ILLINOIS POLLUTION CONTROL BOARD
November 19,
1992
IN THE MATTER OF:
)
R91—3
SAFE DRINKING WATER ACT
)
(Identical
in Substance Rules)
UPDATE, PHASE II
AND
COLIFORN
)
RULES
(7/1/90
—
1/31/91)
)
IN THE MATTER OF
:
)
R92-9
SAFE DRINKING WATER ACT
)
(Identical in Substance Rules)
PHASE
I CORRECTIONS
)
(Consolidated)
Adopted Rule.
Final Order.
OPINION OF THE
BOARD
(by J. Anderson):’
SUMNARY OF TODAY’S ACTION
Pursuant to Section 17.5 of the Environmental Protection Act
(Act), the Board today updates its regulations that are identical
in substance to USEPA regulations implementing the Safe Drinking
Water Act
(SDWA).
The Board rules are contained in 35 Ill.
Adm.
Code 611.
The text of the rules appears
in a separate order,
adopted this same day.
Section 17.5 of the Act provides for quick adoption of
regulations that are “identical
in substance” to federal
regulations; Section 17.5 provides that Title VII of the Act and
Section
5 of the Illinois Administrative Procedure Act
(APA)
shall not apply.
Because this rulemaking is not subject to
Section 5 of the APA Ill.
Rev. Stat.
1991 ch.
111½, par.
(1005-5
et seq.),
it is not subject to first notice or to second notice
review by the Joint Committee on Administrative Rules
(JCAR).
As discussed more fully below,
this rulemaking involves
major revisions and additions to the Illinois SDWA rules,
as
originally adopted August
9,
1990,
in docket R88-26
(effective
September 20,
1990).
It includes the federal amendments to the
coliforin rules,
as adopted by USEPA January
8 and 15,
1991,
January 15, 1992,
and June
10,
1992; the Phase II amendments of
January 30,
1992;
and the Phase II corrections and Phase IIB
rules of July
1,
1991.
1
The Board wishes to acknowledge the efforts of those
staff members who participated in the preparation of these
adopted amendments.
Morton F. Dorothy,
attorney, assembled the
proposal for public comment.
Under the direction of Kathleen M.
Crowley, Senior Attorney, Michael
J. McCambridge, attorney,
assisted by LouAnn
C.
Burnett, environmental scientist,
reviewed
the public comments received and drafted the final opinion and
order.
U~)
2
The result of these amendments has been a significant
rewrite and reorganization of the Illinois SDWk regulations.
Originally delayed by the sheer volume of the January,
1991
amendments, the Board adopted a proposal for public comment on
March 11,
1992.
Further delay resulted from the volume and
nature of the comments received.
For the convenience of the regulated community,
the Board
then decided to include the July
1,
1991 Phase II corrections and
certain elements of the Phase IIB rules, along with the coliform
amendments of January and June,
1992.
Additionally, while the
Board was assembling this adopted rule, USEPA submitted comments
highlighting certain corrections necessary for Illinois to
maintain state primacy.
We are accordingly consolidating R92-9,
the reserved docket for those corrections, with the R9l-3 Phase
II docket,
and are including amendments to the existing rules
addressed to the primacy issues.
Finally, the Board must observe that its experience in
developing the SDWA rules does not exactly parallel its
experience in developing identical in substance regulations in
other federal program areas, such as the RCRA and UIC hazardous
waste programs.
The federal hazardous waste programs, for
example,
are relatively new programs created largely out of
“whole cloth”.
They regulate a relatively new industry.
The federal SDWA program,
in contrast,
is an overlay on
state programs which
in many areas pre—date the adoption of the
Illinois Environmental Protection Act in 1970.
They regulate
municipal,
community, private and other water supplies which have
been delivering drinking water to their customers for
generations.
The relationship of the state,
through the Board,
the Agency, and the Department of Public Health, with these
supplies has historically been one that relies less on the threat
of enforcement in achieving compliance,
than on the trust in a
partnership whose goal
is to safeguard the public health through
the provision of adequate quantities of the best possible quality
of drinking water.
The public comments filed early in this proceeding lead the
Board to conclude that the reworking of the drinking water rules,
commenced in R88-26 in response to the SDWA identical in
substance mandate, was not responding to the needs of the Agency
and the regulated community as well as the Board had hoped when
the rules were adopted.
In adopting these Phase II rules,
we
have revisited some of the language and regulatory structure
adopted in the original Phase
I rulemaking.
Our intent has been
to make the rules more “user friendly”.
Our goal was to better
reflect industry practice and terminology, as well as the
Agency’s experience inadministering the rules in light of the
continuing evolution of USEPA guidance documents interpreting
sometimes less—than-perfectly—drafted federal regulations.
0
37-025L~
3
We believe that our joint efforts have resulted in a
regulatory framework and base text that will prove to be more
readily usable by affected agencies and entit~.es,and more easily
capable of being updated,
than were our early rules
in this area.
FEDERAL ACTIONS COVERED BY THIS RULEMAKING
The SDWA program was drawn from 40 CFR 141
(national primary
drinking water regulations or NPDWRs) and 143
(national secondary
drinking water regulations or NSDWRs).
The nominal update period
of this docket was from July
1,
1990 through December 31,
1990.
No federal amendments occurred during that period.
By our March
11,
1992 opinion and order,
the Board extended the update period
through January 31,
1991,
in order to embrace the significant
federal Phase II NPDWRs, which USEPA adopted on January 30,
1991.
Therefore,
for this extended update period, the principal
amendments to the federal regulations occurred as follows:
56 Fed. Reg. 636
January
8,
1991
56 Fed.
Reg. 1556
January 15,
1991
56 Fed.
Reg. 3578
January 30,
1991
The January
8 action amended the federal coliforin sampling
regulations.
The January 15 rulemaking stayed a portion of the
June 29,
1989 federal total coliforin NPDWR.
The January 30
action adopted Phase II NPDWRs for a number inorganic, volatile
organic,
and synthetic organic chemical contaminants,
as well as
monitoring requirements for
a number of unregulated inorganic and
organic chemical contaminants.
USEPA subsequently corrected and amended the affected
sections in a way that makes
it desirable for the Board to use
the following later federal actions in the present update period:
56 Fed. Reg.
26547
June 7,
1991
56 Fed.
Reg.
30266
July
1,
1991
57 Fed.
Reg.
1850
January 15,
1992
57 Fed.
Reg.
22178
May 27,
1992
57 Fed.
Reg.
24744
June 10,
1992
The June
7 action was the lead and copper rules.
The July
1 and
May 27 actions are the federal Phase IIB amendments and
corrections to the Phase II rules, which affects the earlier
Phase II regulations in some regards.
The January 15 and June 10
actions affect the coliform rules.
(The majority of the June
7
action (except that portion pertaining to the definition of
“maximum contaminant level”)
and those segments of the Phase IIB
rules promulgating new MCLs are not the subject of this docket.
Rather, they are the subject of docket R91-15.)
Finally, USEPA completed its primacy review of the Board’s
Phase
I rules during the time since the proposal for public
0137-0255
4
comment,
in March.
The corrections, although not major, affect
several Sections of the existing rules adopte3 in P88—26,
in
August
1990.
Since the time is short for the Board to adopt the
necessary corrections, we hereby consolidate the corrections
docket, R92-9, with the Phase II and coliform amendments docket,
R91-3,
in order to avoid any unnecessary delay in assuring that
the Phase I rules are “identical in substance” to USEPA rules as
required by Section 17.5 of the Act.
PUBLIC COMMENTS
The Board received some public comments in advance of the
formal proposal in this Docket.
They are summarized as follows:
PC
1
Illinois Environmental Protection Agency (Agency)
(Stephen C. Ewert,
Deputy Counsel), June 17,
1991
PC 2
Agency (Stephen C.
Ewert, Deputy Counsel), June
19,
1991
PC
3
Environetics, mc,
(Lee Flores, National Sales
Manager), February 10,
1992
PC
4
Agency, January 23,
1992
PC 1 and PC
2 are preliminary comments by the Agency, which
the Board received in the course of developing the Proposal.
PC
3 and PC 4 requested inclusion of the January
15,
1992 Federal
Register,
in which USEPA approved the MMO-MUG test for total
coliform.
The inclusion of this test is discussed in detail
below.
The Board has since received the following additional public
comments:
PC
5
USEPA Region V (Charlene J. Denys,
Chief, Drinking
Water Section, to Roger D.
Selberg, Manager,
Division of Public Water Supplies, Agency), April
20,
1992
PC 6
Secretary of State, Administrative Code Division,
May 12,
1992
PC 7
Northern Illinois Water Corp.
(Andrew J.
Keiser,
P.E., Production Manager), May 22,
1992
PC 8
Environetics
(Lee Flores, National Sales Manager),
May 28,
1992
(and June 2,
1992 correction)
PC
9
Illinois Department of Commerce and Community
Affairs
(DCCA), Regulatory Flexibility Unit
(Linda
D.
Brand,
Manager), June
1,
1992
0~370256
5
PC 10
Agency
(S.
Ewart), June 4,
1992
PC
11
Environetics
(L.
Flores), June
17,
1992
PC
12
Agency
(S.
Ewart), November 10, 1992
(with
attached July 3,
1992 letter from Chritiane Saada—
Blume,
Chief,
State Programs Unit, USEPA Region V
to Lou Allyn Byus, Assistant Manager, Field
Operations Agency)
PC 13
Regulatory Workgroup Minutes (Board and Agency),
June 26,
1992
PC 14
Agency (Roger
D.
Selburg, Division Manager,
Division of Public Water Supplies; enclosing June
22,
1992 letter from Edward P. Watters,
Chief,
Safe Drinking Water Branch, USEPA Region V), July
21,
1992
PC 15
USEPA (Christiane Saada-Blume, Chief,
State
Programs Unit, Region V; to Agency, LouAllyn
Byus), August 24,
1992
In summary,
PC
5 highlights the need of USEPA to receive a
completed “crosswalk”, indicating the correlation between the
federal provisions and Illinois provisions,
so it can conduct its
review of the proposed rules.
PC
6 cites a few Illinois
Administrative Code format corrections necessary before final
adoption.
PC
7,
PC 10, and PC 12 comment on various substantive
aspects of the proposed amendments.
PC
8 and PC 11 request that
the Board include the June 10,
1992 USEPA approval of the
Colilert test for
E. coli,
which is discussed in detail below.
PC 9
indicates that DCCA has found no negative economic impact
for the proposed rules.
PC
13 through PC 15 highlight revisions
necessary to the R88-26 Phase
I rules in order to maintain state
primacy for the drinking water program.
PC 14 embraces the
details of the USEPA review of Illinois’ Phase
I rules, PC 13
includes the jointly formulated Illinois response, and PC 15 is
the USEPA reply.
REASONS
FOR
DELAY
ORDERS
AND
SUBSEQUENT
DELAY
Section
7.2(b)
of the Act requires that identical in
substance rulemakings be completed within one year after the
first USEPA action in the batch period.
If the Board
is unable
to do so,
it must find that an “extension of time”
is necessary,
give the reasons why the one year period is insufficient, publish
the finding and reasons in the Illinois Register and specify a
date when the Board anticipates completion of the rulemaking.
The Board entered a reasons for extension Order on January
9,
1992.
This appeared in the Illinois Register on February 14,
01
31-0257
6
1992
(16 Iii. Reg.
2708).
The Board cited federal errors in the
Phase II rules and indicated that we hoped to have
a proposal out
by March
1,
1992 and to adopt final
amendments’ by June 4,
1992.
We adopted a proposal for public comment on March 11,
1992.
It
appeared in the Illinois Register on April 10,
1992
(16 Iii. Peg.
5582).
Subsequently anticipating further delay after reviewing
public comments, we adopted another reasons for delay order on
June 23,
1992.
It appeared in the Illinois Register on July 31,
1992
(16 111.
Reg.
12241).
That notice cited the difficulties in
adapting the federal rules to the Illinois scheme and the public
comments received as the reasons for delay.
The newly—projected
date for completion of this rulemaking was October
1,
1992.
Further delay occurred due to unforeseen and uncontrollable
circumstances.
The rules have undergone significant structural
and substantive change since the proposal for public comments.
The USEPA Phase II corrections that occurred on July 1,
1991 and
May 27,
1992 have been added because they changed the direction
for several of the federal provisions.
For similar reasons, the
January 15,
1992 and June 10, 1992 federal revisions to the
coliform rule have been added.
Finally,
in order to maintain
Illinois primacy authorization, USEPA comments relating to
provisions not previously involved have been incorporated into
this docket.
The deadline for state
(both Board and Agency)
action on these Phase
I corrections is December 3,
1992.
This
does not allow the use of a separate docket for the corrections,
P92-9, as originally planned.
SDWA
REGULATORY
HISTORICAL
SUMMARY
The Board adopted the initial round of USEPA drinking water
regulations, including the “Phase I” rules,
adopted by USEPA
prior to June 30,
1989, as follows:
R88—26
114 PCB 149, August 9,
1990
(14 Ill. Reg.
16517,
effective September 20,
1990).
Subsequent dockets updated the regulations to include federal
amendments since that time:
R90—4
112 PCB 317, June 21,
1990 (dismissal; no USEPA
amendments July
1 through December 31,
1989)
R90-13
117 PCB 687, December 20,
1990
(15 Iii.
Peg.
1562,
effective January 22,
1991)
(January
1,
1990
through
June
30,
1990)
R90—21
116 PCB 365, November 29,
1990
(14 Ill.
Reg.
20448,
effective December 11,
1990)
(Corrections
to
P88—26)
0
37-0258
7
P91-3
Present
docket,
proposal
for
public
comment
March
11,
1992
(USEPA Phase
II and Coliforms; July
1,
1990 through January 31,
1991)
P91-15
Reserved docket
(USEPA Lead and Copper and Phase
IIB; February
1,
1991 through July 1,
1991)
R92-3
Reserved docket
(USEPA Phase V; July 2,
1991
through December 31,
1991)
P92-9
Present docket, consolidated
(Corrections to Phase
I rules, P88—26)
GENERAL DISCUSSION OF PRESENT ISSUES
Most of this Update concerns the USEPA “Phase II” rules.
This involves the adoption of “revised MCL5” for several
inorganic chemical contaminants
(IOCs), volatile organic chemical
contaminants
(VOCs),
and synthetic organic chemical contaminants
(SOCs, including pesticides and PCBs).
Accompanying these
revised MCLs is a major overhaul of the monitoring and reporting
requirements.
Other segments of the amendments relate to
biological testing for coliform bacteria in drinking water.
Finally, segments of the adopted amendments are corrections to
the existing rules from P88-26, adopted by the Board on August
9,
1990.
USEPA highlighted several deficiencies in those rules.
These corrections are necessary to retain state primacy under the
federal regulations.
The Board staff began working on the Phase II and coliform
rules
in February,
1991,
shortly after the rules appeared in the
Federal Register.
The Phase II and coliform rules required
considerable work over
a 13—month period,
in order to prepare the
proposal for public comment that the Board adopted on March 11,
1992.
In response to the public comments received, we felt
several revisions were necessary.
The Board spent a period of
another seven months making these significant revisions to the
proposed rules, preparing them for final adoption.
During the
public comment period, Board staff had significant interaction
with Agency and USEPA staff, as well as with the regulated
community,
in developing these changes.
Normally, the Board’s final opinion reiterates the
discussions contained in the proposed opinion.
As a result of
the changes made to the text of the rules, and in light of the
nature of the comments received, the Board deviates from that
practice
in this proceeding.
The following discussion limits
itself to discussing the source and nature of the amendments made
and a discussion of the issues raised by the public comments.
Persons desiring a fuller discussion of the issues raised by the
federal approach should consult the proposed opinion of March
Il,
1992.
This opinion will not review that discussion except to the
0137-0259
8
degree necessary and within the scope of the detailed, section—
by—section discussions that follow.
However, these discussions
will highlight the differences between the proposed version and
the text of the rules as amended.
Overview of the Federal Actions Involved
On January 8,
1991,
at 56 Fed. Peg.
643, USEPA amended the
microbiological
monitoring
requirements
by
adding
a
new
method
for
detection
of
E. coli
and
modifying
an
existing
method
for
detection
of
total
coliforms
for
determining
compliance
with
the
microbiological
MCLs.
(Suppliers
that
detect
the
presence
of
total
coliforms
must
test
for
E. coli.)
The
amended
methodology
for
total
coliforms
is
the
MTF
Technique
or
Presence-Absence
(PA)
Coliform
Test.
The
revisions
relate
to
transfer
of
coliform-
positive
cultures
to
EC
medium.
The
new
presence—absence
test
methods
for
E.
coli
involved the use of EC medium or nutrient
agar
supplemented
with
4-methylunbelliferyl-/~-d-g1ucuronide
(MUG)
and
observance
of
fluorescence
upon
ultraviolet
irradiation
after
incubation.
On
January
15,
1991,
at
56
Fed.
Peg.
1557,
USEPA
granted
a
stay
of
the
ban
on
variances
and
exemptions
from
the
total
coliform
MCL
for
certain
systems.
A
supplier
that
demonstrates
that
a
violation
of
the
total
coliform
requirement
is
due
to
the
persistent
growth
of
coliforms
in
the
distribution
system
can
obtain
a
variance
or
exemption
(adjusted
standard
in
the
Illinois
scheme).
The
supplier
must
show
that
the
problem
does
not
result
from
fecal
or
pathogenic
contamination,
a
treatment
from
lapse
or
deficiency,
or
from
a
distribution
system
operation
or
maintenance
problem.
On
January
30,
1991,
at
56
Fed.
Peg.
3578,
USEPA
promulgated
the
Phase
II
regulations.
This
instituted
maximum
contaminant
levels
(MCLs)
for
basically
five
categories
of
additional
chemical
contaminants.
Three
of
these
have
specified
associated
maximum
contaminant
levels
(MCLs):
inorganic
chemical
contaminants
(“lOCs”:
asbestos,
cadmium,
chromium,
fluoride,
mercury,
nitrate,
nitrite,
and
selenium),
volatile
organic
chemical
contaminants
(“VOCs”:
cis-1,
2-dichioroethylene,
ethylbenzene,
monochlorobenzene,
o—dichlorobenzene,
styrene,
tetrachloroethylene,
toluene,
trans—i
,
2—dichloroethylene,
xylenes,
and
l,2-dichloropropane)2,
and
synthetic
organic
chemical
contaminants
(“SOCs”:
alachlor, atrazine, carbofuran,
2
Phase
I,
from
54
Fed.
Peg.
27526
(June
29,
1989),
included the following VOCs:
benzene, tetrachioromethane or
carbon
tetrachioride,
para—dichlorobenzene,
trichioroethylene,
1,1,1-trichioroethane,
1, 1—dichloroethylene, and 1,2-
dichloroethane.
0
37-0260
9
chiordane,
dibroinoethylene or EDB, dibromochloropropane or DBCP,
heptachlor,
heptachlor
epoxide,
lindane,
methcxychlor,
toxaphene,
polychlorinated
biphenyls
or
PCBs,
2,4-D,
and
2,4,5-T).
Two
categories
do
not
have
specified
MCLs:
unregulated
inorganic
chemical
contaminants
(aldrin,
benzo (a) pyrene,
butachior,
carbaryl,
dalapon,
di(2-ethylhexyl)
adipate,
di(2-ethylhexyl)
-
phthalates,
dicamba,
dieldrin,
dinoseb,
diquat,
endothall,
glyphosate,
hexachlorobenzene,
hexachlorocyclopentadiene,
3—hydroxycarbofuran,
methoinyl,
metolachlor,
metribuzin,
oxamyl
(vydate), picloram, propachlor,
simazine, and 2,3,7,8-tcdd
(dioxin))
and
unregulated
organic
chemical
contaminants
(antimony,
beryllium,
nickel,
sulfate,
thallium,
and
cyanide).
The
federal
rulemaking
adopted
a
new
cyclical
monitoring
scheme
for
these
contaminants.
USEPA
initiated
a
system
of
three—year
compliance
periods
and
nine—year
compliance
cycles
for
monitoring.
(One
compliance
cycle
includes
three
compliance
periods.)
The
first
compliance
cycle
and
the
first
compliance
period
begin
January
1,
1993.
This
means
that
the
first
compliance
period
ends
December
31,
1995
and
the
first
compliance
cycle
ends
on
December
31,
2001.
As
soon
as
one
compliance
period
or
compliance
cycle
ends,
a
new
one
begins.
USEPA
requires
routine
monitoring
in
each
compliance
period,
which
varies
in
frequency,
primarily
by
contaminant
group.
For
asbestos,
USEPA
requires
one
sample
at
each
entry
point
during
the
first
compliance
period
of
each
compliance
cycle.
For
nitrate,
four
quarterly
samples
are
required
during
the
first
year
of
the
first
compliance
period
of
the
first
compliance
cycle,
and
one
sample
in
each
year
after
that.
USEPA
contemplates
a
single
sample
for
nitrite
during
the
first
compliance
period.
For
all
other
lOCs,
USEPA
requires
one
sample
during
each
compliance
period
for
groundwater
supplies,
and
annual
sampling
for
surface
water
and
mixed
supplies.
For
SOCs,
USEPA
requires
four
consecutive
quarterly
samples
in
the
first
compliance
period,
then
one
sample
in
each
compliance
period
for
supplies
serving
fewer
than
3,300
persons
or
two
for
suppliers
serving
3,300
persons
or
more.
For
VOCs,
USEPA
requires
four
consecutive
quarterly
samples
at
each
entry
point
in
the
first
compliance
period,
then
two
annual
samples
in
the
second
compliance
period
and
one
sample
in
each
subsequent
compliance
period
for
groundwater
supplies,
or
continuing
annual
samples
beginning
in
the
second
compliance
period
for
surface
water
and
mixed
supplies.
Significant
in
the
monitoring
scheme
is
the
federal
use
of
mechanisms
to
reduce
the
burden
and
cost
of
monitoring
for
suppliers,
areas
or
sampling
points
that
meet
certain
criteria.
For
example,
USEPA
will
allow
the
use
of
existing
monitoring
results
that
generally
comply
with
the
new
scheme
and
which
was
collected
after
certain
dates,
rather
than
requiring
new
results.
USEPA
contemplates
the
use
of
waivers
that
reduce
the
frequency
0137-0261
10
of
monitoring
under
certain
circumstances
for
a
source
of
water,
a
sampling
point
or
an
area
and
the
enforcement
authority
has
made specific findings.
A “use” waiver
is supported by a finding
that
a
chemical
has
never
been
made,
used,
transported,
stored,
or
used
in
the
area.
A
“susceptibility”
waiver
is
based
on
a
finding
that
the
source
or
supply
is
not
vulnerable
to
contamination
by
a
chemical
because
of
such
factors
as
previous
data,
contaminant
transport
and
persistence,
source
protection,
etc.
The
waivers
expire
at
varying
times
for
the
various
chemical
contaminants,
but
they
range
in
duration
from
one
compliance
period
to
an
entire
compliance
cycle.
Some
are
renewable
indefinitely
without
additional
monitoring,
but
others
are
not
or
require
reduced
monitoring,
depending
on
the
variables
cited.
One
mechanism
for
reducing
the
burden
of
monitoring
that
the
Agency
does
not
support
and
the
Board
has
not
adopted
is
composite
sampling.
Under
this
scheme,
suppliers
can
composite
the
samples
from
up
to
five
distinct
sampling
points
for
a
single
analysis.
For
systems
serving
fewer
than
3,300
persons,
multiple
suppliers
can
composite
together.
Otherwise
only
a
single
supplier can composite from multiple sampling points within a
single
system.
The
problems
with
composite
sampling
are
that
method
detection
limits
sometimes
do
not
allow
the
conclusion
that
~
composited
sampling
points
are
below
the
MCL
and
unless
such
a
conclusion
is
possible,
the
supplier(s)
must
singly
repeat
the sampling for each composited sampling point and analyze each
sample
separately.
The
Agency,
by
PC
10,
has
stated
its
support
for
this
approach.
The
detected
presence
of
a
contaminant
in
the
water
from
a
sampling
point
can
trigger
more
frequent monitoring under the new
federal
scheme.
This
means
that
if
the
chemical
contaminant
is
present
above
either
the
maximum
contaminant
level
or
some
lower
“action
level”,
the
supplier
must
sample
that
point
at
an
increased
frequency
for
that
contaminant.
The
“action
level”
varies
by
contaminant
or
contaminant
group.
If
the
increased
monitoring
supports
a
finding
by
the
enforcement
authority
that
the
presence
of
the
contaminant
is
“reliably
and
consistently”
below
the
MCL
or
the
“action
level”,
the
supplier
can
return
to
a
reduced
monitoring
frequency.
For
lOCs
generally
the
action
level
is
the
MCL,
but
for
nitrate
and
nitrite
it
is
one-half
the
NCL.
For
VOCs
and
SOCs
generally
the
action
level
is
“detection”
~
the
MCL,
but
for
vinyl
chloride
increased
monitoring
if
it
“detects”
one
of
seven
surrogate
VOC5.
The
increased
monitoring
frequency
is
quarterly
on
an
ongoing
basis,
at
least
until
the
supplier has a specified minimal amount of data to support a
“reliably and consistently” determination.
Then the monitoring
returns
to
the
frequency
generally
required.
The
sampling
for
the
unregulated
chemical
contaminants
is
a
single
round
for
each
sampling
point.
The
supplier
must
complete
0137-0262
11
the
monitoring
for
the
unregulated
contaminants
before
the
end
of
the
first
compliance
period
(December
31,
1995).
USEPA
has
provided
for
grandfathering
of
data
on
these
contaminants
and
for
waivers
of
the
monitoring
requirement.
The
federal
scheme
specifies
other
aspects
of
monitoring
as
well.
The
rules
set
forth
sampling
and
analytical
protocol.
They
specify
analytical
methods
and
sampling
points.
These
vary
by
the
water
source
or
the
contaminant
of
interest.
Some
of
the
methods
are
new.
Other
aspects
of
the
Phase
II
regulations
have
prompted
no
action
by
the
Board
because
the
federal
rules
involved
either
have
no
substantive
impact
or
they
would
not
adapt
well
to
the
Illinois
regulatory
scheme
and
they
are
optional
provisions
not
required
of
the
state.
Having
no
substantive
impact
are
maximum
contaminant
level
goals
(MCLGs)
for
each
of
the
lOCs,
VOC5,
and
SOCs.
This
is
the
level
of
contaminant
that
USEPA
considers
a
goal
for
a
MCL,
although
in
most
cases
the
NCL
actually
adopted
is
higher.
They
are
not
required provisions,
so
the
Board
has
not
adopted
them.
An
example
of
optional
provisions
not
adapting
well
to
the
Illinois
scheme
are
those
USEPA
made
for
composite
sampling for chemical contaminants.
