ILLINOIS POLLUTION CONTROL BOARD
    February
    8,
    1990
    IN THE MATTER OF:
    PROCEDURAL RULES REVISION
    )
    R88-5(B)
    35 ILL. ADM.
    CODE 102 AND
    )
    (Rulemaking)
    106 (Subparts
    D,
    E, and
    F)
    PROPOSED RULE.
    SECOND NOTICE.
    OPINION AND ORDER OF THE BOARD
    (by J.
    Theodore Meyer):
    This
    matter
    is
    before
    the
    Board
    for
    second
    notice
    consideration
    of
    proposed
    new
    procedural
    rules
    for
    rulemaking
    proceedings.
    On September
    8,
    1988,
    the Board proposed for first
    notice revisions to Parts 101,
    102,
    106,
    and 107 of its procedural
    rules,
    found
    at
    Title
    35
    of
    the
    Illinois
    Administrative
    Code.
    After two public hearings and consideration of written comments,
    the Board split the docket.
    Docket R88—5(A)
    contained new rules
    in
    Part
    101
    (general
    provisions)
    and
    Subpart
    G
    of
    Part
    106
    (adjusted
    standard
    proceedings),
    and
    the
    repeal
    of
    Part
    107
    (sanctions,
    which
    are now covered
    in
    Part
    101)
    .
    The
    rules
    in
    docket R88-5(A) were adopted by the Board and became effective on
    July 10, 1989.
    This docket (R88-5(B))
    contains proposed
    new. rules
    for regulatory proceedings
    (Part 102),
    the repeal of the existing
    Part 102 rules, and revisions to Subparts
    D,
    E, and F of Part 106.
    (Please note that these Subparts are being revised only to update
    references
    to Part 102.)
    On August 31,
    1989,
    the Board adopted
    a
    second first notice order, after revising the rules in response to
    comment.
    First notice of the rules was published on September 22,
    1989, beginning at
    13
    Ill.
    Peg.
    14693.
    A public hearing was held
    on November
    9,
    1989,
    and written comments were
    received.
    After
    consideration
    of
    those
    comments
    and
    further
    revision
    to
    the
    proposed rules, the Board today proposes the rules
    in P88-5(B)
    for
    second notice.
    The Board received fifteen written public comments during the
    1988 first notice period (Public Comments (P.C.)
    #
    11-25), and ten
    written comments during the
    1989 comment period
    (P.C.
    #
    4l_50).1
    The Board has considered all of these comments,
    and all testimony
    received
    at
    the
    hearings,
    when
    revising
    these
    rules
    for second
    notice.
    This opinion will touch upon each Subpart in the proposed
    1
    Public comments 49 and 50 are date—stamped December
    1,
    1989,
    one day after the close of
    the public comment period.
    However,
    those comments were received at the Board on November
    30, but are
    date-stamped December 1 because they were received after 4:30 p.m.
    (See
    35
    Ill.
    Adra.
    Code
    101.102(b).)
    Those
    comments
    were
    accompanied by motions to file instanter,
    which are granted.
    10R~~12r)

    2
    rules, but will only discuss those rules which were the subject of
    comments and those rules which have been revised.
    PART 102--REGULATORY AND INFORMATIONAL HEARINGS
    AND PROCEEDINGS
    Subpart A:
    General Provisions
    The
    only
    change
    to
    this
    Subpart
    is
    a
    revision
    to
    the
    definition
    of
    “undue
    delay”
    in
    Section
    102.101.
    The
    Board
    has
    deleted the phrase
    “or
    is more
    delay
    than
    necessary”
    from that
    definition.
    This change
    is made
    in response to a suggestion from
    the Illinois Environmental Protection Agency (Agency)
    (P.C.
    ~ 48),
    who felt that the language of the definition assumed that delay
    is
    always part
    of
    a regulatory
    proceeding,
    and
    suggested
    that
    the
    Board add the language “unnecessary or which impedes
    expeditious
    rulemaking”.
    In response, the Illinois Steel Group
    (ISG) commented
    that while expeditious rulemaking
    is a worthy goal, that goal must
    be balanced against the need for a fair process which provides due
    process.
    (P.C.
    ~ 50.)
    The Board did not intend to imply that
    it
    considered delay a part of the rulemaking process, but agrees with
    the
    ISG
    that
    the
    goal
    of
    quick
    rulemaking
    is
    not
    the
    only
    consideration.
    The Board believes that the revised definition of
    “undue delay” reflects both concerns.
    Several
    commenters
    asked
    why the definition
    of
    “proponent”
    excluded
    the
    Board
    and
    its
    staff,
    whether
    the
    Board
    no
    longer
    intends
    to
    propose
    rules,
    and what
    procedures
    the
    Board
    would
    follow when proposing a rule itself.
    As stated at the November
    9,
    1989 hearing,
    one of the reasons for exempting the Board from the
    definition of
    “proponent”
    is that some of the requirements which
    a proponent must fulfill are simply not applicable
    to the Board.
    For
    instance,
    Section
    102.121(c)
    requires
    all
    proponents
    to
    recommend
    whether
    an
    economic
    impact
    study
    (EcIS)
    should
    be
    performed.
    Since the Board determines whether an EcIS should be
    done,
    it would
    be
    inappropriate
    to
    require
    the
    Board
    to make
    a
    recommendation
    to itself.
    Additionally,
    in the rare cases where
    the Board
    does propose
    a regulation,
    there
    is
    a written
    opinion
    which provides much of the information that
    a proponent would be
    required to furnish under the proposed rules.
    There is also often
    a supporting technical document which is added to the record of the
    proceeding,
    so that material
    is
    available
    in advance
    of hearing.
    It
    must
    be
    remembered
    that
    the
    Board
    is
    not the
    primary
    rule
    proponent for the state,
    and
    is neither funded nor staffed
    so as
    to
    allow
    it
    to
    always
    comply
    strictly
    with
    the
    requirements
    established
    for those who,
    in the ordinary course
    of events,
    are
    proponents.
    When the Board finds
    it necessary to propose rules
    itself,
    it
    will
    comply
    with
    the
    requirements
    for
    any
    other
    proponent
    to
    the
    extent
    logical
    and
    possible.
    It
    is
    not
    the
    Board’s
    intent
    to
    exempt
    itself
    from providing
    support
    for the
    rules
    it proposes.
    lflS—126

    3
    The Agency suggested that detailed requirements for obtaining
    a waiver
    from the requirements
    of
    this Part be
    added to Section
    102.103 “Waiver Of Requirements”.
    (Tr.
    554-555.)
    The Board has not
    done so, since it believes that the standard in that Section
    (that
    a person demonstrate that
    a non—statutory requirement creates
    an
    undue burden)
    is sufficient to require it
    (the Board)
    to consider
    all aspects of a request for waiver.
    The Board specifically states
    that
    it
    does
    not
    intend
    to
    grant
    requests
    pursuant
    to
    Section
    102.103 except
    in exceptional circumstances.
    Subpart B:
    Regulations of General Applicability
    The
    Board
    has
    made
    only
    one
    change
    to
    this
    Subpart.
    Subsection
    (i)
    of Section 102.121
    “Contents”
    has been revised
    to
    clarify that when any information required by the Section is either
    inapplicable or unavailable,
    the proponent mus’t supply a complete
    justification
    for that inapplicability
    or
    unavailability.
    This
    change was made
    in response to an Agency suggestion.
    (Tr.
    558.)
    The Agency
    suggested
    several
    specific revisions
    to Section
    102.121
    which
    the
    Board
    has
    not
    made.
    The
    Agency
    felt
    that
    subsection
    (b),
    which requires
    a statement of
    reasons supporting
    the proposal, including a technical and economic justification,
    is
    duplicative and should be deleted.
    The Agency stated that economic
    analysis is required by subsection
    (c), and that technical analysis
    is
    required
    by
    subsection
    (d).
    (Tr.
    555.)
    The Board does
    not
    agree.
    The requirements of subsection
    (b)
    go beyond economic and
    technical analysis, and include a statement of the facts supporting
    the
    proposal,
    a
    statement
    of
    the
    purpose
    and
    effect
    of
    the
    proposal,
    and
    a discussion
    of
    the applicable
    factors
    listed
    in
    Section
    27(a)
    of
    the
    Environmental
    Protection
    Act
    (Act).
    Ill.Rev.Stat.
    1987,
    ch.
    111 1/2.
    par.
    1027(a).
    The Board does not
    believe
    that
    subsection
    (d),
    which
    requires
    a
    synopsis
    of
    all
    testimony
    to
    be
    presented
    by
    the
    proponent
    at
    hearing,
    is
    sufficient to inform the proponent of what exactly
    is required
    in
    support
    of
    a proposal.
    The Agency also suggested that the Board
    revise
    subsection
    Cc)
    to
    require
    the
    EcIS
    recommendation
    to
    address,
    to
    the
    extent
    reasonably
    practicable,
    the
    questions
    contained
    in
    the Analysis
    of
    Economic
    and
    Budgetary
    Effects
    of
    Proposed Rulemaking,
    1
    Ill.
    Adm.
    Code 220.Exhibit
    B.
    The Agency
    maintains that
    it
    is often not
    in possession
    of this
    information
    at
    the
    beginning
    of
    the
    proceeding.
    (Tr.
    556.)
    The
    Board
    sympathizes,
    since
    it
    has
    often
    struggled
    with
    this
    form,
    but
    believes that the changes to subsection
    (1) will allow a proponent
    to provide the information
    it does have and explain any missing
    information.
    Finally, the Agency suggested that the Board should
    take
    official
    notice
    of
    some
    material
    to
    be
    incorporated
    by
    reference
    which
    is
    voluminous
    and
    already
    in
    the
    Board’s
    possession,
    instead
    o.f requiring that the proponent submit copies
    pursuant to subsection
    (f).
    (Tr.
    557.)
    Because the Board must
    maintain
    accessible
    copies
    of
    all
    materials
    incorporated
    by
    reference, the Board will not narrow the requirements of subsection
    inS--127

    4
    (f).
    See Section 6.02 of the Illinois Administrative Procedure Act
    (APA),
    Ill.Rev.Stat.1987,
    ch.
    127,
    par.
    1006.02.
    If
    a proponent
    knows that
    a specific document which
    it wishes to
    incorporate by
    reference
    is already in the Board’s possession,
    he may move for a
    waiver of subsection
    (f), pursuant to Section 102.103.
    At hearing,
    the
    ISG
    asked
    for clarification
    of
    subsection
    (d) ‘s
    requirement that the proponent
    provide
    a synopsis
    of
    all
    testimony to be presented by the proponent at hearing: whether
    a
    synopsis of each witness’ testimony is required, how detailed must
    it
    be,
    and
    whether
    any
    determination
    will
    be
    made
    as
    to
    completeness.
    As stated
    in the Board’s August
    31,
    1989
    second
    first
    notice
    opinion,
    the proponent
    need not
    identify
    specific
    witnesses, but must provide a summary of the information which will
    be presented at hearing
    in support
    of the proposal.
    Although
    a
    specific
    witness
    need
    not
    be
    identified,
    the
    synopses must
    be
    geared
    to
    individual
    witnesses.
    For
    example,
    if
    a
    proponent
    expects to present one witness on economic impact and two witnesses
    on technical considerations, the proposal should include a synopsis
    of the testimony of each of those witnesses.
    The synopsis must be
    as detailed as possible,
    so that the Board and other participants
    will
    have
    a
    general
    idea
    of
    the supporting
    testimony
    when
    the
    proposal
    is filed.
    Any determination of the completeness
    of the
    synopses will be done by the Board pursuant to Section 102.l60.2
    Another
    issue
    raised
    in
    the
    course
    of
    this
    proceeding
    is
    whether
    the
    Board
    should
    continue
    its
    prior
    practice
    of
    occasionally
    allowing
    the proposal
    of
    a
    site—specific rule
    (or
    rules)
    in
    a general rulemaking proceeding.
    In its comments, the
    ISG
    contends
    that
    Section
    27(a)
    of
    the
    Act
    specifically
    contemplates such action, and that in some circumstances it is more
    efficient
    to
    create
    a
    site-specific
    rule
    during
    a
    general
    rulemaking
    than
    to
    force
    participants
    to
    open
    dockets
    for
    variances,
    adjusted
    standards,
    and
    site—specific
    rules.
    In
    response,
    the Agency maintains that carving
    out exceptions
    in
    a
    rule of general applicability will sometimes call into question the
    rule’s federal approvability.
    The Agency argues that such a risk
    is not necessary,
    since
    options such as an adjusted standard
    or
    site—specific proceeding
    are
    available.
    After
    reviewing
    these
    comments,
    the Board
    will
    continue with
    its
    existing
    policy
    of
    sometimes allowing for proposal
    of a site—specific rule during a
    general rulemaking, where circumstances are appropriate.
    The Board
    notes,
    however, that the issue of federal approvability will be a
    consideration
    in
    deciding whether
    to
    allow
    proposal
    of
    a site-
    specific in a general rulemaking.
    2
    The Board notes that a proponent will have an opportunity to
    update the testimony,
    and must identify witnesses, when he or she
    submits the required pre-filed testimony
    21 days before hearing,
    pursuant to Section 102.280.
    108—12S

