Monday

 May 19, 1980
Environmental

Protection Agency

Hazardous Waste and Consolidated
Permit Regulations
                Printed on Recycled Paper

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 5-19-30
 VoL 45-No. 98
.BOOK 2:
 PAGES
 33063-3328S
Book 2 of 3 Books
Monday, May 19, 1980
                                                       ENVIRONMENTAL PROTECTION
                                                       AGENCY
                                                       Hazardous Waste Management
                                                       System                      .

                                               33066   Part II
                                                       Hazardous Waste Management System;
                                                       Genera!
                                               33084   Part'III
                                                       Identification and Listing of Hazardous
                                                       Waste
                                               33136  Part IV
                                                      Proposal To Modify 40 CFR Part 261—
                                                      Hazardous Waste Lists


                                               33140  PartV                           —
                                                      Standards Applicable to Generators of
                                                      Hazardous Waste

                                               33150  Part VI
                                                      Standards Applicable to Transporters of
                                                    ;  Hazardous Waste

                                               33154  Part VII
                                                      Standards and Interim Status Standards
                                                      for Owners and Operators of Hazardous
                                                      Waste Treatment, Storage, and Disposal
                                                      Facilities


                                               33260   Part VIII
                                                      Proposal To Modify 40 CFR Part 265—
                                                      Subpart H—Financial Requirements

                                               33280   Part IX
                                                      Proposal To Modify 40 CFR Part 265—
                                                      Subpart R—Underground Injection

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 Monday

 May 19, 1980
Part H




Environmental

Protection Agency

Hazardous Waste Management System:
General

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    33066
Federal Register /  Vol. 45. No. 98 / Monday. May 19.1980 / Rules and'Regulations
    ENVIRONMENTAL PROTECTION   •
    AGENCY

    40 CFR Part 260
    IFRL 1395-7]

    Hazardous Waste Management
    System: General
    AGENCY: Environmental Protection
    Agency.
    ACTION: Revisions to final rule and
    interim final rule and request for
    comments.

    SUMMARY: Subtitle C of the Solid Waste
    Disposal Act. as-arhended by the
    Resource Conservation and Recovery
    Act of 1976, as amended (RCRA). directs
    the Environmental Protection Agency
    (EPA) to promulgate regulations to
    protect human health and the
    environment from the improper
    management of hazardous waste. The
    first phase of EPA's regulations
    implementing this directive are
    contained in Parts 262 and 263 of this
    chapter (which were promulgated on
 .^February 26.1980) and Parts 261, 264.
   285,122.123. and 124 of this chapter
   (which are being promulgated today).
     This  regulation (Part 260) sets forth
   definitions of words and phrases which
   appear in Parts 261 through 265 and
   contains provisions which are generally
   applicable to all those regulations. It
   was originally published on February 26.
   1980, concurrent with the promulgation1
   of EPA's Part 262 and 263 regulations. It
   is now being amended to add new
   provisions required by today's
   publication of Parts 261. 264 and 265 and
   to revise one of the definitions published
   in February.              v
   DATES: Effective date: November 19.
   1980. Comment date: For the interim
   final portions of this regulation, public
   comments will be accepted until July 18.
   1980.
   ADDRESSES: Comments on interim final
   portions should be sent to Docket Clerk
   (Docket No. 3000], Office of Solid Waste
   (WH-562), U.S. Environmental
   Protection Agency, 401 M Street. S.W.,
   Washington, D.C. 20460. The public
   docket for this regulation is located in
   Room 2711 of the above address, and is
   available for viewing from 9:00 a.m. to
   4:00 p.m., Monday through Friday,
   excluding holidays.
    Single copies of these regulations will
   be available approximately 30 days
   after publication from Ed Cox, Solid
.   Waste Information, U.S. Environmental
   Protection Agency, 26 West St. Glair
  Street. Cincinnati. Ohio 45268 (513) 684-
  5362. Multiple copies will be available
  from the Superintendent of Documents. •
  Washington. D.C. 20402.
                           For information on the
                         implementation of these regulations, ,
                      •   contact the EPA Regional Offices below:
                         Region I—Dennis Huebner, Chief. Waste
                           Management Branch, John F. Kennedy
                           Building, Boston, Massachusetts 02203
                           (617) 223-5777;
                         Region II—Dr. Ernest Regna. Chief, Solid
                           Waste Branch, 26 Federal Plaza, New
                           York, New York 10007 (212) 264-0504/
                           5;
                         Region III—Robert L Allen, Chief.
                           Hazardous Materials Branch, 6th and
                          •Walnut Streets. Philadelphia,
                          Pennsylvania 19106 (215) 597-0980;
                         Region IV—James Scarbrough, Chief.
                          Residuals Management Branch,'345
                          Courtland Street N.E., Atlanta,
                          Georgia 30365 (404) 881-3016;
                        Region V—Karl J. Klepitsch, Jr.. Chief,.
                          Waste Management Branch, 230 South
                          Dearborn Street. Chicago, Illinois
                          60604 (312) 886-6148.
                       ' Region VI—R. Stan Jorgensen. Acting
                          Chief. Solid Waste Branch, 1201. Elm
                          Street, First International Building,
                          Dallas, Texas 75270 (214) 767-2645
                        Region VII—Robert L. Morby. Chief.
                          Hazardous Materials Branch, 324 E.
                          llth Street, Kansas City, Missouri
                          64106 (816) 374-3307
                        Region VIII—Lawrence P. Gazda. Chief.
                          Waste Management Branch, 1860
                          Lincoln Street. Denver, Colorado
                          80203 (303) 837-2221
                        Region IX—Arnold R. Den, Chief.
                         .Hazardous Materials Branch. 215
                          Fremont Street. San Francisco.
                          California 94105 (415) 556-4606
                        Region X—Kenneth D. Feigner. Chief.
                          Waste Management Branch. 1200 6th
                          Avenue, Seattle. Washington 98101
                          (206)442-1260
                        FOR FURTHER INFORMATION CONTACT:
                        John P. Lehman. Office of Solid Waste
                        (WH-565), U.S. Environmental
                        Protection Agency, 401 M Street. SW..
                        Washington D.C. 20460 (202) 755-9185.
                      ' SUPPLEMENTARY INFORMATION:
                       I. Authority
                         This regulation is issued under the
                       authority of Sections 1006, 2002(a). 3001
                      ' through 3007. 3010. and 7004 of the Solid
                       Waste Disposal Act. as.amended by the
                       Resource Conservation and Recovery
                       Act of 1976. as amended  (RCRA). 42
                       U.S.C. 6905. 6912(a). 6821 through 6927.
                       6930. and 6974.

                       II. Background •  •
                         Subtitle C of RCRA establishes a
                       Federal program to provide
                       comprehensive regulation of hazardous
                       waste. When fully implemented, this  '
                       program will provide "cradle-to-grave"
                       regulation of hazardous w.aste. Section
                       3001 of Subtitle C directs EPA to identify
   the characteristics of and to list those
   hazardous wastes which are subject to
   regulation under Subtitle C. Sectior
   3002 and .3003 require EPA to esta ""
   standards for generators and    '
   transporters of hazardous waste wr
   will ensure proper recordkeeping and
   reporting, the use of a manifest system
   to track shipments of hazardous  waste,
   the use of proper labels and containers,
   and the delivery of the waste topropferly
   permitted treatment, storage, and.
   disposal facilrties. To ensure that these
   facilities are designed, constructed, and
   operated in a manner which protects
 .  human health and the.environment,
  Section 3004 of RCRA.directs EPA to
  promulgate technical, administrative.
  monitoring, and financial standards for
  them. These independently enforceable
  standards will be used by EPA to issue
  permits to owners arid operators  of
  facilities under Section 3005. For  those
  States interested in administering the
  RCRA program instead of EPA, Section
  3006 requires the Agency to issue
  guidelines under which States may seek
  authorization to carry out  the prbgram.
  Finally, under Section 3010, all persons
  engaging in activities subject to control
  under Sections 3002 through 3004 above
  must notify EPA or States  having
  authorized RCRA hazardous waste
  programs.
    Early this year, EPA began issui!
  regulations which comprise the SubV._
  C hazardous waste management system.
  On February 26,1980, it promulgated
  standards for generators and       ''
  transporters of hazardous waste under
  Sections 3002 and 3003 of RCRA,
  respectively (Parts 262 and 263), and
  issued a public notice establishing
•  procedures for filing a notice of
  hazardous waste activity under Section
 3010, Today EPA is publishing permit
 procedures and guidelines  for the
 approval of State hazardous waste
 programs under Sections 3005 and 3006,
- respectively (Parts 122,123, and 124),
 and the first phase of its Section 3001
 hazardous waste list and characteristics
 and Section 3004 facility standards
 (Parts 261. 264. arid 265). As discussed in
 the preambles to those two latter
 regulations, EPA expects to be
 amending "its Sections 3001 and 3004
 regulations later this year to bring
 additional wastes into the hazardous
 waste management system and to add
 additional facility standards.
   Table 1 below, shows, where each of
 these regulations appears in the Federal
 Register.
te

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                  Federal Register/ Vol.. 45. No.. 98  /Monday. May 19. 1980 /Rules and Regulations
                                                                                                                   33067
                    Tabta 1 >
     40CFR
        Corresponding RCRA section
           and descriptive Irtfe
                         Federal
                         Register
                        ,  data  •
    Part
     260
Oefirrfora u»d «i other Parts   •
  oaie*pu««J«ig lo the Sectwnj
  3001 through 3004 rute*. and
 i general provwjora appkcsbte to
  trwas Parts.
Section 3001: ktexificatioo end
  Littng of Hazardous Was».
Section 3002: Stendarda AppfcaWs
  to Gerwrsaore of Hazardous
 262.:
 263	 Section 3003: Standards Appscaote
        to Transporters of Hez&dous
        West*.
 264	Section 3004: Standards AppScato*
        to Owners and Operator* of
        rterardoua West* Treatment.
   ...   Storage, and Oiepoeei FacHibea.
 285	 Section 3004: fntsnm Status
        Standards Applicable to Owners'
        and Operators of Hazardous
        Waste Treatment. Storage, and
      •  Disposal Fecrirbes. ~
 122 and  Section 3O05: Permrts for
 124.  .  , Treatment Storage, and Disposal
        of Hazardous Wast*.      . .
 123	  Section 3008: Gudebnes for
        Authorized Stale Hazardous
        Waste Programs.
	Secton 3010: Prefersnery
        NoWteaeon.bt Hazardous Waste
        AcBvtfy.       ,
                                    5/19/80
                                    Part It
                                    5/19/80
                                    Pert IH.
                                    S/ 19/60.
                                    PsstV
                                    .'.'.
                                    5/19/80
                                    Pat VI.
                                    '.--.-
                                    5/19/80.
                                    PartVK
                                    5/19/80
                                    PartVIL
                                    5/19/80
                                    Part X

                                    5/19/90
                                    Part X,

                                    2/2e/80
                                    (45 FH
                                    ,2748}
    'Thie :aUe ia •eo'-n
     — —— - ——•**»—«nory except for thai portion of «
   d**** **ti aactton 3004 of RCRA.Thar* are three groupa of
   °*"*is and operators of hazardous wee* facftbae subject to
   eontiol under IN* Section: owners and operators van menm
   status, tree*  who own-or operas* ROTA perrrMed tacMea.
   and those with neither interim status nor s perm. Oman
   and operators n n* first group are eutatect to the Part 268
   fulea; thoa* n the second group muat oompty with RCRA per-
  mt* baaed on the Part 264 rules: Iho»* n the third group
   muat Map operation* on the eflenw date of theee raguu>
   •on*. (See the preamble to the Parts 2O4 and 2S5 n*e*
   •eued etsewnere m looey's FEOOIAI Rtoora. for an a>pK.
   nation of how omra end operator* qualify for Menm eta**.)

    The purpose'of this regulation (Part
   260) is to consolidate in one place a
   number of provisions which are
   applicable to all the Part 281 through 285
  regulations. Subpart A contains rules.
 ^concerning the designation and handling
  of confidential information and rules of
  grammatical construction which are
  generally applicable to Parts 261 through
  265. Subpart B contains definitions of
  key words and phrases which are used
,- in those Parts. Subpart C outlines the  .
  general procedures which EPA will  ,
  follow hi acting on petitions to amend .
  Parts 260 through 285 and special
  procedures applicable to petitions for
  the approval of equivalent testing and
  analytical  methods and petitions to  v
  amend Part 261. Finally, Appendix I
  contains a "road map" to the Subtitle C
  regulations which is designed to    •
  acquaint persons unfamiliar with EPA's
  Subtitle C regulations with the most
  important regulatory provisions in Parts
  260 through 265 and Parts 122 through
 124.  (Note that Appendix I contains
 guidance, not regulations. If any part of
 the appendix is inconsistent with the
   regulations, the regulations should be
   considered controlling.)    .
   III. Suhpart A
     1. Section 260.1 (Purpose, scope, and
   applicability). This section explains the
   purpose of Part 260 and outlines the
   contents -of the remaining sections.' It is
   largely self-explanatory.
     2. Section 26O.2 (A variability of
   information; confidentiality of
   information). The Agency expressed its
   basic stance on confidentiality in
   § 25O27 of the proposed Section 3002
   regulations, which stated that all
   information provided in connection.with
   the requirements of RCRA must be
   made available to any person, as
   authorized, by Section 3007{b) of RCRA.
  , the Freedom of Information-Act (FOIA. 5
   U.S.C. 552), and the EPA regulations
   adopted to implement the FOIA and
   Section 3007(b) (40 CFR Part 2).   -
   Proposed § 250.27 applied also to the
   recordkeeping and reporting systems
   under Section 3004 of the proposed
   regulations, because they were designed
   to use information supplied on the
  manifest as the data base.
    A number of commenters argued that
  all RCRA reports'and information
  should be made known to the public
  because public knowledge of this
  information is essential to the effective
  enforcement of RCRA. In particular,
  they argued that in order for the public
  oversight and citizen suit provisions of
  RCRA to be effective, the public must
  have information on the types and
  amounts of waste being handled by
  faciliUe*. data from the monitoring of
  ground water and surface water,
  information on the  type of process
  generating the waste and the hazardous
  properties of the waste, and any
  information reported to the Agency
  regarding fires, explosions, and
  discharges of hazardous waste,
 including data on the degradation of
 ground water.      -'   •
   The Agency has sought to balance the
 public need for information against
 legitimate claims of confidentiality.
 Neither Section 3007(b) of RCRA nor the
 Freedom of Information Act, however.
 authorize or require full public
 disclosure of information collected
 pursuant to RCRA. Section 3007(b)
 directs the Administator to consider as
 confidential any information which
 would be entitled to protection under
 Section 1905 of Title 18 of the United
 States Code, upon a satisfactory      '
 showing by the claimant that his
.information does indeed warrant
 confidential treatment: The provisions of
 the Freedom of Information Act
 Concerning the availability of
 information do not apply to confidential
   trade secrets and commercial or  '
   financial information (Section 552(b)(4)).
    ' Because of this provision in RCRA,' -
   the Agency cannot impose a blanket,
   requirement in the regulations that
   specific information'-must be released to.
   the public in all cases. However, the
   public may obtain information on the
   type of process producing the wastes
   listed in the Section 3001 rules !from the'
   background documents .supporting the  •
   Section 3001 regulations. In addition, the
   Subpart D rules require owners or
   operators to notify local authorities of
   fires, explosions, or discharges of
   hazardous waste which have the
   potential for adversely affecting human
   health and the environment outside the
   facility. Thus, information of this type  :
   may also be available to the public.
    Several commenters suggested that
   EPA should clearly statej'hat the
   confidentiality provisions of proposed
   § 250.27 apply to the information .
   required:in the Section 3004 rules. The
  Agency agrees, and has therefore placed
  the provisions concerning
  confidentiality in ParTSeo of the.final
  rules. Section 260.1 of this Part makes it
  clear that the § 260.2 confidentiality
  provisions apply to all information
  required to be submitted under the final
  Sections 3001 through 3004 standards.
    3. Section 260.3 (Use of number and
 gender). This section establishes  simple
  rules of grammatical construction
  concerning number and gender. It has
  been added to allow EPA to simplify the
 'drafting of its final Part 261 through  265
 regulations by eliminating the need for
 such awkward phrases as "he/she/it" or
 "the owner (or in event there is more
 than one owner,  the owners)". It is self-
 explanatory.
   Although there is no direct
 counterpart to this section in the
. proposed Subtitle C rules, the Agency is
 issuing it as a final, rather than interim
 final standard. This is simply a rule of
 usage and. therefore, it is unnecessary to
 solicit comments on it.
 IV. SupartB             ,

   In EPA's proposed regulations, each
 regulation had its own set of definitions
 (see §§ 250.11. 250.21. 250.31. and
 250.41). To eliminate the unnecessary
 repetition this produced; all the
 definitions which are applicable to more
•than  one of EPA's final regulations have '
 been consolidated into this subpart.
 Definitions of terms which are used only
 once, or only in conjunction with a
 single section or .subpart, will generally
be defined in the section or subpart in
which they are used. We hope this
reorganization will make the regulations
less cumbersome and easier to follow.

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    33068       Federal Register  /Vol. 45. No. 98 / Monday. May 19. 1980  /  Rules'and Regulations
      When Part 260 was published in
    February, it contained definitions of  •
    twelve terms used in EPA's Parts 262
    and-263 regulations and a preamble
    discussion of each (45 FR 12722). Except
    for the definition of "on-site". which has
    been revised since February, these
    terms will not be discussed again here.
      Of the new definitions whidrare
    being added  to Part 260 today, most are
    self-explanatory and non-controversial
    and therefore need not be addressed in
    this preamble. Those which do require
    explanation are either dealt with in  the
   preambles accompanying the regulation
   in which the term is used or in the
   discussion which follows.
     1. Definition of Active Portion. The
   proposed difinition of "active portion"
   stated that portions of facilities closed
   in accordance-with the facility closure
   plan, and all applicable closure
   requirements, were not active portions.
   Several commenters were concerned
   that portions of facilities which were
   closed before the effective date of the
   regulations, but not in accordance with
   the Section 3004 closure requirements,
   would be considered to be active
   portions. If this were  the case, they
   argued that it  was unreasonable to
   require owners and operators to re-close
   these portions in accordance with the
   RCRA standards.
     The Agency believed that'the
   following statement in the preamble to
   the proposed Section  3004 regulations
   stated that Agency's intent generally not
   to regulate portions of facilities closed
   before the effective date of the
   regulations:
    RCRA is written in the present tense and
  its regulatory scheme is organized in a way
  which seems to  contemplate coverage only of
  those facilities which continue to operate
  after the effective date of the regulations. The
  Subpart D standards and Subpart E
  permitting procedures are not directed at
  inactive facilities. (43 FR 58.984)
  However, the Agency realizes that its
  original intent  would have been more
  clearly stated if the words "or inactive
  portions of active facilities" had been
  added to the above sentence, The
  Agency's intent is not to regulate under
  Subtitle C portions of facilities closed
  before the effective date of the
  regulations. The only exception to this is
•  that owners and operators of facilities
' which continue to operate after thp
  effective date of the regulations must
  ensure  that portions of facilities closed
  before the effective date of these rules
  do not interfere with the monitoring or
  control of active portions. This
  requirement regulates the facility which
 .operates under the RCRA regulations.
  although it may require the owner or
  operator, before he receives a permit, or
   as a permit condition, to take certain
  • measures on-portions of his facility
 .  closed before the effective date of these
   regulations.
     2. Definitions of Disposal and
   Disposal Facility. Several commenters
   suggested that the statutory definition of
   "disposal"given in Section 1004(3) of
   RCRA should be reworded to make it
   clear that an unplanned release or
   discharge^of hazardous waste does not
   constitute disposal. They argued that
   this change is necessary because,  .
.   otherwise, accidental discharges will
   have to be permitted before  they are
1   allowed to occur.
    Regardless of whether a discharge of
 • hazardous waste is  intentional or not,
  the human health and environmental
  effects are the same. Thus, intentional
  and unintentional discharges are
  included  in the definition of "disposal".
    However, the Agency agrees that
  permits logically can only be required
  for intentional disposal of hazardous
  waste. Therefore, the definition of
  "disposal facility" has been modified to
  indicate the Agency's intent  that the
  term does not apply to activities
  involving truly accidental discharge of
  hazardous waste.
    In addition, the definition has been
  further modified to make it clear that
  only facilities at which hazardous waste
  is to'remain after closure are, for the
  purposes  of these regulations, disposal
  facilities.  Thus, for example,  a surface
  impoundment used for waste treatment
  from which the emplaced waste and
  waste residue is to be removed before
  closure  of the impoundment, for
  purposes of these regulations, is not
  both a treatment and a disposal facility,
  but rather, only a treatment facility.
 That does not mean it might not -be
 "disposing" of wastes within the
 meaning of that term in Section 1004(3)
 of RCRA.  It merely'means that EPA, for
' purposes of reference in these
 regulations,  will call  it a "treatment
 facility."
   3. Definition of Existing Facility.
 Several commenters  pointed out what
 they perceived as a serious fault in
/Section 3005(e) of RCRA,  which is that
 the Section limits interim  status to
 owners and operators of facilities "in
 existence" on or before October 21,
 1976. The. statute requires that, in order
 to operate  legally, facilities which have
 come into  existence after  October 21,
 1976, must obtain a permit by the
 effective date of the Section 3005
regulations (i.e., within 180 days after
the promulgation date of the
regulations). Because it is  unlikely that
permits can be issued within 180 days
for all facilities not "in existence" by
October 21.1978. the commenters felt
  that the language of the statute was
  unfair to the owners and operators of
  these facilities.
    EPA agrees that the language/
  statute as it now stands would n^^_...
  RCRA program unworkable. Hqwever,
  the language of RCRA is clear and EPA
  has had no alternative but to follow it in
  the regulations. As the preamble to the  •
  Part 122 regulations discusses, EPA •
  expects that amendments to RCRA now
  in conference will be passed shortly and
  will cure this problem.2
    In the proposed,rules, existing
  facilities were limited to those which
  were in operation or under "physical
  construction" by a certain date. Physical
  cpnstruction was defined as:
 'excavation, movement of earth, erection of
  forms or structures, the purchase of
  equipment or any other activity involving the
  actual preparation of the Hazardous Waste
  Management facility.         • .

  . The Agency has expanded this aspect
  of the definition of "existing facility" in
  the final rules. The Agency believes that
  facilities for which substantial financial ;
  commitments have'been incurred
  through contractual obligations to    "=~~
  purchase specially designed structures
  or equipment, should also be considered
  to be existing facilities. Accordingly, the
  final Part 260 definition provides that a
  facility which has "commenced
 construction" by a certain date is
 "existing facility".      ,
   In determining whether construcrrah
 has commenced, as the term is defined
 in Part 260, it is1 first necessary to
 determine whether the owner or
 operator has obtained and continues to
 hold all necessary preconstruction
 approvals or permits required by
 Federal, State, and local laws and
 regulations. If all such permits have not
 been obtained or maintained,
 construction has not commenced.   "
   Assuming that the permit requirement
 is satisfied, in order to have
 "commenced construction," it is still
 necessary for facilities to meet one of
 two additional requirements. The first
 requirement is that a continuous
 physical on-site construction program
 has begun by the date in question. The
 words "continuous" and "on-site" are
 key to this test. It will not suffice merely
 to have begun erection of auxiliary
 buildings or construction sheds unless
 there is clear evidence (through
 contracts or otherwise) that  construction
 of the entire facility will go forward in a

  Accordingly, EPA endourages every facility built
 or under construction on the promulgation date of
 the RCRA program regulations to notify EPAj
fiie Part A of the permit application so that |
quickly processed for Interim Status when ti
change in the law takes effect.

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                  Federal Register  / Vol. 45, No. 98 / Monday. May  19. 1980 / Rules and
    continuous manner (no breaks greater
    than IS.months). Nor will it suffice that
   /erection of certain cpmponents began
    off-site.      •     '       •
      The alternative requirement is that by
    the date in question, binding
    agreements—which cannot be canceled
    or modified without substantial loss—
    were established for construction of the
    facility to.be completed within a :      <
    reasonable time. The words
    "substantial" and "for construction" are
    key to this test. In order to minimize
    administrative burdens and,to provide
    some certainty, the Agency will consider
    a loss as being substantial if the cost  to
    cancel a construction agreement is more
   , than 10.percent of the total project cost
    Whether a loss equal to  or less than 10
    percent is substantial will be considered
    on a case-by-case basis. The loss must
    also be related to contractual
  ,  obligations for construction. Options to
 v  purchase or contracts for feasibility,
   engineering, or design studies will not
   be considered to be contractual
   obligations for construction.
    These conditions for "commenced •
   construction" are adopted from EPA's
   Prevention of Significant Deterioration
   (PSD) regulations issued under the
 :  Clean Air Act (see 43 FR 28395).
    4. Definition of Generator. Several
   comments on the proposed definition of
   "generator" concerned corporations
   controlling plants in several locations
   which each produce hazardous waste.
  They questioned whether each plant, or
  only the corporate headquarters, is the
  generator. Some commenters thought
  that the latter should be designated as
  the generator because this would
  allegedly reduce  the number of
  manifests and records that the
  corporation would collectively be
  required to develop.
    RCRA directs the Agency to monitor
  and control the movement of hazardous
  waste. The only way that  the Agency
  can do so is to know the source of the
  waste. If the reports which EPA received
  on hazardous waste identified the .   -
  corporate headquarters as  the generator
  EPA would not know which of .the  -
  corporation's plants produced the waste
  and, thus, would be unable to monitor
  the waste's movement For this reason.
.  the final definition has been modified to
 make it clear that the plant, and not the
 parent company, is the generator.
 However, corporate headquarters may
 prepare and submit separate reports-for
 each of the corporation's facilities. •
  ' Certain producers (e.g., farmers and
 small generators) were excluded from  '
 the proposed definition of "generator."
 Because these exclusions are
 specifically dealt with in the final Part
 261 and Part 262 regulations, it is
                                                                                                                   33O6B
   unnecessary to attempt to include the
   substance of these regulations- in the
   final definition of "generator"'.
     5. Definition of On-Site. The Agency is
   amending the definition of "on-site",
   which was promulgated in the Part 260
   regulations issued on February 26, -1980
   "(45 FR 12724). In the preamble which
   accompanied that definition, the Agency
   pointed out that the manifestos
   necessary "to safeguard human health
   and the environment in the
   transportation of hazardous waste,
   regardless of the distance that the waste
   is being transported." However, the
   preamble went on to say that:
    Merely crossing the public right-of-way to
   gain access to property under the control of
   the generator does not create_the^same_
   dangers to the public that transportation
   upon public highways entails, [emphasis
   addedj

    For this reason, the proposed
   definition of "on-site" (43 FR 58976) was
   revised to include as "on-site," non-
  contiguous property owned by the
  generator which is connected by "a
  right-of-way which he controls and to
 * which the public does not have access."
  This revision allowed generators to
  transport their waste within these
  confined limits without preparing a
  manifest for it
    The Agency now realizes, however.
  that the revised definition of "on-site"
  (45 FR 12724) cold be interpreted to
  allow unmanifested waste to  be
  transported along a public right-of-way.
 This was not what the Agency had
 intended when revising the proposed
 .definition. Therefore, that definition-has '
 been amended to make it clear that the
 entrance and exit of the geographically-
 contiguous property—which may be
 divided by a public or private right-of-
 way—must be directly across from  each
 other in order to be considered to be the
• same site.                    , ,   '
   6. Definition of Representative
 Sample. Thei-Agency mistakenly
 provided two definitions of the term
 "representative sample" in the proposed
 rules, one 'in § 250.11(b)(5), and the other
 in § 250.41(b)(73). The latter was'
 concerned solely with samples
 characteristic of ground water beneath a
 facility. Several commenters pointed out
 that the definition was too restrictive
 because the proposed regulations   •
required samples to be taken of things
other than ground water. The Agency
agrees, and has restructured the final
ground-water monitoring standards so
that a definition of "representative
sample" specific to ground water is ho
longer needed. It has therefore been
deleted from the final rules.
  '.  The definition provided in
    § 250.il(b)(5) was broader'than that
   contained in § 250.41(b)(73)..  •.
   § 250.11(b)(5j defined representative
   Sample as:,

     Any sample of the Waste which is
   statistically equivalent to the.total waste in '
   composition, and in physical and chemical
   properties. Representative samples may be
   generated using the methods set out in
   Appendix I of this Subpar.t. [emphasis added]
     Many commenters objected to the
   aspect of this definition which required
   that the sample be statistically
   equivalent to the total waste. They
   argued that statistical equivalence has
   an exact meaning, and' that interpreted
   literally, the proposed definition would
   have required the entire waste stream to
   be sampled, or a statistical data base
   established for  it, in order to ensure that
   every constituent of the waste stream
   was known to some level pf accuracy
   and precision. These commenters felt
   that  this aspect of the definition was
   unreasonable.
    The Agency agrees that requiring a
  representative sample to be statistically
  equivalent to the waste is currently
  infeasible for.most waste streams. This
  is particularly true for "composite" or
  heterogeneous wastes. The Agency will,
  in the future, develop and publish in
  SW-846. "Test Methods for the  '
  Evaluation of Solid Waste"i practical
  proceduTes'for obtaining statistically
  equivalentrepresentative samples  of  .
  hazardous waste. However, until they
  are developed, the Agency agrees that  •
  the definition of "representative
  sample" should not require that the
  samples be statistically equivalent  to
  the total waste. .Therefore, the definition
  has been changed to require that  ^
  representative samples exhibit the
  average properties of the universe or
 whole (e.g., waste or ground water).
 V.SubpartC    -
  , 1. Section 260.20 (General). Section
 7004 of RCRA states that any person
 may petition EPA for the promulgation,
 amendment, or repeal of any regulation'
 under RCRA. That section further
 directs the Administrator to develop and
.publish minimum guidelines for the
 public to participate in,this process.  '
  ' EPA's proposed Subtitle C regulations
 contained no guidelines to assist the
•public in framing  rulemaking petitions or
 to advjse them of the procedures -EPA
.would follow in acting on their petitions.
EPA received a number.of comments,.
often in the context of a specific
regulatory provision (e.g., the list of
hazardous wastes issued under Section
3001), suggesting that EPA establish
rulemaking procedures for Subtitle C.

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   33070       Federal Register  /  Vol. 45.  No. 98 /  Monday. May 19. 1980 /  Rules and Regulations
   EPA agrees this would be desirable, arid
   accordingly is adding a subpart to its
   final rules which (1) establishes the ..
   procedures for petitioning EPA to
   amend, modify, or revoke any provision
   in Parts 260 through 265 and (2)
   establishes procedures governing EPA's
   action on these petitions.
    These procedures reflect normal
   informal rulemaking practice under the
  Administrative Procedures Act and are
  largely self-explanatory. Except for two
  types of petitions—petitions to approve
  equivalent methods and petitions to
  amend Part 261 to exclude a waste
  produced by a particular facility—EPA
  is not establishing information
  requirements for petitions. These
  requirements will of necessity vary with
  the nature of the regulatory provision
  which the petitioner is seeking to add or
  amend, and are not readily susceptible
  to precise articulation in a regulation.
  However, petitioners should'be able to
  gloan a great deal of information which
  would be useful in drafting rulemaking
  petitions from preamble discussions of
  provisions and associated background
  documents. In the case of EPA's
  hazardous waste characteristics and -
  list, the regulations themselves identify
  the criteria against which all rulemaking
  {including that initiated by EPA) will be
  evaluated.
   This entire subpart is being published
  In interim final form to give the public
  an opportunity to comment on EPA's
 procedures.
   2. Section 26O.21 (Petitions for
 equivalent testing or analytical '
 methods). In its proposed Section 3001
 regulations. EPA required persons to
 determine whether their waste exhibited
 one of the Agency's proposed hazardous
 waste characteristics using specified
 testing and analytical methods or "an
 equivalent method". (See proposed
 §§ 2S0.13(a){i) and (ii). (a)(2)(i). (b)(i).
 and (d)(2)(ii)). Section 250.11(b)(2) of the
 proposed rules defined "equivalent
 method" as any method:
 which the Administrator determines to be
 functionally equivalent or superior to the
 method specified.
   The proposed rules  did not, however,
 provide any procedures for requesting
 EPA to approve testing or analytical
 methods as equivalent to those specified
 in proposed Section 3001. Several
 commenters suggested that such
 procedures should be included in the
 regulations.
  EPA agrees and believes the
procedures set forth in'§ 260.20 will
work well for petitions for equivalent
methods. However, because specific
types of data are required to determine
whether a testing or analytical protocol
   is "equivalent" or "superior" to an
   existing method, EPA has also
   established specific information
   requirements for petitions for equivalent
   methods. These requirements
   necessarily require a petitioner to fully
   evaluate the alternative method and to
   undertake a thorough comparative
   analysis of this method and EPA's.
   Requiring less data would place too   '
   large a burden on EPA. considering its
   limited resources for developing'
   alternative testing methods. The Agency
   believes that those who desire to  use a
  method other than that  prescribed in the
  final rules will typically have the data
  required in § 260.21 because they  will
  have found the prescribed method to be
  inappropriate for their purposes, and
  will-have already committed re'sources
  to develop an equivalent method.
    3. Section 26O.22 (Petitions to amend
  Part 26J to exclude a waste produced at
  a particular facility). This provision is
  discussed in Section VII of the preamble
  to Part 261.

  Regulatory Analysis

   The Agency has prepared for the
  regulations promulgated under Sections
  3001 through 3004 and 3010 of RCRA.  an
  Economic Impact Analysis, an
  Environmental Impact Statement, a
  Reports Impact Analysis, an Operations
  Resources Impact Analysis, and an
  Evaluation Plan. EPA has prepared a
  summary regulatory analysis of its final
  regulations based on the above reports.
 This Regulatory Analysis describes the
 various alternative approaches that the
 Agency might have used to implement
 the hazardous waste  program, and
 explains why certain choices were
 made.
   Except for the Evaluation Plan (which
 was prepared under Executive Order
 12044), or as otherwise specified below,
 copies of these documents may be
 reviewed in the EPA Regional Office
 libraries, and at the EPA headquarters
 library. Room 2404. Waterside Mall, 401
 M Street. SW., Washington, B.C. 20460.
 The Evaluation Plan will be'available
 for review only at the EPA headquarters
 library. ,

 I. Economic Analysis

   The Agency prepared an Economic
 Impact Analysis under Executive Order
 11821, as amended by Executive Order
•11949. It indicates that there are both
 costs and benefits associated with this
 regulatory program.
   1. Benefits. The Subtitle C regulatory
 program will reduce the damage to
 human health and the environment  from
 improper management of hazardous
 waste. The following is a brief list of
  some of the many expected
  improvements:
    (1) Ground-water pollution fro
  leaching of toxic pollutants from_
 . improperly designed and manage?.
  landfills and surface impoundments will
  be reduced.
    (2) Poisoning and injury due to direct
  contact with randomly dumped wastes
 • will be reduced.
    (3) Pollution of surface waters from
  hazardous- waste stored or disposed of
  in fields and on riverbanks will be
  reduced.
    (4) Illicit dumping of waste in farm
 'fields, wooded areas, along roadsides,
  and in. ditches and streams will be
  reduced.
    (5) Emission of toxic gases from
  improperly run incinerators will be
  reduced.
    (6) Accidents, mistakes, and
  malfunctions at hazardous waste
  management facilities, which could
  affect people near the site, will be
  reduced in number and in severity, due
  to improved training of personnel,
 monitoring and inspections, and
 required emergency equipment.
   (7) Contingency plans will spell out
 procedures to ensure rapid and effective
 responses to emergencies to minimize
 any danger to off-site residents and the
 environment.
   (8) Facilities will be decontamiij
 or otherwise secured at closure.
 disposal sites will be monitored	
 maintained after closure, to reduce the
 possibility of future adverse impacts on
 human health or the environment.
   The Agency believes these
 improvements will be substantial and
 noticeable. The expected improvements
 are not quantifiable, however, since
 records of past practices and problems
 are extremely limited. Also, it is difficult
 or impossible to quantify benefits
 deriving from reduced adverse impacts
 on health or the environment. The dollar
 value of preventing a case of cancer, for
 example, is not truly ascertainable. In
 addition to the major non-quantifiable
 economic benefits expected from
 decreases in human health problems
 and in pollution of our air, land, and
 water, EPA expects an improvement in
 economic efficiency and equity, and
 substantial direct sayings from avoiding
 clean up costs in the .future.
  An economy functions efficiently and
 equitably when the price of goods
 produced in the society reflects the
 actual social and private costs of
production (i.e., when the costs.are
internalized). Until now, in most states,
firms could dispose of wastes in
environmentally unsafe ways at a
substantially less than that for ade___
disposal. Thus, the price of goods often

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                 Fedflfal Register  / Vol. 45. No. 98 •/ Monday. May 19. 1980 /Rules and Regulation
                                                                                                                   33O72
    did not-reflect the full social cost of    .
  ,  'production.
      Pre-RCRA practices for managing  "
    hazardous waste created economic
  .  inequities.. The costs of disposal often
    fell randomly on individuals affected by
    improper management or on the public
    at large since tax revenues were used to
    clean up inadequate facilities. It would
    be more equitable for the costs of
    adequate hazardous waste management
    to fall on the consumers and producers
    of the products which generate the
    hazardous waste.
      Pre-RCRA management practices also
  .  caused  economic inefficiencies. Because
    the price of goods did not reflect the cost
    of properly managing the waste '
    produced as part of the manufacturing,
    process, these goods were priced too
    low relative to other goods. Because
    prices were lower than the true social
    cost of producing the product.     -
,   consumers were able to buy more of
    these goods than they could if proper  •'
   waste management costs were included
   in  the product price. Thus, companies
   manufactured and sold more of these
   products and.generated more hazardous
   waste than was economically efficient.
   These products, thus, had an unfair'
   competitive edge over other products
   which didn't generate hazardous waste.
   Furthermore, because companies did not
   have to either pay the cost of proper
   waste management or pass it along to
   customers, the incentives to develop
   technology and process changes to
   lessen the quantity of hazardous waste
  generated or to recover the waste as a
  useful material were weak compared to
  what they might have been if proper
  waste  management was required.
 .Additionally, companies which wanted
  to properly manage their wastes were
  put at a competitive disadvantage by
  doing so because they bore costs which •
  their competitors did hot.,
.    The RCRA Subtitle C Regulations will
  .ensure that those generating hazardous
  waste.will pay appropriately for their
  safe-management. Most of this cost will
  be passed on. to consumers; while some
  may be borne by the generator.
  particularly where price increases are
  held down in some way (e.g,.  by foreign  ,
  competition or competition with  other
.  products). In either case, the economy
  will be more efficient and equitable
  because those receiving the benefits will
  also pay the costs, and prices will serve
  as a'more.efficient allocator of      •  '
  resources.             '         '-.
    In recent years, with increasing
  frequency, society has been forced to
 properly dispose of waste that was
'previously disposed of haphazardly. The
 best known example of this is Love
 Canal in New York, where 20,'000 tons of
   waste were buried over'a period of
   years. The diagnosis of a severe health
   hazard in the area due to wastes seeping
   into house basements arid .surfacing in
   backyards caused society to take
 .  remedial action. The price tag to the
   State and Federal governments is
   expected to be about S36 million for •'
   clean up," relocating residents, health '
   and environmental testing services, and
.   other expenses associated with the
   disaster. Thus, society is spending about
   $1.800 per ton in its effort to clean up
   waste improperly disposed of, and more
  .will be spent before the area is returned
   to normal. Further, the S1.800 per ton'
  .excludes human health costs and
   suffering, which might easily outweigh..
   actual dollar costs. Given that  average
   disposal costs after the RCRA-regulatory
  program is in place are estimated to be
  around S80 per ton. it clearly pays to do
- the job right in the  first place.
    Given that damages from improper
  hazardous waste management  often
  take decades to surface, we may be
  paying dearly for past waste
  mismanagement for many years to
  come. Further, without a regulatory
  program, new problem sites would
  continue to be developed. Ultimately,;
 clean up of all of these sites could cost
 billions of dollars.
   2. Costs  and Impacts. Phase I of the
 RCRA Subtitle C program will broadly
 affect American industry. The Agency
 focused its Economic Impact Analysis
 (EIA) on major hazardous waster
 generating segments within 22 3
 industries. The study covered
 approximately 29,000 generators who
 produced an estimated 13.7 million
 metric tons of hazardous waste  in 1978.
 The RCRA hazardous waste standards
 are expected to cover about 67.000.
 hazardous waste generators that are
 expected to produce about 41 million
 metric tons of hazardous waste in 1980.
 The Agency's analysis shows that 62%
•of this hazardous waste-is from-the
 chemical and allied industries.
   As a result of the Phase I regulations.
 the annual hazardous waste disposal
costs for the 29,000 generators covered
by the EIA are predicted to increase  by
SS10 million.4 Of this annual cost, about
   The study included one additional segment.
metals mining, which is riot included in this
summary. The calculations-have not Been
completed and there are major questions as to
whether significant quantities of waste from this
industry will prove hazardous.
  4 This is an annualized cost developed by
multiplying a capital recovery factor by the initial
capital cost and adding the-product to the recurring
program costs. This provides an even projection of
expenditure's although generators will typically •
incur disproportionately more expenses in the
beginning of the program and at the end of the
useful life of the facility.
   50% is for compliance with surface
   impoundment requirements. Recurring
   • operational and administrative •
   expenses account for S430 million (1980
   dollars) of the total annual cost: the rest
   is for capital and other initial  '   >
   expenditures  (as annualized). Total
   capital and other initial expenditures
   are estimated at S310 million.
     The distribution-of the annual   ,
   compliance cost by major RCRA   :
   hazardous waste management activityas
   provided in Table I. The major part of '
   the cost is for treatment and disposal   '
   facility closure and pos't-closure
   activities which will occur in the future,
   but which EPA assumes owners will
   prepare for in  advance ,of their
   occurrence. The S510 million annual cost
   amounts to less than 0.2 percent of the
  .value of sales  of the affected industries.
    Tabto \.-Distritiution 'of RCRA Costs by Type of
   ,  '          Requirement.
Compliance activity
CJoture/poat-ckwirt 	 	
Treatment and disposal
Monrtonng/twtmg 	 ,...„
Admmtstraboo 	
Contingency planning 	
Rttcordfceepmg/repbrting 	 	
Training 	

Annual '
incremental.
cost tn '
millions of
dollars
,„.... $303 3-



232
........ ,15.2

Percent
of total
coat





3.

      TgUI..
                          '$510.0
                                     100
   •Dwarf don not add lo total due to independent rounding.
   .The Phase I standards establish the
 RCRA Subtitle C program, and will be
 followeoSfey Phase II, which will  '
 establish the standards for permit
 issuance. These are scheduled to be
 .promulgated in -the fall of 1980.. While ;
 the regulations have not yet been
 written, it is conceivable that  the added
 costs of the Phasfe II regulations could
 double the total costs for the affected
 industries,
   As part of the EIA, the Agency    . '
 performed detailed analyses of parts of
 six major industries which EPA believed
 could be substantially affected .
 economically by the regulations. They '
. were segments of the textiles,  leather  .
 tanning,  electroplating, inorganic
 chemicals, organic chemicals,  and
 nonferrous metal smelting and'refining
 industries. The analyses showed that 86.
 plants may close out of the 4200'studied,
 costing as many as 5300 jobs. Negative
 impacts are concentrated in the
 following industry.sectors: Primary zinc  '
 and secondary  lead smelting and
refining,  sodium dichromate and
titanium  dioxide production, cattlehide
non-chrome and sheephide (no
beamhousej tanning, electroplating job
shops, and woven fabric finishing and

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   33072
            Federal Register / Vol. 45. No. 98 / Monday.  May 19. 1980 / Rules and Regulations
   felted fabric processing in the textile
   industry. Overall, price increases
   resulting from the regulation for
   products from these industries were not
   found to be substantial except for
                                       projected" price increases for
                                      'electroplating job shops (6.6%) and
                                       cattlehide non-chrome tanneries (1-3%).
                                       Table II summarizes these impacts.
                           T»b!« II.—Summary of Costs and Impacts
, Plants
ln***y . oenera&ng
hazardous
wasted*)
SectropUtsog '„_„.
Inonjirtc cfwncih'.
Leather tmnng> 	
Norrferrou. amerong* „
Ornarac chemeal»»_ 	
Olhef m*oufactunr>9___
Service nduttnet 	 . 	



r-,,,,,.., 	 45
	 !._ 	 . 	 1.166
	 .„„ 	 ; 	 29.000.
Potential Potential Possible priea
closure (#) employment increase
to** (percent)
60
3
11
2
0
10
1.680 66
607 <1
79S <1
1.500 ' <1
0 0
740 0
Annual
costs
(in millions)
$80.7
49.8
11.8
64.2
13.3
23.3
258.9
8.0
5H3.0-
'Joo »hop» onrf.
•Coslsludy cowed seven product me*, totaled >npact ttudy covered four.
                          jm dKMde (2 closure* ol 13 plants
                          (6 ctottxei ol 16 plant*—69S joo»).

•Sgnrhcart mpact po*»tte n pnmary one ndustry (1 doeure ol 6 plar«»—500 to 1.500 ioba).
                                                                (5 cto»ur« ol 29 plants-
                                                     nger
  impact pou£i« in m. l«n«j labnc procnamg wgrmra (2 cio*u« ol 19 plant*-328 fob.)
    EPA performed less detailed analyses
  for the other industry segments in the
  EIA. This qualitative analysis shows the
  possibility of plant closures in some
  sectors of the explosives, petroleum
  rerefining. Pharmaceuticals, organic
  chemicals, and plastics industries.
   . The effects of the Phase I
  requirements will interact with those of
  some other EPA regulations. It is too
  early to estimate these effects in
 general. But.  as an example, the water
 pretreatment standards for
 electroplaters were expected  to close
 587 job shops until the Agency, working
 with the Small Business Administration.
 developed a Federal  assistance
 program. As a result  of the RCRA
 Subtitle C program alone, 60 job shops
 may close, and the Agency may find it
 more difficult to mitigate the effect of
 the pretreatment regulations on other
 plants..
   3. Limits of Analysis. In order to make
 the economic analysis practical, the
 Agency had fo make some fundamental
 assumptions and limit the scope of the
 analysis to what it believed were the
 major waste generating industries. The
 EIA could not cover all industry
 segments which generate hazardous
 waste. Sample extrapolation of the •
 compliance cost for the 29,000
 generators studied to  the 67,000
 generators that are expected to be
 regulated during Phase I, would more
 than double the EIA estimate. The costs
for surface impoundments alone, for
                                     those industries not included in the
                                     analysis, have been roughtly estimated
                                     to be somewhere between $60-900
                                     million.5
                                       The EIA was based on. hazardous
                                     waste volumes believed to exist in the
                                     covered industry segments because their
                                     waste appeared on EPA's hazardous
                                     waste list or was believed to exhibit one
                                     of the four hazardous waste
                                     characteristics. The uncertainty over
                                     this latter aspect of the analysis is
                                     somewhat reflected in the 1980 waste
                                     volume estimate  which EPA  believes
                                     could range between 28 million and 56
                                     million metric tons. The 41 million
                                     metric tons previously quoted is EPA's
                                     best estimate. To the extent these
                                     generators delist  or discover that their
                                     specific wastes do not meet the
                                     hazardous waste characteristics, the
                                     costs and impacts will be less.
                                      The EIA made two major
                                     assumptions: (1) Although disposal
                                     prices may increase significantly under
                                     RCRA, the study assumed that
                                    generators would be unable to reduce
                                      'Baaed on varied assumptions on site life arid
                                    actual number of hazardous wasle sites. Also, this
                                    estimation was based on a fixed S2S million cost
                                    assumption for closure of impoundments over ISO
                                    acres. The costs Would have been nearly double
                                    that without this assumption and with strict use of a
                                    model cost equation used for impoundments of less
                                    area. However, uncertainty in the data base over
                                    site life, impoundment size and hazardousrtess of
                                    wastes, and Ae Agency belief that operators could
                                    develop less costly closure plans that EPA would
                                    accept, support this assumption.
way to
 ofjflk

belPy
   the volume of waste disposed and will
   not,be .able to find a cheaper wa;
   manage it. and (2) acceptable ofj
   waste disposal capacity will bef
   available.
     Finally, the analysis is based on final
   Sections 3002 and 3003 regulations and a
   January 1980 draft of the Sections 3001
   and 3004 requirements. The draft
   regulations have substantially changed
   since.that time. In most instances, the
   alterations have led to cost reductions.
   For instance, a number of changes  '
   which would greatly reduce  the amount
   of waste covered by the regulations
   have not been factored into the analysis.
  Also, the financial requirements have
  been deferred in the Part 265 regulations
  but are still covered in the economic
  impact study. On  the other hand, control
  of underground injection has been
  added to the regulations, but it is not
  covered in the EIA.
    The Agency is now analyzing the final
  Phase I regulations and will make the
  results publicly available this summer in
  an economic analysis summary. EPA
  wil^publish a notice in the Federal
  Register concerning its availability. In
  the interim, anyone wishing to review
  the current version of the economic
  analysis may do so at EPA
  Headquarters and Regional Office
  libraries. A more extensive sumr
  the economic analysis can be fou.
  the Regulatory Analysis which isi_
  available in the Regional Office arS
  EPA Headquarters libraries.

  II. Environmental Analysis
   EPA voluntarily prepared an
 Environmental Impact Statement (EIS)
 under the National Environmental Policy
 Act 42 U.S.C. § 4321 et seq. (NEPA). (See
 the NEPA discussion-in the preamble
 accompanying the  Parts 264 and 265
 rules issued elsewhere in today's
 Federal Register.) EPA will publish a
 Federal Register notice within 90 days of
 the promulgation of these regulations
 announcing the availability of the EIS
 for those interested in obtaining a copy
 of it.-

 Industry Assistance
   The Agency recognizes that these
 regulations may have a substantial
.impact on certain industrial sectors,
 particularly on firms in a poor
 competitive position. The Agency will
 provide a limited degree of assistance to
 such firms. For example, the Agency is
.preparing guidance manuals which
 interpret the regulations, and offer
 advice on efficient compliance with
 substantive requirements. Seminars^
public hearings will be held to exp
 the regulations, respond to questic
and describe available financial

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                 FederalRegister / Vol. 45. No. 98 /  Monday.  May 19. 1980 /Rules  and  Regulations
                                                                           33073
   .assistance. Limited technological
    assistance may be available.
      The Agency has also-established an
    industry assistance program in the   •
   Office of Solid Waste. The staff of this
    program have been charged with (1)
   •identifying industry and community
   RCRA compliance problems and seeking
   solutions to them, (2) coordinating
   assistance activities with the States,
  ' other parts of EPA. and other Federal
   agencies (e.g., the Small Business.
   Administration and the Edonomic
   Development Administration), (3)
   planning and conducting seminars, and
   (4) coordinating production of written
   material designed to assist those least
   able to cope with the regulatory.burden.
  ;   The Agency would ideally like to
•   provide this assistance to anyone who
   wants it. However, because the industry
   assistance program may receive more
  requests for help than it can initially
.  respond to, it may be necessary to
  establish priorities _to determine which
  requests should be answered first. If this
  is the case, the program will concentrate
  first on the following industry sectors,
  which the Agency believes most need
  this help: chrome pigments, chlorine.
  electroplating  (job'shops), woven fabric
  finishing, felt fabric finishing, sheepskin
  tanneries, vegetable tanners, primary .
  and secondary aluminum, primary and
  secondary copper, primary and
  secondary lead, primary, tungsten.
  primary zinc, petroleum rerefming.   .
  pesticides, plastics, and
  Pharmaceuticals. EPA plans to meet.
  with the trade  associations of these
  industries in order to define specific
  assistance responses.
    Anyone having suggestions on how
,  the Agency can help industry comply
  with these regulations should contact:
  Michael Barclay, RCRA Industry
  Assistance Coordinator. Office of Solid
  Waste (WH-565). U.S. Environmental
  Protection Agency, Washington, B.C.
  20460 (202) 755-9190.
   Dated: May 2,1980.
  Douglas M. Costle,
  Administrator.            .  •

   Title 40 CFR Part 260 is revised to
  read as follows:

  PART 260—HAZARDOUS WASTE "
  MANAGEMENT SYSTEM: GENERAL
  Subpart A—General
'Sec.      .        •'
 260.1  Purpose, scope and applicability.
 260.2  Availability of information,
     confidentiality of information.
 260.3  Use of number and gender!
 Subpart B—Definitions
 260.10  Definitions.  .   , ' •
    Subpart C—Rulernaking Petitions
    260.20  General.
    260.21  Petitions for equivalent testing or
       analytical methods.. •
    260.22  Petitions to amend Part'261 to
       exclude a waste produced at a particular
      ' facility. '•
    Appendix I—Overview of Subtitle C
       Regulations
     Authority: Sees. 1006. 2002(a). 3001 through
    3007, 3010, and 7004. of the Solid Waste
    Disposal Act.'as amended by the Resource
    Conservation and Recovery Act of 1976, as
  '  amended (42 U.S.C. 6905, 6912(a), 6921.
    through 6927. 6930, and 6974).

   Subpart A—General

   § 260.1  Purpose, scope, and applicability.
     (a) this part provides definitions of
   terms, general standards, and overview '
   information applicable to Parts 260
   through 265 of this Chapter.
     (b) In this'part: (1) Section 260.2 sets  ,
   forth the rules'that EPA will use in
   making information it receives available
   to the public and sets forth the
   requirements that generators,
   transporters, or owners or operators of
   treatment, storage, or disposal facilities
   must follow to assert claims of business
   confidentiality with respect to
   information that is submitted to EPA
   under Parts 260 through 285 of this
   Chapter.
    (2) Section 260.3 establishes rules of
  grammatical construction for Parts 260
•  through 265 of this Chapter.
    (3) Section 260.10 defines terms  which
  are used in Parts 260 .through 265 of this
.  Chapter.        .                 .    '
    (4) Section 260.20 establishes        ,
  procedures for petitioning EPA to
  amend, modify, or revoke any provision
  of Parts 260 through 265 of this .Chapter
  and establishes procedures governing
  EPA's action on such petitions..
    (5) Section 260.21 establishes
  procedures for petitioning EPA to
  approve testing methods as equivalent
  to those prescribed in Parts 261. 264. or
  265 of this Chapter.
    (6) Section 260.22 establishes
.procedures' for petitioning EPA to' amend
  Subpart D of Part 261 to exclude a  waste
  from a particular facility. -     .

  § 260.2  Availability of Information;
  confidentiality of information.
    (a) Any information provided to EPA
  under Parts 260 through 265 of this
  Chapter will be made available to the
  public to the extent and in the manner
  authorized by the Freedom of
  Information Act, 5 U.S.C. section 552,
  section 3007{b) of RCRA and 'EPA
  regulations implementing the Freedom
  of Information Act and section 3007(b),
 Part 2 of this Chapter, as applicable.  :
   (b) Any person who submits
 information to EPA in accordance with
   Parts 260 through 265 of this Chapter
   may assert a claim of business
   confidentiality covering part or all of
   that information by following  the
   procedures set forth In § 2.203(b) of this
   Chapter. Information covered  by such a
   claim will be disclosed by EPA only to
   the extent, and by means.of the
   procedures, set forth in Part 2. Subpart B
   of this Chapter. However, if no such
   claim accompanies the information
   when it is received by EPA, it  may be'
•   made available to the public without
   further notice to the person submitting   •
..  it..                  •     '

   § 260.3  Use of number and gender.
     As used in Parts 260 through 265 of ''
   this Chapter:            :   ',   .
     (a) Words in the masculine gender,
   also include the feminine and neuter • ,
   genders; and
     (b) Words in the singular include the
~" plural: and             '           '
     (c) Words in the plural include the ,
   singular.         .

  Subpart B—Definitions

  §260.10   Definitions.
    (a) When used in Parts 260 through
  265 of this Chapter, the following terms
  have the'meanings given below: (l)
  "Act" or'"RCRA" means the Solid
  Waste Disposal Act, as amended 'by the
  Resource Conservation and Recovery
  Act of 1976. as amended, 42 Lf.S.C.   '
  section 6901 et seq.
    (2) "Active portion" means that  .  •'   •
  portion of a facility where treatment,
  storage, or disposal operations  are being
  or have been conducted after the
 -effective date of Part 261 of this Chapter
  and which is not a closed portion. (See"
  also "closed portion" and "inactive
  portion".)
   (3) "Administrator" means the
  Administrator of the Environmental
  Protection Agency, or his designee.
   .(4) "Aquifer" means a geologic   •.
  formation, group.of formations,  or part
  of a formation capable of yielding a
  significant amouritof ground wafer to
  wells-or springs.                   '.
   {5) "Authorized representative"
  means the person responsible for the
 overall operation of a facility or an '
 operational unit (i.e., part,of,a facility),. -  ,
 e.g.; the plant manager, superintendent
 or person of equivalent responsibility.
   (6) "Closed portion" means that
 portion of a facility which an owner or
 operator has closed in accordance with-
 the  approved facility closure plan and ,
 all applicable closure requirements. (See
 also "active portion" and "inactive
.portion".)                       .
   (7) ."Confined aquifer" means an
 aquifer bounded above and below by .

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  33074       Federal Register /  Vol. 45.  No, 98  /  Monday.  May 19. 1980  / Rules  and Regulations
  impermeable beds or by beds of
  distinctly lower permeability than that
  of the aquifer itself: an aquifer
  containing confined ground water.
    (8) "Constituent" or "hazardous waste
  constituent" means a constituent  which
  caused the Administrator to list the
  hazardous waste in Part 261, Subpart D,
  of this Chapter, or a constituent listed in
  Table 1 of § 261.24 of this Chapter.   '
    (9) "Container" means any portable
  device in which a material is stored,
  transported, treated, disposed of,  or
  otherwise handled.
    (10) "Contingency plan" means  a
  document setting out an organized.
  planned, and coordinated course of
  action to be followed in case of a  fire,
  explosion, or release of hazardous waste
  or hazardous waste constituents which
  could threaten human health or the
  environment.
    (11] "Designated facility" means a
  hazardous waste treatment, storage, or
  disposal facility which has received an
  EPA permit (or a facility with interim
  status) in accordance with the
  requirements of 40 CFR Parts 122 and
  124 of this Chapter, or a permit from a
  State authorized in accordance with Part
 123 of this Chapter, that has been
 designated on the manifest by the
 generator pursuant to § 262.20.
   (12) "Dike" means an embankment or
 ridge of either natural or man-made
 materials used to prevent the movement
 of liquids, sludges, solids, or other
 materials.
   (13) "Discharge" or "hazardous waste
 discharge" means the accidental or
 intentional spilling, leaking, pumping,
 pouring, emitting, emptying, or dumping
 of hazardous waste into or on any  land
 or water.
   (14) "Disposal" means the discharge.
 deposit, injection, dumping, spilling.
 leaking, or placing of any solid waste or
 hazardous waste into or on any land or
 water so that such solid waste or
 hazardous waste or any constituent
 thereof may enter the environment or be
 emitted into the air or discharged into
 any waters, including ground waters.   •
  (IS) "Disposal facility" means a .
 facility or part of a facility at which
 hazardous waste is intentionally placed •
 into or on any land or water, and at
 which waste will remain after closure.
  (16) "EPA hazardous waste number"
 means the number assigned by EPA to
 each hazardous waste listed in Part 261.
 Subpart D. of this Chapter and to each  '
 characteristic identified in Part 261,
 Subpart C, of this Chapter.
  (17) "EPA identification number"
means the number assigned by EPA to
each generator, transporter, and
treatment, storage, or disposal facility.
    (18) "EPA region" means the states
  and territories found in any one of the
  following ten regions:
  Region I—Maine. Vermont. New Hampshire.
    Massachusetts. Connecticut, and Rhode'
    Island.
  Region II—New York. New Jersey,
    Commonwealth of Puerto Rico, and the
   •U.S. Virgin Islands.
  Region HI—Pennsylvania. Delaware,
    Maryland. West Virginia. Virginia, and the
    District of Columbia.
  Region IV—Kentucky, Tennessee,  North
    Carolina. Mississippi, Alabama, Georgia,
    South Carolina, and Florida.
  Region V—Minnesota, Wisconsin. Illinois,
    Michigan, Indiana and Ohio.
  Region VI—New Mexico, Oklahoma,
    Arkansas, Louisiana, and Texas.
  Region VII—Nebraska, Kansas. Missouri, and
   Iowa.
  Region VIII—Montana.- Wyoming,.North
   Dakota. South Dakota. Utah, and Cplorado.
  Region IX—California, Nevada, Arizona,
   Hawaii, Guam. American Samoa,
   Commonwealth of the Northern Mariana
   Islands.
 Region X—Washington. Oregon, Idaho, and
   Alaska.     .
   (19)  "Equivalent method" means any
 testing or analytical method approved
 by the Administrator under § §  260.20
 and 260.21.
   (20) "Existing hazardous waste
 management facility" .or "existing
 facility" means a facility which was in
 operation, or for which construction had
 commenced, on or before October 21,
 1976. Construction had commenced if:
 (i) The owner or operator has obtained
   all necessary Federal, State, and local
   preconstruction approvals or permits;
   and either
 (ii)(a) A continuous physical, on-site
   construction program has begun, or
 [b] The owner or operator has entered
   into contractual obligations—which
   cannot be cancelled or modified
   without substantial loss—for
   construction of the facility to  be
   completed within a reasonable time.
   (21) "Facility" means all contiguous
 land, and structures, other
 appurtenances, and improvements on
 the land, used for treating, storing, or
 disposing of hazardous waste. A facility
 may consist of.several treatment,
 storage, or disposal operational units
 (e.g., one or more landfills, surface
 impoundments, or combinations of
 them).
  (22) "Federal agency" means  any
 department, agency, or other
 instrumentality of the Federal
 Government, any independent agency or
 establishment .of the Federal
 Government including any Government
corporation, and the Government
Printing Office.
  (23) "Food-chain crops" means
tobacco, crops grown for human
   consumption, and crops grown for feed
   for animals whose products are
   consumed by humans.
     (24) "Freeboard" means the
   distance between the top .of a	
   surface impoundment dike, and the
   surface of the waste contained therein.
     (25) "Free liquids" means liquids
   which readily separate from the solid  -
   portion of a waste under ambient •'
.   temperature and pressure.
     (26) "Generator"  means any person,
   by site, whose act or process produces
   hazardous waste  identified or listed in
   Part 261 of this Chapter.
    •(27) "Ground water" means water
   below the land surface in a zone of
   saturation.
   .(28) "Hazardous waste" means a
   hazardous waste as defined in § 261.3  of
  .this Chapter.
    (29) "Inactive portion" means that
   portion of a facility which is not
   operated after the effective date of Part
 .261 of this Chapter. (See also "active
  portion" and "closed portion".)
    (30)  "Incinerator" means an enclosed
  device using controlled flame
  combustion, the primary purpose of
  which is to thermally break down
  hazardous waste.  Examples of
  incinerators are rotary kiln, fluidized •
  bed, and liquid injection incinerators.
    (31) "Incompatible waste" mea, """
  hazardous waste which is unsuitf
  for:           ,
  (i) Placement in a particular device or
    facility because it  may cause
    corrosion or decay of containment
    materials (e.g., container inner liners
    or tank walls); or               .
  (ii) Commingling with another waste or
   material under uncontrolled
   conditions because the commingling
   might produce heat or pressure, fir.e,pr
   explosion, violent reaction, toxic
   dusts, mists, fumes, or gases, or
   flammable fumes or gases.
 (See Part 265, Appendix V, of this
   Chapter for examples.)
   (32) "Individual generation site"
 means the contiguous site at or on which
 one or more hazardous wastes are
 generated. An individual generation site,
 rsuch as a large manufacturing plant,,
 may have one or more sources of
 hazardous waste but is considered a
 single or individual generation site if the
 site or property is contiguous.
   (33)  "In operation" refers to a facility
 which is treating, storing, or disposing of
 hazardous waste.
   (34)  "Injection well" means a well
 into which fluids are  injected. (See also
 "underground injection".)
   (35)  "Inner liner" means a contl
 layer of material placed inside a
 container which protects the

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                Federal Register ./. Vol. 45. No. 98 /Monday. May 19.  1980 '/ Rules and Regulations      .  33075
   construction materials of the tank or
   container from the contained waste of
   reagents used to treat the waste.
     (36) "International shipment" means
  -the/transportation of hazardous waste
   into or out of the jurisdiction of the
   United States.
     (37) "Landfill" means a disposal
   facility or part of a facility where
   Hazardous waste is placed in of on land
   and which is not a land treatment
   facility, a surface impoundment, or an
   injection well.  '
     (38) "Landfill cell" means a discrete
   volume of a hazardous waste landfill
   which uses a liner to provide isolation of
   wastes from adjacent cells or wastes.
   Examples of landfill cells are trenches
'   and pits.        v       -       ,
     (39) "Land treatment facility" means
   a facility or part of a facility at which
   hazardous waste is applied onto or
   incorporated into the soil surface: such
   facilities are disposal facilities if the
   waste will remain after closure.
    (40) "Leachate" means any liquid.
   including any suspended components in
   the liquid, that has percolated through or
   drained from hazardous waste.
    (41) "Liner" means a continuous layer
   of natural or man-made materials,
   beneath or on the sides of a  surface
   impoundment, landfill, or landfill cell,
  which restricts the downward or lateral •
  escape of hazardous waste, hazardous
  waste constituents, or leachate.
    (42) "Management" or "hazardous
  waste management" means the
  systematic control of the collection,
  source separation, storage,
  transportation, processing, treatment
  recovery, and disposal of hazardous
  waste.;   •      '    '.••
    (43) "Manifest" means the shipping
  document originated and signed by the
  generator which contains the           .
  information required by Part 262,
  Subpart B, of this Chapter,
   (44) "Manifest document number"
  means the serially increasing number
  assigned to the manifest by the
  generator for recording and reporting
  purposes.
   (45) "Mining overburden returned to
  the mine site" means any material
•.  overlying an economic mineral deposit
  which is removed to gain access to that
  deposit and is then used for reclamation
  of a surface mine.
   (48) "Movement" means that    .   .
  hazardous waste transported to a
  facility in an individual vehicle.
   (47) "New hazardous waste
 management facility" or "new facility"
  means a facility which began operation.
 or for which, construction commenced
 after October 21,1976. (See also
 "Existing hazardous waste management
. facility".)                 .
  1  -(48) "On-site" means the same or   ••
   geographically.contiguous property,
  \ which may be divided by public or  '
   private right-of-way, provided the
   entrance and exit between the
,   properties is at a cross-roads    ;
   intersection, and access is by crossing
   as opposed to going along, the right-of-
   way. Non-contiguous properties owned
   by the same person but connected by a
   right-of-way which he controls and to
   which the public.does hot have access,
   is also considered on-site property.
    (49) "Open burning" means the
   combustion of any material without the
   following'characteristics: >   •  '
   (i) Control of combustion air to maintain
    adequate temperature for efficient
    combustion,
   (ii) Containment of the combustion-
    reaction in an enclosed device to
    provide sufficient residence time and.
    mixing for complete combustion, and
  (iii) Control of emission of the gaseous
    combustion products..
  (See also "incineration" and "thermal..
    treatment".)   '
    (50) "Operator" means the person
  responsible for the overall operation of a
  facility.
    {51} "Owner"  means the person who
  owns a facility or part of a facility.
   ! (52) "Partial closure" means the
  closure of a discrete part of a facility in
  accordance with the applicable closure
  requirements of  Parts 284 or 265 of this
  Chapter. For example, partial closure
  may include the  closure of a trench, a
  unit operation, a landfill cell, of a pit,
  while other parts of the same facility
  continue in operation or will be placed
  in operation in the future,	
   (53) "Person" means an individual.
  trust, firm, joint stock company. Federal
  Agency, corporation (including a
  government corporation), partnership,
  association. State, municipality,
'  commission, political subdivision of a
  State, 'or any interstate body.
   (54) "Personnel" or "facility
  personnel" means all persons who Work.
  at, or oversee the operations of, a
 hazardous waste facility, and whose
 actions or failure to act may result in
 noncompliance with the requirements of
 Parts 264 or 285 of this Chapter.
   (55) "Pile" means any non-
 containerized accumulation of solid,
 nonflowing hazardous waste that is
 used for treatment or storage.
   (56) "Point source" means any      .  •
 discernible, confined, and discrete
.conveyance, including, but not limited to
any pipe, ditch, channel, tunnel, conduit,
well, discrete fissure, container, rolling ,
stock, concentrated animal feeding
operation, or vessel or other floating.
craft, from which pollutants are or may
 'be discharged. This term does not
  include return flows from, irrigated  '
  agriculture.
    (57) "Publicly owned treatment.
  works" or "POTW" means any device or
  system used in the treatment (including
  recycling and reclamation) of municipal
  sewage or industrial wastes of a liquid
  nature which is owned by-a "State" or
  "municipality" (as defined by Section
.  502(4) of the CWA). This definition
  includes sewers, pipes; or other
  conveyances only if they convey
  wastewater to a POTW providing
  treatment.            ' •   ,       .  '
   •(58) "Regional Administrator" means
  the Regional Administrator for the EPA
 .Region in which the facility'is located,
 or his designee.
   (59) "Representative sample" means a
 sample.of a univetse or whole (e.g.,
 waste pile, lagoon, ground water) which
 can be expected to exhibit the average.
 properties of the universe or whole.
   (60) "Run-off means any rainwater,
 leachate, or other liquid that drains over
 land from any part of a,facility.
   (61) "Run-on" means any rainwater,
 leachate, .or other liquid that drains  over
 land onto any part of a facility.
   (62) "Saturated zone",on*"zone of
• saturation" means that part of the
 earth's crust in which all voids are filled
 with water.
   (63) "Sludge" means any solid, semi-
 solid^ or liquid waste generated from a
 municipal, commercial, or industrial
 wastewater treatment plant, water '    .
 supply treatment plant, or air pollution
 control facility exclusive of the treated
 effluent from a wastewater treatment
 plant..  -           .   .
   (84) "Solid waste'.' means a solid
 waste as defined in § 261.2 of this'
 Chapter.
   (65) ''State" means any of the several
 States, the District of Columbia, the
 Commoriwealth.of Puerto Rico, the
 Virgin Islands, Guam, American Samoa.
 and the Commonwealth of the Northern
Mariana Islands.     "         :
   (66) "Storage" means the holding of  •
.hazardous waste for a temporary. period,
at the end of which the hazardous waste
is treated, disposed of, or stored
elsewhere.             • *•' •'   "      v
  (67) "Surface impoundment" or
"impoundment", means a facility or part
of a facility which is a natural
topographic depression, man-made •
excavation, or diked area formed
primarily of earthen materials (although   .
it may be lined with man-made
materials), which is designed to hold an
accumulation of liquid wastes or wastes
containing free liquids, and which is not
an injection well. Examples of surface
impoundments are holding, storage.

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   33076       Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
   settling, and aeration pits, ponds, and
   lagoons.
     (68) "Tank" means a stationary
   device, designed to contain an
   accumulation  of hazardous waste which
   is constructed primarily of non-earthen
   materials (e.g., wood, concrete, steel,
   plastic) which provide structural
   support.
     (69) "Thermal treatment" means the
   treatment of Hazardous waste in a
   device which uses elevated
   temperatures as the primary means to
   change the chemical, physical, or
   biological character or composition of
   the hazardous  waste. Examples of
   thermal treatment processes are
  incineration, molten salt, pyrolysis,
  calcination, wet air oxidation, and
  microwave discharge. (See also
  "incinerator" and "open burning".)
    (70) "Totally enclosed treatment
  facility" means a facility for the
  treatment of hazardous waste which is
  directly connected to an industrial
  production process and which  is
  constructed and operated in a manner
  which prevents the release of any-
  hazardous waste or any'constituent
  thereof into the environment during
  treatment.  An example is a pipe in
  which waste  acid ia neutralized.
   (71) 'Transportation" means the
  movement  of hazardous  waste  by air.
  rail, highway, or water.
   (72) "Transporter" means a person
  engaged in the offsite transportation of
  hazardous waste by air, rail, highway,
  or water.
   (73) 'Treatment" means any method.
  technique, or  process, including
 neutralization, designed to change the
 physical, chemical, or biological
 character or composition of any
 hazardous waste so as to neutralize
 such waste, or so as  to recover energy or
 material resources from the waste, or so
 as to render such waste non-hazardous,
 or less hazardous; safer to transport.
 store, or dispose of; or amenable for
 recovery, amenable for storage, or
 reduced in volume.
   (74) "Underground injection"  means.
 the subsurface emplacement of fluids   ''
 through a bored, drilled or driven well;
 or through a dug well, where the depth
 of the dug well is greater than the
 largest surface dimension. (See also
/'injection well".)
   (75) "Unsaturated zone" .or "zone of
 aeration" means the zone between the
 land surface and the water table.
   (76) "United States" means the 50
 States, the District of Columbia, the
 Commonwealth of Puerto Rico, the U.S.
 Virgin Islands. Guam, American Samoa,
 and  the Commonwealth of the Northern
Mariana Islands.
    (77) "Water (bulk shipment)" means
   the bulk transportation of hazardous
   waste which is loaded or carried on
   board a vessel without containers or
   labels.  '
    (78) "Well" means any shaft or pit dug
   or bored into the earth, generally of a
   cylindrical form, and often walled with
   bricks or tubing to prevent the earth'
   from caving in.
    (79) "Well injection": (See
   "underground injection",)

  Subpart C—Rulemaking Petitions

  § 28020  Oneral
    (a) Any person may petition the
  Administrator to modify or revoke any
  provision in Parts 260 through 265 of this
  Chapter. This section sets forth general-
  requirements which apply .to all such
  petitions. Section 260.21 sets forth
  additional requirements for petitions to
  add  a testing or analytical method to
  Parts 261, 264 or 265. Section 260.22 sets
  forth-additional requirements for
  petitions to exclude-a waste at a
  particular facility from. § 261.3 of this
  Chapter or the lists of hazardous wastes
  in Subpart D of Part 261.
   (b) Each petition must be submitted to
  the Administrator by certified mail and
  must include:
 _(1) The-petitioner's name and address;
 "(2J A statement of the petitioner's
   interest in the proposed action;
 (3) A description of the proposed action.
   including (where appropriate)
   suggested regulatory language: and
 (4) A statement of the need and
   justification for the proposed action,
   including any supporting tests,
   studies, or other information.
   (c) The Administrator will make a
 tentative decision to grant or deny a
 petition and will publish notice of such
 tentative decision, either in the form of
 an advanced notice of proposed
 rulemaking, a proposed rule, or a
 tentative determination to deny the
 petition, in the Federal Register for  .
 written public comment.
   (d)  Upon the written request of any
 interested person, the Administrator
 may.  at his discretion, hold an informal
 public hearing to consider oral  •
 comments on the tentative decision. A
 person requesting a hearing must Plate
 the issues to-be raised and explain why
 written comments would not suffice to
 communicate the person's views. The
 Administrator may in any case decide
 on his own motion to hold an informal
 public hearing.
   (e) After evaluating all public
 comments the Administrator'will make
 a final decision by publishing in the
Federal Register a regulatory
amendment or a denial of the petition.
  § 260.21  Petitions for equivalent
  analytical methods.
    (a) Any person seeking to adc
  testing-or analytical method to 1   	
  264, or 265 of this Chapter may petition
  for a regulatory amendment under this
  section and § 260.20. To be successful,
  the person must demonstrate to :the
  satisfaction of the Administrator that
  the proposed method is equal to or   .  '
  superior to the corresponding method
  prescribed in Parts 261, 264, or 265 of
  this Chapter, in terms of its sensitivity,
  accuracy, and precision (i.e.,
  reproducibility).
    (b) Each petition must include, in
  addition to the information required by
  §260.20(b):
  (1) A full description of the proposed
    method, including all procedural steps
    and equipment used  in  the method;
  (2) A description of the types of wastes
    or waste matrices for which the
    proposed method may be used;
  (3) Comparative results obtained from
    using the proposed method with those
    obtained from using the relevant or  .
    corresponding methods prescribed in
    Parts 261, 264, or 265  of this Chapter;-
  (4) An assessment of any  factors which
    may interfere with, or limit the use of,
    the proposed method; and
  (5) A description of the quality corj
   procedures necessary to ensure
   sensitivity, accuracy and precis
   the proposed method.
   (c) After receiving a petition for an
 equivalent method, the Administrator
 may request any additional information
 on the proposed method which he may
 reasonably require  to evaluate the
 method.
   (d) If the Administrator amends the
 regulations to permit use of a new
 testing method, the  method will be
 incorporated in "Test Methods for the
 Evaluation of Solid  Waste: Physical/
 Chemical Methods," SW-846, U.S.
 Environmental Protection Agency,
 Office of Solid Waste, Washington, B.C.
 20460.
 [Comment: This manual will be
 provided to any person on request, and
 will be available for inspection or
 copying at EPA headquarters or any
 EPA Regional Office.]

 § 260.22  Petitions to amend Part 261 to
 exclude a waste produced at a particular
 facility.
  (a) Any person seeking to exclude a
 waste at a particular generating facility
 from the lists-in Subpart D  of Part 261
 may petition for a regulatory
amendment under'this section anc
 § 260.20. To be successful, the ped|
must demonstrate to the satisfactic
the Administrator that the waste

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Federal Register / Vol.  45. No. 98 /Monday.  May 19.: 1980 / Ruies and Regulations
                                  33Q77
      produced by a particular generating  .
      facility does not meet any of the criteri'a
      under which the waste, was listed as a
      hazardous, waste and, in the case of an
      acutely.hazardous waste listed .under
      § 281.11(a)(2), that it also does not meet
      the criterion of § 261.11(a](3). A waste
      which is so-excluded may still, however,
      be a hazardous waste by operation of
'.     Subpart C of Part 281.         '
       (b) The procedures in this section and
      § 260.20 may also be used.to petition the
     Administrator for a regulatory   '
     amendment to exclude from
     5 281.3(a)(2)(ii) or (c), a waste which is
     described in those sections and is either
     a waste listed in'Subpart D, contains a
     waste listed in Subpart D, or is derived
     from a waste listed in Subpart D. This
   •  exclusion may only be issued for a
     particular generating, storage, .treatment,
     or disposal facility. The petitioner must
     make the same demonstration as
     required by paragraph (a) of this section.
     except that where the waste is a mixture
     of solid waste arid one or more listed
     hazardous wastes or is derived  from one
 .    or more hazardous wastes, his ,
     demonstration may be made with
     respect to each constituent listed waste
     or the waste mixture as a whole. A
    waste which is so excluded may still be
    a hazardous waste by operation of
    Subpart C of Part 281.
      (c) If the waste is listed with codes
    "I". "C". "R". or "E" in Subpart D. the
    petitioner must show that demonstration
    samples of the waste do not exhibit the
    relevant characteristic defined in
    § § 261.21. 261.22, 281.23, or 261.24 using
    any applicable test methods prescribed
    therein.
      (d) If fhe waste is listed with code "T"
    in Subpart D, the petitioner must
    demonstrate that:         •
    (1) Demonstration samples of the waste
      do not contain the constituent (as
      defined in Appendix VII) that caused
      the Administrator to list the waste,
    .  using the appropriate test methods
      prescribed in Appendix III; or
   (2) The waste does not meet the
      criterion of § 26i:il(a)(3) when
     considering the factors jn    '
      § 261.11(a)(3) (i) through (xi).
     (e) If the waste ialisted with the code
   "H" in Subpart D. the petitioner must
   demonstrate that the waste does not
   meet both of the following criteria:
   (1) The criterion of  § 261.11(a)(2).  .
   (2) The criterion of § 261.ii(a)(3) when
     considering the factors liste.d in
     § 261.11(a)(3)  (i) through (xi).
     (f) [Reserved for listing radioactive
   wastes.]
     (g) [Reserved for listed infectious
   wastes.]    .
                             (h) Demonstration samples must
                           consist of enough representative
                           samples, but in no case less than four •
                           samples, taken over a period of time ,
                           sufficient to represent the variability or
                           the uniformity of the waste.   -••-"'
                             (i) Each petition must include, in
                           addition to the information required by
                           §260.20(b):
                           (1) The name and address of the '.
                            laboratory facility performing the
                          ,  sampling or tests of the waste;
                          (2) The names and qualifications of the
                            persons sampling and testing the
                            waste;            .'.'..'.
                          (3) The dates of sampling and testing;
                          (4) The location of the generating
                            facility;
                          (5) A description of the  manufacturing
                            processes or other operations and
                            feed materials producing the waste
                           'and an assessment of,whether such
                          • processes, operations, or feed
                            materials can  or might produce a ,
                            waste that is,not covered by the
                           demonstration:                :
                         (6) A description of the waste and an
                           estimate of the average anid maximum
                           monthly, and'annual quantities of
                           waste covered by the  demonstration:
                         (7) Pertinent data on and discussion of
                           the factors  delineated in the
                           respective criterion for listing a .
                        •   hazardous waste, where the
                           demonstration is based on the factors
                           in 5 281.11(a)(3);
                         (8) A 'description of the methodologies
                           and equipment used to obtain the
                           representative  samples;
                         (9) A description of the sample handling
                           and preparation techniques, including;
                           techniques used for extraction,    .
                           containerize lion and preservation of
                           the samples;
                        (10) A description of the  tests performed
                           (including results);
                        (11) The names and model numbers of
                           the instruments used in performing the
                           tests; and
                        (12) The following statement signed by
                           the generator of the waste or his
                          authorized representative:
                          I certify under penalty of law that I have,
                        personally examined and am familiar with
                        the information submitted in this   • '  '   -
                        demonstration and all attached documents,
                        and that, based on my inquiry of those
                        individuals immediately responsible for
                        obtaining the information, 1 believe that the
                        submitted information is true, accurate, and
                        complete. I am aware that there are
                        significant penalties for submitting false
                        information, including the possibility of fine
                        and imprisonment.               .      •

                          (j) After receiving a petition for an
                        exclusion,  the Administrator may
                        request any additional information
                        which he may reasonably require to
                        evaluate the petition.
     (k) An exclusion will only apply to the.
   waste generated at the individual"
   facility covered by the demonstration
   and will not'apply to waste from any
   other facility.    •             7   "
     (1) The Administrator may exclude
   only part of the waste for which the
   demonstration is submitted where he •"
   has reason to believe that variability of
   the waste justifies a partial exclusion.-
     (m) The Administrator may (but shall'
 •  not be required to), grant a- temporary
  .exclusion before making a final decision
   under § 260.20(d) whenever he finds that
   there is a substantial likelihood that an
   exclusion will be finally granted. The
  Administrator will publish notice of any
 , such temporary exclusion in the Federal
  Register.   .

  Appendix I.—Overview of Subtitle C
  Regulations
 ,   The Agency believes that there are
  many people who suspect, but are not
  sure, that their" activities are subject  to
 "control under the RCRA Subtitle C rules.
  This appendix is written for these
  people. It is designed to help those who
  are unfamiliar with the hazardous waste
  control program to determine-with
  which, if any, of the regulations they
  should comply.

 Definition of Solid Waste
   The first question which such a person
 should ask himself is: "Is the material I
 handle a solid waste?" If the answerto
 this question is "No", then the material
 is not subject to control under RCRA
 and, therefore.,the person need not '
 worry about whether he should comply
 with the Subtitle C rules.
   Section 281.2 of this Chapter provides
 a definition of "solid waste'.1 which
 expands the statutory definition of that
 term given in section 1004(27) of RCRA.
 This definition is diagrammed in Figure
 1 below.  .
  , Figure 1 explains that all materials are
 either: (1) Garbage refuse, or sludge; (2)
 solid, liquid, semi-solid or contained
 gaseous  material; or (3) something else.
 No materials in .the third category are
 solid waste. All materials in the first
 category are solid waste. Materials in .
 the second category are solid waste
 unless they are one of the five  -
 exclusions specified in § 261.4(a).
.Definition of Hazardous Waste
  If a person has determined that his
 material  is a "solid waste", the next -
 question he should ask is: "Is the solid
 waste I handle-a.hazardous waste?"
  Hazardous waste is defined :in § 261.3
 of this chapter. Section 261.3 provides
 that, in general, a solid waste is a
hazardous waste if: (1) It is, or contains,
a hazardous waste listed in Subpart D  of

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  33078        Federal Register / Vol. 45. No.  98 / Monday. May 19.  1980 / Rules arid Regulations
  Part 261 of this Chapter, or (2) the waste
  exhibits any of the characteristics
  defined in Subpart C of Part 261.
  However, Parts 260 and 261 also contain
  provisions which exclude (§§ 261.4(b),
  260.20, and 260.22) certain'solid wastes
  from the definition of "hazardous
  waste", even though they are listed in
  Subpart D or exhibit one or more of the
  characteristics defined in Subpart C.
  Figure 2 depicts the interplay of these
  special provisions with the definition of
  "hazardous waste". It presents a series
  of questions which a person should ask
  himself concerning his waste. After
  doing so, the person should be able to
  determine if the solid waste he handles
  is a hazardous waste.
  Hazardous Waste Regulations
    If this is the case, the person should
 , look at Figure 3. Figure 3 depicts the
  special provisions specified in the final
  Part 261 rules for. hazardous waste
  which:
  1. Is generated by a small quantity
   generator
  2. Is or is intended to be legitimately and.
   beneficially used, re-used, recycled, or
   reclaimed
  3. Is a sludge; is listed in Part 261.
   Subpart Di'or is a mixture containing -
   a waste listed in Part 261, Subpart D.
   For each of these Groups, Figure 3
  indicates with which Subtitle C
 regulations (if any) the person handling
 these  wastes  must comply. Figure 3 also
 explains that, if a  person handles
 hazardous waste which is not included
 in any one of the above three categories.
 his waste is subject to the Subtitle C
 regulations diagrammed in' Figure 4.
   Figure 4 is a flowchart which
 identifies the  three categories of
 activities regulated under the Subtitle C
 rules, and'the corresponding set of rules
 with which people in each of these
 categories must comply. It points  out
 that all people who handle hazardous
 waste  are either: (1) Generators of
 hazardous waste, (2) transporters of
 hazardous waste, (3) owners or
 operators of hazardous waste treatment,
 storage, or disposal facilities, or (4) a
 combination of the above. Figure 4
 indicates that all of these people must
 notify EPA of their hazardous waste
 activities in accordance with the Section
 3010 Notification Procedures (see 45 FR
 12746 etseq,).  and  obtain an EPA
 identification number.
  It should be noted that people
handling wastes listed in Subpart  D of
Part 261 who have  filed, or who intend
to file an application to exempt their
waste from regulation under the Subtitle
C rules, must also comply with the
  notification requirements of section
  3010. '
    If a person generates hazardous
  waste. Figure 4 indicates that he must
  comply with the Part 262 rules. If he
  transports it. he must comply with the
  Part 263 rules. The standards in both
  these Parts are designed to ensure,
  among other things, proper
  recordkeeping and reporting, the use of
  a manifest system to track shipments of
  hazardous waste, the use of proper
  labels and containers, and the delivery
  of the waste to a permitted treatment,
  storage, or disposal facility.
    If a person owns or operates a facility
  which treats, stores, of disposes of
  hazardous waste, the standards with
  which he must comply depend on a   -
  number of factors. First  of all, if the
  owner or operator of a storage facility is
  also the person who generates the
  waste, arid the waste is  stored at the
  facility for less than 90 days for
  subsequent shipment off-site, then the
  person must comply with § 262.34 of the
  Part 262 rules.
   All other owners or operators of
  treatment, storage, or disposal facilities
  must comply with either the Part 264 or
•the Part 265 rules, to determine with
  which of these sets of rules an owner or
  operator must comply, he must find out
 whether his facility qualifies for interim
 status. To qualify, the owner or operator
 must: (1) Have been treating, storing, or
 disposing of the hazardous waste, or
 commenced facility construction on or
 before October 21,1976,  (2) comply with
 the Section 3010 notification
 requirements, and (3) apply for a permit
 under Part 122 of this Chapter.
   If the owner or operator has done all
 of the above, he qualifies for interim
 status, and he must comply with the Part
 285 rules. These rules contain
 administrative requirements, monitoring
 and closure standards, and an
 abbreviated set of technical and closure
 and post-closure cost estimate
requirements. The owner or operator
must comply with these standards until
final administrative disposition of his
permit application is made, if a permit is
issued to the owner or operator, he must
then comply with the permit which will
be based on the Part 264 rules.
  If the owner or operator has not
carried out the above three
requirements, he does not qualify for
interim status. Until he is issued a
permit,for his facility, the owner or
operator must stop waste management
operations (if any) at the facility, and  '
send his hazardous waste (if any) to a
facility whose owner or operator has
interim status or to a storage facility
following the Part 262 rules.
   In order to apply for a permit, the
 owner or operator must comply with the
 procedures specified in Part 12*2 of
 Chapter.
   It should be noted that the Age,__
 will be periodically revising the rules
 depicted in Figures 3 and 4. All persons
 are encouraged to write to EPA to verify
 that the regulations which  they are
 reading are up-to-date. To  obtain this
 verification, contact: Solid Waste
 Information, U:S. Environmental
 Protection Agency, 26 West St. Glair
 Street. Cincinnati, Ohio 45268 (513) 684-
5362.
(FR Doc. 80-14308 Filed 5-16-80: 8:« am|
BILLING CODE 6SCO-01-U

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          Fgdgfal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
                                                                             33O79
                                 •FIGURE  i    '

                       DEFINITION OF A SOLID ,
                             All materials'
Garbage,' refuse
  or sludge
     JiL
Solid, liquid,,  semi-solid 'or
contained gaseous  material
which is:
  1. discarded            ;
  2. served its  intended
     purpose
  3. a manufacturinq  or
     mining by-product
other
                     Hoes  §2,61.4(a)  exclude your
                     material  from regulation  .'
                     under RCRA because it is
                     one of the  following:
                     1. domestic sewage
                     2. CWA point source discharge
                     3, Irrigation return flow
                     4. AEC .source,  special nuclear
                        or  by-product material
                     5. In -situ  mining waste
                                  YES
                                              MATERIAL
                                          IS MO''1  A
                                          SOLID WASTE
                                   NO
    THE MATERIAL IS A RCRA, SOLID. WA.STK
    irresepective of whether you:
       1. discard;it
       2. use; it
       ,3. 'reuse  it    . ,;
       4. recycle it
       5. reclaim it   ;.".'•'
    •  • 6. 'Store  it or accumlate  it
    '  -    for  purposes 1-5 of above   :

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33080
Kogfater / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
                                 FIGURE .2,

                      DEFINITION OF A
                                                             *
     Is the solid  waste
  excluded from regulation
     under §261.4(b)7
                   NO
  Is the solid waste  listed
   in Part 261,  Subpart D,
   or is it a mixture that
      contains a waste
    listed in Subpart D?
                   YES
  Has the waste or mix-
  ture been excluded  from
  the lists xn Subpart D
  or §261.3 in accordance
  With §§260.20 and 260.22?
                                     YES
                      NO.
                      YES-
                                  . Does the waste  exhibit
                                 any of the characteristics
                                   specified  in  Part .261,
                                 	  Subpart C?    .  .
                  NO
                    YES
                                                       NO
                     THE WASTE IS
                  A HAZARDOUS WASTE
                    (see  figure 3)
                                           . THE WASTE  IS
                                         SUBJECT TO COMTPOL
                                          UNDER SURTITLf  D
                                         (if land

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         Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
                                        33081
            .                .-•  FIGURE 3 .    '          '

            SPECIAL PROVISIONS FOR CERTAIN HAZARDOUS
       THE WASTE IS A
       HAZARDOUS WASTE
       (see figure 2)
              YES
            N/
  .." Is  it generated by. a .
   small.quantity generator
  .  as  defined in §261.5?
YES
     It is  subject to ,
  the- special  require-
    ments  of $2^1.S
              NO
  Is it or  is  it intended
  to be legitimately and
 beneficially  used, re-used,
  recycled,  or reclaimed?
NO
              YES
  Therefore,  it must be
intended to be  discarded,
  I"1 IS SUBJECT TO THE
 SUBTITLE C REGULATIONS
 DIAGRAMMED IN  F..IGURE~ 4.
  Is it'  a  sludge or is it
listed in :Part 261, Subpart D
or is it a mixture containing
 a waste listed in Part 261,
         Subpart D?
NO
             IT IS MOT- SUBJECT TO
               REGULATION UNDER
                  SUBTITLE C
              YES
IT IS SUBJECT  TO THE FOLLOWING
 REQUIREMENTS  WITH RESPECT TO
ITS TRANSPORTATION OR STORAGE:
- Notification under Section 30iO
- Parts ,262 and 263
- Part 264, Subparts A through E
-Part 265, Subparts A through E,
 -.''-.'•        and G,H, I,J,& L
- Parts 122 and 124

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33082  '    Federal Register / Vol. 45. No. 98 / Monday. May 19. i960 / Rule3 and Regulations
                                    FIGURE 4

                       REGULATIONS FOR HAZARDOUS WASTE
                          NOT COVERED IN DIAGRAM 3
    All persons who handle  hazardous waste
     subject to control  under Subtitle C
          no't covered  in figure 3 •
                       Notify  EPA according to
                        Section  3010 of. RCRA
                                   &.     •   '   '
                        Obtain EPA in Number -
 Generators   Transporters
                                Owners  or Operators
                                of T/S/D* Facilities
                         On-Site Generators
                           Storing Wastes
                           < 90 days for '
                            subsequent           f''
                           shipment off-    O/O** who
                               site        Qualify  for.
                                         interim status
                                              All other Owners
                                                or Operators
Part 262
                  \/
               Part 263
                           §262.34 of
                            Part 262
                                                             O/O who don' t
                                                              auali^v for
                                                            interim status
                                           Part 265
              N'
 -Stop operations, if any
 -Send waste inventory,
  if any,  to a facility
,  whose owner or operator
  has interim status, or
  a  permit,  following the
  Part 262 rules
 -Apply *or permit under
  Part 192 *  resume or
  commence operations only
  after permit  is issued
  by  FPA under  Parts 122,
  1?4  and  ?6^t,  or by a
  State with  an EPA-
  approved hazardous
 waste permit  proaram.
**

81UJNO COO€ S540-01-C
     at^n           Treatment< Storage, or Disposal
     stands  for  Owners or Operators

-------
 Monday

 •May 19, 1980
Part III




Environmental

Protection Agency

Hazardous Waste Management System

Identification and Listing of Hazardous
Waste

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   33084
Federal Register /. Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
   ENVIRONMENTAL PROTECTION
   AGENCY

   40 CFR Part 261

   [FRL 1471-3)

   Hazardous Waste Management
   System: Identification and Listing of
   Hazardous Waste

   AGENCY: Enviromental.Protection
   Agency.
   ACTION: Final rule, interim final rule, and
   request for comments.

