ILLINOIS POLLUTION CONTROL BOARD
September
22,
1988
IN THE MATTER OF:
)
PROCEDURAL
RULES REVISION,
)
35 ILL.
ADM. CODE
101,
102,
)
R88—5
106,
and 107
)
PROPOSED RULE.
FIRST NOTICE.
PROPOSED OPINION OF THE BOARD
(by J. Theodore Meyer):
SUMMARY
On September
8,
1988,
the Board proposed for first notice
revisions
of some of
its procedural
rules.
This Proposed Opinion
supports those proposed rules.
This docket
(R88—5) includes revisions
to Parts
101,
102,
106,
and
107 of
the Board’s procedural
rules.
Specifically, the
Board has proposed new general
rules
(35
Ill.
Adm.
Code 101),
new
rules governing regulatory proceedings
(35 Ill.
Adm.
Code 102),
and new rules
for adjusted standards proceedings
(35
Ill.
Adm.
Code
106).
After consultation with the Administrative Code Unit,
the Board has determined
that the most
efficient way
to revise
the existing
rules and add new provisions
is
to repeal
the
existing Parts and propose new Parts,
at
the same Part number,
covering the same subject matter.
Thus,
in its September
8, 1988
order,
the Board proposed
repeal of existing Part 101 (general
rules),
Part
102 (regulatory proceedings), and Part 107
(sanctions).
At
the same time,
the Board proposed new Parts 101
(general rules) and 102
(regulatory proceedings).
Please note
that rules
pertaining
to sanctions,
currently
in Part 107, have
been added
to the new Part 101 general
rules.
TheBoard has
proposed repeal of Part
107, which will be left open
for -two
years,
as
is required by
1 Ill.
Adm.
Code 100.315.
New rules
implementing general adjusted standards proceedings have been
proposed
as new subpart G in Part 106.
The existing rules
in
Part 106 have been changed only
to update references
to Parts
101
and
102.
Many
of the new rules are proposed
in response
to SB 1834
(P.A.
85—1048)
and HB 4039
(P.A.
85—1331),
effective January
1,
1989.
This legislation changes several aspects of Board
procedures.
For example, HB 4039 establishes
filing fees for
petitions
for site—specific regulation,
variance, permit
review,
and adjusted standard pursuant
to Section
28.1
of the
Environmental Protection
(Act)
(Ill.
Rev.
Stat.
1987,
ch.
111 1/2
par.
1028.1),
and for petitions
to review local government siting
decisions pursuant to Section 40.1
of the Act.
The Board has
proposed rules
in Part
101 which establish procedures for
those
filing fees.
92—57 5
—2—
Additionally,
SB 1834 makes
some fundamental changes
to the
environmental rulemaking system
in Illinois.
Among other things,
SB 1834 authorizes the Board
to determine whether
an economic
impact study
(EcIS)
should be prepared by the Department of
Energy and Natural Resources
(ENR).
This legislation also allows
for
a pre—hearing conference
in rulemakings,
to the extent
consistent with deadlines
for adoption of
regulations mandated by
state or
federal
law.
Further,
SB
1834 expands the adjusted
standards provision of Section 28.1 of the Act.
The Board
believes that
its proposed rules will fully implement
the
provisions of
SB 1834 and HB 4039.
The Board has also reorganized and tightened its existing
rules.
Some regulations have been added in order
to update the
procedural rules consistent with
the Board’s
current practices.
In sum,
the Board
feels that the proposed rules will implement
new legislative action and will streamline
the regulatory and
adjusted standards procedures without undermining
the quality and
integrity of those procedures or infringing upon public
participation
in the regulatory and adjusted standards processes.
This Proposed Opinion will
touch upon each Subpart
in the
proposed rules,
but will discuss only those
rules which are new
and/or upon which the Board requests comment.
Please note that
capitalization within the rules
themselves denotes actual
or
paraphrased statutory language.
As noted
in the Board’s order
of September 8,
1988,
in
preparing this draft
the Board has considered comments filed by
participants
in predecessor dockets R82—27,
R82—36, and R83—37,
as well as comments filed
in response
to the Board RES88—1.
(The
Board
is amending RES88—l
in
a separate action today.)
The Board
again emphasizes that participants are free
to reiterate any
previous comments which they may feel have not been fully
addressed,
regardless
of whether
the Board has specifically
requested comments concerning any particular ~ectiqn.
PART 101
-
GENERAL RULES
Subpart A:
General Provisions
This Subpart sets out some of
the basic requirements
and
procedures
for
all Board proceedings.
Section 101.100
“Applicability” tracks
the old rule
in stating that Part 101
is
applicable
to all proceedings conducted by the Board,
and
clarifies that Part 101
is
to be read
in conjunction with the
Board’s other procedural
rules
in
35 Ill. Adm. Code 102 through
120.
Section 101.100 also states
the current fact that the Code
of Civil Procedure
(Ill.
Rev.
Stat.
1987,
ch.
110, par.
1—101
et
seq.
)
does not apply to Board proceedings unless expressly
stated.
Section 101.102 “Filing
of Documents” updates
the existing
rule with
the Board’s correct Chicago address,
and sets out that
92—576
—3—
filing of documents with the Clerk may
be done by certified,
registered,
or First Class mail,
by messenger service,
or
personally at the Board’s Chicago office.
Filing by electronic
transmission,
such as telefax machine
or computer modem,
is
prohibited, unless
the Board specifically requests such
a
filing.
While
the Board
is aware
that some court systems are
experimenting with electronic filing,
the Board’s staffing levels
cannot presently accommodate
such experimentation.
This
prohibition allows for better recordkeeping and tracking of filed
documents,
since
all
filings will be accepted
at one central
point,
at the receptionist’s desk.
Section 101.102 also changes current practice by providing
that filing,
inspection,
and copying
of documents may be done in
the Clerk’s office from 8:30 a.m.
to 4:30 p.m.,
instead of until
5:00 p.m.
This change allows staff
to complete the duties
associated with filing and inspection before the Board’s offices
close.
Board offices will continue
to be open until
5:00 p.m.
for phone
calls,
etc.
“Form of Documents”,
Section 101.103, basically tracks
the
existing
rule
in areas such as number
of copies
to be filed and
the form of all filed documents.
Subsection
(e)
allows for
waiver
of some of the requirements
if the Board
finds, upon
motion,
that compliance with the requirements would
impose an
undue burden.
Subsection
(g) requires that all original
documents be signed by the person filing
the document and include
that person’s business address and telephone number.
All copies
must be made from the signed original,
to aid
in determining
compliance with these requirements.
The Clerk will refuse
to
accept for filing any document which does not comply with
subsection
(g).
Finally, subsection
(i)
allows the Clerk
to
refer
all
filings which do not comply with
the other
requirements
of Section 101.103
to the Board
for
review.
Section 101.104
sets limits on the length~ofbriefs
w.hich
may be filed
in Board proceedings without prior approval;- the
Board has become increasingly burdened with excessively
lengthy
pleadings.
Briefs
in support of or
in opposition
to any motion
are limited
to 15 pages.
Post—hearing briefs, briefs submitted
in response
to
a Board order,
and public comments submitted
in
lieu of
a brief are limited
to 50 pages,
and reply briefs shall
not exceed
25 pages.
This rule
is based upon Rule 28 of the
Federal Rules
of Appellate Procedure.
The page limits do not
include appendixes containing regulations, cases,
and other
relevant material.
Section 101.105 “Waivers” and Section 101.106 “Incorporation
of Prior Proceedings” merely codify
the Board’s current
practices.