The Board has similarly not
adopted these.
On July 1,
1991,
at 56 Fed.
Reg.
30274,
USEPA promulgated
the
Phase
IIB
regulations.
These
amendments
added
a
new
IOC
(barium)
and
four
new
SOCs
(aldicarb,
aldicarb
suif oxide,
aldicarb
sulfone,
and
pentachiorophenol).
(Those
aspects
are
the
subject
of
docket
P91-15,
not
this
proceeding.)
They
also
amended
the
general
monitoring
requirements
and
effected
several
corrections to the Phase II rules.
The main amendments to the
monitoring requirements included updating several methods,
expansion of others to include a new chemical contaminant,
elimination of consumer tap sampling for VOCs, rewording some of
the existing provisions,
inserting an effective date of January
1,
1993 for several requirements, setting forth laboratory
certification requirements for PCB analyses, and selection of
seven two—carbon chlorinated compounds whose detection will
trigger the need to monitor quarterly for vinyl chloride.
The Board has adopted those segments of the Phase IIB
amendments that pertain to monitoring or which constitute
corrections to the January 30,
1991 Phase II rules at this time.
They directly affect the amendments under consideration from
Phase
II.
We did not adopt the new MCLs and the requirements
directly related to those five new contaminants.
Those are new
material not directly related to the amendments involved in the
proposal for public comment.
On January
15,
1992,
at 57 Fed.
Reg.
1852, USEPA approved
another presence—absence test for
E.
coli.
Suppliers using the
0137 -o263
12
MMO-MUG
Test (minimal medium ortho-nitrophenyl-~-d-
galactopyranoside-4-methylumbelliferyl-$-d-glucuronide
test)
for
total
coliforms
are
now
required
to
further
test
the
samples
for
E.
coli
by
transferring
the
coliform
positive,
MUG-negative
culture
from
the
MMO-MUG
test
to
EC
medium
supplemented
with
MUG
and
test
for
fluorescence
upon
ultraviolet
irradiation
after
incubation.
PC
3
urges
the
Board
to
include
this
method
in
the
present
docket.
The
Agency
also
brought
it
to
the
Board’s
attention
in
PC
4.
On
May
27,
1992,
at
57
Fed.
Peg.
22178,
USEPA
imposed
a
partial
stay
of
certain of the July
1,
1991
Phase
IIB
regulations.
USEPA stayed the MCL5 for three new SOC
contaminants
(aldicarb, aldicarb sulfoxide,
and aldicarb
sulfone).
USEPA left the monitoring and certain of the public
notice requirements for these contaminants intact.
However, the
Board needs to take no action based on this federal action at
this time.
That action will occur when we adopt the new MCLs for
those chemical contaminants in docket P91-15.
Finally, on June 10,
1992,
at 57 Fed. Reg. 24747, USEPA made
changes to the MMO-MUG tests for total coliform and
E. coli.
Suppliers could use hepes buffer instead of phosphate buffer when
using the MMO-MUG test for total coliforms.
When the supplier
uses the hepes buffer,
it could use the total coliform test
sample for detection of
E.
coli,
by testing for ultraviolet
fluorescence and further incubation and testing for fluorescence
if total coliform positive.
USEPA simultaneously made the
additional testing of MMO-MTJG coliform-positive samples in EC
medium supplemented with
MUG
and optional test.
PC 8 and PC 11
request that the Board include this test in this docket.
Federally-Initiated Corrections to Existing Phase
I Pules
In addition to the amendments derived from federal
regulatory action, this docket includes numerous corrections to
the existing rules.
These are corrections addressing USEPA
comments submitted upon its primacy review of the existing Phase
I regulations adopted in P88-26, on August
9,
1990 (effective
September 20,
1990).
The USEPA comments identified various deficiencies
in the
Illinois Phase
I program.
The majority of the deficiencies are
in those segments of the program administered by the Department
of Public Health
(relating to non-community water supplies).
As
to those relating to the Board- and Agency-administered segments
of the drinking water program, their volume is not large, and
many of them are very minor.
Of the 34 USEPA comments relating
to the Board’s rules,
16 do not require rulemaking corrections,
six involve correction of typographical errors,
and five are
minor corrections to the language selected by the Board in its
rules.
The actions in response to the other seven USEPA comments
01 37-026~4
13
require the restoration of snippets of federal language omitted
by the Board in adopting R88-26
(four), the c)arification of
certain limitations on state authority under federal law to grant
a certain type of adjusted standard without USEPA concurrence
before it becomes effective
(one), the deletion of references to
Agency delegation of authority to units of local government
(one),
and correction of the edition of an analytical method
referenced
(one).
DETAILED SECTION-BY-SECTION-ANALYSIS
With the above general discussion of the federal actions
involved in this proceeding, the Board discusses the amendments
on a more detailed, section—by—section basis.
This discussion
focuses on the details of the actions taken,
not on the
generalities of the federal actions discussed above.
This
discussion will not repeat that discussion.
Definitions——Section 611.101
The definitions section does not derive from any single
provision of the USEPA drinking water regulations.
Although the
federal rules do have a definitions section
(40 CFR 141.2), many
more of the definitions adopted by the Board derive from terms
and phrases as used and defined by USEPA elsewhere in its rules.
Where definitions derive from a specific USEPA provision,
a Board
Note accompanying the definition so notes.
The Board adds definitions of “compliance cycle”,
“compliance period”,
“distribution system”,
“entry point”,
“GWS”
(“groundwater
system”), “initial compliance period”,
“L”,
“MFL”,
“mg”,
“mg/L”,
“mixed
system”,
,
“nm”,
“old
MCL”,
“Phase
I”,
“Phase II”,
“Phase IIB”,
“reliably and consistently”, “repeat
compliance period”,
“representative”,
“SEP”,
“source”, “SWS”
(“surface water system”),
“SOC”
(“synthetic organic chemical
contaminant”), “transient, non—community water system”
(“transient non—CWS”),
“treatment”,
“jig”, and “USEPA”.
Most of
these words,
abbreviations, and phrases are used extensively by
USEPA in the federal regulations from which the Board derives the
Illinois rules, and USEPA describes many.
The rest are used in
the Illinois version of the rules for convenience or clarity.
The Board further amends several existing definitions:
“Act”,
“Agency”, “best available technology”, “CT” (“CT~”),
“CT~9”, “community water system”
(“CWS”), “diatomaceous earth
filtration”, “disinfectant contact time”,
“disinfection”,
“GC/MS”,
“groundwater under the direct influence of surface
water”,
“inactivation ratio”,
“maximum total trihalomethane
potential”
(“MTP”),
“near the first service connection”, “non-
community water system”
(“non—CWS”),
“non-transient non-community
water system
(“NTNCWS”), “performance evaluation sample”,
0
I 37-0265
14
“Picocurie”
(“pci”),
“Public Health”,
“public water system”
(“PWS”),
“residual disinfectant concentration”
(“RCD” or “C”),
“sanitary
survey”,
“slow
sand
filtration”,
“supplier
of
water”
(“supplier”),
“surface
water”,
“system
with
a
single
service
connection”,
“total trihalomethanes”
(“TTHN”),
“trihalomethane”
(“Tm.!”),
“virus”,
“VOC”
(“volatile organic chemical
contaminant”), and “waterborne disease outbreak”.
Finally, the Board updates all references to the Code of
Federal Regulations to the 1991 edition, eliminating unnecessary
references to the Federal Register, wherever these appear.
Many
of these definitions are not specifically referenced as amended.
Due to the routine nature of these amendments,
the Board will not
specifically refer to them in this opinion.
The definitions added and amended in this proceeding are
listed below.
This listing indicates the nature of the action
and any change since the proposed version of the text and any
pertinent comments received:
“Act”
(amended):
Cited now as the 1991 edition, and “1/2”,
which appeared in the original and in the proposal for
public comment,
is now rendered as
“½”.
“Agency”
(amended):
we added a Board Note in response to an
Agency comment
(PC
12) explaining that to the extent
that the Department of Public Health regulates non-
community supplies by reference to the Board’s rules,
“Agency” will mean the Department.
“Ai” (“inactivation ratio”)
(added):
used as a formula
abbreviation in the definition of “inactivation ratio”
throughout the existing text.
“Best available technology”
(amended):
“Which”, which
appeared in the original and in the proposal for public
comment,
is now rendered as “that”, for grammatic
correctness.
“CT” (“cT~”) (amended):
The abbreviation, as
it appeared
in the original and in the proposal for public comment,
is now rendered in the way most commonly encountered in
the literature and most readily understood by the
regulated community, using the subscript.
“CT~9” (amended):
The abbreviation,
as
it appeared in the
original and in the proposal for public comment,
is now
rendered in the way most commonly encountered in the
literature and most readily understood by the regulated
community,
using the subscript.
0
37-0266
15
“Community
water
system”
(“CWS”)
(amended):
The
adopted
version
eliminates
the
need
to
elsewhere
seek
definition
of
an
abbreviation used,
as was required in
the
original
and
the
proposal
for
public comment.
The
opening
wording
was
changed
from
the
original
and
the
proposal
for
public
comment
for
the
sake
of
stylistic
consistency.
“Which”,
which appeared in the original
and
in
the
proposal for public comment,
is now rendered
as
“that”,
for
grainmatic
correctness.
“Compliance
cycle”
(added):
Derived
from
the
USEPA
definition at 40 CFR 141.2,
as adopted at 56 Fed. Peg.
3578
(Jan.
30,
1991).
The federal Phase II and Phase
IIB requirements institute a cyclical system for
monitoring drinking water contamination.
A nine—year
“compliance cycle” comprises three three—year
“compliance periods.
The first compliance cycle and
compliance period begin January 1,
1993.
Subsequent
compliance periods begin
in three—year intervals
thereafter,
and compliance cycles begin in subsequent
nine-year periods.
The adopted version eliminates the
need to elsewhere seek definition of an abbreviation
used,
as was required in the original and the proposal
for public comment.
“Compliance period”
(added):
Derived from the USEPA
definition at 40 CFR 141.2,
as adopted at 56 Fed. Reg.
3578
(Jan.
30,
1991).
The federal Phase II and Phase
IIB requirements institute a cyclical system for
monitoring drinking water contamination.
A nine—year
“compliance cycle” comprises three three—year
“compliance periods.
The first compliance cycle and
compliance period begin January
1,
1993.
Subsequent
compliance periods begin in three—year intervals
thereafter,
and compliance cycles begin in subsequent
nine-year periods.
“Diatomaceous earth filtration”
(amended):
USEPA corrected
a
misspelling
in
its
40
CFP
141.21(f)
(3) (ii)
(corresponding
with
35
Ill.
Adm.
Code
611.526(e)
(2))
use
of
“membrane”
at
57
Fed.
Reg.
24747
(June
10,
1992).
USEPA
did
not
correct
the
misspelling
at
its
40
CFR
141.2
definition of “diatomaceous earth
filtration”,
but
the
Board
makes
the
correction
in
this
definition.
“Disinfectant
contact
time”
(amended):
The
opening
wording
was changed from the original and the proposal for
public comment for the sake of stylistic consistency.
“Disinfection”
(amended):
“Which”, which appeared in the
original and in the proposal for public comment,
is now
U
37-0267
16
rendered as “that”,
for grammatic correctness.
“Distribution system”
(added):
This is
a phrase used
extensively throughout the substantive portions of the
federal Phase II and Phase IIB regulations without
definition.
The Board proposed this definition at
Sections 611.601(a),
611.631(e), 611.646(a),
611.648(a), and 611.658(e)
because we felt that
definition of such a vital phrase would benefit the
clarity of the regulations.
The Board decided to adopt
the definition as a global definition,
applicable
throughout Part 611, rather than adopt the definition
separately at each of the other sections as proposed.
The Board revises the proposed version of the
definition by adding the phrase “to the point of
consumer ownership”,
in order to clarify that the
distribution system does not
include consumer plumbing.
“Entry point”
(added):
This
is a phrase used extensively
throughout the substantive portions of the federal
Phase II and Phase IIB regulations without definition.
The Board proposed this definition at Sections
611.601(a),
611.631(e),
611.646(a),
611.648(a),
and
611.658(e)
because we felt that definition of such a
vital phrase would benefit the clarity of the
regulations.
The Board decided to adopt the definition
as a global definition, applicable throughout Part 611,
rather than adopt the definition separately at each of
the other sections as proposed.
The Board adopts the
proposed version of the definition without revision.
“GC/MS”
(amended):
The opening wording was changed from the
original and the proposal for public comment for the
sake of stylistic consistency.
The adopted version
eliminates the need to elsewhere seek definition of an
abbreviation
used,
as
was
required
in
the
original
and
the proposal for public comment.
An illustrative
abbreviation was added to the end of the original and
proposal
for
public
comment
versions
to
indicate
the
meaning
of
part
of
the
abbreviation
defined.
“Groundwater under the direct influence of surface water”
(amended):
The Board corrects the reference to Section
611.212 from how it appeared in the original and in the
proposal for public comment.
“GWS”
(“groundwater system”)
(added):
This is a phrase used
extensively throughout the substantive portions of the
federal Phase II and Phase IIB regulations without
definition.
The Board proposed this definition at
Sections 611.600(d),
611.601(a),
611.631(e),
611.640,
611.646(a),
611.648(a),
and 611.658(e)
because we felt
U
37-0268
17
that
definition
of
such
a
vital
phrase
would
benefit
the
clarity
of
the
regulations.
The Board decided to
adopt the definition as a global definition,
applicable
throughout Part 611, rather than adopt the definition
separately at each of the other sections as proposed.
The adopted version eliminates the need to elsewhere
seek definition of an abbreviation used,
as was
required in the original and the proposal for public
comment.
“Which”, which appeared in the proposal for
public comment,
is now rendered as “that”,
for
grammatic correctness.
“Inactivation ratio”
(amended):
The abbreviations,
as they
appeared in the original and in the proposal for public
comment, are now rendered in the way most commonly
encountered in the literature and most readily
understood by the regulated community,
using the
subscript.
“Initial compliance period”
(added):
Derived from the USEPA
definition at 40 CFR 141.2,
as adopted at 56 Fed. Reg.
3578
(Jan.
30,
1991).
The federal Phase II and Phase
IIB requirements institute a cyclical system for
monitoring drinking water contamination.
A nine—year
“compliance cycle” comprises three three—year
“compliance periods.
The first compliance cycle and
compliance period begin January
1,
1993.
“L”
(added):
The original and the proposal for public
comment lacked a definition of this frequently-used
abbreviation.
This
is especially important where,
as
here,
the Board uses a non—standard abbreviation.
“Maximum total trihalomethane potential”
(“MTP”)
(amended):
The opening wording was changed from the original and
the proposal for public comment for the sake of
stylistic consistency.
The adopted version eliminates
the need to elsewhere seek definition of an
abbreviation used, as was required in the original and
the proposal for public comment.
The Board changes
from using “deg.”,
as used in the original and in the
proposal for public comment, to using the symbol
“°“
because the symbol is readily recognized by the
regulated community.
“NFL”
(added):
The Board proposed this definition at this
Section and at Section 611.600(d) because we felt that
definition of such a vital phrase would benefit the
clarity of the regulations.
We have deleted the
Section 611.600(d)
duplicate definition.
Otherwise, we
adopt the proposed version of the definition without
revision.
0137-0269
18
“mg”
(added):
The
original
and
the
prcposal
for
pubic
comment lacked a definition of this frequently-used
abbreviation.
“mg/L”
(added):
The original and the proposal for pubic
comment lacked a definition of this frequently-used
abbreviation.
This is especially important where,
as
here, the Board uses
a non—standard abbreviation.
“Mixed system”
(added):
This is a phrase used extensively
throughout the substantive portions of the federal
Phase II and Phase IIB regulations without definition.
The Board proposed this definition at Sections
611.600(d), 611.601(a),
611.631(e),
611.640,
611.646(a),
611.648(a),
and
611.658(e)
because we felt
that definition of such a vital phrase would benefit
the clarity of the regulations.
The Board decided to
adopt the definition as a global definition,
applicable
throughout Part 611, rather than adopt the definition
separately at each of the other sections as proposed.
“Which”, which appeared in the original and in the
proposal for public comment,
is now rendered as “that”,
for grammatic correctness.
Otherwise, we adopt the
proposed version of the definition without revision.
“MUG”
(added):
This commonly—used abbreviation represents a
reagent with a lengthy chemical name.
The Board uses
the abbreviation throughout the text of the rules and
provides a definition here,
giving the chemical name.
“Near the first service connection”
(amended):
The adopted
amendments include an revision that eliminates the need
to elsewhere seek definition of an abbreviation used,
as was required in the original and the proposal for
public comment.
“nm”
(added):
The original lacked a definition of this
frequently-used abbreviation.
The Board changed the
text of the proposal for public comment by adding a
parenthetical indicating the fraction represented.
“Non—community water system”
(“non—CWS”)
(amended):
The
opening wording was changed from the original and the
proposal for public comment for the sake of stylistic
consistency.
In response to an Agency comment
(PC 12),
we added a new abbreviation for this term,
“NCWS”,
for
possible future use.
We did not go further at this
time and incorporate this abbreviation into any
substantive provisions, preferring to give fuller
consideration to the possible consequences before doing
so.
The adopted version eliminates the need to
elsewhere seek definition of abbreviations used,
as was
(3 37-0270
19
required in the original and the proposal for public
comment.
“Which”, which appeared in the original and
in the proposal for public comment,
is now rendered as
“that”,
for grammatic correctness.
“Non—transient non-community water system”
(“NTNCWS”)
(amended):
The adopted version eliminates the need to
elsewhere seek definition of abbreviations used,
as was
required
in
the
original
and
the
proposal
for
public
comment.
“Old MCL”
(added):
The adopted rules add this definition,
which did not appear in the proposal for public
comment.
Due to the parallel existence of two sets
each of NCLs for inorganic and organic chemical
contaminants,
the Board found it necessary to make a
distinction between them in the monitoring and
analytical provisions.
This definition clarifies the
terms used in those substantive provisions.
A Board
Note clarifies that the use of “old MCL” in Subpart 0
refers only to organic chemical contaminants.
“Performance evaluation sample”
(amended):
In response to
an Agency comment (PC 12), we deleted the present
reference to the Department of Public Health with
respect to non-community systems and added references
to the Department of Public Health, with respect to
microbiological samples, and to the Illinois Department
of Nuclear Safety, with respect to radiological
samples.
The adopted version eliminates the need to
elsewhere seek definition of an abbreviation used,
as
was required
in the original and the proposal for
public comment.
“Phase I”
(added):
It has become common to refer to the
federal regulations and the contaminants that they
regulate by the “phase” in which USEPA promulgated
them.
The Board reverted to this common usage in the
adopted regulations and added this definition for the
sake of clarity, giving the date and cite of the
principal federal action involved.
At some future time
when there is no difference in regulatory impact based
on the date of federal implementation, the Board may
drop this usage.
“Phase II”
(added):
See discussion of “Phase I”.
“Phase IIB”
(added):
See discussion of “Phase I”.
“Picocurie”
(“pci”)
(amended):
The opening wording was
changed from the original and the proposal for public
comment for the sake of stylistic consistency.
0137-0271
20
“Public Health”
(amended):
we added a Board Note in
response to an Agency comment
(PC 12) explaining that
to the extent that the Department of Public Health
regulates non-community supplies by reference to the
Board’s rules, “Agency” will mean the Department.
“Public water system”
(“PWS”)
(amended):
The opening
wording was changed from the original and the proposal
for public comment for the sake of stylistic
consistency.
The Board revised the original and the
proposal
for
public
comment
by
relocating
the
last
explanatory phrase to the main body of the definition
and by eliminating the need to look elsewhere to
provide meaning for the abbreviations used.
“Which”,
which appeared in the original and in the proposal for
public comment,
is now rendered as “that”,
for
grammatic correctness.
“Reliably and consistently”
(added):
This is a phrase used
extensively throughout the substantive portions of the
federal Phase II and Phase IIB regulations without
definition.
The Board proposed this definition at
Sections 611.600(d)
and 611.640 because we felt that
definition of such a vital phrase would benefit the
clarity of the regulations.
The Board decided to adopt
the definition as a global definition,
applicable
throughout Part 611, rather than adopt the definition
separately at each of the other sections as proposed.
In response to an Agency comment
(PC 12), the Board
revised the proposed version of the definition by
adopting a version of the definition set forth by the
Agency as already reviewed and acceptable to USEPA.
The focus of the revised version is on the Agency
determination based on factors set forth.
Those
factors are similar to the core of the proposed
definition.
The Board believes that the proposed
definition was more precise and enforceable, but we
deferred to USEPA and the Agency in this instance.
“Repeat compliance period”
(added):
Derived from the USEPA
definition at 40 CFR 141.2,
as adopted at 56 Fed. Reg.
3578
(Jan.
30,
1991).
The federal Phase II and Phase
IIB requirements institute a cyclical system for
monitoring drinking water contamination.
A nine—year
“compliance cycle” comprises three three—year
“compliance periods.
The first compliance cycle and
compliance period begin January
1,
1993.
Subsequent
compliance periods begin in three—year intervals
thereafter,
and compliance cycles begin
in subsequent
nine—year periods.
“Representative”
(added):
This is a phrase used extensively
Ut
37-0272
21
throughout the substantive portions of the federal
Phase II and Phase IIB regulations without definition.
The Board proposed this definition et Sections
611.601(a),
611.631(e),
611.646(a),
611.648(a), and
611.658(e)
because we felt that definition of such a
vital phrase would benefit the clarity of the
regulations.
The Board decided to adopt the definition
as a global definition,
applicable throughout Part 611,
rather than adopt the definition separately at each of
the other sections as proposed.
The Board
significantly revises the proposed version of the
definition by adopting language suggested by the Agency
in PC 10
(at page 13).
The Board agrees that the
Agency-suggested language more fully reflects the
intended federal usage of this term.
“Residual disinfectant concentration”
(“RCD” or “C”)
(amended):
The Board adopted the definition of “RDC”
in R88-26.
The Board intended to add language to make
it
clear
that,
for
purposes
of
the
requirement
of
Section
611.241(d)
of maintaining a detectable RDC in
the
distribution
system,
“RDC”
means a residual of free
or
combined
chlorine.
However,
this
change
was
inadvertently
omitted
from
the
final Order.
The Board
has
therefore
amended the definition in this Docket.
There
was
no
change
from
the
text
of
the
proposal
for
public
comment.
“Sanitary
survey”
(amended):
The
adopted
version
eliminates
the
need
to
elsewhere
seek definition of an
abbreviation
used,
as
was
required in the original and
the proposal for public comment.
“SEP”
(added):
Throughout the text of the rules, the Board
adopts use of the abbreviation for special exception
procedure.
This definition supports the use of the
abbreviation.
We have not changed the text of the
proposal for public comment.
“Slow sand filtration”
(amended):
The adopted version
eliminates the need to adopt a definition for an
abbreviation used,
as would have been required by the
original and the proposal for public comment.
“Soc”
(“synthetic organic chemical contaminant”)
(added):
USEPA groups chemical contaminants into various
categories in its regulations and imposes differing
requirements on each group.
To do so, USEPA refers to
the groups by paragraph where they appear in the
federal regulations.
The Board believes it is less
cumbersome to use the abbreviations that USEPA commonly
uses
in its discussions of these contaminant groups.
0137-0273
22
Therefore, we revert to this common usage in the
adopted regulations and added this definition for the
sake
of
clarity,
giving
the
date
and
cite
of
the
principal federal action involved.
We prefer the use
“.
.
.
chemical contaminant” to
“.
.
.
chemical, as
suggested by PC 10, because none of these compounds
appear naturally.
“Source”
(added):
This is a phrase used extensively
throughout the substantive portions of the federal
Phase II and Phase IIB regulations without definition.
The Board proposed this definition at Sections
611.601(a),
611.631(e),
611.646(a),
611.648(a), and
611.658(e)
because we felt that definition of such a
vital phrase would benefit the clarity of the
regulations.
The Board decided to adopt the definition
as a global definition, applicable throughout Part 611,
rather than adopt the definition separately at each of
the other sections as proposed.
The Board adopts the
proposed version of this definition without revision.
“Supplier of water”
(“supplier”)
(amended):
The adopted
version eliminates the need to elsewhere seek
definition of an abbreviation used, as was required in
the original and the proposal for public comment.
“Surface water”
(amended):
“Which”, which appeared in the
original and
in the proposal for public comment,
is now
rendered as “that”,
for grammatic correctness.
“SWS”
(“surface water system”)
(added):
This is a phrase
used extensively throughout the substantive portions of
the federal Phase II and Phase IIB regulations without
definition.
The Board proposed this definition at
Sections 611.600(d),
611.601(a),
611.631(e),
611.640,
611.646(a), 611.648(a),
and 611.658(e)
because we felt
that definition of such a vital phrase would benefit
the clarity of the regulations.
The Board decided to
adopt the definition as a global definition,
applicable
throughout Part 611, rather than adopt the definition
separately at each of the other sections as proposed.
The Board revises the proposed version of the
definition by eliminating the need to elsewhere seek
definition of an abbreviation used and by eliminating a
cross-reference to another definition.
“System with a single service connection”
(amended):
“Which”, which appeared in the original and in the
proposal for public comment,
is now rendered as “that”,
for grainmatic correctness.
“Total trihalomehanes”
(“TTHN”)
(amended):
The opening
37-0271k
23
wording was changed from the original and the proposal
for public comment for the sake of stylistic
consistency.
The adopted version eJiminates the need
to elsewhere seek definition of abbreviations used,
as
was required in the original and the proposal for
public comment.
We amended the Board Note in response
to
an
Agency
comment
(PC
12)
to
add
a
cross—reference
to the definition of trihalomethane for a listing of
the four compounds that USEPA considers
trihalomethanes.
We did this despite our general
tendency not to cross—reference definitions or repeat
the essence of one definition within another.
“Transient,
non—community water system”
(“transient non—
CWS”)
(added):
Although these systems are beyond the
Board’s and the Agency’s statutory authority to
regulate
(the Department of Public Health regulates
them), the Board adopts the totality of the USEPA
drinking water regulations, and USEPA
(PC 14) has
suggested that Public Health use the Board’s rules in
its enforcement.
The Board adds the definition, which
does not appear in the federal rules and which did not
appear in the proposal for public comment.
In response
to an Agency comment (PC 12), we added a new
abbreviation for this term,
“TNCWS”,
for possible
future use.
We did not go further at this time and
incorporate this abbreviation into any substantive
provisions,
preferring
to
give
fuller
consideration
to
the possible consequences before doing so.
Also in
response
to
this
comment,
we
added
the
word
“daily”
to
refer
to
“public
water
supplies”
and
“non—community”
in
the last line.