   SUMMARY: Subtitle C of the Solid Waste
   Disposal-Act, as amended by the
   Resource Conservation and Recovery
   Act of 1976. as amended {"RCRA").
   requires the Environmental Protection
   Agency ("EPA") to promulgate
   regulations establishing a Federal
   hazardous waste management system.
'   The keystone of Subtitle C is Section
   3001. which requires EPA to identify the
   characteristics of and to list those solid
   wastes which must be managed as
   hazardous wastes under that system.
    This regulation is the first phase of
   EPA's implementation of Section 3001. It
   identifies four characteristics of
   hazardous waste to be used by persons
  handling solid waste to determine if that
  waste is a hazardous  waste. In addition.
  it lists'85 process wastes as hazardous
  wastes and approximately 400
  chemicals as hazardous wastes if they
  are discarded. Persons who generate.
  transport, treat, store or dispose of
  hazardous wastes identified or listed in
  this regulation must comply with all
  applicable requirements of Parts 122, •
  124, and 282 through 265 of this Chapter
  and the notification requirements of
  Section 3010 of RCRA.
   In addition to identifying and listing
  hazardous wastes, this regulation also
  sets forth the criteria used by EPA to
  identify characteristics of hazardous
  wastes and to list hazardous wastes.
  DATES:
   Effective Date: These regulations, in
  the form published today, complete
  EPA's injtial rulemaking on the subjects
  covered and are final agency action.
  They become effective on November 19.
  1980, which is six months from the date
  of promulgation as Section 3010
  requires. Today's promulgation begins
  the various schedules provided by
 RCRA for filing notifications and permit
 applications, and for States to apply for
 interim authorization.
   Comment Dates: EPA will accept
 public comments on these regulations as
 follows:       '
                        Regulation and Deadline,for Submission
                        of Comments
                        Final regulations—technical errors only
                          (e.g., typographical errors, inaccurate
                          cross references); July 18,1980.
                        Use, re-use, recycling and reclamation of
                          wastes (see section IV.B. of the
                          preamble and § 261.4(c) of the
                          regulations); August 18. 1980.
                        Interim final regulations (§ § 261.2.
                          261.4(a)(l) and 261.11, Subpart D and
                          Appendix VIII); July 18,1980.
                          Public Meetings:. EPA will hold three
                        all-day public meetings each beginning
                        at 9 a.m. on the following dates:
                        May 30.1980—San Francisco,
                          California.                       •  •
                        June 2,1980—Washington, D.C.
                        June 6,1980—Chicago, Illinois.
                        ADDRESSES: Comments on interim final
                        portions should be sent to Docket Clerk
                        [Docket No. 30011, Office of Solid Waste
                        (WH-562), U.S. Environmental
                        Protection Agency, 401 M Street, S.W..
                        Washington, D.C. 20460.
                          Public Docket: The public docket for
                        this regulation is located in Room 2711,
                        U.S. Environmental Protection Agency,
                        401 M Street. S.W.; Washington, D.C..
                        and is available for viewing from 9 a.m.
                        to 4 p.m., Monday through Friday,
                        excluding holidays. Among other things,
                        the docket contains background
                        documents which explain, in more detail
                        than the preamble to this regulation, the
                        basis for many of the provisions in this
                        regulation.        .'      •
                         Copies of Regulations: Single copies
                       of this regulation will be available
                       approximately 30 days after date of
                       publication from Ed Cox, Solid Waste
                       Information. U.S. Environmental
                       Protection Agency, 26 W. Saint Clair
                       Street. Cincinnati, Ohio 45268, (513) 684-
                       5362. Multiple copies will be available
                       from the Superintendent of Documents,;
                       Washington, D.C. 20402.
                        Public Meetings: EPA will hold three
                       all-day public meetings, each beginning
                       at 9 a.m., to answer questions about all
                       of its final and interim final Subtitle C
                       regulations. The dates and locations of
                       these meetings are:
                       May 30,1980—Sheraton Palace Hotel,
                        639 Market Place, San "Francisco,
                        California.
                       June 2.1980—HEW Auditorium. HEW
                        North Building. 330 Independence
                        Avenue,  S.W., Washington, D.C.
                       June 6.1980—Palmer House Hotel. 17
                        East Monroe Street, Chicago, Illinois.
                       FOR FURTHER INFORMATION CONTACT:
                       For general information, contact Alan S.
                       Corson. Office of Solid Waste, U.S.
                       Environmental Protection Agency, 401 M
                       Street, S.W., Washington, D.C. 20460.
                       (202) 755-9187. For information on
                       implementation, contact:
  Region I, Dennis Huebner, Chief.
    Radiation. Waste Management
    Branch. John F. Kennedy Buildk
    Boston, Massachusetts 02203 (f
  •  223-5777.
  Region II. Dr. Ernest Regna.	
   . Waste Branch, 26 Federal Plaza, New
    York, New York 10007, (212) 264-0504/
    5.
  Region III,'Robert. L. Allen, Chief,
    Hazardous Materials Branch, 6th & •
    Walnut Streets, Philadelphia,
    Pennsylvania 19106, (215) 597-0980.
  Region IV, James Scarbrough, Chief,
    Residuals Management Branch, 345
    Courtland Street, N.E., Atlanta,
    Georgia 30365, (404) 881-3016.
  Region V, Karl J. Klepitsch.  Jr., Chief,
    Waste Management Branch, 230 South
    Dearborn Street, Chicago, Illinois
    60604. (312) 886-6148.'
  Region VI, R. Stan Jorgensen. Acting
    Chief. Solid Waste Branch, 1201 Elm
    Street, First International Building,
    Dallas, Texas 75270, (214) 767-2645.
.  Region VII, Robert L Morby, Chief.
   Hazardous Materials Branch, 324 E.
   llth Street, Kansas City, Missouri
   64106, (816) 374-3307.
 Region VIII. Lawrence P. Gazda, Chief.
   Waste Management Branch, 1860
   Lincoln Street, Denver, Colorado
   80203, (303) 837-2221;
 Region IX, Arnold R. Den, Chief.
   Hazardous  Materials Branch, 21
   Fremont Street, San Francisco, _
   California 94105, (415) 556-4606" _
 Region X, Kenneth D. Feigner, Chief,
   Waste Management Branch, 1200 6th
   Avenue, Seattle. Washington 98101,
   (206)442-1260.
   For further information about these
 meetings, contact Geraldine Wyer, .
 Public Participation Officer,  Office of
 Solid Waste (WH-562), U.S.
 Environmental Protection Agency,
 Washington, D.C. 20460, (202) 755-9157.
 SUPPLEMENTARY INFORMATION:

 I. Introduction

  The improper management of
 hazardous waste is probably the most
 serious environmental problem in the
 United States today. EPA estimates that
 in 1979 the United States generated
 almost 60 million metric tons of
hazardous waste, but that only 10
percent of this waste was managed in
an environmentally sound manner. The
remainder—over 50 million tons—was
 transported, treated, stored or disposed
of in a manner which potentially
threatens human health and the
environment.
  This mismanagement has tragic
consequences. EPA has on file hunt
of cases of damage to human healtl
the  environment resulting from the
m

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                •  Federal Register /Vol. 45, No.  98 / Monday. May 19.  i960 /, Rules and Regulations
                                                                          3308B
    indiscriminate dumping or other
    improper management of hazardous
    waste. The vast majority of these cases
  ,  involve the pollution of groundwater—
    the source of drinking water for'afaout
 ;'.  half the nations's population—from the
    open dumping of wastes or from
    improperly operated landfills and
   . surface impoundments. In many of these
    cases, groundwater supplies were so
    badly contaminated with toxic or
    cancer-causing chemicals and heavy
    metals that residents in the area had to
    obtain drinking water from other
    sources. In other more tragic cases,
    residents were not aware of the
    contamination, continued to drink the
   water, and suffered-serious health
   effects.     .   ,          • ,   ,  . . ,
     • Groundwater pollution is not,the only
   problem posed by improper hazardous
   waste management. EPA's damage case
   file also includes incidents where the •
   improper disposal of hazardous waste
   has polluted streams, rivers, lakes and
   other surface waters, killing aquatic life,  ,
   destroying wildlife, and denuding areas
   of vegetation. In other cases, the
   vaporization of volatile organic       —
 .  materials from wastes which were
   improperly disposed of has been linked
   to .respiratory illnesses, skin diseases
   (including skin cancer) and elevated
   levels of toxic materials in the blood
   and tissues of humans and domestic  ,
   livestock. In still other cases, the
   mismanagement of hazardous waste has
   resulted in fires, explosfons or the
   generation of toxic gases which have
   killed of seriously injurefd workers and
.   firemen.:
    It is against the backdrop of such
  incidents that,Congress enacted the
'  Resource Conservation and Recovery
  Act of 1976. as amended, 42 U.S.C. 6901
  et seq.  ("RCRA" or "Act"). Although the
  Act has several objectives (including the
  promotion of resource recovery and the'
'  proper management of non-hazardous
  solid waste). Congress'"overriding
  concern" (H.R. Rep. No. 96-1461, 96th
  Cong., 1st Sess. 3 (1978) ("H.R. Rep.")) in
  enacting RCRA was to establish the
  statutory framework for a national
  system which would insure the proper
  management of hazardous waste. '
    That framework is contained in
 Subtitle C of the statute. It requires EPA
 to,establish a'Federal "cradle to grave"
 .management system for hazardous
 waste, including standards for
 generators of hazardous waste (Section
 3002), standards for transporters of
 hazardous waste (Section 3003)/
 standards and permit requirements for
 .owners and operators of facilities that
 treat, store or dispose' of hazardous
 waste (Sections 3004 and 3005) and a
 manifest system which will track the
 movement .of the waste from the point of
 generation to the point of disposal'  :
   (Sections 3002, 3003 and 3004). Under
   Section 3006 of Subtitle C. EPA may:
   authorize States to operate a State
   hazardous waste program in lieu of the
   Federal program if they meet certain
   requirements.
     The centerpiece of this system is
   Section 3001 of Subtitle C, which
   requires EPA to identify and,list those
   solid wastes which must be.managed as
   hazardous wastes according to the
   standards established by EPA under
   Sections'3002 through 3005. This
   identification is a two-part process;  .
   First, EPA is required to develop criteria
   for identifying ^characteristics .of
   hazardous waste and for listing
 .  hazardous wastes (Section 3001(a)).
, Then, based on these criteria, EPA, must
  actually identify.specific characteristics
  of hazardous waste and list.particular
  hazardous wastes (Section 3001fb)).
    EPA began developing regulations to
  implement these requirements shortly
  after RCRA was enacted. During 1977
  and 1978, the Agency met extensively
  with experts in hazardous  waste
_ management. States, Federal agencies,
  industry, environmental groups and
 other individuals and organizations to
 discuss-possible criteria, and to obtain
 suggestions for characteristics and listed
 wastes. Drafts of proposed regulations
 were developed and widely   ,
 disseminated to the public  for comment.
 Based on these meetings, se'veralpublic
 hearings, written comments on its draft
 regulations and information collected by
 EPA,-a final proposed regulation was
 developed and published in the Federal
 Register on December 18,1978 (43 FR
 58949-58968).       ,
 EPA held five public hearings on its
                                           December 18,1978, proposal (43 FR .
                                           58946). Several hundred persons '
                                           testified at these hearings. In addition,
                                           EPA received an estimated 1.000 sets of
                                           written comments on its proposed.
                                           Section 3001 regulations^
                                           •  Based in part on these comments, EPA
                                           proposed a supplemental list of
                                           hazardous wastes on August 22,1979 (44
                                           FR 49402-19404). The Agency-also held a
                                           hearing on this proposal artd received a
                                           number of written comments.
                                            The Agency has, carefully  considered  "
                                           the comments received on its December.
                                           18,1978. and August 22.1979, proposals,.
                                           as well as comments received oh a
                                           number of reports, studies and other
                                           documents associated with, its Section
                                           3001 rulemaking  which were noticed for
                                           public comment after the close of.the
                                           comment period on the proposed
                                           regulations,1 in developing the final and
                                           interim final regulations published
                                         .  today.    -      .

                                          IL Organization of Regulations and
                                          Preamble  '           '     :

                                           In response to comment that its
                                          proposed Subtitle C regulations we're
                                          difficult to read, EPA has totally
                                          reorganized them. Regulations
                                          implementing Section 3001, which were '
                                          originally proposed as Subpart A of Part
                                          250 of Title 40 of the Code of Federal
                                          Regulations have been recdclified as Part
                                        t 261 of Title 40. Similar changes have
                                         been made in-the remainder of the
                                         Subtitle C regulations. The following
                                         table shows the correlation between the
                                         statutory provisions of Subtitle C and  •
                                         the sections of EPA's proposed and final
                                         regulations which'implement  those
                                         provisions:            .
    Statutory Mctnn
                                                                 Final rule
 G«n«c»l provwons and
  de<»wioni

 ™' .......... --• ................
 3002.;....
                  H250.12(C). 250.11. 250.21. 250.31.-250.41	

                ... H 250.104*1 and (b). 250.12 through 250.15, 250 29(a)'
                .. H 250,22 through 250.28. 250.29
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   3308B       Federal Register / Vol. 45. No. 98 /Monday. May 19. 1980  /  Rules and Regulations
    Subpart B (§§ 250.12 and 250.14 of the
  proposed rule) establishes the criteria
  used by EPA in identifying the
  characteristics of hazardous waste and
  listing particular hazardous wastes.
  Subpart C (proposed § 250.13} contains
  the hazardous waste characteristics
  which EPA has identified and Subpart D
  (proposed § 250.14} the particular
  hazardous wastes which EPA has listed
  to date based on those criteria. As noted
   in the definition of hazardous waste in
   Subpart A, these two subparts are the
   cornerstone for the Federal hazardous
   waste management system because they
   identify which solid wastes will be
   regulated as hazardous wastes under
   that system.
     The following table provides a rough
  . correlation between the various
   provisions of EPA's proposed and final
   Section 3001 regulations:
          Sufcjed
                                     Propocedrul*
                                                                  Fnairut*
Purpo** 0* rtguUbora 	 	
OwMrll d«fir_tan«
D«f_ii_oa ft ttta w*tM 	 ,„
Dtfn-on o* hazardous -_*»..___
Pirtmmt 	 	 ._..
Sma» qu-nftty garwralora 	
For identifying charadana-c*..
For -*Hng ,____._ 	 	
lo«tJ_>-rty._____Z!ZZ_-ZZ
R»ac-vrty ,.____._„_.._.„ 	
Toiucrty _.___...__., 	 ._...„_
LiiU 	
Specific lourcm 	 _....___
Duc-rdcd ch«meal» .___.„_..
ProcMurtt (or «»
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                 Federal Register / Vol. 45.  No. 98  /  Monday.  May 19. 1980 /-Rules  and
                                                                                                                  33O39
    program. If there are situations where a
    strict application of the standards
    contained in these rules would bring
    .about a result which was obviously not
    intended, we would appreciate being
    advised of it so that we can take
  •  appropriate action. We are prepared to
  ' .react to these problems with regulatory
    amendments, interpretive guidance and
    reasonable implementation and
    enforcment, as appropriate.

    E. Pending Legislative Amendments
     The United States Senate and House
    of Representatives have each recently
    passed  a bill to reauthorize and amend •
    RCRA (S. 1156 and H.R. 3994). Both bills
    contain amendments to Section 3001 .
    which, if enacted, would repeal or -.- •.
  ,  temporarily suspend EPA's authority to
    regulate certain'utility and energy
    development wastes as hazardous
  •wastes under Subtitle C, These bills are
   now awaiting action by a conference '
 ', committee. Because it appears likely
 •  that Congress will act before
   November 19,1980 to exempt these
   wastes,  EPA has temporarily excluded
   them from this regulation (see
   § 281.4(b)). This exclusion will be
   revised,  if necessary, to conform to the
   legislation which is ultimately enacted.

   F. Consideration of Economic Impact of
   the Development of the Regulations
    In its proposed regulations. EPA
   expressed uncertainty on the
  appropriate role that cost considerations
  and economic impact should play in the
  development of the hazardous waste
  regulations:
    It is also not clear to what extent RCRA
  allows economic impact to be taken into
  account, since the Act is silent on this point
  Thus, the Agency is faced with the problem
  of how to  deal with these potential impacts
  with little  economic data and without clear
  Congressional guidance. (43 FR 58971)

    A variety of comments were received
  on this issue, expressing three
  predominant themes: (a)  The Act and its
  legislative history require the Agency  to
  analyze its regulations in terms of costs
  and benefits: (b) the legislative materials
  preclude any consideration of costs in
  the development ;of regulations; and, (c)"
  EPA must prepare an economic impact
  analysis.   -
 .   EPA has re-examined the legislative
  history of RCRA.  Although the
  legislative history is sparse, it does
  contain sufficient indicati6ns of    .
  Congressional intent to lead the Agency
  to the conclusion  that EPA may not
  consider cost burden upon industry in
.  choosing the level of its standards. The
 Agency may, however, take cost
 considerations in account in order to
 .select the  most effective regulation'
   among various alternatives that meet  »
   the statutory requirement of being  •
   "necessary to protect human health and
   the environment." In addition, the
   Agency may prepare economic analyses
   to supplement its regulations as an aid
   to congressional, intergovernmental, or
   public understanding of the regulatory
   program.  '
     EPA disagrees with the position of
   several commenters that cost, or
   economic considerations more   '*   .'
   generally, must be a factor in EPA's
   decisions under Subtitle C. There is no
   explicit requirement 'in the Act directing
   EPA to consider costs in the  '
   development of its intitial regulations. '
.  ;The singular focus of protecting human
   health and the environment           •
   distinguishes RCRA from the other
   major pollution control statutes. For
   example, in. developing effluent
   guideline limitations under the Clean
   Water Act. the Administrator is to
   consider, among  other things, "the total
  cost of the application of technology in
  relation to the the effluent reductions to
  be achieved. .." Section 304(b)(l)(B),
  33 U.S.C. I314(b)(l)(B). See a/so Section
  304(b)(2)(B). The  Clean Air Act also
  directs that in establishing new source
  performance standards for stationary
'  sources of air pollution the'
  Administrator should "consider the cost
  of achieving such emission reduction
  and any nonair quality health and
  environmental impact and energy
  requirements." Section infajfllfCl, 42
  U.S.C.7211(a){l)(C).
   The silence of the statute itself
  appears especially significant because
  earlier drafts of the legislation had
  contained'language which either   : •- •
  explicitly called for considerations of
  cost or implicitly sanctioned such
  consideration. A draft bill for use by the.
  relevant House Subcommittee would
  have required that hazardous waste
  regulations "shall be such as will
  minimize the risk of adverse effects on
  human health while taking to the
 greatest extent possible, into account
  the  economic cost and benefits of
 achieving'  such standards." Section
 351(e), Subcommittee on Transportation
 and Commerce, Draft of the Solid Waste
 Utilization Act (December 8,1975).
 When this bill was redrafted for
 introduction to the House of
 Representatives as H.R. 14496, this ''   '
 provision calling for consideration of
 costs.'and benefits  had been deleted.
 The House bill, however, required that
 hazardous waste regulations      ...
 "reasonably.protect" human health and
 the environment. H.R. 14496, 94th Cong
2d Sess., § 306 (1976). The legislative
materials accompanying H.R. 14496
   provided no guidance on what effect, if
   any, the draftsmen intended the
   potentially moderating phrase
   "reasonably protect" should have on the
   development of regulations. In the
   compromise bill reconciling the
   differences between the Senate and
   House bills,.the adverb "reasonably" '
   was deleted. In the debate in  the House
   prior to the Act's passage $iere was no
   discussion of the effect of this deletion
   on the intended operation of the Act.
     Congress was aware that the
   hazardous waste regulation would
   impose substantial costs on the
   regulated community. See, e.g., H.R. Rep.
   at 4, S. Rep. at 4.'Despite this
   recognition. Congress deliberately
   rejected provisions that would require
   consideration of cost burden on industry
   or to moderate, the Act's environmental
   objectives. For these reasons,  the
   Agency concludes that the Act prohibits
   it from considering such costs  in the,
   development  of .Subtitle C regulations as
,  a basis for lessening the standards it    .
  considers necessary to ensure protection
 .of human health or the environment.
    The Agency has, however, considered
  cost-effectiveness in choosing  among
  alternatives that meet the requirements
  of the statute. In addition, the
  Administrator may .refer to other
  considerations such as energy  or
  environmental impacts, and
 -. implementation and enforcement
  burdens. For instance, the information
  received or developed in the course of
.  rulemaking on the cost implications of
 .its proposed regulations may be used by
  EPA to determine the relative costT
  effectiveness of various methods to
  implement a particular requirement.
  Information on economic impacts may
  also be useful  in informing Congress
  about the implementation of the     ".  ••..'
 hazardous waste program, developing  •
 new legislative or Agency intitatives   "
 which might affect the regulatory
 program, and advising the public about
 the projected impacts of the program.
 See Hercules, Inc. v. Environmental
 Protection Agency, 598 F. 2d 91,113
 (D.CCir. 1978). EPA has prepared an   '   "
 economic impact analysis on the entire
 Subtitle C regulatory program.This
 analysis provides detailed information -
 on the projected'economic impacts of
 these regulations. The,report should
 facilitate public understanding of the
 task -that the Agency'is undertaking.
 G. Rulemaking Petitions   .   .

   EPA's December 18, 1978, proposed
Section 3001 regulations contained no
special procedures forpetitibning the   -
Agency to identify a new characteristic
or list a new hazardous waste, or to
modify or revoke  an existing

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   33090
Federal  Register / Vol. 45. No.  98 / Monday. May 19.  1980 / Rules and Regulations
   characteristic or listing. They simply
   provided that a petition to identify a
   characteristic or list a solid waste as a
   hazardous waste would be granted if
   EPA found that the pro'posed
   characteristic or waste met EPA's
   criteria for characteristics or listing
   (proposed § 250.12(c)).
    EPA received a number of comments
   urging it to establish standardized
   procedures for the submission and
   processing of petitions to  modify its
   characteristics or list of wastes. Some of
   these commenters simply wanted to
   know how to file a petition'and how
  EPA would act on it Others insisted
   that EPA establish rulemaking
  procedures which complied with the
  Administrative Procedures Act,
  mistakenly thinking that because
  proposed § 250.12(c) did not articulate
  the procedures EPA wo'uld follow in
  acting on petitions, the Agency would
'  grant petitions, thereby modifying its
  regulations, without going through
  normal rulemaking procedures.
    To provide the guidance desired by
  the first set of commenters and to
  assuage the concerns of the second, we
  have included in Subpart C of Part 260
  procedures for the submission and
  processing of petitions to add to. revoke
  or otherwise modify any of the Subtitle
  C hazardous waste regulations,
  including the hazardous waste
  characteristics and lists. This provision
  expressly  requires that a tentative •
  decision to grant a petition be made in
  the form of an advance notice of .
  proposed rulemaking or a proposed
  regulation, thus starting the rulemaking
  process.
   EPA received a number of comments
  suggesting that unless EPA specified the
  information to be contained in petitions
 to amend its characteristics or lists of
 hazardous wastes, petitioners would not
 know what type of data to  submit to the
 Agency and that the Agency would have
 to expend  a substantial amount of time
 reviewing incomplete petitions.
   EPA agrees that this may have been a
 problem with its proposed regulation.
 The Agency's proposed criteria for
 listing were not particularly well-
 articulated. In addition, the background
 documents for characteristics and for
 individual  wastes also failed, in some
 cases, to provide meaningful guidance
 as to the kinds of information which
 should be submitted in a rulemaking
 petition.
   We think we have remedied most of
 these deficiencies in this regulation. In
 response to comment, we have
 substantially expanded the criteria for
 listing, so that the factors which EPA
 will be using in making a listing decision
 are much better stated. The background
                          documents for both the characteristics
                          and lists have been materially upgraded,
                          so that they now provide a good model
                          for rulemaking petitions. In short, we
                          think the regulations published today,
                          with their supporting materials, will
                          enable petitioners to intelligently frame
                          rulemaking petitions.
                            For this reason, EPA thinks it is
                          .probably unnecessary to establish
                          detailed informational requirements for
                          petition's. Moreover, developing a list of
                          such requirements would be very.
                          difficult, because the types of data and
                          degree of detail required will vary  •
                          substantially from waste to waste and
                          from characteristic to characteristic. If,
                          in the future, EPA finds that most
                          petitioners are submitting insufficient
                          information, we will reconsider
                          establishing more specific data
                          requirements for these petitions.
                           .EPA recognizes that some
                          organizations—primarily environmental
                          groups—may not  have the skills,
                          resources, or data collection authority to
                          fashion rulemaking  petitions which
                          contain all of the information which
                          EPA will need to make a decision to
                          establish a new characteristic or list a
                          new waste. If such petitions, although
                          incomplete, appear to have merit. EPA
                          will attempt to obtain the supplemental
                          data necessary to make a tentative
                          rulemaking determination. These
                          organizations should recognize.
                          however, that this will necessarily delay
                          any final action on their petitions.
                         IV. Subpart A.

                         A. Section 281.1 (Purpose, Scope and   •
                         Applicability)
                           Although this section is largely self-
                         explanatory, two points regarding the
                         function of EPA's Section 3pOl
                         regulation, which were apparently a
                         source of misunderstanding during the
                         comment period, are deserving of
                         special attention.
                           First the purpose of this regulation is
                         to identify those wastes which, because
                         of the hazards they may pose in
                         transportation, treatment, storage or
                         disposal, should be subject to
                         appropriate management requirements
                         under Subtitle C. It does not dictate how
                         wastes should be managed (although it
                         may identify properties of the waste
                         which will affect management
                         Bractices). Management standards and
                         permitting requirements are imposed
                         under Sections 3002 through 3005 and
                         Section 3010.'
                          Second, although this regulation limits
                         what may be regulated as a "hazardous
                         waste" under Sections 3002 through 3005
                         and 3010 of RCRA, it does not limit
                         those materials which may be
  considered "hazardous wastes" under
  other sections of the statute, particjj^rjy
  Section 3007 (which authorizes '.
  obtain information on "hazardoul
  waste" in order to develop regulat:
  or enforce RCRA) -and Section 7003
  (which authorizes the Agency to
  institute civil actions to abate imminent
  and substantial hazards caused by
  "hazardous wastes"). Unlike Sections
  3002 through 3004 and Section 3010,
  Congress did not confine the operations
  of Sections 3007 and 7003 to "hazardous
  wastes identified or listed under this
  subtitle" (emphasis  added). To avoid
  future confusion on  this .point, EPA has
  stated  it explicitly in § 261.1(b).

  B. Section 261.2 (Definition of Solid
  Waste)

   Because  no material can be a
  "hazardous waste" without first being-a
  "solid waste" (Section 1004(5)), what
  constitutes a  "solid waste" is really the
  definitional starting pqint for the
  hazardous  waste management system.
  Section 1004(27) of RCRA defines a solid
  waste as:
 any garbage, refuse, sludge from a
 wastewater treatment plant, water supply
 treatment plant or air pollution control
 facility and other discarded material.
 including solid, liquid, semisolid, or
 contained gaseous material resulting fro
 industrial, commercial ormining and t
 agricultural operations, and from comL
 activities, but does not include solid or
 dissolved materials in domestic sewage, or
 solid or dissolved materials in irrigation  •
 return flows, or industrial discharges which
 are point sources subject to permits under
 section 402 of the  Federal" Water Pollution
 Control Act... or source, special nuclear, or
 byproduct material as defined by the Atomic
 Energy Act of 1954. . . (Section 1004(27)).
   In its proposed regulations. EPA
 adopted this definition, with its
 exclusions,  in its entirety
 (§ 250.11(a)(7)). In addition, it proposed
 to construe  the term "other discarded
 material" in Section 1004(27) to include:
 (1) Any material which is not re-used—
   i.e., is abandoned or committed to
   final disposal;
 (2) Any material which is re-used by
  'being placed in or on the land or
   water so that the material or any
   constituent thereof is released into the
   environment; arid
 (3) Waste oil burned as fuel.
  EPA noted that it would add other
 uses fo the third  category of discarded
 materials if it found that it was
 necessary to control 'Such uses (43 FR
 58954).
  This definition of "other discarded^
material" was based on four majofij
considerations. First,  after r,eviewil_
both the language and framework of
ifrsjj^


"JP

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                  Federal Register / Vol. 45. No. 98 / Monday. May  19. i960 / Rules and Regulations
                                                                           33091
     RCRA and its legislative history. EPA
  -  concluded that Subtitle C was intended
     to regulate hazardous wastes
     irrespective of their end use—i.e..  •
   •  regardless of.whether they are
     committed to final disposal or intended
     to be used, re-used, recycled or
     reclaimed.                     .
      Second, the Agency concluded that all
    hazardous wastes, regardless of their
    end use. may  pose significant health and
    environmental hazards. Wastes that
    present a hazard in storage or transport
    arguably pose the same danger in
 i   storage or transport irrespective of
   .whether they are destined for disposal
    or for use, re-use, recycle or reclamation.
    Wastes which are used or re-used by
    being placed on the land—e.g.,'  .
    chemical-bearing sludges used as
    fertilizers, contaminated waste oil used
    as a dust suppressant  on roads and
    radioactive mining wastes used as.
    residential land fill—may pose almost   •
    the same hazards as if they were  simply.
   dumped there. Wastes which are  used.
   re-used, recycled or reclaimed in some
   other fashion, and the facilities which
   recycle or reclaim them, may also create
   serious health or environmental
   problems. For example, waste drums
   containing hazardous residues which
   were used as municipal trash cans'have
   injured children: waste solvent
   reclamation facilities have caused
   serious air pollution problems.
     Third. EP.A decided that excluding  ,
 , wastes that are used, re-used, recycled
   or reclaimed from the Subtitle C system  .
   would make the regulatory program
   largely unworkable and create a major   .
  regulatory loophole not intended by the
  Act. Without a manifest system {or its
  functional equivalent) there would be no
  way of assuring that wastes which were
  intended to be used, re-used, recycled or
  reclaimed were in fact delivered to their
  intended destination. Whether a waste
  was subject to Subtitle C requirements .
  would be based primarily on the intent
  of the person handling it. This would
.  make the requirements difficult to
  enforce and theoretically allow wastes
  to move in and but of the hazardous
  waste management system depending  '
 on what the person then handling the
 waste planned to dp with it.  •
. _  Finally, the Agency decided that!
 insofar as feasible, its regulations
 should try to achieve a workable
 balance between the requirement in
 Subtitle C that hazardous waste be  •
• properly managed and RCRA's overall
 objective of promoting the use, re-use
 recycling and reclamation of wastes.
 The use. re-use, recycling and •
 reclamation of wastes not only helps •  '
 preserve valuable natural resources and
    reduces the environmental problems
   • which stem from the exploitation of
    those resources, but. if properly
    conducted, may .eliminate or reduce
    some of the hazards associated with
    other types of waste management and
    alleviate the strain on national disposal
    capacity. For this reason. EPA proposed
   .to regulate only those uses and re-uses •
   which could readily be expected  to pose
   significant health and environmental
   hazards. ,    .   •   .
    • EPA received a substantial number of
   comments on its proposed construction
   of the statutory definition of "solid
   waste" and "other discarded materials."
   Virtually all  commenters agreed that the
 ' -terms encompassed materials which
   were destined for disposal..There was
   substantially less consensus oh.EPA's......
   proposed regulation of used, re-used.
   recycled or reclaimed wastes. Some
   commenters argued that EPA had  no'
   authority under RCRA to regulate  '
   wastes which were used, re-used.
   recycled or reclaimed. Others contended
   that the Agency did have such  authority
  and that comprehensive regulation of' . •
  the use and recycling of hazardous
  waste was essential to protect public
  health and  the environment and to make
  the hazardous waste management  .
  system workable. Still other commenters
  claimed that imposing stringent Subtitle
 • C requirements on waste use, re-use,
  recycling and recovery would
  discourage such activities, thwarting one
  of the primary objectives of RCRA-and
  further aggravating hazardous waste
  management problems.
    1. Legal Authority to Regulate Wastes
  That Are Used. Re-iised. Recycled or   -•
 Recovered. Most commenters who
 challenged EPA's authority to regulate.
 the use; re-use, recycling or reclamation
 of wastes based their contention on the
 term "other discarded material" in  the
 statutory definition of "solid waste".
 The common meaning of this term,  they
 argued, would preclude regulating as
 "solid waste" wastes which were not
 intended to b'e "thrown away" or
 "abandoned" or which were of "no
 further use".
   The United States Court of Appeals   "
 for the D.C. Circuit has already rejected  '
•this argument in United States Brewers'
• Association, Inc. v. EPA. 600 F.2d 974
 (D.C. Cir. 1979), a lawsuit challenging a
 beverage container recycling guideline
 issued by EPA  under Section 1008(.a)(l)
 of RCRA. The petitioners in that
 proceeding contended, inter alia, that
 beverage containers were not "solid
 waste" until "discarded" and therefore
 that EPA had no authority under Section
1008(a)(l) to issue solid waste
management guidelines requiring that
   beverages be sold in returnable
   containers, or'that a minimum deposit
   be charged on containers (to encourage
   their return). The Court of Appeals .ga've
   short shrift to this contention, notin°
   that it: '.  .    '  '  •   '.       '   . °   ,

   flies squarely in the face .of the explicit
   definition in the statute. Section  1008(a)
   directs EPA to publish "suggested guidelines
   for solid waste management", which, as
   defined in section 1004(30) expressly includes
   "planning or management respecting resource
   recovery  and resource conservation" . . . and
   "utilization of'recovered resources" [600 F *>d
   31982-983).             •'            '  '

   .  We think the Court's .conclusion is
   applicable to the rest of RCRA as well.-
   It seems highly improbable that
   Congress would have'intended the term
   "solid waste" to include recycled wastes
  'under Section 1008(a)(l) but not under
   Subtitle C. Indeed, RCRA and its
 .- legislative history evidence a  clear
   Congressional intent that the terms
   "solid waste" and "hazardous waste"
   encompass wastes that are used, re-
   used, recycled or recovered wherever
   such terms are used in the  statute.
    For example. Section 1004 of RCRA
 . contains numerous definitions—   . •  .
  including the definition of "Hazardous
  Waste Management", the title of
  Subtitle C—which would .be self
  contradictory if,the terms "solid waste" '
  and '^hazardous waste" did not include,.
  wastes which were used, fe-used,.
  recycled or recovered. See.'.e.u.. Sections
  1004(7), (18M24). (29) and (34). The     ,
  repeated references to resource recovery
  and conservation in the statute would
  be similarly meaningless if  solid wastes  .
  were never recycled, recovered or
  reclaimed. See, e.g., Sections 1002(c)(2)
  and (3). 1003(1) and (5)-(8);  2003,
 .4002(c)(10), 4003(5>and (6),  4008(al(2)(A)
  and (d),. 5001, 5002 and 6002(c)-(g).
   The legislative history of  RCRA
 further supports: this construction of the
 terms "solid waste" and "discarded
 material". The report of the  House.   .
 Committee on Interstate and Foreign
 Commerce on RCRA, for example,
 makes it clear that the term  "discarded
 material" is meant to expand, not limit, •
 the common meaning of the'term "solid
 waste" (H.R, Rep.  at 2). Other references
 m the legislative history confirm that the
 term "discarded material" covers
 wastes which are being recycled (see  •
 e.g., H.R. Rep. at 3,10). Several  of the'
 damage incidents cited by Congress as
'justification for establishing  a national
 hazardous  waste management system.
 resulted from recycling or re-use
'activities (H.R. Rep; at 17.19 and 22).
 Discussions of resource conservation
 and recovery activities presume the
 existence of a solid waste from which
 valuable resources can be reclaimed.

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   33092       Federal Register  /  Vol. 45.  No. 98 /Monday. May 19.  1980 / Rules and  Regulations
•   See, e.g., H.R. Rep. at 3.4.10.11: S. Rep.
   at 2, 4. 6 (1976).
     In short, under RCRA solid wastes do
   not cease to be solid wastes simply .
   because they are being used, re-used,
   recycled or reclaimed. Rather, use. re-
   use, recycling, resource recovery and
   reclamation are ways of managing solid
   wastes" which, if properly conducted,
   can avoid environmental hazards,
   protect scarce land supply, and reduce
   the nation's reliance on foreign energy
   and materials (H.R. Rep. at 4).
     A number of cdmmenters suggested
   that Congress could not have Intended
   the term "solid waste" to include
   hazardous wastes which are used, re-
   used, recycled or reclaimed because the
   regulation of such wastes under Subtitle
   C would thwart RCRA's broad resource
   conservation and recovery objectives.
     EPA does not agree. Although
  promoting waste re-use and recovery is
  certainly one of the goals of RCRA.
  Subtitle C does not require EPA to
  consider resource recovery implications
  in establishing hazardous waste
  management standards; nor does it
  suggest that promoting resource
  recovery should take precedence over
  assuring proper management of
  hazardous wastes. Furthermore. EPA
  does not agree that frustrating resource
  recovery is an inevitable result of
  requiring hazardous waste to be
  properly managed. As discussed below,
  EPA believes it may be possible to
  achieve a workable balance between
  Subtitle C's mandate that hazardous
  wastes be handled in an
  environmentally sound manner and
  RCRA's overall objective of encouraging
  th re-use and reclamation of wastes.
  However, in the event such a balance
  cannot be achieved, Congress1
  "overriding concern"—the safe handling
  of hazardous wastes {H.R. Rep. at 3) and
  the elimination of "the last remaining
  loophole" in environmental regulation  ,
  (H.R. Rep. at 4)—must prevail.
   2. Assuring Proper Management of-.   ,
  Hazardous Waste and Encouraging
  Resource Recovery. The comments
  which'EPA received on its proposal to
  regulate the use, re-use, recycling and •
  recovery of hazardous waste in many
  ways mirrored the competing objectives
  which the Agency was trying to achieve
  in its proposal. Many-commenters
  argued that EPA's approach would
  discourage the beneficial use and
 recycling of hazardous wastes by so
 escalating the cost of using or recycling
 wastes that they could no longer
 compete with virgin products, by  -
 increasing administrative burdens for
 the waste user or reclaimer, and by
 labeling recycling activities as another
 form of "hazardous waste"
  management. These commenters also
  suggested that the regulation of waste
  uses and reclamation would pose
  serious practical problems—e.g..
  distinguishing between wastes and
  commercial by-products and
  intermediates, issuing permits for
  certain types of re-uses—and that EPA's
  proposed Section 3004 standards were-
  not appropiate for many waste use and
 . reclamation activities. Other
  commenters, citing the types of
  considerations outlined above,
  applauded EPA's regulation of the use
  and reclamation of hazardous wastes
  and urged that its proposed list of
  regulated Waste re-uses and recycling
  operations be expanded to include the
 • reclamation of waste solvents, the
  burning of spent catalysts and other
  organic wastes for energy,- the-use of •
  metal-bearing sludges as fertilizers, the
  use of waste acids,  and the re-use of
  contaminated drums. Still  other
  commenters suggested that, at a
  minimum, wastes destined for re-use, or
  reclamation be properly stored and
 manifested.
    EPA does not .agree with the largely
 unsubstantiated claims) of  commenters
 that controlling the use and recycling of
 hazardous waste will necessarily
 discourage bona fide, environmentally
 sound re-use and reclamation activities.
 -The impact of EPA's regulations on
 waste use and recovery will, in the
 Agency's opinion, hinge almost
 exclusively on the relative costs of re-
 use versus disposal. As disposal costs
 increase, it seems reasonable to expect
 that it will become profitable or more
 profitable to recycle or re-use wastes
 (even if regulated) than to dispose of
 them. EPA received  no data during the
 comment period to suggest the contrary.
 ' , Commenters' claims about the chilling
 "effect of regulating recycle  and re-use
 activities also seem  somewhat
 exaggerated. In many cases, Federal or
 State regulation of these activities
 should legitimatize, not stigmatize, them
 in the eyes  of the public and increase
 the flow of wastes to well-operated
 facilities. Indeed, EPA received
 comments from several  waste recyclers
 urging the Agency to extend Subtitle C
 control to their operations for these very
 reasons.    ,
  EPA does agree, however, that its i
 proposed Section 3004 treatment arid
 disposal standards (as well as the
 standards promulgated today) may not
 be  well-suited for regulating all
 hazardous waste recovery and
 reclamation facilities or for regulating
. all  uses and re-uses of hazardous waste.
 These standards are designed primarily
 to minimize the health and
  environmental hazards.posed by
  traditional hazardous waste treatment
  and.disposal facilities—such as,
  incinerators and landfills. In ma;
  cases,,the health and fjnvirnnmp   _
  dangers associated-with-the use or re-
  use of hazardous waste or with the
  recycle and reclamation operations'are
  different in nature or degree, and
  therefore may justify the imposition of
  different management standards. For '
  example, air emissions generated by the
  burning of.waste oil for energy recovery
  can probably be effectively controlled
  without requiring boilers to meet
  hazardous waste incinerator
  requirements. Similarly, the leaching of
  metals from slag used in rdadbeds can
  probably be successfully minimized
  without requiring compliance with
  Section 3004 landfill criteria.
    At the same time, EPA also concedes
  that its proposed Section 3001
  regulations probably did not go far
  enough in controlling the re-use and
  reclamation of hazardous waste. For
  example, there  are a number of waste
  recycling operations which were not  •
  covered  by EPA's proposed regulation—
  e.g.'. solvent reclamation—which have
  been known to  cause serious health and
  environmental hazards and should be
 .subject to Subtitle C regulation. The
  long-term storage of hazardous wa
  prior to recycling is another area!
  there have been damage incideh!
  the incident at the Silresim Chemix™
  Company) and where Subtitle G controls
  would appear to be essential for
  environmental protection.
   In short, EPA acknowledges that it
  could have done a better job in its
  proposed regulations of attempting to
  balance Subtitle C's mandate that
'  hazardous wastes be properly managed
  with RCRA's overall objective of
  promoting resource recovery. As we
  discovered during the comment period,
  however, this is not an easy task, and
 given other priorities in developing the
 regulations promulgated today, we have
 only been able to complete the first
 phase of it to date. That first phase, as
 well as EPA's long term plans for
 regulating the use, re-use, recycling and
 reclamation of hazardous wastes are
 discussed in sections IV.B.3. and IV.B.4..
 respectively, of this preamble. As
 indicated in those sections, we believe
 this program, when completed, will be
 responsive to the two major deficiencies
 in EPA's proposed regulation identified
 above.
   3. Regulating the Storage and
 Transportation of Hazardous Wastes
 Prior.to Use. Re-use, Recycling on
 Reclamation; Defining "Waste". 1
 discussed' above, EPA generally a|

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                 Federal Register / Vol. 45, No
98 /'Monday. May 19.  1980 / Rules dnd Regulations
    that many of its proposed (and final)
    treatment and disposal standards were .
    not particularly well-suited for
    hazardous waste recycling and   .'  '
    reclamation operations or for uses and
    re-uses of hazardous wastes. Because .of
    the need to resolve other, more pressing
    issues in the rule published  today,'we
    have not been able to formulate more
•    appropriate standards to date. We are
    therefore deferring Subtitle C regulation
    of the actual use and re-use  of
    hazardous wastes arid hazardous waste
    recycling arid reclamation activities
   until such standards can be developed
   (§ 281.6(a)}. As noted in section IV.B 4.,
   we hope to begin issuing those
   standards Jater this year,'
     This temporary, deferral, it should be
.   noted, is confined to bona fide .   .'<•
   "legitimate" and "beneficial" uses and
   recycling of hazardous wastes. Sham
   uses and recovery or reclamation
   activities—e.g.. "landfilling" or, "land _
   reclamation" which is actually disposal
   and burning organic wastes that have
   little or no heat value in industrial
,   boilers under the guise of energy
   recovery-^are riot within its scope and.
   if conducted in viojation of Subtitle C
  requirements, will be subject to
  enforcement under Section 3008 of
  RCRA. In enforcing this provision. EPA
  will be particularly suspicious of use.
  and reclamation operations which were
  not conducted prior to the publication of
  these regulations.
    We do not think that the types ofV
  criticisms which have  been made of
  EPA]s proposal tp.apply its treatment
  and disposal standards to the use! re-
  use, recycling and reclamation of-
  hazardous waste are applicable to those
  regulations which govern waste
  management prior to actual use, re-use.
 recycling or reclamation—i.e., the
 standards for generators, transporters
- and owners and operators of storage
 facilities. During these stages of the
 waste handling process, wastes present
 essentially the same hazards, and  "
 should therefore require essentially the
 same management, irrespective of
 whether they are destined for disposal
or for re-use and recycling.
   EPA has concluded, therefore, that
although we are not now prepared to
issue standards regulating the actual
use. re-iise, recycling and reclamation of
hazardous wastes; we can and should
begin to control the transportation and
storage of wastes prior to use, re-use,
.recycling and reclamation, and that .the
general management standards set forth
,m Parts 262, 263 and selected sections of
Parts 264 and 265 are entirely   '
appropriate for that purpose.
  The decision to regulate hazardous
waste use and recycling necessitates the
    development of a working definition of
    "waste" which can appropriately
    distinguish between "wastes" and other
    materials (such as products and
    chemical intermediates) for purposes of
    determining whether their USB is subject
   ,to RCRA's jurisdiction. Indeed, many
    commenters criticized EPA for failing to
    clearly distinguish between wastes and
    other materials in its proposed
    regulations and suggested language or
    conceptual approaches w.hich they
    contended would draw that distinction.
     We have'.carefully reviewed these
   suggestions; most, however, were not
   very useful. For example, a number of
   commeriters suggested that the line of
, .  demarcation between a "waste" and
   other materials was whether a
   substance had value. This definition
   makes no sense in.,the.context-of recycle .
   and re-use activities, since a waste
   which is being re-used or recycled by
   definition "has value". See H.R. Rep. at
   3. Definitions keyed to whether a waste
   has a commercial use raise similar
 •  problems.
     Other commenters contended that the
   proper inquiry was whether a material
   was "historically reused" or was
   "sometimes discarded". We think this is
   a much more productive line of analysis
;   and is more consistent with the
   language and legislative history of
  RCRA and the purposes of Subtitle C
    A review of both RCRA and its
  legislative history indicate that Congress
  intended to regulate four broad
  categories of materials as solid wastes
  under RCRA. and particularly Subtitle
  C, irrespective of their ultimate
  disposition. The common thread linking
  all these materials is that Jhey are
  "sometimes discarded." Because they
  are "sometimes discarded," they not
 only fall within the general rubric
 "waste", but also may become part of
 the "discarded materials disposal
 problem" (H.R.  Rep. at 2) which
 Congress sought to remedy  under RCRA.
 Proper tracking and management of
 these materials  under Subtitle C would
 assure that they did not become part of
 this problem beqause they would be
 either properly disposed of or properly
. used or reclaimed.
   The first category of materials which'
 are regulated as "wastes" under RCRA
 are "garbage, refuse (and) sludge"
 (Section 1004(27)). These materials are'
 almost always thrown away, and it is
 clear from both Section 1004(27) of the.
 statute and its legislative history (H R
 Rep. at 2-4; S. Rep. at 5). that Congress
 regarded them as "wastes" regardless of
 their intended end use..'-'.,'.
   Of those materials which are not
garbage, refuse or sludge, it also seems
clear that any material which is
                                intended to be or is in fact thrown away,
                                abandoned or destroyed is a "waste."
                                As noted above, there appears to be no
                               • disagreement among commenters on this
                                point and of course it is fully supported
                                by the legislative history of RCRA.  '
                                  Of those materials which do not fall
                                into either of these two categories—i.e..
                             •  materials other than garbage, refuse or
                               sludge which are (or are intended to be)
                               used, re-used, recycled  or reclaimed—it
                               appears that there are two types of
                               substances which Congress'intended to
                               be regulated as "wastes" under RCRA.
                                 The-first are materials like waste
                               solvents, paint wastesi waste acids,   '  '
                             .  used drums and waste oil. These are  '
                               what Congress referred  to in the
                               legislative history as "post-consumer
                               wastes" or wastes which have "served ,
                            ••-  'heir intended purpose"  (H.R. Rep. at 2
                               and 9).  While acknowledging''that some
                               of these post-consumer wastes might be
                               recycled (see H.R. Rep. at 3,10),
                               Congress also recognized that they were
                               sometimes discarded, and therefore
                               were."wastes" (see H.R. Rep. at 9-10).
                                The second are tars, residues, slags
                               and other materials which are
                               incidentally generated as part of a".
                               manufacturing or'mining process. A
                               major concern of Congress in enacting
                               RCRA was to assure regulation of "the
                              waste by-products of the nation's
                             : manufacturing processes" (H.R. Rep. at
                              2) and "the by-products of the
                              productive process" (H.R. Rep. at 9).
                              There is nothing in the legislative
                              history which .suggests that these terms
                              refer only to the by-products of pollution
                              control. Indeed, even the  definition of
                             sludge in Section 1004(28AJ indicates
                              Congress was not simply concerned
                              about wastewater treatment slurries arid
                             -sludges and emission control dusts, but
                             also materials having "similar
                             characteristics and effects". The term   "
                             "similar characteristics" would suggest
                             that  such materials not only contain
                             similar types of substances but, like   \
                             pollution control sludges and dusts, are
                             also  incidentally produced as a result of
                             industrial processes; the term "similar
                             .  . . effects" implies that such materials,-
                             like wastewater and emission control
                             sludges, are also sometimes discarded in
                             ways that pose environmental problems.
                               EPA has incorporated these concepts  "
                             into a definition of "solid waste" in •
                             '§ 261.2. This term is defined to include
                             "garbage", "refuse", "sludge" and "other
                             waste material" (§ 261.2(a)). "Other
                             waste material" is in turn defined as (i)
                             materials which are discarded (or stored
                             or accumulated for that purpose), (ii)
                             materials  which have served their
                             originalintended purpose and are
                             sometimes discarded and (iii) materials
                             which are incidentally generated during

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 33094       Federal  Register / Vol. 45. No. 98 / Monday,  May 19. 1980 / Rules  and .Regulations
 manufacturing or mining operations and
 are sometimes discarded (§ 281.2(b)).
 This latter category of materials
 expressly excludes primary products
 and product intermediates (§ 261.2(d)).
   We are fairly confident that this
 definition will properly differentiate
 between "wastes" and other material
 with respect to those particular solid
 wastes that have been listed as
 hazardous wastes in Subpart D. In
 developing Subpart D. EPA has been
 careful to Hat only those materials that
 are either sludges, used materials which
 are typically discarded (e.g., spent
 solvents) or manufacturing by-products
 which are typically discarded (e.g.,
 distillation residues). We have tried to
 avoid listing materials that are always
 used for manufacturing other products,
 because we believe that those are
 actually product  intermediates, not
 wastes. Given the complexity of many
 manufacturing operations, however, it is
 possible that we  might have erred in a,
 few cases and we urge the public to
 bring these to our attention.
   We are somewhat less confident that
.our definition of solid waste.
 particularly its inclusion of used
 materials and by-products, will work for
 all the materials which might exhibit the
 Subtitle C characteristics. For this
 reason, we are at the present time
 confining our regulation of the storage
 and transportation of wastes prior to
 use, re-use, recycling and reclamation to
 sludges, wastes listed in Subpart D and
 waste mixtures containing wastes listed
 in Subpart D (§ 261.6(b)). As discussed
 above, we are fairly sure that all these
 materials are "wastes" whose use, re-
 use, recycling and reclamation is subject
 to jurisdiction under RCRA.
  As noted in Section III.B., the
 definition of "solid waste" is being
 issued as an interim final regulation. We
 are expressly soliciting comment on
 whether its application to unlisted
 materials (as well as listed wastes)
 leads to absurd results, and, if so, what
 these situations are and how they might
 be remedied by specific revisions to
 § 281.2.
  4. Regulating the Actual 'Use. Re-Use.
Recycling and Reclamation of
Hazardous Wastes. One approach to
regulating the use. re-use, recycling and
reclamation of hazardous wastes which
a number of commenters suggested and
which EPA is considering very seriously
is waste-specific,  use-specific
management standards. This approach
would help avoid  the problems,
discussed above, of attempting to apply
standards which are designed to deal
with traditional waste disposal and
treatment operations, such as landfills,
to re-use and recycle activities.
   EPA intends to begin issuing such
 standards in the fail of 1.980. In some
 cases, these standards may require full
 or partial compliance with existing
 Subtitle C requirements; in others, they
 may include a special set of
 requirements (to be established in Part
 266) which have been developed for a
 particular hazardous waste use or
 recovery operation. Using this
 regulatory approach, we believe we can
 not only better tailor Subtitle C
 management^standards to the health
 and environmental hazards posed by
 use and recycling activities but 'also
 achieve a better balance between
 RCRA's dual goals of protecting human
 health and the environment and
 promoting resource conservation and
 recovery.
   In the fall of I960, we expect to start
 dealing with the following hazardous
 waste use and recovery operations:
        Wastt
                        DM or R«cov«y
 Scant sohnnts ksMd n .    Reclamation
  Subparl 0.            Burning as a fuel
 RadoactM uranun man)   Land rodamation
  and phosphata mraig and  U*a n bu**ng products
 Watt* ot	;		—_	 Road o*ng and UM « ottwr
                     land acphcaDon*
                    Owning aa a fual
                    Rectamng and r»-r«twng
 flmduM Irom the production  Burrung aa «fuel
  of cMoonaled hydrocarbons.

 These operations were identified by
 commenters as being among those
 which posed the most serious potential
 health or environmental hazards and/or
 were the most ubiquitous. EPA agrees,
 and therefore will begin establishing
 standards for these activities first.
  At a later date, possibly by the fall of
 1981, we intend to address the re-use
 and recycling of other hazardous
 wastes, including but not limited to the
 following:
          Waste
                         Use or Recovery
ResKlues from the production of Burrang u a fuel
  orgarac chemcals listed in Sub-
  pert O (other than chlorinated
Activated carbon used to  treat Regeneration
  hazardous wastes.
Waslewater  and  i*  emnnon Ferotaers and so*
  treatment sludges toted n Sub-   condrt-oners
  part 0.     '           Other uses on the land
  Eventually, EPA hopes to regulate the
use. re-use, recycling and reclamation of
all hazardous wastes ,.sted in Subpart D
which are known to be used, re-used or
recycled. Our plans for extending
'regulatory coverage to unlisted
hazardous wastes are less certain at this
time because we do not have a good
inventory of these wastes. As data are
collected through the Section 3010
notification and annual reporting under
 Parts 262, 264 and 265. we hope to.
 develop a more specific plan for
 regulating the use and recycling of these
 wastes.
   EPA is anxious to obtain publi|
 comment on this approach. We
 specifically invite comments on the
 following questions:
   1. Are there other hazardous wastes.
 particularly wastes listed in Subpart D,
 that should be placed on the above lists
 and given priority?
   2. Are the above-listed wastes used or
 recycled in other ways that require
 regulation'? If so, what types of
 regulatory controls would be
 appropriate?
   3. Is there any reason not to prohibit
 the land disposal  of spent solvents listed
• in Subpart D and require that they be
 reclaimed or destroyed? Is it necessary
 to manifest these wastes to assure that •
 they are delivered to reclamation or
 treatment facilities? Can such facilities .-
 be effectively regulated  by rule—i.e.,
 without individual permits?
   4. Can the radiation hazards posed by
 radioactive mining wastes and
. phosphate mining-and processing
 wastes be adequately controlled by (a)
 prohibiting the use of these wastes in
 residential construction and (b) •
 imposing a few simple requirements on
 the  use of these wastes as fill for land
 where habitable structures might be •
 built?            •               "~
   5. Can facilities which burn wal
 as a fuel or reclaim or refine waste ^
 be adequately regulated by rule—/.7T.
 without.individual permits? Is there any
 reason not to  prohibit the use of waste
 oil for road oiling, dust suppression and  '
 other land (and water) applications?
 • 6. Should full Subtitle C standards be
 applied to the use, re-use, recycling and
 reclamation of residues from the
 production of chlorinated hydrocarbons?
 From the production of other organic
 chemicals? If not, for what  residues and
 uses should special standards be
 applied and what should those
 standards be?
  7. Should full Subtitle C standards be
 applied to the regeneration of activated
 carbon? If not, what standards should
 be applied?
  8. Can sites  where waste treatment
 sludges are used as fertilizers, as soil
 conditioners or in other land
 applications be effectively regulated by
 rule—Le., without  individual permits?
  In each of the foregoing areas of
 inquiry, EPA would appreciate the
 submission of any relevant facts and
 data. Unsubstantiated opinions are
generally not very helpful to us in
coming to grips with these types of
issues. On the other hand, informs
on the quantity of waste which is

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                 Federal Register / Vol. 45. No. 98  /Monday.  May 19. 1980  /.Rules and Regulations
                                  33095
    or recycled, management practices.
    environmental emissions that attend use
    or recycling, health and environmental
    effects resulting from use and recycling
    and other specific data are very useful.
      We also invite commenters to submit
    specific proposed standards or
    suggestions  for how standards might be
    developed. For example. Where wastes
  :  might be burned as a supplemental fuel
    in industrial boilers, proposals on fuel
    ratios, burning'temperatures, emission
    control requirements and residue   ~
 .   disposal requirements would be useful,
.    Obviously/the more specific arid
•-   constructive the suggestions, the more
   helpful they  will be in our rulemakingi
   C. Section 281.3 (Definition of
   Hazardous Waste)           '•''-.
     This section is a new  provision which
   does not have a direct,counterpart  in the
   proposed regulations. It has been added
   for purposes  of clarification and in
   response to questions raised during the
 •  comment period concerning waste.
   mixtures and when hazardous wastes
   become subject to and cease to be
'   subject to the Subtitle C hazardous
   waste management system.
     If a material is a hazardous waste
,   within the meaning of this section it
   must be managed in accordance with
   EPA's Part 262 through 265 standards
  and its Part 122 through 124 permitting
  requirements  unless covered by one of
  the exclusions in those regulations or
  one of the Part 281. special management
  provisions (§§ 261.5 and  281.6).
    1. What is a Hazardous Waste?
  Paragraph (a) of this section defines
  what a hazardous waste  is. It provides
  that a solid waste is a hazardous waste
  if it is not excluded under § 281.4(b)  and
  it either (1) is  listed as a hazardous
  waste in Subpart D. (2) is a waste
  mixture containing one or more
  hazardous wastes listed in Subpart D or
  (3) exhibits one or more characteristics
  of hazardous waste identified in Subpart
  C. A listed waste or a solid waste
  mixture containing a.tisted waste which
  is generated by a particular facility may
 be excluded under the rulemaking
 procedures prescribed in  § § 260.20 and
 260.22 (see section VIII.C.. below). In
" that event, it will be considered a
 hazardous waste only if it exhibits one
 or more of the  characteristics.
    Except for waste mixtures, all these
 provisions were contained in EPA's
 December 18,1978 proposal (see
 §§ 250.10 (b) and (d)(2), 250.13.and  '
 250.14). The.waste mixtures provision is
 a clarification which has been added in
 response to inquiries about Whether   '
 mixtures of hazardous and
 npnhazardous was.tes would be subject
 to Subtitle C requirements: This is ja
   very real issue in real-world waste
   management, since many hazardous
   wastes are mixed with non-hazardous
  .wastes or other hazardous wastes  "
   during storage, treatment, or disposal.
     Although it was not expressly stated
   in the proposed regulation. EPA
   intended waste mixtures containing -.
   listed hazardous wastes to be
   .considered a hazardous waste and
   managed accordingly. Without such a
   rule, generators could evade Subtitle C
   requirements simply by commingling   .
   listed wastes with, nonhazardous solid
   waste. Most of these waste mixtures
   would not be caught by the Subpart C
  characteristics because they would
  contain  wastes which were listed for
  reasons other than that they exhibit the
  characteristics (e:g.-, rhey-contairr-- -
  carcinogens, mutagens or toxic organic
 .materials). Obviously, this would leave
 "a major  loophole in the Subtitle C    .
  management system and create.    .
  inconsistencies in how wastes must be
  managed-under that system.',   ''
   EPA recognizes that designating all
  waste mixtures containing listed  wastes
  as hazardous wastes under Subtitle C
  may create some inequities. For
  example, this approach may result in
  some Waste mixtures which contain
 only very small amounts of listed
 hazardous wastes or which commingle .
 waste in a way which renders them
 nonhazardous (e.g.. neutralization)
 having to be managed under Subtitle C.
 We have tried to address this problem
 by establishing provisions for amending
 this paragraph to exclude waste
 mixtures produced by individual
 facilities, if they can show that the
 mixture (or. each constituent listed
 hazardous waste)  is not hazardous,
 based on the criteria for which  the
 c.onsistuent hazardous wastes were
 listed. Because this is a rulemaking
 procedure, it will, as a practical matter.
 only be useful for facilities which
 routinely  mix wa$tes in relatively
 constant proportions. With a regulated
 community potentially, numbering, in the
 hundreds of thousands. We.simply do
 not have the resources  to process
 petitions for exempting "one-shot"- :
 waste mixtures. Moreover, in most of ,
 these one-time cases, it seems likely that,
 the burden of having to manage a waste
 mixture as a hazardous waste could  be
 easily avoided by carefully segregating
 hazardous and non-hazardous waste.
  We know of no .other effective     .
 regulatory mechanism for dealing with
 waste mixtures containing listed
 hazardous wastes.1 Because the potential
 combinations of listed wastes  and  other
wastes are infinite, we have been
unable to devise any workable, broadly
   applicable formula which would -.
   distinguish between those waste   •
 •  mixtures which are and are not
   hazardous.^ any members of'the public •
   have suggestions for otherapproaches,
   we would appreciate having them ,
   brought to our attention for future,
   rulemaking.                 '         '
     Waste mixtures containing only
  .wastes which meet the characteristics
   are treated just like any other solid
   waste i.e.. they will be considered
   hazardous only if they exhibit the .
  .characteristics. EPA recognizes that this
   may not be an altogether satisfactory   '
   regulatory approach. While it would no  '•
   doubt encourage some desirable mixing
   of wastes, it would also allow some
   wastes (principally wastes caught by
   EPA's extraction procedure-) to escape
   regulation merely by being mixed with
   other wastes or other materials. We
   know of no solution to this problem
  which does not create major
  inconsistencies' in.the  way wastes are
  determined to be hazardous under
  Subpart C of this regulation. Again, if
  the public has suggestions for other
  ways of dealing with this  issue, we
  Would like to receive them.
    2. When Does a Waste Become a
  Hazardous Waste? Paragraph (b}'  ••
  provides three simple rules for.
  determining when a solid  waste
  becomes a hazardous waste and.
  therefore must be managed under
  Subtitle C. It has been  provided in
  response to comment requesting
.  clarification on this issue.
    Paragraph (b) states  that a solid waste
  which is a hazardous waste because it is
  listed in Subpart D must begin to be
  managed as a hazardous waste when it
  first meets the Subpart D-listing
  description. Most of the hazardous
  wastes listed in §§ 261.31 and 261.32 of
  Subpart D are process-residues,
  emission control dusts, or waste'water
  treatment sludges,  and  the point' in time  ,
  when they are created is generally well-
  defined. For those us.ed material's which
  are listed as hazardous wastes in those
.sections or § 261.33 (e.g.. spent solvents),
  the point at which they meet the listing
. description is somewhat less well-
 defined, but generally occurs when their
, intended use has ceased, and they begin  '
 to be accumulated or stored for disposal,
 re-use or reclamation.
  . In the case of a waste-mixture
 containing a listed hazardous'waste,
 paragraph (b) requires that the waste
 mixture be managed as  a hazardous
 waste as soon as the listed -waste is   '..
 added to "it. The listed waste, of course,
 must be handled as a'hazardous waste
 prior to that time.
   Finally, paragraph (b) provides that a
 solid waste is a.hazardous waste

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  33096       Federal Register /  Vol. 45.  No. 98 / Monday, May 19. 1980 / Rules arid Regulations
  whenever it exhibits one or more of the.
  characteristics. As a practical matter,
  this means that'persohs handling solid
  wastes must determine whether they
  meet the characteristics whenever the
  management of the solid wastes would
  potentially be subject to EPA's Part 262
  through 265 regulations.
    The following examples illustrate how
  this provision would operate in practice:
    • The ABC  Company stores waste
  acid on-site in containers prior to
  transport off-site for disposal. The
  company must determine whether the
  acid meets Subpart C characteristics
  when it is poured into the containers.
    • The DEF Company pipes waste acid
  into a tank, where it is neutralized by
 .adding lime. The company must
  determine whether the acid meets
  Sub'part C characteristics when it enters
  the neutralization tank. The
  neutralization  operation is a treatment
  process.
    • The GHI Company pipes waste acid
  into a tank truck for transport to an off-
  site treatment  facility. The  company
  must determine whether the acid meets
  Subpart C characteristics when it enters
  the tank truck.
    * The JKL Company produces a
  wastewater which is piped into a
  surface impoundment, for the purposes
  of treatment prior to point-source
  discharge into  surface waters. During
  treatment a sludge forms. This sludge is
 periodically dredged from the
 impoundment and disposed of. The
 company must determine (I) whether
 the wastewater meets Subpart C
 characteristics when it enters the
 impoundment and (2) whether the
 sludge meets Subpart C characteristics
 when it begins  to accumulate on the
 bottom of the impoundment. •
   In drafting paragraph (b). EPA has
 attempted to cover the most common
 types of waste  generation and
 management scenarios. The'Agency
 recognizes, however, that some
 companies may generate and handle
 wastes in ways not contemplated by
 EPA and for which a strict application of •
•paragraph (b) would make no sense. We
 would .appreciate having those instances
 brought to our attention so that we can
 decide whether additional rulemaking or
 issuing guidance is appropriate for
 dealing with these situations.
  3. When Does a Hazardous Waste
 Cease to be a Hazardous Waste?
 Paragraphs (c) and (d) of this section
 explain when a hazardous waste ceases
 to be a hazardous waste and therefore is
 no  longer subject to Subtitle C
 requirements. These are new provisions
 which have been added both in
 response to comment and as a logical
 outgrowth of paragraph (b).
   Paragraph (c) provides that a  ,
  hazardous waste remains a hazardous
  waste unless and until (1) it does not
  exhibit any of the characteristics
  identified in Subpart C and (2) where
  the waste is listed in Subpart D (or is a
  mixture containing "a waste listed in
  Subpart D). the waste (or each al its
  constituted listed wastes)'is also
  excluded from-paragraph (c) under the
  rulemaking procedures outlined in
  §5 260.20 and 260.22. As a practical
  matter, this means that facilities which
  store, dispose of or treat hazardous.
  waste must be considered hazardous
  waste management facilities for as long
  as they continue to contain hazardous
  waste and that any wastes removed
  from such facilities—including spills,
' discharges or leaks—must be managed
 as hazardous wastes.
   EPA believes this is a very' reasonable
 and rational rule. Wastes are typically
 stored for relatively short periods of
 time; Although solids in the waste may
 settle and the volume of the waste may
 be reduced by evaporation during this
 period, major chemical or biological
 changes affecting the hazardous
 character of the waste are unlikely to
 occur. Hazardous wastes which are
 disposed of in a landfill are more likely
 to undergo change (principaljy through
 leaching and anaerobic degradation),
 but only very slowly and over a long
 period of time.
  . Hazardous wastes placed in treatment
 facilities (including incinerators, surface
 impoundments and land treatment
 facilities) will, by definition, change
character. However, treatment does not
necessarily "rende» [a] waste
nonhazardous" (Section 1004(34)). It
may only make it "amenable for
recovery, amenable for storage or  •
reduced in volume"; or it may only
eliminate one of several hazardous
properties. Moreover, even in those
cases where treatment does ultimately
render a waste "nonhazardous", the
waste will generally have been
hazardous during part or all of the
treatment process.
  Paragraph (c) establishes a similar
rule with respect to solid wastes
generated by storage, disposal and
treatment—including leachate and
treatment residues such as sludges and
incinerator ash. Here, too, it is
reasonable to assume that these wastes,
which are derived from hazardous
wastes, are themselves hazardous.
  Leachate is produced by  the
percolation of liquid through wastes; it
typically contains solubilized heavy .
metals and organic materials and is
virtually always highly toxic. Treatment
residues, by definition, contain waste
constituents which were removed during
 treatment or which were not completely
 destroyed by treatment. Sludges from
 wastewater treatment typically i
 concentrated amounts of the to>i
 substances which were in the
 wastewater; Ash from the incineration
 of hazardous wastes often contains
 heavy metals and, if combustion is hot
 complete, undestroyed toxic organic
 materials.
   This is the best regulatory approach
 we can devise at this time for dealing
 with solid wastes generated by
 hazardous waste management facilities.
 We are not  now in a position to
 prescribe waste-specific treatment
 standards which would identify those
 processes which do and do not render
 wastes or treatment residues
 nonhazardous, To  list treatment
 residues on case-by-case basis would be
 an enormous job, and one which we
 think, given the reasons outlined above,
 is unnecessary.
   This approach obviously is not
 without deficiencies. For example, one
 effect of treating wastes containing
 synthetic organic materials may be to
 create new hazardous constituents in
 the waste or treatment residue. This
 regulation obviously does not deal with
 those new constituents. It also  does not
 .cover run-off from  hazardous waste
 facilities on the theory that the water in
 precipitation run-off in many case
 not have had sufficient contact vJ
 waste to solubilize waste constitr  	
 (Of course if collected, run-off would be
 a solid waste and,  if it exhibited any of
 the characteristics, would have to be
 managed as a hazardous waste). For
 purposes of future rulemaking, we would
 be interested in any, suggestions the
 public has for dealing with these issues.

 D. Section 261*4 (Exclusions)
  EPA's proposed Section 3001
 regulations identified a number of
 wastes which would not be subject to
 Subtitle C requirements because they
 were either excluded from the statutory
 definition of solid waste (§ 250.11(a)(7)J,
 not intended by Congress to be
 regulated under Subtitle C (§ 250.10(d)(2)
 (5) and (ii)), or subject to regulation
 under other EPA statutes
 (§  250.10(d)(2)(iii)).
  EPA received a number of comments
 on these proposed exclusions. Some
 commer vers  simply urged EPA to clarify
 which wastes were covered by  each of
 the exclusions. Others challenged EPA's
 justification for some of its proposed
 exclusions. Still others contended that
 additional wastes should be exempted
from regulation based on legislative
history or an alleged lack of
demonstrated harm to human he?
the environment.

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                Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and
     The exclusions contained in § 261.4
   are based on interpretations of the
   statutory definition of "solid waste" and
   on those parts of RCRA's legislative
  '.history which indicate a Congressional
  . intent that certain waste streams should
   not be regulated. Some commenters
   suggested that certain waste streams
   would never be hazardous and therefore
   should be excluded from these
   regulations! Those commenters did not,
  'however, provide sufficient information
   on which EPA could base such sweeping
   determinations. Generators of solid
   wastes that are not hazardous may
   determine that their wastes are non-  •
   hazardous under these regulations. As
   these regulations are implemented more
  information will be developed about
  specific waste streams. EPA will then be
  in a'better position to make categorical  '
  judgments about the lack of risk
  presented by certain wastes! At this
  time, however. EPA .has limited the
  .exclusions in § 261.4 to those which are
  based on expressed Congressional
  intent:           •
 .   The following is a discussion of the
  specific exclusions contained in^5 261.4:
    1. Domestic Sewage. In defining "solid
  waste" Section 1004(27) specifically
  excludes "solid or dissolved material in
  domestic sewage." The proposed
 -regulation did not specifically define
  "domestic sewage", but did contain
  provisions that w6re based on an
  interpretation of that term. Section
 250.40(c)(3) of, the "proposed regulation  '
 exempted owners and operators of
 POTWs from all portions of the Section
 3004 standards except those involving
 the manifest system, recordkeeping and
 reporting with respect to hazardous
 wastes received by truck or rail. As
 described in the preamble to the
 proposed regulation, that decision was
 based on the idea that the rajxing of a
 hazardous waste with domestic sewage
 made the entire mixture a domestic
 sewage excluded under Section 1004(27).
   Commenters raised several objections
 to this approach. First, commenters
 argued ;that the only basis for an
 exclusion under Section 3004 is one    .
 based on health or environmental risk
 rather than public ownership. Second,
 commenters argued that some POTWs  ;
 will handle significant quantities of
 hazardous waste and that such facilities
 present the same environmental risks as
 private facilities that treat, store or •
 dispose of hazardous waste. Third, some
 commenters merely argued that if
 POTWs are-excluded because they
handle a significant portion of domestic
sewage, other private parties  that   ,
handle wastes of a similar mix should
be excluded alao. Fourth, a commenter
                                                                                                                33037
    sa'id that the proposed regulation did not
    clearly indicate whether a POTVV could
    ever be subject to Subtitle C jurisdiction
    if it only treated industrial waste.
     The term "domestic sewage"
   generally denotes sanitary wastes that
   pass through a sewer system. A waste
   stream comprised entirely of sanitary
   waste, that passes through a sewer
   system is "domestic sewage" under any
   reasonable interpretation of the
   statutory, exemption. This exemption
   applies regardless of whether the sewer
,,  system or the treatment works to which
•   it connects is publicly or privately
   owned.
     A more difficult question is presented
   when pure sanitary wastes are mixed
   with other types of wastes in a sewer
   system. The issue-of whether such
-   mixed waste streams are within RCRA's
   jurisdiction has broad implications and  '
   thus i-t is necessary to carefully consider
   the Congressional purpose behind  the
   exemption.
    The legislative history of RCRA does  .
   not specifically address the exemption
   because it was a carry-over from the
   Solid Waste.Disposal Act, which RCRA ' -
 '  amended. The "domestic sewage'"
  exemption first appeared in the
  definition of "solid waste" found in the
  Solid Waste Disposal Act,of 1965. The
  legislative history of that act indicates
 •that the exemption was based on a
 .recommendation, made to the Congress
  by the Administration: that "organic  .
  solids in untreated domestic sewage" be .
  excluded from coverage because such
  wastes were already subject to cpntrols
  under the Federal Water Pollution
 Control Act (FWPCA). At that time, the
 portion of the FWPCA that addressed
 "untreated sewage" was the Federal-
 construction grant program, which gave
 money to States and municipalities  to
 construct treatment works and to study
 combined sewer systems.          _ >
   This legislative history suggests a
 Congressional intent that the scope  of
 the "domestic sewage" exemption must
 depend, in part, on the capacity of the ~.
 Agency's construction grants p'rogram to  .
 address the environmental problems    '
 arising from any exempted waste
 streams. At the time the exemption was
 enacted, and under the present Clean
 Water Act, the Agency has grant
 programs that assist states and localities
 in the treatment of sanitary sewage bv
 POTWs.                     .
   EPA believes that the Congressional
policy reflected in the legislative.history
of the "domestic sewage" exemption
should guide the Agency in its regulation
of mixtures of sanitary waste with other-
waste streams. Mixed waste streams
that pass through sewer systems to
publicly-owned treatment works
    (POTWs) will be subject to controls   *
    underthe Clean Water, Act. The
    Agency's construction grants program
    provides financial assistance for the '
    proper treatment of these wastes. In
    addition the Agency's pretrea'tment '
    program provides a  basis for EPA and
    the local communities to insure that
    us«rs of sewer arid treatment systems
   "do not dump wastes into the, system that
    will present environmental problems.
    Under these circumstances EPA believes
    that it is appropriate to include within
    the "domestic sewage" exemption
    mixtures of-sanitary wastes and other
    wastes that pass to"POTWs. Since the
  .  treatment of sewage by privately-owned
    treatment works  is not similarly
   controlled through the Agency's
  , construction grant and pretreatmont
  , program, the pxemption  would not bf>
 ,  available for mixed waste strcams.goiny
   to such treatment works.    .
    The "domestic  sewage" exemption is
   only applicable .to non-domcs'tic .wastes
   that mix with sanitary wastes in a sfnyor
   system leading to'a POTW. An ,
   industrial waste stream that never
   mixes  wi'th sanitary wastes in the,sevver
  prior to treatment or. storage dons not
  ' fall within the exemption, regardless of
  the public or private .ownership of the*
  treatment works*,Defining the point  at
  which  "mixture" occurs may seH.m to bo  '
  a relatively straightforward task.
 . Practical problems arise, however, in
  defining the point  at which mixture, of
  sanitary and other wastes occurs in  a
 ' complex sewer system. Moreover it  is
  particularly difficult to define this point
.  for regulatory purposes in such a vy;iy
  that all parties understand when RCRA
  obligations begin and end.
    EPA  has, therefore,  decided that-a
  waste falls within'the domestic sewage
  exemption when it first enters a sewer • '
  system  that will mfx it with sanitary
  wastes  prior to storage or treatment bv a
  POTW. EPA recognizes that this
  interpretation brings various wastes
  within the exemption before they are
 actually mi.xed with sanitary wastes'. In-
 light of  the fact that the wastes will be
 mixed prior to treatment and that the
• mixture will be properly treated by the
 POTW,  EPA believes that the need for,
.administrative clarity in this otherwise '-
 complicated regulatory program
 warrants such an approach.
   In response to the comments on the
 exclusion of.POTWs from Section 3004
.standards, EPA.has changed these   '.
 regulations to make clear that the
 statutory exemption is  one for "domestic
 sewage" rather than POTWs. Facilities ,
 receiving waste streams that are  '
 exclusively made up of sanitary wastes
 will not be. subject to these regulations

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 33098       Federal Register / Vol. 45. No.  98 / Monday, May 19. 1980  /  Rules and Regulations
  regardless of the public or private
  ownership of the facility. Likewise a
  POTW receiving industrial wastes that
  do not mix with sanitary wastes prior to
  treatment would be handling a solid
  waste subject to these regulations.
   The exclusion of domestic sewage and
  mixtures that pass through sewer-
  systems to POTW's is based on .
  Congressional intent, not an Agency
  determination about the relative health
  and environmental risks presented by
  such waste streams. The Agency
  acknowledges that some mixtures of
  domestic sewage with other wastes may
  present environmental risks and that
 some non-domestic wastes may have
  properties similar to these of exempted
  domestic wastes. In response EPA can
 only assume that such factors were not
 determinative in the Congress' creation
 of the exclusion.
   The proposed regulation did not
 contain a specific definition of domestic
 sewage. EPA believes that the definition
 of domestic sewage, and the provision
 relating to mixtures of wastes with
 domestic sewage, contained in these
 regulations is a reasonable
 interpretation of RCRA's statutory
 language and legislative history. The
 Agency has decided, however, to
 promulgate this part of the regulation as
 interim final in order to gain the benefit
 of public comment on  the concepts
 involved. The Agency considered
 several options for defining domestic
 sewage and classifying mixtures of such
 sewage with other wastes. Thoae
 options included:
   (1) Defining "domestic sewage" to
 include all wastes mixed with sanitary
 wastes;
   (2) Limiting the exemption to only
 sanitary wastes, treating any mixture of
 sanitary wastes and other wastes as
 solid wastes;
   (3) Defining "domestic sewage" as any
 waste made up primarily (i.e. more than
 5055 by volume) of sanitary waste
 streams; and     •
   (4) Unking the exemption for mixtures
 to those that flowed into a "publicly-
 serving" or "constructed-to-serve-the-
 public" treatment works, rather than
 POTW's.
 The Agency is interested in comments
 on tht.se options and the selected
 approach, as well as any other
 suggested interpretations of the
 provision. Commenters should recognize
 that the Agency's selected approach is
 based on an interpretation of
 Congressional intent. The Agency is
 interested generally in comments about
 the impact of this' approach on regulated
parties, but it particularly seeks
comment on how such effects relate to
 the Congressional purpose of the
 exemption expressed in RCRA's
 legislative history.
   These regulations, then, define
 domestic sewage as untreated sanitary
 wastes that pass through a sewer
 system. Such wastes are excluded from
 regulation as solid wastes under these
 regulations. In addition mixtures of
 wastes with domestic sewage that pass
 through a sewer system to a publicly-  ' •
 owned treatment works for treatment
 are also excluded from regulation as
 solid wastes.        ^            :
   2. Industrial Point Source Discharges.
 The statutory definition of "solid waste"
 in Section 1004(27) of RCRA excludes
 "solid or dissolved materials in ...
 industrial discharges which are point
 sources subject to permits under Section
 402 of the Federal Water Pollution
 Control Act". In its proposed
 regulations, EPA construed this phrase
 .to include only actual discharges into
 navigable waters, not industrial
 wastewaters upstream from  the point of
 discharge. The effect of this
 interpretation was to require surface
 impoundments, tanks, lagoons, holding
'ponds and other facilities used to treat
 or store hazardous industrial .
 wastewater to meet Section 3004
 standards and to obtain a Section 3005
 permit. See 43 FR 58993 and proposed
 §5 250.45-3 and 250.45-4.
   The application of Subtitle C
 requirements to wastewater treatment
 impoundments was one of the most
 controversial aspects of EPA's proposed
 hazardous waste regulations. Most of
 commenters' objections to EPA's
 proposal as they pertain to Section 3004
 interim status requirements are
 discussed in the preamble to the Section
 3004 regulations published elsewhere in
 today's Federal Register. The only one
 addressed here is commenters' argument
 that the "industrial discharge" exclusion
 in Section 1004(27) refers to the entire
 wastewater stream, not simply the point
 source discharge, and that EPA
 therefore has no authority under RCRA
 to regulate industrial wastewater
 holding or treatment facilities.
  This contention is not supported by '
 either the plain language of the statute
 or its legislative history. The obvious
 purpose of the industrial point source
 discharge exclusion in Section 1004(27)
 was to avoid duplicative regulation of
 point source discharges under RCRA
 and  the Clean Water Act. Without such
 a provision, the discharge of wastewater
 into  navigable waters would be
 "disposal" of solid waste, and
 potentially subject to regulation under
 both the Clean Water Act and Subtitle
 C. These1 considerations do not apply to,
 industrial wastewaters prior to
  discharge since most of the
  environmental hazards posed by
  wastewaters in treatment and hoU
  facilities—primarily groundwater'
  contamination—cannot be controlled
  under-the Clean Water Act or other EPA
  statutes.
   •Had Congress intended to exempt
  industrial wastewaters in storage and
  treatment facilities from all RCRA
  requirements, it seems unlikely that the
  House Report on RCRA would have
  cited, as justification for the.
  development of a national hazardous .
  waste management program, numerous
  damage incidents which appear to have
  involved leakage or overflow from
  industrial wastewater impoundments.
  See. e.g.. H.R. Rep. at 21. Nor Would
  Congress have used the term
  "discharge" in Section 1004(27). This is a
  term of art under the Clean Water Act
  (Sectiont,504(12)) and refers only to the
  "addition of any pollutant to navigable
  waters", not to industrial wastewaters
  prior to and-during treatment.
   Since the comment period closed on
  EPA's regulations, both Houses of
  Congress have passed amendments to
  RCRA which are designed to provide
  EPA with more flexibility under Subtitle
  C in setting standards for and issuing
.  permits to existing facilities which treat
  or store hazardous wastewater. See
  Section 3(a)(2) of H.R. 3994 and i
  7 of S. 1156. See also S. Rep. No.!
  96th Cong., 1st Sess. 3 (1979); Cong. Kec.
  S6819, June 4,1979 (daily ed..); Cong.
  Rec. H1094-1096, February 20,1980 "
  (daily ed.). These proposed amendments ,
  and the accompanying legislative
  history should lay to rest any question
  of whether Congress intended industrial
  wastewaters in holding or treatment
  facilities to-be regulated as "solid
.  waste" under RCRA.
   3. Other Statutory Exclusions. The
  definition of "solid waste" in Section
 1004(27) excludes two other classes of
  wastes. "Solid or dissolved materials in
  irrigation return flows" and "source;
 special nuclear, or byproduct material
 as defined by the Atomic Energy Act of
 1954" are not "solid waste" under
 .RCRA.
   In § 250.40(e) of the proposed
 regulation these two categories of
 wastes'were excluded from regulation
 under Section 3004. No substantial
 comment was received on these
 exclusions. In these final regulations
 under Section 3001, the Agency has
 specifically excluded these materials
 from regulation as solid waste in accord
 with the statutory definition of "solid
 waste."
   4. Household Wastes. Under
 § 250.20(c)(4) of the proposed regul!
 a person or Federal agency who

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      generated only household refuse or
      household septic tank pumpings was
      excluded from regulation as a generator.
      of hazardous waste.,"Household refuse"
      was defined as trash or rubbish
      ordinarily produced by a^family at their
      home. This exclusion, which also was
      available to apartment" houses,  '
      condominiums and hotels, was based on
    '  the legislative history of RCRA.
       The few commenters that addressed
     this provision made two general points. '
     First they said that the "ordinarily
     •produced", portion of the proposed  '
     "household refuse" definition might not
     include certain materials such as
     medicinal drugs and ointments,
     household cleaning agents and solvents,
     waste oils, paints and pesticides that
     might be purchased at a grocery, drug or
     hardware store. Second, a  commenter
   .  pointed out that a Federal agency could
    not, by definition, produce household
   . wastes.-
      The Agency has retained the general
    concept contained in proposed
    § 250.20(c j(4) in these regulations. The
    provision is stated, however, as an
    exclusion of a waste stream—Namely
    "household wastes"—rather than as an
    exclusion of a class of generators. This
    change is.more in accord with legislative
    intent. The exclusion is based on
    language in the Senate Report which
    states:            ,         . .
   '(The hazardous waste program) is not to be
   used to control the disposat of substances
   used in households,or to extend control over
   general municipal wastes based on the
   presence of such substances.
   IS. Rep. No. 94-988, 94th Cong.. 2nd Sess.. at

   This indicates Congressional intent to
   exclude waste streams generated by
   consumers at the household level. Since
   the wastes generated at hotels and '
   motels are essentially the same as thos.e
   generated by consumers  in their
   households. EPA believes that such
   wastes should be within  the exclusion.
     The Senate language makes it clear ;
  •.that household waste does'not lose the
   exclusion simply because it has been
   collected. Since household waste is
   excluded in all phases of its
   management, residues,remaining after
   treatment (e.g. incineration, thermal
   treatment) are not subject to regulation
   as hazardous waste. Such wastes,
,  however, must be; transported, stored.
   treated and disposed in accord'with  '
  applicable State and federal  '
  requirements concerning management of
  .solid waste .(including any requirements
  specified in regulations under Subtitle D
          .         .
    When household waste is mixed with
  other hazardous wastes, however, the
     mixture will be deemed hazardous in
     accord with § 261.3(a)(2)(ii) of these  .
     regulations except when they are mixed
     with hazardous wastes produced by
     small quantity generators (see § 261.5).
     While household waste may not be
     hazardous per se, it is like any other
     solid wasteLThus a mixture of
     household and hazardous (except those
     just rioted) wastes is also regulated as a
     hazardous Waste under these  '
     regulations,                    .
       Because of comments on this matter.
     the relationship of this exclusion to
     refuse-derived fuel (RDF) should also be
     explained. RDF is a processed material
    .(usually shredded) that is produced.from
     solid waste and used as a fuel. RDF
     production usually .involves-the....    •
     extraction of inorganic components from
     the waste leaving the combustible
   . organic component for its fuel value." In
   . the same sense that residue from the
    treatment of household wastes is not
    subject to regulation as a hazardous
    waste, as discussed above, neither.is
    RDF subject to such regulation.
    Moreover, RDF is not a "solid waste"
    under § 261.2 because it is not an "other
  ,  discarded material:" it is or is not
    intended to be discarded (§ 26i.2(b)(l)).
    it is'not a material that has served its ; '
    original intended purpose (§ 26l2(b)(2))
    and it is not a manufacturing or mining
    by-product (§ 261.2(b)(3)).
     EPA agrees with those commenters
    who suggested that Federal agencies
    cannot qualify as households. Therefore
   wastes generated by such agencies are
/riot within the household waste
   exclusion. In addition EPA believes that
   medicinal drugs and ointments.
   household cleaning agents and solvents,
   waste oils, paints and pesticides
   purchased at grocery, drug or hardware
   stores may be disposed of as part of a ,
   consumer's household wastes. If a
   household disposes of such wastes, the
   wastes may be subject to the household
   waste exclusion.
     Septic tank pumpings  were included
   m the exclusion contained in
   § 250.20(c)(4) of the proposed regulation.
   After further examination of this  '"
   provision. EPA has concluded that such
:  . pumpings should be excluded from
   regulation as hazardous  wastes to the
   extent  that they constitute household
   waste. Households often use septic
   tanks to. dispose of a portion of their
  wastes. As with all household wastes,
  these sanitary wastes in  household
  septic tanks are excluded from
  regulation as a hazardous waste in all
  phases of their management. Thus septic
•  tank pumpings drawn from household :
  septic tanks are not'regulated as
  hazardous wastes under  these
    regulations. Any wastes drawn from
    non-household septic tank,s,are
    regulated like any .other solid waste
  .  under these regulations.
     5. Agricultural Wastes. Under
    § 250.10(d)(2)(i) of the proposed
    regulation, agricultural wastes
    (including manures and crop residues)
    which are returned to, the soil as
    fertilizers or soil conditioners were
    excluded from regulation as. hazardous  '
  . waste. The .exclusion was based on the
   legislative history of RCRA which
   specifically calls for such an exclusion.
   See1 H. Rep. No.  94-1491, 94th Cong. 2nd
   Sess. 2 (1976). Commenters generally
   accepted this exclusion, and EPA has
   decided  to retain it because the need for
   such an exclusion is so clearly identified
   in RCRA's legislative history.
    Some commenters asked the Agency,
   however, to go beyond the specific
   language of the legislative  history and
   expand the exclusion to include  '
   silvicultural wastes. They argued that  '
   the foliage and branches left in the
   forest .after trees have been cut are not
   hazardous arid that such wastes help  to
   enrich the soil and control erosion. EPA
  has decided not to provide a specific
  exclusion for such wastes because there
  is no indication in the legislative history
  of RCRA  that the Congress meant>to
  include silvicultural wastes in the
  exclusion otherwise applicable to
  agricultural wastes. Moreover EPA has
  no basis to make a general
  determination that all silvicultural
  wastes wi}l not pose environmental
  problems  ifmismanaged.  "
    In response  to the specific comment
  about tree branches, it must be
  recognized that the obligation placed on  '
  generators of solid waste is to determine
  whether their waste is hazardous. Tree
  branches are not listed as hazardous
  wastes. Therefore, the only obligation
 placed on  a timber operation is to
 determine whether its wastes exhibit
 hazardous characteristics. EPA expects
. that; in the case of tree branches that
 are not hazardous, it will be a relatively
 easy task for/the generator to determine
 that hi.s waste is not hazardous.
   6. Mining Waste. Section
250.10(d)(2)(ii) of the proposed
regulation excluded overburden
intended for return to the mine site from «
regulation under Subtitle C unless such
overburden had been specifically listed
as a hazardous-waste. This exemption
was based  on the legislative history of
RCRA.
.   Generally conimenters accepted this
exemption  but sought a clearer
specification of what wastes fall within
the exclusion. Thus commenters sought
a definition of both "overburden" and
"mine site." Commenters also sought a