    5
    Subpart
    C:
    Site—Specific Regulations
    The
    Board
    has
    made
    only
    clarifying
    changes
    to
    Subpart
    C.
    Subsection
    (a) of Section 102.141 “Contents” now states that where
    a proponent
    seeks
    exemption
    from
    or
    modification
    of
    a
    rule
    of
    general applicability, the proposed site-specific rule may not be
    proposed as an amendment to that general rule.
    Instead, the site—
    specific rule must be proposed as its own section.
    Additionally,
    subsection
    (g)
    has been revised
    to conform with
    revised
    Section
    102.121(i),
    regarding unavailable or inapplicable information.
    The Agency suggested several non—substantive
    changes to this
    Subpart,
    such as deleting Section 102.141(b)
    as already contained
    in
    Section
    102.121,
    and combining Sections
    102.122
    and
    102.142,
    which both deal with dismissal.
    The Board has not done so, because
    Subparts B and C are separate and distinct subparts.
    The proponent
    of
    a
    site-specific
    rule
    need
    not
    comply
    with
    any
    of
    the
    requirements
    of
    Subpart
    B,
    except
    as
    specifically
    required
    in
    Subpart C.
    Therefore, Subpart C must be complete in and of itself.
    The Illinois Environmental Regulatory Group
    (IERG)
    believes
    that
    the
    content
    requirements
    of
    Section
    102.141
    are
    overly
    detailed and elaborate,
    and make it very difficult for a company
    to file an acceptable site-specific proposal with the Board.
    (P.C.
    #46.)
    IERG suggests that a statement be included in the rules that
    the Board will construe the content requirements
    liberally.
    The
    Board has not done so for two reasons.
    First, the Board does not
    agree
    that
    the
    content
    requirements
    are
    “overly
    detailed
    and
    elaborate”.
    The Board believes that the requirements
    of Section
    102.141 are fair representations
    of what must be
    included
    in the
    record of all site-specific rule changes.
    It must be remembered
    that a site—specific rule proposal generally seeks
    to
    exempt an
    individual
    company
    or
    municipality
    from
    a
    more
    stringent
    rule.
    Thus,
    the proponent
    of
    a
    site-specific
    does
    have
    a
    burden
    of
    providing sufficient information for the Board to be able to make
    an informed and reasoned decision.
    Second, the Board believes that
    the waiver
    provision
    of
    Section
    102.103,
    combined
    with
    Section
    102.141(g),
    will allow the proponent
    of a site-specific rule who
    has good reason for an inability to fulfill a given requirement to
    explain that situation.
    IERG also contends that the detail required for site-specific
    petitions
    is
    another
    way
    to
    limit
    access
    to
    Board
    rulemaking
    procedures and increase the cost to
    industry of making proposals
    to the Board.
    The Board does not agree.
    To
    the
    contrary,
    the
    Board
    finds
    that
    by
    informing
    all
    potential
    proponents
    and
    participants
    of exactly what
    is required to
    support
    a
    proposal,
    that information will be provided “up front”,
    instead of requiring
    a series of additional submissions during a rulemaking.
    The need
    for
    additional
    hearings
    and
    comment
    periods
    will
    be
    greatly
    reduced, saving money and time for the proponent, participants, and
    the Board, and the state in general.
    The Board specifically finds
    los—
    I :1o

    6
    that these content requirements do not limit access to the Board,
    but simply help the proceeding run more smoothly.
    A related issue to the content requirements for site—specific
    rule proposals
    is
    whether the
    Board
    should
    promulgate
    detailed
    additional requirements for site-specifics according to media.
    As
    the Board stated in its August 31, 1989 opinion, the Board decided
    not
    to
    proceed
    with
    specific
    rules
    for site—specific
    petitions
    dealing with water,
    air,
    land,
    or groundwater.
    This decision was
    based on the Board’s findings that Section 102.141 will address the
    most common information problems in site—specific proposals,
    and
    that
    some
    of
    the requirements
    previously
    set
    forth
    were
    indeed
    overly detailed for many proposals.
    The Agency objects
    to
    this
    decision, and urges the Board to reconsider and add rules for site—
    specifics by media.
    On the other hand,
    IERG supports the Board’s
    decision.
    After
    further
    consideration,
    the
    Board
    will
    not
    add
    media—specific
    rules.
    If
    a proposal does
    not contain sufficient
    information
    for proper evaluation
    of that proposal,
    the missing
    information can be required by a more information order, just like
    any proposal of rules of general applicability.
    If the information
    is not provided, the proposal
    is subject to dismissal pursuant to
    Section
    102.142.
    The Board
    fails
    to see why the proponent of a
    site-specific rule
    should be
    required to always provide
    certain
    information
    by
    media, when
    no suggestion has been made that the
    Board
    establish
    media—specific
    content
    rules
    for
    proposals
    of
    general
    applicability.
    The
    Board
    continues
    to
    believe
    that
    specific information required in a given proceeding can be acquired
    through the use of Board and hearing officer orders geared to that
    proceeding.
    Subpart
    D:
    Authorization,
    Scheduling,
    And Notice Of Hearings
    Section 102.161 “Scheduling Of Hearings” has been revised to
    provide that the hearing officer, rather than the Board, will issue
    an
    order
    preliminarily
    specifying
    the
    number
    of
    hearings
    on
    a
    proposal.
    Motions to exceed that number are to be directed to the
    hearing officer, either orally
    (but only at hearing) or in writing.
    The movant must show that he or she would suffer material prejudice
    if an additional hearing was not held.
    The movant must also show
    due diligence
    in
    its prior participation
    in the proceeding,
    and
    that an additional hearing rather than the opportunity to present
    public comment
    is necessary.
    These changes were made
    in response
    to comments by ISG,
    IERG, and the Agency.
    The Board believes that
    the
    revisions
    will
    provide
    flexibility
    in
    each
    rulemaking
    proceeding, and will cut down on the delay which would necessarily
    occur
    if motions for additional hearing had to be
    in writing and
    directed to the Board.
    ISG also suggested that the rule address
    a
    situation
    where
    the
    proposal
    is
    “significantly”
    amended,
    by
    providing at least two more hearings when this happens,
    and that
    the
    rule
    should
    allow
    some
    minimum
    number
    of
    hearings
    for
    the
    participants,
    to
    avoid
    a
    situation
    where
    the
    proponent
    might
    consume all of allocated days of hearing.
    The Board has not made
    108—1.30

    7
    those suggested
    changes,
    because
    it
    believes that the provision
    allowing the Board
    or the hearing
    officer to schedule additional
    hearing(s)
    will
    satisfy those concerns raised by
    ISG.
    The Board
    cannot foresee any situation where it would proceed to decision on
    a proposal after allowing only the proponent to state its case at
    hearing.
    Subpart
    E:
    Economic Impact Study Determinations
    The Board did not make any changes to this Subpart.
    The major
    issue raised by commenters
    in connection with EcIS determinations
    is whether economic considerations, and thus the issue of whether
    to
    request
    an
    EcIS,
    should
    be
    an
    issue
    in
    a federally
    required
    rulemaking pursuant to Section 28.2 of the Act.
    The United States
    Environmental Protection Agency
    (USEPA)
    maintained
    that economic
    impact studies are not appropriate for federally required rules,
    and
    stated
    that
    if
    a
    rule
    is
    federally
    required,
    it
    should
    be
    adopted within the specified federal time frame irrespective of any
    possible economic impacts.
    USEPA asserts that “the
    applicability
    of
    economic
    impact analysis
    is
    irrelevant
    in
    federally
    mandated
    rulemakings,
    and.
    .
    .this
    distinction should
    be
    incorporated
    into
    these rules.”
    (P.C.
    #43,
    p.
    2.)
    The Agency took a middle ground,
    arguing that although an EcIS and hearing are appropriate in some
    federally required rulemakings,
    there may well be cases where the
    Board will
    have
    little,
    if
    any,
    ability
    to
    modify the proposed
    regulation
    in order to adopt a rule which fully meets federal law.
    In that case,
    the Agency contends that an EcIS and hearing should
    not be conducted.
    (P.C.
    #48.)
    In
    response
    to
    the positions
    articulated by USEPA
    and
    the
    Agency,
    ISG,
    IERG,
    and
    James
    T.
    Harrington
    presented
    their
    contention that the Act does not allow the Board to dispense with
    the EcIS determination requirements set
    forth
    in Section
    28.2
    of
    the Act and in the proposed rules
    in Subpart
    E.
    These commenters
    argued that nothing
    in Section 28.2 or in the legislative history
    of the amendments
    to the Act which allow the Board
    to make
    EelS
    determinations
    (P.A.
    85—1048)
    supports
    the positions
    of
    either
    USEPA or the Agency.
    (P.C.
    #
    46,
    49,
    & 50.)
    After review of the arguments presented by all commenters, the
    Board
    finds
    that
    it
    is
    obvious
    that
    it may order
    an EcIS
    in
    a
    federally required rulemaking, consistent with the requirements of
    Section 28.2.
    If the Board were to accept USEPA’s claim that an
    EcIS
    is never appropriate
    in a federally required rulemaking,
    the
    Board would have
    to
    ignore the provisions
    of Section 28.2 which
    require the Board to make an EcIS determination within
    60 days of
    the Board’s acceptance of a proposal for a federally required rule,
    and require the Department
    of
    Energy and Natural
    Resources
    (ENR)
    to perform
    an EcIS within
    six months.
    Those provisions
    clearly
    allow,
    and
    indeed
    require,
    the
    Board
    to
    at
    a
    minimum
    make
    its
    determination as to whether an EelS should be performed in
    a given
    rulemaking.
    The Board refuses to ignore those requirements.
    105—I ~l

    8
    Subpart
    F:
    Certification Of Required Rules
    The only revision made
    to this
    Subpart
    is
    the addition
    of
    subsection
    (d)
    to Section 102.202 “Board Determination”.
    The new
    subsection provides that Board orders ruling upon any objection to
    an Agency certification that proposed rule
    is
    federally required
    are interlocutory
    in nature and may be
    appealed only pursuant to
    35 Ill. Adm. Code 101.304.
    This subsection was inadvertently left
    out of the second first notice order,
    and
    is based upon proposed
    Section 102.183.
    Both the Agency and USEPA have taken the position that this
    Subpart should be deleted entirely.
    They argue that there
    is no
    statutory
    authority
    for
    the
    Board
    to
    entertain
    or
    rule
    upon
    challenges to an Agency certification, and that the procedure could
    further delay the regulatory process.
    On the other hand,
    IERG and
    ISG contend that this procedure
    is necessary and consistent with
    Section 28.2 and the Board’s ultimate rulemaking authority.
    IERG
    maintains,
    however, that the time periods established
    in which to
    challenge an Agency certification are much too short, since it may
    be difficult for a potential objector to learn of the Board’s order
    accepting
    the
    proposal
    for hearing
    and
    file
    a
    challenge
    which
    contains all of its arguments within the 21 days allowed by Section
    102.201.
    ISG argues that the burden of proof that a proposed rule
    is federally required should be upon the Agency,
    instead
    of upon
    the objector,
    as the proposed rule provides.
    The Board finds
    that
    it has the authority
    to entertain and
    rule upon
    challenges
    to
    an
    Agency
    certification
    of
    a
    federally
    required rule.
    Although Section 28.2 does not specifically allow
    the Board to take such action,
    that section does not bar the Board
    from
    doing
    so,
    nor
    does
    the
    section
    provide
    that
    an
    Agency
    certification
    is
    dispositive.
    The Board’s
    general
    authority to
    promulgate
    regulations,
    conduct
    its own proceedings,
    and review
    Agency
    “determinations”
    allow
    the
    Board
    to
    review
    the
    Agenc~
    certification.
    See
    Sections
    5(d),
    27,
    and
    28
    of
    the
    Act.
    However,
    the
    Board will
    not extend
    the time
    frames
    for
    such
    a
    challenge.
    As the Board noted in its August 31 second first notice
    opinion,
    it
    is
    aware
    that
    the
    time
    frames
    are
    very
    tight.
    Nevertheless, because Section 28.2 requires that Board to publish
    first notice of
    all required
    rules
    in
    the Illinois Register
    no
    later than
    six months from the date the
    Board determines whether
    an EelS should be prepared,
    it is very important that any question
    as to whether
    a proposal
    is federally required be resolved at the
    The Board today reached the same conclusion on the issue of
    whether
    the
    Board
    may
    review
    an
    Agency
    certification
    that
    a
    proposed
    rule
    is
    federally
    required
    in
    RACT
    Deficiencies--
    Amendments to 35 Ill.
    Adm. Code Parts 211 and 215, R89—l6, February
    8,
    1990.
    1o8—~132

