State of Illinois
Public Acts
92nd General Assembly

[ Home ]  [ ILCS ] [ Search ] [ Bottom ]
 [ Other General Assemblies ]

Public Act 92-0024

HB3373 Enrolled                               LRB9201352LDprB

    AN ACT in relation to environmental matters.

    Be it enacted by the People of  the  State  of  Illinois,
represented in the General Assembly:

    Section  5.   The Environmental Protection Act is amended
by changing Sections 39.5, 54.12, 54.13, and 55.3 as follows:

    (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 implement 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 subsection (1) of this definition, "any standard  or
    other  requirement"  shall  mean  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" shall have the meaning given
to it in Section  402(26)  of  the  Clean  Air  Act  and  the
regulations promulgated thereunder which states that the term
'designated  representative'  shall mean 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  paragraph   5(j),
subsection 13, or subsection 14 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 2(c) 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.
    "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  are  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
are located on contiguous or adjacent properties, and/or  are
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.
    "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 2(c)  of  this  Section,
    within  a  State  operating  permit  issued  pursuant  to
    Section  39(a) of this Act. After such date, an exclusion
    from the CAAPP may be sought under paragraph 3(c) 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 Section  39(a)  of  this  Act,  the
    Agency  shall  issue  a  State  operating permit for such
    source under Section 39(a) 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  2(c)  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 which 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  which
         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.
         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
         (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  regulated by a standard promulgated
              under Section 111 or 112 of the Clean Air  Act,
              but  only  with respect to those air pollutants
              that have been regulated for that category.
                   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
              paragraph 2(c)(ii) 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 Section 39(a)
    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 2(c) of this Section,
    thereby  excluding  the  source  from  the  CAAPP,   when
    requested  by the applicant pursuant to paragraph 5(u) 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 and/or operating permit
    as  required for such modification in accordance with the
    State permit program under Section 39(a) of this Act,  as
    amended,  and  regulations  promulgated  thereunder.  The
    application for such construction and/or operating permit
    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 subsection 5(j) 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 three 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 of 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  5(g)  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  7(j)  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 7(l) 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
    3(c) 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 1.1(b) 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
    subsection  3(c) 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 7(m) 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
         5(p) 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 of 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 7(j) 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 7(j) 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  5(d)  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 Section 39.5 of the Act.
                   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 Sections 7(a) and
    7.1 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(a)
    or Section 7.1 of this Act, the owner or  operator  shall
    submit  such information separately.  The requirements of
    Section 7(a) or Section 7.1 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(a) or Section 7.1 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.
    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 8(b) 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  of
    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
    paragraphs  (a)(i)-(a)(iv) 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  (a)  (i)
    through  (a)  (iii)  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  7(j) 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  (a)(ii),  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  7(j) of this Section shall not apply
              to   any   change   made   pursuant   to   this
              subparagraph (a) (ii).    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 (a)(iii), 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 7(j) 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 7(j) 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  of
    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) Incorporates into the CAAPP permit
         revised limitations or other requirements  resulting
         from   the   application  of  an  approved  economic
         incentives  rule,  a  marketable  permits  rule   or
         generic  emissions  trading  rule, where these rules
         have been approved  by  USEPA  and  require  changes
         thereunder    to    meet   procedural   requirements
         substantially equivalent to those specified in  this
         Section; 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  7(j) of this Section for administrative permit
    amendments made pursuant to subparagraph (c)(v)  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 subparagraphs  (a)(i)  and
         (b)(ii)    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  5(e) 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  of  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 8(d) 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  of  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
         subparagraphs (a)(v)(A) through  (a)(v)(C)  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 subparagraph 7(j)
         of  this  Section  may  not  extend  to minor permit
         modifications.
              viii.  If a construction  permit  is  required,
         pursuant   to   Section   39(a)   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 14(a)(v).
         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 14(a)(i) 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 5(e) 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  subparagraph  (b)(ii)(B)  of  this
              subsection.
                   E.  Certification,     consistent     with
              paragraph 5(e), 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 of receipt of an application demonstrating that
         the  aggregate  of  a  source's pending applications
         equals or exceeds  the  threshold  level  set  forth
         within  subparagraph  (b)(ii)(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 8(d) of this Section
         to USEPA.
              v.  The provisions of  subparagraph  (a)(v)  of
         this   subsection   shall   apply  to  modifications
         eligible  for  group  processing,  except  that  the
         Agency shall take one of the  actions  specified  in
         subparagraphs  (a)(v)(A)  through  (a)(v)(D) of this
         subsection  within  180  days  of  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 (a)(vi) of
         this subsection shall  apply  to  modifications  for
         group processing.
              vii.  The  provisions of paragraph 7(j) 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 of 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 of receipt.
              i.  When    USEPA    reviews    the    proposed
         determination to terminate or revoke and reissue and
         does not object, the Board shall, within 7  days  of
         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.  For each 12 month period after the date on which
    the  USEPA  approves or conditionally approves the CAAPP,
    but in no event  prior  to  January  1,  1994,  a  source
    subject  to this Section or excluded under subsection 1.1
    or paragraph 3(c) of this Section, shall  pay  a  fee  as
    provided   in  this  part  (a)  of  this  subsection  18.
    However,  a  source  that  has  been  excluded  from  the
    provisions  of  this  Section  under  subsection  1.1  or
    paragraph 3(c) of this Section because the  source  emits
    less  than  25  tons  per  year  of  any  combination  of
    regulated  air  pollutants  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 shall be $1,000 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 for those regulated
         air  pollutants  excluded in paragraph 18(f) of this
         subsection, shall be as follows:
                   A.  The Agency shall assess an annual  fee
              of  $13.50  per ton for the allowable emissions
              of all regulated air pollutants at that  source
              during  the  term  of  the  permit.  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  no  source  shall  be
              required  to  pay  an  annual  fee in excess of
              $100,000.  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 for the term of the permit.
              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 Section
              39(a) 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.  Except  for  the  first  year  of  the
              CAAPP, 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). For fiscal year 1999  and  each  fiscal
    year thereafter, to the extent that permit fees collected
    and  deposited  in the CAA Permit Fund during that fiscal
    year exceed 115% of the  actual  expenditures  (excluding
    permit  fee  reimbursements) from the CAA Permit Fund for
    that fiscal year (including lapse period  spending),  the
    excess   shall   be   reimbursed  to  the  permittees  in
    proportion  to  their  original   fee   payments.    Such
    reimbursements  shall be made during the next fiscal year
    and may be made in the form  of  a  credit  against  that
    fiscal year's permit fee.
         c.  There  shall  be  created  a  CAA Fee Panel of 5
    persons.  The Panel shall:
              i.  If it deems necessary on an  annual  basis,
         render  advisory  opinions  to  the  Agency  and the
         General Assembly regarding the appropriate level  of
         Title V Clean Air Act fees for the next fiscal year.
         Such  advisory opinions shall be based on a study of
         the operations of the Agency and  any  other  entity
         requesting appropriations from the CAA Permit Fund.
         This  study  shall  recommend  changes  in  the  fee
         structure, if warranted.  The study will be based on
         the  ability  of  the  Agency  or  other  entity  to
         effectively  utilize  the funds generated as well as
         the entity's conformance  with  the  objectives  and
         measurable  benchmarks  identified  by the Agency as
         justification  for  the  prior  year's  fee.    Such
         advisory   opinions   shall   be  submitted  to  the
         appropriation committees no later than April 15th of
         each year.
              ii.  Not be compensated for their services, but
         shall receive reimbursement for their expenses.
              iii.  Be appointed as follows:   4  members  by
         the  Director  of  the Agency from a list of no more
         than 8  persons,  submitted  by  representatives  of
         associations who represent facilities subject to the
         provisions  of  this  subsection and the Director of
         the Agency or designee.
         d.  There is hereby created in the State Treasury  a
    special  fund  to be 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. The General  Assembly
    may  appropriate  up  to the sum of $25,000 to the Agency
    from the CAA Permit Fund for use by the Panel in carrying
    out its responsibilities under this subsection.
         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; and
              iv.  during   the   years   1995  through  1999
         inclusive, any emissions from affected  sources  for
         acid deposition under Section 408(c)(4) of the Clean
         Air Act.

