize
    the need for
    further
    maintenance and to
    minimize
    the
    escape
    of hazardous constituents
    ($724~.211). A closure plan must be
    submitted with the permit application
    (5724.212),
    The
    operator
    must “treat,
    remove
    or dispose of” all
    hazardous
    wastes
    within
    90
    days
    after
    receiving the final volume
    of
    waste,
    and
    complete
    closure
    within
    180 days
    (5724,213),
    When
    closure
    is
    complete,
    the operator’s engineer certifies to the
    Agency
    that
    the
    closure
    plan
    has
    been
    executed
    (5724.215),
    Disposal facilities
    (landfills,
    and
    piles
    or
    impoundments
    from which waste cannot be removed at
    closure)
    must
    have
    a
    post—closure plan.
    Post—closure care
    continues
    for
    30
    years,
    with possthle reduction or extension
    (5724.217).
    Monitoring
    and
    maintenance
    continue-s.
    Post—closure use must not disturb
    the
    integrity
    of
    the final cover 5724.217(c),
    A disposal
    facility
    must
    file a plat and put a notice
    in
    its
    chain
    of
    title
    (5724.219).
    The details of closure are spelled
    out
    for
    the
    different
    types
    of TSD unit
    The operator must cover a landfill so as
    to 15724.210(a):
    1.
    Function
    with minimum maintenance.;
    5t—298

    —14--
    2.
    promote drainage and minimize cover
    erosion;
    3.
    Accommodate subsidence;
    and
    4.
    “Have
    a
    permeability
    less
    than
    or
    equal
    to
    the
    permeability
    of
    any
    bottom liner system or natural
    subs oils
    present’~.
    During
    the
    post—closure
    period
    the
    operator
    must
    (5724.210):
    1.
    Maintain integrity of final cover;
    2.
    Maintain and monitor any leak detection system;
    3.
    Qperate the leachate collection system;
    4.
    Maintain and monitor groundwater monitoring system;
    5.
    Prevent run—on/run-off damage;
    6.
    Protect and maintain surveyed benchmarks.
    For TSD units other than
    landfills
    the
    idea
    is
    to
    avoid
    the final cover and post—closure provisions.
    For example,
    for
    an impoundment, the operator is supposed to remove or decontami-
    nate all “waste residues” on closure
    5724.328(a).
    If this is
    not possible,
    it is closed like a landfill
    5724.328(b).
    Groundwater Protection and Post—Closure
    Care--Exemptions
    For
    landfills,.
    groundwater
    protection
    dominates
    the
    design
    and operating requirements.
    The
    same is true for piles and
    impoundments,
    because
    of
    their
    potential
    to
    become
    disposal
    units.
    However,
    treatment
    and
    storage
    units
    escape the more
    rigorous
    groundwater
    protection
    and
    post-closure
    care
    requirements:
    1.
    Containers:
    A
    base
    with
    containment
    and
    collection
    system for spills and
    leaks;
    removal
    of
    all
    hazardous
    waste and contaminated containers
    on closure
    (5724.275
    and
    §724.278).
    2.
    Tanks:
    All
    must
    have
    inner
    liners
    and
    weekly
    inspec-
    tions,
    with removal of all hazardous waste on closure
    (5724,297)
    3.
    Land treatment:
    Operator must conduct “unsaturated
    zone
    monitoring”~
    about
    5
    feet
    under
    the
    surface,
    for
    principal
    hazardous
    constituents
    (PHCs)
    (5724,278).
    Operator is generally exempt from groundwater monitor--
    ing
    and
    full
    closure
    requirements
    if
    no
    PHCs show up
    in
    the
    unsaturated
    zone,
    5 1-299

    —15—
    4.
    Incinerators:
    Operator must remove hazardous waste
    on closure.
    Landfill Grc ~ndwaterProtection Design
    The basic landfill design requires:
    1.
    A
    liner
    “constructed
    of
    materials
    that
    prevent
    wastes
    from passing into the liner during the active life of
    the facility”
    1S724.40l(a).
    2.
    A leachate collection and removal system 15724.401
    (a) (2).
    3.
    Run-on controls designed for the peak of a 25-year
    storm
    5724.401(a).
    4.
    Run-off controls to collect and control a 24—hour,
    25—year storm 5724.401(d).
    5.
    Groundwater monitoring
    (5724.190).
    There are two ways around this.
    The first allows the Agency
    to exempt the facility from the liner and leachate collection
    provisions if the operator demonstrates that alternative design
    arid operating practices and location characteristics
    “will
    prevent the migration of any hazardous constituents to ground-
    water or surface water at any future time”
    5724.401(b)).
    The second way gets the operator around the groundwater
    monitoring provisions.
    The basic thrust of the regulatory
    program is to get everybody to design new landfills with a
    double liner and leak detection system as follows.
    These
    landfills must:
    1.
    Be entirely above the seasonal high water table
    5724.402(a)
    (1));
    2.
    Have two liners designed so as “to prevent the
    migration
    of
    liquids
    into
    or
    out
    of
    the
    space
    between the liners”
    15702.402(a) (2);
    3.
    Have a leak detection system in the space. between
    f5702.402(a) (3);
    4.
    Have leachate collection and removal from above the
    top liner
    5724.402(a)
    (4),
    and have run—on/run—off
    controls
    5724.401(d)
    and
    (e)1,
    as with all landfills.