    9
    beginning of a proceeding.
    As to ISG’s assertion that the burden
    of proof should be on the Agency, the Board believes that
    it is up
    to the objector to prove the substance of his claim,
    as is the case
    for any movant.
    Subpart
    G:
    Authority Of Hearing Officer
    The
    only
    revision
    to
    this
    Subpart
    is
    the
    addition
    of
    the
    phrase
    “and
    this
    Part”,
    to
    subsection
    (1)
    of
    Section
    102.220
    “Authority Of Hearing Officer.
    Subpart H:
    Pre—Hearing Conferences
    Subsection
    (c) of Section 102.242 “Pre-hearing Order” has been
    revised’ to
    clarify
    that
    only
    the participants
    in
    a pre-hearing
    conference,
    not participants
    in general, will be
    involved in the
    preparation
    of
    an
    order
    setting
    forth
    the
    substance
    of
    any
    agreements
    reached at
    a pre—hearing conference.
    This
    change
    is
    made
    in response to a question from ISG.
    (Tr.
    514—517.)
    Subpart
    I:
    Motions And Discovery
    No changes were made to this Subpart.
    Subpart J:
    Regulatory Hearings
    Just one change was made to this Subpart.
    At the Agency’s
    suggestion,
    a
    sentence
    has
    been
    added
    to
    Section
    102.284
    “Questioning
    Of
    Witnesses”
    to
    state
    that
    the
    Board
    will
    not
    consider as substantive evidence any unsworn information which
    is
    presented
    in the
    form
    of
    a
    question during
    questioning
    of
    any
    witness.
    The Board received quite a bit of comment on Section 102.280
    “Pre-hearing Submission Of Testimony And Exhibits”.
    USEPA and the
    Agency argue that all participants
    should always be required to
    pre-file testimony,
    not just the proponent.
    The Agency contends
    that
    required
    pre-filing
    for
    all
    participants
    is
    a
    necessary
    element of the streamlining of the rulemaking process.
    The Agency
    suggests
    that
    if
    it,
    by
    motion,
    can
    demonstrate
    that
    it
    has
    provided
    adequate
    opportunity
    for review
    and
    comment
    upon
    its
    proposal
    before
    the
    proposal
    is
    filed
    with
    the
    Board
    (through
    workshop sessions and
    mailings)
    ,
    the
    Board
    shall
    enter
    an
    order
    mandating pre-filing by all participants.
    The Agency alleges that
    a failure to require pre—filing
    in such a situation gives an unfair
    advantage
    to
    the
    participants,
    as
    well
    as
    obstructing
    the
    efficiency of the regulatory process.
    IERG and ISG,
    on the other hand, support the rule as proposed.
    IERG
    notes
    that
    the
    proposed
    rule
    gives
    the
    hearing
    officer
    authority
    to
    require
    pre-filing
    by
    participants
    as well
    as
    the
    proponent,
    and contends that
    that
    is
    a much preferred
    method of
    103—1 33

    10
    handling the problem.
    IERG further submits that there
    is no way
    that the Agency can demonstrate to the Board that it has contacted
    all industry which might possibly be affected by the proposal.
    ISG
    also maintains that there are practical problems with the Agency’s
    suggestion, including a complex or poorly drafted proposal,
    or the
    possibility
    of
    an
    amended
    proposal.
    ISG
    also
    contends
    that
    regardless of whether the Board adopts the Agency’s suggestion, the
    rule should guarantee the allowance of a minimum preparation time,
    such as
    21 days,
    between the receipt
    of the most recent proposal
    and any required pre—submission of testimony.
    The Board
    continues
    to believe,
    as stated
    in
    the August
    31
    second first notice opinion, that the proposed rule will result in
    efficient hearings while allowing the Board and the hearing officer
    to
    conduct proceedings
    in
    response
    to
    the circumstances
    of
    the
    individual proceeding.
    The Board believes
    that this scenario
    is
    much more efficient and reasonable than strict requirements which
    could actually slow a proceeding down.
    The Board has not adopted
    the Agency’s suggestion because the practical problems associated
    with
    it
    could
    well
    overwhelm
    a
    proceeding
    and make
    procedure,
    rather than
    the substantive
    issues
    raised by
    the proposal,
    the
    focus of the proceeding.
    As the Board has stated repeatedly, the
    Board
    strongly
    believes
    that
    pre—submission
    of
    testimony
    and
    exhibits
    by
    all
    participants
    is
    important.
    It
    is
    the
    Board’s
    intent that the hearing officer require all participants to pre-
    submit their testimony pursuant to subsection
    (b)
    in the majority
    of cases,
    and that the hearing officer take all possible steps to
    assure that
    no proponent or participant
    is taken
    by
    surprise by
    another participant’s testimony.
    The Board also notes that issues
    which are raised at one hearing may be
    responded to
    at another
    scheduled hearing.
    The Board specifically
    states,
    however,
    that
    the rules will not be used to bar spontaneous citizen participation
    at hearing.
    The Board merely feels that it
    is important that the
    procedural rules retain as much flexibility as possible.
    For the
    same reason,
    the Board has not adopted ISG’s
    suggestion that the
    rule provide a minimum preparation time for pre—submissions.
    While
    the Board and its hearing officers strive to give all participants
    as much preparation time as possible, the establishment of such
    a
    rule would remove the flexibility which is absolutely necessary to
    efficient and fair rulemaking.
    The
    Agency
    also
    commented
    on
    subsection
    (f)
    of
    Section
    102.280, which permits the hearing officer to allow modifications
    to pre-filed testimony under certain circumstances.
    The Agency is
    concerned that the wording of the sentence would limit or eliminate
    rebuttal testimony or revisions to initially-filed testimony to be
    presented
    at
    a
    future
    hearing.
    The Agency
    thus
    suggested
    that
    modifications
    to
    pre—submitted
    testimony
    should
    be
    allowed
    if
    accompanied
    by
    an
    “adequate
    explanation”.
    The
    Board
    does
    not
    believe that the rule as proposed limits rebuttal testimony in any
    way:
    the rule merely
    refers to modifications to
    testimony pre—
    submitted for direct presentation at a given hearing.
    1)3—
    134

    11
    The Agency proposed substantial additions to Section 102.284
    “Questioning
    of
    Witnesses”,
    which
    the
    Agency
    contends
    is
    too
    general
    and does
    not provide sufficient guidance
    to the hearing
    officer
    to
    eliminate
    abusive
    cross—questioning
    practices.
    In
    response,
    ISG
    maintains
    that
    the
    Agency’s
    suggestions
    could
    prohibit
    long-standing
    Board
    practices
    such
    as
    the proposal
    of
    alternative
    language
    at
    hearing
    and
    then
    the
    questioning
    of
    a
    witness
    about
    that
    language.
    The
    Board
    has
    not
    adopted
    the
    Agency’s suggestions, because it believes that the rule establishes
    sufficient limitations on questioning.
    Subpart K:
    Economic Impact Hearings
    The
    only
    revision
    made
    to
    this
    Subpart
    is
    a
    reference
    to
    Section
    28 of the Act in Section 102.300 “Hearings On The Economic
    Impact Study Of New Proposals”.
    Subpart
    L:
    Public Comments
    The
    Board
    has
    added
    language
    to
    Section
    102.320
    “Public
    Comments”
    to specify that all public comments must be served upon
    the Agency,
    ENR,
    the Attorney General
    (if a participant), and the
    proponent,
    as
    well
    as
    on the participants
    on
    any service
    list
    established
    by
    the
    hearing
    officer.
    The Sanitary
    District
    of
    Rockford
    suggested
    that
    a
    minimum
    of
    120
    days
    be
    provided
    for
    comment
    on
    all
    technical
    rules,
    to
    allow
    comprehensive
    consideration of the proposed rules and their effects.
    (P.C.
    #41.)
    While
    the
    Board
    appreciates
    the difficulties
    with
    reviewing
    a
    technical
    proposal
    and providing
    thorough comments
    in
    a
    limited
    amount
    of
    time,
    the
    Board
    simply
    cannot allow
    four months
    for
    comment
    on all
    rules.
    Again,
    as much
    time as
    possible will
    be
    provided, but the need for flexibility in the procedural rules will
    not allow a set comment period for every rulemaking.
    There were several suggestions that the Board or its hearing
    officer
    notify
    all participants
    when
    the
    hearing
    transcript
    is
    received,
    since
    the
    time
    for
    public
    comments
    begins
    when
    the
    transcript
    is
    received
    in
    the Board’s
    office.
    As
    discussed
    at
    hearing, such notification will not be done.
    Because the Board’s
    contract
    with
    its
    court
    reporting
    service
    specifies
    when
    the
    transcript is due,
    the hearing officer will always be able to give
    participants a good idea of when the transcript will be received.
    Participants can then easily verify that the transcript actually
    was received by calling the Clerk’s Office.
    As a practical matter,
    the
    hearing
    officer
    almost
    always
    sets
    a
    date
    certain
    as
    the
    deadline for comments,
    so the situation will rarely arise.
    Subpart M:
    Board Action
    Only small
    revisions have been
    made to this
    Subpart.
    In
    subsection
    (b)
    of
    Section
    102.343
    “Second
    Notice
    Of
    Proposed
    10
    ~
    1 3 5

    12
    Regulations”, the word “substantive” has been added.
    Finally, the
    word
    “may”
    has
    been
    changed
    to
    the
    word
    “will”
    in
    Section
    102.347(a)
    “Adoption Of Peremptory Regulations”.
    Subpart N:
    Notions For Reconsideration And Appeal
    The Board made no changes to this Subpart.
    PART 106--HEARINGS PURSUANT TO SPECIFIC RULES
    No
    changes
    were
    made
    to
    the
    non—substantive
    revisions
    of
    Sections
    106.415,
    106.506,
    106.602,
    and
    106.604.
    In
    order
    to
    conserve resources, these sections are not reprinted in the order
    adopted today.
    ORDER
    The Board hereby proposes the following amendments for second
    notice,
    which
    are
    to
    be
    filed
    with
    the
    Joint
    Committee
    on
    Administrative Rules.
    TITLE 35:
    ENVIRONMENTAL PROTECTION
    SUBTITLE A:
    GENERAL PROVISIONS
    CHAPTER I:
    POLLUTION CONTROL BOARD
    PART 102
    REGULATORY AND INFORMATIONAL
    HEARINGS AND PROCEEDINGS
    SUBPART A:
    GENERAL PROVISIONS
    Section
    102.100
    Applicability
    102.101
    Definitions
    102.102
    Types Of Regulatory Proposals
    102.103
    Waiver Of Requirements
    102.104
    Other Proceedings
    SUBPART B:
    REGULATIONS OF GENERAL APPLICABILITY
    Section
    102.120
    Proposal
    102.121
    Contents
    102.122
    Dismissal
    102.123
    Proposal Of RCRA Amendments
    SUBPART
    C:
    SITE-SPECIFIC REGULATIONS
    Section
    102.140
    Proposal
    102.141
    Contents
    102.142
    Dismissal
    103—135

    13
    SUBPART D:
    AUTHORIZATION,
    SCHEDULING, AND NOTICE OF HEARINGS
    Section
    102.160
    102.161
    102. 162
    102. 163
    Section
    Section
    102.200
    102.201
    102.202
    Authorization Of Hearing
    Scheduling Of Hearings
    Notice Of Hearing
    Notice Of Site-Specific RCRA Proposals
    SUBPART
    E:
    ECONOMIC IMPACT STUDY DETERMINATIONS
    SUBPART
    F:
    CERTIFICATION OF REQUIRED RULES
    Agency Certification
    challenge To Agency Certification
    Board Determination
    SUBPART
    G:
    AUTHORITY OF HEARING OFFICER
    Section
    102.220
    102.221
    102.222
    Section
    102.260
    102.261
    102.262
    Section
    102.280
    102.281
    102.282
    Authority Of Hearing Officer
    Notice And Service Lists
    Effect Of Hearing Officer Ruling
    SUBPART
    H:
    PRE-HEARING CONFERENCES
    Initiation And Scheduling
    Purpose
    Pre-hearing Order
    SUBPART
    I:
    MOTIONS AND DISCOVERY
    Motion Practice
    Production Of Information
    Subpoenas
    SUBPART
    3:
    REGULATORY HEARINGS
    Pre-hearing Submission Of Testimony And Exhibits
    Transcript
    Admissible Information
    102.180
    102.181
    102
    .
    182
    102.183
    Board Determinations
    Request For Determination
    Basis For Board Determination
    Notice Of Board Determination
    Section
    102.240
    102.241
    102.242
    108—137

