ILLINOIS POLLUTION CONTROL BOARD
September 13, 1989
IN THE MATTER OF:
)
RCRA UPDATE, USEPA REGULATIOHS
)
R89-l
(8-1-88 THROUGH 12-31-88)
)
FINAL ORDER. ADOPTED RULE
OPINION OF THE BOARD (by J. Anderson):
By a separate Order, pursuant to Section 22.4(a) of the Environmental
Protection Act (Act), the Board is amending the RCRA hazardous waste
regulations.
Section 22.4 of the Act governs adoption of regulations establishing the
RCRA program in Illinois. Section 22.4(a) provides for quick adoption of
regulations which are “identical in substance” to federal regulations;
Section 22.4(a) provides that Title VII of the Act and Section 5 of the
Administrative Procedure Act shall not apply. Because this rulemaking is not
subject to Section 5 of the Administrative Procedure Act, it is not subject to
first notice or to second notice review by the Joint Committee on
Administrative Rules (JCAR). The federal RCRA regulations are found at 40 CFR
260 through 270, and 280. This rulemaking updates Illinois’ RCRA rules to
correspond with federal amendments during the period August 1 through December
31, 1988. The Federal Registers utilized are as follows:
52 Fed. Reg. 46963
December 10, 1987
53 Fed. Reg. 31211
August 17, 1988
53 Fed. Reg.
33950
September 1, 1988
53 Fed. Reg. 34086
September 2, 1988
53 Fed. Reg. 35420
September 13, 1988
53 Fed. Reg. 37045
September 23, 1988
53 Fed. Reg. 37934
September 28, 1988
53 Fed. Reg. 39728
October 31, 1988
53 Fed. Reg. 41649
October 24, 1988
53 Fed. Reg. 43881
October 31, 1988
53 Fed. Reg. 43883
October 31, 1988
53 Fed. Reg.. 45090
November 8, 1988
In R87-39 the Board inadvertently omitted a portion of the December 10,
1987 Federal Register. After noting this error, the Board reserved Docket
R88-29 for the correction. However, it was not possible to prepare a proposal
significantly in advance of this update. The Board has therefore closed R88—
The Board acknowledges the contributions of Morton Dorothy of the
Scientific/Technical Section in drafting the Opinion and Order.
103—179
—2-
29, and will address the December 10, 1987 Register in this Docket.
In R88—16 the Board expanded the update period to seven months to include
July, 1988, in order to allow for quicker adoption of certain important
amendments. This update will be shortened to five months to get the updates
back on their normal times.
On July 26 and September 26, 1988, USEPA adopted amendments to the UIC
permit procedures which are reflected in 35 Ill. Adm. Code 705. (53 Fed. Reg.
28147 and 37410. These will be adressed in R89-2. This update will also
include a UIC amendment to Section 702.161, which is derived from one of the
Federal Registers otherwise addressed in R89-2.
On September 23 and October 26, 1988, USEPA adopted major revisions to
the Underground Storage Tank (UST) program, which is mandated by the Resource
Conservation and Recovery Act. The Board has utilized Docket R88-27 and R89—4
to address these amendments. Subsequent amendments to the USEPA UST rules
will be addressed in that Docket or a separate UST update Docket. After the
UST program is established, the Board will consider recombining the RCRA and
UST updates.
On September 23, 1988, USEPA also published a “clarification” as to the
status of mixed radioactive and hazardous waste. Although this involved no
amendment to the USEPA rules, it has been included in the list since, as
discussed below, it could result in a need to amend the Act or Board rules.
The USEPA amendments include several site—specific delistings. As
provided in 35 Iii. Adm. Code 720.122(d), the Board will not propose to adopt
site—specific delistings unless and until someone files a proposal showing why
the delisting needs to be adopted as part of the Illinois program.
PUBLIC COMMENT
The Board adopted a Proposed Opinion and Order on May 25, 1989. The
proposal appeared on June 30, 1989, at 13 111. Reg. 9661. The Board has
received the following public coilinent:
PC 1
Secretary of State, Corporation Department, dated April 25,
1988, but docketed on April 10, 1989
PC 2
Administrative Code Unit, August 4, 1989
PC 3
Big River Zinc Corporation, August 7, 1989
PC 4
Impact Analysis, Small Business Office, Department of Commerce
and Community Affairs (DCCA), August 8, 1989
PC 5
Illinois Environmental Protection Agency (Agency), August 14,
1989
PC 6
Chemical Waste Management, Inc., August 14, 1989
PC 7
United States Environmental Protection Agency (USEPA), August
24, 1989.
103—180
—3-
PC 8
Joint Coirmittee on Administrative Rules (JCAR) Questions,
received September 10, 1989
PC 1 was apparently a public coment which was directed to the Board in
response to a request for conlilent in R87-39. However, the letter bore no
Docket number, and was not properly routed until long after it was received.
It concerns the requirement, discussed below in connection Section 724.241 et
seq., that a corporation register with the Secretary of State before using
the
corporate guarantee mechanism for financial assurance.
On August 31, 1989,
the Board entered an Order pursuant to Section 7.2 of
the Act explaining why this rulemaking was not completed within the time
limits of Section 22.4(a) of the Act. On September 10, 1989, the Board
received from JCAR a series of eight sets of questions addressing various
Parts in this rulemaking. It appears that additional questions may be
forthcoming, in that not all Parts have been addressed. As noted in the
August 31 Order, the Board prefers that JCAR interaction occur during the
comment period, and prior to Board adoption of rules. In this matter JCAR has
asked its questions some three weeks after the close of the public coment
period, and two days before the Board was to move to final adoption. This may
further delay this rulemaking. However, the Board has attempted to respond to
the specific questions in this Opinion.
USEPA’s comment indicated that certain issues identified in “enclosure 2”
had been referred to headquarters. However, the enclosure was omitted from
the comment. If Region V receives a response from headquarters during the
final, post-adoption motion period allowed below, it may wish to file the
response with the Board.
The Proposed Opinion included a large number of specific requests for
comment on issues. The Board construes silence as an affirmative statement
that proposed language was acceptable. In situations in which alternatives
were discussed, the Board construes silence as an affirmative statement that
either alternative was acceptable.
HISTORY OF RCRA, UST and UIC ADOPTION
The Illinois RCRA, UST (Underground Storage Tanks) and UIC (Underground
Injection Control) regulations, together with more stringent ~stateregulations
particularly applicable to hazardous waste, include the following:
702
RCRA and UIC Permit Programs
703
RCRA Permit Program
704
UIC Permit Program
705
Procedures for Permit Issuance
709
Wastestrearn Authorizations
720
General
721
Identification and Listing
722
Generator Standards
723
Transporter Standards
724
Final TSD Standards
725
Interim Status TSD Standards
726
Specific Wastes and Management Facilities
103—18 1
-4-
728
USEPA Land Disposal Restrictions
729
Landfills: Prohibited Wastes
730
UIC Operating Requirements
731
Underground Storage Tanks
Special procedures for RCRA cases are included in Parts 102, 103, 104 and
106.
Adoption of these regulations has proceeded in several stages. The Phase
I RCRA regulations were adopted and amended as follows:
R8l-22
45 PCB 317, February
4, 1982, 6 Ill. Reg. 4828, April 23, 1982.
R82—18 51 PCB 31, January 13, 1983, 7 Ill. Reg. 2518, March 4, 1983.
Illinois received Phase I interim authorization on May 17, 1982 (47 Fed.
Reg. 21043).
The UIC regulations were adopted as follows:
R81—32 47 PCB 93, May 13, 1982; October 15, 1982, 6 Ill. Reg. 12479.
The UIC regulations were amended in R82-l8, which is referenced above.
The UIC regulations were also amended in R83—39:
R83—39 55 PCB 319, December 15, 1983; 7 Ill. Reg. 17338, December 20,
1983.
Illinois received UIC authorization February 1, 1984. The Board has
updated the UIC regulations:
R85-23 70 PCB 311, June 20, 1986; 10 111. Reg. 13274, August 8, 1986.
R86-27
Dismissed at
77 PCB 234, April 16, 1987 (No USEPA amendments
through 12/31/86).
R87-29
January 21, 1988; 12 Ill. Reg. 6673, April 8, 1988; (1/1/87
through 6/30/87)
R88-2
June 16, 1988; 12 Ill. Reg. 13700, August 26, 1988.
(7/1/87
through 12/31/87)
R88-17 December 15, 1988; 13 Ill. Reg. 478, effective December 30,
1988. (1/1/88 through 6/30/88)
R89—2
Next Docket (7/1/88 through 12/31/88)
The Phase Ii RCRA regulations included adoption of Parts 703 and 724,
which established the permit program and final TSD standards. The Phase II
regulations were adopted and amended as follows:
R82—l9 53 PCB 131, July 26, 1983, 7 Ill. Reg. 13999, October 28, 1983.
R83-24 55 PCB 31, December 15, 1983, 8 Ill. Reg. 200, January 6, 1984.
103—182
-5-
On September 6, 1984, the Third District Appellate
Court upheld the
Board’s actions in adopting R82—l9
and R83—24. (Commonwealth Edison et al. v.
IPCB, 127 Ill. App. 3d 446; 468 NE 2d 1339 (Third Dist. 1984).)
The Board updated the RCRA regulations to correspond with USEPA
amendments in several dockets. The period of the USEPA regulations covered by
the update is indicated in parentheses:
R84-9
64 PCB 427, June 13, 1985; 9 Ill. Reg. 11964, effective July 24,
1985. (through 4/24/84)
R85—22 67 PCB 175, 47Y, December 20, 1985 and January 9, 1986; 10 Ill.
Reg. 968, effective January 2, 1986. (4/25/84
——
6/30/85)
R86—1
71 PCB 110, July 11, 1986; 10 Ill. Reg. 13998, August 22,
1986. (7/1/85
-—
1/31/86)
R86-19 73 P08 467, October 23, 1986; 10 Ill. Reg. 20630, December 12,
1986. (2/1/86
--
3/31/86)
R86—28 75 P08 306, February 5, 1987; and 76 PCB 195, ~1arch5, 1987; 11
Ill. Reg. 6017, April 3, 1987. Correction at 77 PCB 235, April
16, 1987; 11 Ill. Reg. 8684, May 1, 1987. (4/1/86
—-
6/30/86)
R86—46 July 16, 1987; August 14, 1987; 11 Ill. Reg. 13435. (7/1/86
9/30/86)
R87—5
October 15, 1987; 11 Ill. Reg. 19280, November 30, 1987.
