ILLINOIS POLLUTION CONTROL BOARD
    June 30, 1988
    PEOPLE OF THE STATE OF
    ILLINOIS,
    Complainant,
    v.
    )
    PCB 84—93
    S.C. INDUSTRIES, INC.,
    Respondent.
    KATHLEEN SMITH, ATTORNEY-AT-LAW, APPEARED ON BEHALF OF THE PEOPLE
    OF THE STATE OF ILLINOIS; AND
    BERTRAM STONE, ATTORNEY-AT-LAW, APPEARED ON BEHALF OF RESPONDENT.
    OPINION AND ORDER OF THE BOARD (by B. Forcade):
    This matter comes before the Board on the July 18, 1984
    Petition of the People of the State of Illinois (hereinafter
    “People”) complaining of J. William Carison doing business as
    S.C. Industries
    (hereinafter “Sd”). The
    complaint charges Sd
    with numerous violations of the Board rules governing hazardous
    waste management, see 35 Ill. Adm. Code 700—725 (1984), adopted
    pursuant to the Illinois Environmental Protection Act (“Act”) and
    the Federal Resource Conservation and Recovery Act of 1976, as
    amended (hereinafter “RCRA”). See 42 (J.S.C. Sec. 6901 et seq.
    (1987); 111. Rev. Stat. ch. 111—1/2, par. 1022.4 (1988).
    SCI filed a Motion to Strike and Dismiss on August 2, 1984,
    and the Board responded in its September 20, 1984 Order by naming
    SCI as the respondent and appropriately recaptioning the case.
    The People responded with a First Amended Complaint filed October
    2, 1984. Sd answered this complaint on October 16, 1984. The
    People filed their Second Amended Complaint on December 13, 1984
    containing the same basic allegations as the prior complaints.
    SCI answered this Second Amended Complaint on May 6, 1985.
    Public hearings were held on August 1, 2, 8 & 19, 1985. No
    member of the public attended. The People filed their post—
    hearing brief on October 4, 1985. Sd filed a Motion for
    Extension of Time for Filing Briefs on November 21, 1985. The
    People filed a Motion to Close Record on December 26, 1985. SCI
    filed its post—hearing brief on January 8, 1986 on motion. The
    Board ordered the record closed on January 25, 1986 by its
    January 9, 1986 Order. The People filed their Reply Brief on
    January 24, 1986.
    90—439

    —2—
    I. Facts
    SCI is an Illinois corporation engaged in the business of
    electroplating nickel, chromium, and brass onto wire and tubular
    products at 2350 North 17th Street in Franklin Park, Illinois.
    It has continuously engaged in this business at this location
    since 1969. SCI occupies a 31,000 square foot leased plant and
    employs 50 to 60 persons full—time. (R. 307—13). SCI produces
    several hazardous wastes from its plating operations for ultimate
    disposal. (P. Ex. 18).
    The People charge Sd with non—compliance with various Board
    regulations governing the proper management of these wastes. The
    alleged non—compliance arose out of numerous Illinois
    Environmental Protection Agency (hereinafter “Agency”)
    inspections of Sd during 1983 and 1984. The Agency sent a
    notice of apparent violations to SCI on April 22, 1983. (P. Ex.
    15). The People subsequently filed this action on August 24,
    1984. The details of the allegations are reserved for later
    discussion, but it is presently useful to briefly describe them
    as contending that SCI committed acts of both transient and
    continuing non—compliance with various of the Board’s rules
    governing hazardous waste generator and hazardous waste
    treatment, storage, and disposal (hereinafter “T/S/D”) facility
    standards.
    The Board concludes that SCI was in non—compliance with
    various of the the hazardous waste generator and T/S/D facility
    regulations. The Board believes that certain actions by SCI can
    readily bring about full compliance. The Board’s Order will
    require these actions. It will also require SCI to pay an
    aggregated administrative penalty of $10,500 for its former non-
    compliance.
    II. Preliminary Discussion
    Preliminary to its analysis of the substance of the several
    counts of the complaint, the Board feels it appropriate to take a
    broader look at this case. Initially, the Board examines the
    character of the case. It then gives an overview of its RCRA
    regulations. Finally, this preliminary discussion gives a
    generalized outline of the complaint.
    The People characterize the nature of Sd’s non—compliance
    as willful and egregious. SCI counters that it has made good—
    faith efforts to correct its “technical” non—compliance, and that
    no harm has resulted from its non—compliance. It is worthy of
    note that the major purpose of enforcement actions is to assure
    compliance. The appropriateness of any administrative action to
    correct non—compliance is largely dependent on the actions of the
    respondent under the circumstances. Repeated, continuing, or
    flagrant non—compliance can indicate the need for stronger
    administrative action to encourage compliance. On the other
    90—440

    —3—
    hand, a demonstrated ready willingness of the respondent to
    promptly correct its non—compliance, that its non—compliance was
    based on a good—faith misunderstanding of applicable law or
    regulations, or other mitigating circumstances, can indicate that
    less administrative action is necessary. The relief granted will
    depend on the facts established by the record in the individual
    case.
    This case, like most, lies between the extremes: the record
    indicates that SCI has not so willfully remained in non-
    compliance as the People contend, yet it also indicates that SCI
    has not acted in the full good faith that it describes, and that
    SdI’s non—compliance was not merely “technical.” Part of SdI’s
    non—compliance was purely transient, but other parts were
    continuing in nature. Part of SCI’s non—compliance arose from
    certain mutual misunderstandings of the regulations between SCI
    and the Agency. Some of this continuing non—compliance was
    unnecessarily prolonged by SCI’s apparent intransigence prior to
    the filing of this complaint. The record also includes certain
    key disputed facts between the Agency and SCI, and certain
    internal inconsistencies make central portions of SCI’s version
    of these facts less credible. The record includes evidence that
    would tend to indicate that SCI took a cavalier attitude towards
    hazardous waste compliance, but the Board expressly makes no
    finding in this regard. The record supports the conclusion that
    SCI’s non—compliance was not singularly egregious, but that SdI
    could have acted in a more straightforward, diligent manner to
    more fully and promptly achieve compliance with the Board’s RCRA
    regulations. The ready compliance of the regulated community is
    necessary to the continuing vitality of the RCRA program and the
    achievement of the regulatory objectives.
    The intent of the RCRA rules is to follow certain wastes
    defined as “hazardous wastes” from “cradle to grave” to assure
    their proper management and ultimate disposition. Their purpose
    is to minimize the risk of harm to human health and the
    environment resulting from the management and disposal of these
    wastes. The RCRA regulations impose various requirements on
    those engaging in various activities relating to hazardous
    wastes. The three major regulatory categories of hazardous waste
    activities include generation; transportation; and treatment,
    storage, and disposal of hazardous wastes. The nature of a
    person’s hazardous waste—related activities will govern which of
    these three major categories of rules apply to their activities
    and, often, which sub—category as well.
    A key element running throughout the generator, transporter,
    and T/S/D facility standards requires hazardous waste
    manifesting. The generator of the waste initiates a manifest
    prior to shipment, indicating a description of the waste, its
    packaging and quantity, its intended destination, the designated
    transporters, and the date of shipment. The transporter signs
    the manifest upon receipt and can only deliver the waste as
    90—44 1

    —4—
    designated on the manifest. The receiving T/S/D must sign the
    manifest, verify the information it contains with regard to the
    wastes received, and return a copy to the generator to verify
    receipt. All persons participating in the transfer of the
    consignment of hazardous wastes must retain copies of the
    manifest, and the generator shipping the waste and T/S/D facility
    receiving it must each forward a copy to the Agency. The
    regulations further provide that either the generator or the
    T/S/D facility must report certain problems occurring in the
    transaction to the Agency within certain specified times. These
    requirements assure that hazardous wastes are properly accounted
    for——from the time of generation to the time of final
    disposition. All persons participating in the transfer of
    hazardous wastes must comply with these important manifesting and
    related provisions in order to achieve the regulatory objective
    of sound hazardous waste management.
    Additional requirements apply to generators and T/S/D
    facilities with regard to the management of hazardous wastes at
    their respective facilities. These apply from the time the waste
    comes into the facility (from the time it is generated or
    received) to the time it leaves (to the time it is transferred
    away, is finally disposed of, or is no longer a hazardous
    waste). Certain of these requirements apply solely to hazardous
    waste generators, whereas others apply only to T/S/D
    facilities. Depending on the nature of a generator’s hazardous
    waste—related activities, however, certain T/S/D facility
    standards may apply to its activities, whether as a generator or
    as a T/S/D facility itself. Again, compliance with these various
    requirements, as applicable, is necessary to achieve the
    regulatory goal of minimized risk to human health and the
    environment. The Act vests certain enforcement authority in the
    Board to assure the compliance of the regulated community and the
    maintenance of the statutory and regulatory schemes.
    The People’s Second Amended Complaint against SCI alleges
    non—compliance with various generator requirements, various T/S/D
    facility requirements that purportedly apply to SCI as a
    generator, various T/S/D facility requirements that purportedly
    apply to SCI as a T/S/D facility, and one miscellaneous violation
    of the rules. It is convenient for the Board to so categorize
    and consider the substance of the various counts of the
    complaint. The asserted non—compliance with the first category,
    including only alleged non—compliance with the RCRA generator
    requirements, alleges violations of the manifest initiation
    requirements and exception reporting requirements (for the late
    receipt of T/S/D facility—signed return copies of certain
    manifests). This includes Counts IV and
    V
    of the complaint. The
    second category includes Counts I through III and alleges certain
    administrative T/S/D facility standards that purportedly apply to
    SdI as a hazardous waste generator (those requiring a written
    contingency plan, the designation of an emergency coordinator,
    and certain personnel training and recordkeeping requirements).
    90—442