    14
    102.283
    Presentation Of Testimony
    102.284
    Questioning Of Witnesses
    102.285
    Record For Decision
    SUBPART K:
    ECONOMIC IMPACT HEARINGS
    Section
    102.300
    Hearings On The Economic Impact Study Of New Proposals
    102.301
    Hearings On The Economic Impact Study Of Existing
    Regulations
    SUBPART
    L:
    PUBLIC COMMENTS
    Section
    102.320
    Public Comments
    SUBPART M:
    BOARD ACTION
    Section
    102.340
    Revision Of Proposed Regulations
    102.341
    Adoption Of Regulations
    102.342
    First Notice Of Proposed Regulations
    102.343
    Second Notice Of Proposed Regulations
    102.344
    Notice Of Board Final Action
    102.345
    Adoption Of Identical
    In Substance Regulation
    102.346
    Adoption Of Emergency Regulations
    102.347
    Adoption Of Peremptory Regulations
    102.348
    Adoption Of Temporary Regulations
    SUBPART N:
    MOTIONS FOR RECONSIDERATION AND APPEAL
    Section
    102.360
    Filing Of Motion For Reconsideration
    102.361
    Disposition Of Motions For Reconsideration
    102.362
    Correction of Publication Errors
    103.363
    Appeal
    AUTHORITY:
    Implementing
    Sections
    5,
    7.2,
    13(c),
    13.3,
    17.5,
    22.4(a),
    22.4(d),
    22.7(d),
    27,
    28,
    28.2,
    29,
    and
    41
    of
    the
    Environmental Protection Act
    (Ill.
    Rev.
    Stat. 1987 and 1988 Supp.,
    ch.
    111½,
    pars.
    1005,
    1007.2,
    1013(c),
    1013.3,
    1017.5,
    1022.4(a),
    1022.4(d),
    1022.7(d),
    1027,
    1028,
    1028.2,
    1029,
    and
    1041)
    and
    Section
    4 of “AN ACT in relation to natural resources,
    research,
    data collection and environmental studies”
    (Ill.
    Rev.
    Stat.
    1987
    and 1988
    Supp.,
    ch.
    96½,
    par.
    7404)
    and authorized by Section 26
    of
    the
    Environmental
    Protection Act
    (Ill.
    Rev.
    Stat.
    1987,
    ch.
    111½,
    par.
    1026).
    SOURCE:
    Originally adopted as Chapter
    1:
    Procedural Rules,
    Part
    II:
    Regulatory and Other Nonadjudicative Hearings and Proceedings,
    in R70-4,
    1 PCB 43, October
    8,
    1970; codified at 6
    Ill. Peg.
    8357;
    amended in P84—10 at 9
    Ill.
    Peg.
    1398, effective January 16,
    1985;
    108-133

    15
    Part repealed, new Part adopted in P88-5(B)
    at
    ______
    Ill. Peg.
    _______________
    effective
    ______________________
    NOTE:
    Capitalization denotes statutory language.
    SUBPART A:
    GENERAL PROVISIONS
    Section 102.100
    Applicability
    This Part applies to all regulatory and informational hearings and
    proceedings,
    and shall
    be
    read
    in conjunction with
    35
    Ill.
    Adm.
    Code 101.
    Hearings conducted pursuant to this Part shall be quasi-
    legislative in nature.
    All testimony shall be sworn.
    All persons
    taking part in these hearings are participants, rather than parties
    as in contested cases.
    Section 102.101
    Definitions
    The following definitions shall apply to this Part:
    “Act” means the Environmental Protection Act (Ill.
    Rev.
    Stat.
    1987,
    ch.
    ill 1/2,
    par.
    1001 et seq.).
    “Agency”
    means
    the
    Illinois
    Environmental
    Protection
    Agency.
    “APA”
    means
    the
    Illinois Administrative
    Procedure
    Act
    (Ill.
    Rev. Stat.
    1987,
    ch.
    127,
    par.
    1001 et seq.).
    “Attorney
    General”
    means
    the
    Office
    of
    the
    Attorney
    General
    of the State of Illinois.
    “Board” means the Illinois Pollution Control
    Board.
    “Chairman” means the Chairman of the Board.
    “Clerk” means the Clerk of the Board.
    “Document” means pleading,
    notice,
    motion,
    affidavit,
    memorandum,
    brief,
    petition,
    or other paper required or
    permitted to be filed.
    “DNS” means the Illinois Department of Nuclear Safety.
    “Economic impact study” means the economic impact study
    performed by ENR pursuant
    to Board determination under
    Section 27 of the Act.
    “ENR” means the Illinois Department of Energy and Natural
    Resources.
    “Fire
    Marshal”
    means
    the
    Office
    of
    the
    State
    Fire
    ~fl5_i
    31)

    16
    Marshal.
    “Identical. in substance regulations” means STATE
    REGULATIONS WHICH REQUIRE THE SANE ACTIONS WITH PESPECT
    TO PROTECTION
    OF THE ENVIRONMENT,
    BY THE SANE GROUP
    OF
    AFFECTED
    PERSONS,’ AS WOULD FEDERAL REGULATIONS
    IF THE
    UNITED
    STATES
    ENVIRONMENTAL
    PROTECTION
    AGENCY
    ADMINISTERED THE SUBJECT PROGRAM IN ILLINOIS.
    (Section
    7.2 of the Act.)
    “Identical
    in substance rulemakings” are those
    proceedings conducted pursuant to specific authorization
    of the Act,
    including but not limited to Sections 13(c),
    13.3,
    17.5,
    22.4(a),
    22.4(d)
    and 22.7(d).
    “JCAP” means the Joint Committee on Administrative Rules.
    “Material” means relating to any substantive issue that
    is of consequence to the determination of a proceeding.
    “Participant” means any person,
    not including the Board
    or its staff but including the proponent, who takes part
    in
    a regulatory
    or
    other quasi—legislative
    proceeding
    before the Board.
    A person becomes a participant in any
    of several
    ways,
    including,
    but not limited
    to,
    filing
    a comment, being added to the notice list of a particular
    proceeding or testifying at hearing.
    “Peremptory rulemaking” means ANY RULEMAKING WHICH
    IS
    REQUIRED AS A RESULT OF FEDERAL LAW, FEDERAL RULES AND
    REGULATIONS,
    OR AN ORDEP
    OF A COURT,
    UNDER CONDITIONS
    WHICH
    PRECLUDE
    COMPLIANCE WITH THE
    GENERAL RULEMAKING
    REQUIREMENTS
    OF
    SECTION
    5.01
    OF
    THE
    APA
    AND
    WHICH
    PRECLUDE THE EXERCISE BY THE BOARD AS TO THE CONTENT OF
    THE RULE.
    (Section 5.03
    of the APA.)
    “Person” means any entity defined in Section 3.26 of
    the
    Act,
    including
    but not limited to any
    individual,
    partnership, company, corporation, political subdivision,
    or state agency.
    “Proponent” means any person,
    not including the Board
    or its staff, who submits a regulatory proposal to the
    Board
    for
    the
    adoption,
    amendment,
    or
    repeal
    of
    a
    regulation.
    “PCRA” means the Resource Conservation and Recovery Act
    of 1976
    (42 U.S.C. 6901 et seq.).
    “RCRA rules” means 35 Ill.
    Adm. Code 702, 703, 720,
    721,
    722,
    723,
    724,
    725,
    726,
    and 728.
    108—141)

    17
    “Relevant” means having any tendency to make the
    existence
    of
    any
    act
    that
    is
    of
    consequence
    to
    the
    determination
    of the proceeding
    more probable or
    less
    probable that it would be without the information.
    “Required rule”
    means
    a rule that is
    NEEDED TO FULFILL
    THE
    REQUIREMENTS
    OF
    THE
    FEDERAL
    CLEAN
    WATER
    ACT
    (33
    U.S.C. 1251 ET SEQ.), SAFE DRINKING WATER ACT,
    (42 U.S.C.
    300f ET SEQ.),
    CLEAN AIR ACT
    (42 U.S.C.
    7401
    ET SEQ.),
    OP RESOURCE CONSERVATION
    AND
    RECOVERY ACT (42 U.S.C. 6901
    ET SEQ.)
    OTHER THAN A RULE TO BE ADOPTED UNDER SECTION
    13(c), 13.3,
    17.5, 22.4(a),
    22.4(d)
    ,
    OP 22.7 OF THE ACT.
    (Section 28.2 of the Act.)
    “Site—specific
    regulation” means
    a proposed or adopted
    regulation
    SPECIFIC
    TO
    INDIVIDUAL
    PERSONS
    OR
    SITES.
    (Section 27(a)
    of the Act.)
    “Undue
    delay”
    means
    delay
    which
    is
    unwarranted,
    unjustified,
    or improper.
    “USEPA” means the United States Environmental Protection
    Agency.
    Section 102.102
    Types Of Regulatory Proposals
    a)
    The Act provides for three types of regulatory proposals:
    1)
    Identical
    in
    substance rulemakings,
    as defined
    in
    Section 102.101;
    2)
    Federally
    required
    rules,
    as
    defined
    in
    Section
    102.101; and
    3)
    Other
    regulatory
    proposals,
    both
    of
    general
    applicability and not of general applicability.
    b)
    Regulations arising from these types of proposals may be
    adopted through four types of rulemaking:
    1)
    General rulemaking pursuant to Section 5.01 of the
    APA and Sections 26 and
    27 of the Act;
    2)
    Emergency rulemaking pursuant to Section 5.02 of the
    APA and Section 27 of the Act;
    3)
    Peremptory rulemaking pursuant
    to Section
    5.03
    of
    the APA; and
    4)
    Temporary rulemaking pursuant to
    Section
    27(b)
    of
    the Act.
    1081/41

    18
    c)
    The provisions
    of
    Subpart
    B of
    this Part apply
    to all
    types
    of
    regulatory
    proposals
    except
    identical
    in
    substance proposals.
    Section 102.103
    Waiver Of Requirements
    The Board may waive any of the non—statutory requirements of this
    Part upon a showing by a person that a particular requirement would
    create an undue burden on that person.
    Section 102.104
    Other Proceedings
    The
    Board may conduct
    such
    other
    noncontested
    or
    informational
    hearings as may be necessary to accomplish the purposes of the Act.
    SUBPART
    B:
    REGULATIONS OF GENERAL APPLICABILITY
    Section 102.120
    Proposal
    Any person may
    submit
    a regulatory
    proposal
    for
    the
    adoption,
    amendment,
    or repeal of a regulation.
    The original and nine
    (9)
    copies of each proposal shall be filed with the Clerk and one copy
    each with the Attorney General, the Agency and ENR.
    Section 102.121
    Contents
    Each proponent shall provide:
    a)
    The
    language of the proposed regulation
    or amendment,
    including
    an identification
    of the existing regulatory
    language proposed to be
    amended
    or
    deleted.
    Language
    being
    added
    shall
    be
    indicated
    by
    underscoring
    and
    language
    being
    deleted
    shall
    be
    indicated
    by strike-
    outs.
    The proposed rule shall be drafted in accordance
    with
    1 Ill. Adm. Code lOO.Subpart
    C;
    b)
    A
    statement
    of
    the
    reasons
    supporting
    the
    proposal,
    including
    a
    statement
    of
    the
    facts
    which
    support
    the
    proposal,
    and
    a statement
    of the purpose and effect of
    the proposal.
    The statement shall discuss the applicable
    factors listed in Section
    27(a)
    of the Act.
    Where the
    proposal
    covers
    more
    than
    one
    substantive
    point,
    the
    statement of reasons shall include statements in support
    of each point.
    The statement of reasons shall
    include
    a technical and economic justification for the proposal;
    c)
    Pursuant to Section
    27 of the Act, A RECOMMENDATION
    OF
    WHETHEP
    AN
    ECONOMIC
    IMPACT
    STUDY
    IS
    ADVISABLE.
    The
    recommendation shall describe,
    TO THE EXTENT REASONABLY
    PRACTICABLE,
    THE
    UNIVERSE
    OF
    AFFECTED
    SOURCES
    AND
    FACILITIES AND THE ECONOMIC IMPACT OF THE PROPOSED RULE.
    100—142