(10/1/86
—-
12/31/86)
R87-26 Dec~mber3, 1987; 12 Ill. Reg. 2450, January 29, 1988.
(1/1/87
--
6/30/87)
R87-32 Correction to R36-1; September 4, 1987; 11 Ill. Reg. 16698,
October 16, 1987.
R87-39 Adopted June 14, 1988; 12 Ill. Reg. 12999, August 12, 1988.
(7/1/37
--
12/31/87)
R88-16 November 17, 1988; 13 Ill. Reg. 447, effective December 28,
1988 (1/1/88
--
7/31/88)
R89-1
T~isDocket (8/1/88
—-
12/31/88)
Illinois received final authorization for the RCRA program effective
January 31, 1986.
The Underground Storage Tank rules were adopted in R86-1
arid
R86—28,
which were RCRA update Dockets discussed above. A major revision was adopted
by the Board in R88—27 on April 27, 1989. The UST financial assurance rules
Were adopted in R89—4, July 27, 1989.
The Board added to the federal listings of hazardous waste by listing
103—183
-6-
dioxins pursuant to Section 22.4(d) of the Act:
R84-34
61 PCB 247, November 21, 1984; 8 Iii. Reg. 24562, effective
December 11, 1984.
This was
repealed by R85-22, which included adoption of USEPA’s dioxin
listings.
Section 22.4(d) was repealed by S.B. 1834.
The Board has adopted USEPA delistings at the request of Amoco and
Envirite:
R85-2
69 PCB 314, April 24, 1986; 10 Ill. Reg. 8112, effective ~~1ay2,
1986.
R87-3O June 30, 1988; 12 Ill. Reg. 12070, effective July 12, 1988.
The Board has procedures to be followed in cases before it involving the
RCRA regulations:
R84—lO 62 PCB 87, 349, December 20, 1984 and January 10, 1985; 9 Ill.
Reg. 1383, effective January 16, 1985.
The Board also adopted in Part 106 special procedures to be followed in
certain determinations. Part 106 was adopted in R85—22 and amended in R86—46,
listed above.
The Board has also adopted requirements limiting and restricting the
landfilling of liquid hazardous waste, hazardous wastes containing halogenated
compounds and hazardous wastes generally:
R8l-25 60 PCB 381, October 25, 1984; 8 Ill. Reg. 24124, December 4,
1 984;
R83-28 February 26, 1986; 10 Ill. Reg. 4875, effective March 7, 1986.
R86-9
Emergency regulations adopted at 73 P08 427, October 23, 1986;
10 Ill. Reg. 19787, effective November 5, 1986.
The Board’s action in adopting emergency regulations in R86-9 was
reversed (CBE and IEPA
V.
IPCB et al., First District, January 26, 1987).
Hearings on permanent rules are pending.
DETAILED DISCUSSION
The Federal Registers involved in this rulemaking include the following:
December 10, 1987
Subpart X, Miscellaneous Units
August 17, 1988
First Third waste bans
September 1, 1988
Liability Insurance
September 2, 1988
Revisions to Tank Systems rules
September 13, 1988
Listing of smelter wastes
September 23, 1988
Radioactive mixed waste
September 28, 1988
Three Tier Permit Modification Process
October 11, 1988
Statistical Methods for Groundwater Monitoring
103—184
—7—
October
31, 1988
Delisting of iron dextran and strontium sulfide
November 8, 1988
Manifest form
On September 23, 1988 USEPA published a “Clarification of Interim Status
Qualification Requirements for the Hazardous Components of-Radioactive Mixed
Waste”. (53 Fed. Reg. 37045). This concerns waste which is hazardous waste
and also is radioactive, but which is not “source, special nuclear or
byproduct material” as defined in the Atomic Energy Act. This category of
waste has always been regulated under RCRA, but there has been substantial
confusion. The Board believes that no change is needed either to the Act or
the Board rule~ in order to regulate this category of waste. Specifically,
the Board believes that the definition of “hazardous waste” in Section 3.15 of
the Act is consistent with this interpretation, as is the exclusion in 35 Ill.
Adm. Code 721.104(a)(4). The Board specifically requested comment on this
issue, and received no response.
The rules have been edited to establish a uniform usage with respect to
“shall”, “must”, “will” and “may”. “Shall” is used when the subject of a
sentence has to do something. “Must” is used when someone has to do
something, but that someone is not the subject of the sentence. “Will” is
used when the Board obligates itself to do something. “May” is used when a
provision is optional. Some of the USEPA rules appear to say something other
than what was intended. Others do not read correctly when the Board or IEPA
is substituted into the federal rule. The Board does not intend to make any
substantive change in the rules by way of these edits.
Section 702.104
This Section is derived from 40 CFR 270.6, which is a short
incorporations by reference Section. All but one of these documents
incorporated by reference in Section 720.111. The Board has therefore
consolidated these lists in the latter Section. This will shorten the rules,
ease maintenance of the incorporations by reference file, and avoid
inconsiste~cies as to editions.
Section 702.110
This Section is drawn from 40 CFR 144.3 and 270.2, which was amended at
53 Fed. Reg. 34086 and 37934. These add or modify definitions for
“component”, “elementary neutralization unit”, “facility mailing list”,
“functionally equivalent component” and “wastewater treatment unit”.
The definition of “elementary neutralization unit” has been amended to
add “tank system” to the list of possible units. This definition is used in
Section 724.101(f)(6), and other places, to state the scope of an exemption
from the RCRA permit requirement and standards. The current definition of
elementary neutralization unit, as modified by the Federal Register, reads:
...a device which: is used for neutralizing wastes —whi~e~iaFe
ha~a~de~swastes -only because they exhibit the corrosivity
characteristic
This produces a substantive change in the definition which is unrelated to the
other change, and which USEPA probably did not intend. Under the new federal
103—18 5
-8-
definition a subjective test is introduced: Is that the only reason the
operator is neutralizing the waste, or does he have a hidden motive?
Furthermore, consider an acidic waste which contains a toxic component which
is unaffected by the neutralization process. Under the new language, since
neutralization has no effect on the toxic component, the treatment unit would
be an elementary neutralization unit, and exempt from the permit. Under the
old language, the wastestream would be hazardous both because of corrosivity
and the toxic component, so that the treatment
unit would not qualify as an
elementary neutralization unit. It
seems unlikely that USEPA intended this
about face on this definition. The Board has therefore left the stricken
language in the definition.
Section 702.152
This Section is drawn from 40 CFR 144.51 and 270.30, which was amended at
53 Fed. Reg. 37934. The RCRA only provision has been placed in Section
703.247, discussed below.
Section 702.160 (UIC amendment)
The proposal included a large number of UIC amendments, some of which
reflected federal UIC amendments, but most of which involved separating and
renumbering common RCRA/UIC provisions to allow adopliion of the RCRA permit
rules as discussed
below. Because of delays in proposing R89-2, it
is now
necessary to remove the UIC aspects of this proposal. These will be addressed
in R89-2. Specifically, common RCRA/UIC provisions will be retained, but
designated as UIC-only provisions. These will be proposed for renumbering to
Part 704 in R89-2.
Section 702.181
ihis Section is drawn from 40 CFR 144.35 and 270.40, which was amended at
53 Fed. Reg. 37934. The federal amendment references the new procedures for
permit modification discussed beloii. The existing federal and State text.
differ in a substantive way, in that, while a RCRA or UIC permit provides a
partial shield against federal enforcement, it provides none under State
law. The text has also been modified to reference “reissuance” of permits,
which is discussed below in connection with Section 703.270 et seq.
Only the RCRA provisions, 40 CFR 270, have been amended. Howeve~’,
because these were stated as common RCRA/UIC rules, in 40 CFR 122 at the time
the
Board originally adopted them,
it is necessary
to deconsolidate them
before the RCRA amendments can be implemented. As discussed
above, the Board
had intended
to renumber these in conjunction .with R89—2. However,
it is now
necessary to
leave the UIC material in place pending action on R89-2.
(JCAR)
Section 702.182 through 702.185 and 702.187
This Section is drawn from 40 CFR 144.38 and 270.40, which was amended at
53 Fed. Reg. 37934. The general and RCRA only provisions in this and the
following Sections have been moved to new Sections 703.260 et seq., and the
general and UIC only provisions have been retained for action in R89—2.
103—186
—9-
Section 702.186
This
Section is drawn from 40 CFR 144.40 and
270.43, which were not
amended during this update period. It has been included to correct an
editorial error noted during review of these Sections.
The federal language
lists causes for terminating a permit, or denying a renewal application. The
language adopted in R82—19 changed “terminating” to a reference to revocation
by the Board under Title VIII of the Act, but also allowed the Board to “deny”
a permit. Only the Agency
has this authority under Section 39 of the Act.
Accordingly, the Board has deleted the reference to permit denial.
The Board has considered adding a similar provision stating that the
Agency can deny a permit if grounds for revocation exist. However, this has
been rejected for two reasons. First, it seems to limit the Agency’s
authority to deny a permit. Second, the federal language itself may be
inconsistent with the post-closure care permit provisions of 40 CFR
27O.1(c)(5) et seq. (35 Ill. Adm. Code 703.159). In certain situations,
rather than deny an application, the Agency should issue a post-closure care
permit. The Board solicited comment on this, but received no response.
Section 703.100
The Board has added this Section to the proposal to provide an
introduction to acronyms used in this Part. (PC 2)
Section 703.183
This Section is drawn from 40 CFR 270.14(b), which was amended at 53 Fed.
Reg. 46963. The amendments correct and add cross references to new Subpart
X. The Board has reworded Section 703.183(t) to eliminate a double non-rule.
Section 703.184
This Section is partially drawn from 40 CFR 270.14(b)(11), which was
not
amended during this update period. This Section is being amended to update
statutory references, and to correct language which could be construed as an
incorporation by reference.
