ILLINOIS POLLUTION CONTROL BOARD
    July 16, 1987
    IN THE MATTER OF:
    )
    RCPA UPDATE, USEPA REGULATIONS
    )
    P86—46
    (7—1—86 THROUGH 9—30—86)
    )
    FINAL CRDEB.
    ADOPTED
    RULE
    CPINION OF THE BOAPI (by J. Anderson):
    By a separate Order, pursuant to Section 22.4(a) of the
    Environmental Protection Act (Act), the Board is amending the
    RCPA regulations.
    On October 9, 1986, the Board opened this docket for the
    purpose of updating the RCPA rules to agree with recent USEPA
    amendments.
    Section 22.4 of the Act governs adoption of regulations
    establishing the RCPA 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 (JCAP). ‘Ihe federal PCFA
    regulations are found at 40 CFP 260 through 270, and 280. This
    rulemaking updates Illinois’ PCPA rules to correspond with
    federal amendments during the period July 1 through September 30,
    198?. The Federal Registers utilized are as follows:
    51 Fed. Peg. 25350
    July 11, 1986
    51 Fed. Peg. 25422
    July 14, 1986
    51 Fed. Peg. 28295
    August 6, 1986
    51 Fed. Peg. 28556
    August 8, 1986
    51 Fed. Peg. 286(3
    August 8, 1986
    51 Fed. Peg. 29429
    August 15, 1986
    51 Fed. Peg. 33612
    September 22, 1986
    The Board appreciates the assistance of Morton Dorothy in
    drafting the proposal.
    79-676

    —2—
    PUBLIC COMMENT
    The Board proposed these rules for public comment on March
    .19, 1987. The proposal appeared on April 17, 1987 at 11 Ill.
    Peg. ?958.
    The
    Board received the following public comment:
    PC *1
    Illinois Department of Insurance, April 13, 1987
    PC #2
    United States Environmental Protection Agency
    (USEPA), May 21, 1987
    PC #3
    USEPA, May 27, 987
    PC *4
    Illinois Environmental Protection Agency (Agency),
    June 22, 1987
    PC *5
    Joint Committee on Administrative Rules (JCAP), May
    7, 1987
    The Board has accepted the Agency’s comment, although it was
    filed significantly after the end of the comment period.
    The Board received, during the public comment period, a
    series of questions from the Joint Committee on Administrative
    Pules (JCAP). Although Section 22.4(a) of the Act exempts these
    fast—track “identical
    in substance” rulernakings from formal
    interaction with
    JCAR, the Board will attempt to respond to
    JCAR’s section specific ccniments, and, at the end of the Cpinion,
    to JCAP’s general questions.
    The Board also received codification
    comments from the
    Administrative Code Unit.
    3ISTCPY OF RCPA and UIC ADOPTION
    The Illinois
    RCRA and UIC (Underground Injection Control)
    rules, together with more stringent state rules particularly
    applicable to hazardous waste, include the following:
    702
    RCFA and UIC Permit Programs
    703
    PCPA Permit Program
    704
    UIC Permit Program
    705
    Procedures for Permit Issuance
    709
    Wastestream Authorizations
    720
    General
    721
    Identification and Listing
    722
    Generator Standards
    723
    Transporter Standards
    724
    Final TSD Standards
    725
    Interim Status TSD Standards
    726
    Specific castes and Management Facilities
    729
    Landfills: Prohibited Wastes
    730
    UIC Cperating Requirements
    731
    Underground Storage ~anks
    79.677

    —3—
    Special procedures for RCRA cases are included in Parts 102,
    103, 104 and 106.
    Adoption of these rules has proceeded in several stages.
    The Phase I RCRA rules were adopted and amended as follows:
    P81—22
    45 PCB 317, February 4, 1982, 6 Ill. Peg. 4228,
    April 23, 1982.
    P22—18
    51 PCB 31, January 13, 1983, 7 Ill. Peg. 2518,
    March 4, 1983.
    Illinois received Phase I interim authorization on May 17,
    1982 (47 Fed. Peg. 21043).
    The CIC rules were adopted as follows:
    P81—32 47 PCB 93, May 13, 1982; October 15, 1982, 6 Ill.
    Peg. 12479.
    The UIC rules were amended in P82—18, which is referenced
    above.
    ‘Ihe
    UIC rules were also amended in P83—39:
    P83—39 55 PCB 319, December 15, 1983; 7 Ill. Peg. 17338,
    December 20, 1983.
    Illinois received UIC authorization February 1, 1984. The
    Board has updated the UIC rules:
    P85—23 June 19, 1986; IC Ill. Beg. 13274, August 8, 1986.
    P86—27 Dismissed April 16, 1987 (No USEPA amendments
    through 12/31/86).
    The Phase II RCRA rules included adoption of Parts 703 and
    724, which established the permit program and final TSD
    standards. The Phase II rules were adopted and amended as
    follows:
    P82—19 53 PCB 131, July 26, 1983, 7 Ill. Peg. 13999,
    October 28, 1983.
    P83—24 55 PCB 31, December 15, 1983, 8 Ill. Beg. 200,
    January 6, 1984.
    On September 6, 1984, the Third District Appellate Court
    upheld the Board’s actions in adopting P82—19 and P83—24.
    (Commonwealth Edison et al. v. IPCB, 127 Ill. App. 3d 446; 468 NE
    2d 1339 (Third Dist. 1984).)
    The Board updated the PCPA rules to correspond with USEPA
    amendments in several dockets. The period of the USEPA rules
    covered by the update is indicated in parentheses:
    79.678

    —4—
    P84—9
    64 PCB 427, June 13, 1985; 9 Ill. Beg. 11964,
    effective July 24, 1985.
    (through 4/24/84)
    P85—22
    67
    PCB 175,
    479, December 20, 1985 and January 9,
    1986; 10 Ill. Beg. 968, effective January 2,
    1986.
    (4/25/84
    ——
    6/30/85)
    P86—1
    July 11, 1986; 10 Ill. Peg. 13998,
    August 22,
    1986.
    (7/1/85
    ——
    1/31/86)
    P86—19
    October 23, 1986;
    10 Ill. Peg. 20630, December 12,
    1986.
    (2/1/86
    ——
    3/31/86)
    P86—28
    February
    5 and March 5, 1987; Il Ill. Peg. 6017,
    April
    3, 1987. Correction April 16, 1987; 11 Ill.
    Beg. 8684, May 1, 1987. (4/1/86
    ——
    6/30/86)
    P86—46
    This Docket.
    (7/1/86
    ——
    9/30/86)
    P87—S
    Next Docket, proposed May 14, 1987 (10/1/86
    ——
    12/31/86)
    Illinois received final authorization for the BCPA program
    effective January 3., 1986.
    The Board added to the federal listings of hazardous waste
    by listing dioxins pursuant to Section 22.4(d) of the Act:
    P84—34 61 PCB 247, November 21, 1984; 8 Ill. Beg. 24562,
    effective December 11, 1984.
    This was effectively repealed by P85—22, which included
    adoption of USEPA’s dioxin listings. The Board has adopted a
    USEPA delisting at the request of Amoco:
    P85—2
    April 24, 1986; 10 111. Peg.
    8112,
    effective May 2,
    1986.
    The Board has procedures to be followed in cases before it
    involving the PCBA rules:
    P84—10
    62 PCB 87, 349, December 20,
    1984 and January 10,
    1985; 9 Ill. Peg. 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 P85—
    22, which is listed above. Part 106 is amended below.
    The Board has also adopted requirements limiting and
    restricting the landfilling of liquid hazardous waste, hazardous
    wastes containing halogenated compounds and hazardous wastes
    generally:
    79.679