The waiver section now specifies that all waivers of
a deadline for Board action shall
be filed as
a separate
document.
This will enable
the Clerk
to better monitor these
waivers,
instead of having
to read every document filed
in search
of
a waiver.
Section 101.106(a) establishes procedures
and
92—57 7
—4—
standards for incorporations of another Board
record.
Section
101.106(b) articulates the weight the Board gives materials
from
another Board docket incorporated into
a pending proceeding.
“Appearances and Withdrawals”, Section 101.107, expands the
current rule on appearances
to additionally specify that an
attorney who has appeared
in
a representative capacity and who
wishes to withdraw must file a notice of withdrawal with the
Clerk,
and serve
all other participants.
Section 101.108
“Substitution of Attorneys” requires any attorney who substitutes
for an attorney
of record file
a written appearance,
and identify
the attorney for whom the substitution
is made.
These two
sections will enable Board staff
to more easily keep track
of who
represents
a particular person
in a Board proceeding.
Section 101.109
“Computation of Time” has been changed
to
provide that computation of any period of time prescribed by rule
or the Act begins on the next calendar
day.
The rule formerly
stated that computation of time begins on the next business
day.
This charge was made
to conform the rule to the statutory
mandate of
Section 1.11 of
“An Act to revise
the law
in relation
to the construction
of statutes.”
(Ill.
Rev.
Stat.
1987,
ch.
1,
par.
1012.)
The Board intends
to add
a severability clause to this
Subpart.
The proposed language of that clause
is:
If any provision of
these
rules or
regulations
is adjudged invalid, or
if the application
thereof
to any person or
in any circumstance
is adjudged invalid, such invalidity shall not
affect the validity of
this Part
as
a whole or
of any Subpart,
Section,
subsection, sentence
or clause thereof not adjudged
invalid.
Subpart
B:
Filing and Photocopying Fees
Section 101.120 implements the new filing fee provisions of
RB 4039.
These provisions will
be found
at Section 7.2 of the
Act after
the January
1,
1989 effective date of HB 4039.
The
rule requires that
.a person filing
an action for which
a filing
fee
is required by the Act
(petitions
for site—specific
regulation,
variance,
review of
a permit,
to contest
a local
government siting decision, and
for adjusted standard) must pay
that fee at the time
the petition
is presented
to the Clerk
for
filing.
The Clerk will refuse
to accept any petition which
is
not accompanied by the required
fee.
At this
time,
the fee
is
statutorily set at
$75.
Section 101.121 “Photocopying Fees” codifies current Board
practice concerning
fees
for copying of Board
files
and
records.
Most
of this rule is currently contained
in existing
Section 101.107(f)
“Public Information”.
The rule was separated
from the public information section for organizational purposes.
92—578
—5—
“Forms
of Payment”, Section 101.122, specifies the form
in
which filing and photocopying fees shall
be paid.
Filing fees
may
be paid by cashier’s check,
or check drawn on an attorney’s
account.
Photocopying fees may be paid
in any
of these ways,
and
also by personal check.
By specifying methods
of payment other
than cash,
the Board will avoid having
to keep a petty cash fund
for fees,
thus simplifying administrative matters.
Subpart
C:
Service
This Subpart
is new to Part 101, but these rules simply
articulate current Board practice for service
of filings.
The
substance of the rules
in Subpart
C
is currently found
in 35
Ill.
Adm. Code 103, which d3als with enforcement cases.
In the past
there has sometimes been dispute over whether the enforcement
rules
in Part 103 apply
to other
types of proceedings.
By
placing service
rules
in Part 101, which applies
to all Board
proceedings,
there will be no question that these
rules are
applicable to all proceedings.
Sections 101.140
through 101.144
cover
service of initial and subsequent filings, proof of
service,
and effective date of service.
Subpart D:
Public Information
This Subpart covers public information,
nori—disclosable
information,
and Board publications.
The substance
of these
rules
is basically the same as existing Sections 101.107 and
101.108,
but the text has been reorganized
and divided
into three
separate sections.
One change from the existing rules
is that
proposed Section 101.161(c)
sets forth who may examine material
which is claimed
to be not subject
to disclosure.
Under the
existing rules,
only Board members are authorized
to view such
material.
The proposed rule tracks
the Board’s February
6,
1986
resolution (RES
86—2)
dealing with who may have access
to trade
secret material.
Under
the proposed rule, material
for non-
disclosure will be available only
to Board members,. Board
assistants,
environmental scientists of the Board’s
Scientific/Technical Section,
the assigned hearing officer,
the
Clerk,
and the Assistant Clerk.
By articulating
in the rule
specifically who may examine material
for non—disclosure,
the
filing
and decision of non—disclosure claims,
and cases involving
non—disclosable material, will
be much easier administratively.
Carried
to its logical extreme,
the existing rule might require
that
a Board
member, rather
than the Clerk or Assistant Clerk,
literally file the documents.
Please note that as
is currently provided, there
are four
types
of information
in terms
of that information’s availability
to the public.
Proposed Section 101.160 states that all files
maintained by the Clerk will be open
to reasonable public
inspection,
except:
1)
internal communications between and
among Board members and staff;
(2) trade secret material pursuant
to Section 7.1
of
the Act and 35
Ill..
Adm. Code 120;
and
3)
material which
is stamped
“Not Subject
to Disclosure by Board
92—579
—6—
order, pursuant
to Section
7 of the Act and proposed Section
101.161.
Subpart
E:
Board Meetings
Section 101.180 “Board Meetings” includes
the substances of
the existing rule on Board meetings.
Some things have been
updated,
such as providing that four Board members constitutes
a
quorum,
since
the Board now has seven members
instead of
five.
The rule also articulates current Board practice that oral
argument
is not heard at Board meetings unless specifically
requested by the Board.
New Section 101.181 states that no document received by the
Clerk after 4:30 p.m.
two days before
a scheduled Board meeting
will be placed on the agenda
for that meeting.
Instead,
any such
filing will appear on the agenda
for
the next regularly scheduled
Board meeting.
The Board will make exception to this rule only
when it finds
that undue
delay or material prejudice will
result.
The purpose of this deadline
is
to allow Board members
and staff
at least one day
to review all filings before any
action
is taken.
Subpart F:
Ex Parte Contacts
Section 101.200 sets
forth prohibitions on ex parte contacts
on contested and non—contested cases.
(A contested case
is
defined in Section 101.101
as “an adjudicatory proceeding,
riot
including regulatory,
quasi—legislative,
informational, or
similar proceedings.”)
The section
is substantially similar
to
the existing section on
ex parte contacts.
Some wording
changes
have been made, such
as clarifying
the fact that ex parte
communications in contested cases are prohibited only with
respect to the substance of the proceeding.
Subsection
(c) has
been added
to specifically state that this section does not
preclude Board members, hearing officers, and~Board staff from
receiving informal complaints
about individual pollution -sources,
or forbid administrative contacts on
a pending proceeding.
Subpart G:
Hearings
“Authority
of Hearing Officer”,
Section 101.220,
is
an
addition to Part
101 general rules.
The proposed
rule is based
upon the current section on authority of hearing officers in
regulatory proceedings.
(35 111. Adm. Code 102.160.)
Several
specific areas of authority have been added
to the list,
although
the list
is merely an example of a hearing officer’s powers and
does not
limit
those powers.
For example,
the proposed section
now specifically states
that
a hearing officer has the power
to
issue interrogatories and subpoenas.