40 CFR 270.14(b)(11), with necessary State modification, exceeds the
subsection levels allowable under the APA, so that the Board was forced to
place the contents of the subsection into a separate Section, leaving a cross
reference in Section 703.183(k), which is the logical place to look for the
equivalent. The Sections in this Part include many “lists”, which include
both very short and very long elements. Because there are so many short
elements, it is not practical to break the list completely and uniformly into
Sections. Furthermore, this would make it difficult to reference the complete
list. The Board was therefore forced to to use a somewhat confusing format of
retaining the main federal Sections intact, but moving the large elements to
separate Sections, which are cross referenced from the main list.
Section 703.184(a) is an Illinois Section which has no federal
counterpart. This Section is the portion of the Part B application in which
the operator demonstrates compliance with the siting requirements of Section
21(1) of the Act, which has been renumbered from Section 21(k).
103—187
-10-
Section 703.184(c) is drawn from 40 CFR 270.14(b)(11)(iii). This
concerns the 100 year floodplain in the Part B application. The existing
language could be construed as an incorporation by reference of the flood
insurance maps for Illinois published by the Federal Emergency Management
Agency. If this an incorporation by reference, the Board -is required to be
more specific as to the documents, and to maintain a set for public inspection
and copying. Also, future amendments could not be automatically referenced.
The first problem with this is that the volume of the maps is such that the
Board would have to find a new headquarters to house them.
Since they are
frequently amended, staff would have to be added to maintain the collection.
Also, the prohibition on future amendments could produce a conflict between
the State and federal rules.
The USEPA Section is ambiguous as to whether it is incorporating the maps
by reference. The Board has reworded the Section to avoid such an
interpretation. The rule is really deferring to the judgment of FEMA as to
the location of the 100 year floodplain, rather than deferring to an existing
document. The Board has rewritten the rule to make this clearer. Note that
the federal (and State) rule allow the applicant to justify a different flood
elevation, although the FEMA map has to be included with the application, if
one exists.
Actually obtaining these maps took several day’s of research. The Board
is concerned that the USEPA rule does not adequately identify them so as to
make them available to the public. The Board has therefore provided
references to the FEMA
map distribution center, and to a collection
at the
Water Survey.
The USEPA rule calls these “FIA” maps. This term does not appear on the
maps the Board has obtained. The Board believes that this agency has been
replaced with the “National Flood Insurance Program”. The Board has
substituted this name into the rule.
Section 703.209
This new Section is drawn from 40 CFR 270.23, which was added at 52 Fed.
Reg. 46694, December 10, 1987. This was inadvertently omitted from R87—39.
This specifies the contents of the Part B application for miscellaneous units
governed by 35 Ill. Adm. Code 724.Subpart X, discussed below.
This provision has been placed in Section 703.209. Section 703.208 is
reserved for the equivalent of 40 CFR 270.22, which appears to be reserved.
40 CFR 270.23(b) first requires “Detailed hydrologic, geologic, and
meterologic assessments and land use maps...” However, the Section goes an to
provi de:
If the applicant can demonstrate that he does not violate
the environmental performance standards of §264.601 and
the Director agrees with such demonstration, preliminary
hydrologic, geologic, and meteorologic assessments will
suffi ce.
This poses
several editorial problems. First, while the USEPA rule is worded
103—-- 188
—11—
as a personal decision of the “Director”, Board rules and the Act are
generally worded as collective decisions of the “Agency”. Second, while the
conditional starts with “If the applicant can demonstrate...”, it then goes on
to refer to “such demonstration”, implying that the applicant must actually
make the demonstration. A possible rewording is as follo~is:
If the Agency determines that the unit will conform with
the environmental performance standards of 35 Ill. Adm.
Code 724.701, preliminary hydrologic, geologic and
meteorologic assessments will suffice.
This is intended to mean the same thing as 40 CFR 270.23, except that it
has been worded to clearly require an actual demonstration to the Agt~ncy, and
to avoid specifying the identity of the
Agency decision maker. Note that
“Agency determines x” means “A presents facts supporting x to the Agency, and
the Agency agrees that x is true.”
This rule suffers from a more serious flaw under either of the above
interpretations. Under Section 724.701, the Agency is supposed to consider
hydrologic, geologic and meterologic factors before deciding whether the unit
meets the environmental performance standard. The Agency therefore needs the
complete information before it can decide whether to rely on preliminary
assessments. The following is a possible alternative which would render this
procedure meaningful.
Preliminary hydrologic, geologic and meteorologic
assessments will suffice, unless the Agency notifies the
applicant that, based on the preliminary assessments, the
unit will not conform with the environmental performance
standards of 35 Ill. Adm. Code 724.701. The Agency shall
follow the procedures for incomplete applications in 35
Ill. Mm. Code 705.122.
The Board received no comment in response to its request for comment on
the meaning of this provision.
40 CFR 270.23(e) requires “any additional information determined by the
Director to be necessary...” For reasons similar to those discussed above,
the Board has worded this to require “additional information which the Agency
determines is necessary...”
Section 703.222
This Section is drawn from 40 CFR 270.62(a), which was amended at 53 Fed.
Reg.
37934. This Section is amended to reference the new permit modification
procedures discussed below.
This and the following Sections
concern short-term RCRA permits which are
issued to allow trial burns at incinerators and land treatment demonstrations
at land application sites. These have a large number of “shall, must, will
and may”
problems, which are discussed above in general. The Board has edited
these to express
what appears to be USEPA’s intent with greater uniformity of
usage.
103—189
—12—
Several of the USEPA provisions state that the agency “will” issue a
permit. This language is appropriate when the rulemaking body issue the
permit. In Illinois a different Agency issues permits. This has generally
been changed to “shall”.
Several of the USEPA provisions state that the agency “may” issue a
permit if the applicant
meets certain conditions. The Board
has replaced this
with “shall”, since,
under Illinois administrative law, the applicant is
entitled to
the permit if
it meets the conditions.
The Agency objected to the replacement of “may” with “shall” in the~8th
line of the introductory paragraph of Section 703.222. (PC
5) This provision
allows the Agency to extend the
trial burn period for an incinerator one time,
for up to
720 hours, “when good cause
is shown”. The Board believes that the
use of “may” in this context would imply
that the Agency
could arbitrarily
refuse to extend the time even though it had determined that “good cause”
existed for an extension.
Section 703.223
This Section is drawn from 40 CFR 270.62(b), which was amended at 53 Fed.
Reg. 37934. This Section is amended to reference the new permit modification
procedures discussed below.
The Agency objected to the replacement of “may” with “shall” in the 3rd
line of the introductory paragraph of Section 703.230. (PC 5) This provision
allows the Agency to issue land treatment demonstration permits. The Board
agrees with the Agency that “may” is appropriate in this introductory
statement of purpose. The provisions which follow set forth adequate
standards for the issuance of various types of permits.
Section 703.230
This Section is drawn from 40 CFR 270.63, which was amended at 53 Fed.
Reg. 37934. This Section is amended to reference the new permit modification
procedures discussed below.
Section 703.247
This
new Section is drawn from 40 CFR 270.30(l)(2), which was amended at
52 Fed. Reg. 37934. The RCRA only provisions of Section 702.152(b) have been
moved to this Section. The main portion of 40 CFR 270.30(l)(2), which has
been left behind in Part 702, specifies a permit condition which requires the
operator to notify the Agency in advance of any planned changes which would
result in non—compliance. Hence, the title of the Section: “Anticipated
Noncompliance”. This title has been carried with the RCRA only provisions
into Part 703. However, it is somewhat misleading, since the RCRA only
language really concerns when an operator can commence operations at a
new or
modified facility. The amendment provides a cross—reference to the new permit
modification procedures, which in some cases allow an operator to carry out
the modifications prior to Agency approval.
40 CFR 270.30(l)(2)(ii) has levels of subdivision without governing text,
a violation of the Code Unit rules. The Board has inserted “either” at the
103—190
—13—
main level.
40 CFR 270.30(l)(2)(ii)(B) is not grammatically correct. However, there
appears to be no way to fix it short of rewriting the whole Section.
Section 703.260
This new Section is drawn from 40 CFR 270.40, which was amended at 53
Fed. Reg. 37934. This and the following Sections are drawn from the RCRA only
provisions of Sections 702.181 et seq. This Section governs transfer of
permits, which can be effected as a Class 1 modification without prior Agency
approval. However, the old operator’s financial assurance continues, until the
new operator demonstrates compliance.
There is a possible conflict between this Section and the chief operator
certification rules in Part 745. Some facilities may be subject to the chief
operator certification requirement, and would have to have a certified
operator prior to the sale. The Board has added a Board note with a cross
reference.
Section 703.270
This new Section is drawn from the preamble to 40 CFR
270.41. which was
amended at 53 Fed. Reg. 37934. The federal change is to reference the new
permit modification procedures. Section 702.183 has been moved to this new
Section as a RCRA only provision.
40 CFR 270.41 includes procedures for “revocation and reissuance” of
permits. When Sections 702.183 et seq. were originally adopted, these
procedures were omitted out of concern that they conflicted with the
“revocation” procedures involved in Board enforcement under Section 33(b) of
the Act. However, as used by USEPA, the -“revocation and reissuance”
procedures do not involve enforcement penalties. Rather, this is a mechanism
for permit modification by which USEPA cancels an existing permit and replaces
it with a new permit. In a subsequent update Docket, the Board decided to
reinsert the procedure, but to call it ‘reissuance” to avoid confusion.
However, this was not done to all Sections. Several of the following Sections
are now
amended along these lines.
Section 703.271
This new Section is drawn from 40 CFR 270.41(a), which was amended at 53
Fed. Reg. 37934. It has been moved from Section 702.184(a). It specifies
the
causes for modification, but not reissu~nce. It has been amended to reference
the new permit modification procedures.
Section 703.272
This new Section is drawn from 40 CFR 270.41(b), which was not amended
during this update period. The text has been moved from Section 702.184(b).
The Section states causes for modification or reissuance of permits. The text
of 40 CFR 270.41(b)(1) was omitted on original adoption, and in this
renumbering, because it allows USEPA to use modification or reissuance in a
punitive sense when cause exists for an enforcement action. This is
103— 191
-14-
inconsistent with Title VIII of the Act, which authorizes the Board to revoke
permits as a penalty.