    —5—
    P81—25 60 PCB 381, October 25, 1984; 8 Ill. Peg. 24124,
    December 4, 1984;
    P83—28
    February 26, 1986;
    IC Ill. Peg. 4875, effective
    March 7, 1986.
    P86—9
    Emergency rules adopted October 23, 1986;
    10 Ill.
    Peg. 19787,
    effective November 5, 1986.
    The Board’s action in adopting emergency rules in
    P86—9 was
    reversed (CBE and IEPA v. IPCB et al., First District, January
    2?, 1987).
    DETAILED DISCUSSION
    The USEPA amendments involved in this update are summarized
    as follows:
    51 F?
    1926
    25350
    July 11
    Liability insurance
    25422
    July 14
    Tank systems
    28295
    August 6
    Corrections to listings
    28556
    August 8
    Corrections to biennial reporting
    requirement
    28663
    August 8
    Exports of hazardous waste
    29429
    August 15
    Corrections to tank systems rules
    33612
    September 22 Correction to listing of spent
    pickle licuor
    Most of the amendments are drawn from the July 14 tank
    systems rules.
    The second largest set are drawn from the August
    8 requirements concerning exports of hazardous waste to other
    countries. The July 11
    rules add a corporate guarantee mechanism
    as an
    alternative to liability insurance.
    Section 106.401 et seq.
    The Board is amending the procedures for solid waste and
    boiler determinations which were adopted in P85—22. These are
    now generic procedural rules which the Board will reference in
    the substantive rules whenever adjusted standards procedures are
    appropriate.
    The rules are
    discussed
    below in connection with
    Sections 724.293 and 725.293, which reference the adjusted
    standards procedures.
    JCAP has questioned whether these rules are a part of the
    PC?!’ rules, and whether they can be adopted by way of “identical
    in substance” procedures.
    (PC #5).
    This Subpart is a part of
    the PC?!’ rules.
    The Board has
    cited Section
    22.4 of the Act- in
    the authority note.
    These rules will be submitted to USEPA as a
    part of the PC?!’ program
    package.
    79.680

    —6—
    The USEPA rules include decisions which are to be made by
    the authorized states. As noted below, in Illinois there is a
    question as to whether a decision involves applying a Board rule
    in the context of permit issuance by the Agency, or whether the
    action is one of determining an environmental control standard,
    which has to be done by the Board. When the decision is by the
    Agency, the permit rules in Parts 702 through 705 usually form a
    procedural framework for decision. These procedures are similar
    to the permit application procedures before USEP!’, so it is often
    possible to adopt the USEPA rules verbatim. When the decision
    has to be made by the Board, the procedural context is much
    different. It is necessary to have some sort of a petition. to
    the Board to initiate the process, and it is necessary to
    coordinate the Board’s action with the permit application
    process. These procedures would be used when the Board exercises
    adjusted standards authority pursuant to Section 28.1 of the
    Act.
    These rules are identical in substance with USEPA rules.
    The Board grants or denies the request based on the same
    standards as USEPA. However, the procedural context has been
    modified to accornodate the division of authority between the
    Board and Agency as required by the Act, and to comply with
    specific procedural requirements in the Act for adjusted
    standards.
    Section 703.155
    This Section is drawn from 40 CFP 270.72, which was amended
    at 5 Fed. Peg. 25471.
    Operators of interim status facilities
    are allowed, without filing a permit application,
    to modify tank
    systems to meet the new requirements discussed below in
    connection with Section 725.293.
    Section 703.183
    This Section is drawn from 40 CFB 270.14, which was amended
    at El Fed. Beg. 25471.
    The amendments modify the contents of the
    general Part B application to request information related to the
    new requirements for tank systems.
    Section 703.202
    This Section is drawn from
    40 CFP 270.16, which was amended
    at 51 Fed. Peg. 25471. The portion of the application relating
    specifically to tank systems has been largely replaced. Section
    703.202(h) deals with alternative design and operating practices
    for tank systems. As is discussed elsewhere, the Board will
    grant alternatives pursuant to a petition for adjusted
    standards. Section 703.202(h)(3) has been added to require the
    permit applicant to include a copy of the Board Order granting an
    adjusted standard, or a copy of the petition if the matter is
    still pending.
    79.681

    —7—
    JCAR questions why Section 703.202(h)(3) is not worded
    verbatim with USE?!’ rules.
    (PC 15).
    As is discussed below in
    the general response to JCAP and in the discussion of Part 106,
    the Board has above amended its adjusted standards rules which
    are to be used in certain cases in which the USE?!’ rules specify
    a decision which is the equivalent of determining an
    environmental control
    standard.
    40 CFP 270.16(h) is the portion
    of the permit application in which USE?!’ requests information
    which would lead to a tank system variance under USE?!’ rules.
    In
    the Illinois rules, the “variance” has to be handled through the
    adjusted standards mechanism. The information
    requested in 40
    CFF 270.l?(h)(3)
    is requested by way of
    35
    Ill. Adm. Code 106.413
    and 724.293. All the applicant has to do is advise the Agency as
    to
    whether alternative standards have been granted, or whether a
    petition is pending. This has been
    provided in Section
    703.202(h)(3).
    These rules taken together are identical in
    substance to the USE?!’ rules in that the same people get the same
    “variances” in the same circumstances.
    However, the procedures
    have been modified to reflect requirements of the Environmental
    Protection Act.
    Section 720.102 (Not amended)
    This Section deals with confidentiality.
    USEPA amended its
    confidentiality
    rule, 40 CFR 260.2, at 51 Fed. Peg. 28682, to add
    specific provisions regarding confidentiality of information
    supplied to the State Department regarding exports of hazardous
    waste.
    The Board has not adopted an equivalent for two
    reasons. First, exports will be primarily
    administered by USE?!’,
    as is discussed in connection with Section 722.150.
    Second, to
    the extent the Agency may become involved in this,
    confidentiality
    must be handled pursuant to 35 Ill. Adin. Code
    120, as is already provided in Section 720.102.
    Section 720.110
    This Section is drawn from 40 CFP 260.10, which was amended
    at 51 Fed. Peg. 25471. The amendments add
    definitions related to
    tank systems.
    The following definitions have been added:
    Aboveground tank, ancillary equipment, component, corrosion
    expert, existing tank system,
    inground tank, installation
    inspector, leak—detection system, new tank system, onground tank,
    sump, tank system, underground tank, unfit—for—use tank system
    and zone of engineering control.
    The Board has also made several minor corrections to other
    definitions. (PC 14).
    Section 720.111
    This Section incorporates by reference materials used in
    Parts 720 through 725. It has no close counterpart in the CFP.
    The Board has amended this Section by adding references to
    several items used in the new requirements for tank systems.
    79.682