    19
    The
    recommendation
    shall
    also
    address
    the
    questions
    contained
    in
    the
    Analysis
    of
    Economic
    and
    Budgetary
    Effects of Proposed Rulemaking, set forth at
    1 Ill. Adm.
    Code 220.Exhibit
    B,
    and identify issues to be addressed
    by any economic impact study;
    d)
    A
    synopsis
    of
    all
    testimony
    to
    be
    presented
    by
    the
    proponent at hearing;
    e)
    If
    the
    Agency
    is
    the
    proponent,
    and
    if
    the
    Agency
    believes
    that
    the
    proposed
    rule
    is
    a
    required
    rule
    pursuant
    to
    Section
    28.2
    of
    the
    Act,
    citation
    to the
    specific section
    of the specific federal
    act;
    f)
    Copies
    of
    any
    material to be incorporated by reference
    within the proposed regulation pursuant to Section 6.02
    of the APA;
    g)
    Proof of service upon all persons required to be served
    pursuant to Section 102.120;
    h)
    Unless
    the
    proponent
    is
    the
    Agency,
    ENR,
    or
    DNS,
    a
    petition
    signed by
    at
    least
    200
    persons,
    pursuant
    to
    Section 28 of the Act and Section 102.160(a); and
    i)
    Where
    any
    information
    required
    by
    this
    Subpart
    is
    inapplicable or unavailable, a complete justification for
    such inapplicability or unavailability.
    Section 102.122
    Dismissal
    a)
    Failure
    of
    the
    proponent
    to
    satisfy
    the
    content
    requirements of Section 102.121 or failure to respond to
    Board requests for additional information will render a
    proposal subject to dismissal
    for inadequacy.
    b)
    Failure
    of the proponent
    to pursue disposition
    of
    the
    proposal
    in
    a
    timely
    manner
    will
    render
    a
    proposal
    subject to dismissal.
    c)
    Any person may file
    a motion challenging the sufficiency
    of a proposal pursuant to 35 Ill.
    Adm.
    Code 101.243.
    Section 102.123
    Proposal Of RCRA Amendments
    In addition to satisfying the requirements of Section 102.121, any
    proposal to amend the RCRA regulations shall:
    a)
    Indicate whether
    it
    is made pursuant
    to the provisions
    of Section 22.4(a),
    22.4(b)
    or 22.4(c)
    of the Act;
    b)
    Include
    a listing of all amendments to the corresponding
    108—143

    20
    federal regulations since the period encompassed by the
    last amendment of the Board’s RCRA rules; and
    c)
    Include a certificate of service indicating that a copy
    of
    the proposal
    has been
    served
    on
    the United
    States
    Environmental Protection Agency (USEPA).
    Service shall
    be made at the following address:
    Director,
    Waste Management Division
    USEPA,
    Region V
    230 South Dearborn Street
    Chicago, Illinois 60604
    SUBPART
    C:
    SITE-SPECIFIC REGULATIONS
    Section 102.140
    Proposal
    Any
    person
    may
    submit
    a
    written
    proposal
    for
    the
    adoption,
    amendment
    or
    repeal
    of
    a
    substantive
    site-specific
    regulation.
    The original and nine
    (9)
    copies of each proposal shall be filed
    with the Clerk and one copy each served upon the Agency,
    ENR, and
    the Attorney General.
    Section 102.141
    Contents
    a)
    The proponent shall
    identify the regulations which are
    to
    be
    addressed
    by.
    the
    pro~osed amendment
    and
    the
    language to
    be added,
    deleted,
    or
    repealed.
    Language
    being
    added
    shall
    be
    indicated
    by
    underscoring
    and
    language
    being
    deleted
    shall
    be
    indicated
    by strike-
    outs.
    If
    the
    proposed
    site—specific
    rule
    seeks
    an
    exemption
    from
    or
    modification
    of
    a
    rule
    of
    general
    applicability,
    the proposed site-specific rule may not
    be
    proposed
    as
    an
    amendment
    to
    the
    general
    rule.
    Instead, the site-specific rule must be proposed as its
    own section.
    b)
    The proponent shall
    provide a statement of reasons and
    facts
    supporting the proposal,
    and
    a
    statement of the
    purpose and effect of the proposal.
    c)
    The proposal shall also comply with all requirements set
    forth in Section 102.121.
    d)
    In the event that the proposed rule would
    replace the
    applicability of a general rule to the pollution source,
    the
    proposal
    shall
    specify,
    with
    supporting
    documentation,
    the reasons why the general rule
    is not
    technically feasible or economically reasonable for the
    person
    or
    site.
    Such
    documentation
    shall
    include
    relevant information on other similar persons’ or sites’
    I
    C
    S—14
    /

    21
    ability to comply with the general rule.
    e)
    The proposal shall describe the person or site for which
    regulatory change is sought and the area affected by the
    proposed
    change.
    The
    proposal
    shall
    also
    include
    a
    detailed assessment of the environmental
    impact of the
    proposed
    change,
    and
    include
    a
    description
    of
    all
    available treatment or control options.
    f)
    The proposal shall demonstrate that the Board may grant
    the requested relief consistent with federal
    law.
    g)
    Where
    any
    information
    required
    by
    this
    Subpart
    is
    inapplicable or unavailable, the proposal shall
    include
    a
    complete
    justification
    for
    such
    inapplicability
    or
    unavailability.
    Section 102.142
    Dismissal
    a)
    Failure
    of
    the
    proponent
    to
    satisfy
    the
    content
    requirements for proposals under this Subpart or failure
    to respond to Board requests for additional information
    will
    render
    a
    proposal
    subject
    to
    dismissal
    for
    inadequacy.
    b)
    Failure
    of the proponent to pursue disposition
    of the
    proposal
    in
    a
    timely
    manner
    will
    render
    a
    proposal
    subject to dismissal.
    c)
    Any person may file a motion challenging the sufficiency
    of the proposal pursuant to 35
    Ill.
    Adm.
    Code 101.243.
    SUBPART
    D:
    AUTHORIZATION,
    SCHEDULING, AND
    NOTICE OF HEARINGS
    Section 102.160
    Authorization Of Hearing
    a)
    The Clerk shall assign a docket number to any proposal.
    All
    regulatory proposals
    will
    be placed
    on
    the
    Board
    agenda
    for determination of adequacy under the Act and
    Sections 102.121 and 102.141.
    IF THE BOARD FINDS THAT
    ANY SUCH PROPOSAL
    IS NOT PLAINLY
    DEVOID OF MERIT,
    DOES
    NOT DEAL WITH A SUBJECT ON WHICH A HEARING HAS BEEN HELD
    WITHIN
    THE
    PRECEDING
    6
    MONTHS,
    IS
    ACCOMPANIED
    BY
    AN
    ADEQUATE STATEMENT OF SUPPORTING REASONS AND A PETITION
    SIGNED
    BY
    AT
    LEAST
    200
    PERSONS,
    and
    meets
    the
    requirements
    of
    this
    Part,
    THE
    BOARD
    WILL
    SCHEDULE
    A
    PUBLIC HEARING FOR CONSIDERATION OF THE PROPOSAL.
    IF A
    PROPOSAL IS
    MADE
    BY THE AGENCY,
    ENR,
    OR DNS,
    THE BOARD
    SHALL SCHEDULE A PUBLIC HEARING WITHOUT
    REGARD TO
    THE
    ABOVE CONDITIONS.
    Pursuant to Section 28 of the Act, THE
    1 00— 1 ~
    5

    22
    BOARD
    MAY
    ALSO
    IN
    ITS
    DISCRETION
    SCHEDULE
    A
    PUBLIC
    HEARING UPON ANY PROPOSAL WITHOUT REGARD
    TO THE ABOVE
    CONDITIONS.
    (Section 28 of the Act.)
    The proponent must
    cure any inadequacy identified by Board order before the
    proposal will proceed to hearing.
    b)
    If
    the
    Board
    determines
    that
    a
    proposal
    meets
    the
    requirements
    of
    subsection
    (a),
    and
    if
    any filing
    fee
    required by the Act and
    35
    Ill.
    Adm.
    Code
    101.120 has
    been paid,
    the Board will
    issue an
    order accepting the
    proposal for hearing.
    Such an order will be construed
    as starting the timeclock for purposes of any applicable
    economic
    impact
    study
    and
    first
    notice
    publication
    deadlines pursuant to Sections 27 and 28.2 of the Act.
    c)
    When the Board authorizes
    a hearing,
    the Chairman will
    designate
    an
    attending Board member.
    A member of
    the
    Board
    may
    serve
    as
    hearing
    officer
    if
    otherwise
    qualified,
    and
    such
    hearing
    need
    not
    be
    attended
    by
    another Board member.
    d)
    In the case
    of a proposed regulatory change
    under the
    provisions of 35 Ill. Adm. Code 302.211(j) or 304.141(c),
    the
    requirement
    of
    subsection
    (a)
    relating
    to
    a
    requirement of 200 signatures shall not apply.
    In such
    case only a single hearing shall be required, to be held
    in the affected county.
    e)
    The
    Board
    may
    consolidate
    proposals
    for
    hearing
    or
    decision.
    Section 102.161
    Scheduling Of Hearings
    a)
    Except as otherwise provided by the Act,
    no substantive
    regulation shall
    be .adopted, amended or repealed by the
    Board until after at least one public hearing.
    In the
    case of
    site—specific rules,
    a public hearing shall
    be
    held in the affected county.
    In the case of state-wide
    regulations,
    public hearings shall
    be held in at least
    two counties of the state.
    b)
    The
    Board
    need
    not
    hold
    a
    hearing
    on
    a
    procedural
    regulation,
    except as
    provided by Section
    5.01
    of
    the
    APA.
    c)
    After
    consideration
    of
    the
    number
    and
    complexity
    of
    issues
    involved
    in
    a regulatory
    proposal,
    the hearing
    officer will issue an order preliminarily specifying the
    number of hearings to be held on that proposal.
    d)
    If the proponent or any participant wishes to request
    a
    11)8—145

    23
    hearing beyond the number of hearings specified by the
    hearing officer pursuant to subsection
    (c),
    that person
    must demonstrate,
    in a
    motion to the Board, that failing
    to hold an additional hearing would result in material
    prejudice to the movant.
    The motion may be oral,
    if made
    at hearing, or written.
    The movant must show that he or
    she exercised due diligence
    in its participation
    in the
    proceeding, and why an additional hearing, as opposed to
    the opportunity to
    submit written comments pursuant to
    Section 102.320,
    is necessary.
    e)
    Notwithstanding subsection
    (d), the Board or the hearing
    officer will schedule an additional hearing or hearings
    on its own motion,
    if
    it finds that additional hearing
    would aid the Board in its decision on the proposal.
    Section 102.162
    Notice Of Hearing
    a)
    The
    hearing
    officer
    will
    set
    a
    time
    and
    place
    for
    hearing.
    The Clerk shall give notice of the date of the
    hearing as follows:
    1)
    By notice in the Board’s Environmental Register; and
    2)
    At
    least
    20
    days
    prior
    to
    the hearing
    date,
    by
    public
    advertisement
    in
    a
    newspaper
    of
    general
    circulation
    in the county
    in which the hearing
    is
    to
    be
    held.
    Where
    required
    by
    federal
    law,
    including but not limited to air pollution and PCRA
    proposals,
    newspaper notice shall
    be published
    at
    least 30 days prior to the hearing date.
    b)
    The hearing
    officer
    will
    give
    notice
    by
    mail
    to
    the
    proponent
    and to
    all persons who have
    submitted their
    names and addresses to the Clerk concerning the proposal.
    c)
    Hearings which are continued on the hearing record for
    a period of
    45 days or less do not require notice that
    complies with subsections
    (a) and
    (b).
    Section 102.163
    Notice Of Site-Specific RCRA Proposals
    a)
    Public notice of hearings on site-specific RCRA proposals
    shall
    be given at least
    30 days before the date of the
    hearing.
    b)
    In addition to the requirements of Section 28 of the Act
    and Section 102.211, the Board,
    at a minimum, will give
    notice
    of
    hearings
    on
    a site—specific RCRA proposal
    to
    the following persons:
    1)
    Federal agencies as designated by USEPA;
    108—147