There has previously been
some dispute over whether
a hearing officer must be directed by
Board order
to issue subpoenas and
interrogatories,
or whether
he
or she had the
inherent authority to do
so without Board
direction.
The Board
today specifically states that
a hearing
92—580
—7—
officer does have the power
to
issue subpoenas and
interrogatories without Board direction.
Section 101.221 “Hearing Decorum”
is based upon existing
Section 101.122 “Improper Publicity”.
The provisions relating
to
recording of hearings on
tape,
film,
or other media have been
changed
to comply with Section 2.05 of the Open Meetings Act.
(Ill. Rev.
Stat.
1987,
ch.
102, par.
42.05.)
The section states
that if
a witness refuses
to testify because any portion of his
or her testimony
is
to be broadcast or televised,
or because
motion pictures are
to be taken while
the witness
is testifying,
the hearing officer will prohibit such recording during that
witness’
testimony.
The section also allows the hearing officer
to prescribe reasonable rules governing
the right
to record
the
proceedings.
Finally, participants
in Board proceedings are
required
to conduct themselves with the same degree of dignity
and respect that they would before
a court.
Subpart
H:
Motion Practice
Like Subpart
C, on service,
this Subpart has been added
to
Part 101 general rules
in order
to end any dispute over which
motion procedures apply
to what types of proceedings.
As
is
stated
in Section 101.240, this Subpart applies
to all Board
proceedings, except
to any extent that 35 Ill. Adm.
Code 102
through 120 conflict with or supplement Subpart
H.
In such a
case,
that more specific Part applies.
The individual rules
in this Subpart are based on the
current motion rules
in
35 Ill.
Adm. Code 103.
The proposed
rules set out filing and timing requirements for general motions
and more specific types of motions,
such as motions attacking
jurisdiction, motions for summary judgment,
and motions for
reconsideration.
Section 101.245 “Motions Preliminary to
Hearing”
requires that all motions preliminary
to hearing be
presented
to the Board
or the hearing officer
at least 21 days
prior
to hearing,
unless otherwise allowed by the Board or
the
hearing officer
to prevent material prejudice.
The section
allows the Board or the hearing officer
to direct that the
hearing proceed during
the pendancy of the motion.
Finally,
the
section provides that no motion
to continue
a hearing
in a
proceeding with
a deadline for Board action will be granted
unless the motion
is accompanied by
a waiver
of that decision
deadline.
The provisions of this section are designed
to aid the
Board
in seeing that proceedings move forward, and
to avoid any
possible “time crunch” between a hearing
in
a deadline proceeding
and the date for decision of that proceeding.
“Disposition of Motion”,
Section 101.247, sets forth
the
types of motions on which a hearing officer may rule.
This
section also establishes
the fact that no interlocutory appeal
of
a hearing officer ruling may be taken
to the Board unless the
Board grants
a motion
to do so.
The hearing officer may also
refer
a
ruling
to the Board
if he or she feels that such action
92—581
—8—
is necessary
to prevent harm to the public
interest
or to avoid
unusual delay or expense.
A continuing objection to
a hearing
officer ruling may be raised at the close of hearing and
in post—
hearing submissions.
Subsection
(c) provides that all hearing
officer orders remain
in effect during
the pendancy of any appeal
to the Board.
The filing of a motion,
or any related appeal of
the ruling on that motion,
shall not stay the proceeding or
extend the time for the performance of any act.
Again,
the
provisions allow the Board
to ensure that proceedings move
forward at a reasonable pace.
Subpart
I:
Discovery
This Subpart has also been placed
in Part 101 general
rules
to clarify that these procedures are applicable
to all
proceedings before the Board.
Section 101.260 “Subpoenas”
is
based upon existing
35 Ill.
Adm. Code 103.163.
The Board
solicits comments on whether
it has authority to order payment of
a subpoenaed witness’s expenses where
the witness is an Illinois
resident.
(See Section 101.260(b).)
“Production of
information”,
found
in Section 101.261, gives
the hearing officer
the authority
to order the production of information which
is
relevant to the matter under consideration.
(“Relevant”
is
defined
in Section 101.101
as that which is both related
to and
material
to the determination of the proceeding.)
The hearing
officer will regulate the production of information
to prevent
delay, expense, harassment or oppresion,
or when the information
is non—disciosable or
a trade secret.
Subpart 3:
Sanctions
Rules regarding sanctions are currently found at 35
111.
Adm. Code 107.
For consistency,
these rules have been added
to
Part 101,
and the Board proposes repeal
of
the existing Part
107.
The rules
in this Subpart cover sanctions for refusal
to
comply with procedural rules, Board orders,
and hearing officer
orders,
and sanctions
for abuse
of discovery procedures.
These
proposed rules
track
the language
of existing Part 107, but have
been reorganized.
The Board specifically solicits comments on
its statutory authority to order
an offending person to pay
another’s reasonable expenses incurred in obtaining
an order
of
sanctions.
(See Section 101.280(g).)
Subpart
K:
Relief from and Review of Final Orders
Again,
this Subpart has been added
to Part 101
in order
to
clarify that these procedures for relief from and review of final
orders are applicable
to all Board proceedings.
Section 101.300
“Relief From Final Orders”
is almost
identical
to existing
35
Ill. Mm.
Code 103.241, with only minor language changes.
Section 101.302 “Stay Procedures” are substantially like existing
Section 101.140, with phrasing and organizational changes.
Finally,
“Interlocutory Appeals”, Section 101.103, conforms these
rules
to current Board practice.
92—582
—9—
Appendixes
The Board has also proposed adding five appendixes
to Part
101.
The appendixes set forth forms
to be used as examples when
appearing before
the Board.
Appendix A gives examples
of
captions to be used in the various types of Board proceedings.
Appendix B gives
a sample appearance
form,
while Appendix C
is an
example of a notice of withdrawal of appearance.
Appendix D is
a
sample “notice of filing”
to be attached
to all documents filed
with the Clerk.
Finally, Appendix E
includes examples of
certificates
of service.
PART 102
-
REGULATORY
AND
INFORMATIONAL
HEARINGS AND PROCEEDINGS
Subpart
A:
General Provisions
The Act provides for
three types
of regulatory proposals:
1)
identical in substance proposals;
2)
federally required rules;
and
3)
other regulatory proposals,
both of general applicability
and not of general applicability.
Regulations arising
from these
types of proposals may be adopted
through
four types
of
rulemakings:
1)
general rulemaking;
2) emergency rulemaking;
3)
peremptory rulemaking; and 4)
temporary rulemaking.
Section
102.103
is
a “roadmap”
of these
types of proposals and
rulemakings.
Section 102.104 “Waiver of Requirements” allows the Board
to
waive any of the requirements
in Part 102 upon
a showing by any
person that
a particular requirement would create an undue burden
on that person.
This provision gives
the Board the ability
to
tailor the rulemaking system to the needs of the persons involved
in that system.
“Other Proceedings”, Section 102.105,
is almost
identical to
existing Section 102.220.
This section specifically states
that
the Board may conduct non—contested or informational hearings,
in
addition
to hearings or regulatory proposals,
as are necessary to
accomplish
the purposes of the Act.
Such hearings are
to be
conducted according- to Part 102,
to the extent applicable.
This
section
is based upon the authority of Section 5(d)
of the Act.
The Board intends
to add
a severability section
to this
Subpart identical
to the language proposed
in Part 101.
Subpart
B:
Proposal
of Regulations of General Applicability
This Subpart
is based upon existing Subpart
B,
but has been
greatly expanded and reorganized.
