ILLINOIS POLLUTION CONTROL BOARD
November 19, 1981
REYNOLDS NETAL COMPANY,
Petitioner,
v.
)
PCB 79—81
ILLINOIS ENVIRONMENTAL
PROTECTION AGENCY,
Respondent.
DISSENTING OPINION (by D. Anderson):
I dissent from the Board’s November 19, 1981 Order denying
Reynolds’ petition for rehearing concerning the Board’s Order
of August 20, 1981, which denied Reynolds’ request for a vari-
ance from Rules 303, 305(a)
and
305(b) of Chapter 7. I would
grant the motion, reconsider the August 20 Order, and dismiss
the petition for lack of information and failure to demonstrate
arbitrary or unreasonable hardship.
I have three major areas of disagreement with the majority
Opinion:
1. The facility is clearly exempt from the permit
requirement, assuming an “on—site” facility is
involved.
2. The operating requirements of Part III of Chapter 7
are applicable to the facility whether a permit
is required or not.
3. It is Reynolds1 responsibility to establish suffi-
cient facts to show
it
is entitled
to a variance.
This case concerns the on—site disposal exception of
§21(d) which until recently provided:
“(No person shall:),.,conduct any refuse collection
or refuse disposal operations, except for refuse gener-
ated by the operator’s own activities, without a permit
granted by the Agency upon such conditions...”
There are three cases which have been cited as holding the
permit
is required:
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1. I~EPAv. City of Pontiac, PCB 74—396,
18 PCB 303,
(August 7, 1975);
2.
People v. Commonwealth Edison, PCB 75-368, 24 PCB
200, (November 10, 1976; and,
3.
R. E. Joos Excavating Co. v.
IEPA, 58 Ill. App 3d 309;
374 NE 2d 486 (3d Dist. 1978)
The Pontiac case involved a question of whether a city-
owned landfill site was “on site” with respect to the entire
city’s garbage. Joos involved disposal at one site of waste
generated by the owner at another site. The language in these
cases concerning “minor amounts” of refuse and “quarries” is
incidental to the basis of these decisions and is dicta.
In the Commonwealth Edison opinion it is unclear whether
the quarry was contiguous with the power plant and owned by the
generator. The decision purports to be controlled by Pontiac,
which seems to infer that it was a question of whether the
disposal was “on site”. However, the majority cites it as
holding a permit to be required for on site disposal of large
amounts of waste in a quarry. The case was apparently never
appealed.
Since the August 20 decision, the §21(d) exemption has been
amended by SB 875 (P.A, 82-380). Section 21(d) now provides:
(No person shall:) conduct any. .,waste disposal...operation:
1. Without a permit granted by the Agency or in viola-
tion of any conditions imposed by such permit...;
provided, however, that no permit shall be required
for any person conducting a...waste disposal...
operation for wastes generated by such person’s own
activities which are stored, treated, disposed or
transported within the site where such wastes are
generated; or,
2. In violation of any regulations or standards adopted
by the Board under this Act.
The legislation now states the holding of the Joos and
Pontiac cases clearly: the wastes must be generated by the
operator’s activities at the disposal site. There is nothing
in it about quarries or large amounts of refuse, codifying the
purported holding of Commonwealth Edison. The Board took an
active role in the drafting of this legislation. Had it wanted
language about quarries or size it could easily have been inserted.
Before SB 875 it may have been possible to further limit the
exception through case law; this is no longer possible.
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The amendments also clarify another point in controversy:
whether the Board has authority to impose operating requirements
on facilities which are exempt from the permit requirement
(R80-20, R8l-22), This has been answered affirmatively by
splitting the permit and operating requirements into subsections,
with only the permit requirement conditioned on whether an
on-site facility is involved.
It should be
pointed out specifically that the majority
opinion does not hold that the Board lacks authority to impose
on—site operaETffg requirements, The majority rather holds that
the Chapter 7 operating requirements (Part III) apply only in
the context of a permit. This holding is at least consistent
with the legislation. However, it is not consistent with the
language and history of Chapter 7.
Rules 303 and
305 are stated in prohibitory terms directly
applicable to the public, and are only incidentally rules
directing the Agency
to write permit conditions. Throughout
its history the Board has consistently held that the operating
requirements of
Part III are directly applicable to the public
whether or not there
is a permit. Failure to apply cover is
nearly always alleged in open dumping and landfill enforcements
(People v. Giachini, PCB 77-143, 33 PCB 547, Nay 24, 1979;
IEPA v. Caristrom, PCB 78—153, 35 PCB 167, August 9, 1979).
This
is consistent with Rule 208 which provides that the
existence of a permit is a defense only to the permit require-
ment. This was a central policy of the older Board chapters
and is the basis of the Supreme Court1s decision striking down
third party permit appeals: Agency permits do not cut off the
public’s right to bring an enforcement action based on violation
of the Board’s operating standards (Landfill Inc. v. IPCB, Septem-
ber 1978). The majority apparently has held that Part III is
no longer enforceable,
Part of the majority~sconcern arises from a fear that
compliance with Part III is impossible for many types of on-site
“pits, ponds and lagoons.” A better holding would limit the
applicability of Part III to traditional landfilling operations,
for example, holding the operating standards inapplicable to
such things as sludge drying beds, In this particular case,
Reynolds is engaged in a traditional landfilling operation
squarely under Part III, It must voluntarily get a permit with
adjusted conditions from the Agency or else it needs a variance
from the Board.
Reynolds apparently
operates the quarry on a contiguous site
under a long term lease with the federal government (Motion, p. 5).