    —5—
    Counts VII through XI, in category three, pertain to certain
    requirement that would apply to SCI solely as a T/S/D facility
    (requiring a written waste analysis plan, a written facility
    inspection plan, the filing of annual reports with the Agency, a
    written facility closure plan, and a written closure cost
    estimate and the maintenance of closure cost assurance). Count
    VI is unique and stands alone. It derives from the same facts as
    Count V1 however, so it is topically categorized and discussed
    together with Count V for convenience. It alleges that SCI
    established a T/S/D facility in violation of the Act and
    regulations by parking a trailer of hazardous wastes in an off—
    site location.
    The following discussion considers each category of alleged
    non—compliance in the order as outlined, with one exception: it
    is most convenient to consider the unique count together with
    part of the first category. The discussion below will proceed to
    analyze the substance of the complaint under the following
    topical sub—headings:
    1. “Generator Standards” (Counts IV, V, and
    VI);
    2. “Generator T/S/D Facility Standards”
    (Counts I, II, and III); and
    3. “T/S/D Facility Standards” (Counts VII,
    VIII, IX, X, and XI).
    Although followed by a summary of the count—by—count
    findings, the posture of this case makes it expedient
    to consider the individual counts together in the three
    major broader categories. Preceding the discussions of
    the four categories of violations is a preliminary
    citation of a relevant statutory provision that the
    People allege SCI violated.
    III. Status of Claimed Violations
    The Act authorizes the Board to adopt and amend
    rules governing the management and disposition of
    hazardous wastes. Ill. Rev. Stat. ch. 111—1/2, pars.
    1022 & 1022.4 (1988). This the Board has done, and the
    resulting body of regulations resides at Subtitle G of
    Title 35 of the Illinois Administrative Code. The Act
    further provides:
    No person shall:
    f. Conduct any hazardous waste—storage,
    hazardous waste—treatment or hazardous
    waste—disposal operation;
    90—443

    —6—
    2. In violation of any regulations or
    standards adopted by the Board under
    this Act
    Ill. Rev. Stat. ch. 111—1/2, par. 1021 (1988).
    The violation of this provision is alleged as part of each count
    of the complaint. SCI has violated this provision of the Act if
    it has violated any RCRA requirement directly affecting hazardous
    waste storage, treatment, or disposal, whether the particular
    rule directly regards the activities of a hazardous waste
    generator, transporter, or T/S/D facility.
    A. Generator Standards
    The first topical category of alleged SCI non—compliance
    includes only those regulatory provisions applicable to a
    hazardous waste generator. For analytical convenience, the
    miscellaneous count (Count VI) is included in this category. The
    analysis follows in order for Count V, Count VI, and Count IV.
    The RCRA generator standards require a generator to prepare
    a manifest for each consignment of hazardous wastes to an off—
    site facility for treatment, storage, or disposal. 35 Ill. Adm.
    Code 722.120(a) (1984). These standards further require that the
    generator must designate as the consignee only a permitted RCRA
    T/S/D facility. Sec. 722.120(b). The People contend in Count V
    that SCI violated this provision of the RCRA requirements.
    “Storage” is defined as “the holding of hazardous waste for a
    temporary period
    ....“
    Sections 702.110 & 720.110. Therefore,
    SCI violated Section 722.120 of the Board’s RCRA rules if it
    transferred hazardous wastes for temporary holding at an off—site
    facility without using a manifest, and/or if it transferred
    hazardous wastes to a facility which was not a permitted RCRA
    T/S/D facility.
    The record reflects that Sd transferred hazardous wastes to
    a lot adjoining its plant, that the wastes remained on the lot
    for a period of several days, that SCI did not initiate a
    manifest for that transfer, and that the lot was not a permitted
    RCRP. facility. The remaining issues are whether the lot was
    “off—site” for the purposes of the Board’s RCRA rules, and
    whether the record shows any extenuating or aggravating facts for
    consideration. The Board concludes that the adjoining lot was
    “off—site” for the purposes of RCRA, and that SCI intentionally
    transferred the wastes to the lot for the purpose of avoiding
    Agency detection of the wastes. The Board concludes that SCI
    thereby violated Section 722.120 of the RCRA rules and Section
    21(f)(2) of the Act.
    SdI admitted shipping hazardous wastes to a lot adjoining
    its plant without a manifest, and the record strongly suggests
    that SCI did so to avoid Agency detection of the wastes. One
    90—444

    —7—
    issue raised by the Agency’s March 24, 1983 inspection of SCI was
    whether SCI had stored hazardous wastes in its plant for longer
    than 90 days.* (P. Ex. 2, p. 27; R. 39). SCI was aware that the
    Agency had determined on this basis that it was a hazardous waste
    T/S/D facility in violation of various Board rules following that
    inspection. (P. Ex. 15; R. 324—25). SCI was therefore aware
    that Agencydetection of the same wastes at its plant would
    confirm the Agency’s conclusion that it was a hazardous waste
    T/S/D facility. The Agency attempted an unannounced follow—up
    inspection on June 30, 1983, but failed to gain admittance to the
    SdI plant. The Agency returned for a scheduled inspection on
    July 6. (P. Ex. 4; R. 59 & 467—68). During that inspection the
    Agency observed three drums of hazardous wastes at SCI, so that
    the approximately 15 drums of hazardous wastes present on March
    24 were no longer at the plant. The Agency also observed that
    SCI still had initiated no manifests since November, 1982. (P.
    Ex. 2, p. 27; P. Ex. 4, p. 27; R. 58—69). Mr. Carlson explained
    at the time of the inspection that about two weeks earlier it had
    shipped the drums of wastes to an intermediate Waste Management
    transfer point pending an ultimate destination. He explained
    that SCI did not initiate a manifest for the shipment because its
    ultimate destination was unknown at that time.** (P. Ex. 4, p.
    27). The Agency learned on either July 6 or 7 from Waste
    *
    This bears on the issue of whether SCI was merely a hazardous
    waste generator or a T/S/D facility for the purposes of RCRA
    regulation. This issue is dealt with fully below, at pages 18—23
    of this discussion.
    **
    Mr. Carlson later submitted conflicting testimony with regard
    to these events. During a January 22, 1985 deposition, he stated
    that he personally inspected the trailer a week before the Agency
    inspection and the wastes were not in it. He testified that SdI
    personnel placed the wastes in the trailer without his knowledge
    and authorization while he was on vacation when Waste Management
    did not arrive for a scheduled pickup. (R. 378—79.) During the
    August 19, 1985 segment of the hearings, Mr. Carlson testified
    that he was on vacation from June 29 through July 4, 1983. He
    said that he first learned that Waste Management had not picked
    up the wastes only after the Agency confronted him with the Waste
    Management denials of his unmanifested waste pickup story. Mr.
    Carlson admitted that he was in his office for brief times on
    Thursday and Friday, June 29 and 30, when he refused to allow the
    unscheduled Agency inspection of his plant. CR. 369—79, 427—32 &
    466—69.) It is clear that SCI could not have both shipped the
    wastes to an undisclosed location two weeks prior to the Agency
    inspection and anticipated a Waste Management pickup while Mr.
    Carlson was on vacation June 29 and 30. Mr. Carlsori’s later
    explanations are less credible than his earlier explanations.
    Further, the contemporaneous explanation would constitute an
    admission.
    90—445

    —8—
    Management that no such transfer had occurred, and when it
    confronted SCI with this information, SCI disclosed that the
    wastes were in a semi—trailer parked on a lot adjoining the SCI
    plant. (P. Ex. 4, p. 27; R. 70—74). The Agency returned to SCI
    on July 8 to see a total of 28 drums
    of hazardous wastes in the
    trailer.
    (P. Ex. 4, p. 27; P. Ex. 8; R.
    73—74, 165—67, 202-05 &
    366—77). Waste Management was at SCI at that time, and later
    took 20
    of the drums for disposal after they were properly
    repackaged and the
    Agency had left.
    (P. Ex. 18 G & H; P. Ex. 8;
    R. 204).
    Initially,
    the Board observes that SCI employees
    placed the
    wastes on the
    adjoining lot which was not a permitted RCRA T/S/D
    facility without initiating a
    hazardous waste manifest. Without
    an affirmative showing of some legal
    justification for having
    done so, this is
    sufficient to establish a violation of Section
    722.120 of the RCRA rules and Section
    2l(f)(2) of the Act if
    the
    lot was “off—site.” The RCRA rules define “off—site” as “any
    site which is not ‘on—site.’” 35 Ill. Adm. Code 702.110 &
    720.110 (1984). They define “on—sitet’ as follows:
    “On—site” (RCRA) means on the same or
    geographically contiguous property which may
    be divided by public or private right(s)—of—
    way, provided the entrance and exit between
    the properties is at a cross—roads inter-
    section, and access is by crossing as opposed
    to going along, the right(s)—of—way. Non-
    contiguous properties owned by the same person
    but connected by a right—of-way which the
    person controls and to which the public does
    not have access, is also considered on—site
    property.
    Sections 702.110 & 720.110.
    Implicit to this definition of “on—site” is the requirement that
    both properties between which the wastes transfer are in the
    exclusive possession and control of the same person: the owner
    or operator of the hazardous waste facility.
    The record indicates that the adjoining lot was not in SCI’s
    exclusive possession and control, despite SCI’s right of access
    to it, so the Board concludes that the adjoining lot was not “on—
    site” for the purposes of the RCRA rules. SCI leases its plant
    from a trust whose beneficial owner leases the adjoining lot from
    Jewel Foods. (P. Ex. 10; p. Ex. 11, pp. 6—15; P. Ex. 12; R. 255—
    56 & 309). Despite the right of access given in the Jewel lease
    to SCI and other tenants for the purpose of parking vehicles, the
    adjoining lot is not in SCI’s possession and control (P. Ex. 10,
    p. 2), and public access to it is not restricted. (P. Ex. 11, p.
    17). Further, both the third—person lessee of the lot and Jewel
    Foods were unaware that SCI had used the lot for the temporary
    90— 446