The Subpart
is
a guide
to the
filing
of a sufficient proposal
of regulations of general
applicability.
Section 102.120 provides that any person may
file
a regulatory proposal.
Ten copies of each proposal are
to be
filed with the Clerk,
and one copy each with the Attorney
92—583
—10—
General,
the Agency and ENR.
By receiving
a copy of each
proposal as
it
is filed,
these agencies will be better able
to
monitor
and participate
in the rulemaking process.
Section 102.121 sets forth the required contents of
a
regulatory proposal.
Each proposal must include the language of
the proposed regulation or amendment,
including an identification
of the existing regulatory language proposed
to
be amended
or
deleted.
A statement of the reasons supporting
the proposal
shall accompany the proposal.
In order
to implement the new EcIS
determination procedures of SB
1834,
a proponent must also
recommend whether an EcIS
is advisable.
This recommendation
is
to describe the universe
of affected sources and facilities,
and
the economic
impact of the
rule.
The recommendation shall also
address the questions raised
in the “Analysis of Economic and
Budgetary Effects of Proposed Rulemaking”,
set forth
at
1
Ill.
Adm. Code 220, Exhibit B.
This form
is often requested by the
Joint Committee on Administrative Rules
(JCAR)
as one of the
components necessary for
a proposed rule
to be accepted by JCAR
for second notice
review.
This will ensure
that this necessary
information will be
in the record
for decision.
Additionally,
by
obtaining
this information at
the beginning
of
a proceeding,
Board staff will be able
to complete the required second notice
package more quickly and efficiently,
if the Board proposes
a
requested regulation
for adoption.
Finally,
the EcIS
recommendation must identify specific issues which
the proponent
feels should be addressed
in the study if the Board determines
that an EcIS should be done.
A regulatory proposal must also include copies
of all
testimony
to be presented by the proponent at hearing, and copies
of all exhibits and references.
The Board recognizes that this
requirement
is quite
a change from existing procedures,
but feels
that
it
is not unreasonable to expect a proponent to be able
to
locate witnesses
in support of a proposal before filing that
proposal.
However, the Board specifically requests comment
on
whether these requirements are best fulfilled by complete
testimony,
or by a simple identification of witnesses with
a
synopsis of
their expected testimony.
Copies of
all material
to
be
incorporated in
a rule by reference pursuant to Section 6.02
of the Administrative Procedure Act (APA)
(Ill.
Rev.
Stat.
1987,
ch.
127, par.
1006.02) must also accompany
a regulatory
proposal.
Finally,
the proposal must include proof of service of
the proposal upon the Attorney General, the Agency,
and ENR.
As noted
in the September
8 Order,
the Board realizes that
the proposed requirements for the filing of
a complete regulatory
proposal may appear
to
impose
a higher initial burden on
a
proponent than was the case
in the past.
The Board feels that
the new proposed requirements are reasonable expectations
of the
vast majority of regulatory proponents,
and
that the requirements
are necessary to focus and expedite the regulatory process.
In
essence,
the requirements simply mandate that
a proponent provide
necessary information “up front”,
at the beginning of
a
92—584
—11--
regulatory proceeding,
instead of entering that information into
the record
in
a piecemeal fashion during the course
of
a
proceeding.
Under almost
all circumstances,
the support
for
a
particular proposal should
be
in place before that proposal
is
filed with the Board.
A proposal should not be filed and then be
delayed while
the proponent builds his or her case.
The Board
did consider establishing
a procedure for an informal request for
regulation,
in which
the person making such
a request would bear
far less burden,
but did not propose that procedure for first
notice.
That procedure
is set out more completely in today’s
concurring opinion by 3.
Anderson, 3.
D. Dumelle,
and
3.
Marlin.
The Board requests comments on the advisibility of
establishing such
a procedure.
Again,
the Board points out that
Section 102.104 provides for
a waiver
of any requirement of Part
102 upon a showing that
a particular requirement imposes an undue
burden on
a person.
“Dismissal
of Proposal”,
Section 102.122, states that
failure of
a proponent
to satisfy the content requirements
of
Section 102.121 or failure
to respond
to Board requests for
additional
information will render
a proposal subject
to
dismissal
for inadequacy.
The section also allows the Board to
dismiss
a proposal where the Board finds
that the proponent has
failed
to pursue disposition of the proposal
in a timely
manner.
These provisions will enable
the Board
to manage
its
docket more effectively,
and
to enforce the requirements for
a
sufficient regulatory proposal.
Subpart
C:
Proposal
of Regulations Not of General Applicability
This Subpart is
a guide
to the filing of
a complete proposal
of
regulations not of general applicability.
A regulation not of
general applicability is one which applies
to
a specific site or
sites, geographical location, or activity.
Procedural rules
for
site—specific regulations and for site—specific regulations
pertaining
to water were proposed by the Board for
first notice
on March
5,
1987,
in R82—27, R82—36, and R83—37, Consolidated.
That proposal was published in the Illinois Register at 11 Ill.
Reg.
5018 on March
27,
1987.
However,
no further action was
taken on the proposal
before the one—year period
for adoption
passed.
This Subpart
C
is based upon that 1987 proposal,
although some additions have been made.
Like the filing requirements for proposal
of regulations of
general applicability, Section 102.140 provides that any person
may submit
a proposal
of
a regulation not of general
applicability.
Ten copies of the proposal are
to be filed with
the Clerk, and one copy each served upon the Agency, ENR, and the
Attorney General.
Section 102.141 sets out the required contents of
a
proposal.
The proposal must identify the regulations which are
to be addressed by the proposal,
and must include
a
statement of
reasons and facts supporting
the proposal.
The proposal must
92—585
also comply with all requirements in Section 102.121
for proposal
of regulations of general applicability.
If the proposed rule
would replace the applicability of a general
rule to the
pollution source,
the proposal shall
specify the reasons why the
general rule
is not technically feasible or economically
reasonable
for that particular pollution source.
The proposal
must also demonstrate that the Board may grant the requested
relief consistent with federal
law.
Finally, where circumstances
render any of
the required information inapplicable,
the proposal
shall
include
a
justification for the inapplicability.
The information required by Section 102.141
is detailed and
specific.
The Board does not believe, however,
that these
informational requirements are oppressive
or burdensome
to
proponents, because regulations not of general applicability
usually give proponents long—term relief from general
regulations.
Therefore, the Board’s record for decision must be
comprehensive.
The requirements will help identify the crucial
issues of
a proposal early
in the proceeding,
and thus allow for
a more efficient rulemaking process.
As
in proposal of rules of general applicability, Section
102.142
allows for dismissal of
a proposal
for inadequacy where a
proponent fails
to satisfy the content requirements or respond
to
Board requests for more information.
A proposal
is also subject
to dismissal
if the Board determines that
the proponent has
failed
to pursue disposition of the proposal in
a timely
manner.
Again,
these provisions will enable
the Board
to manage
its docket more efficiently and
to enforce the content
requirements of Section 102.141.
Subpart
D:
Contents
of Site—Specific Proposals
Pertaining
to Water
This Subpart contains specific provisions for the contents
of site—specific proposals pertaining
to water.
The rules of
this Subpart are
to be read in conjunction with,
and are
cumulative to,
the rules
in Subpart
C.
Like Subpart
C,
the bulk
of these rules were proposed by the Board for first notice
on
March
5,
1987,
in R82—27,
R82—36,
and R83—37,
Consolidated,
upon
a proposal by the Agency.