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   33100       Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules and Regulations
   clearer interpretation of the time within
   which the "return to the mine site"
   would have to occur. Finally, several •
   commenters objected to-that portion of
   the proposed regulation which allowed
   EPA to list and regulate specific
   overburden materials otherwise covered
   by the exclusion. EPA had invoked this
   provision when listing uranium mining
   overburden and waste rock and
   phosphate mining overburden, in the
   proposed regulation. These same
   commenters had also objected  to the
   proposed listing of such  wastes.
    After review of the comments and
 ,  further analysis, EPA has decided to
   retain an exemption for "mining
   overburden returned to the mine site",
   defining it as "any material overlying an
  economic mineral deposit which is
  removed to gain access to that deposit
  and is then used for reclamation of a
  surface mine."
    In enacting RCRA.  the  Congress
  specifically included mining wastes
  within the Section 1004(27) definition of
  "solid waste." Therefore  unless the
  statute or legislative history clearly
  indicate that mining wastes are to be
  exempt the presumption is that they are
  to be regulated like any other solid or
 hazardous waste. Portions of RGRA's
 legislative history in both the Senate
 and House of Representatives suggest,
 however, that certain  kinds of mining
 overburden are not within the Act's
 jurisdiction. In discussing RCRA's  scope
 the House Report states:
 [O|vcrburden resulting from  mining
 operations and intended for return to the
 mine site is not considered to be discarded   '
 material within the meaning  of this
 legislation. This however does not preclude
 any finding by the Administrator that specific
 mine wastes are hazardous within the scope
 of this legislation.
   In the Senate  this issue  was discussed
 during the floor  debate when Senator
 Domenici asked about the effect  of
 RCRA on mining operations, particularly
 strip mining. As part of his response
 Senator Randolph stated:
 The measure would not affect surface mining
 activities. Reclamation is not  solid waste
 disposal.
   Reclamation of surface mines will
 commonly involve the return to the mine
 site of waste overburden that has be> n
 removed to gain access to  the ore
 deposit. Since it  is assumed that both
 the Senate and House had similar
 objectives in passing RCRA, the
 "returned to the mine site" language in
 the House Report must be  read in light
of the Senate's concern that mining
wastes used to reclaim surface mines
should not be subject to RCRA. EPA
believes, therefore, that the most
   reasonable interpretation of the "return
   to the mine site" phrase is one that
   limits the exemption to mining waste
   used to reclaim surface mines.
    Commenters suggested that EPA
   define overburden as any material
   removed to gain access to the
   "economic mineral" or the "mineral
   being mined for use." While 'both terms
   basically Convey the same meaning.
   EPA has decided to use "economic
 '  mineral" because it may have a clearer
   meaning to mining operators. The intent
   of the term is to identify the material
   that the mining operator is in the
  business to extract from the ground.
    In keeping with the Congressional
  intent that this exclusion is designed for
  overbur.den used to reclaim surface
  mines, the definition is'limited to
  overburden "overlying" a mineral
  deposit.  The Department of the Interior
  makes a similar distinction in the
  definition of overburden in its
  regulations under the Surface Mining
  Control Act. EPA does not intend this
  definition of overburden to be limited
  exclusively to the material located
  directly above a mineral deposit. Some
  material  is removed from the sides' of a
  mining pit to permit safe access to the
  economic mineral, and such material
  should be treated as overburden. EPA
  urges the public to provide suggestions
  about how the definition may be refined
  if there appears to be any confusion
  about the meaining of "overlying" in this
 context.
   Overburden material must be
 "returned to the mine site" before it is
 excluded from regulation under RCRA.
 As indicated earlier, the purpose of the
 exemption is to assure that mining
 wastes used to reclaim surface mines
 are not subject to regulation as solid or
 hazardous waste. EPA recognizes that
 reclamation does not necessarily
 involve replacement of overburden into
 the portion of the ground from which it
 was taken. EPA also recognizes that
 surface mining reclamation may be
 subject to State or Federal regulation,
 making it difficulut to provide a national
 definition of what constitutes
 reclamation. In particular it is difficult to
 provide a general definition of "mine
 site" that  will fit with the various State
 and federal, requirements for   .
 reclamation.
   EPA has decided, therefore, not to
 define what is meant by reclamation of
 a surface mine. Several commenters
 indicated  that most reclamation
 activities are subject to State or Federal
 regulation. EPA expects that any permits
 or reclamation plans developed to
 satisfy such regulatory'agencies will
specify the reclaimed area, and these
actions should provide  an acceptable
   and'understandable specification of the
   "mine site" as that term is usedjj
   definition. EPA contemplated lir
   the exemption .to reclamation, th-.^^^^
   approved by State or Federal agencies..
   While such a requirement is not part of
   this regulation. EPA is considering
   whe'ther such a requirement should be
   part of the final definition. EPA seeks
   public comment'on such a modification
   and is particularly interested to discover
   the extent to which environmentally
   sound reclamation activity-occurs in the
   absence of Federal and State regulation.
    This approach addresses  two specific
 • suggestions made in comments. First it
  clarifies the time component of the
  "returned to the mine site" concept
  because it ties the exemption to
  reclamation activity. Particularly where '.
  the mining operation is subject to State
  or Federal regulation.'it should be
  reasonably clear what portion of .the
  mine's overburden will be used over
  what period of time to implement a
  reclamation plan. Second, as indicated
  above, it eliminates the need for a
  specific definition of mine site. In any
  case. EPA does not believe, as one
  commenter suggested, that the definition
  of "mine" used in the Agency's Effluent
  Limitations Guidelines for the Ore
  Mining and Dressing Point Source
  Category (under the Clean Water/
'  appropriate.for this definition. Thl,
 definition is designed to identify a
 range of mining and associated
 activities that should be regulated'
 because they generate pollutants which
 may potentially discharge into navigable
 waters. The RCRA definition of "mine
 site" is to identify a reclaimed area that
 may receive a waste material which  will
 thereby be excluded from environmental
 regulation under RCRA.
   Finally the Agency-has eliminated  the
 part of the proposed exemption that
 would allow exempted overburden to be
 brought within RCRA jurisdiction
 through specific listing as a hazardous
 waste. (EPA believes, however, that
 uranium mining overburden and
 phosphate mining overburden will be
 brought back under Subtitle C,
jurisdiction, as discussed below.) The
only overburden exempted is that which
is used for reclamation purposes. EPA
expects that  the State and Federal
agencies that regulate such reclamation
will consider the overburden's potential
to adversely  affect public health and  the
environment.
   EPA believes strongly that portions of
the overburden from uranium and
phospate mining should be regulate
under Subtitle C with respect to t
potential emissions of radon gas ;
gamma radiation. The  Agency

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                 Federal  Register / Vol. 45. No. 98 /Monday.  May 19. 198Q-/ Rules and Regulations
                                                                          33101
    recognizes that.this is an issue currently
    before the Congress in amendments to
    RCRA. One such amendment would
    provide specific authority for EPA to .
    regulate these overburdens. If this
    amendment is enacted, the "overburden
 •   relumed to the mine site" exclusion will
    be modified accordingly.       .."•'•
      Commeriters also questioned the-
    application of the Subtitle C system 'to
    in-situ.mining waste?. In-situ mining of
    oil shale, uranium and other minerals
    may involve the placement of certain
    solvent solutions directly to a mineral
    deposit in the ground. This solvent
    passes through the earth, solubilizing the
   economic mineral as it goes. The
   mineral and solvent mixture leaches
   down to underground extraction wells
   which remove the solution.,    '      '
     EPA does not believe that the soil  '
   through which these solvent solutions  •
   pass is a waste to be regulated under
   RCRA for two reasons. First the .removal
   of materials from their natural state
   does not transform all remaining
   elements of that environment into a
   waste material. For example, picking an
   apple from a tree does not transform the
   -tree into a solid waste. Likewise the
   removal of minerals from the land does
   not make the earth a solid waste.
   . Second, the soil from which minerals
   are extracted by in-situ mining does not
 "need to  be managed as solid wastes:  As
   indicated in United States Brewers'
  Association. Inc. v. EPA. supra., the
   definition of "solid waste" under RGRA
  must be read in conjunction with
  Section ,1004(28), the definition of "solid
  waste management." which sets forth-
  the broad set of activities that RCRA  is
  to regulate. None of the management
 activities identified in Section 1004(28).
 including "disposal/' are relevant to in-
 place materials located hundreds, even •
 thousands of feet below the ground.
 Only when these materials are actually
 removed from the ground can it be
 reasonable to establish regulations
 governing the management of those
 materials. Accordingly in-situ mining
. wastes, not removed from the ground.
 are not regulated as solid wastes under •
 these regulations,             '
   A final issue raised in the public
 comments .concerns' the relationship
 between these regulations and the study
 ™£mf ,Wastes re(Juired under Section
 8002(f) of RCRA. Commenters argued
 that all mining wastes should be
 excluded from coverage under RCRA
 regulatory programs (including Subtitle
 C) pending the outcome of that study   "
   While the study will certainly assist
 the Agency in refining these regulations
 to address the particular environmental
 problems presented by mining wastes
 the Agency does not believe that mining
    wastes should be excluded from
    regulation, any more,than any other
   • solid or hazardous waste, until the study
    is cpmpleted; RCRA certainly does not
    require such a deferral.'The fact that the
    Congress may have perceived a need for
    further information-about mining wastes
    does not raise the implication that
    RCRA's regulatory prpgrams'should not
    address the environmental problems-
    presented by such wastes.'The
    definition of "solid waste" in Section
    1004(27) specifically includes wastes-
    from mining operations and no other
   statutory provision otherwise links
   EPA's jurisdiction over such wastes to
   completion  of the. study under Section
   8002(f).  '         ,.         •.       i
 ,  '  It is important-to note that-pending;
 i  amendments to RCRA may provide for
,   deferral of regulation of certain mining
  , wastes until completion of the mining
   waste study. Clearly that .indicates a
   Congressional belief that any deferral of
   regulation pending the outcome of the
   study was not contained in RCRA  as
   originally enacted. Certainly if the.
 .legislative amendment is passed EPA
   will modify these regulations        -
  accordingly.The Agency has not, '
  however, created sudh a deferral in
•  anticipation  of such an amendment
  because the amendment is contained in
  the bill of only one house. Thus the
  Agency cannot be certain that such an
  amendment will be part of the final
 .legislation.
    7. Sewage Sludge. Unlike the proposed
 regulation this regulation does not
 exclude from regulation under Subtitle C
 sewage sludge from publicly-owned
' treatment works (POTVV's), Several
 commenters objected to the exclusion
 contained in the proposed regulation.
 arguing that it was inconsistent to  "
 exclude .sewage sludge from POTW's
 arid not exclude sewage sludge from
 privately-owned systems. They urged
 EPA to exclude sewage sludge from
 such private systems. Other commenters
 urged EPA to  exclude wastewater
 treatment sludges from certain
 industries such as the meat packing and
 food processing industries because these
 sludges are very similar to domestic
 sewage sludge.-             '   ' -  '  '
   Finally, other commenters objected to
 the proposed exclusion of sewage sludge
from POTWs  and urged that this .
exclusion be dropped.-They claimed that
POTW sludge  often is very
contaminated  and thereby can be a
hazardous waste. They urged that it  not
enjoy an arbitrary exclusion. EPA has
thoroughly re-examined this issue'in
light of the comments and has decided
not to exclude  POTW sludge and not to
    add exclusions for any other types of
    sludge.
      The regulation of sewage sludge is
    necessarily a complex matter because-
    such sludges fail within the jurisdiction
    of several Federal environmental
    programs. Under Section 1004(27) of
    RCRA. the definition .of "solid waste"
 ,   specifically includes "sludge from a  .
    waste treatment plant." In defining
    "sludge." Section 1004(26A) includes
    wastes from a "municipal wastewa'ter
  •  treatment plant."
     Because of these very clear statutory
   expressions. EPA must regulate sewage
   sludge under RCRA—either under
   Subtitle D, where it has already .
   promulgated regulations covering
   sewage sludge (see 44 FR 53438 et. seq.}
   or under Subtitle C where these sludges
   that-are deemed by EPA to be
   hazardous wastes should be regulated.
    Under Section 102 of Ihe Marjne '
  Protection, Research and Sanctuaries
  Act, EPA -regulates the ocean dumping
 - of sludge, including sewage sludge. In
  addition EPA establishes, under Section
  405 of the Clean Water Act (CWA).
  guidelines for the disposal and
  utilization of sewage sludge. Under
  Section 405(e). owners and operators of
;  publicly owned treatment works
  (POTWs) must comply with these
  guidelines. Sewage sludge often
  contains valuable-organic ma'tter and
  plant nutrients, and it may be
  distributed to the public as a soil  '
  conditioner or fertilizer. Such
  distribution of sewage sludge may be
  regulated under the Consumer Product
 Safety Act (CPSA) or the Toxic
 Substances Control,Act (TSCA). in  •
 addition to Section 405 of. the CWA.
    Where such overlapping jurisdiction
 exists, EPA seeks to integrate and
 coordinate its regulatory actions to the
 extent feasible. Such'efforts give the
 regulated community a clear picture of
 its obligations and improve the
 administrative efficiency of .the Agency,'
 both of which advance the
 environmental objectives contained in
 EPA's various statutory authorities
 Section. 1006 of RCRA specifically
 recognizes the need to integrate the    '
 solid and hazardous waste programs
 with other EPA regulatory programs.  .
  To  that end EPA has decided to '
 develop a comprehensive set of
 regulations to deal with sewage sludge
 management. Such regulations would, be
 co-promulgated under RCRA (Subtitles  '
 C and D), the Clean Water Act. the
Marine Protection, Research and   .   .
Sanctuaries Act and possibly the Toxic
Substances Control Act a'nd/or the  '
Consumer Product Safety Act. These
regulations Will address sewage sludge

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   33102       Federal Register / Vol. 45. No. 98  /  Monday.  May 19. 1980  /  Rules and Regulations
   from both private and public sources,
   including septic tank pumpings.
     In devising such regulations the
   Agency will, of course, make the
   distinctions and classifications
   necessary to make the regulation
   comport with the goals and
   requirements of each statute. Under
   such a comprehensive regulation,
   sewage sludge that would otherwise
   meet the test for being hazardous under
   Subtitle C will be subject to
   requirements providing a level of
   protection to human health and the .
   environment equivalent to that found in
   the Subtitle C regulations.
    The Agency has issued and is
   developing regulations which will
   eventually be part of the comprehensive
  sewage sludge regulation. For example
   the Agency promulgated Criteria for the
  Classification of Solid Waste Disposal
  Facilities and Practices  (44 FR 53438) on
  September 13.1979. These regulations,
  which apply  to sewage sludge, include
  special provisions for the land
  application of solid waste to food chain
  crops and for the prevention of disease
  from pathogens contained in sewage
  sludge and septic tank pumpings. EPA
  issued the Criteria under the authority of
  Sections 1008(a)(3) and 4004(a) of RCRA
  as well as Section 405(d) of, the CWA.
  EPA has also published  two technical
  bulletins that provide guidance on
  sludge management: "Municipal Sludge
  Management: Environmental Factors"
  (42 FR 57420) and "Application of
  Sludges and Wastewater to Agricultural
  Land; A Planning and Education Guide."
    In addition the Agency is in the
  process of developing regulations on the
  distribution and marketing of sewage
  sludge which will focus on the use of
  such material as a soil conditioner or
  fertilizer. These regulations will, at a
'  minimum, be  promulgated under Section
  405(d) of the CWA. The Agency is also
  examining whether TSCA or CPSA
  authorities may be used  in developing
  these regulations.           (
   The Agency's strategy for the
 development'of a comprehensive
 sewage sludge.management regulation
 will eventually result in the
 establishment of a separate regulation.
 Once such a regulation is in place,
 sewage sludge will be exempted from
 coverage under other sets of regulations.
 In particular" sewage sludge that
 qualifies as a  hazardous  waste will be
 exempted from this Part and Parts 262
 through 265 once this separate sewage
 sludge regulation, which  will provide an
 equivalent level of protection, is issued
•in final form.
   Pending promulgation of this
 comprehensive sewage sludge
 regulation, sewage sludge will not be
  specifically excluded from Subtitle C.
  Like any other solid waste, sewage
  sludge that exhibits any of the
  characteristics of hazardous waste
  established in this regulation must be
  managed as a hazardous waste.
    Some  commenters urged EPA to list
  sewage sludge as a hazardous waste,
  contending that it was particularly
  hazardous when used in the growing of
  food chain crops because of the
  potential plant uptake of cadmium.
  PCB's  and  other contaminants. The
  Agency has decided not to specifically
  list sewage sludge as a hazardous waste
  at this time.    .
   It is  difficult to make general '
  determinations about the hazardousness
  of sewage sludge, particularly those
  produced by POTW's. because of the
  wide variations in sludge quality. The
  makeup of a given community's sewage
  sludge, for  example, reflects the range of
  contaminants generated by the
•  industrial and commercial activities  in
  the area. The sludges of two POTW's
  will differ as much as the communities
  themselves.
   Determinations about the   .
 hazardousness of sewage sludge, must,
 therefore, involve the making of some
 distinctions between types of sludge.
 EPA anticipates that it may make such
 distinctions as part of its comprehensive
 sewage sludge management regulations.
 Thus, it is reasonable for EPA to
 determine whether categorical
 classifications of sewage sludges are
 appropriate as part of the Agency's
 effort to develop such a regulation.
   In addition it should be recognized
 that the particular hazard identified by
 the commenters, namely uptake of
 contaminants-in food-chain crops, is
 being addressed by existing regulations.
 As mentioned above, EPA has issued
 the Criteria for the Classification of
Solid Waste Disposal Facilities and
Practices  under Subtitle D of RCRA,
which place limits on the application of '
solid waste  (including sewage sludge) to
food-chain crops. In addition, it is
developing regulations covering the
distribution and marketing of sewage
sludge,  which often is used by
consumers in gardens for growing  food
crops. EPA believes that these
regulations address the commenter's
particular concern about cadmium and
PCB contamination in sludge.

E. Section 261.5 (Special Requirements
for Hazardous Waste Produced by
Small Quantity Generators)

  1. Introduction. In enacting RCRA,
Congress was responding to a problem
of unknown magnitude and dimension.
With specific reference to the generation
  of hazardous waste, the House
  Committee stated:
   One of the major problems to be a{
  in the.hazardous waste area is the laL__
  information concerning the-components.
  volumes and sources of hazardous waste. To
  date there has been no survey or other wide
  ranging investigation of the sources of
  hazardous or potentially  hazardous waste
  generation.or disposal. As a result, little is
  known about the actual volume of hazardous
  waste being generated, the geographical
 ' distribution of the generators or the extent to
  which hazardous wastes  are transported
  [H.R. Rep. at26|.               •    '

   In the proposed regulation, EPA
  recognized that the principal focus of the
.  regulatory program should be directed
  towards effectively controlling the
  hazardous waste generated by the larger
  sources of hazardous waste. The
  Agency was uncertain, however, about
  the  most appropriate manner of
  regulating generators of small quantities
.  of hazardous waste. The proposed
  regulations exempted frpm regulation
  retailers and any person who generated
 and disposed of hazardous waste in
 quantities of less than  100 kilograms in
 'any one month period,  provided that
 these generators disposed of their waste
 in a waste disposal facility meeting the'
 RCRA Section 4004 criteria or in a
 facility permitted to manage hazar?
 waste. In the preamble to the proj/
 EPA explained the rationale'for tlT
 exemption as follows:

   The principal element of this issue is how
 to balance the need to protect human health
 and the environment from the adverse impact
 of potential mismanagement of small
 quantities of hazardous waste with the need
 to hold the administrative and economic
 burden of management of these wastes under
 RCRA within reasonable and practical limits
 (43 FR 58970).

   Since the time of proposal, the Agency
has received and developed
considerable information on the issue of
the appropriate degree  and manner of
regulating small quantities of hazardous
waste. The information obtained in this
process indicates that the number.of
persons generating hazardous wastes is
staggering. There are an estimajed  '
760,000 large and small  generators of
hazardous wastes producing over 60
million tons of hazardous waste a year.
The greatest amount or these wastes
comes from very large generators,
typically large manufacturing facilities.
Just over 5 percent, or 40,000, of the total
number of generators produce more than
5000 kg/mo of hazardous wastes; yet,
these large generators produce 97.7
percent of the total quantity of
hazardous/waste. Roughly 91 percd
695,000 of the generators, produce 1^__
than 1000 kg/mo, yet contribute onlyone

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                Federal Register / Vol. 45. No.  98 /Monday. May  19. 1980 / Rules  and  Regulations
                                                                         33103
   percent or 600,000 tons per year, of the
   total hazardous waste generated. At
   levels of generation below 100 kg/mo. 74
   percent, or 563,000. of the generators
   produce only 0.23 percent; or 138.000
   tons per year of hazardous waste.
     The types of business activity
   generating small quantities of.hazardous
   waste differ markedly from those
  , generating large quantities of hazardous
   waste. In contrast to large quantity
   generators, which are almost entirely
   froni the manufacturing sector, over 89
   percent of the small generators—those
   producing hazardous waste at rates of
   less than 1000 kg/mo—are from the'non-
   manufacturing sector. These generators
   .are scattered among such diverse
   sectors as construction, special trade
   contractors (e.g'. plumbers, electricians),
   secondary schools, and local
   transportation systems. Gasoline service
   stations and automobile.repair garages '
  , (for wastes other,than waste lubricating
   oil) Comprise nearly 30 percent of these
  non-manufacturing small generators .of
  hazardous waste.
    The Agency has determined that the .
  enormous number of small generators, if
  brought entirely within the Subtitle C
  regulatory system, would far outstrip the
  limited Agency resources necessary to
  achieve effective implementation.  .
    The information developed in the
  rulemaking process has  led EPA to
  adopt, in the final regulations, a system
  which incorporates various aspects of
  the different approaches suggested in
  the preamble to the proposed rule. The
  final regulation sets low (1 to 100 kg/mo)
  quantity exclusion limits for certain
  extremely hazardous wastes: sets an
  initial general exclusion limit for
  generators of less than 1000 kg/mo of all
  other hazardous  wastes: and conditions
  this general exclusion to assure that
  excluded wastes are disposed of in
  either authorized hazardous waste
  management facilities or facilities
  approved by a State for municipal or
  industrial wastes. EPA believes the
  approach adopted will allow EPA and
  the States to.initially focus
  implementation and enforcement of the
  Subtitle C regulatory progr.am on those
  generators of hazardous waste who are
  presently producing 99 percent of all
  hazardous waste. In addition, the
 Agency will initiate rulemaking within 2
 to 5 years to. phase-in expanded Subtitle
 C coverage of small generators down to
 those generating more'than 100 kg/mo
.quantities.   '
   The final rule does not exempt
 retailers from coverage as did the  '.
 proposed regulations. In the preamble to
 Jhe proposed rule the Agency stated its-
 belief that retailers rarely generate more
 than 100 kg/mo. .However, commenters
   argued, and the^Agency agrees, that
   some retailers may generate extremely,
   hazardous wastes. Furthermore, some
   generators, such as large hardware or
   garden stores may generate substantial
   quantities of hazardous waste. To the
   extent that retailers do generate only
   very small quantities, they will be
 •  exempted by.the exclusion level
   provided in the regulations. Thus, in the
   final regulation, retailers who generate  •
   hazardous waste are subject to the same
   requirements as any other generator.
    The background document responds
   fully to the diverse and numerous
   comments received on the proposed
   exemption of generator's of small
   quantities of hazardous waste. This
 -preamble will discuss, the issue raised
  most frequently during-the-comment •
  period-T-the consideration of hazard in
  establishing quantity limitations for
  hazardous wastes-rand the rationale for
  setting an initial quantity exclusion of
  1000 kg/mo and for phasing down the
  exclusion to 100 kg/m'o.
    2. Consideration of Hazard in
 Establishing Quantity Limitations. A
 number of commenters stated that EPA
 should use consideration of hazard in
 determining the  scope of regulatory
 coverage. TWO methods were suggested:
 (1) Using quantity to define hazardous
 waste pursuant to Section 1005(5) of
 RCRA. i.e.,.determining the level for
 each waste below which it does not
 pose a substantial hazard to human
 health arid the environment when
 improperly managed; or, (2) considering
• the degree of hazard presented by a
 particular waste to establish,different
 levels^r types of controls: Although
 both approaches are attractive, the  . ,
 Agency lacks at present  the ability to
 use either approach in any extensive
 fashion, and therefore has had to adopt
 a general exclusion level.
   3. Using Quantity to Determine That a
 Waste is Hazardous. The Agency
 considered whether the small quantity
 issue could be addressed through
 consideration of quantity in the        •
 definition of hazardous waste.
 Specifically, the Agency considered
 whether small quantity exclusion limits
 could be established by defining de
 minimis quantities below>which a waste
 would not be hazardous under the
 statutory definition in Section 1005(5) of
 RCRA, i.e., below which no substantial   •
 hazard to human  health and the
 environment exists under conditions of
 improper management. However, the  :
 Agency has not been able to find a way '
 of determining de /n/ni/n/s quantities.
 To do so would require knowledge not  '
 only about the intrinsic properties of a
 waste but also about the possible
  exposures that .attend various small
  quantities of waste under various.
  plausible scenarios of waste,
  mismanagement. Such exposure  "
  assessments require consideration of
  waste properties, numerous site-specific
  conditions, and alternative management-
  scenarios. For example, the levels of
 'exposure and hazard which could result i
  from leaching of toxic Constituents from
  a particular hazardous sludge in a
  landfill would  depend on factors such as
  the persistence of the waste, site;      ;
  hjfdrogeology,  depth to the groundwateh
  the attenuation of the constituent in the
  underground environment (including  .
  degradation of the constituent and its
  dilution in the groundwater), and'the  .
  location of persons using the
  groundwater; The problem is made more
  complex by the fact that many wastes,
  may be .managed in several alternative
  ways, such as land disposal, treatment.'
  or incineration, and each of these types
  of management exhibits different
  exposure and risk patterns..
    Given Current knowledge and
  information, these assessments cannot
  be made for most wastes with sufficient
  precision to determine the specific
  quantities which represent a threshold '
  for finding a waste hazardous.
  Therefore, the Agency has not been able'
  to establish de minimis quantities for    .
  defining hazardous .wastes. The Agency
  must therefore consider all quantities of
  any waste listed or identified in Part 261 .
  to, be hazardous.              .
   4. Inability of the Agency,to Use
 Degree of Hazard. Because the Agency
 was unable to use quantity.in
 determining  whether a waste is
 hazardous,.!! considered using degree of
• hazard in determining  the appropriate
 quantity exclusion level. Commenters
 heavily supported establishing exclusion .
 limits based  on degree of .hazard of
 various wastes.  These suggestions were
 part of a broader set of comments which
 recommended that the Agency establish
 a degree of hazard system that placed
 wastes into two or more levels of-hazard-
 depending on the risk that those wastes
 present to public health and the
 environment. Commenters argued that
 such a system could be used as a basis
 for.phasing regulatory coverage.
 tailoring waste management standards,
 and establishing small quantity  ..
exclusion levels.
 • The Agency's response to the full
scope of the degree of hazard proposals
is included in the preamble to the Part
264 and 265 regulations being
promulgated today* As  explained there,  ,
the Agency has not adopted a degree of
hazard system in the final regulations.
Among other reasons, the Agency

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  33104       Federal Register /Vol.  45. No. 98 / Monday. May 19.  1980 / Rules and Regulations
  concluded that none of the degree of
  hazard systems suggested by
  commenters, nor any it could itself
  conceive, is capable of comprehensively
  distinguishing different degrees of
  hazard among the myriad of hazardous
  wastes without application of very
  subjective judgment. This precluded
  establishing small quantity exemptions
  based on a hierarchy of hazard levels.
    While the Agency has not found it
  possible to establish a comprehensive
  hazard ranking system, the Agency has
  attempted on a limited basis to make
  hazard distinctions in establishing small
  quantity .cutoffs. The Agency has
  established very low exclusion limits for
  certain very acutely toxic or otherwise
  hazardous chemical products (if
  discarded), off-specification derivatives
  of those products, and the product
  containers and spill residues. The
  Agency may in the future establish
  specific (low) exclusion limits for other
  highly hazardous wastes on a case-by- •
  case basis.
    5. Limited Administrative Resources
  Require Setting the Initial Exclusion
  Level at 1OOO kg/mo. EPA has decided to
  adopt for  the present time, a general
  exclusion level of 1000 kg/mo. The
  Agency's basis for this decision is the
  current lack of sufficient administrative
  resources to allow the Agency and the
  States to effectively regulate all
  hazardous waste. Given that resource
  constraint, the Agency believes that the
  overall level of environmental
* protection which can be provided will
  be greater if the Agency focuses'
  available resources on fully regulating
  wastes from large generators during the
  early years of regulation implementation
  rather than expanding the scope of
  regulatory coverage and achieving
  ineffectual implementation of a more
  ambitious program.
   The primary reason for selecting 1000
  kg/mo, i.e., the administrative
 impossibility of implementing at lower
 'levels,  deserves some elaboration. As
  noted earlier, regulation of all
  generators of hazardous waste would
  bring 760,000 persons into the regulatory
  system. Regulating only those persons
  who generate more than 100 kg/mo
  would exclude from the program 560,000
  generators, 73.9 percent of the total. If
  the exclusion level were set at 1000 kg/
 mo, 695.000 generators or 91.2 percent
 would be excluded from regulation. At a
 5000 kg/mo level, 722,000 generators or
 94.7 percent would be excluded.
   In 1981,  the first full  year of
 implementing the Subtitle C controls,
 analyses of Agency and State workload
 requirements and available resources to
 implement the Subtitle C controls
 indicate that, if all generators were fully
 regulated, workload requirements would
 exceed resources available by 1100 to
 1200 workyears. If generators of less
 than 100 kg/mo quantities were
 exempted from full regulation, the
 shortfall would be much less, but still a
 substantial 200 to 300 workyears.   .	.
 However, if generators of less than 1000
 kg/mo quantities are exempted, the  .
 shortfall is projected to  be less than 100
 workyears, about 5 percent of the total
 workload requirements.
   The resource constraints and
 shortfalls have direct significance for ,
 the operation of the entire regulatory
 program.  To expand the coverage to
 smaller generators would require direct
 sacrifices from other elements of the
 program, most notably regulation and
 enforcement of large generators.
 permitting of treatment,  storage and
 disposal facilities, and enforcement and-
 inspection of these facilities.
 Furthermore, with greater resource
 demands  and projected shortfalls,
 greater difficulties are Likely in the
 ability of States to obtain authorization
 to administer the program in lieu of the
 Federal government.
   Given the enormity of the,.
 implementation task and the limited
 administrative resources. EPA has been  .
 forced to make difficult allocation
 decisions. Expanding the coverage of
 generators would entail  direct sacrifices
 from other essential program
 components. The determination of the
 proper exclusion level in the final
 regulation represents a complicated
 balancing of a variety of factors. The
 decision reflects a judgment by the
 Agency that the overall environmental
 objectives will be best served by
 selecting a level which promises full and
 effective implementation of all elements
 of the program rather than one that
 promises ineffective implementation of a
 more ambitious program.
  Accordingly. EPA has  decided to
 establish for the present time a
 conditioned exclusion of hazardous
 wastes from generators who produce
 less than 1000 kilograms a month. This
 level will enable EPA to  direct its
 attention to the effective regulation of 99
 percent of the total wastes generated,
 and will entail only insignificant, if any,
 sacrifices  in the task of issuing permits
 to hazardous waste management
facilities.
  In addition, the exclusion is not
 unqualified; generators of small
quantities of hazardous waste must
ensure that their wastes go to facilities
that are approved by the State to handle
municipal  or industrial wastes. For most
of .these facilities the commingling of
small quantities of hazardous waste
with large quantities  of non-hazardous
 waste is likely to minimize
 environmental problems attribute
 the hazardous waste, particular!
' dilution levels at a 1000 kg
 generally at least 100 to 1. Importantly,
 this Approach will give. State agencies
 more flexibility in dealing with small
 quantity generators. If a State
 determines that certain-typessof
 exempted hazardous waste should not
 be managed in a particular non- ,
 hazardous facility, it can.deal with that
 situation directly.       '
   The Agency considered other types of
 reduced administrative or technical
 requirements for exempted generators,
 including various 'subsets of, the full
 Subtitle C requirements. A limited
 number of commenters suggested
 particular reduced requirements which
 they felt would provide limited but
 necessary controls. The Agency's
 analysis of various reduced Subtitle C
 requirements indicated that they would
 either provide an insignificant level of -
 additional control, or that they would
 not substantially reduce the
 administrative burden of the  full Subtitle
.C requirements. Thus, the Agency
 decided to impose only the condition
 stated above.
   6. Phasing Down the Coverage of .-
 Small Quantity Generators. On th|
 basis of information presently avi'
 to the Agency, it appears that, a  ^
 exclusion level of 100 kg/mo woulc
 better achieve the environmental
 protection objectives of Subtitle C.
 Therefore, EPA intends to initiate
 rulemaking within 2 to 5 years to expand
 Subtitle C coverage down to generators
 of 100 kg/mo. During this process, the
 Agency will consider the need for any
 special regulatory requirements to deal
 with a'ny unique problems associated
 with these wastes.
  A number of commenters argued that
 phasing regulatory coverage of small •  ,
generators would significantly benefit
 the administration of the hazardous
waste management program. The
Agency believes that because of limited
resources, the Agency must phase its
regulation of small generators .to be able
to fully implement the Subtitle C
controls on large generators,
transporters, and waste management
facilities.            ,
  7. Environmental Considerations. The
information that the Agency was able to
develop on the environmental'impacts of
different quantity cutoff levels was not
fully conclusive. However, the data
indicate that an exclusion level of 100
kg/mo, coupled with lower exclus
for certain highly hazardous wastl
disposal, of excluded waste in Sub?
or State, approved facilities will, in most
ol 100


nbHR

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                 Federal  Register./ Vol. 45. No.  98 /Monday. May 19.  1980 / Rules: and Regulations
                                                                           33305
    cases, minimize adverse,impacts on
    human health and the environment.
     The review of damage cases tends to
    support a 100 kg/mo exclusion level.  •
    First, there were very few damage cases
  .  involving quantities below that level.   :
  •  Second, those few cases involved
    indiscriminate dumping rather than
    disposal in managed facilities. This
    suggested that disposal of quantities less
    than 100 kilograms in a managed facility
   might provide sufficient environmental
  "protection, even if the managed facility
   was not authorized to handle hazardous
   waste. Of the 11 damage incidents
   involving the disposal of less than 1000
   kg quantities of hazardous waste in .
   managed facilities the environmental
   damage or personal injury occurred in
   nine of the incidents because of
  mismanagement of single containers.
  i.e., 55 gallon drums of ignitable,
  corrosive or reactive materials. Setting
  the exclusion level at 100 kg/mo would  .
  in most cases ensure that single, full
  drums would be properly packaged and
  labeled, manifested arid sent to Subtitle
,  C facilities. A higher exclusion level
  would hot.provide  this assurance.
    Wastes generated by small quantity
  generators at the 100 kg/mo exclusion
  level comprise only 0.23 percent of all
  hazardous waste. The environmental
  analysis showed that these small '
  generator hazardous wastes are
  typically mixed by  ihe generator with
  non-hazardous wastes and subsequently
  disposed of in waste management   -
  facilities for municipal waste. If these "
  mixed wastes were evenly distributed to
  such facilities, the dilution ratio of non-
  hazardous to hazardous waste would be
  roughly 900 to 1 at a 100 kg/mo
  exclusion limit.                       ,
    Although even distribution will not
  occur. EPA believes that very large
.  dilution ratios will result in most
  situations with a 100 kg/mo exclusion   .
  level. This is because 92 percent of the
  small generators (producing less than  -
 100 kg/mo) are in the non-manufacturing
 sector and are distributed in reasonable
 proportion to  population and. therefore.
mreasonable proportion to quantities of
 diluting non-hazardous municipal   '
 wastes. The effect of even distribution
and high dilution is to spread and,
thereby, minimize exposure and risk.«
Although this  effect cannot be assessed
with great precision, it is not
unreasonable  to assume that'human
health exposure and  risk is significantly :
reduced at dilution ratios of several '
hundred to 1.
  .8. Resource  Considerations. Projecting
administrative resources into the future
is inherently speculative, requiring     ' '
various  assumptions  and estimates of
State and Agency budgets., and
    implementation workloads. The Agency
  <• studies assumed constant budgets, and"
    predicted the administrative shortfall to
    become .exacerbated, rather than
    reduced over time. Other projections,
    presented in the background documen't
    for small generators, also suggest some
    resource  difficulties in phasing-in the
    coverage of small generators, but these
    projections show that the resource
    picture may improve over time. The   [
  •  Agency, however, believes it is
    appropriate to expand its regulatdry
    coverage  of small quantity generators,  '
   land will be seeking the budgetary
    increases necessary to accomplish that .
    phasing. Additionally, once the
  ^ regulatory apparatus is in place and
    operating, the Agency will be able to
    reassess the ability to achieve, mora
    Comprehensive coverage by means of
    allocating its  resources differently than
    presently  projected.

   F. Section 261.6 (Special Requirements
   for Hazardous Waste Which Is Used.
   Re-used. Recycled or Reclaimed)  :
     This section sets forth the
   applicability of the Subtitle C   .
   regulations,to the storage and
   transportation of hazardous waste
   sludges and hazardous wasies listed in
   Subpart  D  that are used, re-used.
   recycled or reclaimed. It also provides
  for the exclusion from regulation of all
  other aspects of the use. re-use.
  recycling or reclamation of hazardous
  waste until EPA promulgates regulations
  to the contrary. The content of and
  rulemaking considerations that went
  into this  section are fully discussed in
  Section IV. B. of this preamble.
  V; Subpart  B—Criteria for Identifying  .
  Characteristics of Hazardous Waste and
  for Listing Hazardous Waste
  ,A. Section 261.10 (Criteria for
  Identifying the Characteristics of
  Hazardous Wastes]    •
    Section 3001 of the Act requires EPA
  to develop and promulgate criteria for
  identifying the characteristics of
 •hazardous waste,The proposed
  regulations identified two such criteria.
  The first .criterion was that the
  characteristic be capable of being
 -defined in.terms of physical, chemical or
  other properties'which cause  the waste
  to meet the definition of hazardous
  waste.in the Act. This criterion
  embodied the simple but fundamental
  notion that a characteristic of hazardous
  waste must be one which causes the
•  waste to,be a hazardous, waste within
  the meaining of the statutory definition.
 The second criterion was that the
 properties defining the characteristic be
 measurable by standardized and . -  -  •
   available testing protocols. EPA adopted
   this second criterion-in recognition tha.t
   tKe primary responsibility for
   determining whether wastes exhibit the
   characteristics-rests with gene/ators.it
   believed that unless generators were
.   provided with widely available and
,   uncomplicated test metriods for
   determining whether their wastes
   exhibited the  characteristics, the system
   would prove unworkable. Largely in
   reliance on this second criterion."EPA
  -refrained from adding organic toxicity,
   carcihogenicity. mutagenicity,
  . terafogenicity. bioaccumulation .
   potential-and  phytotoxicity'to the set of
   proposed characteristics-and instead left
   it  to listing mechanism to capture  -
-   wastes exhibiting these properties. EPA  "
   considered the available test protocols
   for measuring  these characteristics to''be .
   either insufficiently-developed or too
   complex and too highly dependent on '
   the use of skilled personnel and special
   equipment. Additionally, given the'
   current state of the knowledge
   concerning such properties, EPA' did not
   feel that ii'cbuld define with any
  confidence the, numerical threshold level
  at  which wastes exhibiting these    '
  characteristics would present a
.  substantial hazard. Furthermore, it
  questioned whether these tests
  sufficiently took into account the
  multiple factors which bore on  the
  question of the hazardousness of such
  wastes.   .
   EPA received a few comment's on its
  proposed criteria for identifying
  characteristics, the most significant of
  which addressed the appropriate use of
  the identified characteristics. A number '
  of commenters  contended that EPA did
  not have authority to require generators
  to assess their wastes in accordance
  with the characteristics. These
  commenters were generally'concerned
'about the-burden placed on generators
 by such a requirement and argued that
 the  characteristics should only be used •
 by the Agency in listing hazardous
 wastes. Other commenters believed that
 EPA was fully justified  in requiring  •
generators'to assess their wastes in
accordance with the identified
characteristics and felt  that this  would
assure the broadest possible coverage
for hazardous wastes.
   EPA disagrees with those commenters
.who argue that EPA has no authority to
require generators io determine if their
wastes exhibit any of the
characteristics. Throughout the statute.
Congress made reference to two
alternative mechanisms for bringing a
waste into the hazardous waste        .  -
system—identification through
characteristics, and listing. If Congress

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   33106       Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Rules and  Regulations
   had intended the identified
   characteristics to be used solely by EPA
   in listing wastes, then there would have
   been no point in making a distinction
   between these two mechanisms.
•  Consequently, since the determination
   of whether a waste exhibits the
   characteristics appears to require some
   action by someone other than EPA, the
   most reasonable interpretation of the
   statutory language is that it requires
   generators to assess their wastes in
   accordance with the EPA-identified •
   characteristics. This interpretation of
   the statutory language is substantially
   reinforced by  the provision in Section
   3002(4) that generators may be req'irired
   to furnish information on the general
   chemical composition of their waste—a
   requirement which presumes testing.
    The final regulation makes a few
   slight changes in the language of the    '
   criteria for identifying characteristics in
   an  attempt to clarify the meaning of the
   regulation and better reflect EPA's
   regulatory intent. First. EPA has omitted
   reference to damage incidents and
   scientific and technical information as
   bases for identifying characteristics, out
'  of a conviction that this reference is
   unnecessary and in partial agreement
  with those who argued that damage
  incidents should not be heavily relied on
  in identifying characteristics. Second.
  EPA has omitted the redundant phrase
  "can be defined in terms of specific.
  physical, chemical, toxic, infectious, or
  other properties of a solid waste." Third,
  EPA has expanded the criterion of
  "raeasurability" to make clear that any
  test for measuring characteristics must
  be within the capability of the generator
  community and to .provide that
  characteristics such as reactivity need .
  not be accompanied by a testing
  protocol if the characteristic can be
  "reasonably detected by generators . . .
  through their knowledge of the waste."
  B. Section 2Bl.ll (Criteria for Listing
  Hazardous Waste}
   In the proposed regulation. EPA
  specified two criteria for listing
  hazardous waste. The first criterion was
  that the waste posses's one or more of
  the identified characteristics. The
  second criterion was that the waste
  meet the definition of hazardous waste
  found in Section 1004(5) of the Act.
   The first criterion to a large extent  "
  reflected EPA's regulatory strategy at
  the time of the proposal. Under that
  strategy. EPA planned to identify and
  quantitatively define all of the
  characteristics of hazardous waste,
 including organic toxicity,
 carcinogenicity, mutagenicity,
  teratogenicity, bioaccumulation
 potential and phytotoxicity. Generators
  would be required to assess their wastes
  in accordance with these characteristics
  and EPA would list hazardous wastes
  where it had data indicating the wastes
  exhibited one of the identified
  characteristics. Listing would thus play
  a largely supplementary function and.
  would serve as a device for injecting
•  certainty into the process of hazardous
  waste determination. As noted above, •
  however, EPA has found it impossible to
  fully effectuate this- strategy because of
  the lack of suitably uncomplicated test
  protocols, the-difficulty of establishing
  numerical, hazardous threshold levejs for
  these additional characteristics, and the
  failure of the available test protocols to
  fully incorporate all of the multiple
  factors bearing on the hazards presented
  by such characteristics.
    The second criterion was adopted
  against the backdrop of this inability to
  capture all  hazardous wastes through
  identified characteristics, and was
  intended to give the Agency an
  independent basis for capturing such
  wastes. Although this proposed criterion
  was admittedly somewhat general in
 nature, it implicitly incorporated the
 more specific criteria embodied in the
 deliflting requirements and the waste
 codes which accompanied each listing—
 provisions which made it clear that EPA
 was specifically concerned with
 radioactive, mutagenic,
 bioaccumulative, toxic organic and
 infectious wastes. Thus/although EPA
 appeared to have prescribed for itself a
 very broad and inexact listing standard
 in the proposed regulation, in actuality
 the Agency  followed a fairly
 particularized set of criteria in listing
 wastes.
  EPA received a large number of
 comments in response to its proposed
 criteria for listing. None of these
 commenters objected to EPA's first',
 criterion for listing wastes that exhibit
one of the characteristics. A large
number of commenters, however,
objected to the second criterion. Many
of these commenters felt that the mere
articulation of the statutory definition as
the basis for listing was circular and
'constituted an abrogation of EPA's
statutory duty-to establish criteria for
listing which expand upon the statutory
defir'tion. Others argued  that the
second criterion was inappropriate
because it failed to take into
consideration such things as
concentration, degradation potential
and bioaccumulation potential—factors
which are specifically mentioned by the
Act.
  EPA agrees that the proposed
criterion for listing wastes which do not
exhibit any of the characteristics was as
  a general matter, too broad.
  Accordingly, we have promulgate
  considerably expanded and mori
 ' specific set of criteria to take the*
  of the proposed criterion. These criteria
  are broken down into two categories-
  criteria for listing acutely hazardous
  waste and criteria for listing toxic
  waste.
    The criteria for listing acutely
  hazardous.waste are intended by EPA to
  serve as the criteria for identifying
  wastes which are so hazardous that -
  they can be said to meet part (A) of the
  statutory definition of hazardous
  waste—i.e., wastes which may "cause,
  or significantly contribute to an increase
  in serious irreversible, or incapacitating
  reversible, illness", regardless of how
  they are managed. It is EPA's conviction
  that most wastes are hazardous only
  because they "pose a substantial
  present or potential hazard to human
  health or the environment when
  improperly managea" and  thus meet
  part (B) of the statutory definition of
  hazardous waste. Nevertheless, EPA
  recognizes  that there are wastes which
  are so acutely hazardous that they can
  be considered to present a  substantial
 hazard whether improperly managed or
 not. EPA has defined this category of
 wastes to include those which have..
 been shown to be fatal to humansfi
 doses or have been shown in
 mammalian studies to have an oral „„
 50 toxicity of less than 50 milligrams per
 kilogram, (as determined.using rats), an
 inhalation LC 50 toxicity of less than
 2000 milligrams per cubic metet(as
 determined using rats), or a dermal r.rf
 50 toxicity of less than 200 milligrams
 per kilogram (as determined using
 rabbits). Numerous government agencies
 and private organizations, including the
 Department of Transportation, the
 Consumer Product Safety Commission
 and the National Academy of Sciences,
 recognize that substances exhibiting
 theseJJD 50 and LC 50 toxicities are so
 potentially lethal as to be considered
 poisonous or acutely toxic. EPA has also
 defined this category of wastes to
 include wastes, such as explosives,
 which otherwise meet part (A) of the
 statutory definition of hazardous waste.
 This has been done  in recognition that
 wastes may be acutely hazardous even
 if they are not toxic. Inasmuch as a
 waste will meet the  acutely hazardous
 criteria only when the whole waste,
 rather than just its constituents, presents
 an acute hazard, EPA has employed and
 intends to employ these criteria,
primarily to  list the discarded pure,,
chemical substances and associate
materials specified in § 261.33.1	^^
recognizes, however, that there may be

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                         Register / Vol. 45. No.  98 / Monday. May 19. 1980 /  Rules and
                                                                                                                  33W?
    wastes such as wastes containing
    substantial concentrations of potent
    carcinogens which meet these criteria
    even though they are not pure
    substances.        -
     The criteria for listing toxic wastes
•    are intended by.EPA to identify all those
    wastes which are toxic, carcinogenic,  >
   mutagenic, teratogenic, phytotoxic, or
   toxic, to aquatic species. These criteria
   provide that .a waste will be listed
   where it contains any of a number of '
   designated toxic constituents—unless,
   after consideration of certain specified
.   factors, EPA concludes that the waste
   does not meet part (B) of the statutory   .
   definition of hazardous waste. As in the
   proposed regulation, the ultimate
-  requirement for listing a waste as'  '•-
   hazardous is whether it meets the
   definition of hazardous waste found in
   the Act. Unlike the proposed regulation,
   however, the final criteria significantly
   channel the route the Agency must
   follow in determining whether a waste
   meets the statutory definition. The first
   inquiry, which must be made under the
   final criteria is whether the waste   •
  contains  any of the toxic constituents
  listed in Appendix VIII. These
  constituents are ones which have been
  shown in reputable scientific studies to
  have toxic,  carcinogenic, mutagenic or
  teratogenic effects on humans or other
  life forms and include such substances
  as those identified by the Agency's  -
  Carcinogen Assessment Group.
  Consequently, the presence of any of
  these constituents in the waste is
  presumed to be sufficient to list the
  waste unless after consideration of the
  designated multiple factors, EPA
  concludes the waste is not hazardous.
 These multiple factors include the type
 of toxic threat posed, the concentrations
 of the toxic constituents in the waste. "
 the migration potential,, persistence and
 degradation potential of the toxic    '
 constituents, the degree to which the
 toxic constituents bioaccumulate in
 ecosystems,  the plausible types of
 improper management to which the
 waste could  be subjected, the quantities
 of waste generated, and other factors  •
 not explicitly designated by the'Act.
 including damage incidents involving
 wastes containing the toxic constituents
 and actions taken by other
governmental agencies with respect to
the waste or  its toxic constituents.
   EPA has adopted this flexible,
multiple factor approach to listing rather
than the formulaic approach embodied
in the characteristics because it
considers this approach to be better able
to accommodate itself to complex  .
determinations of hazard. EPA further
believes that  this multiple factor
    approach was to some extent
    contemplated by Congress. Most of the
    factors selected are specifically
    mentioned in Section 3001 of the Act. •
  ' Additionally, the report which
   .accompanied the .Senate bill provided
    that at a minimum, the Administrator
    should designate as hazardous each
    mixture of solid waste which, contained
    a toxic or hazardous substance listed in
  .  section ilZof ths Clean Air Act or
 '   section 307(a) and section 311(b) of the
    Clean Water Act unless 'he,determined
    that the waste did not meet the criteria
   for identifying  hazardous wastes. Senate
 /  Report^-988. 94th Cong., 2d Sess.'at 14.
 _ Thus the Senate bill, like EPA's final
   regulations, envisioned a presumption in
   favor of listing based on the presence of
   a toxic constituent in the waste which is
   rebuttable by a consideration of further
   factors. Although the Senate version of
   the bill was not adopted, the concept
   embodied therein was not specifically
   rejected in the final statute, providing
  some further basis for concluding that
  EPA's approach for listing toxic wastes
  reflects congressional intent.
    As can be seen from the above
  discussion, the final criteria for listing
  reflect a change in emphasis in the
  Agency's regulatory strategy. EPA is hot
  fully confident that it can suitably define
  and construct testing protocols for the
- .characteristics of organic tqxicity.
  carcinogenicity. mutagenicity.
  teratogemcity.-bioaccumulation
  potential, phytotoxicity, radioactivity
  and infectiousness, and is consequently
  relying on the listing mechanism to bring
  wastes exhibiting these properties into
  the system. One negative aspect of this
 change in approach is that it shifts to .
 EPA the primary burden, for identifying.:
 analyzing and evaluating these wastes ,
. with the result that it may take longer to
 achieve full regulatory coverage. This
 negative aspect is  substantially offset.
 however, by the  greater flexibility and
 assurance which the listing approach
 provides, especially when accompanied
 by the delisting procedure. ,
   A notable difference between the
.approach embodied in the
 characteristics and the approach
 embodied in the criteria for listing is
 that EPA attaches less emphasis to
 waste constituent migration and
 subsequent environmental fate in the
 listing mechanism than in the
 characteristics. This is nowhere better
 demonstrated than in the listing of-
 waste which contain primary drinking
 water standards contaminants. In listing
 wastes which contain primary drinking
 water standards contaminants EPA has
 elected to focus, .in  the first instance,  on
 the actual presence of the  toxic
  . constituent in the waste and to treat
   other factors such as migration potential
   as essentially mitigating considerations
   which might render the waste non-
   hazardous. EPA feels justified in
   concentrating primarily on the
   composition of the waste, because the
   listing meqlianism allows for a more
   individualized consideration of hazard
   and because the delisting procedure
   affords generators an opportunity to '
   demonstrate, through reliance on the
   specified factors, that their waste is not
   in fact hazardous. In the case of wastes
  exhibiting the characteristic of EP
  toxicity, on the other hand, there is no
  opportunity to make such a          ' '
  demonstration—since the test
  prescribed in the characteristic., '
  constitutes a  final determination of
  hazard.-Consequently, out of concern
  that the characteristic not be
  overinclusive. EPA has placed
  somewhat greater emphasis  on
  migration potential and has rigorously
  incorporated this .consideration into the
 'EPtest.                     • •   -
  .  As noted in section III A3. of this
  preamble, EPA intends,to supplement
  the listing criteria to allow listing of
  radioactive and infectious wastes. We '
  are deferring promulgation of the criteria
  for listing radioactive wastes because
  we want to wait untilCongress has
  spoken on this issue and because
  deferral will give EPA more time to
  refine its standards for listing,these
  wastes and to coordinate these
.  standards" with the regulations      '  "
  governing used, re-used recovered, and
  reclaimed wastes. We are similarly
  deferring promulgation of the criteria for,
  listing infectious wastes because we
 •have not finished  developing the
 treatment standards applicable to-such
 wastes.
   A few clarifying changes have b'eeh •'
 added to the final regulation. First, the
 regulation provides that EPA may list
: classes or types of wastes if it has    •
 reason to believe that all wastes within
 the class or type typically or frequently
 are hazardous. Second, the regulation '
 provides that the criteria for listing will
 be used  to establish the exclusion limits
 for acutely toxic wastes generated by     ,
small generators. These exclusion limits
are referred to in § 261.5(c).  ,

VI. Subpart C—Characteristics of
Hazardous Waste

A. Section 261.20— General

  This section is largely self-   •
explanatory. It states that.a solid waste
is a hazardous waste'if it exhibits any of
the characteristics  of. hazardous waste,
explains the assignment of EPA
Hazardous Waste Numbers, and

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  33108       Federal Register /  Vol.  45. No. 98 / Monday. May 19.  1980 / Rules and Regulations
  explains the method for obtaining a
  representative sample in testing for
  characteristics. Rather than specifying
  particular procedures to be used in
  obtaining representative samples. EPA
  is simply requiring the regulated
  community to obtain samples which
  meet the definition of representative
  sample found in Part 260 of the
  regulations. To provide some guidance
  concerning compliance with this
  requirement. EPA will consider any
  sample obtained using the sampling
  methods indexed in Appendix  I to be a
  representative sample within the •
  meaning of the Part 280 definition. Since.
  however, these sampling methods are ,
  not being officially required by EPA
  anyone desiring to use a different
  sampling method may do so without
  demonstrating the equivalency of that
  method under the procedures set forth in
  § 200.21.

  B. Section 261.21 (Characteristic of  •
  Ignitability)
   In the proposed regulation. EPA
  defined ignitable waste to include the   •
  following: (1) Liquids having a flashpoint
  of less than 140' F (60' C) (2) non-liquids
  liable to cause fires through friction.
  absorption of moisture, spontaneous
 chemical change or retained heat from
 manufacturing or liable, when ignited, to
 burn so vigorously and persistently as to
 create a hazard (3) ignitable compressed
 gases and (4) oxidizcrs.
   EPA's objective was to identify
 wastes capable of causing fires  during
 routine transportation, storage and
 disposal and wastes capable of severely
 exacerbating a fire once started. Such
 fires, EPA recognized, pose a particular
 danger to transportation and disposal
 personnel and also threaten the general
 public by generating toxic fumes and
 creating convection currents which
 transport toxic particulates to the
 surrounding area. EPA adopted  the
 Department of Transportation's
 definitions of ignitable compressed gas
 and oxidizer and borrowed heavily from
 the Department of Transportation's
 definition of non-liquid ignitable
 because it believed these definitions
 adequately reflected routine waste
 management conditions. At the same
 time, it chose a flashpoint limit for
 ignitable liquid wastes different  from
 that specified by the Department of
Transportation's "flammable" liquid
category because it believed that the
flashpoint limit specified by the
Department of Transportation did not
fully reflect conditions likely to be '
encountered during routine waste
management.
  A large number of commenters argued
that EPA should adopt the Department
   of Transportation's 100" F flashpoint for
   flammable liquids. These commenters
   arsued that EPA's adoption of a
   different flashpoint limit from the
   Department of Transportation is not
   justified by conditions likely to be
   encountered during waste management
   and will create undue confusion in the
   regulated community.
    The Agency disagrees with these
   commenters. A number of EPA studies
   reveal that ambient temperatures of 140°
   F are  regularly encountered during
   landfill disposal.-In such environments,
   liquid wastes with flashpoints lower
   than 140° F will-readily volatilize and  .
  can be easily  ignited by the numerous
  ignition sources to which wastes are
 . exposed during management. The need
  to regulate such wastes is borne out by
  an early Department of Transportation
  study  which recommended that the
  Department of Transportation adopt a
 , flashpoint limit of 140° F for flammable
 •liquids because temperatures of this
  order can be encountered during
  transportation. The commenters who
  argue  that EPA's 140°  F flashpoint limit
  is not justified by waste management
  conditions forget that, through the
  creation of its  "combustible liquid"
 category, the Department of          *
 Transportation regulates liquids with
 flashpoints of  up to 200° F—a tacit
 acknowledgement that EPA's 140' F
 flashpoint is well within the sphere of
 potential concern.
   EPA does not believe that its ignitable
 liquids category will create undue
 confusion in the regulated community.
• The term "ignitable" was specifically
 chosen to eliminate confusion between
 EPA's "ignitable" liquids category and
 the Department of Transportation's
 "flammable" liquids category.
 Furthermore, EPA's ignitable liquids
 category is one with which the regulated
 community should  already be familiar
 since it encompasses Class I and Class
 II liquids in the National Fire Protection
 Association's classification scheme.
 While EPA believes that maintaining
 .consistency between its definitions of
 hazard and those of the Department of
 Transportation is a desirable goal, it
 does not believe that such consistency
 should  be achieved at the expense at
 human  health and environmental
 protection.
   A number of commenters argued that
'the 140° F flashpoint for liquids
 improperly included many liquid wastes
 such as wine and some latex paints
 which exhibit low flashpoints because
 of their alcohol content but do not
 sustain combustion because of the high
 percentage of water present.
   EPA agrees that such wastes should
 not be designated as hazardous, but
   unfortunately has no data on hand
   which-identifies the correlation^te»en
 •  the concentration of alcohol in^^lk
   wastes and the established flus^^B: of
   140; F. Accordingly, it has for the^Sne
   being opted to follow the Department of
 .  Transportation's  lead and exclude from
 .  i.ts ignitable liquids category aqueous
   solutions containing less than 24 percent
   of alcohol by volume. This exclusion
   will remove from the ignifability
   characteristic liquid wastes which the
   Agency knows may flash but not sustain
   combustion. In the meantime, EPA.  -
   hopes to undertake further study to
   determine whether another exclusion
   limit is more appropriate and to
 .  evaluate tests which might be capable of
 •  identifying wastes which exhibit this
   phenomenon.  -
     Many commenters argued  that'the
   proposed definition of solid ignitable
   wastes was too vague and that a testing
   protocol was needed to provide proper
   guidance. A number of these
   commenters took  particular issue with
   the phrase ".  . . or vVhen ignited burns
   so vigorously and persistently as to
   create a hazard during its management
  . . ." which they felt could be construed
   to include such non-hazardous materials
  as bark, wood chips, wastepaper,
  sawdust, corrugated boxes, etc.
    EPA agrees that the proposed
  definition of solid ignitable wasL
  perhaps imprecise and could  stal,,
  clarification. It has no intention of
  designating such things as wastepaper
  and sawdust to be hazardous and is
  only interested in capturing the  small  '
  class of thermally unstable solids which
  are liable to cause fires through friction,
  absorption of moisture or spontaneous
  chemical changes. 'Accordingly, to
  eliminate any misunderstanding, we
- have changed the definition of ignitable
  solid to read ". . . and when ignited
  burns so vigorously and persistently that
  it creates a hazard."
    Although EPA would have preferred
 providing a test method for identifying
 ignitable solids, it has determined, after
 diligent inquiry, that there are no'test
 •methods capable of accurately
 identifying the small class of ignitable
 solids to  which its  regulation is directed.
 EPA is presently working with the
 Department of Transportation and other
 organizations to correct this deficiency.
 In the meantime, the absence of a test
 should not cause too much of a problem
 since generators of thermally unstable
 solids,  like generators of reactive
 wastes, are likely to be aware that their
 waste exhibits this property.
   A number of commenters arguecMwt
 EPA improperly included in its  ^^l|
 definition of ignitable solids, viaim^f
 such as slags which are liable  to caSe

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FedetelRegister / Vol. 45. No. 98 / Monday. May. 19. 1930 /Rules and
                                                                                                 332O9
     fires through "retained heat from
     manufacturing or processing."
       EPA agrees that these wastes shpuld
     not be designated as'hazardous and has
     accordingly deleted the phrase "or  '
   '  retained heat from manufacturing or
     processing".from the definition of
     ignitable solids. EPA was originally
     concerned/that wastes such as slags, if
     placed in a landfill, qould present a
     hazard by raising the temperature of
     other wastes to' their flashpoints. It is
     now convinced that the likelihood of
     such high volume wastes being placed in
     a landfill is sufficiently small as not to
   •  warrant .their regulation.

    C. Section 2&1.22 (Characteristic of
    Corrosivity)     ..••"••

      In the proposed regulation, EPA   r
    defined corrosive wastes to include (1)
    aqueous wastes exhibiting a-p'H of less
    than or equal to 3 or greater than or
    equal to 12 and (2) liquid wastes capable
    or corroding steel at a rate greater than
    0.250 inches per year. This definition
   • attempted .to address the various
   .hazards presented by corrosive wastes.
    EPA chose pH as one barometer of
    corrosivity because wastes exhibiting
    low or high pH can cause harm to
    human tissue, promote the migration of
    toxic contaminants from other wastes,
   react dangerously with other wastes.
   and harm aquatic life. FPA chose metal
   corrosion rate as its other barometer of
   corrosivity because wastes capable of.
•   corroding metal can escape from, the
   containers in which they are segregated
   and liberate other wastes.
     A majority of commenters argued that
   the proposed pH limits were unduly
   stringent. These'commenters pointed out
   that the proposed upper pH limit of 12.0
   would include many otherwise non-
   hazardous lime-stabilized wastes and
   sludges, thereby discouraging use of this
   valuable, treatment technique. They
   further,pointed out that .the proposed  '
   lower pH limit of 3.0 would  include a
   number of substances generally thought
   to be innocuous and many industrial
   wastewaters prior to neutralization.
  They questioned EPA's assertion that
  the proposed lower pH limit was needed
. to protect .against tissue damage.
  -  EPA agrees that the proposed pH
  limits were'unnecessarily  stringent and
  has accordingly adjusted the upper pH
  lim.; to 12.5 and the lower pH limit-to
,  2.0. In originally establishing the
  proposed limits, EPA was confronted
  with the difficulty that while the
  tendency to promote the solubilization
  of heavy metal contaminants-and to
  cause harmful reactions generally
  increases as pH approaches the upper
  and lower limits of the pH  scale, there
  are no threshold levels for  these effects
                          Consequently, to a significant extent.,
                          EPA based the proposed pH levels on
                          studies demonstrating a correlation
                          between pH and eye tissue damage:
                          Since eye tissue is considered to be
                          more sensitive than Other human tissue.
                          the proposed pH levels were
                          'unnecessarily conservative and had the
                          unintended .effect of inhibiting the  use of
                          such beneficial processes as-the lime
                          stabilization of wastes. The expanded
                          pH range being adopted today rectifies
                          this problem by excluding such things as
                          lime stabilized wastes from the system.
                          It also addresses the problem of tissue
                          damage more realistically while at the
                          same time providing ample protection '
                          against the solubilization of toxic
                          contaminants and dangerous reactions.
                          •  A number of cbmmenters-commented-
                          on the need for addressing percent
                          acidity arid-alkalinity in the pH
                          provision of the corrosivity
                          characteristic, A few commenters
                          favored adding percent acidity/
                         alkalinity to the pH provision'because it
                         would provide useful information'fo'r
                         disposal purposes. Most commenters,
                         however, felt that percent acidity/
                         alkalinity should not be addressed
                      •   because it would not add significantly to
                         the determination of hazard and would
                         require the use of a more complicated
                      • ^easurement technique.
                        .  EPA agrees with most commenters •
                         that the addition of percent acidity/
                         alkalinity to the pH provision is
                         unnecessary. Percent acidity/alkalinity
                         provides an indication of the capacity of
                         a waste to resist a change in pH and
                         therefore to aid in the assessment of the
                         hazard presented by a waste over the
                         long term. However, it adds little to the
                         assessment of the hazard .posed by the -.
                         waste during transportation, storage and
                         initial disposal. Furthermore, because '
                         the  capacity of a waste to retain low or
                        high pH is as muchafl function of its   .
                        disposal or storage environment as of its
                        percent acidity/alkalinity, the Agency
                        knows ;pf no scientifically valid basis
                        upon which to establish hazardous
                        threshold levels of percent acidity'/
                        alkalinity. Accordingly, EPA has elected
                        not  to address percent acidity/alkalinity
                        in the corrosivity characteristic.
                          A few comments were received on the
                        need for including corrosive solids in the
                        corrosivity characteristic. All advocated
                        including solids in the corrosivity
                        characteristic but none described
                        situations where the improper disposal
                        of such  wastes would be likely to cause
                        damage.  •  .         -
                        .. EPA has concluded that., inasmuch as '
                        the great majority .of wastes are
                       presumed to be in liquid or semi-liquid
                       form, there is no demonstrated need to
                       address corrosive solids at this time.
   ^ EPA will,"however, continue to seek.
   c information on the dangers presented by
  .; these wastes and w.Ul consider specific"
    regulatory measures if the need for more
    control'becomes apparent.
      A number of commenters suggested
    that the cqrrosiv.ity characteristic should
  ; address tissue damage more directly
   . and employ a skin corrosion test.
    Several of these commenters pointed to
    a Cpnsumer.Product Safety Commission
    survey which ostensibly casts doubt'on  '
    the ability of pH to predict tissue
   .damage.  "    •'              .
    ' EPA believes that there is sufficient
   correlation between pH and, tissue
   damage to justify the use of pH in'a
   regulatory context,:sspecially in view,of
   the fact that it is using pH as, a multi-
   purpose measure of many elements of
   concern. Requiring the regulated     •  ,
   community to conduct skin corrosion
   tests, which necessitate the
 .  maintenance of special  facilities and
   skilled personnel, would-prove
  •.unnecessarily burdensome and would  '*
   yield little in the way of extra results.:
   Accordingly. EPA is not including a skin
   corrosion test in the final regulation.
    At least  one commenter noted that the
   NACE metal corrosion test specified in
   the proposed regulations permits
   variation in a number of test conditions   '
    To correct this problem, EPA has
  standardized the conditions of (he
 •NACE test in its test methods guidance
  manual'and has required generators to
  utilize this  standardized version in
  running the test.

  D. Section 261.23 (Characteristic of
  reactivity)     •   •              •  ,  •
    The proposed regulation defined
..' reactive wastes to include wastes which
  (1) readily undergo violent,chemical
  change (2) react violently or form
•  potentially explosive mixtures with
  water (3) generate toxic fumes when
  mixed with water or,-in the case of
  cyanide or sulfide bearing wastes, when
  exposed to mild acidic or basic  '
  conditions (4) explode when subjected
  to a strong initiating force (5) explode at
. normal  temperatures and pressures or,
  (6)'fit within .the Department of
  Transportation's forbidden explosives,
  Class A explosives, or Class B
  explosives classifications.
 • This definition was intended to
  identify wastes which, because of their
  extreme instability and tendency to
 react violently or explode, pose a   '
 problem at,all stages of the waste
 management process. The' definition
 was. to a large extent a paraphrase of.
 the narrative definition  employee! by the
 National Fire Protection Association,
 although test protocols, for measuring
 thermal  and shock instability were

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  33110       Federal Register / Vol. 45. No.  98 / Monday, May  19. 1980 / Rules  and Regulations
  prescribed as a partial aid in assessing
  reactivity. The Agency chose to rely on
  a descriptive, prose definition of
  reactivity because the available tests for
  measuring the variegated class of effects
  embraced by the reactivity definition
  suffered from a number of deficiencies.
    EPA received a large number of
  comment? which argued  that the prose
  definition of reactivity employed by EPA
  is too indefinite and vague and gives
  generators inadequate guidance in
  assessing the reactivity of their waste.
  These comments  advocated replacing  .
  the prose definition with  a numerically
  quantified definition.accompani'ed by
  appropriate testing protocols.
   EPA has attempted where possible to
  define hazardous waste characteristics
  in terms of specific, numerically  •
  quantified properties measurable by
  standardized testing protocols. The
  available test methods for reactivity,
  however, suffer from a number of
  generic and individual shortcomings
  which make a numerically quantified
  definition with accompanying test
  protocols inappropriate. First, these
  tests arc too restrictive in scope and
  confine themselves to measuring how
  one specific aspect of reactivity
  correlates with a specific  initiating
 condition or stress. No test is
 sufficiently general to even begin to
 measure the variety of different stresses
 and reactions found within the reactive
 classification. Second,  because the
 reactivity of a waste sample is a •
 function not just of its intensive
 properties such as density and
 composition but also of its extensive
 properties such as mass and surface
 area, the reactivity of the sample as
 measured by the tests will not
 necessarily reflect the reactivity of the
 whole waste. Third, most of the
 available tests are not of the "pass-fail"
 type and require subjective  '  •
 interpretation of the results.
  The unavailability of suitable test
 methods for measuring reactivity should
 not cause problems. Most generators of
 reactive wastes are aware that their
 wastes possess this property and require
 special handling. This in because such
 wastes are dangerous to the generators'
 own operations and are rarely generated
 from unreactive feed stocks.
 Consequently, the prose definition
 should provide generators  with
 sufficient guidance to enable them to
 determine whether their wastes are
reactive.
  A number of commenters argued that '
 the two proposed test methods for
measuring reactivity were, among other
things, unreliable and difficult to
interpret. EPA agrees with  these
commenters that the two proposed 'test
  methods—the Explosion Temperature
  Test and the Bureau of Explosives shock
  instability test suffer from a number of
  inadequacies and add 1'ittle to the prose
  definition. Although the Explosion
 'Temperature Test was originally t'hought
  to be a suitable method  for measuring
  one aspect of reactivity, field testing
  demonstrates that this test requires
  subjective interpretation of the results.
  Re-evaluation of the shock instability
  test suggests that it  too possesses
  problems which makejts utility as a
  measure of reactivity questionable—
  especially in view of its  narrow scope.
  Accordingly, EPA has stricken these two
  tests from the regulations except to the
  extent the Department of
 Transportation's definition of Class A
 explosives requires  use of the shock
 instability test.
  , Several commenters took issue with
 the inclusion in .the reactivity definition
 of any waste which  "generates  toxic
 gases; vapors or fumes when mixed with
 water" and "any cyanide or sulfide
 bearing waste which can generate toxic
 gases, vapors or fumes when exposed to
 mild acidic or basic conditions." These
 commenters complained that this
 language lacks specificity. As an
 example, they noted that quite a few
 things contain sulfides and cyanides in
 trace amounts and can generate minute
 quantities of hydrogen sulfide or
 hydrogen cyanide under acidic or basic  "
 conditions.
   EPA agrees that the language in
 question could benefit from clarification.
 It has accordingly amended the
 regulation to include only those wastes
 which generate toxic gases, vapors and
 fumes in "a quantity sufficient to
 present a danger to human health or the
 environment". It has also specified that,
 by mild acidic or basic conditions, it
 means pH conditions of between 2 and
 12.5. This pH range was chosen because
 only waste inside this pH range  can be
 managed without regard to the
 prohibitions imposed by Subtitle C.
 Consequently, these pH conditions are
 likely to be the most stringent
 encountered by cyanide and sulfide
 bearing wastes.

 E. Section 261.24 (Characteristic ofEP
 Toxicity)

  There is persuasive evidence that the
 contamination of groundwater through
 the leaching of waste contaminants from
 land disposed wastes is one of the most
 prevalent pathways by which toxic
 waste constituents migrate to the
 environment. EPA's damage files
 contain numerous incidents of
groundwater pollution resulting from the
indiscriminate dumping and improper
landfilling of wastes.  Additionally, the  "
  legislative history of RCRA is replete
  with indicatipns-that such grounds
  contamination was one of Congref
  primary areas of concern. In the * „,
  proposed regulation, EPA addressed this
•  problem by developing a test procedure
  called the Extraction Procedure (EP)
  designed to identify wastes,likely to
  leach'hazardous concentrations of   ;
  particular toxic constituents into the
  groundwater under conditions of .
  improper management. Under this
  procedure, constituents were extracted
  from the waste in a manner designed to
  simulate the leaching action that occurs
  in landfills. This extract was then
  analyzed to determine  whether it
  possessed any of the toxic contaminants
  identified in the National Interim
  Primary Drinking Water Standards.
  (NIPDWS). If the extract contained any
 .of the contaminants in  concentrations 10
  times greater than that specified in the
  National Interim Primary Drinking
  Water Standards, thu waste was
  considered to  be hazardous.
   Like other test procedures employed'
  to identify hazardous characteristics, the
  EP was intended to serve as a quick test
  for identifying wastes which are capable
  of posing a substantial  present or
  potential hazard when  improperly
  managed. Consequently, in devising
  test. EPA necessarily had to make
  certain assumptions about the ir..
  management to which .toxic wastes
 capable of contaminating groundwater
 are likely to  be subjected. In making
 such assumptions, EPA believed it
 important to employ a reasonably
 conservative mismanagement
 scenario—in view of the statutory
 mandate to protect human health and
 the environment, .the broad statutory
 definition of hazardous  waste and also
 because the phenomenon of long term
 leaching is only incompletely
 understood. On the other hand, EPA
 considered it important  npt to utilize a
 wholly implausible mismanagement
 scenario, since by doing so it would end
 up regulating as hazardous those wastes
 which were quite unlikely to ever.cause
 a problem.
  The result of these deliberations was
' a decision to model the  EP upon a
 mismanagement scenario for toxic
 wastes which constitutes a prevalent
 form of improper management—namely,
 the co-disposal of toxic  wastes in an
 actively decomposing'municipal landfill
 which overlies  a groundwater aquifer.
 EPA realized in making  its co-disposal
 assumption that actively decomposing
 municipal waste landfills generate n
 aggressive leachate media than oth{
 landfills and thus, that its assumptic,
 was a relatively conservative one. It

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                 Federal Register / Vol. 45. No. 98 /Monday. May 19.  1980 /Rules and Regulations
                                                                          33111
    nevertheless believed the'co-disposal
    assumption to be reasonable, first. '
    because wastes are customarily
    landfilled. second, because most
    categories of vyaste have the potential to
    be disposed of in municipal waste
 •   landfills, third, because.the predicted
    degree of contaminant concentration in
    leachate could qccur with respect to
    wastes which are not likely to be
    disposed of in municipal landfills and
    fourth, because Congress expressed
    particular concern about the disposal of
    toxic wastes in municipal landfills.  EPA
    also realized its assumption that the
    landfill overlies a groundwater aquifer
   .was.arelativelyconservatiyeone.lt
    believed, however, that this assumption
    was consistent with its concern for  the
    disposalI of wastes in environmentally '
    sensitive areas and with the fact that a
   groundwater body, once contaminated.
   may.remain contaminated for a number
   of years. Furthermore, it believed this
   assumption to be somewhat mitigated
   by its further assumption that there
   would be some attenuation in the
   concentration of toxicants in the
  . leachate between the point the leachate.
   leaves the disposal site and the point the
   toxicants reach environmental
   receptors.
    Taking these assumptions as its
   framework.  EPA developed the EP test
   to simulate the physical processes which
   would occur in an actual landfill
   characterized by these assumptions. To .
  simulate the acidic leaching medium
  which occurs in actively decomposing
  municipal landfills. EPA chpse to
  employ an acetic acid leach'ing medium
 . with a PH of 5.0 (±0.2). To simulate the ,
  leaching process, EPA specified a
  procedure requiring mixing of the solid
  component of the waste with the acidic
  leaching medium for a period of 24
  hours. To duplicate the attenuation in .
  concentration expected to occur
  between the point of leachate      -
  generation and the point of human or
  environmental exposure, EPA applied a
  dilution factor of 10 to the concentration
 of toxic constituents observed in the test
 extract.            '                '   '
    EPA was convinced that the proposed
 EP represented a valid and acceptable
 test for identifying wastes likely^to leach
 toxic.constituents into groundwater.
 Because, however, this test was
 innovative in character and reflected  a  '
 fair amount of groundbreaking inquiry, it
 drew the greatest response from the
 public of all the test protocols utilized in
 identifying the characteristics. The most
 important of these comments are  •
 discussed below.
   A number of commenters expressed
. disagreement with EPA's proposed use
    of a 10-fold dilution factor to calculate.
    the attenuation in toxicant
    concentration expected to occur
    between the point at which the leachate
    leaves the waste and the point of human
    or environmental exposure. Some
    commenters thought that the 10-fold
    dilution factor was too liberal and that
    no dilution factor would be more
    appropriate. The majority felt that the
    10-fold dilution factor was too
    conservative and that a higher dilution
    factor would be more appropriate..
   _  Choosing an attentuation factor which
   reasonably represents the amount of
   attenuation likely-to occur in the real'
   world was one of the most difficult  •    •
   problems EPA faced, in formulating the
   EP—a problem which reflects in
   microcosm many of the difficulties of,
   modeling complex physical processes  •
   with a short term test. As leachate
   migrates vertically from the landfill site
   towards the groundwater strata, a   ;
   number of attenuating processes can
   occur—including adsorption, absorption,
   ion exchange, filtration, and dilution.
 ,  When the leachate enters the
   groundwater zone its movement changes
   from vertical to horizontal and it will
   tend to form a slug or plume of
  contaminated water rather than mix
  generally with the groundwater flow.
  This plume of contaminants may
  experience some dilution, depending on
  the local geology, the groundwater flow,
.  and the nature of the  contaminants.
  Once the plume of contaminated water
 • is drawn into a pumping well, some
  further dilution tends  to take place,
.  depending upon the amount of water
  withdrawn and the rate "at which-it is
  withdrawn. Unfortunately, all these
  attenuation mechanisms are dependent
 upon site specific conditions. While
 some sites may exhibit attenuation of
 500-fold, others will exhibit very little
 attenuation at all. Moreover over time, a
 site that originally exhibits 500-fold
 attenuation rtay become so saturated,
 that the attenuation mechanisms no
 longer work and the site begins to flush-
 at the same rate at which it.is charged.
    In order to formulate a reasonable
 dilution factor. EPA assumed in the
 proposed regulations that leachate from
 the landfill passed unattenuated through
 the soil underlying the landfill to the
 grdundwater zone and that drinking
 water wells were situated 500 feet down
 gradient from the landfill site'. Relying
.on projections from a mathematical    '  /
 model which incorporated these
 assumptions and on empirical data from
 field-analyses. EPA concluded that a
 dilution factor of 10 was a conservative,
 but reasonable, figure.
     EPA has had an opportunity to'
   carefully re-evaluate its original choice
   of a dilution factor and is now of the
   opinion that the .10-fold dilution factor
   was inappropriate. A number of
   considerations have prompted ft to' come''
   to this conclus-ion. In the first plac«. EPA
   is concerned that, while the dilution
   factor plays a critically important role in
 •  determining the scope of coverage of the
•   EP. there is relatively little empirical
   -data upon which  to base such an
   attenuation factor. It is consequently
   somewhat troubled by its'ass'umpHon
   that the soil underlying  the landfill is a
   delay mechanism'only and that'th'ere is'
   no attenuation in'the concentration of
   toxic contaminants between the point of
   actual.leachate generation and arrival.at
 -  the grpundwater aquifer. Second, in  '
   view of this uncertainty, EPA attaches
   some importance  to the  fact that there is
   no variance or "delisting" procedure for
 .  wastes which fail the EP. This absence
   of a variance procedure, while perfectly
   permissible, tends to  magnify  the
   consequences of a wastes being
   anomalously .brought into the system by
   the EP. Third. EPA believes the EP to be
  a somewhat less.precise instrument than
  the'listing mechanism for determining
  hazard, inasmuch  as the EP fails to take
  into account factors such as the
  concentration of toxicants in the waste
  itself and therquantity of waste
 generated which could have a bearing
 on the hazardousness of the waste. EPA
 consequently prefers tp entrust
 determinations of marginal hazard to
: the listing mechanism rather than to the
 EP.
   On the basis of these considerations,
 EPA has decided, pending the,  -
 completion of further studies, to alter the
 proposed dilution factor by adopting an
 attenuation  factor of 100. EPA is '
. adopting a lOO^fold attenuation factor
 because it is confident that anything  '
 which fails the EP at this  factor has the
 potential to present a substantial hazard
 regardless of the attentuation
 mechanisms a.t play. If forthcoming
 studies demonstrate that another
 attenuation factor is more appropriate
EPA will adjust the dilution factor
accordingly.
   EPA does not intend this alteration in
the dilution factor to constitute what
may be perceived as an untoward
relaxation of the EP. It is simply electing  .
to exercise a degree of caution in the
face of the lack of empirical          •
substantiation for its EP leaching, test to
ensure that the EP only captures wastes
which are certain to'present a
'substantial hazard.  Since this alteration •
of the attenuation factor is b'ased as   • .
much on EPA's desire to engage in

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   33112
Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
   cautionary rulemaking as on an
   environmental re-evaluation of the
   altenuativ'e processes which influence
   concentrations in leachate. EPA has
   listed and intends to continue to list
   wastes which have extract
   concentrations of less than 100-times
   drinking water standards. This listing
   will to a significant degree conipensate
   for the alteration in the attenuation
   factor and will prevent the overall
   coverage of the Subtitle C regulations
   from being measurably reduced.
     A number of commenters argued that
   EPA improperly based the EP on a
   mismanagement scenario which
   assumed co-disposal in the acidic
   environment of a municipal waste
   landfill. These commenters generally
   argued that the co-disposal assumption
   is inapplicable to numerous classes of
   waste which are never co-disposed with
   municipal wastes and which do not
   leach at the aggressive rates
   characteristic of co-disposal situations.
   These commenters suggested that EPA
   employ an alternative leachate medium,
   such as distilled water, for those wastes
   which are unlikely to be co-disposed
   with municipal wastes.
    EPA disagrees with these
   commenters. EPA believes that the level
   of leachate concentration predicted by
  the EP is reasonably in keeping with the
.  concentrations which could realistically
  occur in most waste management
  situations and that employment of an
  acidic leaching medium is therefore
  appropriate. Most wastes, even those
  which are unlikely to be disposed of in a
  municipal landfill, are likely to come
  into contact with some form of acidic
  leaching media during their management
  histories or could otherwise encounter
  environments which could cause them
  to leach comparable levels of toxic
  constitutents. Furthermore, inasmuch as
  the phenomenon of long term leaching is
  not well understood and there is no
  consensus within the scientific
  community on a short term leaching test,
  EPA believes it has the power to employ
  a leaching model which fails to take into
  account the physical processes affecting
  particular generators even if this model
  errs on the side of caution. See, Ethyl
  Corp. v. EPA, 541 F.2d 1,24-29 (D.C. Cir.
  1976 en bane); Hercules. Inc. v. EPA. 598
 F.2d 91,104-106 (D.C. Cir. 1978).
   In any event, the change to an
 attenuation factor of 100 lays to rest the
 concerns of those who argued that the
 acidic leaching medium was too
 aggressive to apply to them. EPA is quite
 convinced that any waste which fails
 the EP at the 100-times standard
 presents the potential for substantial
 hazard if improperly managed no matter
                          •what leaching media it is actually
                          exposed to.
                            A number of commenters argued that
                          the EP is not sufficiently reproducible
                          for use m defining hazardous waste.
                          Some commenters. basing their
                          argument on studies which have been
                          conducted on  the reproducibility of the
                          EP, argued that these studies
                          demonstrate an unacceptable variability
                          in the results obtained by the EP. Other
                          commenters. who did not base their
                          arguments on  these studies, argued
                          simply that EPA has  not shown \he EP to
                          be reproducible and therefore may not
                          appropriately  employ the EP iri a ".
                          regulatory framework.
                           EPA disagrees. Sensitive  throughout
                          the process of developing the EP to the
                          issue of ensuring reproducibility, EPA
                          commissioned a number of studies .to
                          evaluate the EP, including a study by the
                          NUS Corporation, a study by the
                         American Electroplaters' Society, and
                         an ongoing study being conducted by
                         the  Oak Ridge  National Laboratory. In
                         addition, a study commissioned by the
                         Electric Power Research Institute (EPR1)
                         has been completed. None of these
                         studies present enough data to draw any
                         hard and fast conclusions. However.   ,
                         data from the EPRI report—the only
                         report which was able to separate out
                         the reproducibility of the EP from the
                         reproducibility of the  analytical
                         procedures—suggests that the
                         reproducibility of the EP itself is of the
                         same order of magnitude as  the
                         analytical procedures used to analyze
                         the toxic constituents in the extract.
                         Since these analytical procedures have
                         proven to be widely acceptable to
                         private industry. EPA believes that the
                         EP should also prove acceptable.  •
                          EPA concedes that the preliminary
                         data indicate some variability in the
                         results obtained by  the EP. This.
                         however, is true of all analytical
                         procedures and test methods, especially
                         those which are novel in character.
                        Furthermore, variability can be easily
                        corrected by running further replicates
                        of the test to achieve greater certainty in
                        the results.  To accommodate any
                       . problems with variability, EPA intends
                        to provide generators with guidance on
                        the number of extractions which they
                        can perform if they want to ensure
                        confidence in the result. In addition,
                        EPA is engaged  in research studies
                        which will enable it  to further isolate
                        and get a handle on the causes of this
                        variability.
                          A number of commenters argued that
                        extract from the EP should be tested for
                        toxic contaminants other than those
                        specified in the National Interim.
                        Primary Drinking Water Standards.
    EPA originally intended the extraction
  procedure to identify toxic contaroa»nts
  'other than those specified in thei'
  National Interim Primary DrinkirL	
  Water Standards. EPA has been urfSole
  to do this, however, because no other
  chronic exposure threshold levels
  relating to drinking'water consumption
  have been established for other
  contaminants. This should not cause a
  problem, because EPA is regulating
  wastes containing non-drinking water  •
.  standard contaminants through the
  listing process. EPA will reassess its
  position on this issue, when thresholds
  are developed for additional
  contaminants or when the Clean Water
  Act Water Quality Criteria are adopted
  in final form. ,             • '
    The proposed EP required generators
  to separate the liquid and solid  portions
  of their waste as the first step of the
  procedure, based on the assumption that
  the liquid portion of the waste would
  flow out of the landfill independent of
  any leaching action. Generators were
  then required to mix the separated solid
  portion with the acidic leaching medium
  and. after a further separation, combine
  the resulting extract with the originally
  separated liquid portion for analysis.
  EPA gave generators the option  of using
  either centrifugation or filtration to
  perform the initial solid-liquid
  separation and to perform the
  subsequent separation of solid <     ^
  leaching solution. However, information
  obtained since publication of the
  proposed regulation indicates that use of
  centrifugation alone is not as efficient as
  filtration and can lead to carryover of
  particles larger than 0.45 um/Since a
  filter the size of 0.45 um was originally
 selected because particles larger than
 0.45 um are expected to be filtered out
 by the soil prior to reaching the
 groundwater,  EPA'has revised the EP to
 require filtration of both' the liquid
 portion and the extract prior to analysis,
  A number of commenters said they
 encountered severe operational
•problems when performing the EP on
 liquids containing very small
 percentages of solids. To accommodate
 this problem, EPA is amending the
 proposed regulation so generators need
 not perform the EP on liquids containing
 less than 0.5% solids. Instead, the liquid
 itself, after filtration, should be
 considered the extract and directly
 analyzed for its tuxic constituents.
 VII. Subpart D

A. Sections 261.31 and 261.32
(Hazardous Wastes From Specific ana
Non-Specific Sources)
  1. Methodology for Listing Haza.  _
 Waste Streams. Detailed justification
; ancj_
m

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                  Federal Register  /  Vol. 45. No.  ,98 /Monday. May 19.  19807  Rules  and Regulations
                                                                             33113
    for listing each hazardous waste in
    Subpart D is contained in specific
    background documents, and so will not
    be set forth'in this preamble. The .
    general methodology used to support
   -listings will, however, briefly be
    described.
      The listing documents are based  on
    the listing criteria .contained in § 261.11.
    The documents are organized in the  •
   .following sequence: (1) A summary of
  '  the Administrator's basis for listing each
 .   identified waste stream:  (2) a brief
  . description of the industry (Or
•   industries) generating the listed waste
 • ..stream; (3a) a description of the
   manufacturing  process or other activity"
   .which generates the waste. (3b)   ,
   identification of waste composition.
   constituent concentrations, and annual
   quantity generated.' and  (3c) a
   description of waste management
   methods: (4) a discussion of the basis for
   listing each waste stream '(described
   more fully below); and-(5) a summary of
 •. the adverse health effects of each of the
  waste constituents of concern. The
  documents also contain appendices  ~
  describing in more detail  the adverse
  health effects of the waste constituents
  of concern, and  (for certain documents)
  compiling available environmental fate
  and transport dafa (including data on
  waste constituent  solubility, volatility.
  and environmental persistence) for each
  such waste constituent.
    a. Basis for Listing Toxic Wastes.  (!)
  Outline of Listing Discussion.
    For hazardous wastes listed because
  they meet the criteria of toxicity, the   .
  discussion of the basis for listing
  identifies the waste constituents of
  concern, whether these constituents are
 present in significant concentrations,
 and the hazards  associated with each
 waste constituent. The discussion then  .
 addresses whether these waste
 constituents, if the  waste are managed •
 improperly, could migrate from waste
 management sites,  persist in the      .  .
 environment, and reach environmental
 receptors so as to cause substantial
 hazard. The analysis generally follows a
 physical continuum: whether waste
 constituents are inherently capable of
 .migrating from the" matrix of the waste
 in concentrations sufficient to cause  -"'
 substantial hazard,  wheth.er waste
 mismanagement could lead to
 environmental release of the migrating   '
.waste constituents,  and whether waste
,   'Wasle composition and constituent
 concentrations have been determined either by
 actual analysis of waste samples, through literature
 searches or on the basis of process engineering and .
 process chemistry assumptions. When process
 assumptions are used to identify waste constituents
 and concentrations.-^ bases for the assumptions
 jre contained in the document.    •
  'v constituents are mobile and persistent '
    enough to reach environmental
    receptors and cause substantial hazard
    upon environmental' release. In some  •.
  .  cases, actual damage incidents
 •   involving the waste or waste
    constituents demonstrate empirically'
   ..that waste constituents may migrate.
    persist, and cause substantial harm if
    mismanaged.2         '-.
      A word as to  the types of
    mismanagement situations considered.
    The Agency has limited its discussion to
    waste management-situations which
    could plausibly  occur with regard to the
    waste at issue. In the Agency.'s view, the
    hazard posed by a waste are not
    "substantial" ^Section 1004(5)(B)) if
   hazards could arise only as a result of
   implausible types of waste         ' • •
 •  mismanagement. Thus, the Agency
   would not examine possible hazards
   arising from improper waste
   incineration if the waste in question is
   not likely to be incinerated. On the other
   hand, the fact that a waste is properly
   managed by particular generators or
   particular classes of generators does not
 -  make the waste non-hazardous, as the
   statute requires that EPA determine
   whether a waste  is hazardous if   '
  substantial hazard could result when
  wastes are "improperly treated, stored.
  transported, or disposed of. or othanvise
  managed." The potential.of the waste to
  cause hazard is therefore the key factor.
  Consequently, if most or .all generators
  of an otherwise hazardous waste
  dispose of the  waste properly, for :
  exampleln lined lagoons, the Agency
  may still consider hazards which could
  result from improper waste lagooning.3
    (2) Relative.Importance Attached to
 Identity of Waste Constituents and
 Constituents'Transport and Fate in
 Making Toxicity Listing Determinations.
    It must be emphasized that in making
 listing determinations, the Agency's
 principal focus is on the identity of the
 waste.'s constituents, and on constituent
 concentrations in  the waste and the
 nature of the .toxicity presented by .the
 constituents. Where a'waste contains
 significant concentrations of hazardous
 waste constituents, the Agency is likely ..
 to list the waste as hazardous unless It
 is evident that the  waste constituents
 are incapable of migrating in significant
 concentrations even if improperly
   -Other factors identified in § 261.1l(a)(3) are'also
 considered when relevant, and when information is
 available. These factors include the quantities of • -
. waste managed, and actions of other governmental
 agencies or regulatory programs with regard 'to
 health or environmental hazards posed by the
 waste or by waste, constituents.  .        •
   'Indeed, in this hypothetical'example, the fact
 that an industry takes special precautions in
 managing the waste suggests that'th'e'industry itself
 regards the waste as hazardous.
    managed, or that the waste constituents
    are not mobile or persistent sh'ould-they
    migrate. This is particularly (rue where"
    the waste constituents include suspect '
    or proven carcinogens. As EPA recently
    stated. "(T)here is"no scientific basis for
    estimating 'safe' levels of carcinogens.
    The draft criteria for" carcinogens
    therefore state  that the recommended
    concentration for maximum protection
  .  of human health is zero." (EPA Water , •
    Quality Criteria. 44 FR 15926, 15930'
   (March 15, 1979).)' Thus, if suspect or
   known carcinogens are present, an
  .additional cancer may result should  the
   waste constituent migrate and reach a
   receptor in any  concentration, certainly
   a sufficient risk to constitute a        •
   "substantial present or potential
  \ hazard" (Section 1004{5)(.B)J. In this
   situation, the Agency would require
   virtual assurance that waste    " .
   constituents will not migrate and persist
  if improperly managed to justify a
  decision not to list the waste.
    The Agency therefore does'not seek to
  demonstrate that waste constituents will
 • migrate and'persist in sufficient
  concentrations to cause substantial
  hazard. Ra'ther, fate and transport
  information is relevant to show that.the
  potential for harm-inherent in the waste
  (by virtue of its composition) will not
 t eventuate. But, as stated, there must he
  a very strong likelihood that hazardous    '
 • constituents are  unable to migrate or
  persist to cause substantial harm before
  the Agency will decide not  to list a
  waste.4  . • •    ,           .   .
    The Agency believes that this  .
  methodology is fully in accord with
  statutory requirements. Thus,'this
  approach accords with the requirement
  of Section'3001 (a) that environmental
  fate be considered in identifying wastes
 'as hazardous. At the same time, the key  '
  focus is on the inherent'potential of
 waste constitiients'to cause substantial
 harm, in accord with the definition of
 hazardous waste, which requires only
 that a waste "may pose a substantial
 present or potential hazard" to be
 hazardous. (Section 1004(5)(B). emphasis
 added.)          '    .                ,
   (3) Data Base for Toxicity Listing
 Determinations.'
   The Agency anticipates arguments
 that these toxicity listing determinations
 are made on the basis-of inadequate
 data, and that listings be deferred until
 further information is gathered. EPA
 recognizes that these listing   '-'   •'

  '§261.11(3)13) reflects that the waste's         ''
 composition is the key factor in determining to list
 wastes as hazardous, since wastes containing
 enumerated constituents are to be listed unless
 consideration of particular additional factors
demonstrates that the wastes do not meet the
statutory hazardous waste definition.