    —9—
    storage of hazardous wastes in the trailer. (P. Ex. 11, p. 19;
    R. 274). Therefore, SdI violated Section 722.120 of the RCRA
    rules and Section 21(f)(2) of the Act by transferring its
    hazardous wastes to that unpermitted location without a
    manifest.
    Further, with regard to knowledge and intent, the Board
    finds that SCI’s conduct and testimony severely affect its
    credibility and brings its motivations and assertions of good—
    faith into serious doubt. The Board observes that throughout the
    record of these proceedings SCI has continuously attempted to
    avoid the conclusion that it has stored its wastes for more than
    90 days and thereby become a RCRA T/S/D facility.* Further, the
    Board observes that SCI’s version of the facts has changed since
    the time of the July, 1983 inspections. The Board concludes from
    these facts that SCI intentionally placed the drums of waste in
    the trailer and on the adjoining lot for the purpose of avoiding
    Agency detection of its non—compliance with the Board’s RCRA
    rules.
    For the foregoing reasons, the Board finds that SCI violated
    Section 722.120 of the Board’s RCRA rules and Section 21(E)(2) of
    the Act without legal justification when at some time prior to
    July 6, 1983 it placed about 28 drums of hazardous wastes in a
    semi—trailer and parked the trailer off—site on a lot adjoining
    the SCI plant. That lot was not a permitted RCRA T/S/D facility,
    and SCI did not initiate a hazardous waste manifest for the
    transfer. In aggravation, the Board finds that SdI intentionally
    performed these acts for the purpose of avoiding hgency detection
    of the wastes. In mitigation, the Board finds that Sd did have
    access to the lot for the purpose of parking vehicles, and that
    SCI could reasonably have had confusion as to whether the lot was
    indeed “off—site” for the purposes of the RCRA rules, since the
    lot immediately abutted the SCI plant premises. Further, the
    Board notes that SCI’s intent was not the most egregious
    conceivable under the RCRA scheme: the improper, illegal
    disposal or release of the wastes into the environment. The
    Board, however, does not condone SCI’s surreptitious acts
    performed with the apparent intent of avoiding compliance with
    applicable RCRA rules.
    Count VI is also based on this incident and the same
    facts. However, the People contend that by parking its trailer
    on the lot, Sd thereby created a T/S/D which did not comply with
    the RCRA rules. The asserted non—compliance was with numerous of
    the Board’s RCRA T/S/D facility standards. The Board has already
    determined that SdI temporarily stored hazardous wastes on the
    lot, and obviously, the lot was not in full compliance with
    *
    For example, SCI’s testimony includes a strained set of
    assertions obviously designed to avoid the conclusion that it has
    stored its wastes for more than 90 days. This testimony is
    outlined below on pages 20—21 of this discussion.
    90— 447

    —10—
    applicable RCRA T/S/D facility standards if it thereby became a
    T/S/D facility which was not excepted from regulation.
    The only conceivably applicable regulatory exceptions from
    the T/S/D facility regulations are the small quantity exception,
    35 Ill. Adm. Code 721.105 (1984); the 90—day generator exception,
    Sections 722.134 & 725.l0l(c)(7); and the transportation
    exception, Sections 723.112 & 725.lOl(c)(2). The quantity of
    wastes in 28 drums clearly exceeds 1,000 kilograms, so the small
    quantity exception does not apply. (See P. Ex. 14; P. Ex. 18; R.
    48 & 321—23). The 90—day generator exception does not apply
    because the wastes were not “on—site,” as found above. Finally,
    the storage was not incident to transportation because SCI had
    not initiated a manifest or otherwise consigned the wastes,
    because Sd is not a hazardous waste “transporter” for the
    purposes of this exception, and because SCI’s containers
    apparently did not comply with the RCRA container requirements.
    (P. Ex. 8; R. 208, 214 & 432—33; see Sections 723.112 &
    725.101(c) (12)).
    The Board concludes that SCI created a T/S/D facility of the
    adjoining lot when it stored its hazardous wastes there in July,
    1983, and that that facility did not comply with Sections 725.111
    (tJSEPA identification number requirement), 725.113(b) and (c)
    (requiring a written waste analysis plan), 725.114 (facility
    security requirements), 725.115 (facility inspection
    requirements), 725.131 (facility maintenance and operation
    requirements), 725.132 (facility emergency and communications
    equipment requirements),
    725.133 (maintenance and testing
    requirements for facility emergency and communications
    equipment), 725.135 (aisle space requirements), and 725.137
    (requirements for emergency arrangements with local
    authorities). SCI thereby violated Section 21(f)(2) of the Act.
    The Board foregoes a detailed section—by—section analysis of
    the various T/S/D facility standards with which SCI failed to
    comply on this adjoining lot T/S/D facility. SCI cannot
    seriously suggest that it attempted to comply with any of those
    requirements listed in Count VI. The Board does observe,
    however, that SCI did maintain physical and chemical test results
    for its wastes, so it did comply with Section 725.113(a) of the
    Board’s RCRA rules (P. Ex. 2, p. 8; P. Ex. 4, p. 8; R. 133).
    Further, the Board specifically finds that aisle space is
    required for drummed hazardous wastes stored in semi—trailers
    because spilling or leakage is possible.* (See Section 725.135;
    *
    Although the Board can foresee other situations in which it is
    both physically safe and environmentally sound not to maintain
    aisle space, this is not such a situation. For example, there is
    no means of spill containment on the lot adjoining the SdI
    plant. (See R. 287—89 & 476—77).
    90—448

    —11—
    P. Ex. 8; P. 205 & 212—13). The Board’s prior findings with
    regard to mitigating and aggravating circumstances relating to
    Count V apply to Count VI with the following added aggravating
    factor: SCI stored its hazardous wastes on the adjoining lot
    without the knowledge and consent of either the third—person
    lessee or the owner, Jewel Foods. This is a very serious breach.
    Count IV of the People’s Second Amended Complaint alleges
    that SCI failed to file with the Agency an exception report when
    SCI did not receive certain T/S/D facility—signed copies of the
    manifest within the required 45 days. 35 ill. Mm. Code 722.142
    (1984).
    In support of its allegation, the People cite that during a
    March 24, 1983 inspection of SCI, the Agency observed that SCI
    had failed to submit exception reports when it failed to receive
    the return copies of the manifests for three shipments of
    hazardous wastes to Alabama. (P. Ex. 2, pp. 7 & 27; P. Ex. 3; R.
    44—45). The record includes copies of five manifests for SCI
    shipments to Alabama which occurred prior to the March, 1983
    inspection. Three occurred February 24, 1982 and were received
    in Alabama on March 2, 1982. (P. Ex. 18 B, C & D). Two occurred
    October 28, 1982 and were received November 19, 1982. (P. Ex. 18
    E & F). All copies indicate receipt and signature within the
    designated times, and all are the return copies of the
    manifests. These documents do not support the allegations. Mr.
    Carlson testified that the only time he did not receive a return
    copy was once when his wastes were returned because they included
    too much supernatant liquid. He removed the liquid, shipped the
    wastes again, and received return copies of the manifests. Mr.
    Carlson recalled no other shipments without manifest return
    copies, (P. 426—27 & 465—66), and the record fails to indicate
    which shipment the waste return affected.
    The Agency inspector’s reports, which constitute the
    People’s primary evidence, add confusion to the evidentiary
    discrepancies. The inspector noted at the time of the inspection
    that SCI had also failed to submit Agency copies of the
    manifests, see 35 Ill. Mm. Code 722.l23(a)(4) (1984), and that
    SCI’s last shipment had occurred November 19, 1982 “according to
    company manifest (sic
    ...,“
    (P. Ex. 2, p. 27), or “according to
    Mr. Carison.” (P. Ex. 3). The inspector later
    noted on February
    6, 1984: “TIhe date of the last manifest was November 19,
    1982. (Neither the Agency or sic Mr. Carlson had manifest
    copies for that shipment. The previous manifest for which the
    Agency had copies was October 28, 1982).” (P. Ex. 6, Att.).
    Because the October, 1982 consignment was received on November
    19, 1982, and because Mr. Carlson asserts that Exhibit 18
    represents all manifests and all his shipments of hazardous
    wastes, (P. 359—60), it is possible that the inspector and Sd
    failed to properly communicate on this issue, so the inspector
    only thought SCI did not receive return copies for a non—existent
    November 19, 1982 shipment. It is also possible that SCI somehow
    9 0—449