    24
    2)
    Illinois Department of Transportation;
    3)
    Illinois Department of Conservation;
    4)
    Illinois Department of Energy and Natural Resources;
    5)
    Illinois Department of Public Health;
    6)
    The
    governor
    of
    any
    other
    state
    adjacent
    to the
    county in which the facility is located; and
    7)
    Elected officials of any counties,
    in other states,
    adjacent
    to
    the
    county
    in
    which the
    facility
    is
    located, and elected officials in any municipality,
    in
    another state,
    if
    it
    is the closest population
    center to the
    facility.
    c)
    In
    addition to the methods of notice by publication of
    Section 28 of the Act and Section 102.241, the Board will
    give
    notice
    by
    radio
    broadcast
    in
    the
    area
    of
    the
    facility.
    That
    notice
    will
    include
    the
    information
    required by subsections
    (d) (2) and (d) (4) through
    (d) (8)
    below.
    d)
    A hearing notice on a site—specific RCRA proposal will
    include the following information:
    1)
    The address of the Board office;
    2)
    Name and address of the proponent and,
    if different,
    of the facility for which the site-specific rule is
    sought;
    3)
    A brief description of the business conducted at the
    facility and the activity described in the petition;
    4)
    A
    description
    of
    the
    relief
    requested
    in
    the
    petition
    and
    the
    Board’s
    docket
    number
    of
    the
    proceeding;
    5)
    Name, address and telephone number of the Clerk of
    the Board,
    from whom interested persons may obtain
    further
    information,
    including
    copies
    of
    the
    proposal;
    6)
    The
    name,
    address
    and
    telephone
    number
    of
    the
    Agency’s representative in the rulemaking;
    7)
    A description
    of any written
    comment period
    or
    a
    statement that a comment period will be established
    in the future;
    108—148

    25
    8)
    A statement
    that the record
    in the rulemaking
    is
    available at the Board office for inspection, except
    those portions.which are claimed
    or determined to
    be trade secrets, and that procedures are available
    whereby
    disclosure
    may
    be
    sought
    by
    the
    public
    pursuant to 35 Ill. Adm. Code
    120.
    9)
    A statement that site-specific rules may be adopted
    pursuant to Title VII of the Act and
    35
    Ill.
    Adm.
    Code
    102,
    and a reference to the Board regulations
    sought to be modified; and
    10)
    Any additional
    information considered necessary or
    proper.
    SUBPART E:
    ECONOMIC IMPACT STUDY DETERMINATIONS
    Section 102.180
    Board Determinations
    a)
    Within
    60
    days
    of
    the date
    that the
    Board
    accepts
    a
    proposal
    for hearing pursuant to Section
    28
    of the Act
    and Section
    102.160, the Board shall determine whether
    an economic impact study should be prepared.
    b)
    Notwithstanding subsection
    (a), AT ANY TIME PRIOR TO THE
    CLOSE OF THE RECORD DURING THE RULEMAKING PROCEEDING, THE
    BOARD
    MAY
    DETERMINE THAT AN ECONOMIC IMPACT STUDY SHOULD
    BE
    PREPARED,
    IF
    THE
    PROPOSAL
    HAS
    BEEN
    SUBSTANTIALLY
    MODIFIED OR IF INFORMATION IN
    THE
    RECORD INDICATES
    THAT
    AN ECONOMIC IMPACT STUDY WOULD
    BE ADVISABLE.
    (Section
    27
    of
    the
    Act.)
    However,
    this
    subsection
    is
    not
    applicable
    to
    proceedings
    involving
    required
    rules
    pursuant to Section
    28.2 of the Act.
    c)
    IF THE BOARD DETERMINES
    THAT AN ECONOMIC IMPACT STUDY
    SHOULD
    BE CONDUCTED,
    ENR SHALL CONDUCT SUCH A STUDY
    IN
    ACCORDANCE WITH “AN ACT IN RELATION TO NATURAL RESOURCES,
    RESEARCH,
    DATA
    COLLECTION
    AND
    ENVIRONMENTAL
    STUDIES”
    (Ill.
    Rev.
    Stat.
    1987,
    ch.
    96
    1/2,
    par.
    7401 et seq.).
    THE BOARD
    MAY
    IDENTIFY SPECIFIC ISSUES TO
    BE ADDRESSED
    IN THE STUDY.
    (Section 27
    of the Act.)
    Section 102.181
    Request For Determination
    a)
    WITHIN
    21
    DAYS
    OF THE
    DATE
    THAT
    THE
    BOARD ACCEPTS
    A
    PROPOSAL FOR HEARING PURSUANT TO SECTION
    28
    OF
    THE
    ACT
    AND
    SECTION
    102.160,
    ANY PERSON
    MAY
    REQUEST
    THAT THE
    BOARD DETERMINE THAT AN ECONOMIC IMPACT STUDY SHOULD OR
    SHOULD NOT BE PREPARED.
    (Section
    27 of the Act.)
    b)
    Such request shall be made
    in writing,
    and shall detail
    if~~
    1
    ~

    26
    the reasons for the request.
    The request SHALL DESCRIBE,
    TO THE EXTENT REASONABLY PRACTICABLE, THE ECONOMIC IMPACT
    OF
    THE PROPOSED RULE.
    (Section
    27
    of
    the Act.)
    All
    material facts asserted in the request shall be verified
    by affidavit.
    c)
    The person filing the request shall file the original and
    nine
    (9) copies with the Clerk,
    and one copy each with
    the Agency, ENR, the Attorney General, and the proponent.
    d)
    No hearing will be held on any request filed pursuant to
    this Section.
    Section 102.182
    Basis For Board Determination
    In
    determining
    whether
    an
    economic
    impact
    study
    should
    be
    performed,
    the Board will consider:
    a)
    Information
    in
    the
    record
    furnished
    by
    the proponent
    pursuant
    to
    Sections
    102.121
    and
    102.141
    and by
    any
    person
    filing a request
    for determination pursuant
    to
    Section 102.231;
    b)
    ITS ASSESSMENT OF THE POTENTIAL ECONOMIC IMPACT OF THE
    RULE;
    c)
    THE POTENTIAL FOR CONSIDERATION OF THE ECONOMIC IMPACT
    ABSENT SUCH A STUDY;
    d)
    THE EXTENT,
    IF ANY,
    TO WHICH THE BOARD IS FREE UNDER THE
    STATUTE AUTHORIZING THE RULE TO MODIFY THE SUBSTANCE OF
    THE RULE BASED UPON THE CONCLUSIONS OF AN ECONOMIC IMPACT
    STUDY; and
    e)
    ANY OTHER
    CONSIDERATIONS
    THE
    BOARD
    DEEMS
    APPROPRIATE.
    (Sections 27 and 28.2 of the Act.)
    Section 102.183
    Notice Of Board Determination
    The
    Board
    will
    issue
    a
    written
    interlocutory
    order
    giving
    the
    reasons
    for
    its determination.
    The proponent,
    the Agency,
    ENR,
    the Attorney General
    and any person who has asked to be placed on
    the
    notice
    list
    for the
    proposal
    will
    be
    given
    notice
    of
    the
    Board’s determination.
    Orders entered pursuant to
    this Section
    may be appealed only pursuant to 35
    Ill.
    Adm.
    Code 101.304.
    SUBPART F:
    CERTIFICATION OF REQUIRED RULES
    Section 102.200
    Agency Certification
    WHEN THE AGENCY PROPOSES A RULE WHICH IT BELIEVES TO BE A REQUIRED
    10q_1
    ~

    27
    RULE as defined by Section 28.2(a)
    of the Act and Section 102.101,
    THE
    AGENCY
    SHALL
    SO
    CERTIFY
    IN
    ITS
    PROPOSAL,
    IDENTIFYING
    THE
    FEDERAL
    LAW TO WHICH THE PROPOSED RULE WILL RESPOND.
    (Section
    28.2(e)
    of the Act.)
    Such certification shall include citation to
    the specific
    section
    of
    the
    specific
    federal
    law to
    which
    the
    proposed rule will respond.
    Section 102.201
    Challenge To Agency Certification
    a)
    If
    any
    person
    wishes
    to
    challenge
    the
    Agency’s
    certification that
    a proposed rule
    is
    a required rule,
    that person shall file an objection to that certification
    within 21 days of the date of the Board’s order accepting
    a proposal for hearing.
    Such objection shall state the
    reasons that the objector believes that the proposed rule
    is not a required rule,
    and shall include all arguments
    which the objector wishes the Board to consider.
    A copy
    of the objection shall be served upon the Agency and ENR.
    b)
    The Agency may
    file
    a response to any objection within
    10 days of the service
    of that objection.
    No
    reply by
    the objector will
    be allowed,
    unless the Board orders
    otherwise to avoid material prejudice.
    c)
    No hearing will be held on any objection filed pursuant
    to this Section.
    Section 102.202
    Board Determination
    a)
    The Board will rule upon
    any
    objection filed pursuant to
    this Subpart within
    60 days of the date that the Board
    accepts
    a proposal for hearing.
    The Board’s ruling will
    be made
    in
    its
    order determining whether
    an
    economic
    impact study will be prepared, issued pursuant to Section
    102.180.
    b)
    In ruling upon an objection to an Agency certification,
    the Board will consider all information in the record of
    that
    proceeding,
    including
    but
    not
    limited
    to
    the
    proposal, the objection, and the Agency response to the
    objection.
    The burden of proof
    is on the objector.
    c)
    The Board will give notice of
    its determination to the
    objector, the Agency,
    ENR, and any person who has asked
    to be placed on the notice list for that proposal.
    d)
    Orders entered pursuant to this Section are interlocutory
    in nature and may be appealed
    only pursuant to
    35
    Ill.
    Adm.
    101.304.
    SUBPART C:
    AUTHORITY OF HEARING OFFICER
    I OS—i 51

    28
    Section 102.220
    Authority Of Hearing Officer
    The hearing officer has the duty to conduct a fair hearing, to take
    all
    necessary
    action
    to avoid
    delay,
    to maintain
    order,
    and to
    ensure development of a clear,
    complete,
    and concise
    record.
    He
    or she will have all powers necessary to these ends, including
    (but
    not limited to)
    the authority to:
    a)
    Require
    and
    establish
    a schedule
    for,
    and
    notice
    and
    distribution of, any pre-hearing submission of testimony
    and written exhibits;
    b)
    Require all participants
    to
    state their
    position with
    respect to the proposal;
    c)
    Administer oaths and affirmations;
    d)
    Examine witnesses and direct witnesses to testify;
    e)
    Regulate the course
    of the hearing,
    including but not
    limited to controlling the order of proceedings;
    f)
    Establish
    reasonable
    limits
    on
    the
    duration
    of
    the
    testimony
    and
    questioning
    of
    any
    witness
    and
    limit
    repetitious or cumulative testimony and questioning;
    g)
    Issue,
    in the name of the Board, an order compelling the
    answering of interrogatories or other discovery requests;
    h)
    Order the production of evidence as specified in Section
    102.261 and 35 Ill.
    Adm.
    Code 101.261;
    i)
    Initiate,
    schedule and conduct a pre—hearing conference
    as specified in Subpart
    H;
    j)
    Issue subpoenas pursuant to Section 102.262 and 35
    Ill.
    Adm.
    Code 101.260;
    k)
    Exclude late—filed briefs and comments from inclusion in
    the record for decision;
    1)
    Rule
    upon
    motions
    as
    specified
    in
    35
    11.1.
    Adm.
    Code
    101.247 and this Part;
    m)
    Rule upon objections and evidentiary questions;
    n)
    Establish a schedule for discovery,
    including a date by
    which discovery must be completed;
    and
    0)
    Where
    pre—hearing
    submission
    of
    hearing
    testimony
    or
    exhibits
    has
    been
    required,
    allow
    the
    admission
    of
    testimony or exhibits which were not pre-submitted,
    if
    los—is:

    29
    necessary to prevent undue delay or material prejudice.
    Section 102.221
    Notice And Service Lists
    a)
    The hearing officer shall maintain a notice list for each
    regulatory proceeding.
    The notice list will consist of
    those
    persons
    who
    have
    furnished
    their
    names
    and
    addresses for inclusion on the notice list for a specific
    proceeding.
    Notice
    of
    all
    Board
    action
    and
    hearing
    officer orders will be given to all persons included on
    the notice list.
    b)
    The hearing officer may establish a service list for any
    regulatory proceeding,
    in addition to the notice
    list.
    The
    hearing
    officer may
    direct participants
    to
    serve
    copies of
    all documents upon the persons listed on the
    service list.
    In deciding whether to establish a service
    list, the hearing officer will consider factors including
    but not limited to, the complexity of the proceeding and
    the number of participants.
    Section 102.222
    Effect Of Hearing Officer Ruling
    All
    decisions,
    orders,
    and rulings made
    by
    the hearing
    officer
    remain in effect during the pendency of any appeal to the Board of
    that decision,
    order,
    or ruling.
    SUBPART
    H:
    PRE-HEARING CONFERENCES
    Section 102.240
    Initiation And Scheduling
    a)
    TO THE EXTENT CONSISTENT WITH ANY DEADLINE FOR ADOPTION
    OF
    ANY
    REGULATIONS MANDATED
    BY
    STATE
    OR
    FEDERAL -LAW,
    PRIOR TO INITIATING ANY HEARING ON A REGULATORY PROPOSAL,
    THE BOARD
    MAY
    ASSIGN A QUALIFIED HEARING OFFICER WHO MAY
    SCHEDULE A PRE-HEARING CONFERENCE BETWEEN THE PROPONENT
    AND
    ANY
    OR
    ALL
    OF
    THE
    POTENTIALLY
    AFFECTED
    PERSONS.
    (Section
    27(e)
    of
    the
    Act.)
    The hearing
    officer may
    schedule
    a
    pre—hearing
    conference
    on
    his
    or
    her
    own
    motion,
    or
    on
    the
    motion
    of
    the
    proponent
    or
    any
    potentially affected person.
    A motion to schedule a pre-
    hearing
    ccnference
    shall
    be
    directed
    to
    the
    hearing
    officer.
    b)
    THE
    NOTICE
    REQUIREMENTS
    OF
    SECTION
    28
    of
    the Act and
    Section
    102.161
    SHALL
    NOT APPLY
    TO
    SUCH
    PRE-HEARING
    CONFERENCES.
    (Section 27(e)
    of the Act).
    However, the
    hearing officer will
    give notice to any person who has
    requested inclusion on the notice list of that proposal.
    Section 102.241
    Purpose
    105—133