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                               *                  '

    33114       Federal Register •/ Vol. 45. No. 98 / Monday.  May  19.  1980 / Rules and Regulations
    determinations are essentially
    qualitative judgments, generally
    involving expert assumptions based on
    available physical data rather than
    precise field determinations of waste
    composition or of how the wastes will
    act under identified conditions.
    However, the statute requires only that
    a qualitative judgment be made, namely
    that the wastes, if mismanaged, pose
    sufficient potentiality of hazard to
    warrant careful regulation. The Agency
    believes that it has compiled sufficient
    information on which to make this
   judgment Nor would the delay
   necessary to compile in-depth (though
•  ..quite likely cumulative or redundant)
   information on potentially hazardous
   wastes be sufferable in light of the
   urgent need for rapid implementation of
   the hazardous  waste management
   program.5 In any case, opportunity is
   afforded by means of a new comment
   period for affected parties to present
   additional information on the listed
   waste streams, and such comments are
   solicited.
   b. Basis for Listing Ignitable. Corrosive,
   Reactive orEP Toxic Wastes
    The ba*sis for listing ignitable,
   corrosive, or reactive wastes is much
   simpler. These wastes, to be listed, must
   possess the appropriate characteristic,
   and the listing discussion is directed
   toward making this demonstration.
    2. Legal Authority to List Wastes
   Genetically. A number of commenters
   challenged the Agency's legal authority
   to list wastes generically. They stated
   that under Section 3001(b), the
  Administrator is to list "particular
  hazardous wastes." arguing that this
  language requires wastes to be listed
  individually, rather than as a generic
  class. These commenters also argued
  that the statute's legislative history
  supports their view; noting that the
  House report to RCRA states that "the
  Administrator shall promulgate
  regulations identifying and specifically
  listing those hazardous wastes subject
  to this title." H.R. Rep. at 56 (empasis
  added). The Agency disagrees with this
  interpretation. Although Congress
  clearly intended to distinguish the  '
  promulgation of hazardous waste
  characteristics from the listing of
  hazardous wastes, there is no clear
  indication that Congress further .
  intended to limit the Administrator's
  discretion by precluding listing of
  classes of wastes. In the Agency's view,

   *Sec. e.g.. Report an Hazardous Waste
 Management and the Implementation of the
 Resource Conservation and Recovery Act. Senate
 Subcommittee on Oversight of Government
 Management of the Senate Committee on
 Governmental Affairs, 96th Cong.. 2d Sess. 7 (1980).
  a class of wastes may be listed
  generically so long as most of the
  wastes in the class are typically or
  frequently hazardous, and so long as the
  listing description is sufficiently specific
  and particularized for individual
  generators to determine whether their
  wastes streams are included within the
  listing.
    Thus, Section 3001(a), far from
•  prohibiting listing of wastes by classes,
  simply distinguishes  the use of criteria
  to identity hazardousness
  characteristics and to identify listed
  hazardous wastes.
   The Administrator shall * * *  develop
  and promulgate criteria for identifying the
  characteristics of hazardous waste, and for
  listing hazardous waste • •  •

  Section 3001 (b) carries forward this
  distinction:
   [T]he Administrator shall promulgate
  regulations identifying the characteristics of
  hazardous waste and listing particular
  hazardous wastes • •  • Such regulations
  shall be based on the criteria promulgated .
  under subsection (a) *  •••''
   To argue that Section 3001(b) was
  intended to bar any listing of wastes by
  class, consequently reads far too much
  into the language of that provision.
 Indeed. Section 3001(a) does not refer'to
 listing of particular wastes. This
 wording certainly militates against
 attaching too much importance to the
 reference to""particular wastes" in
 Section 3001(b).*
   The legislative history likewise
 indicates that Congress' concern was
 that the identification of wastes through
 characteristics or through listing be
 regulatorily distinct mechanisms,  and
 that the listing criteria not be confused
 with hazardous wastes themselvps, not
 that generic listing be  prohibited. The
House report  to RCRA' thus refers to a
"bifurcation of developing the criteria
for what is a hazardous waste separate
from the identification and listing of the
hazardous wastes  * *  * " and cautions
that "the critera for determining what
should be considered hazardous should
not be confused with an actual
hazardous waste * *  * " H.R. Rep. at
25.
  Moreover, Congress itself, in the
principal report to RCRA. used generic

  'In any case.-the words "particular" and
"specific" do not necessarily connote
"individualized." For instance, the first definition of
"specific" in Webster's New  Collegiate Dictionary
is "constituting or falling into a specifiable
category." Similarly, the same source defines
"particular" as "distinctive among others of the
same general category." Thus, the statutory
language, far from requiring individualized listing,
requires that listing be done with sufficient  '
particularity to distinguish listed and unlisted
wastes.
  waste descriptions to identify hazardous
  wastes involved in damage incids
  Examples include identification t
  "electroplating wastes" (H.R. Rep	
  18), waste "petrochemicals" [id. at 18.
  19). and "munitions waste" [id. at 2dj.
 ^This means of identification again
 'suggests strongly that Congress
  envisioned generic identification as a
  means of bringing hazardous wastes
  into the  Subtitle C management system.
    Some  commenters went on the argue,
  that the  statutory requirement to take
  factors such as toxicity, persistence,
  potential for bioaccumulation, quantity,
  and concentration into account in
  making listing determinations (see
  Sections 3001(a) and 1004(5); see also
  H.R. Rep. at 25) demonstrates
  Congresssional intent to prohibit generic
  listings because "(t)hese factors by their
  very nature are specific'to particular
  hazardous waste rather than to generic
  categories." (Comments of Dow
  Chemical Co., October 10. 1979, p. 10).
 The Agency again disagrees. A class of
 wastes may exhibit sufficient unformity
 of hazard to warrant listing on a class
 basis. (The Agency of course, must
 demonstrate that sufficient uniformity
 exists or is likely to exist). Furthermore,
 thetcommenters' argument, taken to its
 logical conclusion, would  mean th
 Agency could only list wastes on
 generator by generator basis, since  _
 waste streams will vary to some degree
 with respect to these factors depending
 upon the precise composition of the
 individual waste (although the degree of
 difference ordinarily will not be of
 regulatory significance). Yet Congress
 clearly did not envision site-by-site
 listing.
   The Agency therefore intends to list
 generically those wastes which
 demonstrate a reasonable  likelihood of
 hazard as a class. The listing
 descriptions will be sufficiently specific
 to allow generators to determine if their
 wastes are covered, and, as discussed
 above, the listing of wastes will be
 distinct from their identification by
 means of hazardousness characteristics.
 This approach, we believe, is  fully in
 accord with Congressional intent.   , .
  3. Changes in Proposed Waste Listing
 Descriptions and Proposed Waste Lists.
 Certain of the waste listing descriptions
 proposed  in December, 1978 have been
 revised'in the lists contained in
 §§.261.31 and 261.32: These changes
generally were made to clarify where in
 the process wastes are generated so as
to enable generators to determine m
easily if their wastes are listed. Sinl
the coverage of these  clarified listin*0,^,
descriptions remains identical with the

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                Federal  Register / Vol. 45. No. 98 / Monday! May  19. 1980 / Rules  and Regulations
                                                                          33115
   proposal, the. revised descriptions are
   not being reprpposed.-
     Certain other listed waste streams
   arise out of waste generation processes
   listed in the December proposal, but are
   newly identified. These waste streams
   are being proposed today, rather than
   issued in interim final form.
     Finally, some of the waste streams
   initially proposed'are not contained in
   the present list of wastes. The Agency's
   reasons for this action are discussed in
   Section III A.     '

 , B. Section ^281.33 (Discarded
  Commercial Chemical Products, Off-   •
  Specification Species. Containers,  and'
  Spill Residues Thereof)
    The proposed regulation contained;
  three  appendices listing a variety of
  materials which the Agency proposed to
.  treat as hazardous waste if discarded:
  Appendix III listed selected cancelled
  pesticides or pesticides undergoing
  RPAR (Rebuttable presumption against
 registration) review within the Agency
 that were not listed elsewhere ,in the
 proposed regulation. Appendix IV listed
 selected substances regulated by the
 Department of transportation (DOT)
 and classified as Poison A, Poison B. or
 ORM-A that were also not listed  .  •
 elsewhere. Appendix V listed
 substances which are being regulated as
 toxic priority pollutants under the Clean
 Water Act. In addition.to the substances
 themselves, the regulation proposed to
 regulate (1) off-specification materials.
 which  if they had met specifications.
 would have been shipped using the
 names of the substances listed in these
 appendices (2) containers, unless triple
 rinsed, containing the materials listed in
 the appendices, and (3) spill clean-up
 residues and debris from spills of
 materials listed in these appendices.
 Subsequently, in a supplemental
 proposed rule. EPA published another .
 appendix (Appendix XII) listing thirty-
 three chemicals found to be human
 carcinogens or potential human
 carcinogens by the International Agency
' for Research on Cancer. 44 FR 49404
 (August 22,1979). In the proposed
 regulation, these materials were to be
.subject to the general exemption level of
100 kg/mo. Quantities of th'ese materials
below this level were not subject to full  :
Subtitle C regulation.
   In listing these materials in the
proposed rule, EPA intended to
encompass those chemical products'
which possessed toxic or other
hazardous properties and which, for
various reasons, are sometimes thrown
away in pure or undiluted form. The
reasons for discarding these materials
might be that the materials did not meet
required specifications, that inventories  >
 •   were being reduced; or that the product
    line had changed. The regulation was
    intended to designate chemicals   .
    themselves as hazardous wastes, if
    discarded, not to list all wastes which
    might contain these chemical
    constituents.  In drawing up these lists,
    the Agency drew heavily upon previous
    work ,by EPA and other organizations
    identifying substances of particular
   concern.  •        ,•               ,
     On the basis of comments received
-  and also EPA's own ^examination of
,   the proposed  rule, we have substantially
   revised this regulation. In the final
   regulations, commercial chemicals are
 .  treated in two,separate provisions. First,
   substances listed in § 281.33(f) of the
  .regulations are considered hazardous -'
   wastes if they or their off-specification  '
   species are thrown away in their pure
/  form. These substances are regulated in
   the same manner as other hazardous
   wastes and are subject to the'general
   exclusion level in § 281.5 (a) and  (b) for
   the generation of small quantities of
  hazardous waste. Second, a number of
  the substances, which meet the criterion
  for listing acutely hazardous wastes, are
  separately listed in § 28l.33(e). This
  section applies to the chemical
  substances if they or their off-
• specification species are thrown away
  in their pure form, containers and inner
  liners containing these materials,  and
  spill residue and debris created by spills
  of these listed  materials. Section 261.5(c)
  establishes low quantity exclusion
  levels for these acutely hazardous
  materials.  ••'-.••   "   .
    1. Section 281.33(f) (Commercial
  Chemical Products). A number of
  commenters stated that, as proposed,.
.  the materials listed in the various
 appendices were not tied to any of the
 criteria for listing, and. accordingly,  the
 reasons for their listing were unclear.
 The Agency agrees  that the basis for-its
 proposed listings was not adequately
 specified. A table accompanying the
 background document on commercial
 chemical products sets forth the specific
 basis for including each substance on
 the list published today.
    Commenters  also expressed some'
 .uncertainty as to whether the proposed
 regulations made hazardous any waste
 that contained the listed substance as a
 constituent of the waste. The intent of
 the regulation was to encompass only
 those materials  which were being
 thrown away in their pure form or  as an
 off-specification species of the listed
 material, as well as the contaminated
 residues and debris from those
 materials. The final regulation has  been
 redrafted to limit the application of this
^section to the commercial chemical
   product itself, its off-specification
   species and derived spill residues and
   debris.
     Several commenters argued that the
   wholesale incorporation of lists
   developed by EPA or other Federal
   agencies for other regulatory purposes
   was not appropriate. In the proposal.
   EPA had. for example,  listed all
•   materials that DOT lists as ORM-A  '••
   materials pursuant to its authority under
   the Hazardous Materials Transportation
   Act. A number of commenters argued
   that these substances should not be
 •  listed by EPA because DOT's basis for
   listing used different criteria—the
   potential for interfering with
   transportation. DOTs standard is very
   broad and somewhat,vague; ORM-A
 ,  material is one that has "an anesthetic,
   irritating, noxious; toxic or similar
   property which can cause extreme '•
   annoyance of discomfort to passengers
   and are in the event of leakage during
   transportation." 49 CFR 173.500(a)(l).
    EPA agrees with these comments and,
  rather than adopting lists of substances
  on a wholesale basis, has evaluated
  each against EPA's criteria for listing.  •
  Included in § 261.33(f) are those
  chemical substances which are toxic
 and which meet the listing criteria set
 forth in § 261.1l{a)(3). These hazardous
 properties have been documented in
 EPA rulemaking, studies and other  '
 materials', including health effects
 documents prepared in support of these
 regulations materials supporting RPAR
 actions background'documents
: supporting National Interim Primary
 Drinking Water Standards, materials
 produced by EPA's Cancer Assessment
 Group'and, in the case of
 chlorofluorcarbdns, documents
 supporting regulations under TSCA.
   This approach has led to certain
 deletions from the lists of hazardous
 wastes contained in the proposed rules.
 A table accompanying the background
 document sets  forth the disposition  of all
 295 chemicals originally listed in the
 proposed rules. Eight  substances have
 been deleted from the list because they
 did not meet any of the criteria for
 listing hazardous wastes; sixteen were
 deleted because the listing description
 was not precise enough to enable
 generators to determine whether    •
 particular materials fell within that
 description. Examples of these deletions
 are "medicines N.O.S." and,"mo'tor fuel
 antiknock compound." In addition,
 thirty-one substances are not presently
 listed because EPA.lacks data to assess
 the propriety of listing them on the basis
of the listing. These substances are
presently under review by the Agency  to

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Federal  Register / Vol. 45. No.  98 /Monday. May  19. 1980 /Rules and  Regulations
   determine whether they should be
   included on the § 261.33(0 list.
     This process has reduced  the chemical
   products listed, to those substances
   which,are demonstrated to pose a
   substantial threat to human  health or
   the environment. These materials, their
•   off-specification variants, and
   contami'nated residues and debris from
   the spills of these materials are subject
   to full regulation under Subtitle C in the
   same manner as other hazardous
   wastes.
    2. Section 2B1.33(e) (Commercial
   Chemical Products). In considering the
   hazards presented by commercial
   chemical products, EPA recognized.that
   some substances in their pure form
   possessed extremely hazardous
 .  properties. To account for these  •
   substances. EPA has established a new
   criterion for listing which examines the  •
   potentially lethal capacity of chemical
   substances in very small quantities. The •
  basis for this criterion is explained in
  section V.B. above.
   t Applying this criterion to the proposed
  lists of chemicals products has led  the
  Agency to list 122 substances in
  § 261.33(e).  As with the substances
  listed in § 261.33(0. the regulatory
  language has been clarified to restrict
  the application of this section to
  chemical products, or their off-
  specification species, and not to wastes
  which contain these materials as a
  constituents. Because of their acutely
  hazardous nature, however, containers
  and  inner liners which contained these
  materials and spill cleanup debris and
 residues resulting from spill of these
 materials are also included.
   At the suggestion of commenters. EPA
 also  reviewed chemical substances on
 the TSCA inventory list for inclusion on
 the § 261.33(e)  list. A number of those
 substances do  meet the acutely
 hazardous criterion and accordingly
 have been added to the list. However.
 because all interested persons have not
 had an opportunity to comment on the
 listing of these materials, the Agency is
 promulgating them in interim final
 (together with the remainder of Subpart

   The final regulations establish
 stringent quantity cutoff levels for
 materials listed in § 261.33(e). In the
 proposed regulation, all hazardous
 wastes  in quantities generated or   •
 disposed of at rates greater than 100 kg/
 mo were subject to full Subtitle C
regulation. Although the Agency
recognized that many, if not all, of the ."
proposed chemicals listed'possessed
acutely hazardous characteristics, it did
not propose lesser limits for these
substances because the general
exclusion level—less than Vz of a 55
                          gallon drum—appeared sufficient to
                          regulate most of the chemical products
                          that would be thrown away. For the
                          reasons discussed .in section IV. E..
                          above, the general exclusion level  has  .
                          been raised to 1000 kg/mo. This higher
                          level undercuts  the original rationale for
                          proposing a single exclusion level for all
                          hazardous wastes. Many commenters
                          urged that EPA employ a degree of
                          hazard system for determining exclusion
                          levels, for allocating Agency resources
                          and determining priorities, and for
                          establishing management standards.
                          Although EPA is unable to adopt a
                          degree of hazard system, we agree  with
                          the commenters  that considerations of
                          hazard are appropriate in establishing
                          quantity exclusion levels for those
                          substances which posses acutely
                          hazardous properties. The criterion used
                          in listing these substances ensures  that
                          those materials that are listed in
                          § 261.33(e) are those which are lethal in
                          very small quantities.
                           Accordingly, the Agency has adopted"
                         very low exclusion levels for these
                         chemical products and their off-
                         specification variants, containers and
                         inner liners which contained these
                         materials, and spill residues and debris.
                         The selection of these levels reflects the
                         judgment of the Agency that, although
                         even lesser quantities may be
                         hazardous, the levels selected; on the
                         basis of probable exposure scenarios.
                         are sufficient to minimize the threat to
                         human health and the environment
                         while enabling the Agency to implement
                         and enforce these regulations. The one
                         kilogram level for the chemicals will, in
                         the Agency's judgment, bring under  full
                         regulation virtually all of the substances
                         being thrown away. The quantity limit
                         for containers which have not been
                         triple rinsed (20 liters) represents the
                         Agency's judgment of probable exposure
                         and consequential injury from the use of
                         discarded containers. The Agency has
                        •records of damage incidents resulting
                         from improperly disposed containers
                         that occurred when people salvaged
                        large containers for such uses as
                        garbage containers and barbecue pits.
                        The levels chosen for inner liners and
                        spill residue and debris represent the
                        same type of judgment based on
                        probable exposure.
                          A number of commenters suggested
                        that the proposed  rule regarding
                        containers be revised. The proposal had
                        included within its scope all containers
                        which had not been triple-rinsed. Some
                        commenters argued that there were
                        other effective ways of cleaning
                        containers and therefore the rule was
                        unduly restrictive. One commenter
                        pointed out, for example, that the EPA
   registered label for.certain pestic^
   requires different rinsing proce<^^
   from those specified in the nrnnl
   rule. EPA agrees with these'comments
   and has revised the regulation to allow
   other cleaning methods provided they
   are equally effective.             "  "
    The listing of sp.ill residues and debris
   .attracted several comments. One
   commenter suggested that-small
   quantities of contaminated spill clean-up
   be excluded. EPA has. in  the final  "
,   regulation, excluded aggregate amounts
   of less than 100 kilograms. Another
   commenter felt that EPA should define
   the  term "spill debris" more precisely to
   avoid including wrecked rail cars or
   trucks. EPA has chosen not to.exclude
  such debris by definition. If
  contaminated,  these items pose a
  substantial threat to human health and
  the environment and should be handled
  carefully. EPA  presumes, however, that
  in virtually all cases, heavy equipment
  can  be decontaminated and therefore .
•  will not  become part of the
  contaminated debris.
  C. Delisting

   EPA's  proposed regulations contained
  procedures allowing a person to show
  that a listed waste generated  by an
  individual  facility was not hazards
  beause of plant-specific variation/
  raw  materials, processes orotheA__lo
  (§ 250.15). These demonstrations.of non-
  hazardousness  were to be based on the
  results of specific tests for each of the
  hazardous properties for which the
  waste was listed (§ 250:15(a)) and
  submitted and processed in accordance
  with procedures set forth in §  250.15(c]
  through (h) of the proposed regulations.
   Although virtually all commenters
 supported the concept of a "delisting"
 process in principle, most were
 dissatisfied with the specifics  of EPA's
 proposal. Many criticized the delisting
 standards as being too'inflexible, too
 vague, and based on tests which E?A
itself was unwilling to propose as
characteristics or use as listing criteria: •
some specifically urged that other
factors—including how a waste was
managed  at an individual facility—be
considered in  determining whether a
waste should be delisted. Other
commenters objected to-the procedures
themselves, urging EPA to provide trial-
type hearings on delisting petitions,
extensive procedural safeguards and
multiple administrative appeals.
   After re-examining its proposed
regulation and considering public
comments, EPA has concluded th;
delisting procedures should be ie\
and simplified in four major respev.«
   First. EPA has concluded that the
delisting of a waste from a particular

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                 Federal Register / Vol..45. No. 98 / Monday. May 19. 1980 / Rules  and  Regulations
                                                                         33117
    facility is really a modification of its
   • original listing determination and
    therefore should take the form of a
    regulatory amendment to the lists o.f.
    wastes in Subpart D. The informational
    Requirements for petitions to amend
    Subpart D to exclude wastes from a
,    particular generating facility are set
    forth in § § 200.20 and 260.22 of this
    Chapter. EPA will follow the
    Administrative Procedures Act's '•
    informal rulemak'ing procedures .in
    acting on :them (see § 280.20).   ,
     Some commenters argued that EPA's
    delisting regulations should provide for
    elaborate adjudicatqry hearings with
   administrative law judges.:EPA thinks. •
   such' procedures would be unduly costly,
   burdensome and time-consuming and • •
   that the relevant issues can be .
   adequately aired and decidedin
   informal rulerhaking procedures. EPA is
   on firm legal ground in this regard, for
   RCRA requires only informal rulemaking
   here. The Supreme Court has recently
   confirmed that  an agency need not
   provide more formal procedures than
   are specifically required'by statute
   (Vermont,Yankee v. NRDC. 435 U.S. 519
   524(1978)).                           .
    The second major change which EPA
 .  has made in its delisting procedures
   pertains  to the effect of filing a petition.
   In its proposal, EPA stated that a
.   requested exclusion would take effect 90
   days after submission, but that the
   Administrator could revoke the
   effectiveness at any time thereafter
   simply by disapproving the
   demonstration (§ 250.15(d)|. In the
  regulations promulgated today, no    '
 .exclusion will be deemed effective until
  either (i) EPA has taken filial action
  under § 260.20(e), or (ii).EPA has granted
  a temporary exclusion on the grounds of
  substantial likelihood of success under
  §260.22(m).            './.   ,
    EPA has concluded that it would be
  inappropriate to consider a delisting
  petition effective until EPA has taken
  some affirmative action in response.
  Once a listing has been established
  through rulemaking procedures it must
  be presumed valid, and those seeking to
  amend any portion of it should have the '
  burden of establishing the correctness of
  their position. The proposed provision
 allowing a demonstration to become
 effective without EPA action improperly
 shifted the burden. At' the same time
 new § 260.22(m) will benefit generators
 because EPA will be able to grant  .
 temporary exclusions in appropriate
 cases before the rulemaking process is
 complete.
   the third major change -which EPA
 has made to its proposed delisting
 regulations is to key the standards for
 approving a delisting petition to the
   criteria which EPA used to list the waste
   in the first place. This approach not'only
   is, consistent with EPA's decision to"
   treat delisting as a rulemaking, but also
 .' is responsive to commenters' criticisms
   that EPA's proposed .delisting standards
   were unrelated to its listing criteria.
   Moreover, because the listing criteria
   have been substantially clarified and
 .  expanded (see section V.B.), it is also
   responsive to objections that those
   standards were vague, inflexible and
.   failed to consider the multiple factors
 .  which might cause a waste to be
   hazardous.
  ,  Two points concerning the standards
 •  for granting a.'delisting petition are
   deserving of special comment. First, the
   fact that a waste is properly managed  •
   by an individual-facility-is not-grounds- •
   for delisting it, any more than the fact
  ,that a waste is,generally properly   .    •
   managed by industry is grounds for not
  listing it (see sectipn VILA.). Second, in
   the case of a waste which has been
  listed for acute toxicity. a generator will
  be required to show not only that the
  waste does not meet EPA's acute
 • toxicity criterion but also that it does
  not meet its general toxicity criterion.
  Although ah off-specification acutely
  toxic waste or a mixture  containing an
 •acutely toxic waste may no longer be
  deadly, it may still continue to pose a
  substantial hazard to human health and .
  the environment.
   The final major revision which EPA
  has made in its proposed regulations
 relates to the effect of successful
 delisting petition.. Under the regulations
 published today, a decision to exclude a
 waste from the hazardous waste lists in
 Subpart D is not a decision that the
 waste is not hazardous. It simply  . ,
 relegates the waste to the same general
 category as any other unlisted waste—
 i.e.. if the. waste exhibits one of the
 characteristics, it must be regulated as
 'hazardous waste. This approach is
 necessitated by the fact that wastes
 from individual facilities may exhibit
 characteristics not exhibited by waste in
 general and that, in deciding to list a
 waste, EPA has not tested it against
 every one of the characteristics.

 VlII. Environmental, Economic and
 Regulatory Impacts
   In accordance with Executive Order
 11821, as amended by Executive Order
 11949, and Executive Order 12044, EPA
 has prepared an Environmental Impact
 Analysis and a Regulatory Analysis of
 all of its Sectipn 3001 through 3004
 regulations. The Agency has also
 voluntarily prepared an Environmental
 Impact Statement for these regulations
 under the National Environmental Policy
 Act, 42 U.S.C. 4321 el seq.  . ."
    Copies of these documents, and EPA's
  Reports Impact Analysis-and Operations
  Resources Impact.Analysis for Sections
  3001 through 3004, may "be reviewed in
  all EPA Regional Office Libraries, and at
 ' the EPA headquarters library. Room
  2404. 401 M Street, S.W., Washington,
  D.C. 20460.                ••   '

  Appendix A—Scheduled June
  Promulgation           >

 • Generics
  1. Paint residues generated from
    industrial painting              '
  2. Wastewater treatment sludges from
    industrial painting [Comment: The
    above two listing descriptions have
    been changed from those originally
  .. proposed on December-18,-1978 (43 FR
    58957) as: Paint wastes (such as used
    rags, slops latex sludge, spent
    solvent);-Water-based paint waste;
    and  Waste paint and varnish remover
    or stripper.)

 Process Wastes ;

 1. Woven fabric dying and finishing
    wastewater treatment sludges
 2. Mercury bearing sludges from brine
   treatment and mercury bearing brine
   purification muds from the mercury
   cell process in chlorine production
   [Comment: This listing description
   includes two wastes which were
   originally proposed on December 18.
 .  1978  (43 FR 58958) as: Mercury bearing
   sludges from .brine purification muds
   from mercury cell process in chlorine
   production and mercury bearing brine
'   purification muds from mercury cell   '
   process in chlorine production.)
 3. Wastewater treatment sludge from the
   diaphragm cell process using graphite
   anodes in the production of chlorine
   [Comment: This listing description
   was originally proposed on December
   18.1978 (43 FR 58958) as: Wastewater
   treatment sludge from diaphragm cell
  process in production of chlorine.J
4. Chlorinated hydrocarbon bearing
  wastes from;the diaphragm cell
  process using graphite anodes in
  chlorine production [Comment: This
  listing description was.originally
  proposed on December 18,1978 (43 FR
  58958) as: Chlorinated hydrocarbon
  wastes from diaphragm cell process in
  chlorine production.)
5. Wastewater treatment sludges from
  the production of TiO2 pigment using
  chromium bearing ores by the chloride
  process [Comment: This listing
  description was originally proposed
  on December 18,1978 (43 FR 58958) as:
  Chromium bearing wastewater
  treatment slu.dges  from the production   '
  of TiO, pigment by the chloride
  process.)     '        '       ,   .

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Federal  Register / Vol. 45. No.98/ Monday.  May 19. 1980  / Rules and Regulations
    8. Waslewater treatment sludges from
      the production of TiO2 pigment using
      chromium bearing ores by the sulfate
      process (Comment: This fisting
      description was originally proposed
      on December 18.1978 (43 FR 58958) as:
      Chromium bearing wastewater
      treatment sludges from the production
     of TiO» pigment by the sulfate
     process.)
   7. Arsenic bearing sludges from the '
     purification process in  the production
     of antimony oxide
   8. Antimony bearing wastewater
     treatment sludge from the production
     of antimony oxide
   9. Solvent cleaning wastes from paint
    manufacturing'   "
   10. Water cleaning wastes from paint
    manufacturing
   11. Caustic cleaning wastes from paint
   • manufacturing
   12. Wastewater treatment sludges from
    paint manufacturing
   13. Air pollution control sludges from
    paint manufacturing [Comment: The
    above five listing descriptions  have
    been changed from those originally
    proposed on December 18.1978 (43 FR
    58958) as: Wastewater treatment
    sludges from paint production and Air
    pollution control sludges from paint
    production.]          .
  14: Still bottoms from aniline production
  15. Sludges, wastes from tub washers
    (Ink Formulation)
  16. Coking: Decanter tank tar/pitch/  •
    sludge (Comment: This listing
    description includes two wastes
    which were originally proposed on
   December 18.1978 (43 FR 58959) as:
   Coking: Decanter tank tar and Coking:
   Decanter tank "pitch sludge.)
 17. Spend potliners (cathodes) from
   primary aluminum production
 18. Lead bearing wastewater treatment
   sludges from gray iron foundries
 19. Arsenic or organo-arsenic containing
   wastewater treatment sludges from
   the production of veterinary
   Pharmaceuticals
 20. Distillation residue from the
   separation of chlorobenzenes in the
   production of chlorobenzenes
   [Comment: This listing description
   was originally proposed on December
   18,1978 (43 FR 58958) as: Distillation
   residues from fractionating tower for
   recovery of benzene and
   chlorobenzenes.]
21. Emission control dust/sludge from
   ferrochromium-silicon production
   [Comment: This listing description
   was originally proposed on December
   18.1978 (43 FR 58959) as:
  Ferrochromesilicon furnace emission
  control dust or sludge.)
22. Emission control dust/sludge from
  ferrochrome production [Comment:
     This listing description was originally
     proposed on December 18.1978 (43 FR
     58959) as: Ferrochrome emissions
     control: furnace baghouse dust, and
     ESP dust.)
   23. Emission control dust/sludge from
     ferromanganese production
     [Comment: This listing description
     was. originally proposed on December
     18.1978_(43 FR 58959) as:
     Ferromanganese emission control:
     baghouse dusts and scrub-water .  '
     solids.)

   Appendix B*—Scheduled Fall
   Promulgation

   Generic
   I. Reactor clean-up wastes from the
     chlorination. dehydrochlorination, or
     oxychlorination of aliphatic
     hydrocarbons                     :
 . 2. Fractionation bottoms from the
     separation of chlbrinalion
     hydrocarbons
  3. Distillation bottoms from the
    separation of chlorinated aliphatic
    hydrocarbons
  4. Washer wastes from the production of
    cRIorinated aliphatic hydrocarbons
 • 5. Spent catalyst from the production of
    chlorinated  aliphatic hydrocarbons .
  6. Reactor clean-up wastes from the
    chlorination of cyclic aliphatic
    hydrocarbons         ,
  7. Fractionation bottoms from the
    separation of chlorinated cyclic
    aliphatic hydrocarbons
  8. Distillation bottoms from the
    separation of chlorinated cyclic
   aliphatic hydrocarbons
 9. Washer wastes from the production of
   chlorinated cyclic aliphatic
   hydrocarbons
 10. Spent catalyst from the production of
   chlorinated cyclic aliphatic .
   hydrocarbons
 11. Batch residues from the batch
   production of chlorinated polymers
 12. Solution res'idues from the
   production of chlorinated polymers
 13. Reactor clean-up wastes from the
   chlorination of aromatic hydrocarbons
 14. Fractionation bottoms from the
   separation of chlorinated aromatic
   hydrocarbons
 15. Distillation bottoms from the
   separation of chlorinated aromatic
   hydrocarbons
 16. Washer wastes from the production
   of chlorinated aromatic hydrocarbons
 17. Waste Oil [Comment: This listing
   description was originally proposed
   on December 18,1978 (43 FR 58957) as:
   Waste lubricating oil and Waste
  hydraulic or cutting oil.]

  'Since these wastes will not be promulgated until
the fall, the listing descriptions for some of these
wastes may change as additional information is
gathered.
   18. Polychlorinated biphenyls (PCB) and
     PCB items as defined in 40 CF
     761 [Comment: The Agency i.r,
     in the preamble to the Section",
     regulations (43 FR 58993), their
     intention to integrate the TSCA
     regulations for the disposal of PCB's
     with the RCRA hazardous waste
     regulations.]

   Process Wastes

   1. Sub-ore from underground and,
     surface mining of uranium,
     overburden from surface mining of •   .
     uranium and waste rock from
     underground mining of uranium with a
  .  radium-226 activity in excess of SpCi/
     gm  [Comment: This listing description
     was originally  proposed on December
     18.1978 (43 FR 58958) as: Waste -rock
     and overburden from uranium
    mining.)
  2. Leach zone overburden and discarded
    phosphate ore from phosphate surface
    mining and slimes from phosphate ore
    beneficiation [Comment: This listing
    description was originally proposed
    on December 18, 1978 (43 FR.58958) as:
    Overburden and slimes from
    phosphate surface mining.)
  3. Waste gypsum  from processing
    phosphate ore to produce phosphoric
    acid [Comment: This listing
    description was originally propc
    on December 18, 1978 (43 FR 58
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                 Federal. Register /Vol. 45. No.98 /  Monday.  May  19. 1930 / Rules and Regulations
                                                                           33119
    9. Nickel cadmium battery .production
  .    -wastewater treatment sludges
    10. Lead slag from tead alkyl production
    11. Emission control dust/sludge from
      reverberatory furnace and converters
      from primary copper production
      {Comment: This listing description
      was included in the listing description
      originally proposed on December 18,
      1978 (43 FR 58959) as: Primary copper
      smelting and refining electric furnace
      slag, converter dust, acid plant sludge
     and reverberatory dust.]
     Dated: May 2,1980.
•   Douglas M. Costle,
   Administrator.  '           .
    • Title 40 of the Code of Federal
  . Regulations is amended by adding the .  .
   following new Part,261:.

   PART 261—IDENTIFICATION AND
   LISTING OF HAZARDOUS WASTE

   Subpart A—General
   Sec.
   281.1  Purpose and scope.      '
   281.2  Definition of solid waste.
   281.3  Definition, of hazardous waste.
  261.4  Exclusions.
  281.5  Special requirements for hazardous '
      waste produced by small quantity
      generators;
  261.6'-  Special requirements for hazardous
      waste which is used, re-used, recycled or
      reclaimed.                    ••    •

  Subpart B—Criteria for Identifying the
  Characteristics of Hazardous Wa«t« and for
  Listing Hazardous Wastes
  261.10  Criteria for identifying the
      characteristics of hazardous wastes.
  281.11   Criteria for listing hazardous waste.
  Subpart C—Characteristics of Hazardous
  Waste
  261.20  General.                    '
  281.21  Characteristic of ignitability.
  261.22, Characteristic of corrosivity.
  261.23  Characteristic of reactivity.
  261.24  Characteristic of EP toxicity.
  Subpart D—Lists of Hazardous Wastes
  261.30  General.
  281.31  Hazardous wastes from non-specific
     sources.                 ;
  261.32  Hazardous wastes from specific
     sources.
  261.33  Discarded commercial chemical
     products and associated off-specification
     materials, containers and spill residues.
 Appendices               .          ;
 Appendix I—Representative Sampling
     Methods
 Appendix II—EP Toxicity Test Procedures  .
 Appendix III—Chemical Analysis Test'
     Methods
 Appendix IV—[Reserved for Radioactive
     Waste Tesit Methods]  '
 Appendix V—[Reserved for Infectious Waste
     Treatment Specifications]
 Appendix VI—[Reserved for Etiologic
    Agents]
   Appendix VII—Basis for Listing    ".'..-
   Appendix VIII—Hazardous Constituents
     Authority: Sees. 1006. 2002(aj. 3001. and
   3002 of the Solid Waste Disposal Act, as
   amended by the Resource Conservation and
   Recovery Act of 1976. .as amended (42 U.S C
   6905^ 6912. 6921 and 6922).

   Subpart A—General

   § 261.1  Purpose and scope.
     (a) This Part identifies those  splid  "
   wastes which are subject to regulation
   as hazardous wastes under Parts 262
   through 265 arid Parts 122 through 124 of
  • this Chapter and which are subject  to
   the notification requirements of Section
 '  3010 of RCRA. In this Part:
     (1) Subpart A defines the terms "solid
 :-  waste!' and "hazardous waste,"
   identifies those wastes which are
   excluded from.r'egulation under Parts
  262 through 265 and 122 through 124 and
  establishes special management
  requirements-for hazardous waste
  produced.by small quantity generators
  and hazardous waste which is used, re-
  used, recycled or reclaimed.
    (2) Subpart B sets forth the criteria
  used by EPA to identify characteristics
  of hazardous waste and to list particular
  hazardous wastes.
   (3) Subpart C identifies characteristics
  of hazardous waste..
   (4) Subpart D lists particular
  hazardous wastes.
   (b) This Part identifies only some of
  the materials which are hazardous
 .wastes under Sections 3007 and  7003 of
  RCRA. A material which is not a
  hazardous waste identified in this  part
  is still a hazardous waste for purposes   •
  of those sections  if:
   |l) In the case of Section 3007,  EPA . .
 has reason to believe  that the material
 may be a Hazardous waste within the
 meaning of Section 1004(5) of RCRA.
   (2) In the case of Section 7003,  the
 statutory elements are established.

 §261.2 Definition of solid waste.
   (a) A solid waste is any garbage,
 refuse, sludge or ahy'other waste
 material which is  not excluded under
 § 261.4(a).
   (b) Ah "other waste  material" is any
 solid, liquid, semi-solid or contained
 gaseous material,  resulting from
 industrial, commercial, mining .or
 agricultural operations, or, from
 community activities which:
•  (1) Is discarded or is being
accumulated, stored or physically,
chemically or biologically treated priqr
to being discarded; or
  (2) Has s*erved:its original intended
use and sometimes is discarded; or
  (3}Is a manufacuring or mining  by-'
product and sometimes is discarded.
     (c) A material is "discarded" if it is
   abandoned (and not used; re-used,
   reclaime.d or recycled) by being:  ••
     (1) Disposed of; or         '  .
  .   .(2) Burned or incinerated, except
   where the material is being burned as a
   fuel for the purpose of recovering usable
   energy; or                          :
     (3) Physically, chemically, or
   biologically treated (other than burned
   or incinerated) in lieu of or prior to being
   disposed of.
     (d) A material is "disposed of'  if it is
   discharged, deposited, injected, dumped.
   spilled, leaked or placed into-or on any
   land or water so that such material or
,   any Constituent  thereof may enter the
   environment  or be emitted into the air or •
   discharged'into ground or surface.
   waters.       '
    (e) A "manufacturing or'mining by-
  product" is a  material that is not one of
  the primary products of a particular
  manufacturing of mining operation, is a
  secondary and incidental product of the
  particular operation and would not be
  solely and separately manufactured or
  mined by the  particular manufacturing
  or mining operation. The term does not
  include an intermediate manufacturing
  or mining product which results from
  one of the steps in a manufacturing or
  mining process and is typically
  processed through the.next step of the
  process within a  short time..

  5 281.3  Definition of hazardous waste.
    (a) A solid waste, as defined jn
  § 261.2, is a hazardous waste if:
    (1) It is not excluded from regulation
  as a hazardous waste under § 261.4(b);  '
  and ,
   (2) It meets any of the following
 criteria:
   (i) It is listed in Subpart D  and has not
 been excluded from the lists in Subpart
 D:under §§ 260.20 and 260.22 of this
 Chapter.          '
   (ii) It is a mixture of solid waste and
 one or more hazardous wastes listed in
 Subpart D and has not been excluded
 from this paragraph under § § 260.20 and
 260.22 of this Chapter.
   (iii) It exhibits, any of the
 characteristics of hazardous waste
 identified in Subpart C.    '  '
   (b) A solid waste which is not         >
 excluded from  regulation under
 paragraph (a)(l) of this section becomes
 a hazardous waste when any of the   .
 following events occur:              '
  ,'fl) In the case of a waste listed in •
Subpart D, when the waste first meets..
the listing description set forth- in
Subpart D.
  (2) In the case of a mixture of solid
waste.and one or more listed hazardous
wastes, when a hazardous waste listed

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   33120       Federal Register / Vol.  45. No. 98 / Monday. May 19, 1980 / Rules and Regulations
  . in Subpart D is first added to the solid
   waste.
     (3) In the case of any other waste
   (including a waste mixture), when the
   waste exhibits any of the characteristics
   identified in Subpart C.
     (c) Unless and until it meets the
   criteria of paragraph (d):
     (1) A hazardous waste will remain a.
   hazardous waste.
     (2) Any solid waste generated from
   the treatment, storage or disposal of a
   hazardous waste, including any sludge,
,   spill residue, ash.'emission control dust
   or leachate (but not including
   precipitation run-off), is a hazardous
   waste.
     (d) Any solid waste described in
   paragraph (c) of this section is not a
   hazardous waste if it meets the
   following criteria:
     (1) In the case of any solid waste, it
   Joes not exhibit any of the   '
  characteristics of hazardous waste
  identified in Subpart C.
    (2) In the case of a waste which is a
  listed waste under Subpart D. contains a
  waste listed under Subpart D or is
  derived from a waste listed in Subpart
  D. it also has been excluded from
  paragraph (c) under  §5 280.20 and 260.22
  of this Chapter.           ,    .

  §281.4 Exclusion*.
    (a) Materials which are not solid
  wastes. The following materials are not
  solid wastes for the purpose of this Part
    (1) (i) Domestic sewage: and
    (ii) Any mixture of domestic sewage
  and other wastes that passes through a
  sewer system to a publicly-owned
  treatment works for treatment..
  "Domestic sewage" means untreated
  sanitary wastes that  pass through a
  sewer system.
   (2) Industrial wastewater discharges
  that are point source discharges subject
  to regulation under Section 402 of the
  Clean Water Act. as amended.
  [Comment: This exclusion applies only
  to the actual point source discharge. It
 does not exclude industrial wastewaters
 while they are being collected, stored or
 treated before discharge, nor does it
 exclude sludges that are generated by
 industrial wastewater treatment.]
   (3) Irrigation return flows.
   (4) Source, special nuclear or by-
 product material as defined  by the
 Atomic Energy Act of 1954, as amended
 42 U.S.C. 2011 etseq.
   [5] Materials subjected to  in-situ
 mining  techniques which are not
 removed from the ground as part of the
 extraction'process.
   (b) Solid wastes which are not
 hazardous wastes. The following solid
 wa.stes are not hazardous wastes:
     (1) Household waste, including
   household waste that has been
   collected, transported, stored, treated,
   disposed, recovered (e.g.. refuse-derived
   fuel) or reused. "Household waste"
   means any waste material (including
   garbage, trash and sanitary wastes in
   septic tanks) derived from households
   (including single and multiple
   residences, hotels and motels.)
    (2) Solid wastes generated by'any of
   the following and which are returned to
   the soils as fertilizers:
    (i) The growing and harvesting of
 . agricultural crops.
    (ii) The. raising of animals, including,
  animal manures.
    (3) Mining overburden returned to the
. -mine site.
    (4) Fly ash waste, bottom.ash waste.
  slag waste, and flue gas emission-
  control waste generated primarily from
  the combustion of coal or other fossil
  fuels.
    (5) Drilling fluids, produced waters,
  and other wastes associated with the
  exploration, development, or production
  of crude oil. natural gas or geothermal
  energy.

  § 281.5  Special requirements for
  hazardous waste generated by small
 quantity generators.
    (a) Except as otherwise provided in
.- this section, if a person generates, in a
 calendar month, a total of less than 1000
 kilograms of hazardous wastes, those
 wastes are not subject to regulation
 under Parts 282 through 285 and Parts
 122 through 124 of this Chapter, and the
 notification requirements of Section 3010
 of RCRA.
   (b) If a person whose waste has been
' excluded from regulation under
 paragraph (a) of this Section
 accumulates hazardous wastes in
 quantities greater than 1000 kilograms,
 those accumulated wastes are subject to
 regulation under Parts 262-through 265
 and Parts 122 through 124 of this
 Chapter, and the notification
 requirements of Section.3010 of RCRA.
   (c) If a person generates in a calendar
 month or accumulates at any time any of
 the following hazardous wastes in
 quantities greater than set forth below,
 those wastes are subject to regulation
 under P.arts 262 through 265 and Parts
 122 through 1?4 of this Chapter, and the
notification requirements of Section 3010
of RCRA:
   (1) One kilogram of any commercial
product or manufacturing chemical-
intermediate having the generic name
listed in § 261.33(e).
 •  (2) One kilogram of any off-'
specification commercial chemical
product or manufacturing chemical
intermediate which, if it met
  specifications, would have the gej
  name listed in § 261.33(e).
    (3) Any containers identified
  § 261.33(c) that are larger than 20TrT5rs
  in capacity;                          '
    (4) 10 kilograms of inner liners from
  containers identified under § 261.33(c);
    (5) 100 kilograms of any residue or
  contaminated soil, water or other debris
  resulting from the cleanup,of a spill, into
  or on any land or water, of any •
  commercial chemical product or
  manufacturing chemical intermediate
  having the generic name listed in
  §261.33(e).                      .
    (d) In order for hazardous waste to be
  excluded from regulation under this
  section, the generator must comply with
  §•262.11 of this Chapter. He must also
  either treat or dispose of the waste in an
  on-site facility, or ensure delivery to an
  off-site treatment, storage or disposal
  facility, either of which is:
    (1) Permitted by EPA under Part 122 of
  this  Chapter, or by a  State with a
  hazardous waste management program
  authorized under Part 123 of this
  Chapter;
    (2) In interim status under Parts 122
  and  265 of this Chapter; or,
    (3) Permitted, licensed, or registered
  by a State to manage municipal or
  industrial solid waste.
    (e) Hazardous waste subject tc
 reduced requirements of this se'c'..,^
 may be mixed with non-hazardousr
 waste and remain subject to these
 reduced requirements even though the
 resultant mixture exceeds the quantity
 limitations identified.in this section,
 unless the mixture meets any of. the
 characteristics of hazardous waste
 identified in Subpart C.          •

 § 281.8   Special requirements for
 hazardous waste which Is used, re-used,
 recycled or reclaimed.        .
   (a) Except as otherwise provided in
 paragraph (b) of this section, a
 hazardous waste.which meets either of
 the following criteria is not subject to
 regulation under Parts 262 through 265
 or Parts 122 through 124 of this Chapter
 and is not subject to the notification
 requirements of Section 3010 of RCRA
 until such time as the Administrator
 promulgates regulations to the contrary:
  (1)  It is being beneficially used or re-
 used or legitimately recycled or
 reclaimed.
  (2) It is being accumulated, stored or
 physically,  chemically or biologically
 treated prior to beneficial use or re-use
 or legitimate recycling or reclamation.
  (b) A hazardous waste which is
sludge, or which is listed in Subps
or which contains one or more    ._
hazardous wastes listed in Subpart _,
and which is transported or stored prior

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                Federal Register / Vol.  45. No. .96  /Monday.  May 19. I960 /Rules  and  Regulations        3312
   to being used, re-used, recycled or
   reclaimed is subject to the following
   requirements with respect to such.
   transportation or storage:
     (1) Notification requirements under
   Section 3010 RCRA.
     (2) Part 262 of this Chapter.
 ;. .(3) Part 263 of this Chapter.
     (4) Subparts A. B. C. D and E of Part
   284 of this Chapter.               ,
 ,    (5) Subpaits A. B, C. D, E. G. H. I, J
   and L of Part 265 of this Chapter.
     (8) Parts 122 and 124 of this Chapter,
   with respect to storage facilities.

   Subpart B—Criteria for Identifying  the
   Characteristics of Hazardous Waste
   and for Listing Hazardous Waste   .  :

   $261.10  Criteria for Identifying trie
   characteristics of hazardous waste.
    (a) The Administrator shall identify
  and define a characteristic of'hazardous
  waste in Subpart C only upon
  determining  that:
    (1) A solid waste that exhibits the
  characteristic may:
    (i) Cause, or significantly contribute
  to. an increase in mortality or an
  increase in serious irreversible, or.
  incapacitating reversible, illness: or
    (iij Pose a substantial presenter
  potential hazard to human health or the
  environment when it is improperly
  treated, stored, transported, disposed of
  or otherwise  managed: and
   (2) The characteristic can be:   '
   ' (i) Measured by an available
 standardized test method which is
 reasonably within the capability of
 generators of solid waste or private
 sector laboratories that are .available to
 serve generators of solid waste; or
   ,(ii) Reasonably  detected by generators
 of solid waste through their knowledge "
 of their waste.       .  .

 §261.11  Criteria for listing hazardous
 waste.     •  '      -   ' .  . •
   (a) The Administrator shall  list a solid
 waste as a hazardous waste only upon
 determining that the solid waste meets
 one of the following criteria:
   (1) It exhibits any of the
 characteristics of hazardous waste .
 identified in Subpart C.
   (2) It has been found to be fatal to
 humans in low doses or, in the absence
 of data on human toxicity, it has been
 shown in studies to have an oral LD 50   .
 toxicity (rat) of less than 50 milligrams
 per kilogram, an inhalation LC 50  '
.toxicity (rat) of-less than 2 milligrams
 per liter, or a dermal LD 50 toxicity.
 (rabbit) of less than 200 milligrams per
 kilogram or is  otherwise capable'of
 causing or significantly contributing to
 an increase in serious irreversible, or
 incapacitating reversible, illness. (Waste
   listed in accordance with these criteria
   will be designated Acute Hazardous
   Waste:)              :.       .  ,  j
     (3) It contains any of'the toxic
   constituents listed in Appendix VIII
   unless, after considering any of the
   following factors, the Administrator
   concludes that the waste is not capable
 '  of posing a substantial present or
  •potential hazard to human health or the
   environment when improperly treated,
   stored, transported or disposed of, or
   otherwise managed:    :
    (i) The nature of the toxicity presented
   by the constituent.
    (ii) The concentration of the
•  constituent in the waste.   ,     '   '
    (iii) The potential of the constituent or
  any toxic degradation product  of the
  constituent to migrate from the waste
  into the environrrierft under the types of
  improper.management considered in
  paragraph (a)(3)(vii) of this section.
    (iv) The persistence of the constituent
  orany toxic degradation product of the
  constituent.  •,  -       , .      •
    (v) The potential for the constituent or
  any toxic degradation product of the
  constituent to degrade into non-harmful
. constituents and the rate of degradation.
    (vi) The degree to which the      f
  constituent or any degradation  product
  of the constituent bioaccumulates in
  ecosystems.                      \   •
    (vii) The plausible types of improper
  management to which the waste could
  be subjected.   •          •
    (viii) The quantities of the waste
 generated at individual generation sites
 or on a regional or national basis.
    (ix)The nature and  severity of the
 human health and environmental
 damage that has occurred as a result of
 the improper management of wastes
 containing the constituent.  '
    (x) Action taken by  other
'governmental agencies or regulatory
 programs based on the health or
 environmental hazard posed by the
 waste or waste constituent.
   (xij Such other factors as may be
 appropriate., '             .    :
 Substances will be listed on'Appendix
 VIII only if they have been shown in
 scientific studies to have toxic,
 carcinogenic, mutagenic or teratogenic
effects on humans or other life forms.
   (Wastes listed in accordance w;ith
 these criteria will be designated Toxic
wastes.)
   (b) The Administrator may list classes •
or types of solid waste as hazardous   .
_ waste if he has reason  to believe that
individual wastes, within the class or
type of waste, typically or frequently are
hazardous under the definition of
hazardous waste found in Section
1004(5) of the Act.
    (c) The Administrator will use the
  criteria for listing specified in this  .   . •
  section to establish the exclusion limits
  referred to in § 261.5(c).

  Subpart C—Characteristics of
  Hazardous Waste

  §261.20  General.           ;
•   , (a) A solid waste, as defined .in
  § 261.2. which is  not excluded from
  regulation as a hazardous waste under
  § 261.4(b), is a hazardous waste if it '
  exhibits any of the characteristics-
  identified in this  Subpart.

  (Comment: § 262.11 of this Chapter set's
  forth the generator's responsibility to
  determine whether his waste exhibits
  one or more of the characteristics
.  identified in this Subpart)
    (b) A hazardous waste which is   :'
  identified by a characteristic in this
  subpart, but is not listed as a hazardous
  waste in Subpart  D, is assigned the EPA
  Hazardous Waste Number set forth in
;  vthe respective,characteristic in  this
  Subpart.'This number must be used  in •
'  complying with the. notification
  requirements of Section 3010 of the Act'
  and certain recordkeeping and reporting
  requirements under Parts 262 through
  265 and Part 122 of this Chapter. " .  '
   •{c) For purposes of this Subpart, the
  Administrator will consider a sample
  obtained using any of the applicable
 sampling methods specified in Appendix
 I to be a representative sample within •
 the meaning of Part 260 of this Chapter.
 [Comment: Since the Appendix I
 sampling methods.are npt being formally
 adopted by the Administrator, a person.
 who desires to employ an alternative
sampling method is not required to
demonstrate the equivalency of  his
method under the  procedures set forth in
 § § 260.20 arid 260.21.)

§ 261.21  Characteristic of ignitability.
   (a) A solid waste exhibits the
characteristic of ignitability  if a  '
representative sample of the waste has
any of the following properties:
  (1) It is a liquid,  other than an  aqueous
•solution containing less than 24 percent
alcohol by  volume, and has a flash point
less than 60°C (140°F), as determined by
a Pensky-Martens  Closed Cup Tester.
using the test method specified in ASTM
Standard D-93-79, or a Setaflash Closed
Cup Tester, using the test'method   '
specified in ASTM standard  D-3278-78,
or as determined by.an equivalent test
method approved by the Administrator
under the procedures set forth in
§§ 260.20 and 260.21.'
  'ASTM Standards are available from ASTM
1916 Race Street. Philadelphia. PA 19103.

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   33122        Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 /.Rules and Regulations
     (2) It is not a liquid and is capable.
   under standard temperature and
   pressure, of causing fire through friction,
   absorption of moisture or spontaneous
   chemical changes and, when ignited,
   burns so vigorously and persistently that
   is creates a hazard.
     (3) It is an ignitable compressed gas as
   defined in 49 CFR 173.300 and as
   determined by the test methods
   described in that regulation or
   equivalent test methods approved by the
   Administrator under 5 § 260,20 and
   260.21.
    (4) It is an oxidizer as defined in 49
   CFR 173.151.
    (b) A solid waste that exhibits the
   characteristic  of ignitability, but is not
   listed as a hazardous waste in Subpart
   D, has the EPA Hazardous Waste
  Number of D001.

  5 261.22   Characteristic of corro«tvtty.
    (a) A solid waste exhibits the
  characteristic of corrosivity if a
  representative sample of the waste has
  either of the following properties:
    (1) It is aqueous and has a pH less
  than or equal to 2 or greater than or
  equal to liS, as determined by a pH
  meter using either the test method
  specified in the 'Test Methods for the
  Evaluation of Solid Waste. Physical/
  Chemical Methods" * (also described in
  "Methods for Analysis of Water and
  Wastes" EPA 600/4-79-020. March
  1979), or an equivalent test method
  approved by the Administrator under
  the procedures  set forth in § § 260.20 and
 260.21.
   (2) It is a liquid and corrodes steel
 (SAE1020) at a rate greater than 6.35
 mm (0,250 inch) per year at a test
 temperature of 55*C (130T) as
 determined by the test method specified
 in NACE (NationalAssociation of
 Corrosion Engineers) Standard TM-01-
 69 3as standardized in 'Test  Methods
 for the Evaluation of Solid Waste.
 Physical/Chemical Methods." or an
 equivalent test method approved by the
 Administrator under the procedures set
 forth in § § 260.20 and 260.21.
   (b) A solid waste that exhibits the
 characteristic of corrosivity. but is not
 listed'as a hazardous waste in Subpart
 D. has the EPA Hazardous Waste
 Number of D002.
  'Thia document is available from Solid Waste
Information. U.S. Environmental Protection Agency
28 W, St. Clair Street. Cincinnati. Ohio 45268
  'The NACE Standard is available from the
National Association of Corrosion Engineers P O
Box SSO. Kaly. Texas 77450.
    § 261.23  Characteristic of reactivity.

     (a) A solid waste exhibits the
    characteristic of reactivity if a
    representative sample of the waste has
    any of the following properties:
     (1) It is normally unstable and raadily
    undergoes violent change without
    detonating.     :
     (2) It reacts violently with water.
     (3) It forms potentially explosive
   mixtures with water.
     (4) When mixed with water, it
   generates toxic gases, vapors or fumes
   in a quantity sufficient to present a
   danger to human health or the
   environment
  .  (5) It is a cyanide or sulfide bearing •
   waste which, when exposed to pH
   conditions between 2 andl2.5, can-
   generate toxic gases, vapors or fumes in
   a quantity sufficient to present a danger,
   to human health or the environment.
    (6) It is capable of detonation or
   explosive reaction if it is subjected to a
   strong initiating source or if heated
   under confinement.
    (7) It is readily capable of detonation
  or explosive decomposition or reaction "
  at standard temperature and pressure.
    (8) It is a forbidden explosive as
  defined in 49 CFR 173.51. or a Class A
  explosive as defined in 49 CFR 173.53 or
  a Glass B explosive as defined in 49 CFR
  173.88.
    (b) A solid waste that exhibits the
  characteristic of reactivity, but is not
  listed as a hazardous waste in Subpart
  D. has the EPA Hazardous Waste
  Number of D003.
 §261.24  Characteristic of EP Toxiclty.
   (a) A solid waste exhibits the..
 characteristic of EP tpxicity if. using the
 test methods described fn Appendix II
 or equivalent methods approved by.the
 Administrator under the procedures set
. forth-in §§ 260.20 and 260.21, the extract
 from a representative sample of the
 waste contains any of the contaminants
 listed in Table I at a concentration equal
 to or greater than the respective value -
 given in that Table. Where the waste
 contains less than 0.5 percent filterable
 solids, the waste itself, after filtering, is
 considered to be the extract for the
 purposes of this section.
   (b) A solid waste that exhibits the
 characteristic of EP toxiciry, but is not
 listed as a hazardous waste in Subpart
 D, has the EPA Hazardous Waste
 Number specified in Table I which
 corresponds to  the toxic contaminant
 causing it to be hazardous.
         Tabta I.—Maximum Concentrate
    Contaminant* for Characteristic of EP
                   Continued  '
EP* Maximum
Hazardous Contaminant concentration
****• • (milligrams
nu™er . . pec liter)
0004 •
DOCS 	
• DOO8._
D007.
D008 	
DOO9.
0010 	
D011 .
0012 	




OO1f»


0014 	

D0 15 	



D016 	


0017 	

— Arsenic 	
Barium 	 .....
	 Cadmrtjm...

	 Lead 	 „....

Sternum 	
S»ver 	 	
	 '. "Endnn (1.2.3,4.10.10-
hox»dhioro-1.7-9poxy.
1.4.4aj.6.7,8.8a-
octanydro-M-endo. endo-
5.8
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                   ^Federal Register  /  Vol.  45. No. 98  /  Monday, May 19.1980  /Rules and Regulations            33123

  § 281.31  Hazardous waste from nonspecific sources.
         Industry and EPA
       hazardous waste No.
                                                                                  Hazardou* waste
                                                                                                                                                    Hazard code
  Sonaric.
     F001_
     F002_

     F003.
     F006_
     F0b7_
     F008
     F009
     F010
     F011
     F012
     F013
     F014
     F01S
     F016
                                                                         LJlli'S!!^*^                                                         m
                                                                         md sludges from the recovery of these solvents in decreasing operations
                                                                           , methylene  chtonde. tncWoroethylene.  1,1.1-tncnloroatnane,  chlorobenzene, 112- •. m
                                                                           tllswt/b wnmJ»«>tM.u. ~^J »»._ _^n t- _ ^ •_ _   .    ..      .           WW%M »*o> ro, (, i ,t,  ' I I /

                                                                       ir*—w, ~—»~i-»~, >._	^          	> recovery of these solvents	
                                                                       ttuene^nethyl ethyl Krtcoe, methyl isobutyl ketone, carbon doutfide, -tsobutanol, pvndina
                                                        from eSoctropiatng operations
.  Spent pteiing bemsoiutiora from etectrcolating operations	,	
.. Plating .bath skjdges from the boccm of ptobng baths from ei»c6oplatiog operabons
•  SDe**"***)'nO anictoaningbamsotuUonsfrom electroplating operations	Z
.  Quanehing bath sludoe from oi baths from metd heat treafing cpsratJorsZZZZZ
i  Spent sc*j»ona from ssB bath pot ciserang from metal heat treating operaoona	1_
.  O>snchmg ncstewaler treatment siudges,from matb heat Heating opera'twns	
. Flotation tadhga from selective flotation from mnerai metals recovery operations	
  Cyemtefan westeBratsr treatment taSng pond sectmeol from rranerd metais
  Spent cyar»Jo'bath sofcjopns from tntfxtfttl mstajs recovery operations..:.
                                                                                              'ecovery operations..
                              Dewmlenkl air patuoan control ecrubber sludges from coke ovens and blast furnaces-
                                                                                                                                                    m
                                                                                                                                                    d.'T)
                                                                                                                                               	   TO
                                           (a n
                                           (Hi T)
                                            acrvtonrWe ______ ."ZIZZI"""'"" ...... ............... " ...........................     '
                                                                 n.In«PnxJuctKXirtaaylonrtr»e...... __ _          ................. " ................... V ......... ' .............. —   JI1 _
                                            aoetronrtr*. punficakon column n the production o< acryfonrMe ___ Z      : ------ ~~'~~ ....... ' ............. -"' ......................   £ T)-
                                                              y) chlonde ________________ ;_L__ ___ _ZZZZZI'""IZrZZ ------------ ' ------ '"'"" — ....... :-•"-   HI
                             Heavy ends («* bottoms) from the purification column
                                                                    produet
                                                                 achtonde n ethytene **(or^,produ«orZ                                    '

                                                                                                        '     ; ..................... '" .......................................... "•"'•"   2J
                                                                                romcurnene...  __  ----------------- ' ------- "'' ..... " .................... ' .....  " ...... ' ..... "
                             Oe«abon ^Mendtlroai the production of pwhttc v^ydnd. from naphthalene ZZZ
                             J^^<»<»™ on ****>"* <"*« <"• Procucoon of rWrooemeneby the nrtra.c.rofb«raen," ----------------- " ------ ......................... " ............. ------- '""--   m'
                             Slnppng M.U.. from Ih. production of m«hyl ethyl pvnd«. !Z._  ""*""• ---------- ™: ------------------- • ----------------- ..............................   (T)
                             Centrifuge resxJue from toluene doocyanaU production _____ .'......:...                ...................        " — ........... ' ................... : ................   J?
                                                                                                                         ............................ •••••• ...............   s
                                                  eam stnpper n ttie production of 1.1,t-tnchloroethane ____ ........ „   ...„ .......... ZZ —  -™:™ .......... •• ---------- ..........   U>


                             By-products salts generated in the production of MSMA and  caeodySc aod ....._'..„    .                      .                       m
                             Waste«atar treatment sludge from the production of chtordane..: _____ ; ___     _  ....... ~ -------------------- ' ------------------- ' --------------------------  S
                                                                       ' <^*p«««»«« « d^"^^                     ________ ....................... •-    ......................... ' ------  m •
                                            ent sludges generated in me production of creosote _______                 .               ......................... : ------------  IL'
                                            o^ reciamaton d«*.non in the product™ of  c«Urfoton..:ZZZZZZZZZZZZZZ: -------- " .......................... "~~  S
                            Wastewater treatment sludges trom  the producton of oautfoton. ______                               ; ................... • ................................  2J
                            Wa*.«l« from the mining and «npo«g of phorate produrton __________ ZZZZZZZZ --------- .............. ------- .................... " ........................  £
                            *£££^'!Z!!!!^'^^                      * «» Pfoouctxxiof phonite.. ...... ZZZ."ZZZ"Z    ............. " ....................... "  m
                            Wastewater treatment sludge from the production of phorata.._                                           ............... ""' ......................   52
                            Wastewatsr treatment sludge from the production of toxaphene _____   -"—•—•-          • ---- ....... - ...................... . ......... ...... ....................   (T)

                                                                                                                                                  m
                                                                                                    ............. ' ...... • ....... •• ........ - ........ _ ..........................................   f)

                                                                                                    ______            ,              "                ,„.
                                                       of wutawatar contawng explosives.. ....... ZZT^         ' ......................... : ................................. " .............    2

                                                                                                                                                 XT)

                    ' ---- Dissorved air flotadon (DAF)1 'float from the petroleum refining  industry                                 ,                          '   „, '
                            S^ <^ em"l«« scJids from the petroleum refining industry          ' .................       f   '""      ....................................... ' ....................   f
                            Heat exchanger bundle cleaning sludge from the petroleum refinin^inAi'ttyZZZZ".' ................... " ............ """"'"" ..... ~ .........................................   S
                            API separaior sludge from the petroleum refining industry..                          .............. -------------- ............................................. t"~   m
                    '        T"* b°tt°m' (l8aded) fTOmTa *""*"«> fe(Wn9 >r>*«t7y _______ ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ ....... •  (T)

                            °r^rr^^                                                                                         en

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  33124
Federal Register / Vol. 45. No. 98  / Monday,  May  19,  1980  / Rules and Regulations
  § 261.32  Hazardous waste from specific sources. —Continued
industry and EPA
hau/dous waste No
K054m. „.__.._.„„,„ 	
Kfl55 	
K056 ,„,„.„._' „_„....
K057._ 	 . 	
KOS8™.
K059™ ._ .
Iron and Sleet
K060 	 -. 	 ...
K082 ,„___..._,, 	
Pnnu/y Copper K064 — „.
Pnrrury Lwtfc K085 	 ,.
Pnmary Z«z
K068 , 	 	
K067 	 „__ 	 „_. 	
K068 ............ 	 	 	 . 	
Secondary Lead. K069 .._ 	
Hazardous waste
— 	 Chrome (bfue) shavings generated by the following subcategones of .the leather tanning and finishing industry: hair pulp/chrome tan/retan/
wet finish; hajr save/chrome tan/retan/wet Imish: retan/wet finish: no beamhouse; Ihrough-the-blue; and shearling
	 Buffmg dust generated by the following subcategones of the leather tanning and finishing industry: hair pulp/chrome tan/retan/wet finish-
ha» save/chrome tan/retan/wet finish: 'retan/wet finish: no beamnouse: and throuqh-ihe-blue.
fnrsh: to* save/chrome tan/retan/wet finish: retan/wet fintsh; no beamhouse: through-the-fclue: and shearling.
	 Waitewater treatment sludges generated by me following subcategooes of the leather tanning and finishing industry hair pulp/chrome Ian/
retan/wet Utah: ha* save/chrome tan/retan/wet fineh: retan/wet finish: no beamhouse: through-lhe-Wue and shearling.
retan/wet finish; h»r save/chrome tan/retan/wet finish; and through-the-blue.
	 Wastewster treatment sludges generated by the folkwrng subcategory ol the leather tanning and finishing industry: hair save/non-chrome
tan/retan/wet rVtsh. '
	 Ammome ttit lime sludge from coking operations
	 Spent pickle tqucr from tleel fr»«r»ng operations. . . 	 ' 	
	 Aod plant btowdown slurry/sludge resulting from the ttuckerwig of btowdown slurry from primary copper production
	 Surface impoundment »o*di contained n and dredged from surface impoundments at primary lead smelting facilities
— :-. Sludge from treatment ol process wsstewater and/or aod plant bkswdown from primary zinc production
... 	 Electrolyte anode tJtfnes/sJudges from pnmary zmc production
... — ... Cadrnum plant leach readue (ton oxide) from pnmary unc production
	 	 Emission control dust/sludge from secondary lead smelting
^^^Hjode
fn .
CO
. OV -
.m . '
.(B. T)
(R)
(T)
m
1C. T)
(T)
m
m
m ;
(T)
m
m
 § 261.33  Discarded Commercial Chemical
 Products, Off-Specification Species,
 Containers, and Spill Residues Thereof.
   The following materials or items are
 hazardous wastes if and when they are
 discarded or intended to be discarded:
   (a) Any commercial chemical product.
 or manufacturing chemical intermediate
 having the generic name listed in
 paragraphs (e) or (f) of this section.
   (b) Any off-specification commercial
 chemical product or manufacturing
 chemical intermediate which, if it met
'specifications, would have the generic
 name listed in paragraphs  (e) or (f) of
 this section.
   (c) Any container or inner liner
 removed from a container  that has been
 used to hold any commercial chemical
 product or manufacturing chemical
 intermediate having the generic name
 listed in paragraph  (e) of this section.
 unless:        •             ;
   (1) The container or inner liner has
 been triple rinsed using a solvent
 capable of removing the commercial
 chemical product or manufacturing
 chemical intermediate:
   (2) The container or inner liner has
been cleaned by another method that
has been shown in the scientific
literature, or by tests conducted by the
generator, to achieve equivalent
removal; or
   (3) In the case of a container, the inner
liner that prevented contact of the
commercial chemical product or
manufacturing chemical intermediate
with the container, has been removed.
   (d) Any residue or contaminated soil,
water or other debris resulting  from the
cleanup of a spill, into or on any land or
water, of any commercial chemical
product or manufacturing chemical
                           intermediate having the generic name
                           listed in paragraphs (e) or (f) of this
                           Section- '
                           [Comment: The phrase "commercial  .
                           chemical product or manufacturing
                           chemical intermediatehaving the
                           generic name listed in.  .'." refers to a
                           chemical substance which is
                           manufactured or formulated for
                           commercial or manufacturing use. It
                           does not refer to a material, such as a
                           manufacturing process waste, that
                           contains any of the substances  listed in
                           paragraphs (e) or (f). Where a
                           manufacturing process waste is deemed
                           to be a hazardous waste because it
                           contains a substance listed in
                           paragraphs (e) or (f). such waste will be
                           listed in either §| 261.31  or 261.32 or will
                           be identified as a hazardous waste by
                           the characteristics set forth in Subpart C
                           of this Part.]
                            (e) The commercial chemical  products
                           or manufacturing chemical
                           intermediates, referred to in paragraphs
                           (a) through (d) of this section, are
                           identified as acute hazardous wastes
                           (H) and are subject to the small quantity
                          exclusion defined in § 261.5(c). These
                          wastes and their corresponding .EPA
                          Hazardous Waste Numbers are:
                        Hazardous
                        waste No
                                        —Continued
                                            Substance '
                          Hazardous
                          waste No.
Substance1
                                  1080 see PO58
                                  1081 see P057
                                  (Acetatojphenylmefcury see P092
                                  Acetone cyanotiydnn see PO69
                          P001	S^aJpha^Acetonylbertt^H-riydroxycoumann and
                                   salts
                                  1-Acelyl-2-thjoure«
                                 . Acrotem          •  -• -
                                  AgamseePO07
                                  Agrosan GN 5 soe PO92
                                  Akicarb see P069
                                  AMrfen see PO48   -
 •P004	Aldrm
          Algimycin see P092
 POOS	 Alryl alcohol
 POOS	 Aluminum phosphide (R)
          AUVITseeP037
          Ammoethylene see P054
 P007	 5-(Aminomethyi)-3-isoxazolol
 P008	 4*Aminopyndine
          Ammonium metavanadate see PI ij
 P"009	 Ammonium ptcraie (R)
          ANTIMUCIN WDR see P092
          ANTURAT see P073
          AQUATHOL see POSa •
          ARETlT.see P020
 P010	 Arsenic acid
 P011	 Arsenic pentoxide             ' •
 P012	 Arsenic tnoxide
          Athrombin see P001
          AVITROL see POOS
          Azmdene see P054
          AZOFOS see PO81
       .   Azophos see P061
          BANTU see P072
 P013	 8anum cyanide •
          8ASENITE see P020
          BCME see P016
 P014	 BenzenethKH
         Benzoepin see P050 •     •
 P01S	 Beryllium dust
 P016	 Bisfchloromethyl) ether
          BL4DAN-M see P071
 P017	 Bromoacetone-
 P018	 Brucine
 P019	 2-Butanone peroxide
         BUFENseeP092
         Bulaphene see PO20
 P020	 2-sec-8utyW,6-
-------
                                  FederaJ.Register /.Vol.  45.  No.; 98 7  Monday. May  19.  1980  /Rules and
                                                                                                                                                                33123
                 Hazardous
                 waste No.
                             Substance '  .
                                                         Hazardous
                                                         waste No.
                                                                    Substance '
                                                                                                                        Hazardous
                                                                                                                        waste No.
                                                                                                                        Substance '
                 P031..
                 P032_,
                 P033.;.

                 P034...
                P035_
                P036


                PO37.


                P038
                P039


                P0<0_
                P041__
                P042._


                P043_
...  Cyanogen    .
...  Cyanogen bromide
...  Cyanogen chlonde.
   Cyclodan see POSO
-.  2-Cy<*5heiyW.6-dmitroohenoi
   O-CON see POOl
   DETHMOH see POOt
.   DETHNEL see POOl '•
   DFP sra PO43       :
••  2.4-Oertorophenoxyacetic aod (2.4-O)
-  OcttorophenylanBn*
  Oicyanogen.se* P031
_  DMdnh
  OIELDREX M» P037
..  Dethytarwa  .     .

 •  phorothioic aod
.  0.0-OielriyHH2-pyr«zirTyOphoaprioi ufl Male
.  0.0-Oieihyl phosphoric acid. 0-p-nrtrophmyl estor
•  3.4-CSiydro*y-«jph^n»thylamBX>HTxHrtyl benzyl
   Efconol            •                "
..DUaopropyfflucropouHinaae
 CXM£TATE Ma P044
  M:5J-Oirf»m«iui'iaphlhal»n«.    1.2.3.4.10,10-

   .endo Me P080          .    .      '"^
 Dimethoat*
                                                                    P065....
 P06S..
 POS7_

I P088_

 P069_
 P070_
                                                                   P071..
               P04S
               P047,
               P048
               P04S_
 f>i*ocycloh»xylpri«nol Me P034
 4.8-Cwtto-c-cresol and salt*
 2,4-Oinftrophenol
'CHNOSEB M. P020     '     '
 DINOSEBE Ma P020
 Diaultoton M* P039
 2.4-OrthiobuM
 ONBPMePOJO
 DQUX3 MOOSE CEREAL Ma P108 '
DOW GENERAL Me P020
DOW GENERAL WEED KILLEB M. P020
DOW SELECTIVE WEED KILLER Me P020
DpWCIDe G M* POSO
                                        P001
                                       PO01
                        EASTERN STATES OUOOOE
                        ELGETOL M* P020
                        Endoaultan
                        Endnn '
                        Epinaphme Me PO42
                        Ethylcymj*
                                                                  MALIK see POfO
                                                                  MAREVAN see PCX31
                                                                  MAfllFHIN see P001
                                                                  MARTIN'D MAR-FRiN see PO0 1
                                                                 ' MAVERAN see POOl'
                                                                ,  MEGATOX see POOS
                                                                ... Mercjxy fmmmaw
                                                                  MERSOLITE see PO92     •.  •
                                                                  METAC1D 50 see P071        "
                                                                 . METAFOS see P071 •
                                                                  METAPHOR see P071
                                                                  METAPHOS see P071
                                                                  METASOL 30 see PO92
                                                                  Methomyt              •
                                                                  2-Mettiy(Jaznclin«'
                                                                  METHYL^ 605 s«a P071
                                                                  M«tnyl hydrazms
                                                                  Methyl isocyahats >ea P064
                                                                 2-Mettiytiectonrtnie       '     •
                                                                   (nwttiylcartjooyl)
                                                                 METHYL NIRON M9 P042
                                                                 Methyl perathion
                                                                 METRON K* P071
                                                                 MOLE DEATH m P-108-
                                                                 MOOSE^OTS t~ P108 :
                                                                 MOUSE-RID SM P108
                                                                 MOUSE-TOX Me P108
                                                                 WUSOUOL Me P007
                                                                 l-Napnthyt-2-ineurM.
                                                                 Nickel cartionyl
                                                                      '         •
                                                      P102...
                                                                , Ncotn* and safta
                                                                 Ndnconde   ' "
                                                                 D-Nnraandin*
                                                                 NHrogan dkmde
                                                                Hrtiogen
                                                                                    m» (R)
                                                                           • N-Nitro»c.2-Propanediol
        Propargy! alcohol see P102
        Propiofiitnle      .. • .       ,   . '
                                                                                                                       P1O3
                                                                                                                      P105

                                                                                                                      P109
                                                                                                                      P107
                                                                                                                      PI 08.
                                                   P109
                                                   P110
                                                   PI'11.
                                                                                                                     P113.
                                                                                                          P114.
                                                                                                          P11S.
                                                                                                         pne.

                                                                                                         P117
                                                                                            P119
                                                                                            P120
P121..
P122..
    	«.  2-Propyn-1-o1
      .   PROTHROMAOIN See P001
        .QUICKSAM see POS2
         OUINTOX see P037'
         RAT AI^ID MICE BAIT see POOl
        •RAT-A-WAY see POOl   .        ,
         RAT-B-GON see P001
         HAT-O-CIOE #2 see P001
         RAT-GUARD see POO I
       :  RAT-KILL see POO!
         RAT-MIX see P001
         RATS-NO-MORE sea P001
         RAT-OLA' sea PO01
        RATOHEX see PCXJ1 '
        RATTUNAL see P001 .
        RAT-TROL.se«P001
     .   RO-DETH see PO01
        RO-OEX see P108  .    '
        ROSEX see P001
        ROUGH 4 READY MOUSE MIX see PO01
        SANASEED see PI 08
      .  SANTOB'RITE see POSO           • •    •
       SANTOPH.EN see POSO
        SANTOPHEN 20  see POSO
       SCHRADAN see P085
  .-.._.... Selenouraa
  —'_. Silver Cyanide
      ' SMITE see P105  .                ...
       SPARIC see P020
       SPOR-KIL see P092   .    •           '
       SPRAY-TROL BRAND ROOEN-TROL see POOl
      ' SPURGE see P020
  	. 'Sodium made        '
       Sodium coumadin see POOl '         .
  	Sodium cyanide
     ,  Sodium fluoroacetate see P056
      '-SODIUM WARFARIN »e» P001
       SOLFARIN see POOl
    .   SOLFOBLACK B8 M« P048
       SOCF06LACK SB see  P048        •     •
  	StnxrtiomiuHide
  -..-.. Strychnin* and talta
       SUBTEXM«POZO      .
       SYSTAMMePOSS       '
       TAG FUNGIODE see Pogz
       TEKWAISA Me P071
      TEMIC Me P070
      TEMIK M« P070
      TERM4.TROL Me POSO          ' .   •
  	 T«
-------
33126
(f) The commercial chemical products
or manufacturing chemical
intermediates; referred to in paragraphs
(a), (b) and fd) of this section, are
identified as toxic wastes (T) unless
otherwise designated and are subject to
the small quantity exclusion defined in
.§ 261.5 (a) and [b]1. These wastes and
their corresponding EPA Hazardous
Waste Numbers are:
Hazardous • Subctance1
Wetle No.
AAFteeUOOS
U001 — ,._ AcetakJehyce
O002 	 Acetone (1) '
O003.,™_ AceUntnle (l.T)
U004 	 Acetophenone
UOOS___ 2-Aeetytamnoflourene
UX)9 	 Aceiyl cNonde (C.T)
U007 	 Acrylamde
Acetylene letrmchlonde Me 0209
Acetylene tnchionde see U228
U008, 	 , Acrytc aod (1)
UOOS.»™» Acryionrtnle
AEROTHENE TT see U22«
3-Arnnc-SHc-Katarradopnenyl)- 1 H- 1 ,2.4-tnazole.
hydrate see Don
O010_._ 6-Amno-1.1a.2.8.8a.Bc-he)cahydro-8.
{nyOrcxyrnethyi)8-lorc-o-loludinehydrcchlorioa
0050 	 Chryseoe
C .1. 23060 sea DO 73 *
O051..HHM. Oeaole
0052, 	 Cretots
OOSS^M..^ Crolonaloenyde :
UOS4,_... Cresyfacaod
U055 	 Cumene
Cyanomethane see U003
0058,..™. Cyctoriexane (1)
O057_.__ Cyclohexanone (1)
0058™.™ CyclopoospnanwJe
OOS9_™. Oaunornycxi ,
O060.™__ DOO
Hazardous Substance1
Waste No. _
j U061 	 DDT
, U062..- 	 Diallate
1 U063 	 Otbenzta.hlanthracene
• 0>benzo[a.n]anthracone see U063
UO64 	 DibenzoCa.t)pyrene
U065.._ 	 D*romochkxomethane
UO68 	 .'. 1^-Dibromc-3-chioroprccane
U067 	 1.2-Bbr6moethane
U068 	 :. Dibrbmomsthane ,'
UO69 	 _ Dt-n-butyl phthalate
U071 	 	 1.3-acntorooenz»ne '
U073 	 3.3"-f>cftloroberaxine
U074_.'. — 1.4-Dichlorc-2-buter>e
3.3^Dichloro-4.4'^arnnobipnenyl see U073
O075 	 Dichlorodrfluonxnetnane
O076 	 I.l-Dfchkjroethane
O077. — .... 1.2-Olchloroethane
O078 	 I.IOichloroetnylene
O080. 	 '. Olchlorometnane

U082 	 2.6-Ochlorophenol
U0o4 „...„„ 1 ,3*Oicfeioroprop4f^
OOSS 	 Dwpoxybutane (I;T)
U06« 	 1.2-O>eenzta]i!nthracana

oo1I:zi S^cSe^oS^"*1*
*^7XI 	 " JL** ^"^^'Vhv^izine

0102., 	 Dimethyl pnthalate
U103 	 Oimetnyl sunale
0104 — 	 2.4Onrtrophenol
0105..L — 2.4-DmrtnXokjene
U108 	 2.6-Orttrototjeoe
O107 	 DUvoctyl pnthalate
0108 	 1.4-Dioxane
0110 	 Dipropylamrte (1)
EBOC**eU114
' 1.4-Epoxvbuune Me 0213
0112 	 Ethyl acetate (1)
0113 	 Ethyl acrylate (I)
0115 	 Ethyiene onde (l.T)
0118. 	 Ethyiene thuurea •
0117 	 Ethyl ether (l.T)
0118 	 Ethytmetnacrytate
0119 	 _ Ethyl mefhannuHonate
Fiemaxer T23P see O235
0120 	 Fluorantnene
0121 	 Fluorotnchioromemane
0122 	 	 Formaldehyde
U123 	 Forme aod (C.T)
0124_ 	 Furan(l)
0125 	 Furfural (I)
0128 	 Gtyodylalderiyde
0128 	 Heiacruorobutadiene
0129 	 — Hexacrnorocydonexane
U130 	 Hexacnlorocyclopenlad»9ne
U131 	 — Hexacnloroethane
0132.. 	 Hexachloropnene
O133 	 Hydrazine (H.T)
0134 	 Hydrofluoric aod (C.T)
0135.......... Hydrogen sullide '
Hydroxybenzene see O188
0138 	 Hydroxydimethyt a/sine oxioe
4.4'-(lmidocart3onyl)bis(N.N-dimethyl)aniline see
0014
O137......... lnoeno<1,2.3-cd)pyrene
O1 38 	 lodomethane
O139 	 Iron Dextran
0140 	 Isobutyl alcohol
Hazardous Substance'
Waste No.
U142.....'...!! Kepone , ' ' ^^H^
U144 ......... Lead acetate • "^^
U146 	 Lead subacetate
0147 	 Maleic anhydnda
0148 	 Maleic hydrazrfe
U149 	 Malononitnle
MEK Peroxide see U 160 '
U150 	 '. Melphalan
U151 	 Mercury
U152 	 Methacrytonrtnle " '
0154 	 ,,. Methanol ' ' •.
Methyl alconol see O154
015« 	 Methyl chkxocarbonate
Methyl chkxolorm see U226
O157.._ 	 	 3-Methyteholanthrene
Methyl cruorolormaie see U156
0158 	 4.4'-Methylene-bis-(2-n-propylamine
0176 	 N-Nctro«o-n-ethylure«
0177 	 N-Nitrrno-rwnethylurea
'O179 	 N-Nitrosopipendine • ^^^Hk
O180 	 N-Nitrosopyrrblidtne •^^LK
0181 	 ' S-Nitro-o-loluidine ' ^a^aP^
0182 	 Paraldehyde ^^^
PCNB see 0185
0183 	 Pentacnkxobenzene
O184 	 Pentachkxoethane '
0185 	 Pentachkxonitrobenzene
0188 	 :... 1,3-Penladiene(l)
Perc sea 0210
. ' Perchkxethytene see 0210 . - ,
U187 	 Phenacetm'
0188 	 : Phenol
0189 	 	 Phosphorous sullide (R)
U 1 90 	 Phthalic anhydride
0191 	 2-Picoiine • •.
0192. 	 Pronarrude
0193 	 1.3-Propane sultone
0194 	 n-Propylamme (1)
0196 	 Pyndine
0197, 	 Ounones
U2OO 	 Reserpine
0201 	 Resorcinol
0202...: — Saccharin
0203 	 Salrda '
0204 	 Seleraous acid
0205...' 	 '.. Solemum sullide (R.T)
Silvex see 0233 , •
0206 	 Streptozotocm
2.4.5-T see O232
0207 	 1.2,4,5-Telrachlorobenzene
0208 	 1.1.1.2-Tetracnloroethane -
0209 	 :... 1.1.2.2-Telrachloroethane
O210. 	 Tetrachloroelhene
Tetrachloroethylene see 0210
O211... — Tetrachloromethane
0212 	 2.3,4.6-Tetrachlor6phenol
1121 3 	 Tetrahydrpturan (|) <
0215 	 	 Thallium (1) carbonate '
0216 	 Thallium (1) chloride
O2 17.......... Thallium (I) nitrate
0218 	 Thioacetamide
0219.... 	 Thiourea
0220.......... Toluene /•^•w
0221 	 Toluenediamine /alHLt
U222. 	 o-Toludine hydrochlonde • ^^ae^aW

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     Hazardous
     Waste No.-
                  Federal Register / Vol. 45. No.. 98 /Monday. May 19. 198O / Rules and  Regulations
                                                                                                                     331ZT
                        Substanea1'
    U223_ ....... Toluaoa disoeyanata
    U224. -------- Toxaohene
            2.4.5-TP sea U233
    U225 ....... _ Tnbnxnomemane
    U22S......_ 1.1.1-Trichtoro«m«n« .
    U227. ------- UJ-TticNoroettiane
   . U228 ....... ._ TncNoro«theo« •
U229 — : —
U230 -- -
UZJ1, ---
U232._. —
U233 --
            TncNorofluorometfion
           '
                          U228
                                   alpha.
            Z.4.6-TricttofOph«no(
            2.<.'5-TrlcJ*>roph«noxysca1ic acid
            Z*.S-Trichta»4jpl>«iiujiyptopio<»c  acid
             alpha, alpha- Tricttorotoiuana sea UO23
            TRKXENE SOT U22S   .
    UZM --- Tiirt&Dbereene (R.T)
    U23S -- Tri$<2J^ibromof»opyf) phosphate
    U238 - TrypanMue
    U237__j_ Urad muslart
    UZ38- - Ureffun*
     ,       Vinyl cNoride «*a U043
            Vkiyfioah* cttonde S4a U078
  ,  U239. ------ Xyfen*
     "Tha Aoeocy ncjudad those Irad* names of wtucft rt was
   aware; -an omission of a trade name doas nol «roty tfial n a
   ixrt hazardous; Tha material is hazardous if it is kited utxMr
   its generic nama. ,                          .
   Appendix I—Representative Sampling
   Methods

     The methods and equipment used for-
   sampling waste materials will vary with
   the form and consistency of the waste
   materials to be.sampled. Samples
   collected using the sampling protocols
   listed below, for sampling waste with
   properties similar to the indicated
   materials, will be considered by the
   Agency to be representative of the
   waste.                         '     '

   Extremely viscoiia liquid—ASTM Standard
 '   D140-70 Crushed or powdered material—,
    ASTM Standard D348-75 Soil or rock-like
    material—ASTM Standard D420r69 Soil-
'.,  like material—ASTM Standard D145Z-65
  Fly Ash-like material—ASTM Standard
    D2234-76 {ASTM Standards are available
    from ASTM. 1916 Race St. Philadelphia.
    PA 19103)
  Containerized liquid wastes—"COUWASA"
    described in'Test Methods for the
    Evaluation of Solid Waste. Physical/
    Chemical Methods." ' U.S. Environmental
    Protection Agency, Office of Solid Waste.
    Washington, D.C, 20460. {Copies may be
    obtained from Solid Waste Information.
    U.S. Environmental Protection Agency. 28
    W. St. Clair St.. Cincinnati, Ohio 45268]
 Liquid waste in pits', ponds, lagoons, .and  "
    similar reservoirs.—"Pond Sampler"
    described in "Test Methods for the
    Evaluation of Solid Waste, Physical/
    Chemical Methods." ' '

    This manual also contains additional
. information on application of these
 protocols.
   Appendix II—EP Toxitity Test
   Procedure

   A. .Extraction Procedure (EP)

     1. A representative sample of the
   waste to be tested (minimum size 100
   grams) should be obtained using the
   methods specified in Appendix.I or any
   other methods capable of yielding a
   representative sample within the
   meaning of Part 260. [For detailed
   guidance on conducting the various
   aspects of the EP see 'Test Methods for
   the Evaluation of Solid Waste, Physical/
 •  Cheiriical Methods," SW-&46, U.S.
   Environmental Protection Agency Office
   of Solid Waste. Washington. D.C.
   20480.']        ' '  ,
    2, The sample should.be separated
   into its component liquid arid solid
  'phases using the method described in
 , "Separation Procedure"  below. If the
  solid residue J obtained using this
  method totals less than 0.556 of the
  original weight of the waste, the residue
  can be discarded and the operator
  should treat the liquid'phase as the
  extract and proceed immediately to Step

    3. The solid material obtained from
  the Separation Procedure should be
  evaluated for its particle size. If the solid
  material has a surface area per gram of
  material equal to, or greater than, 3.1
  cm'or passes'through a 9.5 mm (0,375 '
  inch) standard sieve, the operator
 should proceed  to Step 4. If the surface
 area is smaller or the particle size larger
 than specified above, the solid material
 should be prepared for extraction by
 crushing, cutting or grinding the material
 so that it passes through a 9.5 mm (0.375
 inch) sieve or, if the material is in-a ,-
 single piece, by subjecting the material
 to the "Structural Integrity Procedure"
 described below.                   ,
   4. The solid material obtained in Step
 3 should be weighed and placed in an
 extractor with 16 times its weight of
 deionized water. Do not allow the
 material to dry prior to weighing. For
 purposes of this test, an acceptable '
 extractor is one which will impart
 sufficient agitation to the mixture to not
 only prevent stratification of the sample •
 and extraction fluid but also'insure that
 all sample surfaces are'continously

  1 Copies may be obtained from Solid Waste
 information. U.S. Environmental Protection Agency.
26 W. SI. Clair Street. Cincinnati, Ohio 45288.
  'The percent solids is determined by drying the
filter pad at 80' C until it reaches constant weight ,  :
and then calculating the percent solids using the
following equation:
   'These methods are also described in "Samplers
 and Sampling Procedures for Hazardous Waste
 Streams," EPA 600/2-80-018. January 1980.
                                           (weight of pad +.ioKO)
                                            - (tan weight of pad)

                                           Wtisf weight of sampla
                        X 100 - '% solids
    brought into contact with well mixed
    extraction fluid.           '  .
     • 5. After the solid material and   ,
    deionized water are placed in the
    extractor, the operator shbuld begin
    agitation  and measure the pH of the
    solution in the extractor. If the pH is
    greater than 3.0. the pH of the solution
    should be decreased to 5.0 ± 0.2 by
    adding 0.5 N acetic acid. If the pH is
    equal to or less than 5.0, ho acetic acid
    should be added. The  pH of the solution
   should be monitored, as described
   below, during the course of the
   extraction and if the pH rises above 5.2,
   0.5N acetic acid should be added to
   bring the pH down [o 5.0 ±0.2.
   However, in no event shall the aggregate
   amount of acid added  to the solution
   exceed 4 ml of acid per gram of solid.
   The mixture shbuld be agitated for 24
   hours and maintained at 20?-!0° C (68°-
   104° F) during this time. It is
   recommended that the operator monitor
   and adjust the pH during the course of
,   the extraction with a device such as the
   Type 45-A.pH Controller manufactured
   by Chemtrix; Inc., Hillsboro, Oregon
   97123 or its equivalent, in conjunction
   with a metering pump-and reservoir of
  0.5N acetic acid. If such ,a system is not
   available,  the following manual
  procedure  shall be employed:
    '{a) A pH meter should be calibrated'in
  accordance  with the manufacturer's
  specifications.
    (b) The pH of the sdlulion should Be
  checked and, if necessary, 0.5N acetic acid
  should he manually added to the extractor
  until the pH reaches 5.0-a: 0.2.'The pH of the
  solution should 6e adjusted at 15. 30 and 60
  minute intervals, moving to the next longer
  interval if the pH does not have to be
*  adjusted more  than 0.5N pH units.
    (c) The adjustment proce'dure'should be '   •
  continued for at least 8 hours.     '   '
    (d) If at the end of the 24-hour extraction
  period, the pH.of the solution is not below 5.2
  and the'maximum amount of acid (4 ml per'
  gram of solids) has not been added, the pH •
  should Be adjusted to 5.0 ± 0.2 and the
  extraction continued for an additional four
  hours, during, which the pH should be
 •adjusted at one hour intervals.
    6. At the end of the 24 hour extraction
 period, deionized water should be added
 to the extractor in an amount   '
 determined by the following equation:
 V== (20)(W)-i6(W)-A
 V= ml deionized water to  be added
 W= weight in grams of solid charged to  '
   extractor                     '
 A = ml of 0.5N  acetic acid added during
   extraction ,                '

   7. The material in the'extractor should
 be separated into its component liquid
 and solid phases as described under
 "Separation Procedure."  .
   8. The liquids resulting from Steps 2
and .7 should be combined. This

-------
  33128       Federal Register  /  Vol. 45. No.  98 / Monday. May 19. 1980  / Rules  and  Regulations
  combined liquid (or the waste itself if it
  has less than Vz percent, solids, as noted
  in Step 2) is the extract and should be
  analyzed for the presence of any of the
  contaminants specified in Table I of •
 1 § 261.24 using the Analytical Procedures
  designated below.
  Separation Procedure
   Equipment: A filter holder, designed
  for filtration media having a nominal
  pore size of 0.45 micrometers and
  capable of applying a 5.3 kg/cm2 (75 psi)
  hydrostatic pressure to the solution
  being filtered shall be used. For mixtures
  containing nonabsorptive solids, where
  separation can be affected without
  imposing a 5.3 kg/cm1 pressure
 differential, vacuum filters employing a
 0.45 micrometers filter media can be
 used. (For further guidance on filtration
 equipment or procedures see -'Test
 Methods for Evaluating Solid Waste.
 Physical/Chemical Methods.")
   Procedure:  *
   (i) Following manufacturer's
 directions, the filter unit should be
 assembled with a filter bed consisting  of
 a 0.45 micrometer filter membrane. For
 difficult or slow to filter mixtures a
 prefiltef bed consisting of the following
 prefilters in increasing pore size (0.65
 micrometer membrane, fine glass fiber
 prefiller, and coarse glass fiber prefilter)
 can be used
   (ii) The waste should be poured into
 the filtration unit.
   fjii) The reservoir should be slowly
 pressurized until liquid begins to flow .
 from the filtrate outlet at which point the
 pressure in the filter should be
 immediately lowered to 10-15 psig.
 Filtration should be continued until
 liquid flow ceases.
   (iv) The pressure should be increased
 stepwise in 10 psi increments to 75 psig
 and filtration continued until flow
 ceases or the pressurizing gas begins to
 exit from the filtrate outlet.
   (v) The filter unit should be
 depressurized. the solid! material
 removed and weighed and then
 transferred to the extraction apparatus,
 or, in the case of final filtration prior to
 analysis, discarded. Do not allow the
  •This procedure ii intended to mult In
separation of the "free" liquid portion of the waste
from any solid matter having a particle lize
>0.«um. If the sample-will not filter, various other
separation technique* can be used to aid in the
filtration. A* described above, pressure filtration it
employed to speed up the filtration process. This
does not alter the nature of the separation. If liquid
does not separate during filtration, the waste can be
centrifuged. If separation occurs during
centrifugal]cm the liquid portion (centrifugate) is
filtered through the 0.45um filter prior to becoming
mixed with the liquid portion of the waste obtained'
from the initial filtration. Any material that will not
pass through the filter after centrihigation is
considered a solid and is extracted.
  material retained on the filter pad to dry
  prior to weighing.
    (vi) The liquid phase should be stored
  at 4°C for subsequent use in Step 8.   •

  B. Structural Integrity Procedure
    Equipment: A Structural Integrity
  Tester having a 3.18 cm (1.25 in.)
  diameter hammer weighing 0.33 kg (0.73
  Ibs.) and having a free fall of 15.24 cm (6
  in.) shall be used. This device is
  available from Associated Design and
  Manufacturing Company, Alexandria.
  VA., 22314, as Part No. 125, or it may be
  fabricated to meet the specifications
  shown in Figure 1.