    —12—
    did not retain any manifest copies for a shipment which occurred
    on this date. The record is unclear.
    The burden was on the People to prove that Sd failed to
    file exception reports with the Agency in violation of Section
    722.142(b) of the Board’s RCRA regulations. The facts are
    confused onthis issue, and the People have failed to clarify
    them in a way that would demonstrate that they bore this burden
    of proving a violation of the rules. The Board would not find
    that SCI violated the exception reporting requirement of Section
    722.142(b), but SCI’s post—hearing brief twice flatly admits the
    violation. Therefore, the Board finds that SCI violated Section
    722.142(b) of the RCRA rules and Section 21(f)(2) of the Act. In
    mitigation, the Board finds that SCI ultimately contacted the
    receiving T/S/D facility arid obtained a return copy of the
    manifest.
    This concludes the Board’s consideration of those counts of
    the complaint pertaining solely to alleged Sd violations of the
    Board’s generator standards. The Board next considers the counts
    alleging violations of the Board’s RCRA T/S/D facility standards
    that purportedly apply to SCI as a generator of hazardous wastes.
    B. Generator T/S/D Facility Standards
    The second topical category of alleged non—compliance
    focuses on certain T/S/D facility standards that apply to some
    hazardous waste generators. The analysis of this topical
    category involves the central focus of the parties throughout
    this proceeding: the characterization of Sd’s conduct. It
    concludes that SdI is not the willful violator, as contended by
    the People, nor the small, beleaguered businessman who has
    throughout attempted to comply in full good faith, as contended
    by Sd.
    Counts I, II, and III of the Second
    Amended Complaint allege
    that SCI violated various T/S/D
    facility requirements that would
    apply to SCI as a hazardous waste generator.
    These allege that
    SCI had no adequate written contingency plan (Count I), had not
    designated emergency coordinators (Count II), and
    had no adequate
    written personnel training records (Count III).
    The Board’s RCRA regulations require that all generators
    which store hazardous wastes comply with certain of the interim
    T/S/D facility standards. This is true of all generators,
    whether they merely store the wastes one day past the date of
    generation, or they store the wastes for extended periods and
    thereby become a T/S/D facility for the purposes of
    90—450

    —13—
    regulation.*
    See 35 Ill. Mm. Code 722.134 &
    725.l0l(c)(7)
    (1984) (generator accumulation time exception provisions).
    The
    relevant, applicable portions of the interim T/S/D facility
    standards of Part 725 of the Board rules include the personnel
    training requirements of Section 725.116 and
    the contingency plan
    and emergency coordinators requirements of Subpart D, Sections
    725.150 through 725.156. These are very explicit and somewhat
    detailed requirements.
    The Board feels it is useful to cite significant portions of
    the contingency plan, emergency coordinator, and personnel
    training requirements preliminary to its core analysis of the
    issues involved in this topical category.
    A major factor
    implicit to the resolution of the issues involved is the clarity
    and particularity of the relevant provisions. Their clarity and
    particularity illustrate any deficiencies in SCI’s compliance
    efforts arid directly bear
    on SCI’s ability and willingness to
    promptly comply with the requirements.
    The T/S/D facility contingency plan requirements provide
    that the facility owner and operator must assemble a written
    plan:
    designed to minimize hazards to human health
    or the environment from fires, explosions or
    any unplanned sudden or non—sudden release of
    hazardous
    waste
    or
    hazardous
    waste
    con-
    stituents to air, soil or surface water.
    Section 725.151(a).
    The regulations specify the
    contents of the plan with some
    particularity.
    They provide in part as follows:
    a)
    The contingency plan must describe the
    actions facility personnel must take to
    comply with Sections 725.151 and 725.156
    in response to fires, explosions or any
    unplanned sudden or non—sudden release of
    hazardous
    waste
    or
    hazardous
    waste
    constituents
    to air,
    soil
    or surface
    water at the facility.
    C)
    The plan must describe arrangements
    agreed to by local police departments,
    fire departments hospitals contractors
    and state and local emergency response
    teams to coordinate emergency.
    *
    The generator accumulation time exception and its applicability
    to SCI’s operations is analyzed more fully below at pages 18—22
    of this discussion.
    90—45 1

    —14—
    d) The plan must list names, addresses and
    phone numbers (office and home) of all
    persons qualified to act as emergency
    coordinator
    ...
    and this list must be
    kept up to date.
    e) The plan must include a list of all
    emergency equipment at the facility (such
    as fire
    extinguishing
    systems,
    spill
    control equipment, communications and
    alarm system (internal and external) and
    decontamination equipment) where this
    equipment is required. This list must be
    kept up to date. In addition, the plan
    must include the location and a physical
    description of each item on the list and
    a brief outline of its capabilities.
    f) The plan must include an evacuation plan
    for facility personnel where there is a
    possibility that evacuation could be
    necessary. This plan must describe
    signal(s) to be used to begin evacuation,
    evacuation routes and alternate
    evacuation
    routes
    (in cases where the
    primary routes could be blocked by
    releases of hazardous waste or fires).
    Section 725.152.
    These comprehensive, detailed requirements continue to describe
    that the T/S/D facility (or excepted generator) must maintain
    copies of the plan at the facility and submit copies to local
    emergency services entities (such as
    police departments, fire
    departments, hospitals, etc.).
    Section 725.153.
    They further
    provide for the amendment and implementation of the plan.
    Section 725.154 & 725.156.
    The contingency plan provisions also require the facility to
    designate an “emergency coordinator” to carry out the plan if
    necessary:
    At all times there must be at least one
    employee either on the facility premises or on
    call (i.e., available
    to respond to an
    emergency by reaching the facility
    within a
    short period of time) with the responsibility
    for
    coordinating
    all
    emergency
    response
    measures. This emergency coordinator must be
    thoroughly familiar with all aspects of the
    facility’s contingency plan, all operations
    and activities
    at the facility,
    the location
    90—45 2

    —15—
    and characteristics of waste handled, the
    location of all records within the facility
    and the facility layout. In addition, this
    person must have the authority to commit the
    resources needed to carry out the contingency
    plan.
    Section 725.155.
    These detailed contingency plan and emergency coordinator
    requirements set forth with particularity the actions a facility
    must take and the written documentation necessary to achieve
    compliance.
    The Board’s personnel training requirements are less
    comprehensive in scope than those for a contingency plan, but
    equally particular as to the nature and contents of the required
    written records:
    The owner or operator must maintain the fol-
    lowing documents and records at the facility:
    1) The job title for each position at the
    facility related to hazardous waste
    management and the name of the employee
    filling each job;
    2) A written job description for each
    position listed under paragraph (d)(l) of
    this Section. This description
    ...
    must
    include the requisite skill, education or
    other qualifications and duties of
    facility personnel assigned to each
    position;
    3) A written description of the type and
    amount of both introductory and
    continuing training that will be given to
    each person filling a position listed
    under paragraph (d)(l) of this Section;
    arid
    4) Records that document that the training
    or job experience required under
    ...
    this
    Section has been given to and completed
    by facility personnel.
    Section 725.116(d).
    The facility must retain its personnel training records for the
    life of the facility, with one limited exception not applicable
    here. Section 725.116(e).
    90—45 3

    —16—
    Compliance with these provisions would have required SCI to
    assemble the required information, engage in the required
    personnel training, and submit information to various local
    authorities. The record indicates that SCI did not fully perform
    these actions until some time after the People filed their
    complaint.
    The Agency inspection reports indicate that SCI did not have
    any required documentation of personnel training, or contingency
    planning, and had not designated an emergency coordinator at the
    time of the March 24, 1983 Agency inspection. (P. Ex. 2, pp. 4,
    6—7 & 27; p. Ex. 3). At the time of the July 6, 1983 inspection,
    SCI had only acquired written job descriptions and job titles for
    personnel training documentation, but had made no progress with
    regard to a written contingency plan. (P. Ex. 4, pp. 4, 6—7, 27
    & Att.). By the February 6, 1984 inspection, SCI had an
    incomplete contingency plan, which failed to give the names and
    addresses of qualified emergency coordinators; which did not
    fully describe the locations, physical attributes, and
    capabilities of SCI’s emergency equipment; and which failed to
    describe arrangements SCI made with local emergency response
    authorities. SCI showed no personnel training records to the
    Agency. (P. Ex. 6, pp. 4, 6—7 & Att.; P. Ex. 7).
    Subsequent to the filing of the complaint in this action,
    SCI had written job titles and descriptions of the required
    personnel training,
    but training records and job descriptions
    were not present during the February 13, 1985 Agency
    inspection. (P. Ex. 9, p. 32). At that time, SCI’s contingency
    plan did not outline the emergency coordinators’ responsibilities
    and actions, did not give their addresses, and did not outline
    SCI’s emergency equipment capabilities. (P. Ex. 9, pp. 34—35;
    see R. Ex. 1).
    SCI submitted a complete contingency plan
    together with written personnel training records to the Agency on
    July 16, 1985. (P. Ex. 3—7). It took over two years from the
    time of the April 22, 1983 detailed notice of apparent violations
    before SCI complied fully with these requirements. (See P. Ex.
    15).
    Mr. Carison has repeatedly expressed confusion as to what is
    required for compliance with the regulations. (See, e.g., P. Ex.
    1; P. 327.) He further asserts that he has always had a
    contingency plan that complied with his interpretation of the
    regulations. (P. 436—38). A facial examination of that
    document, however, reveals the speciousness of this contention:
    it is merely a two—page description of SCI’s wastewater
    pretreatment system and a plant floor plan crudely indicating
    floor space usage and the locations of the plating line,
    “pollution control,” and “sludge sic storage.” (R. Ex. 8).
    SCI’s available documentation was wholly insufficient for the
    purposes of RCRA compliance. Further, this conflicts with Mr.
    Carlson’s other testimony that SCI assembled its first written
    contingency plan in 1984. (P. 348). It was this plan that Mr.
    90— 454