    30
    The purpose of a pre—hearing conference shall be:
    a)
    TO MAXIMIZE UNDERSTANDING OF THE INTENT AND APPLICATION
    OF THE PROPOSAL;
    b)
    TO
    REACH
    AGREEMENT
    ON
    ASPECTS
    OF
    THE
    PROPOSAL,
    IF
    POSSIBLE; AND
    c)
    TO
    ATTEMPT
    TO
    IDENTIFY
    AND
    LIMIT
    THE
    ISSUES
    OF
    DISAGREEMENT AMONG THE PARTICIPANTS TO PROMOTE EFFICIENT
    USE OF THE TIME AT HEARING.
    (Section 27(e)
    of the Act.)
    Section 102.242
    Pre—hearing Order
    a)
    NO RECORD OF THE PRE-HEARING CONFERENCE NEED BE KEPT, NOR
    SHALL
    ANY
    PARTICIPANT
    OR
    THE
    BOARD
    BE
    BOUND
    BY
    ANY
    DISCUSSIONS CONDUCTED AT THE PRE-HEARING CONFERENCE.
    b)
    Notwithstanding subsection
    (a), WITH THE CONSENT OF ALL
    PARTICIPANTS
    IN
    THE PRE-HEARING CONFERENCE, THE HEARING
    OFFICER MAY ENTER A PRE-HEARING ORDER DELINEATING ISSUES
    TO BE HEARD, AGREED FACTS, AND OTHER MATTERS.
    c)
    If the participants
    in the pre-hearing conference agree
    to
    having
    a
    pre—hearing
    order
    entered
    pursuant
    to
    subsection(b), the hearing officer may require that those
    participants furnish the text of a proposed order setting
    forth the substance of the agreements reached at the pre—
    hearing conference.
    The hearing officer will enter that
    order
    if
    he
    or
    she
    agrees
    that
    it
    sets
    forth
    the
    substance
    of the agreement.
    The order
    shall
    identify
    which participants have agreed to the substance
    of the
    order.
    d)
    A
    PRE-HEARING
    ORDER
    SHALL
    NOT
    BE
    BINDING
    ON
    NONPARTICIPANTS
    IN THE PRE-HEARING CONFERENCE.
    (Section
    27(e)
    of the Act.)
    SUBPART
    I:
    MOTIONS
    AND
    DISCOVERY
    Section 102.260
    Motion Practice
    Motion practice
    in regulatory proceedings
    is governed by 35
    Ill.
    Adm. Code lOl.Subpart H.
    All motions and responses shall be served
    upon the proponent, the Agency,
    ENR,
    the Attorney General, and all
    persons
    on
    any
    service
    list
    established
    pursuant
    to
    Section
    102.221(b).
    Section 102.261
    Production Of Information
    The production of information in regulatory proceedings is governed
    by 35
    Ill. Adm.
    Code 101.261.
    10~—1s4

    31
    Section 102.262
    Subpoenas
    The issuance and enforcement of subpoenas in regulatory proceedings
    is governed by 35
    Ill.
    Adm.
    Code 101.260(b)
    through
    (i).
    SUBPART J:
    REGULATORY HEARINGS
    Section 102.280
    Pre-hearing Submission Of Testimony And
    Exhibits
    a)
    The proponent shall submit all written testimony and any
    related exhibits
    21 days prior
    to the hearing
    at which
    the witness testifies, unless the hearing officer directs
    otherwise to prevent material prejudice or undue delay.
    b)
    The
    hearing
    officer
    may
    require
    the
    pre-hearing
    submission
    of
    testimony
    and
    any
    related
    exhibits
    by
    participants
    other
    than
    the proponent
    if
    the
    hearing
    officer determines that such a procedure will provide for
    a more efficient hearing.
    c)
    The
    original
    and
    four
    (4)
    copies
    of
    pre-submitted
    testimony and exhibits shall be filed with the Clerk. The
    Agency,
    ENP,
    and,
    if
    a participant, the Attorney General
    shall each be served with one copy of each testimony and
    exhibit.
    One
    copy
    shall
    also
    be
    served
    upon
    the
    proponent
    and
    each
    participant
    on
    any
    service
    list,
    unless
    otherwise
    specified
    or
    limited
    by the
    hearing
    officer.
    Such service
    shall
    be
    initiated
    on or before
    the date that copies are filed with the Clerk.
    d)
    All testimony and exhibits shall be submitted in the form
    required by 35
    Ill. Adm.
    Code 101.103 and labelled with
    the docket number
    of
    the proceeding,
    the name
    of
    the
    witness submitting the material or exhibit, and the title
    of the material or exhibit.
    e)
    The proponent and each participant who has pre-submitted
    testimony
    shall bring copies of that testimony and any
    exhibits to the hearing.
    f)
    Testimony submitted prior to hearing will be entered into
    the
    record
    as
    if
    read,
    unless
    the
    hearing
    officer
    determines that it will aid public understanding to have
    the testimony read.
    All persons testifying will be sworn
    and will be
    subject
    to
    examination.
    Modifications to
    previously
    submitted
    testimony
    and
    exhibits
    may
    be
    allowed by the hearing officer at hearing provided that
    such modifications are either non-substantive
    in nature
    or
    would
    not
    materially
    prejudice
    another
    person’s
    participation
    at
    hearing.
    Objections
    to
    such
    108-155

    32
    modifications are waived unless raised at hearing.
    g)
    Where
    pre-hearing submission
    of
    testimony
    is
    required
    pursuant to subsection
    (a) and
    (b),
    any testimony which
    is not pre-submitted in a timely manner will be allowed
    only as time permits, pursuant to Section 102.220(0).
    Section 102.281
    Transcript
    All
    testimony
    shall
    be
    recorded
    stenographically.
    When
    the
    transcript
    is
    filed
    with
    the
    Clerk,
    the
    hearing
    officer
    will
    receive and rule on typographical corrections and reporting errors
    from
    any
    person
    who
    may
    examine
    the
    transcript
    for
    accuracy.
    Failure
    of any witness
    to
    correct the transcript within
    14
    days
    after
    its receipt
    in
    Board
    offices
    constitutes
    a waiver
    of
    any
    right to correct.
    Section 102.282
    Admissible Information
    All information which is relevant and not repetitious or privileged
    shall be admitted by the hearing officer.
    The hearing officer will
    rule on objections.
    Section 102.283
    Presentation Of Testimony
    a)
    All witnesses at hearings shall be sworn.
    b)
    Testimony shall be in narrative form.
    Section 102.284
    Questioning Of Witnesses
    All
    witnesses
    shall
    be
    subject
    to
    questioning
    by
    any
    person.
    Repetitious, irrelevant, harassing,
    or cumulative questioning will
    be prohibited by the hearing officer.
    The Board will not consider
    as substantive evidence any unsworn information which is presented
    in the form of a question during questioning of any witness.
    Section 102.285
    Record For Decision
    The
    record
    includes
    the transcript,
    all written
    testimony,
    all
    exhibits admitted at hearing, and all public comments, briefs and
    other information timely filed with the Clerk.
    SUBPART K:
    ECONOMIC IMPACT HEARINGS
    Section 102.300
    Hearings On The Economic Impact Study Of New
    Proposals
    a)
    Before the
    final
    adoption
    of
    any proposal,
    the
    Board
    shall conduct at least one hearing on any economic impact
    study submitted
    by ENR on any proposed regulation,
    or
    proposed
    amendment
    to
    existing
    regulation,
    unless
    10555

    33
    otherwise provided by the Act.
    b)
    IN THE CASE OF A REQUIRED RULE,
    IF THE ECONOMIC IMPACT
    STUDY IS NOT SUBMITTED TO THE BOARD WITHIN SIX (6) MONTHS
    OF THE BOARD’S
    DECISION THAT AN
    ECONOMIC IMPACT STUDY
    SHOULD
    BE CONDUCTED,
    THE BOARD MAY PROCEED
    TO ADOPT A
    REQUIRED RULE WITHOUT AN ECONOMIC IMPACT STUDY.
    However,
    TO THE EXTENT POSSIBLE CONSISTENT WITH SECTION 28.2(b)
    OF
    THE
    ACT,
    THE
    BOARD
    SHALL CONDUCT A HEARING ON THE
    ECONOMIC IMPACT OF THE PROPOSED REQUIRED RULE.
    (Section
    28.2
    of the Act.)
    Pursuant to Section
    28
    of
    the Act,
    this requirement may be fulfilled by considering economic
    impact
    at
    any merit
    hearing
    on
    the proposed
    required
    rule.
    c)
    Hearings
    held
    pursuant
    to
    this
    Section
    may
    be
    consolidated
    with any other
    hearings held pursuant
    to
    this Part.
    Section 102.301
    Hearings On The Economic Impact Study Of
    Existing Regulations
    a)
    WITHIN A REASONABLE
    TIME,
    BUT NOT MORE THAN
    120
    DAYS,
    AFTER EACH ECONOMIC IMPACT STUDY ON EXISTING REGULATIONS
    HAS BEEN FILED
    BY
    ENR,
    THE
    BOARD
    SHALL
    CONDUCT
    PUBLIC
    HEARINGS ON SUCH STUDY.
    b)
    AFTER CONCLUSION OF THE HEARINGS, THE BOARD SHALL PUBLISH
    ITS FINDINGS AND CONCLUSIONS ON THE AREAS COVERED BY THE
    STUDY AND THE TESTIMONY RECEIVED BY THE
    BOARD.
    The Board
    will
    satisfy
    this
    requirement
    by
    entering
    a
    written
    order.
    c)
    THE BOARD SHALL ALSO SPECIFICALLY DETERMINE WHETHER, AS
    A
    RESULT
    OF
    ITS
    FINDINGS
    AND
    CONCLUSIONS,
    ANY
    REGULATIONS
    OF
    THE
    BOARD SHALL BE MODIFIED OP REPEALED.
    d)
    IF THE BOARD CONCLUDES THAT MODIFICATION OR REPEAL MAY
    BE
    NECESSARY,
    IT
    SHALL
    PROPOSE
    SUCH
    MODIFICATION
    AS
    REGULATIONS
    AND
    CONDUCT
    FURTHER
    HEARINGS
    ON
    SAID
    MODIFICATION.
    e)
    ANY SUCH
    PROPOSED MODIFICATIONS SHALL NOT REQUIRE
    ANY
    ADDITIONAL ECONOMIC IMPACT STUDY.
    (Section 4(b)
    of
    “AN
    ACT
    in
    relation
    to
    natural
    resources,
    research,
    data
    collection and environmental studies.)
    SUBPART
    L:
    PUBLIC COMMENTS
    Section 102.320
    Public Comments
    11)5—I
    r)