    —B—
    The Administrative
    Procedure Act (A?!’) requires that the
    Board limit incorporations by reference to materials readily
    available to the public, that it provide sufficient information
    for the public to find the documents and that it not incorporate
    future amendments or editions.
    The Board has modified these
    rules to comply with the A?!’ requirements.
    The Board has consolidated the incorporations
    into a single
    Section, which is referenced when the incorporations are used in
    the other rules.
    The Board has to include with incorporations
    more information than USE?!’. It is more efficient
    to provide
    this one time, rather than repeating it throughout the rules.
    Most of the incorporations are
    standards set by industry or
    standards organizations. The standards are known by the initials
    of the organization, such as ANSI, API and ASTM. The Board has
    rearranged
    this Section into an alphabetical
    list of
    organizations by initials. This allows the Board to shorten the
    Section since it is not necessary to repeat the full names and
    addresses of the organizations,
    some of which have several
    standards used.
    The Board has added the
    statement,
    now required by the APA,
    that the incorporations include no future editions or
    amendments.
    The Board has obtained a copy of the Steel Tank
    Institute
    (STI) “Standards for Dual Wall Underground Steel
    Storage Tanks.”
    S’II has indicated by telephone that this is the
    1986 edition, and the Board has used this date in the
    incorporation by reference. However, the date does not appear on
    the document. The Board will maintain a copy of this document in
    case questions should arise later as to which edition was
    incorporated.
    The Board has deleted the availability statements concerning
    the Federal Register Office and the Illinois State Library.
    USE?!’ has not indicated whether the newly incorporated material
    has in fact been deposited in the Federal Pegister Cffice. Since
    these statements are not necessary, the Board has deleted them.
    Section 721.104
    This Section is drawn from 40 CFR 261.4, which was amended
    at 51 Fed. Peg. 25471. The amendment to Section 72l.l04(a)(8)
    adds an exclusion for secondary materials that are reclaimed and
    returned to the original production process where storage occurs
    in a closed tank system.
    Section 721.105
    This Section is drawn from 40 CFB 261.5, which was amended
    at 51 Fed. Peg. 28682. Small quantity generators will no longer
    be conditionally exempt if they export hazardous waste to other
    countries.
    79.683

    —9—
    Section 721.106
    This Section is drawn from 40 CFB 261.6, which was amended
    at 51 Fed. Beg. 28682. The exclusion for reclaimed ethanol under
    Section 72l.106(a)(3)(A) may be subject to the new provisions
    regarding exports of hazardous waste.
    40 C?? 26l.6(a)(3)(i)(B) provides that: “Transporters
    may not accept a shipment if he knows the shipment does not
    conform to the EPA Acknowledgement of Consent,
    ...“
    (sic). The
    Board has corrected a number of grammatical and stylistic
    problems with this Section, including changing it to read:
    “shall not accept.” JCAP says that this “alters the entire scope
    of that Section.” (PC #5). The Board believes that its rule is
    identical in substance. In the first place, the provision in
    question does not relate to the “scope” of the Section. In the
    second place, the Board believes that USE?!’ intended to state a
    prohibition. One has to reach to come to the conclusion that
    transporters have an election to comply or not to comply with the
    acknowledgement of consent. If the transporter had this option,
    the entire attempt to control exports of hazardous waste would
    fail. As a matter of style, the Board has attempted in these
    rules to use “shall” when stating prohibitions, and to reserve
    “may” for provisions in which an option is open.
    Section 721.132
    This Section is drawn from 40 CFP 261.32, which was amended
    at 51 Fed. Peg. 33612. This again modifies the definition of
    1(062, spent pickle liquor. This listing is now defined in terms
    of waste from facilities within SIC Codes 331 and 332. The Board
    has added a reference to the definition of “SIC Code” which was
    added to Section 720.110 in a prior rulemaking. The definition
    in turn refers to Section 720.111, which includes full
    information required under the A?!’.
    Section 721.133 and Appendix H (not amended)
    These are drawn from 40 CFR 261.33 and Appendix VIII which
    were amended at 51 Fed. Peg. 28298. USE?!’ proposed to correct
    several listings, and to add Chemical Abstracts reference numbers
    to the listings.
    The USE?!’ publication is supposed to make no substantive
    changes. It includes a table which purports to list the changes
    to the listings, and also the listings as modified. However, on
    careful examination, not all of the changes in the table have
    actually been made to the listings as published. Furthermore,
    the changes indicated in the table comprise only about 5 of the
    changes which have actually been made. The Board noted these
    problems and solicited comment in the Proposed Opinion. USE?!’
    indicated that it is aware of the problems and will publish a
    correction at some time in the future. (PC #2 and #3). USE?!’
    indicates that the states are not expected to adopt the
    79.684

    —10—
    amendments pending correction. The Board will follow this
    course. These Sections will be dropped from the proposal.
    Section 722.134
    This Section is drawn from 40 CFP 262.34, which was amended
    at 51 Fed. Peg. 25471. This modifies the accumulation times for
    generators using tank systems.
    The Board notes that this Section includes, without
    amendment, the provisions relating to extension of accumulation
    times, which were commented on in P86—19 and P86—28. The Board
    solicited additional comment on these provisions in the Proposed
    Opinion, but received none.
    Section 722.141
    This Section is drawn from 40 C?? 262.41, which was amended
    at 51 Fed. Beg. 28682. The Board rule differs from the USE?!’
    rule in that, in P84—9, the Board declined to adopt the USE?!’
    biennial report requirement, but instead retained the annual
    report. The Board cited Section 20.1 of the Act, which requires
    the Agency to prepare an annual report for the public identifying
    the types and quantities of hazardous waste managed in the
    State. It would not be possible for the Agency to prepare this
    report without the annual report requirement which was in the
    regulations at the time Section 20.1 was adopted.
    The present amendments exempt exported waste from the report
    requirement. Exports are reported instead under Section 722.156.
    JC!’P claims that Sections 722.l4l(a)(3) and (a)(4) include
    requirements which are not found in the federal regulations. (PC
    #5) The Board cannot find any difference in the language, except
    that “EPA” has been changed to “USE?!’.” The Section references
    national identification numbers which are issued by USE?!’. The
    Board has changed the designation to avoid confusion with similar
    numbers issued by the Agency pursuant to 35 111. !‘dm. Code 809.
    Section 722.150 et seq.
    USE?!’ modified the requirements concerning exports, and
    imports, of hazardous waste at 51 Fed. Beg. 28682. An exporter
    has to notify USEPA 60 days prior to shipment. USE?!’ notifies
    the receiving country through the State Department. If the
    country consents to accept the waste, the U.S. Embassy cables an
    “Acknowledgement of Consent” to USE?!’. The exporter has to
    attach the Acknowledgement to the manifest or shipping paper. A
    copy of the manifest must be given to U.S. Customs at the point
    of departure from the United States.
    This system is intrinsically one which only USE?!’ can
    administer. USE?!’ has indicated that the Board can use
    incorporation by reference of much of this, although it should
    79-685

