ILLINOIS POLLUTION CONTROL BOARD
    October 23, 1986
    IN THE MATTER OF:
    )
    HAZARDOUS WASTE
    )
    R86-9
    PROHIBITIONS
    )
    CONCURRING OPINION (by J. Theodore Meyer):
    I wish to supplement the Board’s Order of today denying
    Citizens’ for a Better Environment (CBE) motion for
    disqualification directed towards me. CBE contends that my
    participation in the passage of S.B. 171 into law now
    disqualifies me from deliberating on the merits of the proposed
    rule arising out of that legislation. I might note that in
    addition to S.B. 171 my involvement with environmental
    legislation during my tenure in the House was extensive. I was a
    cosponsor of the Act creating the Board and was a member of the
    committee which oversaw the passage of all environmental
    legislation in the House. In addition, I voted on every piece of
    environmental legislation from 1969 to the time
    I left the
    House.
    Thus, were CBE’s position successful,
    in effect, I would
    be precluded from participating
    in almost every conceivable
    matter that might come before the Board because of
    my legislative
    experience. Moreover, this argument, if successful, would
    preclude every former legislator from serving on a board or
    commission if he or she participated in any way in the passage of
    legislation concerning the entity. Just how much participation
    would be necessary to require disqualification or recusal is not
    delineated by CBE. For instance, would voting alone, whether for
    or against the legislation, be sufficient to require recusal? In
    any event, it is CBE’s position that the level of my
    participation with S.B. 171 has risen to the point of objection.
    On this point, I would suggest that the recent Second
    District Case of M.I.G. Investments, Inc. v. Environmental
    Protection Agency, No. 2—85—734 (October 15, 1986) is instructive
    of how courts are likely to view this argument. In M.I.G.
    Investments, the Board had construed the legislative intent of
    S.B. 172, the companion bill to S.B. 171 at issue today.
    Similarly, I was involved in the passage of S.B. 172 into law as
    the Chairman of the House Energy and Environmental Committee and
    sponsor of the governor’s amendatory veto. Based on my
    experience with S.B. 172, I dissented from the Board’s
    interpretation of the legislative intent. In reversing the
    Board, the court cited my dissent and noted that because of my
    legislative experience with S.B. 172 my interpretation of the
    legislative intent was entitled to some weight in its analysis.
    Slip op. at 10. Nowhere did the court question my right to voice
    that interpretation as constituting “bias”. Rather my
    73-464

    —2—
    interpretation was accorded some persuasive value by the court.
    Clearly, “this turn of affairs” constitutes an implicit rejection
    of CBE’s position.
    In addition, I would like to point out that CBE’s argument
    could be used against other Board members besides former
    legislators. In this regard, the Environmental Protection Act
    (Act) requires that each Board member be “technically
    qualified.” Section 5. At the same time federal laws and
    regulations prohibit the appointment of Board members too closely
    tied to the regulated industry. See Section 128 of the Clean Air
    Act and 40 C.F.R. Section 123.26(c) (1986). Together these two
    strictures leave a rather small pool of qualified persons to
    serve on the Board. CBE’s argument that a former legislator
    should not participate in decisions concerning legislation he is
    familiar with could extend to all forms of technical expertise
    since that very expertise could arguably
    lead to a predisposition
    one way or another. Thus, followed
    to its logical conclusion,
    CBE’s argument would require the disqualification of Board
    members from participation on the very matters that they are most
    familiar with. As a result, the Act’s requirement for
    technically qualified people would be stood on its head since the
    experts would be prohibited from assisting the Board in their
    areas of expertise.
    Finally, I would like to take issue with the tone of the
    order as written today as I believe it erroneously leaves the
    ultimate question unanswered. The Board’s order is ambiguous as
    to whether or not it has the authority to disqualify its
    members. While the order recites case law on this subjec~which
    principally supports the proposition that no such authority
    exists in boards and commissions, it implies that under certain
    circumstances the Board may have such power. For example, the
    conclusion of the order rests on a discussion of In
    the matter of
    Segal and Smith,
    5
    FCC
    3
    (1937) holding that in a judicial or
    quasi—judicial proceeding the Federal Communications Commission
    could disqualify a member. The Board concludes, however, that
    this matter is neither judicial or quasi—judicial and
    “tlO
    allow
    a majority of the Board to determine the eligibility to vote of
    an individual Member in a particular regulatory proceeding would
    be to travel a road fraught with hazards.” Or. at 3 (emphasis
    added). Thus, the order as written implies that in quasi—
    judicial or judicial matters the Board may order one of its
    members not to vote.
    A similar qualifier is also made at the
    conclusion of the order where it is stated that “the Board does
    not believe that in a regulatory proceeding it should exercise
    its authority, if any, to rule on the qualification of one of its
    members to participate in the decision absent compelling
    circumstances.” Id. (emphasis added). This implies that in
    certain “compelling” situations the Board may find the authority
    to
    disqualify a member whether the matter is regulatory in nature
    or not. Nowhere in the Environmental Protection Act, the
    73-465

    —3—
    Administrative Procedure Act or Roberts Rules of Order
    is such
    authority granted to the Board. I suggest that in any
    proceeding, whether judicial, quasi—judicial or not, a
    determination that the power of disqualification does rest with
    the Board and the exercise of that power would lead to
    disaster. What safeguards would exist to prevent the majority
    from simply disqualifying the minority? Such a situation would
    upset the balance of power in the Board envisioned by the Act and
    usurp the authority of the Governor to appoint 7 equal and
    independent members who are then confirmed by the Senate.
    Thus, although I agree with the result of today’s order I do
    not feel that the order goes far enough and for the foregoing
    reasons concur.
    J.\~Theodore Meyer
    Board Member
    I, Dorothy M. Gurin, Clerk of the Illinois Pollution Control
    Board, hereby certify that the above ,çoripurring Opinion was
    submitted on the
    ~
    day of
    _________________,
    1986.
    /‘~
    ~“
    ~
    //‘~I. /~-~
    t~
    Dorothy M. Gunn, Clerk
    Illinois Pollution Control Board
    73-466

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