|
Public Act 100-0103 |
SB1943 Enrolled | LRB100 11390 MJP 21799 b |
|
|
AN ACT concerning safety.
|
Be it enacted by the People of the State of Illinois,
|
represented in the General Assembly:
|
Section 5. The Illinois Plumbing License Law is amended by |
changing Section 35.5 as follows: |
(225 ILCS 320/35.5) |
Sec. 35.5. Lead in drinking water prevention. |
(a) The General Assembly finds that lead has been detected |
in the drinking water of schools in this State. The General |
Assembly also finds that infants and young children may suffer |
adverse health effects and developmental delays as a result of |
exposure to even low levels of lead. The General Assembly |
further finds that it is in the best interests of the people of |
the State to require school districts or chief school |
administrators, or the designee of the school district or chief |
school administrator, to test for lead in drinking water in |
school buildings and provide written notification of the test |
results. |
The purpose of this Section is to require (i) school |
districts or chief school administrators, or the designees of |
the school districts or chief school administrators, to test |
for lead with the goal of providing school building occupants |
with an adequate supply of safe, potable water; and (ii) school |
|
districts or chief school administrators, or the designees of |
the school districts or chief school administrators, to notify |
the parents and legal guardians of enrolled students of the |
sampling results from their respective school buildings. |
(b) For the purposes of this Section: |
"Community water system" has the meaning provided in 35 |
Ill. Adm. Code 611.101. |
"School building" means any facility or portion thereof |
that was constructed on or before January 1, 2000 and may be |
occupied by more than 10 children or students, pre-kindergarten |
through grade 5, under the control of (a) a school district or |
(b) a public, private, charter, or nonpublic day or residential |
educational institution. |
"Source of potable water" means the point at which |
non-bottled water that may be ingested by children or used for |
food preparation exits any tap, faucet, drinking fountain, wash |
basin in a classroom occupied by children or students under |
grade 1, or similar point of use; provided, however, that all |
(a) bathroom sinks and (b) wash basins used by janitorial staff |
are excluded from this definition. |
(c) Each school district or chief school administrator, or |
the designee of each school district or chief school |
administrator, shall test each source of potable water in a |
school building for lead contamination as required in this |
subsection. |
(1) Each school district or chief school |
|
administrator, or the designee of each school district or |
chief school administrator, shall, at a minimum, (a) |
collect a first-draw 250 milliliter sample of water, (b) |
flush for 30 seconds, and (c) collect a second-draw 250 |
milliliter sample from each source of potable water located |
at each corresponding school building; provided, however, |
that to the extent that multiple sources of potable water |
utilize the same drain, (i) the foregoing collection |
protocol is required for one such source of potable water, |
and (ii) only a first-draw 250 milliliter sample of water |
is required from the remaining such sources of potable |
water. The water corresponding to the first-draw 250 |
milliliter sample from each source of potable water shall |
have been standing in the plumbing pipes for at least 8 |
hours, but not more than 18 hours, without any flushing of |
the source of potable water before sample collection. |
(2) Each school district or chief school |
administrator, or the designee of each school district or |
chief school administrator, shall arrange to have the |
samples it collects pursuant to subdivision (1) of this |
subsection submitted to a laboratory that is certified for |
the analysis of lead in drinking water in accordance with |
accreditation requirements developed by a national |
laboratory accreditation body, such as the National |
Environmental Laboratory Accreditation Conference (NELAC) |
Institute (TNI). Samples submitted to laboratories |
|
pursuant to this subdivision (2) shall be analyzed for lead |
using one of the test methods for lead that is described in |
40 CFR 141.23(k)(1). Within 7 days after receiving a final |
analytical result concerning a sample collected pursuant |
to subdivision (1) of this subsection, the school district |
or chief school administrator, or a designee of the school |
district or chief school administrator, that collected the |
sample shall provide the final analytical result to the |
Department. submit or cause to be submitted (A) the samples |
to an Illinois Environmental Protection Agency-accredited |
laboratory for analysis for lead in accordance with the |
instructions supplied by an Illinois Environmental |
Protection Agency-accredited laboratory and (B) the |
written sampling results to the Department within 7 |
business days of receipt of the results. |
(3) If any of the samples taken in the school exceed 5 |
parts per billion, the school district or chief school |
administrator, or the designee of the school district or |
chief school administrator, shall promptly provide an |
individual notification of the sampling results, via |
written or electronic communication, to the parents or |
legal guardians of all enrolled students and include the |
following information: the corresponding sampling location |
within the school building and the United States |
Environmental Protection Agency's website for information |
about lead in drinking water. If any of the samples taken |
|
at the school are at or below 5 parts per billion, |
notification may be made as provided in this paragraph or |
by posting on the school's website. |
(4) Sampling and analysis required under this Section |
shall be completed by the following applicable deadlines: |
for school buildings constructed prior to January 1, 1987, |
by December 31, 2017; and for school buildings constructed |
between January 2, 1987 and January 1, 2000, by December |
31, 2018. |
(5) A school district or chief school administrator, or |
the designee of the school district or chief school |
administrator, may seek a waiver of the requirements of |
this subsection from the Department, if (A) the school |
district or chief school administrator, or the designee of |
the school district or chief school administrator, |
collected at least one 250 milliliter or greater sample of |
water from each source of potable water that had been |
standing in the plumbing pipes for at least 6 hours and |
that was collected without flushing the source of potable |
water before collection, (B) a an Illinois Environmental |
Protection Agency-accredited laboratory described in |
subdivision (2) of this subsection analyzed the samples in |
accordance with a test method described in that |
subdivision , (C) test results were obtained prior to the |
effective date of this amendatory Act of the 99th General |
Assembly, but after January 1, 2013, and (D) test results |
|
were submitted to the Department within 120 days of the |
effective date of this amendatory Act of the 99th General |
Assembly. |
(6) The owner or operator of a community water system |
may agree to pay for the cost of the laboratory analysis of |
the samples required under this Section and may utilize the |
lead hazard cost recovery fee under Section 11-150.1-1 of |
the Illinois Municipal Code or other available funds to |
defray said costs. |
(7) Lead sampling results obtained shall not be used |
for purposes of determining compliance with the Board's |
rules that implement the national primary drinking water |
regulations for lead and copper. |
(d) By no later than June 30, 2019, the Department shall |
determine whether it is necessary and appropriate to protect |
public health to require schools constructed in whole or in |
part after January 1, 2000 to conduct testing for lead from |
sources of potable water, taking into account, among other |
relevant information, the results of testing conducted |
pursuant to this Section. |
(e) Within 90 days of the effective date of this amendatory |
Act of the 99th General Assembly, the Department shall post on |
its website guidance on mitigation actions for lead in drinking |
water, and ongoing water management practices, in schools. In |
preparing such guidance, the Department may, in part, reference |
the United States Environmental Protection Agency's 3Ts for |
|
Reducing Lead in Drinking Water in Schools.
|
(Source: P.A. 99-922, eff. 1-17-17.) |
Section 10. The Environmental Protection Act is amended by |
changing Sections 12.4, 21, 22.15, 22.28, 22.29, 39.5, 55, and |
55.6 as follows:
|
(415 ILCS 5/12.4)
|
Sec. 12.4. Vegetable by-product; land application; report. |
In addition to any other requirements of this Act, a generator |
of vegetable
by-products utilizing land application shall |
prepare file an annual report with the
Agency identifying the |
quantity of vegetable by-products transported for land
|
application during the reporting period, the hauler or haulers |
utilized for
the transportation, and the sites to which the |
vegetable by-products were
transported. The report must be |
retained on the premises of the generator for a minimum of 5 |
calendar years after the end of the applicable reporting period |
and must, during that time, be made available to the Agency for |
inspection and copying during normal business hours.
|
(Source: P.A. 88-454.)
|
(415 ILCS 5/21) (from Ch. 111 1/2, par. 1021)
|
Sec. 21. Prohibited acts. No person shall:
|
(a) Cause or allow the open dumping of any waste.
|
(b) Abandon, dump, or deposit any waste upon the public |
|
highways or
other public property, except in a sanitary |
landfill approved by the
Agency pursuant to regulations adopted |
by the Board.
|
(c) Abandon any vehicle in violation of the "Abandoned |
Vehicles
Amendment to the Illinois Vehicle Code", as enacted by |
the 76th General
Assembly.
|
(d) Conduct any waste-storage, waste-treatment, or |
waste-disposal
operation:
|
(1) without a permit granted by the Agency or in |
violation of any
conditions imposed by such permit, |
including periodic reports and full
access to adequate |
records and the inspection of facilities, as may be
|
necessary to assure compliance with this Act and with |
regulations and
standards adopted thereunder; provided, |
however, that, except for municipal
solid waste landfill |
units that receive waste on or after October 9, 1993,
no |
permit shall be
required for (i) any person conducting a |
waste-storage, waste-treatment, or
waste-disposal |
operation for wastes generated by such person's own
|
activities which are stored, treated, or disposed within |
the site where
such wastes are generated, or (ii)
a |
facility located in a county with a
population over 700,000 |
as of January 1, 2000, operated and located in accordance |
with
Section 22.38 of this Act, and used exclusively for |
the transfer, storage, or
treatment of general |
construction or demolition debris, provided that the |
|
facility was receiving construction or demolition debris |
on the effective date of this amendatory Act of the 96th |
General Assembly;
|
(2) in violation of any regulations or standards |
adopted by the
Board under this Act; or
|
(3) which receives waste after August 31, 1988, does |
not have a permit
issued by the Agency, and is (i) a |
landfill used exclusively for the
disposal of waste |
generated at the site, (ii) a surface impoundment
receiving |
special waste not listed in an NPDES permit, (iii) a waste |
pile
in which the total volume of waste is greater than 100 |
cubic yards or the
waste is stored for over one year, or |
(iv) a land treatment facility
receiving special waste |
generated at the site; without giving notice of the
|
operation to the Agency by January 1, 1989, or 30 days |
after the date on
which the operation commences, whichever |
is later, and every 3 years
thereafter. The form for such |
notification shall be specified by the
Agency, and shall be |
limited to information regarding: the name and address
of |
the location of the operation; the type of operation; the |
types and
amounts of waste stored, treated or disposed of |
on an annual basis; the
remaining capacity of the |
operation; and the remaining expected life of
the |
operation.
|
Item (3) of this subsection (d) shall not apply to any |
person
engaged in agricultural activity who is disposing of a |
|
substance that
constitutes solid waste, if the substance was |
acquired for use by that
person on his own property, and the |
substance is disposed of on his own
property in accordance with |
regulations or standards adopted by the Board.
|
This subsection (d) shall not apply to hazardous waste.
|
(e) Dispose, treat, store or abandon any waste, or |
transport any waste
into this State for disposal, treatment, |
storage or abandonment, except at
a site or facility which |
meets the requirements of this Act and of
regulations and |
standards thereunder.
|
(f) Conduct any hazardous waste-storage, hazardous |
waste-treatment or
hazardous waste-disposal operation:
|
(1) without a RCRA permit for the site issued by the |
Agency under
subsection (d) of Section 39 of this Act, or |
in violation of any condition
imposed by such permit, |
including periodic reports and full access to
adequate |
records and the inspection of facilities, as may be |
necessary to
assure compliance with this Act and with |
regulations and standards adopted
thereunder; or
|
(2) in violation of any regulations or standards |
adopted by the Board
under this Act; or
|
(3) in violation of any RCRA permit filing requirement |
established under
standards adopted by the Board under this |
Act; or
|
(4) in violation of any order adopted by the Board |
under this Act.
|
|
Notwithstanding the above, no RCRA permit shall be required |
under this
subsection or subsection (d) of Section 39 of this |
Act for any
person engaged in agricultural activity who is |
disposing of a substance
which has been identified as a |
hazardous waste, and which has been
designated by Board |
regulations as being subject to this exception, if the
|
substance was acquired for use by that person on his own |
property and the
substance is disposed of on his own property |
in accordance with regulations
or standards adopted by the |
Board.
|
(g) Conduct any hazardous waste-transportation operation:
|
(1) without registering with and obtaining a special |
waste hauling permit from the Agency in
accordance with the |
regulations adopted by the Board under this Act; or
|
(2) in violation of any regulations or standards |
adopted by
the
Board under this Act.
|
(h) Conduct any hazardous waste-recycling or hazardous |
waste-reclamation
or hazardous waste-reuse operation in |
violation of any regulations, standards
or permit requirements |
adopted by the Board under this Act.
|
(i) Conduct any process or engage in any act which produces |
hazardous
waste in violation of any regulations or standards |
adopted by the Board
under subsections (a) and (c) of Section |
22.4 of this Act.
|
(j) Conduct any special waste transportation operation in |
violation
of any regulations, standards or permit requirements |
|
adopted by the Board
under this Act. However, sludge from a |
water or sewage treatment plant
owned and operated by a unit of |
local government which (1) is subject to a
sludge management |
plan approved by the Agency or a permit granted by the
Agency, |
and (2) has been tested and determined not to be a hazardous |
waste
as required by applicable State and federal laws and |
regulations, may be
transported in this State without a special |
waste hauling permit, and the
preparation and carrying of a |
manifest shall not be required for such
sludge under the rules |
of the Pollution Control Board. The unit of local
government |
which operates the treatment plant producing such sludge shall
|
file an annual a semiannual report with the Agency identifying |
the volume of such
sludge transported during the reporting |
period, the hauler of the sludge,
and the disposal sites to |
which it was transported. This subsection (j)
shall not apply |
to hazardous waste.
|
(k) Fail or refuse to pay any fee imposed under this Act.
|
(l) Locate a hazardous waste disposal site above an active |
or
inactive shaft or tunneled mine or within 2 miles of an |
active fault in
the earth's crust. In counties of population |
less than 225,000 no
hazardous waste disposal site shall be |
located (1) within 1 1/2 miles of
the corporate limits as |
defined on June 30, 1978, of any municipality
without the |
approval of the governing body of the municipality in an
|
official action; or (2) within 1000 feet of an existing private |
well or
the existing source of a public water supply measured |
|
from the boundary
of the actual active permitted site and |
excluding existing private wells
on the property of the permit |
applicant. The provisions of this
subsection do not apply to |
publicly-owned sewage works or the disposal
or utilization of |
sludge from publicly-owned sewage works.
|
(m) Transfer interest in any land which has been used as a
|
hazardous waste disposal site without written notification to |
the Agency
of the transfer and to the transferee of the |
conditions imposed by the Agency
upon its use under subsection |
(g) of Section 39.
|
(n) Use any land which has been used as a hazardous waste
|
disposal site except in compliance with conditions imposed by |
the Agency
under subsection (g) of Section 39.
|
(o) Conduct a sanitary landfill operation which is required |
to have a
permit under subsection (d) of this Section, in a |
manner which results in
any of the following conditions:
|
(1) refuse in standing or flowing waters;
|
(2) leachate flows entering waters of the State;
|
(3) leachate flows exiting the landfill confines (as |
determined by the
boundaries established for the landfill |
by a permit issued by the Agency);
|
(4) open burning of refuse in violation of Section 9 of |
this Act;
|
(5) uncovered refuse remaining from any previous |
operating day or at the
conclusion of any operating day, |
unless authorized by permit;
|
|
(6) failure to provide final cover within time limits |
established by
Board regulations;
|
(7) acceptance of wastes without necessary permits;
|
(8) scavenging as defined by Board regulations;
|
(9) deposition of refuse in any unpermitted portion of |
the landfill;
|
(10) acceptance of a special waste without a required |
manifest;
|
(11) failure to submit reports required by permits or |
Board regulations;
|
(12) failure to collect and contain litter from the |
site by the end of
each operating day;
|
(13) failure to submit any cost estimate for the site |
or any performance
bond or other security for the site as |
required by this Act or Board rules.
|
The prohibitions specified in this subsection (o) shall be |
enforceable by
the Agency either by administrative citation |
under Section 31.1 of this Act
or as otherwise provided by this |
Act. The specific prohibitions in this
subsection do not limit |
the power of the Board to establish regulations
or standards |
applicable to sanitary landfills.
|
(p) In violation of subdivision (a) of this Section, cause |
or allow the
open dumping of any waste in a manner which |
results in any of the following
occurrences at the dump site:
|
(1) litter;
|
(2) scavenging;
|
|
(3) open burning;
|
(4) deposition of waste in standing or flowing waters;
|
(5) proliferation of disease vectors;
|
(6) standing or flowing liquid discharge from the dump |
site;
|
(7) deposition of:
|
(i) general construction or demolition debris as |
defined in Section
3.160(a) of this Act; or
|
(ii) clean construction or demolition debris as |
defined in Section
3.160(b) of this Act.
|
The prohibitions specified in this subsection (p) shall be
|
enforceable by the Agency either by administrative citation |
under Section
31.1 of this Act or as otherwise provided by this |
Act. The specific
prohibitions in this subsection do not limit |
the power of the Board to
establish regulations or standards |
applicable to open dumping.
|
(q) Conduct a landscape waste composting operation without |
an Agency
permit, provided, however, that no permit shall be |
required for any person:
|
(1) conducting a landscape waste composting operation |
for landscape
wastes generated by such person's own |
activities which are stored, treated,
or disposed of within |
the site where such wastes are generated; or
|
(1.5) conducting a landscape waste composting |
operation that (i) has no more than 25 cubic yards of |
landscape waste, composting additives, composting |
|
material, or end-product compost on-site at any one time |
and (ii) is not engaging in commercial activity; or
|
(2) applying landscape waste or composted landscape |
waste at agronomic
rates; or
|
(2.5) operating a landscape waste composting facility |
at a site having 10 or more occupied non-farm residences |
within 1/2 mile of its boundaries, if the facility meets |
all of the following criteria: |
(A) the composting facility is operated by the |
farmer on property on which the composting material is |
utilized, and the composting facility
constitutes no |
more than 2% of the site's total acreage; |
(A-5) any composting additives that the composting |
facility accepts and uses at the facility are necessary |
to provide proper conditions for composting and do not |
exceed 10% of the total composting material at the |
facility at any one time; |
(B) the property on which the composting facility |
is located, and any associated property on which the |
compost is used, is principally and diligently devoted |
to the production of agricultural crops and is not |
owned, leased, or otherwise controlled by any waste |
hauler or generator of nonagricultural compost |
materials, and the operator of the composting facility |
is not an employee, partner, shareholder, or in any way |
connected with or controlled by any such waste hauler |
|
or generator; |
(C) all compost generated by the composting |
facility is applied at agronomic rates and used as |
mulch, fertilizer, or soil conditioner on land |
actually farmed by the person operating the composting |
facility, and the finished compost is not stored at the |
composting site for a period longer than 18 months |
prior to its application as mulch, fertilizer, or soil |
conditioner; |
(D) no fee is charged for the acceptance of |
materials to be composted at the facility; and |
(E) the owner or operator, by January 1, 2014 (or |
the January 1
following commencement of operation, |
whichever is later) and January 1 of
each year |
thereafter, registers the site with the Agency, (ii) |
reports to the Agency on the volume of composting |
material received and used at the site; (iii) certifies |
to the Agency that the site complies with the
|
requirements set forth in subparagraphs (A), (A-5), |
(B), (C), and (D) of this paragraph
(2.5); and (iv) |
certifies to the Agency that all composting material |
was placed more than 200 feet from the nearest potable |
water supply well, was placed outside the boundary of |
the 10-year floodplain or on a part of the site that is |
floodproofed, was placed at least 1/4 mile from the |
nearest residence (other than a residence located on |
|
the same property as the facility) or a lesser distance |
from the nearest residence (other than a residence |
located on the same property as the facility) if the |
municipality in which the facility is located has by |
ordinance approved a lesser distance than 1/4 mile, and |
was placed more than 5 feet above the water table; any |
ordinance approving a residential setback of less than |
1/4 mile that is used to meet the requirements of this |
subparagraph (E) of paragraph (2.5) of this subsection |
must specifically reference this paragraph; or
|
(3) operating a landscape waste composting facility on |
a farm, if the
facility meets all of the following |
criteria:
|
(A) the composting facility is operated by the |
farmer on property on
which the composting material is |
utilized, and the composting facility
constitutes no |
more than 2% of the property's total acreage, except |
that
the Board may allow a higher percentage for |
individual sites where the owner
or operator has |
demonstrated to the Board that the site's soil
|
characteristics or crop needs require a higher rate;
|
(A-1) the composting facility accepts from other |
agricultural operations for composting with landscape |
waste no materials other than uncontaminated and |
source-separated (i) crop residue and other |
agricultural plant residue generated from the |
|
production and harvesting of crops and other customary |
farm practices, including, but not limited to, stalks, |
leaves, seed pods, husks, bagasse, and roots and (ii) |
plant-derived animal bedding, such as straw or |
sawdust, that is free of manure and was not made from |
painted or treated wood; |
(A-2) any composting additives that the composting |
facility accepts and uses at the facility are necessary |
to provide proper conditions for composting and do not |
exceed 10% of the total composting material at the |
facility at any one time;
|
(B) the property on which the composting facility |
is located, and any
associated property on which the |
compost is used, is principally and
diligently devoted |
to the production of agricultural crops and
is not |
owned, leased or otherwise controlled by any waste |
hauler
or generator of nonagricultural compost |
materials, and the operator of the
composting facility |
is not an employee, partner, shareholder, or in any way
|
connected with or controlled by any such waste hauler |
or generator;
|
(C) all compost generated by the composting |
facility is applied at
agronomic rates and used as |
mulch, fertilizer or soil conditioner on land
actually |
farmed by the person operating the composting |
facility, and the
finished compost is not stored at the |
|
composting site for a period longer
than 18 months |
prior to its application as mulch, fertilizer, or soil |
conditioner;
|
(D) the owner or operator, by January 1 of
each |
year, (i) registers the site with the Agency, (ii) |
reports
to the Agency on the volume of composting |
material received and used at the
site, (iii) certifies |
to the Agency that the site complies with the
|
requirements set forth in subparagraphs (A), (A-1), |
(A-2), (B), and (C) of this paragraph
(q)(3), and (iv) |
certifies to the Agency that all composting material: |
(I) was
placed more than 200 feet from the |
nearest potable water supply well; |
(II) was
placed outside the boundary of the |
10-year floodplain or on a part of the
site that is |
floodproofed; |
(III) was placed either (aa) at least 1/4 mile |
from the nearest
residence (other than a residence |
located on the same property as the
facility) and |
there are not more than 10 occupied non-farm |
residences
within 1/2 mile of the boundaries of the |
site on the date of application or (bb) a lesser |
distance from the nearest residence (other than a |
residence located on the same property as the |
facility) provided that the municipality or county |
in which the facility is located has by ordinance |
|
approved a lesser distance than 1/4 mile and there |
are not more than 10 occupied non-farm residences
|
within 1/2 mile of the boundaries of the site on |
the date of application;
and |
(IV) was placed more than 5 feet above the |
water table. |
Any ordinance approving a residential setback of |
less than 1/4 mile that is used to meet the |
requirements of this subparagraph (D) must |
specifically reference this subparagraph.