    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; and
              5.  emits less than 75 tons  per  year  of  all
         regulated pollutants.
         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.  89-79,  eff.  6-30-95;  90-14,  eff.  7-1-97;
90-367, eff. 8-10-97; 90-773, eff. 8-14-98.)

    (415 ILCS 5/54.12) (from Ch. 111 1/2, par. 1054.12)
    Sec. 54.12.  "Tire storage site" means a site where  used
tires  are  stored  or  processed, other than (1) the site at
which the tires were separated from the  vehicle  wheel  rim,
(2)  the  site where the used tires were accepted in trade as
part of a sale of new tires, or (3) a site at which both  new
and  used  tires  are sold at retail in the regular course of
business, and at which not more than 250 used tires are  kept
at  any  time  or  (4)  a facility at which tires are sold at
retail provided that the facility maintains  less  than  1300
recyclable tires, 1300 tire carcasses, and 1300 used tires on
site  and those tires are stored inside a building or so that
they are prevented from accumulating water.
(Source: P.A. 89-200, eff. 1-1-96.)

    (415 ILCS 5/54.13) (from Ch. 111 1/2, par. 1054.13)
    Sec. 54.13.   "Used  tire"  means  a  worn,  damaged,  or
defective  tire  that which is not mounted on a vehicle wheel
rim.
(Source: P.A. 86-452.)

