ILLINOIS POLLUTION CONTROL BOARD
January
23,
 1992
NORTH OAK CHRYSLER PLYMOUTH,
 )
Complainant,
v
 )
 PCB 91—214
(Enforcement)
AMOCO OIL COMPANY,
Respondent.
ORDER OF THE BOARD
 (by J. Anderson):
Among motions currently pending in this matter are North Oak
Chrysler Plymouth’s
 (North
 Oak)
 motion
 for summary judgment and
Amoco Oil Company’s
 (Amoco)
 January
 17,
 1992 response and cross
motion for summary judgment,
 and Amoco’s January
 21,
 1992 motion
to strike.
 This Order does not address those motions.
 On January
21,
 1992, North Oak moved for leave until January 24, 1992 to file
a reply to Amoco’s response.
 This motion
 is hereby granted.
 The
Board notes that the hearing
 in this matter scheduled for January
24, 1992 was cancelled by Hearing Officer Order of January 21, 1992
to allow the Board to consider disposition of this matter without
hearing.
 In the
 interests
 of administrative
 economy,
 the
 Board
additionally requests the parties
 to address the following
 issue
related to enactment of P.A.
 87—323.
This
 is
 a UST enforcement action by a current owner against
 a prior owner.
 The pleadings indicate that Amoco removed the USTs
in
 1986,
 and
 sold
 the
 property
 to
 North
 Oak,
 which
 is
 now
attempting to sell the property.
 Drilling
 in connection with the
second sale indicates contamination from the USTs remains.
 Among
other things,
 North Oak is seeking that the Board order Amoco to
cease and desist from violations
 of
 35
 Ill.
 Adm. Code.Subparts E
and F.
 In other words,
 North Oak is asking the Board to require
Amoco to undertake the release investigation and confirmation steps
in
 Subpart
 E,
 and
 then
 perform
 corrective
 action
 pursuant
 to
Subpart
 F.
P.A.
 87-323 requires the Board
 to repeal Subpart
 E,
 as set
forth in the January
 9,
 1992,
 Proposal for Public Comment Opinion
and Order in R91-14.
 The parties are requested to address whether
the Board has
 authority to
 enter
 a
 cease
 and desist
 order
 with
respect to Subpart E.
Under
 P.A.
 87-323,
 release
 investigation
 and
 confirmation
would
 be
 exclusively
 under
 the
 Fire
 Marshal’s
 rules.
 The
corrective action requirements
 of Subpart F are triggered only by
a confirmed release.
 The parties are requested to address whether
129—30 1
2
the
 Board has authority
 to enter
 a
 cease
 and desist
 order with
respect to Subpart F without a showing that Amoco has confirmed
 a
release pursuant to the Fire Marsha;’s rules.
In R9l-14, the Board discussed the vagueness created by,
 and
limitations on UST enforcement under P.A.
 87-323,
 as follows:
We recognize that the proposed deletions create a vagueness
in
 the
 remaining
 portions;
 however,
 these
 amendments
 are
driyen
 by statutory
 amendments.
 One
 problem
 is
 that the
corrective action provisions of the USEPA rules exist within
the
 larger
 body
 of
 the
 UST
 rules.
 They
 include
 cross
reference into that larger body of rules.
 It is unclear how
the Board
 is
 supposed to deal with these
 cross references.
As
 is discussed below,
 the Board has proposed to repeal the
cross
 references,
 leaving
 a
 narrative
 description
 of
 the
actions
 being
 referenced.
 This may make
 it difficult for
persons to follow the rules in actual practice.
 However, this
result appears to be dictated by the statutory amendments.
We suggest
 that another problem with the current
 scheme
 is
that there appears to be no real enforcement potential before
the
 Board,
 except
 for
 failure
 of the
 operator
 to
 properly
execute
 his
 corrective
 action
 plan,
 even
 for
 intentional
violation
 of
 the
 design
 and
 operating
 requirements.
 For
example,
 an
 operator
 could
 intentionally design
 a
 tank
 in
violation of the regulations, operate it in a reckless manner
so as to cause a release, and then fail to report the release.
So long as the operator (after being caught) complied
with the
corrective action requirements of Subpart
 F,
 there would be
no possibility of enforcement before the Board.
 Moreover,
 if
the
 operator
 failed
 to
 comply
 with
 Subpart
 F,
 Board
enforcement would be limited to enforcement of the “paperwork”
 requirements of that Subpart.
 There would
 be no opportunity
to
 enforce
 for the
 pollution
 incident
 itself,
 or
 for
 the
underlying design and operating violations which caused the
release.
The parties
 are directed to respond
 to
 these
 issues
 in
 a
filing to be received by the Board on or before February 21,
 1992.
The Clerk is requested to serve the parties with a copy of the R91-
14 Opinion and Order of January
 9,
 1992,
 along with a copy of this
Order,
 via first class mail.
IT IS SO ORDERED.
129—302
3
I,
 Dorothy
 M.
 Gunn,
 Clerk of the Illinois Pollution Control
Board,,7hereby cer
i
 y that the above Order was adopted on the
~
 day of ___________________________,
 1992, by a vote of
V
~
 ~
Dorothy M. ~n,
 Clerk
Illinois Po~,IutionControl Board
129—303