|
For the purposes of this subsection (q), "agronomic rates" |
means the
application of not more than 20 tons per acre per |
year, except that the
Board may allow a higher rate for |
individual sites where the owner or
operator has demonstrated |
to the Board that the site's soil
characteristics or crop needs |
require a higher rate.
|
(r) Cause or allow the storage or disposal of coal |
combustion
waste unless:
|
(1) such waste is stored or disposed of at a site or
|
facility for which
a permit has been obtained or is not |
otherwise required under subsection
(d) of this Section; or
|
(2) such waste is stored or disposed of as a part of
|
the design and
reclamation of a site or facility which is |
an abandoned mine site in
accordance with the Abandoned |
Mined Lands and Water Reclamation Act; or
|
(3) such waste is stored or disposed of at a site or
|
|
facility which is
operating under NPDES and Subtitle D |
permits issued by the Agency pursuant
to regulations |
adopted by the Board for mine-related water pollution and
|
permits issued pursuant to the Federal Surface Mining |
Control and
Reclamation Act of 1977 (P.L. 95-87) or the |
rules and regulations
thereunder or any law or rule or |
regulation adopted by the State of
Illinois pursuant |
thereto, and the owner or operator of the facility agrees
|
to accept the waste; and either
|
(i) such waste is stored or disposed of in |
accordance
with requirements
applicable to refuse |
disposal under regulations adopted by the Board for
|
mine-related water pollution and pursuant to NPDES and |
Subtitle D permits
issued by the Agency under such |
regulations; or
|
(ii) the owner or operator of the facility |
demonstrates all of the
following to the Agency, and |
the facility is operated in accordance with
the |
demonstration as approved by the Agency: (1) the |
disposal area will be
covered in a manner that will |
support continuous vegetation, (2) the
facility will |
be adequately protected from wind and water erosion, |
(3) the
pH will be maintained so as to prevent |
excessive leaching of metal ions,
and (4) adequate |
containment or other measures will be provided to |
protect
surface water and groundwater from |
|
contamination at levels prohibited by
this Act, the |
Illinois Groundwater Protection Act, or regulations |
adopted
pursuant thereto.
|
Notwithstanding any other provision of this Title, the |
disposal of coal
combustion waste pursuant to item (2) or (3) |
of this
subdivision (r) shall
be exempt from the other |
provisions of this Title V, and notwithstanding
the provisions |
of Title X of this Act, the Agency is authorized to grant
|
experimental permits which include provision for the disposal |
of
wastes from the combustion of coal and other materials |
pursuant to items
(2) and (3) of this subdivision (r).
|
(s) After April 1, 1989, offer for transportation, |
transport, deliver,
receive or accept special waste for which a |
manifest is required, unless
the manifest indicates that the |
fee required under Section 22.8 of this
Act has been paid.
|
(t) Cause or allow a lateral expansion of a municipal solid |
waste landfill
unit on or after October 9, 1993, without a |
permit modification, granted by the
Agency, that authorizes the |
lateral expansion.
|
(u) Conduct any vegetable by-product treatment, storage, |
disposal or
transportation operation in violation of any |
regulation, standards or permit
requirements adopted by the |
Board under this Act. However, no permit shall be
required |
under this Title V for the land application of vegetable |
by-products
conducted pursuant to Agency permit issued under |
Title III of this Act to
the generator of the vegetable |
|
by-products. In addition, vegetable by-products
may be |
transported in this State without a special waste hauling |
permit, and
without the preparation and carrying of a manifest.
|
(v) (Blank).
|
(w) Conduct any generation, transportation, or recycling |
of construction or
demolition debris, clean or general, or |
uncontaminated soil generated during
construction, remodeling, |
repair, and demolition of utilities, structures, and
roads that |
is not commingled with any waste, without the maintenance of
|
documentation identifying the hauler, generator, place of |
origin of the debris
or soil, the weight or volume of the |
debris or soil, and the location, owner,
and operator of the |
facility where the debris or soil was transferred,
disposed, |
recycled, or treated. This documentation must be maintained by |
the
generator, transporter, or recycler for 3 years.
This |
subsection (w) shall not apply to (1) a permitted pollution |
control
facility that transfers or accepts construction or |
demolition debris,
clean or general, or uncontaminated soil for |
final disposal, recycling, or
treatment, (2) a public utility |
(as that term is defined in the Public
Utilities Act) or a |
municipal utility, (3) the Illinois Department of
|
Transportation, or (4) a municipality or a county highway |
department, with
the exception of any municipality or county |
highway department located within a
county having a population |
of over 3,000,000 inhabitants or located in a county
that
is |
contiguous to a county having a population of over 3,000,000 |
|
inhabitants;
but it shall apply to an entity that contracts |
with a public utility, a
municipal utility, the Illinois |
Department of Transportation, or a
municipality or a county |
highway department.
The terms
"generation" and "recycling" as
|
used in this subsection do not
apply to clean construction or |
demolition debris
when (i) used as fill material below grade |
outside of a setback zone
if covered by sufficient |
uncontaminated soil to support vegetation within 30
days of the |
completion of filling or if covered by a road or structure, |
(ii)
solely broken concrete without
protruding metal bars is |
used for erosion control, or (iii) milled
asphalt or crushed |
concrete is used as aggregate in construction of the
shoulder |
of a roadway. The terms "generation" and "recycling", as used |
in this
subsection, do not apply to uncontaminated soil
that is |
not commingled with any waste when (i) used as fill material |
below
grade or contoured to grade, or (ii) used at the site of |
generation.
|
(Source: P.A. 97-220, eff. 7-28-11; 98-239, eff. 8-9-13; |
98-484, eff. 8-16-13; 98-756, eff. 7-16-14.)
|
(415 ILCS 5/22.15) (from Ch. 111 1/2, par. 1022.15)
|
Sec. 22.15. Solid Waste Management Fund; fees.
|
(a) There is hereby created within the State Treasury a
|
special fund to be known as the "Solid Waste Management Fund", |
to be
constituted from the fees collected by the State pursuant |
to this Section
and from repayments of loans made from the Fund |
|
for solid waste projects.
Moneys received by the Department of |
Commerce and Economic Opportunity
in repayment of loans made |
pursuant to the Illinois Solid Waste Management
Act shall be |
deposited into the General Revenue Fund.
|
(b) The Agency shall assess and collect a
fee in the amount |
set forth herein from the owner or operator of each sanitary
|
landfill permitted or required to be permitted by the Agency to |
dispose of
solid waste if the sanitary landfill is located off |
the site where such waste
was produced and if such sanitary |
landfill is owned, controlled, and operated
by a person other |
than the generator of such waste. The Agency shall deposit
all |
fees collected into the Solid Waste Management Fund. If a site |
is
contiguous to one or more landfills owned or operated by the |
same person, the
volumes permanently disposed of by each |
landfill shall be combined for purposes
of determining the fee |
under this subsection.
|
(1) If more than 150,000 cubic yards of non-hazardous |
solid waste is
permanently disposed of at a site in a |
calendar year, the owner or operator
shall either pay a fee |
of 95 cents per cubic yard or,
alternatively, the owner or |
operator may weigh the quantity of the solid waste
|
permanently disposed of with a device for which |
certification has been obtained
under the Weights and |
Measures Act and pay a fee of $2.00 per
ton of solid waste |
permanently disposed of. In no case shall the fee collected
|
or paid by the owner or operator under this paragraph |
|
exceed $1.55 per cubic yard or $3.27 per ton.
|
(2) If more than 100,000 cubic yards but not more than |
150,000 cubic
yards of non-hazardous waste is permanently |
disposed of at a site in a calendar
year, the owner or |
operator shall pay a fee of $52,630.
|
(3) If more than 50,000 cubic yards but not more than |
100,000 cubic
yards of non-hazardous solid waste is |
permanently disposed of at a site
in a calendar year, the |
owner or operator shall pay a fee of $23,790.
|
(4) If more than 10,000 cubic yards but not more than |
50,000 cubic
yards of non-hazardous solid waste is |
permanently disposed of at a site
in a calendar year, the |
owner or operator shall pay a fee of $7,260.
|
(5) If not more than 10,000 cubic yards of |
non-hazardous solid waste is
permanently disposed of at a |
site in a calendar year, the owner or operator
shall pay a |
fee of $1050.
|
(c) (Blank).
|
(d) The Agency shall establish rules relating to the |
collection of the
fees authorized by this Section. Such rules |
shall include, but not be
limited to:
|
(1) necessary records identifying the quantities of |
solid waste received
or disposed;
|
(2) the form and submission of reports to accompany the |
payment of fees
to the Agency;
|
(3) the time and manner of payment of fees to the |
|
Agency, which payments
shall not be more often than |
quarterly; and
|
(4) procedures setting forth criteria establishing |
when an owner or
operator may measure by weight or volume |
during any given quarter or other
fee payment period.
|
(e) Pursuant to appropriation, all monies in the Solid |
Waste Management
Fund shall be used by the Agency and the |
Department of Commerce and Economic Opportunity for the |
purposes set forth in this Section and in the Illinois
Solid |
Waste Management Act, including for the costs of fee collection |
and
administration.
|
(f) The Agency is authorized to enter into such agreements |
and to
promulgate such rules as are necessary to carry out its |
duties under this
Section and the Illinois Solid Waste |
Management Act.
|
(g) On the first day of January, April, July, and October |
of each year,
beginning on July 1, 1996, the State Comptroller |
and Treasurer shall
transfer $500,000 from the Solid Waste |
Management Fund to the Hazardous Waste
Fund. Moneys transferred |
under this subsection (g) shall be used only for the
purposes |
set forth in item (1) of subsection (d) of Section 22.2.
|
(h) The Agency is authorized to provide financial |
assistance to units of
local government for the performance of |
inspecting, investigating and
enforcement activities pursuant |
to Section 4(r) at nonhazardous solid
waste disposal sites.
|
(i) The Agency is authorized to support the operations of |
|
an industrial
materials exchange service, and to conduct |
household waste collection and
disposal programs.
|
(j) A unit of local government, as defined in the Local |
Solid Waste Disposal
Act, in which a solid waste disposal |
facility is located may establish a fee,
tax, or surcharge with |
regard to the permanent disposal of solid waste.
All fees, |
taxes, and surcharges collected under this subsection shall be
|
utilized for solid waste management purposes, including |
long-term monitoring
and maintenance of landfills, planning, |
implementation, inspection, enforcement
and other activities |
consistent with the Solid Waste Management Act and the
Local |
Solid Waste Disposal Act, or for any other environment-related |
purpose,
including but not limited to an environment-related |
public works project, but
not for the construction of a new |
pollution control facility other than a
household hazardous |
waste facility. However, the total fee, tax or surcharge
|
imposed by all units of local government under this subsection |
(j) upon the
solid waste disposal facility shall not exceed:
|
(1) 60¢ per cubic yard if more than 150,000 cubic yards |
of non-hazardous
solid waste is permanently disposed of at |
the site in a calendar year, unless
the owner or operator |
weighs the quantity of the solid waste received with a
|
device for which certification has been obtained under the |
Weights and Measures
Act, in which case the fee shall not |
exceed $1.27 per ton of solid waste
permanently disposed |
of.
|
|
(2) $33,350 if more than 100,000
cubic yards, but not |
more than 150,000 cubic yards, of non-hazardous waste
is |
permanently disposed of at the site in a calendar year.
|
(3) $15,500 if more than 50,000 cubic
yards, but not |
more than 100,000 cubic yards, of non-hazardous solid waste |
is
permanently disposed of at the site in a calendar year.
|
(4) $4,650 if more than 10,000 cubic
yards, but not |
more than 50,000 cubic yards, of non-hazardous solid waste
|
is permanently disposed of at the site in a calendar year.
|
(5) $$650 if not more than 10,000 cubic
yards of |
non-hazardous solid waste is permanently disposed of at the |
site in
a calendar year.
|
The corporate authorities of the unit of local government
|
may use proceeds from the fee, tax, or surcharge to reimburse a |
highway
commissioner whose road district lies wholly or |
partially within the
corporate limits of the unit of local |
government for expenses incurred in
the removal of |
nonhazardous, nonfluid municipal waste that has been dumped
on |
public property in violation of a State law or local ordinance.
|
A county or Municipal Joint Action Agency that imposes a |
fee, tax, or
surcharge under this subsection may use the |
proceeds thereof to reimburse a
municipality that lies wholly |
or partially within its boundaries for expenses
incurred in the |
removal of nonhazardous, nonfluid municipal waste that has been
|
dumped on public property in violation of a State law or local |
ordinance.
|
|
If the fees are to be used to conduct a local sanitary |
landfill
inspection or enforcement program, the unit of local |
government must enter
into a written delegation agreement with |
the Agency pursuant to subsection
(r) of Section 4. The unit of |
local government and the Agency shall enter
into such a written |
delegation agreement within 60 days after the
establishment of |
such fees. At least annually,
the Agency shall conduct an audit |
of the expenditures made by units of local
government from the |
funds granted by the Agency to the units of local
government |
for purposes of local sanitary landfill inspection and |
enforcement
programs, to ensure that the funds have been |
expended for the prescribed
purposes under the grant.
|
The fees, taxes or surcharges collected under this |
subsection (j) shall
be placed by the unit of local government |
in a separate fund, and the
interest received on the moneys in |
the fund shall be credited to the fund. The
monies in the fund |
may be accumulated over a period of years to be
expended in |
accordance with this subsection.
|
A unit of local government, as defined in the Local Solid |
Waste Disposal
Act, shall prepare and distribute to the Agency, |
in April of each year, a
report that details spending plans for |
monies collected in accordance with
this subsection. The report |
will at a minimum include the following:
|
(1) The total monies collected pursuant to this |
subsection.
|
(2) The most current balance of monies collected |
|
pursuant to this
subsection.
|
(3) An itemized accounting of all monies expended for |
the previous year
pursuant to this subsection.
|
(4) An estimation of monies to be collected for the |
following 3
years pursuant to this subsection.
|
(5) A narrative detailing the general direction and |
scope of future
expenditures for one, 2 and 3 years.
|
The exemptions granted under Sections 22.16 and 22.16a, and |
under
subsection (k) of this Section, shall be applicable to |
any fee,
tax or surcharge imposed under this subsection (j); |
except that the fee,
tax or surcharge authorized to be imposed |
under this subsection (j) may be
made applicable by a unit of |
local government to the permanent disposal of
solid waste after |
December 31, 1986, under any contract lawfully executed
before |
June 1, 1986 under which more than 150,000 cubic yards (or |
50,000 tons)
of solid waste is to be permanently disposed of, |
even though the waste is
exempt from the fee imposed by the |
State under subsection (b) of this Section
pursuant to an |
exemption granted under Section 22.16.
|
(k) In accordance with the findings and purposes of the |
Illinois Solid
Waste Management Act, beginning January 1, 1989 |
the fee under subsection
(b) and the fee, tax or surcharge |
under subsection (j) shall not apply to:
|
(1) Waste which is hazardous waste; or
|
(2) Waste which is pollution control waste; or
|
(3) Waste from recycling, reclamation or reuse |
|
processes which have been
approved by the Agency as being |
designed to remove any contaminant from
wastes so as to |
render such wastes reusable, provided that the process
|
renders at least 50% of the waste reusable; or
|
(4) Non-hazardous solid waste that is received at a |
sanitary landfill
and composted or recycled through a |
process permitted by the Agency; or
|
(5) Any landfill which is permitted by the Agency to |
receive only
demolition or construction debris or |
landscape waste.
|
(Source: P.A. 97-333, eff. 8-12-11.)
|
(415 ILCS 5/22.28) (from Ch. 111 1/2, par. 1022.28)
|
Sec. 22.28. White goods.
|
(a) No Beginning July 1, 1994, no person shall knowingly |
offer for
collection or collect white goods for the purpose of |
disposal by
landfilling unless the white good components have |
been removed.
|
(b) No Beginning July 1, 1994, no owner or operator of a |
landfill shall
accept any white goods for final disposal, |
except that white goods may be
accepted if:
|
(1) (blank); the landfill participates in the |
Industrial Materials Exchange
Service by communicating the |
availability of white goods;
|
(2) prior to final disposal, any white good components |
have been
removed from the white goods; and
|
|
(3) if white good components are removed from the white |
goods at the
landfill, a site operating plan satisfying |
this Act has been approved under
the landfill's site |
operating permit and the conditions of the such operating |
plan are met.
|
(c) For the purposes of this Section:
|
(1) "White goods" shall include all discarded |
refrigerators, ranges,
water heaters, freezers, air |
conditioners, humidifiers and other similar
domestic and |
commercial large appliances.
|
(2) "White good components" shall include:
|
(i) any chlorofluorocarbon refrigerant gas;
|
(ii) any electrical switch containing mercury;
|
(iii) any device that contains or may contain PCBs |
in a closed system,
such as a dielectric fluid for a |
capacitor, ballast or other component;
and
|
(iv) any fluorescent lamp that contains mercury.
|
(d) The Agency is authorized to provide financial |
assistance to units of
local government from the Solid Waste |
Management Fund to plan for and
implement programs to collect, |
transport and manage white goods.
Units of local government may |
apply jointly for financial
assistance under this Section.
|
Applications for such financial assistance shall be |
submitted to the
Agency and must provide a description of:
|
(A) the area to be served by the program;
|
(B) the white goods intended to be included in the |
|
program;
|
(C) the methods intended to be used for collecting |
and receiving
materials;
|
(D) the property, buildings, equipment and |
personnel included in
the program;
|
(E) the public education systems to be used as part |
of the program;
|
(F) the safety and security systems that will be |
used;
|
(G) the intended processing methods for each white |
goods type;
|
(H) the intended destination for final material |
handling location; and
|
(I) any staging sites used to handle collected |
materials, the
activities to be performed at such sites |
and the procedures for assuring
removal of collected |
materials from such sites.
|
The application may be amended to reflect changes in |
operating
procedures, destinations for collected materials, or |
other factors.
|
Financial assistance shall be awarded for a State fiscal |
year, and
may be renewed, upon application, if the Agency |
approves the operation
of the program.
|
(e) All materials collected or received under a program |
operated with
financial assistance under this Section shall be |
recycled whenever
possible. Treatment or disposal of collected |
|
materials are not eligible
for financial assistance unless the |
applicant shows and the Agency approves
which materials may be |
treated or disposed of under various conditions.
|
Any revenue from the sale of materials collected under such |
a program
shall be retained by the unit of local government and |
may be used only for
the same purposes as the financial |
assistance under this Section.
|
(f) The Agency is authorized to adopt rules necessary or |
appropriate to
the administration of this Section.
|
(g) (Blank).
|
(Source: P.A. 91-798, eff. 7-9-00; revised 10-6-16.)
|
(415 ILCS 5/22.29) (from Ch. 111 1/2, par. 1022.29)
|
Sec. 22.29.