“Treatment”
(added):
This is a phrase used extensively
throughout the substantive portions of the federal
Phase II and Phase IIB regulations without definition.
The Board proposed this definition at Sections
611.601(a),
611.631(e),
611.646(a),
611.648(a), and
611.658(e) because we felt that definition of such a
vital phrase would benefit the clarity of the
regulations.
The Board decided to adopt the definition
as a global definition,
applicable throughout Part 611,
rather than adopt the definition separately at each of
the other sections as proposed.
The Board revises the
proposed version of the definition by repunctuation,
by
changing a cross—reference to other definitions to
accommodate the changed location, and by replacing
“which” with “that”, for granunatic correctness.
In
response to an Agency comment (PC 12), we added
references to include microbiological and radiological
treatment and changed “chlorination” into
“disinfection”.
0137-0275
24
“Trihalomethane”
(“THN”)
(amended):
The opening wording was
changed from the original and the proposal for public
comment
for the sake of stylistic consistency.
“Mg”
(added):
The abbreviation as it appeared in the
original and in the proposal for public conunent,
is now
rendered in the way most commonly encountered in the
literature and most readily understood by the regulated
community, using the Greek “M”
(“mu”)
for “micro”.
“USEPA”:
This is an abbreviation commonly used in Board
Notes and other areas of the regulatory text.
The
Board adds this definition to the original and the
proposed versions of the text for the sake of clarity.
“VOC”
(“volatile organic chemical contaminant”)
(amended):
USEPA groups chemical contaminants into various
categories
in its regulations and imposes differing
requirements on each group.
To do so, USEPA refers to
the groups by paragraph where they appear in the
federal regulations.
The Board believes it is less
cumbersome to use the abbreviations that USEPA commonly
uses in its discussions of these contaminant groups.
Therefore, we revert to this common usage in the
adopted regulations and added this definition for the
sake of clarity, giving the date and cite of the
principal federal action involved.
We prefer the use
chemical contaminant” to
“.
.
.
chemical, as
suggested by PC 10, because none of these compounds
appear naturally.
“Virus”
(amended):
“Which”, which appeared in the original
and in the proposal for public comment,
is now rendered
as “that”,
for grammatic correctness.
“Waterborne disease outbreak”:
“Which”, which appeared in
the original and in the proposal for public comment,
is
now rendered as “that”,
for grammatic correctness.
The
adopted version eliminates the need to elsewhere seek
definition of an abbreviation used,
as was required in
the original and the proposal for public comment.
Revisions to the Analytical Requirements
USEPA extensively updated and revised the analytical
procedures allowed for specific biological and chemical
contaminants.
Discussion of these revisions is important to
subsequent discussions of the updates to the incorporations by
reference and the substantive analytical requirements.
At
56 Fed.
Peg. 642
(Jan.
8,
1991), USEPA amended one
microbiological method for total coliform and added two
0137-0276
25
microbiological methods for
E. coli.
The methods themselves are
set forth in the USEPA rules.
At 56 Fed.
Reg.
3582
(Jan.
30,
1991)
USEPA added 40 CFR
141.23(k)
to change the former 40 CFR 141.23(f) inorganic
chemical analytical procedures.
According to the federal
requirements, community water supplies (CWSs) and non—transient,
non—community water systems (NTNCWSs) must use these methods for
demonstrating compliance with the MCLs of 40 CFR 141.62
(corresponding with the “revised MCLs” of 35 Ill.
Adm. Code
611.301,),
and transient,
non—community water systems must use
these methods to demonstrate compliance with 40 CFR 141.11
(corresponding with the “old MCL5 of 35 Ill.
Adm. Code 611.300)
or 40 CFR 141.62
(the “revised MCL5”),
as appropriate.
At 56
Fed. Peg.
30275
(July
1,
1991)
USEPA amended 40 CFR 141.23(k) to
make some corrections to the January 30,
1991 amendments.
At 56 Fed. Req.
3583
(Jan.
30,
1991), USEPA amended 40 CFR
141.24(e)
(corresponding with 35 Ill.
Adin.
Code 611.645)
to
change the analytical method for the sole organic contaminant for
which an MCL remains at 40 CFR 141.12(a)
(corresponding with 35
Ill.
Adm. Code 611.310(a)):
endrin.
(Lindane, toxaphene,
and
niethoxychlor are now listed in new section 141.61(c)
(35 Ill.
Adm. Code 311(c))
as SOCs,
and heptachior and heptachior epoxide
are now listed at both Sections 611.310 and 611.311 due to
additional state requirements that apply to them.)
USEPA
replaced the previous methods with a single new method.
At 56
Fed.
Reg.
3585-86,
USEPA
added
141.24(f)(16)
(corresponding
with
35
Iii.
Adm.
Code
611.646(p)),
setting
forth new methods for the
40
CFR
141.61(a)
(9)
through
(a)
(18)
(corresponding
with
35
Ill.
Adm. Code
611.311(a))
Phase
II
VOCs,
and
141.24(h)
(12)
(corresponding with 35
Ill. Adm. Code 611.648(1)), setting forth
new methods for the 40 CFR 141.61(c)
(Section 611.311(c))
SOCs.
This action update “Organic Methods” from the September,
1986
edition to the December,
1988 edition.
Unaffected were the 40
CFR 141.61(g) (10)
(corresponding with 35
Ill.
Adm.
Code
611.647
(j))
methods for the 40 CFR 141(a) (1) through
(a) (8)
(Section 611.311(a))
Phase
I VOCs and the 40 CFR 141.30(e)
(Section 611.685) methods for TTHN.
At 56 Fed.
Peg.
30275
(July
1,
1991) USEPA added 40 CFR
141.23(q)
to correct a deficiency in the January 30,
1991
amendments.
By the January 30,
1991 amendments, USEPA left no
requirements for analytical methods for CWSs and NTNCWS5 for the
40 CFR 141.11
(old inorganic)
MCLs.
USEPA reinserted the former
analytical requirements for the 40 CFR 141.11 inorganics at 40
CFR 141.23(1) through
(q).
40 CFR 141.23(q) represents the
analytical methods.
At 56 Fed. Reg.
30277-79
(July 1,
1991), USEPA amended the
applicability and organic chemical analytical methods at 40 CFR
141.24(e),
(f)(l6),
and
(h)(12).
At subsection
(e), USEPA
01370277
26
corrected an error and added a new method for the 40 CFR
141.12(a) MCL for endrin.
At paragraph
(f)(16), USEPA made the
methods originally for Phase II VOC5 applicab’e to both Phase
I
and Phase II VOC5.
At paragraph
(h) (12) (iv),
TJSEPA expanded the
method to include and additional SOC, and at paragraphs
(h) (12) (vi) and
(h) (12) (vii), USEPA updated the methods to
subsequent versions.
Also at 56 Fed.
Peg.
30279, USEPA limited
the existing monitoring requirements
(and analytical methods)
of
40 CFR 141.24(g)
for the Phase
I VOC5.
Essentially, those
existing requirements
(and methods) apply only to existing
facilities for the purposes of initial monitoring until January
1,
1993.
At 57 Fed.
Reg.
1852
(Jan.
15,
1992), USEPA expanded a
microbiological method for total coliforin, the “EC Medium
+
MUG
Test”, to require persons using it to further use it to test for
E. coil.
The method itself is set forth in the USEPA rules.
At
57 Fed. Peg.
24747
(June 10,
1992) USEPA approved the
“Autoanalysis Colilert System”
(the “Minimal Medium ONPG-MUG
Test”)
for testing for the presence of total coliforms and
E.
coil.
USEPA simultaneously changed the status of the “EC Medium
+
MUG
Test” by approving it for use for
E.
coli
as an alternative
to the “Minimal Medium ONPG-MUG Test”.
USEPA incorporated a
journal article by reference for the method.
In general,
as to 40 CFR 141.21(f), USEPA has approved four
new microbiological presence-absence methods:
one for fecal
coliforxns,
two for
E.
coil,
and one combined test for total
coliforms and
E.
coil.
The federal rules set forth the new
methods, with the following two exceptions:
USEPA incorporated
the method for making EC medium supplemented with MUG from
“Standard Methods”, and it incorporated “Minimal Medium ONPG-MUG
Test” from a journal article.
In general,
as to 40 CFR 141.23(k)
(35 Ill. Adm. Code
611.611)
(which applies by its terms to all CWSs and NTNCWSs as
to the 40 CFR 141.62
(35 Ill. Adm. Code 611.301) MCLs and to
transient systems as to the 40 CFR 141.11
(35 Ill. Adm. Code
611.300)
and 141.62 MCLs for nitrate and nitrite), where USEPA
did not add
a new method or delete an existing method, these
amendments updated “Inorganic Methods” from the 1979 edition to
the 1983 edition, updated the version of the ASTM method, or
updated “Standard Methods” from the 14th edition to the 16th
edition.
It also specified the use of appendix 200.7A as
a
supplement to “Inductively Coupled Plasma Method” 200.7 where
that method appeared.
In general,
as to 40 CFP 141.23(q)
(35 Ill. Adm. Code
611.611)
(which applies by its terms to all CWSS and NTNCWSs as
to the 40 CFR 141.62
(35 Ill. Adm. Code 611.301) MCLs and to
transient systems as to the 40 CFR 141.11
(35 Ill. Adm. Code
611.300)
and 141.62 NCLS for nitrate and nitrite), where USEPA
0137-0278
27
did not add a new method or delete an existing method,
these
amendments updated “Inorganic Methods” from the 1979 edition to
the 1983 edition,
updated the version of the ASTM method,
or
updated “Standard Methods” from the
14th
edition
to
the
16th
edition.
It also specified the use of appendix 200.7A as a
supplement to “Inductively Coupled Plasma Method” 200.7 where
that method appeared.
In general,
as to 40 CFR 141.24(e)
(35 Ill. Adm. Code
611.645)
(which applies to the old MCL for endrin), amended 40
CFR 141.24(f)
(35 Ill. Adm. Code 611.646)
(which applies to
VOC5),
and 40 CFR 141.24(h)
(35 Ill. Adm. Code 611.648)
(which
applies to SOC5),
all methods are new.
As to 40 CFR 141.23(g)
(35 Ill. Adm. Code 611.647)
(which applies to Phase
I VOCs),
there is no change.
However, this subsection applies only to
existing suppliers until January 1,
1993 for the purposes of
initial monitoring (already completed).
See 40 CFR 141.24(g),
as
amended at 56 Fed.
Peg.
30279
(July
1,
1993).
There
is no change
in the methods of
40 CFR 141.30(e)
(35 Ill. Adm. Code 611.685)
(which apply to TTHM).
USEPA is also requiring the Board to revert in one method to
an earlier version
in the corrections to the Phase
I rules.
USEPA commented (PC 14)
that the Board should have used the 16th,
rather than the 17th,
edition of “Standard Methods” for Methods
908 and 909 at Section 611.531.
The Board makes all revisions made or required by USEPA,
including the one to the existing text of the Phase
I rules.
In
effecting the amendments,
except as to “Organic Methods” 515.1
and 525.1,
we delete the version of the rule as it would appear
in the substantive provisions of the rules.
Rather, the
incorporations by reference in Section 611.102 indicate the
appropriate version.
The Board corrects four obvious USEPA
errors
in citing wrong methods for arsenic,
fluoride,
lead,
and
mercury.
USEPA revised the “Inorganic
Methods”
arsenic
method
from the 1979 edition to the 1983 edition in adopting 40 CFR
141.23(k) (2),
at 56 Fed.
Reg.
3582, then reverted to the 1979
edition in the Phase II corrections,
at 56 Fed.
Peg.
30275.
USEPA did not highlight this change as a correction,
so the Board
retains
the
1983
reference.
40
CFR
141.23(k)
(3)
cites
methods
“43 A and C” of “Standard Methods”, which do not exist.
Methods
413A and 4l3C are for fluoride, which the Board assumes is what
USEPA intended.
40 CFR 141(q) (8)
cites methods 301A II and 301A
III of the 16th edition of “Standard Methods”.
These methods do
not exist
in the 16th edition, although they appear in the 14th.
The Board corrects the reference to the 14th edition.
Finally,
40 CFR 141(q) (8)
cites ASTM method D3223—69 for mercury, whereas
previous
40 CFR 141.23(f) cited D3223—79 and 40 CFR 141.23(k) (1)
now cites D3223-86.
The Board believes that USEPA intended to
retain D3223-79 at section 141.23(q),
and has adopted this
correction.
Another deviation from the federal text is that the
0137-0279
28
Illinois Administrative Procedure Act,
Ill. Rev.
Stat.
1991 ch.
127,
par.
1001-1
et seq.,
will not allow the Board to incorporate
the journal article by reference.
Instead
the Board has
extracted the method described in the article and set it forth in
Appendix
D.
The following describes the essential details of the changes
in analytical methodology by test:
Arsenic:
56 Fed.
Peg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k) (2), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
(There is no new 40 CFR 141.62(b) NCL for arsenic.)
These
amendments updated “Inorganic Methods” from the 1979 to the
1983 edition; updated “Standard Methods” from the 14th
edition to the 16th edition; and deleted “Inductively
Coupled Plasma Method” 200.7.
56 Fed.
Reg.
30275
(July
1,
1991) amended 40 CFR 141.23
(k) (2)
to
change
the
“Inorganic
Methods”
back
to
the
1979
edition;
to
update
the
ASTM methods to D2972-88A and D2972-
888; and to update “USGS Method” 1—1062-78
(1979 ed.) to I-
1062—85
(1986 ed.).
It restored “Inductively Coupled Plasma
Method” 200.7 and updated it to include appendix 200.7A
(as
a supplement).
It also replaced former “Standard Methods”
301A VII,
404A,
and 404B(4) with new methods 307A and 307B.
56 Fed. Peg. 30276—77
(July
1,
1991)
also added 40 CFR
141.23(q)
to change the analytical methods that apply for
the purposes of the 40 CFR 141.11 MCL for arsenic.
This
updated “Inorganic Methods” from the 1979 edition to the
1983 edition, deleting Method 206.4; updated the ASTM
methods to D2972-88A and D2972-88B; updated the “Standard
Methods from the 14th edition to the 16th edition, replacing
former Methods 301A VII,
404A,
and 404B(4) with new Methods
307A
and
307B;
updated
“USGS
Method”
1—1062—78
(1979
edition)
to
1-1062—85
(1986
edition);
and
updated
the
200.7
“Inductively Coupled Plasma Method” to include appendix
200.7A as a supplement.
The Board has updated all analytical methods
accordingly, with the exception that we have corrected the
obvious USEPA error and included the 1983 edition of
“Inorganic Methods” 206.2,
206.3, and 206.4
at Section
611.102 for the purposes of Section 611.611(b).
Changed
since the proposal for public comment are the addition of
Section 611.612,
to restore the text of the previous methods
deleted and subsequently restored by USEPA to 40 CFR
141.23(q); deletion of the editions of methods at Sections
611.611 and 611.612 and their inclusion at the
~
t_~
~J~)/U
29
incorporations by reference at Section 611.102; updating the
method number (version)
of the ASTM methods; updating the
“Standard Methods” by deleting Methods 301A VII,
404A, and
404B(4)
and replacing them with Methods 307A and 3078 of the
16th edition; and restoration of the “Inductively Coupled
Plasma Method” 200.7 as supplemented by appendix 200.7A.
Asbestos:
56 Fed. Peg. 3581—82
(Jan.
30,
1992)
added 40 CFR
141.23(k) (1), which added analytical methods for this new
contaminant of interest.
“Asbestos Methods” is added.
The
Board has updated the analytical methods accordingly.
There
is no change since the proposal for public comment.
Barium:
56
Fed. Reg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k) (1), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
These amendments deleted the previous ASTM methods; updated
“Inorganic Methods” from the 1979 to the 1983 edition;
updated “Standard Methods” from the 14th edition to the 16th
edition, replacing former Method 301A IV with Methods 303C
and 304; and supplemented “Inductively Coupled Plasma
Method” 200.7 with appendix 200.7A.
56 Fed. Peg.
30275
(July
1,
1991) did not amend the 40
CFR 141.23
(k) (1) methods for barium.
56 Fed. Peg. 30276-77
(July
1,
1991)
added 40 CFR 141.23(q) to change the
analytical methods that apply for the purposes of the 40 CFR
141.11 MCL for barium.
This updated “Inorganic Methods”
from the 1979 edition to the 1983 edition; updated the
“Standard Methods from the 14th edition to the 16th edition,
replacing former Method 301A IV with new Method 308
(which
references Methods 304 and 303C); and updated the 200.7
“Inductively Coupled Plasma Method” to include appendix
200.7A as a supplement.
The Board has updated all analytical methods
accordingly.
Changed since the proposal for public comment
are the addition of Section 611.612, to restore the text of
the previous methods deleted and subsequently restored by
USEPA to 40 CFR 141.23(q); deletion of the editions of
methods at Sections 611.611 and 611.612 and their inclusion
at the incorporations by reference at Section 611.102;
updating the “Standard Methods” by deleting Method 301A IV
and replacing it with Methods 303C and 304 of the 16th
edition; and by updating the “Inductively Coupled Plasma
Method” 200.7 to include appendix 200.7A as a supplement.
0137-0281
30
Cadmium:
56
Fed. Peg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f)
and the methods at that section and added new
subsection
(k) (1), which sets forth the analytical
requirements for the revised MCL5 of section 141.62(b).
These amendments deleted the previous ASTM methods; updated
“Inorganic Methods” from the 1979 to the 1983 edition,
deleting Method 213.1; updated “Standard Methods” from the
14th edition to the 16th edition, replacing Methods 301A II
and
301A
III
with
Method
304;
and
supplemented
“Inductively
Coupled Plasma Method” 200.7 with appendix 200.7A.
56 Fed.
Peg.
30275
(July
1,
1991) did not amend 40 CFR
141.23
(k) (1) with regard to cadmium.
56 Fed. Reg. 30276-77
(July
1,
1991)
added 40 CFR 141.23(q) to change the
analytical methods that apply for the purposes of the 40 CFR
141.11 MCL for cadmium.
This updated “Inorganic Methods”
from the 1979 edition to the 1983 edition; updated the
“Standard Methods” from the 14th edition to the 16th
edition,
replacing former Methods 301A II and 301A III with
new Method 310A (which references methods 303A and 303B);
and updated the 200.7 “Inductively Coupled Plasma Method” to
include appendix 200.7A as a supplement.
The Board has updated all analytical methods pertaining
to the revised MCL for cadmium at Section 611.301 according
to the federal amendments.
However, at 56 Fed. Peg. 30276,
USEPA repealed the 40 CFR 141.11 MCL (old MCL) for cadmium,
effective July 30,
1992.
Changed since the proposal for
public comment are the deletion of the editions of methods
at Section 611.611 and their inclusion at the incorporations
by reference at Section 611.102; updating the “Standard
Methods” by deleting Methods 301A II and 3OlA III and
replacing them with Method 304 of the 16th edition; and by
updating the “Inductively Coupled Plasma Method” 200.7 to
include appendix 200.7A as a supplement.
Chromium:
56 Fed. Peg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k) (1), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
These amendments deleted the previous ASTM methods; updated
“Inorganic Methods” from the 1979 to the 1983 edition,
deleting Method 218.1; updated “Standard Methods” from the
14th edition to the 16th edition, replacing former Methods
301A II and 301A III with Method
304; and supplemented
“Inductively Coupled Plasma Method” 200.7 with appendix
200. 7A.
0137-0282
31
56 Fed.
Peg.
30275
(July
1,
1991)
did not amend 40 CFR
141.23
(k) (1) with regard to chromium.
56 Fed. Peg. 30276—
77
(July
1,
1991)
added 40 CFR 141.23(q) to change the
analytical methods that apply for the purposes of the
4.0 CFR
141.11 MCL for chromium.
This updated “Inorganic Methods”
from the 1979 edition to the 1983 edition, deleting Method
218.2; updated the “Standard Methods” from the 14th edition
to the 16th edition, replacing former Methods 301A II and
301A III with Method 312A (which references methods 303A,
303B,
and 304); and updated the 200.7 “Inductively Coupled
Plasma Method” to include appendix 200.7A as a supplement.
The Board has updated all analytical methods pertaining
to the revised MCL for chromium at Section 611.301 according
to the federal amendments.
However, at 56 Fed. Peg. 30276,
USEPA repealed the 40 CFR 141.11 MCL (old MCL)
for chromium,
effective July 30,
1992.
Changed since the proposal for
public
comment
are
the
deletion
of
the
editions
of
methods
at Sections 611.611 and their inclusion at the
incorporations by reference at Section 611.102; and by
updating the “Inductively Coupled Plasma Method” 200.7 to
include appendix 200.7A as a supplement.
Fluoride:
56 Fed.
Peg. 3581-82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k) (3), which sets forth the analytical
requirements for the revised MCL5 of section 141.62(b).
These amendments updated “Inorganic Methods” from the 1979
to the 1983 edition and updated “Standard Methods” from the
14th edition to the 16th edition.
56 Fed. Peg.
30275
(July
1,
1991)
did not amend 40 CFR 141.23
(k) (3)
The Board has updated all analytical methods
accordingly, with the exception that we have corrected the
obvious USEPA error and substituted “Standard Methods” 413A
and 413C for Methods “43A” and “43C”.
Changed since the
proposal for public comment are the addition of Section
611.612,
to restore the text of the previous methods deleted
by USEPA,
as updated by USEPA (although USEPA did not
restore them for the purposes of the old MCL for fluoride),
and deletion of the editions of methods at Sections 611.611
and 611.612 and their inclusion at the incorporations by
reference at Section 611.102.
Lead:
56 Fed. Reg.
3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section.
This
eliminated the methods for lead.
(There is no new 40 CFR
141.62(b) MCL for lead.)
U
I 37-0283
32
56 Fed.
Peg. 30275
(July
1,
1991)
added 40 CFR
141.23(q) to change the analytical methods that apply for
the purposes of the 40 CFR 141.11 MCL for lead.
(56 Fed.
Peg.
30274 repealed the old MCL for lead effective December
7,
1992, the date the new lead and copper rules become
effective.)
This updated “Inorganic Methods” from the 1979
edition to the 1983 edition and updated the “Standard
Methods from the 14th edition to the 16th edition.
The Board has updated all analytical methods
accordingly, with the exception that we have corrected the
obvious USEPA error and included the 14th edition of
“Standard Methods” 301A II and 301A III at Section 611.102
for the purposes of Section 611.612(f)(3).
Changed since
the proposal for public comment are the addition of Section
611.612, to restore the text of the previous methods deleted
and subsequently restored by USEPA to 40 CFP 141.23(q); and
deletion of the editions of methods at Section 611.612 and
their inclusion at the incorporations by reference at
Section 611.102.
Mercury:
56
Fed. Peg. 3581—82
(Jan.
30,
1991)
repealed former 40
CFR 141.23(f)
and the methods at that section and added new
subsection
(k) (1), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
These amendments updated “Inorganic Methods” from the 1979
to the 1983 edition; updated “Standard Methods” from the
14th edition to the 16th edition, replacing Method 301A VI
with Method 303F; and updated ASTM method D3223—79 to D3223—
80.
56 Fed.
Peg.
30275
(July
1,
1991) amended 40 CFR 141.23
(k) (1) to change the version of the ASTM method to D3223-86.
56 Fed.
Peg. 30276—77
(July 1,
1991)
added 40 CFR 141.23(q)
to change the analytical methods that apply for the purposes
of the 40 CFR 141.11 MCL for mercury.
This updated
“Inorganic Methods” from the 1979 edition to the 1983
edition, deleting Method 206.4,
and updated the “Standard
Methods” from the 14th edition to the 16th edition,
replacing former Method 301A VI with new Method 320A
(referencing Method 303F).
The Board has updated all analytical methods pertaining
to the revised MCL for mercury at Section 611.301 according
to the federal amendments.
However, at 56 Fed. Reg.
30276,
USEPA repealed the 40 CFR 141.11 MCL (old MCL) for mercury,
effective July 30,
1992.
Changed since the proposal for
public comment are the deletion of the editions of methods
at Sections 611.611 and their inclusion at the
incorporations by reference at Section 611.102 and updating
01 37-028i~
33
the method number
(version)
of the ASTM method.
Nitrate:
56 Fed.
Peg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k) (1), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
These amendments deleted previous ASTM method D992-71 and
updated methods D3867-79A and D3867-79B to methods D3867—85A
and D3867-85B; updated “Inorganic Methods” from the 1979 to
the 1983 edition, deleting Method 352.1 and adding Method
300.0
(retaining Methods 353.1,
353.2, and 353.3); updated
“Standard Methods” from the 14th edition to the 16th
edition, replacing Methods 419C,
419D, and 605 with Methods
418C and 418F; and added Orion Research ion selective
electrode method WeWWG/5880 and Millipore Corp. method B—
1011.
56 Fed.
Peg.
30275
(July
1,
1991)
amended 40 CFR 141.23
(k) (1) to update the ASTM method to D3867-90.
56 Fed. Peg.
30276—77
(July
1,
1991)
added 40 CFR 141.23(q) to change the
analytical methods that apply for the purposes of the 40 CFR
141.11 MCL for nitrate.
This updated “Inorganic Methods”
from the 1979 edition to the 1983 edition and updated the
“Standard Methods” from the 14th edition to the 16th
edition.
The Board has updated all analytical methods pertaining
to the revised MCL for nitrate at Section 611.301 according
to the federal amendments.
However, at 56 Fed. Peg.
30276,
USEPA repealed the 40 CFR 141.11 MCL (old MCL)
for nitrate,
effective July 30,
1992.
Changed since the proposal for
public comment are the deletion of the editions of methods
at Section 611.611 and their inclusion at the incorporations
by reference at Section 611.102 and updating the ASTM
methods by replacing D3867-85A and D3867—85B with D3867-90.
Nitrite:
56 Fed.
Peg.
3581—82
(Jan.
30,
1991)
added 40 CFR
141.23(k) (1), which sets forth the analytical requirements
for the revised MCL5 of section 141.62(b).
These amendments
added “Inorganic Methods”
(1983 edition)
300.0,
353.2,
353.3,
and 354.1; “Standard Methods”
(16th edition)
418C and
418F; ASTM Methods D3867-85A and D3867—85B; and Millipore
Corp. method B-lOOl for nitrite.
56 Fed. Reg.
30275
(July
1,
1991)
amended
40 CFR 141.23
(k) (1) to update the ASTM
methods to D3867-90.
The Board has updated all analytical methods for
nitrate according to the federal amendments.
Changed since
0137-0285
34
the proposal for public comment are the deletion of the
editions of methods at Section 611.611 and their inclusion
at the incorporations by reference at Section 611.102 and
the updating of the method number
(version)
of the ASTN
methods.
Selenium:
56 Fed. Peg. 3581-82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section and added new
subsection
(k)(1), which sets forth the analytical
requirements for the revised MCLs of section 141.62(b).