  Procedure:
    1. The sample-holder should be filled
  with the material to be tested. If the
  sample of waste is a large-menolithic
  block, a portion should be cut from the
  block having the dimensions of a 3.3 cm
  (1.3 in.) diameter x 7.1 cm (2.8 in.)
  cylinder. For a fixated waste, samples
 .may be cast in the form of a 3.3 cm (1.3
  in.) diameter x 7.1 an (2.8 in.) cylinder
  for purposes of conducting this test In  -
  such cases,  the waste may be allowed to
  cure for 30 days prior to further testing.
   Z The sample holder should be placed
  into the Structural Integrity Tester, then
  the hammer should be raised to its '
  maximum height and dropped. This
  should be repeated fifteen times.
   3. The material should be removed
  from the sample holder, weighed, and
  transferred to the extraction apparatus
 for extraction.

 Analytical Procedures for Analyzing
 Extract Contaminants
   The test methods for analyzing the
 extract are as follows:
   (1) For arsenic, barium* cadmium,
 chromium, lead, mercury, selenium or
 silver: "Methods for Analysis of Water
 and Wastes," Environmental Monitoring
 and Support Laboratory, Office of
 Research and Development. U.S.
 Environmental Protection Agency,
 Cincinnati. Ohio 45208 (EPA-600/4-79-
 020. March 1979).
   (2) For Endrin: Lindane;    ,
 Methoxychlon Toxaphene; 2,4-D; 2,4,5-
 TP Silver: in "Methods for Benzidine.
 Chlorinated  Organic Compounds,
 Pentachlorophenol and Pesticides in
 Water and Wastewater," September
 1978^U.S. Environmental Protection
 Agency, Environmental Monitoring and
 Support Laboratory, Cincinnati, Ohio
 42568,
 as standardized in 'Test Methods for
 the Evaluation of Solid Waste, Physical/.
 Chemical Methods."
   For all analyses, the method of
•standard addition shall be used for the
 quantification of species concentration.
This method is described in "Test
Methods for the Evaluation o
Waste." (It is also described
"Methods for Analysis
Wastes.")
BIUJMQ CODE 6560-01-M

-------
        Federal Register / Vol. 45. No. 98 / Monday. May 19, 198Q / Rules and Regulations
                                                                33123
                                      (3.15cm)
                                      11.25")'
                                          COMBINED
                                          WEIGHT
                                          .33Kg
                                          (.73lb)
                                      SAMPLE
                                        /-ELASTOMERIC*
                                          SAMPLE HOLDER
                                       IT
                                         7.1cm
                                         (2.8")
*ELASTOMERIC SAMPLE HOLDER FABRICATED OF
 MATERIAL FIRM ENOUGH TO SUPPORT THE SAMPLE

              Figure   1

    COMPACTION TESTER
                 SLUH3 COOC SMO-01-C

-------
 33130       Federal Register / Vol. 45. No. 98  / Monday.  May 19. 1980  /  Rules and Regulations
 Appendix HI—Chemical Analysis Test
 Methods
   Tables 1,2 and 3 specify the
 appropriate analytical procedures,
 described in 'Test Methods for
 Evaluating Solid Waste" (SW-846),
 which should be used in determining
 whether the waste in question contains
 a given toxic constituent. Table 1
 identifies the analytical class and the
 approved measurement techniques for
 each organic chemical listed in
 Appendix VIL Table 2 identifies the
 corresponding methods for the inorganic
 species. Table 3 identifies the specific
 sample preparation and measurement
 instrument introduction techniques
 which may be suitable for both the
 organic and inorganic species as well as
 the matrices of concern.
  Prior to final selection of the
 analytical method the operator should
 consult the specific method descriptions
 in SW-846 for additional guidance on
which of the approved methods should
be employed for a specific waste
analysis situation.
                  T«b*« 1.—Analytical Chtractorittica of Orgtnc Chuncsl*
       Compound
                         S*npt« handtng
                          ciMt/fncSon
                                         Noo-OC
                                                   GC/MS
                                                             GC
                                                                     Dilirtor
Ac*l

-------
                      Federal  Register / Vol. 45,  No.  98  /  Monday. May  19. 198O.  /  Rules  and
                       Tab(« 1.—Analytical Characteristics of Organic Chemicals—Continued
                                                                                                                 Appendix VIL—Basis for Listing Hazardous Wastes
Compound

Pentachlorophenol... .
Phenol.' 	 	 „ 	 	
Phorate 	 	
Phthalic anhydride../
a-Pksoina....* •„ ,•
Pvrt*» '
Tetm^orobernr^)
Tetrachkxoimanef*) ..

Toluene _...
Tduenedarrene.. 	 _
Toxaphene..
Tnchkxoethahe 	 . 	
Tnchloroethanoo) 	
TrichlorophenoKs)-..
2.4.5- TP (S*«x)_.. .__
Vinyl chkxide 	 	 ; 	 : 	
Vmytidene chkxide 	 •
Xylene... 	 {.. ._ 	 _

Sample handling Non-GC
, class/fraction • . , methods
. ExtractaWe/A --'..- 	 	 :.
. Extractabte/A.; 	 ;._; 	 . 	 	 .'
. ExtractaWe/BN.-. 	 <. 	 	 _.I.Z."Z ._.
. Extractable/BN 	 	 	 ... 	 ; 	
fOTKtsHfJRM ,


ExBactato/BN
VrtUi.
Vc4ats»__ 	
VoisUe
Ei*rafl«fcl./RM

Volatile ---•,,„
Extractable/A..-
Extractabte/A
Voiatte. _
VoUM. ..'. ' " .
VouH**..
Voutbi. •„.•_,'•

. •, .. Measu
GC/MS

8.25




-a_24
8^< ,,.

8^5
82S.:
Jj*
8^5
8.24 .
8-24
8.24

rement ted
Con
GO

8.04 '
8-22
8.08
8.09
8-22
8.09
8.08
8.09
8.09
.'8.12
8.01
8.01 .


8.08 - •
, 8.01
8.01
8.01
8.04
S.4O
8^01 '
8.01
8.01
8.02

hr«ques
venttonal. .
Detector

. ECO, FIO
FPO
ECO. FIO
KD. FIO
FPO .'. -
ECO. FIO
i ECO. FIO
ECO. FK3
ECO. FIO
ECO. FIO
ECO, FID
ECO
HSO
HSO
ECO

•FIO 	
HSO
HSO
HSO
HSO
HSO
HSO , • . ~V
HSO
HSO
PK3

                                                                                                                   EPA
                                                                                                                 wwtaNo.
                                                                                                                           ,  ' Hazardous constituents (or whicti listed'
                                                                                                                                .   .--
                                                                                                                            dehforobwiiwia, tnctnorofluonjmethane
                                                                                                                        -HA.
                                                                                                                        _ cwds and cresyfc aod. nrtroberaen*
                                                                                                                        -. melnanol.  lotueoa, mattlyl ethyl ketorio, mettiyl
                                                                                                                            isobutyl  katone, carbon daurfide, bobutanbl.
                                                                                                                            pyrxtru
                                                                                                                        _ cadmium, chromium,' reckal, cyanide (complexecO
                                                                                                                        -. cyanide (sans)   ' •     ,      '  .       •
                                                                                                                        _ cyanide (sate)
                                                                                                                        - cysnda (sarts)
                                                                                                                        - cyarade (salts)     .   •             '   .
                                                                                                                        - cyanide (satts)
                                                                                                                        - cyarnde (complexed)     .            .  .
     'r£±? ^ ph^nrh~* "» «*«<*: 19«eae n pr^n, „ . r«w be«««, 1.4:1 and ii

                            praMura bqud ct
                                                                                    craott ttouta op cowd-
                                                                                         Ktor HSO - Ha*d>
                           T»N« 2—4nifytic*l Chanctoratica of/norytnc Spoc*t
                                 SvnpM Iwxfcigc
An»mony.._	
Anemc..I	
Barurn
Cadrnum.	
Chromum..
Cyande*

                                                        Atomic ab«orti«on^wr«eWnani« .
                                                        Alome aoaortjttbn-flamt _....__
                                                        Alone at»ort>ton-4wnac>/ftam«
                                                        Alome abcorbeon-te
                                                       Atome abaort>ean-*jmac*/rlame		__..
                                                                                                    8.50
                                                                                                    8.51
                                                                                                    8.52
                                                                                                    8-53
                                                                                                    8.54
                                                                                                    8.55'
                                                                                                    8.se
                                                                                                    157
                                                                                                    (L5«
                                                                                                    8.59
                                                                                                    8.60
                     Techniquea
    Sampto
                  Pny»ca« cnaractviMic* o< waat* >
                 Fluid
                                           Sold
VoKila..
S«cnVo(atil«
             Purge and

             Dract
               injection.
             Direct
Purgeand .  .  Heedapec*.
  trap.
                          ShakaouC.—  Shake out.
                                       SoxhM.  .
                                       Soracaoon.
  noovolani*.  Shake out	
 Inorganje.-™ Direct        		
               . injection;.1-        '
              Digestion	  Digestion........ Digestion.
              Hydride	...  Hydnde	 Hydnde.

  'For.purposes o» this Table. Surf refers to readily pourable
-^Jids.  which may or may not conta«i suspended  partxaea.
Paste-kk* material*. »mie fluid in the sens* of flowabilrtx. can

           materials are those wastes which can be'han-
                     " >.. can be piled up without appre-
                                                       Procedure and Method NumberfsJ

                                                       Digestion—See appropriate procedure for
                                                          element of interest.                       '
                                                       Direct injection—aao
                                                       Headspace—8.82'.-    •
                                                       Hydride-^See appropriate procedure for
                                                          element of interest
                                                       Purge » Trap—a.83
                                                       Shake out—8JJ4     "                     -.
                                                       Sonication—8.85                    - '   -
                                                       Soxhlet—8.88
                                                                                                                F001	itetrachkxoethylene, metnytene  ehlonde tnchlor-
                                                                                                                           ^oethyDene,  1,1.1-trichloroethqne  chlorinated
                                                                                                                            fluonxarbohs, carbon letrachlonde  .
                                                                                                              ' _ F002—i._ latrachkxoettlylene. methytene chkxide. tnchlor.
                                                                                                                                      1.1.1-tnchkxoethane, '  chloroben-
                                                                                                                F003_
                                                                                                                F004..
                                                                                                                FO05_
                                                                                                               F008.
                                                                                                               F007..
                                                                                                               'F003.
                                                                                                              . F009-
                                                                                                               F010_
                                                                                                               F011.
                                                                                                               ,F012-
                                                                                                               .F013_
                                                                                                               F014...
                                                                                                               F015..
                                                                                                               F018._.
                                                                                                               KOOll.
                                                                                                               K002..	
                                                                                                               K003__._
                                                                                                               KOO4	
                                                                                                               K005___
                                                                                                               KOO8	
                                                                                                               K007.	„
                                                                                                               K008	
                                                                                                               K009....;_.

                                                                                                               K010,.......,.
K011..	

K013	


K015......_.

KOI 8	'.	



K017	



K018	

K019	
                                                                                               cyarade (compteied)
                                                                                               cyanide (salts)
                                                                                               cyarade (complaxad)
                                                                                               benzene,   b»m(a)arrthracene.  benzo(a)pyreoe.
                                                                                                •chrysene. 4-nrtropnenol. toluene, naphtnalene
                                                                                                 phenol,  2-cNoropheool. 2.4-oVnalhyl phenol.
                                                                                                 2.4.6:lncnlorcohenol. pentachlorophenol, 46-
                                                                                                 ontro-o-cresol, tetracftlorophenol
                                                                                              . chromum, lead    . •         .     .
                                                                                               cnromum.leed        •
                                                                                              ' chromum
                                                                                               chromum, leed'                            •
                                                                                               chromunt
                                                                                               cyande (complexed). chromun
                                                                                               chromum              '       '           ,
                                                                                               ehloroterm, (ormalderiyda. methylene  chkxide
                                                                                                methyl ehlonde, peraldehyde. (orme aod
                                                                                              ehlorotonn. (ormaldehyde. metnylone  ehlonde.
                                                                                                methyl  .chloncW.  parakjehyde.  lormic  aod
                                                                                               ; chloroacelaldehyde
                                                                                              acrylonrtnle, acetonrtnle, hydrocyanic acri '
                                                                                              acrykxwrte, acetoretnte. acrokw, acrytamde
                                                                                              hydrocyanc aod. acrytonrtnle, aceionrtrte'   .
                                                                                              acatonrtte. acrylamid*   .
                                                                                              benzyl chlond*, chtorobenzWie, 'toluene, benzo-
                                                                                                tnbnlonde
                                                                                              n*Mchle»o6em*ie.       hexachlorooutadiene.
                                                                                                carbon lettacMjmJe'.  hexacNoroetnane, percn-
                                                                                                loroethylene ~                      '
                                                                                              epehtorohychn, chkxoethert  tb«(chloromemyl)
                                                                                                etner and ba (2-cnloroelhyJ), ethers), tnchloro-
                                                                                                propene. Ochloropropenols
                                                                                              1^-dKhloroethane. tnchkxoettiylene. hexadiloro- '
                                                                                                butadwne, hexachlorooenzene
                                                                                              •Ihylene dehlonde. 1.1.1.(nchloroeHiane.  1.12-
                                                                                                tnchkxoemane. tetracfUoroethanes (1.1.2^-te-
                                                                                               trachloroemati* and' 1 . 1 , 1 .2-tetr»chloroemane).
                                                                                               thchloroetnylene.  tetrachkxoelhylene. carbon
                                                                                               tetrachlonde. chloroform, vmyl chkxide, vmyfc.
                                                                                               denechlonde

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  33132        Federal Register /  Vol.  45. No. 98 /  Monday. May 19. 1980  / Rules and  Regulations
      Appendix VII.—Basis lor Listing Hazardous .
               Wastes—Continued
EPA
Htata No
Haia/dous constrtuents (or wt»ch listed
 KOJO..
  K021
  K022,
  KOZJ
  KOZ<
                 d««onde. I.I.Mnchkxoemane. 1.1.2-
            tncfikxoomana. letracMoroetftanes (1.1.2.2-ie-
                          1.1.1.2-letr>cftioroemane).
                         tetrachloroetriyKxxi.  carton
            t«trachlond«, chloroform, wnyl ctilondo. vmy*-
 K023,
 K028,
 K02?
          antxnonr. carbon mrachlcnda. chloroform
          phenol tar» (potycycic aromatic hydrocarbons)
          phtnate anahydno*. m»^ anhydnda.
          ptxh*kc anhydnd*. rxrynudaar tv-Mw matanat*.
           naphthoqunona
           1,1.2.2-t«r*cr*X(Mtnan*. afliytarw ckcMond*
          craaota.  oenztaJarttMacana.
          Vx*so«. ptiotpnonxMwc and phowrtorethoc
            aodotur*
          toJeo*. pKotphoi'odrtfmc. and pfoiphorotf«oc
            aodettan
          prxxau. formckWiyda. phoapriorodmnc  and
                        and  pftoaphorotti
          phorat*. (orrrnkWyK. pnoaphon
           phoaphorxXfKje aod
          toxaphan*
                                          aod

                                          and
         2.4-dcNorophaooi.
        .  NA.
        .  NX
        .  toad
        .  NA.
        .  cinmum. iMd
          ctnxnum. l*ad
           parakjabyda. pyndnaa, 2-fKoin*
           loutana daocyanata, iouana-2.4-<*arnna, tan
            (barmoVndazapona)
  K029,     1.1.1-lnchlaroXhana. vnyf chlonda
  K029	  li-
-------
Federal .Register / Vol. 45^ No. 98 /  Monday.  May 19. 1980 /  Rules and  Regulations        33133
   1,1-Dimethylhydrazine
 '  1,2-Dimethylhydrazine         '   ,
   3,3-Dimethyl-l-(methylthio)-2-butanone-0-
     f(methylamino) carfaonyljoxime
   Dimethylnitrosoamine           .
   alpha.alpha-Dimethylpheneihylamine
   2,4-Dimethylphenoi
   Dimethyl phthalate
  •Dimethyl sulfate
   Dinitrobenzene. N.O.S.
   4,6-Dinitro-o-cresol. and salts
   2,4-Dinitrophenol        ,
   2,4-Dinitrotoluene
   2,6-Dinitrotoluene Di-n-octyl phthalate
   1.4-Dioxane               .
   1,2-DiphenyIhydrazine           .,   -
•  .Di-n-propylnitrosamine1
  • Disulfoton            "        ;
   2,4-Dithibbiuret.
  Endosulfan     . _•             .  •'        ,
  Endrin and metabolites      ;
  Epichiorohydrin                        '
  Ethyl cyanide    .
  Ethylene diamine      "
  Ethylenebisdithibcarbamate (EBDC)
  Ethyleneimine
  Ethylerie oxide,   .
 • .Ethylenethiourea      '               '
  Ethyl methanesulfonate
  Fluoranthene
  Fluorine                             .
  2-Fluoroacetamide
 'Fluoroacetic acid.,sodium salt
  Formaldehyde
  Glycidylaldehyde
  Halomethane, N.O.S.
  Heptachlor
  Heptachlor epoxide (alpha; beta, and gamma
    isomers)        '
  Hexachlorobenzene
  Hexachlorobutadiene  •              '
 • Hexachlorocyclohexane (all isomers)
 Hexachlorocyclopentadiene
 Hexachloroethane
 1.2.3.4.10,10-Hexachloro-l,4,4a,5.8,8a-
   hexahydro-l,4:5.8-endo,endo-   ,      .
   dimethanonaphthalene
 .Hexachlorophene
• Hexachloropropene       '
 Hexaethyl tetraphbsphate
 Hydrazine
 Hydrocyanic acid
 Hydrogen sulfide
 Indeno(l,2,3-c,d)pyrene
 lodbmethane    /           ••          •
 Isocyanic acid, methyl ester
 Isosafrole                      •
 Kepone
 Lasiocarpine
 Lead and compounds, N.O.S.
 Lead acetate
 Lead phosphate
 Lead subacetate
 Maleic anhydride .     '    •   .
 Malononitrile       .   .  .
 Melphalan
 Mercury and compounds, N.O.S.
 Methapyrilene  '•'...
 Methomyl,           ' •   . .         '
 2-Methytaziridine
 3-Methylcholanthrene
 4,4'-Methylene-bis-(2-chloroaniline)
 Methyl ethyl ketbne (MEK)
 Methyl hydrazine
 2-Methyllactonitrile                    '
 Methyl methacrylate
   Methyl methanesulfonate
   2-Methyl-2-(methylthib)propionaldehyde-o-
     (methylcarbonyl) oxime        '
  , N-Methyl-N'-nitro-N-nitrosoguanidine
   Methyl parathion      '
   Methylthiouracil                '
   Mustard gas
   Naphthalene
   1.4-Naphthoquihone            ,      "
   1-Naphthylamine               ,•
   2-Naphthylamine-'   •   •       .   .
   l-Naphthyl-2-thiourea
   Nickel and compounds. N.O.S.
 • Nickel carbbnyl
   Nickel cyanide             -
   Nicotine and salts    \
   Nitric oxide  ,
   p-Nitroariiline,      :  ,  .
   Nitrobenzene
   Nitrogen dioxide                   '   '
  Nitrogen mustard and hydrochJoride salt .
  Nitrog'en mustard N-oxidaand hydrochlorida
    salt  •••--•
  Nitrogen peroxide
  Nitrogen tetroxide
  Nitroglycerine  •'              .'.•-.
  4-Nitrophenol          :
  4-Nitrqquinoline-l-oxide
  Nitrosamine, N.O.S.        .     "
  N-Nitrosodi-N-butylamine
  N-Nitroiodiethanolamine
  N-Nitrosodiethylamine          .
  N-Nitrbfodimethylamine               .    '
  N-Nitrosodiphenylamine                :,  •.
  N-Nitroiodi-N-propylamine '•
  N-Nitroso-N-ethylurea     .  .'
  N-NItroiomethylethylamine
  N-Nifroso-N-methylurea
 N-Nitroso-N-me!hylurethane
 N-Nitrosomethylvinylamine •
 N-Nitro>omorpholine
 N-Nitrotonomicotine,. •
 N-Nitroiopiperidine
 N-Nitrosopyirolidiiia
 ,N-Nitroso»arcosuie              .
 ,5-Nitroro-tbluidine-              .
 Octamethylpyrophosphoramide
 Oleyl alcohpl condensed with 2 molei
 •  ethylene oxide •'.'-.
 Osmium tetroxide
 7TOxabicycloj;L2.1]heptane-2.3-dicarboxylic
   acid
 Parathion-           .               • - .
 'Pentachlorobenzene         '             •
 Pentachlorbethane '' • .   '
 Pentachloronitrbbenzene (PCJslB)
 Pentacholorophenol            ,
 Phenacetin            .  •
 Phenol
 Phenyl dichloroarsine
 Phenylmercury acetate
 N-Phenylthiourea
 Phosgene          '    .
 Phosphine
 Phosphorothioic acid, O,O-dimethyl ester, O-
   ester with N,N-dimethyl benzene
   sulfonamide     -•
 Phthalic acid esters, N.O.S. •
 Phthalic anhydride
 Polychlorinated biphenyl, N.O.S.
 Potassium cyanide  .'
.Potassium silver cyanide    .   .   ~-
.Pronamide
 1^-Propanediol  •  '                   "  ,
 1,3-Propane sultone                   -
 Propibnitrile   ,  •
                                                                         Propylthiouracil
                                                                         2-Prbpyn-l-ol              '
                                                                         Pryidine'
                                                                         'Reserpine
                                                                         Saccharin
                                                                       •  Safrole     '    ••      .'  •
                                                                         Selehious acid
                                                                         Selenium and compounds. N.O.SJ
                                                                         Selenium aiilfide
                                                                         Selenourea  .                     •'•'..
                                                                         Silver and compounds,. N.O.S.
                                                                         Silver cyanide.       '   . •'   '
                                                                         Sodium cyanide
                                                                        -Streptozotocin                   '
                                                                         Strontium sulfide
                                                                         Strychnine and salts
                                                                         1.2,4,5-Tetrachlorobenzene
                                                                         2,3,7,8-Tetrachlorodibenzg-p-dioxin(TCDD)
                                                                         Tetrachloroethane. N.O:S.          .  ' '
                                                                         1,1.1,2-Tetrachloroethane
                                                                       '  1,1.2,2-Tetracnldroethane
                                                                         Tetrachloroethene (Te'trachloroethylene) •
                                                                       .  Tetrachlorometliane                    -
                                                                      .   2,3,4,6-TetrachIortSphenol
                                                                       ;  Tetraethyldithippyrophosphate '  •  '
                                                                         Tetraethyl lead
                                                                         Tetraelhylpyrophosphate   .     ,.
                                                                         Thallium .and compounds', N.O.S.
                                                                         Thallic oxide
                                                                         Thallium (I) acetate   '
                                                                         Thallium (I) carbonate
                                                                        Thallium (I) chloride  :
                                                                        Thallium (I) nitrate
                                                                        Thallium selenite                '
                                                                        Thallium (I) sulfate
                                                                        Thioacetamide
                                                                        Thiosemicarbazide
                                                                        Thiourea
                                                                        Thiuram    •
                                                                        Toluene
                                                                       Toluene .diamine   •
                                                                        o-Toluidine hydrochloride
                                                                       Tolylene diisocyanate   ,
                                                                       Toxaphene
                                                                       Tribromomethane     ,
                                                                       1^.4-Trichlorobenzene
                                                                       1.1,1-Trichloroethane
                                                                       1.1^-Trichloroethane,
                                                                       Trichloroethene (Trichlbroethylene)   •
                                                                       Trichloromethanethiol •    :
                                                                      ' 2,4.5-Trichlorophenol   ,
                                                                       2,4,6-Trichlorophenol
                                                                       2,4,5-Trichlorophenoxyacetic acid  (2,4,5-T)   '
                                                                       2,4,5-Trichloropheno'xypropionic acid (2,4,5-
                                                                         TP)(Silvex)   '        ,                 '
                                                                       Trichloropropane, N.O.S.         '
                                                                       lA3-Trichloropropane
                                                                       0,0.0-Triethyl phosphorothioate
                                                                       Trinitrobenzene             ,
                                                                       Tris(l-azridinyl)pho8phine sulfide
                                                                       Tris(2,3-dibromopropyl) phosphate
                                                                       Tiypan blue           .         •
                                                                       Uracil mustard
                                                                       Urethane
                                                                       Vanadic acid, anur.onium salt    -
                                                                       Vanadium pentoxide (dust)
                                                                       Vinyl chloride
                                                                       Vinylidene chloride     .
                                                                       Zinc cyanide   .          .        .
                                                                       Zinc phosphide
                                                                       [PR Doc. SO-14307 Filed S-18-80; 8:45 ami
                                                                       BMJJNa CODE ESSO-01-M

-------

-------
 Monday
 May 19, i960
Part IV



Environmental

Protection Agency

Hazardous Waste Management System

Proposal To Modify 40 CFR Part 261—
Hazardous Waste Lists

-------
    33136
Federal Register / Vol. 45. No. 98 /  Monday. Mav 19. 1980 / Proposed Rules
    ENVIRONMENTAL PROTECTION
    AGENCY

    40 CFR Part 261

    [FRL1471-4J

    Identification and Listing of Hazardous
    Wastes

    AGENCYfEnvironmental Protection
    Agency.
    ACTON: Proposed rule.

    SUMMARY: The Environmental Protection
    Agency (EPA) js proposing to add
    eleven wastes to the interim final list of
    hazardous wastes which it is
    promulgating today-under Section 3001
    of the Resource Conservation and
   Recovery Act of 1976, as amended
   (RCRA). The effect of adding these
   wastes to the hazardous waste list will
   be to make them subject to the
   management standards issued by EPA
   under Sections 3002 through 3006 and
   3010 of RCRA (Parts 282 through 265.122
   through 124 of this Chapter and 45 FR
   12746).
   DATES: EPA will accept public
   comments on the proposed listings until "
   July 18,1980. Any person may request a
   hearing on this proposal by filing a
  request with John P. Lehman, whose
  address appears below, by  June 9, i960.
  The request must contain the
  information prescribed in § 280.20(d) of
  this chapter.
  ADDRESSES: Comments and requests for
  hearing should be addressed to John P.
  Lehman. Director, Hazardous and
  Industrial Waste Division, Office of
  Solid Waste [WH-565], U.S.
  Environmental Protection Agency.
  Washington. D.C. 20460.
  Communications should identify the
  regulatory docket number "Section
  3001."
   The public docket for this  proposed
 rulemaking is located in Room 2711, U.S.
 Environmental Protection Agency, 401M
 Street, S.W., Washington, D.C. 20460
 and is available for viewing from 9:00
 a.m. to 4:00 p.m., Monday through
 Friday, excluding holidays.
 FOR FURTHER INFORMATION CONTACT:
 Alan S. Corson, Office of Solid Waste
 (WH-565). U.S. Environmental
 Protection Agency. 401M Street S.W..
 Washington, D.C. 20460, (202) 755-9187.
 SUPPLEMENTARY INFORMATION: Section
 3001 of RCRA requires EPA to publish
 criteria for listing hazardous waste and
 to list particular hazardous wastes. In
 today's Federal  Register EPA is
 promulgating interim final criteria for
 listing hazardous w.astes (§ 261.11) alone
 with an interim final list of hazardous
wastes (Part 261, Subpart D). The
                    Agency is now proposing to expand this
                    list of hazardous wastes to add eleven
                    wastes which EPA has determined meet
                    its interim final listing criteria.
                      Included in this proposed
                    supplemental listing are five wastes
                    generated in the organic chemicals
                    industry, four wastes from the
                    manufacture of pesticides, one waste
                    stream from the wood preserving
                    industry and one waste stream from .the
                    non-ferrous metals industry. All eleven
                    of these wastes were identified by the
                    Agency in the course of developing the
                  •  necessary technical data to support the
                    interim final hazardous waste list
                    promulgated today. These wastes and
                    the hazards they pose to health or the
                    environment are:
                     (1) Distillation bottoms and heavy
                    ends from the production of 1,1,1-
                    trichloroethane. These two wastes
                    contain known carcinogens, many of
                   which are soluble in water or are
                   volatile. If the waste is improperly
                   managed, the carcinogens may
                  , contaminate surface water,
                   groundwater, or air.
                    (2) Vacuum stripper discharge from
                   chlordene Marina tor in the production
                   ofchlordane. This waste contain!
                   dissolved or suspended highly toxic
                   constituents which are soluble and may
                   migrate through leaching from the waste
                   if the waste is improperly managed.
                    (3) Untreated wastewater from the
                  production of2,4-D. This waste contains
                  carcinogens and mutagens which are
                  soluble in water. If the waste is
                  improperly managed, these constituents
                  can contaminate surface water or
                  groundwater.
                    (4) Wastewater from the production of
                  methomyl. This waste contains toxic
                  compounds, a carcinogen and mutagenic
                  substances. If this waste is improperly
                  managed, these compounds could
                  migrate from the waste and contaminate
                  groundwater and sorface water.
                    (5) Distillation residues both light
                  ends and bottoms from the production of
                 phthalic, anyhride from ortho-xylene.
                  These two wastes contain toxic
                  compounds, a known carcinogen, and a
                  suspected carcinogen. Some of these.
                 compounds are soluble in water, and, if
                 the waste is improperly managed, these
                 compounds can contaminate surface
                 water and groundwater. If the residues
                 are improperly incinerated, these
                 compounds (or equally or more toxic
                 degradation products) may be emitted
                 into the air.
                   (6)  Wastewater from wood preserving
                processes that use creosote and/or
                pentachlorophenol. this waste contains
                carcinogens, mutagens and toxic
                compounds, many of which are soluble
                in water or are volatile. If the waste is
ids
    improperly managed, these cor
   'can contaminate surface watej
    groundwater, or air.         '  _
      [7] Untreated process wastewater
   from the production of toxaphene. This
    waste contains toxaphene, a
   carcinogenic and extremely toxic
   compound: If the waste is improperly
   managed, this compound could migrate
   from the waste and contaminate
   groundwater and surface water.
     (8) Process wastewater from creosote .
   production. This waste contains a
   number of known carcinogens. If this
   waste is improperly managed, these
   compounds are capable of migrating and
   persisting in  the environment and could
   contaminate  surface water and
   groundwater.
     (9) Waste leaching solution from acid
   leaching of emission control dust/sludge
   from secondary lead smelting. This
   waste contains toxic heavy metals
   which, when  solubilized, can
   contaminate surface water and
   groundwater  if the waste is improperly
   managed.
    When surface water, groundwater, or
   air is contaminated, human health or the
   environment can be adversely affected.
  BACKGROUND  DOCUMENT: Background
  documents have been prepared
  support of this proposed rule. C
  available for review in all EPA
  office libraries, in the EPA headquarters
  (Public Information Reference Unit)
  Room 2404, Waterside Mall. 401 "M
  Street. S.W., Washington, D.C. and in
  the docket located in Room 2711,
  Waterside Mall, 401 M Street. S.W.,
  Washington, D.C.
  ECONOMIC, ENVIRONMENTAL AND
  REGULATORY IMPACTS: In accordance
  with .Executive Order 11821, as amended
  by Executive Order 11949, and OMB
  Circular A-107, EPA policy as stipulated
 in 39 FR 37419,  October 21,1974, and
 Executive Order 12044. analyses of the
 economic, environmental, and
 regulatory impacts were performed for
 the-entirety of Subtitle C. EPA does not
 believe that amending Part 261 to add
 these additional wastes is a major
 action for the purposes of Executive
 Order 12044. in  part because the wastes
 are generated by processes which
 produce other listed wastes and because
 the cost of managing those other listed
 wastes has already been accounted for
 in the final Regulatory Analysis which
 was prepared for the entirety of Subtitle
 C. However, EPA requests that any date
 commenters have on the generation
rates of the wastes listed in the
proposal, 'current management c^s
practices for these wastes-or on the cost
or economic impacts of the proposed

-------
                      Federal Register / Vol. 45. No: 98 /  Monday, May 19.  1980 /  Proposed  Rules            '33137
  regulations be sent to John P. Lehman at
 • the address listed above;      '  .
    Dated: May 2. I960.
  Douglas M. Costle,
 Administrator.
    It is proposed to amend Title 40 CFR,  .
 Part 261. by revising 40 CFR, Part 281. as
 follows:      ,  .     "               ,

 §281.32  [Amancfcd]
   *1. In 5 281.32, add the following waste
 streams:
           •  EPA                 .    .   MB-
  ' Industry  hszardous    Haz&dous maate  .   &tious
         '    wsss»                       cods
             Ha.'-     '  ,
                   praxrving procumM ffid
   .              DteOMon bonom* from Hi*  (T).
   ctwmcalt.         producnoo 0(1,1,1-,
                  Heavy «nd» from ttw h*«vy
                   •nd* column from rm  ,
                   production ol 1,1,1-
                             .
                 Vacutn «npp«r dactwrg*
                   trom crton)»i» cftt
                   in *w produoon ol
                 niMilluii igM «nd« trom    (T).
                   »» production ol phthite
                   •nhydridt from ontio-
                   «yt«».
                 OMAMon bottom* Irom ff»  (T).
                   productton ol pmti^e. .;  ,
                   •dnj^AnJ* from orttio-
                 Ui*»rtwwB4Bf from ttM
                   production ol UavtMn*.
                 IMrMlKt wuMmiv (rom   (T).
                 .  th* preduckon ol 2.4-a
                 WnlnKnur from 0w       (T).
                  , produdon ol imBiomyi
                 PRX*M mini mi from    (T)t
                   cnowl* produekan.
                 W*M* iMctwig MUxxi from  (T).
                  oar»ot duM/«lu)g* from
                  Moxtdcry iMd Mwang.
  •Th* EPA H*z*rdom W«M Numbv «* not b.
unti ttw iKiad M«« n promulgitad.       . . . .

IFR Doc. aO-10W FIM 5-18-aO; 8:45 un|
BNJJNQ COOK M40-01-M

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*

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 Monday

 May 19, 1980
Part V





Environmental


Protection Agency


Hazardous Waste Management System
•	  .  • • - ;'      -	

Standards Applicable to Generators of

Hazardous Waste

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   33140
Federal Register /  Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
   ENVIRONMENTAL PROTECTION
   AGENCY

   40 CFR Part 262
 '  tFRL 1470-7J

   Standards for Generators of
   Hazardous Waste

  AGENCY: Environmental Protection
  Agency.
  ACTION; Final rule.

  SUMMARY: The Resource Conservation
  and Recovery Act, as amended, seeks to
  promote the protection of human health
  and the environment and to conserve
  valuable material and energy resources.
  In order to accomplish this, the Act
  establishes a national program to
  improve solid waste management.
  including the control of hazardous
  waste, the promotion of resource
  conservation and recovery, and the
•  establishment of environmentally sound
 solid waste disposal practices.
   The EPA promulgated regulations
 establishing standards for generators of
 hazardous waste. These regulations
 were published in the Federal Register
 on February 28,1980 (45 FR12722). The
 amendments published today are both
 administrative and technical changes to
 the regulations which are intended to  k
 clarify the operation of these
 regulations. Areas of change include
 clarification of the effective date and
 compliance date of the regulation:
 clarification of the applicability of the
 regulations to generators which treat.
 store, or dispose of hazardous waste on-
 site: a corrected citation to  the Part 261
 provisions establishing equivalent test
 methods for determining whether a
 waste is a hazardous waste; inclusion of.
 a generator's requirement to designate a
facility or accept the waste if it cannot
be delivered to the designated or
alternate facility; a  technical correction
concerning placarding for rail
shipments; expanded requirements for
accumulation time in tanks  and for •
contingency plans; addition of the EPA
mailing address for generators who are
required to notify the Administrator of
international shipments; a corrected
citation to triple rinsing in the Farmers
section; and additions to the Annual
Report (EPA Forms 8700-13.8700-13A
and 8700-13B).
DATES: Effective date: November 19,
1980. EPA will accept public comment
on these regulations and amendments
for administrative errors only (e.g.,
typographical errors, inaccurate cross
references) until July 18,1980. No
extension jn the effective date will be
made, however, as a result of such
comments.
                        ADDRESSES: The official docket for this
                        regulation is located in Room 2711. U.S.
                        Environmental Protection Agency, 401 M
                        Street SW., Washington. D.C.. and is
                        available for viewing from 9:00 a.m. to
                        4:00 p.m.. Monday through Friday,
                        excluding holidays.
                          For information on implementation of
                        these regulations, contact your EPA
                        Regional Office.
                        FOR FURTHER INFORMATION CONTACT:
                        For technical assistance on these
                        regulations contact Harry W. Trask or
                        Rolf P. Hill, Office of Solid Waste (WH-
                        563),  U.S. EnvironmentalProtection
                        Agency, Washington, D.C. 20460 (202-
                        755-9150). For single copies of the
                        amended Part 262 preamble and
                      '  regulations published today and for
                        copies of the,February 28,.1980-version
                        which contained a more descriptive
                        preamble of this whole Part, contact
                        Edward Cox, Solid Waste Publications,
                        28 W. St. Claire, Cincinnati, Ohio 45268
                        (513) 684-5382. Multiple copies  will be
                        available from the Superintendent of
                        Documents, Washington, B.C. 20402.
                        SUPPLEMENTARY INFORMATION:

                        I. Authority

                         These amendments are issued under
                        authority of sections 2002(a). 3001. 3002,
                        3003, 3004 and 3005 of the Solid Waste
                        Disposal Act, as amended by the
                        Resource Conservation and Recovery •
                       Act of 1976 and as amended by the
                       Quiet  Communities Act of 1978  ("RCRA".
                       or "the Act"). 42 U.S.C. 6912(a), 6921,
                       6922.6923,6924,6925.
                       II. Background

                         This regulation was published in the
                       Federal Register in proposed form for
                       public review and comment on
                       December 18.1978 as 40 CFR Part 250.
                       Subpart B (43 FR 58969 et seq.). The
                       Agency held five public hearings and
                       received a substantial number of written
                      • comments on the proposal. The public
                       comment period closed on March 16,
                       1979.
                        After consideration of the views of the
                       public, the Agency promulgated the Part
                       262 regulations in the Federal Register
                       February 26,1980 and.promulgates these
                       amendments today.
                        These amendments are in two
                       categories, administrative amendments
                      and technical amendments.
                      Administrative amendments are
                      corrections or clarifications which are
                      being made to meet the intent of Part 262
                      preamble and regulations. The technical
                      amendments address the additions or
                      changes which were specified in the
                      February 26,1980 preamble to  the Part
                      262 regulations.
  III. Amendments

  1. Effective Date
    RCRA establishes the effectil^M^ of
  Subtitle C'regulations as "the datesix
  months after the date of promulgation
  thereof.'.." (Section 30'10(b)).
  Regulations implementing Section 3001
  (40 CFR Part 261) identify characteristics
 . of hazardous waste and list particular
  wastes as.hazardous. These regulations
  are essential in determining who must
  comply with  the Subtitle C regulations.
  Therefore,' EPA intends to make the
  effective date of regulations
  implementing Sections 3002 and 3003 six
  months from  the date of promulgation
  of Part 261. Since Part 261 is
  promulgated today, the effective date  is
  November 19,1980.
   Some confusion developed when in
  the Federal Register EPA stipulated that
  the "effective date" was August 26,1980
  and that the "compliance date" was six
  months after the promulgation of 40 CFR
  Part 261. For determining the date at
  which generators will be subject to
  these regulations, the August 26,1980
  date is incorrect. All generators must
 comply with these regulations  as of
 November 19,1980.

 2. Purpose. Scope and Applicability
   The generator's responsibility
 comply with these regulations  wL
 treating, storing or disposing of m
 hazardous waste on-site has been
 clarified. Section 262.10(b) of the
 February 26,1980 Federal Register
 stated that a generator who "treats, •
 stores, or disposes of hazardous waste
 . .  ." must only comply with certain
 sections of Part 262.
  it was the Agency's intent, as
 indicated in the note which followed
 § 262.10, that the provision only applied .
 to generators who treat, store or dispose
 of hazardous waste on-site. This
 administrative amendment clarifies
 § 262.10(b) by  specifying that a
 generator who "treats, stores, or    •  •  -
 disposes of hazardous waste on-site
 . . ." must only comply with certain
 sections of Part 262. If he treats, stores,
 or disposes of all of his waste on-site, he
 need only comply with those specific
 sections of Part 262 which a're identified
 in § 262.10(b). As a treater, storer, or
 disposer, however, he must comply  with
 40 CFR Parts 264, 265 and 122. For those
 portions of hazardous waste that a
 generator ships off-site, he must comply
 with all of the Part 262 regulations.

3- Hazardous Waste Determination
  Section 262.11(c)(l) identified ft
ways for a generator to determimj
testing whether the waste he °°"' 	
was a hazardous waste as identified in

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                 Federal Register  /  Vol. 45.  No'. 98 / Mpnday. May 19. i960 / Rules and Regulations        33141
    Subpart C of 40 CFR Part 261. The first '
    was by using the EPA Part 261 tests. The
    second was Using equivalent testing
    methods approved by the Administrator.
    The citation to the equivalent testing
    methods which appeared in the
    February 26 rule was incorrect.
    Equivalent methods are now described
    in 40 CFR 260:21.

 .   4. Designated Facility

     In the preamble to the final rules
    promulgated February 28.1980, the
    Agency discussed the generator's
    responsibility to either "designate
  .  another facility or instruct the ,     - ,
;   transporter to return the waste" if the'
    transporter was unable'to deliver-the
    hazardous waste to the designated
    facility or the alternate facility. The  text
 •   of the regulation inadvertently omitted
   this requirement.  A new subparagraph,
  .§ 2BZ20(d). is added today which  .
   includes this requirement and makes
   these regulations  consistent with the
  preamble to the final rules Tor this-Part
  and the requirements of § 283.21(b).
  5. Placarding        .            :    "

     Placarding requirements are described,
  in §282.33. The rule promulgated
  February 28 required generators to offer
  the appropriate placard to the initial
  transporter. DOT. however, has a
  special requirement for placarding of
  rail shipments (49 CFR 172.508). The   .
  shipper (generator) according to DOT is
  the person responsible for properly
  placarding a rail shipment rather tha"h
  simply offering the appropriate placard.
  EPA recognizes this difference and is
  applying the same responsibility for    .
  shipments of hazardous waste by rail
  This administrative amendment clarifies
  the operation of §  282.33 by requiring
  generators to placard rail shipments
  rather than just offering the appropriate
  placard. It removes an inconsistency
  which inadvertently occurred between
  EPA's and DOTs regulations.
  8. Accumulation Time

    The preamble to the regulations
  promulgated on February 28 stated that
  "accumulation of hazardous waste in
  storage tanks meeting the technical
  standards of the Part 284 and 265
  regulations" would be added when
  those standards were promulgated. This
  amendment requires that the
  accumulation of hazardous waste in '
  tanks meet the interim status standards
  in Part 265, Subpart J (except for the
  waste analysissand trial  tests required
  for treatment tanks). Part 262 may be
. amended again to include the Part 284
  final standards for tanks .when they are
  promulgated later this year.
    The container management section of
   the 40 CFR Part 265; Subpart I
   regulations, published elsewhere in
   today's Federal Register.'is not cited in
   its entirety as applicable to the
   accumulation of wastes in DOT
   containers. Rather, only the sections
   requiring inspection of the accumulation
   area (§ 265.174) and buffer zones
   between the container storage area and
 '. adjacent property, lines (as required for
   ignitable and reactive wastes under .
   §•285.178) are stipulated. Since
  generators who ship hazardous waste'
  off-site are already required to comply • '
  with DOT container standards (e.g.,
  must not leak and must be compatible
 . with the waste), these sections from
  Subpart I were not cited. The Agency
  believes that it is unnecessary and
  potentially confusing to require  •  •
•  generators to comply with two very
  similar standards for containers. Such'
  duplication also would not provide
  additional protection of human 'health.'
  and the environment.
   The proposed rule which appeared in
  the Federal Register December 18,1978
  indicated that the Agency was seeking
  comments regarding the desirability of
  requiring contingency plans for
  generators who accumulated hazardous
  waste. The preamble to the February 28
  Part 282 regulations also indicated that
  the Agency was considering the       .
* inclusion of such provisions for
, generators who accumulated^hazardous
 waste on-site. This amendment requires
 that such generators comply not  only "'
 with the Contingency Plan and
 Emergency Procedures of 40 CFR Part
 265, Subpart D but also with the
 Preparedness and Prevention ,.'.
'requirements of 40 CFR Part 265 Subpart
 C and the personnel training
 requirements, of § 285.16.
   These plans and procedures are
 required of owners or operators of
 treatment storage, or disposal facilities,
 and the Agency believes that there is
 little  difference between accumulation
 of hazardous waste for shipment off-site
 and storage so far as potential damage
 to human health and the environment is
 concerned. Therefore, the same
 standards for protection of human
health and the environment should
apply. (The February 26 preamble and
the Background Document discuss the
rationale for the accumulation       •
provisions in more detail.)      • •
  • Similarly, the rationale for requiring
all the Part 285. Subpart J requirements
for generators who accumulate
hazardous waste on-site for 90 days or '
less (without obtaining a permit) a^'d for
requiring certain standards for managing
containers and personnel training is
  based on the belief that less stringent
  standards could jeopardize human
  health* and the environment.

  7. Recdrdkeeping     .  '         '

    Section 262>.40(b) which appeared in
 , .the February 26, 1980 Federal Register
 'did not specify the date from which
  copies of (he Annual and Exception
 . Report were to be kept for three years.
 . This amendment initiates the three year"
  retention period from the due date of the
  report (March 1).   '

  8. International Shipments   ,

    The rule which was promulgated
 'February 26,1980 required that
  generators who ship hazardous  waste
  outside-the jurisdiction of the United
  States notify'the Administrator  prior to '
  the first shipment of each different
  hazardous  waste in each calendar year.
 This amendment includes a specific
  address as a means to expedite  EPA's
  handling of this information. In addition,
  the generator is specifically required to
 include the name and\address of the  •
 .foreign consignee.
   The regulations published elsewhere
 in today's Federal Register under 40 CFR
 Part 123 do not permit States to  be
 authorized to receive the generator's
'. notice of international shipment. This
 amendment .includes a note reminding
 generators that they are required to
 notify the Administrator, rather  than the
 local State authority.

 9. Triple Rinsing

   The citation for triple rinsing of       •
 containers which appeared in the'.    .
 • February 28,1980 Federal Register
 referenced Part 260 of the regulation.
 The Agency decided to include the triple
 rinsing provisions in Part 261 rather than
 in the Part 260 definitions. This
 amendment corrects the citation  for the
 triple rinsing provisions.            '

 JO. Annual Reporting

  The Annual Report for generators was"
 promulgated in § 262.41 of the February
 26,1980 Federal Register. It consisted of
 a cover form (8700-13) and a type A
 form (8700-13A). Each part of this
 Report had associated instructions. This
 report was intended for use by ,
 generators who. shipped hazardous
 waste to an off-site treatment, storage,
 or disposal facility. Annual Reports are
 also required for owners or operators of  •
 treatment, storage, or disposal facilities.
 In an effort to simplify the reporting
 requirements for the regulated
 community, the Agency has combined
 both reports into a single report with
 similar instructions for each part. • •
 Accordingly, the form and instructions
 which were promulgated in the February

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   33142        Federal Register  /  Vol. 45,  No. 98  / Monday. May 19, 1980 / Rules  and  Regulations
   28.1980 Federal Register are amended in
   today's Part 262. A Facility Annual
   Report form (8700-13B) and the
   associated instructions are also
   promulgated'today in Parts 264 and 265.
     The changes which appear on  the first
   page of the Hazardous Waste Report
   (EPA form 8700-13) are not extensive.
   Section I, (Type of Report), has been
   modified to include Part A for Generator
   Annual Reports, Part B for Facility
   Annual Reports, and Part C for
   Unmanifested Waste Reports.
     The major change which occurred on
   this form was the addition of a new
   Section VIII entitled Cost Estimates for
   Facilities. Both closure and post-closure
   costs for treatment, storage, or disposal
   facilities must now-be included aa
   required by Parts 264 and 285
   promulgated today.
     On the' Part A report, only minor
   heading changes have occurred (e.g., to
   the Waste Identification section)  and a
  general  renumbering of all sections due
   to the addition of the Cost Estimates for
  Facilities section. Also, the applicability
  of Part A reports to generators who ship
  hazardous waste off-site to facilities
  which they do not own or operate is
  clarified. Since facility owners or    •
  operators are required to file Annual
  Reports  fay Part 264. the Agency found it
  unnecessary to burden generators who
  treat, store, or dispose of hazardous
  waste on-site by requiring them to file
.  two nearly identical reports on the same
  waste. Therefore, generators who ship
  hazardous waste off-site to a facility
  which they own or operate or who treat,
  store or dispose of hazardous waste on-
  site are not required to file the Part A
  report. Rather, they are required to file
  the Part B report for those wastes.
   The amended instructions for
  Generator Annual Report (Part A) are
  included in Part 282 in today's Federal
  Register. The instructions for Facility
  Annual Reports (Part B) and
  Unmanifested Waste Reports (Part C)
  are published in Parts 264 and 265
  elsewhere in today's Federal Register.
  10. State  Programs                  .
   The preamble to the February 26,1980
 regulation did not discuss the effect of
 EPA authorization of State programs on
•the applicability of these regulations.
 This Part applies in  States which have
 not received interim or final
 authorization to operate the hazardous
 waste management system in lieu of the
 Federal program. With two exceptions,
 the provisions of these regulations  do
 not apply in States which have been
 authorized under the provisions of 40
 CFR Part  123. Section 40 CFR 123.128(d)-.
 enables States to obtain interim
 authorization while allowing EPA to
  administer and enforce the Federal
  manifest system as established in 40
  CFR Parts 262 and 263. Further, EPA will
  not authorize States-to receive the
  notice of international shipment
  required in § 262.50. Even in States
  whose programs are authorized,
 • generators shipping their hazardous
  waste to a foreign country will be
  required to notify EPA four weeks prior
  to the initial shipment.

  IV. OMB Review

  • The preamble to the February 26.1980
  regulations indicated that OMB had,not
  completed its review of the
  recordkeeping and reporting provisions
  of the sectiop 3Q02, 3003 and 3010
  standards. OMB has now completed its
  review and has. approved all of those .
  provisions, EPA has developed an
  evaluation plan for the entire hazardous
 waste regulatory program. The plan
 commits EPA to an evaluation of each of
 those provisions and to modifying them,-
 if necessary, based on the practical
 experience gained during
 implementation.
   The provisions of § 282.34(a)(5)  of this
 amendment pertaining to recordkeeping
 and reporting have been submitted to
 the Office of Management an.d Budget
 for review in light of the requirements of
 the Federal Reports Act. 44 U.S.C. 3501.
. etseq. Time has not permitted
 completion of this review.
  Dated: May 8, 1380.
 Douglas M. Costle,
 Administrator.

  Title 40 CFR Part 262 is  revised to
 read as follows:

 PART 262—STANDARDS APPLICABLE ,
 TO GENERATORS OF HAZARDOUS
 WASTE

 Subpart A—General
 Sec.
 262.10  Purpose, scope, and applicability.
282.11  Hazardous waste determination.
282.12  EPA identification numbers.

Subpart B—The Manifest
282.20  General requirements.
262.21  Required information.
262.22  Number of copies.
282.23  Use of the manifest.

Subpart C—Pre-Transport Requirements
262.30  Packaging.
262.31  Labeling.
262.32  Marking.
262.33  Placarding.
262.34  Accumulation time.

Subpart D—Recordkeeping and Reporting
262.40.  Recordkeeping.
262.41  Annual reporting.
262.42  Exception reporting.
262.43  Additional reporting.
  Subpart E—Special Conditions
  262.50  International shipments.
  262.51  Fanners.  .'

  Appendix—Form   '
    Annual Report (EPA Form 8700-13).
   •Authority: Sees. 2002(a), 3001, 3002. 3003,
  3004, and 3005 of the Solid Waste Disposal .
  Act, as amended by Resource Conservation
  and Recovery Act of 1976 and as amended by
  the Quiet Communities Act of 1978, (42 U.S.C.
  6912(a). 6921, 6922,' 6923, 6924, 6925)

  Subpart A—General

  § 26Z10 Purpose, scope, and applicability.
    (a) These regulations establish
  standards for generators of hazardous
  waste.
    (b) A generator who treats, stores, or
  disposes of hazardous waste on-site
 ,must only comply with the following
  sections of this,Part with respect to that
  waste: Section  262.11 for determining
•  whether or not  he has a hazardous
  waste. § 262.12 for obtaining an EPA   ,
  identification number, § 262.40(c) and
  (d) for Recordkeeping, § 262.43 for
  additional reporting and if applicable,
  § 262.51 for Farmers.
   (c) Any person who imports
  hazardous waste into the United States
  must comply with the standards
  applicable to generators establishfidin
  this Part.
   (d) A farmer who generates ..
 pesticides which are hazardous  .,
 and who complies with all of the
 requirements of § 262.51 is not required
 to comply with other standards in this
 Part or 40 CFR Parts 122, 264, or 265 with
 respect to such pesticides.
   (e) A person who generates a
hazardous waste as defined by 40 CFR
Part 281 is subject to the compliance
requirements and penalties prescribed
in Section 3008 of the Act if he does not
comply with the requirements of this
Part.

  Note.— A-generator who treats, stores, or
disposes of hazardous waste on-site must
comply with the applicable standards and
permit requirements  set forth in 40 CFR Parts
264, 265, and 286 and Part 122.

§ 262.11  Hazardous waste determination.
  A person who generates a solid waste,
as defined in 40  CFR 261.2, must
determine if that waste is a hazardous
waste using the following method:
  (a) He should first determine if the
waste is excluded from regulation under
40 CFR 261.4 and 261.5.
  (b) He must then determine if the
waste is listed as a hazardous waste in
Subpart D of 40 CFR Part 261.
  Note.— Even if the waste is listed,,
generator still has an opportunity un<
CFR 260.22 to demonstrate to the
Administrator that .the waste from his

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                                   %      ''                   (                             ,

                Federal Register  /  Vol. 45.  No. 98  /  Monday,  May 19, 198O  / Rules arid Regulations       33143
 1  particular facility or operation is not a   .
   hazardous waste.
     (c) If the waste is not listed as a
• ,  hazardous waste in Subpart D of 40 CFR
' ,  Part 261, he must determine whether the
   waste is identified in Subpart C of 40
   CFR Part 261 by either:         ..'•••-
     (1) Testing the waste according to the
   methods set forth in Subpart G of 40
   CFR Part 261, or according to an
 •  equivalent method approved by the •  •
   Administrator under 40 CFR, 260.21; of
     (2) Applying knowledge of the hazard
   characteristic of the waste in light of the.
   materials or the processes used.

   §282.12  EPA Identification numbers.
     (a) A generator must not treat, store,
   dispose of. transport, or offer for
   transportation, hazardous waste without-
   having received an EPA identification.
   number from the Administrator.
     (b.) A generator who has not received
   an EPA identification number may
 .  obtain one by applying to the    ,
  Administrator using EPA form 8700-12.
  Upon receiving the request tkg_  •*
  Administrator will assign an EPA
  identification number to the generator.
    (c) A generator must not offer his
 .hazardous waste to transporters or to
  treatment, storage, or disposal facilities
 ' that have not received an EPA
•  identification number.

  Subpart B-^-The Manifest

  § 26Z20   General requirement*.
    (a) A generator who transports, or
  offers for transportation, hazardous
  waste for off-site .treatment, storage, or
  disposal must prepare a manifest before
  transporting the waste off-site.
    (b) A generator must designate on the
 manifest one facility which is.permitted
 to handle the waste described on the
 manifest.
    (c) A generator may also designate on
 the manifest one alternate facility which
 is permitted to handle his waste in the '   -
 event an emergency prevents delivery of
 the waste to the primary designated
 facility.        .          ,
   (d) If the transporter is unable to
 deliver the hazardous waste to the   '
 designated facility or the alternate
 facility, the,generator must either  '
 designate  another facility or instruct the
 •transporter to return'the  waste.

 §262.21  Required Information.
   (a) the manifest must contain all of'the.
 following informatio.n:
 ,  (1) A manifest document number;
   (2) The generator's name, mailing
 address, telephone number, and EPA
 identification number; .
 •  (3) The name and EPA identification
 number of each transporter;
     (4) The name, address and EPA
   identification number of the designated
   facility and ari alternate facility, if any;
     (5) The description' of the wastefsj
   (e.g., proper shipping name, etc.)
   required by regulations of the U.S..
   Department of Transportation in 49 CFR
   172.101,172^202. and 172.203;
     (6) The.total quantity of each
   hazardous waste by units of weight or
   volume, and the type and number of
   containers as loaded into or onto the
   transport .vehicle.                   . '  •
     (b) The following certification must
   appear on the manifest: "This is to
   certify that the above nam^d  materials
   are properly classified,••described,
   packaged, marked, and labeled and are
   in proper condition for transportation
   according to the applicable regulations
   of the Department of Transportation and
   the EPA."

   § 262.22 Number of copies.
    The manifest consists of at  least the
   number of copies which will provide the
   generator, each transporter, and the
   owner or operator of the designated
   facility with one copy each for their
  records and another copy to.be returned
   to the generator.

  §2«Z23  Use of the manifest
    (a) The generator must:
    (1) Sign the manifest certification by
  hand; and           •
    (2) Obtain the handwritten signature
  of the initial transporter and date of
  acceptance on the manifest; and      /'
    (3) Retain one copy, in accordance
  with § 262.40(a).
    {b) The generator must give  the
  transporter the remaining copies of the
  manifest.
 .   (c) For shipment of hazardous' waste
  within the United States solely by
  railroad or solely by water (bulk .
  shipments only), trie generator must
  send three copifes of the manifest dated
  and signed in accordance with this
'  section to the owner or operator of the
  designated facility. Copies of the     '
  manifest are not .required for each
  transporter.
   Note.—See'§ 283.20(e) for special
  provisions for rail or water (bulk shipment)
  transporters' who deliver hazardous waste by
  rail or water to the designated facility.

  Subpart C—Pre-Transport
  Requirements      '

 §262.30 Packaging.
   Before transporting hazardous waste
 qr offering hazardous waste for
 transportation off-site, a generator must
 package 'the Waste in accordance with
 the applicable Department of
 Transportation regulations on packaging
 under 49 CFR Parts 173,178, and 179.
  §262.31  Labeling.
    Before transporting or offering
  hazardous waste for transportation off-
  site, a generator must label each
  package in accordance with the
  applicable Department of     .   -   -
  Transportation regulations on hazardous
  materials under 49 CFR Part 172.

  §262.32 Marking.,
  1 (a) Before transporting or offering  ,
  hazardous waste for transportation off-
  site, a generator must mark each '
  package of hazardous waste in
  accordance with the applicable
  Department o.f Transportation
  regulations on hazardous materials
  under .49 CFR Part 172;
  .  (b) Before transporting hazardous
  waste or offering hazardous waste for  •
  transportation off-site, a generator must,
  mark each container of 110 gallons or
  less used in such transportation with the
  following words and information
  displayed in accordance with the
  requirements of 49 CFR 172.304:
   HAZARDOUS WASTE—Federal Law
  Prohibits Improper Disposal. If found, contact
  the nearest police or public safety, authority
  or the U.S. Environmental Protection Agency.
  Generator's Name and Address —:	.
  Manifest Document Number	    .

  §262^3 Placarding.   .  ' .
   Before transporting hazardous waste
  or offering hazardous waste for
  transportation off-site, a generator must •
 placard or offer the initial transporter
  the appropriate placards according to
 Department of Transportation-"
 regulations for hazardous materials
 under 49 CFR Part 172, Subpart F.

 § 262^4  Accumulation time...  .  •
   (a) A generator may accumulate
 hazardous waste on-site without a
 permit for 90 days or less, provided that:
   (1) All such waste is shipped off-site
 in 90 days or less;
   (2) The waste is placed in containers
 which meet the standards of § 262.30
 and are managed in accordance with 40   -
 CFR 285.174 and 265.176-or in tanks,  ..
 provided the generator complies with
 the requirements of Subpart J of 40 CFR
 Part 265 except § 265.193;
  ,(3) The date upon which each period
 of accumulation begins is clearly
 marked and visible for inspection on
 each container:          '         ...
  (4) Each container is properly labeled  '
 and marked according to § 262.31 and
 §262.32; and
  (5) The generator complies with the-'
 requirements for owners or operators in
 Subparts (land D in 40 CFR Part 265
 and with § 265.16.
  (b) A generator who accumulates    . •
hazardous waste for more than 90 days

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   33144
Federal  Register / Vol. 45. No. 98 / Monday.- May 19. 1980 / Rules  and Regulations
   is an operator of a storage facility and is
   subject to the requirements of 40 CFR
   Parts 264 and 265 and the permit
   requirements of 40 CFR Part 122.

   Subpart D—Recordkeeplng and
   Reporting

   § 262.40  Recordkeeplng.
    (a) A generator must keep a copy of
   each manifest signed in accordance with
   i 262.23(a) for three years or until he
   receives a signed copy from the
   designated facility which received the
   waste. This signed copy must be
   retained as a record for at least three
   years from the date the waste was
   accepted by the initial transporter.
    (b) A generator must keep a copy of
   each Annual Report and Exception
   Report for a period of at least three
  years from the due date of the report  • '
  (March I).
    (c) A generator must ke'ep records-of
  any test results, waste analyses, or other
  determinations made in accordance
  with § 262.11 for at least three years
  from the date that the waste was last
  sent to on-site or off-site treatment,
  Jlorage, or disposal.
   (d) The periods or retention referred
  to in this section are extended
  automatically during the course of any
  unresolved enforcement action
  regarding the regulated activity or as
  requested by the Administrator.

  §262.41  Annual reporting.     .
   (a) A generator who ships his
  hazardous waste off-site must submit
 Annual Reports:
   (1) On EPA forms 8700-13 and 8700-
 13A according to the instructions on the
 form [See the Appendix to  this Part);
   (2) To the Regional Administrator for
 the Region in which the generator is
 located;
   (3) No later than March 1 for the
 preceding calendar year.
   (b) Any generator who treats, stores.
 or disposes of hazardous waste on-site
 must submit an Annual Report covering
 those wastes in accordance with the
 provisions of 40 CFR Parts 264.265, and
 268 and 40 CFR Part 122.

 §282.42  Exception reporting.
   (a) A generator who does not receive
 a copy of the manifest with the
 handwritten signature of the owner or
 operator of the designated facility
 within 35 days of the date the waste was
 accepted by the initial transporter must
 contact the transporter and/or the
 owner or operator of the designated
 facility to determine the status of the
hazardous waste.
  (bj A generator must submit an
Exception Report to the EPA Regional
                          Administrator for the Region in which
                          the generator is located if he has not '
                          received a copy of the manifest with the
                          handwritten signature of the owner or
                          operator.of the designated facility
                         • within 45 days of the date the waste was
                          accepted  by the initial transporter. The
                          Exception-Report must include:
                            (1) A legible copy of the manifest for
                          which the generator does not have
                          confirmation of delivery:
                            (2) A cover letter signed by the
                          generator or his authorized
                          representative explaining the efforts
                          taken to locate the hazardous waste and
                          the results of those efforts.

                          5 262.43 Additional reporting.
                           The Administrator, as he deems
                          necessary under section 2002fa)-and- •
                         section 3002(6) of the Act, may require
                         generators to furnish additional reports
                         concerning the quantities and
                         disposition of wastes identified or listed
                         in 40 CFR Part 261.

                         Subpart E-—Special Conditions

                         § 282JO  International snlpmont*.
                           (a) Any person who exports
                         hazardous waste to a foreign country or
                         imports hazardous waste from a foreign
                         country into the United States must
                         comply with  the requirements of this
                         Part and with the special requirements
                         of this section.               .
                          (b) When shipping hazardous waste
                         outside the United States, the generator
                         must:
                          (1) Notify the Administrator in writing
                         four weeks before the initial shipment of
                         hazardous waste to each country in
                         each calendar yean
                          (i) The waste must be identified by its
                         EPA'hazardous waste identification
                         number and its DOT shipping
                         description;
                          (ii) The name and address of the
                        foreign consignee must be included in
                        this notice;
                          (iii) These notices must be sent to:
                        Hazardous Waste Export. Division for
                        Oceans and Regulatory Affairs (A-107),
                        United States Environmental Protection
                        Agency, Washington, D.C. 20460.
                          Note.—This requirement to notify will not
                        be delegated  to States authorized under 4O
                        CFR Part 123. Therefore, all generators must
                        notify the Administrator as required above..
                          (2) Require that the foreign consignee
                        confirm the  delivery of the waste in the
                        foreign country. A copy of the manifest
                        signed by the foreign consignee may be
                        used for this purpose;
                       .   (3) Meet the requirements under
                        § 262.21 for the manifest, except that:
                          (i) In place of the name, address, and
                       EPA identification number of the
                       designated facility, the name and
  address of the foreign consignee mu
  used:
    (ii) The generator must identify th
  point of departure from the United
  States through which the waste must
  travel before entering a foreign country.
    (c),A generator must file an Exception
  Report, if:             .          .    .
    (1) He has not received a copy of the
  manifest signed by the transporter
  stating the date and place of departure,
  from the United States within 45 days
  from the date it was accepted by the
  initial transporter; or
    (2) Within 90 days from the date the
  waste was accepted by the initial
  transporter,  the generator has not
  received written confirmation from .the
  foreign consignee that the hazardous
  waste was received.-
   (d) When importing hazardous waste,
  a person must meet all requirements of
  § 262.21 for the manifest except that:
   (1) In place of the generator's name,
 address and EPA identification number,
 the name and address of the foreign
 generator and the importer's name,
 address and EPA identification number
 must be used.
   (2) In place of the generator's
 signature on the certification statement,
 the U.S. importer or his agent mus.t sign
 and date the certification and obtain
 signature of the initial transporter..

 §262.51  Farmers.   .
   A farmer disposing of waste.
 pesticides from his own use which are -
 hazardous wastes is not required to
 comply with the standards in this Part or
 other standards in 40 CFR Parts 122, 264
 or 265-for those wastes provided he
 triple rinses each emptied pesticide
 container in-accordance with § 261.33(c)
 and disposes of the pesticide residues
 on his own farm in a manner consistent
 with the disposal instructions on the
 pesticide label.

Appendix—Form—Annual Report (EPA
Form 87WM3)
BtUJNO CODE 8560-01-M

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                  Federal Register / Vol. 45. No. 98  / Monday, May 19. 198O  / Rules and Regulations
                                                                3314E
  Pleas» pnrii or tvtw wjtti ELITE Ivoe 112,characters per inch!.
                           GSA No. 12345-XX     •
                           Form. Approved OMB No. 1SS-ROOXX '
                    US. ENVIRONMENTAL PROTECTION AGENCY

                         HAZARDOUS WASTE REPORT  '•
i. TYPE OF HAZARDOUS WASTE REPORT 3S3ggt
                                                                         PART A:  GENERATOR ANNUAL REP
                                                                        •MS,REPORT IS FOR THE YEAR ENDING DCC.3I.
                                                                           PART B: FACILITY ANNUA',. RF.PORT
                PLEASE PLACE LABEL IN THIS SPACE
                                                                            THIS REPORT rOK VCAM ENDING DEC. It.
                                                                         PARTC:  UNMAN1FESTED WASTE REPORT
                                                                      TMI» RCPORT 1« FOH A WASTE
                                                                        ftKCeivsp (day, mo.. * yr.l
 Thai
                           il r»qmr»d by !«w IStcoon 3OO2S3OO4 of tfa Rasourca Conxmnion snd flacwwy Act).
         ILLATION'S EPA I.D.

   . NAME OF INSTALLATION

 IV. INSTALLATION MAILING ADDRESS
 V. LOCATION OF INSTALLATION
 VI. INSTALLATION CONTACT
VII. TRANSPORTATION SERVICES USED ffor f^rt A rrportt only
     th. EPA ldmtilic«ion.Nuinl»n (Of,
VIII. COST ESTIMATES FOR FACILITIES r/orPort B wporu oniyj
           A. COST ESTIMATE rott FACILITY CI.OSUIIC  '
                                                                   »• COST ESTIMATE FOR POST CLOSURE MONITORING AND
                                                                             MAINTENANCE Idjiaoial taciUtiti only!  •
 IX. CERTIFICATION
             A. PRINT OR TYPE NAME
                                                                                              PAGE.

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 33146          Federal Register / Vol. 45. No. 98 /  Monday. May 19.1980 /  Rules and Regulations
    tHf mini or type with ELITE tvt* I12chirxttn/inch>.
                     GSANo. 1234S-XX
                     Form Aoorovtd OMB No. 1S8-ROQXX
        ro» ornciAi.
          use ONUY
         {tlrm* I Mrf 1)
                                              GENEFtATCiR"ANN'UAL R¥POR T*- PART A
                                               ICnllcrtrd undrr tht authority nf Sfction '3002 of RCRA. t
                                         *. rvrx of

  Xir. FACILITY NAME t.prctm
                                                                         1  9
                                                                                   X GENERATOR'S EPA I.D.

                                                     XIII. FACILITY ADC
                                                                         i titrtrt or P.O. box. city, ttatt. A up code
 10
 11
 12
                       A. DUCKIFTION OF W AXTI
 •. DOT
  HA<
 ZAMO
 C1.AS*
[
 XV. COMMENTS frnfrf in/ormafion
   'C. I*A
 HAZAIVOOUft
   WASTE
   MUMSKM
lift inttmcttontt
                                             instruction*)
EFA Form 8700-13A (B-aO)

BIUJNO CODE eS«0-Ot-C
                                                                                                   D.
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                  Federal Register  / Vol.  45. No.'98  / Monday. May 19. 198O  / Rules and  Regulations
                                                                                33147
    General Instructions, Hazardous Waste
    Report (EPA Form 8700-13)
     • important: READ ALL INSTRUCTIONS
    BEFORE COMPLETING THIS FORM.

   Section I. Type of Hazardous Waste Report
     Part A: Generator Annual Reports-Ear
  . generators who ship their waste off-site to
   facilities  which they do not own or operate,
   fill in the reporting year for this report (e.c..
   1982).
     Note.—Generators who ship hazardous :
   waste off-site to a facility which they own or
   operate must complete the facility  (Part B)
   report instead of the Part A report.  .
     Part B:  Facility Annual Report—For
   owners or operators of on-site or off-site
  , facilities that treat store, or dispose of
   hazardous waste, fill in the reporting year, for
 ,. this report (e.g., 1982).
     Part C:  Unmanifested Waste Report—For
   facility owners or operators who accept for
   treatment, storage, or disposal any  hazardous
   waste, from an off-site source without an
   accompanying manifest fill in the date the
  waste was received at the facility (elg. 04-12-
 ,1982).

  Section II thru Section IV. Installation l.D.
  Number, Name of Installation, and
  Installation Mailing Address

    If you received a preprinted label from
  EPA. attach it in the «pace provided and
  leave Section! II through IV blank. If there is
'. an error'or omission on the label, cross out   '
  the incorrect information and fill in  the
  appropriate item(s). If you did not receive a
  preprinted label, complete Section II throuoh
  Section IV.      ,               . .

  Section V.  Location of Installation
    If your installation location addreti is
  different than the mailing address, enter the
  location address of your installation.

 Section VI. Installation Contact
    Enter the name (last and first) and'
  telephone number of the person who may be
 contacted regarding information contained in
 this report.                                •

 Section VII. Transportation Services. Used
 (For Sort A Reports ONLY)  '"
   List the EPA Identification Number for
 each transporter whose services you used
 during the reporting year.  '

 Section VIII. Cost Estimates for Facilities
 (For Part B Reports ONL YJ           '
   A. Enter the most recent cost estimate for   .
 facility closure in dollars. See Subpart H of 40
 CFR Parts 264 or 285 for more detail.
   B. For disposal facilities only, enter the
• most recent cost estimate for post closure
 monitoring and maintenance. See Subpart H
 bf 40 CFR Parts 264 or 265 for more detail.

 Section IX. Certification
   The generator or his authorized
 representative-(Part A reports) or the owner
 or operator of the facility or his authorized
 representative (Parts B and C reports) must
 sign and date the certification where
 indicated. The printed or typed name  of the
person signing the report must also be
included where indicated.
             L1N1JICI7I8U 6-2- 1 383
     Note.—Since more than one page is
   required for each report, enter the page, •
   number of each sheet in the lower right
   corner as well as the total number of pages.

   Generator Annual Report. Part A Instructions
   (EPA Form 8700-13A)
   '  Generator Annual Report for generators
   who ship their hazardous waste off-site to
   facilities which they.do not own or operate:
   .  Important: READ ALL INSTRUCTIONS
   BEFORE COMPLETING THIS REPORT.

  Section X. Generator's 'Identification Number
     Eriter.yourEPA identification number.
   Example
  Section XI.'Facility-s Identification Number
    Enter the EPA identification number of the
  facility, to which you sent the waste
 ' described below in Section XIV (a separate
  sheet must be used for each facility to which
  you tent hazardous waste.)
  Section XII. Facility Name
    Enter the name of the facility
  corresponding to the facility's EPA
  identification number in Section XL'

 Section XIII. Facility Address
   Enter .the address of the facility
 corresponding to the facility's EPA
 identification number in Section XI.

 Section XIV. Waste Identification
   All information in this section must be
 entered by line number, Each line entry will
 describe the  tota'l annual amount of each
 waste shipped to the facility identified in
 Section XL above.
/'_''•       .  ^
 Section XTV-A. Description of Waste
   For hazardous wastes that are listed under
 40 CFR Part 261. Subpart D. enter the EPA
 listed name, abbreviated if necessary. Where
   mixtures of listed wastes were shipped, enter
   the description which you believe best
   describes the waste.
     For unlisted hazardous waste identified -
   under 40 CFR Part 261, Subpart C, enter the
   description which you believe best describes
   the waste. Include the specific manufacturing
   or other process generating the waste (e.g.,
   green sludge from widget manufacturing) and.
   if known, the chemical or generic chemical
   name of the waste.

  .Section XIV-B. DOT Hazard Class   .
    Enter the two digit code from Table 1
   which corresponds to the DOT hazard class
   of the,waste described. (If the waste
   described has been shipped under more than
   one DOT hazard class, use a separate line for
   each DOT hazard class.)
Table 1
DOT hazard das* ' • ,
Comtxstble 	 • .
Corrosive 	 ;. .. ' ' .
Ebotog^ agent 	 ....". 	
Explosive A 	 ' . -1
Explosive B 	 i_ 	 • '
Flammable ga*. 	
Flammable bond 	 	 .....
Flammable »oM:.....: 	 	
Irrtatng agent 	 	 	 .-, 	
Nonflammable gat. 	 „ 	 	 	 _ 	
Organic peroxide. 	 _. ...
OFU4-€........:.. 	 ;.......;.: 	 . • . -
Oiudiz •**.».. 	 	 	 	 	
PononA 	 	
Poaon B 	 .
Rackoacfeve 	 .'


. Coda






07

•09
to

0 13



 Section XlV-t. EPA. Hazardous Waste
 Number
   For listed wastes, enter the EPA Hazardous
 Waste Number from 40 CFR Part 261, Subpart
 D, which identifies the waste.
  . For a mixture of more than one listed
 waste, enter each of the applicable EPA
 Hazardous Waste Numbers. Four spaces are
 provided. If more space is needed, continue
 on the next line(s) and leave all other
 information on that line blank.
  For unlisted hazardous wastes, enter the
EPA Hazardous Waste Numbers from 40 CFR
Part 261, Subparts C, applicable to the waste.
If more than four spaces are required, follow
the procedure described above.
Section XIV-D. Amount of Waste
  Enter the amount of this waste'you shipped
to the facility identified in. Section XI and
include the weighfof containers if left at the
treatment, storage, or disposal facility.

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 33148        Federal Register / Vol.  45. No. 98 /  Monday. May 19. 1980 /  Rules and Regulations
  Section XIV-E. Unit of Measure
    Enter the unit of measure code for the
  quantity of waste described on this line.
  Units of measure which must be used in this
  report and the appropriate codes are:
            Unrti o< m*otr«             Coo*
 Pound..	
 Short ton (2.000 bt) „
               ....	
 Torn** (1,000 kg)			      M

   Uniti of volume may not b« used for
 reporting but mutt b« converted into one of
 the above unit* of weight taking into account
 the appropriate density or specific gravityof
 the watte.

 Section XV. Comments
  ThJ» space may be used to explain or
 clarify any entry, if used, enter a cross
 reference to the appropriate Section number.
  Note.—Since more than one page is
 required for each report, enter the page
 number of each sheet in the lower right
 comer ai well as the total number of pages.
|FR Doe. £0-naft3 Fll»d S-19-eo: MS am)
BHJJMQ COOC (MO-01-M

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 Monday
 May 19, 1980
Part VI

Environmental
Protection Agency
Hazardous Waste Management System
Standards Applicable to Transporters of
Hazardous Waste

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   33150        Federal Register. / Vol. 45. No. 98  /  Monday. May 19.1980 / gules and Regulations
   ENVIRONMENTAL PROTECTION
   AGENCY

   40 CFR Part 263
   IFRL 1470-8]

   Standards for Transporters of
   Hazardous Waste

   AGENCY: Environmental Protection
   Agency.
   ACTION: Final rule.

   SUMMARY: The Resource Conservation
   and Recovery Act, as amended, seeks to
   promote the protection of human health
   and the environment and to conserve
   valuable material  and energy resources.
   In order to accomplish this, the Act
   establishes a national program to
   improve solid waste management,
  including the control of hazardous
  waste, the promotion  of resource
  conservation and recovery, and the
  establishment of environmentally sound
  solid waste disposal practices.   •
    The Part 2B3 regulations published
  February 28,1980 in the Federal Register
  and the amended version published
  today establish standards for
  transporters of hazardous waste. These
  amendments are administrative changes
  to the regulations. Areas'of change
  include: clarification of the effective
  date and compliance date of the
  regulation, clarification of the
  recordkeeping retention time, and an
  additional telephone number(s) for
  reporting discharges.  •
  DATES: Effective date:  November 19,
  1980. EPA will accept public comment
  on these regulations and amendments
  for administrative errors only (e.g..
  typographical errors, incorrect cross
  references) until July 18.1980. No
  extension in the effective date will be
  made, however, as  a result of such
  comments.
  ADDRESSES: The official docket for this
  regulation is located in Room 2711, U.S.
  Environmental Protection  Agency. 401 M
  Street SW., Washington. D.C., and is
.  available, for viewing from 9:00 am to
 •4:00 pm, Monday through Friday,
  excluding holidays.
   For information on implementation of
  these regulations, contact your EPA
 Regional Office.
 FOR FURTHER INFORMATION CONTACT:
 For technical assistance on these
 regulations, contact Harry W. Trask or
 Carolyn Barley, Office  of Solid Waste,
 (WH-563), U.S. Environmental
 Protection Agency, Washington. B.C.
 20460 (202-755-9145). For single copies
 of the amended Part 263 preamble and
 regulations published today and for
 copies of the February 26,1980 version
  which contains a more descriptive
  preamble of this whole Part, contact
  Edward Cox. Solid Waste Publications,
  26 West Saint Claire, Cincinnati. Ohio
  45268 (513/684-5362). Multiple copies
  will be available from the
  Superintendent of Documents.
  Washington. D.C. 20402.
  SUPPLEMENTARY INFORMATION:
  L Authority
   These amendments are issued under
  authority of Sections 2002(a), 3001. 3002,
  3003, 3004 and 3005 of the Solid Waste
  Disposal Act. as amended by the
  Resource Conservation and Recovery
  Act of 1976 and as amended by the
  Quiet Communities Act of 1978 ("RCRA"
  or "the Act"). 42 U.S.C. 6912(a). 6921.
  6922, 6923. 6924. 6925.
  II. Background       .
   This regulation was published in the
  Federal Register in proposed form for
  public review and comment on April 28,
  1978-as 40 CFR Part 250, Subpart C (43
  FR 18506 et seq.). The Agency held six
 public hearings, one of which was a
 joint hearing with the Department of .
 Transportation (DOT) and received a
 substantial number of written comments
 on the proposal. The public comment
 period closed on March 16,1979.
   After consideration of the views of the
 public, the Agency promulgated the Part
 263 regulations in the  Federal Register
 February 28.1980 and promulgates this
 amended version today.
   These amendments are administrative
 amendments and are corrections or
 clarifications to the intent of Part 263
 preamble and regulations.  '
 III. Amendments
 1. Effective Date
   RCRA establishes the effective date of
 Subtitle C regulations  as "the date six
 months after the date  of promulgation
 thereof. . ." (Section 3010(b)).
 Regulations  implementing Section 3001
 (40 CFR Pa.rt 261) identify characteristics
 of hazardous waste and list particular
 wastes as hazardous. These regulations
 are essential in, determining who must
 comply with the Subtitle C regulations.
 Therefore. EPA intends to make the
 effective date of regulations
 implementing Sections 3002 and 3003 six
 months from the date of promulgation of
 Part 261. Since Part 261 is promulgated
 today, the effective date is November 19,
 1980.
  Some confusion developed when in
 the Federal Register EPA stipulated that
 the "effective date" was. August 26,1980
 and that the "compliance date" was six
months after the promulgation of 40 GFR
Part 261. For determining the date at
  which transporters will be subject to
  these regulations, the August 26,19f
  date is incorrect. All transporters m1
  comply with these" regulations as of
  November 19,1980/

  2. Recordkeeping

   • Section 263^22 (b) and (c) which
  appeared in the February 26,1980
  Federal Register did not specify the
  length of time the transporter was
  required to retain a copy of the manifest
  or shipping paper. These amendments
  clarify this requirement by requiring
  records to be kept for three years from
  the date the  manifest was accepted by
  the initial transporter. This time period
  is consistent with the other manifest  •  .
  recordkeeping requirements.  .
 3. Discharge Reporting

   The regulations which appeared in the
 February 26,1980 Federal Register
 concerning immediate action for
 discharges did not include a telephone
 number(s) for reporting discharges
 which occur outside the toll free calling
 area. Therefore, Section 263.30(c)(l) is
 amended to include a toll call-telephone,'
 number for transporters to use when
 reporting discharges which occur
 outside the continental United States.,
 DOT will also amend 49 CFR 171.15
 require carriers (transporters) to use
 toll number when applicable.
   Section 263.30(d) limited water (bulk
 shipment) transporters to telephone
 reporting of discharges to'eith.er a toll
 free number or a District of Columbia
 number. Since it is not always
 practicable for water transporters (bulk
 shipment) to report discharges using
 these two numbers, EPA is amending
 this section to reference the Coast
 Guard's broader telephone' reporting
 requirements found in 33 CFR 153.203.

 4. State Programs

   The preamble to the February 26,1980
 regulation did not discuss the effect of
 EPA authorization of State programs on
 the applicability of these regulations.
 This Part applies in States which have
 not received interim or final
 authorization to operate the hazardous
 waste management system in lieu of the
 Federal program. With one exception,
 the provisions of these regulations do
 not apply, in States which have been.
 authorized under the provisions of 40
 CFR Part 123. Section 40 CFR 123.128(d)
 enables States to obtain .interim
 authorization while allowing EPA to
administer and enforce the Federal
manifest system as established in 40
CFR Parts 262 and 263.

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                        Federal Register /Vol. 45. No. 98  /  Monday. May  19,  1980 /  Rules and Regulations
                                                                                                                    33151
•
  IV. OMB Re view
    The preamble to the February 26, 19.80
  regulations indicated that OMB had not
  completed its review of the             >
  recordkeeping and reporting provisions
  of the Section 3002, 3003 and 3010
 .standards. OMB has now completed its
 , review and has approved all of those
 , provisions. EPA has developed an
  evaluation plan for the entire hazardous
  waste regulatory program. The plan
  commits EPA to an evaluation of each of
  those provisions and to modifying them.;
  if necessary, based on the practical
  experience, gained during
  implementation.
    Dated: May 8, 1980.
 " Douglas M. Costle,                    •
  Administrator.
    Title 40 CFR Part 263 is revised to
  read as follows:    ,'

  PART 263— STANDARDS APPLICABLE
 TO TRANSPORTERS OF HAZARDOUS
 WASTE

 Subpart A— -General
 Sec.   . '           •         ' ' '  .   .
 283.10
 283.11
                Scope.
                EPA Identification Numbers.
 Subpart B—Compliance With the Manifest
 System and Recordkeeping
 263.20  the Manifest System.  .
 283.21  Compliance with the Manifest.
 263.22  Recordkeeping.

 Subpart C—Hazardous Waste Discharges
 283.30  Immediate Action.
 263.31  Discharge Clean Up.
   Authority: Sec. 2002(a), 3002. 3003. 3004 and
 3005 of the Solid Waste Disposal Act as
 amended by the Resource Conservation and
 Recovery Act of 1976 and as amended by the
 Quiet Communities Act of 1978. (42 U.S.C.
 6912,6922,6923,6924.6925).

 Subpart A—General

 §263.10  Scope.  '!.--.
 •  (a) These regulations establish
 standards which apply to persons
 transporting hazardous waste within the
 United State's if the transportation
 requires a manifest under 40 CFR Part
 262.            •••'•.
  Note.—The regulations set forth in Parts
 262 and 283 establish the responsibilities of
 generators and. transporters of hazardous
 waste in the handling, transportation, and
 management of that waste. In these
 regulations, EPA has expressly adopted
 certain regulations of the Department of  '
 Transportation (DOT) governing the
 transportation of hazardous materials. These
 regulations concern, among other'things.
 labeling, marking, placarding, using proper
containers, and reporting discharges. EPA
has expressly adopted these regulations in
order to satisfy its statutory obligation to   •
promulgate regulations which are necessary
  to protect human health and the environment
  in the transportation of hazardous waste.
  EPA;s adoption of these DOT regulations
  ensures-consistency with the requirements of
  DOT and thus avoids the establishment of
  duplicative or conflicting requirements with
  respect to these matters. These.EPA
  regulations which apply to both interstate
  arid intrastate transportation of hazardous
  waste are enforceable by EPA.
    DOT"has revised its hazardous materials
  transportation regulations in order to
  encompass the transportation of hazardous
  waste and to regulate intrastate, as well as
  interstate, transportation of hazardous waste.
  Transporters of hazardous waste are
  cautioned that DOTs regulations are fully
  applicable to their activities'and enforceable
  by DOT. These-QOT regulations are codified
  in Title 49. Code of Federal Regulations,
  Subchapter C. •'.    •        .
   EPA and DOT worked together to develop
  standards for transporters of hazardous
  waste in order to avoid .conflicting
  requirements. Except for transporters of.btilk
  shipments of hazardous waste by wateri a-
  transporter who meets all applicable
  requirements of 49 CFR Parts 171 through 179
 .and the requirements of 40 CFR sections
  283.11 and 283.31 will be deemed in
  compliance with this Part. Regardless of
  DOT* action, EPA retains its authority to
  enforce these regulationt.

   (b) These regulations do not apply to
 on-stte transportation-of hazardous
 waste  by generators or by owners or
 operators of permitted hazardous waste
 management  facilities.
   (c) A transporter of hazardous waste
 must also comply With 40 CFR Part 262,
 Standards Applicable to Generators  of
 Hazardous Waste', iif he:  '•
   (1) Transports hazardous waste into
 the United States from abroad; or
   (2) Mixes hazardous wastes of,
 different DOT shipping descriptions by
 placing them into a single container.
  Note.:—Transporters who store hazardous
 waste are required to comply with the
 storage standards in 40 CFR Parts 264 and
 285 and the permit requirements of 40 CFR
 Parts122. "        .    ''.''.:

 §263,11  EPA-ldentltlcatloni number.
  (a) A transporter must not transport
 hazardous wastes without having
 received an EPA identification number
 from the Administrator.
  (b) A transporter who has not
 received an EPA identification number
 may obtain one by applying to the
 Administrator using EPA Form 8700-12.
 Upon receiving the request, the
 Administrator will, assign an EPA
 identification number to the transporter.

 Subpart B—Compliance With the  '
 Manifest System and Recordkeeping

 §263.20  The manifest system.
  (a) A  transporter may not accept
hazardous waste from a generator
  unless it'is accompanied by a manifest, ,
  signed by the generator in accordance
  with the provisions of 40 CFR Part 262.
    (b) Before transporting the hazardous
  waste, the. transporter must sign and
  date.the manifest acknowledging
  acceptance of the hazardous waste from
  the generator. The transporter must
  return a signed copy to the generator
  before leaving the generator's property.
    (c) The transporter must ensure .that
 I the manifest accompanies the hazardous
  waste.
    (d) A transporter who delivers a
 . hazardous waste to another transporter
  or to the designated facility must:
    (1) Obtain the date of delivery and the
  handwritten signature of that      .;   '
  transporter or of the owner or operator
  of the designated facility on the       •
  manifest; and
    (2) Retain one copy of the manifest in
  accordance with'§ 263.22; and'
    (3) give the remaining copies of the
  manifest to the accepting transporter or
  designated facility.      '       ,
    (e) The requirements of paragraphs (c)
  and (d) of this section do'not apply to
•  rail or water (bulk shipment)
  transporters if:
    (1) The hazardous waste is delivered
 by rail or water (bulk shipment) to the
 designated facility; and
    (2) A shipping paper containing all the
 information required on the manifest
 '(excluding the EPA identification
 numbers, genera tor certification, and  •
.signatures) accompanies the hazardous
 waste; and-           .••••'••-
  • (3) The delivering transporter obtains
 the date of delivery and handwritten
 signature of the owner or operator of the
 designated facility on either the
 manifest or the shipping paper; and
   (4) The person delivering the
 hazardous waste to the initial rail or
 water (bulk shipment) transporter        ,
 obtains the date of delivery and
 signature of the rail ;or water (bulk
 shipment) transporter on' the manifest
 and forwards'it to the designated
 facility; and         ,
  (5) A copy of the shipping paper or
manifest is retained by each rail or
water (-bulk shipment) transporter in
.accordance with § 263.22.       '
  (f) Transporters who transport
hazardous waste out of the United
States .must: ••
  (•1) indicate on the manifest the date
the hazardous waste left the United
States; and
  (2) sign  the manifest and retain one
copy in accordance with § 263.22(c); and
  (3) return a signed copy of the
manifest to the generator.