    —17—
    Carlson elsewhere asserted that SCI assembled in 1983. (P. Ex.
    7; P. 381—82). SCI did
    not
    make this version available to the
    Agency until February, 1984, and it was incomplete, as noted
    above. Finally, had SCI fully intended to dispel its confusion
    as to the RCRA requirements, it could have in good faith done so
    within a time shorter than two years.
    SCI contends that certain other documents not directly
    related to hazardous wastes management constituted partial
    compliance with the requirements, and that its RCRA—required job
    descriptions do not need to reference hazardous wastes. (P. 329—
    30; see P. Ex. 16 & 17). While this is partially true, and
    specific references to hazardous wastes as such is not required
    for every phase of the contingency plan or personnel training,
    except as otherwise required by regulation or by personnel and
    environmental safety considerations, SCI subverts its position
    with regard to its own good faith efforts by these arguments.
    People’s Exhibit 17 illustrates how rapidly SCI can comply with
    law when motivated to do so: it is SCI’s July 1, 1984 “Employee
    Toxic Substance Training Program” adopted to comply with
    Illinois’ “Toxic Substances Disclosure to Employees Act,” P.A.
    83—240, approved September 8, 1983 and effective January 1,
    1984. See
    Ill. Rev. Stat. ch. 48, par. 1401—1420 (1985).
    SCI
    tries to make it seem like the replacement of the former Agency
    inspector removed an impediment to SCI’s full compliance, (see P.
    Ex. 1), but it is more likely that the filing of the People’s
    complaint in 1984 provided the motivation for good—faith efforts
    at compliance by 1985.
    The Board finds that SCI violated Section 725.151 of the
    Board’s RCRA rules in that it failed to assemble and maintain an
    adequate contingency plan for its facility. SdI also violated
    Section 725.153 in that it failed to maintain a copy of an
    adequate contingency plan at its facility and submit copies to
    local entities who might be called upon to provide emergency
    services. Finally, SCI violated Section 725.155 of the RCRA
    rules and Section 21(f)(2) of the Act in that it failed to
    designate an emergency coordinator on the facility premises or on
    call and available to respond to an emergency within a short
    period of time, until some date after the filing of this
    action. The People have failed to present any arguments and
    evidence to demonstrate the need for contingency plan revision,
    so the Board finds that the People have failed to establish, an
    SCI violation of Section 725.154 of the Board rules. The
    foregoing constitutes the Board’s findings and conclusions as to
    Counts I and II. As to Count III, the Board finds that SCI
    violated Section 725.116 of the RCRA rules and Section 21(f)(2)
    of the Act in that it failed to maintain a full documentation of
    its personnel training, including written job titles, written job
    descriptions, written descriptions of required job training, and
    written documentation of job training or experience received,
    until some time after the filing of this complaint. The Board
    further finds that there was no cognizable impediment that should
    90—455

    —18—
    excuse SdI’s prolonged non—compliance of about two years from
    when the Agency initially notified SCI of its non—compliance.
    The third and final category of alleged non—compliance
    includes alleged Sd violations of various Board RCRA rules that
    would apply to SCI only as a T/S/D facility. Because this
    category requires preliminary analysis of whether SdI was a T/S/D
    facility, the preliminary analysis precedes and is separate from
    the determination of the merits of Counts VII through XI.
    C. T/S/D Facility Standards
    The threshold issue relating to the Counts VII through XI
    alleged violations of the Board’s rules is whether SCI is a T/S/D
    facility for the purposes of RCRA regulation. The violations
    alleged in these counts are of standards that would only apply to
    SCI as a T/S/D facility. The parties hotly contend on this
    issue, and the issue initially arose with the first Agency
    inspection. Because of the importance of this preliminary issue
    and the conflicting testimony relating to it, the Board proceeds
    with care.
    SCI’s Regulatory Status As A T/S/D Facility
    The RCRA rules provide for a generator accumulation time
    exception from the broader T/S/D facility standards as follows:
    a) A generator may accumulate hazardous
    waste on—site for 90 days or less without
    a permit or without having interim status
    provided that:
    1) The waste is placed in containers
    and the generator complies with
    Subpart I of 35 Ill. Mm. Code 725
    or the waste is placed in tanks and
    the generator complies with
    Subpart
    J of 35 Ill. Mm. Code 725 except 35
    Ill. Adm. Code 725.293;
    2) The date upon which each period of
    accumulation begins is clearly
    marked and visible for inspection on
    each container;
    3) While being accumulated on—site,
    each container and tank is labeled
    or marked clearly with the words,
    “Hazardous Waste”, and
    4) The generator complies with the
    requirements for owners and
    operators in Subparts C and D in 35
    90—
    456

    —19—
    Ill. Adm. Code 725 and with 35 Ill.
    Mm. Code 725.116.
    b) A generator who accumulates hazardous
    waste for more than 90 days is an
    operator of a storage facility and is
    subject to the requirements of 35 Ill.
    Mm. Code 724 and 725
    35 Ill. Adm. Code 722.134 (1984).
    The rules further provide for a small quantity generator
    exception, which potentially affects the accumulation time as
    follows:
    The time period of Section 722.134 for accumu—
    lation of wastes on—site begins for a small
    quantity generator when the accumulated wastes
    exceed the applicable 1,000 kilogram exclu-
    sion level.
    Section 721.105(f).
    The combined impact
    of these provisions is this: a generator may
    store hazardous wastes for a maximum of
    90 days after the date
    upon which
    it has accumulated 1,000 kilograms* of
    hazardous
    wastes and not become a RCRA T/S/D facility——so long as it meets
    certain conditions. To remain exempt from the broader T/S/D
    facility standards, therefore, the generator must:
    1. Place its wastes in containers or tanks
    and comply with the related T/S/D
    facility standards that apply to
    containers and/or tanks;
    2. Clearly and visibly mark each container
    for inspection with its respective date
    of accumulation;
    3. Clearly mark each container “Hazardous
    Waste;”
    4. Comply with certain limited T/S/D
    facility standards;** and
    *
    This limit is only one kilogram or 100 kilograms for certain
    defined “acutely hazardous wastes.” Section 721.105(e). The
    record does not indicate that SCI generates such wastes.
    **
    These limited T/S/D facility standards are more fully
    described in part above at pages 12—16 of this discussion.
    90—4 57

    —20—
    5. Not store its hazardous wastes more than
    90 days
    beyond
    the
    first
    date
    the
    generator has accumulated more than 1,000
    kilograms.
    *
    If at any time the generator
    violates any of these
    conditions
    while storing hazardous wastes, it loses the exemption and
    becomes a regulated RCRA T/S/D facility. The Board determines
    that Sd was such a regulated T/S/D facility——on this and on an
    alternative basis.
    The Agency inspection of March 24, 1983 disclosed that SCI
    had about 15 drums of hazardous wastes in its plant. These drums
    bore no accumulation date markings, were stored open, and one was
    observed leaking. SCI manifest records indicated that Sd’s next
    preceding shipment of hazardous wastes had occurred about 125
    days prior to the inspection, on about November 19, 1982. (P.
    Ex. 2, p. 27; P. Ex. 3; p. 30—53, 105—61 & 191). The Agency
    determined based on the last date of shipment that SdI stored its
    wastes longer than the 90 days allowed a generator. The ~.gency
    inspections of July 6 and 8, 1983 disclosed about two or three
    drums of hazardous wastes inside the SCI plant, whicli, were in
    good condition and clearly marked with accumulation dates, and
    about 28 drums in a trailer, which were not marked with
    accumulation dates, which did not appear to be in good condition
    to the inspector, and one of which appeared rusted and leaking.
    (P. Ex. 4, p. 27; P. Ex. 8; R. 60—80, 161—78, 200—08 & 212l8).
    Waste Management picked up 20 of these drums for disposal on July
    8, 1983, following the Agency inspection. (P. Ex. 4, p. 27; P.
    Ex. 8; P. Ex. 18 C & H). This was 106 days
    since the last Agency
    inspection and about 231 days since the last shipment of about
    November, 1982.** The Agency renewed its contention that SCI had
    stored its wastes longer than the excepted 90 days based on these
    facts. SCI’s next shipment of 16 drums of hazardous wastes
    occurred on October 6, 1983, or 106 days after the July
    Lnspection and shipment date.
    In response to these facts, SCI still maintains that it has
    never stored its hazardous wastes for longer than 90 days after
    it had accumulated more than 1,000 kilograms. Initially, SCI
    asserts that it generates most of its wastes in large batches at
    one time, and
    only a small portion on an on—going basis. (P.
    368, 418—25, 435 & 462—64). Mr. Carlsort then asserts that he
    never has authorized any storage for more than 90 days. (P.
    ~ See supra note on preceding page re the maximum waste limit.
    **
    It is perhaps useful at this point to recall the preceding
    consideration of these events located above at pages 6—8 of this
    discussion.
    90—45~