(See 35 Ill. Adm. Code 702.109.) Also, the USEPA
provision is inconsistent with 40 CFR 270.1(c)(5) and (6), which requires
USEPA to issue post-closure care permits, rather than revoke permits, in most
situations. Section 7.2(a)(5) requires the Board to speci-fy which agency is
to make decisions, based on the general division of functions in the Act.
Also, Section 7.2(a)(7) allows the Board to correct apparent errors. (JCAR)
Section 703.273
This new Section is drawn from 40 CFR 270.41(c), which was not amended
during this update period. The text has been moved from Section 702.185 to
avoid future confusion.
Section 703.280 et seq.
This new Section is drawn from 40 CFR 270.42, which was amended at 53
Fed. Reg. 37934. The “minor modification” process, formerly in Section
702.187,
has been replaced with three procedures for handling permit
modification at the request of the permittee.
40 CFR 270.42 is far too long to
meet Code Unit guidelines for a single
Section, and uses more levels of subdivision that allowed by
the Code
Unit.
The Section has been broken in four Sections, 703.280 through 703.283,
using
the “Alien(s)” method followed elsewhere in Part 703. 40 CFR 270.42 is a list
with three long elements, Sections 270.42(a) through (c), followed by shorter
elements (d) through (h). The longer elements have been placed in separate
Sections 703.281 through 703.283. The main list is preserved in Section
703.280, with cross references in place of the long elements.
Section 703.281 addresses Class 1 modifications, which the operator can
effect unilaterally, provided he notifies the Agency within 7 days. If the
Agency rejects the request, the operator has to go back to the original permit
conditions.
Section 703.282 addresses Class 2 modifications. The operator has to
give prior notice to the Agency and the public, and hold a public meeting.
The operator
may effect the
change unless the Agency rejects it within certain
time frames.
Section 703.282(b) and (d) are drawn from 40 CFR 270.42(b)(1) and (4).
These provisions specify the location and form of notice of public meetings.
The Agency and USEPA have commented on these provisions. (PC 5 and 7) While
the notice and hearing requirements in the Act generally specify just that the
notice be published and the hearing held in the County, the USEPA rules
generally specify the “vicinity” of the facility. Although the requirements
of the Act do not control
,
the Board has modified this to remain consistent
with State procedures in related requirements. However, unlike other States
the USEPA rules are directed at, Illinois is a State with small Counties. It
is not possible to get very far away from a facility and still be in the same
County.
In connection with Section 703.282(b), USEPA has pointed out that there
are several areas in Illinois in which there is no newspaper on general
103—19 2
—15—
circulation “published” within the County which includes the area. USEPA is
taking a narrow view of “published” as referring to the location of the
printing plant. The Board has added language to make it clear that the notice
is to be published, “to the extent practicable”, in a newspaper published in
the same County as the facility.
If not, a newspaper of g-eneral circulation
in the vicinity of the facility will be sufficient.
In connection with Section 703.282(d), the Agency has pointed out that
requiring the public meeting to be held in the County could be inconvenient in
some situations. The Board has modified this to provide that the meeting must
be held “in the County in which the facility is located unless it is
impracticable to do so, in which case
the hearing must be held in the vicinity
of facility.”
Section 703.283 addresses Class 3 modifications. These are like Class 2,
except that the operator has to have a decision from the Agency prior to
placing the modification into effect.
The federal rules contain several default provisions which require the
operator to comply with 40 CFR
265. (For example, see 40 CFR
270.42(b)(6)(iii). This is unusual, in that it requires a permitted facility
to revert to the interim status provisions pending action
on a permit
revision. However, USEPA considered this and clearly intended this result.
(52 Fed. Reg. 35845) (PC 5)
Section 703.Appendix
This new Section is drawn from 40
CFR
42, Appendix I, which was added at
53 Fed. Reg. 37934 and
41649. This includes extensive examples
of the Classes
of permit modification.
Section 704.161 (Not’ amended)
This Section is drawn from 40 CFR 144.31, which was amended at 53 Fed.
Reg. 46963. This UIC amendment will be addressed in R89—2.
Section 705.128
This Section is drawn from 40 CFR 124.5, which was amended at 53 Fed.
Reg.
37934.
This will be addressed in R89-2.
Section 720.110
This Section i~drawn from 40 CFR 260.10 which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 34086. These are the definitions applicable to
Parts 720 et seq.
In addition to the changes derived from the federal amendments, the Board
has made
a few
editorial revisions to these definitions. Several of these
concern references to federal rules or statutes. As has been discussed in
previous Opinions, these are of concern because they may be subject to the APA
limitations on incorporations by reference. The Board has attempted either to
make these clearly incorporations by reference in compliance with the APA, or
to make them clearly not incorporations by reference. In the latter case,
10
3—193
—16-
among the possible actions are to eliminate unnecessary references, replace
federal references with derivative State rules, or reword provisions so as to
reference federal actions rather than rules.
The Board has amended the definition of “designated facility” to remove
unnecessary federal references. This term refers to the facility listed by
the generator on the manifest to receive the hazardous waste shipment.
Section 722.120 requires that the generator designate a facility with a RCRA
permit or interim status. It is complicated to state this, since the
receiving facility could be located out-of-State, and hence have a RCRA permit
from USEPA op-another authorized state. It is not necessary to repeat the
limitation on designated facilities in both the definition and the operative
Section.
The definition of “elementary neutralization unit” was amended at 53 Fed.
Reg. 34086. The main change appears to be the addition of “tank systems” to
the list of units which could be an elementary neutralization unit. See above
for the discussion of this definition in the Part 702 definitions.
The definition of “landfill” was amended at 52 Fed. Reg. 46963 to add to
the list of specific units which are not “landfills.”
The definition of “miscellaneous unit” was also added at 52 Fed. Reg.
46963, which added the regulations applicable to miscellaneous units. The
Board has added “tank system” to the list of units which are not
“miscellaneous units”. This change is parallel to the changes made at 53 Fed.
Reg. 34086, and probably represents an error made by USEPA because different
offices were working with out-of—date copies of the rules.
The definition of “P01W” has been modified to replace federal references
with a derivative State definition, adopted with the pretreatment rules in
R86—44 in 35 Ill. Adm. Code 310.
The definition of “wastewater treatment unit” was amended at 53 Fed. Reg.
34086. The main change is again to add ‘tank systems” to the list of units.
The Board has also replaced the references to the federal Clean Water Act with
references to the derivative State rules in Parts 309 and 310. To be exempt
from the hazardous waste rules, a wastewater treatment unit either has to have
an NPDES permit under Part 309,
or a pretreatment permit or authorization to
discharge, issued by the Agency or authorized P01W, under Part 310.
The USEPA language exempts units “subject to regulation” under the Clean
Water Act. This is subject to the interpretation that a facility which is
required to, but does not have an NPDES permit would thereby be exempt from-
the hazardous waste rules. This is probably not what USEPA intends. As
adopted by the Board, the exemption would extend only to those units which
have the required permits.
Section 720.111
The changes to the incorporations by reference Section are mainly routine
updating of documents. As has been discussed in previous Opinions, while
USEPA in actual practice regards its incorporations by reference as referring
to future editions of documents, the APA requires the Board to cite to a
103—194
—17—
certain edition. Although USEPA does not routinely update its rules to
reflect the editions actually in use, the Board needs to update incorporations
by reference to cite the actual edition USEPA is using as new editions
come to
its attention.
Most of the revisions to the industry standards arose from the UST rules
adopted in R88—27. The RCRA hazardous waste storage tank rules in Section
724.290 et seq. reference some of the same industry standards as the UST
rules. The Board has updated Section 720.111 to use the current editions of
these standards.
The Board has shifted the reference toANSI/ASME 831.3 and 831.4 from the
“ANSI” heading to “ASt4E”, since the latter organization actually provided the
current edition to the Board. A cross reference is left, since the standard
is referenced as “ANSI” in the body of the rules.
The API
,
NACE and
NFPA references have been changed to the format
preferred by those organizations, as discussed in R88-27.
The CFR citations have been routinely updated to reflect the 1988
edition, which includes rules adopted through July 1, 1988.
The Board has added a reference to 10 CFR 20, Appendix B, which is the
NRC’s definition of various types of radioactive material. This is used in
existing Section 730.103, which is not a part of this rulemaking. The Board
has also added a reference to 40 CFR 136, which are USEPA analytical methods
cited in various Sections. The Board has also referenced 40 CFR 302.4 through
302.6, which is the USEPA definition of CERCLA “hazardous substance” and
reportable quantity rules. These are.wsed in Parts 724 and 725, discussed
bel ow.
Section 721.104
This Section is drawn from 40 CFR 261.4, which was amended at 53 Fed.
Reg. 35420. Section 721.104(b)(7) has been amended to include (actually to
exclude from excluding) certain ore processing wastes. These are related to
K064, K065, K066, K088, K090 and K091, new listings discussed below.
There are several minor editorial problems with these amendments. In
(b)(7)(A), “slurry/sludge” has been rendered as “slurry or sludge”, to avoid
offending the Code Unit. In (b)(7)(B), “contained in the dredged from” has
been changed to “contained in and dredged from”, the wording used in the
listing K065. However, this is probably also an editorial error by USEPA, and
should probably read “or”. How cou’d the sludge be both contained in and
dredged from the impoundment?
In (b)(7)(C), “and/or” has been changed to the equivalent “or” to conform
with the Code Unit’s style manual.
Big River Zinc Corporation (Big River) has comented on this listing.
(PC 3) Big River is a primary zinc manufacturer which produces a sludge which
meets this listing. According to Big River, the sludge has no hazardous
characteristics. USEPA’s action in listing the waste was based on 1980 data
concerning zinc wastes, which is no longer valid. Big River has asked USEPA
103—195
-18-
to reconsider the listing. However, it has not obtained a federal Court stay
of the listing. Compliance with the listing will cost several million
dollars, and will place Big River at a competitive disadvantage with respect
to certain other competitors whose waste does not fall within the listing.
Section 22.4(a) of the Act obligates the Board to adopt, within specified
times, the general regulations which USEPA promulgates pursuant to the RCRA
Act. The definition of “identical in substance” in Section 7.2 of the Act
gives the Board some latitude to correct USEPA errors. However, this does not
extend to correcting bad decisions. The Board therefore finds that it has no
alternative but to adopt a listing which is “identical in substance” to the
USEPA listing.