    (415 ILCS 5/55.3) (from Ch. 111 1/2, par. 1055.3)
    Sec. 55.3.  (a) Upon finding that an accumulation of used
or waste tires creates an immediate  danger  to  health,  the
Agency may take action pursuant to Section 34 of this Act.
    (b)  Upon  making  a finding that an accumulation of used
or waste tires creates a hazard posing  a  threat  to  public
health   or   the   environment,  the  Agency  may  undertake
preventive or  corrective  action  in  accordance  with  this
subsection.  Such preventive or corrective action may consist
of any or all of the following:
         (1)  Treating  and  handling used or waste tires and
    other infested materials within the area for  control  of
    mosquitoes and other disease vectors.
         (2)  Relocation  of ignition sources and any used or
    waste tires within the area for control and prevention of
    tire fires.
         (3)  Removal of used and  waste  tire  accumulations
    from the area.
         (4)  Removal of soil and water contamination related
    to tire accumulations.
         (5)  Installation  of devices to monitor and control
    groundwater and surface water  contamination  related  to
    tire accumulations.
         (6)  Such  other  actions  as  may  be authorized by
    Board regulations.
    (c)  The Agency  may,  subject  to  the  availability  of
appropriated funds, undertake a consensual removal action for
the  removal of up to 1,000 used or waste tires at no cost to
the owner according to the following requirements:
         (1)  Actions under this subsection  shall  be  taken
    pursuant  to  a  written agreement between the Agency and
    the owner of the tire accumulation.
         (2)  The  written  agreement  shall  at  a   minimum
    specify:
              (i)  that  the  owner relinquishes any claim of
         an ownership interest in any tires that are removed,
         or in any proceeds from their sale;
              (ii)  that tires will no longer be  allowed  to
         be accumulated at the site;
              (iii)  that  the  owner  will hold harmless the
         Agency or any employee or contractor utilized by the
         Agency to effect the  removal,  for  any  damage  to
         property  incurred during the course of action under
         this subsection,  except  for  gross  negligence  or
         intentional misconduct; and
              (iv)  any   conditions   upon   or   assistance
         required from the owner to assure that the tires are
         so  located  or  arranged  as  to  facilitate  their
         removal.
         (3)  The Agency may by rule establish conditions and
    priorities for removal of used and waste tires under this
    subsection.
         (4)  The  Agency shall prescribe the form of written
    agreements under this subsection.
    (d)  The Agency shall have authority to provide notice to
the owner or operator, or both, of a site where used or waste
tires are located and to the owner or operator, or  both,  of
the  accumulation  of  tires at the site, whenever the Agency
finds that the used or waste tires pose a  threat  to  public
health  or  the environment, or that there is no the owner or
operator, or both, is not proceeding  in  accordance  with  a
tire removal agreement approved under Section 55.4.
    The  notice  provided  by  the  Agency  shall include the
identified preventive or corrective action, and shall provide
an opportunity for the owner or operator, or both, to perform
such action.
    For  sites  with  more  than   250,000   passenger   tire
equivalents,  following  the  notice  provided  for  by  this
subsection   (d),   the  Agency  may  enter  into  a  written
reimbursement agreement with the owner  or  operator  of  the
site.   The  agreement shall provide a schedule for the owner
or operator to reimburse the Agency for  costs  incurred  for
preventive  or  corrective  action,  which shall not exceed 5
years in length. An owner or operator making payments under a
written reimbursement agreement pursuant to  this  subsection
(d) shall not be liable for punitive damages under subsection
(h) of this Section.
    (e)  In  accordance  with constitutional limitations, the
Agency shall have authority to enter at all reasonable  times
upon any private or public property for the purpose of taking
whatever  preventive  or  corrective  action is necessary and
appropriate  in  accordance  with  the  provisions  of   this
Section,  including but not limited to removal, processing or
treatment of used or waste tires, whenever the  Agency  finds
that  used  or  waste tires pose a threat to public health or
the environment.
    (f)  In undertaking preventive, corrective or  consensual
removal action under this Section the Agency may consider use
of  the  following:  rubber  reuse alternatives, shredding or
other conversion through use of mobile or  fixed  facilities,
energy recovery through burning or incineration, and landfill
disposal.   To  the  extent  practicable,  the  Agency  shall