Pursuant to Subpart D, proposals
for
site—specific water regulations must include descriptions of the
facility and of the affected area,
an assessment of environmental
impact,
analysis of the proposal’s consistency with
federal
law,
and an evaluation of control options.
These proposed rules
are
very similar
to the rules proposed by the Board
in March
1987,
although there have been a few additions.
For example, Section
102.161 “Description of Facility” now requires
a list of all
prior Board proceedings concerning that facility and the specific
parameter
for which regulatory change
is sought.
This will
allow
the Board
to more easily determine if the facility
is or has been
operating under
a variance from the standard for that specific
parameter,
if there have been any enforcement cases against
the
source for
that particular parameter,
etc.
Additionally, Section
92—586
—13—
102.165 “Evaluation
of Control Options”
is now more specific
about the cost
information which must
be
included in the
proposal.
The Board notes that although the Agency originally proposed
these
rules
for water site—specifics,
there have not yet been
proposals for additional requirements for proposal of
air,
land,
or groundwater
site specifics,
nor do
the rules of Subpart D
apply to water
rules of general applicability.
As these
rules
were proposed
for first notice, Subparts
E,
F,
and G have been
reserved for
regulations setting content requirements for
proposal
of site—specifics pertaining
to air,
land and
groundwater.
The Board requests comments on the rules
in Subpart
D,
and on the advisibility
of adopting
these
rules
in the absence
of regulations governing
the proposal of site—specifics
in other
media.
Subpart
H:
Authorization and Notice of
Hearing
Section 102.240 “Authorization of Hearing”
is substantially
similar
to existing Section 102.121.
All regulatory proposals
will be placed on the Board agenda for determination of
the
proposal’s adequacy under
the Act and Sections 102.121 and
102.141.
Hearing will be authorized
if
the proposal meets
the
statutory criteria of Section
28 of the Act and the content
requirements of Part 102.
Please note that hearing will be
authorized only after
the proponent cures any inadequacy
identified by Board order.
This provision allows
the Board
to
enforce the requirements of the Act and Sections 102.121 and
102.141 by delaying
the acceptances of
a regulatory proposal,
in
addition to the dismissal provisions of Sections 102.122 and
102.142.
“Notice of Hearing”, Section 102.241,
is also very similar
to the existing rules on notice of hearing
(see existing Section
102.122), although some language changes have been made.
Pursuant
to federal requirements,
notice of hearings on
regulatory proposals concerning air pollution or the Resource
Conservation and Recovery Act
(RCRA)
(42 U.S.C.
6901 et seq.)
must be published
at least
30 days prior
to the hearing date.
The rule has been updated
to reflect this requirement.
Subpart
I:
Economic Impact Study Determinations
This Subpart
implements
the provisions of
SB
1834 which
require the Board
to determine when an EcIS should be prepared by
ENR.
When this legislation becomes effective on January
1,
1989,
these EcIS determination provisions will
be
found
in Sections
27(a)
and 28.2 of
the Act.
Please note that Section 28.2 governs
EcIS determinations on
federally required rules, while Section
27(a) provides for EcIS determinations
for all other
regulatory
proposals.
These sections are substantially
the same,
and no
distinction between
the two have been made in this Subpart.
92—587
—14—
Section 102.260 “Board Determinations”
sets forth
the fact
that within
60 days after
the Board accepts
a proposal
for
hearing pursuant to Section
28 of
the Act and Section 102.210,
the Board shall determine whether an EcIS should be prepared.
However, at any time prior
to the close
of the record of
a
regulatory proceeding,
the Board may determine that an EcIS
should be prepared.
This provision, which
is statutory,
allows
the Board
to reconsider
a negative determination
if the proposal
is substantially modified or
if information
in the record
indicates that an EcIS would be advisable.
If the Board
determines that an EcIS should be conducted,
ENR shall prepare an
EcIS
in accordance with “An act
in relation
to natural resources,
research,
data collection,
and environmental studies.”
(Ill.
Rev. Stat.
1987,
ch.
96
1/2, par.
7401
et seq.)
The Board may
identify specific
issues
to be addressed
in the study.
“Request For Determination”,
Section 102.261, establishes
a
procedure for any person
to request that the Board determine that
an EcIS should or should
not be prepared.
Such a request must be
made within
21 days
of the data that the Board accepts
a proposal
for hearing,
and must be
in writing.
Ten copies of
the request
shall
be filed
with the Clerk, and one copy each served upon
the
Agency,
ENR,
the Attorney General,
and the proponent.
The
request shall detail
the reasons supporting
the request,
and
shall describe,
to the extent reasonably practicable,
the
economic impact of
the proposal.
All material facts asserted
in
the request must be verified by affidavit.
Section 102.262 describes the considerations upon which
the
Board will base its EcIS determination.
In addition to the
statutory factors of Sections 27(a)
and 28.2 of
the Act,
the
Board will consider information
in the record furnished by the
proponent pursuant
to Section 102.121 and by any person filing
a
request for determination pursuant
to Section 102.261.
(Please
note that the text of the rules refers
to
a request
for
determination pursuant
to Section 102.231;
the. ref~renceto
Section 102.231
is an error and should be Section
102.261-.
The
error will be corrected
at second notice.)
Finally,
Section
102.263 provides
that the Board will
issue
a written order giving
the reasons for
its determination.
Notice of that determination
will be given
to the proponent and
to any person who has asked
to
be placed on the notice list for that proposal.
Subpart 3:
Authority of Hearing Officer
This Subpart
is
an addition
to Part 102,
and
is intended
to
more clearly state
the powers of hearing officers
in regulatory
proceedings.
Section 102.280 “Authority of Hearing Officer”
is
based upon existing Section 102.160,
and is
intended
to be
identical
to proposed
35
111. Mm. Code 101.220.
(The Board
notes that subsection
(1)
of Section 101.220 was inadvertently
left out of
Section 102.280.
This error will
be corrected at
second notice.)
As discussed in the explanation
of Proposed Part
101,
the section on authority of hearing officer
lists several
q
2—588
—15—
specific powers.
That list,
however,
is merely an example of
a
hearing officer’s powers
and does not limit those powers.
“Notice and Service Lists”, Section
102.281, codifies
a
practice currently used in some regulatory proceedings.
The
hearing officer will maintain
a notice list for each regulatory
proceeding.
That notice list will consist of
all persons who
have furnished
their names
arid
addresses in reference to that
specific proceeding.
Notice of all Board action and hearing
officer orders will be given
to all persons on the notice
list.
Additionally,
the hearing officer may establish
a service list,
and may direct participants
to serve copies of
all documents upon
persons listed on the service list.
This “two list option”
enables the hearing officer
to draw
a distinction between those
who simply wish
to be notified of Board action on
a specific
proposal
and those who wish
to see the comments and motions filed
by participants
in that proceeding.
This option
is especially
helpful
in proceedings which have large notice list but
a
relatively small
number of actual participants.
Section 102.282 concerns the effect of
a hearing officer
ruling.
All decisions, orders,
and rulings made by a hearing
officer shall
remain
in effect during
the pendancy of any appeal
to the Board of that decision,
order,
or ruling.
This provision
will cut down upon any delay
in
a proceeding during any appeal
of
a hearing officer ruling or,
for example,
a motion to continue a
hearing
or
a motion
for sanctions.
Subpart
K:
Pre—Hearing Conferences
Subpart K establishes procedures
for pre—hearing
conferences, which are provided for
in SB
1834.
When that
legislation
takes effect on January 1,
1989, pre—hearing
conferences will be authorized by Section 27(e)
of the Act.