    —21—
    434). SCI’s major contention with regard to the 90—day limit,
    however, is that SdI evaporates and removes supernatant liquid
    from the drummed wastes to reduce their volume and weight before
    disposal. Mr. darlson asserts that the 15 drums of wastes
    present during the March, 1983 inspection thereby reduced to
    about threedrums, or less than the 1,000 kilograms
    maximum, so
    shipment was not necessary because the 90—day clock had not
    started. (R. 365—66, 435 & 397—99). Finally, with regard to
    drum condition and accumulation dates marking, SCI maintains that
    its drums were in good condition, they never leaked, and SdI
    always marked them with accumulation dates——even if the markings
    may have become obscured during storage and handling.
    (P. 396,
    428 & 432—33).
    Initially, the Board finds that SCI violated the conditions
    of the generator accumulation time exclusion and thereby became
    subject to the applicable T/S/D facility standards. SCI placed
    hazardous wastes in open containers and at least one rusted and
    leaking container. See Sections 722.134(a)(l) & 725.271—
    725.274.
    SCI failed to mark each container durably and visibly
    with its respective accumulation date for inspection. See
    Section 722.l34(a)(2).
    Also, SCI failed
    to comply with Subpart D
    of Part
    725 (contingency plan
    and emergency coordinator
    requirements) and Section 725.116 (personnel training
    requirements).* Finally, SCI stored hazardous wastes in its
    plant for more than 90 days past the date on which it first had
    accumulated 1,000 kilograms of hazardous wastes. See Section
    722.105(f), 722.134(b) & 725.lOl(c)(7).
    Various facts support these conclusions. With regard to the
    condition of SCI’s drums, the Board finds that the Agency’s
    repeated observations are more credible than SCI’s assertions
    that its drums were not rusted and
    leaking. Furthermore, the
    drums were left open. With regard to the marking of accumulation
    dates, if the Board were
    to believe that SCI did appropriately
    mark each drum, it observes that the object of this provision is
    “for inspection.”
    Section 722.l34(a)(2).
    The Board holds that
    the markings must therefore be present for inspection, or it is
    irrelevant for the purposes of regulation that the generator ever
    applied them.
    As to the accumulation and storage times, the
    Board first holds that it is the volume or quantity of waste as
    initially generated that is relevant for the purposes of the
    1,000 kilogram limit.
    Second, the Board finds that even if it
    were otherwise, SCI stored its wastes for longer than 90
    days.
    This is partly because it strains credulity to believe that SCI
    *
    See supra discussion at pages 12—18.
    90_450

    —22—
    reduced 15 drums of pre—evaporated waste down to three drurns.*
    It is also because SCI admitted to generating one continuous
    waste stream that it does not subsequently treat to reduce in
    volume, and SCI allowed 231 days to pass before it shipped this
    waste for disposal. Finally, it is sufficient of itself that SCI
    had about 15 drums present on March 24, 1983 that it did not ship
    until July 8, or 106 days later, and eight or eleven drums left
    behind by Waste Management on July 8, 1983 that it did not ship
    until at least October 6, or 106 days later. SCI misapprehends
    both the facts and the regulations.
    Finally, the Board has an alternative basis for holding that
    SCI
    was subject to the applicable T/S/D facility standards: SdI
    engaged in the treatment of its hazardous wastes. SCI admitted
    that it evaporates and removes supernatant liquid from the
    hazardous wastes in its drums in order to reduce or “condense”
    the volume and water content. This is hazardous waste
    treatment. The Board’s rules define hazardous waste treatment as
    follows:
    “Treatment” means any method, technique or
    process
    ...
    designed to change the physical
    or chemical
    ...
    character or composition of
    any hazardous waste
    ...
    so as to render such
    waste nonhazardous or less hazardous; safer to
    transport, store or
    dispose of; or amenable
    for recovery, amenable for storage or reduced
    in volume.
    Sections 702.110
    &
    720.110.
    The rules provide no hazardous waste treatment exception from the
    T/S/D facility standards similar to
    the generator accumulation
    time exception, and the only treatment exception even remotely
    similar permits treatment only at the time the hazardous wastes
    are first placed in the containers. See Section
    725.lO1(c)(l3).
    SCI treated its hazardous wastes in drums and
    thereby became a T/S/D facility for the purposes of RCRA
    regulation.** The Board concludes that SCI engaged in hazardous
    waste storage
    in such a manner that the generator accumulation
    time exception did not apply to its hazardous waste activities.
    The Board further concludes that SCI engaged in hazardous waste
    treatment. Therefore, SCI was subject to the applicable T/S/D
    facility standards.
    *
    By making this observation, the Board does riot subvert its
    holding that it is the weight as initially generated that is
    relevant for the 1,000 kilogram limit.
    This is merely an
    evidentiary finding as to SCI’s credibility.
    **
    The Board does not hereby give any opinion as to the propriety
    of SCI’s hazardous waste treatment in its drums.
    90—460

    —23—
    T/S/D Facility Non—Compliance
    The Board now addresses the substance
    of Counts VII through
    KI, which allege SdI non—compliance with the RCRA T/S/D facility
    standards. The Board has already determined in the foregoing
    ~1iscussion that
    these standards apply to SCI. The substance of
    these allegations is
    that SCI failed to maintain
    a written waste
    analysis plan, (Count VII; see 35 Ill. Mm. Code 725.113(b)
    (1984)); a written facility inspection plan, (Count VIII: see
    Sections 725.115(b), 725.115(d) & 725.274); a written facility
    closure cost estimate for the facility, (Count XI; see Sections
    725.173(b)(7) & 725.242); and financial assurance for facility
    closure. (Count XI; see Section 725.243). The complaint also
    alleges that SCI failed to submit required T/S/D facility annual
    reports of hazardous waste activities to the Agency. (Count IX;
    see Section 725.175). Finally, the Second Amended Complaint
    alleges that SCI failed to maintain a written facility closure
    plan, (Count X; see Sections 725.210—725.215), but the People
    erroneously allege this as a violation of Section 725.173
    (operating records requirement), an unrelated provision of the
    T/S/D facility standards.
    The required documents were not present during any of the
    Agency inspections, and SCI has not submitted any T/S/D facility
    annual reports. In fact, Sd has not submitted the required Part
    A application to obtain interim T/S/D facility status. (P. EX.
    2—6, 8 & 9; P. 79—80, 133—34, 137—39; see P. Ex. 1, pp. 2—3; P.
    Ex. 14 (generator annual report); see also Sections 703.153—
    703.157 (Interim Status
    Requirements)). SCI does not
    contend
    that it complied with these requirements. Instead, SCI’s
    arguments were directed to the contention that it did not store
    its
    wastes longer than 90 days, as discussed above.*
    In light of the record, the Board concludes that SCI did not
    comply with the T/S/D facility standards that the People contend
    SCI violated in Counts VII through XI of the Second Amended
    Complaint. SCI
    thereby violated Sections 725.113(b), 725.115(b),
    725.115(d), 725.173(b)(7), 725.175, 725.212(a), 725.242, and
    725.243 of the Board’s RCRA rules
    and Section 21(f)(2) of the
    Act. The Board finds
    in aggravation that SCI did
    not
    seek
    compliance with the regulations when confronted with the
    requirements by the Agency. Instead,
    SCI falsely sought to hide
    the fact of its storage from the Agency inspectors
    and to erect
    an elaborate, unacceptable set of facts
    to avoid the
    requirements——which facts actually force a conclusion contrary to
    *See supra pages 9 & 20—21 of this discussion.
    0—46 1