Big River has also requested a hearing. Section 22.4(a) of the Act
exempts this rulemaking from the hearing procedures of both Title VII of the
Act and Section 5 of the APA. Given the time constraints and narrow scope of
this rulemaking the Board cannot schedule a discretionary hearing.
Under the facts as alleged by Big River, the sludge appears to be a
candidate for delisting pursuant to 35 Ill. Adm. Code 720.120 and 720.122.
Delisting is an appropriate action for a waste which meets the definition of a
listed waste, but which does not have the hazardous characteristics which
caused the waste to be listed. This could be approached either by requesting
that USEPA delist the waste pursuant to 40 CFR 260.22, and asking the Board to
adopt the delisting as an identical in substance rule. Alternatively, Big
River could file a rulemaking petition asking the Board to delist the waste
pursuant to Sections 22.4(b) and (c). As an interim measure, the Board might
be able to grant a variance from the listing.
As is discussed below, the Board will withhold filing of these amendments
to allow for motions for reconsideration by the agencies involved in the
authorization process. Because of the unusual nature of the issues raised by
the coninent, the Board asks that USEPA review it and advise the Board if it
believes that the Board should withhold action or modify the USEPA listing in
this context. In addition, the Board may need to know whether this is a
situation in which it has authority to proceed with independent delisting.
Section 721.132
This Section is drawn from 40 CFR 261.32, which was amended at 53 Fed.
Reg. 35420. The amendments add the listings K064 through K091 discussed
above. Similar wording changes have been made.
Section 721.133
This Section is drawn from 40 CFR 261.33 which was amended at 53 Fed.
Reg. 43881 and 43883. The amendments delist iron dextran and strontium
sul fide.
Section 721.Appendix G
This Section is drawn from 40 CFR 261.Appendix VII, which was amended at
53 Fed. Reg. 35420. These add the bases for the listings K064 through K091
discussed above.
103—196
-19—
Section 721.Appendix H
This Section is drawn from 40 CFR 261.Appendix VIII, which was amended at
53 Fed. Reg. 43881 and 43883. Strontium sulfide and iron dextran have been
removed from the table of hazardous constituents.
Section 722.Appendix
This Section is drawn from 40 CFR 262.Appendix, which was amended at 53
Fed. Reg. 45090. The Board has updat-d the incorporation by reference of the
federal uniform hazardous waste manifest form.
Section 724.110
This Section is drawn from 40 CFR 264.10, which was amended at 52 Fed.
Reg. 46963. The amendments add a reference to new Subpart X.
Section 724.113
This Section is drawn from 40 CFR 264.13, which was amended at 53 Fed.
Reg. 31211. The amendments add waste analysis requirements related to the
landfill bans discussed below in Part 728. The USEPA rule exceeds the Code
Unit’s limit on subsection levels, so that 40 CFR 270.13(b)(7)(iii)(8)(1) and
(2) have to be combined into the final available level, 35 Ill. Adni. Code
724.113(b)(7)(C)(ii
).
Section 724.115
This Section is drawn from 40 CFR
264.15, which was amended at 52 Fed.
Reg. 46963. The amendments correct cross references, and and a reference to
new Subpart X.
Section 724.118
This Section is drawn from 40 CFR 264.18, which was amended at 52 Fed.
Reg. 46963. The amendments add a reference to new Subpart X.
Section 724.154
This Section is drawn from 40 CFR 264.54, which was amended at 53 Fed.
Reg. 37934. The “note” following this Section has been removed, in relation
to the new. permit modification procedures discussed above.
Section 724.173
This Section is drawn from 40 CFR 264.73, which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 31211. The amendments add a reference to new
Subpart X, and add requirements for the facility operating record relating to
the landfill bans.
Section 728.106, discussed below, requires an adjusted standard pursuant
to 35 Ill. Adm. Code 106. In adopting this Section, the Board referenced Part
106 directly, rather than by way of Section 728.106. This could have been a
103—19 7
-20-
typographical error, caused by the similarity of the numbers. The Board has
changed this to reference the lead in Section.
Section 724.190
This Section is drawn from 40 CFR 264.90, which was amended at 52 Fed.
Reg. 46963. It states the applicability of the groundwater monitoring
requirements to miscellaneous units, which are discussed below. The federal
provision has been edited to shorten it and make it say something.
Section 724.191
This Section is drawn from 40 CFR 264.91, which was amended at 53 Fed.
Reg. 39728. The amendments add definitions of “detected” and “exceeded” for
use in the groundwater monitoring rules which follow.
Section 724.192
This Section is drawn from 40 CFR 264.92, which was amended at 53 Fed.
Reg. 39728. The language has been amended to conforni with the definitions in
the preceding Section.
Section 724.197 through 724.199
This Section is drawn from 40 CFR 264.97 through 264.99, which were
amended at 53 Fed. Reg. 39728. These amendments address the question of how
to tell if a sample exceeds the groundwater protection standard in the
permit. The existing rules are very specific as to the number of samples, and
require the use of a variation of the Student’s t-test for statistical
significance. Under the new rules the sampling, analysis and statistical
evaluation plan are described by general rules. The operator is required to
propose a plan in the permit application, meeting the general rules.
Compliance with the groundwater monitoring standard is judged by reference to
the plan in the permit.
40 CFR 264.98(f)(2) has an apparent typographical error which has been
corrected. (“as” instead of “at” the compliance point.)
Section 724.211
This Section is drawn from 40 CFR 264.111, which was amended at 52 Fed.
Reg. 46963. The amendments add references to new Subpart X.
Section 724.212
This Section is drawn from 40 CFR 264.112, which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 37934. The amendments add references to new
Subpart X, and correct references to permit modification procedures.
40 CFR 264.112(b) requires the closure plan to identify steps necessary
“to perform partial and/or final closure”. This has been changed to “partial
or final closure”, to conform with the Code Unit requirements, which equate
“and/or” with “or”. However, the USEPA rule may be wrong in using “and/or” in
the first place. “Or” seems wrong, since the plan would always have to
10 3—198
-21-
address final closure. “And” also seems wrong, since partial closure would
not have to be addressed unless the operating plan called for partial closure,
such as in landfilling by opening and closing a succession of trenches. The
Board suggested the following, and received no comment:
The plan must identify steps necessary to perform final closure of
the facility at any point during its active life. The plan must also
identify steps necessary for partial closure if necessary under the
operating plan for the facility.
Section 724.214
This Section is drawn from 40 CFR 264.114, which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 34086. The amendments add references to new
Subpart X, and to reference the rules on disposal of tank system components on
closure. The latter Federal Register action appears to have inadvertently
repealed
the first. The Board assumes this is an error, and has retained to
earlier language.
Section 724.217
This Section is drawn from 40 CFR 264.117, which was amended at 52 Fed.
Reg. 46963. The amendments add references to new Subpart X.
Section 724.218
This Section is drawn from 40 CFR 264.118, which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 37934. The amendments add references to new
Subpart X and to the revised permit modification procedures.
Section 724.241
This Section is drawn from 40 CFR 264.141, which was amended at 53 Fed.
Reg. 33950. The USEPA amendment adds a definition of “substantial business
relationship”, which is used in the liability insurance requirements discussed
below. These amendments raise issues which are closely related to the issues
discussed in the Opinion in R89-4, financial assurance for underground storage
tanks. The issues are also closely related to issues discussed in the
Opinions in R86-46 and R87-39, which included amendments to the liability
insurance provisions.
The financial assurance requirements will be discussed below in detail.
These rules have a number of broad issues concerning the place of the
financial assurance requirements in State law. These concern the State laws
which govern the financial assurance instruments and State agencies which
regulate the financial institutions and corporate guarantors.
As noted above, Section 22.4(d) requires the Board to adopt regulations
which are “identical in substance” with USEPA UST rules. This term has
recently been defined in Section 7.2 of the Act in a manner which codifies the
Board’s longstanding interpretations of it. (See R85-23, June 20, 1986, 70
PCB 311, 320; R86-44, December 3, 1987, pages 14 and 19.) Generally the
“identical in substance” mandate is to adopt the verbatim text of the USEPA
rules so as to effect a program which requires the same actions by the same
103—19 9
-22-
group of affected persons as would the USEPA rules if USEPA administered the
program in Illinois.
However, there are certain situations enumerated in
Section 7.2 in which the Board is to depart from the verbatim text of the
USEPA rules. Several of these are relevant to the financial assurance rules.
Several provisions in the USEPA rules appear to be requirements for
program approval or directives from USEPA as to the types of rules the states
are to adopt, rather than “pattern” rules which the states are supposed to
adopt verbatim.
Section 7.2 of the Act also requires the Board to modify the text as
necessary to accommodate the requirements of State law. Several provisions
need to be modified to correctly state the requirements of State law. Indeed,
these provisions may also be construed as directives from USEPA to insert the
correct State law.
These complexities arise out of the nature of the financial assurance
mechanisms. Although the use of the mechanisms is mandated by federal law,
the mechanisms themselves are a matter of state law. Operators subject to the
federally—mandated environmental regulations must contract, pursuant to state
law, with financial institutions which are created and mainly regulated under
state law, and which are not themselves usually the subject of environmental
regulation. This is further complicated by balancing the need for a national
financial assurance system versus the necessity for state administration and
enforcement, given the national policy of delegating to the states.
The State agencies which regulate the financial institutions and other
providers include: Commissioner of Banks and Trust Companies; Department of
Insurance; and, Secretary of State, Corporation Division. The Corporation
Division has responded in PC 1. The Board sent the others a copy of this
Opinion and Order, together with a cover letter specifically requesting
comment, and
received none.
In R86-46 and R87-39 the Board has addressed multistate problems with
respect to hazardous waste financial assurance. The following is a
hypothetical which illustrates some of the problems with multi—state financial
assurance as apparently contemplated under the USEPA rules.
Suppose a Delaware corporation, with headquarters in New Jersey, operates
a hazardous waste facility located in Illinois. The financial institution is
a Nevada corporation with headquarters in Connecticut. The financial
assurance documents are drafted at the financial institution’s office in New
York, and mailed to the operator’s corporate headquarters in New Jersey.