These amendments updated “Inorganic Methods” from the 1979
to the 1983 edition, deleting Method 270.3; updated
“Standard Methods” from the 14th edition to the 16th
edition, replacing Method 301A VII with Methods 303E and
304; updated ASTM method D3859-79 to methods D3859-84A and
D3859—84B;
and updated “USGS Method” 1—1667—78
(1979)
to I—
3667—85
(1985).
56
Fed. Peg.
30275
(July
1,
1991)
amended 40 CFR 141.23
(k) (1)
to update the ASTM method to D3859-88; to delete
“Standard Method” 303E; and to delete “USGS Method” 1-3667-
85.
56 Fed. Peg. 30276—77
(July
1,
1991)
added 40 CFR
141.23(q)
to change the analytical methods that apply for
the purposes of the 40 CFR 141.11 MCL for selenium.
This
updated “Inorganic Methods” from the 1979 edition to the
1983 edition; updated the “Standard Methods” from the 14th
edition to the 16th edition, replacing former Method 301A
VII with new Method 303F; and updated “USGS Method” 1-1667-
78
(1979)
to 1—1667—85
(1985).
The Board has updated all analytical methods for
selenium according to the federal amendments.
However, at
56 Fed. Peg.
30276, USEPA repealed the 40 CFR 141.11 MCL
(old NCL) for selenium, effective July 30,
1992.
Changed
since the proposal for public comment are the deletion of
the editions of methods at Sections 611.611 and 611.612 and
their inclusion at the incorporations by reference at
Section 611.102; updating the method number
(version)
of the
ASTN methods to method D3859-88B (for gaseous hydride) and
D3859-88A (for furnace technique); deleting “Standard
Method” 303E; and deleting “USGS Method” 1—3667-85.
Silver:
56 Fed. Peg. 3581—82
(Jan.
30,
1991) repealed former 40
CFR 141.23(f) and the methods at that section.
This deleted
“Inorganic Methods” 272.1 and 272.2,
“Standard Method” 3OlA
II,
and “Inductively Coupled Plasma Method” 200.7 for
silver.
At 56 Fed.
Reg. 30276,
USEPA repealed the 40 CFR
141.11 MCL (old MCL) for silver, effective July 30,
1992.
0 37-0286
35
The Board has updated all analytical methods for silver
according to the federal amendments.
There is no change
from the proposal for public comment witi’ regard to silver.
VOCs:
At 56 Fed.
Reg. 3583,
USEPA amended 40 CFR 141.24(e) to
change the analytical method for the sole organic
contaminant for which an MCL remains at 40 CFR 141.12(a):
endrin.
(Lindane,
toxaphene,
and methoxychlor are now
listed
in new section 141.61(c).)
Deleted were “Pesticide
Methods”, ASTM D3086-79, “Standard Method” 509A
(14th
edition), “USGS Methods” chapter A—3, and SPE-500.
The new
method is “Organic Method” 508.
SOCs:
At 56 Fed. Peg.
3583,
USEPA amended 40 CFR 141.24(e) to
replace “Pesticide Methods”, ASTM Method D3086—79, “Standard
Method” 509A (14th edition), “USGS Methods” chapter A-3, and
SPE-500 with “Organic Method” 508 for the purposes of the
sole section 141.12(a) MCL for endrin.
USEPA added 40 CFR
141.24(f) (16) to add “Organic Methods”
(1988 edition)
502.1,
502.2
503.1,
524.1, and 524.2 for the Phase II VOCs.
USEPA
updated “Organic Methods”, at 40 CFR 141.24(e),
(f) (16),
and
(h) (12)
to the December 1988 edition, leaving the reference
at 40 CFR 141.24(g) (10)
as the September,
1986 edition.
USEPA added 40 CFR 141.24(h) (12) to replace “Pesticide
Methods”, ASTM Method D3478-79, “Standard Method” 509B,
and
USGS Methods” chapter A-3 for 2,4-D and 2,4,5—TP
(Silvex)
and add “Organic Methods”
(1988 edition)
504
(for
dibromopropane and dibromoethylene),
505
(for alachlor,
carfofuran,
chlordane,
heptachlor, heptachior epoxide,
toxaphene,
and as a PCB screen),
507
(for alachior and
atrazine),
508
(for chlordane, heptachlor,
heptachlor
epoxide,
lindane, methoxychlor, and as a PCB screen), 508A
(for decachlorobiphenyl,
if PCB is detected using 505 or
508),
515.1 for 2,4—D, pentachlorophenol, or 2,4,5—TP),
525
for alachlor, atrazine, chlordane, heptachlor, heptachior
epoxide,
lindane, methoxychlor, or pentachlorophenol), and
531.1
(for aldicarb, aldicarb sulfoxide, aldicarb sulfone,
or carbofuran)
for the SOCs.
(USEPA promulgated the MCLs
for aldicarb, aldicarb sulfoxide,
aldicarb sulfone, and
pentachiorophenol on July
1,
1991 as Phase IIB contaminants.
These are the subject of docket R91-15.)
At 56 Fed. Peg.30277-79
(July
1,
1992), USEPA amended
the applicability and analytical methods at 40 CFR
141.24(e),
(f)(16), and (h)(12).
Added to the subsection
(e) method applicable to the 40 CFR 141.12(a) MCL for endrin
is “Organic Methods”
(1988
edition) Method
505.
The
paragraph
(f) (16) methods for Phase II VOCs now also apply
0137-0287
36
to the Phase
I VOCs.
Finally,
at paragraph
(h) (12), USEPA
expanded “Organic Method” 508 to include toxaphene and
updated “Organic Method” 515.1 to revision 5.0
(1991
edition) and 525 to 525.1, revision 3.0
(1991 edition).
The Board updates the analytical methods according to
the federal amendments.
Changed since the proposal for
public comment are the expansion of the methods at Section
611.646(p)
to include the Phase
I VOCs; the expansion of
“Organic Methods” 505 and 508,
at Section 611.648(1)
to
include endrin and toxaphene (508 only);
and updating
“Organic Methods” 515.1 to revision 5.0
(May,
1991)
and 525
to 525.1, revision 3.0
(May,
1991).
Nicrobiologicals
At 56 Fed. Peg.
642
(Jan.
8,
1991), USEPA amended one
microbiological method for total coliform and added two
microbiological methods for
E. coli.
The methods themselves
are set forth
in the IJSEPA rules.
USEPA only incorporated
the methods for preparing the EC medium and agar medium by
reference.
The reference incorporated is Method 908C of
“Standard Methods”,
16th edition.
At 57
Fed.
Peg.
1852
(Jan.
15,
1992), USEPA expanded a
microbiological method for total coliform, the “EC Medium
+
MUG Test”, to require persons using it to further use it to
test for
E.
coil.
The method itself is set forth
in the
USEPA rules.
At 57 Fed. Peg.
24747
(June 10,
1992)
USEPA
approved the “Autoanalysis Colilert System”
(the “Minimal
Medium NNO-MUG Test”)
for testing for the presence of total
coliforms and
E. coli.
USEPA simultaneously changed the
status of the “EC Medium
+ MUG
Test” by approving it for use
for
E. coil
as an alternative to the “Minimal Medium ONPG-
MUG Test”.
For the method, USEPA incorporated a journal
article by reference:
S. Edberg,
H. Allen
&
D.
Smith,
“National Field Evaluation of a Defined Substrate Method for
the Simultaneous Detection of Total Coliforms and
Escherichia coli from Drinking Water:
Comparison with
Pres.ence—Absence Techniques”,
Applied and Environmental
Microbioiogy,
vol.
55,
pp.
1003-1008.
Incorporations by Reference——Section 611.102
In light of the foregoing discussion of changes
in the
analytical methods, the Board makes the following amendments to
the incorporations by reference:
1.
The phrase,
“in this Part refer to”,
is added since the
proposal for public comment to clarify that the defined
abbreviations apply only for the purposes of Part 611.
0! 37-0288
37
2.
The abbreviations are amended as follows:
“Asbestos
Methods” is added;
“Indigo Method” is amended to use the
exact method number used in “Standard Methods”
(17th ed.)
(“03” changed to “03”)
(changed since proposal for public
comment);
“Inorganic Methods”
is amended to indicate its
availability from ORD Publications;
“MMO-MtJG Test”
is
amended to show that the test is now available from
Environetics,
Inc.;
“Pesticide Methods” and “SPE Test
Method” are deleted (changed since proposal for public
comment).
3.
Access Analytical Systems, Inc.
is amended to show that
the MMO—MUG Test
is now available from Environetics,
Inc.,
and “See” is now capitalized
(changed since proposal for
public comment).
4.
ASTM methods:
a colon and a phone number are added;
methods D992—71, D1687—77D,
D3086—79 (changed since proposal
for public comment), D3478—85
(changed since proposal for
public comment),
and D3557-78A and B (changed since proposal
for public comment)
are deleted; and methods D2972-88A or B
(changed since proposal for public comment), D3223-86,
D3859-88
(changed since proposal for public comment), and
D3867—90
(changed since proposal for public comment) are
updated.
5.
“Standard Methods
(13th ed.):
method 302 is
repunctuated
(changed since proposal for public comment).
6.
“Standard Methods
(14th ed.):
methods 301A IV, 301A
VI,
301A VII,
404A,
4048(4),
419C,
419D, 509A (changed since
proposal for public comment), 5098 (changed since proposal
for public comment), and 605 are deleted; method 2l4A is
added
(changed since proposal for public comment); methods
3OlA II and 301A III are retained (changed since proposal
for public comment); and methods 302 (punctuation changed
since proposal for public comment), 320 and 320A
(“s” added)
and 412D
(number changed)
are corrected (changed since
proposal for public comment).
7.
“Standard Methods
(16th ed.):
method 2l4A (changed
since proposal for public comment)
is deleted; and methods
303C,
303E,
303F,
307A (changed since proposal for public
comment), 307B (changed since proposal for public comment),
418C,
and 418F are added.
In response to an Agency comment
(PC 12),
we amended “Ph” to “pH” for Method 423.
8.
“Standard Methods
(17th ed.):
method 4500—03 is added
(changed since proposal for public comment).
9.
Environetics punctuation corrected (changed since
Q~37-0289
38
proposal for public comment).
10.
J.T. Baker Chemical Co.
is deleted with the “SPE Test
Method”
(changed since proposal for public comment).
11.
Millipore Corp.
is added with Method B-lOll.
12.
NTIS:
repunctuated
(changed since proposal for public
comment); phone number added
(changed since proposal for
public comment); “Analytical Method of Determination of
Asbestos Fibers in Drinking Water”,
“Methods for Chemical
Analysis of Water and Wastes”
(1979 and 1983 ed.; 1979 ed.
added since proposal for public comment), and “Methods for
Determination of Organic Compounds in Drinking Water”
(1986
and 1988 ed.; 1986 ed. added since proposal for public
comment)
are added;
“Methods for Chemical Analysis of Water
and Wastes”
(document number)
is amended; and limitations on
the utility are added to “Methods for Chemical Analysis of
Water and Wastes”
(1979 and 1983 ed.)
and “Methods for
Determination of Organic Compounds in Drinking Water”
(1986
and 1988 ed.).
13.
ORD
Publications is added since the proposal for public
comment because the USEPA rules state this as the source of
“Methods for Chemical Analysis of Water and Wastes”.
14.
Orion Research,
Inc.
is repunctuated since the proposal
for public comment.
15.
Technicon Industrial Systems,
Inc.
is repunctuated
since the proposal for public comment.
16.
USEPA:
repunctuated since the proposal for public
comment; Appendix 200.7A is referenced by number in method
200.7
(changed since proposal for public comment);
“Methods
for Organochlorine Pesticides and Chloro-phenoxy Acid
Herbicides in Drinking Water and Raw Source Water” is
deleted; and “Methods for Chemical Analysis of Water and
Wastes”
is corrected and its availability from ORD
Publications is stated
(changed since proposal for public
comment).
In response to an Agency comment, we replace a
now obsolete telephone number with an address used by USEPA
in the Code of Federal Regulations text of its rules with
regard to the availability of these references.
17.
USGS:
“Methods for Analysis of Organic Substances in
Water” is deleted
(changed since proposal for public
comment); and “Methods for Determination of Inorganic
Substances
in Water and Fluvial Sediments”
is corrected
(changed since proposal for public comment).
18.
Code of Federal Regulations:
all references are
0137-0290
39
updated to the 1991 edition.
A reference to 40 CFP Subpart
G, which sets forth the limitations on the state’s authority
to grant exceptions to a federal requirement of general
applicability.
(~
discussion of Alternative Treatment
Techniques, belOw.)
Special Exemption Permits--Section 611.110
The federal Phase
I and Phase II regulations contemplate a
system of waivers of sampling and monitoring requirements.
They
also contemplate that the states will allow suppliers to use
existing monitoring data and relax increased monitoring
frequencies.
In R88-26, the Board chose a method whereby the
Agency will evaluate such requests from general requirements and
set forth criteria that authorizes the Agency to issue “special
exception permits”
(“SEPs”).
This provision is centrally located
in Section 611.110, and various substantive provisions located
throughout the SDWA rules contain authorizations for the Agency
to grant SEPS under certain circumstances pursuant to this
Section.
At 56 Fed. Peg. 3578-97
(Jan.
30,
1991), USEPA promulgated
the Phase II regulations.
At 56
Fed. Reg. 30274—81
(July
1,
1992), USEPA extensively corrected and amended the Phase II rules
when it promulgated the Phase 118 rules.
Most significantly,
these amendments extended the use of waivers to an additional
group of VOC5 and to new SOCs.
These amendments included
definite factors for consideration in evaluating a request for a
SEP from certain of the provisions.
Both expedience and the
federal actions have prompted the Board to significantly amend
the central SEP provision of Section 611.110 to accommodate the
federal rules.
Initially,
for convenience, the Board has replaced the
repeated use of the words “special exception permit” with the
abbreviation “SEP”,
both here and elsewhere in Part 611.
Further, the Board has added subsection
(d) to clarify that there
are two ways for a SEP to be issued:
the supplier may request
one, or the Agency may initiate one at its discretion.
A new
Board Note,
added since the proposal for public comment,
clarifies that the authorization provisions throughout Part 611
are not intended to mandate that the Agency exercise its
discretion and initiate a SEP.
In response to the federal amendments,
and since the
proposal for public comment, the Board adds subsection
(e), which
sets forth the factors the Agency must consider in evaluating a
SEP request submitted pursuant to certain substantive provisions
of the rules.
USEPA codified these factors within the segments
of the substantive rules that authorize a grant of a SEP.
The
Board has chosen to centrally locate the factors here to avoid
undue distraction and repetition in those rules.
The new federal
0
37-0291
40
waiver provisions that set forth factors for consideration are
codified at 40 CFP 141.24(f)(8)
(as to VOC monitoring),
l41.24(h)(6)
(as to SOC monitoring), and 141.40(n)(4)
(as to
unregulated organic and inorganic compounds).
Sections
141.24(f) (8) and 141.24(h) (6) are stand—alone provisions, and the
section 141.40(n) (4) provision references the factors set forth
at section 14l.24(h)(6).
There is substantial identity of the
factors between the two subsections of section 141.24, with
limited factors unique to the VOCs,
on the one hand,
and SOC5 and
unregulated compounds,
on the other.
Therefore, placing all of
the factors in a single location with clear statements of their
applicability is desirable.
For these reasons, the Board has
chosen.not to engage
in actual separate listings of the factors
at Sections 611.631(d)
or 611.658(d)
(consolidated since the
proposal for public comment as Section 611.510(d),
for
unregulated chemical contaminants), at Section 611.646(h)
(for
VOCs),
or at Section 611.648(f)
(for SOCs).
Rather, those
provisions each reference Section 611.110(e).
In response to an
Agency comment
(PC 12), we added a cross-reference to the Agency
regulations that
it uses to determine the zone of influence.
SDWA
c 1415 Variances——Section 611.111
USEPA amended 40 CFR 141.4(b)
at 56 Fed.
Reg. 1557
(Jan.
15,
1991).
It stayed the effective date of the prohibition against
granting a variance or exemption from the MCL for total coliforms
under certain circumstances.
In essence, the stay allows
Illinois to grant a variance or adjusted standard from the total
coliform MCL if the supplier demonstrates that the persistent
growth of total coliforms is not from fecal or pathogenic
contamination and it
is not due to a treatment lapse or
deficiency or a operation or maintenance problem in the
distribution system.
The Board adopts the federal stay with minimal deviation in
the language.
The Board divides the language of subsection
(f)
into two subsections.
The stay is couched in subsection
(f) (1)
in terms of exceptions from a general declaration that the Board
will not grant a variance or adjusted standard from the total
coliform MCL unless certain circumstances exist
(the
federally-
enumerated conditions are fulfilled).
For clarity, and changed
since the proposal for public comment, the word “from” is added
to begin each conditional clause.
The Board makes a small number of minor amendments to the
pre—existing text of Section 611.111,
since the proposal for
public comment, for increased clarity.
“That”
is substituted for
“which” in four clauses of subsections
(b) (1) and
(g), and
“level” is added to the second sentence of subsection
(g), for
consistency with the defined usage in the first sentence.
A
comma is removed from subsection
(g).
Finally,
the Board Note is
updated to the 1991 Code of Federal Regulations.
UI 37-0292
41
SDWA
c
1416 Variances——Section 611.112
The major,
federally—derived amendment
tc.. Section 611.112
arises from the USEPA 40 CFR 141.4(b) stay of the prohibition
against exemptions or variances from the total coliform MCL, as
amended at 56 Fed. Reg.
1557
(Jan.
15,
1991).
The Board amends
subsection
(g) by dividing it into two subsections and adding the
federal stay language, identical to that added to Section
611.111(f)(1).
As with Section 611,111(f), the Board adopts the
federal stay at Section 611.112(g) (1) with minimal deviation in
the language by dividing the existing language of subsection
(g)
into two subsections and couching it in terms of exceptions from
a general declaration.
Also,
for clarity, and changed since the
proposal for public comment, the word “from”
is added to begin
each conditional clause.
As with Section 611.111, the Board makes amendments not in
the proposal for public comment for clarity.
We change “that”,
at subsections
(d) (1) (A),
(d) (1) (B), and
(d) (2).
Subsection
(c) (2)
is reworded and a comma is removed from,
and a full
subsection number is added to, subsection
(d) (2)
for clarity.
Finally, the version of the Code of Federal Regulations is
updated in the Board Note.
A final correction made to Section 611.112 subsequent to the
proposal for public comment
is driven by USEPA comments on Phase
I primacy
(PC 14).
USEPA commented that the Board must state at
this Section that we will not grant a variance from the residual
disinfectant concentration requirements of Sections 611.241(c)
and 611.242(b)
(40 CFR 141.72(a) (3) and (b)(1)).
Alternative Treatment Techniques—-Section 611.113
Since the proposal for public comment, the Board has added
amendments to Section 611.113.
These are wholly derived from
USEPA Phase
I primacy comments
(PC 14).
USEPA commented that
except for certain contaminants listed at 40 CFR Subpart G, only
USEPA can allow an alternative treatment technique pursuant to 40
CFR 142.46.
USEPA stated that the Illinois rules must state that
USEPA concurrence is necessary for the Board to grant an adjusted
standard or allow an alternative treatment technique,
in order
for the Illinois rules to fulfill the stringency requirements of
SDWA S1413(a)(1)
(42 U.S.C.
5300g—2(a)(1)) and 40 CFR 142.10(a)
an 142.11(a) (1).
In response, the Board amends Section 611.113 by adding a
new subsection
(e).
This new subsection states that all adjusted
standards allowing an alternative treatment technique are subject
to the limitations of 40 CFR 142 Subpart G and do not become
effective until approved by USEPA pursuant to 40 CFR 142.46.
UI 37-0293
42
Maximum Contaminant Levels and Finished Water Quality--
Section 611.121
Originally,
Section 611.121 derived from the federal
definition of “maximum contaminant level” at 40 CFR 141.2.
The
original structure of that federal definition gave it the
substantive effect of a prohibition against certain levels of
contamination at certain locations in the distribution system
(the consumers’
taps).
At 56 Fed.
Reg.
26547
(June
7,
1991), as
part of the lead and copper rules amendments (the subject of
docket P91-15), USEPA amended this definition (and others).
USEPA removed the references to the consumer tap (“free flowing
outlet of the ultimate user”)
and contaminants added in the
course of treatment.
The Board makes this amendment at this time
and since the proposal for public comment because this is a
fundamental definition,
and certain other issues raised in the
course of Board deliberations makes
it expedient to make them
without delay.
During the course of Board deliberations and since the
proposal for public comment, an issue arose concerning relating
to the lack of a general narrative standard.
The previous
narrative standard,
at Section 604.201, was erroneously repealed
in the large—scale repeals of former rules as part of
implementation of the Phase
I rules,
in R88-26.
The Board notes
this error and the deficiency it creates in the rules,
so we
restore the standard of that Section at this time.
We codify the former narrative standard as subsection
(b),
with minimal rewording for clarity.
The substantive aspects of
the amended federal definition of maximum contaminant level is
codified as subsection
(a).
This takes the form of a prohibition
against exceeding an MCL for any contaminant in the water as
delivered to the consumer.
We note that the monitoring provisions of Subparts K through
Q require suppliers to use specific locations to demonstrate
compliance.
However, we do not construe these location
restrictions as inhibiting other persons from seeking to enforce
compliance by performing independent monitoring.
As a whole,
Section 611.121 now essentially prohibits
delivering deleterious water to consumers.
It prohibits
delivering water that exceeds the
IICL,
that is deleterious to
health or the distribution system, or that is offensive to the
senses.
It requires that the operator employ good practice in
treating water, in that it requires that contaminants added
during the course of treatment appear in the water delivered to
consumers in concentrations no greater than those required by
good practice or not at all,
as is the case for those that have
deleterious or unknown physiologic effects.
0! 37-D29L~
43
Filtration and Disinfection:
General Requirements--
Section 611.220
Section 611.220 derives from 40 CFR 141.70.
Since the
proposal for public comment, USEPA Phase I primacy comments (PC
14) have prompted amendments.
40 CFR 141.70(b) (1)
refers to
section 141.71
(corresponding with 35
Iii. Adm. Code 611.230
through 611.233).
The Illinois rule referred to Section
611.230).
USEPA commented that the Board should change this
reference to Sections 611.230 through 61L.232, which we do now by
amendment.
40 CFR 141.70(b) (2)
refers to sections 141.73 and
141.72(b)
(corresponding with 35 Ill. Adm. Code 611.250 and
611.242, respectively).
The Illinois rule referred to Sections
611.230 and 611.232
(corresponding with 40 CFR 141.70 preamble
and 141.71(b)).
USEPA commented that the Board should change
these references to Sections 611.250 and 611.242, which we do now
by amendment.
We also use this opportunity to change “1/2” to
“½”
and update the version of the Illinois Revised Statutes to
1991, at subsection
(c), and update the version of the Code of
Federal Regulations,
in the Board Note.
Filtration and Disinfection:
Site-Specific Conditions—-
Section 611.232
Section 611.232 derives from 40 CFR.141.71(b).
Since the
proposal for public comment, USEPA Phase 1 primacy comments
(PC
14) have prompted amendments.
40 CFR 141.71(b) (1) (ii)
requires
the supplier to meet certain of the disinfection requirements for
unfiltered sources at all times.
USEPA commented that the caveat
at subsection
(a) (2),
“unless the Agency determines that the
failure was caused by circumstances that were unusual and
unpredictable”,
made the Illinois provision less stringent.
40
CFR 141.71(b) (1) (iii), pertaining to certain other of the
unfiltered source disinfection requirements, does include such a
caveat relating to a state finding of unusual circumstances.
As
drafted, the Board rules originally combined both federal
paragraphs into a single subsection, which caused the caveat to
apply to both requirements.
The Board corrects this by splitting
subsection
(a) (2) into two subsections,
(a) (2) (A) and
(a) (2) (8),
and restricting the caveat to subsection
(a) (2) (B)
(corresponding
with 40 CFR 141.71(b) (1) (iii)).
USEPA also commented that subsection
(C)
refers to Agency
delegation to a unit of local government, even though the state
represented that no such delegations would occur.
The Board
corrects this by deleting the reference and concomitantly
rectifying the sentence grammar.
We update the Code of Federal
Regulations Reference in the Board Note.
0~37-0295
44
Filtration and Disinfection:
Unfiltered Supplies--
Section 611.241
Section 611.241 derives from 40 CFR 141.’,2(a).
Since the
proposal for public comment, USEPA Phase I primacy comments (PC
14) have prompted amendments.
40 CFR 141
•
72(a) (4) (i)
(pertaining
to unfiltered systems and corresponding with 35 Iii.
Athn. Code
611.241(d) (1)) refers to 40 CFR 141.74(b)(6)
(pertaining to
sampling points for
RDC
in unfiltered systems and corresponding
with 35 Ill.
Mm.
Code 611.532(f)).
The Illinois rule referred
to Section 611.532(e)
(pertaining to continuous monitoring for
RDC
in unfiltered systems and corresponding with 40 CFR
141.74(b) (5)).
USEPA commented that the correct reference to the
RDC
measurement point is Section 611.533(c) (1)
(which corresponds
with 40 CFR 141.74(c), relating to filtered systems).
In
response to the USEPA comment, we amend the reference at
subsection
(d) (1)
to “611.532(e)” to read “611.532(f)”, rather
than referring to filtered systems,
as suggested by USEPA.
We
use this opportunity to update the version of the Code of Federal
Regulations in the Board Note.
In response to an Agency comment
(PC 12), we changed the reference to “CT” in the preamble to
subsection
(a) to “CT~9”. This is despite the fact that it
appears as “CT” in 40 CFR 14l.72(a)(1).
The definitions Section
makes “CT” synonymous with “CT~”, which is not what USEPA
intended here.
Filtration and Disinfection:
Filtration——Section 611.250
Section 611.250 derives from 40 CFR 141.73.
Since the
proposal for public comment, USEPA Phase I primacy comments
(PC
14) have prompted amendments.
USEPA highlighted the omission of
the word “filtered”
at subsection
(a) (2), which we now restore.
In a general comment, USEPA questioned the Board’s use of
“must” and “shall”.
USEPA stated that the Board’s usage
eliminated Illinois’
(the Agency’s) discretion to choose to
exercise an option when certain circumstances arise.
Without
elaboration of differences in federal and Illinois administrative
law and usage conventions, the Board has reviewed the cited
provisions (including this one) and decided that amendment is
appropriate.
40 CFR 141.73(a) (1) includes the following
language:
“I)f
the State determines
.
.
.,
the State may
.
However,
in no case may the state
.
.
..“
P88—26 rendered this
as,
“(I)f the Agency determines
.