    —“-
    add
    requirements of notice to the Agency. (PC #3) The Board has
    modified the proposal along these lines.
    Section 722.150(d) and (e), which concern imports, have been
    moved to Subpart F, Section 722.160.
    Section 722.151, which
    concerns farmers, has been moved to Subpart G, Section 722.170.
    Section 722.156
    This Section is
    drawn from
    40 CFP 262.56, which was amended
    at 51 Fed. Peg. 28682.
    JCAR claims that Section 722.156(a)(5)
    is
    missing an exception for small quantity generators which is
    contained in the federal rule.
    (PC #5). The language quoted by
    JC!’B is in the Board rule.
    Section 723.120
    The rules governing manifests for transporters have been
    amended to reflect the new rules on exports of hazardous waste.
    JCA? questions the Board’s use of “shall not” in Section
    723.120(a) to state
    a prohibition which USE?!’ states as “may
    not.” (PC #5) The language
    is virtually identical to that
    discussed above in connection with Section 721.106, and the Board
    will not
    repeat the complete discussion here. The Board has made
    editorial changes to correct graminer and to follow its style, but
    the rule is identical in substance.
    Section 724.115
    Section 724.lls(b)(4) has been amended to reference the
    inspection schedule rules for tank systems, which are discussed
    below. 51 Fed. Peg. 25471 contains an error which has been
    corrected. “Malfunction of any operator error” has been changed
    to “Malfunction or any operator error.”
    Section 724.173
    Section 724.173(b)(6) has been amended to reference testing
    as required under the tank systems rules. 51 Fed. Peg. 25471
    contains an error which has been corrected.
    USE?!’ has also added
    a reference to the groundwater protection rules of Subpart F, so
    that the operating record must now include analytical data where
    required by “Subpart F and Sections 724.291...” This has been
    corrected to “Subpart F or Sections 724.291...”
    Section 724.175
    40 CFP 264.75 was amended at 51 Fed. Peg. 28556.
    Section
    724.175(h) and (i) have been added to require generators which
    treat, store or dispose of waste on—site to report on their
    efforts to reduce volume or toxicity.
    Note that the Board rule
    will require an annual report, rather than a biennial report. As
    ~
    declined to adopt the biennial
    79.686

    —12—
    Section 724.210 and 724.240
    Section 724.210(b)(3) has been added to state that the post—
    closure rules apply to certain tank systems, as well as to
    landfills, and to certain piles and lagoons. Under new Section
    724.240(b)(3), such tank systems would have to provide financial
    assurance for post—closure care.
    Section 724.247
    The liability
    insurance requirements were amended at 51 Fed.
    Peg. 25354. Section 724.247(g) has been added to allow parent
    corporations which meet the financial test to give a guarantee in
    lieu of liability insurance for the subsidiary. As provided in
    Section 724.247(a)(2) and (3), and (b)(2) and (3), the operator
    can meet the liability insurance requirement through a
    combination of insurance and financial test, or a combination of
    insurance and parent guarantee.
    40 CFP 264.147(a)(2) is worded slightly differently from
    (b)(2). For sudden accidental occurrences, the operator can meet
    the insurance requirement “by passing a financial test or using
    the corporate guarantee
    ...
    as specified in paragraph (g).” For
    non—sudden accidental occurrences, the operator can meet the
    requirement “by passing a financial test or using the corporate
    guarantee
    ...
    as specifed in paragraphs (f) and (g).”
    This
    assyminetry is repeated in Section
    265.147. The Board has
    modified the language of paragraph (a)(2) to make it clear that
    it refers to the financial test of paragraph (f). (PC #4).
    The third sentence of paragraph (g)(1) seems to contain an
    error which the Board has corrected. “The guarantee must meet
    the requirements for owners and operators...” has been changed to
    “The guarantor must meet the requirements for owners and
    operators.”
    The introductory material to 51 Fed. Peg. 25354 refers to a
    Section 264.147(g) which is to be redesignated as (h). This
    paragraph, which includes past compliance dates, has never been
    adopted by the Board.
    40 CFB 264.147(g)(2) provides that corporate guarantees may
    be used only if the Attorney General or the insurance
    commissioner of two states submit written statements to USEPA
    that the guarantee is valid and enforceable. The statements must
    come from officials in the state in which the facility is located
    and the state in which the guarantor is incorporated. There are
    a number of problems involved in translating this into State law.
    There are several possible legal objections to this type ot
    guarantee. The first is that the guarantor is in a sense writing
    an insurance contract, and may be subject to regulation as an
    insurer. The second objection has to do with the power of the
    79.687

    —13—
    guarantor. It may be incorporated under a state law which does
    not allow business corporations to write guarantees or insurance,
    or its articles of incorporation may so limit it. The third
    objection is whether the person signing the guarantee is an agent
    of the corporation with power to bind the corporation. The
    fourth objection has to do with the law of guarantees, which may
    be very restrictive in some states. There are also practical
    problems which would confront states if they had to collect on
    these guarantees in the courts of other states, since, unlike
    USE?!’, they do not have offices and attorneys in all states.
    The USE?!’ rule seems to require case—by—case certification
    where USE?!’ administers the PC?!’ program.
    For the Illinois
    program, the facility is always in Illinois.
    Therefore, the
    Board can get generic
    certification as to legality in Illinois.
    The Illinois
    Department of
    Insurance has advised the Board
    that
    guarantees from parent corporations would not
    be subject to its
    regulation. (PC #1).
    The problem is how to get certification as
    to out—of—state guarantors.
    The Board addressed several options in the Proposed Opinion
    for getting certification as to out—of—state guarantors. These
    included requiring each guarantor to produce an Attorney
    General’s opinion for case—by—case review by the Agency, or
    requesting generic certifications from nearby states to form the
    basis of a list of acceptable states in the rule. The rules as
    adopted limit guarantees to those in which the guarantor subjects
    himself to Illinois law. This approach resolves some problems
    with the USE?!’ rule, and appears to be easy to administer. (PC
    #4).
    The USE?!’ rule requires a statement from the state of
    incorporation of the guarantor. However, the validity of this
    type of guarantee is governed by the law of the place where it is
    executed, not the law of the state of incorporation. For
    example, consider a Delaware corporation with headquarters in New
    York and a subsidiary with a facility in Illinois. If the
    guarantee were executed in New York, its validity, assuming the
    corporation had power to make guarantees, would be a matter of
    New York law. The USEPA rule would not require certification
    from New York. This is a major weakness, since many corporations
    have headquarters in states other than the state in which they
    are organized. Another major problem with the USE?!’ rule would
    be the expense associated with enforcement by states of the
    guarantee in the courts of other states.
    The Board rule requires officials of the parent corporation
    to come into Illinois to execute the guarantee, to agree that the
    guarantee is governed by Illinois law, and to agree to submit to
    Illinois Court jurisdiction. This makes the question one of
    Illinois law, to which the Illinois Attorney General and
    Department of Insurance can certify acting alone. It also avoids
    the problems of enforcement in foreign courts.
    79-688