(a) Except as provided in subsection (c), any |
waste
material generated by processing recyclable metals by |
shredding shall be
managed as a special waste unless (1) a site |
operating plan has been
approved by the Agency and the |
conditions of such operating plan are met ;
and (2) the facility |
participates in the Industrial Materials Exchange
Service by |
communicating availability to process recyclable metals .
|
(b) An operating plan submitted to the Agency under this |
Section shall
include the following concerning recyclable |
metals processing and
components which may contaminate waste |
from shredding recyclable metals
(such as lead acid batteries, |
fuel tanks, or components that contain or may
contain PCB's in |
a closed system such as a capacitor or ballast):
|
|
(1) procedures for inspecting recyclable metals when |
received to
assure that such components are identified;
|
(2) a list of equipment and removal procedures to be |
used to assure
proper removal of such components;
|
(3) procedures for safe storage of such components |
after removal and
any waste materials;
|
(4) procedures to assure that such components and waste |
materials will
only be stored for a period long enough to |
accumulate the proper quantities
for off-site |
transportation;
|
(5) identification of how such components and waste |
materials will be
managed after removal from the site to |
assure proper handling and disposal;
|
(6) procedures for sampling and analyzing waste |
intended for disposal
or off-site handling as a waste;
|
(7) a demonstration, including analytical reports, |
that any waste
generated is not a hazardous waste and will |
not pose a present or potential
threat to human health or |
the environment.
|
(c) Any waste generated as a result of processing |
recyclable metals by
shredding which is determined to be |
hazardous waste shall be managed as
a hazardous waste.
|
(d) The Agency is authorized to adopt rules necessary or |
appropriate to
the administration of this Section.
|
(Source: P.A. 87-806; 87-895 .)
|
|
(415 ILCS 5/39.5) (from Ch. 111 1/2, par. 1039.5)
|
Sec. 39.5. Clean Air Act Permit Program.
|
1. Definitions. For purposes of this Section:
|
"Administrative permit amendment" means a permit revision |
subject to
subsection 13 of this Section.
|
"Affected source for acid deposition" means a source that |
includes one or
more affected units under Title IV of the Clean |
Air Act.
|
"Affected States" for purposes of formal distribution of a |
draft CAAPP permit
to other States for comments prior to |
issuance, means all States:
|
(1) Whose air quality may be affected by the source |
covered by the draft
permit and that are contiguous to |
Illinois; or
|
(2) That are within 50 miles of the source.
|
"Affected unit for acid deposition" shall have the meaning |
given to the term
"affected unit" in the regulations |
promulgated under Title IV of the Clean Air
Act.
|
"Applicable Clean Air Act requirement" means all of the |
following as they
apply to emissions units in a source |
(including regulations that have been
promulgated or approved |
by USEPA pursuant to the Clean Air Act which directly
impose |
requirements upon a source and other such federal requirements |
which
have been adopted by the Board. These may include |
requirements and regulations
which have future effective |
compliance dates. Requirements and regulations
will be exempt |
|
if USEPA determines that such requirements need not be |
contained
in a Title V permit):
|
(1) Any standard or other requirement provided for in |
the applicable state
implementation plan approved or |
promulgated by USEPA under Title I of the Clean
Air Act |
that implements the relevant requirements of the Clean Air |
Act,
including any revisions to the state Implementation |
Plan promulgated in 40 CFR
Part 52, Subparts A and O and |
other subparts applicable to Illinois. For
purposes of this |
paragraph (1) of this definition, "any standard or other
|
requirement" means only such standards or requirements |
directly
enforceable against an individual source under |
the Clean Air Act.
|
(2)(i) Any term or condition of any preconstruction |
permits issued
pursuant to regulations approved or |
promulgated by USEPA under Title I of the
Clean Air |
Act, including Part C or D of the Clean Air Act.
|
(ii) Any term or condition as required pursuant to |
Section 39.5 of any
federally enforceable State |
operating permit issued pursuant to regulations
|
approved or promulgated by USEPA under Title I of the |
Clean Air Act, including
Part C or D of the Clean Air |
Act.
|
(3) Any standard or other requirement under Section 111 |
of the Clean Air
Act, including Section 111(d).
|
(4) Any standard or other requirement under Section 112 |
|
of the Clean Air
Act, including any requirement concerning |
accident prevention under Section
112(r)(7) of the Clean |
Air Act.
|
(5) Any standard or other requirement of the acid rain |
program under Title
IV of the Clean Air Act or the |
regulations promulgated thereunder.
|
(6) Any requirements established pursuant to Section |
504(b) or Section
114(a)(3) of the Clean Air Act.
|
(7) Any standard or other requirement governing solid |
waste incineration,
under Section 129 of the Clean Air Act.
|
(8) Any standard or other requirement for consumer and |
commercial
products, under Section 183(e) of the Clean Air |
Act.
|
(9) Any standard or other requirement for tank vessels, |
under Section
183(f) of the Clean Air Act.
|
(10) Any standard or other requirement of the program |
to control air
pollution from Outer Continental Shelf |
sources, under Section 328 of the Clean
Air Act.
|
(11) Any standard or other requirement of the |
regulations promulgated to
protect stratospheric ozone |
under Title VI of the Clean Air Act, unless USEPA
has |
determined that such requirements need not be contained in |
a Title V
permit.
|
(12) Any national ambient air quality standard or |
increment or visibility
requirement under Part C of Title I |
of the Clean Air Act, but only as it would
apply to |
|
temporary sources permitted pursuant to Section 504(e) of |
the Clean
Air Act.
|
"Applicable requirement" means all applicable Clean Air |
Act requirements and
any other standard, limitation, or other |
requirement contained in this Act or
regulations promulgated |
under this Act as applicable to sources of air
contaminants |
(including requirements that have future effective compliance
|
dates).
|
"CAAPP" means the Clean Air Act Permit Program, developed |
pursuant to Title V
of the Clean Air Act.
|
"CAAPP application" means an application for a CAAPP |
permit.
|
"CAAPP Permit" or "permit" (unless the context suggests |
otherwise) means any
permit issued, renewed, amended, modified |
or revised pursuant to Title V of the
Clean Air Act.
|
"CAAPP source" means any source for which the owner or |
operator is required
to obtain a CAAPP permit pursuant to |
subsection 2 of this Section.
|
"Clean Air Act" means the Clean Air Act, as now and |
hereafter amended, 42
U.S.C. 7401, et seq.
|
"Designated representative" has the meaning given to it in |
Section
402(26) of the Clean Air Act and the regulations |
promulgated thereunder, which state
that the term "designated |
representative" means a responsible
person or official |
authorized by the owner or operator of a unit to represent
the |
owner or operator in all matters pertaining to the holding, |
|
transfer, or
disposition of allowances allocated to a unit, and |
the submission of and
compliance with permits, permit |
applications, and compliance plans for the
unit.
|
"Draft CAAPP permit" means the version of a CAAPP permit |
for which public
notice and an opportunity for public comment |
and hearing is offered by the
Agency.
|
"Effective date of the CAAPP" means the date that USEPA |
approves Illinois'
CAAPP.
|
"Emission unit" means any part or activity of a stationary |
source that emits
or has the potential to emit any air |
pollutant. This term is not meant to
alter or affect the |
definition of the term "unit" for purposes of Title IV of
the |
Clean Air Act.
|
"Federally enforceable" means enforceable by USEPA.
|
"Final permit action" means the Agency's granting with |
conditions, refusal to
grant, renewal of, or revision of a |
CAAPP permit, the Agency's determination of
incompleteness of a |
submitted CAAPP application, or the Agency's failure to act
on |
an application for a permit, permit renewal, or permit revision |
within the
time specified in subsection 13, subsection 14, or |
paragraph (j) of subsection 5 of this
Section.
|
"General permit" means a permit issued to cover numerous |
similar sources in
accordance with subsection 11 of this |
Section.
|
"Major source" means a source for which emissions of one or |
more air
pollutants meet the criteria for major status pursuant |
|
to paragraph (c) of subsection 2 of
this Section.
|
"Maximum achievable control technology" or "MACT" means |
the maximum degree of
reductions in emissions deemed achievable |
under Section 112 of the Clean
Air Act.
|
"Owner or operator" means any person who owns, leases, |
operates, controls, or
supervises a stationary source.
|
"Permit modification" means a revision to a CAAPP permit |
that cannot be
accomplished under the provisions for |
administrative permit amendments under
subsection 13 of this
|
Section.
|
"Permit revision" means a permit modification or |
administrative permit
amendment.
|
"Phase II" means the period of the national acid rain |
program,
established under Title IV of the Clean Air Act, |
beginning January 1,
2000, and continuing thereafter.
|
"Phase II acid rain permit" means the portion of a CAAPP |
permit issued,
renewed, modified, or revised by the Agency |
during Phase II for an affected
source for acid deposition.
|
"Potential to emit" means the maximum capacity of a |
stationary source to emit
any air pollutant under its physical |
and operational design. Any physical or
operational limitation |
on the capacity of a source to emit an air pollutant,
including |
air pollution control equipment and restrictions on hours of
|
operation or on the type or amount of material combusted, |
stored, or processed,
shall be treated as part of its design if |
the limitation is enforceable by
USEPA. This definition does |
|
not alter or affect the use of this term for any
other purposes |
under the Clean Air Act, or the term "capacity factor" as used
|
in Title IV of the Clean Air Act or the regulations promulgated |
thereunder.
|
"Preconstruction Permit" or "Construction Permit" means a |
permit which is to
be obtained prior to commencing or beginning |
actual construction or
modification of a source or emissions |
unit.
|
"Proposed CAAPP permit" means the version of a CAAPP permit |
that the Agency
proposes to issue and forwards to USEPA for |
review in compliance with
applicable requirements of the Act |
and regulations promulgated thereunder.
|
"Regulated air pollutant" means the following:
|
(1) Nitrogen oxides (NOx) or any volatile organic |
compound.
|
(2) Any pollutant for which a national ambient air |
quality standard has
been promulgated.
|
(3) Any pollutant that is subject to any standard |
promulgated under
Section 111 of the Clean Air Act.
|
(4) Any Class I or II substance subject to a standard |
promulgated
under or established by Title VI of the Clean |
Air Act.
|
(5) Any pollutant subject to a standard promulgated |
under Section 112 or
other requirements established under |
Section 112 of the Clean Air Act,
including Sections |
112(g), (j) and (r).
|
|
(i) Any pollutant subject to requirements under |
Section 112(j) of the
Clean Air Act. Any pollutant |
listed under Section 112(b) for which the subject
|
source would be major shall be considered to be |
regulated 18 months after the
date on which USEPA was |
required to promulgate an applicable standard pursuant
|
to Section 112(e) of the Clean Air Act, if USEPA fails |
to promulgate such
standard.
|
(ii) Any pollutant for which the requirements of |
Section 112(g)(2) of
the Clean Air Act have been met, |
but only with respect to the individual source
subject |
to Section 112(g)(2) requirement.
|
(6) Greenhouse gases. |
"Renewal" means the process by which a permit is reissued |
at the end of its
term.
|
"Responsible official" means one of the following:
|
(1) For a corporation: a president, secretary, |
treasurer, or
vice-president of the corporation in charge |
of a principal business function,
or any other person who |
performs similar policy or decision-making functions
for |
the corporation, or a duly authorized representative of |
such person if the
representative is responsible for the |
overall operation of one or more
manufacturing, |
production, or operating facilities applying for or |
subject to a
permit and either (i) the facilities employ |
more than 250 persons or have gross
annual sales or |
|
expenditures exceeding $25 million (in second quarter 1980
|
dollars), or (ii) the delegation of authority to such |
representative is
approved in advance by the Agency.
|
(2) For a partnership or sole proprietorship: a general |
partner or the
proprietor, respectively, or in the case of |
a partnership in which all of the
partners are |
corporations, a duly authorized representative of the |
partnership
if the representative is responsible for the |
overall operation of one or more
manufacturing, |
production, or operating facilities applying for or |
subject to a
permit and either (i) the facilities employ |
more than 250 persons or have gross
annual sales or |
expenditures exceeding $25 million (in second quarter 1980
|
dollars), or (ii) the delegation of authority to such |
representative is
approved in advance by the Agency.
|
(3) For a municipality, State, Federal, or other public |
agency: either a
principal executive officer or ranking |
elected official. For the purposes of
this part, a |
principal executive officer of a Federal agency includes |
the chief
executive officer having responsibility for the |
overall operations of a
principal geographic unit of the |
agency (e.g., a
Regional Administrator of USEPA).
|
(4) For affected sources for acid deposition:
|
(i) The designated representative shall be the |
"responsible official" in
so far as actions, |
standards, requirements, or prohibitions under Title |
|
IV of
the Clean Air Act or the regulations promulgated |
thereunder are concerned.
|
(ii) The designated representative may also be the |
"responsible
official" for any other purposes with |
respect to air pollution control.
|
"Section 502(b)(10) changes" means changes that contravene |
express permit
terms. "Section 502(b)(10) changes" do not |
include changes that would violate
applicable
requirements or |
contravene federally enforceable permit terms or conditions
|
that are monitoring (including test methods), recordkeeping, |
reporting, or
compliance certification requirements.
|
"Solid waste incineration unit" means a distinct operating |
unit of any
facility which combusts any solid waste material |
from commercial or industrial
establishments or the general |
public (including single and multiple residences,
hotels, and |
motels). The term does not include incinerators or other units
|
required to have a permit under Section 3005 of the Solid Waste |
Disposal Act.
The term also does not include (A) materials |
recovery facilities (including
primary or secondary smelters) |
which combust waste for the primary purpose of
recovering |
metals, (B) qualifying small power production facilities, as |
defined
in Section 3(17)(C) of the Federal Power Act (16 U.S.C. |
769(17)(C)), or
qualifying cogeneration facilities, as defined |
in Section 3(18)(B) of the
Federal Power Act (16 U.S.C. |
796(18)(B)), which burn homogeneous waste (such as
units which |
burn tires or used oil, but not including refuse-derived fuel) |
|
for
the production of electric energy or in the case of |
qualifying cogeneration
facilities which burn homogeneous |
waste for the production of electric energy
and steam or forms |
of useful energy (such as heat) which are used for
industrial, |
commercial, heating or cooling purposes, or (C) air curtain
|
incinerators provided that such incinerators only burn wood |
wastes, yard waste
and clean lumber and that such air curtain |
incinerators comply with opacity
limitations to be established |
by the USEPA by rule.
|
"Source" means any stationary source (or any group of |
stationary sources)
that
is located on one or more contiguous |
or adjacent properties
that are under
common control of the |
same person (or persons under common control) and
that
belongs |
to
a single major industrial grouping. For the purposes of |
defining "source," a
stationary source or group of stationary |
sources shall be considered part of a
single major industrial |
grouping if all of the pollutant emitting
activities at such
|
source or group of sources located on contiguous or adjacent |
properties
and under common control belong to the
same Major |
Group (i.e., all have the same two-digit code) as described in |
the
Standard Industrial Classification Manual, 1987, or such |
pollutant emitting
activities at a stationary source (or group |
of stationary sources) located on
contiguous or adjacent |
properties and under common control constitute a
support
|
facility. The determination as to whether any group of |
stationary sources is
located on contiguous or adjacent |
|
properties, and/or is under common control,
and/or
whether the |
pollutant emitting activities at such group of stationary |
sources
constitute a support facility shall be made on a case |
by case basis.
|
"Stationary source" means any building, structure, |
facility, or installation
that emits or may emit any regulated |
air pollutant or any pollutant listed
under Section 112(b) of |
the Clean Air Act, except those emissions resulting directly |
from an internal combustion engine for transportation purposes |
or from a nonroad engine or nonroad vehicle as defined in |
Section 216 of the Clean Air Act.
|
"Subject to regulation" has the meaning given to it in 40 |
CFR 70.2, as now or hereafter amended. |
"Support facility" means any stationary source (or group of |
stationary
sources) that conveys, stores, or otherwise assists |
to a significant extent in
the production of a principal |
product at another stationary source (or group of
stationary |
sources). A support facility shall be considered to be part of |
the
same source as the stationary source (or group of |
stationary sources) that it
supports regardless of the 2-digit |
Standard Industrial Classification code for
the support |
facility.
|
"USEPA" means the Administrator of the United States |
Environmental Protection
Agency (USEPA) or a person designated |
by the Administrator.
|
|
1.1. Exclusion From the CAAPP.
|
a. An owner or operator of a source which determines |
that the source could
be excluded from the CAAPP may seek |
such exclusion prior to the date that the
CAAPP application |
for the source is due but in no case later than 9 months
|
after the effective date of the CAAPP through the |
imposition of federally
enforceable conditions limiting |
the "potential to emit" of the source to a
level below the |
major source threshold for that source as described in
|
paragraph (c) of subsection 2 of this Section, within a |
State operating permit issued pursuant
to subsection (a) of |
Section 39 of this Act. After such date, an exclusion from |
the CAAPP may
be sought under paragraph (c) of subsection 3 |
of this Section.
|
b. An owner or operator of a source seeking exclusion |
from the CAAPP
pursuant to paragraph (a) of this subsection |
must submit a permit application
consistent with the |
existing State permit program which specifically requests
|
such exclusion through the imposition of such federally |
enforceable conditions.
|
c. Upon such request, if the Agency determines that the |
owner or operator
of a source has met the requirements for |
exclusion pursuant to paragraph (a) of
this subsection and |
other applicable requirements for permit issuance under |
subsection (a) of
Section 39 of this Act, the Agency shall |
issue a State operating permit for
such source under |
|
subsection (a) of Section 39 of this Act, as amended, and |
regulations
promulgated thereunder with federally |
enforceable conditions limiting the
"potential to emit" of |
the source to a level below the major source threshold
for |
that source as described in paragraph (c) of subsection 2 |
of this Section.
|
d. The Agency shall provide an owner or operator of a |
source which may be
excluded from the CAAPP pursuant to |
this subsection with reasonable notice that
the owner or |
operator may seek such exclusion.
|
e. The Agency shall provide such sources with the |
necessary permit
application forms.
|
2. Applicability.
|
a. Sources subject to this Section shall include:
|
i. Any major source as defined in paragraph (c) of |
this subsection.
|
ii. Any source subject to a standard or other |
requirements promulgated
under Section 111 (New Source |
Performance Standards) or Section 112 (Hazardous
Air |
Pollutants) of the Clean Air Act, except that a source |
is not required to
obtain a permit solely because it is |
subject to regulations or requirements
under Section |
112(r) of the Clean Air Act.
|
iii. Any affected source for acid deposition, as |
defined in subsection 1
of this Section.
|
|
iv. Any other source subject to this Section under |
the Clean Air Act or
regulations promulgated |
thereunder, or applicable Board regulations.
|
b. Sources exempted from this Section shall include:
|
i. All sources listed in paragraph (a) of this |
subsection that are not
major sources, affected |
sources for acid deposition or solid waste |
incineration
units required to obtain a permit |
pursuant to Section 129(e) of the Clean Air
Act, until |
the source is required to obtain a CAAPP permit |
pursuant to the
Clean Air Act or regulations |
promulgated thereunder.
|
ii. Nonmajor sources subject to a standard or other |
requirements
subsequently promulgated by USEPA under |
Section 111 or 112 of the Clean Air Act that
are |
determined by USEPA to be exempt at the time a new |
standard is
promulgated.
|
iii. All sources and source categories that would |
be required to obtain
a permit solely because they are |
subject to Part 60, Subpart AAA - Standards of
|
Performance for New Residential Wood Heaters (40 CFR |
Part 60).
|
iv. All sources and source categories that would be |
required to obtain a
permit solely because they are |
subject to Part 61, Subpart M - National
Emission |
Standard for Hazardous Air Pollutants for Asbestos, |
|
Section 61.145 (40
CFR Part 61).
|
v. Any other source categories exempted by USEPA |
regulations pursuant to
Section 502(a) of the Clean Air |
Act.