    —24—
    that sought by SCI.* The Board cannot simultaneously find that
    SdI acted in good faith, was sincerely confused as to the
    requirements, or had a bona fide argument that the RCRA T/S/D
    facility standards did not apply to its activities. Further, the
    record indicates no SCI efforts at compliance with these
    requirements:
    IV. Summary and Conclusion
    A count—by—count summary of the Board’s findings follows:
    Count I: SCI violated 35 Ill. Mm. Code 725.151 and 725.153
    (1984) and Ill. Rev. Stat. ch. 111—1/2, par. 102l(f)(2) (1988) in
    that it failed to
    assembly, maintain, and distribute a
    contingency plan as required by the Board’
    RCRA
    rules.
    The
    People have failed to prove a violation of Section 725.154.
    Count II: SCI violated 35 Ill. Mm. Code 725.155 (1984) and Ill.
    Rev. Stat. ch. 111—1/2, par. 1021(f)(2) (1988) in that it failed
    to designate an emergency coordinator as required by the Board’s
    RCRA rules.
    Count III: SCI violated 35 Ill. Mm. Code 725.116 (1984) and Ill.
    Rev. Stat. ch. 111—1/2, par. 1021(f)(2) (1988) in that it failed
    to maintain written personnel training records as required by the
    Board’s RCRA rules.
    Count IV: SCI violated 35 Ill. Mm. Code 722.142 (1984) and Ill.
    Rev. Stat. ch. 111—1/2, par. lO2l(f)(2) (1988) in that it failed
    to submit an exception report to the Agency as required by the
    Board’s RCRA rules.
    Count V: SCI violated 35 Ill. Mm. Code 722.120 (1984) and Ill.
    Rev. Stat. ch. 111—1/2, par. lO2l(f)(2) (1988) in that it
    transferred hazardous wastes to an unpermitted off—site location
    for storage without using a hazardous waste manifest as required
    by the Board’s RCRA rules.
    Count VI: SCI violated Ill. Rev. Stat. ch. 111—1/2, par.
    1021(f)(2) (1988) in that it stored hazardous wastes at an
    unpermitted off—site location and thereby created a hazardous
    waste treatment, storage, or disposal facility that did not
    comply with numerous of the Board’s RCRA rules.
    Count VII: SCI violated 35 Ill. Mm. Code 725.113 (1984) and
    Ill. Rev. Stat. ch. 111—1/2, par. lO2l(f)(2) (1988) in that it
    *See supra pages 20—22 of this discussion. The Board does not
    hereby condemn good faith efforts to structure hazardous waste
    activities so that major portions of the regulations do not apply
    to the affected facility.
    90—462

    —25—
    failed to maintain a written waste analysis plan as required by
    the Board’s RCRA rules.
    Count VIII: SCI violated 35 Ill. Adm. Code 725.115(b),
    725.115(d), and 725.274 (1984) and Ill. Rev. Stat. ch. 111—1/2,
    par. lO2l(f)(2) (1988) in that it failed to maintain a written
    facility inspection plan as required by the Board’s RCRA rules.
    Count IX: SCI violated 35 Ill. Adm. Code 725.175 (1984) and Ill.
    Rev. Stat. ch. 111—1/2, par. 1021(f)(2) (1988) in that it failed
    to submit annual hazardous waste treatment, storage,
    and
    disposal
    facility reports to the Agency as required by the Board’s RCRA
    rules.
    Count X: SCI violated 35 Ill. Mm. Code 725.212(a) (1984) and
    Ill. Rev. Stat. ch. 111—1/2 lO2l(f)(2) (1988) in that it failed
    to maintain a written facility closure plan as required by the
    Board’s RCRA rules.
    Count XI: SCI violated 35 Ill. Adm. Code 725.l73(b)(7), 725.242,
    and 725.243 (1984) and Ill. Rev. Stat. ch. 111—1/2, par.
    102l(f)(2) (1988) in that it failed to maintain a written
    facility closure cost estimate and financial assurance for
    facility closure as required by the Board’s RCRA rules.
    With regard to mitigating and aggravating facts, the Board
    summarizes its count—by—count findings as follows:
    Counts I, II, and III: SCI may have
    initially been unaware or
    confused as to the precise nature of the regulatory requirements
    relating to these counts, but the record indicates nothing that
    would excuse or mitigate the prolonged period of SCI’s continued
    non—compliance with the Board’s RCRA requirements that form the
    basis for the found violations.
    Count IV: SCI sought and ultimately obtained the missing return
    copy of the manifest.
    Counts V and VI: SCI had lawful access to the adjoining lOt for
    the purpose of parking vehicles and may have therefore been
    confused as to whether this lot was “off—site,” but SCI stored
    hazardous wastes on the
    lot without the knowledge and consent
    of
    either the property owner or its lessee, and SCI intentionally
    stored hazardous wastes on the lot for the purpose of avoiding
    Agency detection of those wastes.
    Counts VII, VIII, IX, X, and XI: SCI improperly sought to avoid
    the regulatory requirements by unacceptably hiding and
    elaborating facts, rather than by properly and permissibly
    restructuring its activities so as to render the regulations
    inapplicable to its operations. SCI made no effort at compliance
    with the Board’s RCP.A requirements forming the basis for the
    found violations.
    90—4 63

    —26—
    The Board must next consider the appropriate remedy for the
    found violations. The Board will proceed in light of various
    factors, including the above findings.
    V. Remedy
    The Act authorizes the Board to impose sanctions on those
    found in violation of the Act or Board Rules:
    a. Except as provided in this Section, any
    person that violates any provisions of
    this Act or any regulation adopted by the
    Board
    ...
    shall be liable to a civil
    penalty of not to exceed $10,000 for said
    violation and an additional civil penalty
    of not to exceed ~1,000 for each day
    during which violation continues
    ...;
    b. Notwithstanding the provisions of
    subsection (a) of this Section:
    3.
    Any person that
    violates
    Section
    21(f), 21(g), 21(h) or 21(i) of this
    Act or any RCRA permit or term or
    condition thereof, or any filing
    requirement, regulation or order
    relating to the State RCRA program
    shall be liable to a civil penalty
    of not to exceed $25,000 per day of
    violation.
    Ill. Rev. Stat. ch. 111—1/2, par. 1042 (1988).
    The Act outlines the protocol for a Board decision and further
    authorizes the Board to issue cease and desist orders:
    a. After due consideration of the written
    and oral statements, the testimony and
    arguments that shall be submitted at the
    hearing,
    ...
    the Board shall issue and
    enter such final order, or make such
    final determination, as it shall deem
    appropriate under the circumstances.
    b. Such order may include a direction to
    cease and desist from violations of the
    Act or of the Board’s rules and regula-
    tions
    ...
    and/or the imposition by the
    Board of civil penalties in accord with
    Section 42 of this Act.
    c. In making its orders and determinations,
    90—464

    —27—
    the Board shall take into consideration
    all the facts and circumstances bearing
    upon the reasonableness of the emissions,
    discharges, or deposits involved includ-
    ing, but not limited to:
    1. the character and degree of injury
    to, or interference with the pro-
    tection of health, general welfare
    and physical property of the people;
    2. the social and economic value of the
    pollution source;
    3. the suitability or unsuitability of
    the pollution source to the area in
    which it is located, including the
    question of priority of location in
    the area involved;
    4. the technical practicability and
    economic reasonableness of reducing
    or eliminating the emissions, dis-
    charges or deposits resulting from
    such pollution source; and
    5. any economic benefits accrued by a
    noncomplying pollution source
    because of its delay in compliance
    with pollution control requirements.
    Section 1033.
    Although Section 33(c) applies by its terms to the
    “reasonableness of the emissions, discharges, or deposits
    involved,” and various other aspects of this provision would
    render it more appropriate to pollution sources, it still
    provides at least minimal guidance in such a case as this one.
    This is a case involving violations of a body of regulations
    intended to entirely prevent the release of pollutants into the
    environment.
    The People urge the Board not to apply Section 33(c) to this
    case. They assert that the application of this provision is
    not
    mandatory where there are no “emissions, discharges, or
    deposits,” and that the application would be “contrary to the
    federal mandate.” Complainant’s Post—Hearing Brief at 25—26; see
    42 U.S.C. 6928 (1987). The People instead urge the Board to
    apply the USEPA RCRA Civil Penalty Policy (final draft, May 8,
    1984). Complainant’s Post—Hearing Brief at 27—28. The Board
    believes it is possible to apply the Section 33(c) factors in a
    way that would overcome any deficiencies too literal a reading
    would make apparent. The Board believes also that the non—
    90—465

    —28—
    limiting language of Section 33(c) subsumes the factors in the
    USEPA policy and obviates its application. Further, although the
    USEPA policy may provide limited guidance in some future case,
    its unnecessary application would likely result in confusion.
    The Board will not apply the USEPA RCRA Civil Penalty Policy in
    this case, but will apply Section 33(c) as intended by the
    General Assembly.
    The Board observes that no tangible “harm” resulted from
    SCI’s non—compliance and will concede that the potential for
    injury to or interference with “the health, general welfare, and
    physical property of the people” was not vast, but neither was it
    negligible. Misuse of the manifesting system and the improper
    storage and transportation of hazardous wastes present a very
    significant threat when done to avoid proper hazardous waste
    disposal. That SCI engaged in these acts to avoid regulatory
    compliance slightly diminished but did not eliminate the risk.
    The Board cannot conclude that SCI’s non—compliance was
    reasonable based on this factor. Rather, the Board concludes
    that the purpose of improperly avoiding regulation is an
    unreasonable basis for non—compliance.
    Sd is of social and economic value to illinois and the
    smaller community in which it resides. It is suitable for its
    location. The Board finds with regard to these two factors that
    SCI is a greater community asset, more compatible with its
    environs, if it fully complies with the RCRA rules. The Board
    concludes that the desirability of enhanced local compatibility
    and value would make SCI’s non—compliance unreasonable.
    The Board finds that compliance with the RCRA rules was both
    technically feasible and economically reasonable for SCI. The
    Board also finds that SdI incurred some slight economic benefit
    through its non—compliance. The record does not reflect the
    exact magnitude of this benefit, but it would probably include
    the costs of more frequent hazardous wastes shipments (if SCI did
    not desire to comply with the Board’s RCRA T/S/D facility
    standards) and the costs of assembling all necessary
    documentation and engaging in all required activities. On the
    basis of these two factors, the Board concludes that SCI’s non-
    compliance was not reasonable.
    Other factors bearing on the reasonableness of SCI’s non-
    compliance are discussed in more detail above. These are
    included with the discussions of the individual violations to
    which they pertain. They include the findings that Sd could
    have complied with the regulations more promptly had it acted in
    the full good faith that it now asserts (Counts I, II, and III),
    that SCI could have complied had it not improperly sought to
    avoid the requirements (Counts VII, VIII, IX, X, and XI), and
    that SCI violated the rules and the Act for the improper purpose
    of avoiding Agency detection (Counts V and VI). These force the
    conclusion that SdI’s non—compliance was not reasonable. Similar
    90—46~~