    —14—
    The power of the corporation to make the guarantee would
    still be subject to question. There could be some limitation on
    guarantees either in the law of the state of incorporation or in
    the articles of incorporation. The Agency can insist on proof
    that the parent has the power to make the guarantee on a case—by—
    case basis, just as it examines documents to assure that the
    corporate officials have the power to act for the corporation.
    In P86—28 the Board proposed to delete Section
    724.247(b) (4), which includes past compliance dates for obtaining
    liability insurance. Pursuant to a request from USE?!’, on March
    5, 1987, the Board reinserted this language, but indicated that
    it would consider deleting it again in this Docket. In the
    Proposed Opinion the Board proposed to repeal these past
    compliance dates, and solicited comment. USEPA indicated that
    repeal of these dates was acceptable if the Attorney General
    certifies that past violations of these requirements are covered
    by Illinois rules from the date the rules were first effective.
    USE?!’ agrees that prior to the effective date of interim
    authorization these rules were federal rules, strictly federally
    enforceable. (PC #3) The Board has received no comment from the
    Attorney General, but will proceed on the assumption that the
    certification will be forthcoming. The Board would appreciate
    comment during the post—adoption comment period if there will
    be
    problems with this.
    This rule specifies dates for obtaining liability insurance
    for various types of facilities between January 15, 1983 and
    January 15, 1985. The Board first adopted it in P82—19 in
    October, 1983. The Board received authorization, and the rules
    became enforceable by the State, on January 31, 1986. In
    retrospect, the dates had no impact at the State level since they
    were all passed before the program was authorized. Retaining the
    dates is actually misleading, since it appears to create a
    retroactive requirement.
    Section 724.251
    The Board has updated the incorporation by reference of the
    USE?!’ forms in 40 CFR 264.151, which have been modified to
    reflect the changes discussed above. The Agency will revise its
    printed forms to reflect these changes.
    Section 724.290
    USE?!’ amended the requirements for tank systems which treat
    or store hazardous waste at 51 Fed. Peg. 25471. Corrections
    appeared at 51 Fed. Peg. 29430. The Board has adopted similar
    changes.
    These provisions involve tanks used to treat or store
    hazardous wastes. Tanks used to store petroleum products are
    regulated under Part 732.
    79-689

    —15—
    Section 724.291
    Section 724.291(a) requires that the operator of an existing
    tank conduct an assessment of the tank and determine either that
    the tank system is not leaking or, on the other hand, that it is
    unfit for use. The Board has added language to the federal text
    to make this clearer. 40 CFP 264.191(b) requires that the
    assessment “determine that the tank system is adequately
    designed...” The Board has modified this to make it clear that
    the assessment could reach a negative conclusion also.
    This and the following Sections reference various industry
    design standards. These will be incorporated by reference in
    Section 720.111 above. Since the full library reference is in
    Section 720.111, the Board has shortened the names of the
    documents as used in the rules.
    Section 724.292
    This Section specifies requirements for the design and
    installation of new tank systems.
    Section 724.293
    40 CFP 264.193(a) (2) contains a reference to tanks used to
    store or treat “F020, F021,
    ...
    and F027.” From the context it
    is clear that “or” was intended.
    Section 724.293(a) requires “secondary containment” for tank
    systems. This could consist of a lined berm, a vault system or a
    double wall on the tank. Secondary containment is required for
    new tank systems and at various future dates for existing
    systems. The purpose is to contain any leaks from the primary
    system. Of course, it is essential to protection of public
    health and the environment that any leaks to the secondary
    containment be promptly detected and removed, or else the
    secondary containment would just be a second primary containment.
    Section 724.293(c)(3), (c)(4) and (e)(3)(C) allows the
    Agency to approve designs of secondary containment systems which
    would not necessarily detect or allow removal of accumulated
    liquids within 24 hours if the operator makes certain specified
    showings. 40 CFR 264.193(c) allows these if the operator “can”
    make the demonstrations. The Board has modified these to require
    that the operator actually make the demonstrations, which appears
    to be what USE?!’ intends. The Board has also modified these
    provisions to specify that the demonstrations are to be made by
    way of a permit application. If operators have tank systems
    which will not allow prompt removal of liquids, the issue should
    be addressed in the permit process. If the Agency determines
    that another removal time is justified, the Agency will specify
    the removal time in the permit. If there is a disagreement with
    the Agency’s decision, it can be appealed.
    79.690

    —16—
    The Agency and JC!’P have commented on these provisions. (PC
    *4 and #5). The Board will therefore address the reasoning
    behind these modifications more extensively than in the Proposed
    Opinion.
    The USEPA rules are vague as to what is intended. The 24
    hour removal time appears to be a “preferred”, rather than a
    “firm”, design requirement, since no special federal procedural
    “variance” mechanism is articulated in the rules. Further, the
    showing required to vary from the 24 hour time appears to be
    closely allied with the permitting process.
    The Board recognizes that the rule could be interpreted as a
    firm design standard, and thus a Board determination by way of an
    adjusted standard would be more appropriate. However, on
    balance, the Board believes that the decision more logically fits
    into the permit review process. Under this interpretation, the
    rule is saying that tanks should preferably be designed for a 24
    hour liquids removal; if not, the applicant should so specify in
    the permit application, and also make additional showings. In
    either case, the Agency will specify the removal time as a permit
    condition. If the applicant does not make a showing, but rather
    claims a 24 hour removal capability, and then fails to do so, the
    applicant then has violated a permit condition and is subject to
    enforcement.
    The Board notes that the “can” language could also be
    interpreted as providing an affirmative defense in the context of
    an enforcement action to excuse compliance with the 24 hour
    detection or removal time. This interpretation is rejected
    however, since it would seem to specifically authorize a
    deliberately false application if the applicant “can”, but
    doesn’t, make the alternative demonstration.
    In summary, the Board has modified the text of this rule so
    that it is identical in substance with the USE?!’ rule, but so as
    to eliminate vagueness as to the procedural context.
    JCAP also questions the Board’s substitution of “Board” or
    “Agency” for “Regional Director” (sic) in this rule. (PC #5).
    Sections 20(a) and 22.4(a) of the Act contemplate that the State
    should assume responsibility for those portions of the RCBA
    program which USE?!’ intends to delegate. USE?!’ would not accept
    rules which specified that it was to make decisions which it
    intended to delegate. Nor does the Board have statutory
    authority to adopt rules which purport to regulate federal
    agencies.
    As is discussed in the general response to JC!’P comments
    below, the Board’s responsibility is to discern which State
    agencies are to make various decisions consistent with the Act,
    and to so specify in the rules. This often takes the form of
    deciding whether a decision implements a rule in the context of
    permit issuance or whether it is determining environmental
    control standarás.
    79-691