    —16—
    Surface Impoundirtent Groundwater
    Protection Design
    Liner requirements for impoundments are similar to those
    for landfills:
    a liner with run-on/run—off controls, but no
    leachate collection.
    The impoundment must have
    a liner which
    will
    prevent
    migration
    of
    wastes
    into
    the
    liner
    during
    the
    active
    life
    15724.321(a).
    On
    closure
    all
    “waste
    residues”,
    including any contaminated liner, must be removed 5724.328(a).
    If
    not, the remaining wastes
    (not necessarily hazardous) must
    be dewatered and covered like
    a hazardous waste landfill
    5724.328(a)
    (2).
    The operator can be exempted from the liner requirement
    on a showing that alternatives will prevent migration at any
    time in the future
    5724.321(b).
    The operator can be exempted from the groundwater moni-
    toring requirement by use of
    a double liner with leak detection
    system (5724.322).
    Waste Pile Groundwater Protection Design
    The basic design for
    a waste storage pile is
    a liner,
    a
    leachate collection system and run—on/run-off controls
    5724.351(a).
    Liner design includes foundation requirements
    5724.351(a)(l)(ii).
    Leachate may not be allowed to exceed
    one foot in depth inside the pile
    5724. 351 (a) (2).
    Waste may
    be allowed to migrate into the liner
    5724.351(a)
    (1),
    but the
    liner would have to be removed on closure, or remaining wastes
    would have to be covered like a landfill
    (5724.358).
    Piles which are inside a building and protected from
    precipitation are exempt if no free liquids are placed in the
    pile,
    and there is run—on protection and no reactions producing
    leachate
    (5724.350)
    Piles may be exempted from the liner and leachate collection
    provisions if the operator demonstrates no migration at’any
    time
    in the future 15724.351(b).
    Piles
    may
    also
    be.
    exempted
    from
    groundwater
    monitoring
    if
    there
    is
    a
    double
    liner
    with
    leachate
    detection
    between
    and
    collection and removal from above. the top liner
    (5724.352).
    There is an exemption from groundwater protection unique
    to
    piles
    if
    the
    waste
    is
    periodically
    removed
    so
    the
    liner
    can
    be inspected.
    Such a
    pile. must have a single liner and a
    leachate removal system (5724.353).
    ~1-~o1

    —17—
    S~ar~ofMa~or
    Issues
    The
    Board is directed to adopt
    a regulatory program which
    is “identical in substance” with the federal,
    Part of the
    Board’s
    job
    is
    to
    review
    the.
    federal
    rules
    to
    make
    such
    changes
    as are necessary to make the program consistent with Illinois
    law.
    In this Proposed Opinion, the Board will solicit comments
    on what it perceives at this time to be major issues.
    The
    public is invited to comment on these,
    as well as the text of
    the rules and
    such
    issues
    as
    they
    perceive,
    I.
    Permit Modifications:
    A.
    Should the Agency be able to extend the time for Part A
    via a “compliance order”?
    Should this be allowed
    only via a variance?
    155703.150(c)
    and 703.157(b);
    40 CFR 122.22 (a) (3)
    and 122.23(e) (2)3
    B.
    Groundwater Protection:
    Should the Agency be able
    to impose compliance monitoring and corrective action
    via permit modification rather than an enforcement
    action after contaminants are detected in groundwater
    5724,198(h)?
    C.
    Financial
    Responsibility:
    Should
    the
    Agency
    be
    able
    to change financial responsibility requirements
    without
    an
    enforcement
    action?
    1.
    Should a surety become liable only when the Board
    orders closure to begin 55724,243(b)
    (4) (B)
    and 724.243(c) (5)?
    2.
    May
    the
    Agency
    draw
    on
    a
    letter
    of
    credit
    with-
    out a Board or Court order
    5724,243(d)
    (8)?
    3.
    Should the Agency be able to get to financial
    resources
    without
    a Board Order if the operator
    fails to pay an insurance premium 15724.243(e) (6))?
    4.
    Does the Agency have authority to “deem a facility
    abandoned”, triggering financial mechanisms,
    without a Board Order?
    5.
    Can the Agency require alternate.
    financial
    assurance based on its own information of
    insolvency without a Board Order 15724,243
    (f)
    (7)
    and
    (8)
    1?
    6.
    Would stays during appeals of permit modifications
    related to increases in financial assurance frus-
    trate the purpose. of providing funds for closure
    before environmental damage can be done
    5724.243(j)
    51-302