Whose law applies? Which State has jurisdiction to decide?
For a second example, suppose the Delaware corporation, headquartered in
New Jersey, owns
an Illinois subsidiary, which owns a facility in Illinois.
The Board suggests that the following are general legal rules which
govern the choice of law governing financial assurance documents.
The financial institution must have the power to issue the document.
This mainly depends on the law of the state of incorporation, and the terms of
the charter or articles of incorporation. In addition, the institution needs
103— 200
-23-
to be licensed by at least some state to engage in the activity.
The validity of a corporate guarantee is similar. The corporation must
have the power to make the guarantee under the laws of the state of
incorporation, and under its articles of incorporation.
Generally the validity of an instrument is governed by the law of the
state in which the instrument is executed. This probably means the place at
which the signed document is delivered to the operator.
(Where it’s placed
into the mailbox?) However, the parties can agree that the law of another
state governs the instrument. There may be limitations on this, especi~’lyif
the instrument violates some law of the state in which it ‘is executed.
The financial institution certainly has to be licensed in the states in
which it has its offices. It is not clear whether licensure is required in
all states in which instruments are executed or in which facilities are
located. A business entity which guarantees the debts of an operator may, or
may not, be “doing business” in the operator’s State, and may have to register
with the Corporation Division. Generally a parent corporation is not “doing
business” in a state by virtue of ownership of a subsidiary which is doing
business.
There are constitutional limitations as to wherethe providers of
financial assurance can be sued. Licensing and registration would allow the
financial institution or guarantor to be sued in the State in which the
facility is located. Otherwise, they can generally be sued in the state
courts or U.S. District Courts in the states in which they are organized or do
business. There are ways to obtain jurisdiction in Illinois, but none appear
to be generally applicable. This may not be important to USEPA, which
maintains a presence in all states. However, for Illinois it is important to
be abtme to sue in Illinois courts pursuant to Illinois law. Otherwise, the
State would have to have experts on the financial laws of many states to
review documents, and would have to set up regional collection offices around
the country.
40 CFR 264.147(g)(2) allows an operator to use a corporate guarantee bond
only if the Attorneys General in the states in which the guarantor has its
pronciple place of business and facilties. In addition, 40 CFR 271.7 and
271.12 require an Attorney General ‘s statement that all of the mechanisms are
valid and enforceable.
The Board notes in passing that the specific certification requirement
probably misses the point. As discussed above, the validity of the guarantee
or bond is probably governed by the law of the State of incorporation or
chartering of the guarantor or surety, and the law of the place where the
financial instrument is executed, rather than the law of the places where the
facility is located or the operator has its principal place of business.
The Board faced a similar question with respect to Attorney General
certification of hazardous waste corporate guarantees in R86-46 and R87—39.
There are a number of ways of interpreting this requirement. For the reasons
discussed above, the validity of the financial mechanisms under the USEPA
rules may be determined under the laws of several states. If the
certification requirement is asking the Attorney General of Illinois to make a
103—201
-24-
generic certification at the time of application for program approval, it is
asking for a certification that mechanisms are valid under the laws of other
states. It is not right to even ask the Illinois Attorney General to make
this certification.
The Board discussed a number of other interpretations in R86—46 and R87—
39. One possibility would be to limit multistate combinations to those
involving a small number of neighboring states, and ask the Attorneys General
in each to certify. This is probably unworkable. Another possibility would
be to require each operator using a multistate combination to obtain
individual Attorney General certifications with ~c~spectto each of the states
involved in the combination. USEPA rejected this possiblity in the most
recent preamble as unworkable. (53 Fed. Reg. 33945) In R86—46 and R87—39 the
Board limited hazardous waste corporate guarantees to those which were
governed entirely by
Illinois law, so as to allow the Illinois Attorney
General to certify alone that the guarantees were valid and enforceable. The
Board received no adverse comment to this interpretation.
The Board has followed the same course with respect to the new financial
mechanisms discussed below. The Board has limited financial mechanisms to
those which
are governed entirely by Illinois law. Financial institutions
will have to obtain approval from Illinois regulatory authorities before they
can issue financial assurance which will be acceptable as meeting the
regulatory requirements. Corporate guarantors will have to register with the
Secretary of State. And, the guarantors and trustees will have to agree that
Illinois law governs.
The term “substantial business relationship”, defined in Section
724.241(h), is used to limit the types of non—financial institutions which can
offer a guarantee to the operator which will function in lieu of liability
insurance. As defined in the federal rule, a “substantial business
relationship” is the extent of a business relationship which will support a
valid and enforceable guarantee contract under State law.
This federal definition is a directive to the states to write a
definition, rather than a “pattern” rule which the states are supposed to
adopt. Section 7.2 of the Act authorizes the Board to use identical in
substance procedures in crafting definitions meeting such federal directives.
There are two types of guarantees. One is a performance bond written by
a regulated financial institution. The other is a guarantee by one business
entity, which is not a financial institution, but which meets the financial
test, that it will pay any clean up costs if another entity fails to do so.
The latter type of guarantee is subject to the objection that the guarantee
may be invalid unless the guarantor is regulated as a financial institution.
It may also be subject to consumer protection legislation, since the
relationship is rather like a teenager getting his aged aunt to cosign a loan
for a car. The question is, what is the extent of the relationship between
the guarantor and operator such that the guarantee is valid?
The rules discussed below limit these guarantees to those from a parent
corporation to a subsidiary. Although the amendments extend the guarantees to
indirect corporate ownership patterns, the main rules are still limited to
parent/subsidiary relationships. A subsidiary is defined as a corporation
103—2 02
-25—
which is more than 50 owned by the parent. This is probably a sufficient
relationship to result in a valid guarantee anywhere.
The Board addressed this question in R84-22C. Since the 50 ownership
requirement appeared to be rather restrictive, the Board proposed to allow
guarantees from any entity with any ownership interest in the operator. (See
35 Ill. Adm. Code 807.666(h).) This was accepted by the State
regulatory
agencies. Since this is sufficient to ensure enforceability
of the guarantee,
Board has proposed to follow the R84-22C
formulation in this definition. The
Board recieved no coment on this issue.
The USEPA definition is really directed not at ownership interests, but
at other comercial relationships. (See 53 Fed. Reg. 33941 and 33945). There
are two examples. First, suppose a large firm which meets the financial test
generates a hazardous waste. The large firm might wish to guarantee any
liabilities a small treatment firm might incur, in exchange for a reduction in
treatment costs. Second, a hazardous waste treatment equipment vendor might
wish to guarantee liabilities as an inducement to firms to buy its
equipment.
There are potential problems with allowing these guarantees. These may
be illustrated with an example. Suppose a fire extinguisher dealer offered to
replace its customers houses if they burned down. Department of Insurance
should probably regulate this activity, to make certain that the company was
treating its customers fairly, and was maintaining an adequate loss reserve to
meet claims. How do the hazardous waste guarantees comnpare to this example?
First, hazardous waste guarantees are commercial relationships which may not
need the protections afforded consumer relationships. However, third parties,
the State and innocent bystanders, are really the benficiaries of the
liability guarantee, and may be deserving of protection. Second, the
guarantor must meet the financial test in the rules, affording something akin
to a loss reserve. However, the rules do not specifically require the
guarantor to establish a loss reserve. For example, an equipment vendor would
incur a potential annual aggregate loss of $6 billion after selling 1000 units
with guarantees. How big of a loss reserve should be established is
complicated by the possibility that all of the units could have the same
defect.
Aside from the question of whether this activity needs to be regulated by
the Department of Insurance, there is also the question of whether it is. if
these activities fall within the Department of Insurance’s jurisdiction, then
the Board cannot allow this type of guarantee as meeting the financial
assurance requirement. The Board specifically requested comment from the
Department of Insurance to whether it can or should extend the definition of
“substantial business relationhip” into this area, and received no response.
Existing Section 724.241(h) includes definitions applicable to the
liability insurance requirement. The introductory paragraph defines “bodily
injury” and “property damage” by reference to “applicable state law”. This
really is a directive, rather than a pattern rule. In R89—4 the Board
attempted to find the applicable illinois definitions, and found none. In
Illinois definitions of these terms are left to the parties in the insurance
contract. if the terms are not defined in the rules, the insurers might issue
policies covering “bodily injury” and “property damage” with restrictions
103— 203
—26—
which would defeat the purpose of the financial assurance requirement. For
example, an insurer might limit “bodily injury” to one which is manifested
within a short period of time, or limit “property damage” so as to not
compensate for loss
of use of property which is rendered unihabitable by
pollution. If these terms are not defined in the rules,
the
State would be
obliged to accept the policies as meeting the regulatory requirement.
Since these definitions are essential to the program, Section 7.2 of the
Act requires the Board to craft
a definition to fill the hole. (JCAR)
In the preamble to the USI financial assurance rules, USEPA refers to :i,he
definitions of these terms as prescribed by the Insurance Services Office
(ISO), a private entity which, among other things, drafts standard forms used
by many insurance companies. (53 Fed. Reg. 43333, October 26, 1988)
Commenters urged USEPA to adopt the ISO definitions so as to make the
regulations conform with insurance industry practices. USEPA refused to do
so, and instead referenced state law, out of fear that some states would have
conflicting definitions in their insurance regulations. In such states
confusion would have resulted from having the ISO definition in the UST rules,
and an insurance regulatory definition in the policy. However, since illinois
has no definitions in its insurance regulations, no conflict should result
from using the standard industry terms in the text of the rules. The Board
has therefore used the ISO definitions of “bodily injury” and “property
damage”.
The Board has reviewed the text of these definitions, and finds no
problems with the language of these two definitions themselves. The Board
received no comment to the contrary.
The ISO definition of “property damage” depends on two other ISO
definitions: “property damage” includes loss of use of property because of a
“pollution incident”, which includes a release, provided such release results
in “environmental damage”. The Board has adopted definitions of these ISO
terms also. However, there may be problems associated with these terms. The
terms may conflict with the USEPA terms “occurrence” and “accidental
release”.
The ISO definition of “pollution incident” includes yet another
definition, “pollutants”, which the Code Unit has asked the Board to factor
out. (PC 2) Also, the definition of “property oamage” has been rearranged to
meet Code Unit indentation requirements.