.
.,
the Agency shall
.
However, in no case shall the Agency
.
.
..“
The Board drafted
Illinois law requirements into the first sentence cited.
The
Agency has full discretion in its evaluation of the situation,
but once it has determined that the conditions supporting a
finding exist,
Illinois law does not permit it to deny relief on
some arbitrary or uncodified basis.
As to the second sentence,
use of “shall” in the negative case is grammatically incorrect.
0137-0296
45
The Board amends this to “may”.
We further update the Board Note
to the most recent version of the Code of Federal Regulations.
Treatment Techniques:
General Requirements--Section 611.295
Section 611.295 derives from 40 CFR 141.110, added by USEPA
at 56 Fed. Reg.
3594
(Jan.
30,
1991).
It states that the
treatment techniques of Subpart D (40 CFR 141 subpart K),
established in lieu of MCLs for specified contaminants,
constitute national primary drinking water regulations
(NPDWRs).
Changed since the proposal for public comment is the version of
the Code of Federal Regulations in the Board Note.
Treatment Techniques:
Acrylamide and Epichiorohydrin--Section
611.296
Section 611.296 derives from 40 CFR 141.111, added by USEPA
at 56 Fed.
Reg.
3594
(Jan.
30,
1991).
It establishes a
limitation on polymer treatment:
the dose rate of polymer (parts
per million) times the unreacted monomer content of the polymer
(weight percent)
cannot exceed 0.05 for acrylamide or 0.20 for
epichiorohydrin.
The Board has changed the structure and
language for clarity since the proposal for public comment.
The
maximum products that a supplier cannot exceed are placed in a
separate subsection,
in order to highlight those numbers.
The
provision relating to certifications
(now subsection
(c))
is
changed grammatically and for clarity.
The source of the
certification is now stated consistent with subsection
(a).
“May”, which is more clearly permissive and more consistent in
usage with the style of Illinois’ regulations,
is used in place
of “can”.
We believe that this structure follows the federal
rule more closely than that suggested by the Agency in PC 10.
Also changed since the proposal for public comment is the version
of the Code of Federal Regulations in the Board Note.
MCLs:
Old MCLs for Inorganic Chemicals——Section 611.300
Section 611.300 derives from 40 CFR 141.11, amended by USEPA
at 56 Fed.
Reg.
3578
(Jan.
30, 1991)
and 56 Fed. Reg. 30274
(July
1,
1991).
The federal amendments immediately deleted the entry
for silver; made the entries for cadmium, chromium, mercury,
nitrate, and selenium expire on July 30,
1992
(the effective date
of the revised MCLs of section 141.62(a)); will make the entry
for lead expire on December 7,
1992
(the effective date of the
lead and copper rule, which are the subject of docket R91-15);
and will delete the entry for barium expire on January
1,
1993
(the effective date of the Phase IIB rules,
also the subject of
R91-15).
The Board makes these amendments with minor deviation
from the federal text.
Initially,
the Board added notations with regard to the
future expiration of the entries for lead and barium without
UI
37-0297
46
giving dates certain for their expiration.
We do not believe
that USEPA intends that there be no MCLs for these chemical
contaminants in Illinois.
Rather,
since we btlieve that USEPA
intended them to expire when their respective new regulations
take effect, we added a note explaining the federal dates and
state that their deletion from this Section will occur in a
future rulemaking.
The Board makes other revisions, to the text since the
proposal for public comment.
Since July 30,
1992 is past,
we
delete the language from the preamble to subsection
(a) that
related to a future expiration date,
and we actually delete the
entries for cadmium, chromium, mercury, nitrate, and selenium and
their corresponding notations as to future expiration
(now past).
We have also added an explanation of the existence of listings at
both this Section and Section 611.301(a)
(corresponding with 40
CFR 141.62(b))
for fluoride.
We also restore the note,
erroneously omitted, which designates manganese as an additional
state requirement.
Since USEPA has brought about dual listings
of MCL5,
the adopted rule now refers to those of this Section as
“old MCLs”
in the section heading and subsections
(a),
(b), and
(C)
(and those of Section 611.301 elsewhere in the rules as
“revised MCL5”).
We render “which” as that in subsection
(e) (1)
for grammatic correctness; update all references to the 1991 Code
of Federal Regulations; delete the applicability cross-reference
from the Board Note to subsection
(b)
and the reference to
“Public Health” from subsection
(d)(2), as superfluous in light
of the Board Note that follows; and clearly state in the Board
Note to subsection
(d) that Public Health may regulate nitrate.
MCLs:
Revised MCLs for Inorganic Chemicals——Section 611.301
Section 611.301 derives from 40 CFR 141.62,
added by USEPA
at 56 Fed.
Reg.
3594
(Jan.
30,
1991)
and amended at 56
Fed. Peg.
30280
(July 1,
1991)
(excluding barium, which is the subject of
docket R91-15).
Federal subsection
(a)
is reserved.
Federal
subsection
(b) establishes MCL5 that differ in applicability.
Fluoride applies only to community supplies
(CWSs).
Asbestos,
cadmium, chromium, mercury, and selenium apply to CWSs and non-
transient, non-community systems
(NTNCWSS).
Nitrate, nitrite,
and total nitrate and nitrite apply to CWSS,
NTNCWSs, and
transient,
non—community supplies (transient non-CWS5).
Federal
subsection
(c) sets forth the treatment techniques that USEPA has
identified as the best available technology
(BAT)
for each
inorganic chemical contaminant.
In the proposal from public comment, the Board deviated from
the federal text.
We retain part of that deviation and correct
the rest.
In the subsection
(b) statement of applicability we
chose to refer to the contaminants by name, stating that all of
the MCLs apply to CWSs,
all apply also to NTNCWS5 with exception,
and others apply also to transient non—CWSs, rather than
0137-0298
47
referring to them by a paragraph number.
We retain this form,
but we delete the name of selenium as an exception for NTNCWSs.
USEPA clearly made the MCL for this contaminar~tapplicable to
these supplies.
We further correct the BAT treatment techniques
for asbestos (deleting differentiation based on asbestos source
not in the federal rule)
and barium (adding electrodialysis in
response to PC 10) to correct errors in the proposal for public
comment.
(Although it might have been desireable for USEPA to
make a distinction in asbestos BAT based on whether the asbestos
is from the raw water source or from corrosion in the
distribution system, this is not part of the federal rule and we
do not add it to the adopted rule.)
The Board makes additional revisions since the proposal for
public comment.
In subsection
(a) we reserve the section by
clearly stating that USEPA has reserved it and we are using the
statement to maintain structural consistency.
Although it is
lengthier than the original cross—reference, we received
criticism for using a meaningless cross reference.
We correct
the punctuation of subsection
(b) by adding a period.
We resort
to use of the technical symbols
“?“
and “Mg” because these are
more readily understood by the technical community that uses the
Board’s rules.
Finally, the Board updates the version of the
Code of Federal Regulations in the Board Note.
MCLs:
Old MCLs for Organic Chemicals——Section 63.1.310
Section 611.310 derives from 40 CFR 141.12, amended by USEPA
at 56 Fed. Reg. 3578—79
(Jan.
30,
1991)
and 56 Fed. Reg.
30274
(July
1,
1991).
The federal amendments delete the J4CLS for
lindane, methoxychlor, toxaphene,
2,4—D, and 2,4,5—TP
(Silvex).
USEPA has adopted “revised MCLs” for these chemical contaminants
at new section 141.61
(corresponding with Section 611.311).
(Along with MCL5 for chlordane,
heptachlor,
and heptachlor
epoxide.)
(This creates MCL5 at both Section 611.310 and Section
611.311 for heptachlor, heptachior epoxide, and 2,4-D.
The Board
retains both MCL listings because the state MCLs at Section
611.310 are more stringent than the federal MCL5, but violation
of the federal MCLs of Section 611.311 impose more stringent
reporting, monitoring, and notice requirements.
The Board now
believes that deletion of the Section 611.311 (corresponding with
40 CFR 141.61) entries for these three chemical contaminants
would render the state regulations less stringent for the
purposes of primacy.)
The Board adopts the federal amendments with additional
revision since the proposal for public comment.
Initially, we
deleted the listings for chlordane,
lindane, methoxychlor, and
toxaphene,
at subsection
(a), and that for 2,4,5—TP
(Silvex), at
subsection
(b).
The new federal MCL of section 141.61 for
chiordane is more stringent than the former state MCL for this
contaminant.
Retaining a listing as this Section would be
0
I
37-0299
48
inconsistent with and less stringent than the new federal NCL.
As to lindane, methoxychlor, toxaphene, and 2,4,5-TP (Silvex),
the July 30,
1992 effective date of the revisezl MCLs is now past.
We further delete subsection
(d) to integrate the TTHN MCL into
subsection
(C),
since the July
1,
1992 effective date for small
systems is now past,
and amend the Board Note that follows to
clearly indicate that the TTHM MCL is an additional state
standard to the extent it applies to small systems.
We amend the
Board Notes to reflect the most recent Code of Federal
Regulations and extensively amend those that follow subsections
(a) and
(b)
to explain the dual MCL listings of heptachior,
heptachior epoxide, and 2,4—D.
In response to an Agency comment
(PC 12) that we capitalize “state” in the Board Note to
subsection
(a), we changed this to “Illinois”.
Throughout
various passages of the rules we refer to “additional state
requirements” and otherwise use the wod “state” without
capitalization.
We prefer to remain consistent.
Therefore,
we
made this substitution here.
)ICLs:
Revised MCLs for Organic Chemicals——Section 611.311
Section 611.311 derives from 40 CFR 141.61, added by USEPA
at 56 Fed. Reg.
3593
(Jan.
30,
1991)
and amended at 56 Fed. Reg.
30280
(July
1,
1991)
(by adding MCLs for aldicarb, aldicarb
sulfoxide, aldicarb sulfone, and pentachiorophenol, which are the
subject of docket R91-15 as Phase IIB contaminants).
This added
MCLs for ten new VOCs at subsection
(a)
(o—dichlorobenzene,
cis—
1, 2-dichloroethylene,
trans-i,2—dichioroethylene,
1,2—dichloro-
propane,
ethylbenzene, monochlorobenzene, styrene, tetrachloro-
ethylene, toluene, and total xylenes).
At subsection (c),
it
added MCLs for six SOCs for which there were previously no MCLS
(alachlor,
atrazine, carbofuran, dibromochioropropane,
ethylene
dibromide, and polychlorinated biphenyls (PCBs), amended the MCL5
for five SOCs formerly listed in section 141.12
(Section 611.310)
(2,4-D,
lindane, methoxychior, toxaphene, and 2,4,5-TP (Silvex)),
and added MCLs for three SOC5 for which an MCL previously existed
at Section 611.310 only as an additional state requirement
(chlordane, heptachlor,
and heptachior epoxide).
At subsection
(b) the amendments set forth the best available treatment
technology
(BAT)
(whether granular activated carbon or packed
tower aeration)
for each of the VOC and SOC contaminants
(including the Phase I VOCs).
Since the proposal for public comment, the Board has changed
the regulatory text.
Significantly, the Board has revised the
phraseology used to refer to the contaminants to use words closer
to those used by USEPA.
We now refer to “Phase I” and “Phase II”
“volatile organic chemical contaminants”
(“VOCS”)
and “synthetic
organic chemical contaminants”
(“SOC5”) and have reworded
portions of the preambles to each of subsections
(a) through
(C)
accordingly.
We have removed all references in subsection
(a) to
the July 30,
1992 effective date since that is now past.
We have
U
37-0300
49
corrected the BAT at subsection
(b)
for toluene and listed those
for seven SOCs omitted from the proposal
(aidicarb, aldicarb
sulfoxide,
aldicarb sulfone,
2,4-D, heptachloi, heptachior
epoxide, and pentachlorophenol).
This is even though those for
four
(aldicarb, aldicarb sulfoxide, aldicarb sulfone, and
peritachiorophenol)
are Phase IIB contaminants
(the subject of
docket R91-15).
Listing the BAT without listing an MCL imposes
no substantive requirement.
At subsection (c)we have added
entries for three SOCs (2,4-D,
heptachlor, and heptachlor
epoxide) previously omitted due to the existence of more
stringent state MCL5.
The reasons for this are explained in the
preceding discussion, and the Board has modified the Board Note
appended to subsection
(c) to highlight the dual listings for
these three contaminants.
We believe that this comports with the-
Agency’s comments in PC 10.
In response to another Agency
comment
(PC 12), we deleted the decimal point from the MCLs for
toluene and total xylenes because the decimal does not appear in
the federal text.
The Agency comment requested that the Board
add a Board Note explaining the fact that if the Department of
Public Health regulates non-CWS5 by reference to the Board rules,
“Agency” will mean “Public Health” as to those entities.
Instead
of doing this here,
we did it in the definitions of “Agency” and
“Public Health”
in Section 611.101.
“Public Health” appears in
multiple locations in the rules.
Finally, we update all
references to the 1991 Code of Federal Regulations.
MCLs:
Turbidity--Section 611.320
The Board adds amendments to Section 611.320
(corresponding
with 40 CFR 141.13)
in response to the USEPA Region V Phase I
primacy comments
(PC 14).
USEPA stated that the Board neglected
to state that the MCL requirements for filtered systems applies
until June 29,
1993.
We amend to add this statement.
We also
change the date of the Code of Federal Regulations.
General Monitoring Requirements:
Unregulated Contaminants—-
Section 611.510
Section 611.510 derives from 40 CFR 141.40(n), added by
USEPA at 56 Fed. Peg. 3592
(Jan.
30,
1992).
USEPA is requiring
suppliers to sample and analyze their waters for compounds for
which there are no MCLs.
CWSS and NTNCWSs must take four
consecutive quarterly samples at each sampling point for each of
the listed organic chemical contaminants
(aidrin, benzo(a)pyrene,
butachior,
carbaryl, dalaphon, di(2-ethylhexyl)adipate, di—
(2—ethylhexyl)phthalate, dicamba, dinoseb,
diquat, endothall,
glyphosate,
hexachlorobenzene, hexahlorocyclopentadiene,
3-hydroxycarbofuran, methomyl, metolachior, metribuzin, oxamyl
(vydate), picloram, propachlor,
simazine, and 2,3,7,8-TCDD
(dioxin))
and one sample at each sampling point for each of the
listed inorganic chemical contaminants
(antimony,
beryllium,
nickel, sulfate, thallium, and cyanide).
Suppliers serving fewer
0137-0301
50
than 150 service connections may send a letter to the state
before January
1,
1994 stating that its system is available for
sampling, rather than actually performing the sampling and
analyses.
The federal rule allows the use of waivers
(SEP5)
from
the requirements:
from the unregulated organic chemicals on the
same basis as for SOCs (discussed below)
and from the inorganic
chemicals on the basis of data collected after January 1, 1990.
The sampling points are each entry point and, for surface water
and mixed systems only, at points in the distribution system that
are representative of each source after treatment.
USEPA allows
confirmation sampling for questionable results.
(USEPA also
allows composite sampling,
a provision not adopted by the Board.)
In the proposal for public comment, the Board proposed this
provision in two segments:
one pertaining to unregulat~d
inorganic chemical contaminants
(Section 611.631) and one
pertaining to unregulated organic chemical contaminants
(Section
611.658).
We have chosen to instead follow the USEPA format and
consolidate these into a single Section.
We have therefore
reverted to language that more closely follows the USEPA rule,
with certain structural exceptions.
We have taken identical
language from federal paragraphs
(n) (5) and
(n) (6)
(corresponding
with subsection
(e) and
(f)) relating to alternative sampling
points and consolidated it into subsection
(1), adding the
condition that the Agency must approve these alternative
locations by SEP.
We did not adopt a counterpart to federal
paragraph (n)(9), which pertains to composite sampling.
Since
the proposal for public comment, we have moved the definitions
that we proposed for Sections 611.631 and 611.658 to the general
definitions, at Section 611.101.
Finally, we have deleted the
use of multiple Board Notes throughout the text in favor of two
notes
(following subsections
(i) and (1))
as to the source of the
Illinois rule and updated the references to the Code of Federal
Regulations.
Microbiological Monitoring Requirements:
Repeat Coliform
Monitoring-—Section 611.522
The Board amends Section 611.522 since the proposal for
public comment in response to USEPA Phase I primacy comments.
USEPA commented that the Phase rules limit the Agency’s
discretion to allow certain actions once it has determined that
certain conditions exist.
The foregoing discussion of the
differences between what Illinois and federal administrative law
require
(at Section 611.250) support the Board’s original
approach.
The Agency has the discretion to evaluate the
circumstances and formulate its determination, but once it has
determined that the circumstances set forth by rule exist,
it has
no discretion to arbitrarily and capriciously deny relief.
In
this instance,
if the Agency determines that the supplier cannot
repeat sample within 24 hours,
it has no further authority to use
some other basis for not allowing an extension.
However,
in
0137-0302
51
reviewing this Section in light of the USEPA comments, the Board
noticed that subsection
(a) does not have the customary language
relating to the Agency determination.
We add that language.
Additionally, we replace “which” with “that”
in the appropriate
places in subsections
(a) and
(c)
for grammatic correctness and
update the reference to the Code of Federal Regulations in the
Board Note.
Microbiological Monitoring Requirements:
Invalidation of Total
Coliform Samples——Section 611.523
The Board amends Section 611.523 since the proposal for
public comment in response to USEPA Phase
I primacy comments.
Subsection
(a) (3)
states that the Agency “determines that a total
coliform—positive result is due to a circumstance or condition
which does not reflect water quality in the distribution system”.
USEPA criticized the Illinois Phase I rule because it does not
enunciate a standard for Agency determination.
The federal rule
uses “substantial grounds to believe” as a standard.
Despite the
difficulty of such language, we amend this sentence in
significant part as follows:
“determines that there are
substantial ~rounds to believe that a total coliform-positive
.“.
We use this opportunity to modify the references to the
subsections within subsection
(a)
for clarity and to update the
Board Note reference to the Code of Federal Regulations.
Microbiological Monitoring Requirements:
Invalidation of Total
Coliform Samples——Section 611.523
Section 611.526 derives from 40 CFR 141.21(f), which USEPA
amended at 56 Fed. Reg. 642—43
(Jan.
30,
1991),
57 Fed.
Reg. 1852
(Jan.
15,
1992), and 57
Fed. Reg.
24747
(June 10,
1992).
The
effect of the federal amendments is to amend three analytical
methods for fecal coliforms
(multiple tube fermentation
(MTF) or
P-A coliform test, membrane filter
(MF) test,
and the
1010-MUG
test with hepes buffer techniques), to approve three methods for
E. coli
(EC medium supplemented with
MUG,
nutrient agar
supplemented with MUG, and the minimal medium ONPG-MUG (MMO-MUG)
test), and to approve an alternative test to the lIMO-MUG test for
E.
coli
(incubation and observation of total coliform-positive,
MUG-negative
lIMO-MUG
samples using EC medium supplemented with
MUG).
The Board amends Section 611.523 in accordance with the
federal amendments.
Since the proposal for public comment, the Board makes a few
changes.
We add the federal amendments to 40 CFR 141.21(f) that
occurred in January and June,
1992:
adding the lIMO-MUG test with
hepes buffer for total coliforms (subsection
(c)(4)), the minimal
medium
MMO-MUG
test forE.
coli
(subsection
(f)(3)), and the
alternative MMO-MUG
(supplemented EC medium) test for
E. coli
(subsection
(g)) and amending the multiple tube fermentation
(MTF)
or P-A coliform test to delete the word “bottle”
0 37-0303
52
(subsection
(e) (1)).
We repunctuate subsections
(C)
(1) through
(c) (3) and
(f) (2)
for consistency and clarity.
We delete the
editions of methods at subsections
(C)
(1) (A),
(C)
(2) (A),
(d), and
(f) (2),
instead relying on the incorporations by reference at
Section 611.102 for this information.
We substitute “that” for
“which” as subsection
(e) (2) and use the familiar scientific
notation characters
(“±“,
“°“,
and “ag”) at subsections
(e) (2),
(f) (1), and
(f) (2).
Finally, the Board updates the reference to
the Code of Federal Regulations and £ncludes later references to
the Federal Register in the Board Note.
Turbidity Monitoring--Section 611.560
The Board amends Section 611.560 since the proposal for
public comment in response to the USEPA Phase
I primacy comments.
USEPA commented that the Phase rules limit the Agency’s
discretion to allow certain actions once it has determined that
certain conditions exist.
The foregoing discussion of the
differences between what Illinois and federal administrative law
require
(at Section 611.250) would normally support the Board’s
original approach.
The Agency has the discretion to evaluate the
circumstances and formulate its determination, but once it has
determined that the circumstances set forth by rule exist,
it has
no discretion to arbitrarily and capriciously deny relief.
However, subsection
(a) (1)
involved here refers to the Department
of Public Health, which actually regulates non-community systems
in Illinois.
In this instance, use of the word “may”
in place of
“shall” is appropriate.
The Department does not derive its
authority from the Environmental Protection Act.
We amend that
subsection accordingly.
Additionally, we replace “which” with
“that” in the appropriate places in subsection
(d) for grammatic
correctness, repunctuate the methods references and remove the
edition (see the foregoing discussion)
at subsections
(a) (2) (A) (i) and
(a) (2) (A) (ii),
and update the reference to the
Code of Federal Regulations in the Board Note.
Inorganic Monitoring:
Violation of State MCL——Section 611.591
The Board has renumbered Section 611.591 from Section
611.602
in response to the federal Phase II amendments.
Originally proposed without amendment (despite the erroneous
underlining), since the proposal for public comment we make
amendments.
Consistent with the changed approach of calling the
previous MCLS of Section 611.300 “old MCLs”, we add “old” where
necessary and add a reference to Section 611.300 in the preamble
for further clarity.
We substitute “that” for “which” in the
preamble for grammatic correctness.
In response to an Agency
comment
(PC 12), we added “that” to subsection
(g).
0
i37-03OL~.
53
Inorganic Monitoring:
Frequency of State Monitoring--
Section 611.592
The Board has renumbered Section 611.592 from Section
611.603 in response to the federal Phase II amendments.
Originally proposed without amendment (despite the erroneous
underlining), since the proposal for public comment we make
amendments.
Consistent with the changed approach of calling the
previous MCLS of Section 611.300 “old MCLs”, we add “old” where
necessary in the preamble and add a reference to Section 611.300
for further clarity.
We substitute “that” for “which” in the
preamble for grammatic correctness.
Inorganic Monitoring:
Applicability--Section 611.600
Section 611.600 derives from the preamble of 40 CFR 141.23
and the listing of detection limits in paragraph
(a) (4) (1).
USEPA amended the preamble and added the detection limits at 56
Fed.
Peg.
3579
(Jan.
30,
1991).
All systems
(CWS5 and NTNCWSs)
must use the methods of section 141.23
(35 Ill. Adm. Code 611.600
through 611.611) to determine compliance with the MCLs of section
141.62
(Section 611.301).
(Additionally, the federal language
requires that transient, non-CWSs must use these methods for the
nitrate and nitrite MCLs of section 141.11
(Section 611.300)
“as
appropriate”, but the federal amendments do not leave any MCLs
for those species at that section.
Nevertheless, the Board
follows the federal language.)
The detection limits set forth
have a dual purpose:
they indicate the level of necessary
performance of analytical laboratories, and they give the
threshold level where a contaminant is “detected”.
(This latter
concept
is vital for the purposes of monitoring VOC and SOC
species
(see below discussion), but not so for inorganic
contaminants.)
Since the proposal for public comment, we change the
regulatory language.
We moved all of the definitions of proposed
subsection
(d) to Section 611.101 and renumbered proposed
subsection
(e) to subsection
(d).
We follow our scheme of
referring to the MCLs of Section 611.300 (40 CFR 141.11)
as “old
MCL5” and those of Section 611.301 (40 CFR 141.62) as “revised
MCLs” in the preamble.
We correct the reference to Section
611.Appendix A in the table entry for barium.
Finally, we update
the reference in the Board Note to the 1991 Code of Federal
Regulations.
Inorganic Monitoring:
FrequencY——Section 611.601
Section 611.601 derives from 40 CFR 141.23(a) (1) through
(a) (3)
and
(a) (5), which USEPA amended at 56 Fed. Reg. 3579
(Jan.
30,
1991).
(Former Section 611.601 in the Illinois rules now
appears as Section 611.635; there is no Illinois counterpart to
40 CFR 141.23(a) (4), which relates to composite sampling.)
The
0137-0305
54
federal rule now requires each supplier to take at least one
sample at each entry point and,
in the case of surface water and
mixed source suppliers, at points in the distribution system
representative of each source after treatment.
For multiple
source systems, the sampling must occur when water representative
of all sources is used.
The federal rules allow for the use of
alternative sampling points
(in Illinois by SEP), composite
sampling (not adopted in Illinois),
and it sets forth the
monitoring frequencies (cross—referenced to other provisions in
the Illinois rules).
Since the proposal for public comment, the Board has changed
various segments of Section 611.601.
We moved all of the
definitions of proposed subsections
(a) to Section 611.101 and
renumbered proposed subsections
(b) through
(e) to subsections
(a) through
(d).
Subsection
(a), which requires suppliers to
take representative samples, corresponds with portions of federal
paragraphs
(a) (1)
and
(a) (2).
We add the federal January
1,
1993
effective date.
We divided subsection
(a)
into subsections and
restored to subsection
(a) (2) certain federal language relating
to representative samples, rather than rely on the defined word
“representative”,
and made a new subsection
(a) (3) to contain
certain language repeated at the end of both federal paragraphs.
Subsection
(b), which sets forth the required sampling points,.
derives from elements of federal paragraphs
(a) (1) through
(a) (3).
The Board has “fleshed out” the formerly abbreviated
language of subsection
(b) to make it follow the federal language
more closely, restoring the language of subsection
(b) (3)
in its
entirety.
We have added explanatory language in favor of a cross
reference to the “dummy section”, subsection
(c).
Finally, we
substitute “following” for indicated in the preamble of
subsection
(d) and update the Code of Federal Regulations
reference in the Board Note.
Inorganic Monitoring:
Asbestos——Section 611.602
Section 611.602 derives from 40 CFR 141.23(b), which USEPA
amended at 56 Fed.
Reg. 3580
(Jan.
30,
1991).
(Former Section
611.602 in the Illinois rules now appears as Section 611.591.)
The federal rule now requires each supplier to sample and analyze
for asbestos once in the first compliance period of each
compliance cycle.
It allows the state to waive this requirement
if it determines that the system is not vulnerable to
contamination from the raw water source or corrosion of asbestos—
cement pipe.
Waivers expire at the end of each compliance cycle.
On the other hand,
if the system is vulnerable only from the
source water, the supplier must sample at the entry points or
from representative points in the distribution system,
as per the
general rule.