    —29—
    other factors in mitigation include possible initial confusion as
    to the regulatory requirements (Counts I, II, and III) and the
    fact that SCI had a legitimate right of access to the lot
    adjoining its
    plant (Counts V and VI). These mitigating factors
    do not alter the Board’s conclusion that SCI’s non—compliance was
    unreasonable. They do, however, impact what the Board feels is
    an appropriate civil penalty.
    Based on all the foregoing, the Board concludes that it is
    appropriate for the Board to order SCI to cease and desist in its
    non—compliant activities. This would include the cessation of
    its shipments of hazardous wastes to unauthorized locations
    without the use of manifests. Unless SCI is now in compliance
    with the various T/S/D facility requirements that would apply to
    it as a hazardous waste generator, it would include the cessation
    of its non—compliance with those various provisions that the
    Board has found SCI to have violated. It would also include
    SCI’s non—compliance with those regulations the Board has found
    SCI to have violated as a T/S/D facility. Finally, although the
    People have not alleged it as a separate violation of the RCRA
    rules, the Board would order Sd to cease and desist all
    impermissible efforts at avoiding the regulatory requirements.
    The rules provide that a RCRA permittee bears a burden of
    providing requested information to the Agency and not hindering
    Agency inspections. 35 Ill. Mm. Code 702.148—702.150 (1984).
    SCI will possibly find itself subject to this requirement in the
    future if its T/S/D facility status continues. The regulations
    further require that a facility owner or operator must furnish
    “all records, including plans, required under
    ...
    Part 725)”
    upon request during an Agency inspection. A failure to show
    required hazardous waste drum markings is arguably a violation of
    this provision. For these reasons, the Boards feels this last,
    additional prohibition is both warranted and necessary in this
    case.
    The Board also feels that a non—punitive monetary sanction
    would further the cause of RCRA compliance. Sd’s non—compliance
    was not merely “technical,” and SCI acted less than forthrightly
    to seek compliance with the rules. The Board does not agree with
    the People that an aggregated penalty of $106,250 is
    appropriate. See Complainant’s Post—Hearing Brief at 49. The
    Board believes that the lesser aggregated civil penalty of
    $10,500 will adequately serve the desired purposes of encouraging
    future compliance and discouraging future non—compliance, without
    acting as a predominantly punitive measure and severely impairing
    SCI’s continued vitality. On the contrary, the Board feels that
    a lesser penalty in this case would not adequately communicate
    the desirability of compliance in light of the seriousness of
    many of the violations committed. RCRA compliance decisions
    cannot be left in the hands of the regulated community as a
    balancing of the costs of compliance against the risks of
    “getting caught.”
    90—4(~7

    —30—
    The Board derives its aggregated $10,500 penalty from the
    following count—by—count supplemental, independent
    considerations, without reference to the statutory maxima:
    Counts I, II, and III: $2,000 total. Had SCI paid a
    professional engineer the then—prevailing rate of about $50 per
    hour (see p. 526) for about 20 hours of work, it could have
    promptly acquired the compliance requisites. The Board increases
    this approximated cost by $1,000 to account for the aggravating
    and mitigating factors outlined above, and to discourage non-
    compliance risk—taking as a potential means of saving money.
    Count IV: $500 total. This is a potentially serious violation
    of the RCRA rules if it impairs the investigation of lost,
    delayed, or improperly disposed hazardous wastes; results in the
    release of hazardous wastes or hazardous waste constituents into
    the environment; or results in a threat to human health or the
    environment. However, in mitigation,
    Sd investigated and
    obtained the missing return manifest copy. The Board feels that
    the penalty imposed properly encourages future compliance while
    balancing the potential gravity of this type of violation against
    the mitigating factor.
    Counts V and VI: $5,500 total. These were the most serious
    violations
    of the RCRA rules and the Act——even apart from any
    aggravating considerations——because they constitute actions
    directed at removing hazardous wastes, even temporarily, from the
    RCRA regulatory system. This amount includes $2,000 for SCI’s
    failure to manifest its wastes for shipment to a permitted
    facility and $1,000 for each day (July 6 and 7, 1983) or part of
    a day that the record indicates the wastes were improperly stored
    off—site. The Board imposes the additional penalty of $1,500 to
    account for the mitigating and aggravating factors outlined
    above, and
    to discourage future attempts to improperly avoid
    regulatory compliance by evading Agency detection of hazardous
    waste—related activities. Engaging in surreptitious acts for the
    purpose of avoiding Agency detection of the wastes and the intent
    of avoiding regulatory compliance is egregious aggravating
    conduct in the Board’s opinion.
    Counts VII, VIII, IX, X, and XI: $2,500 total. Had SCI paid a
    professional engineer the then—prevailing rate of $50 per hour
    for 40 hours work, it would have promptly acquired most of the
    required compliance requisites. It would have cost SCI at least
    another $250 to acquire the necessary financial assurance for
    RCRA
    closure. The Board imposes an additional $250 penalty to
    account for the
    mitigating and aggravating factors outlined
    above, and to discourage future attempts to improperly avoid
    regulatory compliance by evading Agency detection of hazardous
    waste—related activities.
    In summary, the Board imposes $10,500 in civil penalties.
    Of this total, $3,250 is the estimated amount that the Board
    90—46 A

    —31—
    believes Sd saved by its non—compliance;
    $2,000 is for two days
    improper waste storage; $2,000 is for SCI’s failure to properly
    manifest and ship wastes off—site; $500 is for Sd’s failure to
    file an exception report; and $2,750 is imposed in light of the
    aggravating and mitigating circumstances found to exist, to
    discourage euture acts
    of non—compliance, and to encourage future
    compliance efforts. This amount is substantially less than that
    sought by the People,
    and much less than the maximum allowed by
    the Act, but it is the
    amount that the Board feels is appropriate
    in this case.
    IV. Fees and Costs
    The
    Act authorizes the Board to award fees and costs as
    f 01
    lows:
    Without limiting any other authority which may
    exist for the awarding of attorney’s fees and
    costs, the Board
    ...
    may award costs and
    reasonable attorney’s fees, including the
    reasonable costs of expert witnesses and
    consultants, to the
    ...
    Attorney General in a
    case where he has prevailed against a person
    who has
    committed
    a wilful,
    knowing
    or
    repeated violation of the Act.
    Any funds collected under this subsection (f)
    in which the Attorney General has prevalied
    shall be deposited in the Hazardous Waste Fund
    Ill.
    Rev. Stat.
    ch. 111—1/2, par.
    1042(f)
    (1988).
    The Board has found that SCI knowingly, wilfully, and/or
    repeatedly violated the Act. Despite the fact that the People
    have not specifically prayed for such fees and costs, see Second
    Amended Complaint at 10—11, and because the record includes no
    basis for awarding such fees and costs, the
    Board hereby grants
    the People 30 days until July 30, 1988 to file their petition for
    fees and costs. If the People file such a petition, the Board
    hereby grants SdI an additional 14 days from the date of filing
    of any such petition to file its response. Any subsequent
    filings shall only be accepted on motion within the discretion of
    the Board.
    VII. Final Action
    This is a final action of the Board. The time period for
    the purposes of 35 Ill. Mm.
    Code 103.240 shall commence to
    run
    on this date for all issues except the propriety and amounts of
    costs and fees.
    90-469

    —32—
    The foregoing constitutes the Board’s findings of fact and
    conclusions of law in this case.
    ORDER
    The Board hereby orders S.C. Industries,
    Inc. to undertake
    the following actions:
    1. S.C. Industries, Inc. shall cease and desist from all
    present and future violations of or non—compliance with
    Ill. Rev. Stat. ch. 111—1/2, par. l021(f)(2) and 35 Ill.
    Mm. Code 702.148, 702.149, 702.150, 722.120, 722.142,
    725.113, 725.115(b), 725.115(d), 725.116, 725.151,
    725.153, 725.155, 725.173(b)(7), 725.174, 725.175,
    725.212(a), 725.242, 725.243, and/or 725.274.
    2. S.C. Industries, Inc. shall, prior to 60 days after the
    expiration of any time provided by 35 Ill. Mm. Code
    103.240, tender to the Fiscal Services Division of the
    Illinois Environmental Protection Agency at 2200
    Churchill Road, Springfield, Illinois 62708, the sum of
    $10,500 payable to the “Environmental Protection Trust
    Fund.”
    IT IS SO ORDERED
    Board Member
    3.
    Anderson concurred.
    I, Dorothy M. Gunn, Clerk of the Illinois Pollution Control
    Board, hereby certify that the abqi?e Opinion and Order was
    adopted on the
    ~‘otZ
    day of _________________________, 1988, by a
    vote of
    7—o
    .
    Dorothy M.4unn, Clerk
    Illinois P~5llution Control Board
    90—4 70

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