|
vi. Major sources of greenhouse gas emissions |
required to obtain a CAAPP permit under this Section if |
any of the following occurs:
|
(A) enactment of federal legislation depriving |
the Administrator of the USEPA of authority to |
regulate greenhouse gases under the Clean Air Act; |
(B) the issuance of any opinion, ruling, |
judgment, order, or decree by a federal court |
depriving the Administrator of the USEPA of |
authority to regulate greenhouse gases under the |
Clean Air Act; or |
(C) action by the President of the United |
States or the President's authorized agent, |
including the Administrator of the USEPA, to |
repeal or withdraw the Greenhouse Gas Tailoring |
Rule (75 Fed. Reg. 31514, June 3, 2010). |
If any event listed in this subparagraph (vi) |
occurs, CAAPP permits issued after such event shall not |
impose permit terms or conditions addressing |
greenhouse gases during the effectiveness of any event |
listed in subparagraph (vi). If any event listed in |
this subparagraph (vi) occurs, any owner or operator |
|
with a CAAPP permit that includes terms or conditions |
addressing greenhouse gases may elect to submit an |
application to the Agency to address a revision or |
repeal of such terms or conditions. If any owner or |
operator submits such an application, the Agency shall |
expeditiously process the permit application in |
accordance with applicable laws and regulations. |
Nothing in this subparagraph (vi) shall relieve an |
owner or operator of a source from the requirement to |
obtain a CAAPP permit for its emissions of regulated |
air pollutants other than greenhouse gases, as |
required by this Section. |
c. For purposes of this Section the term "major source" |
means any source
that is:
|
i. A major source under Section 112 of the Clean |
Air Act, which is
defined as:
|
A. For pollutants other than radionuclides, |
any stationary source
or group of stationary |
sources located within a contiguous area and under
|
common control that emits or has the potential to |
emit, in the aggregate, 10
tons per year (tpy) or |
more of any hazardous air pollutant which has been
|
listed pursuant to Section 112(b) of the Clean Air |
Act, 25 tpy or more of any
combination of such |
hazardous air pollutants, or such lesser quantity |
as USEPA
may establish by rule. Notwithstanding |
|
the preceding sentence, emissions from
any oil or |
gas exploration or production well (with its |
associated equipment)
and emissions from any |
pipeline compressor or pump station shall not be
|
aggregated with emissions from other similar |
units, whether or not such units
are in a |
contiguous area or under common control, to |
determine whether such
stations are major sources.
|
B. For radionuclides, "major source" shall |
have the meaning specified
by the USEPA by rule.
|
ii. A major stationary source of air pollutants, as |
defined in Section
302 of the Clean Air Act, that |
directly emits or has the potential to emit, 100
tpy or |
more of any air pollutant subject to regulation |
(including any major source of fugitive
emissions of |
any such pollutant, as determined by rule by USEPA). |
For purposes
of this subsection, "fugitive emissions" |
means those emissions which could not
reasonably pass |
through a stack, chimney, vent, or other
|
functionally-equivalent opening. The fugitive |
emissions of a stationary source
shall not be |
considered in determining whether it is a major |
stationary source
for the purposes of Section 302(j) of |
the Clean Air Act, unless the source
belongs to one of |
the following categories of stationary source:
|
A. Coal cleaning plants (with thermal dryers).
|
|
B. Kraft pulp mills.
|
C. Portland cement plants.
|
D. Primary zinc smelters.
|
E. Iron and steel mills.
|
F. Primary aluminum ore reduction plants.
|
G. Primary copper smelters.
|
H. Municipal incinerators capable of charging |
more than 250 tons of
refuse per day.
|
I. Hydrofluoric, sulfuric, or nitric acid |
plants.
|
J. Petroleum refineries.
|
K. Lime plants.
|
L. Phosphate rock processing plants.
|
M. Coke oven batteries.
|
N. Sulfur recovery plants.
|
O. Carbon black plants (furnace
process).
|
P. Primary lead smelters.
|
Q. Fuel conversion plants.
|
R. Sintering plants.
|
S. Secondary metal production plants.
|
T. Chemical process plants.
|
U. Fossil-fuel boilers (or combination |
thereof) totaling more than 250
million British |
thermal units per hour heat input.
|
V. Petroleum storage and transfer units with a |
total storage capacity
exceeding 300,000 barrels.
|
|
W. Taconite ore processing plants.
|
X. Glass fiber processing plants.
|
Y. Charcoal production plants.
|
Z. Fossil fuel-fired steam electric plants of |
more than 250 million
British thermal units per |
hour heat input.
|
AA. All other stationary source categories, |
which as of August 7, 1980 are being regulated by a |
standard
promulgated under Section 111 or 112 of |
the Clean Air Act.
|
BB. Any other stationary source category |
designated by USEPA by rule.
|
iii. A major stationary source as defined in part D |
of Title I of the
Clean Air Act including:
|
A. For ozone nonattainment areas, sources with |
the potential to emit
100 tons or more per year of |
volatile organic compounds or oxides of nitrogen
|
in areas classified as "marginal" or "moderate", |
50 tons or more per year in
areas classified as |
"serious", 25 tons or more per year in areas |
classified as
"severe", and 10 tons or more per |
year in areas classified as "extreme"; except
that |
the references in this clause to 100, 50, 25, and |
10 tons per year of
nitrogen oxides shall not apply |
with respect to any source for which USEPA has
made |
a finding, under Section 182(f)(1) or (2) of the |
|
Clean Air Act, that
requirements otherwise |
applicable to such source under Section 182(f) of |
the
Clean Air Act do not apply. Such sources shall |
remain subject to the major
source criteria of |
subparagraph (ii) of paragraph (c) of this |
subsection.
|
B. For ozone transport regions established |
pursuant to Section 184 of
the Clean Air Act, |
sources with the potential to emit 50 tons or more |
per year
of volatile organic compounds (VOCs).
|
C. For carbon monoxide nonattainment areas (1) |
that are classified as
"serious", and (2) in which |
stationary sources contribute significantly to
|
carbon monoxide levels as determined under rules |
issued by USEPA, sources with
the potential to emit |
50 tons or more per year of carbon monoxide.
|
D. For particulate matter (PM-10) |
nonattainment areas classified as
"serious", |
sources with the potential to emit 70 tons or more |
per year of
PM-10.
|
3. Agency Authority To Issue CAAPP Permits and Federally |
Enforceable State
Operating Permits.
|
a. The Agency shall issue CAAPP permits under this |
Section consistent with
the Clean Air Act and regulations |
promulgated thereunder and this Act and
regulations |
|
promulgated thereunder.
|
b. The Agency shall issue CAAPP permits for fixed terms |
of 5 years, except
CAAPP permits issued for solid waste |
incineration units combusting municipal
waste which shall |
be issued for fixed terms of 12 years and except CAAPP
|
permits for affected sources for acid deposition which |
shall be issued for
initial terms to expire on December 31, |
1999, and for fixed terms of 5 years
thereafter.
|
c. The Agency shall have the authority to issue a State |
operating permit
for a source under subsection (a) of |
Section 39 of this Act, as amended, and regulations
|
promulgated thereunder, which includes federally |
enforceable conditions
limiting the "potential to emit" of |
the source to a level below the major
source threshold for |
that source as described in paragraph (c) of subsection 2 |
of this
Section, thereby excluding the source from the |
CAAPP, when requested by the
applicant pursuant to |
paragraph (u) of subsection 5 of this Section. The public |
notice
requirements of this Section applicable to CAAPP |
permits shall also apply to
the initial issuance of permits |
under this paragraph.
|
d. For purposes of this Act, a permit issued by USEPA |
under Section 505 of
the Clean Air Act, as now and |
hereafter amended, shall be deemed to be a
permit issued by |
the Agency pursuant to Section 39.5 of this Act.
|
|
4. Transition.
|
a. An owner or operator of a CAAPP source shall not be |
required to renew
an existing State operating permit for |
any emission unit at such CAAPP source
once a CAAPP |
application timely submitted prior to expiration of the |
State
operating permit has been deemed complete. For |
purposes other than permit
renewal, the obligation upon the |
owner or operator of a CAAPP source to obtain
a State |
operating permit is not removed upon submittal of the |
complete CAAPP
permit application. An owner or operator of |
a CAAPP source seeking to make a
modification to a source |
prior to the issuance of its CAAPP permit shall be
required |
to obtain a construction permit, operating permit, or both |
as required for such
modification in accordance with the |
State permit program under subsection (a) of Section 39 of
|
this Act, as amended, and regulations promulgated |
thereunder. The application
for such construction permit, |
operating permit, or both shall be considered an amendment
|
to the CAAPP application submitted for such source.
|
b. An owner or operator of a CAAPP source shall |
continue to operate in
accordance with the terms and |
conditions of its applicable State operating
permit |
notwithstanding the expiration of the State operating |
permit until the
source's CAAPP permit has been issued.
|
c. An owner or operator of a CAAPP source shall submit |
its initial CAAPP
application to the Agency no later than |
|
12 months after the effective date of
the CAAPP. The Agency |
may request submittal of initial CAAPP applications
during |
this 12-month period according to a schedule set forth |
within Agency
procedures, however, in no event shall the |
Agency require such submittal
earlier than 3 months after |
such effective date of the CAAPP. An owner or
operator may |
voluntarily submit its initial CAAPP application prior to |
the date
required within this paragraph or applicable |
procedures, if any, subsequent to
the date the Agency |
submits the CAAPP to USEPA for approval.
|
d. The Agency shall act on initial CAAPP applications |
in accordance with paragraph (j) of
subsection 5 of this |
Section.
|
e. For purposes of this Section, the term "initial |
CAAPP application"
shall mean the first CAAPP application |
submitted for a source existing as of
the effective date of |
the CAAPP.
|
f. The Agency shall provide owners or operators of |
CAAPP sources with at
least 3 months advance notice of the |
date on which their applications are
required to be |
submitted. In determining which sources shall be subject to
|
early submittal, the Agency shall include among its |
considerations the
complexity of the permit application, |
and the burden that such early submittal
will have on the |
source.
|
g. The CAAPP permit shall upon becoming effective |
|
supersede the State
operating permit.
|
h. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
5. Applications and Completeness.
|
a. An owner or operator of a CAAPP source shall submit |
its complete CAAPP
application consistent with the Act and |
applicable regulations.
|
b. An owner or operator of a CAAPP source shall submit |
a single complete
CAAPP application covering all emission |
units at that source.
|
c. To be deemed complete, a CAAPP application must |
provide all
information, as requested in Agency |
application forms, sufficient to evaluate
the subject |
source and its application and to determine all applicable
|
requirements, pursuant to the Clean Air Act, and |
regulations thereunder, this
Act and regulations |
thereunder. Such Agency application forms shall be
|
finalized and made available prior to the date on which any |
CAAPP application
is required.
|
d. An owner or operator of a CAAPP source shall submit, |
as part of its
complete CAAPP application, a compliance |
plan, including a schedule of
compliance, describing how |
each emission unit will comply with all applicable
|
|
requirements. Any such schedule of compliance shall be |
supplemental to, and
shall not sanction noncompliance |
with, the applicable requirements on which it
is based.
|
e. Each submitted CAAPP application shall be certified |
for truth,
accuracy, and completeness by a responsible |
official in accordance with
applicable regulations.
|
f. The Agency shall provide notice to a CAAPP applicant |
as to whether a
submitted CAAPP application is complete. |
Unless the Agency notifies the
applicant of |
incompleteness, within 60 days after receipt of the CAAPP
|
application, the application shall be deemed complete. The |
Agency may request
additional information as needed to make |
the completeness determination. The
Agency may to the |
extent practicable provide the applicant with a reasonable
|
opportunity to correct deficiencies prior to a final |
determination of
completeness.
|
g. If after the determination of completeness the |
Agency finds that
additional information is necessary to |
evaluate or take final action on the
CAAPP application, the |
Agency may request in writing such information from the
|
source with a reasonable deadline for response.
|
h. If the owner or operator of a CAAPP source submits a |
timely and
complete CAAPP application, the source's |
failure to have a CAAPP permit shall
not be a violation of |
this Section until the Agency takes final action on the
|
submitted CAAPP application, provided, however, where the |
|
applicant fails to
submit the requested information under |
paragraph (g) of this subsection 5 within the time frame
|
specified by the Agency, this protection shall cease to |
apply.
|
i. Any applicant who fails to submit any relevant facts |
necessary to
evaluate the subject source and its CAAPP |
application or who has submitted
incorrect information in a |
CAAPP application shall, upon becoming aware of such
|
failure or incorrect submittal, submit supplementary facts |
or correct
information to the Agency. In addition, an |
applicant shall provide to the
Agency additional |
information as necessary to address any requirements which
|
become applicable to the source subsequent to the date the |
applicant submitted
its complete CAAPP application but |
prior to release of the draft CAAPP permit.
|
j. The Agency shall issue or deny the CAAPP permit |
within 18 months after
the date of receipt of the complete |
CAAPP application, with the following
exceptions: (i) |
permits for affected sources for acid deposition shall be
|
issued or denied within 6 months after receipt of a |
complete application in
accordance with subsection 17 of |
this Section; (ii) the Agency shall act on
initial CAAPP |
applications within 24 months after the date of receipt of |
the
complete CAAPP application; (iii) the Agency shall act |
on complete applications
containing early reduction |
demonstrations under Section 112(i)(5) of the Clean
Air Act |
|
within 9 months of receipt of the complete CAAPP |
application.
|
Where the Agency does not take final action on the |
permit within the
required time period, the permit shall |
not be deemed issued; rather, the
failure to act shall be |
treated as a final permit action for purposes of
judicial |
review pursuant to Sections 40.2 and 41 of this Act.
|
k. The submittal of a complete CAAPP application shall |
not affect the
requirement that any source have a |
preconstruction permit under Title I of the
Clean Air Act.
|
l. Unless a timely and complete renewal application has |
been submitted
consistent with this subsection, a CAAPP |
source operating upon the expiration
of its CAAPP permit |
shall be deemed to be operating without a CAAPP permit.
|
Such operation is prohibited under this Act.
|
m. Permits being renewed shall be subject to the same |
procedural
requirements, including those for public |
participation and federal review and
objection, that apply |
to original permit issuance.
|
n. For purposes of permit renewal, a timely application |
is one that is
submitted no less than 9 months prior to the |
date of permit expiration.
|
o. The terms and conditions of a CAAPP permit shall |
remain in effect until
the issuance of a CAAPP renewal |
permit provided a timely and complete CAAPP
application has |
been submitted.
|
|
p. The owner or operator of a CAAPP source seeking a |
permit shield
pursuant to paragraph (j) of subsection 7 of |
this Section shall request such permit shield in
the CAAPP |
application regarding that source.
|
q. The Agency shall make available to the public all |
documents submitted
by the applicant to the Agency, |
including each CAAPP application, compliance
plan |
(including the schedule of compliance), and emissions or |
compliance
monitoring report, with the exception of |
information entitled to confidential
treatment pursuant to |
Section 7 of this Act.
|
r. The Agency shall use the standardized forms required |
under Title IV of
the Clean Air Act and regulations |
promulgated thereunder for affected sources
for acid |
deposition.
|
s. An owner or operator of a CAAPP source may include |
within its CAAPP
application a request for permission to |
operate during a startup, malfunction,
or breakdown |
consistent with applicable Board regulations.
|
t. An owner or operator of a CAAPP source, in
order to |
utilize the operational flexibility provided under
|
paragraph (l) of subsection 7 of this Section, must request |
such use and
provide the necessary information within its |
CAAPP application.
|
u. An owner or operator of a CAAPP source which seeks |
exclusion from the
CAAPP through the imposition of |
|
federally enforceable conditions, pursuant to
paragraph |
(c) of subsection 3 of this Section, must request such |
exclusion within a CAAPP
application submitted consistent |
with this subsection on or after the date that
the CAAPP |
application for the source is due. Prior to such date, but |
in no case
later than 9 months after the effective date of |
the CAAPP, such owner or
operator may request the |
imposition of federally enforceable conditions
pursuant to |
paragraph (b) of subsection 1.1 of this Section.
|
v. CAAPP applications shall contain accurate |
information on allowable
emissions to implement the fee |
provisions of subsection 18 of this Section.
|
w. An owner or operator of a CAAPP source shall submit |
within its CAAPP
application emissions information |
regarding all regulated air pollutants
emitted at that |
source consistent with applicable Agency procedures. |
Emissions
information regarding insignificant activities |
or emission levels, as
determined by the Agency pursuant to |
Board regulations,
may be submitted as a list within the |
CAAPP application.
The Agency shall propose regulations to |
the Board defining insignificant
activities or emission |
levels, consistent with federal regulations, if any,
no |
later than 18 months after the effective date of this |
amendatory Act of
1992, consistent with Section 112(n)(1) |
of the Clean Air Act. The
Board shall adopt final |
regulations defining insignificant activities or
emission |
|
levels no later than 9 months after the date of the |
Agency's proposal.
|
x. The owner or operator of a new CAAPP source shall |
submit its complete
CAAPP application consistent with this |
subsection within 12 months after
commencing operation of |
such source.
The owner or operator of an existing source |
that has been excluded from the
provisions of this Section |
under subsection 1.1 or paragraph (c) of subsection 3 of
|
this Section and that becomes subject to the CAAPP solely |
due to a change in
operation at the source shall submit its |
complete CAAPP application consistent
with this subsection |
at least 180 days before commencing operation in
accordance |
with the change in operation.
|
y. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary to implement this subsection.
|
6. Prohibitions.
|
a. It shall be unlawful for any person to violate any |
terms or conditions
of a permit issued under this Section, |
to operate any CAAPP source except in
compliance with a |
permit issued by the Agency under this Section or to |
violate
any other applicable requirements. All terms and |
conditions of a permit issued
under this Section are |
enforceable by USEPA and citizens under the Clean Air
Act, |
|
except those, if any, that are specifically designated as |
not being
federally enforceable in the permit pursuant to |
paragraph (m) of subsection 7 of this Section.
|
b. After the applicable CAAPP permit or renewal |
application submittal
date, as specified in subsection 5 of |
this Section, no person shall operate a
CAAPP source |
without a CAAPP permit unless the complete CAAPP permit or |
renewal
application for such source has been timely |
submitted to the Agency.
|
c. No owner or operator of a CAAPP source shall cause |
or threaten or allow
the continued operation of an emission |
source during malfunction or breakdown
of the emission |
source or related air pollution control equipment if such
|
operation would cause a violation of the standards or |
limitations applicable to
the source, unless the CAAPP |
permit granted to the source provides for such
operation |
consistent with this Act and applicable Board regulations.
|
7. Permit Content.
|
a. All CAAPP permits shall contain emission |
limitations and standards and
other enforceable terms and |
conditions, including but not limited to
operational |
requirements, and schedules for achieving compliance at |
the
earliest reasonable date, which are or will be required |
to accomplish the
purposes and provisions of this Act and |
to assure compliance with all
applicable requirements.
|
|
b. The Agency shall include among such conditions |
applicable monitoring,
reporting, record keeping and |
compliance certification requirements, as
authorized by |
paragraphs (d), (e), and (f) of this subsection, that the |
Agency deems
necessary to assure compliance with the Clean |
Air Act, the regulations
promulgated thereunder, this Act, |
and applicable Board regulations. When
monitoring, |
reporting, record keeping, and compliance certification
|
requirements are specified within the Clean Air Act, |
regulations promulgated
thereunder, this Act, or |
applicable regulations, such requirements shall be
|
included within the CAAPP permit. The Board shall have |
authority to promulgate
additional regulations where |
necessary to accomplish the purposes of the Clean
Air Act, |
this Act, and regulations promulgated thereunder.
|
c. The Agency shall assure, within such conditions, the |
use of terms, test
methods, units, averaging periods, and |
other statistical conventions consistent
with the |
applicable emission limitations, standards, and other |
requirements
contained in the permit.
|
d. To meet the requirements of this subsection with |
respect to monitoring,
the permit shall:
|
i. Incorporate and identify all applicable |
emissions monitoring and
analysis procedures or test |
methods required under the Clean Air Act,
regulations |
promulgated thereunder, this Act, and applicable Board |
|
regulations,
including any procedures and methods |
promulgated by USEPA pursuant to Section
504(b) or |
Section 114 (a)(3) of the Clean Air Act.
|
ii. Where the applicable requirement does not |
require periodic testing
or instrumental or |
noninstrumental monitoring (which may consist of
|
recordkeeping designed to serve as monitoring), |
require periodic monitoring
sufficient to yield |
reliable data from the relevant time period that is
|
representative of the source's compliance with the |
permit, as reported pursuant
to paragraph (f) of this |
subsection. The Agency may determine that
|
recordkeeping requirements are sufficient to meet the |
requirements of this
subparagraph.
|
iii. As necessary, specify requirements concerning |
the use, maintenance,
and when appropriate, |
installation of monitoring equipment or methods.