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    33152        Federal Register / Vol. 45. No. 98  /  Monday. May 19. 1980 / Rules and Regulations
    § 263.21  Compliance with the mani/tst
      (a) The transporter must deliver (he
    entire quantity of hazardous waste
    which he has accepted from a generator
    or a transporter to:
      (1) The designated facility listed on
    the manifest: or
      (2) The alternate designated facility, if
    the hazardous waste cannot be
    delivered to the designated facility
    because an emergency prevents
    delivery; or
     (3) The next designated transporter; or
     (4) The place outside the United
   States designated by the generator.
     (b) If the hazardous waste cannot be
   delivered in accordance with paragraph
   (a) of this section, the transporter must
.   contact the generator for further
   directions and must revise the manifest
   according to the generator's instructions.

   § 263.22  R«cordk»«plng.
    (a) A transporter of hazardous waste
   must keep a copy of the manifest signed
   by  the generator, himself, and the next
   designated transporter or the owner or
   operator of the designated facility for a
   period of three years from the date the
   hazardous waste was accepted by the
   initial transporter.
    (b) For shipments delivered to the
   designated facility by rail or water (bulk
   shipment), each rail or water (bulk
   shipment) transporter must retain a copy
  of a shipping paper containing all the
  information required in § 283.20(e](2) for
  a period of three years from the date the
  hazardous waste was accepted by the
  initial transporter.
    (c) A transporter who transports
  hazardous waste out of the United
  States must keep a copy of the manifest
  indicating that the hazardous waste left
  the United States for a period of three
  years from the date the hazardous waste
  was accepted by the initial transporter.
    (d) The periods of retention referred to
  in this Section are  extended
  automatically during the course of any
  unresolved enforcement action
  regarding the regulated activity or as
  requested by  the Administrator.

  Subpart C—Hazardous Waste
  Discharge*  '

  §263.30 Immediate action.
  .  (a) In the event of a discharge of .
  hazardous waste during transportation,
  the transporter must take appropriate
  immediate action to protect human
 health and the environment (e.g., notify
 local authorities, dike the discharge
 area).
   (b) If a discharge of hazardous waste
 occurs during  transportation and an
 official (State or local government or a
 Federal Agency) acting within the scope
  of his official responsibilities determines
  that immediate removal of the waste is
  necessary to protect human health or
  the environment, that official may
  authorize the removal of the waste by
  'transporters who do not have EPA
.  -identification numbers and without the
  preparation of a manifest.
    (c) An air, rail, highway, or water
  transporter who has discharged
  hazardous waste must:
    (1) Give notice, if required by 49 CFR
  171.15. -to the National Response Center
  (800-424-8802 or 202-426-2875); and
    (2) Report in writing as required'by 49
. CFR 171.18 to the Director, Office of '
  Hazardous Materials Regulations,
  Materials Transportation Bureau,
  Department of Transportation,
  Washington, D.C. 20590.
    (d) A water (bulk shipment)
  transporter who has discharged
  hazardous waste must give the same
  notice as required by 33  CFR 153.203 for
  oil and hazardous substances.

  § 263.31  Discharge clean up.
   A transporter must clean up any
  hazardous waste discharge that occurs
  during transportation or  take such
  action as may be required1 or approved
  by Federal. State, or local officials  so   .
  that the hazardous  waste discharge no
 longer presents a-hazard to human
. health or the environment.   .
 |FR Doe. 00-14«8 FlUd S-IS-SO: 1«3 U1J
 BtUJMQ COOC »M»4VH«

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 Monday
 May 19, 1980
Part  VI!
Environmental

Protection Agency

Hazardous Waste Management System

Standards for Owners and Operators  of
Hazardous Waste Treatment, Storage,
and Disposal Facilities
                          33153

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  33154
Federal Register  /  Vol. 45, No. 98 / Monday, May 19,1980 / Rules and Regulations
  ENVIRONMENTAL PROTECTION
  AGENCY

  40 CFR Parts 264 and 265  .
  IFRL 1446-8]

  Standards Applicable to Owners and
  Operators of Hazardous Waste
  Treatment, Storage, and Disposal
  Facilities
  AGENCY: Environmental Protection
  Agency.
  ACTION: Final Rule and Interim Final
  Rule.	'
  SUMMARY: Subtitle C of the Solid Waste
  Disposal Act, as amended by the
  Resource Conservation and Recovery
  Act of 1976, as amended (RCRA). directs
  the Environmental Protection Agency to
  promulgate regulations establishing a
  Federal hazardous waste management
  system. These Parts 284 and 285
  regulations are the first phase of EPA's
  requirements under Section 3004 of
  RCRA for owners and  operators of
  facilities that treat, store, and dispose of
  wastes which are identified or listed as
  hazardous under Part 281 of this
  Chapter.
   The regulations under Part 285
 establish requirements applicable during
 the interim status period (the period
 after an owner or operator has applied
 for a permit but prior to final ,
 disposition of the application) respecting
 preparedness for and .prevention of
 hazards, contingency planning and
 emergency procedures, the manifest
 system, recordkeeping  and reporting.  ^
 ground-water monitoring, facility
 closure and post-closure care, financial
 requirements, the use and management
 of containers, and the design and
 operation of tanks, surface
 impoundments, waste piles, land
 treatment facilities, landfills,
 incinerators, thermal physical
 chemical, and biological treatment units;
 and injection wells. In addition, there
 are included some general requirements
 respecting identification numbers,
 required notices, waste analysis,
 security at facilities, inspection of
 facilities, and personnel training.
   The Part 284 regulations include the
 first phase of the standards which will
 be used to issue permits for hazardous
 waste treatment, storage, arid disposal
 facilities. Included are requirements
 respecting preparedness for and
 prevention of hazards, contingency
 planning and emergency procedures, the
 manifest system, and recordkeeping and
 reporting. Also included are general
 requirements respecting identification
numbers, required notices, waste
analysis, security at facilities,  inspection
                        of facilities, and personnel training.
                        Additional Part 264 regulations will be
                        promulgated later this year.
                        DATES:
                          Effective Date:  These regulations, in
                       ' the form published today, complete
                        EPA's initial rulemaking on the subjects
                        covered and are final Agency action.
                       '• They become effective on November 19.
                        1980, which is six months from the date
                        of promulgation as Section 3010
                        requires. Today's promulgation begins
                        the various schedules provided by
                        RCRA for filing notifications and permit
                        applications, and for States to apply for
                        interim authorization.
                      ."   Continent dates: EPA will accept
                        public'comments on these regulations as
                        follows:

                        Deadline far Submission of Comments
                        Final regulations—technical errors Only (e.g..
                          typographical errors, inaccurate cross
                          references)—July 18,1980.
                        Interim final regulations—July 18,1980.
                        Starred (*) Part 285 regulations—comments
                          only on the propriety of making the •  .
                          standard applicable during interim status—
                          July 18,1980.  ,  .

                       AOORCSSCS: Comments on Interim Final
                       portions should be sent to Docket Clerk
                       [Docket No. 3004). Office of Solid Waste
                       (WH-562), U.S. Environmental
                       Protection Agency, 4O1 M Street. S.W..
                       Washington. D.C. 20460.
                          Public Docket: The public docket for
                       these regulations is located in Room
                       2711. U.S. Environmental Protection
                       Agency, 401 M Street. S.W..
                       Washington. D.C.. and is available for
                       viewing from 9:00 a.m. to 4:00 p.m.,
                       Monday through Friday, excluding
                       holidays. Among other things, the
                       docket contains background documents
                       which explain, in more detail than the
                       preamble to this regulation, the basis for
                       many of the provisions in this
                       regulation.                           .
                         Copies of Regulations.^ Single copies of
                       these regulations will be available
                       approximately 30 days after publication
                       from Ed Cox. Solid Waste Information,
                       U.S. Environmental Protection Agency,
                       26 West St. Clair Street, Cincinnati,
                       Ohio 45288 (513) 684-5362. Multiple
                       copies will be available from the
                       Superintendent of Documents,
                       Washington, D.C. 20402.
                       FOR FURTHER INFORMATION CONTACT:
                       For general information, contact Alfred
                       Lindsey, Office of Solid Waste (WH-
                       565), U.S. Environmental Protection
                       Agency, 401 M~Street, S.W.,
                       Washington, D.C. 20460.
                         For information on implementation of
                       these regulations, contact the EPA        •
                       regional offices below:
jiHKty
 Region I
 Dennis Huebner. Chief, Waste
   Management Branch, John F. Ke
   Building; Boston. Massachusetts
   02203, (617) 223-5777.

 Region II
 Dr. Ernest Regna, Chief. Solid Waste
   Branch, 26 Federal Plaza, New York,
   New York 10007, (212) 264-0504/5.
 Region III
 Robert L Allen. Chief, Hazardous
   Materials Branch, 6th and Walnut
   Streets, Philadelphia, Pennsylvania
   19106, (215) 597-0980.
 Region IV

 James Scarbrough, Chief, Residuals
  . Management Branch, 345 Courtland
   Street N.E.. Atlanta, Georgia 30365,
   (404)881-3016.
 Region V                 ..      .

 Karl J. Klepitsch. Jr.. Chief, Was'te
   Management Branch, 230-South
   Dearborn Street, Chicago, Illinois
   60604. (312) 888-6148. '

 Region VI      .
 R. Stan Jorgensen. Acting Chief. Solid
   Waste Branch. 1201 Elm Street, Fi
   International Building. Dallas, Ti
   75270. (214) 767-2645.

 Region VII
 Robert L Morby, Chief. Hazardous
  Materials Branch. 324 E. llth Street.
  Kansas City, Missouri 64106. (816)
  374-3307.

 Region VIII

 Lawrence P. Gazda, Chief. Waste   '
  Management Branch. 1860 Lincoln
  Street, Denver, Colorado 80203, (303)
  837-2221.

 Reg'ionIX

 Arnold R. Den. Chief, Hazardous
  Materials Branch.. 215 Fremont Street,
  San Francisco. California 94105, (415)
  556^4606.

Region X

Kenneth D. Feigner, Chief, Waste   '
  Management Branch, 1200 6th/
  Avenue, Seattle, Washington 98101,
  (206) 442-1260.
SUPPLEMENTARY INFORMATION:
Preamble Outline
 The outline of this preamble is as follows:
I. Authority
II. Introduction     .     .           J_.
 A. Background
 B. Overview  ,
   1. Phasing of the Regulations
   2. Organization of Regulations and
 Preamble
   3. Interim Final Provisions

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Federal Register  / Vol.  45. No. 98  / Monday,  May 19. 1980 /  Rules and-Regulations
                                    33155
 'III. Interim Status Standards
   Pi.. Authority
   B. Criteria for Interim Status Standards
   C. Added Requirements
     1. Ground-Water and Leachate
   Monitoring  •   •   .   -  '
     2. Incinerators   •       ,         •
     3. Thermal Treatment        ,
     4. Closure and Post-Closure .,
     5. Ignitable. Reactive, or Incompatible
 -  Waste*
  '   6. Landfill Rules              •
     7. Waste Analysis
     8. Site Selection Standards
   D. 'Compliance Period
 •  E. Notes and Variances   -    .
   F. Equity^
     1. Common Permit Effective Date
     2. Case-by-Case Interim Status
   Standards
     3. No Intention to. Obtain Permits
 IV. General Issues       .  ..             '.
   Pi-Degree of Hazard
     1. Classification of Waste by Risk
     2. Tailoring of Management Standards
     3. Response  to Degree of Hazard
   Objectives
   B. Volatile Waste
   C. Performance Versus Design and -
   Operation Standards
   D. Notes, Variance's, and Equivalency
   E. Commercial Products Standards
   F. Storage of Recycled Waste
   G. General Standards for Storage
   H. Owner or Operator
   L Inactive Facilities
   J. New-Facilities and Existing Facilities
 '  K. References to Other Acts, Regulations,
  and Standards
  L. Integration With Other Acts
    1. Underground Injection Control
 'Program          i
    2. Ocean Disposal Program
    3. NPDES Permitted Fadlitie*    ',
      «. Regulation of POTWs a* Section
  3004 Facilities         •
     ., b. Regulation of NPDES Treatment
  Train Facilities under Section 3004
      c. Regulation of Sewage Sludge under
  Subtitle C                             ,
 •, 4. BAT Toxics and Pretreatment.
  Standards
    5. Clean Air Act
    a Toxic Substances Control Act
   .7. Surface Mining Control and
  Reclamation Act                  . ,
    a National Environmental Policy Act
  M. 'Special Wastes                   •
    1. Change* in the Section 3O01
  Characteristics
    2. Phasing and Increased Flexibility in
  Parts 284 and 285
V. Detailed Analysis of Phase I Rules .'   •
  A. Subpart A—General
    1. Purpose. Scope, arid Applicability
      a. Ocean Disposal
      b. Underground Injection
     c. POTWs
    '.  d. Authorized State RCRA Programs  .
   . e. Part 261 Exclusions, Including Small'.
 Quantities of Hazardous Waste, and
 Recycled or Re-used Hazardous Waste
     f. Generators Who Accumulate On-
 site. Farmers, and Totally Enclosed
 Treatment Facilities
    2. Rebatiqnship to Interim Status -  •
 Standards
                                 3. Imminent.Hazard Action
                              , B. Subpart B—General Facility Standards
                                • 1. Identification Number
                                 2. Required Notices        ,
                                 3. General Waste Analysis  .
                            .  .   4.'Security       .  '      '          •
                                 5. General Inspection Requirements  ; •
                                 6. Personriel Training '
                                 7. General,Requirements for Ignitable,
                               Reactive, or Incompatible Wastes
                               C Subpart C—Preparedness and
                               Prevention, arid Subpart ^-Contingency '
                               Plan and Emergency Procedures
                                 1. Defer Regulations Until.Permit, Issued
                                 2. Tailor Rules to Circumstances
                                 3* Protection Inside Versus Outside
                               Facilities                  -
                                 4. Delete Contingency Plan
                                 S. Ground-Water Contamination
                                 a Implementation of the Contingency
                              Plan
                                 /..Submission of Contingency Plans"  .  '
                               -  a Confidential Information
                                 9. Insufficient Time for Plan Submission
                                 10. Emergency Coordinator
                               •• 11. Resuming Operations After an
                              Emergency
                              D. Subpart E—Manifest System.
                            .  Recordkeeping. and Reporting
                                1. General Issues
                                  a. Burden.       ;    ' '   ,
                                  b. Class of Hazard
                                2. Manifest System
                                  •.Manifest Copies
                                  b. Manifest Discrepancies
                                  & Manifest Retention
                               ' 3. Recordkeeping
                                  a. Congressional Intent
                                  b. Operating Record    .   ,  .  .
                                  c. Warrantless Inspections
                                  d. Nomenclature for Wa'ste      •  .
                              Information
                                4. Reporting
                                  «. Joint Filing of Report*
                                  b. Submission of the Annual Report
                                  c. Certification Statement  •
                                 , d. Unmanifested Waste Report
                              E. Subpart F^-Ground- Water Monitoring',
                                1. Applicability
                                2. Ground-Water Monitoring System
                                3. Sampling and Analysis  •
                                4. Preparation, Evaluation, and Response
                                5, Recordkeeping and Reporting
                              F. Subpart G—Closure and Post-Closure   .
                                1. Period of Post-Closure Care
                                2. Notice in Deed to Property
                                3. Amendment and Submission of Plans
                                4. Time Allowed for Closure
                                5. Post-Closure Permits
                              G. Subpart H—Financial Requirements
                                1. Liability          •           '  .
                            . - . 2, Financial Assurance
                                3. Cost Estimates
                               4. Publically-Owned Facilities ,
                              H. Subpart I—Containers
                               i: Condition of Containers         ;
                               2. Compatibility of Waste With   ' '
                              Container        •
                              . 3. Management of Containers
                               4. Inspections    .      ••'••.'
                               5. Closure
                               6. Special Requirements for Ignitable or
                              Reactive Waste             .   .
                               7. Special Requirements for Incompatible
                              Wastes
                               8. Empty Non-Combustible Storage  '
                              Containers
      9. Paper Bags             ,
    I. Subpart f—Tanks
      ,1. Definitions
      2. General Operating Requirements  •
      3: Waste Analysis and Trial Tests
      4. Inspections
      5. Ignitable, Reactive, or Incompatible
    Wastes             .'..",'
      6. Closure   '                       .
    J. Subpart K—Surface Impoundments
      1. Existing Surface Impoundments
      2. Minimum Freeboard
   ..  3. Containment System
      4. Waste Analysis and Recordkeeping
      5. Inspections
      a Closure and Post-Closure
      7. Ignitable, Reactive, or Incompatible
    Waste
    K Subpart L—Piles
    ,' 1. Protection' from Wind
      2. Waste Analysis
      3; Containment                  •  .   '
      4. Closure
      5. Special Requirements for Ignitable or
    Reactive Waste
      6. Special Requirements for Incompatible-
    Wastes          '
    L. Subpart M—Land Treatment
    (Landfarms)
      1'. Purpose of Treatment
      2, Surface Water Rujvpn and
    Contaminated Run-off
      3. Recordkeeping
      4. Waste Analysis
      5. Monitoring •
      a Food-Chain Crops
      7. Closure .".  '  .
   ,   a Ignitable, Reactive, or Incompatible
    Wastes
    M. Subpart N—Landfills
      1. Landflll Cells            '
    •  2. Surface Water Run-on
   •   3. Contaminated Surface Water Run-off
      4. Wind Dispersal
      5. Surveying and Recordkeeping    •
      a Landfill Closure        . • -
      7. Post-Closure Care               '   '.
      8. Ignitable or Reactive Waste
     a Incompatible Wastes      .
     10. Bulk Liquid Waste' ,    -• , .       :
     11. Containerized Liquid Waste
     ,12. Empty.Containers
   N. Subpart O—Incinerators
     1. General Operating Requirements
     2. Monitoring and Inspections
     3. Waste Analysis     '
   • 4. Energy Recovery    .
     5. Closure
   O. 'Subpart P—Thermal Treatment
   P. Subpart Q—Chemical, Physical, and
   "Biological Treatment • .
   Q. Subpart R—Underground Injection
 VLOMB Review       •                  •
 VII. Supporting Documents
   A. Background'Documents
   B'. Reference Manuals

 I. Authority

   These regulations  are issued under the
'authority of Sections 1006, 2002(a), 3001
• through 3007, and 3010 of the Solid
 Waste Disposal Act, as amended by the
 Resource Conservation and Recovery
 Act of 1976, as amended, 42 U.S.C.
 §§6905, 6912[a) and 6921 through 6927,
 and 6930.               .'

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   33156    •   Federal  Register / Vol. 45.  No. 98 / Monday, May 19.  1980 / Rules  and Regulations
   II. Introduction

   A. Background
     Early this year. EPA began issuing the
   regulations which comprise the Subtitle
   C hazardous waste management system.
   On February 26.1980, it promulgated
   standards for generators and
   transporters of waste under Sections
   3002 and 3003 of RCRA (Parts 282 and
   283, respectively) and a public notice
   establishing procedures for filing a
   notice of hazardous waste activity under
   Section 3010. Today,  in addition to these
   Part 264 and Part 285 regulations, EPA is
»   publishing permit procedures, and
   guidelines for the approval of State
   hazardous waste programs under
   Sections 3005 and 3006 (Parts 122,123,
   and 124) and the first phase of its,
   Section 3001 hazardous waste list (part
   281) and Part 260. which defines words
   and phrases used in Parts 281 through
   265. and contains provisions generally
   applicable to all of those regulations.
    The preamble to the Section 3001
   regulations should be read for an
   introduction to the hazardous waste
   management problem in the United
   States and an explanation of the
   framework of Subtitle C. It also
  discusses many of the general issues
  and difficult problems the Agency has
  faced in finalizing the Section 3001 and
  Section 3004 regulations.
    The Agency developed its Section
  3004 regulations in tandem with its
  Section 3001 regulations, holding
  numerous meetings with experts in
  hazardous waste management. States,
  Federal agencies, industry.
  environmental groups, and other
  individuals and organizations to discuss
  possible management  standards. EPA
  also circulated draft regulations for
  comment and held several public
  hearings. Based on the comments
  received in meetings, hearings, and on
  Us draft regulations, and on information
  the Agency collected, on December 18.
  1978, EPA proposed national standards
  for the location, design, operation.
  monitoring, closure, and post-closure
  care of facilities which treat, store, or
  dispose of hazardous waste (43 FR
  58982-59022). The standards were
  designed to protect human health .and
  the environment by ensuring the proper
  •iesign, construction, and operation of
  hazardous waste management facilities
  in accordance with the mandate  of
  Section  3004 of RCRA.
   EPA held five public hearings on its
  December 18,1978, proposal, at which
  several hundred persons testified. The
  Agency  received over one thousand  sets '
  of written comments on the proposed
  Section 3004 regulations. The Agency
 has carefully considered all of the
  comments it received. .Many of them
  raised difficult technical questions.
  Analysis and resolution of these
  questions is hampered in general by the
  Nation's lack of long-term experience
  with advanced waste management
  technologies. This limited experience
  has made it difficult to evaluate the
  accuracy of the often conflicting-claims
  which the commenters made regarding
  the proposed Section 3004 standards.
   It has become clear to the Agency that
  it may take several years, in some cases,
  to adequately develop the data and
  perform the analyses necessary to
  resolve the more complex technical
  issues raised by the regulations and the
  comments in a way that will allow
  promulgation of nationally applicable
  detailed technical standards.-As a- •
  result, promulgation of regulations
  involving these issues is being
  postponed. On the other hand, some of
  the proposed regulations prescribed
 recordkeeping and reporting
 reguirements, and many involved
 recognized "good management
 practices" which are not highly
 technical. This second category of
 standards is adequately supported by
 existing data, and can be promulgated
 now. Accordingly, the standards for
 hazardous waste management facilities
 will be promulgated and.implemented in
 phases.

 B. Overview
   1. Phasing of the Regulations. The
 Phase  I standards are being promulgated
 today. They include a nearly complete
 set of interim status standards, in Part
 285, and most ot the general status (Part
 284) administrative and non-technical
 operating standards. The interim status
 standards cover the following areas:
 1. Purpose, Scope, and Applicability and
  other General Standards
 2. Waste Analysis Requirements
 3, Security
 4. Inspections
 5. Training
 8. Preparedness and Prevention
 7. Contingency Plans and Emergency
  Procedures
 8. Manifest System, Recordkeeping. and
  Reporting
 9. Ground-Water Monitoring
 10. Closure and Post-Closure Care
 11. Financial Requirements (Partial)
 12. Use and Management of Containers
 13. Tanks
 14. Surface Impoundments
15. Waste Piles
16. Land Treatment
17. Landfills
18. Incinerators
19. Thermal Treatment
20. Chemical. Physical, and Biological
  Treatment
  21. Underground Injection
    The general status regulations
  promulgated today cover the first
  of these areas and are essentially
  identical to the corresponding interim
  status standards. The section of the
  preamble entitled "Interim Status
  Standards'.' explains when the interim  •
  status standards apply to facilities and
  when the general standards apply.
    As'previously mentioned, the Agency
  belie.ves it may take several years to
  resolve all of the issues necessary to
  promulgate detailed national technical
  standards for some types of facilities
  (e.g., the design requirements for
  landfills). In the meantime, however, in
  order to issue permits which will protect
  human health and the environment, EPA
  must evaluate the  technical capabilities
  of specific facilities to manage
 hazardous waste. Therefore, as an
  interim measure, EPA will publish in the
 near future Phase II of the Section 3004
 regulations—a set of technical
 regulations which will allow permits to
 be issued based on the Agency's best
 engineering judgment of the technical
 requirements which individual facilities
 must meet. These regulations will allow
 permits to be processed in a manner that
 will ensure the protection of human,,
 health and the environment by
 evaluating hazardous waste
 management facilities in terms of botr.
 site-specific factors and the nature of
 the waste that the facility will manage.
 At a minimum, these regulations will
 contain a set of factors (e.g., distance to
 ground water'and waste mobility) which
 must be considered. Where they are
 available, the regulations will also
 contain models, formulas, and .' .
 performance standards to provide a
 standardized method of analysis. In
 determining whether a facility will
 adequately safeguard human health and
 the environment, the  Regional
 Administrator will  apply his best
 engineering judgment to data which the
 applicant submits concerning these
 factors.
  The third phase of this regulatory
 program will involve  the resolution of
 the complex technical issues described
 earlier, and the reprpposal and ultimate
 promulgation of more definitive
 counterparts of the Phase  II standards.
These more definitive standards are
 expected to supplant  the Phase II   .
standards and make the permitting
process more straightforward. In
addition to standards for specific typ
of facilities, the Phase III regulation,
may also include standards for spei
industries and waste  which require
special management standards.

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Federal Register / Vol.  45.  No. 98  /  Monday. May 19. 1980 / Rules and Regulations '
                                  33157
     The Agency believes that this three-
   phase regulatory strategy "will give
   maximum protection to human health
   and the environment without imposing
   the more complex regulations as
   national technical standards before the
   controversialissues surrounding them
   can be fully investigated. .This strategy •
   also should not complicate'
  ' implementation of the hazardous waste
   program. Its only effect will be to
   postpone by some months the beginning
   of facility permitting using the Phase II
   standards. Any postponement in issuing
 ,  these Part 265 interim status regulations,
   however, would cause an unwarranted .
   delay in commencement of the Subtitle
   C management program.
--  All the standards EPA is promulgating
   today are written so as to be broadly
   Applicable to large numbers of facilities
 •  and vast amounts of hazardous waste.  .
  The Agency has been faced with the
  task of balancing the goals of broad
'  applicability and regulatory specificity.
  EPA believes that the technical
  regulations promulgated today are clear
  and sufficiently straightforward so .that
  any reasonably qualified engineer
  should be able to interpret and
  implement them.
    EPA has used all of the information
  available to it to'try to write standards
  which begin to address its mandate in
  Section 3004^-to promulgate such   ,
  standards as may be necessary to
  protect human health and the
  environment. Some members of the
  regulated industry may argue that the
  Agency should wait to promulgate its
  Section 3004 standards until it has an
  even broader data base and can write
  much more specific nationally ,
  applicable technical standards. EPA  ,
  does not believe that it would be
•reasonable to wait longer. The Agency
  has been called upon to address an
  extremely serious environmental
 problem and must.proceed as quickly as
 possible given its limited resources.
   These standards form only the bare
 outline of those that will be coming in
 Phases II and III, Interim status
 standards are not the final answer to  the
 long-term environmental problems
 caused by hazardous waste disposal;
 they really form the outline of the
' technical standards and best
 engineering judgment permits that are to
 come. Nevertheless, through the use of
 the manifest system, the recordkeeping
 and reporting requirements, and the    -,
 closure, waste analysis, training.
 inspection, and contingency plan
requirements, EPA will begin to bring
under control environmentally
disastrous practices that up to now have
often, gone largely unregulated.
                            .2. Organization of Regulations and
                           Preamble. EPA has totally reorganized
                          . its Subtitle C regulations in response to'..
                           comments that its proposed regulations
                           were difficult to read. Regulations
                           implementing Section 3004 were
                           originally proposed as .Subpart D of Part
                           250 of Title 40 of the Code of Federal
                           Regulations. The proposed interim
                           status standards were specified in
                           paragraph (c) of § 250.40. The interim
                        .   status standards have been recodified
                           as Part 265, while the general status
                           standards (i.e., those independently
                           enforceable standards which will, be   •
                           used to i?sue permits and which apply .
                           to facilities without interim status)
                          appear in Part 264. Definitions of terms
                          used in these regulations, like .those	
                          used in Parts 281 through 263, are
                          contained in § 260.10.
                            Subparts A of Parts  264 and 265 ,
                          specify how the regulations are" to be
                        ,  used and which facilities are subject to
                          which regulations. All  facilities which
                          treat, store, oc dispose of hazardous
                          waste (as defined in the  Part 261
                          regulations)! other than those" excluded
                          in Subpart A are, by and large; subject
                          to these regulations. Some of the
                          regulations, however, apply only to
                          certain kinds of facilities or contain
                          special conditions for certain classes of
                        .  facilities.                        ,
                           Subparts B to H (excluding Subpart F)
                          of Part 265" and Subparts  B to E of Part
                          264 contain standards" which apply
                          generally to all types of facilities:
                          Subparts I to R of Part 265 contain
                          standards for specific types of facilities
                          (landfills, tanks, incinerators, etc.). The
                          corresponding facility-specific Part 264
                          standards will be promulgated in Phases
                          II and III of this regulatory program.
                           The remainder of this- preamble is
                          divided into four sections. The first
                         section discusses  the role of the interim
                         status standards and the  major issues
                         raised by the commenters on those
                         standards. The next section deals with a.
                         number'of general issues  which pertain
                         to all of the Section 3004 standards.
                         Many of the issues discussed in this  .  •
                         section pertain to  the Phases II and III
                         regulations as much or more than they
                         do to the Phase I regulations. EPA is
                         making an effort, insofar as decisions
                         have been made, to inform the public bf
                         how the standards for hazardous  waste
                         management facilities will develop over
                         time. The third section is a subpart-by-
                         subpart analysis of the final Phase I   •
                        rules. This analysis summarizes the
                        major issues raised by the commenters
                        on each section of the proposed rules,,
                        and explains how  the final rules reflect
                        the Agency's resolution  of these issues.
                        The last section of the preamble
  describes the documents which support
  these regulations.'         •
    3. Interim Final Provisions. Most
  sections of these regulations have been
  changed in response to comments. .
  Those sections which have been
•  modified substantially are being issued
 ' as interim final regulations so that the
  public can comment on the modified'
  standards before they are promulgated
  as "final final" regulations. All of the
  Part 264 and Part'265 regulations are
  promulgated today, however, for. "
  purposes of the six-month effective date
-  under Section 3010(b).   .         '"
    Those sections of the regulations
  which EPA is promulgating as interim
  final are. as follows:  '        .    •

  PART 264       .

 264.12  Required notices.

  PART 265

 Subpart B—General Facility Standards
 265.12  Required notices.        '
 285.17  General requirements for ignitable,
     reactive, or incompatible wastes.

 Subpart F—Ground-Water Monitoring
 285.90  Applicability.
 285.91  Ground-water monitoring system.
 265:92  Sampling and analysis.  •
 285.93  Preparation, evaluation, and
     response.       <
 285.94_  Recordkeeping and reporting.

 Subpart G—Closure arid Post-Closure
 265.111  Closure performance standard.
 265.112  Closure plan: amendment of plan.
 285.113  Time allowed for closure.
' 265.117  Post-closure care and use of
  .   property; period of care.
 285.118  Post-closure plan; amendment of
     plan.   .       •             ,  '

 Subpart I—Use and Management of
 Containers
 265.176  Special requirements for ignitable or
     reactive waste.      .        •  •  .

 Subpart J—Tanks
 265.198  Special requirements-for ignitable or
    reactive waste.

 Subpart K—Surface Impoundments
 265.228  Clo.sure and post-closure.
 Subpart L— Waste Piles
285.251  -Protection from wind.
265.252  Waste analysis.
265.253  Containment. "
265.258  Special requirements for-ignitable or
    reactive waste.
285.257  Special requirements for
    incompatible wastes. .

Subpart M—Land Treatment  '
265.272  General operating requirements.
.265.273  Waste analysis. '.-..'
265.278  Food chain crops.
265.278  Unsaturated zone (zone of aeration)
    monitoring.         • •
265:280  Closure and post-closure.

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33158       Federal Register  /  Vol. 45. No.  98 / Monday. May 19. 1980 /  Rules and Regulations

                                                                                                               m
                                                                                                              thl^F
  Subpart N—Landfills
  Sec.
  265,310  Closure and post-closure.
  265.314  Special requirements for liquid
     waste.
  205,315  Special requirements for containers.
  Subpart O—Incinerators
  2G5.343  General operating requirements.
  265.345  Waste analysis.
  285,347  Monitoring and inspections.
  2S5.351  Closure.
  Subpart P—Thermal Treatment
  285.373  General operating requirements.
  285.375  Waste analysis.
  285.377  Monitoring and inspections.
  265.381  Closure.
  285.382  Open burning; waste explosives.
  Subpart Q-rChemlcal, Physical, and
  Biological Treatment
  285.405 Special requirements for ignitable or
     reactive waste.
  Subpart R—Underground Injection
 .265.430 Applicability.

   Certain sections of the Part 265
  regulations were proposed as general
  status standards, and have not been so
  substantially modified  that the Agency
  is accepting further public comments on
  their substance. However, because they
 have now been incorporated in the
 interim status standards. EPA will
 accept comments on the propriety of
 their inclusion as such. As the preamble
 indicates, almost all of the additions to
 the interim status standards were made
 in response to comments, but EPA
 believes that additional public
 comments will assist the Agency in any
 necessary adjustments  to the Part 265
 standards. The Agency will accept
 comments on the propriety as interim
 status standards of the  following
 sections:

 PART 265

 Subpart B—General Facility Standards
 Sec.                    ,
 285.13   General waste analysis.
 Subpart J—Tanks
 285.192  General operating requirements.
 285.193  Waste analysis and trial tests.
 Subpart K— Surface Impoundments
 265.222  General operating requirements.
 285.223  Containment system.
 285.225  Waste analysis and trial tests.
 265.229  Special requirements for ignilable or
    reactive waste.
 265.230  Special requirements for
    incompatible wastes.
 Subpart M—Land Treatment
 285.281   Special requirements for ignitable or
    reactive waste.
285.282  Special requirements for
   , incompatible wastes.
  Subpart N—Landfills
  Sec.              '             .
  265.302  General operating requirements.
  265.312 , Special requirements for ignitable or
   . •  reactive waste.
  Subpart Q—Chemical, Physical, and
  Biological Treatment
  265.401  General operating requirements.
  265.402  Waste analysis and trial tests.
    It is EPA's intent to act on all interim
  final portions of these regulations prior
  to their effective date.
  III.  Interim Status Standards
    Section 3005(e) of RCRA specifies that
 ' if the owner or operator of a facility'
  which is in existence on October 21.
  1976. (the date of enactment of RCRA)
  notifies EPA. as required by Section
  3010 of RCRA, and properly applies for a-.-
  permit, the facility  owner or operator is
.  to "be treated as having been issued
  such permit." EPA refers to such an
  owner or operator as one who has
  "interim status" (the title of subsection
  3005(e)). Accordingly, for facility owners
.  or operators who have notified EPA and
  applied for a permit, the interim status
  period extends from the date the initial
  Section 3001 through 3005 regulations go
  into effect to the date final
  administrative action on the individual
  permit application is taken.
   Congress, in enacting this provision.
 apparently recognized that'it will take a
 considerable period of time for EPA to
 act on all facility permit applications.
 The  provision forinterim status, to
 allow a smooth transition to full
 regulation under new national
 standards, allows owners and operators
 of existing facilities to continue to
 operate them until decisions on their
 permit applications-are made.1-•       .
  • The Agency expects .that most of the
 approximately 26.000 prospective
 permittees will notify EPA of their
 hazardous waste activities (as required
 by Section 3010 of RCRA and explained
 in a notice of February 28.1980 (45 FR
 12745-54)) and will apply for a permit.
 Considering the potential number of
 applicants, the potential administrative
 complexity of issuing hazardous waste'
 permits, the limited  staff that EPA
 expects to nave available to review and
 negotiate permit applications, and EPA's
 experience with the National Pollutant
 Discharge Elimination System (NPDES)
 permit program under the Clean Water
 Act. the Agency estimates that it will
 take  several years to act on all permit
 applications. Therefore, many
 prospective permittees will be operating
 in interim status for an extended  period
 of time. In keeping with the intent of
 Congress that hazardous- waste '
 management be regulated by national
 standards as quickly as possible, and
  wjth the statutory structure making
  Section 3004 standards independej '
  the Section 3005 permitting proces
  discussion below), EPA believes t
  these prospective permittees should at
  least comply wjth  selected minimum
  requirements of Section 3004 during  '
  interim status.
   The Agency believes that.permit
  applicants with interim status should  •
  not be expected to meet all of the Phase
  II and  Phase  III Part 264 standards,
  because  some of the specific
  requirements of these standards may be
  inappropriate for certain facilities', and
  different requirements may be
  substituted when a permit is issued
  using the variance provisions in the
  regulations. Alternatively, during
  permitting under the Phase II
 regulations, each permit will be issued
 on the  basis of the permit writer's "test
 engineering judgment." In addition,
 some permittees may be allowed a
 reasonable period of time to come into
 compliance with certain of the general
 Section 3004 (i.e.. Part 264) standards, as
 permitted by  Section 3005(c) of RCRA.
 The Agency believes that decisions
 regarding certain standards and all
 individual compliance shedules  should
 be made  in the permit  issuance process •
 where .there is full opportunity for public
 participation  and for interaction   ,    '
 between  the Agency and the p'ermij
 applicant.
  'On the other hand, given Congress'
 intent that hazardous waste
 management be regulated as quickly as
 possible,  and  the independent
 enforceability of the Section 3004
 standards, EPA believes that
 prospective permittees should begin to
 meet at least those  threshold
 requirements  of Section 3004 which
 apply generally to all facilities and
 which will definitely be included in all
 permits. This will begin to achieve
 RCRA's goal of protecting human health
 and the environment.
   The Agency has chosen a middle
 course between, on the one hand, having
 no requirements applicable during the
 interim status period and, on the other,
 making the complete set of
 independently enforceable  standards
 apply-    .   ,                .      .
A. Authority
  A number of commenters supported
 the concept of interim status standards
and agreed that authority for these
requirements exists in Section 3004 of
the Act. Others stated that neither
Section 3005 nor Section 3010 of RCRA
authorizes EPA to impose facility
requirements during the interim sta.,
period. They recommended deleting IOT
interim  status  standards, because EPA
                                                                                                               Dcess •
                                                                                                               public
                                                                                                                9

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Federal Register /Vol. 45. No. 98 / Monday. May 19. 1980  / Rules  and Regulations
                                  33159
   has the power to deal, with imminent
   hazards under Section 7003. and
   because those facilities not posing an
   imminent hazard can continue under
   existing local control until new permits
   are issued.
    These commenters apparently
   misunderstood the relationship of
   Section 3004 to Sections 3005, 3008. and
   3010 of RCRA. The Section 3004
   regulations are independently
   enforceable national standards which
   apply to owners and operators of
   hazardqus waste facilities. Section 3008
   authorizes enforcement actions against
  persons violating any requirement qf
  Subtitle C. Thus, enforcement actions
  'against persona violating the Section •
  3004 requirements are authorized by '
  Section 3008.
   .EPA does not believe that the
  "requirements of Subtitle C" referred to
  in Section  3008 are only those       ,
  requirements incorporated in a-permit
 ' pursuant to Section 3005. The
  requirement -that facility owners and
  operators comply with the permit.,
  requirements of Section 3005 is one
  independent requirement of Section 3004
  (see Section 3004(7)).
   Section 3005(c) requires that EPA
  determine that a facility complies with
  the Section 3004 requirements before
  Issuing a permit. Permit revocation
  under Section 3005(d) also is based on
  non-compliance with Section 3005 or
  Section 3004 requirements. Thus, under
  the terms of the statute. Section 3004
 standards are independently
 enforceable and are "requirements of
 Subtitle C" within the meaning of that
 term in Section 3008. As the .preambles  '
 to Parts 122 and 123 of the consolidated
 permit regulations discuss, EPA will •
 however, regard compliance with a duly
 issued RCRA permit as compliance with
 the terms of the statute except for the
 case of state-issued permits that fail to
 reflect EPA suggestions made during
 EPA review.
   Section 3005(a) requires that' EPA
 promulgate  regulations requiring owners
 or operators of hazardous waste
 facilities -to have a permit, and prohibits
 treating, storing, or disposing of       •
 hazardous waste without a permit after
.the effective date of these regulations.
 Section 3010(b) states, that all of the
.Subtitle C regulations, including both
 Section 3004 and .3005 regulations, take
 effect six months after they are   . '.
 promulgated.
   Thus, on the effective date of the    '
Section 3004 regulations, facility owners
and operators are required to comply
with all of the Section 3004 standards
   1 have a permit under Section 3005 hi
 .  er to operate legally. Clearly, it is
 ieycmd the capability of facility, owners
                          or operators to comply with-all of the
                          Section 3004 requirements, and beyond
                          the capability of the Agency (or
                          authorized States) to issue all permits',
                          within the six months between the date
                          the regulations are promulgated and
                          their effective date.    '   •
                            Section 3005(e) resolves part of this  .
                          problem by authorizing facility owners
                        ;  or operators, under certain conditions,
                          to obtain interim status. This allows
                          owners or operators to be treated as
                          having been issued a permit until EPA
                          makes a final administrative disposition
                          of their permit application, and thus
                          satisfies the mandates of Section 3005(a)
                          and of Section 3004(7) which prohibit
                          operations without a permit. Having
                        '  interim status thus  relieves the owner or
                          operator of a.facility of the possibility of
                          being prosecuted for operating without.a:
                          permit It does not,  however, relieve
                          owners and operators of facilities of the
                          necessity to comply wi.lh.the Section
                          3004 standards when they become
                          effective.           •.-'.-
                           As discussed above. Section 3004
                          standards are  independently
                        •enforceable requirements which apply
                          to all treatment, storage, and disposal of
                       .   hazardous waste. In addition to the
                          automatic applicability of Section 3004
                        •  standards, however. EPA interprets the
                          language of Section 3005(e)(3), that a
                         person shall be treated as having been
                         issued a permit.'to mean that a person
                         who operates with interim  status must
                         accept the responsibilities and liabilities
                         associated with being a. permittee. Thus
                         the conditions  of Section 3004 which are
                         imposed on permit holders by operation
                         of Section 3005 (c) and (d) are also
                         applicable to owners or operators  of
                         facilities with interim status because   .;
                         they "shall be treated as having been   •
                         issued such permit."-
                        . For the reasons rioted above (i.e.. that
                        decisions regarding certain standards
                        and all individual compliance schedules
                        should be made in the permit issuance
                        process), the Agency does not believe
                        that permit applicants .with interim
                        status should be expected to meet all of
                        the general Section 3004 standards
                        immediately. Hence, the Agency
                        decided to promulgate separate interim
                        status standards to avoid the burden on '.
                        existing facilities which could otherwise
                        resultif all of the Section 3004 standards
                        were applied immediately.
                          The Administrator's general      .     '
                        rulemaking authority under Section .
                        2002(a)(l) of RCRA provides an
                        additional basis for the establishment of
                        interim status standards and the relief to
                        permit applicants of the need for
                        immediate compliance with all of the
                        Part 264 Section 3004 standards, as they
                        are promulgated. Section 2002(a) states:
    "In cam-ing out this Act, the Administrator
   is authorized to:
    (1) Prescribe, in consultation with Federal,
   State, and regional authorises, such
  .regulations as are necessary to carry out his
  'functions under this Act:" .

  The Agency'believes, for the technical
  .and policy.reasons mentioned above.
 . that the establishment of interim status
  standards is an appropriate .use of this
  general rulemaking authority;

  B. Criteria for Interim Status Standards

    In general, EPA used the following
  criteria for deciding which standards
  should apply during interim status:
    (1) The standards can be met in a
•  straightforward manner without need "
  for substantial interpretation by, or
  negotiation with, EPA. EPA's limited  ••.
  resources will be consumed at the outset
  of the program with'implementing other
  features of this complex regulatory.
  program, such as the notification and
  manifest  system. enforcement..and the
,  permitting process itself. The Agency,
  therefore, plans to minimize individual
  contact with the regulated community
  during the interim status period. If
  individual applicants are to have
  substantial contact with the Agency
  during interim status, it will be more
  productive for the Agency to put its
  resources into implementing the full
  standards through the permitting
  process which-the Act envisions, rather
  thun^postponing or slowing down the "
  implementation of the full standards so
  that  a more complex set of interim
  standards can be implemented.
   (2) Compliance does not require
  substantial capital expenditures which
 are properly the result of the certainty  of
 permit conditions. Many of the technical,
 regulations could require costly
 construction or retrofitting, and the
 designs underlying these expenditures
 will be the subject of discussion during
 the permitting process. The Agency
 believes it is unreasonable to require
 costly construction during interim
 status, which may then be disallowed or
required to be modified during
permitting.                       „
   (3)  Compliance can be achieved
within the six-month period between the
date the regulations are promulgated"
and the date they become effective.
Many of the Part'264 standards may   ,
entail time for equipment delivery,'
construction, installation, training, .and
shakedown which could significantly
exceed the six months available. While
the Agency could delay the effective
date of regulations requiring an
implementation period longer than six
months, a multitude of different effective  '
dates for different regulations could

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    complicate the implemantation process.
    leading to confusion.
     H should be emphasized that the
    Agency used these criteria only as •
 •   guidelines in developing the Interim
    status regulations. The Agency has
    included other requirements in the'
    interim status standards which are
    exceptions to these guidelines when it
    judged that requirements were of
   unusual importance and that the
   benefits to be gained from early
   implementation of the requirements
   would substantially outweigh the
   disadvantages. One important exception
   involves the closure and post-closure
   care regulations. Improper facility
   closure and abandonment has
   historically been a major cause of
   human health impacts and
   environmental damage. The Agency
   believes that no facility should be
   closed during interim status without
   being closed properly. Therefore, permit
   applicants who close all or parts of their
   facilities during interim status will be
  required to meet the full closure and
  post-closure care requirements,
  including the requirement to have the
  plans for those activities approved by
  the Agency. Similarly, even though the
  ground-water monitoring provisions do
  not meet the criteria  for interim status
  standards specified earlier, owners or
  operators of surface impoundments.
  landfills, and land treatment facilities
 are also required to comply with these
 provisions during  the interim status
 period (although EPA has provided a 12-
 month delay in the date for compliance).
 The Agency believes  it of prime
 importance to require owners or
 operators of these facilities to monitor
 ground water during interim status in
 order to know whether an existing,
 facility may already have contaminated
 the ground water. The rationales for
 •other standards which are exceptions to
 these guidelines are discussed below.
   The Agency views the interim status
 standards as dynamic regulations
 which, for many facilities, may be in"
 effect for a number of years before
 permits are issued or denied. As the
 need and support for additional
 regulations becomes clear, the Agency
 expects to add to this  initial set of
 interim status standards through
 additional rulemaking. EPA will, of
 course; continue to refine both the Part
264 and Part 265 regulations as the state
of technology of hazardous waste
management improves.
  As discussed previously, promulgation
of parts of the Section  3004 standards
will be phased in over time.
Consequently, the Agency is specifying
the interim status standards
   independently of the general Section
   3004 standards. This procedure will
   allow the initial phase of the RCRA
   hazardous waste control program to be
   implemented without further delay. It
   will also avoid the ambiguity and
   confusion which can arise' when
   standards are extensively referenced
   and cross-referenced, as was the case in
   the December 1978 proposal.
     The Agency received numerous
   comments from a wide cross-section of
   commenters concerning general issues
   raised fay the proposed interim status
   standards. These comments fall into the
   following areas, which are discussed in
   turn below:
    (1) requirements to be added to
   interim status standards;
    (2) compliance period for some or all
   standards;
    (3) notes and variances; and
    (4) equity,                .

  C. Added Requirements

    Several commenters felt that the
  scope of the proposed interim status
  standards should be expanded to
  include all requirements of the general
.  Section 3004 regulations which could be
  implemented immediately and that
  would be unlikely to require
  modification when a permit is issued. In
  general. EPA agrees.
   Several of the more  important
  suggestions for additional interim status
  standards "are discussed below.
   1. Ground- Water and Leachate
 Monitoring. The proposed interim status
 standards required ground-water and
 leachate monitoring at landfills and  '
 surface impoundments where  one or
 both of these monitoring systems were
 already in place. Several .commenters
 suggested requiring ground-water and
 leachate monitoring at all facilities
 during interim status, whether or not
 such systems were already in place.
 They felt that exempting some sites from
 conducting this monitoring would mean
 that local and State implementing
 authorities would be deprived  of the
 warning needed to determine if sites are
 endangering ground water and local
 water supplies. Further, some of the
 commenters stated that ground-water  "
 monitoring systems must be installed at
 all facilities that receive permits. They
 felt that EPA should not postpone
monitoring until the.final permit was
issued, because that could take five
years or longer. Other commenters felt
that monitoring data were essential to
(1) identify sites which are violating the '
human health and environmental
standards, and (2) to trigger appropriate
action against those sites, even though
the human health and environmental
   standards were not proposed as interim
   status standards.
     The Agency has considered ...
   comments carefully. First of all   _
   be noted that leachate -monitoring in the
   unsatura'ted zone beneath existing '
   landfills and surface impoundments will
   not be required in Phase II of the general
   Section 3004 standards for technical
   reasons (see the preamble discussion on
   Ground-Water Monitoring for details).
   However, the Agency has determined
   that leachate monitoring is technically
   feasible and appropriate for land
   treatment facilities (land farms), and,
   therefore, has added this requirement to
   the interim status  standards for these
   facilities (see the preamble discussion
   on Land Treatment facilities).
    The Agency does not believe that all
   facilities require ground-water
   monitoring systems during the interim
   status period  or otherwise. For example,
   it would be an unnecessary expense
   with little benefit to human health or the.
  environment to require above-ground
  storage tanks, or incinerators to have
  ground-water monitoring systems,
  because leakage of hazardous waste
  into the-ground can be detected visually
  at these facilities. The Agency believes
  ground-water monitoring is appropriate
  primarily at facilities where hazardous
  waste is purposely placed onto or jj
  the land—such as at landfills, surfl
  impoundments, injection wells, °p....	
  treatment'facilities—and where ground-
  water location, quantity, and usage, and
  other factors such as geology and
  climate, indicate the need for ground-
  water monitoring.
   Another issue is-whether or not all
  landfills, surface impoundments, and
  land treatment facilities should have
' ground-water monitoring systems during
  the interim status period. There are a
 number'of factors upon which this issue
 turns. On the one hand, it is true that
 nearly all landfills, surface
 impoundments, and land treatment
. facilities will eventually be required to
 install ground-water monitoring systems
 as a permit condition. If these systems
 are installed during interim status, they
 would supply several years of
monitoring data and early warning of.   '
potential ground-Water contamination   .
problems which would otherwise be
unavailable. Given *he  recent spate of
ground-water problems identified at
hazardous waste disposal facilities (see
Grqund-Water Monitoring Background
Document), there is good reason for
requiring ground-water monitoring   '
during the interim status period.
   On the other hand, the planning t
construction of ground-water monil!
systems takes time, and should be   -P.
overseen by qualified hydrogeologists.
ardous


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                 Federal Register /  Vol.  45. No. 98 / Monday. May 19,  igso,/ Rules  and Regulations
                                                                        33161
    Also, gronrid-water monitoring systems
    may be inappropriate in Some
    circumstances. Furthermore, the .    •
    proposed grouiid-water sampling and.
    analysis requirements'were extensive,
    and contained provisions for variances
    in some Cases.
      On balance, the Agency has decided
    that the advantages—in terms of
 .   increased hnman health and
    environmental protection—of requiring
    all landfills, surface impoundments, and
    land treatment facilities to have ground-
   • water monitoring systems' during the
    interim status period.outweigh the
    drawbacks outlined above; However,
    the Agency is concerned about the short
    time in which facilities currently '
    operating without ground-water
   monitoring systems must comply,'i.e.,
•••  Section 3010(b) provides that Section
   3004 standards take effect six months
   after their promulgation. Consequently,
 ,  the Agency  has written the final interim •
   status standards to require that all
   hazardous waste landfills, surface
   impoundments, and land treatment
   facilities have ground-water monitoring
   systems within.18 months of the
   promulgation of the  regulations unless
   the owner or operator conducts
   hydrogeological studies which
   demonstrate that such a system is  .
   unnecessary. This delayed schedule for
   compliance should allow enough time to
   properly plan and install the systems. In -
   addition, to minimize the need for
   owners or operators to interact with the
   Agency, the ground-water sampling and
   analysis requirements have been
   simplified so that variances.are no
,   longer necessary.
    While these regulations require
  owners and operators of surface
  impoundments, landfills and land
  treatment facilities to begin to'set up
  ground-water monitoring programs, the
 .Agency has yet to specify the
  appropriate corrective action that is to
  follow'the discovery  and initial
  assessment of contamination. The  "
 Agency believes that its ground-water '
 protection strategy under Section 3004 is
 a critical element of the entire Subtitle C
 progranvEPA, therefore, intends to
 develop'that standard as part of the
 Phase II regulations, which better allows
 the Agency to integrate its ground-water
 protection objectives  with its strategy
 for setting other environmental '
 performance objectives.           •   '
    The absence of a specific ground-
 water quality protection standard in
 Part 265 does  not in any sense
. undermine  the need for ground-water
 monitoring requirements during the
 interim status period.  Thfe monitoring
 system required, here is designed to
   answer two" Questions. Has .the facility
   contaminated ground-water? If so. what
 ;  is (he.degree of contamination? The
   answers to these questions will be
   essential to whatever ground-water
   quality protection standard (and
   corrective action) is" included .in the'
   Phase II regulations. Moreover, a careful
   assessment of these issues will require
   an examination of background ground-
   water quality, for which owners and
   operators of surface impoundments,
   landfills, and land treatment facilities
  can and should begin to,monitor. '    •
    2. Incinerators. The proposed
  regulations.contaijned detailed
  requirements for the operation of
  hazardous waste incinerators. These
  included destruction efficiency,
  combustion levels, detailed monitoring
  and inspection, and trial burnsT These
  were not made applicable during the
  interim status period. A comment
  suggested that the proposed monitoring
  and inspection requirements should be
  made applicable, during the interim
  status period.         ,          -
   Full application of those standards
  would require major capital outlays for
  equipment which may not be readily
  available and which might need to be
  altered during the permitting process.
 On the other hand, existing damage
 incidents and operator requests (in
 comments on the proposed regulations)*.
 for  emission variances during start-up
 and shut-down periods show, that       '
 improper incineration of hazardous
 waste can be a serious health problem.
 In addition, for some facilities, the   '
 interim status period will last longer
 than EPA had expected at the time the
 regulations were first proposed. ....
  ..Because of this the Agency is new :  '
 issuing, on an interim final basis, a set
 of "threshold" requirements  designed to
 assure a basic level of environmental
 and human health protection throughout
 the interim status period. These  '
 standards are discussed in the Subpart
 O analysis in this preamble, and in an
'accompanying background document  '
 They meet EPA's informal interim status
 criteria while offering protection from'
 the most serious dangers of hazardous
 waste incineration.                   •
   3.  Thermal Treatment. The proposed
 regulations contained no provisions
 specifically applicable to all-types of
 thermal treatment of hazardous waste.
 Commenters feared that the proposed
 incineration regulations, focusing on
 flame combustion techniques, would
 unduly restrict .innovative treatment of  '
hazardous waste in other thermal •
treatment facilities. The Agency wishes
to .encourage the development of new
techniques that can adequately render
waste less hazardous or non-hazardous.
   or more amenable to transport or store.
   Thus, these regulations include a new
   set of standards—Subpart P—regulating
   other forms of thermal treatment.'
     The risks associated with the thermal -
   treatment of hazardous waste are
   similar to those posed by hazardous
   waste incineration. The Agency has
   therefore designed, for the interim status
   period, a set'of "threshold" requirements
   to provide a basic level of protection for
   human health and the environment.'
   They are discussed in the Subpart P   •
   analysis in this preamble and in an
   accompanying'background document.
   They are being issued on an .interim
.   final basis.            '         '
    4. Closure and Post-Closure. A
   number of commenters suggested adding
   the requirement for submitting a closure"
   plan to EPA (as outlined in proposed
   § 250.43-7{c)j to the interim status
   standards.            •   (   .
    Upon reviewing the comments, it  is
   clear that some members of the public
 :  did not understand the Agency's
   intention regarding closure plans during
  ,the interim status period. The Agency
   intended that each facility owner or
   operator with interim status would  •
   prepare a closure plan for his facility, to
 . include estimates of .closure cos ts, and
  post-closure costs, if applicable. The .'..
  owner or operator would then,use this   .
  information as the basis for complying
  with the financial requirements (a     .  •
  closure trust fund, and post-closure trust
  fund, if applicable). However, the
  Agency did not believe that it was
  necessary for owners or operators '
  routinely to submit these closure plans .
  to the Agency for review during the
 interim status period. In EPA's opinion.
 the Agency staff should focus their '
 attention, on issuing permits and on
 enforcement matters, rather than
 reviewing closure plans. The Agency
 can ensure that closure plans are
 prepared when it .conducts facility
 inspections. Further, the facility owner
 or operator must submit a closure plan
 with Part B of his permit application. No
 later than the time the permit is '
 considered, the Agency will neview the
 plan and require it to be revised; if
 necessary.           :
   EPA agrees with the thrust of
 comments in this area, though, and   ,
 should an owner or operator wish to   -   "
 clo.se his 'facility during the interim
 status period (i.e.. before final
 administrative action on the permit
 application) he must contact the •
 Regional Administrator 180 days before
 he expects to begin closure. At that time,
 the Agency will review the closure plan
 and require it to be adjusted as
 necessary. These procedures have been
 clarified in the final rules. (See Closure-

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   33162       Federal Register / Vol. 45. No.  98 / Monday. May 19. 1980 / Rules and Regulations
   and Post-Closure Care Background
   Document for details.)
     5. fgnitabJe, Reactive, or Incompatible
   Wastes. Several commenters suggested
   that the proposed standards which
   restricted the handling of ignitable.
   reactive, and incompatible wastes at
   certain facilities be included in the' set of
   interim status standards. These'
   standards were not, for the most part.
   proposed as interim status standards
   because the extensive and complex
   provisions in the Notes (i.e., variances)  .
   to these proposed standards would have
   required extensive interaction with the
   Agency. However, many commenters
   suggested that owners and operators
   should be allowed to make for
   themselves the judgments embodied in
   the Notes, without obtaining the
   approval of the Regional Administrator.
  As. discussed below, the Agency decided
  that  this could be made a workable
  arrangement and has made the
  objectives of the Notes a self-executing
  part  of the regulations. Deletion of the
  requirement for approval of the Regional
  Administrator now allows inclusion of
  these regulations in the interim status
  regulations. They now appear in § 265.17
  and are discussed in the Subpart B
  analysis of this preamble. The inclusion
  in the interim status standards of fairly
  extensive requirements for the analysis
  of waste should provide owners- and
  operators with sufficient information to
  safely handle ignitable, reactive, or
  incompatible wastes under these
  regulations.
   a Landfill Rules. Several commenters
  felt that requirements for landfill
  diversion structures and cover material
  should be included in the interim status
 standards.
   The need for landfill diversion
 structures arises from the potential for   •
 precipitation from outside the active
 portion of the*facility to run onto the
 active portion and become
 contaminated. This contaminated water
 may then run off into-surface waters
 creating a threat to human health and
 the environment. A related problem
 involves precipitation which falls,
 directly on the active portion of a   '
 facility. It may also become
 contaminated run-off, and-thereby cause
 similar problems.
   The  Agency shares the commenters'
 concern regarding contaminated surface
 water run-off, and agrees that provisions
 for its control should be included in the
 final Interim status regulations.
 Similarly.,  these problems also may arise
 at land treatment facilities. Accordingly,
 during  the interim status period, the
final rules require that run-on must be
diverted away from the active portions
of a landfill or land treatment facility,
   and the run-off from the active portions
   of a facility must be collected. These
   provisions are discussed in the Subpart
   N section of this preamble.
     Landfill cover material requirements
   were not proposed as interim status
   standards because cover requirements
   can vary on a site-specific basis, and the
   proposed requirement was subject to a
   Note (i.e., variance). The-Agency has
   decided not to include a landfill cover
   requirement in the final interim status
   standards, except for final cover during
   closure (see discussion in the Subpart'N
 ,  section of this preamble).
     7. Waste Analysis. Some commenters
   felt that sampling and analysis of
   hazardous waste by facility owners or
   operators (proposed § 250.43(f). (g), and
   (h)) should be  included as an interim
   status standard.-
     Waste, sampling and analysis
   provisions-were not specifically
   proposed as interim status standards.
   On the other hand, some level of waste
   analysis was required by the need to
  meet other interim status standards such
  as the prohibition on placing wastes in
  tanks or containers that previously held
  an incompatible material. In response to
  the numerous comments received on
  these proposed standards (see the -
  Waste Analysis Background Document
  and the Subpart B section of this
  preamble), the Agency has modified the
  requirements for waste sampling and
  analysis. The facility owner or operator
  is now required to prepare and follow a
  waste analysis plan that is appropriate
  to the waste that is handled and to the
  type of facility. In addition to the
  general waste analysis standards
  applicable to all facilities, waste
  analysis  requirements specific to
  different types of facilities (e.g.,  landfills
 and tanks) are also included in each
 technical section of the regulations.
   The Agency believes that these
 sampling and analysis requirements are
 amenable to all waste management
 facilities, so that variances to the waste
 analysis standards are no longer
 necessary. Furthermore, the Agency
 believes that facility owners or
 operators heed to know certain
 information about the wastes they
 handle in order to handle them safely
 and to comply with the reporting and
 technical requirements of the Phase I
 regulations. Consequently, both general
 and specific waste analysis
 requirements have been added to the
.interim Status standards.
   8. Site Selection Standards. Some
 commenters felt that the general  site -
 selection standards (proposed § 250.43- •
 1) should be made a part of the interim
 status requirements, because omitting
 these standards would be "contrary to
   the intent of the law and completely
   unacceptable."     '       '
     Section 3004(4) of the Act specifi
   that regulations must include such
   requirements for the location of
   hazardous waste facilities as are
   necessary to protect human health and
   the environment.-and the Agency
   proposed location standards in § 250.43-
   1. The Agency excluded them from the
   interim status requirements, however,
   because there would have  been few'
   options, other than closure, for existing
   facilities which were already located in
   areas restricted by the proposed site
   location standards. Immediate closure of
   such facilities during the interim status .
  period might cause a severe shortage of
  hazardous waste facilities and could
  well lead to illegal dumping, which
  would only exacerbate the problems
  EPA is trying to control. The Agency is
  in the process of finalizing its site,
  location standards for promulgation as
  part of the Phase II standards. EPA
  believes there may be •circumstances
  where variances or waivers to site   .
  location standards will be in the best
  interests of protecting human health and
,  the environment. Therefore, the Agency
  has continued to exclude site selection
  standards from the interim status
  requirements. EPA believes that such
  standards should be applied on a cas
  by-case basis during the permitting
  process.

  D. Compliance Period
   Many commenters suggested alternate
  schedules for compliance with the  •
  interim status requirements. The
  suggested.schedules spanned the range
 from before, at, and up to a year after
 the effective date of the regulations.
 EPA does not have the authority to
 require owners and operators to, comply
 with requirements before the effective
 date of the regulations. Those
 commenters requesting that  the effective
 date of the interim status standards be
 deferred beyond the six-month period
after promulgation of the regulations
argued that these six months would be
used for .analyzing waste and preparing
permit applications,'and thus additional
time would be needed to comply with
the substantive interim status
requirements, such as those for security
and the development of contingency
plans.  '
   The Agency does not agree with these
arguments. Wastes listed in the Section
3001 regulations need not be  analyzed to
fill out the permit application necessary
for the owner or operator of a facility ta
obtain interim status. For nonlisted
wastes, it takes a  maximum of 24 hou
to perform the test protocols to
determine whether or not a waste
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                Federal Register /  Vol. 45. No. 98 / Monday. May '19.  1980 / Rules and Regulations
                                                                        33163
   stream meets one of the'bazardous
  .waste characteristics specified in the
   Section 3001 regulations. In any event.
   these tests must be completed within 90
   days {not six months} in order to comply
.   with the notification requirements of
   Section 3010 of RCRA.
    The  comments on what period EPA  •
  should allow for compliance with the
  interim status standards were submitted
  before the permit application regulations
  under Section 3005 of RCRA were
  proposed, and therefore, commenters
  may have assumed that applying for a'
.  permit would be a difficult and time-
  consuming task. However, the permit
  rules specify a two-step permit   "
, application process. A facility owner or
  operator may satisfy Section 3005(e}wf
  RCRA, and thereby qualify for interim   .
 'status (provided Sections 3005(e](l) and
  (2) are also complied with), by
  submitting Part A of the permit
  application within six months after
  promulgation of the Section 3005 (Part
  122) regulations. The Agency believes
  that assembling the information required •
  in Part A is neither difficult nor time-
  consuming. Consequently/the burden of
  preparing Part A of the permit
  application should be substantially less
  than the commenlera anticipated. Most
  of the substantive information is not
  required until Part B is submitted, just
  before the Agency is ready to review the
  application. For some facilities, this may
  take several years.
   The final security requirements have
 been made more flexible than they were
 in the proposed rules (see the preamble
 discussion on Subpart B). The Agency
 believes that facilities'should be able to
 comply with these requirements within
 the six-month period following the
 promulgation of the regulations. The
 Agency  also believes that a facility
 owner or operator should be able to
 prepare-a contingency plan and the  •
 other plans required by the interim
 status standards within this same time
frame.      '       ,    '     .' '  ' ;
   EOF all of the reasons given above, the
Agency does not believe that a
compliance period longer than six  ,
months is justified, except to install new
ground-water monitoring systems and to
construct surface water run-off controls.
E. Notes and Variances
  Many commenters suggested that the
applicability, during the interim Status
period, of the "Notes"  in the proposed-
rules should be clarified. Some
commenters felt that the regulations
should allow facility owners or'
I operators with interim status to make
good faith judgments of their own
comaliance.witi. the applicable
regulations, including the provisions of
   the attendant "Notes," without special
  "approval from the Agency.
   . In response to numerous comments '
   concerning the "Note" system in
  general, the Agency has incorporated all
  of the alternative standards and other
  substantive "Notes" directly into the
  final rules (as discussed infra).
  Consequently, there should be no
  confusion as to whether or not certain
  alternative standards are allowed
 .during the interim status period. The
  "Comments" included with these
  regulations are not intended to create
  alternatives to the requirements of the
  regulations.  .
    The Agency agrees that, to a certain
  degree, facility owners or operators
 • should be allowed to make good faith
  judgments as to whether or not certain
  alternative requirements apply to them
 ' during interim status. The final rules  '
  typically specify that a facility owner or.
  operator may choose to follow
  alternative requirements allowed by a
 variance, provided he can demonstrate
 the facts and rationale supporting that
 judgment when requested to  do so by
 the Regional Administrator. Thus, a self-
 implementing system (as requested by
 the commenters) applies to variances
 during the interim status period, but that
 system is subject to oversight by EPA,
 which can request evidence to support
 the variance at any time. It is likely that
 the Agency will re view, this evidence
 only in conjunction with making a
 routine facility inspection or when the
 Agency has reason to believe that a
 violation has occurred.   :   .
   In any event, variances will be
 reviewed by EPA during the permitting
 process, arid will be reflected in the '...
 permit conditions if a facility  owner or
 operator can demonstrate eligibility for
 the variance as the regulations require.
 F. Equity

   Many commenters expressed concern
 that inequities are likely to develop in
 permitting facilities during tr^e interim
 status period Below are the three major
 concerns raided by the commenters on
 this issue.
   1. Common Permit Effective Date.
 EPA estimated in the preamble to the
 proposed regulations that it could take
 up to five years to issue all of the
 permits. Several commenters pointed  '
 out that EPA or an authorized State may
 review one facility's permit application
 early in the period  and impose a
 compliance schedule to meet the full set
 of Section 3004-standards. while a
 similar'competing facility might be
 subject only to the interim status  '
 standards for several years until its
permit application is reviewed.
     To minimize potential inequities.  •
   several commenters urged EPA to
   establish'a definite period during which
   only the interim status standards apply.
.  , regardless of when a permit is issued. In
  •' other words, all  permits and permit
   requirements would become effective at
   the same time. Tha interim status period..
   according to some commenters,- should
   be sufficiently long to ensure that
   essentially all of the permits would be
   issued. Others specifically suggested a
•   five-year period  as is prescribed by the
   Clean Water Act.
     Unlike the Clean Water Act, which
   mandated a  specific date  by which all
   waste water treatment systems were to
  .be in compliance, with the BPT
   requirements, there is no language in
'.   RCRA which suggests that EPA'should,
  or could use  a similar approach. Further,
  EPA believes that the suggested •
  approa'ch is inconsistent with the clear
  Congressional  mandate in RCRA to   ,
  provide safer hazardous waste
  management practices as quickly as
 •possible.
    2. Case-by-Case Interim Status
  Standards. Some commenters suggested
  that interim status requirements should
  be imposed on  existing facilities on a
  case-by-case basis,using the past •
  operating experience of these facilities
  with which State  environmental
  agencies jshould be familiar. The
  commenters felt that these case-by-case
  evaluations would be more equitable
  than the "blanket" proposed approach.
    The Agency does not agree that    .  •
  interim status standards should be.
  applied on a case-by-case basis. This '•
  approach woulci be a de facto permit
  program. It would require the Agency  to
  commit substantial.resources to these
  case-by-case  preliminary analyses
  which would  be better spent in
  developing final permits. It is difficult  to
  see how this approach could be
  considered more equitable than uniform
  national standards which apply to
  everyone, as proposed.  Consequently,
•  the" Agency has  not adopted a case-bv-
 case approach for the interim status "
 standards. '•                  ' -  • '
   3. No Intention To Obtain Permits.
 Commenters suggested that many
'.facility owners or  operators who never.
 intend to actually  obtain a permit will
 take advantage of the interim, status
 period by applying for a permit, using
 unrealistically low estimates for
 establishing closure and post-closure
• funds, competing in the market place
 with legitimate owners or operators for
 the several years it will  take to fully
 review permit applications, and then
 close their facilities prior to permit  •
 issuance or final denial. Because EPA
 proposed to issue an identification  '

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   33164
Federal Register / Vol. 45.  Nc^98/ Monday. May 19.  I960 /Rules  and Regulations
   number to each facility owner or
   operator who meets the requirements for
   interim status.under Section 3005(e) of
   RCRA. commenters suggested that ways
   of countering the above problem would
   be: (a) before issuing an identification
   number,'inspect each facility to
   determine the facility owner's or
   operator's financial capability and his
   potential to comply ultimately with the
   requirements of RCRA, or (b) issue
   identification numbers only to those
   facility owners or operator! who
   presently hold valid State or Federal
   NPDES permijs to receive and dispose
   of specific hazardous waste compounds.
    The Agency shares the concern
   expressed by these commentera, but
   disagree* with their suggested solutions.
  Interim status is achieved automatically
  by a facility owner or operator who
  complies with Section 3005fe) of RCRA.
  EPA cannot initially withhold interim
  status from facility owners or operators
  •who otherwise qualify, based on  the
  Agency's subjective Judgments of
  financial capability, intent to ultimately
  comply with RCRA's requirements, or
  on the basis of State or Federal permits
  Issued under other statutes. If EPA
  becomes aware of facilities which are
  not meeting the interim status
  standards, the Agency can bring an
  enforcement action against them under
  Section 3008 of RCRA. or can move
  quickly towards final disposition of the
  facility's permit application.
   Tb» A&suy ha« made  it dear in the
  regulations that facility owners or
  operators who  choc** to  dote their
  facilities while in interim status (before
  a permit is issued or denied) must do so
  In accordance with the full set of closure
 requirements and post-closure
 requirements (if they apply}. Thus, these
 owners or operators will not escape the
 responsibilities (and costs) of complying
 with these requirements. Consequently.
 the potential inequities which the
 commenters feared should be greatly
 reduced, if not totally elimina ted.
 TV. General Issues
A. Degree of Hazard
  The proposed Sections 3001 and 3004
regulations did not create a
classification scheme which separated
hazardous wastes into varying degrees '
of hazard or risk for purposes of
regulation. The proposed Section 3004
regulations did, however, take into
account certain types of hazardous
properties or classes of hazard in
imposing management requirements. For
instance, certain management
requirements were proposed for wastes
with ignitable and reactive properties
that were not proposed for other wastes.
                            A large number of commenters
                          argued, for a variety of reasons, that a
                          degree of hazard system is necessary in
                          order to effectively implement the
                          hazardous waste control program.
                          Several commenters suggested that
                          wastes should be classed into two or
                          more levels of hazard (i.e.. "extremely
                          hazardous" or "hazardous"), depending
                          on the  .intrinsic risk associated with the
                          waste. Many commenters stated that
                          because the intrinsic hazard presented
                          by a waste is a function of certain •
                         chemical and physical parameters,
                         classification by risk should be based on
                         a quantification of these parameters. On
                         the other hand, several commenters felt
                         that the hazard persented by a waste is
                         a function of its management and,
                         therefore, wastes should be classed into
                         hazard levels according-to how-they are
                         managed. Many commenters suggested
                         using a combination of intrinsic hazard
                         and hazard based on management.
                           In support of these suggestions, a
                         number of commenters argued that the
                         two-part definition of "hazardous
                         waste"  given in Section 1004(5) of RCRA
                         requires a system for classifying wastes
                         by degree of hazard. They claimed that
                         one dass should consist of those wastes
                         described in the first part of the
                      .   definition, i.e^ those, wastes which
                         "cause or significantly contribute to an
                         increase in mortality or an increase in
                         serious irreversible, or incapacitating
                         reversible, illness," and that Jhe other
                        class should consist of those wutac
                        described in the second part of th«
                        statutory definition of hazardous waste,'
                        i.e., those wastes which "pose a
                        substantial present or potential hazard
                        to human health or the environment
                        when improperly treated, stored,
                        transported, or disposed of, .or otherwise
                        managed."
                          The suggestions made by the
                        commenters differed widely in the
                        complexity of the suggested hierarchy or
                        classification system for risks, and in
                        the relationship of the resulting risk
                        classes to the waste management
                        standards; Many commenters supported
                        the concept of a degree of hazard
                        system but did not propose a specific
                        approach for carrying it out.
                         The degree of hazard proposals were
                        based primarily on concerns about the
                       priority of implementation and the
                        economic burdens that might be
                        imposed if the same standards were
                        applied both to wastes with relatively
                        low hazard and wastes with higher
                       hazard. Accordingly, commenters,
                      , generally associated one, of the
                       following objectives with a degree of  •
                       hazard system:
                         (1) Phasing of the regulations to
                       address first the wastes which present
   the greatest risk to human health and
   the environment. (This comment w,
   frequently coupled with the issue o,,
   perceived national shortfall of facili
   capacity.)
     (2) Tailoring of management
   standards to the properties of wastes so
   that adequate protection of human'
   health and the environment could be
   achieved without overregulating some
   wastes, and thus unnecessarily
   increasing the economic burden of the
   regulations,
    (3) Setting quantity threshold levels
   below which small quantities of wastes
   could be exempted from some or all of
   the Subtitle C management requirements
  without significant impact on human
  health and the environment.
    The Agency believes that the final
  regulations, when promulgated in full,
  will achieve each of these objectives,'
  although without adoption of a degree of
  hazard system. EPA has made the
  decision not to adopt a degree of hazard
  system with full realization of the
  conceptual appeal of such  a system and
 .the recognHten that all wastes do not;
  present the same level of risk to human
  health and the environment. The Agency
  has taken this position for two reasons:
   (1) The Agency does not believe that
  any of the degree of hazard systems
  suggested by commenters (or any th
  Agency could itself conceive) are
  capable of actually distinguishing
  different degrees of hazard among the
  myriad hazardous wastes and also
 reasonably relating management  '
 •standards to these degrees  in a
 technically and legally defensible way.
   (2) The Agency believes that the final
 regulations already achieve the
 objectives of a degree of hazard system;
 thus, such a potentially complex and
 challengable system is unnecessary.
   1. Classification of Waste by Risk.
 The central element of a degree of
 hazard system is a classification of
 hazardous wastes according to their
 level of hazard or risk to human health
 and the environment. The Agency is
 convinced that all of the degree of
 hazard dassification schemes suggested
 by commenters and otherwise
 considered by the Agency are extremely
 judgmental and prone to arbitrariness.
   Classification of wastes by intrinsic
 hazard would require the Agency to
 make determinations such as the
 following:
   (1) Levels of hazard within a      '  .
 characteristic,  i.e., whether one ignitable
 waste is more hazardous than another
 ignitable waste;
  .(2) Levels of hazard within listed
wastes, i.e.. whether all properties
which form the basis for listing (e.g..

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                Federal Register /  Vol.  45. No. 98 /Monday. May 19. 1980 /  Rules and Regulations
                                                                         331BS
    carcinogenicity, bioaccumulativity) •
   .-present different degrees of hazard:
     (3) Relative hazard of different
    characteristics, i.e., whether an ignitable
    waste is more hazardous than a reactive
    waste.
 •  .  Furthermore, most wastes exhibit
   more than one characteristic, i.e., a
   waste may be ignitable, toxic, and
   •bioaccurhulative, so that the difficulty of
   the classification task Is compounded.
     With the exception of a few well
   known wastes of extremely high hazard,
   such as dioxin, the Agency, generally
   lacks the information or techniques to
   make these distinctions between
   hazardous Wastes. While distinctions
   between some very-high hazard wastes
   and other-much lower hazard .wastes
   may be possible, there is a broad 'middle
   ground where classification by degree of
   hazard would be extremely difficult.
   This is particularly true when all
   potentially hazardous wastes must be
   considered, not just those on which   .
   there is significant information available
   and for which hazard distinctions may '
   be obvious.   •   • ,
    The task of.classifying wastes by
   degree of hazard is all the more difficult
   because an assessment of hazard, i.e.,
   risk to public health, cannot be made
•   based on intrinsic hazard alone, but
   must be based on the likelihood of
   exposure as well. Exposure assessments
   depend on many situation-specific
   factors that determine the pathways
 ,  through which exposure may occur, e.g., '
   the hydrogeology. proximity and use of
  gYound water and surface water, etc.
  Making exposure assessments the
  purpose of constructing a multi-level
  degree of hazard system would prove
  enormously complicated, if not     '
  impossible.             V
    2. Tailoring of Management
  Standards. The second element of a
  degree of hazard system is to establish
  different management standards'forthe
  different degrees of hazard While the   ,
  Agency agrees with commenters that it
  is desirable for the regulations to
  provide-'for flexibility to achieve
  tailoring of management requirements,
  EPA does not believe that the best
  approach to tailoring is to prescribe
  nationally applicable requirements
  based on the degree of hazard of a
  waste.    .               '.•'..-'
    Within the universe of hazardous.   !
  wastes, distinctions in technical     '  ',
  management requirements can best be
  based on the actual properties of the
 waste, i.e., the type of class of hazard a
 waste presents, and oil local  site
 conditions, rather than on the level of
 hazard of a waste. In the final
 regulations the Agency has included a
 number of tailored waste management
  requirements relating to waste classes,
  i.e. properties such .as ignitability,
  reactivity, compatibility, or liquid state.
  EPA plans to Continue to differentiate
  among waste classes in,its Phase II and
  Phase III regulations. The Agency found
  it far easier to justify differences in
  regulatory requirements for, these
  classes of waste, than to base facility
  performance, design, or operation on
  intrinsic hazard levels. For example, one
  can readily justify a prohibition of
  hazardous waste containing free liquids
  in landfills because they create
  hydraulic head, and thus promote
  leaching. However, different facility
  design requirements for dealing with, for
  example, an acutely toxic waste versus
  a less toxic waste are much less'clearly
  defined. In such cases, differences-in -
  intrinsic hazard may be overshadowed
  by  the types of constituents in a waste  "
  (i.e., do they migrate rapidly, or are they
  persistent), by the amount of waste, or
  by  the site conditions (e.g., type of soil,
  or distance to ground water).
   Distinctions in management
  requirements can also be made based on
  the local site conditions and
  peculiarities of the waste involved.
  Factors such as hydrogeology, rainfall,
  and soil type can be considered on a  '
  case-by-case basis as a part of the
  permitting process given appropriate
  flexibility in the regulations. Such  a
  case-by-case consideration of site
  conditions and. to some extent, waste
  properties, is feasible and desirable, and
  the  Agency plans to adopt  such a system
  in its Phase II regulations.
•   Thus, the Agency has concluded that
 it does not have the necessary technical
 information-and criteria to  develop a
 technically supportable set of national
 standards which would rank wastes by
 degree of hazard: the Agency also has
 ndt.determined that it is feasible or
 beneficial  to relate management
 standards  to an abstractly conceived
 degree of hazard, rather than to the  '.
 waste's actual properties and the site
 conditions. Furthermore,  EPA believes
 that its. current and intended future
 regulations will otherwise accomplish
 the objectives of a degree of hazard
 system  .
  • 3. Response to Degree of Hazard
 Objectives. It is'difficult for the Agency,
 to demonstrate fully how its regulatory  •
 scheme .under RCRA responds to all of
 the objectives of a degree of hazard
 system because the regulations are     '-,.
 being promulgated in two major phases.
The  first phase includes the definition of
hazardous  waste in Part 261 as well as a
limited set  of management standards in
Parts 284 and 265. The second phase will
include the bulk of the technical
  management requirements. The Phase II
  standards in particular Will effectively
  achieve at least as much flexibility in"
 - management, standards as would-a
  degree of hazard system.
    As discussed above, the commenters
  generally associated one or more of
  three objectives with a degree of hazard
 , system: (1) Phasing of the regulations to
  include highest risk wastes-in the ,
 .system first; (2) tailoring of management
 - standards to particular wastes to avoid
  over-regulation; and  (3) setting quantity
  threshold levels below which small
  quantities of Wastes could reasonably
  be ex'empted from.some or all,of the
  Subtitle C requirements. Although still
  developing the Phase II regulations, EPA
  can describe its basic regulatory
 approach and some specifics of its
 initial response to commenters' requests
 for phasing, tailoring, and threshold
 levels.             •  L            •
    The Phase I regulations accomplish
 the objectives of phasing in.sev.eral
 ways, although they were not designed
 specifically for that purpose. The listing
 of wastes in Part 261  includes primarily
 wastes of high intrinsic hazard because
 those are the wastes on which
 significant health effects information
 has been most readily available/The   •
 listing process itself is a phasing
 mechanism which brings additional
 waste under RCRA Subtitle C control
 over time. Also, the exclusion levels for
.small, quantity generators are set ,
 initially at 1000 kg/mo, but will be
 phased down to 100 kg/mo over time.
 There is also an administrative
 mechanism for phasing during
 implementation to deal with the
 capacity issue/Each EPA regional office
 and authorized State implementing the
 regulations will have the flexibility to
 administer the permitting and
 enforcement process in such a way that
 the most severe human health and
 environmental problems are addressed
 first.          :
  The Phase I regulations provide for
 tailoring of waste management  '"
 'standards by providing'significant
 flexibility. In addition, some specific
 requirements for certain waste classes
 of hazard are incorporated. '
  The Phase I standards under Part 265
 are minimum'requirements which the
Agency believes are appropriate for all
wastes during the interim status pe'riod.
Some of these standards are/
administrative requirements dealing
.with manifests, recordkeeping, and
reporting that are minimums for
adequate tracking of all"Waste. Other
general technical requirements, such as
waste analysis, training, and
contingency pla'ns, provide flexibility by
requiring the owner or operator to •

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    3316G
Federal  Register./ Vol. 45.  No. 98 / Monday. May 19.  1980 / Rules  and Regulations
    prepare a plan in which he details the
    requirements for his specific facility.
    Other more technical requirements such
    as ground-water monitoring and closure.
    also allow significant flexibility for the
    owner or operator to include site-
    specific factors in the requirements for
    his facility. For example, the closure
    standards require a plan addressing
    various performance factors. Specifics
    of how to close the facility to meet these
    objectives are left to the owner or
    operator, subject to approval by the
    Regional Administrator. Many other
   parts of the technical standards for the
   interim status period provide similar
   flexibility.
     The Phase H technical standards will
   continue to provide a basis for tailoring
   standards to particular sites. The Phase
   H regulations are  sometimes referred to
   In the preamble to these regulations as
   "best engineering judgment" regulations.
   The Agency envisions that these
   regulations will provide basic
   performance requirements and a set of
   relevent technical factors that relate to
   those performance standards. Specific
   permit requirement! will then be based
   on (he engineering judgment of the
   permitting officials, supplemented by -
   technical reference manuals. This
  system will allow maximum flexibility
  for tailoring of the specific permit
  requirements based on waste specific
  and site-specific knowledge. This case-
  by-case approach is appropriate
  because the possible combinations of
  types of waste and types of management
  scenarios throughout the Nation are
  almost limitless.
    Finally, the Agency has established
  thresholds for exemption, of wastes from'
  small quantity generators through the
  combination of a general exclusion, and
  specific exclusions, based on
  considerations of hazard. Although not
  based on a comprehensive degree of
 hazard system, the  exclusion level for
 some wastes has been set at very low
 levels based on case-by-case hazard
 determinations.
   In summary, the Agency believes that
 the final regulations accomplish the
 objectives of a degree of hazard system.
 while avoiding the enormous problems
 that would be associated with
 development and implementation of
 such a system.
B. Volatile Waste
  Because most hazardous waste can
volatilize into the air to some degree,
EPA is concerned about the treatment.
storage, or disposal of hazardous waste
which could result in the emission of
toxic compounds into the air.
  In the proposed regulations, volatile
waste was defined as any hazardous
                          waste mixture with a true vapor
                          pressure greater than 78 mm Hg at 25' C.
                          Using this definition, the proposed
                          regulations contained a number of
                          prohibitions and limitations on the
                          management of volatile, waste in various
                          types of facilities,
                           A number of people commented on
                          the impracticality of the limitations and
                          prohibitions on volatile waste, and felt it
                          was inappropriate to use the OSHA •
                         permissible exposure levels for airborne
                         contaminants as a mechanism for
                      ;   allowing variances to the prohibitions
                         (i.e., under the proposed regulations, if
                         an owner or operator could show that
                         his facility could manage volatile wastes
                         so that the OSHA levels for pollutants in
                      .  the air were not exceeded.' then he was
                         allowed to do so).
                           Although no comments directly
                       .  addressed the proposed definition of
                         volatile hazardous wastes. EPA became
                         concerned about a number of technical
                         difficulties associated with denning
                         volatile waste solely  in terms of the
                         waste's vapor pressure. First, vapor
                         pressure is only one of the several
                         factors which influence the
                        volatilization rate of hazardous waste.
                        Other factors (such as solubility.
                        temperature, molecular weight of the
                        waste, and surface area of n landfill or
                        impoundment) can lead to radically
                       different volatilization rates for
                       compounds with similar vapor
                       pressures. Second, if the vapor pressure
                       of a hazardous waste  mixture were used
                       to determine whether  it is a volatile
                       waste (and thus, subject to more
                       stringent standards than non-volatile
                       waste),  owners or operators might
                       dispose of toxic compounds with high
                       pure vapor pressures by mixing them
                       with compounds with  low vapor
                       pressure.s. Third. EPA  is concerned that
                       there is not enough information about
                       the inhalation toxicity  of individual
                       compounds in waste to substantiate an
                       estimate of a safe volatilization rate.
                         Since  the regulations were proposed.
                       the Agency, has examined several
                       alternatives for defining and controlling
                       volatile waste. These included attempts
                       to develop a new definition, and a new
                       variance provision. However, because
                      these attempts thus far have not been
                      successful, the Agency is not defining
                      volatile waste as a waste class at this
                      time.                        '
                         The primary or secondary purpose of
                      some of the interim status standards,
                      however, is to reduce airborne
                      emissions that result from volatilization.
                      For example, the final cover
                      requirements for landfills, and the
                      requirement that waste  storage drums '
                      be kept closed, will reduce volatile
                      emissions from these devices.
   Nonetheless, EPA is concerned that
   there may be little control of'
   volatilization for surface impoundm
   open tanks, and land treatment faci
 •  in the Phase I rules.                .,_
     This is clearly an area in which there
   is a great need for additional
   information regarding how to properly
   define volatile  waste, how to relate the
   quantity of volatile waste being land
   disposed to the toxicity of volatile
   compounds, and how to arrive-at
   appropriate control measures to
   minimize emission'of these compounds
   to the air. The Agency is.committed to •
   solving this problem and'will continue -'
   its investigations.
     The Agency solicits comment and
   data on this matter. As information
   becomes available, the Phase II and
  'Phase HI regulations will contain
   additional provisions to control volatile
   wastes and the  interim status standards
   may be revised  where appropriate.

   C. Performance  Versus Design and
   Operation Standards
    In the proposed standards, the Agency
  relied primarily on facility design and
  operation standards in an effort to
  provide specific requirements which
  could be easily understood and
  interpreted by permit applicants and
  permit writers alike, and which could be
  easily enforced. Recognizing that th
  specific standards might discourage u
  development of new technology, or th
  different design and operation
  requirements might he necessary for
  particularly facilities in certain locations
  handling certain types of waste, the
  Agency attempted to incorporate
  flexibility into the regulations by
  supplementing some standards with
  "Notes." Each "Note" described the
  circumstances under which the Regional
  Administrator would allow deviation
  from the specific standard to'which  the
 "Note" applied. No deviations were
 allowed for those proposed standards
 not accompanied by "Notes!"
   In addition to the design and
 operation standards, the proposed
 regulations contained overriding
 performance standards (i.e.. human
 health and environmental standards) for
 protecting ground water, surface w'ater,
 and air quality. These were very
 elementary ambient performance
 standards which were to be used in
 unusual waste,management situations
 where the design arid operation
 standards were insufficient to protect
 human health and the environment.
  Several commenters pointed out
 significant drawbacks .to using the
 proposed human health and
 environmental standards as fail-safe
mechanisms for regulating hazardous

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Federal  Register / Vol. 45, No. 98 ,/  Monday,  May 19, 1980 /Rules arid-Regulations
                                 331S7
   waste management. In response to these
   comments, the Agency has deleted the
   human health and environmental
  .standards from the Section 3.004
   regulations.
    EPA's strategy in the proposed rules
   of relying primarily on design and
   operation standards was also criticized
   by many, commenters. Most of their
   comments focused on'four concerns
   regarding regulations based on design
   and operation standards: (1) design and
   operation standards discourage
  innovative technology; (2) design and
  operation standards eliminate flexibility
  for permit jafficials tot allow for local  ,
  situations, (3) some existing facilities
,  may be unable to comply with the
  design and operation standards and yet'
  may be environmentally acceptable, and
  (4). RCRA does not authorize the  •
  establishment of design and operation
  standards.
  • The Agency rejects this fourth point
  Section 3004 of RCRA states that: "The
  Administrator shall promulgate
  regulations establishing such
 performance standards applicable to
  owners and operators of facilities for the
  treatment storage, or disposal of
 hazardous waste identified or listed
 under this subtitle, as may be necessary
 to protect human health and the
 environment" However, it a/so states
 that: "Such standards shall include/but
 need not be limited to, requirements
 respecting:
   (1) Treatment, storage, or disposal of
 all such wastes received by the facility
 pursuant to such operating methods,
 techniques, and practices as may be   '
 satisfactory to the Administrator; and
   (2) The location, design, and
 construction of such hazardous waste
 treatment, storage, or disposal     ;
 facilities;" (emphasis added).
   Thus'Section 3004 of RCRA authorizes
 both performance standards  and ,
 specific design and operation standards^
   Nonetheless, the Agency believes that
 some of the arguments for greater
 flexibility raised in the first three points
have merit, and the Agency has
evaluated several approaches to    '   ' ••-
respond to these commenter's concerns.
   One approach which the Agency
•considered was to accommodate the
requests for greater flexibility through
specific changes in the regulations.
These changtj include establishing a
class of hazard system, and expanding '
and clarifying the variances. These
topics are discussed elsewhere in this •
preamble. These changes are desirable,
and they have been incorporated to a
limited extent in the interim, status
standards. They will be more evident in
the technical regulations yet to be issued
under Phases II and III. However, these
                          changes do not fully and directly
                          address the commenters criticism of the
                          proposed rules, because they do not
                          really shift the. emphasis from design
                          and operation standards.
                            A. second approach which the agency
                          has used to a very limited extent in
                          these rules and is considering for the
                          Phase II rules, is to expand the use of
                          "operation performance standards;"
                          which, for example, could place limits
                          on emissions or specify results. Such  •
                          standards are advantageous because
                          they provide more flexibility than design
                          and operation standards. Operation
                          performance standards were already
                        '  implicit in many of the proposed design
                        •and operation regulations. The Agency
                          plans to make them more explicit in the
                          Phase II rules.    '
                           The Agency believes that using
                          operation performance standards, in'
                          conjunction with the other changes in
                          the regulations mentioned above,  should
                         provide a much more flexible'approach
                         for designing and operating facilities
                         than-was possible under the proposed
                         rules, while avoiding the many
                         disadvantages of ambient performance
                         standards. Using operation performance
                         standards also directly responds to the
                        majority of comments on this issue. It
                        shouia be noted, however, that the
                        Agency has retained explicit facility
                        design'and operation standards where
                        their use is appropriate such as in the  •
                        emergency preparedness and response
                        •regulations.         •

                        D. Notes.  Variances,^ and Equivalency
                          As was mentioned in the discussion
                        above, the Agency attempted to
                        incorporated flexibility into some of the
                        proposed design and operation
                        standards by allowing variances from ? .
                        the standards. These variances-were
                        specified in "Notes" which accompanied
                        many of the standards. In most cases.
                        these "Notes" required that in order to
                        deviate from the prescribed standard,
                        the applicant had to show that the  .
                        modification to the standard would
                        provide an equivalent degree of
                        protection or performance as the
                        prescribed standard. In reviewing the
                        comments requesting more flexibility in   '
                        the regulations, it became clear that
                        many commenters had simply ignored
                        the "Notes." This was obvious from the
                        many specific complaints about the ,,  -
                        impracticality of certain standards
                        under certain conditions without
                        reference to the attendant "Notes,"
                        which were designed.to provide the
                        flexibility to deal with such conditions.
                          Other commenters felt that the
                        permitting official would be reluctant to
                        use the "Notes," because to do so would
                        require him to decide whether the
  substitute design or operation.
-• modification would provide equivalent
  performance. The commenters believed
  that permit writers would not Want to
  make these types of decisions because it
  would place their technical 
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   33168       Federal Register / Vol. 45. No.  98 / Monday. May  19. 1980 / Rules  and Regulations
   appropriate, because this is the essence
   of the best engineering judgment
   approach discussed earlier.
     Data on the applicability of many
   variances, among other things, will be
   included in  the Part 284 Phase II
   Reference Manuals (discussed later in
   this preamble) which will be available
   to permit writers and the'public.