    —17—
    40 C?? 264.193(e)(2)(i)
    includes a reference to “its”
    boundary, where the antecedent is not altogether clear. Section
    724.293(e)(2)(A) replaces this with “the vault system’s”.
    40 OF? 264.l93(e)(2)(v) includes incorrect cross references
    to the definition of hazardous waste. These have been corrected
    in Section 724.293(e)(2)(E).
    40 OF? 264.193(g) allows USE?!’ to grant “variances” from the
    secondary containment requirements for tanks. The operator has
    to demonstrate either that “alternative design and operating
    practices,” together with location characteristics, will be at
    least as effective as secondary containment, or that, in the
    event of a release which does migrate to groundwater, there will
    be no substantial hazard to human health or the environment. The
    Board has utilized an adjusted standards procedure pursuant to
    Section 28.1 of the Act to make these decisions. The Board has
    also adopted procedures in 35 Ill. !‘dm. Code 106. These are
    adaptations taken from the combined sewer overflow procedures of
    Part 306. They will replace the existing Board procedures in
    Part 106, which were adopted in P85—22. The modified procedures
    will allow the Agency to join as a co—petitioner, and will
    require a rulemaking—type hearing instead of the contested case
    type hearing of old Part 106.
    Section 724.293(g) and (h) reference these procedures, and
    specify the level of justification required for the adjusted
    standards. The levels of justification are taken verbatim from
    the USE?!’ rules.
    As provided in Section 28.1 of the Act and Part 106,
    adjusted standards are available only where the substantive rule
    of general applicability specifically references the adjusted
    standards procedures. Operators cannot request adjusted
    standards with respect to any other general rules.
    40 C?? 264.193(h) (1) requires that the USE?!’ variance
    request be initiated 24 months prior to the date secondary
    containment is required for existing tanks, or 30 days prior to
    entering into a contract for a new tank. The Board has included
    these time limits, but notes that any contracts should be
    contingent on the outcome of the alternative design or operating
    practices demonstration, since 30 days would not be enough time
    to complete the adjusted standards proceeding.
    The Board has added Section 724.293(h)(2)(B) to require that
    the applicant include a portion of the Part B permit application
    with the petition for an adjusted standard.
    Section 724.293(h) (4) requires that the Agency issue or
    modify the PC?!’ permit so as to require the perniittee to
    construct and operate the tank as provided in the Board Order
    approving the alternative design or operating practices.
    79-692

    —18—
    Section 724.294
    This Section specifies operating requirements, such as spill
    prevention, for tank systems.
    Section 724.295
    This Section requires inspection of tank systems.
    Section 724.296
    Section 724.296(b) contains release response requirements
    which relate to the time limits for responding to releases
    discussed above in connection with Section 724.293. The Agency
    has commented on this also. (PC *4). As is discussed above, the
    Board construes the alternative time limit provision as a design
    standard which is to be addressed in the permit application
    process, rather than as a waiver or affirmative defense
    provision. Accordingly, the Board has modified these provisions
    to eliminate a similar ambiguity. Rather than repeat the
    alternative language in this provision, the Board has referenced
    the permit. Pesponse will be required within 24 hours or as
    otherwise required in the permit.
    Section 724.296(d)(l) requires reporting of releases from
    tank systems to USEPA within 24 hours unless the release has
    already been reported pursuant to 40 OF? 302, which concerns
    CEPCLA reporting. The Board required reporting to the Agency.
    Following 40 C?? 264.196(f) is a note reciting USEPA’s
    enforcement authority under the PCP!’ Act. Although USE?!’ may
    retain part of this authority in Illinois following
    authorization, it is not necessary for the Board to recite it in
    the Board rules.
    Section 724.297
    This Section requires that the operator remove or
    decontaminate all waste residues and tank system components on
    closure. If this is not possible, the tank system is subject to
    the post—closure care requirements and associated financial
    assurance.
    Section 724.298 and 724.299
    The provisions regarding ignitable, reactive and
    incompatible waste have been modified to reflect changes in
    terminology.
    Section 725.113
    Section 725.ll3(b)(6) has been modified to reference waste
    analysis rules for interim status tank systems.
    79-693

    —19—
    Section 725.115
    Section 725.ll5(b)(4) has been modified to reference
    inspection requirements for tank systems.
    Section 725. 173
    Section 725.173(b)(3) and (6) have been modified to require
    results of waste analysis in the operating record for facilities
    with tank systems.
    Section 725.175
    40 CFR 265.75 was amended at 51 Fed. Peg. 28556. Section
    725.175(h) and (i) have been added to require generators which
    treat, store or dispose of waste on—site to report on their
    efforts to reduce volume or toxicity. Note that the Board rule
    will require an annual report, rather than a biennial report. As
    discussed above, the Board declined to adopt the biennial report
    requirement in P84—9.
    Section 725.210
    40 CFP 265.110 was amended at S1 Fed. Peg. 25471 to state
    that tanks which must close as landfills are subject to the post—
    closure care rules. The USEPA amendment seems to delete 40 C??
    264.2l0(b)(2), which states the similar requirement for lagoons
    and piles which must close as landfills. The Board believes this
    may be an error, and will retain these provisions. The tank
    system rule will therefore appear as Section 725.2l0(b)(3).
    Section 725.240
    Interim status tank systems which must close as landfills
    have to provide financial assurance for post—closure care.
    Section 725.247
    The Board has repealed Section 725.247(b)(4). This is
    similar to Section 724.247(b) (4), which was discussed above.
    40 CFP 265.147(b)(4) required various types of interim
    status facilties to obtain liability insurance by various dates
    between January 15, 1983 and January 15, 1985. The Board
    incorporated this Section by reference in P81—22, in April,
    1982. Illinois received Phase I interim authorization on May 17,
    1982, which made these dates enforceable as State law. The Board
    actually adopted the text of this Section in P86—28. At that
    time it proposed to adopt omitting the past dates. The Board
    inserted the dates at the request of USEPA during the post—
    adoption comment period, but indicated that it would proposeto
    delete them in this Docket. As discussed above, USEPA has
    indicated that the Board can delete the dates if the Attorney
    General certifies that.past violations are covered from the dates
    tney were rirst eftecti1~e.
    79-694