|
e. To meet the requirements of this subsection with |
respect to record
keeping, the permit shall incorporate and |
identify all applicable recordkeeping
requirements and |
require, where applicable, the following:
|
i. Records of required monitoring information that |
include the
following:
|
A. The date, place and time of sampling or |
measurements.
|
B. The date(s) analyses were performed.
|
|
C. The company or entity that performed the |
analyses.
|
D. The analytical techniques or methods used.
|
E. The results of such analyses.
|
F. The operating conditions as existing at the |
time of sampling or
measurement.
|
ii. Retention of records of all monitoring data and |
support
information for a period of at least 5 years |
from the date of the monitoring
sample, measurement, |
report, or application. Support information includes |
all
calibration and maintenance records, original |
strip-chart recordings for
continuous monitoring |
instrumentation, and copies of all reports required by
|
the permit.
|
f. To meet the requirements of this subsection with |
respect to reporting,
the permit shall incorporate and |
identify all applicable reporting requirements
and require |
the following:
|
i. Submittal of reports of any required monitoring |
every 6 months. More
frequent submittals may be |
requested by the Agency if such submittals are
|
necessary to assure compliance with this Act or |
regulations promulgated by the
Board thereunder. All |
instances of deviations from permit requirements must |
be
clearly identified in such reports. All required |
reports must be certified by
a responsible official |
|
consistent with subsection 5 of this Section.
|
ii. Prompt reporting of deviations from permit |
requirements, including
those attributable to upset |
conditions as defined in the permit, the probable
cause |
of such deviations, and any corrective actions or |
preventive measures
taken.
|
g. Each CAAPP permit issued under subsection 10 of this |
Section shall
include a condition prohibiting emissions |
exceeding any allowances that the
source lawfully holds |
under Title IV of the Clean Air Act or the regulations
|
promulgated thereunder, consistent with subsection 17 of |
this Section and
applicable regulations, if any.
|
h. All CAAPP permits shall state that, where another |
applicable
requirement of the Clean Air Act is more |
stringent than any applicable
requirement of regulations |
promulgated under Title IV of the Clean Air Act,
both |
provisions shall be incorporated into the permit and shall |
be State and
federally enforceable.
|
i. Each CAAPP permit issued under subsection 10 of this |
Section shall
include a severability clause to ensure the |
continued validity of the various
permit requirements in |
the event of a challenge to any portions of the permit.
|
j. The following shall apply with respect to owners or |
operators
requesting a permit shield:
|
i. The Agency shall include in a CAAPP permit, when |
requested by an
applicant pursuant to paragraph (p) of |
|
subsection 5 of this Section, a provision stating that
|
compliance with the conditions of the permit shall be |
deemed compliance with
applicable requirements which |
are applicable as of the date of release of
the |
proposed permit, provided that:
|
A. The applicable requirement is specifically |
identified within the
permit; or
|
B. The Agency in acting on the CAAPP |
application or revision
determines in writing that |
other requirements specifically identified are not
|
applicable to the source, and the permit includes |
that determination or a
concise summary thereof.
|
ii. The permit shall identify the requirements for |
which the source is
shielded. The shield shall not |
extend to applicable requirements which are
|
promulgated after the date of release of the proposed |
permit unless the permit
has been modified to reflect |
such new requirements.
|
iii. A CAAPP permit which does not expressly |
indicate the existence of a
permit shield shall not |
provide such a shield.
|
iv. Nothing in this paragraph or in a CAAPP permit |
shall alter or affect
the following:
|
A. The provisions of Section 303 (emergency |
powers) of the Clean Air
Act, including USEPA's |
authority under that section.
|
|
B. The liability of an owner or operator of a |
source for any violation
of applicable |
requirements prior to or at the time of permit |
issuance.
|
C. The applicable requirements of the acid |
rain program consistent
with Section 408(a) of the |
Clean Air Act.
|
D. The ability of USEPA to obtain information |
from a source pursuant
to Section 114 |
(inspections, monitoring, and entry) of the Clean |
Air Act.
|
k. Each CAAPP permit shall include an emergency |
provision providing an
affirmative defense of emergency to |
an action brought for noncompliance with
technology-based |
emission limitations under a CAAPP permit if the following
|
conditions are met through properly signed, |
contemporaneous operating logs, or
other relevant |
evidence:
|
i. An emergency occurred and the permittee can |
identify the cause(s) of
the emergency.
|
ii. The permitted facility was at the time being |
properly operated.
|
iii. The permittee submitted notice of the |
emergency to the Agency
within 2 working days after the |
time when emission limitations were exceeded due
to the |
emergency. This notice must contain a detailed |
|
description of the
emergency, any steps taken to |
mitigate emissions, and corrective actions taken.
|
iv. During the period of the emergency the |
permittee took all reasonable
steps to minimize levels |
of emissions that exceeded the emission limitations,
|
standards, or requirements in the permit.
|
For purposes of this subsection, "emergency" means any |
situation arising
from sudden and reasonably unforeseeable |
events beyond the control of the
source, such as an act of |
God, that requires immediate corrective action to
restore |
normal operation, and that causes the source to exceed a
|
technology-based emission limitation under the permit, due |
to unavoidable
increases in emissions attributable to the |
emergency. An emergency shall not
include noncompliance to |
the extent caused by improperly designed equipment,
lack of |
preventative maintenance, careless or improper operation, |
or operation
error.
|
In any enforcement proceeding, the permittee seeking |
to establish the
occurrence of an emergency has the burden |
of proof. This provision is in
addition to any emergency or |
upset provision contained in any applicable
requirement. |
This provision does not relieve a permittee of any |
reporting
obligations under existing federal or state laws |
or regulations.
|
l. The Agency shall include in each permit issued under |
subsection 10 of this Section:
|
|
i. Terms and conditions for reasonably anticipated |
operating scenarios
identified by the source in its |
application. The permit terms and
conditions for each |
such operating scenario shall meet all applicable
|
requirements and the requirements of this Section.
|
A. Under this subparagraph, the source must |
record in a log at the
permitted facility a record |
of the scenario under which it is operating
|
contemporaneously with making a change from one |
operating scenario to another.
|
B. The permit shield described in paragraph |
(j) of subsection 7 of this Section
shall extend to |
all terms and conditions under each such operating |
scenario.
|
ii. Where requested by an applicant, all terms and |
conditions allowing
for trading of emissions increases |
and decreases between different emission
units at the |
CAAPP source, to the extent that the applicable |
requirements
provide for trading of such emissions |
increases and decreases without a
case-by-case |
approval of each emissions trade. Such terms and |
conditions:
|
A. Shall include all terms required under this |
subsection to determine
compliance;
|
B. Must meet all applicable requirements;
|
C. Shall extend the permit shield described in |
|
paragraph (j) of subsection 7 of this
Section to |
all terms and conditions that allow such increases |
and decreases in
emissions.
|
m. The Agency shall specifically designate as not being |
federally
enforceable under the Clean Air Act any terms and |
conditions included in the
permit that are not specifically |
required under the Clean Air Act or federal
regulations |
promulgated thereunder. Terms or conditions so designated |
shall be
subject to all applicable state requirements, |
except the requirements of
subsection 7 (other than this |
paragraph, paragraph q of subsection 7,
subsections 8 |
through 11, and subsections 13 through 16 of this Section. |
The
Agency shall, however, include such terms and |
conditions in the CAAPP permit
issued to the source.
|
n. Each CAAPP permit issued under subsection 10 of this |
Section shall
specify and reference the origin of and |
authority for each term or condition,
and identify any |
difference in form as compared to the applicable |
requirement
upon which the term or condition is based.
|
o. Each CAAPP permit issued under subsection 10 of this |
Section shall
include provisions stating the following:
|
i. Duty to comply. The permittee must comply with |
all terms and
conditions of the CAAPP permit. Any |
permit noncompliance constitutes a
violation of the |
Clean Air Act and the Act, and is grounds for any or |
all of
the following: enforcement action; permit |
|
termination, revocation and
reissuance, or |
modification; or denial of a permit renewal |
application.
|
ii. Need to halt or reduce activity not a defense. |
It shall not be a
defense for a permittee in an |
enforcement action that it would have been
necessary to |
halt or reduce the permitted activity in order to |
maintain
compliance with the conditions of this |
permit.
|
iii. Permit actions. The permit may be modified, |
revoked, reopened, and
reissued, or terminated for |
cause in accordance with the applicable subsections
of |
Section 39.5 of this Act. The filing of a request by |
the permittee for a
permit modification, revocation |
and reissuance, or termination, or of a
notification of |
planned changes or anticipated noncompliance does not |
stay any
permit condition.
|
iv. Property rights. The permit does not convey any |
property rights of
any sort, or any exclusive |
privilege.
|
v. Duty to provide information. The permittee |
shall furnish to the
Agency within a reasonable time |
specified by the Agency any information that
the Agency |
may request in writing to determine whether cause |
exists for
modifying, revoking and reissuing, or |
terminating the permit or to determine
compliance with |
|
the permit. Upon request, the permittee shall also |
furnish to
the Agency copies of records required to be |
kept by the permit or, for
information claimed to be |
confidential, the permittee may furnish such records
|
directly to USEPA along with a claim of |
confidentiality.
|
vi. Duty to pay fees. The permittee must pay fees |
to the Agency
consistent with the fee schedule approved |
pursuant to subsection 18 of this
Section, and submit |
any information relevant thereto.
|
vii. Emissions trading. No permit revision shall |
be required for
increases in emissions allowed under |
any approved economic incentives,
marketable permits, |
emissions trading, and other similar programs or |
processes
for changes that are provided for in the |
permit and that are authorized by the
applicable |
requirement.
|
p. Each CAAPP permit issued under subsection 10 of this |
Section shall
contain the following elements with respect |
to compliance:
|
i. Compliance certification, testing, monitoring, |
reporting, and record
keeping requirements sufficient |
to assure compliance with the terms and
conditions of |
the permit. Any document (including reports) required |
by a CAAPP
permit shall contain a certification by a |
responsible official that meets the
requirements of |
|
subsection 5 of this Section and applicable |
regulations.
|
ii. Inspection and entry requirements that |
necessitate that, upon
presentation of credentials and |
other documents as may be required by law and
in |
accordance with constitutional limitations, the |
permittee shall allow the
Agency, or an authorized |
representative to perform the following:
|
A. Enter upon the permittee's premises where a |
CAAPP source is located
or emissions-related |
activity is conducted, or where records must be |
kept under
the conditions of the permit.
|
B. Have access to and copy, at reasonable |
times, any records that must
be kept under the |
conditions of the permit.
|
C. Inspect at reasonable times any facilities, |
equipment (including
monitoring and air pollution |
control equipment), practices, or operations
|
regulated or required under the permit.
|
D. Sample or monitor any substances or |
parameters at any location:
|
1. As authorized by the Clean Air Act, at |
reasonable times, for
the purposes of assuring |
compliance with the CAAPP permit or applicable
|
requirements; or
|
2. As otherwise authorized by this Act.
|
|
iii. A schedule of compliance consistent with |
subsection 5 of this
Section and applicable |
regulations.
|
iv. Progress reports consistent with an applicable |
schedule of
compliance pursuant to paragraph (d) of |
subsection 5 of this Section and applicable
|
regulations to be submitted semiannually, or more |
frequently if the Agency
determines that such more |
frequent submittals are necessary for compliance with
|
the Act or regulations promulgated by the Board |
thereunder. Such progress
reports shall contain the |
following:
|
A. Required dates for achieving the |
activities, milestones, or
compliance required by |
the schedule of compliance and dates when such
|
activities, milestones or compliance were |
achieved.
|
B. An explanation of why any dates in the |
schedule of compliance were
not or will not be met, |
and any preventive or corrective measures adopted.
|
v. Requirements for compliance certification with |
terms and conditions
contained in the permit, |
including emission limitations, standards, or work
|
practices. Permits shall include each of the |
following:
|
A. The frequency (annually or more frequently |
|
as specified in any
applicable requirement or by |
the Agency pursuant to written procedures) of
|
submissions of compliance certifications.
|
B. A means for assessing or monitoring the |
compliance of the source
with its emissions |
limitations, standards, and work practices.
|
C. A requirement that the compliance |
certification include the
following:
|
1. The identification of each term or |
condition contained in the
permit that is the |
basis of the certification.
|
2. The compliance status.
|
3. Whether compliance was continuous or |
intermittent.
|
4. The method(s) used for determining the |
compliance status of the
source, both |
currently and over the reporting period |
consistent with subsection
7 of this Section.
|
D. A requirement that all compliance |
certifications be submitted to
USEPA as well as to |
the Agency.
|
E. Additional requirements as may be specified |
pursuant to Sections
114(a)(3) and 504(b) of the |
Clean Air Act.
|
F. Other provisions as the Agency may require.
|
q. If the owner or operator of CAAPP source can |
|
demonstrate in its
CAAPP application, including an |
application for a significant modification,
that an |
alternative emission limit would be equivalent to that |
contained in the
applicable Board regulations, the Agency |
shall include the alternative
emission limit in the CAAPP |
permit, which shall supersede the
emission limit
set forth |
in the applicable Board regulations, and shall include |
conditions
that insure that the resulting emission limit is |
quantifiable, accountable,
enforceable, and based on |
replicable procedures.
|
8. Public Notice; Affected State Review.
|
a. The Agency shall provide notice to the public, |
including an opportunity
for public comment and a hearing, |
on each draft CAAPP permit for issuance,
renewal or |
significant modification, subject to Section 7.1 and |
subsection (a) of Section 7 of this
Act.
|
b. The Agency shall prepare a draft CAAPP permit and a |
statement that sets
forth the legal and factual basis for |
the draft CAAPP permit conditions,
including references to |
the applicable statutory or regulatory provisions. The
|
Agency shall provide this statement to any person who |
requests it.
|
c. The Agency shall give notice of each draft CAAPP |
permit to the
applicant and to any affected State on or |
before the time that the Agency has
provided notice to the |
|
public, except as otherwise provided in this Act.
|
d. The Agency, as part of its submittal of a proposed |
permit to USEPA
(or as soon as possible after the submittal |
for minor permit modification
procedures allowed under |
subsection 14 of this Section), shall notify USEPA
and any |
affected State in writing of any refusal of the Agency to |
accept all
of the recommendations for the proposed permit |
that an affected State
submitted during the public or |
affected State review period. The notice
shall include the |
Agency's reasons for not accepting the recommendations.
|
The Agency is not required to accept recommendations that |
are not based on
applicable requirements or the |
requirements of this Section.
|
e. The Agency shall make available to the public any |
CAAPP permit
application, compliance plan (including the |
schedule of compliance), CAAPP
permit, and emissions or |
compliance monitoring report. If an owner or operator
of a |
CAAPP source is required to submit information entitled to |
protection from
disclosure under Section 7.1 and |
subsection (a) of Section 7 of this Act, the owner or |
operator
shall submit such information separately. The |
requirements of
Section 7.1 and subsection (a) of Section 7 |
of this Act shall apply to such information, which shall |
not be
included in a CAAPP permit unless required by law. |
The contents of a CAAPP
permit shall not be entitled to |
protection under Section 7.1 and subsection (a) of Section |
|
7 of
this Act.
|
f. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
g. If requested by the permit applicant, the Agency |
shall provide the permit applicant with a copy of the draft |
CAAPP permit prior to any public review period. If |
requested by the permit applicant, the Agency shall provide |
the permit applicant with a copy of the final CAAPP permit |
prior to issuance of the CAAPP permit.
|
9. USEPA Notice and Objection.
|
a. The Agency shall provide to USEPA for its review a |
copy of each CAAPP
application (including any application |
for permit modification), statement of
basis as provided in |
paragraph (b) of subsection 8 of this Section, proposed |
CAAPP permit,
CAAPP permit, and, if the Agency does not |
incorporate any affected State's
recommendations on a |
proposed CAAPP permit, a written statement of this
decision |
and its reasons for not accepting the recommendations, |
except as
otherwise provided in this Act or by agreement |
with USEPA. To the extent
practicable, the preceding |
information shall be provided in computer readable
format |
compatible with USEPA's national database management |
system.
|
|
b. The Agency shall not issue the proposed CAAPP permit |
if USEPA objects
in writing within 45 days after receipt of |
the proposed CAAPP permit and all
necessary supporting |
information.
|
c. If USEPA objects in writing to the issuance of the |
proposed CAAPP
permit within the 45-day period, the Agency |
shall respond in writing and may
revise and resubmit the |
proposed CAAPP permit in response to the stated
objection, |
to the extent supported by the record, within 90 days after |
the date
of the objection. Prior to submitting a revised |
permit to USEPA, the Agency
shall provide the applicant and |
any person who participated in the public
comment process, |
pursuant to subsection 8 of this Section, with a 10-day |
period
to comment on any revision which the Agency is |
proposing to make to the permit
in response to USEPA's |
objection in accordance with Agency procedures.
|
d. Any USEPA objection under this subsection, |
according to the Clean Air
Act, will include a statement of |
reasons for the objection and a description of
the terms |
and conditions that must be in the permit, in order to |
adequately
respond to the objections. Grounds for a USEPA |
objection include the failure
of the Agency to: (1) submit |
the items and notices required under this
subsection; (2) |
submit any other information necessary to adequately |
review the
proposed CAAPP permit; or (3) process the permit |
under subsection 8 of this
Section except for minor permit |
|
modifications.
|
e. If USEPA does not object in writing to issuance of a |
permit under this
subsection, any person may petition USEPA |
within 60 days after expiration of
the 45-day review period |
to make such objection.
|
f. If the permit has not yet been issued and USEPA |
objects to the permit
as a result of a petition, the Agency |
shall not issue the permit until USEPA's
objection has been |
resolved. The Agency shall provide a 10-day comment period
|
in accordance with paragraph c of this subsection. A |
petition does not,
however, stay the effectiveness of a |
permit or its requirements if the permit
was issued after |
expiration of the 45-day review period and prior to a USEPA
|
objection.
|
g. If the Agency has issued a permit after expiration |
of the 45-day review
period and prior to receipt of a USEPA |
objection under this subsection in
response to a petition |
submitted pursuant to paragraph e of this subsection,
the |
Agency may, upon receipt of an objection from USEPA, revise |
and resubmit
the permit to USEPA pursuant to this |
subsection after providing a 10-day
comment period in |
accordance with paragraph c of this subsection. If the |
Agency
fails to submit a revised permit in response to the |
objection, USEPA shall
modify, terminate or revoke the |
permit. In any case, the source will not be in
violation of |
the requirement to have submitted a timely and complete
|
|
application.
|
h. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
10. Final Agency Action.
|
a. The Agency shall issue a CAAPP permit, permit |
modification, or permit
renewal if all of the following |
conditions are met:
|
i. The applicant has submitted a complete and |
certified application for
a permit, permit |
modification, or permit renewal consistent with |
subsections 5
and 14 of this Section, as applicable, |
and applicable regulations.
|
ii. The applicant has submitted with its complete |
application an
approvable compliance plan, including a |
schedule for achieving compliance,
consistent with |
subsection 5 of this Section and applicable |
regulations.
|
iii. The applicant has timely paid the fees |
required pursuant to
subsection 18 of this Section and |
applicable regulations.
|
iv. The Agency has received a complete CAAPP |
application and, if
necessary, has requested and |
received additional information from the applicant
|
|
consistent with subsection 5 of this Section and |
applicable regulations.
|
v. The Agency has complied with all applicable |
provisions regarding
public notice and affected State |
review consistent with subsection 8 of this
Section and |
applicable regulations.
|
vi. The Agency has provided a copy of each CAAPP |
application, or summary
thereof, pursuant to agreement |
with USEPA and proposed CAAPP permit required
under |
subsection 9 of this Section to USEPA, and USEPA has |
not objected to the
issuance of the permit in |
accordance with the Clean Air Act and 40 CFR Part 70.
|
b. The Agency shall have the authority to deny a CAAPP |
permit, permit
modification, or permit renewal if the |
applicant has not complied with the
requirements of |
subparagraphs (i) through (iv) of paragraph (a) of this |
subsection or if USEPA
objects to its issuance.
|
c. i. Prior to denial of a CAAPP permit, permit |
modification, or permit
renewal under this Section, |
the Agency shall notify the applicant of the
possible |
denial and the reasons for the denial.
|
ii. Within such notice, the Agency shall specify an |
appropriate date by
which the applicant shall |
adequately respond to the Agency's notice. Such date
|
shall not exceed 15 days from the date the notification |
is received by the
applicant. The Agency may grant a |
|
reasonable extension for good cause
shown.
|
iii. Failure by the applicant to adequately |
respond by the date
specified in the notification or by |
any granted extension date shall be grounds
for denial |
of the permit.