If the system is vulnerable to pipe corrosion, the
supplier must sample at a consumer tap served by asbestos-cement
pipe under circumstances when corrosion is most likely to occur.
A supplier whose system exceeds the MCL for asbestos must begin
0137-0306
55
quarterly monitoring.
The state may reduce the monitoring
frequency if it determines, based on consecutive quarterly
samples
(two for groundwater systems or four for surface water
and mixed systems), that the supplier’s water is reliably and
consistently below the MCL.
USEPA allows the use of existing
data collected after January 1,
1990 if it is generally
consistent with the monitoring requirements.
In adapting the federal rules to the Illinois scheme, the
Board has made certain accommodations.
Chief
among the
revisions, we have chosen to use the special exception permit
(SEP) mechanism in place of waivers and other determinations that
allow actions apart from the general rule.
The Agency may grant
a SEP that waives the monitoring requirement under the federally-
-
enumerated circumstances.
The Agency may by SEP reduce the
quarterly monitoring frequency if it makes the “reliably and
consistently” determination.
It
is by SEP that the Agency may
“grandfather” existing data.
Aside from this,
the deviations
from the federal text are format and non—substantive.
Since the proposal for public comment, the Board revises the
rule text, mostly to follow the federal text more closely.
We
add the federal January
1,
1992 effective date to subsection
(a) (1).
We cite the factors for consideration in the end of
subsection
(b).
We add “or both” to the preamble of subsection
(c)
for clarity and restore the federal “and the corrosive nature
of the water” to subsection
(c) (2).
Similarly, we add a
references to SEP and asbestos contamination to subsection
(d)
for clarity.
We substitute “that” for “which” at subsection
(h).
By integrating the essence of proposed subsection
(1)
(3), we
reword subsection
(i) (1)
for clarity and for consistency with
other similar provisions that provide for Agency determinations
based on its consideration of criteria set forth.
To subsection
(i) (2) we add “at a minimum” to restore an essential federal
minimum data requirement.
Proposed subsections
(i) (4) (A) and
(i) (4) (B), now integrated into a unitary subsection
(1) (3), have
no counterpart in the federal language of 40 CFR 141.23(b) (9).
Therefore,
adopting
a trigger level other than the MCL for
increased monitoring would have constituted an additional state
requirement.
We substantively change proposed subsection
(i) (4),
now renumbered to subsection
(i) (3), so that it is the MCL and
not some arbitrary contaminant level that trigger
a return to
quarterly
monitoring.
Partly
in
response
to
PC 7, we restore the
federal “grandfather clause” for existing data from 40 CFR
141.23(b) (9), omitted from the proposal for public comment, to
new
subsection
(j).
Finally,
we
move
the
Board
Note
to
the
end
of
the
Section
and
update
the
Code
of
Federal
Regulations
reference to 1991.
0
37-0307
56
Inorganic Monitoring:
Barium,
Cadmium. Chromium. Fluoride,
Mercury,
and Selenium--Section 611.603
Section 611.603 derives from 40 CFR 141.23(c), which USEPA
amended at 56 Fed. Peg. 3580
(Jan.
30,
1991).
(Former Section
611.603
in the Illinois rules now appears as Section 611.592.)
The federal rule requires each supplier to monitor for barium,
cadmium,
chromium, fluoride, mercury, and selenium:
groundwater
suppliers once each compliance period and surface water and mixed
suppliers once each year at each sampling point.
It allows the
state to waive this requirement as to any of these contaminants
to a minimum of once each compliance cycle
(nine years)
for
surface water and mixed systems
(based on the results from at
least three consecutive annual samples) or groundwater systems
(based on three rounds of sampling)
if it determines that all
previous analytical results were below the MeL.
The state must
consider such factors as reported analytical results, the
variability of the results, and other circumstances that affect
contaminant levels
(groundwater pumping rates, changes in system
configuration and operation, and stream flows or characteristics)
in determining the appropriate reduction in monitoring frequency.
Waivers expire at the end of each compliance cycle.
On the other
hand,
a supplier whose system exceeds the MCL for any of these
inorganic chemical contaminants must begin quarterly monitoring.
The state may reduce the monitoring frequency if it determines,
based on consecutive quarterly samples
(two for groundwater
systems or four for surface water and mixed systems), that the
supplier’s water is reliably and consistently below the MCL.
Although USEPA does not expressly allow the “grandfathering” of
existing data,
it parenthetically allows the use of existing data
to obtain a waiver,
so long as at least one sample was collected
after January 1,
1990.
In adapting the federal rules to the Illinois scheme, the
Board has made certain accommodations.
Chief among the
revisions, we have chosen to use the special exception permit
(SEP) mechanism in place of waivers and other determinations that
allow actions apart from the general rule.
The Agency may grant
a SEP that waives the monitoring requirement under the federally-
enumerated circumstances.
The Agency may by SEP reduce the
quarterly monitoring frequency if it makes the “reliably and
consistently” determination.
Finally, the federal rules do not
expressly mention mixed systems.
The Board adds references to
mixed systems together with references to surface water systems
at subsections
(a) (1)
and
(C),
consistent with the USEPA’s
approach for other chemical contaminants.
Aside from this,
the
deviations from the federal text are format and non—substantive.
Since the proposal for public comment, the Board revises the
rule text,
mostly to follow the federal text more closely.
In
the preamble, we refer to the Section 611.301 MCL5 as “revised”
MCLs.
We add “samples” to the preamble of subsection
(a)
and add
0
37-0308
57
“at least” to both subsections
(a) (1)
and
(a) (2) to clarify that
this is a minimal requirement.
We add “SEP” to the titles of
subsections
(b) through
(f), “SEP that allows” to subsection (b),
“grant a SEP that allows” to subsection
(d), and “during the term
of the SEP” to subsection
(e)
for clarity.
We cite the factors
for consideration in the end of subsections
(c) and
(d).
We add
language to the beginning of subsection
(f) (2) that requires the
Agency to state the basis for issuing the SEP.
We restore the
federal phrase “changes in” to subsection
(e) (3) where it refers
to stream flows or characteristics.
By integrating the essence
of proposed subsection
(h) (3), we reword subsection
(h) (1)
for
clarity and for consistency with other similar provisions that
provide for Agency determinations based on its consideration of
criteria set forth.
Susection
(h) (1)
is further corrected so
that the federally—designated reduction to the original
monitoring frequency replaces annual.
Proposed subsections
(h) (4) (A)
and
(h) (4) (B), now integrated into a unitary subsection
(h) (3), have no counterpart in the federal language of 40 CFR
141.23(d) (2)
and
(d)(3).
Therefore, adopting a trigger level
other than the MCL for increased monitoring would have
constituted an additional state requirement.
We substantively
change proposed subsection
(h) (4)
so that it is the MCL and not
some arbitrary contaminant level chosen by the Agency that
triggers a return to quarterly monitoring.
Finally, we
updatedthe Code of Federal Regulations reference to 1991 in all
of the Board Notes.
Inorganic Monitoring:
Nitrate--Section 611.604
Section 611.604 derives from 40 CFR 141.23(d), which USEPA
amended at 56
Fed.
Reg. 3580-81
(Jan.
30,
1991).
The federal
rule requires each Community water system
(CWS)
and non—
transient,
non-community water system (NTNCWS)
supplier to
monitor for nitrate:
groundwater suppliers once each year and
surface water and mixed suppliers once each quarter at each
sampling point.
(Transient non-CWSs must monitor annually.)
Unlike for the other inorganic contaminants, the federal rule
does not allow the state to waive this requirement based on the
results from previous samples.
A supplier whose system is equal
to or exceeds one-half the MCL for nitrate must begin quarterly
monitoring for at least a year following the quarter in which the
exceedance occurred (four consecutive quarters for surface water
systems and no express mention of mixed systems).
The state may
reduce the monitoring frequency to annually if it determines,
based on the consecutive quarterly samples, that the supplier’s
water
is reliably and consistently below the MCL, for groundwater
systems,
or one—half the MCL, for surface water systems (there is
no express mention of mixed systems).
A surface water system
must return to quarterly monitoring if the nitrate level in any
sample is equal to or greater than (actually written as less
than,
an obvious error)
one-half the 1(CL.
(There
is no express
mention of groundwater and mixed systems returning to quarterly
0131-0309
58
monitoring.)
Systems returning to annual monitoring must sample
during the quarter that previously resulted
in the highest
nitrate level.
USEPA does not allow the “grax:dfathering” of
existing data for nitrate.
In adapting the federal rules to the Illinois scheme, the
Board has made certain accommodations.
We have significantly
restructured the federal provision while retaining its
substantive provisions intact.
Chief among the substantive
revisions, we have chosen to use the special exception permit
(SEP) mechanism to allow a reduction in monitoring frequency.
The Agency may by SEP reduce the quarterly monitoring frequency
if it makes the “reliably and consistently” determination.
We
provide a violation of the MCL as the trigger at subsection
(b) (2) (B)
for groundwater systems to return to quarterly
monitoring, something that USEPA did not expressly provide at
paragraph
(d) (2).
Further, we correct the federal error
in using
“
50 percent of the MCL” in paragraph
(e) (2) when referring to a
return to quarterly monitoring.
We use “greater than or equal
to” in subsection
(c) (2).
Aside from this, the deviations from
the federal text are format and non-substantive.
Since the proposal for public comment, the Board revised the
rule text,
mostly to follow the federal text more closely.
We
have reverted to the federal language at subsection
(a),
eliminating differentiation between (or mention of)
groundwater
and surface water systems and following the base federal
requirement of one sample for each sampling point during the
first compliance period.
Initiation of a state-designated
monitoring regimen for nitrite would constitute an additional
state requirement.
We add the federal language relating
subsection
(b) (1) to GWS suppliers.
We have deleted the former
cross—reference at “dummy” subsection
(b), replacing it with an
explanation.
We have designated proposed subsection
(c) (1) as
subsection
(c) (1) (A)
(adding a subsection heading), so we could
add the federal provision,
as subsection
(c) (1) (B), that
quarterly monitoring continues for a minimum of four consecutive
quarters.
Proposed subsections
(c) (2) and
(c) (2) (b) are
integrated subsection
(c) (2) and reworded consistent with other
provisions by which the Agency makes determinations based on the
facts presented to allow reduced monitoring.
We substantively
change proposed subsection
(c) (2) (B)
so that it is the MCL and
not some arbitrary contaminant level chosen by the Agency that
triggers a return to quarterly monitoring.
Proposed subsections
(C)
(2)
(C) (i) and
(c) (2) (C) (ii), now integrated into a unitary
subsection
(c) (2) (B), have no direct counterpart in the federal
language of 40 CFR 141.23(e)(3).
Therefore,
adopting a trigger
level other than the MCL for increased monitoring would have
constituted an additional state requirement.
We add “samples” to
the preamble of subsection
(a) and add “at least” to both
subsections
(a) (1)
and
(a) (2) to clarify that this is a minimal
requirement.
Therefore, adopting a trigger level other than the
0137-03
I 0
59
MCL for increased monitoring would have constituted an additional
state requirement.
The former cross—refererace in “dummy”
subsection
(d)
is replaced with an explanatior..
In response to
an Agency comment
(PC 12), we corrected the reference to
“subsection
(g)” to “subsection
(b) (1)” in subsection
(b) (2) (B)
and deleted “for any contaminant”.
Finally, we update the Code
of Federal Regulations reference to 1991 in all of the Board
Notes.
Inoraanic Monitoring:
Nitrite--Section 611.605
Section 611.605 derives from 40 CFR 141.23(e), which USEPA
amended at 56 Fed. Peg. 3581
(Jan.
30,
1991).
The federal rule
requires each Community water system
(CWS),
non—transient, non-
community water system (NTNCWS), and transient non-CWS supplier
to take at least one sample during the first compliance period
(January
1,
1993 through December 31,
1995)
at each sampling
point to monitor for nitrite.
Like nitrate and unlike for the
other inorganic contaminants, the federal rule does not allow the
state to waive this requirement based on the results from
previous samples.
Like nitrate, a supplier whose system is equal
to or exceeds one-half the MCL for nitrite must begin quarterly
monitoring for at least a year following the quarter in which the
exceedance occurred (four consecutive quarters).
The state may
reduce the monitoring frequency to “the frequency specified by
the State”
if the initial sample
is less than one-half the MCL.
However,
after quarterly monitoring, the reduced frequency is
annual if the state determines,
based on the consecutive
quarterly samples, that the supplier’s water is reliably and
consistently below one-half the MCL.
(There is no
differentiation between groundwater, surface water, and mixed
systems.)
Systems returning to annual monitoring must sample
during the quarter that previously resulted in the highest
nitrite level.
USEPA does not allow the “grandfathering” of
existing data for nitrite.
In adapting the federal rules to the Illinois scheme, the
Board has made certain accommodations.
We have significantly
restructured the federal provision while retaining its
substantive provisions intact.
Chief among the substantive
revisions, we have chosen to use the special exception permit
(SEP) mechanism to allow a reduction in monitoring frequency.
The Agency may by SEP reduce the quarterly monitoring frequency
if it makes the “reliably and consistently” determination.
Aside
from this, the deviations from the federal text are format and
non-substantive.
Since the proposal for public comment, the Board revises the
rule text, mostly to follow the federal text more closely.
In
subsection
(b) (1) the language is shifted to an affirmative
statement of obligation.
Similarly,
subsections
(b) (2) and
(C)
(1) are reworded consistent with other provisions by which the
0137-0311
60
Agency makes determinations based on the facts presented to allow
reduced monitoring.
We substantively change proposed subsection
(b) (2) (C)
so that it is the MCL and not some arbitrary
contaminant level chosen by the Agency that triggers a return to
quarterly monitoring.
Proposed subsections
(b) (2) (C) (i) and
(b) (2) (C) (ii), now integrated into a unitary subsection
(b) (2) (C), have no counterpart in the federal language of 40 CFR
141.23(c)(8).
Therefore, adopting a trigger level other than the
MCL for increased monitoring would have constituted an additional
state requirement.
Although we correct this Section in response
to PC 10, the Board cannot adopt the full language suggested by
that comment for this reason.
We rephrase subsection
(c) (2) (A)
to “A request for a SEP
.
.“
and add “the results from
.
.
for greater clarity.
At subsection
(d) we substitute “that” for
“which”,
add the parenthetical plural to “quarter(s)”
(in
response to PC 7 and PC 10), and add “previously”.
Finally, we
updated the Code of Federal Regulations reference to 1991 in all
of the Board Notes.
Inorganic Monitoring:
Confirmation Samples--Section 611.606
Section 611.606 derives from 40 CFR 141.23(f), which USEPA
amended at 56
Fed.
Reg. 3581
(Jan.
30,
1991).
The federal rule
allows the state to require a second sample at the same point if
the analytical results reveal that a sample exceeds the MCL
(as
soon after the original as possible for asbestos, barium,
cadmium,
chromium, fluoride, mercury, or selenium, but no longer
than two weeks after the original sample, or within 24 hours of
notice of the results for nitrate or nitrite, completing the
analysis within two weeks).
If the supplier cannot comply with
the reanalysis time limit for nitrate and nitrite,
it must
immediately give its consumers the required public health
notices.
The average of the results of the original sample and
the confirmation sample are used to determine compliance.
USEPA
allows states the discretion to delete the results of obvious
sampling errors.
The Board proposed this provision with only minimal
deviation from the federal text.
Since the proposal for public
comment, the Board has revised parenthetical language that
appears at the end of subsection
(a) to more closely follow the
federal text.
In response to PC 7 and PC 10, we add “or
confirmation” to subsection
(c),
in order to provide for suspect
confirmation samples.
We further amended reference to the Code
of Federal Regulations to the 1991 edition in the Board Note.
Inorganic Monitoring:
More Frequent Monitoring--Section 611.607
Section 611.607 derives from 40 CFR 141.23(g),
which USEPA
added at 56 Fed.
Reg. 3581
(Jan.
30, .1991).
The federal rule
allows the state to require more frequent monitoring and
confirmation sampling of “positive or negative results” at the
01 37-03~2
61
discretion of the state.
The Board did not propose such a
provision.
Rather, we merely proposed renumbering former Section
611.607 to Section 611.603, which we now do.
Since the proposal
for public comment we add an explanatory statement.
Inorganic Monitoring:
Additional Optional Monitorina--
Section 611.608
Section 611.608 derives from 40 CFR 141.23(h), which USEPA
added at 56 Fed.
Reg. 3581
(Jan.
30,
1991).
The Federal rule
allows suppliers to engage in additional optional monitoring
without prior approval.
The Board adopts this provision, only
changing the date of the Code of Federal Regulations date in the
Board Note.
Inorganic Monitoring:
Averaainci--Section 611.609
Section 611.609 derives from 40 CFR 141.23(i), which USEPA
added at 56 Fed. Reg. 3581
(Jan.
30,
1991)
and amended at 56 Fed.
Reg. 30275—76
(July
1,
1991).
The federal rule provides how
compliance is determined.
Compliance is determined through the
results from samples from each sampling point (severally).
For
asbestos, barium, cadmium,
chromium, fluoride, mercury, and
selenium there are two methods for determining compliance.
If
the monitoring is more frequent than annually, compliance is
determined from a one—year running average of samples from each
individual point, with one exception:
if any single sample would
cause the running average to exceed the MCL, the system is out of
compliance immediately.
(Samples below the method detection
limit are counted as zero for the purposes of averaging.)
If the
system is monitoring annually or less frequently, compliance is
determined by the results from the individual samples from each
sampling point, unless a confirmation sample is used
(in which
case the average of the two samples
is used).
For nitrate and
nitrite the results from the individual samples are used to
determine compliance, without regard to sampling frequency, but
use of a confirmation sample is required (and the average of the
two samples
is used)
if the result exceeds the MCL.
The federal
rule provides that a supplier need only make public notice of the
violation to the portion of the system affected if the
distribution system is separable form all other parts and there
are no interconnections.
The Board proposed Section 611.609 with only minor deviation
from the federal text.
Since the proposal, we make a small
number of minor revisions for clarity and to more nearly track
the federal provision.
“Suppliers which are monitoring”
is now
rendered “suppliers that monitor” in subsections
(a) and
(b).
We
restore the language in subsection
(b) to “method detection
limit.”
The “method detection limit”
is determined by USEPA and
set forth in Section 611.600.
This is different from the “method
detection limit”, which is determined statistically based on
0137-0313
62
analytical results pursuant to 40 CFR 141.36, appendix B.
We add
an explanatory note.
USEPA made this amendment at 56 Fed. Reg.
30274.
To subsection
(c) we follow the federal text to add a
statement that Section 611.606 requires confirmation sampling.
We reword subsection
(d) by restoring the federal condition
relating to interconnections and the language “persons served by
that”.
We further reword subsection
(d) by substituting the
permissive
“may” in place of “shall”,
so that it is no longer a
requirement but an exception from a general rule,
like it is in
the federal rule, adding clarifying phrases “that is out of
compliance” and “of the distribution system”, and substituting
“required by” for “pursuant to” in relation to Subpart T.
Finally, we update the reference to the Code of Federal
Regulations at the end.
Inorganic Monitoring:
Monitoring Times——Section 611.610
Section 611.610 derives from 40 CFR 141.23(j), which USEPA
added at 56 Fed. Reg. 3581
(Jan.
30,
1991).
The federal rule
requires suppliers to monitor during the compliance periods at
the times designated by the state.
The purpose is apparently to
avoid overtaxing state resources by having too many suppliers
monitor at the same time.
The Board’s proposal for public
comment included this provision with only minor deviation from
the federal text for clarity.
The only change since the proposal
for public comment is updating the Board Note reference to the
Code of Federal Regulations.
Inorganic Monitoring:
Analytical Procedures-—Section 611.611
Section 611.611 derives from 40 CFR 141.23(k), which USEPA
added at 56 Fed. Reg. 3581-83
(Jan.
30,
1991)
and amended at 56
Fed. Reg. 30275—76 (July
1, 1991).
(Previously,
40 CFR 141.23(f)
set forth the analytical methods.)
The federal rule sets forth
the analytical methods a supplier must use in sampling for the
inorganic chemical contaminants.
The Board has already discussed
the details of the federal and state changes in analytical
methodology in a foregoing discussion preceding the
incorporations by reference.
We will not repeat that overview of
the federal action involved and the Board’s approach on a method—
by—method basis.
Rather, we now focus on the changes in this
Section since the proposal for public comment.
As previously mentioned,
all editions of methods appear in
the incorporations by reference at Section 611.102.
The Section
is significantly repunctuated for consistency.
We add to the
preamble to subsections
(a) and
(d)
a reference to the Sections
to which these methods apply (Sections 611.600 through 611.604).
For all references to Inductively Coupled Plasma Method 200.7 we
add reference to supplementation by Appendix 200.7A (subsections
(a)(2)(C),
(a)(3)(B), and
(a)(4)(B)).
Following the USEPA
amendments at 56
Fed.
Reg. 30275, we update the ASTI4 method
01 37-03lt~
63
numbers (at subsections
(a) (5) (A) (ii),
(a) (6) (A) (ii),
(a)(6)(C)(ii),
(a)(7)(B)(ii),
(a)(7)(C)(ii),
(a)(8)(B)(ii),
(b) (2) (B) (ii), and
(b) (3) (B) (ii))
and the USGS method number
(at
subsection
(b) (2) (D)).
We add the methods previously omitted for
selenium (ASTM D3859-88A for gaseous hydride atomic absorption)
and arsenic (Inductively Coupled Plasma method 200.7 as
supplemented).
We correct the Standard Methods for arsenic to
those cited by USEPA (subsection (b)(2)(C)).
We add a Board Note
to subsection
(c) (1) (C) to indicate that the Standard Methods
cited are a correction to an obvious USEPA error.
We eliminate
duplicative language from the references in sample collection to
the use of hard or soft glass or plastic
(at subsections
(d)(1)(B),
(d)(2)(B),
(d)(3)(B),
(d)(4)(B),
(d)(5)(B),
(d)(6)(B),
(d)(7)(B),
(d)(8)(B),
(d)(9)(B), and (d)(lO)(B)).
We use the
technical symbols
“°“
instead of “degrees”
(at subsections
(d)(1)(A),
(d)(7)(A),
and (d)(9)(A))
and
“±“
instead of
“+/—“
(subsections
(e) (2) (B) through
(e) (2) (I)).
We change “which” to
“that” in subsection
(e) (1)
and delete “which are” from the
preamble of subsection
(e) (2).
We implement the federal
correction at 56 Fed.
Peg.
30275 to use a maximum mercury sample
shelf—life of
28 days whether stored in plastic or glass
(at
subsection
(d)(6)(C)).
Finally, we correct the date of the Code
of Federal Regulations in the final Board Note.
Inorganic Monitoring:
Analytical Procedures for Old MCLS--
Section 611.612
Section 611.612 derives from 40 CFR 141.23(1) through
(q),
which USEPA added at 56 Fed.
Reg. 30275—76
(July
1,
1991).
(Previously, 40 CFR 141.23(f)
set forth the analytical methods.)
Since subsections
(a) through
(e) are updated versions of those
formerly codified at Section 611.601, we chose to renumber that
Section and amend
it to account for the federal updates.
Subsection
(f), the actual analytical methods, was formerly
codified as Section 611.606, even though it appears here as
added.
The federal rule sets forth the analytical methods a
supplier must use
in sampling for the inorganic chemical
contaminants listed at Section 611.300
(the old MCLs;
corresponding with 40 CFR 141. 11).
The Board has already
discussed the details of the federal and state changes in
analytical methodology in a foregoing discussion preceding the
incorporations by reference.
We will not repeat that overview of
the federal action involved and the Board’s approach on a method-
by-method basis.
Rather, we now focus on the deviations from the
federal text supporting this Section.
The amendments to the language of former Section 611.601
primarily focus on assembling a Section that is substantively
identical-in-substance and structurally similar to 40 CFR
141.23(1) through
(q), with the addition of provisions for the
additional state requirements.
This has required the deletion of
the existing language for contaminants whose MCLS have already
0137-0315
64
expired
(cadmium, chromium, mercury,
nitrate, and selenium,
expired on July 30,
1992),
a “grandfather” clause long since
obsolete (subsection
(d)), and an authorizatioi for the state to
determine compliance and commence enforcement action, which is
redundant as a matter of Illinois law (subsection
(a)(4)).
The
Board has maintained a structure that is linear to the federal
structure except as to the analytical methods of subsection
(f)
(corresponding with federal subsection
(q)), even though this has
created a number of “dummy” subsections
(subsections
(a) (3),
(a) (4),
(d), and
(e)).
Rather than reiterating the methods for
fluoride at subsection
(f) (4), since fluoride appears in Section
611.300 with an “old MCL” and Section 611.301 with a “revised
MCL” we cross—reference to the methods of Section 611.611(c).
All of the Board Notes of former Section 611.601 now appear
consolidated in the final Board Note.
That Board Note explains
why the Board deleted several analytical methods that appear in
the federal rule (because the MCLS expired).
Finally,
in the course of updating the analytical methods
for the federal analytical methods, we update the state methods
for copper,
cyanide,
iron, manganese, and zinc.
We use the 16th
edition of Standard Methods, the 1983 edition of Inorganic
Methods, and the most recent version of ASTM in our present
possession
(1985).
We supplement the Inductively Coupled Plasma
Method with Appendix 200.7A
Inorganic Monitoring:
Special Monitoring for Sodium--
Section 611.630
Section 611.630 derives from 40 CFR 141.41.
USEPA did not
amend this provision in the present update period.
Rather, the
amendments of 56 Fed. Peg. 3581-83
(Jan.
30,
1991)
and 56 Fed.
Reg. 30275-76
(July
1,
1991)
have prompted the Board to renumber
this provision from Section 611.610.
We proposed using this
opportunity to amend “special exception permit” in subsection
(b)
to the abbreviation “SEP” used elsewhere throughout the amended
rules.
Since the proposal for public comment, we further amend
subsection
(d) (1) to delete the edition of Standard Methods,
in
favor of using Section 611.102 for that purpose; to add the full
ASTM method
number
to subsection
(d) (3); and to update the
version of the Code of Federal Regulations in the Board Note.
Inorganic Monitoring:
Special Monitoring for Inorganic
Contaminants——Section 611.631
The Board originally proposed splitting 40 CFR 141.32
into
two Sections:
Section 611.631,
for unregulated inorganic
contaminants, and Section 611.658, for unregulated organic
contaminants.
Since
the
proposal
for
public
comment,
we
have
instead decided to keep with the federal format and retain both
in a single location.
We now codify both as Section 611.510.
However,
for the convenience of the regulated community,
we place
01370316
65
a
cross-reference
and
a
brief
statement
at this Section to alert
the
reader
to
those
requirements.
Organic Monitoring:
Definitions-—Section 611.640
Section 611.640 does not derive from any particular federal
section.