USEPA specifically rejected the ISO definition of “pollution incident”,
instead retaining its definitions of “occurrence” and “accidental release”.
However, USEPA added language specifically authorizing the use of alternative
terms, including the ISO terms, in policies. (53 Fed. Reg. 43334, October 26,
1988) Of course, this tends to defeat the goal of having the regulatory and
policy language the same.
The Board has resolved these problems by adding the following sentence to
the ISO definition of “pollution incident”: “The term ‘pollution incident’
includes an ‘accidental release’ or ‘occurrence’”. This allows an insurer to
bring the ISO policy form into line with the USEPA regulations by adding a
simple rider. If the insurer fails to do so, the policy would be amended by
103—204
—27—
the endorsement form of 40 CFR
264.151(e), incorporated by reference in
Section 724.252. Since this amendment would be simple, it is unlikely that
any conflict would result between the language of an ISO policy form and the
regulations.
Section 724.242 and 724.244
These Sections are drawn from 40 CFR 264.142 and 264.143, which were
amended at 52 Fed. Reg. 46963. The amendments add references to new Subpart
x.
Section 724.247
This Section is drawn from 40 CFR 264.147, which was amended at 52 Fed.
Reg. 46963 and 53 Fed. Reg. 33950. The former amendments added references to
new Subpart X, which were apparently repealed by the latter. The Board
assumes this is an editorial error, and has retained the references.
There are two other ambiguities in the Federal Register. The
introductory text indicates that paragraph (g)(1)(ii) is removed and
reserved. However, this is a critical Section which prevents cancellation of
guarantees until alternative financial assurance is provided. The Board has
left the equivalent Section 724.247(g)(1)(B) in the rules. It is also unclear
whether the final sentence of the introductory text to Section 724.247(g) is
in or out. The Board has left it in.
40 CFR 264.147(b)(7), as amended at 53 Fed. Reg. 33950, requires the
operator to notify whenever a claim is made “and” whenever the amount of
coverage is reduced. In Section 703.247(b)(7), the Board has rendered this as
“or”. As the Board reads this, USEPA intends notification in either
situation, rather than notification only if both conditions are met. The
latter. reading does not make sense. USEPA frequently uses “and”. to mean
“or”,
and vice versa. Also, in this Section there is a deeper ambiguity in the
structure of
the
rule. What USEPA probably meant was: “The operator
shall notify if a claim is made; and, shall notify if the amount of coverage
is reduced.” This can be fixed more easily by changing “and” to “or”, and
retaining the basic language. (JCAR)
The main amendments to this Section expand the methods by which an
operator may meet the liability insurance requirement. The operator can
presently meet the requirement with insurance, by passing a financial test or
with a guarantee from a parent corporation which meets the test..’ As amended,
the rules will also allow surety bonds, letters of credit and trust funds for
liability insurance. As discussed above, the rules also expand ~~1ranteesto
indirect corporate parents, and to firms with a “substantial business
relationship” with the operator. The Board has above defined this term as an
ownership interest in the operator, and has rejected contract relationships.
The Board received no comment on this.
For the reasons discussed above, the Board has limited the new mechanisms
to those which are governed by Illinois law, so as to allow the Attorney
General to certify alone that the mechanisms are “valid and enforceable.” The
Board has also limited insurance to that available from companies licensed by
the Illinois Department of Insurance. In R86—46 and R87—39 the Board has
10
3—205
-28-
already limited corporate guarantees to those which are executed in Illinois
by a corporation with a registered agent in Illinois.
In R84—22C, 66 PCB 463,
November 21, 1985, the Board determined the appropriate agencies for similar
mechanisms with respect to financial assurance for non—hazardous waste
landfills.
The rules track the language adopted in R84-22.C. (See 35 Ill.
Adm. Code 807.661 et seq.) Specifically, surety bonds require licensing by
the Department of Insurance, and letters of credit and trust funds require
licensing by the Commissioner of Banks and Trust Companies.
Out of State trustees are allowed if they comply with the Corporate
Fiduciary Act (Ill. Rev. Stat. 1987, ch. 17, pars. 1551—1 et seq.). The Code
Unit pointed out that Act cited in the proposal has been repealed and replaced
with the Corporate Fiduciary Act. (PC 2)
The mechanisms for financial assurance for closure and post—closure care
may need to be similarly limited. However, these have not been proposed for
amendment in this update. At the time these were adopted, they were presented
to the Board as something which had to be adopted
as pattern rules regardless
of State
law. On
the other hand, the liability requirements have come to the
Board with specific USEPA directives to adapt the mechanisms to State law and
as to the Attorney General ‘s statement. The Board will consider limiting the
other mechanisms if they are amended by USEPA in a similar manner.
Section 724.251
This Section is drawn from 40 CFR 264.151, which was amended at 53 Fed.
Reg. 33950. The Board has updated the incorporation by reference of the
financial assurance forms. Under the existing language of this Section, the
Agency will promulgate forms based on the new rules.
Section 724.290
This Section is drawn from 40 CFR 264.190, which was amended at 53 Fed.
Reg. 34086. This Section has been amended to use the newer terminology “tank
systems”.
Section 724.293
This Section is drawn from 40 CFR 264.193, which was amended at 53 Fed.
Reg. 34086. The Section has been amended to require sealless valves in tank
systems.
Section 724.296
This Section is drawn from 40 CFR 264.196, which was amended at 53 Fed.
Reg. 34086. The amendment is to a note in the federal Section which was not
adopted with this Section, since it concerns corrective action orders entered
by USEPA pursuant to the federal Act. The Agency has similar authority under
Section 4(q) of the Act. The Board requested comment as to whether a
reference to Section 4(q) was needed, and received no response.
The second note to this Section references the CERCLA reporting
requirements of 40 CFR 302. The Board has updated the reference to the
federal rules. The Board has done so by removing the date from this Section,
103—206
-29-
and by referencing 40 CFR 302.6, which is already incorporated by reference in
Section 720.111. This is actually the Section in Part 302 which requires
noti fication.
Section 724.700 et seq. Miscellaneous Units
The following Sections are drawn from 40 CFR 264, Subpart X, which was
added at 52 Fed. Reg. 46694, December 10, 1987. These were inadvertently
omitted from R87—39. This Subpart contains general rules for permitting
hazardous waste management units which are outside the specific categories for
which there are Subparts.
40 CFR 264.601(b)(7) requires the USEPA to consider “any water quality
standards established for those surface waters”. The Board has inserted a
reference to the standards of 35 Ill. Adm. Code 302 and 303. The Board is not
aware of any other water quality standards which might apply within Illinois.
Section 725.113
This Section is drawn from 40 CFR 265.13, which was amended at 53 Fed.
Reg. 31211. This Section governs the waste analysis plan at an interim status
facility. The amendments amend subsection (b)(7)(C), concerning analyses
related to land disposal bans. The USEPA language exceeds the subsection
levels available under the Code, and has been condensed.
Section 725.173
This Section is drawn from 40 CFR 265.73, which was arnended,at 53 Fed.
Reg. 31211. This Section requires that certain notifications and
certifications required under the land disposal bans be kept in the operating
record. (Section 725.173(b)(8) et seq.)
Section 725.210 (Not amended)
This Section is drawn from 40 CFR 265.110, which was amended at 53 Fed.
Reg. 34086. The amendments add subsection (b)(2), which is already present in
the Board rules, representing an editorial error previously corrected.
Section 725.212
This Section is drawn from 40 CFR 265.112, which was amended at 53 Fed.
Reg. 37934 to reference the new permit modification pracedures which sometimes
apply with respect to closure plans at interim status facilities.
Section 725.214
This Section is drawn from 40 CFR 265.114, which was amended at 53 Fed.
Reg. 34086, to add references to the tank regulations to the preface.
Section 725.218
This Section is drawn from 40 CFR 265.118, which was amended at and 53
Fed. Reg. 37934, to reference the new permit modification procedures which
sometimes apply with respect to post—closure plans at interim status
1fl3—207
—30-
facilities.
Section 725.241 and 725.247
These Sections are drawn from 40 CFR 265.141 and 265.147, which were
amended at 53 Fed. Reg. 33950. The amendments closely follow the amendments
to the financial assurance rules for permitted facilities, which are discussed
above. The Board has responded to JCAR’s comments above in connection with
Section 724.241 and 724.247. (JCAR)
Section 725.290
This Section is drawn from 40 CFR 265.190, which was amended at 53 Fed.
Reg. 34086, to use the preferred term “tank systems”.
Section 725.293
This Section is drawn from 40 CFR 265.193, which was amended at 53 Fed.
Reg. 34086, to add a reference in subsection (f)(3) to sealless valves, and to
correct a cross reference in subsection (g)(3)(C).
The Board has also modified the note following Section 725.293(c)(4) to
improve references to other programs. The reference to the pretreatment
requirements of the Clean Water Act have been changed to reference the new,
derivative Board rules in Parts 307 and 310. The broadside reference to the
CERCLA notification requirements in 40 CFR 302 has been narrowed to the
specific requirement in 40 CFR 302.6, which is incorporated by reference in
Section 720.111. The Board has also referenced the equivalent State
notification requirement in Section 750.410.
Section 725.296
This Section is drawn from 40 CFR 265.196, which was amended at 53 Fed.
Reg. 34086. As is discussed above in connection with Section 724.296, the
federal note
which
is the subject of this amendment is not in the Board
rules. However, the Board has improved a reference to
the
CERCLA reporting
requirements in 40 CFR 302.6.
Section 725.301
This Section is drawn from 40 CFR 265.201, which was amended at 53 Fed.
Reg. 34086 to correct a cross reference in subsection (c)(3).
Section 726.120
This Section is drawn from 40 CFR 266.20 which was amended at 53 Fed.
Reg. 31211. This concerns the exemption for products, such as fertilizer,
which are used in a manner which constitutes disposal.
Section 728.101
This Section is drawn from 40 CFR 268.1, which was amended at 53 Fed.
Reg. 31211. These amendments concern the “first third” landfill bans. The
amendments delete old subsection (c)(3), which postponed the effective date
103—203
-31-
for certain CERCLA and RCRA corrective action wastes, and add subsection
(c)(5), which allows certain delays until May, 1990. The amendmants also add
Section 728.101(d), which references “waivers” under CERCLA.