Proposed Section 102.300 provides
for initiation and scheduling
of
a pre—hearing conference.
To the extent consistent
wit.h any
deadline
for adoption of any regulation mandated
by
state- or
federal
law,
the Board may assign
a qualified hearing officer who
may schedule a pre—hearing conference between the proponent and
any or all
of the potentially affected persons.
A pre—hearing
conference may be scheduled on the hearing officer’s own motion,
or
on the motion of
the proponent
or any potentially affected
person.
A motion
to schedule
a pre—hearing conference shall be
directed
to the hearing officer.
The requirements for notice of
a hearing do not apply
to pre—hearing conferences.
However,
the
hearing officer will give notice
to any person who has requested
inclusion on the notice list of that proposal.
That notice may
be either oral or written.
Section
102.301 “Purpose”
sets out the purpose of these pre—
hearing conferences.
These purposes are statutorily articulated
in Section 27(e)
of the Act.
Section 102.302 “Pre—hearirig Order”
provides that no record of the pre—hearing conference need be
kept,
nor shall
any participant
in the conference or the Board
be
92-589
—16—
found
by any discussions
at that conference.
However, with
the
consent of all participants
in the pre—hearing conference,
the
hearing officer may enter
a pre—hearing order delineating
issues
to be heard,
agreed
facts,
and other matters.
The hearing
officer may
require that the participants
in the conference
furnish an agreed order setting forth the substance of the
agreements reached
at
the pre—hearing conference.
Please note
that
a pre—hearing order
is not binding on non—participants
in
the pre—hearing conference.
Subpart
L:
Motions and Discovery
The sections
in this Subpart, dealing with motion practice,
production
of
information,
and subpoenas, are based upon
provisions found
in proposed Part 101.
For example, Section
102.320 merely states that motion practice in regulatory
proceedings
is governed by Part 101,
Subpart
H.
Likewise,
the
section on subpoenas states
that
upon written motion by any
participant,
the hearing officer
or
the Board may issue subpoenas
for attendance
of witnesses at hearing.
The section then states
that subpoenas shall conform
to the requirements of proposed
Section 101.260.
Section 102.321,
on production of
information,
is
identical
to proposed Section 101.261.
Subpart
t4:
Regulatory Hearings
This Subpart deals with the conduct of hearings on
regulatory proposals.
Section 102.340 “Pre—submitted Testimony”
requires that all participants other than
the proponent submit
written testimony and any related exhibits 14 days prior
to
hearing.
Rules governing the form and filing
of those
submissions are included.
If
a proponent wishes
to supplement
testimony submitted when the proposal was filed,
those
supplements shall also be pre—submitted.
The Board points out
that these pre—submissions are
to be complete copies of
testimony, not outlines
of what
a witness
is
expect-ed
to
testify.
Extra copies of
testimony and exhibits shall be orought
to hearing,
so that the court reporter and any person who was not
served may be provided with copies.
Pre—submitted testimony will
be entered into the record
(i.e.
directly typed into the
transcript)
as
if read,
unless the hearing officer determines
that
it will aid public understanding
to have the the testimony
read by the witness.
Any testimony which
is not pre—submitted
will be allowed only
as time permits.
These provisions will
enable participants,
the Board,
and Board
staff
to focus on the
support
for and/or opposition
to
a proposal before
the hearing
occurs,
leading
to more efficient use
of hearing time.
Better
use of
time at hearing will cut down upon the number
of hearings
necessary on
a given proposal,
thus moving the regulatory process
more swiftly.
Section 102.342 “Admissible Information”
articulates
the
current Board position on what information
is admissible
in
a
regulatory hearing.
All information which
is relevant and not
92—590
—17—
repetitious or cumulative shall be admitted by the hearing
officer.
Therefore,
the only proper objections
to the
introduction of information are based on grounds of relevancy,,
repetition,
or harassment.
Sections 102.341 “Transcript” and Section 102.345 “Record
for Decision” contain the provisions of existing Section 102.164
“Record”,
but have been divided into two separate sections for
clarity.
Sections 102.343 and 102.344, which cover
presentation
of testimony and questioning of witnesses,
are based upon
existing Section 102.161 “Examination of Witnesses”.
The Board
believes that establishing
a separate section covering
questioning of witnesses more clearly articulates that although
all witnesses are subject to questioning
by any person,
the
hearing officer will prohibit repetitions,
irrelevant,
or
harassing questioning.
Subpart N:
Economic Impact Hearings
Section 102.360
“Hearings on the Economic Impact Study of
New Proposals”
is largely based upon existing Section 102.180.
Subsection
(b) has been added
to incorporate another provision of
SB 1834.
That subsection provides that in the case of
a
federally required rule
(as defined by Section 28.2 of the Act
and proposed Section 102.101),
the Board may adopt that rule
without an EcIS
if the EcIS
is not submitted
to the Board within
six months of the Board’s decision that an EcIS should be
conducted.
This provision will enable
the Board
to move
to final
adoption of federally required
rules more quickly.
Section 102.361, which governs hearings on economic impact
studies
of existing
regulations,
is almost identical
to the
existing section.
The language
of the proposed section
paraphrases the statutory provisions of Section
4(b)
of “An Act
in relation
to natural resources,
research,
data collection
and
environmental studies.”
(Ill.
Rev.
Stat.
1987, ch.~96
1/2-,
par.
7404(b).)
Subpart
0:
Public Comments
Section l02.3&0 “Public Comments”
is based upon existing
Section 102.163 “qritten Submissions.”
Any person may submit
written comments on
a proposal within 14 days after
the close of
hearing or regulation revision.
This 14—day period may be
changed
by the hearing officer or
the Board.
The proposed
section adds
a provision which specifically states that any
comment which
is not timely filed
will not be considered,
except
as allowed by the hearing officer or the Board
to prevent
material prejudice.
This provision will encourage participants
and others
to file their comments on time,
and will
allow
the
Board
to proceed
to
a decision on the proposal
in
a timely
manner.
The Board specifically points out that motions
for
extension of
time to file comments are not favored.
92—59
1
—18—
Subpart
P:
Board Action
This Subpart, which
is
an expanded version of Subpart
F of
the existing Part
102,
sets out
the various ways
that the Board
may adopt regulations.
Proposed Section 102.400 allows
for Board
revision of proposed regulations
in response
to suggestions made
at hearing and
in written comments prior
to second notice,
without triggering
the need
for
an additional hearing or
a new
EcIS.
Subsection
(c)
tracks
the language of Section
28 of the
Act
in providing for revisions in response
to suggestions or
objections made by the Joint Committee on Administrative Rules
(JCAR).
Section 102.401
is
a general section on the adoption of
regulations.
Except as otherwise provided by the Act,
the Board
may not adopt any substantive regulatory proposal until after
a
public hearing.
However,
the Board need not hold
a hearing on
a
procedural
regulation,
except
as provided by Section 5.01 of the
APA.
The statutory authority
for this distinction is found
in
Sections
26 and 28 of the Act.
Section 102.401 also requires the
Board
to consider the elements
of any EcIS performed by ENR on
a
particular
regulation, except
in
a proceeding for adoption of an
identical
in substance regulation or
a required
rule.
In the
case of
a required
rule,
the Board will consider any EcIS
submitted within the six—month period established
by Section
28.2
of the Act and proposed Section 102.362(b).
Finally,
the
proposed section points out that the rulemaking provisions of
Title VII of the Act and Section
5 of
the APA do not apply
to
identical
in substance rulemakings.