|
For purposes of obtaining judicial review under |
Sections 40.2 and 41 of
this Act, the Agency shall |
provide to USEPA and each applicant, and, upon
request, |
to affected States, any person who participated in the |
public comment
process, and any other person who could |
obtain judicial review under Sections
40.2 and 41 of |
this Act, a copy of each CAAPP permit or notification |
of denial
pertaining to that party.
|
d. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
11. General Permits.
|
a. The Agency may issue a general permit covering |
numerous similar
sources, except for affected sources for |
acid deposition unless otherwise
provided in regulations |
promulgated under Title IV of the Clean Air Act.
|
b. The Agency shall identify, in any general permit, |
criteria by which
sources may qualify for the general |
permit.
|
|
c. CAAPP sources that would qualify for a general |
permit must apply for
coverage under the terms of the |
general permit or must apply for a CAAPP permit
consistent |
with subsection 5 of this Section and applicable |
regulations.
|
d. The Agency shall comply with the public comment and |
hearing provisions
of this Section as well as the USEPA and |
affected State review procedures prior
to issuance of a |
general
permit.
|
e. When granting a subsequent request by a qualifying |
CAAPP source for
coverage under the terms of a general |
permit, the Agency shall not be required
to repeat the |
public notice and comment procedures. The granting of such
|
request shall not be considered a final permit action for |
purposes of judicial
review.
|
f. The Agency may not issue a general permit to cover |
any discrete
emission unit at a CAAPP source if another |
CAAPP permit covers emission units
at the source.
|
g. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
12. Operational Flexibility.
|
a. An owner or operator of a CAAPP source may make |
changes at the CAAPP
source without requiring a prior |
|
permit revision, consistent with
subparagraphs (i) through |
(iii) of paragraph (a) of this subsection, so long as the
|
changes are not modifications under any provision of Title |
I of the Clean
Air Act and they do not exceed the emissions |
allowable under the permit
(whether expressed therein as a |
rate of emissions or in terms of total
emissions), provided |
that the owner or operator of the CAAPP source
provides |
USEPA and the Agency with written notification as required |
below in
advance of the proposed changes, which shall be a |
minimum of 7 days, unless
otherwise provided by the Agency |
in applicable regulations regarding
emergencies. The owner |
or operator of a CAAPP source and the Agency shall
each |
attach such notice to their copy of the relevant permit.
|
i. An owner or operator of a CAAPP source may make
|
Section 502 (b) (10) changes without a permit revision, |
if the
changes are not modifications under any |
provision of Title I of the Clean
Air Act and the |
changes do not exceed the emissions allowable under the
|
permit (whether expressed therein as a rate of |
emissions or in terms of total emissions).
|
A. For each such change, the written |
notification required above shall
include a brief |
description of the change within the source, the |
date on
which the change will occur, any change in |
emissions, and any permit term
or condition that is |
no longer applicable as a result of the change.
|
|
B. The permit shield described in paragraph |
(j) of subsection 7 of this Section shall
not apply |
to any change made pursuant to this subparagraph.
|
ii. An owner or operator of a CAAPP source may |
trade increases and
decreases in emissions in the CAAPP |
source, where the applicable
implementation plan |
provides for such emission trades without requiring a
|
permit revision. This provision is available in those |
cases where the
permit does not already provide for |
such emissions trading.
|
A. Under this subparagraph (ii) of paragraph |
(a) of this subsection, the written notification |
required
above shall include such information as |
may be required by the provision in
the applicable |
implementation plan authorizing the emissions |
trade,
including at a minimum, when the proposed |
changes will occur, a description
of each such |
change, any change in emissions, the permit |
requirements with
which the source will comply |
using the emissions trading provisions of the
|
applicable implementation plan, and the pollutants |
emitted subject to the
emissions trade. The notice |
shall also refer to the provisions in the
|
applicable implementation plan with which the |
source will comply and
provide for the emissions |
trade.
|
|
B. The permit shield described in paragraph |
(j) of subsection 7 of this Section shall
not apply |
to any change made pursuant to subparagraph (ii) of |
paragraph (a) of this subsection.
Compliance with |
the permit requirements that the source will meet |
using the
emissions trade shall be determined |
according to the requirements of the
applicable |
implementation plan authorizing the emissions |
trade.
|
iii. If requested within a CAAPP application, the |
Agency shall issue a
CAAPP permit which contains terms |
and conditions, including all terms
required under |
subsection 7 of this Section to determine compliance,
|
allowing for the trading of emissions increases and |
decreases at the CAAPP
source solely for the purpose of |
complying with a federally-enforceable
emissions cap |
that is established in the permit independent of |
otherwise
applicable requirements. The owner or |
operator of a CAAPP source shall include
in its CAAPP |
application proposed replicable procedures and permit |
terms that
ensure the emissions trades are |
quantifiable and enforceable. The permit shall
also |
require compliance with all applicable requirements.
|
A. Under this subparagraph (iii) of paragraph |
(a), the written notification required
above shall |
state when the change will occur and shall describe |
|
the changes
in emissions that will result and how |
these increases and decreases in
emissions will |
comply with the terms and conditions of the permit.
|
B. The permit shield described in paragraph |
(j) of subsection 7 of this Section shall
extend to |
terms and conditions that allow such increases and |
decreases in
emissions.
|
b. An owner or operator of a CAAPP source may make |
changes that are not
addressed or prohibited by the permit, |
other than those which are subject to
any requirements |
under Title IV of the Clean Air Act or are modifications |
under
any provisions of Title I of the Clean Air Act, |
without a permit
revision, in accordance with the following |
requirements:
|
(i) Each such change shall meet all applicable |
requirements and shall
not violate any existing permit |
term or condition;
|
(ii) Sources must provide contemporaneous written |
notice to the Agency
and USEPA of each such change, |
except for changes that qualify as insignificant
under |
provisions adopted by the Agency or the Board. Such |
written notice shall
describe each such change, |
including the date, any change in emissions,
|
pollutants emitted, and any applicable requirement |
that would apply as a result
of the change;
|
(iii) The change shall not qualify for the shield |
|
described in paragraph
(j) of subsection 7 of this |
Section; and
|
(iv) The permittee shall keep a record describing |
changes made at the
source that result in emissions of |
a regulated air pollutant subject to an
applicable |
Clean Air Act requirement, but not otherwise regulated |
under the
permit, and the emissions resulting from |
those changes.
|
c. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency
deems |
necessary to implement this subsection.
|
13. Administrative Permit Amendments.
|
a. The Agency shall take final action on a
request for |
an administrative permit amendment within 60 days after |
receipt of the
request. Neither notice nor an opportunity |
for public and affected State
comment shall be required for |
the Agency to incorporate such revisions,
provided it |
designates the permit revisions as having been made |
pursuant to
this subsection.
|
b. The Agency shall submit a copy of the revised permit |
to USEPA.
|
c. For purposes of this Section the term |
"administrative permit amendment"
shall be defined as a |
permit revision that can accomplish one or more of
the
|
|
changes described below:
|
i. Corrects typographical errors;
|
ii. Identifies a change in the name, address, or |
phone number of any
person identified in the permit, or |
provides a similar minor administrative
change at the |
source;
|
iii. Requires more frequent monitoring or |
reporting by the permittee;
|
iv. Allows for a change in ownership or operational |
control of a source
where the Agency determines that no |
other change in the permit is necessary,
provided that |
a written agreement containing a specific date for |
transfer of
permit responsibility, coverage, and |
liability between the current and new
permittees has |
been submitted to the Agency;
|
v. Incorporates into the CAAPP permit the |
requirements from
preconstruction review permits |
authorized under a USEPA-approved program,
provided |
the program meets procedural and compliance |
requirements substantially
equivalent to those |
contained in this Section;
|
vi. (Blank); or
|
vii. Any other type of change which USEPA has |
determined as part of
the
approved CAAPP permit program |
to be similar to those included in this
subsection.
|
d. The Agency shall, upon taking final action granting |
|
a request for
an administrative permit amendment, allow |
coverage by the permit shield in
paragraph (j) of |
subsection 7 of this Section for administrative permit |
amendments made
pursuant to subparagraph (v) of paragraph |
(c) of this subsection which meet the relevant
requirements |
for significant permit modifications.
|
e. Permit revisions and modifications, including |
administrative amendments
and automatic amendments |
(pursuant to Sections 408(b) and 403(d) of the Clean
Air |
Act or regulations promulgated thereunder), for purposes |
of the acid rain
portion of the permit shall be governed by |
the regulations promulgated under
Title IV of the Clean Air |
Act. Owners or operators of affected sources for
acid |
deposition shall have the flexibility to amend their |
compliance plans as
provided in the regulations |
promulgated under Title IV of the Clean Air Act.
|
f. The CAAPP source may implement the changes addressed |
in the
request for an administrative permit amendment |
immediately upon submittal of
the request.
|
g. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency
deems |
necessary, to implement this subsection.
|
14. Permit Modifications.
|
a. Minor permit modification procedures.
|
|
i. The Agency shall review a permit modification |
using the "minor
permit" modification procedures only |
for those permit modifications that:
|
A. Do not violate any applicable requirement;
|
B. Do not involve significant changes to |
existing monitoring,
reporting, or recordkeeping |
requirements in the permit;
|
C. Do not require a case-by-case determination |
of an emission
limitation or other standard, or a |
source-specific determination of ambient
impacts, |
or a visibility or increment analysis;
|
D. Do not seek to establish or change a permit |
term or condition
for which there is no |
corresponding underlying requirement and which |
avoids an
applicable requirement to which the |
source would otherwise be subject. Such
terms and |
conditions include:
|
1. A federally enforceable emissions cap |
assumed to avoid
classification as a |
modification under any provision of Title I of |
the Clean
Air Act; and
|
2. An alternative emissions limit approved |
pursuant to regulations
promulgated under |
Section 112(i)(5) of the Clean Air Act;
|
E. Are not modifications under any provision |
of Title I of the Clean
Air Act; and
|
|
F. Are not required to be processed as a |
significant modification.
|
ii. Notwithstanding subparagraph (i) of paragraph |
(a) and subparagraph (ii) of paragraph (b) of this |
subsection,
minor permit modification procedures may |
be used for permit modifications
involving the use of |
economic incentives, marketable permits, emissions
|
trading, and other similar approaches, to the extent |
that such minor permit
modification procedures are |
explicitly provided for in an applicable
|
implementation plan or in applicable requirements |
promulgated by USEPA.
|
iii. An applicant requesting the use of minor |
permit modification
procedures shall meet the |
requirements of subsection 5 of this Section and
shall |
include the following in its application:
|
A. A description of the change, the emissions |
resulting from the
change,
and any new applicable |
requirements that will apply if the change occurs;
|
B. The source's suggested draft permit;
|
C. Certification by a responsible official, |
consistent with
paragraph (e) of subsection 5 of |
this Section and applicable regulations, that the |
proposed
modification meets the criteria for use |
of minor permit modification
procedures and a |
request that such procedures be used; and
|
|
D. Completed forms for the Agency to use to |
notify USEPA and affected
States as required under |
subsections 8 and 9 of this Section.
|
iv. Within 5 working days after receipt of a |
complete permit modification
application, the Agency |
shall notify USEPA and affected States of the
requested |
permit modification in accordance with subsections 8 |
and 9 of
this Section. The Agency promptly shall send |
any notice required under
paragraph (d) of subsection 8 |
of this Section to USEPA.
|
v. The Agency may not issue a final permit |
modification until after the
45-day review period for |
USEPA or until USEPA has notified the Agency that
USEPA |
will not object to the issuance of the permit |
modification, whichever
comes first, although the |
Agency can approve the permit modification prior to
|
that time. Within 90 days after the Agency's receipt of |
an application under the
minor permit modification |
procedures or 15 days after the end of USEPA's 45-day
|
review period under subsection 9 of this Section, |
whichever is later, the
Agency shall:
|
A. Issue the permit modification as proposed;
|
B. Deny the permit modification application;
|
C. Determine that the requested modification |
does not meet the minor
permit modification |
criteria and should be reviewed under the |
|
significant
modification procedures; or
|
D. Revise the draft permit modification and |
transmit to USEPA the new
proposed permit |
modification as required by subsection 9 of this |
Section.
|
vi. Any CAAPP source may make the change proposed |
in its minor permit
modification application |
immediately after it files such application. After
the |
CAAPP source makes the change allowed by the preceding |
sentence, and
until the Agency takes any of the actions |
specified in items (A) through (C) of subparagraph (v) |
of paragraph (a) of this subsection, the source must |
comply with
both the applicable requirements governing |
the change and the proposed
permit terms and |
conditions. During this time period, the source need |
not
comply with the existing permit terms and |
conditions it seeks to modify.
If the source fails to |
comply with its proposed permit terms and conditions
|
during this time period, the existing permit terms and |
conditions which it
seeks to modify may be enforced |
against it.
|
vii. The permit shield under paragraph (j) of |
subsection 7 of this Section may not
extend to minor |
permit modifications.
|
viii. If a construction permit is required, |
pursuant to subsection (a) of Section 39 of
this Act |
|
and regulations thereunder, for a change for which the |
minor
permit modification procedures are applicable, |
the source may request that
the processing of the |
construction permit application be consolidated with
|
the processing of the application for the minor permit |
modification. In
such cases, the provisions of this |
Section, including those within
subsections 5, 8, and |
9, shall apply and the Agency shall act on such
|
applications pursuant to subparagraph (v) of paragraph |
(a) of subsection 14 of this Section. The source may |
make the
proposed change immediately after filing its |
application for the minor
permit modification. Nothing |
in this subparagraph shall otherwise affect
the |
requirements and procedures applicable to construction |
permits.
|
b. Group Processing of Minor Permit Modifications.
|
i. Where requested by an applicant within its |
application, the
Agency shall process groups of a |
source's applications for certain
modifications |
eligible for minor permit modification processing in
|
accordance with the provisions of this paragraph (b).
|
ii. Permit modifications may be processed in |
accordance with the
procedures for group processing, |
for those modifications:
|
A. Which meet the criteria for minor permit |
modification procedures
under subparagraph (i) of |
|
paragraph (a) of subsection 14 of this Section; and
|
B. That collectively are below 10 percent of |
the emissions allowed by
the permit for the |
emissions unit for which change is requested, 20 |
percent
of the applicable definition of major |
source set forth in subsection 2 of
this Section, |
or 5 tons per year, whichever is least.
|
iii. An applicant requesting the use of group |
processing procedures
shall
meet the requirements of |
subsection 5 of this Section and shall include the
|
following in its application:
|
A. A description of the change, the emissions |
resulting from the
change, and any new applicable |
requirements that will apply if the change
occurs.
|
B. The source's suggested draft permit.
|
C. Certification by a responsible official |
consistent with paragraph
(e) of subsection 5 of |
this Section, that the proposed modification meets |
the criteria for
use of group processing |
procedures and a request that such procedures be |
used.
|
D. A list of the source's other pending |
applications awaiting group
processing, and a |
determination of whether the requested |
modification,
aggregated with these other |
applications, equals or exceeds the threshold
set |
|
under item (B) of subparagraph (ii) of paragraph |
(b) of this subsection.
|
E. Certification, consistent with paragraph |
(e) of subsection 5 of this Section, that the |
source has
notified USEPA of the proposed |
modification. Such notification need only
contain |
a brief description of the requested modification.
|
F. Completed forms for the Agency to use to |
notify USEPA and affected
states as required under |
subsections 8 and 9 of this Section.
|
iv. On a quarterly basis or within 5 business days |
after receipt of an
application demonstrating that the |
aggregate of a source's pending
applications equals or |
exceeds the threshold level set forth within item
(B) |
of subparagraph (ii) of paragraph (b) of this |
subsection, whichever is earlier, the
Agency shall |
promptly notify USEPA and affected States of the |
requested
permit modifications in accordance with |
subsections 8 and 9 of this
Section. The Agency shall |
send any notice required under paragraph (d) of |
subsection 8 of
this Section to USEPA.
|
v. The provisions of subparagraph (v) of paragraph |
(a) of this subsection shall apply
to modifications |
eligible for group processing, except that the Agency
|
shall take one of the actions specified in items (A) |
through
(D) of subparagraph (v) of paragraph (a) of |
|
this subsection within 180 days after receipt of the |
application
or 15 days after the end of USEPA's 45-day |
review period under subsection 9
of this Section, |
whichever is later.
|
vi. The provisions of subparagraph (vi) of |
paragraph (a) of this subsection shall
apply to |
modifications for group processing.
|
vii. The provisions of paragraph (j) of subsection |
7 of this Section shall not
apply to
modifications |
eligible for group processing.
|
c. Significant Permit Modifications.
|
i. Significant modification procedures shall be |
used for applications
requesting significant permit |
modifications and for those applications that do
not |
qualify as either minor permit modifications or as |
administrative permit
amendments.
|
ii. Every significant change in existing |
monitoring permit terms or
conditions and every |
relaxation of reporting or recordkeeping requirements
|
shall be considered significant. A modification shall |
also be considered
significant if in the judgment of |
the Agency action on an application for
modification |
would require decisions to be made on technically |
complex issues.
Nothing herein shall be construed to |
preclude the permittee from making changes
consistent |
with this Section that would render existing permit |
|
compliance terms
and conditions irrelevant.
|
iii. Significant permit modifications must meet |
all the requirements of
this Section, including those |
for applications (including completeness review),
|
public participation, review by affected States, and |
review by USEPA applicable
to initial permit issuance |
and permit renewal. The Agency shall take final
action |
on significant permit modifications within 9 months |
after receipt of a
complete application.
|
d. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
15. Reopenings for Cause by the Agency.
|
a. Each issued CAAPP permit shall include provisions |
specifying the
conditions under which the permit will be |
reopened prior to the expiration of
the permit. Such |
revisions shall be made as expeditiously as practicable. A
|
CAAPP permit shall be reopened and revised under any of the |
following
circumstances, in accordance with procedures |
adopted by the Agency:
|
i. Additional requirements under the Clean Air Act |
become applicable to
a major CAAPP source for which 3 |
or more years remain on the original term of
the |
permit. Such a reopening shall be completed not later |
|
than 18 months after
the promulgation of the applicable |
requirement. No such revision is required
if the |
effective date of the requirement is later than the |
date on which the
permit is due to expire.
|
ii. Additional requirements (including excess |
emissions requirements)
become applicable to an |
affected source for acid deposition under the acid rain
|
program. Excess emissions offset plans shall be deemed |
to be incorporated into
the permit upon approval by |
USEPA.
|
iii. The Agency or USEPA determines that the permit |
contains a material
mistake or that inaccurate |
statements were made in establishing the emissions
|
standards, limitations, or other terms or conditions |
of the permit.
|
iv. The Agency or USEPA determines that the permit |
must be revised or
revoked to assure compliance with |
the applicable requirements.
|
b. In the event that the Agency determines that there |
are grounds for
revoking a CAAPP permit, for cause, |
consistent with paragraph a of this
subsection, it shall |
file a petition before the Board
setting forth the basis |
for such revocation. In any such proceeding, the
Agency |
shall have the burden of establishing that the permit |
should be
revoked under the standards set forth in this Act |
and the Clean Air Act.
Any such proceeding shall be |
|
conducted pursuant to the Board's procedures
for |
adjudicatory hearings and the Board shall render its |
decision within
120 days of the filing of the petition. The |
Agency shall take final action to
revoke and reissue a |
CAAPP permit consistent with the Board's order.
|
c. Proceedings regarding a reopened CAAPP permit shall |
follow the same
procedures as apply to initial permit |
issuance and shall affect only those
parts of the permit |
for which cause to reopen exists.
|
d. Reopenings under paragraph (a) of this subsection |
shall not be
initiated before a notice of such intent is |
provided to the CAAPP source by the
Agency at least 30 days |
in advance of the date that the permit is to be
reopened, |
except that the Agency may provide a shorter time period in |
the case
of an emergency.
|
e. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
16. Reopenings for Cause by USEPA.
|
a. When USEPA finds that cause exists to terminate, |
modify, or revoke and
reissue a CAAPP permit pursuant to |
subsection 15 of this Section, and
thereafter notifies the |
Agency and the permittee of such finding in writing,
the |
Agency shall forward to USEPA and the permittee a proposed |
|
determination of
termination, modification, or revocation |
and reissuance as appropriate, in
accordance with |
paragraph (b) of this subsection. The Agency's proposed
|
determination shall be in accordance with the record, the |
Clean Air Act,
regulations promulgated thereunder, this |
Act and regulations promulgated
thereunder. Such proposed |
determination shall not affect the permit or
constitute a |
final permit action for purposes of this Act or the |
Administrative
Review Law. The Agency shall forward to |
USEPA such proposed determination
within 90 days after |
receipt of the notification from USEPA. If additional time
|
is necessary to submit the proposed determination, the |
Agency shall request a
90-day extension from USEPA and |
shall submit the proposed determination within
180 days |
after receipt of notification from USEPA.
|
b. i. Prior to the Agency's submittal to USEPA of a |
proposed
determination to terminate or revoke and |
reissue the permit, the Agency shall
file a petition |
before the Board setting forth USEPA's objection, the |
permit
record, the Agency's proposed determination, |
and the justification for its
proposed determination. |
The Board shall conduct a hearing pursuant to the rules
|
prescribed by Section 32 of this Act, and the burden of |
proof shall be on the
Agency.
|
ii. After due consideration of the written and oral |
statements, the
testimony and arguments that shall be |
|
submitted at hearing, the Board shall
issue and enter |
an interim order for the proposed determination, which |
shall
set forth all changes, if any, required in the |
Agency's proposed determination.