Section 728.104
This Section is drawn from 40 CFR 268.4, which was amended at 53 Fed.
Reg. 31211. The amendments modify the conditions under which a banned waste
can be treated in an impoundment.
This, and several following sections, have references to statutory
prohibitions under Section 3004 of RCRA. In an earlier Docket, the Board
added Section 728.139, which contains the statutory prohibition, i~n order to
minimize problems with possible incorporation by reference of a federal
statute.
Section 728.105
This Section is drawn from 40 CFR 268.5, which was amended at 53 Fed.
Reg. 31211. This Section allows case-by-case extensions to effective dates
for bans. In an earlier Docket, the Board incorporated the USEPA procedures
by reference, and provided that USEPA extensions are to be deemed Board
extensions. It is unlikely that the Board could respond to these short-term
USEPA extensions within the lifetime of the extension. The Board has updated
the incorporation by reference.
Section 728.106
This Section is drawn from 40 CFR 268.6, which was amended at 53 Fed.
Reg. 31211. This Section concerns petitions to allow ‘and disposal of a
restricted waste. In an earlier Docket, the Board adopted these procedures as
petitions for adjusted standards addressed to the Board.
The amendments add Section 728.106(a)(4) and (5). The latter references
‘other laws” restricting waste disposal. The Board solicited conmnent as to
whether there are any laws other than Section 39(h) of the Act and 35 Ill.
Adm. Code 709 and 729, but received no response.
These amendments bumped existing Section 728.106(a)(4) to (a)(5). This
is a Board addition to the information requirements which was adopted in a
previous rulemaking. The Board needs to know the permit sta’tus of the
applicant. This is omitted from the federal information requirements, since
USEPA, as the permitting entity, already knows this.
Section 728.107
This Section is drawn from 40 CFR 268.7, which was amended at 53 Fed.
Reg. 31211. This Section concerns the waste analysis requirements for
complying with the landfilling bans.
Section 728.108
This Section is drawn from 40 CFR 268.8, which was amended at 53 Fed.
Reg. 31211. The USEPA Section allows certain generators and operators to
103—209
-32-
avoid some bans under certain circumstances through May, 1990. Because of the
short-term nature of this provision, the Board has incorporated the USEPA rule
by reference, instead of setting it forth.
The Board has added the incorporations by reference 1-itany to this
Section. (JCAR)
40 CFR 268.12 was also amended at 53 Fed. Reg. 31211. The Board has not
adopted any equivalent to the USEPA schedules for regulating wastes, since
these apply only to USEPA.
Section 728.130
This Section is drawn from 40 CFR 268.30, which was amended at 53 Fed.
Reg. 31211. This Section concerns the prohibitions on solvent wastes, which
were adopted in a previous Docket.
The USEPA rules include many dates which have already passed. These
dates have generally been omitted from the Board rules. New bans whose dates
have passed will become immediately effective as State rules as soon as the
rules are filed.
As is discussed below, in order to comply with codification requirements,
Tables CCW and CCWE have to be separated from the governing Sections and made
Tables A and B.
These Sections contain many references to CERCLA response and RCRA
corrective actions wastes. In a previous Docket, these terms were defined in
Section 728.102, which is not involved in this rulemaking. These references
are somewhat more complicated at the State level, since they have to deal with
CERCLA and RCRA wastes from Illinois sites, other authorized states and USEPA
administered programs. These problems are localized in the definitions.
Section 728.131
This Section is drawn from 40 CFR 268.31, which was amended at 53 Fed.
Reg. 31211. This Section prohibits landfilling of certain dioxin—containing
wastes. The amendments extend the compliance date for certain dioxin-
containing wastes which are soil and debris which result
from CERCLA response
or RC~Acorrective action.
There are a number of minor editorial problems with this Section. The
provision concerning soil and debris is in 40 CFR 268.31(a)(1). However, it
is impossible to codify this provision in this format, since there is no
subsection (a)(2). The Code Unit requires that there be at least two entries
at a level of subdivision. This immediate problem is resolved by placing the
soil and debris at the end of subsection (a). However, this creates
difficulties in cross referencing. In the USEPA rule the exception in 40 CFR
268.31(a)(1) is used as a defining Section for the waste in question. The
Board has shifted the definition to subsection (b), which states the ban on
dioxin contaminated soil and debris. The references to subsection (a)(1) have
generally been changed to (b). Placing the definition in the exception is an
editorial error by USEPA. The problem with this structure is illustrated by
the cross reference in subsection (c) back to subsection (a)(1). This could
103—2 10
-33—
be construed as extending the compliance date for the dioxin waste itself.
Chemical Waste Management has pointed an editorial error in the
proposal. (PC 6) The November 8, 1990 effective date for the ban in
subsection (b) was omitted.
Section 728.132
This Section is drawn from 40 CFR 268.32, which was amended at 53 Fed.
Reg. 31211. This Section bans the “California list” wastes. Note the 40 CFR
268.32(b) and (c) are reserved Sections.
The main purpose of the amendment appears to be to extend the compliance
date for CERCLA response and RCRA corrective action wastes, as provided in
Section 728.132(d).
Chemical Waste Management has pointed out an editorial error in
subsection (d)(1). (PC 6) This subsection sets a November, 1989, ban date
for wastes which are not CERCLA wastes. CERCLA wastes are extended to
November, 1990, as provided in subsection (d)(2).
Existing 40 CFR 268.32(e) bans certain chlorinated solvents effective
July 8, 1989, the date reflected in Section 728.132(e). The amendment appears
to accelerate this ban to November 8, 1988. If adopted by the Board at this
time, this would be a retroactive ban. Since even the July date will be
passed before these rules are final, the Board has made this ban immediately
effective as a State rule on filing. A similar problem has also been
addressed in subsection (f). Note that the chlorinated solvents ban will have
little effect in Illinois, since these wastes are already prohibited in 35
Ill. Adrn. Code 729, adopted in R81-25.
Section 728.133
This Section is drawn
from 40
CFR
268.33,
which
was amended at 53 Fed.
Reg. 31211. This
is a new Section which bans the “First third” wastes.
Section 728.140
This Section is drawn from 40 CFR 268.40, which was amended at 53 Fed.
Reg. 31211. It concerns the applicability of the treatment standards of this
Subpart.
Section 728.141 (not amended)
This Section is drawn from 40 CFR 268.41, which was amended at 53 Fed.
Reg. 31211. However, the amendments concern only Table CCWE, Constituent
Concentrations in the
Waste Extract. For
codification reasons, these had to
be adopted as Table A, which appears at the end of the Part as though it were
an appendix.
Section 728.142
This Section is drawn from 40 CFR 268.42, which was amended at 53 Fed.
Reg. 31211. This
Section contains treatment standards expressed as
certain
103—2 11
-34-
technologies. The amendment authorizes treatment of certain halogenated
organic solvents by burning in boilers or industrial furnaces, “in accordance
with applicable standards”.
Section 728.143
This Section is drawn from 40 CFR 268.43, which was amended at 53 Fed.
Reg. 31211. This Section sets standards for land disposal by setting
concentration limits in the waste itself, as opposed to Section 721.141, which
sets standards for constituents in an extract. Most of the text of this
Section consists of Table CCW, Constituent Concentrations in Waste. It is
impossible to place this table into the text of the
Section and meet
codification requirements. It has therefore been factored out and presented
as Table B, which will appear at the end of the Part.
Section 728.144
This Section is drawn from 40 CFR 268.44, which was amended at 53
Fed.
Peg. 31211.
This Section concerns “variances” from treatment standards. In a
previous Docket the Board adopted these as adjusted standards using the
mechanisms of Part 106.
The amendments add subsections (h) through (1),
which
add procedures for “site specific variances”. These too appear to be
appropriate for adoption as “site-specific adjusted standards”.
The USEPA rule includes language which appears to function appropriately
as a “justification” for an adjusted standard. 40 CFR 268.44(h) requires the
person seeking the “variance” to demonstrate that, “because the physical or
chemical properties of the waste
differs significantly from the waste analyzed
-in developing the treatment standard, the waste cannot be treated to specified
levels or by the specified methods.” This is a classical square peg, round
hole justification for an adjusted standard.
The USEPA rule includes a requirement that the applicant include the
information required for a
IJSEPA
regulatory petition in 40 CFR 260.20. This
language is not included in the text of the equivalent 35 Ill. Adm. Code
720.120, and hence must be incorporated by reference. The Board has added an
incorporation to Section 720.111, discussed above.
40 CFR
268.44(k) has an additional information
clause which is doubly
contingent: USEPA may (or may not) request additional information which may
(or may not) be required to evaluate the application. This has been rendered
as “the Board will request any additional information or samples which the
Board determines are necessary to evaluate the application.”
Section 728.150
This Section is drawn from 40 CFR 268.50, which was amended at 53 Fed.
Peg. 31211. This Section prohibits storage of hazardous waste to evade the
landfilling bans. A reference to Section 728.106
has been added to subsection
(d).
Appendices
There are no amendments to the Appendices, which incorporate the USEPA
103—212
-35-
Appendices by reference. The Board has updated the references to the current
CFR Edition anyway.
Table A
This is Table CCWE from 40 CFR 268.41, which was amended as discussed
above. The amendment adds treatment standards, expressed as a concentration
in the waste extract, for the First Third wastes. As discussed above, this
Table cannot be presented within the text of Section 728.141 in the
codification format. To help avoid confusion, the Board has added the
acronym/federal table number “CCWE” to the heading of the table.
USEPA has pointed out an error for the entry for silver under the FOO6
heading. The correct number is “0.072”.
Table B
This is a new table derived from Table CCW in 40 CFR 268.43. This
contains treatment standards expressed as a concentration in the waste itself.
This Opinion supports the Board’s Order of this same day. The Board will
withhold filing of
the final rules until October 13, 1989,
to allow motions
for reconsideration by the agencies involved in the authorization process.
I, Dorothy M. Gunn, Clerk of the Illinois Pollution Control B a~4~Jiereby
certify that the above Opinion was adopted on the /J~day of
______________
1989, by a vote of 7—C
Dorothy M. Gu,ii~’,Clerk
/4
Illinois Polhition Control Board
103—213