    —18—
    D.
    Liability Insurance:
    Can the Agency increase
    the
    amount of required insurance based on its own
    irif or—
    mation without a Board Order
    5724,243(e)
    (8) (A)?
    E.
    POEC Removal:
    Failure to obtain
    through
    incineration
    99.99
    destruction
    removal
    efficiency of principal
    organic hazardous constituents is not grounds for an
    enforcement action, but is grounds for permit modifi-
    cation.
    Is this consistent with public enforcement
    under the Illinois Act?
    Can the Agency force a permit
    modification without
    a Board Order 5724.443(d))?
    II.
    Rulemaking:
    A.
    Groundwater Protection
    1.
    Does the Agency have authority to set in permits
    groundwater concentration limits other than those
    specified by Board rule 55724,193
    and 724.194(a))?
    2,
    Can the Agency grant exemptions or alternate
    concentration limits that depart from the concen-
    tration limits set by Board rule
    55724.193
    and
    724,194(b)?
    B.
    Post—closure Period:
    Can the Agency reduce or extend
    the 30—year post—closure care period 5724.217(a)
    (2)?
    III. Agency Variances:
    A.
    Should schedules of compliance to achieve full compli-
    ance with Part 724 standards be allowed
    in. permits
    only pursuant to Board variance
    55702.110
    and 702.162?
    B.
    Should
    schedules
    of
    compliance
    for
    floodproofing
    require
    a variance from §724,118(b)?
    Would these.
    need IDOT approval 15703,184(e)?
    C.
    Groundwater Protection:
    Should the alternate. concen-
    tration limits and exemptions be allowed without a
    variance or site specific f55724.193, 724.194 and
    724,198(h)?
    D.
    Closure:
    Can the.
    Agency
    approve disturbance
    after
    closure by way of permit modification?
    What if the
    facility permit has been terminated 5724.217(c)?
    Would this require a variance from §21(n)
    and §39(g)
    of the Act?
    E.
    Liability Insurance;
    Do permit modifications reducing
    the required amount of liability insurance. amount to vari-
    ances from Board rules
    155703.183(g)
    and 724.247(c))?

    F.
    Land Treatment Demonstrations:
    Do Agency determina-
    tions resulting
    in.
    exemptions
    from
    some
    groundwater
    protection
    and
    post--~losure
    care
    requirements amount
    to
    variances
    F(5724,190(a)
    (4)
    and 724.380(d)?
    G.
    Landfills:
    Does
    the alternative
    demonstration
    of
    prevention
    of
    migration
    of
    hazardous
    constituents
    at
    any
    time
    in
    the
    future
    without
    following
    the
    design
    requirements
    of Part
    724
    amount
    to
    an
    Agency—granted
    variance
    5724~40l(b)?
    H.
    Emer~ency Permits~
    Are
    these
    consistent
    with
    the
    procedural
    cequirements
    in
    the
    Act
    (5703,221)?
    IV.
    Appeals:
    A.
    Agenci7 Record:
    Can the Board let the Agency incor-
    porate documents by reference into the Administrative
    record
    5705,
    210(e)?
    B.
    Appeals
    from
    Enforcement-type Permit Modifications:
    Can
    these
    he
    saved
    by
    allowing
    appeals
    to
    the Board?
    Will
    the system work fast enough if the Board allows
    for
    appeal?
    Does
    the
    Administrative
    Procedure
    Act
    require
    an
    appeal?
    1.
    Groundwater
    protection:
    Appeal by operator if he
    fails
    to
    convince
    the Agency that an increase in
    background
    was
    caused by another source. or a
    samplino error (5724,198(1)1;
    2.
    Financial assurance:
    a.
    Appeal of disputes over estimated
    closure
    cost
    55724,242
    and
    724~244)
    h,
    Agency refusal to release
    funds
    from
    closure
    trust or reduce
    a
    bond
    if
    estimated
    cost
    goes
    down
    55724.243(a)
    (7)
    ,
    (b)
    (7)
    ,
    (c) (7) ~
    Cd)
    (7)
    and
    (k);
    c.
    Appeal
    mechanism
    if
    the
    Agency
    withholds
    payments from an
    insurance
    company to some-
    one cleaning up a site
    5724.243(e)
    (5fl.
    Who
    is
    the
    permittee?
    Will
    this
    require a
    Circuit Court action on
    the
    insurance. contract?
    V.
    Facility Location Requirements:
    A.
    S.B.
    172
    Amendments
    51 ~AÔ.