Proposed Sections 102.402 and 102.403 explain the first and
second notice periods which, pursuant to Section 5.01 of the APA,
are applicable
to any regulation which
is not an identical
in
substance rule or adopted pursuant
to
the emergency peremptory
and temporary rule provisions of the Act and the APA.
Among
other things,
these sections point out that although any person
may submit written comments on
a proposed rule during the 45—day
first notice
period,
the Board will accept comments only from
JCAR during the second
notice period.
After the beginning of
second notice,
no changes will be made
to the proposed regulation
except
in response •to objections or suggestions from JCAR.
These
provisions are mandated by Section 5.01
of the APA.
Section 102.404
“Notice of Board
Final Action”
is
substantially the same as existing Section 102.201.
The proposed
section now provides that notice of Board
final action will be
published in the Illinois Register and
in the Environmental
Register.
Finally, proposed Sec~E1bns102.405 through 102.409
cover
the adoption
of RCRA rules,
identical
in substance
regulations,
and emergency, peremptory,
and temporary rules.
The
great majority
of the provisions
of these proposed sections Irack
the statutory language applicable
to each type of rule.
2—592
—19—
Subpart Q:
Motions for Reconsiderations
and Appeal
Motions for reconsideration or modification of any Board
order taking substantive action on
a regulatory proposal shall
be
filed
in accordance with proposed Sections 101.242 and 101.246.
Section 102.421 “Disposition of Motions for Reconsideration” has
been added
in order
to specifically state
the Board’s position on
motions for reconsideration at second notice and final
adoption.
Motions
for reconsideration at these stages of
a
regulatory proceeding present
a problem, because no substantive
modifications of
a rule may be made after
the beginning
of second
notice,
except
in response
to JCAR objections and suggestions.
Thus,
submission of second notice of
a rule to JCAR will preclude
the Board
from revising that rule
in response
to a motion for
reconsideration.
However,
the Board has the option of making
changes and submitting
the rule
for
first notice
if necessary
to
prevent material prejudice.
The Board will use this option only
in the rarest of occasions.
Likewise, because an adopted rule
becomes
effective upon the filing
of that rule with the Secretary
of State,
the Board
is precluded from allowing
a motion
for
reconsideration of
a final order adopting
a
rule,
if that rule
has been filed.
Finally, Section 102.422 provides that appeal
of any final
Board order
is
to the appellate court,
and conducted pursuant
to
Sections
29 and 41 of
the Act.
PART 106
—
HEARINGS PURSUANT TO SPECIFIC RULES
Subpart
A:
Heated Effluent Demonstrations
Subpart
B:
Artificial Cooling Lake Demonstrations
Subpart
C:
Sulfur Dioxide Demonstrations
Subpart D:
RCRA Adjusted Standard Procedures
Subpart
E:
Air Adjusted Standard Procedures
Subpart
F:
Water Well Setback
Exception Procedures
The Board
has not approached revision of
this Part
as
it has
done
to revision of Parts
101 and 102,
by repealing the Part and
“starting over from scratch”.
In the
interests of having
rules
implementing SB 1834’s adjusted standards
in place by January
1,
1989,
the Board
is deferring review of
the oldest Subparts——A,B,
and C—— although the Board anticipates
returning
to these
Subparts before completion of
this procedural rule revision
process.
In the newer Subparts—— D,E,
and
F
——
the Board has
updated
references to other
rules
to make them consistent with
the proposed revisions to Parts.
Subpart
G:
Adjusted Standards
The Board’s proposed amendments
add
a
new
Subpart G
to 35
Ill.
Adin. Code
106.
This proposed new Subpart imposes procedural
requirements for adjusted standard proceedings that are held
pursuant to Section 28.1 of the Act as amended by P.A. 85—1048
(effective January
1,
1989).
On the whole, the requirements of
92—593
—20—
Subpart G speak
for themselves.
However,
the Board will broadly
outline the workings
of
an adjusted standard proceeding as held
in accordance with the proposed Subpart.
The Board generally
solicits comments on this Part.
Section 106.701 “Applicability” provides
that the proposed
procedures
of Subpart G would not apply
to proceedings conducted
pursuant
to existing Subparts A,
B,
C,
D,
E
or
F of Part 106.
It
further provides that the requirements of
35
Ill. Adm. Code 101
do apply to proceedings conducted pursuant
to Subpart
G.
In
other words, one must read Subpart G
in conjunction with Part 101
to determine all of the procedural requirements for an adjusted
standard proceeding.
In the event that the requirements of Part
101 conflict with
those of
Subpart G,
the provisions of Subpart
G
govern
in an adjusted standard proceeding.
The Board
intends
to add
a severability section
to this
Subpart identical
to that
to be
added
to Parts
101 and
102.
An adjusted standard proceeding begins with the filing
of
a
petition.
A petition may be filed either
singly or
jointly with
the Agency.
(Section 106.703).
Any person who wishes
to file an
adjusted standard petition may request that the Agency
join as
a
co—petitioner.
The Agency
is not required
to act as
a co—
petitioner
if requested.
However,
if the Agency
is requested
to
be
a co—petitioner
it may require information from the petitioner
in order
to evaluate the request.
(Section 106.704).
Sections 106.703
—
106.708 set forth detailed requirements
for the contents of
a petition.
These
informational requirements
are
the minimum necessary
to ensure
a proper evaluation of an
adjusted standard request.
All
the factual information asserted
in
the petition must be verified by affidavit accompanying
the
petition.
The petition must also either request or waive a
public hearing.
Section 106.711
—
106.712 implement Section 28.1(d)
of the
Act
(P.A.
85—1048), which places the burden of the initial
noticing of
a petition on petitioner.
Within 14 days after
filing
of
a petition,
the petitioner must cause
the publication
of
a notice stating- that an adjusted standard petition has been
filed with the Board.
The notice
is
to be
an advertisement in
a
newspaper of general circulation
in the area likely to
be
affected by the petitioner’s activity which
is the subject of the
adjusted standard request.
The publication of the petition
notice
is accomplished at the petitioner’s own expense.
Among
other requirements,
the petition notice must state that any
person may request that
a hearing be held
in the proceeding by
filing
a hearing request within
21 days of the date of the
notice’s publication.
Within
30 days of the filing
of
a
petition,
the petitioner must file proof of the petition notice
publication.
92—594
—21—
Section 106.713 provides that any person may request
a
hearing on any adjusted standard proceeding.
Such
a hearing
request must be filed within
21 days after
the publication of
the
petition notice.
If the Board receives
a timely request,
it will
hold
a hearing
in the proceeding.
In addition,
if the Board
determines that
a hearing would be advisable,
it will hold
a
hearing
irrespective of whether
it has received
a hearing request
from the petitioner or
a member
of the public.
Section 106.714
“Agency Response” provides that not later
that
30 days after
the filing
of
the petition the Agency must
file
a response
if
it
is not
a co—petitioner.
At a minimum,
the
response must address and respond
to
the petition with respect
to
informational requirements of
a petition.
Also,
the Agency may
include in its response any information which
the Agency believes
is relevant
to
the Board’s consideration of the proposed adjusted
standard.
Sections 106.801
—
106.808 outline
the procedures by which
adjusted standards hearings are
to be conducted.
If
a hearing
is
held
in an adjusted
standard proceeding,
it will
be held
in the
county likely
to be affected
by the petitioner’s activity which
is the subject of
the proposed adjusted standard.