Rather,
it derives from usages of 40 CFR 141.24 and
others developed by the Board in response to the federal
amendments.
The federal addition of the Phase II VOCs and the
SOC5 left the Board with the problem of designating these
chemical contaminants in groups.
As to the new contaminants of
40 CFR 141.61
(corresponding with Section 611.311), USEPA used
the means of numbering the tabulated contaminants and referring
to them by section, subsection, and paragraph numbers.
The Board
has chosen instead to refer to them in the manner actually used
by USEPA and the regulated community in discussion of them.
That
makes these “Phase I” and “Phase II” “volatile organic chemical
contaminants”
(“VOCs”)
and “synthetic organic chemical
contaminants”
(“SOCs”)
(without regard to whether they are indeed
“synthetic” or “volatile”).
As to the MCLs for organic
contaminants remaining at 40 CFR 141.12
(endrin, including those
for
which
there
is and additional state requirement:
aidrin,
2,4-D, DDT, dieldrin, heptachlor, and heptachlor epoxide, but
excluding
TTKMs;
corresponding with Section 611.310), the Board
has
chosen
to
refer
to
them
as
“old
14CLs” for the sake of
convenience.
We have significantly revised this Section since the
proposal for public comment.
What
we proposed at “eight organic
contaminants”
is
now
defined
as “Phase
I VOCs”.
What was “eleven
pesticides
and
PCBs”
is
now
“Phase
II
SOCs”.
What
we proposed as
“ten
organic
contaminants”
is
now
“Phase
II
VOCs”.
We
also
moved
several
definitions
used
elsewhere
into
the
general
definitions
of
Section
611.101:
“GWS”,
“mixed
system”,
“reliably
and
consistently”,
“revised
MeL”,
and
“SWS”.
(We
instituted
a
general definition of “old MCL” but have chosen to retain a more
specific local definition at this Section.)
Additionally, the
Board has reworded the definition of “old MCL” for clarity and
added 2,4-D, heptachlor,
and heptachlor epoxide to the definition
of “Phase II SOC” and added Board Notes to the definitions of
“old MCL” and “Phase II SOC” explaining the dual status of these
contaminants.
We have corrected the former “derived from”
references in the Board Notes because, as explained above, there
is no single source for these definitions.
However, we add
references to the locations in the federal regulations where
USEPA sets forth the contaminants of each type.
We believe
Agency comment PC 10 generally supports this approach.
Organic Monitoring:
Old MCLs—-Section 611.641
Section 611.641 derives from 40 CFR 141.24(a) through
(d),
which USEPA amended at
56
Fed.
Reg.
3583—85
(Jan.
30,
1991).
The
0137-0317
66
federal
rule sets forth the requirements for analyzing the “old
MCLs” of 40 CFR 141.12(a)
(endrin,
corresponding
with
Section
611.310).
In proposing this Section for public comment, the
Board chose to continue to use it for monitoring the additional
state requirements of Section 611.310
(aldrin, 2,4—D, DDT,
dieldrin, heptachior, and heptachlor epoxide).
The proposed
amendments involved changing the references to “Section
611.310(a)
and
(b)” to “the old MCLs”
(subsections
(a)
and
(b))
and rendering “MCL” as “old MCL”
(in subsection
(c)).
We further
substituted “SEP” for “special exception permit”, keeping with
our trend to use the abbreviation throughout the text of the
rules.
Since the proposal for public comment, we only add “of”
to subsection
(a), restored “contaminant” to subsection
(b),
corrected the reference in subsection
(c) to “subsection
(a)”,
and updated the reference
mt
he Board Note to the Code of
Federal
Regulations.
Organic Monitoring:
Analytical Methods for
Old
MCLs--Section
~11.645
Section 611.645 derives from 40
CFR
141.24(e),
which
USEPA
amended at 56 Fed.
Reg. 3583-85
(Jan.
30,
1991)
and 56 Fed. Peg.
30277
(July
1, 1991).
The federal rule sets forth the analytical
methods for analyzing the “old MCL5”
of 40 CFR 141.12(a)
(endr.in,
corresponding with Section 611.310).
In proposing this Section
for public comment, the Board chose to reference Section
611.648(1), the methods for Phase II SOCs.
Since the proposal
for public comment we have deleted subsection
(a) that limited
the reference to Section 611.310 and updated the Code of Federal
Regulations reference in the Board Note.
(We also found it
necessary to add “endriri” in Section 611.648(1)
under the same
methods as set forth in 40 CFR 141.24(e)
in order to complete
this federal requirement.
As to the additional state
requirements old MCLs, 2,4-D, Heptachlor, and heptachlor epoxide
are already listed in that Section in response to the federal
amendments.
As to DDT and dieldrin, the Board has chosen to add
them to methods 505 and 508 because both are in the class of
chlorinated pesticides included by those methods and dieldrin is
a strereoisomer of endrin.)
Organic Monitoring:
VOC5-—$ectjpn 611.646
Section 611.646 derives from 40 CFR 141.24(f), which USEPA
amended at 56 Fed. Reg. 3583—85
(Jan.
30,
1991) and
56 Fed. Peg.
30277—79 (July
1,
1991).
The federal rule sets forth the
monitoring and analytical requirements for the volatile organic
chemical contaminants (VOCs).
Suppliers must apply this
provision for demonstrating compliance with the MCLs of 40 CFR
141.61(a)
(corresponding with 35 Ill.
Adin.
Code 611.311(a))
beginning January
1,
1993.
Groundwater suppliers must take one
sample at each entry point that is representative of each well
after treatment.
Surface water and mixed source suppliers must
0137-0318
67
sample
at
each
entry
point or at points in the distribution
system that are representative of each source after treatment.
If the system uses multiple sources, the sampling must occur at a
time of normal operating procedure.
The sampling is quarterly
for four consecutive quarters for all of the VOCs but vinyl
chloride for community water systems
(CWSs)
and non—transient,
non-community water systems (NTNCWSs).
If the initial monitoring
is completed by December 31,
1992 and the system did not detect
any VOC contaminant, the
(GWS or SWS) supplier can go to annual
monitoring beginning January 1,
1993.
After a minimum of three
years of annual monitoring and no detection of a VOC contaminant,
a GWS (not SWS) supplier can shift to sampling once per
compliance period (three years).
After
completion
of
the
initial
monitoring and having not
detected
any
VOC
contaminant,
a
GWS
or
SWS
supplier
may
apply
to
the
state
for
a
waiver
from
certain
of
the
monitoring
requirements.
Such waivers granted to a GWS last a maximum of
six years and to a SWS they last a maximum of one compliance
period.
USEPA set forth factors for state consideration of a
waiver request, including consideration of known previous use of
the contaminant in the watershed or zone of influence of a well,
previous monitoring results, the proximity to a potential source
of contamination, the environmental persistence and transport of
the contaminant, the number of persons served by the system and
its proximity to a larger system, and how well the source is
protected from contamination.
The GWS supplier granted such a
waiver must take one sample during the term of the waiver for the
purposes of the state reconfirming the waiver.
(For a SWS
supplier, this reconfirmation is once during each compliance
period, and for
a GWS it is once during the maximum six—year term
of the waiver.)
If
a
supplier
detects
any
VOC
contaminant, excluding vinyl
chloride,
it
must
begin
monitoring quarterly at each sampling
point
where
it
detected
the
VOC.
However,
the
state
may
decrease
the
monitoring
frequency
to
annual
during
the quarter(s) that
previously showed the highest contaminant level if
(based on a
minimum of two consecutive quarterly samples for a GWS or four
for a SWS) the state determines that the VOC level is reliably
and consistently below the MCL.
If a minimum of three
consecutive annual samples demonstrate that the level of VOC is
reliably and consistently below the MCL, the state may reduce the
monitoring further by granting a waiver as described in the
preceding paragraph.
Vinyl chloride is treated differently for monitoring
purposes.
The
initial
round
of four quarterly samples applies to
the
VOCs
excluding
vinyl
chloride.
If
a GWS supplier detects one
or
more
or
seven
other
two-carbon
chlorinated
VOCs
(1,2-dichloro—
ethane,
1, 1-dichloroethylene,
cis-l,2—dichloroethylene,
trans—
1, 2-dichioroethylene,
tetrachioroethylene,
1,1,
1-trichloro-
•
Ir~
0~i-0319
68
ethylene,
or trichloroethylene)
it must sample quarterly for
vinyl chloride at the sampling point(s) where it detected the
two-carbon
VOC.
If
the
results
of
the
first
sample
do
not
detect
vinyl
chloride,
the
state
may
allow
a
reduction
to
one
sample
in
each compliance period.
If a supplier violates the MCL for any VOC,
it must begin
sampling quarterly at the sampling point(s) that violated the
MCL.
After a minimum of four consecutive quarterly samples that
show that the VOC level is reliably and consistently below the
MCL, the state may allow annual monitoring during the quarter
that previously indicated the highest level of the VOC
contaminant.
The federal regulatory scheme for monitoring VOCs has a few
other
features.
The
states
may require a supplier to initiate
confirmation sampling for positive or negative results.
USEPA
allows
the
states
to use composite sampling for up to five
sampling points.
Compliance is determined based on the levels at
each sampling point, based on a running average of the last
year’s samples for systems sampling more frequently than annually
(with any single sample that would cause the average to exceed
the MCL demonstrating immediate non—compliance)
and based on
individual samples and the MCL for systems sampling annually or
less
frequently.
As with the inorganic chemical contaminants,
a
system
that
is
separable
and
without
interconnections
must
only
submit public notice of a violation to those persons served by
portions
of
the
distribution system affected.
USEPA allows the
states to increase the monitoring frequency in order to detect
variations in the distribution system, and USEPA requires
suppliers to monitor at a time specified by the state.
States
may allow the use of existing data collected after January
1,
1988
(“grandfather”)
if the data are consistent with the
requirements of this section, and those that did not detect any
VOC
need
only
begin
annual sampling on January
1,
1993.
USEPA
sets
forth
the
analytical methods laboratories must
use to test for the VOCs.
It approved three gas chromatographic
(GC) methods from “Organic Methods”
(502.1,
502.2, and 503.1)
and
two gas chromatographic-mass spectroscopic (GC—MS) methods (524.1
and 524
.
2).
To obtain USEPA approval,
a laboratory must analyze
performance samples provided by USEPA or the state and achieve
results within ±20 percent of the actual contaminant content
when that content is greater than 0.010 mg/i or within ±40
percent if the level
is less than 0.010 mg/i,
and the laboratory
must achieve a method detection limit of 0.0005 mg/i as
determined using 40 CFR 136, appendix B.
Laboratory
certification is separate but similar for vinyl chloride.
The
laboratory
must
obtain certification for all of the other VOCs,
then achieve a result within ±40 percent of the actual level of
vinyl
chloride
in
the
sample
and
a
method
detection
limit
of
0.0005 mg/i for vinyl chloride.
0137-0320
69
The Board proposed the federal rules with deviations
from
the
federal
text.
The first deviations are definitions.
We
proposed subsection
(a)
as a definitions provision.
Those
definitions do not derive from any particular provision of
the
federal rules.
Rather,
as with many of the definitions involved
in this proceeding, these definitions derive from USEPA usage.
Despite the lack of federal definitions, we feel that express
definition of such fundamental terms
is important.
As we adopted
this Section, subsection
(a)
is still a definitions provision,
but we have retained only those definitions that take on meanings
peculiar to this Section.
Therefore, the definitions of
“distribution system”, “entry point”,
“GWS”,
“mixed system”,
“representative”,
source”,
“SWS”, and “treatment” now appear in
Section 611.102.
We retain the definition of “detection” as a
definition of “detect” or “detection”, with modification, and we
add a definitions of “method detection limit”, an independent
concept.
In defining “detection” as 0.0005 mg/i, the Board followed
confusing federal regulatory language.
For VOCs, USEPA uses
0.0005 mg/i as the minimum “method detection limit” involved.
Pursuant to subsection
(t)
(corresponding with 40 CFR
141.24(f) (20)), the “method detection limit”
is derived by
statistical analysis of analytical results pursuant to 40 CFR
136, appendix B.
Federal paragraph
(f) (20) provides in
significant
part
as
follows:
Each
laboratory
must
determine
the
method
detection
limit
(MDL)
.
.
.,
at which it is capable of detecting
VOC5.
The
acceptable
MDL
is
0.0005
mg/I.
This
concentration
is
the
detection
concentration
for
purposes of this
section.
What USEPA means by “detection concentration” is capable of more
than one interpretation,
depending on what “this” refers to, the
MDL
of the first sentence or the 0.0005 mg/i of the second
sentence.
Use of the phrase “detection concentration” does not
add clarity because this term is used nowhere else in the
section, and USEPA could intend “detection limit”.
However,
federal paragraph
(f) (7) parenthetically states that “(fjor the
purposes of this section, detection is defined as ?O.0005 mg/i,”
and paragraph
(f) (11)
states,
“if
a contaminant
.
.
.
is
detected at a level exceeding 0.0005 mg/i in any sample
.
.
See also 40 CFR 141.24(f)(14)(i).
Therefore,
apparently USEPA
intends that 0.0005 mg/i is the “detection limit” for the
purposes of increased monitoring.
(Further,
for all other
contaminants the “detection limit”
is the number that defines the
minimally-acceptable “method detection limit”.)
We noted the
ambiguity in the Board Note accompanying the definitions in
subsection
(a).
A change was made to the phraseology used in this Section.
~
Ut~)/
70
Previously,
we referred to the Phase I VOCs as the “eight organic
compounds” and the Phase II VOCs as the “ten organic compounds”.
As explained in an earlier segment of this discussion, we found
it easier and less potentially confusing to r?~ferto these as
“Phase
I VOCs” and “Phase II VOCs”.
This substitution occurred
throughout the Section.
The preamble to federal subsection
(f) and paragraphs
(f) (1)
and
(f) (2)
set forth the basic sampling requirements for
groundwater source suppliers and surface water and mixed source
suppliers, respectively.
The Board codified these as subsections
(b) and
(c) (1) through
(c) (3).
Federal paragraph
(f) (3)
is a
provision for multiple source suppliers, which we codified as
subsection
(c) (4).
We followed the federal provisions within
these subsections, and modified the structure and language to
make it follow the USEPA rule more closely and to account for
USEPA amendments of July 1,
1991.
We phrased the basic sampling
requirements affirmatively in subsections
(c) (1) and
(c) (2),
rather than stating the location of the sampling points.
To
these two subsections we also restored federal language relating
to the fact that samples must be “representative of each well
after treatment” or “representative of each source”.
We
similarly added “after treatment” to the provisions for entry
point sampling locations.
We reworded the subsection
(c) (3)
requirement for taking samples from the same point unless the
Agency has granted
a SEP to allow another point so it appears as
a requirement for the supplier
(as it appears in the federal
language),
rather than a requirement for the Agency, like it
appeared in the proposal for public comment.
Further removed
from subsection
(c) (3) was certain language that USEPA deleted
relating to consumer tap sampling.
Subsection
(C)
(4) now relates
the requirement
(appearing at the ends of federal paragraphs
(f)(1)
and (f)(2)) that relates the requirement for multiple
source systems to sample at times when water from all sources is
used.
We read general support in PC 10 to this changed approach
in subsection
(c).
Subsections
(e) through
(j)
(corresponding with federal
paragraphs
(f) (5) through
(f) (10)) relate the provisions for
reduced monitoring frequencies.
These have been significantly
reworded since the proposal for public comment so they follow the
federal language more closely.
Subsection
(e), which applies to
all suppliers,
is now captioned “reduction to annual monitoring
frequency”.
Subsection
(f), which applies only to GWS suppliers,
now appears without subsections, and it is captioned “GWS
reduction to triennial monitoring frequency”.
We added “three-
year” as descriptive of compliance period to subsection
(f)
for
clarity.
We integrated proposed subsection
(g) and its
subsections into a single statement,
like it appears in the USEPA
rules.
The Board’s trend has been to reword similar federal
provisions in terms like “the Agency shall grant a SEP
.
.
.“
in
this rulemaking.
We relied on Section 611.110 to make it clear
0137-0322
71
that
the
supplier
can
request
a
SEP.
We
did
not
reword
this
provision
to
“the
Agency
shall
.
.
.“
because there is a
significant
precondition
to
each
request
and
subsection
(h)
(corresponding with 40 CFR 141.24(f) (8))
sets forth factors for
Agency consideration.
A Board Note indicates that the parallel
provisions that relate to the term of a SEP (“waiver” in the
federal) appear in subsections
(i) and
(j),
and “detect”
is
defined in subsection
(a).
The Board further changed the language of subsections
(h)
through
(j)
since the proposal for public comment.
We moved the
federal factors for consideration in granting a SEP (“waiver”)
from subsection
(h) to Section 611.110(e).
We have already
discussed with relation to Section 611.110 why we have done so.
We also added to subsection
(h)
a reference to subsections
(e)
and
(f) to which this provision applies.
Federal paragraph
(f) (7)
is specific to GWSs, and paragraph (f) (10) to SWSs.
We
incorporated the elements common to both into subsection
(g)
and
placed those specific to GWSs in subsection
(i).
In response to
an Agency comment
(PC 12), we substituted “re-apply” for “filing
a new application” in subsection
(i).
Subsection
(j)
applies
specifically to SWS5 and mixed systems.
We changed the segment
of subsection
(i) relating to reconfirmation of the vulnerability
assessment to language closer to that used by USEPA.
We
corrected the language of subsection
(i) (1) to make it clear that
the verification of the vulnerability assessment does not grant a
SEP
(“waiver”)
for two more compliance periods.
Rather, the
reconfirmation can only grant a SEP for the second compliance
period up to the maximum term of six years.
We added a Board
Note that explicitly states that subsection
(1) does not apply to
surface water and mixed source systems.
We revised subsection
(j),
which relates to a SEP granted to SWS5 and mixed systems.
(USEPA did not expressly include mixed systems, but the Board has
followed the general federal practice of grouping them together
with surface water systems and done so here.
PC 10 supports this
approach.
We added an explanation to the Board Note.)
Unlike all other federal provisions that the state may
specify a monitoring frequency in granting a SEP, the Board
believes that retaining the authority for the Agency to specify a
monitoring frequency is important for subsection
(j)
(2)
(proposed
as subsection
(j)
(1)).
We base this conclusion on our reading of
the federal rules.
Initially, USEPA does not specify an explicit
reduced monitoring frequency for VOCs in parallel paragraph
(f) (10)
as it does for other contaminants.
Second, VOCs are the
only contaminants for which reconfirmation is required once the
SEP
(“waiver”) has been granted.
Third, USEPA seems to place a
greater emphasis on VOCs than on the other contaminants.
Finally, the VOC content of the source water can vary widely for
surface waters,
and the Agency is in the best position to
determine the vulnerability of a source water to contamination.
For the Board to conclude that allowing the Agency to specify a
O~370323
72
monitoring
frequency
is
an
“additional
state
requirement”
would
likely force a USEPA finding that the Illinois regulations are
“less
stringent”
than
the
federal
rules.
It
would
also
result
in
the
Agency
granting
fewer
of
these
SEP5
from
the
burdensome
monitoring requirements of this Section.
We believe that
requiring
the
Agency
to
base
its
determination
on
its
vulnerability
assessment
and
the
provisions
of
the
Environmental
Protection Act relating to permit appeals adequately protect
against any arbitrary Agency selection of frequencies.
Subsections
(k) and
(1)
(corresponding with 40 CFR
141.24(f) (11) and (f)(12))
are parallel provisions that relate
the actions necessary if a supplier detects a VOC.
Subsection
(k) relates to increased monitoring if a VOC is “detected”,
and
subsection
(1)
if the level exceeds the MCL.
In both cases, a
SEP
allowing
a
decreased
monitoring
frequency
is
possible
if
the
Agency determines that the VOC level is “reliably and
consistently” below the MCL.
Both contemplate a return to
quarterly
monitoring
if
this
proves
not
true.
Since
the
proposal
for public comment, we used “that” for specificity as to the
contaminant and the sampling point in subsections
(k) (1) and
(1) (1),
the
provisions
that
relate
the
federal
requirements
for
quarterly monitoring.
In subsections
(k) (2) and
(1) (2) we
related
the
federal
provision
for
an
Agency
grant
of
a
SEP
(“waiver”)
if
the
contaminant
level
is
reliably
and
consistently
below the MCL.
We reworded subsections
(k) (2) (A) and
(k) (2) (C)
and
(1) (2) (A) and
(1) (2) (C), consistent with similar provisions
for other contaminants, so that the Agency must grant the SEP if
it makes a “reliably and consistently” determination, and the
Agency cannot specify an arbitrary level of contaminant to
trigger
quarterly
monitoring
once
again.
In
specifying
a
“trigger
level”
for
renewed
quarterly
monitoring
for
subsection
(k)(2)(C), however, the Board used the MCL as the threshold that
prompts
a
return
to
quarterly
monitoring,
just
like
we
did
for
subsection
(1) (2) (C).
For
all
other
similar
provisions,
it
is
either
the
MCL
(or
some fraction of the MCL, as in the case of nitrate and nitrite)
that triggers the increased monitoring
(even for subsection
(1),
relating to VOCs).
This makes it easy in those instances to use
the “trigger level” as the level that prompts a return to
quarterly
monitoring.
In
the
case
of
increased
VOC
monitoring
frequency
prompted
by
a
“detection”,
it
appears
that
USEPA
intended to promptly assure that increased monitoring would
detect any upward trend in the concentration of a group of
contaminants of particular interest.
As to the VOC5,
it is
apparent that USEPA intended that if no such trend asserted
itself decreased monitoring could result.
However, USEPA also
intended that increased monitoring would again result if the VOC
level no longer appeared “reliably and consistently” below the
MCL--i.e., by this provision USEPA intended that the system must
increase
its
monitoring
frequency
if
there
is
an
upward
trend
in
O~37-032ti
73
contaminant
level.
For
federal
paragraph
(f)
(12)
(corresponding
with
subsection
(1)),
USEPA
uses
the
MCL
itself
as
the
trigger
for increased monitoring.
Therefore, it appears that any level
of
VOC
contaminant
reliably
and
consistently
below
the
MCL
is
a
situation
wherein
reduced
monitoring
is
acceptable.
For
these
reasons, the Board used the MCL as the level that triggers a
return to quarterly monitoring for the purposes of subsection
(k).
If subsequent comments make it appear that there is a
better
alternative,
the
Board
can
revisit
this
issue
in
a
later
docket.
In
response
to
PC
7
and
PC
10
we
revised
subsections
(k) (3)
and
(1) (2)
(D)
so
that
the
monitoring
occurs
in
the
“quarter(s)”
that previously resulted
in
the
highest
VOC
level.
This
contemplates problems with multiple peak VOC levels occurring in
more than one quarter.
Subsection
(k) (4)
(which does not have a
counterpart
in
subsection
(1))
allows
a
relaxation
of
the
monitoring
frequency
to
that
allowed
by
an
Agency
vulnerability
assessment
under
subsection
(g),
allowing
as
little
as
one
sample
in
a
six
year
period.
We
reworded
this
for
clarity
since
the
proposal
for
public
comment.
USEPA
added
paragraph
(f)
(11)
(v)
(corresponding
with
subsection
(k)(5)) on July 1,
1991.
This applies when a supplier
must monitor directly for vinyl chloride.
A correponding
amendment
did
not
appear
in
the
proposal
for
public
comment.
Basically, as described in the foregoing discussion, the supplier
must
test
quarterly
for
vinyl
chloride
if
it
detects
any
of
seven
“surrogate”
VOCs.
The
Agency
may
issue
a
SEP
obviating
reduce
the
frequency
of
testing
for
vinyl
chloride
to
once
every
three
years
if none is detected in the first round of sampling.
Subsections
(m),
(n),
(0),
(r), and
(s) concern the handling
of
the
data
obtained
from
monitoring,
and
subsection
(u)
requires
suppliers
to
monitor
at
times
specified
by
the
Agency.
Subsection
(m)
(corresponding with federal paragraph
(f) (13)
allows
the
Agency
to
require
confirmation
sampling
for
any
results it finds doubtful.
Since the proposal for public
comment, we chose the SEP mechanism for the Agency to require
confirmation
samples.
As
proposed,
the supplier must detect a
VOC in a sample before the Agency can use this mechanism.
In
response to PC
7 and PC 10, we add “or confirmation” to
subsection
(m) (3),
in order to provide for suspect confirmations
samples.
Averaging
of
results
pursuant
to
subsection
(o)
is
used
to determine compliance, unless the Agency determines that
sampling error occurred for the original sample.
The Board
adopted no counter part to federal paragraph
(14), which relates
to
composite
sampling.
Rather,
since
the
proposal
for
public
comment,
subsection
(n)
became
a
“dummy” provision explaining
this
fact.
Subsection
(0)
sets
forth
the
procedure
for
averaging
results
obtained
on
a
greater
than
annual
frequency
basis.
It
is
similar
to
all
other
data
averaging
provisions
in
the
Phase
II
O~370325
74
rules.
Since
the
proposal
for
public
comment
it
received
only
minor
revisions
for
clarity.
Subsection
(r)
is
the
“grandfather”
clause, allowing the use of existing data.
Since the proposal
for
public
comment,
we
added,
as
subsection
(r) (2),
that
a
SEP
is
the vehicle for Agency approval of existing data.
This is partly
in response to PC 7.
Subsection
(s), unchanged since the
proposal,
allows
the
Agency
to
specify
more
frequent
monitoring
or more numerous sampling points if it determines that such is
necessary to detect variations in a distribution system.
Subsections
(p),
(q), and
(t)
(corresponding with 40 CFR
141.24(f) (16),
(f)(17), and (f)(20)) relate to analytical
laboratories performing VOC (and vinyl chloride) analyses.
Subsection
(p)
sets forth the analytical methods that
laboratories
must
use,
as
previously
discussed.
Subsection
(q)
sets
forth
the
procedure
for
laboratory
certification
for
all
VOCs,
including
vinyl
chloride.
The
Board
repunctuated
this
subsection since the proposal for public comment.
We also added
subsection
(q) (2)
in response to the USEPA amendments of July 1,
1991.
It sets forth the certification procedure for vinyl
chloride.
Subsection
(t)
requires
laboratories
to
determine
the
method
detection
limit
(MDL)
using
the
method
of
40
CFR
136,
appendix
B.
As
originally
worded,
the
Board
adopted
this
as
a
requirement
for
certification.
The
USEPA
structure,
to
which
we
reverted, states this as a requirement for certified
laboratories.
Those laboratories are required to achieve a
MDL
of
0.0005
mg/i
or
less.
The
Board
omitted
the
final
sentence
of
the federal provision:
“This concentration is the detection
concentration for purposes of this section.”
As described above,
this
statement
is
confusing
at
the
least.