   E, Commercial Products Standards
    Several types of materials [process
   wastes, residues, etc.) which may be
   classified as hazardous wastes are being
   used to make commercial products, e.g..
   fuel oil, building blocks, and soil
   conditioners. Aside  from a few
   radioactive special wastes, no
   hazardous waste standards were
   proposed to  cover these products.
    The Agency, however, addressed the
   issue of commercial  products in the
  preamble to  the proposed regulations
  and EPA indicated that it was
  considering developing standards for re-
  use of hazardous waste. One suggested
  approach would require a product made
  from hazardous waste not to pose a
  threat to human health or the
  environment  greater than the threat
  posed by the virgin product it replaces.
  The Agency requested commenters to
  indicate other feasible regulatory
  approaches and to provide data which
  could be used to support commercial
  product standards.
   Comment response to EPA regulation
  of commercial products was almost
  entirely negative. Several commenters
  questioned EPA's authority to
  promulgate such standards under RCRA
  and suggested that product regulation is
  more properly the purview of the
  Consumer Product Safety Commission
 and the Toxic Substances Control Act.
 Others pointed out that the Agency
 should encourage recovery, recycling.
 and re-use but that regulation
 discourages such activities.
   EPA believes it has the authority
 under RCRA to regulate the
 management of materials which can be
 classified as hazardous wastes even
 when that management involves the re- '
 use of the waste as a product. (The
 reader is referred to the preamble  •
 accompanying the promulgation of the
 Part 261 regulations of this Chapter for a
 discussion of the circumstances under
 which recycled materials may be
 classified as hazardous wastes.) Also, '
 the focus of the Consumer Product
 Safety Commission is not on wastes and
 products made from them. EPA believes
 that waste-related matters should, in
most cases, be dealt with under RCRA.
although EPA also may choose to
promulgate some standards dealing with
   the re-use of wastes under the Toxic
   Substances Control Act.
     On the other hand. EPA sees several
   problems with setting generic
   requirements for the processing for re-
   use, and re-use of hazardous wastes.
   First, it is difficult to determine
   generically how hazardous wastes can
   be appropriately re-used or processed
   for re-use. The Agency recognizes that
   the approach in the preamble to the
   proposed regulations, which would have
   required all products made from
   hazardous waste to be at least as safe
   as virgin products, is flawed and is not
   adopting it at present
    The Agency  agrees with the
   substantial 'body of comment which
   urged the Agency not to place the
  hazardous waste stigma on recovered
  products without very good cause.
  Recovery or re-use is generally among
  the best of all possible ways to minimize
  the hazardous waste problem—it
•  removes the need for disposal while
  conserving resources and energy and
  eliminating the wastes associated with
  making virgin products. Regulating the
  processing or re-use of hazardous
  wastes into products could decrease
  acceptance of these products in the
  marketplace.
   The Agency has concluded that the
  best approach is case-by-case regulation
  of specific processing or re-uses of
  hazardous waste where the potential  -
  hazards of uncontrolled processing and-
  re-use are clear. Certain of these
  requirements  may be included in  the
  Phase II standards.

 F. Storage of Recycled Waste

   In the Phase I regulations under RCRA
 Section 3004, the Agency has decided to .
 regulate storage of hazardous waste
 which is listed in Subpart D of Part 281
 prior to its use. re-use, recycling,
 reclamation, or treatment for these
 purposes. Several damage cases point to
 the need for a storage regulation for
 such wastes at this time. The Agency
 may include additional requirements in
 the Phase II or Phase HI  standards. On
 and after the effective date of these
 Phase I regulations, storage of such
 wastes hi containers, tanks, piles,  or
 surface impoundments, until it is used,
 re-used, recycled, reclaimed, or treated
 for these purposes is  subject to control
under these regulations. These
requirements'apply both to on-site and
off-site facilities. Facility owners,or
operators who store such waste prior to
its use, re-use,  recycling, reclamation, or
treatment for these purposes must
comply with the RCRA Section 3010
Notification and Section 3005 permit
application requirements (see 40 CFR
   Part 122) in order to qualify for interim '•
   status.            ,      "
   G. General Standards for Storojjj
    The proposed § 250.44 stot_0..
   standards required that storage be
   conducted so that no discharge of
   hazardous waste occurred. Because
   most wastes have some vapor pressure,
   the proposed rules specified that all
   hazardous waste must be stored in
   covered tanks or containers. Many  •
   commenters claimed that this "no
   discharge" performance standard for all
  storage" was technically infeasible and
  inconsistent with the concept of
  controlled air emissions under the Clean
  Air Act and controlled discharges under
  the Clean Water Act. They also felt that
  the requirement to store waste only in
  tanks and containers was .unduly
  burdensome; they claimed that (1) it is
  unnecessary to store low-volatility
  wastes in covered storage devices, and
  (2) it is impractical-to store bulk-solid or
  semi-solid materials in enclosed tanks
  or containers. For these reasons, the
  commenters recommended that storage
  be allowed in devices other than storage
  tanks and containers; e.g., basins,
  surface impoundments, and piles^
   EPA developed the proposed "no-
  discharge" standaTd base'd on its
  interpretation of the RCRA definitjf
  "storage," which means
  ". . . containment ...  in such
  manner as not to constitute
  disposal  . .  . ." RCRA defines
  "disposal" as:     '   '
   The discharge, deposit, injection, dumping,
 spilling, leaking, or placing of any solid waste
 or hazardous waste into or on any land or
 water so that such solid waste or hazardous
 waste or any constituenUhereof may enter
 the environment or be emitted into the air or
• discharged into any waters, including ground
 waters.

   EPA interpreted this  statutory
 language as requiring "no discharge"
 (emission) from any hazardous waste
 storage facility.
   Although some commenters
 considered this a proper interpretation
 of the Act, others took strong exception
 to it as noted above. Commenters also
contended that the standard was
inconsistent with the approach of
Section 3004 of RCRA which in their  •
view is to minimize adverse effects. The
standards for storage, they argued,
should recognize that there are
environmentally responsible ways other
than no discharge to store hazardous
wastes, and shquld approach the
problem by minimizing the potential for
discharges, or requiring only that nc
significant discharges occur. On af
narrower level, commenters arguei,
under the definition of disposal, air

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                Federal Register /  Vol.  45. No. 98 / Monday. May 19.  1880 / Rules and Regulations '      33169
   emissions from materials that have not
 .  been discharged onto land or water are
   not "dispersal"; thus. RCRA does not
 .  mandate the prohibition of air emissions
   from tanks or containers.
     These comments suggest perhaps a
   more basic issue concerning storage.
   While RCRA defines storage as '
   containment in such a manner as not to
   constitute disposal,  it does permit  ..  •
   disposal under appropriate conditions.
   Thus, it seems anomalous in the Section
   3004 regulations to require an absolute
   prohibition of emissions when handling
   of wastes is called "storage," while
   permitting'some level of emissions in
  .other facilities performing "disposal."
   Surface impoundments. Indeed, appear
   to fall somewhere between a clear
   example of storage, such as a sealed .
   container, and a clear example of
   disposal, such as a landfill. An unlined
   impoundment, for example, may be used
   to accumulate hazardous wastes for a
   number of years, and over that time at
   least some of the waste will almost
   certainly migrate into the soil under the
   impoundment. Yet if at  the end of its life
   the residue and contaminated soil are
   removed, the impoundment might be
 , rendered non-hazardous, and certainly
  presents a different picture from a
 /landfill. This situation suggests that the
  proper focus for regulation of storage
 , facilities is on whether the wastes will
 • eventually be removed from the facility.
  This approach to storage, under interim
  status, is reflected primarily in
  appropriate standards fordosure and
  financial responsibility (i.e.. the cost
  estimate for closure).         •   .  -
    The Agency, believes that RCRA
  permits this approach. The definition of
  storage in RCRA refers to
  "containment ... either on a   • ' .
  temporary basis or for a period of
 "years," which is a central factor in the
  current regulatory definition. RCRA •
  apparently would permit the Agency to
 regulate treatment, storage, and disposal
 without anywhere prescribing different
 standards or approaches for facilities •
- falling into different statutory
 categories,; indeed, the statute typically,
 as in Section 3004, mentions "treatment,
 storage, and^disposal" in a single
 phrase, indicating'that the same
 statutory provisions apply to all three.
 This is to be compared with RCRA's  '
 much different treatment of generators,
 and of transporters. This is not to say, of •
 course, that the Agency cannot or
 should not prescribe quite different
 standards for facilities that are storage
 facilities (under some regulatory
 definition) than for disposal facilities,
 but simply to say that RCRA,permits the
 Agency to use that concept of storage
  which seems most appropriate for.
  regulatory purposes.
    With these considerations in mind.
  and recognizing the impracticality of
  completely eliminating emissions from
  most types of facilities, the Agency has
  redefined "storage" to mean "the
  holding of hazardous waste for a
.  temporary period, at the end of which
  the hazardous waste is treated, disposed
  of, or stored elsewhere."
    A few commenters suggested that the
  Agency consider1 adding a standard
  which would limit the time or quantity
  (or both) of .waste that can be stored at
  a hazardous waste facility. Any such
  standard would best be based on the
  type of waste to be stored, the design .
  and construction of the containment
  device used'to store the material, and,
 'the climatic conditions under which the
  storage is to take place. At present, the  -
  Agency lacks sufficient data to develop  .
  such standards, and a detailed
  consideration of such information can
  for now best be made in permitting
  proceedings. However.-lhe Agency
  expects to examineTurther appropriate
  limitations for storage, and may propose
  regulations in the future.
..  In addition, the closure and financial
 responsibility requirements will set
 limits indirectly on the quantity of
 hazardous waste in storage. The Phase
 II financial standards are expected to
 require that adequate funds be placed in
 the closure trust (or other acceptable
 mechanism) to close the facility at any
 given time, considering the amount of
 waste on hand. The amount of these
 funds will create a definite upper limit
 on the'amount of waste in storage at any
 time, and will create financial  incentives
 for owners and operators .to minimize
 this amount      '       '
 H. Owner or Operator
   In a majority of cases, the owner and
 operator of a hazardous waste
 treatment storage, or disposal facility
 are the same person or corporation.
 However, it is not uncommon for an
 operator to lease the land and perhaps
 structures from a landowner. In a few
 cases, the owner of the land, the owner
 of the structures, and the operator may   ;
 all three be different persons or '
 companies.
  • In the proposed regulations, the      •  '
 Agency used the term "owner/operator"
 when referring to any or all of these'
 parties, .and defined the term to mean
 "the person who owns the land on  .
 which a facility is located and/or the
 person who is responsible for the overall
 operation  of the facility." Commenters .
 complained that  the definition was   .
 vague and ambiguous and that it was' ,
 not clear who (the owner or operator)
   was responsible or liable for what. A
   few commenters also pointed out that
   for a few of the requirements; only the
   owner can legally comply—a case in
   point being the requirement to record a
   note on the deed in proposed §'250.43-
   7(b).    ,
    The Agency's first priority is to,
   protect human health and the'
   environment. Thus, where there has •
   been a default on any of the regulatory
   provisions, the Agency will attempt to
   gain compliance as quickly as possible.
•   In so doing, the Agency' may bring
   enforcement action against either the
   owner or operator or b.oth. EPA
   considers the owner (or owners) and
   operator of a facility jointly and-
   severally responsible to the Agency ior
   carrying'.oul the requirements of these
  regulations'.           ''
    One reason for this joint-responsibility
  is that,  as the commenters pointed out.
 . there, is at least one provision of the
  Section 3004 regulations that only  the, , ,
  owner,can comply with—.that is the
  requirement to record a notation on the
  deed to property where hazardous
  waste remains after closure. Second, if
  the owner is not bound by the
  regulations. EPA could have a very hard
  time trying to implement and enforce  the
  closure and financial responsibility
  provisions of the regulations. Third, the
  legislative history of RCRA indicates
  that responsibility for complying with
  the regulations pertaining Unhazardous
 /waste facilities should rest equally with
  owners and operators Where the owner
  is not the operator (H.R. Rep. No. 94-
  1491. 94th Cong.. 2d Sess. 28 (1976)).  '.
   With  most of the regulations,, the   •
 Agency is primarily concerned with
 compliance, and is secondarily '    .
 concerned with who ensures
 compliance. The Agency believes that
 decisions concerning who  sho.uld be'
 responsible for ensuring compliance for
 which requirements can properly and
 adequately be a matter between the
 owner arid operator. Nonetheless, both
 the owner and operator ultimately
 remain responsible, regardless of any,
 arrangement between them.       .
   Some  facility owners have historically
 been absentees, knowing and perhaps
 caring little about the operation of  the
 facility on their property. The Agency
 believes that Congress intended that this
 should change and that.they should
 know and understand that they are .
 assuming joint responsibility for , •
 compliance with these regulations when
, they  lease their land to a hazardous
'waste facility. Therefore, to ensure their
 knowledge,  the Agency will require
 owners to co-sign the permit application
 and any  final permit for the facility. Part
 122 of the consolidated permit

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                 Federal  Register / Vol. 45. No. 98./ Monday  May 19. I960  / Rules and Regulations
    regulations has been changed to reflect
    this..  •
      The Agency agrees with those
    commenters who pointed out that in a
    Few cases only the owner can legally
    comply with a requirement. Where this
    is so. the Agenqy has specified the
    "owner" in these final regulations. EPA
    has also changed its usage of the term
    "owner/operator" to "owner or
    operator" to indicate when EPA will be
    satisfied by compliance by either party
    (but also to indicate that the Agency
    may enforce against either or both).
   /. Inactive Facilities

     RCRA is written in the present tense
   and its  regulatory scheme is prospective.
   Therefore, the" Agency believes
,   Congressional intent to be that the
   hazardous waste regulatory program
   under Subtitle C of RCRA is to control •
   primarily hazardous waste management
   activities which take place after the
   effective date of these regulations. Thus.
   the proposed Subtitle C regulations did1
   not by their terms apply to inactive
   (either closed or abandoned) disposal
   facilities.
    Comments received on the subject
  pointed  out the need to protect the
  public from inactive and abandoned
  disposal sites, stressing that because
  these facilities are normally very poorly
  designed and situated, they represent a
  more severe hazard than new facilities.
  Love Canal and other disasters were
  cited to support this argument.
 • iT1*6 A8en°y agrees that inactive and
 'abandoned hazardous waste sites
  (particularly dumps, landfills, and
 lagoons)  may pose serious hazards to
 human health and the environment
 RCRA already provides one tool which  '
 can be used to deal with the problem of
 Inactive and abandoned sites—the
 imminent hazard provision of Section
 7003. This provision—which is
 applicable to both inactive and active
 sites—can be used to obtain injunctive
 relief from any party who can be shown
 to be causing or contributing to ". . . an
 imminent and substantial endangermenf
 to health  or the environment. . .  ."
   The Agency is actively using Section
 7003 and other applicable laws to force
 responsible parties to bear the costs of
 cleaning up sites posing a hazard. These
 authorities will remain in place and
 continue to be actively employed even
 after the effective date of the Subtitle C
 regulations.
   To provide site cleanup in those
situations where the responsible parties
are unknotvn or lack the funds to do the
Job, the Administration has proposed
"Superfund" legislation currently
pending in Congress.
      While RCRA'sTegulatory scheme is
    generally prospective, certain inactive
    facilities, or portions of inactive
    facilities, because of their relationship to
    facilities which continue to operate, may
    be subject to some RCRA Subtitle C
    regulatory controls. Some existing
    landfills or other facilities are expected
    to close if they do not or cannot meet
    the Subtitle C standards. The owners or
   operators may then design a facility
   which meets the standards and apply
   for a permit to locate it on land
'   immediately adjacent to the inactive
   portion..This is not an improper action,
   but, in some cases, problems'associated
   with  the inactive site  (leachate,
   emissions, etc.) may interfere with the •
   ability of the owner or operator to  •
   adequately monitor the '"new" facility.
   In these cases, the'Regional  .
   Administrator may require  that the
   owner or operator of the new facility
   ensure that certain actions are taken on
   the inactive site, in order to minimize or
   eliminate any interference .with
   monitoring or enforcement activities at
   the "new" facility.

  /. New Facilities and Existing Facilities
    In some regulatory programs regulated
  operations are subject to different
  requirements, depending on how old the
  operation is when the regulatory
  program begins. Often, existing
  operations are exempted or  are subject
  to less stringent regulations  than new
  operations.
    The original language of RCRA did
  not distinguish between new and
  existing facilities. Consequently, EPA
  made the proposed Section 3004
  regulations applicable to both new and
  existing facilities. The Agency
  recognized, however, that some existing
  facilities would have difficulty
  complying with some of the regulations.
 The Agency envisioned that the "Note".
 (variance) procedure, as well as the use
 of compliance schedules would
 accommodate the possible difficulties
 associated with retrofitting existing
 facilities.        '
   The Agency received numerous .
 comments on this general issue. The
 most frequent comment on the subject
 concerned RCRA coverage of NPDES
 permitted wastewater treatment
 impoundments. Nearly all commer 'ers
 were opposed to having RCRA cover
 these impoundments, citing the
 impracticality of retrofitting existing
 lagoons to meet the proposed standards.
 Specific comments addressed:
   (a) The tremendous cost associated
'with lining existing impoundments or
building new ones,
   (b) The costs of transporting wastes to
off-site facilities from manufacturing
in
r wMte
   operations whjch may be located in '
   areas which are unsatisfactory for
   management.
     (c) The likelihood that many     _
   manufacturing plants would have to
   close while the impoundment was bein°
   retrofitted, and          •    -  '     °
     (,d) The possibility that some exis-ting
   facilities may not be polluting now and
   may,never in the future pollute the
   environment, even though they do not
   meet all of the proposed RCRA surface
   impoundment standards.
     After substantial additional study,
   EPA has concluded that'the proposed
   surface impoundment regulations can be
   changed to answer many of the
   commenters' concerns about .their
   application to existing wastewater
   treatment impoundments. The Agency,  ,
   in keeping  with its general guideline of
   not imposing major capital expenditures.
   on existing facilities during interim
   status will  not require extensive
   retrofitting of existing surface
  impoundments in the interim status
  standards.  Furthermore, it is anticipated
  that the general regulations yeTlo be
  promulgated in Phases II and III will  '
  also not require retrofitting of these '
  facilities, if the owner or operator can
  demonstrate that the impoundment is
  not contributing statistically significant
  quantities of contaminants to ground^
  water. The Phase I regulations requij
  ground-water monitoring program ir
  order to determine whether an
  impoundment is polluting. Regulations
  yet to be issued in Phases II and III of
  this regulatory program will set forth
  additional technical requirements for
  impoundments, \fost of those
  requirements probably will not apply to .
  existing impoundments found not to be
  affecting ground water.
   The Agency believes that this
  regulatory approach will (1)
  substantially reduce the number of
 existing NPDES facilities vyhich might
 otherwise had to have been retrofitted,
 closed, or replaced in order to comply
 with the proposed Subtitle C rules,1 and
 (2) ensure that human health and the
 environment is protected. Further, this
 approach is consistent with pending
 Congressional amendments to RCRA.
   Some commenters suggested that all -
 existing facilities, and particularly
 existing landfills, should be regulated
 differently than new facilities. After
 careful consideration, the Agency has
 concluded, for the following reasons,
 that landfills do not pose the special
 problems or deserve the same
 consideration as "existing" facilities
 that surface impoundments do:
   (1) Sections of landfills are typ,v,au-
 filled in sequentially; i.e., one trench of
part (cell) of the total landfill area is

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                    ,                     1                                  •

Federai  Register / Vol. 45. No. 98  / Monday. May 19. 1980  /  Rules and Regulations
                                  33171
   filled and then another part is filled.
   This activity may or may not be done in
   discrete increments, but it is almost
   always done in progression moving
   away from a starting point Thus,
   owners or operators can close existing
   portions pf most landfills at virtually
   any time without retrofitting the facility
  ;a'nd can design the unclosed portion in
   accordance with the RCRA standards. .
   This option is not available to
   impoundment owners or operators
   because the entire base of the   ,    •• •
   irnpoyndment is normally covered with
   wastes from the beginning of operations.
     (2) Impoundments are usually
.   temporary.struchires; i.e.* wasted.are
   normally removed from such facilities
   when they are closed. By contrast-
   landfills normally constitute permanent
  disposal; i.e.. wastes remain in landfills
  essentially forever.
 .   .(3) Landfills are not normally
.  integrally connected to manufacturing
  operations. Therefore, any necessary
  retrofitting which requires diverting
  solid waste-to storage or other facilities
  would not be likely to cause the
  manufacturing operation'to shut down
  during the retrofit period. This is not the
  case with surface impoundments, which
  typically are integral components,of
  manufacturing operations.
    Similarly, except for some minor
  changes, the Agency could find no good
  reason for making major distinctions
  between new and existing incinerators,
  storage facilities, and other kinds of
  facilities in these Phase I regulations.
    Commenters also pointed to the
  impracticality of the siting standards.
  which would have required closure of
  all existing facilities which were not
  located in areas which met the proposed
  siting requirements. No location
  standards are included in the Phase I
  regulations (see preamble discussion on
  "Interim, Status Standards"). EPA is
  considering what relief consonant with
  RCRA's human health and
  environmental protection mandate might
  be granted to existing facilities unable to
  comply with the location standards.
  EPA expects to address these
  considerations in the Phase II standards.
 K. References to Other Acts,
 Regulations, and Standards
   In-the proposed regulations, many
 references were made to legislation arid
 regulations other than RCRA'to alert
 owners and operators that these laws
 arid regulations might apply to their
 facilities. These included references to
 proposed and final Federal regulations,
 State standards, industry standards, and
 Executive Orders.
   Many comments were received
 concerning this practice. These
                          .comments challenged the legality and
                          the appropriateness of referencing or
                       ,   incorporating standards from other
                          regulations. Several commenters stated
                          that, by citing requirements from' other
                          legislation or regulations in RCRA
                          regulations, EPA would be including
                          provisions that are subject 'to change by
                        '  the authority responsible for the
                          referenced regulation, without regard for
                          required public participation under the
                          Administrative Procedure Act (5 U.S.C.
                          5 533). Other commenters discussed the
                          potential for duplicate civil or criminal '
                        .  penalties which would result form EPA
                          references to other acts in the Section
                          3004 standards. Commenters stated that
                          Congressional intent was not  to make a
                       •   violation'under one set .of regulations a .'.
                          violation under another^ For-example, in-
                          the view of commenters, a National
                          Pollution Discharge Elimination System
                          (NPDES) permit violation should not
                          automatically be a RCRA permit
                          Violation.
                           The Agency agrees with certain of
                         these arguments and has deleted
                         references to other acts, regulations or
                         laws which would constitute an
                         unwarranted imposition of duplicate
                         liability. However, EPA always may
                         adopt language identical or similar to
                         that of another statute, regulation, or
                        code of practice, if. in EPA's judgment.
                        the standard is pertinent and
                        independently supportable under RCRA.
                        For  example, the requirement for set- .
                        back distances for tanks containing
                        ignitable waste is adopted directly from
                        the National Fire Protection Association
                        (NFPA) "Flammable Combustible
                        Code—1977" for storage tanks; it is
                        independently supportable for RCRA  ;
                        purposes, and is now effective ..- ...
                        regardless of changes made by NFPA.
                        L Integration With Other Acts
                          1.  Underground Injection Control
                        Program. The final RCRA interim status
                        standards regulate the underground  .
                        injectipn of hazardous waste until these
                        activities receive a permit under a State
                        UIC program approved or promulgated
                        under the Safe Drinking Wa ter Act ~
                        (SDWA). Thereafter, they will receive a
                        permit by rule under RCRA. However,
                        underground injection facilities typically
                        have above-ground treatment and
                        storage operations which are and will  '
                        remain subject to RCRA controls as  '
                        hazardous waste management facilities.  •
                        Thus, 'most of these facilities will
                        ultimately require both RCRA and UIC
                        permits. To facilitate the granting of
                        these permits, EPA has consolidated the
                       permit and.State program authorization
                       procedures for the two programs. These
                       consolidated procedures .will allow EPA,'
                       or a State, -if it has an approved.
   program, to process RCRA and UIC
.   permits together, thereby avoiding
   overlap and inconsistencies. (See the
   preamble discussion pri Siibpart A and
   on Subpart R—Underground Injection
   for more details on the integratiort of
   RCRA and SDWA.)               •  - .
     2.  Ocean Disposal Program; The
   disposal of hazardous: waste in the
   ocean is regulated under -the authority-of
   the Marine Protection, Research,  and
   Sanctuaries  Act. EPA has, therefo're, in
   Part  122 of the consolidated permit
   regulations,  granted these facilities a
   permit by rule to avoid duplicative
   regulation. However, most ocean
   disposal operations involve on-shore
   facilities which may store, or treat
   hazardous waste prior to ocean
." "disposal. These storage and treatment
   facilities are subject to these Section
  3004'regulations and will require a
  RCRA permit. Therefore, it will be   "
  necessary to coordinate the two EPA
  regulatory programs which have
  jurisdiction in this'area. In addition,
  where wastes subject to RCRA control
  are delivered directly to a barge or other
  vessel which conducts ocean disposal
  operations, such ves.sels will have to
  comply with  certain requirements, of   '
  RCRA. This is necessary to complete the
  manifest system. Thus, the owners of  '
  such  vessels  must notify the Agency'in '
 accordance with Section 3010 of RCRA
  and comply with the manifest
  requirements. The permit by rule
  provisions of Part 122 make these
  obligations clear.       .      -
   3. NPDES Permitted Facilities.
  Cdmmehters  raised three major issues
  with regard to the coverage of NPDES
  permitted facilities and their wastes
  under RCRA; These are discussed  in •
  turn below. One, commenters
 questioned the exclusion of POTWs
 from regulation under Section 3004.
 Proposed § 250.40(c)(3) required that
 POTWs that received hazardous waste
 by truck or rail comply only with the
 manifest system; other POTWs were not
 subject to Subtitle C at all because     ;'
 mixed industrial and domestic sewage
 waste streams were'considered
-"domestic sewage." and' thus not "solid
 waste." Two.  commenters questioned
 the inclusion,  as facilities subject to
 Section 3004 regulations, of industrial
 wastewater treatment train facilities
 with discharges permitted under Section-
402 of ;the Clean Water Act; and three,
 commenters questioned the exclusion of
sewage, sludge from regulation as a
hazardous waste, as proposed "in
 § 250.10(d)(2)(iii). The Section 3001
preamble analyzes and responds to '
these comments in some detail because
all three issues depend on whether

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                Federal Register  /  Vol.  45, No. 98 / Monday, May 19,  1980 /Rules and Regulations       33173
   Act. in the list of statutes whose
   regulatees are excluded from RCRA
   regulation to the extent such regulation
'.  is "inconsistent" with the other. Act.
   This statutory structure grants
   considerable discretion to the
 .  Administrator in choosing which statute
   to rely upon for the most efficient and
   effective control of hazardous wastes
   affecting file air.
    The hazardous pollutant provisions of
   the Clean Air Act require the use of
   certain procedures for each pollutant
 .  regulated. Because wastes are usually
   complex mixtures of many materials,
   hazardous waste facilities atn capable
.   of. emitting thousands of different
   substances to the air, many of which are
   toxic. The procedures of the Clean Air   •
  Act would be a less efficient way to
  control a large number of hazardous air
  pollutants than RCRA, under which
  design, operation, or performance
  criteria (such  as incinerator destruction ,
  efficiencies) can be set more easily for
  the many pollutants emitted by
  facilities. Therefore, the Agency has
  chosen-RCRA as; the primary vehicle for
  controlling air emissions  from.hazardous
  waste facilities.
    In developing regulations to control
  air emissions from hazardous waste
  facilities, the Agency's greatest
  challenge has  been in correlating waste
  .Volatility characteristics with potential
  air emission hazards. As stated earlier
  in this preamble, EPA has thus far been
  unable to develop a protocol for
  predicting hazard potential based on the
  volatility of a waste, but is continuing its
  investigations.
   6. Toxic Substances Control Act. Final
  rules regarding disposal and marking
  requirements for polychlorinated
  biphenyls (PCBs) were promulgated on
  February 17,1978, and'May 31,1979,
  under Section 6(e) of the Toxic   ••••
  Substances Control Act (TSCA). Those
  rules are intended to protect the
  environment from further-contamination
  resulting.frora improper handling and
  disposal of PCBs.
;' Because of the potential overlap
 between  the RCRA hazardous waste
 management standards and the TSCA
 PCB marking and disposal regulations,
 the Agency solicited comments in the
 preamble to the proposed RCRA
 regulations on how it should manage  the
 TSCA PCB regulations (and by,  .
 inference, other specific toxic w.as.tes)
 vis-a-vis the'RCRA regulations. Most
 commenters were equally divided
 between two positions;.   .
   (1) Publish the TSCA PCB and RCRA
 regulations independently and exempt
.PCBs from RCRA requirements, or
  :  (2) Merge the PCB rules with the
  RCRA standards and co-promulgate
  them.      :          •
    To minimize confusion and the burden
  on the regulated, community, the Agency
  has tentatively determined that
  wherever possible, hazardous waste
  management control will be covered
  under RCRA. It has not been possible to
  complete this task to date, but the
  Agency expects to incorporate the
  TSCA PCB disposal regulations into the
  Phase H RCRA regulations.
    Special disposal requirements for
  specific wastes will, in the future,
  normally  be proposed as an amendment
  ,to these.RCRA regulations but may be  •
  co-promulgated under TSCA authority.
    7. Surface Mining Control and
 "Reclamation Act. The Office of Surface
 • Mining (OSM) of- the-Department- of. the- -
  Interior administers the Surface Mining
  Control and Reclamation Act (SMCRA).
  The primary purpose of SMCRA is to
  protect the environment from the effects
  of Surface mining of coal, although
  surface disposal of underground coal
  mining waste is also covered..Thus there
  is overlapping authority with RCRA. The
  Agency is negotiating an agreement with
  OSM whereby RCRA control of coal
  mining wastes would be deferred to
  OSM. Such an agreement will be based
 on a determination by EPA that the
 SMCRA regulations provide control
 equivalent to that which RCRA would
 impose. In anticipation of such an
 agreement, ,the Agency has. deferred
 regulation of coal mine waste under   -
 RCRA.      '
   8. National Environmental Policy Act.
 The National Environmental Policy Act
 (NEPA) requires the preparation of a
 statement  which considers ,
 environmental impacts, alternatives.  ...
 a'nd resource commitments for any
 "major federal action significantly
 affecting the qualify of- the human
 environment." At least ten appellate
 decisions have considered the
.applicability of that requirement to EPA.
' All ten have concluded that the Agency
 is exempt frdm the requirements of
 NEPA because its own processes
 provide for the "functional equivalent"
•of that Act. These analyses are
 concisely summarized in State of
Maryland  v. Train, 415 F. Supp. 116,122
 (D. Md.. 1976):     '
  Where federal regulatory action is
circumscribed by extensive procedures,
including public participation, for evaluating
environmental issues and is taken by an
agency with recognized environmental
expertise', formal adherence to the NEPA •
requirements is not required unless Congress
has specifically so directed.

  These Subtitle C regulations have
been developed through an extensive  \: •
  evaluation of environmental issues. This
  was specifically.required by the
  statutory mandate to consider what
  mighf'be necessary to protect human
  health and the environment," and by the
 . Agency's developed environmental
  expertise and concern. That evaluation
  underlies this preamble and the  "
  Background Documents prepared to help
  develop specific sections of these
  regulations. Extensive public
  participation at many public meetings,'
 , following pre-proposal circulated drafts,
  and in hundreds of comments, helped
• the Agency in evaluating environmental
  issues raised by these regulations..
  Federal, State, and local agencies all
  participated in this-process. Congress,
 • well aware of-the "functional      '   '  .
  equivalency" rule, did not alter that
  status in the RCRA statute. Thus the
  Agency is notbound by NEPA's
  requirements. The Agency has, however,
  voluntarily prepared an Environmental'
  Impact Analysis which will  be available
  to the public in EPA Headquarters and,.
  Regional-libraries.                  '
  M. Special Wastes
   The proposed regulations  established
  a class of solid wastes for which, if
  hazardous, application of the full set of
  Subtitle C standards was deferred.   :
 These solid wastes, called "special
 wastes" were cement kiln dust, utility
 was1e<(ashes and sludges), phosphate
 rock mining and beneficiation  wastes,-
 uranium and other'mining wastes, and
 gas and oil drilling muds and oil
 production brines.,For hazardous
 portions of these solid wastes, a very
 limited subset of the Subtitle C
 standards''was to be applicable pending
 completion of studies defining  the most
 appropriate.waste management
 'practices.     ",•'.'•
   When the proposed rules were issued,
 the Agency had only limited information
 on these wastes. However, the  -
 information the Agency did have
 suggested that application of the full.set
 of proposed waste management
 standards would not be appropriate.
  The attributes of these wastes which
 caused the Agency to reach this
 conclusion were:              •
  (1)  The total annual quantity of each.
 of these wastes (both hazardous and   '
 non-hazardous portions) was very large,  •
 and individual disposal facilities tended
 to involve.very large piles or ponds.
 Should large volumes of the wastes be   -
 hazardous, "the size of the facilities could
 have  made the. application of some of
 the regulations technically infeasible or
 unpracticable.       .-'•'.
  (2)  Any portions o'f the wastes which
 did-fail the proposed hazardous waste,
 characteristics were thought to be on the

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   33174
Federal  Register 7 Vol. 45. Na98  /  Monday. May 19, 1980 /Rules and-Regulations
   margini of failure. Thus the hazardous
   portions of the wastes appeared to have
   relatively low intrinsic hazard relative
   to other wastes. However, the Agency's
   data base was very limited. -
     (3) The Agency did not believe that it
   had sufficient information to propose.
 .  specific alternate waste management
   requirements without additional study.
     The Agency's proposed approach to
   special wastes generated widespread
   and divergent protest from bofh the
   regnlated community and the public.
   Commenters generally objected either to
   the concept of the special waste
   category or to the need for. or the
   sufficiency of. the limited standards
   proposed for that category. Many
   commenters identified other solid
   wastes which they urged also be defined
   as special wastes. The major comments
   were:
    (1) EPA should not regula te these
  wastes at all unless it can demonstrate
  that the wastes, as presently managed,
  pose a significant threat to human
  health and the environment.
    (2) Many of the limited standards
  proposed are not suitable for these
  wastes because of the low hazard and
  large volume of the wastes. The
  requirement for facility security was a
  particular target of criticism.
   (3) The stigma of singling out these
  wastes and regulating the hazardous
  portions under Subtitle C will impact
  negatively on the potential for their re-
  use.
   [4) The singlinglotzt ofonly these few
  hazardous wastes for special favored
  treatment is inequitable when there are
  other wastes with similar characteristics
  which must bear the full regulatory
 burden. Commenlera suggested about 50
 additional wastes to be added to the
 special waste category.
   (5) If these wastes (or portions
 (hereof] fail the 3001 characteristics.
 then they pose significant hazards to
 human health, and the environment and
 therefore should be regulated like any  •
 other hazardous waste.
 Several commenters recommended
 alternatives to the special waste
 category:
   (1) The Agency should replace the
 special waste category with a variance  '
 procedure -involving public participation.
   (2) The standards for a given waste
 should be determined on a case-by-case
 basis with requirements specified in the
 permits for each facility and location.
 The thrust of many of the comments was
 universal disapproval of the special
 waste category as proposed.
  In the course of its consideration of
 the comments, including proposed
additions to the  special waste  category,
                          EPA made two significant changes in
                          the basic structure and content of the'
                          Subtitle C regulations. These are (1)
                          changes in the toxicity and. corrosivity
                          hazardous waste characteristics under
                          Part 261 which narrow the 'category of
                          waste which will be brought into
                          Subtitle C by these characteristics, and
                          (2) the incorporation of significantly
                          more flexibility, through phasing and
                          standard-setting, in the Parts 254 and
                          265 regulations. The Agency now has   •
                          concluded' that these changes,
                          accomplish the objectives of, and
                          eliminate the need for, a special solid
                          waste category. •                    -
                           1. Changes In, the Section 3001
                          Characteristics. In response to
                         comments, the toxicity and corrosivity
                         •hazardous waste characteristics.have-
                         been modified and now include more
                         demanding conditions for defining a
                         hazardous waste. In the proposed
                         regulations, a waste would have been
                         considered hazardous under the toxicity
                         characteristic if the extract from that
                         waste (obtained through the defined
                        •Extraction Procedure) contained any
                         hazardous constituents in the Primary
                         Drinking Water Standards (PDWS) at a
                         concentration of more than 10 times the
                         PDWS limit*. In the final regulations, the
                         characteristic concentration bringing a
                         hazardous waste under regulation has
                         been increased from 10 to 100 times the
                         PDWS. Thus, waste extracts must
                         Contain a tenfold higher concentration of
                         one of the PDWS substances than
                        originally proposed in order' for the
                        waste now to be brought under Subtitle
                        C control by that characteristic. The
                        reasons for the change in this
                        characteristic are explained in the
                        Toxicity Characteristic Background
                        Document.
                          The upper and low'er limits of pH
                        which define a hazardous  waste also
                        have been revised in response to
                        comments so that the corrosivity
                        characteristic now is more demanding in
                        signaling a waste as hazardous. The
                        basis for this change is explained in the
                        Corrosivity Characteristic Background
                        Document                        .   "
                          These changes have had two
                        important effects on the special waste
                        concept One is that a much smaller
                        portion of the proposed special solid
                        wastes are expected to fail the
                        characteristics and be subject to control
                        as hazardous wastes. The data available
                        to the Agency indicate that most of the  •
                        special wastes that would have entered
                        the control system would have dene so
                        due to toxic extracts between 10 and 100
                        times the PDWS. Thus, the probability
                        that large volumes of the proposed
                       special solid wastes will be hazardous
   now appears remote. Second, those
   portions of the proposed special soi
   wastes which'do rail the character!
   can no longer be labeled "low hazs
   wastes. Thus the concern over the
,   inapplicability of.th= proposed
   regulations to, hazardous special wastes
   due to the potentially large volume and
   low lex-el of hazard of these wastes is
   not a valid concern in the final
   regulations.
    2. Phasing end Increased Flexibility
   in Parts 264 and265. To the extent that
   spedal'accommodation for any of the
   hazardous portions of these wastes may
   still be needed, the second major
  regulatory change, i.e.. the incorporation
•  of more flexibility In the hazardous
  waste management requirements
  through regulatory changes and phasing
  of requirements, will accomplish
  essentially the same.result as the
  proposed special solid waste category.
  This is  true for the hazardous portions of
  those wastes proposed as special solid
  wastes as well as for all of the wastes
  that commentersjsuggested should be
  special solid wastes.
    The new three-stage regulatory
  process itself provides the same
  opportunity for phased regulation as the
  creation of the special waste category.
  Initial regulations under Phase I
  standards include administrative ^
  limited technical requirements whic,_
  provide a basic level of environmental
  protection similar to that provided in the
  limited standards proposed for the
  hazardous portions of special wastes.
   The plans for Phase II of the
 regulations will allow hazardous waste
 facilities to be permitted largely on the
 basis of performance.standards coupled
 with the "best engineering judgment" of"
 the Regional Administrator. This
 flexibility will allow the permit writer to
 consider site- and waste-specific factors
in determining specific design and
operating permit requirements. Thus,
unnecessary or overly stringent
requirements should not be forced upon
any hazardous wastes by the
regulations. To  the extent the Agency
becomes aware of the inapplicability of
certain requirements on a site- or waste-
specific basis, it.is committed to making
needed,regulatory changes as quickly as
possible. In addition, the Agency plans
to gather further information both on the
proposed special solid wastes and on at
least some of the wastes suggested by
commenters as special solid wastes, and
where needed, develop technical
standards or guidance specific to these
wastes in the Phase III regulations and
thereafter. Additional data and
information on these, as well as the
other solid and hazardous wastes the

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Federal Register./ Vol. 45. 'No. 98 /  Monday. May 19.  1980 / Rules and Regulations
                                  33175
    Agency is studying also will be useful in
    issuing best engineering judgment'
 .   permits under the'Phase II Section 3004
    regulations. ' •' .               .
  .   In consideration of all of the above
    factors, the Agency has concluded that
    the special solid waste category is no
    longer necessary. It has been eliminated
    in these final Phase I regulations. Those
   portions of the six proposed special
   wastes which are determined by the
   characteristics to be hazardous will be
   subject to the  applicable Part 264 and
   265 regulations.
     The Agency is, however, temporarily
   delaying imposition of the regulations
   for two of the  wastes EPA originally
   proposed as special solid wastes, i.e., pil
  •and gas drilling muds and oil production
,   brines", and utility waste. This temporary
   deferral is in response to action by
   Congress to exempt these wastes from
   most Subtitle C regulation for a limited
   time pending completion of certain EPA
  studies. Congress has not yet completed
  action on the amendments which Would
  mandate this deferral. However, bills
  have been passed both in the House and
  Senate. indicating,strong Congressional
  intent to mandate a deferral of
  regulations for these two proposed
  special, solid wastes.           :
    In the absence of a regulatory deferral
  by EPA. the hazardous portions  of these
  wastes would be subject to the
  requirements of the regulations on their  .
  effective date. In order to be in
  compliance by  the effective date, the
  facilities handling these wastes would
  need to take certain actions soon.  '
  involving possibly significant
  expenditures, which could then be
  halted in mid-stream by final
  Congressional action. In EPA'a view.
  such a situation would be inefficient and
 counterproductive. Therefore. Part 261
 defers the effective date of the
 regulations for the hazardous portions of
 the proposed oil and gas and utility
 special wastes.  The other proposed
 special solid wastes are the subject of
 bills which have passed either the
 House or the Senate, but only the oil and
 gas and utility waste deferrals are
- contained in both the House and  Senate
 bills. EPA is not presuming the outcome '
 of the additional proposed deferrals, but
 will, where necessary, amend Part 261
 regulations after the  currently proposed
 amendments to RCRA are finally acted
 on by Congress.

 V. Detailed Analysis of Phase I Rules
A. Subpart A—General           '
   Subparts A of  Parts 264 and 265
contain requirements under three
fgeneral headings. The first is "Purpose
Scope, and Applicability" (§§ 264.1 and
                          265.1). These provisions explain who 'is
                          subject to the regulations in the Part,
                          and whether there are .any
                          circumstances under which a person is
                          excluded from coverage by the
                          regulations or subject only to limited
                          requirements. The second section in Part
                          264 (§ 264.3) explains the relationship of
                          Part 264 requirements (which EPA.has
                          termed "general standards" or
                        ' "permitting standards") to Part 265   •
                          requirements (the "interim status
                       .   standards"). Section 285.1(b) is the'
                          counterpart of 5 264.3. It explains that
                          the Part 265 regulations, rather than the
                          Part 284 regulations, are applicable to  an
                          owner or operator who has fully
                          complied with the requirements for
                         interim.status under Section 3005(e) of
                         RCRA, and who has notiadlinal	
                         administrative actionMaken on his   -.
                         permit application. Sections 264.4 and
                         265.4 notify people who handle  •
                         hazardous waste that imminent hazard
                         actions may be brought notwithstanding
                         any other provisions of the regulations.
                         Each of these sections is discussed in
                         detail below.'
                          1. Purpose, Scope, and Applicability.
                         The content of this section has  changed
                         substantially from the proposal. This   -
                         preamble discussion explains the final
                         requirements, and,  in addition, contains
                         a table showing the correlation of each
                        of the paragraphs in proposed 5 250.40
                        with the'final regulations.
                          . Paragraphs (a) of §§ 284,1 and 265.1
                        set forth the purpose of the Section 3004 -
                        regulations and are self-explanatory.
                          Paragraphs (b) of § § 264.1 and 285.1
                        state the general applicability of the
                       •regulations, which is to all owners and
                        operators of facilities that treat, store, or
                        dispose of hazardous waste (TSDFs),
                        except as specifically .provided
                        otherwise in the Parts 284, 265, or 261
                        regulations.
                          Paragraphs (c) through (g) of § 264.1
                        and paragraph  (c) in' § 265.1 delimit the
                        general applicability of the regulations.
                        In addition, each Subpart in Parts 264
                        and 265 contains an applicability
                        section. Some of these special
                       applicability sections now merely refer
                       back-to the requirements in § § 264.1 and
                       265.1. but Subparts F.through R of Part
                       265 contain applicability sections which
                       limit the applicability of the
                       requirements in those sections to certain
                       kinds of facilities. .The requirements in
                       Subpart N of Part 265, for example,
                       apply only to owners and operators of
                       facilities which dispose of hazardous
                       waste in landfills (which include waste
                       piles used as disposal facilities).
                         a. Ocean Disposal. Paragraph (c) of
                       § 264.1 states that the requirements of   '
                       Part 264 apply to a person disposing of
                       hazardous waste by means of ocean'
   disposal .subject-to a permit issued
   under the Marine Protection, Research.
  'and Sanctuaries Act (MPRSA) only to
   the extent they are included in a RCRA
   permit by rule granted to such a person
   under Part 122 (i.e., .the RCRA Section
   3005 regulations). The preamble \o the
   Part 122 regulations explains the basis
   of EPA'* decision to issue such persons
   RCRA permits by rule. Basically, EPA
   has found that compliance with an.
   ocean dumping permit  issued under 40
   CFR Part 220 (Ocean Dumping under
   MPRSA) provides the human health and
  •environmental protection mandated by
   RCRA. Persons carrying out such
   disposal, however, must comply with
  certain-recordkeeping arid reporting
  requirements which are necessary for
  EPA to ensure that the "cradle-to-grave"
  management system for hazadous waste
  established in RCRA tracks all
  manifested hazardous waste.
    Paragraph (c)(l) of § 265.1 excludes  .
  persons disposing of waste by ocean
  disposal subject-to a MPRSA permit
 - from coverage under Part 265 {interim
  status standards). The Part 285  ..  .
  requirements never apply to such people
  because on the effective date of RCRA
  regulations persons disposing of
  hazardous waste in accordance with
  MPRSA permits automatically receive  •
  RCRA permits by rule which require
  them to comply with selected Part 264
  requirements.
    Treatment or storage of hazardous
  waste before it is loaded onto an ocean
  vessel for incineration or disposal at sea
  is covered by the Parts 284 and 265  v "
  regulations because MPRSA offers no
  regulatory scheme comparable to RCRA
  for such facilities.
   b. Underground Ir.jection: Coverage
  under RCRA of persons disposing of
  hazardous waste by underground
  injection is complicated because,    -,- ..
  depending on the circumstances, such
 persons are subject to regulation (1) by
 RCRA Part 265 standards, (2) by RCRA
 Part 264 standards, (3) by State
 standards  effective under an authorized
 hazardous waste program (under
 Section 3006 of RCRA, 40 CFR  Part 123
 Subparts A, B, and F), (4) by State
 standards  effective under an approved
• underground injection control program
 (under the  Safe Drinking  Water Act
 (SDVVAj. 40 CFR Part 123, Subparts A
 and C),'or (5) by Federal standards in a
 State with  an EPA promulgated
 underground injection control program
 under SDWA. The preamble to the Part  '
 122, Subpart C, regulations explains
 these various regulatory schemes, and
 their statutory underpinnings. Because
 Section 3004 of RCRA requires  that all
 owners and operators of facilities which

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   33176       Federal Register / Vol. 45. No.  98 / Monday, May 19. 1980 / Rules and Regulations
   treat, store, or dispose of hazardous
   waste must have a RCRA permit, these
   Section 3004 (Parts 254 and 265)
   regulations and the Section 3005 (Parts
   122 and 124) regulations so provide.
    Part 265 standards (as stated in
   § 285.1(c){2)) do not apply to persons
   disposing of hazardous waste by means
   of underground injection subject to a
   permit issued under an Underground
   Injection Control Program approved or
   promulgated under the Safe Drinking
   Water Act That means that the Part 285
   interim status regulations do apply to
   persons disposing of hazardous waste
'«by underground injection who have met
   the Section 3005(e) requirements for
  interim status and who either (1) do not
  have such a SDWA UIC permit, or (2) do
  not have a RCRA permit and are
  injecting hazardous waste underground
  in a State without an authorized RCRA
  program th'at covers underground
  injection.
   Part 264 requirements (see § 264.1(d)}
  apply to people disposing of hazardous
  waste with permits issued under an UIC
  program approved or promulgated under
  SDWA only to the extent that they are
  included in § 122.45 (Requirements for
  UIC permits for wells injecting
  hazardous wastes). The same reasoning
  that applies to hazardous waste disposal
  under an MPRSA permit applies to
  SDWA UIC permits. Although all of the
 technical requirements for waste
 disposal by means of underground
 Injection have not yet been promulgated
 under the Safe Drinking Water Act, EPA
 is including this section to state its
. intention to issue a RCRA permit by rule
 to persons.who meet SDWA
 requirements. EPA will insure that the
 combination of UIC technical
 requirements, and 5 122.45. which
 incorporates appropriate requirements
 from Part 264 for underground injection
 of hazardous waste, meets RGRA's
 human health and environmental
 protection mandate.
   The Implication of § 2B4.1(d) is that
 until an underground injection facility
 receives a SDWA UIC permit, it is
 subject to RCRA interim status •
 standards (if the owner or operator has
 met the requirements of Section 3005(e)
 of RCRA) or must have a RCRA permit.
 EPA intends, as part of its Phase II
 Section 3004 regulations to promulgate
 technical requirements that can be used
 to issue interim (two year) permits to
 Class I (and perhaps Class IV)
 underground injection wells. Until then,
 or until permitted by a SDWA UIC
 program, all hazardous waste disposal
 by underground injection is governed by
 the RCRA interim status standards. See
 the discussion of the Subpart R
  standards in this preamble for an
  explanation of those requirements. EPA
  believes that this system will ensure
  that underground injection of hazardous
  waste is carried out in accordance with
  the purposes and requirements of both
  RCRA and SDWA, while avoiding
  unnecessary dual regulation. For a more
  detailed discussion of this issue, see the
  preamble to Part 122,  Subpart C..
    As with on-shore facilities associated
  with ocean disposal, above-ground
  treatment or storage of hazardous waste
  associated with, an underground    '
  injection facility is covered by Parts 264
  •and 285 regulations. The Safe Drinking
  Water Act is designed to protect.
  underground sources of drinking water
  and does not have authority comparable
  to RCRA's to ensure human health and'
  environmental protection from all
  aspects of potential pollution (air,  land,
  surface., and ground water) from above-
  ground facilities that treat, store, or
  dispose of hazardous waste.
   c. POTWs. As discussed above in the
  section of this preamble on "NPDES
  Permitted Facilities," the regulatory
  definition of solid waste excludes
  hazardous waste that is mixed with
  domestic sewage and passes through a .
  sewer system to a publicly-owned
  treatment works. That exclusion is
  based on the legislative history of the
  Solid Waste Disposal Act. As discussed
  in the Part 122 preamble, EPA believes
  that the reasoning which led the Agency,
  to exempt such Hazardous waste mixed
  with domestic sewage  from the
  definition of solid waste, also applies to
  the decision of what, sort of RCRA
 requirements to impose on POTWs
 which receive hazardous waste which
 has not lost its character as solid waste
 (i.e.. hazardous waste which is
 discharged to the POTW by truck or rail,
 or through a pipe which carries only
 industrial waste).
   EPA will issue POTWs which receive
 hazardous waste a permit by rule. The
 Agency's reasoning is that the wastes
 will be placed in a facility subject to an
 extensive set of Federal regulatory  and
 subsidy provisions that should be
 sufficient to deal with any hazardous
 waste problems, in addition, this
 exemption for POTWs from most of the
 Section 3004 requirements is based on
 Congressional intent that EPA avoid
 disruption of the existing patterns of
 funding and operation of such facilities.
 Note, however, that in order for a •
 POTW to qualify for this permit by  rule,
 it must have and be in compliance with
• an NPDES permit, must comply with
 certain of the RCRA recordkeeping  and
 reporting requirements, and must meet
 all applicable Federal, State, and local
  pretreatment requirements'(such^
  requirements are applicable to tj"
  rail shipments of hazardous wa J
  as if they had come through a
  pipe, or similar conveyance).
    Paragraph (c)(3) of § 265.1 excludes
  the owner and operator of a POTVV that
  treats, stores, or disposes of hazardous
  waste  from coverage by Part 265.
  Paragraph (e) of § 264.1 provides that
  the requirements of Part 284 apply to.
  such owners and operators only when
  included in a RCRA permit by rule. This
  scheme is the'same as that described
  above  for ocean disposal in accordance
  with an MPRSA permit. The interim
  status  standards never apply to, POTWs
  because owners and operators of
  POTWs are required to comply with the
  Part 264 requirements which are
  included in their permit by rule.
   d. Authorized State RCRA programs.
  Paragraph (c)(4) of § 265.1 provides that
  the Part 265 requirements do not apply '
  to persons treating, storing, or disposing
  of hazardous waste in a State with a
  RCRA  hazardous waste program
  authorized under Subparts  A and B (i.e.,
 full authorization), or Subpart F (i.e.,
 interim authorization) of 40 CFR Part
 123. This  exclusion is provided in the
 regulations because Section 3006 of
 RCRA states that authorized St
 programs are to operate in lieu
.Federal program. Thus Federal
 requirements, as a general rule, do not
 apply in States with authorized RCRA
 programs. The exception to this rule is a
 State, with Phase I, but not Phase II
 interim authorization as discussed
 below-and in the preamble to Part 123,
 Subpart F. Pursuant to Section 3006 of
 RCRA and Part 123 requirements, a
 State program must be "substantially
 equivalent" to the Federal program  to
 receive  interim authorization; a State
 program must'be "equivalent,
 consistent, and provide for adequate
 enforcement" to receive full
authorization.
  Paragraph (f) of "§ 264.1 establishes the
same sort of general inapplicability of
Part 264 requirements as is established
for Part 265 requirements, with one
exception. The one exception is that
Part 264 requirements do apply in States
which have only Phase I interim
authorization. In such States, EPA
retains the authority to issue hazardous
waste permits because the State
program does not yet have that
authority.  Such a lack of State
permitting authority could last in a State
for a maximum of about nine monthjfc&s
noted in the Part 123 preamble  J
discussion of this issue, EPA wou,
rarely exercise this authority, but if fne
Agency  failed to  retain such authority,

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                 Federal Register /'Vol 45; No. 98 / Monday. May 19. 198O /  Ruleg and Reguta(ions
                                                                                                                  33177
    EPA would be in effect prohibiting the
    permitting of any facilities in such a
    State during that period. Because of
    Section 3005 of RCRA, no new facilities
 •   could begin operations. Because newer
    facilities, subject to full Federal
    requirements,  generally will be the
    better facilities, such.a result certainly
    seems anomalous, particularly in light of
    the current shortfall of environmentally
    acceptable hazardous waste
    management facilities in the United
    States.                   .
     There is one additional aspect to the
    applicability of Parts 264 and 285 in
   States with authorized RCRA programs..
  . That is the regulation of hazardous
   waste disposal by underground injection
   in such States.  As mentioned briefly
   above, and as discussed |n the Part 123
   preamble. States seeking authorization
   to operate RCRA hazardous waste
 .  programs in jieri.of the Federal program
   Will have an option to include coverage
 ,  of underground injection facilities. If a
   State, which receives interim or full     •
   authorization chooses not to regulate
   underground injection under'its RCRA
   program (prior to the opportunity to
   receive approval for a State UIC
   program under the Safe Drinking Water
  Act), the Parts 264 and 285 requirements
  will remain effective for underground
  injection facilities in that State. EPA
  realizes such a result will subject
  underground injection facility owners
  and operator* to regulation by both
 State and Federal «g«ncUs, but sees no
 raal altamatival EPA do*w not believe
 that it ihould mandate that State RCRA
 program* include coverage of
 underground injection facilities. No such
 requirement was proposed with the
 State authorization requirements, and
 such a decision could, disrupt the  >
 progress many States have been making
 towards developing all of the legislative
 and regulatory authority necessary to   •
 receive interim or full authorization
 underRCRA.Ontheotherhand.it
 seems fair and reasonable to give States
 the chance to include such facilities in
 their programs because if a State has
 sufficient authority, a facility owner or
 operator then need deal only with the
 State.     . '               •  .
   e. Part 261 Exclusions, Including
 Small Quantities of Hazardous Waste.
 and Recycled or Re-used Hazardous
 Waste. Sections 264.1 and 265.1 both
 provide that Parts 264 and 265 are not  .
 applicable if specifically-provided
 otherwise in 40 CFR Part 261. Part 261
 covers the identification and,listing of
 those solid wastes which must be
 handled as hazardous waste according
,Eo the standards established by EPA
 under Sections 3002 through 3005
    Among other things. Part 261 contains
   'regulatory definitions of solid waste and
    hazardous waste.;a list of materials
   .which are excluded from all or.a portion
    of certain Subtitle C requirements,' and
    establishes special requirements for
   generators of small quantities of
   hazardous .waste. Thus EPA believes it
   .is appropriate for the Parts 264 and 265
  • requirements to refer people to the Part
  ' 281 regulations which Designate which
   wastes are within Subtitle C control.
   when those wastes must begin to be
   managed in accordance with Part 262
   through 285 standards, and when a
   hazardous waste ceases to be  a
  . hazardous waste. The exclusions in
   § 281.4 (i.e., the statements of which
   materials are not solid wastes  and
   which solid wastes are not hazardous
   wastes] are hot included in the Parts 264
   and 265 regulations. Owners and
   operators of treatment, storage, and
   disposal facilities should read the Part
  .281 regulations-to determine to what
  extent the wastes they handle are
  subject to the Parts 284 and 265
  regulation*.  .       '
    EPAhas, in §5 264.1(g)(l) and
  281.1(c)(5). excluded from regulation
  under Parts 284 and 285 facilities
  permitted, licensed, or registered by a
  State to manage municipal or industrial
  solid waste..if the only hazardous waste
  the facility handles is excluded from
  regulation under the small quantity
  proriirfang of 5 281.5. Saction 281.5.
  among other things, exclude! certain
  small quantities of hazardous waste
  from regulation under Parts 202  through
  285, if the generator of those small
  quantities ensures delivery of them to a
  facility which has (1} interim status.' (2)
  a RCRA permit, or (3) is permitted.
  licensed, or registered by a State to
  manage municipal or industrial solid
  waste. To avoid the confusion that could
 result if this third category of facility
 were not specifically excluded from
 regulation in Pa.rts 264 and 265. EPA has
 provided an exclusion. The special
 regulatory requirements for hazardous
 waste produced byr small quantity
 generators are discussed in the
 preamble to Part 261 'and an
 accompanying background document.
   EPA also has referenced in Parts 264
 arid 265 (see | § 264.1(g)(2) and       •
 265.1(q)(6)} the exclusion from most
 Subtitle C requirements provided in
 § 261.6 for hazardous waste that  is used.
 re-used, recycled, or reclaimed/Such
 waste is subject to transportation and •
/storage requirements prior.to its re-use
 and reclamation and the provisions of
 § 261.6 which so provide are referenced
in Parts 264 and 265; Regulation of re-
   . used and recycled waste is discussed in
    the preamble to Part 261.
      f; Generators Who Accumulate On-
    Site. Farmers, and Totally Enclosed
    Treatment Facilities. The last three
    exclusions from Part 264 and 265
    requirements are two activities carried
    •on by certain generators of hazardous
    waste and one type of facility which
   'EPA believes need not be  subject to any
    RCRA Section 3004 requirements in
    order to ensure protection of human
    health and the environment.  ••        '
     .40 CFR-262.34 exempt's generators
    who accumulate hazardous waste on-
    site for 90 days or less (for subsequent' '
    shipment off^site) from the requirement
    to have  a permit, provided .they comply '
    with certain requirements that EPA1
    deems sufficient to protect human health
    and the  environment during that period.
   These requirements are specified in
    § 262.34. If a farmer disposes of waste
   pesticides in accordance with § 262.51,
   those wastes are exempt from all
   Section 3004 requirements. This is
   another  exemption made in the Part 262
   regulations which EPA is codifying in
   the Part  264 and 265 regulations to avoid
   confusion. Both of these exemptions are
   discussed in  the preamble.to the Part
   262 regulations (45 FR 12724-12732,
   February 28.1980)'and the.supporting
   material  for those regulations.       °
    The third'exemption is-for owners and
   operators of "totally enclosed treatment
 ,  facilities/' as defined'in 40 CFR 260^10.
   CommetJtws pointed out that in some
   production processes, wastes
  .(particularly acid and alkaline solutions)
  are treated,in pipes and other types of
•totally enclosed on-site facilities, often
  resulting  in a non-hazardous discharge.  •
    EPA agrees that to classify on-site
  "totally enclosed systems." such as
 .pipes, as  hazardous waste treatment   .-
  facilities and to require them to meet
  Section 3004 standards and obtain a
 -permit, would not. make a great deal of
  sense. Accordingly, for the reasons  •
  discussed belo'w under "Supart Q—
  Chemical. Physical, and Biological
 Treatment Facilities," EPA has
 exempted these facilities from regulation
 under Parts  264 and 265 and  from the-'
 requirement to obtain-a permit in Part
. 122. Persons.who handle hazardous
 waste in what they believe to be a
 "totally enclosed treatment facility"    :
 should carefully read the-definition of
 that term in  § 260.10.'
   2. Relationship to Interim Status
 Standards. Section 264.3 puts owners
. and operators of TSDFs on notice that
• they are-required to' comply with Part
 265 requirements, rather than Part 264
 requirements, if they have qualified for   '
 interim status under Section 3005(e) of
 RCRA and final administrative   •

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 33178
                                                           Monda,
                                      ._
 disposition of their permit application
 has not been made. Section 265.l(b) is a
 parallel requirement.      '
   3. Imminent Hazard Action. Sections
                                                                                      , _.          _    [  |
                264.4 and 265.4 put owners and
                operators of TSDFs on notice that
                notwithstanding any of the other
                provisions of those parts, imminent
hazard actions may alwavs'be br
pursuant to Section 7003 of RCR/
the statutory elements of such an
are established.
                                                    « 264.1 
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Federal Register /Vol. 45. No.  98'/. Monday. May 19.  1980 / Rules and Regulations
                                  33179
   B. Subpart B—General Facility
   Standards               •*.•-.••

   ,  Subpart B of both Parts 264 and 265
   contains a number of discrete sets of
   standards, each of which applies to   '.
   owners and operators of all hazardous
   waste facilities. The Subpart includes .
   require'ments for waste analysis.
   security, inspections, and training—all
• ' of which were contained in § 250.43 of
   the proposed rules.
     1. Identification Number. Sections
   264.11 and 265.11 of Subpart B contain a
   standard which requires that the owner
   or operator apply to EPA for an
   identification code. This requirement  /
'   was in the Purpose, Scope, and
   Applicability section of the proposed  ,
   rules. However, because the standard is
  ^applicable to all facilities, the Agency
  'believes that it is more logical to include
  the standard in the General Facility
  section of the final rules.
  ,  2. Required.Notices. Sections 264.12
  and 265.12 require that the owner or
  operator of a facility notify the Regional
  Administrator at least four weeks in
  advance, of the date of any shipments of
  hazardous waste from foreign sources.
  This requirement is a corollary to the
  proposed § 250.20(c)(3) standard, which
  required generators who ship their
  waste to foreign countries to inform the
  foreign government having jurisdiction
  over the facility to which  the waste is to
  be sent, The Agency believes that this
  requirement is necessary in order for
  EPA to effectively oversee tha
  transportation and management of
 hazardous waste imported to the United
 States,
   Sections 264.12 and 265.12 also require
 that, before transferring ownership or
 operation of a facility during its
, operating life, or of a disposal facility
 during the post-closure care period, the
 owner or operator must notify the new
 owner or operator of the RCRA Section
 3004 and Section 3005 requirements. The
Agency has added this requirement to
the final rules in order to minimize the
possibility that an unsuspecting b.uyer
may purchase a facility, not knowing
that this purchase entails his having to
comply with these Subtitle C
regulations. However! it should be noted
•that if the "old" owner or operator fails
to comply with this standard, the "new"
owner or operator is still required to
comply with all applicable RCRA
regulations, including those in Part 122.
establishing requirements for permits.
  Section 264.12 also requires the owner'
or operator of an off-site facility to     .
                          inform the generator in.writing that the'1
                         .' facility has the appropriate permit(s) for,
                         • and will accept, the generator's waste.
                          The Agency believes this provision,
                          which was suggested in the comments,
                          is necessary for the. proper functioning
                          of the manifest system, because Part 262
                          requires that generators send their  '
                          hazardous waste only to a facility with
                          appropriate permits for the waste (o~r to
                          facilities -whose owner or operator has
                          interim status). A written certification
                          by the facility owner or operator thus
                          assures the waste generator that the
                         requirements of Part 262 are satisfied.  It
                         also avoids the potential problem of a
                         generator designating a facility on the',,
                         manifest which has the appropriate
                         permits for his waste, but which has not
                         agreed to acceptlhe.waste	
                           The rest of'this section of the
                         preamble discusses the .comments
                         received on the proposed § 250.43
                         standards contained in  this Subpart.
                           3. General Waste Analysis. The
                         purpose of the proposed waste analysis
                         standards was to ensure that owners or
                         operators, possessed sufficient
                         information on the properties of the
                         wastes which they managed, to be able
                         to treat, store, or dispose of their waste
                         In a manner which would not pose a
                         threat to human health or the •
                         environment. The proposed standards ,
                         Included requirements which specified
                         the level of analysis to be performed on
                         wastes managed at facilities, the
                         minimum frequency with which 'these '
                         analyses were to be repeated, and the
                        properties of the waste which were to be
                        determined to verify the identity of each
                        truckload. shipment, or batch of
                        hazardous waste managed at facilities.   '
                          The Agency received many comments '.
                        -which stated that the generator should
                        be required to provide the owner or
                        operator with the information needed to
                        comply with the Section 3004 waste -
                        analysis standards, because the
                       • generator is more familiar, with the
                        properties of the waste than is the
                        owner or operator, and it would thus be
                        less expensive for'the generator to
                        conduct the required analysis. The
                        Agency believes, however, that although
                        many generators may be familiar with
                        the properties of the waste which they
                        generate, there are many companies
                        which generate waste about whose
                       properties the generators, know-very •
                       little. In the latter case, for those
                       companies lacking analytical equipment.
                       the cost of sending their waste to
                       commercial laboratories for analysis is
   comparable to the cost of analysis at '
   facilities with on-site labs, or.facilities
   which sub-contract their analytical
   work. In addition, many generators will
.   not have the "hands on" .knowledge of
   the information needed to treat, store, or
   dispose ofthe waste at any particular  '
,   type of facility. Owners or operators will
   necessarily be in a better position to use
   that knowledge. The Agency believes
   that the approach taken in the proposed
   rules (whereby owners or operators can
   either conduct the analysis themselves
.   or acquire the analysis from the
  'generator) provides as flexible and cost
   effective a means as  that suggested by
   the commenters, to ensure that owners
   or operators obtain the information   '
  .needed  to manage hazardous waste.  '
   .A number of commenters suggested
   that the regulations should specify that
  .the waste analysis required under the
  Section  3001 regulations satisfies }he
  requirements for waste analysis
  required under Section 3004. The
  Agency  does not agree with, these
  commenters because  the informtrtten
  needed to characterize a waste (as
  required in proposed § 250.13) may'
  overlap with, but is not identical.to.  the
  information needed to manage a waste
  (as required in proposed. § 250.43). For
  example, to treat a waste, one needs to
  know not only the chemical composition
  of the. waste, but also ,the compatibility  •
  of the waste with the techniques and
  chemical reagents used at the facility to
  treat the  waste. The waste analysis
  required  Under Section 3001 may not
  provide the latter type of information,
  and thus, does not fully satisfy the
 requirements for waste analysis     .  -'• '
 prescribed under Section 3004. However.
 the standard has been  revised to make it
 clear that data developed pursuant to
' Section 3001 may be included in the    •
 data base that the owner or the operator
compiles  to comply with the Section
3004 waste analysis standards.

   Several commenters felt that the
 nature and the scope of the required
 analysis should be more specific. The '
Agency purpo'sely wrote objective-
oriented waste analysis standards in
proposed § 250.43 because the
information needed to treat, store, or
dispose of waste differs depending on
the methods used to manage waste (e.g.,
the information, needed to incinerate
waste differs from that  needed to
neutralize waste). However, the A°ency
agrees that the regulations can be °
somewhat more detailed regarding the
standards for waste analysis. For this

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   33180       Federal Register / Vol. 45.' No. 98 / Monday. May 19. 1980 / Rules  and Regulations
   reason, in addition to the general waste.
   analysis standards which apply to all
   facilities, the final rules also include, in
   most technical sections of the
   regulations, waste analysis standards
   specific to the management method
   regulated in that particular section. For
   example, the § 265.345 standards for
   Incineration contain specific parameters
   (e.g.,-halogen and sulfur content and
   heating value) for which waste must be
   analyzed before it is incinerated. By
   including the more detailed
   informational requirements in the
   technical sections of the regulations,
   while leaving the more general
   requirements in the general facility
  section of the regulations, the Agency
  believes that the regulations are specific
  enough so that owners or operators will
  know what is expected of them, and yet
  are flexible enough so that an owner or
  operator will only be required to'
  conduct analyses which are appropriate
  for the management methods used at his
  facility.
    Several commenters objected to the
  minimum annual retesting requirement,
  stating that it was unnecessary to re-
  analyze waste when the owner or
  operator is confident that the properties
  of the wastes art unchanged.
    The Agency believes that the
  properties of most waste streams vary
  within the course of a year, and
  therefore most owners or operators
^  should re-analyze waste, at least
*  annually, to determine if such variations
  will influence the effectiveness of the
 method used at the facility to manage
 waste. However, if the owner or
 operator correctly believes that the
 properties of the waste which he
 manages will not change, then to re-
 analyze the waste would be an
 unnecessary expense. Therefore, the
 minimum annual retesting requirement
 has been deleted from the revised rules.
 However, the regulations do require
 that, at a minimum, waste must be re-
 analyzed (1) when the owner or operator
 is notified, or has reason  to believe, that
 the process or operation generating the
waste has  changed in a way that would
lead him to believe that the hazardous
property or characteristics of the waste
would change, and (2) for off-site
facilities, when the results of the
verification analysis required in
§§264,13 and 265.13 indicate that the
composition or characteristics of the
waste do not match the identity of the
waste designated on the accompanying
manifest.                ,
   Objections were also raised regarding
the requirement to analyze waste for the
four properties specified in proposed
§ 250.43(h)  (i.e. physical appearance,
   specific gravity, pH, and vapor
   pressure), because analysis for these
  . properties is not appropriate for all
   categories of waste. Many commenters
   also felt that to require owners or
   operators to sample each truckload of
   waste for these four properties was
   unreasonable for multiple truckloads of
   waste which have uniform physical-and
   chemical characteristics'.
    The Agency agrees that measuring for
   the four properties specified in proposed
   § 250.43(h) may be inappropriate for
  certain categories of waste and may be
  unnecessary for multiple truckloads of
  uniform waste. Therefore, the four
  properties have been deleted from the
  waste analysis standards. Instead, the
 • final rules require that owners or,
  operators develop and follow a waste
  analysis plan whidrspecifies the tests
  to be used, and the frequency with
  which these tests will be conducted, to
  determine the identity of incoming
 waste managed at the facility. The plan
  must be prepared and followed during
  interim status. The Regional
 Administrator may request the plan at
 any time after the effective date of these
 regulations. The Agency also will review
 the content of the plan when it evaluates
 the faciliry's permit application. Where
 the Regional Administrator believes that
 the facility's waste analysis plan is
 inadequate, he will require that the plan
 be modified to include procedures which
 he believes are  appropriate to determine
 the identity of incoming waste to the
 facility.
   In addition to the procedures used to
 determine the identity of incoming
 waste, the final  rules also require that
 the faciliry's waste analysis plan .
 describe:
   (1) the parameters for which.each
 waste will be analyzed in the detailed
 chemical and physical analysis required
 for each waste managed at the facility;
   (2) the test methodato be used to test
 for these parameters; and
   (3) the sampling methodology which
 will be used to obtain representative
 samples of the waste to be analyzed.
   The Agency believes'that the
 requirement for developing and
 maintaining a-waste analysis plan will
 not only allow owners or operators to
 tailor their waste analysis procedures to
 the type of wastes and techniques which
 the facility uses to menage these wastes,
 but will also provide tne Agency with,a
 review mechanism which will encourage
 owners or operators to conduct thorough
 analyses of the wastes which they
 manage. Compliance with the self-
 developed waste analysis plan, as with
 the other plans required in these
regulations, is a separate, enforceable,
regulatory requirement.
    EPA is promulgating waste analysis
  requirements in Part 265. but \\ ~**^L
  .comments on their appropriate!-
 • interim status standards becau!_ .,
  were not specifically proposed as
  interim status standards.
    4. Security. The purpose-of the
  proposed security standards was to
  prevent, the unknowing or unauthorized
  entry of people, or livestock onto the
  active portions of facilities. To        '
  accomplish this objective, the proposed
  rules included requirements which
  specified  the height of  the fence,  the
  means to  control  entry-at the gate, and
  the height of the letters on the warning
  sign which was to be posted at the
  entrance to the active portion of the
  facility. However, the proposed rules
  contained rather flexible variances from
  the.specific requirements for fences and
  signs.
    Most of the comments received on the
  security standards addressed the
  requirement for a six-foot fence. The
  majority of the commenters felt that the.
  standard should allow means other than
  a six foot  fence (or the alternatives
  specified in the ."note" to the standard)
  to prevent entry onto a  facility. Several
  commenters-suggested that the  standard
  be written in terms of a performance
  standard, and a few commenter
  that the implicit performance st
 in the proposed rules, which req
 the prevention of unauthorized entry
 Onto a facility, should be changed to
 require the deterrence of unauthorized
 entry onto a facility,'because'it is
 impractical to construct a non-climbable
 fence. In addition, a number of
 commenters suggested that facilities
 should not have to comply with the
 security requirements if the wastes are
 sufficiently benign so that people need
 not be kept away from the site.
 Furthermore, a few commenters pointed
 out that the active portion of a facility
 should not have to be surrounded  by a
 fence if the active portion is located
 within a facility or plant.that meets the
 security requirements!
  In response to these comments, the
 security standards have  been rewritten  '
 to include the general performance
 standard that a facility's security system -
 must prevent the unknowing entrv of
 people, and minimize the potential for
 the unauthorized entry of people or
 livestock onto the active portions of
 facilities. The final rules  contain two
 conditions for an exemption from the  •
 performance standard: (1) if
 unauthorized or unknowing entry ^
 not result in injury  to people or l.j
who. might enter the facility, and
such entry will not  result in injurjr
environment (e.g., as a result of

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:*
     disturb'ing the waste or the equipment
     within the active portion]. Because thesa
     two conditions are rarely concurrently
  .   satisfied, the Agency does not expect
   1  that many sites will be exempt from trie
     security requirements.  •
      To indicate how to comply with the
    general performance standard, a
    revision of the proposed fencing
    requirement has been provided in the
    final rules. The height of a fence, if used.
    is not specified, arid alternatives to
    fences are allowed. In addition, the
   standard has Been made more flexible •
   by allowing the use of an around-the-
   clock surveillance system, instead of the
   physical barrier (i.e., a fence) specified
   in the proposed rules, to control entry
   onto a facility. The Agency believes that
   a continuous surveillance system can  be
   as effective as a physical.barner to
   control access to the active portion
•   because, when an unauthorized person
   'approaches this area, facility guards or
   facility personnel can ensure that the
   person does not enter the active portion.
     The Agency agrees.that when access
   to the facility is already controlled by an
   adequate security system, to erect a
   fence or other barrier around the, active
   portion would not provide additional
   protection to human .health and the
   environment. Accordingly. EPA has
   clarified the regulations so that an
   owner or operator can demonstrate that
   the active portion of his facility complies
   with the security regulations, based
   upon the security system of the facility
   [or the manufacturing operation) within -
  which the active portion is located.
    In addition, a number of commenters
  pointed out that the proposed standard,
  which only required  signs'to be posted   '
  at  the gates to the active portion of the
  facility, could result in inadequate
  warning to unknowing persons
  approaching facilities where fences'are
  not used to control access to the facility.
  For .this reason, several commenters
>  suggested that the staridard-should
  require that sighs be posted in sufficient
  numbers to be seen from any approach
  to the active portion of the facility.
  , The Agency agrees that because the
  security systems (including fences) used
  to control access to facilities will not be
  impenetrable, signs should be posted
  along the periphery of the active portion
  to warn unknowing people that entering
 onto, the active portion is potentially
 hazardous. Therefore. EPA has taken
 the  commenters' suggestion and has
 revised the requirement for the
 placement of the warning signs..
 . Although the Agency rebeived no  '
 criticism of the four-inch lettering
 requirement for signs, the underlying  •'
 theme of the majority of the comments
 was,that the proposed security '
                                                                                                                  33181
    standards were too specific. Becanse the
    Agency believes that the four-inch
    lettering requirement may have beeji too
    inflexible, a more performance-oriented
    provision, which requires that the
    warning on the sign be legible from at
    least 7VZ meters (25 feet), has been<
    substituted for it "in the final rules/This
    new, approach will provide more
    flexibility.  .                     -
    » T*1^ Agency believes that because the
    "note" to the proposed standard
    provided a variance to the requirement
    for the statement: "Warning—
   Unauthorized Personnel Keep Out" on
   the sign, no comments were received on
   this aspect of the standard. The Agency
  .believes that a variance to the wording
   requirement should be retained in the
   final rules for existing signs, because it
   would be unnecessarilyrex'pensive to •
  "replace signs at facilities whidh do not '
  contain the exact wording specified-in
  the final standard, but which
  nonetheless give adequate,warning to
  unknowing people to stay away.
  However, to make sure that the new
  signs posted at  hazardous waste
  facilities are uniform, the Agency
  believes that they should contain the
  wording specified in,the standard.   .
  Therefore, in the final rules, the variance
  to the message on the sign only,applies
  to existing signs.
    In addition., the Agency has
  substituted the word "danger" for
  "warning" in the final rules. The reason
  for this change is that word "danger."
  more than "warning," indicates the
  potential for harm.   ,              ,
    5. General Inspection Requirements.
  §  250:43-6 of the proposed regulation-
  specified Seven parts'or aspects of a
  facility which owners or operators were
  required to inspect daily for specific •-
  signs of deterioration or malfunction.
  Owners or operators  were also required
  to record observations noted during the
  inspection in the facility's operating log.
   The Agency received many comments
 concerning the specific listing of
 required inspection items (i.e., dikes,   .
 fences, etc.) and the absolute
 requirement for daily inspections.
 Several of the commenters noted that
 for some of the listed  items (for
 example, fugitive emissions), the
 required inspections were either not
 applicable to all facility types, or Would
 be  impractical to  implement. Others
 noted that such a list could not include
 all  of the possible items which should be
 inspected. As for inspection frequency,
 many of'the comments argued that daily
 inspections are simply unnecessary
They pointed out that, in many cases.
the rate of deterioration is so slow (in
the corrosion of tanks, and the erosion
ot dikes, for example)  that occasional
    inspections are sufficient to reveal any
    problems long before failure occurs.
     The thrust of these comments was
    that the specific items to be inspected
    and the frequency of inspection should,
    be determined by the owner or operator
    on a case-by-case basis. The Agency
    agrees, and has revised the regulations
    to require the owner or operator,to
    develop and follow his own written
    inspection schedule. This w;ll be based
   on the facility's .criticial'processes,
   equipment, and structures, and on  the
   potential for failure.and the rate, of any
 ,  deterioration, processes (corrosion,.
  •erosion, etc.). which may  lead to failure.
 ': Compliance with the plan is a separate,
   enforceable regulatory requirement.
     During the permitting process,  the
   Agency will review the inspection.   :' ;
 •' schedule for its adequacy in'protecting
   human health and the environment, for  •
   comprehensiveness, and for consistency
  with inspection schedules for similar
  facilities. The Agency will also assist
  the owner or operator in- optimizing the
  efficiency and effectiveness of the
  schedule based on its  experience with
  similar facilities. During interim status,
  consultation and review with the
  Agency will not normally be required.'
    The Agency realizes that not all
  owners or operators are equally
  knowledgeable. Therefore. EPA has
  retained minimum specific inspection
  requirements, which include some
  obvious inspection points,, and some
  minimum frequencies for inspecting
  them. These requirements have been
 incorporated into the regulations for
 specific facility types (tanks/surface
 impoundments, etc.) to clarify how they  • '
 are .to be applied to these facilities.
    The final rules also require the owner'
 or operator to make a record of all
 inspections, and to keep it  on file for
 three years. In addition to information
 on the observations, this record must
 specify when the inspection was made;
 who made it, and when any repairs
 were made. The record can take the
 form of an inspection checklist; this
 would combine the recordkeeping with a  -
 useful inspection procedure. In any case
 the record will help assure  the Agency
 tha.t the owner or operator is in fact
 conducting inspections, and is making
 any needed repairs. Additionally, should
 an environmental or human health
 incident actually occur,  these records
 will help to reconstruct the events that    '
 led to it, and may also provide a
 valuable resource for any emergency
 decisions. As one incidental benefit, the
record will help management audit  the
reliability of equipment, the efficiency of  •
maintenance activities, arid the
effectiveness of the inspection schedule.