The interim order |
shall comply with the requirements for final orders as |
set
forth in Section 33 of this Act. Issuance of an |
interim order by the Board
under this paragraph, |
however, shall not affect the permit status and does |
not
constitute a final action for purposes of this Act |
or the Administrative Review
Law.
|
iii. The Board shall cause a copy of its interim |
order to be served upon
all parties to the proceeding |
as well as upon USEPA. The Agency shall submit
the |
proposed determination to USEPA in accordance with the |
Board's Interim
Order within 180 days after receipt of |
the notification from USEPA.
|
c. USEPA shall review the proposed determination to |
terminate,
modify, or revoke and reissue the permit within |
90 days after receipt.
|
i. When USEPA reviews the proposed determination |
to terminate or revoke
and reissue and does not object, |
the Board shall, within 7 days after receipt of
USEPA's |
final approval, enter the interim order as a final |
order. The final
order may be appealed as provided by |
Title XI of this Act. The Agency shall
take final |
action in accordance with the Board's final order.
|
|
ii. When USEPA reviews such proposed determination
|
to terminate or revoke and reissue and objects, the |
Agency shall submit
USEPA's objection and the Agency's |
comments and recommendation on the objection
to the |
Board and permittee. The Board shall review its interim |
order in
response to USEPA's objection and the Agency's |
comments and recommendation and
issue a final order in |
accordance with Sections 32 and 33 of this Act. The
|
Agency shall, within 90 days after receipt of such |
objection, respond to
USEPA's objection in accordance |
with the Board's final order.
|
iii. When USEPA reviews such proposed |
determination to modify and
objects, the Agency shall, |
within 90 days after receipt of the objection,
resolve |
the objection and modify the permit in accordance with |
USEPA's
objection, based upon the record, the Clean Air |
Act, regulations promulgated
thereunder, this Act, and |
regulations promulgated thereunder.
|
d. If the Agency fails to submit the proposed |
determination pursuant to
paragraph a of this subsection or |
fails to resolve any USEPA objection
pursuant to paragraph |
c of this subsection, USEPA will terminate, modify, or
|
revoke and reissue the permit.
|
e. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
|
necessary, to implement this subsection.
|
17. Title IV; Acid Rain Provisions.
|
a. The Agency shall act on initial CAAPP applications |
for affected
sources for acid deposition in accordance with |
this Section and Title V of
the Clean Air Act and |
regulations promulgated thereunder, except as
modified by |
Title IV of the Clean Air Act and regulations promulgated
|
thereunder. The Agency shall issue initial CAAPP permits to |
the affected
sources for acid deposition which shall become |
effective no earlier than
January 1, 1995, and which shall |
terminate on December 31, 1999, in
accordance with this |
Section. Subsequent CAAPP permits issued to affected
|
sources for acid deposition shall be issued for a fixed |
term of 5 years.
Title IV of the Clean Air Act and |
regulations promulgated thereunder,
including but not |
limited to 40 C.F.R. Part 72, as now or hereafter amended,
|
are
applicable to and enforceable under this Act.
|
b. A designated representative of an affected source |
for acid deposition
shall submit a timely and complete |
Phase II acid rain permit application and
compliance plan |
to the Agency, not later than January 1, 1996, that meets |
the
requirements of Titles IV and V of the Clean Air Act |
and regulations. The
Agency shall act on the Phase II acid |
rain permit application and compliance
plan in accordance |
with this Section and Title V of the Clean Air Act and
|
|
regulations promulgated thereunder, except as modified by |
Title IV of the Clean
Air Act and regulations promulgated |
thereunder. The Agency shall issue the
Phase II acid rain |
permit to an affected source for acid deposition no later
|
than December 31, 1997, which shall become effective on |
January 1, 2000, in
accordance with this Section, except as |
modified by Title IV and regulations
promulgated |
thereunder; provided that the designated representative of |
the
source submitted a timely and complete Phase II permit |
application and
compliance plan to the Agency that meets |
the requirements of Title IV and V of
the Clean Air Act and |
regulations.
|
c. Each Phase II acid rain permit issued in accordance |
with this
subsection shall have a fixed term of 5 years. |
Except as provided in paragraph
b above, the Agency shall |
issue or deny a Phase II acid rain permit within 18
months |
of receiving a complete Phase II permit application and |
compliance plan.
|
d. A designated representative of a new unit, as |
defined in Section 402 of
the Clean Air Act, shall submit a |
timely and complete Phase II acid rain permit
application |
and compliance plan that meets the requirements of Titles |
IV and V
of the Clean Air Act and its regulations. The |
Agency shall act on the new
unit's Phase II acid rain |
permit application and compliance plan in accordance
with |
this Section and Title V of the Clean Air Act and its |
|
regulations, except
as modified by Title IV of the Clean |
Air Act and its regulations. The Agency
shall reopen the |
new unit's CAAPP permit for cause to incorporate the |
approved
Phase II acid rain permit in accordance with this |
Section. The Phase II acid
rain permit for the new unit |
shall become effective no later than the date
required |
under Title IV of the Clean Air Act and its regulations.
|
e. A designated representative of an affected source |
for acid deposition
shall submit a timely and complete |
Title IV NOx permit application to the
Agency, not later |
than January 1, 1998, that meets the requirements of Titles
|
IV and V of the Clean Air Act and its regulations. The |
Agency shall reopen the
Phase II acid rain permit for cause |
and incorporate the approved NOx provisions
into the Phase |
II acid rain permit not later than January 1, 1999, in
|
accordance with this Section, except as modified by Title |
IV of the Clean Air
Act and regulations promulgated |
thereunder. Such reopening shall not affect the
term of the |
Phase II acid rain permit.
|
f. The designated representative of the affected |
source for acid
deposition shall renew the initial CAAPP |
permit and Phase II acid rain permit
in accordance with |
this Section and Title V of the Clean Air Act and
|
regulations promulgated thereunder, except as modified by |
Title IV of the Clean
Air Act and regulations promulgated |
thereunder.
|
|
g. In the case of an affected source for acid |
deposition for which a
complete Phase II acid rain permit |
application and compliance plan are timely
received under |
this subsection, the complete permit application and |
compliance
plan, including amendments thereto, shall be |
binding on the owner, operator and
designated |
representative, all affected units for acid deposition at |
the
affected source, and any other unit, as defined in |
Section 402 of the Clean Air
Act, governed by the Phase II |
acid rain permit application and shall be
enforceable as an |
acid rain permit for purposes of Titles IV and V of the |
Clean
Air Act, from the date of submission of the acid rain |
permit application until
a Phase II acid rain permit is |
issued or denied by the Agency.
|
h. The Agency shall not include or implement any |
measure which would
interfere with or modify the |
requirements of Title IV of the Clean Air Act
or |
regulations promulgated thereunder.
|
i. Nothing in this Section shall be construed as |
affecting allowances or
USEPA's decision regarding an |
excess emissions offset plan, as set forth in
Title IV of |
the Clean Air Act or regulations promulgated thereunder.
|
i. No permit revision shall be required for |
increases in emissions that
are authorized by |
allowances acquired pursuant to the acid rain program,
|
provided that such increases do not require a permit |
|
revision under any other
applicable requirement.
|
ii. No limit shall be placed on the number of |
allowances held by the
source. The source may not, |
however, use allowances as a defense to
noncompliance |
with any other applicable requirement.
|
iii. Any such allowance shall be accounted for |
according to the
procedures established in regulations |
promulgated under Title IV of the Clean
Air Act.
|
j. To the extent that the federal regulations |
promulgated under Title
IV,
including but not limited to 40 |
C.F.R. Part 72, as now or hereafter amended,
are |
inconsistent with the federal regulations promulgated |
under Title V, the
federal regulations promulgated under |
Title IV shall take precedence.
|
k. The USEPA may intervene as a matter of right in any |
permit appeal
involving a Phase II acid rain permit |
provision or denial of a Phase II acid
rain permit.
|
l. It is unlawful for any owner or operator
to violate |
any terms or conditions of a Phase II acid rain permit
|
issued under this subsection, to operate any affected |
source for acid
deposition except in compliance with a |
Phase II acid rain permit issued by the
Agency under this |
subsection, or to violate any other applicable |
requirements.
|
m. The designated representative of an affected source |
for acid
deposition shall submit to the Agency the data and |
|
information submitted
quarterly to USEPA, pursuant to 40 |
CFR 75.64, concurrently with the submission
to USEPA. The |
submission shall be in the same electronic format as |
specified by
USEPA.
|
n. The Agency shall act on any petition for exemption |
of a new unit or
retired unit, as those terms are defined |
in Section 402 of the Clean Air Act,
from the requirements |
of the acid rain program in accordance with Title IV of
the |
Clean Air Act and its regulations.
|
o. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency
deems |
necessary to implement this subsection.
|
18. Fee Provisions.
|
a. A source subject to this Section or excluded under |
subsection 1.1 or paragraph (c) of subsection 3
of this |
Section, shall pay a fee as provided in this paragraph (a) |
of
subsection 18. However, a source that has been excluded |
from the provisions
of this Section under subsection 1.1 or |
under paragraph (c) of subsection 3 of this Section
because |
the source emits less than 25 tons per year of any |
combination of
regulated air pollutants, except greenhouse |
gases, shall pay fees in accordance with paragraph (1) of
|
subsection (b) of Section 9.6.
|
i. The fee for a source allowed to emit less than |
|
100 tons per year
of any combination of regulated air |
pollutants, except greenhouse gases, shall be $1,800
|
per year, and that fee shall increase, beginning |
January 1, 2012, to $2,150 per year.
|
ii. The fee for a source allowed to emit 100 tons |
or more per year of
any combination of regulated air |
pollutants, except greenhouse gases and those |
regulated air
pollutants excluded in paragraph (f) of |
this subsection 18, shall be as follows:
|
A. The Agency shall assess a fee of $18 per
|
ton, per year for
the allowable emissions of |
regulated air pollutants subject to this |
subparagraph (ii) of paragraph (a) of subsection |
18, and that fee shall increase, beginning January |
1, 2012, to $21.50 per ton, per year. These fees |
shall be used by the Agency and
the Board to
fund |
the activities required by Title V of the Clean Air |
Act including such
activities as may be carried out |
by other State or local agencies pursuant to
|
paragraph
(d) of this subsection. The amount of |
such fee shall be based on
the
information supplied |
by the applicant in its complete CAAPP permit
|
application or in the CAAPP permit if the permit |
has been granted and shall be
determined by the |
amount of emissions that the source is allowed to |
emit
annually, provided however, that the maximum |
|
fee for a CAAPP permit under this subparagraph (ii) |
of paragraph (a) of subsection 18 is $250,000, and |
increases, beginning January 1, 2012, to $294,000. |
Beginning January 1, 2012, the maximum fee under |
this subparagraph (ii) of paragraph (a) of |
subsection 18 for a source that has been excluded |
under subsection 1.1 of this Section or under |
paragraph (c) of subsection 3 of this Section is |
$4,112. The Agency shall provide as part
of the |
permit
application form required under subsection |
5 of this Section a separate fee
calculation form |
which will allow the applicant to identify the |
allowable
emissions and calculate the fee. In no |
event
shall the Agency raise the amount of |
allowable emissions requested by the
applicant |
unless such increases are required to demonstrate |
compliance with
terms of a CAAPP permit.
|
Notwithstanding the above, any applicant may |
seek a change in its
permit which would result in |
increases in allowable emissions due to an
|
increase in the hours of operation or production |
rates of an emission unit
or units and such a |
change shall be consistent with the
construction |
permit requirements of the existing State permit |
program, under subsection (a) of
Section 39 of this |
Act and applicable provisions of this Section. |
|
Where a
construction permit is required, the |
Agency shall expeditiously grant such
construction |
permit and shall, if necessary, modify the CAAPP |
permit based on
the same application.
|
B. The applicant or
permittee may pay the fee |
annually or semiannually for those fees
greater |
than $5,000.
However, any applicant paying a fee |
equal to or greater than $100,000 shall
pay the |
full amount on July 1, for the subsequent fiscal |
year, or pay 50% of
the fee on July 1 and the |
remaining 50% by the next January 1. The Agency may
|
change any annual billing date upon reasonable |
notice, but shall prorate the
new bill so that the |
permittee or applicant does not pay more than its |
required
fees for the fee period for which payment |
is made.
|
b. (Blank).
|
c. (Blank).
|
d. There is hereby created in the State Treasury a |
special fund to be
known as the Clean Air Act Permit Fund |
(formerly known as the CAA Permit Fund). All Funds |
collected by the Agency pursuant
to this subsection shall |
be deposited into the Fund. The General Assembly
shall |
appropriate monies from this Fund to the Agency and to the |
Board to
carry out their obligations under this Section. |
The General Assembly may
also authorize monies to be |
|
granted by the Agency from this Fund to other
State and |
local agencies which perform duties related to the CAAPP.
|
Interest generated on the monies deposited in this Fund |
shall be returned to
the Fund.
|
e. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency
deems |
necessary to implement this subsection.
|
f. For purposes of this subsection, the term "regulated |
air pollutant"
shall have the meaning given to it under |
subsection 1 of this Section but
shall exclude the |
following:
|
i. carbon monoxide;
|
ii. any Class I or II substance which is a |
regulated air pollutant
solely because it is listed |
pursuant to Section 602 of the Clean Air Act;
and
|
iii. any pollutant that is a regulated air |
pollutant solely because
it is subject to a standard or |
regulation under Section 112(r) of the Clean
Air Act |
based on the emissions allowed in the permit effective |
in that
calendar year, at the time the applicable bill |
is generated.
|
19. Air Toxics Provisions.
|
a. In the event that the USEPA fails to promulgate in a |
timely manner
a standard pursuant to Section 112(d) of the |
|
Clean Air Act, the Agency
shall have the authority to issue |
permits, pursuant to Section 112(j) of
the Clean Air Act |
and regulations promulgated thereunder, which contain
|
emission limitations which are equivalent to the emission |
limitations that
would apply to a source if an emission |
standard had been
promulgated in a timely manner by USEPA |
pursuant to Section 112(d).
Provided, however, that the |
owner or operator of a source shall have the
opportunity to |
submit to the Agency a proposed emission limitation which |
it
determines to be equivalent to the emission limitations |
that would apply to
such source if an emission standard had |
been promulgated in a timely manner
by USEPA. If the Agency |
refuses to include the emission limitation
proposed by the |
owner or operator in a CAAPP permit, the owner or operator
|
may petition the Board to establish whether the emission |
limitation
proposal submitted by the owner or operator |
provides for emission
limitations which are equivalent to |
the emission limitations that would
apply to the source if |
the emission standard had been promulgated by USEPA
in a |
timely manner. The Board shall determine whether the |
emission
limitation proposed by the owner or operator or an |
alternative emission
limitation proposed by the Agency |
provides for the level of control
required under Section |
112 of the Clean Air Act, or shall otherwise
establish an |
appropriate emission limitation, pursuant to Section 112 |
of
the Clean Air Act.
|
|
b. Any Board proceeding brought under paragraph (a) or |
(e)
of this subsection shall be conducted according to the |
Board's
procedures for adjudicatory hearings and the Board |
shall render its
decision within 120 days of the filing of |
the petition. Any such decision
shall be subject to review |
pursuant to Section 41 of this Act. Where
USEPA promulgates |
an applicable emission standard prior to the issuance of
|
the CAAPP permit, the Agency shall include in the permit |
the promulgated
standard, provided that the source shall |
have the compliance period
provided under Section 112(i) of |
the Clean Air Act. Where USEPA promulgates an
applicable |
standard subsequent to the issuance of the CAAPP permit, |
the Agency
shall revise such permit upon the next renewal |
to reflect the promulgated
standard, providing a |
reasonable time for the applicable source to comply with
|
the standard, but no longer than 8 years after the date on |
which the source is
first required to comply with the |
emissions limitation established under this
subsection.
|
c. The Agency shall have the authority to implement and |
enforce complete
or partial emission standards promulgated |
by USEPA pursuant to Section 112(d),
and standards |
promulgated by USEPA pursuant to Sections 112(f), 112(h), |
112(m),
and 112(n), and may accept delegation of authority |
from USEPA to implement and
enforce Section 112(l) and |
requirements for the prevention and detection of
|
accidental releases pursuant to Section 112(r) of the Clean |
|
Air Act.
|
d. The Agency shall have the authority to issue permits |
pursuant to
Section 112(i)(5) of the Clean Air Act.
|
e. The Agency has the authority to implement Section |
112(g) of
the Clean Air Act consistent with the Clean Air |
Act and federal regulations
promulgated thereunder. If the |
Agency refuses to include the emission
limitations |
proposed in an application submitted by an owner or |
operator for a
case-by-case maximum achievable control |
technology (MACT) determination, the
owner or operator may |
petition the Board to determine whether the emission
|
limitation proposed by the owner or operator or an |
alternative emission
limitation proposed by the Agency |
provides for a level of control required by
Section 112 of |
the Clean Air Act, or to otherwise establish an appropriate
|
emission limitation under Section 112 of the Clean Air Act.
|
20. Small Business.
|
a. For purposes of this subsection:
|
"Program" is the Small Business Stationary Source |
Technical and
Environmental Compliance Assistance Program |
created within this State pursuant
to Section 507 of the |
Clean Air Act and guidance promulgated thereunder, to
|
provide technical assistance and compliance information to |
small business
stationary sources;
|
"Small Business Assistance Program" is a component of |
|
the Program
responsible for providing sufficient |
communications with small businesses
through the |
collection and dissemination of information to small |
business
stationary sources; and
|
"Small Business Stationary Source" means a stationary |
source that:
|
1. is owned or operated by a person that employs |
100 or fewer
individuals;
|
2. is a small business concern as defined in the |
"Small Business Act";
|
3. is not a major source as that term is defined in |
subsection 2 of this
Section;
|
4. does not emit 50 tons or more per year of any |
regulated air
pollutant, except greenhouse gases; and
|
5. emits less than 75 tons per year of all |
regulated pollutants, except greenhouse gases.
|
b. The Agency shall adopt and submit to USEPA, after |
reasonable notice and
opportunity for public comment, as a |
revision to the Illinois state
implementation plan, plans |
for establishing the Program.
|
c. The Agency shall have the authority to enter into |
such contracts
and agreements as the Agency deems necessary |
to carry out the purposes of
this subsection.
|
d. The Agency may establish such procedures as it may |
deem necessary
for the purposes of implementing and |
executing its responsibilities under
this subsection.
|
|
e. There shall be appointed a Small Business Ombudsman |
(hereinafter in
this subsection referred to as |
"Ombudsman") to monitor the Small Business
Assistance |
Program. The Ombudsman shall be a nonpartisan designated |
official,
with the ability to independently assess whether |
the goals of the Program are
being met.
|
f. The State Ombudsman Office shall be located in an |
existing Ombudsman
office within the State or in any State |
Department.
|
g. There is hereby created a State Compliance Advisory |
Panel (hereinafter
in this subsection referred to as |
"Panel") for determining the overall
effectiveness of the |
Small Business Assistance Program within this State.
|
h. The selection of Panel members shall be by the |
following method:
|
1. The Governor shall select two members who are |
not owners or
representatives of owners of small |
business stationary sources to represent the
general |
public;
|
2. The Director of the Agency shall select one |
member to represent the
Agency; and
|
3. The State Legislature shall select four members |
who are owners or
representatives of owners of small |
business stationary sources. Both the
majority and |
minority leadership in both Houses of the Legislature |
shall
appoint one member of the panel.
|
|
i. Panel members should serve without compensation but |
will receive full
reimbursement for expenses including |
travel and per diem as authorized within
this State.
|
j. The Panel shall select its own Chair by a majority |
vote. The Chair may
meet and consult with the Ombudsman and |
the head of the Small Business
Assistance Program in |
planning the activities for the Panel.