If
it
means
that
0.0005
mg/i
is
the
“detection
limit”,
for
the
purposes
of
the
VOC5,
it
is
superfluous
in
light
of
40
CFR
141.24(f)(7),
(f)(11),
and
(f)(14)(i).
Organic
Monitoring:
Phase
I
VOC5
(Initial
Monitoring,
until
January
1.
1993)——Section
611.647
Section 611.647 derives from 40 CFR 141.24(g), which USEPA
amended at 56 Fed. Reg. 30279
(July
1,
1991).
The federal rule
sets forth the initial monitoring and analytical requirements for
the Phase
I volatile organic chemical contaminants
(VOCs).
Suppliers must apply this provision for demonstrating compliance
with
the
MCLs
of
40
CFR
141.61(a)
(1)
through
(a)
(8)
(corresponding with 35 Ill. Adm. Code 611.311(a)) until January
1, 1993.
The federal amendments imposed the termination date of
January 1,
1993 and limited application of this provision to the
Phase I VOCs (benzene, carbon tetrachloride, p-dichlorobenzene.,
1 ,2-Dichloroethane,
1, l-dichloroethylene, 1,1,1—trichloroethane,
trichloroethylene,
vinyl
chloride).
In
the
proposal
for
public
comment,
the
Board
proposed
adding
mixed
systems
to
subsections
(b)
and
(h) (2);
substituting
0
37-0326
75
“SEP”
for
“special
exception
permit”
where
it
appeared
(subsections
(h),
(h)(4),
(i),
and
(m));
adding
“dummy” cross—
references
to
a
provision
stating
the
potential
applicability
of
Public Health rules
(subsections
(d)(2)
and
(e));
limiting the
applicability of subsection
(h) to until January
1,
1993; and
using “eight organic contaminants” throughout.
Since the
proposal for public comment we limited the applicability of this
Section to until January 1,
1993 and added the other federal
amendments
that
limit
this
to
initial
monitoring.
We
reverted
to
using “Phase
I VOCs” to refer to the contaminants.
We
substituted “that” for “which” in subsections
(f),.
(i),
(k) (1)
(A).
We
corrected
various
passages
to
follow
the
federal
rules:
“GWS suppliers” and “entry points” (subsection
(a)),
“suppliers” and “shall”
(subsection
(b)),
“system” (subsection
(c)),
and
“NTNCWS”
(subsection
(i)).
We
add
the
technical
symbols
“°“
(subsection
(g)(1)(B))
and
“±“
(subsections
(k) (1) (C),
(k) (1) (D),
and
(k) (2) (B)).
In
response
to
an
Agency
comment
(PC
12),
we
added
“or
fewer”
and
deleted
“less
than”
in
subsection
(h) (1) (B) (ii) and
(h) (2) (B) (ii) because this is the
number
used
by
USEPA
in
40
CFR
141.24(g)
(8)
(i)
(B)
(1)
and
(g) (8) (ii)
(B)
(1).
We
substituted
an
explanatory
“dummy”
for
the
cross-reference
at
subsection
(m).
Organic
Monitoring:
SOCs—-Section
611.648
Section
611.648
derives
from
40
~CFR141.24(h),
which
USEPA
added at
56 Fed. Reg. 3585-87
(Jan.
30, 1991)
and amended at 56
Fed. Reg.
30279
(July
1,
1991).
The federal rule sets forth the
initial
monitoring
and
analytical
requirements
for
the
Phase
II
synthetic organic chemical contaminants
(SOCs).
Suppliers must
apply
this
provision
for demonstrating compliance with the MCLs
of
40
CFR
141.61(c).
The
federal
rules
require
all
CWSs and
NTNCWSs
to
take
four
quarterly
samples
at
each
sampling
point
during the first compliance period beginning January
1,
1993.
The
sampling
points
are
each
entry
point
that
is
representative
of
each
well
after
treatment,
for
GWSs,
or
each
entry
point
that
is
representative
of
each
source
or
each
entry
point
to
the
system
after
treatment,
for
surface
water
systems
and
mixed
systems.
If during the initial monitoring in the first three-year
compliance period the supplier does not detect any SOC, the state
may reduce the monitoring frequency
(to a minimum of two
quarterly samples each compliance period for systems serving
3,300 of fewer persons or to
a minimum one sample per compliance
period for systems serving more than 3,300 persons).
The federal
rules allow the state to grant waivers of the monitoring
requirements lasting for a single compliance period each upon
consideration
of
specified
factors,
including
consideration
of
known
previous
use
of
the
contaminant
in
the
watershed
or
zone
of
influence
of
a
well,
previous
monitoring
results,
the
proximity
to
a
potential
source
of
contamination,
the
environmental
0137-0327
76
persistence and transport of the contaminant, how well the source
is
protected
from
contamination,
elevated
nitrate levels at the
source, and the use of PCBs in equipment used to treat and
distribute
water.
If
the
state
determines
that
the
contaminant
was not used, transported,
stored, or disposed in the area,
it
may grant a waiver without consideration of the other factors.
If a supplier detects any SOC contaminant
(defined by a
specified level for each contaminant.),
it must begin monitoring
quarterly at each sampling point where it detected the SOC.
However, the state may decrease the monitoring frequency to
annual during the quarter(s) that previously showed the highest
contaminant
level
if
(based
on
a
minimum of two consecutive.
quarterly
samples
for
a
GWS
or
four
for
a
SWS)
the
state
determines
that
the
VOC
level
is
reliably
and
consistently
below
the
MCL.
If
a
minimum
of
three
consecutive
annual
samples
demonstrate
that
the
level
of
VOC
is
reliably
and
consistently
below
the
MCL,
the
state
may
reduce
the
monitoring
further
by
granting
a
waiver
as
described
in
the
preceding
paragraph.
If
the monitoring detects one or more related contaminants
(aldicarb, aldicarb sulfoxide,
or aldicarb sulfone or heptachlor
or heptachlor epoxide), subsequent monitoring must include all of
the
related
contaminants.
If
a
supplier
violates
the
MCL
for
any
SOC,
it
must
begin
sampling
quarterly
at
the
sampling
point(s)
that
violated
the
MCL.
After a minimum of four consecutive quarterly samples that
show that the SOC level
is reliably and consistently below the
MCL, the state may allow annual monitoring during the quarter
that previously indicated the highest level of the SOC
contaminant.
The
federal
regulatory
scheme
for
monitoring
SOCs
has
a
few
other features.
The states may require a supplier to initiate
confirmation sampling for positive or negative results.
USEPA
allows
the
states
to
use
composite
sampling
for
up
to
five
sampling
points.
Compliance
is
determined
based
on
the
levels
at
each sampling point, based on a running average of the last
years’ samples for systems sampling more frequently than annually
(with
any
single
sample
that
would
cause
the
average
to
exceed
the MCL demonstrating immediate non—compliance)
and based on
individual samples and the MCL for systems sampling annually or
less frequently.
As with the inorganic chemical contaminants and
the VOCs,
a system that is separable and without interconnections
must
only
submit
public
notice
of
a
violation
to
those
persons
served by portions of the distribution system affected.
USEPA
allows the states to increase the monitoring frequency in order
to detect variations in the distribution system, and USEPA
requires suppliers to monitor at a time specified by the state.
States may allow the use of existing data collected after January
1,
1990
(“grandfather”)
if
the
data
are
consistent
with
the
requirements
of
this
section,
and
those
that
did
not
detect
any
0137-0328
77
VOC
need
only
begin
annual
sampling
on
January
1,
1993.
USEPA
sets
forth
the
analytical
methods
laboratories
must
use to test for the SOCs.
It approved six gas chromatographic
(GC) methods from “Organic Methods”
(504,
505,
507,
508, 508A and
515. 1), one gas chromatographic-mass spectroscopic (GC—MS) method
(525.1), and one HPLC method (531.1), specifying which method is
acceptable for which contaminants.
If the system detects one or
more PCB5 suing the general methods
(505 or 508), it must
reanalyze the sample using a specified method
(508A)
to quantify
the PCB content as decachiorobiphenyl.
To obtain USEPA approval,
a laboratory must analyze performance samples provided by USEPA
or the state and achieve results within ±40 to ±45 percent,
0
to 200 percent, or 2 standard deviations
(depending on the
particular contaminant)
of the actual contaminant content.
The Board proposed the federal rules with deviations from
the federal text.
The first deviations are definitions.
We
proposed subsection
(a)
as a definitions provision.
Those
definitions do not derive from any particular provision of the
federal rules.
Rather,
as with many of the definitions involved
in this proceeding,
these definitions derive from USEPA usage.
Despite the lack of federal definitions, we feel that express
definition
of
such
fundamental
terms
is
important.
As
we
adopted
this
Section,
subsection
(a)
is
still
a
definitions
provision,
but
we
have
retained
only
those
definitions
that
take
on
meanings
peculiar to this Section.
Therefore, the definitions.of
“distribution
system”,
“entry
point”,
“GWS”,
“mixed
system”,
“representative”,
source”,
“SWS”,
and
“treatment”
now
appear
in
Section
611.102.
We
retained
the
definition
of
“detection”
as
a
definition
of
“detect”
or
“detection”,
with
modification,
and
we
added
a
definition
of
“method
detection
limit”,
an
independent
concept.
A change was made to the phraseology used in this Section.
Previously,
we referred to the Phase II SOC5 as the “eleven
organic
compounds
and
PCBs”.
As
explained
in
an
earlier
segment
of
this
discussion,
we
found
it
easier
and
less
potentially
confusing to refer to these as “Phase II SOCs”.
This
substitution
occurs
throughout
the
Section.
We
also
frequently
substituted
“that”
for
“which”
for
most
restrictive
relative
clauses and use “three—year” as descriptive of “compliance
period” for greater clarity.
Subsections
(j)
and
(p) now appear
as explanatory “dummy” subsections, rather than as the proposed
cross—references.
Subsection
(k) (3)
is clarified by adding “for
a supplier out of compliance”.
Finally, all references to the
Code of Federal Regulations are updated in the Board Notes.
The
preamble
to
federal
subsection
(h)
and
paragraphs
(h)
(1)
and
(h) (2)
set forth the basic sampling requirements for
groundwater
source
suppliers
and
surface
water
and
mixed
source
suppliers,
respectively.
The
Board
has
codified
these
as
O13~0329
78
subsections
(b)
and
(c)
(1)
through
(c)
(3).
Federal paragraph
(h) (3)
is a provision for multiple source suppliers, which we
have codified as subsection
(c) (4).
We follow the federal
provisions within these subsections, and have modified the
structure and language to make it follow the USEPA rule more
closely and to account for USEPA amendments of July 1,
1991.
We
phrased the basic sampling requirements affirmatively in
subsections
(c) (1) and
(c) (2), rather than stating the location
of the sampling points.
To these two subsections we also
restored federal language relating to the fact that samples must
be “representative of each well after treatment” or
“representative of each source”.
We similarly added “after
treatment” to the provisions for entry point sampling locations.
We
reworded
the
subsection
(c)
(3)
requirement
for
taking
samples
from
the
same
point
unless
the
Agency
has
granted
a
SEP
to
allow
another
point,
so
it
appears
as
a
requirement
for
the
supplier
(as it appears in the federal language), rather than a
requirement
for
the
Agency,
as
it
appeared
in
the
proposal
for
public comment.
Further removed from subsection
(c) (3) was
certain language that USEPA deleted relating to consumer tap
sampling.
Subsection
(c) (4)
now
relates
the
requirement
(appearing at the ends of federal paragraphs
(h) (1) and
(h) (2))
for multiple source systems to sample at times when water from
all sources is used.
Subsection
(d)
(corresponding
with
federal
paragraph
(h)(4))
sets
forth
the
monitoring
frequencies
for
GWS
and
SWS
suppliers.
We
added
language
since
the
proposal
for public comment that
clarifies the compliance period intended in each clause, whether
the
first
compliance
period
or
a
subsequent
compliance
period.
Subsections
(e) and
(f)
(corresponding with federal
paragraphs
(h) (5) through
(h) (9)) relate the provisions for
reduced or increased monitoring frequencies.
These have been
significantly
reworded
since
the
proposal
for
public
comment
so
they follow the federal language more closely.
Subsection
(e),
which
applies
to
all
suppliers,
is
now
captioned
“reduction
to
annual monitoring frequency”.
We integrated proposed subsections
(e) and
(f) and their subsections into single statements, as they
appear in the USEPA rules.
The Board’s trend was to reword
similar federal provisions in terms like “the Agency shall grant
a SEP
.
.
.“
in this rulemaking.
We relied on Section 611.110 to
make it clear that the supplier can request a SEP.
We did not
reword this subsection
(e) to “the Agency shall
.
.
.“
because
subsection
(f)
(corresponding with 40 CFR 141.24(h) (6)) sets
forth factors for Agency consideration.
The
Board
further
changed
the
language
of
subsection
(f)
since
the
proposal
for
public
comment.
We
moved
the
federal
factors
for
consideration
in
granting
a
SEP
(“waiver”)
to
Section
611.110(e).
We
have
already
discussed
with
relation
to
Section
611.110
why
we
have
done
so.
We
also
added
to
this
subsection
a
0137-0330
79
reference to subsection
(e)
(and hence to
(d)) to which this
provision applies.
Subsections
(g)
and
(h)
(corresponding with 40 CFR
141.24(h) (7) and
(h) (8)) are parallel provisions that relate the
actions necessary if a supplier detects a VOC.
Subsection
(g)
relates to increased monitoring if a VOC is “detected”, and
subsection
(h)
if the level exceeds the MCL.
In both cases,
a
SEP allowing a decreased monitoring frequency is possible if the
Agency determines that the VOC level is “reliably and
consistently below the MCL.
Both contemplate a return to
quarterly monitoring if this proves not true.
In subsections
(g) (2) and
(h) (2)
we related the federal provision for an Agency
grant of a SEP
(“waiver”)
if the contaminant level is reliably
and consistently below the MCL.
We reworded subsections
(g) (2) (C) and
(h) (2) (C), consistent with similar provisions for
other contaminants, so that the Agency must grant the SEP if it
makes a “reliably and consistently” determination, and the Agency
cannot specify an arbitrary level of contaminant to trigger
quarterly monitoring once again.
As was discussed with regard to VOCs, there is some
difficulty in selecting a “trigger level” that prompts an
increased monitoring frequency after a reduction from quarterly
monitoring prompted by a “detect”.
For the same reasons as for
the VOC5,
discussed above,
it appears that any level of SOC
contaminant reliably and consistently below the MCL is a
situation wherein reduced monitoring is acceptable.
For these
reasons, the Board used the MCL as the level that triggers a
return to quarterly monitoring for the purposes of subsection
(k).
As for the VOCs,
if subsequent comments make it appear that
there is
a better alternative, the Board can revisit this issue
in
a
later
docket.
In response to PC
7 and PC 10 we revised subsections
(g) (3)
and
(h)(2)(D)
so that the monitoring occurs in the “quarter(s)”
that
previously
resulted
in
the
highest
SOC
level.
As
with
VOC5,
this
contemplates
problems
with
multiple
peak
VOC
levels
occurring
in
more
than
one
quarter.
Subsection
(g) (4)
(which
does not have a counterpart in subsection
(h)) allows a
relaxation of the monitoring frequency to that allowed by an
Agency vulnerability assessment under subsection
(f), allowing as
little as one sample in a three year period.
We reworded this
for clarity since the proposal for public comment.
Subsections
(i),
(k),
(n), and
(o) relate to handling the
data obtained from monitoring, and subsection
(q) requires
suppliers
to
monitor
at
times
specified
by
the
Agency.
Subsection
(i)
(corresponding with federal paragraph
(h) (9)
allows
the
Agency
to
require
confirmation
sampling
for
any
results it finds doubtful.
Since the proposal for public
comment,
we
chose
the
SEP
mechanism
for
the
Agency
to
require
0137-0331
80
confirmation samples.
As proposed, the supplier must detect a
SOC in a sample before the Agency can use t-his mechanism.
In
response to PC 7 and PC 10, we add “or confirmation” to
subsection
(i) (3),
in order to provide for suspect confirmations
samples.
Averaging of results pursuant to subsection
(k)
is used
to determine compliance, unless the Agency determines that
sampling error occurred for the original sample.
The Board has
adopted no counterpart to federal paragraph
(h) (10), which
relates to composite sampling.
Rather,
since the proposal for
public comment, subsection
(j)
has become a “dummy” provision
explaining this fact.
Subsection
(k)
sets forth the procedure
for averaging results obtained on
a greater than annual frequency
basis.
It is similar to all other data averaging provisions in
the Phase II rules.
Since the proposal for public comment it
received only minor revisions for clarity.
Subsection
(n)
is the
“grandfather” clause, allowing the use of existing data.
Since
the proposal for public comment, we added,
as subsection
(n) (2),
that a SEP is the vehicle for Agency approval of existing data.
This is partly in response to PC
7.
Subsection
(0)
allows the
Agency to specify more frequent monitoring or more numerous
sampling points if it determines that such is necessary to detect
variations in a distribution system.
Since the proposal for
public comment, we have added non-limiting factors enunciated by
USEPA at federal paragraph
(h) (15)
as examples of when additional
monitoring is necessary.
A Board Note explains the source and
nature of the factors.
Subsections
(1),
(m),
(r), and
(s)
(corresponding with 40
CFR l41.24(h)(12),
(h)(13),
(h)(18), and (h)(19))
relate to
analytical laboratories performing SOC (and PCB) analyses.
Subsection
(1)
sets forth the analytical methods that
laboratories must use,
as previously discussed.
Subsection
(m)
sets forth the methods for PCB5.
Subsection
(r) gives the
detection limits for the various SOCs.
We divided this into two
subsections since the proposal for public comment and added the
detection limits for the PCB5,
which USEPA added on July 1,
1991.
Subsection
(s)
sets forth the procedure for laboratory
certification for all SOC5,
including PCB5.
USEPA added this
subsection on July 1,
1991,
and we added this subsection since
the proposal for public comment.
Organic Monitoring:
Monitoring for 36 Organic Contaminants—-
Sections 611.651 and 611.657
Sections 611.651 and 657 derived from 40 CFR 141.40, which
USEPA amended at 56 Fed. Reg. 3592
(Jan.
30,
1991).
It set forth
requirements for monitoring for 36 organic contaminants for which
there were no MCLs at that time, and the monitoring was to have
been completed by January
1,
1992.
USEPA adopted MCLs at 40 CFR
141.61 for 13 of the 36 contaminants (trans-1,2—dichloroethylene;
monochlorobenzene;
cis-1,
2—dichloroethylene; o—dichlorobenzene;
toluene; p-xylene, o-xylene, and m—xylene, conjunctively as total
~fl
3j-0332
81
xylenes; 1,2-dichioropropane; ethylbenzene; styrene; ethylene
dibromide
(EDB); and dibromochioropropane).
The federal rules
also set forth the analytical procedures for these compounds.
Although USEPA has not repealed this provision, the Board does so
because the time for compliance is past and its continued
existence could result in confusion.
Organic Monitoring:
Special Monitoring for Organic Compounds--
Section 611.658
The Board originally proposed splitting 40 CFR 141.32 into
two Sections:
Section 611.631, for unregulated inorganic
contaminants,
and
Section
611.658,
for
unregulated
organic
contaminants.
Since the proposal for public comment, we have
instead decided to keep with the federal format and retain both
in
a
single
location.
We now codify both as Section
611.510.
However,
for
the
convenience
of
the
regulated
community,
we
place
a. cross—reference and
a brief statement at this Section to alert
the reader to those requirements.
Reporting and Public Notice:
MCL Violations-—Section 611.851
Section 611.851 derives from 40 CFR 141.32(a), which USEPA
amended at 56 Fed. Reg. 3585-87
(Jan.
30,
1991).
USEPA amended
paragraph
(a) (1) (iii)
(corresponding with 35 Ill. Adm. Code
611.851(a) (3) (C)) to add “nitrite” and change the references to
section 141.62
(corresponding with Section 611.301) for the MCLS
and section 141.23(i) (3) for the determination of compliance.
The Board proposed the addition of nitrite, but failed to change
the reference for the revised MCLs.
Since the proposal for
public comment we added the reference to the new MCL5.
In
response to an Agency comment
(PC 12), we changed the existing
reference to
“CWS”
in subsection
(c) (2) to “non—CWS” because it
is to non-CWSs that this provision applies.
Reporting and Public Notice:
Other Violations—-Section 611.852
Section 611.852 derives from 40 CFR 141.32(b), which USEPA
did not amend during the present update period.
Since the
proposal for public comment, the Board added amendments in
response to the USEPA Phase I primacy comments.
We added a
statement to the end of subsection
(c) (1) that requires a
supplier to repeat notice by hand delivery every three months as
long as the variance or adjusted standard remains in effect.
We
also changed “PWS” to “non-CWS” in subsection
(C)
(2).
We further
made the “that”-”which” substitution in the preamble and updated
the Code of Federal Regulations reference in the Board Note.
Reporting and Public Notice:
Mandatory Health Effects Language--
Section 611.855
Section 611.855 derives from 40 CFR 141.32(e), which USEPA
0137-0333
82
amended at 56 Fed.
Reg. 3587-92
(Jan.
30,
1991)
and 56 Fed. Reg.
30279—80
(July 1, 1991).
However, the Board did not need to
amend this Section in response to those amendments because the
segments affected appear in Section 6l1.Appendix A.
Rather,
since the proposal for public comment, the Board added amendments
in response to the USEPA Phase I primacy comments.
We changed
the cross—reference to Section 611.854.
We further completed the
reference to Section 6l1.Appendix A and updated the Code of
Federal Regulations reference in the~Board Note.
Mandatory Health Effects Information--Section 63.1.Appendix A
Section 6l1.Appendix A derives from 40 CFR 141.32(e), which
USEPA amended at 56 Fed. Reg. 3587—92
(Jan.
30,
1991)
and 56 Fed.
Reg. 30279-80
(July 1,
1991).
The federal rule sets forth the
contaminant—by-contaminant mandatory health effects information
that suppliers must submit to the public when they violate an
MCL.
The USEPA amendments of January 30,
1991 added mandatory
information for 33 chemical contaminants for which there are new
MCL5
(asbestos, cadmium,
chromium, mercury, nitrate, nitrite,
selenium, acrylamide,
alachlor, atrazine, carbofuran, chlordane,
dibromochloropropane
(DBCP), o-dichlorobenzene,
cis-1,2—dichloro-
ethylene,
trans-i,2-dichloroethylene,
1, 2-dichioropropane,
2,4-D,
epichlorohydrin, ethylbenzene, ethylene dibromide (EDB),
heptachlor, heptachlor epoxide,
lindane, methoxychlor, mono-
chlorobenzene, polychlorinated biphenyls
(PCBs),
styrene, tetra-
chloroethylene, toluene, toxaphene,
2,4,5—TP (Silvex), and
xylenes
(total)).
The Board added these notices.
The July 1,
1991 amendments added notices for five chemical contaminants
(barium, aldicarb, aldicarb sulfoxide,
aldicarb sulfone, and
pentachlorophenol).
The Board did not adopt these five notices
because they are for new Phase IIB contaminants, which are the
subject of docket R91-15.
The Board further made a small number of corrections to the
existing notices.
We deleted the Board Note on the notice for
1,1,1-trichloroethane
(paragraph
8) and amended those for
fluoride (paragraph
9) and at the end of the appendix to reflect
the most recent Code of Federal Regulations.
We corrected
misspellings of “caused”
(in paragraph 10) and “contaminated”
(in
paragraphs ii and 12).
Since the proposal for public comment we
substituted an explanatory sentence in place of a cross—reference
at “dummy” paragraphs 13,
14,
16,. 25-27, and 46, reserved by
USEPA.
We also corrected the language of notices for 2,4-D,
heptachlor, and heptachlor epoxide, so they now appear as in the
federal regulations.
PC 10 supports this addition.
Autoanalysis Colilert P-A Method--Section 611.Appendix D
Section 611.Appendix D derives from a method in a journal
that USEPA incorporated by reference at 40 CFR 141.21(f) (3) (iv)
(corresponding with Section 611.526 at 57
Fed. Reg.
24747
(June
01 37-O33~
83
10,
1992).
The article, National Field Evaluation of a Defined
Substrate Method for the Simultaneous Detection of Total
Coliforms and
Escherichia coil
from Drinking hater:
Comparison
with Presence-Absence Techniques”, appeared
ii: the April,
1989
issue of Applied and Environmental Microbiology.
It evaluated a
method for simultaneous measurement of total coliforms and
E.
coli.
The Board cannot incorporate the method by reference because
it is not “rules,
regulations, standards,
and guidelines of an
agency of the United States or a nationally or state recognized
organization or association
.
.
.“.
~
Ill.
Rev.
Stat.
1991 ch.
127, par.
1005-75.
We therefore had to extract the method from
the descriptions in the article and set it forth in this
appendix.
This did not appear in the proposal for public
comment.
A Board Note cites the source of the article and where
in the federal and Illinois rules it is used.
Fecal or Total Coliform Density Measurements--Section 611.Table B
Section 611.Table B derives from 40 CFR 141.71(b)(l).
USEPA
did not amend this provision during the present update period, so
•the adopted amendments were not part of the proposal for public
comment.
Rather, the Board amended this table in response to the
USEPA Phase
I primacy comments
(PC 14).
We corrected the first
entry
in the table so that it includes 500 persons served.
We
also updated the Board Note citation to the Code of Federal
Regulations.
Fecal or Total Coliform Density Measurements——Section 611.Table C
Section 611.Table C derives from 40 CFR 141.71(b) (5)
and
(C)
(2).
USEPA did not amend these provisions during the present
update period, so the adopted amendments were not part of the
proposal for public comment.
Rather, the Board amended this
table
in response to the USEPA Phase
I primacy comments
(PC 14).
We corrected the first entry in the table so that it includes 500
persons served.
We also updated the Board Note citation to the
Code of Federal Regulations.
Federal Effective Dates--Section 611.Table D
Section 611.Table D derives from no particular federal
provision.
Rather, the Board believes that setting forth the
federal effective dates for the various federal MCLs would prove
useful to the regulated community.
We have added this for
reference since the proposal for public comment.
CONCLUSION
This final opinion supports the Board’s final order of this
same day.
The Board will promptly file these rules with the
0137-0335
84
Secretary
of
State
for publication in the Illinois Register.
I,
Dorothy
M.
Gunn,
Clerk
of
the
Illinois
Pollution
Control
Board, h~xeby
certify
that
the
above
final
opinion
was
ado,pted
on
the
/C7~~
day
of
7/~—~-’--~-’
,
1992, by a vote of
7~
/7
t~
~
/~
~
Dorothy
N.
th~nn, Clerk
Illinois Ppllution Control Board
0
37-0336