    34
    Any person may submit written comments on any proposal within
    14
    days after the receipt of the transcript
    in Board offices or within
    14
    days
    after regulation
    revision under
    Section 102.340,
    unless
    otherwise specified by the hearing officer or the Board to prevent
    material
    prejudice
    or undue delay.
    Comments shall
    be filed with
    the Clerk and served upon the Agency,
    ENR, the Attorney General
    (if
    a participant), the proponent, and the participants on any service
    list
    established
    by
    the
    hearing
    officer
    pursuant
    to
    Section
    102.221.
    Comments
    which
    are
    not
    timely
    filed
    will
    not
    be
    considered,
    except as allowed by the hearing officer or the Board
    to prevent material prejudice.
    SUBPART M:
    BOARD ACTION
    Section 102.340
    Revision Of Proposed Regulations
    a)
    The
    Board may
    revise the proposed
    regulations
    before
    adoption
    upon
    its
    own
    motion,
    or
    in
    response
    to
    suggestions made at hearing and in written comments made
    prior to second notice.
    No additional hearing on the
    revisions need be held.
    b)
    THE BOARD MAY MODIFY AND SUBSEQUENTLY ADOPT ANY PROPOSED
    REGULATIONS,
    OR
    AMENDMENTS
    TO
    EXISTING
    REGULATIONS
    WITHOUT ANY ADDITIONAL ECONOMIC IMPACT STUDY;
    PROVIDED
    THAT
    SUCH
    MODIFICATION
    BY
    THE
    BOARD
    DOES
    NOT
    SIGNIFICANTLY
    ALTER
    THE
    INTENT
    AND
    PURPOSE
    OF
    THE
    PROPOSED
    REGULATION
    WHICH
    WAS
    THE
    SUBJECT
    OF
    ENR’S
    ECONOMIC IMPACT STUDY.
    (Section 27(b)
    of the Act.)
    c)
    Unless
    otherwise
    provided
    in
    the
    Act,
    THE
    BOARD
    MAY
    REVISE PROPOSED REGULATIONS AFTER HEARING IN RESPONSE TO
    OBJECTIONS
    OR
    SUGGESTIONS
    MADE
    BY
    JCAR
    PURSUANT
    TO
    SECTIONS 5.01(b)
    AND 7.06(a)
    OF THE APA.
    THE BOARD MAY
    MAKE SUCH A REVISION WHERE
    IT FINDS:
    1)
    THAT SUCH OBJECTIONS OR SUGGESTIONS RELATE TO THE
    STATUTORY
    AUTHORITY
    UPON
    WHICH THE REGULATION
    IS
    BASED, WHETHER THE REGULATION
    IS IN PROPER FORM,
    OR
    WHETHER ADEQUATE NOTICE WAS GIVEN;
    and
    2)
    THAT THE RECORD BEFORE THE BOARD IS
    SUFFICIENT TO
    SUPPORT
    SUCH
    A
    CHANGE
    WITHOUT
    FURTHER
    HEARING.
    (Section 28
    of the Act.)
    Section 102.341
    Adoption Of Regulations
    a)
    IN ADOPTING ANY
    NEW REGULATION,
    EXCEPT A REQUIRED
    RULE
    OP AN IDENTICAL IN SUBSTANCE REGULATION, THE BOARD SHALL
    CONSIDER THOSE ELEMENTS DETAILED IN ANY ECONOMIC IMPACT
    STUDY
    PERFORMED BY ENP ON THAT
    REGULATION.
    THE
    BOARD
    SHALL,
    IN
    ITS
    WRITTEN
    OPINION,
    MAKE
    A DETERMINATION,
    108-158

    35
    BASED UPON THE ECONOMIC IMPACT STUDY AND OTHER EVIDENCE
    IN THE RECORD, AS TO WHETHER THE PROPOSED REGULATION HAS
    ANY
    ADVERSE ECONOMIC IMPACT ON THE PEOPLE OF THE STATE
    OF ILLINOIS.
    (Section 27(b)
    of the Act.)
    b)
    In the case of a required rule, the Board will follow the
    procedures
    of
    subsection
    (a)
    ,
    except
    as
    provided
    in
    Section 102.300(b)
    c)
    As
    provided
    by
    Sections
    13(c),
    13.3,
    17.5,
    22.4(a),
    22.4(d), and 22.7(d) of the Act, the provisions of Title
    VII of the Act and Section
    5 of the APA shall not apply
    to identical
    in substance rulemakings.
    Section 102.342
    First Notice Of Proposed Regulations
    Except when otherwise directed by the Act,
    the Board
    shall give
    first
    notice
    of
    its proposed
    adoption,
    amendment,
    or
    repeal
    of
    regulations pursuant to Section 501 of the APA.
    The first notice
    period shall be at least 45 .days,
    and shall begin on the day that
    first notice is published in the Illinois Register.
    The Board will
    accept written comments
    from any person
    concerning
    the proposed
    regulations during the first notice period.
    Section 102.343
    Second Notice Of Proposed Regulations
    a)
    Except
    when otherwise
    directed
    by
    the
    Act,
    the
    Board
    shall
    give
    second
    notice
    of
    its
    proposed
    adoption,
    amendment,
    or repeal of regulations to JCAR.
    The second
    notice period shall begin on the date written notice
    is
    received by JCAR,
    and
    shall
    expire
    45 days after
    that
    date, except as provided by Section 5.01 of the APA.
    The
    Board
    will
    accept
    comments
    only
    from JCAR
    during
    the
    second notice period.
    b)
    After
    the
    beginning
    of
    the
    second
    notice
    period,
    no
    substantive
    changes
    will
    be
    made
    to
    the
    proposed
    regulation,
    except
    in
    response
    to
    objections
    or
    suggestions
    from
    JCAR.
    Such
    changes
    will
    be
    made
    pursuant to Section 102.340(c).
    Section 102.344
    Notice Of Board Final Action
    The Board will give notice of its final action on a proposal to the
    proponent,
    the Agency,
    ENR,
    the Attorney General, and all persons
    on
    the notice
    list.
    The
    Board will publish notice of its
    final
    action
    in
    the Environmental
    Register,
    and will
    enter
    a written
    opinion stating the reasons
    in support of
    its final action.
    Section 102.345
    Adoption Of Identical In Substance Regulation
    a)
    Prior to adopting identical in substance regulations, the
    10S—IS~

    36
    Board will:
    1)
    Make available to the public a proposed Opinion and
    Order containing the text of the rules;
    2)
    Publish the proposed
    regulations
    in the Illinois
    Register;
    3)
    Serve a copy of the proposed Opinion and Order on
    the USEPA; and
    4)
    Receive written comments from the USEPA and other
    persons
    for
    at
    least
    45
    days
    after
    the
    date
    of
    publication in the Illinois Register.
    b)
    AFTER
    CONSIDERATION
    OF
    COMMENTS
    FROM
    THE
    USEPA,
    THE
    AGENCY,
    THE ATTORNEY GENERAL AND THE PUBLIC,
    THE BOARD
    SHALL ADOPT THE VERBATIM TEXT OF SUCH USEPA REGULATIONS
    AS ARE NECESSARY AND APPROPRIATE FOR AUTHORIZATION OF THE
    PROGRAM.
    EXCEPT AS PROVIDED IN SECTION 7.2 OF THE ACT,
    THE
    ONLY
    CHANGES
    THAT MAY
    BE MADE
    BY THE BOARD TO THE
    FEDERAL REGULATIONS
    ARE THOSE CHANGES THAT ARE
    NECESSARY
    FOR COMPLIANCE WITH THE ILLINOIS ADMINISTRATIVE CODE, AND
    TECHNICAL
    CHANGES
    THAT IN
    NO WAY CHANGE THE
    SCOPE
    OR
    MEANING
    OF
    ANY
    PORTION
    OF
    THE REGULATIONS.
    (Section
    7.2(a)
    of the Act.)
    Section 102.346
    Adoption Of Emergency Regulations
    a)
    WHEN
    THE
    BOARD
    FINDS
    THAT
    A
    SITUATION
    EXISTS
    WHICH
    REASONABLY CONSTITUTES A THREAT TO THE PUBLIC INTEREST,
    SAFETY,
    OR WELFARE,
    THE
    BOARD MAY ADOPT REGULATIONS
    IN
    ACCORDANCE WITH SECTION 5.02 OF THE APA.
    (Section 27(c)
    of the Act.)
    b)
    WHEN
    THE
    BOARD
    FINDS
    THAT
    A
    SEVERE
    PUBLIC
    HEALTH
    EMERGENCY
    EXISTS,
    TIlE
    BOARD
    MAY,
    IN
    RELATION
    TO
    ANY
    PROPOSED
    REGULATION,
    ORDER
    THAT
    SUCH
    REGULATION
    TAKE
    EFFECT WITHOUT DELAY.
    THE BOARD SHALL PROCEED WITH ANY
    REQUIRED
    HEARINGS
    W~1ILE THE
    REGULATION
    CONTINUES
    IN
    EFFECT.
    (Section 27~c~of the Act.)
    Section 102.347
    Adoption Of Peremptory Regulations
    a)
    WHEN
    THE BOARD
    FINDS
    THAT A PEREMPTORY
    RULEMAKING
    IS
    NECESSARY AND STATES
    IN WRITING
    ITS REASONS
    FOR THAT
    FINDING, THE BOARD WILL ADOPT PEREMPTORY RULEMAKING UPON
    FILING A NOTICE OF RULEMAKING WITH THE SECRETARY OF STATE
    PURSUANT TO SECTION 6.01 OF THE APA.
    b)
    NOTICE OF SUCH PEREMPTORY RULEMAKING WILL
    BE PUBLISHED
    IN THE ILLINOIS REGISTER.
    (Section 5.03 of the APA.)
    102-- 150

    37
    Section 102.348
    Adoption Of Temporary Regulations
    a)
    THE BOARD MAY ADOPT
    A PROPOSED REGULATION
    PRIOR TO ITS
    CONSIDERATION OF AN ECONOMIC IMPACT STUDY WHEN SUCH STUDY
    IS FILED WITH THE BOARD LESS
    THAN
    120 DAYS IN ADVANCE OF
    A DATE ON WHICH A TEMPORARY NON-EMERGENCY REGULATION OP
    PROVISION
    THEREOF
    WOULD
    LAPSE
    PRIOR
    TO
    ADOPTION
    OF
    A
    PERMANENT
    REGULATION
    OR PROVISION
    THEREOF
    ON
    THE
    SANE
    SUBJECT,
    OR LESS THAN
    120 DAYS
    IN ADVANCE OF A DEADLINE
    FOP ADOPTION
    OF THE REGULATION
    WHICH
    IS ESTABLISHED
    IN
    A STATE STATUTE.
    (Section
    27
    of the Act.)
    b)
    SUCH ADOPTED REGULATION SHALL BE EFFECTIVE UNTIL 180 DAYS
    AFTER THE ECONOMIC IMPACT STUDY REQUIRED PURSUANT TO THIS
    SECTION
    IS FILED WITH THE
    BOARD,
    AND IN NO EVENT SHALL
    A REGULATION ADOPTED
    PURSUANT TO THIS
    PROCEDURE
    STAY IN
    EFFECT
    FOR MORE THAN ONE YEAR.
    (Section 27 of the Act.)
    SUBPART
    N:
    MOTIONS
    FOR RECONSIDERATION
    AND APPEAL
    Section
    102.360
    Filing
    Of
    Notion For Reconsideration
    Motion
    for
    reconsideration
    or
    modification
    of
    any
    Board
    order
    taking substantive action on a regulatory proposal shall be filed
    in accordance with 35 Ill. Adm. Code 101.246.
    The contents of such
    motions are governed by 35
    Ill. Adm. Code 101.242.
    Section 102.361
    Disposition Of Motions For Reconsideration
    a)
    AFTER
    COMMENCEMENT
    OF
    THE
    SECOND
    NOTICE
    PERIOD,
    NO
    SUBSTANTIVE
    CHANGES MAY BE MADE TO A PROPOSED RULEMAKING
    UNLESS
    IT
    IS
    MADE
    IN
    RESPONSE
    TO
    AN
    OBJECTION
    OR
    SUGGESTION
    OF
    JCAR.
    (Section
    5.01(b)
    of
    the
    APA.)
    Therefore,
    submission of second notice of a proposal to
    JCAR will preclude the Board from revising that proposal
    in response to a motion for reconsideration.
    However,
    the
    Board
    may
    resubmit
    a
    rule
    for
    first
    notice
    if
    necessary to prevent material prejudice.
    b)
    An adopted rule becomes effective upon the filing of that
    rule with the Secretary of State.
    Therefore,
    the Board
    is precluded
    from allowing a motion for reconsideration
    of a final order adopting
    a rule,
    if that rule has been
    filed with the Secretary of State.
    Section 102.362
    Correction Of Publication Errors
    The
    Board may make technical
    corrections to proposed
    or
    adopted
    rules,
    published
    in
    the
    Illinois
    Register
    or
    filed
    with
    the
    105—i Si

    38
    Secretary
    of
    State,
    only
    in
    accordance
    with
    1
    Ill.
    Adm.
    Code
    100.240.
    No hearing need be held on such corrections.
    Section 102.363
    Appeal
    Any final Board order may be appealed to the appellate court within
    35 days of the entry of that order, pursuant to Sections 29 and 41
    of the Act.
    IT
    IS
    SO
    ORDERED.
    I,
    Dorothy M. Gunn,
    Clerk of the Illinois Pollution Control
    Board, h~rebycertify that ~
    above Opinion and Order was adopted
    on the
    Y~/
    day of
    .--~
    ...
    ,
    1990,
    by a vote of
    /
    -
    /
    (
    ~
    ~
    -.
    .
    /
    Dorothy M./Gunn,
    Clerk
    Illinois P/6llution Control Board
    11)8—1S2

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