This raises a serious question as to the scope of the on—site
44—59
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exemption.
The Board at first found that this was an indepen-
dent basis for its finding that a permit was required.
The
Board then withdrew this finding, stating that “the record is
insufficient with respect to Reynolds’ rights and obligations
under
its lease agreement to establish the lack of an ongoing,
extended responsibility for the subject site”. This ignores
the provision that the burden of proof is on Reynolds (~37 of
the Act)
.
As is discussed below, I would insist on details
in a new variance petition.
I would dismiss the petition with leave to refile on the
following basis:
Rules 303 and 305 provide that the Agency can approve
alternative modes of operation in individual permits.
However,
Reynolds has no operating permit.
Section 21 does not prohibit
Reynolds from applying for a permit or the Agency from issuing
a permit in spite of the exception.
Had Reynolds pursued this
option, approval of alternative modes of operation would have
been governed by Section 39(a) concerning imposition of permit
conditions. Reynolds has, however, elected to proceed by the
variance route and must therefore demonstrate arbitrary or
unreasonable hardship (Sections 35 and 36).
Reynolds has estimated that compliance would cost $108,000
for a road to the fill face and about $425 per day to apply
daily cover (2:12). The Agency has proposed that the Board
adopt new regulations which would eliminate the requirement
that operators burying nonputrescible construction waste form
cells
and
provide daily and intermediate cover (R80—20). In
view of the low danger of this type of waste, the Board would
certainly accept Reynolds’ expenses as unreasonable hardship if
this were a new operation.
The problem lies in the material
known to be already in the landfill
and the absence of adequate
information concerning all that is present.
Although only
inert material will go into the landfill in the future, this
represents
the continued operation of a general or possibly
a hazardous waste site,
Reynolds is asking the Board to approve an alternative
mode of operation without fully disclosing the nature of the
wastes already buried, As operator of the site Reynolds ctas
a duty to discover and disclose the contents of the site.
The
evidence is not convincing that enough effort has been made in
this direction.
The site is presently producing leachate which could
produce major pollution problems except for the dewatering
activities
in the Material Service quarry (Ex. 1, p. 1, 15;
2:53). Reynolds has no control over this (2:45). The variance
44—60
—5—
would be more acceptable if Reynolds obtained an agreement from
Material Service to continue dewatering, or if the parties
proposed a mechanism whereby any variance would be reviewed
upon termination of dewatering. This could be done by a new
variance application or a plan submitted for Agency approval.
Any
variance granted by the Board could be construed as
authorizing a continuation of leachate collection by use of the
adjacent quarry or as an authorization for Material Service to
pump and discharge untreated leachate. This could involve
violations of the Act, Board rules and rights of Material
Service.
Any variance granted may require appropriate condi-
tions or a disclaimer
of any unintended effect, or a variance
for Material Service. The parties have not addressed this.
There has been no attempt to sample the visible discharges
from the wall which separates Reynolds from the quarry. This
evidence, which could be persuasive as to the nature of the
leachate produced, is missing.
By asking the Board to approve the requested variance,
Reynolds is in effect asking the Board to approve a final
closure plan for what may be a hazardous waste site. The Board
is concerned that any variance granted would in the future be
construed as res judicata on closure, relieving Reynolds of the
duty to cure any
pollution problems which may arise (35 111.
Admin. Code §725.210; 5 Ill, Reg. 9781, October 2, 1981).
The
variance would be more acceptable to the Board if the parties
could elaborate on Reynolds’ future responsibilities.
It may
be necessary to impose a condition limiting the effect of any
variance.
Reynolds leases the landfill site which
is
adjacent to the
plant which
it owns (Stip. 1).
The
identity of the owner was
not disclosed in the record, There
is no indication of any
agreement between Reynolds
and
the
owner fixing responsibility
for closure and no commitment from Reynolds to close the site.
Any
future variance petition would
he more acceptable if this
were addressed.
Reynolds has not given a date for
final closure of the
site.
It
is not good to have this site only partially filled
and collecting water to produce leachate.
The Board would be
more likely to grant a future variance if it were conditioned
on a date for final closure. A variance without a date for
closure could be construed as a permanent variance contrary
to the intent of Sections 35 and 36(a).
Even assuming that hazardous waste is buried in the site,
any final compliance plan probably involves filling the site
with inert material, followed by final cover and grading to
44—6 1
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prevent
the passage of surface water
through the waste to
produce leachate. The Board should acknowledge that Reynolds’
actions in placing construction rubble in the pit further this
scheme. However, depending on the exact nature of the refuse
and
the
possibility that Material Service may discontinue
pumping, it may be necessary that Reynolds immediately spread,
compact, apply daily cover,
and commence pumping water from
the fill face.
Section 35(a) of the Act authorizes the Board to grant
variances upon a showing of arbitrary or unreasonable hardship.
The intent of the Act is that the Board should balance hardship
against the potential for damage to the environment
and
public
health. From the evidence before it, the Board could not find
that the above alternative imposes arbitrary or unreasonable
hardship in light of the potential danger.
The petition should be dismissed with leave to file a new
petition addressing the noted difficulties.
~
~
Donald
~•.
Anderson, Board Member
I, Christan L. Moffett, Clerk of the Illinois Pollution
Control Board, do hereby certj~fy that the ~aboveDissenting
Opinion was filed on the
~
day
of
~
1981.
Christan L. Mof~e~/.’Clerk
Illinois Pollution ~ontro1 Board
44—62