|
21. Temporary Sources.
|
a. The Agency may issue a single permit authorizing |
emissions from similar
operations by the same source owner |
or operator at multiple temporary
locations, except for |
sources which are affected sources for acid deposition
|
under Title IV of the Clean Air Act.
|
b. The applicant must demonstrate that the operation is |
temporary and will
involve at least one change of location |
during the term of the permit.
|
c. Any such permit shall meet all applicable |
requirements of this Section
and applicable regulations, |
and include conditions assuring compliance with all
|
applicable requirements at all authorized locations and |
requirements that the
owner or operator notify the Agency |
at least 10 days in advance of each change
in location.
|
22. Solid Waste Incineration Units.
|
a. A CAAPP permit for a solid waste incineration unit |
|
combusting municipal
waste subject to standards |
promulgated under Section 129(e) of the Clean Air
Act shall |
be issued for a period of 12 years and shall be reviewed |
every 5
years, unless the Agency requires more frequent |
review through Agency
procedures.
|
b. During the review in paragraph (a) of this |
subsection, the Agency shall
fully review the previously |
submitted CAAPP permit application and
corresponding |
reports subsequently submitted to determine whether the |
source is
in compliance with all applicable requirements.
|
c. If the Agency determines that the source is not in |
compliance with all
applicable requirements it shall |
revise the CAAPP permit as appropriate.
|
d. The Agency shall have the authority to adopt |
procedural rules, in
accordance with the Illinois |
Administrative Procedure Act, as the Agency deems
|
necessary, to implement this subsection.
|
(Source: P.A. 99-380, eff. 8-17-15; 99-933, eff. 1-27-17.)
|
(415 ILCS 5/55) (from Ch. 111 1/2, par. 1055)
|
Sec. 55. Prohibited activities.
|
(a) No person shall:
|
(1) Cause or allow the open dumping of any used or |
waste tire.
|
(2) Cause or allow the open burning of any used or |
waste tire.
|
|
(3) Except at a tire storage site which contains more |
than 50 used
tires, cause or allow the storage of any used |
tire unless the tire is
altered, reprocessed, converted, |
covered, or otherwise prevented from
accumulating water.
|
(4) Cause or allow the operation of a tire storage site |
except in
compliance with Board regulations.
|
(5) Abandon, dump or dispose of any used or waste tire |
on private or
public property, except in a sanitary |
landfill approved by the Agency
pursuant to regulations |
adopted by the Board.
|
(6) Fail to submit required reports, tire removal |
agreements,
or Board regulations.
|
(b) (Blank.)
|
(b-1) No Beginning January 1, 1995,
no person shall |
knowingly mix any used or waste tire, either whole or cut, with
|
municipal waste, and no owner or operator of a sanitary |
landfill shall accept
any used or waste tire for final |
disposal; except that used or waste tires,
when separated from |
other waste, may be accepted if : (1) the sanitary landfill
|
provides and maintains a means for shredding, slitting, or |
chopping whole tires
and so treats whole tires and, if approved |
by the Agency in a permit issued
under this Act, uses the used |
or waste tires for alternative uses, which may
include on-site |
practices such as lining of roadways with tire scraps,
|
alternative daily cover, or use in a leachate collection system |
or (2) the
sanitary landfill, by its notification to the |
|
Illinois Industrial Materials
Exchange Service, makes |
available the used or waste tire to an appropriate
facility for |
reuse, reprocessing, or converting, including use as an |
alternate
energy fuel. If, within 30 days after notification to |
the Illinois Industrial
Materials Exchange Service of the |
availability of waste tires, no specific
request for the used |
or waste tires is received by the sanitary landfill, and
the |
sanitary landfill determines it has no alternative use for |
those used or
waste tires, the sanitary landfill may dispose of |
slit, chopped, or
shredded used or waste tires in the sanitary |
landfill .
In the event the physical condition of a used or |
waste tire makes shredding,
slitting, chopping, reuse, |
reprocessing, or other alternative use of the used
or waste |
tire impractical or infeasible, then the sanitary landfill, |
after
authorization by the Agency, may accept the used or waste |
tire for disposal.
|
Sanitary landfills and facilities for reuse, reprocessing, |
or converting,
including use as alternative fuel, shall (i) |
notify the Illinois Industrial
Materials Exchange Service of |
the availability of and demand for used or waste
tires and (ii) |
consult with the Department of Commerce and Economic |
Opportunity
regarding the status of marketing of waste tires to |
facilities for reuse.
|
(c) Any person who sells new or used
tires at retail or |
operates a tire storage
site or a tire disposal site which |
contains more than 50 used or waste
tires shall give notice of |
|
such activity to the Agency. Any person
engaging in such |
activity for the first time after January 1, 1990, shall
give |
notice to the Agency within 30 days after the date of |
commencement of
the activity. The form of such notice shall be |
specified by the Agency and
shall be limited to information |
regarding the following:
|
(1) the name and address of the owner and operator;
|
(2) the name, address and location of the operation;
|
(3) the type of operations involving used and waste |
tires (storage,
disposal, conversion or processing); and
|
(4) the number of used and waste tires present at the |
location.
|
(d) Beginning January 1, 1992, no person shall cause or |
allow the
operation of:
|
(1) a tire storage site which contains more than 50 |
used tires,
unless the owner or operator, by January 1, |
1992 (or the January 1
following commencement of operation, |
whichever is later) and January 1 of
each year thereafter, |
(i) registers the site with the Agency, except that the |
registration requirement in this item (i) does not apply in |
the case of a tire storage site required to be permitted |
under subsection (d-5), (ii)
certifies to the Agency that |
the site complies with any applicable
standards adopted by |
the Board pursuant to Section 55.2, (iii) reports to
the |
Agency the number of tires accumulated, the status of |
vector controls,
and the actions taken to handle and |
|
process the tires, and (iv) pays the
fee required under |
subsection (b) of Section 55.6; or
|
(2) a tire disposal site, unless the owner or operator |
(i) has
received approval from the Agency after filing a |
tire removal agreement
pursuant to Section 55.4, or (ii) |
has entered into a written agreement to
participate in a |
consensual removal action under Section 55.3.
|
The Agency shall provide written forms for the annual |
registration and
certification required under this subsection |
(d).
|
(d-4) On or before January 1, 2015, the owner or operator |
of each tire storage site that contains used tires totaling |
more than 10,000 passenger tire equivalents, or at which more |
than 500 tons of used tires are processed in a calendar year, |
shall submit documentation demonstrating its compliance with |
Board rules adopted under this Title. This documentation must |
be submitted on forms and in a format prescribed by the Agency. |
(d-5) Beginning July 1, 2016, no person shall cause or |
allow the operation of a tire storage site that contains used |
tires totaling more than 10,000 passenger tire equivalents, or |
at which more than 500 tons of used tires are processed in a |
calendar year, without a permit granted by the Agency or in |
violation of any conditions imposed by that permit, including |
periodic reports and full access to adequate records and the |
inspection of facilities, as may be necessary to ensure |
compliance with this Act and with regulations and standards |
|
adopted under this Act. |
(d-6) No person shall cause or allow the operation of a |
tire storage site in violation of the financial assurance rules |
established by the Board under subsection (b) of Section 55.2 |
of this Act. In addition to the remedies otherwise provided |
under this Act, the State's Attorney of the county in which the |
violation occurred, or the Attorney General, may, at the |
request of the Agency or on his or her own motion, institute a |
civil action for an immediate injunction, prohibitory or |
mandatory, to restrain any violation of this subsection (d-6) |
or to require any other action as may be necessary to abate or |
mitigate any immediate danger or threat to public health or the |
environment at the site. Injunctions to restrain a violation of |
this subsection (d-6) may include, but are not limited to, the |
required removal of all tires for which financial assurance is |
not maintained and a prohibition against the acceptance of |
tires in excess of the amount for which financial assurance is |
maintained. |
(e) No person shall cause or allow the storage, disposal, |
treatment or
processing of any used or waste tire in violation |
of any regulation or
standard adopted by the Board.
|
(f) No person shall arrange for the transportation of used |
or waste tires
away from the site of generation with a person |
known to openly dump such tires.
|
(g) No person shall engage in any operation as a used or |
waste tire
transporter except in compliance with Board |
|
regulations.
|
(h) No person shall cause or allow the combustion of any |
used or waste
tire in an enclosed device unless a permit has |
been issued by the Agency
authorizing such combustion pursuant |
to regulations adopted by the Board
for the control of air |
pollution and consistent with the provisions of
Section 9.4 of |
this Act.
|
(i) No person shall cause or allow the use of pesticides to |
treat tires
except as prescribed by Board regulations.
|
(j) No person shall fail to comply with the terms of a tire |
removal
agreement approved by the Agency pursuant to Section |
55.4.
|
(k) No person shall: |
(1) Cause or allow water to accumulate in used or waste |
tires. The prohibition set forth in this paragraph (1) of |
subsection (k) shall not apply to used or waste tires |
located at a residential household, as long as not more |
than 12 used or waste tires are located at the site. |
(2) Fail to collect a fee required under Section 55.8 |
of this Title. |
(3) Fail to file a return required under Section 55.10 |
of this Title. |
(4) Transport used or waste tires in violation of the |
registration and vehicle placarding requirements adopted |
by the Board. |
(Source: P.A. 98-656, eff. 6-19-14.)
|
|
(415 ILCS 5/55.6) (from Ch. 111 1/2, par. 1055.6)
|
Sec. 55.6. Used Tire Management Fund.
|
(a) There is hereby created in the State Treasury a special
|
fund to be known as the Used Tire Management Fund. There shall |
be
deposited into the Fund all monies received as (1) recovered |
costs or
proceeds from the sale of used tires under Section |
55.3 of this Act, (2)
repayment of loans from the Used Tire |
Management Fund, or (3) penalties or
punitive damages for |
violations of this Title, except as provided by
subdivision |
(b)(4) or (b)(4-5) of Section 42.
|
(b) Beginning January 1, 1992, in addition to any other |
fees required by
law, the owner or operator of each site |
required to be registered or permitted under
subsection (d) or |
(d-5) of Section 55 shall pay to the Agency an annual fee of |
$100.
Fees collected under this subsection shall be deposited |
into the Environmental
Protection Permit and Inspection Fund.
|
(c) Pursuant to appropriation, monies up to an amount of $2 |
million per
fiscal year from the Used Tire Management Fund |
shall be allocated as follows:
|
(1) 38% shall be available to the Agency for the |
following
purposes, provided that priority shall be given |
to item (i):
|
(i) To undertake preventive, corrective or removal |
action as
authorized by and in accordance with Section |
55.3, and
to recover costs in accordance with Section |
|
55.3.
|
(ii) For the performance of inspection and |
enforcement activities for
used and waste tire sites.
|
(iii) (Blank). To assist with marketing of used |
tires by augmenting the
operations of an industrial |
materials exchange service.
|
(iv) To provide financial assistance to units of |
local government
for the performance of inspecting, |
investigating and enforcement activities
pursuant to |
subsection (r) of Section 4 at used and waste tire |
sites.
|
(v) To provide financial assistance for used and |
waste tire collection
projects sponsored by local |
government or not-for-profit corporations.
|
(vi) For the costs of fee collection and |
administration relating to
used and waste tires, and to |
accomplish such other purposes as are
authorized by |
this Act and regulations thereunder.
|
(vii) To provide financial assistance to units of |
local government and private industry for the purposes |
of: |
(A) assisting in the establishment of |
facilities and programs to collect, process, and |
utilize used and waste tires and tire-derived |
materials; |
(B) demonstrating the feasibility of |
|
innovative technologies as a means of collecting, |
storing, processing, and utilizing used and waste |
tires and tire-derived materials; and |
(C) applying demonstrated technologies as a |
means of collecting, storing, processing, and |
utilizing used and waste tires and tire-derived |
materials. |
(2) For fiscal years beginning prior to July 1, 2004,
|
23% shall be available to the Department of Commerce and
|
Economic Opportunity for the following purposes, provided |
that priority shall be
given to item (A):
|
(A) To provide grants or loans for the purposes of:
|
(i) assisting units of local government and |
private industry in the
establishment of |
facilities and programs to collect, process
and |
utilize used and waste tires and tire derived |
materials;
|
(ii) demonstrating the feasibility of |
innovative technologies as a
means of collecting, |
storing, processing and utilizing used
and waste |
tires and tire derived materials; and
|
(iii) applying demonstrated technologies as a |
means of collecting,
storing, processing, and |
utilizing used and waste tires
and tire derived |
materials.
|
(B) To develop educational material for use by |
|
officials and the public
to better understand and |
respond to the problems posed by used tires and
|
associated insects.
|
(C) (Blank).
|
(D) To perform such research as the Director deems |
appropriate to
help meet the purposes of this Act.
|
(E) To pay the costs of administration of its |
activities authorized
under this Act.
|
(2.1) For the fiscal year beginning July 1, 2004 and |
for all fiscal years thereafter, 23% shall be deposited |
into the General Revenue Fund.
|
(3) 25% shall be available to the Illinois Department |
of
Public Health for the following purposes:
|
(A) To investigate threats or potential threats to |
the public health
related to mosquitoes and other |
vectors of disease associated with the
improper |
storage, handling and disposal of tires, improper |
waste disposal,
or natural conditions.
|
(B) To conduct surveillance and monitoring |
activities for
mosquitoes and other arthropod vectors |
of disease, and surveillance of
animals which provide a |
reservoir for disease-producing organisms.
|
(C) To conduct training activities to promote |
vector control programs
and integrated pest management |
as defined in the Vector Control Act.
|
(D) To respond to inquiries, investigate |
|
complaints, conduct evaluations
and provide technical |
consultation to help reduce or eliminate public
health |
hazards and nuisance conditions associated with |
mosquitoes and other
vectors.
|
(E) To provide financial assistance to units of |
local government for
training, investigation and |
response to public nuisances associated with
|
mosquitoes and other vectors of disease.
|
(4) 2% shall be available to the Department of |
Agriculture for its
activities under the Illinois |
Pesticide Act relating to used and waste tires.
|
(5) 2% shall be available to the Pollution Control |
Board for
administration of its activities relating to used |
and waste tires.
|
(6) 10% shall be available to the Department of Natural |
Resources for
the Illinois Natural History Survey to |
perform research to study the biology,
distribution, |
population ecology, and biosystematics of tire-breeding
|
arthropods, especially mosquitoes, and the diseases they |
spread.
|
(d) By January 1, 1998, and biennially thereafter, each |
State
agency receiving an appropriation from the Used Tire |
Management Fund shall
report to the Governor and the General |
Assembly on its activities relating to
the Fund.
|
(e) Any monies appropriated from the Used Tire Management |
Fund, but not
obligated, shall revert to the Fund.
|
|
(f) In administering the provisions of subdivisions (1), |
(2) and (3) of
subsection (c) of this Section, the Agency, the |
Department of Commerce and
Economic Opportunity, and the |
Illinois
Department of Public Health shall ensure that |
appropriate funding
assistance is provided to any municipality |
with a population over 1,000,000
or to any sanitary district |
which serves a population over 1,000,000.
|
(g) Pursuant to appropriation, monies in excess of $2 |
million per fiscal
year from the Used Tire Management Fund |
shall be used as follows:
|
(1) 55% shall be available to the Agency for the |
following purposes, provided that priority shall be given |
to subparagraph (A): |
(A) To undertake preventive,
corrective or renewed |
action as authorized by and in accordance with
Section |
55.3 and to recover costs in accordance with Section |
55.3.
|
(B) To provide financial assistance to units of |
local government and private industry for the purposes |
of: |
(i) assisting in the establishment of |
facilities and programs to collect, process, and |
utilize used and waste tires and tire-derived |
materials; |
(ii) demonstrating the feasibility of |
innovative technologies as a means of collecting, |
|
storing, processing, and utilizing used and waste |
tires and tire-derived materials; and |
(iii) applying demonstrated technologies as a |
means of collecting, storing, processing, and |
utilizing used and waste tires and tire-derived |
materials. |
(2) For fiscal years beginning prior to July 1, 2004,
|
45% shall be available to the Department of Commerce and |
Economic Opportunity to provide grants or loans for the |
purposes of:
|
(i) assisting units of local government and |
private industry in the
establishment of facilities |
and programs to collect, process and utilize
waste |
tires and tire derived material;
|
(ii) demonstrating the feasibility of innovative |
technologies as a
means of collecting, storing, |
processing, and utilizing used and waste tires
and tire |
derived materials; and
|
(iii) applying demonstrated technologies as a |
means of collecting,
storing, processing, and |
utilizing used and waste tires and tire derived
|
materials.
|
(3) For the fiscal year beginning July 1, 2004 and for |
all fiscal years thereafter, 45% shall be deposited into |
the General Revenue Fund.
|
(Source: P.A. 98-656, eff. 6-19-14.)
|
|
(415 ILCS 5/17.6 rep.)
|
Section 15. The Environmental Protection Act is amended by |
repealing Section 17.6. |
Section 20. The Environmental Toxicology Act is amended by |
changing Sections 3 and 5 as follows:
|
(415 ILCS 75/3) (from Ch. 111 1/2, par. 983)
|
Sec. 3. Definitions. As used in this Act, unless the |
context otherwise
requires;
|
(a) "Department" means the Illinois Department of Public |
Health;
|
(b) "Director" means the Director of the Illinois |
Department of Public
Health;
|
(c) "Program" means the Environmental Toxicology program |
as established by
this Act;
|
(d) "Exposure" means contact with a hazardous substance;
|
(e) "Hazardous Substance" means chemical compounds, |
elements, or
combinations of chemicals which, because of |
quantity concentration, physical
characteristics or |
toxicological characteristics may pose a substantial
present |
or potential hazard to human health and includes, but is not
|
limited to, any substance defined as a hazardous substance in |
Section 3.215
of the "Environmental Protection Act", approved |
June 29, 1970, as
amended;
|
|
(f) "Initial Assessment" means a review and evaluation of |
site history
and hazardous substances involved, potential for |
population exposure, the
nature of any health related |
complaints and any known patterns in disease
occurrence;
|
(g) "Comprehensive Health Study" means a detailed analysis |
which may
include: a review of available
environmental, |
morbidity and mortality data; environmental and biological
|
sampling; detailed review of scientific literature; exposure |
analysis;
population surveys; or any other scientific or |
epidemiologic methods
deemed necessary to adequately evaluate |
the health status of the population
at risk and any potential |
relationship to environmental factors;
|
(h) "Superfund Site" means any hazardous waste site |
designated for
cleanup on the National Priorities List as |
mandated by the Comprehensive
Environmental Response, |
Compensation, and Liability Act of 1980 (P.L. 96-510),
as |
amended;
|
(i) (Blank). "State Remedial Action Priority List" means a |
list compiled by the
Illinois Environmental Protection Agency |
which identifies sites that appear
to present significant risk |
to the public health, welfare or environment.
|
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 75/5) (from Ch. 111 1/2, par. 985)
|
Sec. 5.
(a) Upon request by the Illinois Environmental |
Protection
Agency, the Department shall conduct an initial |
|
assessment for any location
designated as a Superfund Site or |
on the State Remedial Action Priority
List . Such assessment |
shall be initiated within 60 days of the request.
|
(b) (Blank). For sites designated as Superfund Sites or |
sites on the State
Remedial Action Priority List on the |
effective date of this Act, the
Department and the Illinois |
Environmental Protection Agency shall jointly
determine which |
sites warrant initial assessment. If warranted, initial
|
assessment shall be initiated by January 1, 1986.
|
(c) If, as a result of the initial assessment, the |
Department determines
that a public health problem related to |
exposure to hazardous substances
may exist in a community |
located near a designated site, the
Department shall conduct a |
comprehensive health study to assess the full
relationship, if |
any, between such threat or potential threat and possible
|
exposure to hazardous substances at the designated site.
|
(Source: P.A. 84-987.)
|
Section 99. Effective date. This Act takes effect upon |
becoming law.
|
|
INDEX
|
Statutes amended in order of appearance
| | 225 ILCS 320/35.5 | | | 415 ILCS 5/12.4 | | | 415 ILCS 5/21 | from Ch. 111 1/2, par. 1021 | | 415 ILCS 5/22.15 | from Ch. 111 1/2, par. 1022.15 | | 415 ILCS 5/22.28 | from Ch. 111 1/2, par. 1022.28 | | 415 ILCS 5/22.29 | from Ch. 111 1/2, par. 1022.29 | | 415 ILCS 5/55 | from Ch. 111 1/2, par. 1055 | | 415 ILCS 5/55.6 | from Ch. 111 1/2, par. 1055.6 | | 415 ILCS 5/17.6 rep. | | | 415 ILCS 75/3 | from Ch. 111 1/2, par. 983 | | 415 ILCS 75/5 | from Ch. 111 1/2, par. 985 |
|
|