consult with the Department of Commerce and Community Affairs
regarding  the  availability  of  alternatives to landfilling
used and waste tires, and shall make every reasonable  effort
to  coordinate tire cleanup projects with applicable programs
that relate to such alternative practices.
    (g)  Except as otherwise provided in  this  Section,  the
owner  or  operator  of  any  site or accumulation of used or
waste tires at which the Agency has undertaken corrective  or
preventive  action under this Section shall be liable for all
costs thereof incurred by the State  of  Illinois,  including
reasonable  costs  of collection.  Any monies received by the
Agency hereunder  shall  be  deposited  into  the  Used  Tire
Management  Fund.  The  Agency  may  in its discretion store,
dispose of or convey the tires that are removed from an  area
at  which  it  has  undertaken  a  corrective,  preventive or
consensual removal action, and may sell or store  such  tires
and  other items, including but not limited to rims, that are
removed from the area.  The net proceeds of any sale shall be
credited against the  liability  incurred  by  the  owner  or
operator  for  the  costs  of  any  preventive  or corrective
action.
    (h)  Any person liable to the Agency for  costs  incurred
under  subsection  (g)  of  this Section may be liable to the
State of Illinois for punitive damages in an amount at  least
equal  to,  and  not more than 2 times, the costs incurred by
the State if such person failed without sufficient  cause  to
take  preventive  or  corrective  action  pursuant  to notice
issued under subsection (d) of this Section.
    (i)  There shall be no liability under subsection (g)  of
this  Section for a person otherwise liable who can establish
by a preponderance of the evidence that the hazard created by
the tires was caused solely by:
         (1)  an act of God;
         (2)  an act of war; or
         (3)  an act or omission of a third party other  than
    an  employee  or agent, and other than a person whose act
    or omission  occurs  in  connection  with  a  contractual
    relationship with the person otherwise liable.
    For   the   purposes  of  this  subsection,  "contractual
relationship"  includes,  but  is  not   limited   to,   land
contracts,  deeds and other instruments transferring title or
possession,  unless  the  real  property   upon   which   the
accumulation  is  located was acquired by the defendant after
the disposal or placement of used or waste tires on, in or at
the property and one or more of the  following  circumstances
is also established by a preponderance of the evidence:
              (A)  at  the  time  the  defendant acquired the
         property, the defendant did  not  know  and  had  no
         reason to know that any used or waste tires had been
         disposed of or placed on, in or at the property, and
         the defendant undertook, at the time of acquisition,
         all   appropriate   inquiries   into   the  previous
         ownership and uses of the property  consistent  with
         good  commercial  or customary practice in an effort
         to minimize liability;
              (B)  the defendant is a government entity which
         acquired the property  by  escheat  or  through  any
         other   involuntary   transfer  or  acquisition,  or
         through the exercise of eminent domain authority  by
         purchase or condemnation; or
              (C)  the  defendant  acquired  the  property by
         inheritance or bequest.
    (j)  Nothing in this Section shall affect or  modify  the
obligations  or  liability  of  any  person  under  any other
provision of this Act, federal law, or State  law,  including
the  common  law,  for  injuries, damages or losses resulting
from the circumstances leading to Agency  action  under  this
Section.
    (k)  The  costs  and damages provided for in this Section
may be imposed by the Board in an action brought  before  the
Board  in accordance with Title VIII of this Act, except that
subsection (c) of Section 33 of this Act shall not  apply  to
any such action.
    (l)  The  Agency  shall,  when feasible, consult with the
Department of Public Health prior to  taking  any  action  to
remove  or treat an infested tire accumulation for control of
mosquitoes or other  disease  vectors.   The  Agency  may  by
contract  or  agreement secure the services of the Department
of Public Health, any local public health department, or  any
other  qualified  person  in treating any such infestation as
part of an emergency or preventive action.
    (m)  Neither  the  State,  the  Agency,  the  Board,  the
Director, nor any State employee  shall  be  liable  for  any
damage  or injury arising out of or resulting from any action
taken under this Section.
(Source: P.A. 89-445, eff. 2-7-96.)

    Section 99.  Effective date.  This Act  takes  effect  on
July 1, 2001.
    Passed in the General Assembly May 16, 2001.
    Approved June 28, 2001.

[ Top ]