In accordance
with the requirements of Section 28.1(d),
notice of
the hearing
shall be given by advertisement in
a newspaper of general
circulation at least
20 days prior
to the date of the hearing.
The Clerk
of the Board will cause
the publication of the hearing
notice.
(Section 106.802).
Although the pre—hearing submission of
testimony and
exhibits
is not automatically required,
as with the rulemaking
procedures of proposed Part 102,
the hearing officer may
impose
such
a requirement.
(Section 106.803).
At hearing, the burden
of proof
is on the petitioner
to
prove,
by a preponderance of
the evidence,
the ~appl-~icable
level
of justification for
an adjusted standard proceeding.
IUthe
regulation of general applicability,
from which an adjusted
standard
is sought,
specifies the level
of justification for an
adjusted standard,
then that standard will be applicable.
If the
regulation
of general applicability is
silent concerning
the
level of justification, then the standard
imposed by Section
106.903(a) will govern.
The standard set forth by that Section
is identical to that imposed by Section 28.1(c)
of the Act.
(P.A.85—l048).
(Section 106.903).
Subpart G as
a whole provides for broad public participation
in an adjusted standard hearing.
The level
of such public
participation
is patterned
after that which
is found
in the
current rulemaking procedures.
Adjusted standard proceedings
result
in the establishment of environmental standards.
Such
standards have
the same force and effect as those which are
promulgated
as
rules.
It follows naturally that the public
should have participation rights
in an adjusted standard
92—595
—22--
proceeding which are equivalent
to those afforded
in
rulemakings.
It would be seem inconsistent with the intent
of
the Act to allow adjusted standard proceedings
to become forums
which effectively exclude
the public from meaningful
participation
in the determination of environmental standards.
Consequently,
the procedures
of Subpart G provide opportunities
for the public
to contribute
to the adjusted standard decision—
making process.
Section 106.805(e)
provides that any person may introduce
evidence at hearing and any person may ask questions of any
person who testifies
at hearing.
Section 106.807 provides that
subsequent
to the hearing,
any person may file comments which
present his
or her views concerning
the record before the Board.
Amended Section 28.1(a)
states that adjusted standard
determinations are “adjudicatory determinations”.
However,
the
Act does not define particular
“parties”
for an adjusted standard
proceeding.
This further
indicates that public participation
need not be limited
in scope.
In other words,
adjusted standard
proceedings
are not contested cases between two or more distinct
parties.
Yet,
at the same
time,
the “adjudicatory” language may
not be ignored.
As
a result,
Section 106.805
sets forth
a standard
for
admissible evidence which
is equivalent to that currently used in
the contested case proceedings
of enforcement actions, permit
appeals,
and variances.
It
is also consistent with
the
requirements of
Section 12 of the Illinois Administrative
Procedure Act
(APP.).
Ill. Rev.
Stat.
1987,
ch.
127, par.
1012.
In addition,
the opportunity for cross—examination of any person
who testifies
is afforded by Subpart G.
This,
too, comports with
the Board’s current procedures as well as Section 12 of the
APP..
Again,
the burden of proof
is on the petitioner.
The
petitioner must prove
its case by
a preponderance
of
the
evidence.
Such
a standard
is generally used by triers offact
in
civil
cases,
so that standard
is appropriate here.
If the petitioner proves
the applicable
level
of
justification
for
an adjusted standard then the Board ~y,
consistent with Section 27(a)
of the Act, grant
the adjusted
standard.
The use by Section 106.903
of the permissive term
“may”
is statutory
in origin.
Section 28.1(c)
of
the Act
(P.A.
85—1048).
Consequently, even if the petitioner meets
its burden
of proof,
the Act does not require the Board
to adopt
the
proposed adjusted standard.
As in the Act, Subpart
G provides
that
the Board may impose conditions on the granting
of an
adjusted standard.
Section lO6.907(a) states that
if the Board does
not adopt
the proposed adjusted standard,
the regulation
of general
applicability remains applicable
to the pollution source.
Section
28.1(e)
of the Act
(P.A.
85—1048)
states that
the
92—596
—23—
operation of
the regulation from which
the adjusted
standard
is
sought
is stayed, pending the Board’s final decision,
as
to the
petitioner,
if the petition
is filed within
20 days after
the
effective date of that regulation.
However,
if the regulation of general applicability
implements
in whole or
in part
the Clean Air Act,
a petitioner
becomes exempt from that regulation
if
a petition
is filed within
20 days of the effective date of the regulation.
Section 28.1(f)
of
the Act
(P.A.
85—1048).
This provision
is also set forth by
Section 106.907(b).
In the case of the Clean Air Act regulation of general
applicability,
the Board,
as
a final determination, must either
adopt the proposed adjusted standard,
if the applicable level of
justification has been proven,
or adopt
a standard the same as
that imposed by the regulation
of general
applicability.
Section
106.903(c).
This provision
is found
in Section 28.1(f)
of the
Act.
(P.P..
85—1048).
In
a Clean Air Act regulation/adjusted
standard proceeding where the petitioner has failed
its burden
of
proof,
the record need not justify the adoption of the standard
of the regulation
of general applicability.
It
is clear
from the Act that the Board must adopt either
the standard
imposed by the regulation of general applicability
or the proposed adjusted standard when
a proceeding
involves the
Clean Air Act.
It
is equally clear that the burden of proof
in
an adjusted standard proceeding
is on the petitioner.
Section
28.l(c)of the Act
(P.A.
85—1048).
The petitioner
for
an adjusted
standard certainly will not prove
that the regulation of general
applicability should be applied
to the petitioner.
Neither does
the Act provide
for
such
a proof.
Consequently, Section
106.903(c)
hinges
the imposition of the standard
of the
regulation of general applicability upon the failure by the
petitioner
to prove
the applicable level
of
justification for the
proposed adjusted standard.
Section 106.902 provides that at any time during an adjusted
standard proceeding,
the Board may dismiss
a petition upon
several bases.
If the Board determines
that the petition
is
frivolous,
duplicative, or deficient with respect to the
petition’s contents, petition verification, proof of
service, or
petition notice.
Also,
if the Board determines that the
petitioner
is not pursuing disposition of the petition
in a
timely manner
the Board
may order
a dismissal.
Section 106.905 addresses
an appeal
of the Board’s final
decision.
The Section merely restates the language of Section
28.1(g) of the Act which provides that appeal
may be pursued
pursuant
to Section
41 of the Act.
Since Section
28.1 of the Act
does not specifically name “parties”
to an adjusted standard
proceeding
the Board believes that an appeal
of an adjusted
standard decision would
be available
to any person,
as
it
is
in
a
rulemaking context.
The Board cannot
see
a distinction between
9 2—597
—24—
the public’s
interest
in an appeal of
an environmental standard
which was promulgated as
a rule as opposed
to one which was
adopted pursuant
to an adjusted standard proceeding.
The Act has
provided
for broad public participation
in the adoption and
appeal
of environmental standards.
There
is no apparent reason
to deviate from that theme
for adjusted standard proceedings.
Ultimately,
though,
it
is for the courts
to decide who has
standing
to appeal
a Board decision made pursuant
to Section 28.1
of the Act.
3. Anderson,
3.
D.
Dumelle,
and J. Marlin concurred.
I, Dorothy M.
Gunn,
Clerk of the Illinois Pollution Control
Board, hereby certify tha
the above Proposed Opinion was adopted
on the
~~‘)“
day of
____________________,
1988,
by
a vote
of
~
Dorothy
M.
unn, Clerk
Illinois Pollution Control Board
92—598