    —20—
    Since the Board rules became effective and enforceable
    before any of these dates, they are the actual dates on which
    insurance was required as a matter of State law. This is a
    matter of historical record which can be alleged in any
    enforcement action in which the length of non—compliance is an
    issue. The Board will delete provisions with no prospective
    impact as a small act of mercy to anyone who has to read these
    lengthy rules.
    Interim status facilities will be allowed to use a corporate
    guarantee for liability insurance. This is similar to Section
    724.247, discussed above.
    JCAR questions the Board’s use of “shall not” instead of
    “may not” in Section 725.247(g)(l)(B). (PC #5) The answer to
    this is the same as for Section 721.106 above. USE?!’ means that
    the guarantee cannot be terminated until alternative financial
    assurance has been approved. The rule would have no meaning if
    the guarantor had the option of terminating the guarantee prior
    to approval of alternatives. Furthermore, the entire financial
    assurance system would be meaningless if parent corporations
    could renege on these promises at the first sign of trouble. As
    a matter of style, the Board has modified the language to use
    “shall not” to state the mandatory language, reserving “may” to
    indicate an election.
    JO!’? also questions the use of “shall” in Section
    725.247(g)(2). (PC *5) For the reasons discussed in connection
    with Section 724.247(g), this subsection implements 40 CFR
    265.247(g) (2), but does not attempt to track the language.
    Section 725. 290 et seq.
    The interim status rules for tank systems are very similar
    to Section 724.290 et seq., discussed above.
    Section 725.293
    40 CFR 265.193(a) (2) contains a reference to tanks used to
    store or treat “?020, F02l,
    ...
    and F027.” From the context it
    is clear that “or” was intended.
    Interim status facilities are allowed to modify their units
    to provide secondary containment without filing a Part B permit
    application. Otherwise, these rules are the same as Section
    724.293, discussed above.
    Placing the decision regarding interim status facilities
    into the permit review process poses a problem since there is no
    permit application or review procedure associated with the
    interim status standards. One possibility would be to create a
    waiver procedure for the Agency to follow under Part 725. The
    Board has done this in other Sections. Since prompt detection
    and removal of leaks from secondary containment are essential to
    79-695

    —21—
    protection of public health and the environment, public notice
    and comment comparable to that in the POP!’ permit issuance
    process is essential before longer times are approved.
    Furthermore, with the interim status rules there is a possibility
    that operators will be engaging in new construction to provide
    secondary containment to existing tanks. If the Agency takes a
    positive step to approve deviation from the 24 hour removal
    requirement, it is likely that this will control the eventual
    Part B application.
    The Board has decided to use the mechanism proposed in
    Section 724.293. Interim status facilities will have to build
    secondary containment to allow 24 hour removal, or else file a
    Part B application. This allows utilization of existing
    procedures with adequate public participation.
    In summary, the Board has modified the text of this rule so
    that it is identical in substance with the USE?!’ rule, but so as
    to eliminate vagueness as to the procedural context.
    JCAB also questions the Board’s substitution of “Board” or
    “Agency” for “Regional Administrator” in this rule. (PC *5).
    Sections 20(a) and 22.4(a) of the Act contemplate that the State
    should assume responsibility for those portions of the POP!’
    program which USEPA intends to delegate. USEPA would not accept
    rules which specified that it was to make decisions which it
    intended to delegate. Nor does the Board have statutory
    authority to adopt rules which purport to regulate federal
    agencies.
    As is discussed in the general response to JCAP comments
    below, the Board’s responsibility is to discern which State
    agencies are to make various decisions consistent with the Act,
    and to so specify in the rules. This often takes the form of
    deciding whether a decision implements a rule in the context of
    permit issuance, or whether it is determining environmental
    control standards.
    USE?!’ and the Agency commented on the lack of certain
    special notice procedures from 40 OFB 265.193(h) in Section
    725.293(h). (PC *3 and #4) The Board has proposed to utilize the
    Part 106 procedures, as is discussed above. The Board has
    corrected the reference in Section 106.415(b) to the ROBA notice
    procedures of Section 102.124.
    USE?!’ also commented on the lack of the 90—day decision
    period of Section 265.193(h) in the Board’s procedures. The
    Board is reluctant
    to adopt
    an unnecessary decision period which
    could
    be construed to allow alternative standards by default.
    (PC ~3)
    The JO!’? questions include four which were asked in one form
    or another with respect to most of the Parts involved in P86—19
    through 46. The numbering below refers to the specific questions
    79.696

    —22—
    asked with respect to Part 720 as proposed in P86—46. In
    addition several sets of questions ask about specific Sections.
    These are answered in detail with respect to those Sections in
    the main portion of the Opinion above. However, most of these
    involve a question as to why the Board is not adopting USE?!’
    rules verbatim. The Board will give a general response to this
    question as question five below.
    JO!’? first questions how a rule can be adopted more than 180
    days after USE?!’ has adopted it. JOAP asks whether Section 5 of
    the APA applies after 180 days.
    JC!’? apparently interprets Section 22.4(a) as saying that
    identical in substance rulemaking is exempt from Title VII of the
    Act and the !‘P!’ for 180 days and thereafter subject to those
    provisions. However, the statute does not say whether identical
    in substance rules are or are not exempt after 180 days.
    Section 22.4(a) of the Act is a specific statutory provision
    dealing with adoption of identical in substance rules, while
    Title VII of the Act and the !‘PA are general provisions for
    rulemaking. One should not construe the statute so as to make
    the general provisions override the specific provisions, absent
    an express provision.
    Because Section 22.4(a) is silent as to what happens if it
    does not meet the 180—day goal, the Board must look to the intent
    of the statute. The General Assembly intended quick adoption so
    as to maintain a ROB!’ program equivalent to the federal program
    to meet the policy objectives of Section 20(a)(8). Full Board
    rulemaking, pursuant to Title VII of the Act and the A?!’ would,
    of course, cause further delay and also backup subsequent
    rulemakings so that the 180 days might never be met, at least
    until the USE?!’ slowed in the frequency of ECRA rulemakings.
    This would certainly result in loss of program approval, contrary
    to the policy of Section 20. The Board therefore concludes that
    Section 22.4(a) does not require full rulemaking to adopt
    identical in substance rules after the 180 day period has
    elapsed. The Board, of course, is obligated to make a good faith
    attempt to meet the 180 day time—frame. (See also P87—3,4;
    Resolution of June 25, 1987.)
    The second JC!’R question asks is why the Board published a
    notice of proposed rulemaking in accordance with Section 5.01 of
    the A?!’. The proposal was noticed in accordance with procedural
    rules adopted in R84—lO, and was not in accordance with Section
    5.01 of the A?!’. The Board notes that the public comment format
    was made similar to the A?!’ first notice format in order to avoid
    confusion.
    The third question concerns the statement of statewide
    policy objectives in the notices in the Register. Section
    22.4(a) of the Act gives the Board no alternative but to adopt
    the rules in question. The policies behind the decision to adopt
    79.697