    —20--
    1.
    Should
    the Board drop the specific notification
    requirements for local officials 15705.163(a) (5))?
    2.
    Should
    the
    Board
    drop
    the absolute requirement of
    an
    Agency hearing before issuing a RCRA permit
    15705,182(a)?
    B.
    Seismic
    Standards
    1.
    Appendix VI to 40 CFR 264 says there are no
    Holocene faults in Illinois,
    Should
    the
    seismic
    information
    requirements
    and
    standards
    be
    deleted
    from
    the rules ¶55703,184(a)
    and
    (b)
    and
    724.118
    (a)?
    Or,
    is this
    a
    presumption
    which could be
    overcome by citizen testimony?
    2.
    Should
    the
    Board
    modify
    Part
    724 to state the
    seismic
    rule
    of
    521(k) of the Act, or is this
    preempted?
    C.
    Floodproofing:
    Note that S.B.
    172 allows County
    approval only with proof that floodproofing is up to
    IDOT standards
    539,2(a)
    (4).
    Does this mean that the
    Agency cannot review the facility with respect to the
    Part 724 floodproofing rules
    55703.184
    and 724.118(b))?
    D.
    Other Facility Location Requirements:
    Do the other
    requirements
    of
    §21(k)
    apply
    to
    RCRA
    permits?
    Should
    the Board try to restate these in RCRA language in the
    rules,
    or
    just
    reference
    them
    and
    let the Agency apply
    the
    Act
    directly
    5703,184(a)?
    Will
    the
    Agency
    be
    able to consider underlying geological conditions and
    aquifers in reviewing the siting of hazardous waste
    landfills with double liners and a leak detection.
    system?
    VI.
    Decision Periods:
    Are
    these
    applicable
    5705.184(f)?
    VII. Relationship to
    Chapter
    7
    and
    Chapter
    9:
    A.
    Copy of manifest is to be sent to the Agency
    155724,171(a) (4)
    and
    (b) (4).
    B.
    Should the. Board delete the annual report requirement
    since
    the. Agency can generate this information from
    manifests
    15724,175 (d)J?
    C.
    Should
    the
    Board
    specifically
    require
    Chapter
    7
    permits for hazardous waste disposal sites which
    are exempt from RCRA because they only handle small
    quantities
    155703.123 and 724,101(g) (1)?

    ~2 I—
    VIII.
    State Control Over
    Financial
    Guarantors:
    A.
    Are insurance companies insuring risks in
    Illinois
    subject to regulation by
    the
    Department of Insurance?
    Does the Agency have the authority
    to. deny a permit
    if required insurance is to be supplied by an insurer
    which is not in compliance with Illinois law
    55724,243
    (e) (1)
    and 724.247 (a)
    (1)
    (B)?
    B.
    Does the Agency have adequate statutory authority
    to administer the cash bond for closure
    5724.243(j)
    and Section 4(1)
    of
    the
    Act?
    IX.
    Termination
    of
    Interim
    Status:
    Should the Board establish
    a
    definite
    date
    for
    termination
    of
    interim
    status
    with
    permits
    to
    be reopened if
    additional
    Part
    724
    standards
    are
    promulgated?
    Proposaland
    Solicitation
    of
    Comments
    In
    a
    separate
    Proposed Order,
    the
    Board
    has
    proposed
    to
    adopt
    Parts
    703
    and
    724, and
    to
    amend
    Parts
    702
    and
    705.
    Amendments
    to
    Parts
    700,
    704,
    720,
    721,
    722,
    723,
    725
    and
    730
    will be
    proposed
    in
    the
    near
    future,
    Pursuant to Section 22,4(a)
    of
    the
    Act,
    Section
    5
    of
    the
    Administrative Procedure Act does not apply to this rulemaking.
    The Board will nonetheless publish a notice of proposed rule-
    making in the Illinois
    Register
    and
    solicit comments for a
    period of 45 days,
    Because the text of the proposal is lengthy, it will not
    be distributed with
    the
    Proposed
    Order
    or appear
    in
    the Opinion
    volumes.
    The public is
    asked to wait until the proposal appears
    in the Illinois Register.
    However,
    a copy will be placed in the
    file and will be made available for inspection and copying.
    This Proposed Opinion will be placed in the file and wiLl
    be distributed with the Order to persons on the notice-list,
    but will not be published in the- Opinion volumes.
    This Proposed Opinion supports the Board’s Proposed Order
    of this date,

    —22—
    I,
    Christian L. Moffett, Clerk
    of the Illinois Pollution
    Control
    Board, hereby ~ertify that the ~bove Proposed
    Opinion
    was adopt~on the
    Jf~
    day
    of
    ~
    1983 by a
    vote of ~
    Illinois
    Board

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