    —23—
    the rules are those of the General Assembly and not the Board.
    The policy objectives were set forth in Section 20 of the Act,
    which was referenced in the Notice, as required by the A?!’.
    The State Mandates Act is not applicable to these BCRA
    rules
    anyway, because they have no direct impact on local government so
    long as it is exercising normal governmental activities. If a
    local government becomes involved in the business of generation,
    transportation or management of hazardous waste, then federal and
    State statutes mandate that these rules apply.
    The fourth question concerns whether the Board “received”
    any public comment, and whether it ever considers changing a rule
    in response to comment. As is detailed above, the Board has made
    numerous
    changes in response to comments.
    The fifth question suggests that JC!’B construes “identical
    in substance” to mean that the Board is to adopt USE?!’ rules
    “verbatim.” The Board does not construe the “identical in
    substance” mandate of Section 22.4(a) to mean this. In adopting
    “identical in substance” rules, the Board is seeking to create in
    Illinois a program which comes as close as possible to the
    substance of the program which USE?!’ would administer. For
    example, the Illinois and USE?!’ programs should require a given
    person to manage a given waste in the same manner, although the
    person might not have to complete identical forms to be mailed to
    the same address under both programs.
    Although the Board attempts to keep the ROB!’ rules as nearly
    verbatim as possible with the rules as administered in USE?!’, it
    is not possible to maintain an identical in substance program
    simply by adopting large blocks of USE?!’ rules verbatim. Indeed,
    the result of such blind adoption of verbatim rules would be a
    program which differed substantially from the USEPA program, and
    which would be subject to attack under Illinois laws. The
    following is a compilation of issues which have arisen in
    identical in substance rulemaking.
    The first question is often whether it is necessary to adopt
    a USE?!’ rule as a State rule. Some rules, such as site—specific
    delistings, are simply not applicable in Illinois. Other rules
    govern actions to be taken by USE?!’, such as standards for
    program approval. It would not be appropriate for Illinois to
    adopt rules which purport to regulate a federal agency. Other
    rules describe the contents of the State program in a manner such
    that the USE?!’ rule would not be appropriate as a portion of the
    State program itself. These may describe the type of rule the
    State needs to adopt, or include a list
    of options. Other rules
    describe program contents that are not appropriate to address by
    Board rules, such as the adequacy of funding for the Agency’s
    inspection staff.
    Another question that arises is whether the Board should
    adopt the text of a
    federal
    rule,
    or whether to merely
    incorporate the rule by reference.
    79.698

    —24—
    Many issues center on whether Board, Agency or USE?!’ action
    is required. JEEP!’ is often imprecise as to whether it intends
    to retain authority to make certain decisions, or whether it
    intends to devolve the authority to the State. In Illinois there
    is usually a question as to which State agency is to receive this
    authority. Section 5(b) of the Act authorizes the Board to
    “determine, define and implement environmental control
    standards,” while Sections 4(g) and 39 of the Act allow the
    Agency to administer permit systems established under the Act and
    Board rules. Since USE?!’ has both of these functions, it does
    not differentiate between them in its rules. Questions of Board
    or Agency authority are often decided based on whether the action
    is one of “determining, defining or implementing environmental
    control standards,” or of applying Board rules as part of permit
    issuance. (Commonwealth Edison et al. v. IPOB, 127 Ill. App. 3d
    446; 468 NE 2d 1339 (Third District 1984)
    Another question involves the existence of more stringent,
    consistent State programs. Sometimes USE?!’ will add or amend
    rules for which there is an existing State program which is
    consistent and more stringent. An example is the federal and
    State liquids bans in Section 724.414 and Part 729. The Board
    modified the USE?!’ rule to reflect the existing, more stringent
    State rule. (Commonwealth Edison et al. v. I?OB, op. cit.)
    Sometimes questions arise as to whether USE?!’ provisions
    would conflict with provisions of the Act or other State laws,
    including the Administrative Procedure Act. An example is USEP!’
    rules which allow USE?!’ to issue PCBA permits at its discretion
    in authorized States. This cannot be allowed in Illinois, since
    USE?!’ is not authorized to determine whether a facility has met
    the local government approval requirements under Section 39.2 of
    the Act. (Commonwealth Edison et al. v. I?CB, op. cit.) Other
    examples result from USEPA rules which appear to provide that
    USE?!’ will do something if certain conditions are met, or not do
    it at its discretion without the possibility of meaningful
    review. Because such provisions are contrary to the A?!’, the
    Board usually restates the rule to remove the apparent
    discretion. USE?!’ and the Agency are given the opportunity to
    comment if they believe that such discretion is necessary to the
    program, or to advise the Board of additional factors which
    influence the decision.
    Other questions arise from attempting to adapt USEPA’s free—
    form style to the Administrative Code Unit’s codification
    rules. The Board attempts to comply with these rules wherever
    possible. The worst case is the “hanging paragraph”, in which
    USEP!’ returns to a previous level of subdivision, something which
    is an absolute no—no in Illinois. This will generally
    necessitate a complete rewriting of the rule to accomplish the
    same substance within the codification system.
    Some USE?!’ rules are written from the wrong narrative
    stance. USE?!’ is an agency which makes rules, applies them in
    79-699

    —25—
    unauthorized states and approves state authorization requests.
    Some of its rules don’t make sense as Illinois rules whether one
    substitutes “Board” or “Agency” for “Administrator.” The Board
    often rewrites these rules to state the substance as applied in
    Illinois from the Board’s regulatory perspective.
    A final type of question arises from what appears to be
    deficiencies in USE?!’ rules such that they either say something
    other than what was probably intended, or say nothing at all.
    The Board attempts to rewrite these so that they say what USEPA
    probably intended. The Board affords an opportunity for comment
    as to whether the rule is indeed identical to the substance of
    the USE?!’ rule.
    In summary, the Board attempts to adopt rules which are as
    nearly verbatim as possible with respect to the POP!’ program as
    administered by USE?!’ in states without authorization. However,
    it is not possible to accomplish this by blindly adopting large
    blocks of rules verbatim.
    This Opinion supports the Board’s Final Order of this same
    day. The Board will withhold filing of the adopted rules for 10
    days to allow for final review by the agencies involved in the
    authorization process.
    Although this time period is short, there
    is need to adopt these rules as quickly as possible pursuant to
    Section 22.4 of the Act.
    IT IS SO ORDERED.
    I, Dorothy M. Gunn, Clerk of the Illinois Pollution Control
    Board, hereby certify hat the above Opinion was adopted on
    the
    ~
    day of
    ____________,
    1987, by a vote of
    ~,°
    Illino:
    Control Board
    79.700

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