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   33182
Federal  Register / Vol. 45. No. 98 / Monday, May 19. 1980 / Rules and Regulations
     8. Personnel Training. The purpose of
   the proposed training requirements was
   to reduce the potential for mistakes
   which might threaten Human health or
   the environment by ensuring that facility
   personnel acquire expertise in the areas
   to which they are assigned. The
   proposed standards included
   requirements which specified the time
   by which facility personnel must obtain
   the training necessary to do their jobs,
   the records to be maintained at the
   facility of the training received by its
   employees, and the minimum frequency
   with which, the  initial training received
   by the employees must be reviewed. In
   addition, the  proposed rules required
   facility personnel to be familiar with the
   facility's contingency plan.
    Many of the comments received on
   the proposed  rules addressed the format
  and content of the required training
  programs. Some commenters  suggested
  that the standards allow in-house
  training programs and on-the-job
  training in place of the formal classroom
  instruction in  hazardous waste
  management required in the proposed
  rules. Several other commenters
  requested that the regulations specify
  the type, length,  and intensity of the
  course* of instruction to be administered
  to facility personnel.
   The Agency agrees that formal
  classroom instruction may not always
  be the best approach to training, and .
  that supervised on-the-job training ia a
  valid aubstitute for, or supplement to,
  formal instruction. Accordingly, the final
  training standards reflect the Agency's
 acceptance of in-house training
 programs and-on-the-job training as a
 means of complying with the training
 requirements. However, the content.
 schedule, and techniques to be used.in
 the  on-the-job training program must be
 described in the training records
 maintained at the facility and will be
 subject to approval during the permitting
 process. Compliance with the program
 described in the training records is a
 separate, enforceable regulatory
 requirement
   Given the variability in waste types,
 management processes, and employee
 functions at hazardous waste facilities.
 the Agency believes that it is neither
 necessary nor desirable to rigidly
 specify training courses in regulations.
 However, the Agency is preparing a
 training manual which will provide
 advice on desirable types of instruction
 for the various jobs carried out at
 hazardous waste management facilities.
  Several commenters were concerned
 that  the six-month period for complying
with the training requirements may be
too short, because there may be a
                          shortage of formal training programs in
                          hazardous waste management.
                            The Agency believes that its
                          acceptance of supervised on-the-jofa
                          training to achieve compliance with the
                          training requirements will help to offset
                          the problems caused b'y a possible
                          shortage of formal training programs.
                          Where formal programs are unavailable,
                          a facility can use in-house training
                          programs and supervised on-the-job v
                          training  fo provide the required training.
                          Because the majority of the Phase I
                          standards are non-technical (e.g., the
                          manifest and recordkeeping
                          requirements), the Agency believes that
                          most training can be conducted in-
                          house. When the Phase II standards "are
                          promulgated, facility personnel will
                          have another six months from the
                          effective date of the Phase II standards
                       •   to acquire the expertise needed to
                         comply with the additional standards.
                         Thus, the shortage in formal courses in
                         hazardous waste managment should not
                         cause facility personnel to miss the
                         deadline  by which compliance with the
                         training requirements must be achieved.
                           Commenters suggested that the six-
                         month "grace period" for untrained
                         employees should not be  extended to
                         employees hired after the effective date
                         of these regulations. Work and training
                         schedules may make that an impractical
                         requirement, but the Agency has
                        'decided, for safety reasons, to require
                         that untrained employees work  only in
                         supervised positions.  •
                           A number of commenters were also  •
                        concerned that the requirement  for
                        detailed written job descriptions might
                        lead to union grievances and arbitration.
                        For this reason, the commenters
                        suggested that the standard be revised
                        to allow the job descriptions to be
                        written in a manner similar to
                        descriptions for other similar positions
                        in the same company location or
                        bargaining unit
                          It was not the Agency's intent to
                        interfere in labor-management issues.
                        EPA's only interest in the job
                        descriptions of facility personnel is to  •
                        enable the Agency to determine if each
                        person is receiving a level training that
                        is commensurate with the person's
                        duties and responsibilities. Since the
                        Agency believes that the suggested
                        revision of the recordkeeping
                        requirement, will not diminish the
                        Regional Administrator's ability  to make
                        this determination, the standards have  '
                        been revised according to the
                        commenters1 suggestion.
                          Two other standards have now been
                        placed with the training requirements.
                       The first of-these standards specifies the
                       length.of time the facility must keep   '
                       training records. This requirement was
   proposed in the section of the
   regulations dealing with Manifest,
   Recordkeeping. and Reporting (§ 2j
   5). However, in order to reduce tbj
   to cross-reference within the     .-*»»•
   regulations,  the Agency has'decided to
   place all of the recordkeeping standards
  • jwhich deal with training into'the section
,   of the regulations on training. Similarly.
   the elements of the facility's emergency
   response procedures with which facility
   personnel must become familiar have
   •been incorporated into the training
   requirements.
     7. General Requirements for Ignitable,
   Reactive, or Incompatible Wastes. As
   discussed earlier, the Agency has added
   general requirements for handling
   ignitable. reactive, or incompatible
   wastes' in §'265.17 of the interim status
   standards. In the Phase II regulations.
   the Agency plans to amend Part 264  by
   moving § 264.36 to a new § 264.17(a),
   and by adopting § 265.17(b) as a new
'   § 264.17(b). Therefore, the Agency will
   use any comments oh § 265.17 for that
   purpose also.
    As  the present definition of
   incompatible wastes reveals, the
   problems posed by incompatible wastes
   fall into two general areas.,The first
   covers wastes which are incompatible
   with the materials containing them
   because 'they would corrode or
   otherwise cause the decay of thosej
   materials. The standards in the
  substantive regulations were  •**••     _^_
  from the proposed standards;for storage
  generally, tanks, containers, treatment
  generally, basins, and chemical,
  physical, and biological treatment
  facilities, and now are applied to waste
  piles as well, because they pose similar
  problems. The Agency has chosen
  slightly different solutions to these
  problems for containers, tanks and
  treatment facilities, and waste piles.
 'These solutions are discussed in the
- separate sections for these types of
  equipment or facilities.
   The  second  and broadest group of
  problems  is the potential for the creation
•  of harmful reactions or substances
  during the mixing of incompatible
•  wastes and the treatment of ignitable  or
 reactive-wastes..The proposed definition
 .of incompatible wastes. Appendix! to
 Subpart D of proposed Part 250, arid the
 Note to proposed § 2S0.45(c) indicated
 that a variety of substances and
 reactions were of concern. The present
 definition and  substantive regulations
 have been drawn from these proposed
 regulations with some modifications.
   The regulations and Appendix V have
 been coordinated, as suggested in part..
 by one  commenter. Several standard '"
 have been deleted. The part of the
 proposed definition concerning the

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                Federal,Register / Vol. 45. No. 98 / Monday.  May 19. 1980,/  Rules and Regulations
                                                                         33183
   volatilization of ignitable and toxic
   chemicals has been partly subsumed
   into the parts covering production of
   flammable or toxic fumes and gases. As
   explained elsewhere,.further regulation
   of volatile waste is being postponed.
   The part of the proposed definition
•   covering shock-sensitive, friction-
   sensitive, and similarly unstable
   substances has been deleted because
   reactive substances are adequa tely
   covered in the sections dealing directly
   with them, and there are few or no
   damage incidents resulting from the
   production of such substances from non-
   reactive wastes. The detailed air
   emission formulas .in the Note to
   proposed | 250-45{c} have been
   eliminated in response to comments that.
   the OSHA standards employed there
   were not generally appropriate for the
   circumstances of waste treatment,
 ,  storage, and disposal facilities/
    Finally, Appendix I to Subpart D of  '
  proposed Part 250 indicated in Groups
  2-A and 2—B that toxic wastes were
  incompatible with flammable or
  explosive wastes because mixtures of
 • them would release toxic substances in
  fires or explosions. No comments were
  received on this standard, but the
  Agency is still considering whether and
  how toxic and ignitable. flammable, or
  reactive wastes or materials should be
  segregated during treatment, storage, or
  disposal in order to avoid the release of
  toxic substances in case of fire or
  explosion. The problem is compounded
 by the'fact that some toxic substances
 are themselves ignitable. flammable, or
 reactive. This portion of the Appendix  '
 (now Appendix V to Part 2S5J has been
 deleted for the time being, and the
 Agency solicits comments on this •    '
 problem.
   Many commenters pointed out that
 incompatible wastes such" as acids and  '
 bases are frequently mixed so  that they
 will neutralize  each other, and that this
 may be done safely so that violent
 reactions are avoided. Consequently, the
 regulations, have been modified to allow
 mixing incompatible wastes if the
 general standards described below are
 complied with. In addition, contrary to
 the contentionof one commenter,
 materials other than wastes, such as .
 treatment reagents or non-hazardous
, wastes, may be incompatible with
 hazardous wastes and  are therefore   '
 included in the  incompatible waste
 regulations. These requirements have.
 been extended to  storage  facilities as
 well as treatment and disposal  facilities.
because they can experience similar
problems when incompatible wastes are
mixed. If facility operators mix
incompatible wastes, they must
   anticipate the reactions which may
   occur and the substances which may be
   formed, and control the mixing so as to
   avoid or control the reactions and
   substances produced. - -         ,     '
 ,,   the general standards in"§ 265.17(b)
.   are intended to insure that several
   undesirable results are avoided when
   ignitable or reactive wastes are handled
   or .incompatible wastes-are mixed.
  Extreme heat or pressure,-fires or
  explosions, violent reactions, and
  damage to the structural integrity of the
  device or facility containing the waste
  are clearly undesirabletbecause of the ..
  likelihood that they will cause or lead to
  injury or death of facility personnel  and
  the spread of toxic wastes into the
  environment These standards were
  uncontroversiaL The production of
  uncontrolled flammable-fumes or gases
  in sufficient quantities to pose'the risk of
  fire or explosion is undesirable for
  similar reasons. The creation of
  uncontrolled toxic dusts./mists. fumes,
  and gases in sufficient quantities to
  threaten human health is also
  prohibited,  in order to protect both
  facility personnel and people off-site.
  The Agency is primarily concerned here
  with gases such as chlorine, hydrogen
  sulfide. and hydrogen cyanide, which
.  some mixtures of wastes or waste
 •treatment processes may produce. As
 explained elsewhere, the Agency need
 not rely on the Clean Air Act to regulate
 airborne emissions from hazardous
 waste facilities.
   Finally, because the possible
 undesirable results from the mixing or
 handling of wastes may be enormously
 . varied, the general regulations prohibit
 .the creation of conditions like .the ones
 mentioned above which threaten human
 health or the environment. This  '
 standard requires owners and operators
 of facilities to be aware of the possible
 results of treatment storage, or disposal
 of ignitable or reactive wastes, and the
 commingling of incompatible wastes, to
 avoid conditions which would pose
 threats to human health or the
 environment similar to the ones
 specifically listed in the regulation.
   The regulations on ignitable or
 reactive wastes are typically more
 restrictive than those on incompatible
 wastes. While incompatible, wastes  .
 require;attention primarily at the time
 they are introduced into a facility or
 treatment-process, ignitable or reative
 wastes pose a continuing danger of
 ignition or reaction, and require
 continuing protection from conditions '
 which would cause them to ignite or
react. This is sometimes practical in    '  ',
containers, tanks, and waste piles.
However, since landfills, surface
   impoundments, and land treatment
   facilities generally cannot be managed
   so that this protection is provided, ..   . •
   ignitable or reactive wastes may be   '
 .  placed in such facilities only if they are
   treated before or immediately after
  .placement in the facility so that they are
   no longer ignitable or reactive. This
   relaxation  of the complete bar in the
   proposed rule responds to comments
   indicating that such treatment is not
   Uncommon and should not be       .
   prohibited. The regulations require that •"'
   this treatment meet the same standards
   applied to the mixing of incompatible
   wastes.    '  .
    The Agency is currently considering
   adding another class of incompatible
 ,  wastes to these regulations. It would
   declare" incompatible  those wastes
   which would solubilize or-otherwise-
  mobilize another hazardous waste or
  constituent in a landfill, land  treatment
.  facility, or surface impoundment, and
  thus increase  the likelihood that the
  mobilized waste or constituent would be
  leached into ground water. Because the
  potential scope of this concept is so
  broad—even water could be considered
  incompatible with many wastes—the
  Agency currently believes that it wpuld
  be most practical to implement such a
  regulation by listing only specified pairs' '
  of wastes as being incompatible. Those
  currently under consideration are:
    (1) PCBs and organic solvents,
    (2) Organic.pesticides and organic
  solvents, and                  :
    (3) Metal-containing wastes and acids.;
    The, first material in.each. of these
  pairs can be substantially mobilized by
 .the second, but may be relatively
  immobile in  its absence.  It therefore
  seems  prudent to dispose of such pairs
  in separate landfill' cells, land treatment
 areas, or impoundments. The Agency
 requests comment on this concept of
 incompatibility, on these and other
 possible pairs of wastes which might be
 listed as incompatible.under this
 standard, and on circumstances under
 which these wastes can safely be
 commingled  in  land disposal facilities.
 C. Subpart C—Preparedness and
 Prevention and Subpart D—Contingency
 Plan and Emergency Procedures
   Section 250,43-3 of the proposed rules
 contained three general types of
 provisions: (1) Requirements for
 developing contingency plans for
 effective action to minimize
 unanticipated damage from the
 treatment storage, or disposal of
 hazardous waste;'(2) requirements for '
 preparedness and prevention measures
 to minimize the heed for ever using
contingency plans, and  (3)'requirements
for emergency response measures to be

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     33184       Federal Register
/ Vol. 45. No. 98 / Monday.  May 19. 1980 /  Rules and Regulations
     taken during and after situations in
     which a contingency plan is
     implemented. In the final rules.
     standards for preparedness and
     prevention have been made a separate '
     Subpart because: (1) They contain
     explicit facility requirements  (e.g.. fire
     protection equipment, and aisle space)
     which are independent of .the
     implementation of a'facility contingency
    plan; (2) it is more logical to discuss
    preparedness and prevention aspects of
    facility operations before discussing
    planning for and response to
    emergencies which may or may not
    occur; and (3) placement of the three
    types of standards in the same section
    In the proposed rules tended to be
    confusing because the requirements for
    developing and implementing  the
    contingency plan were interspersed with
    requirements for preparedness and
    prevention. However, preparedness and
    prevention, contingency plans, and
    emergency response are all discussed in'
    this section of the preamble because
  •  they are closely related, and many of the
   comments received on these
   requirements addressed all of them
   simultaneously.
     The final Part 254 and 285 Subpart C
   preparedness and prevention rules are
   intended to minimize the possibility of
   and effect of a release, fire, or explosion
   which could threaten human health or
   the environment. They require that
   facilities have, where necessary.
   internal communications or alarm
   systems, equipment capable of
   summoning external emergency
   assistance from local agencies,  fire
   control equipment, spill control
   equipment, and decontamination
   equipment. This equipment, where
  required, must be routinely tested, and
  maintained in proper operating
  condition.
    Subpart  C also requires  that
  employees operating "the facility have
  immediate access to both internal and
  external communications systems,
  where these are required. In addition,
  where needed, aisle space must  be
  maintained to allow the unobstructed
  movement of emergency equipment to
.  any area of facility operation.
  Precautions to prevent accidental
  Ignition or reaction of waste are
  specified. And lastly, facility owners or
  operators must attempt to make
  arrangements for local authority to  •
  provide emergency support, where this
  is appropriate.
   The final Part 264 and 265 Subpart D
 contingency plan rules are intended to
 minimize hazards to human health and
 environment in the event of fires,
 explosions, or any unplanned sudden or
        non-sudden release of hazardous waste
        to air, soil, or surface water. The
        contingency plan must include:
          •  A description of the planned
        response to emergencies at the facility,
          •  Any arrangements with local and
        State agencies to provide emergency
        response support, where needed;
          •  A list of the facility's emergency
        coordinators,
          •  A list of the facility's emergency
        equipment, and
          •  An evacuation plan, where
        necessary.
         Rules for distributing and amending
        the plan are specified, as is the
       requirement that a facility emergency
       coordinator be either present, or on call,
       whenever the facility is in operation.
         Provisions for emergency procedures
       specified in Subpart D. of .the final rules.
       include:
         • Immediate notification of
       employees, and local. State, and Federal
    .   authorities of any imminent or actual
       emergencies,
         • Immediate assessment of possible
       hazards to the environment and human
       health outside the facility,
         • Measures  to preclude the spread of
       fires and explosions to other waste,
         • Proper management of residues,
         • Rehabilitation of emergency
       equipment and notification of
       authorities before operations are -
      resumed, and
        • Recordkeeping and reporting to EPA
      on the nature and consequences of any
      incident that requires implementing the
      contingency plan.
        Commenters from many organizations
      submitted numerous comments on the
      proposed requirements for contingency
      plans,  preparedness, and emergency
      response: Highlights of these issues are
      discussed below:
        1. Defer Regulations Until Permit-
      Issued. Some commenters suggested that
      the contingency plan, preparedness, and
      emergency response requirements
      should be negotiated when a permit is
      issued, and thus should not apply to
      facilities during the interim status
     period.
       The Agency sees no reason to delay
     implementing these requirements until a
     permit  is issued. Most of the
     requirements are explicit and
     straightforward, and therefore, do not
     require negotiation with or
    •interpretation by the Regional
     Administrator before they can be    .  •
     implemented. Those proposed
     requirements which might have been.
     interpreted as requiring negotiation with
     EPA, have been rewritten to eliminate
     the need for interaction'with the Agency
     during the interim status period. For this
    reason,  some of the final Part 265 rules
    applicable during interim status are
    written differently than the
    corresponding Part 254 rules.
     2. Tailor Rules to Circumstai
    Many commenters felt that the
    contingency plan, preparedness, and
    emergency response provisions should
    be restructured to allow requirements to
    be tailored to particular circumstances.
   In the same vein, other'commenters
   complained that the proposed provisions
   were overly restrictive for some types of
   facilities (e.g., facilities which handled
   only "low" hazard waste, such as utility
   boiler fly ash or waste oil).
     The Agency recognizes that there are
   different types of facilities handling
   many different kinds of wastes in
  . widely differing circumstances with
   respect to climate, proximity to people,
   etc. In the proposed rules, the "Notes"
   following certain provisions provided
   some flexibility to account for these
   differences. In the final rules, these
   "Notes" have been incorporated into the
   regulations. Further, the Agency has
   expanded the concept of case-by-case
   determination of appropriate
  requirements  with many revisions
  throughout  the final rules to provide
  greater flexibility. In addition,
  requirements specific to particular
  circumstances (e.g.; ignitable and
  reactive waste) have been clearly
  identified in the final rules.
    3. Protection Inside Versus Ou\
  Facilities. Several commenters
  questioned whether the proposed
  contingency plan and emergency
  response provisions were designed to
  deal with the potential for damage to
  human health and the environment both
  inside and outside hazardous waste
  facilities.
    RCRA's mandate to protect human
  health and the environment is not
  limited to dangers occurring outside
  hazardous waste management facilities.
 In fact, many of the damage cases cited
'in the background documents involve
 death or injury to facility personnel, as
 well as threats to people outside the
 facility.
   The Agency is concerned about the
 health and safety of facility personnel.
 The RCRA Section 3002 regulations for
 waste manifests and waste shipping
 container labeling and marking, and the
 Section 3004 waste analysis, training.
 inspection, and facility design and
operation regulations, are designed,
-among other things, to reduce hazards to
facility personnel.
  •In addition, the RCRA contingency
and emergency  response plans should
include steps  to respond to both intgaaal
and external threats. In designing,
internal plans' to respond to empkJ—
health threats, however, respondents

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Federal Register /Vol. 4^JMo. 98 / Monday. May 19. 1980 /  Rules and Regulations
                                   33185
   must recognize that primary
   responsibility for regulating workplace
   health and safety rests with the'
   Occupational Safety .and Health
   Administration of the Department of
   Labor.
     4. Delete Contingency Plan. Some    :
   commenters felt that the provision
   regarding the proposed contingency plan
   provision wras unnecessary and should-
   be deleted, because the.Spill Preventipn..
 .'  Control, and Cpunterme.asures (SPCC]  '
   plan required by the Clean Water Act
   would be sufficient to fulfill contingency
   planning requirements for hazardous
   waste management facilities.
    The Agency disagrees with this
,   comment The'universe of facilities
   which are currently required to have an:
   SPCC plan is not identical to the   ' .*•
   universe of hazardous waste facilities '.  ''
   controlled under RCRA. Further, the..
 '  proposed rules for RCRA contingency
   plans are not identical to the SPCC plan
   requirements, arid the-SPCC plan is; not  '
   an adequate substitute for RCRA
   contingency, plan requirements,
 ,  Howeiterythe.twp plans can be     -,'.
. cpmpj^meni4'ry..|]5ee later discussion.) '.',
    &,".——-y'. ib^ie, cqmmenters felt that
                        . contingencj plans' should be filed with.
                         ^P.c?1, *iaihan ^«.||. only when' a release of
                         hazard.o^f'waste.Wbald'reqiiire their   •
                         r_esp.ori.se p? endanger..those under their'
                       .  protectipn,.br when a facility handles;'
                       . "extremely".haz'ardpus waste	  '.
                        ,   The Agency believes, that the •:•"
                         contingency plan requirement is an
                         important part of the overall RCRA
                         Section 3004 standards, and that EPA
                         should ensure that each facility has an
                         acceptable plan. Because the Agency
                         accomplishes this'by requiring that a
                         contingency plan be:   '
                          Prepared by each facility,   ;
                         ''. Amended as necessary,
                         .Made available to EPA inspectors
                        during on-site reviews, or to the
                        Regional Administrator when requested.
                        and  '     ,
                         .Submitted to EPA as part of the
                        permit application, the Agency agrees
                        that contingency plans and revisions
                        need npt  be submitted routinely to EPA.
                        This apprpach is consistent, with SPCC
                        plan requirements, which  are being
                        revised to require that plans be
                        submitted to EPA only upon request of
                        the Regional Administrator.
                         However, the Agency disagrees'with
                        the-commenter's arguments regarding
                        the need fpr local authprities tp have an
   up-to-date facility contingency plan..The
   final rules require that the contingency
   plan must be amended in the following   .'
   cases:
     If there-are revisions to applicable
   regulations (interim status);
     If there are revisions to the facility  •
   permit (permitted s.tatus);       -  .  '•'•••
     If the plan fails in-an-emergency;
   •- If ..there .are changes in the facility-'  • .'••
   design, cons.truction, operation.  .'.-.-. v
 .  maihtenancfi, or other circumstances- -
  . that materially increase the potential for
.   fires, explosions,'or releases of   .-..••-..
   hazardous waste or change the response
   necessary in an emergency:
     If there are Changes  in the person(s)
   quarified  to act as facility emergency  .
  'cbor'dinator:          -;     .  -     .  '.,  ,.
   .  If there are changes  in  the emergency  -
   equipment at the facility.    •     .'...   •..",
    TheAgencybelieves.thatallthe.se'   •   .
   reasons for amending the plan'are
   important, and that local  authorities,-
   where appropriate, have a need to-.knovy •
-;.  about these.ch.anges. The first four cases'' '
.  .could involve significant arnfndmenis.'to -
.^;a.f§cility'.s contingency plan, but.-^ilGh ;•.-'.  ;..
. - ame.hdm.ents should occur infrequently; ...':;•.
:•; The last two cs»3«s may. cccur-moje•»..-. '..,?}•
. often, but  the cbange and notification «•)';,..
 ., requirements are. not burdens,o.mec ••?>si«'?- .'..;•
    The proposed rule required feeijity-•-,;.• -
  owners or operators to file contingency
  plans with local authorities. It did riot.,,  -.
  require these authorities' to a'ccepj them.
.  The Agency believes that moat local:..-, r ,
  authorities «r» rsspocsible and  ,   .,/..
 ..cpnipeteat. and {hat they, rarely will.j,'.  /'
• reject/facility piahi or relegate'them Jo.'...',''
 obscure files. hieyenheless,:if they do =;.  ,
. refuse to a'tcept'-a faicility's.plan,. the ' .'"
 faqility'owner or.opejrator will have
;.-scorn-plied with tha.nile.if.h'e can  ..  .
 document in the operating record that he
 submitted a contingency plan to local
 authorities.  • ,  '   .-.            !  -
  (-The proposed rtlss csed the phrase:.
 ". . . who may be caikd upon to provide
 emergency services." This phrase means  '
 that a 'contingency plan  need not be. filed
 with local authorities if the nature of the
 waste handled at a facility, or if the
 internal emergency response
 capabilities at the facility,  are such that
 Ipcal authorities will not be called upon  '
 to provide services either to the facility  •
 or to people outside the facility .'This
 provision has been retained in the final
 rules.         '•-             ,   .  . •
   •^.'ConfidentialInformation. Several
 commenters claimed that facility
 contingency plans frequently cqntain
 confidential information which
 companies would insist npt be         •   •
maintained in public files. Therefore, the
commenters felt contingency plans
should not be submitted  to  EPA (or by
extension, to local authorities), but

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   3318?
Federal  Register /Vol. 45. No. 98  / Monday.  May 19. 1980 /  Rules and. Regulations
   rather maintained on the facility
   premises open to EPA inspection.
     The contingency plan must be
   submitted to EPA with Part B of the
   permit application under 40 CFR Part
   122, and will become a condition of any
   permit issued. The permit regulations
   state that permit-related information.
   asserted to be confidential at the time it
   is submitted, will be disclosed by EPA
   only in accordance with the procedures
   in 40 CFR Part 2. Because the
   contingency plan will be part of the
   permit, portions of contingency plans "
   asserted to be confidential will be
   available to the public only in
   accordance with 40 'CFR Part 2.
    As stated earlier, the Agency believes
   that where appropriate to protect human
   health and the environment in
   emergencies, it is vital that local
   authorities have up-to-date facility
   contingency plans in their possession. A
  facility's contingency plan need not
  contain cietails of proprietary processes
  or operations. For this reason, the
  Agency does not believe that
  contingency plans often, if ever, need to
  be confidential.
    9. Insufficient Time for Plan
  Submission* A few commenters stated-
  that: "Requiring  the submittal of an
  SPCC plan as part of a [RCRA] permit
  application is unreasonable since the
  development of an adequate and
  effective SPCC plan may require a
  significantly greater period of time than
  available between promulgation of the
  {RCRA] regulations and submissions of
 a (RCRAJ permit application."
   As described in the preamble
 discussion entitled "'Interim Status
 Standards", to qualify for interim status. "
 facilities must submit the Part A permit
 application to EPA within six months
 after promulgation of the RCRA Section
 3001 regulations. They must submit Part
 B of the  permit application upon request
 at a later date.
   The facility contingency plan must be
 submitted with Part B.  but is not
 required for Part A. Further, as noted
 above, the RCRA contingency plan may
 be merged with an existing SPCC plan,
 but the final rule does not require that
 an SPCC plan be submitted as part of a
 RCRA permit application. Moreover, the
 Agency believes that an acceptable
 RCRA facility contingency plan can be
 prepared within the six-month period
 between promulgation of the RCRA
 Section 3001 regulations and the
 effective date of these regulations.
 Consequently, each facility owner or  •
operator is required to have a
contingency plan on the effective date of
these regulations, and to submit it to
appropriate local authorities, even
though it is not required to be submitted
                          to EPA until a later date, with Part B of
                          the permit application.
                            10. Emergency Coordinator. Many
                          commenters felt it was unnecessary and
                          burdensome for an emergency
                          coordinator to be present at all times
                          when a facility is in operation, as the
                          proposed rules  required. Some
                          comine.ifers pointed out that "in
                        •  operation" can  be interpreted to include
                          passive or automated situations, such as
                        ;  storage in tanks or surface
                          impoundments, but that, the possibility
                          that an emergency will occur during
                       •   these situations is small. These
                          commenters suggested that the proposed
                         rule should include a variance where
                         emergency situations are unlikely to
                         develop, or that the rule be modified to  '
                         allow an emergency coordinator to be
                         on call, rather than present on-site.
                           EPA agrees that there are many
                         situations where the facility emergency
                         coordinator's presence on-site is riot
                         essential. However, the Agency believes
                         an emergency coordinator should at
                         least be'available (on cajl) to respond
                         immediately to emergencies  at th'e
                        .facility, initially  by giving phone
                        •instructions to local authorities and
                       . facility personnel, but also by being able.
                       . .to.be on-the-scene within a short-time.
                       ..This,arrangement should impose no
                        undue  burden.
                          Several commenters felt that no one
                        person could be cognizant of, and
                        responsible for. all the duties of the
                        emergency coordinator specified in the
                      .  proposed rule. They suggested the rule
                       •be modified to allow an "emergency
                        coordination team" under the
                        supervision of the facility's   •
                        management.
                       • •  The Agency recognizes that the
                        emergency coordinator's duties are
                      •  many and varied, and fully expects that
                        many people with different disciplines
                        will be  required to assist the emergency
                        coordinator in fulfilling these duties..
                       However, based on analysis of past
                       emergencies, the Agency feels strongly
                       that there must be a single person in
                       charge during an emergency with the
                       responsibility, and necessary authority
                       to direct response measures. A "team"
                       approach dilutes responsibility and
                       authority, and can lead to divisiveness
                       or confusion under stress. Consequently,
                       the Agency disagrees with these last
                       comments and has retained the
                       proposed approach in the final rule.
                       However, the final rule does not
                       preclude the use of a response team, as
                       long as one person has central
                       responsibility over it
                         11. Resuming Operations After an
                       Emergency. The proposed rules required
                       the facility's emergency coordinator to
                       prohibit the facility from accepting any
   waste which was incompatible '.,
   material released during an eme/j
   until clean-up procedures were "^—^
   completed, emergency equipment was
   restored to pre-accident condition, and
   the affected area was declared safe by
   EPA, State, or local officials. One
   commenter felt that the decision that the
   facility could safely resume operado"hs
   should be the responsibility of the
   •facility emergency coordinator, rather
   than EPA or other government officials.
     The Agency agrees that it would be
   unreasonable to require a formal
   declaration by government officials that
   a facility is safe  to operate befpre
   allowing the facility to accept
   potentially incompatible wastes. It is
   quite possible that a relea*se;-fife, or
   explosion could occur in one part of a
   facility without affecting the-safety of
   operations in other parts of the facility.
   Thus, it would-be unnecessary to keep
   the whole facility from accepting a
   waste just because the waste may be
   incompatible with the materialre'leased
   during.an emergency in one limited part
   of the facility.
    However. EPA,"State and local*'-v --  '
,  officials have a'responsibility
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                *>deral Register / Vol. 45. No.  98 /Monday. May 19.  I960 / Rules and Regulations       33187
   hazardous waste regulations, by
   providing the enforcement agency with
   sufficient information to monitor facility
   operations. A second purpose of the
   records required in Subpart E is to
   ensure prompt, proper, and effective
   response to emergencies, by providing
   facility owners and operators, and local
   authorities, with information which
   allows them to  accurately assess any
   hazard posed to human health and the
 .  environment  and to respond
   accordingly.    r   •    '           : •
    The Agency received numerous
   comments from many'sources on. the
   proposed rules for manifests,
   recordkeeping, and reporting. Some
   comments raised general issues
   applicable to  the entire Subpaift; others.
   were 'specific to the.requiremehts for
   either manifest, recordkeepfng. or
   reporting. This preamble discusses the
  general issues first, followed  by a • •
  section-by-section analysis of the
  comments specific to  the three types
  (i.e.,' manifest, recordkeepingror    -,.-
  rep^Ungj of Subpaii'E standards. >;
    •LG-effefiiJ Issues.   ''
                                    .
  corifmeriters telt-'that'ths-prrtpo'iierf "'. , . ';•';
  mariif ejgt^c8rdlci»epingY and T spV'Ljg   '
  requiremeiits^vere^eicesjeive, '  -  '•'.'.
  particulaMyffdf small flfms; .Tbty sirtc.d
  that the fequireme'nts we're unnecessary
  and impractical — particularly in
  requiring the various reports and
  signatures of treatment.'stofagi*. arid
    '
                               .  •.   .•
  contribute subsfanUa'Uy-tb tooR.iii ht?al»h
  and envuTmmentar protection- Gibes1'.
  commeriters were'cpncerned thai the
  paperwork ass'acJated with She* • •: '.'•;""
  requirements would be'duplicative, snd
  require; additional. persdrinel in. •',
•  government and industry to process.
   The Agency does not agree  that the
  proposed manifest, recordkeeping, and
  reporting'requjr,emerits
    submittals at expected times rather than
    on a continuous stream of manifests
    received at Varying intervals.
      A number of other commenters
    requested- that the time period'.be
    shortened to one day, or one or-two '
    weeksj to {!) allow more .effective and
    timely follow-up on waste shipments, (2]
  '  give generators more time to complete
   'exception reports, and (3) avoid losing
    documents. However, some commenters .
   'argued'against requiring owners or
  ' •ofic'rators to immediately return.    :,"
   •manifests, ciaim'ing-that this was
   unreasonable'because time would be
   needed to check out .any discrepancies,
   and record data from the manifest.
   These commenters felt a shorter return  -,
   period would hot provide any
  _se technical'vvjasfei rnariagemeht" '"•' - "'•'
 . requiremeiTts ujider, the Section 3004- -"• "
  regulations. The Agency believes, '"''•"
  however, the final manifest,
  recordkeeping, and reporting ,
  requirements are the minimum  "'' :* '
  nec2ssary_fof any. hazardous 'waste;-
  regardless of class of hazard. The
  Agency anticipates Ihe possibility.of
 .-adding different recordJiee,pirig and   .':
  reporting requirements in Iho; future for
  the classes of highest hazard identified
'  In the new system.       .      •
   2. Manifest System. The final rules ...
 • require owners or operators of facilities
  which  receive waste  from offrsite to
.  sign, date, and return a copy-of the
  manifest to the'transporter immediately,
'  end to  the generator within 30 days of
  receiving the waste. Owners or
  operators must also note significant
  discrepancies in the type or quantity of
  waste received, and notify EPA if
  discrepancies cannot be resolved. This
 section of the preamble discusses the
 major comments received on the
 proposed § 250.43-5(a) manifest
 requirements.
   a. Manifest Copies. The Agency
 proposed a 30-day period.for the facility
 owner or operator to return the manifest'
 to the generator in order, to allow the
 facility owner or operator to return the
 manifests at the same time as he sends •
 monthly bills to generators, thus
 reducing paperwork and postage costs,
, A number of eommenters supported the
 proposed 30-day time period allowed for
 transmitting the manifest as reasonable.
    * b -J	£•" — -« — » —W." !•»•„..* 1 >fc ,.' l.^WV*illHCllUCU
 . ..''Siat l?ie"plb>fod h« .^.;.e».'cfc'Ji to-a',; vw •'.-•- .

 ;f^aMifest f jV rvfrcr^ \;""''" •' ^ '^* ;>,
 -C"» 'Afi^Pcareful if.•*'&;v wf these'',  ; "•'   '"'
            .  ... Agency has decided to
   retain the proposed 3T»«ay time period
 €. allowed for returning manifests to the
'- .'gerieratqr. The Agency believes that a'
 • ;:30=da£ time period-iss.^asimab'e^ and   '.
  • does.not preclude returning manifests ;
   within a shor»arHn-j pfi.iod should a ••
  . geri'erator-hs^isi I'pria'it-''   ' .-    ;   '  •'
     The' final Part^K'juies require that, if
 :... the generator dovs hot r.sceive a ,
 '  properly .signed manifest within 45 days
 • of'the waste's shipment to a hazardous^
   waste facility, he must make an
   exception report to EPA. One
   commenter, suggested Ua'a'-- owners or
   operators should retto-, raanifes't's to'the'
   permitting agency, rathe'i: thanlo the
   generator, to eliminate the need for the
 . generator to make exception reports.
 . Another commenter argued that the
   regulation should be flexible enough to
   allow manifests to be returned to either
  an authorized State.agency or the
  generator, in order to "allow States to
  become aware of exceptions earlier. A
  related comment argued that States with
  programs that are adequate to identify
  missing shipments should have the
  authority not to require the manifest be
  returned to the generator.'Another
  commenter recommended that efforts be
  made to reduce the number of copies of
  manifests that must be distributed and
  retained in order to minimize costs and
  space requirements.
    The Agency strongly believes that the
  waste generator, rather than EPA,"_

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  33188       Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
  should be responsible for ensuring that
  his hazardous waste actually arrives at
  the intended facility. The manifest
  routing system is designed to provide
  the generator with the feedback
  information necessary to make that
  determination. While this system may
  require more copies of manifests to be
  distributed and maintained than would
  be the case in other systems, it will
  result in more timely and effective
 'discovery of errant shipments and allow
  prompt enforcement actions. The
  rationale for the EPA manifest system is'
  discussed in more detail in the Section
  3002 Background Document.
    b. Manifest Discrepancies. Proposed
  § 250.43-S(a](4) required that owners or
  operators notify the Regional
  Administrator immediately when there
  is a discrepancy between the type or
  quantity of waste designated on the
  manifest, and the type or quantity of •
  waste actually received at the facility.
  Several commenters felt that the
  proposed rale would result in the   .
  Agency being inundated with -   . „ -  ..
  unnecessary paperwork, resulting from.  .
  facilities' reporting inadvertent or      •
  unimportant errors. They ruggCs'ted thai -
  the Agency specify .dllbwafcliii •deviation*.
  which would not require"-Sufainitting.a -V ;
  discrepancy report to the"Regional "•
"  Administrator.
   The Agency agrees that it is
  reasonable to set limits which, would'not
  routinely trigger discrepancy findings,  ,
 'but which also do not allow excessive
  amounts of hazardous waste to be
  unaccounted for.
   Many factors entered into the decision
  regarding the limits to set on the
  variation in amounts of waste which
  would trigger a discrepancy notation .
  and report Because of the limits on the
  sensitivity and calibration of weighing
  scales, as well as possible variation* in
  volume and density measurements, it
  would seem, reasonable to allow
  relatively large errors for bulk
  shipments, such  as 5 to 10 percent  •
  Further, the Agency does not wish to be
  swamped with discrepancy repents as a
  consequence of setting the discrepancy
  limits too tightly.
   Consequently, for the final rule,  the
  Agency has selected an allowable
  discrepancy limit of 10 percent in weight
  of the manifested waste amount for bulk
  Shipments. This limit, however, does not
  apply to batch shipments. A discrepancy
  of one drum in a shipment is sufficient
  cause for the facility owner or operator
  to start follow-up procedures in the final
  rules. The Agency decided to apply a
  different limit to batch shipments—even
  though the Agency recognises that the
  amounts of waste involved can vary
  considerably—because such
  discrepancies can be detected by a
  simple count.
    Another kind of-possible discrepancy
  between the waste manifest and the
  actual shipment is a difference in the
  chemical or physical nature of the
  waste. The Agency's intention in this
  respent is to have facilities flag obvious
  differences in waste type (such as waste
  solvents received instead of the waste
  acids listed on the manifest), as opposed
  to more subtle changes, such as part-
  per-million variations in the
  concentrations of heavy metals within a
  sludge. The Agency wishes to ensure
  that a facility is properly equipped to
  handle the wastes it receives, and is not
  subject to surprises in waste type
  introduced by mistake or on purpose by
  waste generators ortransporters.'The
 • Subpart B requirements for waste
  sampling and analysis should, in most
  cases, ensure that facilities discover
  obvious differences in waste type.
    The Agency believes that a distinction
  should be made between discovering a
  discrepancy and reporting the
  discrepancy. The Agency believes that
  the facility owner's or operator's logical
 •and reasonable response, upon.
  discovering a discrepancy in waste
•" amount or type is for him to contact the
  waste generator, and the transporter if '
  necessary, and try to resolve the
  discrepancy. Therefore, the final rules
  now specify that discrepancies should
  be reported to EPA only if they cannot
  be resolved satisfactorily. By so doing,
 , the number of discrepancy reports can
  be 'reduced, and the reports submitted  to
  the Agency will focus  on truly
  significant discrepancies.
    Several commenters felt that the
  proposed requirement for immediate
  discrepancy reporting was too stringent.
  They asked that a time limit be set to
  report discrepancies, because more time
  might be needed to determine that a
  discrepancy in fact exists. Some
  commenters suggested that a time limit
  of 1.0 working days would make the  •
  system more efficient Other
  commenters suggested that a more
  practical requirement would be 30 days
  from receipt of the shipment
   The Agency agrees with the
  commenters that the regulations should
  specify a time frame for reporting
  discrepancies to the Regional
 'Administrator. All discrepancies should
  be discovered soon after the waste
  arrives at the disposal facility.
  Discrepancies in amount should be
  found at the weighing  station or waste
  receiving area before the facility owner
  or operator signs the incoming manifest.
  Discrepancies in type can be discovered
  by inspecting the waste, in some cases,
  or by sampling and analyzing the •
  which usually takes a few hours. (
   The Agency expects that the fa
  owner or operator will attempt to
  reconcile most potentially reportable
  discrepancies Jhrough telephone
  conversations with the waste generator
  or transporter. It should.be possible to
  check records, etc., and provide
  feedback in a matter of days, even
  including mailing time. Consequently,  .
  the Agency,believes that it is-possible to
  discover and reconcile discrepancies
  within 15 days of receiving the waste at
  the disposal facility. The final rules,  '
  therefore, specify that within 15 days
  after receiving the waste, unresolved
  significant discrepancies and attempts
  to reconcile them must be reported  in a
  letter to the Regional Administrator,
  with a copy of the manifest at issue.
   A commenter suggested that if there
  are discrepancies in the  manifest.-the
  hazardous waste should not be accepted
  until the generator or transporter
  reconciles the discrepancies.
  . -The Agency .agrees in  principle that
  significant discrepancies in the manifest'
  should be reconciled between the
  generator or transporter and the .
is disposer,- fc|^wje.ye.rv the Agency."' '•
~;dj|a.g«eft withjthe•suggestion that the
  AgjHicy require Jhaf the waste not!
  accepted by the disposer. In the. f
  Agency's view, it is more protectiv
  human health and the environmennof
  wastes to be accepted by a responsible
  disposer, and properly managed while
  reconciliation is attempted, rather than
 .for the waste to be rejected with the
  possibility that it may then be " •
  improperly disposed elsewhere.
  Consequently, the suggestion has not
  been adopted in the final rule. However.
  the disposer is not obligated by these
  regulations to accept the shipment if
  there is a significant discrepancy in
  quantity or type.
   c. Manifest Retention. Proposed
  § 250.43-5(b}(6) required the owner or
  operator of a facility accepting
  deliveries of hazardous waste from off-
  site sources for treatment, storage', or
.  disposal, to retain for three years a  copy
  of each manifest or delivery document.
  as certified by the-generator,
  transporter, and owner or operator  of
  the facility. This rule has been moved
  from the recordkeeping section to the
  manifest section of the final rules in
  order to consolidate all manitest-related
  requirements in one location within the
  rules.
   One commenter stated that all
  facilitie^accepting waste should rg
  all manifests for the duration1 of tK
  facility's operation, rather  than for
  three years. The commenter argued™
  problems at Love Canal  surfaced 25

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Federal Register / Vol.  45. No. 98 / Monday.:May 19. 1980  / Rules  and Regulations
    years .after the last recorded use of the
    dump, and that three years is too short a
    period for recordkeeping, considering
    the longevity of many hazardous
    materials and their potential threat to
    human'health arid the environment.
      The Agency agrees that records of all
    hazardous wastes handled at a facility
    should be kept until facility closure.
    However, the Agency does not agree
    that all hazardous waste manifests need
    be kept on file for that long a period.
     The Agency anticipates both short-
    range and long-range uses for hazardous
    waste records. Retaining manifests for a
    three-year period  is sufficient for the
   majority of enforcement cases involving'
   generation and transportation of
  -hazardous waste,  which will likely be
   discovered and acted upon within that
   period. Thus,  the Agency has specified a
   three:year retention period for manifests
   in the rules for generators (Section 3002)
   and transporters (Section 3003). as well
   as in these rules for facility owners or   >
   operators. For longer-range uses, such as
   responding to  Love Canal-type '
   Situations, the facility recordkeeping
   rules require owner or operators to
   retain 'records (but not necessarily
   manifests) of all hazardous waste
   handled at the facility until facility.
   closure. However, that'requirement
  allows the owner or operator the
  flexibility to design a recordkeeping
  system suitable to the specific needs of
  his operation. Larger facilities may use
  automatic data processing systems.
  Smaller facilities may choose to retain
  manifests as the basis for
  recordkeeping.            '
    In addition, the Agency will receive
  and retain reports which summarize the
  waste transported to each facility. These
  reports will contain a description of the
  waste, the  quantity of the waste, and the
  numerical identifier of the generator or
  transporter. In this way. the Agency will
  be able to review and summarize the
  data on the annual reports for a
  particular facility, should any
  emergency or slow release problem
  arise at the facility after the manifests
 have been destroye'd
   3. Recordkeeping. The final rules
 require facility owners or operators to
 keep records of the type and quantity of
 each hazardous waste received and how
 this waste is treated, stored, or
 disposed. Also, records are to be kept on
 the location of waste, waste analyses,
 inspections, personnel training.
 monitoring results, incidents that require
 implementing the facility contingency
 plan, and cost estimates for closure arid
 post-closure care. This section of the •
 preamble discusses the major comments
 received onethe proposed § 250.43-5(b) ,.'
frecordkeeping requirements.
      a. Congressional Intent, A commenter
    claimed that the proposed'
    recordkeeping requirements were
    contrary to Congressional intent
    because manifests are not required for
    on-site diposal of hazardous waste, yet
    the information required to be kept by
    the proposed regulation-was
    substantially identical to the
    information on a manifest
     The Agency disagrees that
   recordkeeping'at on-site facilities is
   contrary to Congressional intent.
   Section -3004(1) of RCRA which
   mandates recdrdkeeping at hazardous
   waste facilities, makes no distinction  '
   between on-site and off-site facilities.
   The manifest is primarily a waste
   transport tracking .and control
,   document; Recordkeeping requirements
 •  for facilities are-independent of.'the-  .
   manifest arid serve different purposes.
   The core information wh'ich appears on
   the manifest, e.g., origin, quantity, and
   type of waste, is also necessary for
   recordkeeping purposes.
 '   b. Operating Record. A commenter
   suggested that the proposed term
   "operating log" be changed to the term  '
   "operating record" to allow the use of
  Automatic data processing systems.
    The Agency agrees that the use,of an
  ADP system is consistent with  the
  recordkeeping system flexibility
  intended by the proposed regulations.
  Further, the large area of some  facilities,
  and the variety of functions performed
  at some facilities, make it very  unlikely
  that all required information would be
  recorded in one operating log at only
  one location. In writing  the proposed
; rules the Agency assumed a number of
  logs, or records, would be maintained at
  a site. All such records at a facility
  taken together would then constitute the .'
 facility's operating log.
    The term "operating record" more
 accurately reflects the Agency's
 intentions and expected commercial
 Practice, than does the term "operating
 log." The Agency has therefore; changed
 all references in the final regulations
 from "log" to "record."    .
   c. Warrantless Inspections. A
 commenter. relying on Marshall V.
 Barlow's, Inc., .413 U.S. 266 (1978),
 suggested that the proposed requirement
 that the operating, record be open to any
 duly designated employee .or agent of •
 the Agency .authorized warrantless
 administrative inspections without the
 consent of facility's owner.or operator.
   EPA's information-gathering activities
under RCRA Section 3007 are subject to
the Fourth Amendment's protection
against unreasonable searches as   -
enuniciated by the Supreme Court in
Marshall V. Barlow's, Inc.,  supra. It
should be noted that the Supreme Court
                                                                  in Barlow's, quoting Almeida-Sanchez
                                                                  •V. United States(413 U.S. 266, 271),
                                                                  emphasized that:

                                                                   , A central difference between those cases
                                                                  [involving warrantless searches of
                                                                  pervasively regulated industries] and this one
                                                                 • is that businessmen engaged in such
                                                                  Federally licensed and regulated enterprises
                                                                  accept the burdens as well as the benefits of
                                                                  their tra'de whereas, the petitioner here was
                                                                  not engaged in any regulated or licensed
                                                                  business. The businessman in a regulated ,
                                                                  industry in effect consents to the restrictions
                                                                  placed on hint
                                                                  EPA's exercise-of its Section 3007
                                                                  authority will be conducted in a-manner
                                                              ,    consistent with the decision. •
                                                                    d. Nomenclature for Waste
                                                                  Information. One commenter.'.
                                                                  complained that proposed § 250.43-
                                                                  5(b)(2)(i)(A), whichTequired using DOT
                                                                  or EPA'waste-descriptions in .the
                                                                  operating record, was confusing.
                                                                  • The Agency allowed the use of DOT,
                                                                  as well as EPA nomenclature, to
                                                                  describe waste on the proposed-
                                                                 operating record, because the manifest,
                                                                 which contains much of the information
                                                              •   needed to fill in the record,'describes   %
                                                                 waste using  DOT nomenclature. The
                                                                 Agency thought that providing  the
                                                                 flexibility of using either the Agency's or
                                                                 DOTs terminology in the operating
                                                                 record, would be the most cost-effective
                                                                 and least burdensome method for
                                                                 recording waste management
                                                                 information.
                                                                '. In retrospect, the Agency now     •
                                                                 believes this was not the best approach.
                                                                 The proposed Section 3004 rules for
                                                                recordkeeping applied to both, on-site
                                                                 and off-site facilities, although separate
                                                                rules for on-site facility reporting were
                                                                contained in the proposed Section 3002
                                                                rules. On-site facilities do not use
                                                                manifests', and'thus recordkeeping based
                                                                on DOT nomenclature is not appropriate-
                                                                for these facilities. Therefore, to simplify
                                                                the rules, and to avoid confusion
                                                                between on-site and off-site facility
                                                                recordkeeping requirements, the Agency
                                                                has decided to use EPA nomenclature
                                                                for all facility'recordkeeping and
                                                                reporting.
                                                                  4. Reporting. The final rules require'
                                                                facility owners or operators to .file an
                                                                annual report summarizing the type and
                                                                quantity of each hazardous waste
                                                                received, and how this waste is treated,
                                                                stored, or disposed of at the facility. In '
                                                                addition, owners or operators are
                                                              •  required to make reports to the EPA
                                                                Regional Adminstratqr within 15 days
                                                                after wastes are received without a
                                                                manifest; incidents such as fires,  •-
                                                                explosions, and releases; and problems  '
                                                                detected via ground-water monitoring.
                                                                 Reporting requirements for facility
                                                               owners or operators that generate and

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   33190       Federal Register  /  Vol. 45;  No. 98 / Monday, May 19.  1980 / -Rules  and Regulations
   dispose of their waste at the same
 .  location [i.e., on-site disposers] were
   specified in the proposed Section 3002
   rules. Because these rules were nearly
   identical to those specified in the
   proposed Section 30C4 reporting
   requirements, the Agency has
   consolidated the reporting requirements
   for both on-site and off-site facilities in
   Ihese final Section 3004 rules.
    This section of the preamble discusses
   the major comments received on the
   proposed § 250.43-5{c) reporting
   requirements.
    a. Joint Filing of 'Reports. Commenters
   suggested that firms with more than one
   site should be allowed to submit reports
   for all sites. Another commenter felt the
   regulations should allow for an
   assumption of duties contract between
   the generator and the facility owner or
  operator whereby legal responsibility
  for complying with the generator
  reporting requirements can be aJlocated
  to the owner or operator.
    If a corporate headquarters maintains
  the records for the various facilities it
 controls, both the proposed and final
 rules allow the firm's headquarters to
 submit reports for each of its facilities.
    The Agency cannot pcohibit.owhers or
 operators from assuming responsibility
 for the generator's reporting if they
 choose to do so. Contract law provides
 the mechanism for owners or operators
 to assume these responsibilities. If.
 however, the generator's contracted
 duties are not performed,  the generator
 will be held responsible for not
 complying with the RCRA reporting
 requirements.
   6. Submission of the Annual Report
 •The proposed rales required that the
 facility's annual report be sent to the
 Regional Administrator within four
 weeks after the dosing date^of the
 reporting year. Some commenters felt
 that this turnaround time was too short
 because:
   (a) Most large firms will require more
 than four weeks to prepare the annual
 report;
   lb) The paperwork burden of the
 report is so great that the facility will
 have to stop operations in order to
 complete the report if the required
 turnaround time is only 30 days; and
   (cj Four weeks does not allow
 sufficient time for recent manifests to be
 relumed.
   The Agency agrees that it may take
 more than 30 days to compile the
 information needed to complete the
 facility annual report. The owners or
 operators of both on-site and off-site
 facilities may be generators of  ,
hazardous waste sent elsewhere, as well
as disposers of hazardous waste. To
allow waste generators sufficient time to
   collect all manifests in order to file their
   annual report, the final Section 3002
   rules allow 60 days, rafher than 30 days.
   from the end of the calendar year to file
   the annual report. In order to be
   consistent with the reporting
   requirements for waste generators, and
   to avoid unnecessary confusion by
   specifying separate deadlines for
   generators and facilities, the deadline
   for submitting .the annual report for all
   waste managment facilities has also
   been extended to 60 days.
    c. Certification Statement. The
  proposed rules required that facility
  owners or operators sign on the annual
  report form a statement which certified
  that the information on the form was
  true, accurate, and complete. Several
  commenters objected to the proposed
  wording of the certification statement on
  the report form. They suggested that the
  phrase "to the best of my knowledge" be
  inserted, and the word "personal" be
  deleted, from the certification statement
  because:
    (a) The person signing the certification
  may not have compiled the actual
  information reported, and thus, will not
 . have personal knowledge of each of the
  many pieces of information reported,
  and       •
    (b) The proposed wording of the
  statement places the individual who
  signs the report in the position of being
  criminally liable for errors beyond his
  control, hi many instances, an error
  Could be made even though there was a
 good faith effort to submit accurate
 information.
   These commenters also felt that the
 sentence "I am aware that there are
 significant penalties for submitting false
 information, including the possibility of
 fine and imprisonment." should be
 deleted from the statement. They
 claimed that the sentence was
 unnecessary, because it is evident that
 anyone who knowingly  submits a false
 report to the Federal government is  .
 subject to significant penalties.
   The Agency agrees that the
' certification statement should reflect, to
 the extent possible, the signer's personal
 knowledge of the truth, accuracy, and
 completeness of the submission. The
 owner or operator or his authorized
 representative may not have firsthand
 knowledge of the truth, accuracy, and •
 completeness of the information
 submitted. Accordingly,  the Agency has
 changed the certification statement on
 the annual report to require the owner
or operator or his authorized
representative to state that "based on
my inquiry of those individuals
immediately responsible for obtaining
the information, I believe that the
information is true, accurate, and
  complete." This formulation, adopted
  from EPA's NPDES regulations.
  recognizes both the limits of che sij
  personal kr.oxvledge and the Agenl
  need for accurate and complete   *„
  information. It all&ws the owner or
  operator to respond on the basis of his
  belief, but sets forth precisely what the '
'  basis of that belief must be.
    The Agency disagrees with a
  commenter's suggestion that EPA  delete
  from the certification statement "I am
  aware that there are significant
  penalties for submitting false
  information, including the possibility of
  fine and imprisonment." The Agency
  included this sentence in the statement
  to impress upon the signer the necessity
  for submitting complete and accurate
  information. The Agency believes  that
  some owners or operators may not
  realize that the knowing submission of
  false information to EPA may subject
  the signer to significant penalties.
  Therefore, the sentence has been
  retained in the certification statement in
  the final .rules.
   d. Unmanifested Waste Report. The
  proposed rules required owners or
  operators to file a quarterly report  to the
  Regional Administrator describing
  hazardous waste received at  the facility
  not accompanied by a manifest unless'
  the waste was not required to be
  accompaned by a manifest because^
  the exclusions provided in the SectF
.3002 rules.
   Somercommenters felt the
 unmanifested waste reporting
 requirement should be deleted because
 it was burdensome, unnecessary, and
 submitted so infrequently as to make the
 information of little or no value to'.the
 Agency.
   The Agency disagrees that the
 information contained in the report is
 useless. Because of the uncertainty
 associated with unmanifested
hazardous1 waste, the Agency wants to
know as much as it can about the waste,
as soon as possible. Prompt.submission
of the details regarding unmanifested
waste will enable the Agency to ensure
that the facility is managing the waste
(with which the facility may have
limited management experience) in  an
appropriate manner. It will also allow
the Agency to detect any suspicious
patterns of unusually high incidences of
unmanifes.ad waste in particular areas.
  However, the Agency does agree  that
the reports will be more useful for
enforcement purposes if they are
submitted soon after the unmanifested
waste is received. Therefore, in the final
rules, the report is required to be .
returned to the Agency within.15 daj
the date the waste is received at thet
facility. The Agency does not believe*

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Federal Register / Vol. 45. No.  98 / Monday. May  19. 198O / Rules and Regulations       33191

 ,   that requiring a 15-day turn-around time
    for these reports will be b'urdensomei
    This is because it is illegal to transport
    hazardous waste without a manifest,
    and thus, the incidence of uhmanifested
    waste arriving at a facility—and the
    attendanfneed to fill out a report for .  .
    these wastes—should be infrequent.  '
     Small quantities of hazardous waste
    are excluded from regulation under this
*~   Part and do not require a manifest.
    Where a facility receives unmanifested
    hazardous wastes, it may be difficult for
    the facility-owner or operator to
    determine whether an unmanifested
    waste report should be filed. In such .
    cases, the Agency suggests that the
    owner or operator obtain from each • •
   generator a certification that the waste
   qualifies for exclusion. Otherwise,.-the
   owner or operator should file an
   unmanifested waste report for the
   hazardous waste movement
   E. Subpart F—Ground- Water
   Monitoring             .
   , The Agency received many comrher; fa "•.
   on the ground-water and leachate , ;"
 .  monitoring portions of the proposed   .
   regulation..Based on these ccixjsjeats tL»j.-,
   Agency has ma'de substantial t'i^njj^i•*&•'•
   these interim status regulations; if---'--":..::
   particular the regulations have beeu
 . changed to require ground-water '
   monitoring at surface impoundments,
   landfills, and land treatment facilities.   •
   The proposed interim status regulation
   required ground-water monitoring anls  ^
   at those surface impoundments and  .  ',
   landfills where a ground-water"''  ,''"  "
 ,  monitoring system wa's already in ptaiie,
   EPA has decided, therefore,1 to'issue tkia
   Subpart as "interim final" to provide au
   opportunity for further public comment
   on this portion of the regulation.
    The proposed regulation required
   leachate monitoring in addition to       -
  ground-water monitoring at landfills  -irid'"
  surface impoundments. Such a system-- *•;
  was  to collect leachate samples in the  '
  zone of aeration between the water
  table and'the prim'ary liner or natural •
  soil barrier of the disposal facility.
  Variances were allowed for owners or
  operators who could demonstrate .that
  an alternative leachate monitoring
  technique would detect leaks as
  effectively as the prescribed system.  '
    Many commenters raised objections
  to the leachate monitoring requirement,
  arguing that it.was expensive, redundant
  and -technically infeasible. Some
  commenters suggested that leachate
  monitoring be used in lieu of ground-
 water monitoring or that the Regional
. Administrator have the option, to waive
. '-leachate monitoring for specific facility -
' locations or designs. The most
 frequently mentioned comment was that
                          it was virtually impossible to install
                          leachate monitoring systems at existing
                        •  landfills and surface impoundments.
                            While EPA still believes that leachate
                          monitoring can be an effective and
                          useful detection device in addition to
                          ground-water monitoring, the Agency
                         ; has decided not to require leachate .
                          monitoring during the interim status
                          period. This decision is based on the  •
                          technical problems associated with such
                        • a system at landfills and surface
                          impoundments. Monitoring of leachate
                          in the aeration zone has not been widely
                          used to date. EPA is aware of research
                          investigations on the use of lysimeters
                         .and other techniques to monitor
                          leachate, but is not  aware of any
                        ;  applications of aeration zone monitoring
                          beneath a full-sized disposal facility to
                        . determine whether the facility is
                          leaking.
                           Available leachate monitoring.       '.
                          technology generally involves the
                        ' placement of probes (lysimeters).
                         Beneath the'disposal facility. Since each
                         prcbs is not generally capable of  '
                        ;..-.«->nito'ring a large area, many of them
                         would have to be placed under a facility
                        ; irs order to detect a localized flaw in the
                        "•'WnJIIli design. It may nolt be possible to-
                        •: \;'v.tf.2 such devices below an'existing
                        . Itindfill or surface impoundment without
                         completely removing the waste and re-
                         designing the facility. Moreover, once
                         •juc'a a system is in place, the probes
                        utfKii.i to fail  over time due  to     -'
                         deterioration or plugging.  It is difficult to
                         determine when such a failure occurs
                        . and, if discovered, the damage is
                         generally irreparable. Under these
                         circumstances EPA does not believe that
                         leachate monitoring should be a general
                         requirement for landfills and surface
                         impoundments during interim status. •
                         Tha Agency will continue to examine
                         f'r?e appropriateness  of leachate
                        •^monitoring at new landfills and surface
                        ;: impoundments. Depending upon the
                         results of these studies, the Agency may
                         include leachate monitoring -.  , ',
                         requirements in the Phase II or Phase III
                         regulations.
                           At land treatment  facilities, h.owever,
                         soil pore water monitoring (the
                        equivalent of leachate monitoring) is,
                        feasible, even at existing facilities. Such
                        a system can provide valuable
                        information on the effectiveness, of the '
                        land treatment processes occurring in
                        the soil. However, it is no substitute for
                        ground-water monitoring for
                        determining actual contamination of
                        ground water. This requirement is
                        discussed in more detail in the "Land
                        Treatment" portion of this Preamble.
                          EPA believes that a reliance on
                        ground-water monitoring, instead of
                        leachate monitoring,  at landfills and
   surface impoundments will adequately •
   protect human health and the
   environment. As will be described later.
   'the monitoring system required for ail
   such facilities relies on testing for
   indicator parameters at the edge of the •''
   waste management area. Such a scheme
   should give the owner or operator, as
   well as EPA, a relatively prompt
   indication of any leakage from the
   facility into ground watsr.
    The following is ,a discussion of the
   specific elements of the interim status
   ground-water monitoring requirements:
    1. Applicability. The proposed
   regulations specified a minimum ground-
•   water monitoring system, capable of
   detecting and identifying hazardous
   waste or its constituents if (hey entered
  .'an underlying aquifer in sufficient".     -
   quantities to cause;a "significant"
 -  change in ground-water quality.
    The proposed regulation contained a
  variance to the effect that a-ground-
  water monitoring system would not be
  required, or a  lesser degree of ground-
  water monitoring could boused; if .the
  owner-sw-operator cntslii '.^c-i.'/nsti'ats, at'
  the time a permit WT* V-3ti:-.i.i, thai.-.-'
  geologic and hydr':lo^;--'-.t'.i.i-.si-i«>--is-
  underlying the fab!/ •, Vt^V>;;W"';- "~
  .potential for disofea-$' '-.-• v•••< -j/-.^ «vater.  •'
  Some commenters argu* d 1 ;aj*he
  current state of knowledge about
 . ground-water monitoring is too limited:
  to serve as a basis for regulation. T;.e
  majority of commenters discu^ing th'is
  section, however, focused an ibe '
  variance provision, -suggesting that it
  allow qonsideratioirof d variety of
  factors. These included tli£,.existing
  suitability of the aquifer as an
  underground source of drinking water.
  waste, characteristics, expense of     '
  monitoring and facility design.
   Some commenters suggested relaxing
  the variance by changing "no potential"
  to "low potential", So.me.&oiight        -
 monitoring should be required'only over
 an underground source of drinking  •
 water. Other commenters suggested that
 for deep water tables, as in the West, a
 variance or alternative monitoring
 technique would be  appropriate.
   These final interim status regulations
 require owners and operators to
 implement a ground-water monitoring .
 program, including the installation,
 operation, an'd maintenance of a
 monitoring system specified in the
 regulations. The program must be   •
 capable of determining the facility's
 impact on ground-water quality in the
 uppermost aquifer underlying the
- facility. While EPA acknowledges that
 ground-water monitoring is complicated
 and that the current state of knowledge  '
 will continue to be improved, adequate
 monitoring methods for detecting

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33192       Federal Register / Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules  and Regulations


                                                                                                          ) WJjfaw
    contaminant migration are available. In
    light of the crucial role which such
    monitoring plays in the assessment of
    environmental damage, a ground-water
    monitoring program must be a basic
    element of any disposal activity. The
    Agency will continue to refine these
    regulations as the state of the
    technology improves.
     In focusing on the uppermost aquifer,
   EPA does not mean to suggest that it is
   unconcerned about contamination of
   deeper aquifers. The monitoring
   program seeks to detect contamination
   of the uppermost aquifer because that
   will be the first ground water to be
   affected by a leaking disposal facility. If
   an owner or operator knows, or wishes
   to assume, that his facility is
   contributing hazardous waste
   constituents-to the ground water, the
   regulations allow him  to install and
   operate a ground-water monitoring
   system other than the indicator  •
   parameter monitoring system discussed
   below. In this case he must implement
   the ground-water quality assessment
   program discussed in detail later.
    In these final interim status
   regulations, the Agency has again  .
•   incorporated a variance within the  •
   ground-water monitoring requirement
   As the commenters suggested, a lesser
   degree of ground-water monitoring will
   be allowed in those circumstances
  where an owner or operator can
  demonstrate to the Regional
  Administrator that there is a low
  potential for hazardous waste
  constituents to migrate to water supply
  wells or to surface water via the
  uppermost aquifer. (Migration via the
  uppermost aquifer includes migration
  through such an aquifer to a deeper
  aquifer hydraulically connected to water
  supply wells or surface waters.) A
  complete waiver of monitoring is only
  available when the owner or operator
  can demonstrate that there will be no
  potential for migration to water supply
  wells or surface water.
    An owner or operator who wishes to  '
  Install a lesser degree of monitoring
  must document the justification for such
  an approach. That written
  demonstration must be certified by a
  qualified geologist or geotechnical
  engineer, kept on the facility premises.
  and, during interim status, provided to
  the Regional Administrator upon his
 request. Such a demonstration to
 support a lesser degree of monitoring
 must include an evaluation of (1) a
 water balance of precipitation,
 evapotranspiration, runoff and
 infiltration: (2) characteristics of the
 saturated and unsaturated zones: arid
   (3) the proximity of the facility to water
   supplies or surface waters.
     The'Agency does not believe that
   aquifers underlying the facility that do
   not qualify as underground sources of
.   drinking water should be exempted from
   consideration. Such aquifers may have
   other uses worthy cf protection, or- may
   be hydraulicaUy connected to other
   water supply wells or surface waters
   needing protection.  .
    RCRA's goal of protecting human.
   health and the environment does not
   allow the Agency to reduce the basic
   monitoring requirements simply because
   of the cost EPA has also rejected a
   consideration of the nature of the waste
   arid the facility design as a basis for .
 ' reduced monitoring requirements. EPA
  does not believe that the- state -of •;    ••
  knowledge about hazardous wastes and
  facility designs is sufficiently certain to
  justify reductions in the basic
  monitoring system during interim status.
    2. Ground- Water Monitoring System.
 The proposed regulation required the-
 installation of at least four wells. At
 least one well was to be located
 hydraulically upgradient to yield
 samples of background ground-water
 quality. At least three were to be
 located hydraulically downgradient in
 order to detect migration from the .
 facility. One-of the three wells had to be
 located at the solid waste boundary.
 The downgradient wells were to be
 placed at different depths in order to
 detect potential migration. Owners and
 operators were required to case their
 wells and backfill the annular space in
 .order to prevent migration of water
 down the well bore. The most frequent
 comment received on these
 requirements requested a more flexible
 approach to ground-water monitoring.
 Commenters were concerned that the
 Agency was proposing rigid
 requirements which would be too
 difficult to implement, considering the ~  '
 highly variable nature of subsurface
 conditions. They expressed concern
 over the required number, placement.
 and depth of wells and suggested  '
 various options.'
   Several commenters discussed the
 requirement for a minimum number of
 wells arguing that the number of wells
 needed will vary with conditions such  ,
 as the hydrogeology of-the area, the size
 of the facility, and the configuration of
 the waste management area.. Some
 commenters believed that the proposed
 minimum number of wells was adequate
 while others suggested one, two or more
 than three wells.
   These final regulations require that .
 the owner or operator drill a sufficient
number of wells to characterize the
potential contamination of ground-water
   quality caused by his hazardous .
 •  facility. On the upgradient side oL
   waste management area this meal_
   there must be enough wells (at least
•   one) to characterize .background ground-
   water quality in the uppermost aquifier.
   The owner or operator must assure that
   the upgradient samples represent true
   background conditions and are not   ',.
•   contaminated by the facility.
    There must also be a sufficient
   number of downgradient wells to
   provide representative samples capable
   of detecting migration of hazardous
   waste constituents from' the'facility. EPA
   has retained its requirement'that a
   minimum of three wells should be
   drilled at the downgradient side of the
  waste management area. This number
  was recommended to the Agency by
  several respected groups familiar with
  ground-water monitoring at disposal
  facilities. The public comments did not
  present a specific rationale for any other
  minimum number of wells.
    While the Agency has maintained in
  the regulations the requirement for a
  minimum of three wells, it expects that
' many  facilities will have to drill more.
  than three wells because of the size of
  the facility or because of the complex
  hydrogeology below the facility.
  Ultimately the burden is oh the oWj
  operator to develop the monitoring'
  system necessary to accurately
  characterize the aquifier and detect
  migration. It should be recognized that
  an owner or operator that can present a
 convincing case for a lower number of
 wells has the option of justifying and ,
 installing such lesser monitoring under
 the terms of § 265.90(c) of this '
 regulation.
   Some commenters suggested that EPA
, specify a spacing interval and maximum
 or minimum depths for monitoring wells.
' Other commenters sought more
 flexibility in the standards, particularly
 in defining well depth,  to allow for
 consideration of site-specific factors.
•EPA  believes that the spacing and depth
 of wells should depend on the particular
 pattern of ground-water flow below a
 facility, making it extremely difficult to
 specify national minimums or
 maximums in this area. Thus the Agency
has decided to leave the spacing and
depth of wells up to the owners and
operators. They will have to be able to
justify their selection of a monitoring
system  in light of the particular
hydrogeology below their facilities.
  ' Commenters also suggested that the
placement of monitoring wells between
the waste boundary and the propert  ~
boundary be a matter for owner or 1
operator discretion. Two objections',^,
were  raised to placement of wells at the
solid  waste boundary. First, commenters

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                Federal  Register / Vol. 45. No. 98  /  Monday. May 19,'198O / Rules and Regulations
                                                                        33193
 ,  argued that such placement was
   redundant in light of the requirement for
   leachate monitoring. Second.
   commenters suggested -thait if wells were
   placed close to the active portion,of the
   facility, leachate that moved laterally in
   the soil below the facility would enter  "
   the annular space around the monitoring
   well and quickly pass into the ground-
   water.  .            • "•'.,•
 .    EPA believes that the monitoring
   wells should be placed as close  to the
   waste boundary as possible in order to
   give a prompt indication of ground-
   water contamination. This is
   particularly important since leachate
   monitoring has been deleted. If
   significant ground-water contamination
   occurs before detection, the difficulties .
   of corrective action are made all the
   more severe. Therefore it is appropriate
   to place monitoring wells at the edge of
   the waste management area to provide
  .early detection.             '
    EPA does not believe that the
  placement of wells required in this
  regulation presents a significant risk
  that monitoring wells will become
  conduits for leachate passing to ground-
  water. EPA expect* that most of the
  leachate flow will be vertical rather
  than horizontal. In addition, the
  regulation calls for monitoring at the
  edge of the waste management area-
  rather than under the solid waste itself.
  This is to eliminate any suggestion that
  the wells should be drilled through any
  natural or artificial barrier that may
  contain the waste. The problem of
  migration of leachate will be reduced by
  place monitoring wells outside of any ,
  such containment barrier. Lastly,  the
 regulations call for backfilling of the
 annular space around the monitoring
 well casing; which should reduce  the
 risk of the "conduit" problem.
   The few comments that addressed the
 requirements for casing wells and
 backfilling the annular space generally
 sought further clarification of the
 Agency's intent for the requirement One
 commenter suggested that the term
 "casing" be clarified. Other commenters
 suggested design measures, such as
 gravel or sand packing, that would
 improve the well's capacity to provide
• representative samples. Another
 commenter suggested that EPA delete
 the requirement that, backfill be
 "impermeable" because no backfill
 material is truly impermeable.  •   .
   Generally EPA believes, that this   '
 provision should be more performance-
 oriented. Thus the  final Part 265
' regulation specifies that, the casing  '
 construction and any necessary gravel
 or sand packing should be directed
 toward the objective of collecting
 samples at the appropriate aquifer flow
   zone and of protecting the integrity of
   the bore hole. An open hole would not
   provide such assurances and thus it is
   clear that some well pipe structure
   capable of drawing samples at selected
   depths is required. Likewise backfilling
• -  should be directed at assuring the
   samples, and the ground water itself are
.   riot.contaminated. rather than.the
   question of whether particular materials
   are truly impermeab.le. The regulation,
   therefore, has been changed to make
   clear that those are the objectives of the
   well design provision. Finally, these
   regulations do not require separate
   monitoring systems for each component
   of a facility that consists of more than
•   one landfill; impoundment or land
':   treatment area.-The Agency-'s-past-and-
  present intent was and is that the
  ground-water monitoring system'would
  b'e installed at the perimeter of the
  waste management area. That intent is
  specifically stated in these regulations.
    3. Sampling and Analysis. The
  proposed regulations required the owner
  or operator to establish the background
  ground-water quality of the underlying
  aquifer for a "comprehensive" set of    '.
  over 40 contaminants. The
  determination of this background
 quality was to be based on monthly  •
 sampling for one year. Thereafter, the
 facility was to sample annually for the
 "comprehensive" list. In addition the ;
 owner or operator was to sample at
 shorter intervals (that depended on
 ground-water flow rate) for a "routine"
 set of contaminants. The "routine" list of
 parameters included specific
 conductivity, ,pH, chloride,  total
 dissolved solids, dissolved organic    '
 carbon and the principal hazardous
 constituents in the waste. A "Note"
 allowed a reduction in the         •
 "comprehensive" list of contaminants
 for those substances that would not
 result from the treatment, storage, or
 disposal of a particular waste.
   Commenters questioned the need for
 monthly sampling to determine">.
 background water quality, arguing for a
 more flexible approach. The Agency
 believes that obtaining representative
 background data at a reasonably
 frequent interval is of critical
 importance in establishing an accurate
 ground-water monitoring system. As an
 initial step, annual monitoring is
 unacceptable because it cannot reflect
 seasonal fluctuations. The Agency has,  .
 therefore, decided to require quarterly
 background monitoring which should be'
more  sensitive to seasonal fluctuations.
Owners and operators are certainly free
to monitor at greater frequencies to    '
provide a more thorough
characterization of the aquifer.
     Several commenters suggested that
   the Agency specify particular
   procedures for sampling, sample
   preservation, and methods of analysis.
 ,  The Agency is not at this time specifying
   such procedures in the regulations; there
   may be several acceptable approaches.
   Thus the regulations require the.owner  .
   or operator to develop and follow a
   ground-water sampling and analysis
   plan. The terms of the plan will be
   enforceable against the owner or    .
   operator. The plan must specify
   procedures'for sample collection,
   sample preservation and shipment
   analytical procedures, and chain of'
   custody control. Simply to'provide
   guidance in this area, a comment in the
 . .regulation suggests that owners and
   operators consider using methods
   contained in two EPA publications:
   "Procedures Manual for Ground-Water
  Monitoring  at Solid Waste Disposal
 , Facilities" (August 1977) and "Methods
  for Chemical Analysis of Water and
  Wastes" (March 1979).
    EPA received many comments on the
  list of parameters to be used in the •
  sampling program. Those Who argued
  that the list  was too extensive said that
  some parameters were redundant and
  that variances should be allowed for
  contaminants not expected to be  in the
.  waste. They also suggested that the
  "routine" set of contaminants  should be
"  short and be used to trigger the need for
  more extensive monitoring. Those who   '
  believed that the list was  not extensive
  enough  argued that broad parameters
  such as dissolved organic carbon,
  biochemical oxygen demand, and  :
  chemical oxygen demand were
 insufficiently sensitive .to detect some
 highly toxic  organics which are
 dangerous at low levels. In addition,
 •they suggested that the ground-water
 level be recorded because such   .
 fluctuations  may require modification of
 the sampling program to make it
 effective.   '    '                ...
   The final regulations drop the     "  •
 reference to  "comprehensive" -and
 "routine" parameters. The regulations.
 require monitoring for three sets of   " , •
 parameters that each serve a different .
 purpose...                    '     '
   The first set reflect the aquifer's
 suitability as a drinking water supply.
 These parameters, contained in
 Appendix III; are those specified in the
 Interim Primary Drinking Water
 Regulations established under the Safe
 Drinking Water Act Owners and
 operators, are to test for these
 parameters quarterly during the first  '
 year only and report this information to
 the Regional Administrator.   .  •
   While  the Agency is concerned about"
ground-water protection for a variety of

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    33194
Federal  Register / Vol. 45. No.  98 / Monday. May 19. 1980 / Rules and  Regulations
    purposes, use of ground water .as a
    drinking wafer source is of particular
    concern. These interim status
    regulations do not establish'a specific
    ground-water protection standard, but
    the Agency has decided that the Phase H
    regulations will, at a minimum, be
    designed to protect drinking water
    supplies. The purpose of the initial
    sampling for drinking water parameters
 '   is to identify facilities that may be
    severely degrading present and future
    drinking water supplies. The fact that a
   particular aquifer is becoming
   unsuitable as a drinking water source
   will be useful to the Agency in
   establishing priorities for permits. The
   Agency will focus its initial attention on
   facilities which appear to be having the
   greatest effect on an aquifer's suitability
   as a drinking water supply. By using
   contaminants  from the Interim Primary
   Drinking Water Regulations the Agency
   does not mean to suggest that this
   specifies a complete list of the
   parameters that define an aquifer's
   potential as an acceptable drinking
   water supply, but these contaminants
   will be useful to the Agency in
  establishing its priorities.
    The second set of parameters includes
  chloride, iron, manganese, phenols,
  sodium, and sulfate. These parameters
  are generally recognized as useful for   .
  characterizing ground-water quality.
  These contaminants are ubiquitous in
  the environment and are often used to
  characterize a ground-water supply's
  suitability for a variety of uses. The
  owner or operator is to draw quarterly
  samples for these parameters during tha
  first year and annually thereafter.
  Information on  these parameters will be
 useful in any assessment of ground-
 water contamination'that follows the
 determination thai a facility is leaking.
 Such information will, for example.
 assist the Agency in determining the
 extent to which contamination of the
 aquifer may be coming from sources
 other than the disposal facility.
   The third set of parameters consists of
 four indicators that will be used to
 determine whether a facility is leaking.
 As indicated earlier the Agency will be
 developing its ground-water protection
 strategy as part  of the Phase II
 regulations. For  any such standard it
 will be important for a facility to answer
 the threshold question of whether
 hazardous waste constituents are
 entering the aquifer underlying the
 facility. The four indicators—specific
 conductance. pH. total organic carbon,
 and total organic halogen—reflect
 changes in the organic and inorganic
 makeup of the ground-water. A
statistically significant change (increase
                          or decrease for pH, increase only for the
                          others) in these indicators between the
                          initial background concentration or
                          value and those from downgradient
                          wells suggests that organic or inorganic
                          substances are being introduced into the
                          aquifer by the facility.
                            Increases in specific conductance
                          indicate the presence of inorganic
                          substances in the ground water.
                          Likewise increases or decreases in pH
                          suggest the presence of inorganic
                          contamination. Total organic carbon
                          (TOG) and total organic halogen (TOX)
                        •  concentrations in ground water tend to
                          increase as a result of organic
                          contributions from a hazardous waste
                          facility. The methodology to sample and
                          analyze for these indipators is presently
                          available. EPA believes that monitoring
                          these indicators will be'sufficient to
                         make the threshold assessment of
                         whether a facility is .leaking. Certainly
                         owners and operators are free to
                         perform more extensive monitoring.
                           Since ground water monitoring data
                         for the indicator parameters is to be
                         evaluated statistically, the Agency has
                         specified that each determination of the
                         concentration or value of an indicator
                         parameter in a ground water sample be
                         based upon a minimum of four replicate
                         measurements. This number of
                         replicates, using generally accepted
                        .techniques, will assure a reasonable
                         degree of accuracy, needed for the
                         specified statistical testing, which is
                        explained in .the next section.
                          EPA agrees with the commenter .who
                        suggested that a determination of the
                        ground-water elevation should be made
                        each time a sample is taken. Such
                        information will assist the owner or
                        operator in determining whether the
                        monitoring system is drawing samples '
                        from appropriately located weils. The
                        regulation, therefore, includes a
                        requirement that ground-water elevation
                        be determined each time a sample is
                        obtained.
                          In response to commenters EPA has
                        specified a two-stage monitoring system.
                        Broad indicators are used initially to
                        determine whether a facility is leaking.
                        If such leaking is detected, a more
                        specific ground-water quality
                        assessment program, described later in
                        this Preamble, is initiated. EPA believes
                        that the use of broad .parameters as.
                        indicators is an appropriate strategy to
                        determine whether a facility is leaking.
                       In response to the general concern
                       expressed by commenters on the
                       number of parameters to be monitored,
                       EPA has limited its requirements for
                       indicator monitoring to four parameters
                       which are necessary, at a minimum, to
                       detect leaks. It is unlikely that a facility
                       would selectively emit low levels of
   highly toxic organics that would tl;
   miss detection.               - "
     4. Preparation. 'Evaluation, anl—
   Response. According to the propol^
   regulations, detection of significant
   changes in ground-water quality
   required the operator to notify-the
   Agency, to determine the cause and the
   extent.of contamination, and to         -
   discontinue the facility's operation.
   Comments received showed that the   .
   proposed language did not clearly
   indicate whether these actions should
   be tak'en simultaneously or sequentially.
   Commenters stated that discontinuing
   operations, based solely upon a
   statistically significant monitoring
   result, was unjustified.
     The final regulations have been.
   revised to remove ambiguities. Also,
   rather than requiring that facility
   operations cease, the.final regulations
   specify a sequential approach. Upon
   detecting any suspected discharge from
   the facility by statistical evaluation of
   the ground-water monitoring data, the
   owner or operator is required to notify
 .  the Regional Administrator, within one
  week of any such detection, that his
  facility may be contaminating the
  ground water. He must also, within 15
  days after this notification, develop and
  submit to the Regional Administrai  "
  plan, certified by a qualified geolol
  geotechnical engineer, for assessing
  quality of the ground water. The
  regulations require that an outline of •
  such a ground-water quality assessment
  program be developed and kept on-hand
  at the facility by the"time ground-water
  monitoring is initiated. The  plan must
  specify; the number, location, and
  depths of monitoring wells to be used
  for the assessment; the sampling,
  analysis, and evaluation procedures to
  be-followed: and a  schedule of
 implementation. The owner or operator
 must then implement this plan and.
 determine as quickly as technically  -
 feasible the rate and extent of migration
 and concentration of hazardous waste
 and hazardous waste constituents from
 the facility in the ground water. Within
 15 daya after completion of the first
 determination, he must submit to the
 Regional Administrator a report
 containing the results of the ground-
 water quality assessment. If the owner
 or operator can demonstrate, using
 newly acquired and previously gathered'
 ground-water monitoring data (including
 the general water quality data
 developed to satisfy § 265.92(b)(2]J, that
 his facility is not contributing hazarc
 waste or hazardous waste constitua'
 to the ground water, he must so staL
 the report and may reinstate  his origi
ground-water monitoring program.

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Federal  Register / Vol. 45, \ No. 98 / Monday. May 19. ^1980 / Rules  and Regulations
                                  33195
   However, if his assessment shows that
   hazardous wastes or hazardous waste
   constituents from his facility are
   entering the ground water, he must
   repeat the ground water, assessment at •
   least quarterly thereafter, until final
   closure of the facility.
     Detection of statistically significant
   changes in the indicator parameters in
   the upgradient wells does not require
   implementation of .ground-water quality
   assessment program. This information
   may be useful at a later time, though, in
   demonstrating that significant changes
   in downgradient water quality resulted
 '  from sources other than the hazardous
   waste facility.                  •
    As .indicated earlier, an owner or
   operator may install an alternate
  ground-water monitoring system if Ke
  feels that monitoring for indicator
  parameters would show that his facility
  was affecting the ground water. Any
  such alternate monitoring program must
  be able to provide the above described
 ground-water quality assessment.
    The final rule specifies different
 requirements for the  duration of ground- '
 water monitoring depending upon-the
 operating status of the facility and the
 monitoring program utilized.
    Monitoring of indicator parameters is
 intended to detect facility leakage into
 the ground water. If such leakage is
 detected the ground-water quality
 assessment program is to be
 implemented to establish the magnitude
 of the problem. If the  assessment
 demonstrates the absence of hazardous
 waste constituents in the ground water,
 the owner or,operator may reinstate
 indicator parameter monitoring until
 suspected leakage into the ground water
 is again detected. This detection could.
 of course, trigger the need for another
 ground-water quality,  assessment, and
 so on. throughout the  active life of the
 facility, and for disposal facilities.
 throughout the postclosure care period
 as well. If. on the other hand, the first
 determination under the ground-water
 quality assessment program
 demonstrates that hazardous waste
 constituents have indeed entered ground
 water, the assessments must be
 repeated quarterly, until final closure of
 the facility. Since additional hazardous
 wastes  will be received at the facility
 throughout this time, additional
 assessments,are .necessary to determine
 any further impact from these wastes on
 the ground-water quality.
   If the first determination of ground- •
 water contamination, by implementation
 of the ground-water quality assessment
plan, occurs during the post-closure care
period, however,  the sources of
contamination are expected to be
relatively stable such that repeated
                          assessments would only confirm the
                          initial determination of contamination.
                          For this reason only one ground-water
                          quality assessment which demonstrates
                          contamination is required during the
                          post-closure care period- By a similar
                          line-of reasoning, those facilities which
                          from the beginning utilize an alternate
                          ground-water monitoring system,
                        .  equivalent to a ground-water quality   '
                          assessment program, are not required to
                          make repeated assessments after final
                          closure of the facility.               .
                           The more frequent monitoring (i.e., •
                          quarterly) under the assessment
                          program is required to enable the •
                          Regional Administrator and the owner
                          or operator to be fully aware of the,
                          extent of ground-water contamination.
                          Such information will be useful, for.
                          example, in providing warning to	
                          downgradient'ground-water.users of any
                         potential danger, if-necessary.
                           The final regulations also require that
                         any ground-water quality assessment
                         which is initiated prior to facility closure
                         be completed and reported to the
                       ,  Regional Administrator. An assessment
                         which is underway  may not, therefore,
                         be hatted merely because the facility
                         closes.
                           The final rule also differs from the
                       .  proposed version in the test,for.
                         statistical significance. As proposed,
                        "analyses of ground-water quality were
                         to be compared to the background
                         quality established for each  facility, '
                         using the single-tailed Student's t-test at
                         the 95 percent confidence level.
                         Commenters claimed that the Student's
                         t-test at the 93 percent confidence level
                         was too restrictive. Commenters stated
                         that the Student's t-statistic is     .  .
                         inappropriate because it is dependent
                         upon a normal distribution.-which - -  -
                        cannot be assumed for ground-water
                        data because of seasonal fluctuations.  •
                        One commenter suggested establishing
                        tolerance limits as an alternative to
                        specifying a statistical test of
                        significance.
                          After considering these comments, the
                        Agency reproposed the statistical test
                        on September 19.1979 (44 FR 54323-
                        .54324) and specified the use of the
                        Mann-Whitney U-test at the 95 percent
                        confidence level.-In specifying the,
                        Mann-Whitney U-test,'which is a non-
                        parametric test, the Agency sought to
                        overcome the major weakness of the
                       .Student's t-test, namely, its underlying
                        assumption of "normality." Commenters
                        on the reproposal generally preferred
                        the Student's t-test oyer £he Mann-
                        Whitney U-test, for two reasons. First,
                        they were more familiar with the
                       Student's t-test. Second, several
                       commenters explained that while there
                       is'an underlying assumption of '
   normality for the. Student's t-test, it is
 - tolerant of considerable departures from
   that assumption! The Agency has "     '.
   therefore again specified the Student's t-
   test in these final regulations.
     The required statistical comparison in
   these regulations, however,, differs  from
   that proposed in several ways as a
   result of concerns which commenters
   raised on. the broader topic of
 •  statistically, differing ground-water
   quality. Commenters suggested that
   there was a high probability of
   statistically significant increases   .
   resulting from anticipated natural
   fluctuations in ground-water quality and
   from analytical error (i.e., false
   significance). The Agency has
   incorporated several changes which,
   when combined, should greatly  •
   minimize the possibility of "false",
   significance. These include: limiting to
   four the number of indicator parameters .
   to be compared: performing the t-test at
 . the 99 percent level of significance'
   instead" of the proposed 95 perc'ent'level;
  and intitially responding to detected
  statistically significant difference by
  taking additional ground-water check
  samples,to confirm the significant
  difference.                          '•
    In addition, to assure  .that accurate
 . data is used by the owner or operator in '•"'
  the statistical comparisons, the'Agency
  requires that four replicate            •'  .
  measurements be made  on each
  obtained ground-water sample for each
  indicator parameter. Four replicates   '•
  provide 95 percent confidence that' the
 average of the measured values will be
 within five percent of the actual value if
 generally accepted analytical
 procedures are followed. •
 •  In its investigations of statistical test
 procedures which could  be useful  in
 interpreting ground-water.monitoring
 data, the Agency gave consideration to. .
 standard industrial quality control
 concepts and procedures for data
 evaluation. The Agency is aware that
 these procedures were developed for
, relatively well controlled and operated
 industrial processes. However, the
 conceptual basis of monitoring ground-
 water quality indicators is similar  in  the
 sense that the variation of the indicator
 measurements under typical       ,
 circumstances should be predictable
 within limits. If no leakage  from a
 hazardous waste facility or other
 hydrblogic change has occurred, the
 ground-water quality indicator levels
 should remain within  such limits.
 Excursions outside the limits  would
 indicate that changes  may have
 occurred that require further  ,           •
 investigation. Quality control methods
 may be adaptable to suqh a situation.

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    Quality control methods also have the
    advantage of bring generally accepted
    and understood. The basic approach in
    a ground-water monitoring program
    would be to use data gathered during a
    baseline peribd to establish limits that
    would encompass a range of typical
    variation in ground-water quality
    indicator parameters. Excursions
    outside these limits in subsequent
    monitoring samples would indicate' the
   need for further investigation. While the
   Agency believes that the use in these
   regulations of the Student's t-test is
   appropriate, comment is requested on
   the use of a quality control approach in
   interpreting ground-water monitoring'
   data. Such comments should identify
   specific procedures and concepts which
   appear amenable to this purpose.
     5. Recordkeeping and Reporting. The
   proposed  regulations required making
   quarterly reports of ground-water
   monitoring information and keeping
   ground-water quality data and
   analytical procedure records for a
   period of three yeirs. The few
   commenters that addressed this
  provision made 'wo points. First, they
  suggested  that quarterly reporting was
  unnecessary. Second, one commenter
  suggested  that the owner or operator
  send copies of any reports to State and
  local authorities.
    The Agency has decided that annual
  reporting of the data on the indicator
  parameters should provide sufficient
  notice on general compliance'with the   •
  regulations. The Agency can, of course.
  examine, the data held by the owner or
  operator to comply with these
  regulations at any time. In the first year
  of monitoring, however, it is necessary
  to have more frequent monitoring and
 reporting to identify those aquifers that
 are in greatest jeopardy. Such
 information will be used to set priorities
 for consideration of permits. In keeping
 with that goal, the owner or operator
 must indicate in his quarterly report
 during  the first year of monitoring which
 parameters exceed the contaminant '
 limits specified in Appendix EL
   These regulations require the owner
 or operator to retain his ground-water
 data for the active life of the site, and
 for the duration of the post-closure  care
 period for disposal facilities, instead of
 the three-year period specified in the
 proposed regulations. The Agency
 believes that the actual monitoring data
 (i.e., all  replicate measurements on all
 samples) may provide useful
 information  in determining the type and
 extent of ground-water contamination.
 Since ground-water changes may occur
slowly, it will be useful to have a history
of the facility that is longer than three
   years. Both the owner or operator and
   the permitting authority should have
   access to such information when
   needed^
     The regulations-do not require the
   owner operator to send the ground-
   water report to State or local authorities.
   This step is unnecessary. Those States
   and local authorities that are interested
   in examining the reports may obtain
   copies from EPA or the authorized State
   agencies responsible for receiving such
   information.
     'Slightly different reporting
   requirements apply depending on
   whether the owner or operator is
   following the indicator program or the
   ground-water quality assessment
   program at the facility...

   F. Subpart C—Closure and-Post-Closure-
    The purpose of the final Part 265
   closure and post-closure standards is to
   ensure that all hazardous waste
   management facilities are closed in a
   manner that (1)  minimizes the need for
  post-closure maintenance, and (2)   '
  controls, minimizes, or eliminates, to the
  extent necessary to protect human
  health and the environment, post-
  closure escape of waste, leachate.
  contaminated rainfall, or waste
  decomposition products to ground or
  surface waters, and the  atmosphere.
  There are two types of closure and post-
  closure requirements in  these final rules:
  (I) general requirements, which are
  contained in Subpart G:  and (2) specific
  technical requirements, which are
  included in the facility-specific
  regulations for landfills:  land treatment
  facilities; surface impoundments;
  incinerators; tanks; and thermal,
  physical, chemical, and biological
  treatment facilities.
   This section of the preamble focuses
  on the Subpart G general closure and
 post-closure requirements. The technical
 standards establish in more detail
 specific requirements and additional
 objectives for closure and post-closure.   -
 They also set forth factors owners and
 operators must consider in. addressing
 those objectives. They are intended to
 give flexibility to facility  owners or
 operators, and to reduce the possiblity
 for over response to these requirements.
 The technical standards are described in
 later sections of this preamble.
   The final interim status regulations
 specify what facility owners or
 operators must do after wastes are no
 longer received for treatment, storage, or
 disposal. (This was called "closeout" in
 the proposed regulation but the term has
 been dropped because it was frequently
 confused with "closure".)  '
  Closure is the period.after wastes are
no longer accepted, during which the
    owners or operators complete treat
    storage, and disposal operations, '
    final cover to or cap landfills, andL
    dispose of or decontaminate equip?™,.,
    PosNclosure is the period after closure
    during which owners or operators of '
    disposal facilities;must conduct certain
    monitoring and maintenance activities.
    EPA believes that if. the disposal facility
    has been properly located, designed.
    operated, and closed, and no
    contaminant leakage problems have
    occurred during the operating life of the '
   facility or during the post-closure care
   and maintenance period, then the
   probability of significant ground-water
   contamination is very small.
     1. Period of Post-Closure Care. The
 •  proposed rules required that post-
.  . closure care be conducted for 20 years  '
   at disposal facilities. The Agency
   received numerous comments on this
   requirement. About half of .these
   comments favofed a period less than the
   20 years proposed  but the other half  .
   favored a longer period Those
   supporting a longer period argued that
   the hazard posed by many wastes exists
   for an extremely long time, and that   •  '
   monitoring should be carried out'
   perpetually, or for as  long as  the wastes
   are hazardous. Those favoring a shorter
   time argued that only a few wastes
   remain hazardous for more than a I
  years. These commenters felt' that t_
  was too much uncertainty and potenT
  economic burden with the proposed
  standard, because it carried a potential
  for unnecessary monitoring.
    As a result of the extensive comment,
  the Agency has considered the post-
  closure care issue, and has  decided to
  extend the post-closure period from 20
  to 30 years. EPA believes that
  eliminating leachate monitoring
  requirements makes it necessary to
  monitor ground water  for a longer
  period of time, and that further analysis
  qf financial requirements, as well as
  changes in these regulations, make it
  practical to do so.
    Public comment persuaded EPA (see  '
  Background Document on Ground-water
 Monitoring) that existing leachate'
 monitoring techniques  are impractical,
 except at land treatment facilities. Thus,
 EPA has deleted the leachate monitoring
 requirements for landfills and surface
 impoundments. EPA had believed that
 leachate monitoring systems would act
 as early  warning systems. Since it will
 take longer for contamination migration
 to reach ground-water monitoring points
 than it would have taken to reach
 leachate detection monitoring points,,,
 is necessary to monitor for a longer "
 period.
   EPA is now convinced that it is
 reasonable to monitor and maintain

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                                           '         -  -  .           '"'••.',''     /
                Federal Register /Vol. 45. No.  98 /.Monday. May  19. 1980 / Rules and Regulations
                                                                         3329?
   closed disposal facilities for 30 years.
   Because EPA no longer requires  ,  '
   leachate and air monitoring, owners or
   operators need not provide the money
   for these activities. Furthermore,
• .  proposed changes in the financial  .
   regulations will make all financial
   requirements less costly. Owners or
   operators will be able to satisfy closure
   'and post-closure responsibilities through
   a number of financial mechanisms.
   many of which .are substantially less
   expensive than-trust funds. (For a
   complete description of the proposed
   financial mechanisms, see the proposal
   section of this Federal Register and the
 .  Background Document on Financial  '•
   Responsibility.) Also, in these proposed
   financial regulations for interim status,
   owners or operators may build closure,
   trust funds during the expected site life,
   rather than by advancing all the money
  •initially.'This alternative Will make trust
   funds less expensive. As a result, EPA is
  convinced that owners or operators can
,  now maintain and monitor disposal sites
  for 30 years after closure.
    However, because of the uncertainty
  caused by the lack of extensive
  experience with properly designed
  disposal operations, the Agency does
  not believe that an unalterable national
  rule is necessarily the best way to
  ensure human health and environmental
  protection. The permitting process will
  provide for case-by-case review of the
  period for post-closure.care and the
  interim status  standards permit EPA to
  shorten or lengthen the 30-year post-
  closure period as appropriate on a case-
 by-case basis. Thus, for.example. if an
  owner or operator can demonstrate to
 the Re'gional Administrator that there is
 no need to monitor and maintain his
 closed disposal facility for the entire 30-
 year period, the period could be
 shortened. Representatives of the public,
 on the other hand, could also petition to
 have the monitoring period extended for
 cause.
   EPA agrees with those commenters
 who.pointed out that risks from some    :
 wastes persist for long periods of time."
 For organic wastes disposed of in an
• anaerobic environment, the
 decomposition to non-toxic products is-
 very slow. Similarly, heavy metals
 temain toxic forever, and may be
 mobilized unless carefully managed.  •
 This may argue for perpetual monitoring
 of land disposal facilities'. However, the
 Agency has found that it would be
 nearly impossible  for small single
 facilities to finance such activities in
. perpetuity, after revenues cease. Thus,
 some form of national insurance is •
 necessary to ensure perpetual   ••
 monitoring of these facilities, because
   many of them would surely default if
   required to conduct perpetual   .    •  '
 ,  monitoring. EPA is considering asking •
   Congress to enact legislation to develop
   such a national insurance program, in
   the' interim, the Agency has revised
   these interim status regulations to allow
   the Regional Administrator to extend
   some or all of the post-closure  care
   requirements for cause, e.g.,'because
 ,  contamination is detected or feared
   imminent               .            '
     2. Notice in Deed to Property. A
   number of commenters questioned the
   legality of the proposed standard which
   required the owner or operator to
   record, in the deed of the property, a .
   stipulation restricting future use o.f the -
   property. In response to these  -
   comments,.the Agency.has'reworded the
   requirement, so that the owner  or
   operator of a facility in which hazardous
 .  waste will remain after closure must ,
   submit evidence that a notation has
  been placed on the deed to the property,
  or on  an,appropriate alternate
 . document The notation must warn that
  Federal law limits post-closure  use of
  the property by anyone in a manner that
  would disturb the integrity of the final
  cover, the linerfs), or the monitoring
  systems of the facility ..During interim
  status, the owner must place the
 •notation on the deed or alternative "
  document, but need not submit evidence
  to EPA of having done so unless
 specifically requested by the Agency.
   3, Amendment and Submission of
 Plans. Several commenters suggested
 that during the operation of the facility
 before closure, owners or operators
 should be able to amend the closure
 plan and the closure cost estimates that.
 they submitted as a requirement for the
 facility permit They claimed that this
 would help ensure that the plan  is
 current, and that the closure funds are
 .sufficient, and it would allow for
 operating changes which might affect
 closure. The Agency agrees, and has
 modified the-regulations accordingly.
 During interim status, modifications to
 the closure plan must be made where
 appropriate, but need not be approved
 by EPA,.since closure plans must be    '
 submitted to EPA only in the event that
 the  site closes. The owner or operator
 must submit his closure plan to the
 Regional Administrator at least 180 days
 before  the date he expects to begin
 , closure. All of the above considerations
 apply to post-closure plans for disposal
 facilities as well. Both closure and post-
' closure plans are deemed requirements
 of Subtitle C, and the plans themselves
 are enforceable by EPA.
   4. Time Allowed for Closure. Several
 commenters thought the proposed 90-
   day limit for completing disposal or for
   removing waste from facilities after
  •_ wastes are no longer received, was too '
   stringent and inflexible. The      '
   commen,ters argued that, at certain times
 ,  of the year, weather would prevent
   completing waste disposal or removal at
 ,  a facility, and that 90 days is not enough
   time to complete these activities a-t most
   facilities. EPA disagrees. Closure plans,
   which are developed far in advance of
   actual closure, can certainly be
   developed to ensure that wastes are
   disposed of or removed within 90 davs
   of commencing closure. This should be
 _  the first activity.conducted when a
   facility commences closure, and owners
   or operators should ensure that waste
   inventories are reduced to manageable
   levels b'efqre commencing closure in
   order to comply with the 90-day
   deadline.     '        '      .   ,   '
     The proposed regulations required  "'
   that closure be completed within three  '
   years after the facility stopped accepting
   wastes. A number of commenters  ' •••
   suggested that the time limit for closure
   activities was too long in most cases,
   and should be made more flexible. The
  Agency agrees, and has reworded the  .
  requirement to indicate that closure
  must be completed within six months.' A
  variance procedure will, allow a longer
  period, where it.can be  justified,
  although in no case may closure take •
  more than three'years.                ^ ,
    5. Post-Closure Permits. EPA is
  considering a procedural mechanism
' someWhat different from those
  contained in prior proposals for dealing •
  with the problems involved in
 monitoring facilities after closure and
  taking corrective action where .•  ,
  necessary. As stated;earlier in this
  preamble, EPA does not believe that
  Subtitle C of RCRA.was intended'to
 cover disposal sites for hazardous waste
 which were closed before the effective
 date of these regulations. However, a
 different situation is presented for the
 post-closure care of facilities which at
 one time had received a RCRA permit  or
 interim status and  operated under.it.
 "There can be little  question that the
 statute intended EPA to  require
 measures to be taken, for as long as
 necessary, to ensure that these facilities
 and the waste located there do not pose
 a threat to human health or the
 environment. One of the major purposes
 of the closure and financial  ,     i,
 responsibility provisions-of the Part 264
 and Part 265 regulations  is-to ensure that
 sites remain safe even after they cease
 •active operation.
   Under the structure of Subtitle C, the
 only consistent way to make sure that
 the  necessary corrective measures can '.

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                Federal Register / Vol.  45. No. 98 /Monday, May 19. 1980 / Rules  and Kegufa tions
                                                                         73199
   .  The financial strength of local.entities
   [cities and counties), on the other hand,
   is not as certain. Some local
   governments do become insolvent, and
  .if small enough, might not be in,a
 .  financial position to fulfill their closure
   and post-closure responsibilities.,
   Further, some publicly-owned facilities
 ,  are established as authorities, and are
-  supported financially very much like
   corporations, Le., they are not backed by
   the taxing authority of the local
   government Because of these potential
   problems, the Agency has developed a
   revenue test which, if met, would qualify
   facilities owned by local governments
   for an exemption. Because this test is
  new, the'Agency is proposing this
  provision for public comment
  H. SubpartI—Containers
    Drums and other containers provide
  an inexpensive means for generators of
  hazardous wastes to accumulate and
.  store the wastes, in a form which will b«
  easy and relatively inexpensive to carry
  away. All too frequently, generators and
  others storing hazardous waste drums
 have simply put them somewhere out of
 sight, without any further concern about
 what would eventually happen to the
 wastes. The many damage incidents
 described in the background  document
 on containers detail the awful
 consequences of this practice. The
 drums eventually weather and corrode.
 releasing their contents. Dumps of
 decaying drums have seriously
 contaminated surface water and ground
 water have emitted fumes which have
 killed vegetation and nauseated and  •
 sickened nearby residents, facility .
 operators, and enforcement officials;
 and have burned, or exploded, injuring
 and killing facility personnel and
 sending clouds of toxic smoke and
 fumes over adjacent heavily populated
 areas, disrupting the activities and
 threatening the health of thousands of
 people.
   The most elementary and
 straightforward precautions will
 frequently eliminate these problems.
 These regulations generally require
 nothing more than simple .good practices
 in the management'of containers of
 hazardous wastes—a level of care,
 commensurate with the hazardous
 nature of the wastes stored. The Agency
 believes that these regulations should ,
 not be difficult to implement, and that
 they will provide a great improvement in
 the problems posed by current bad
 practices.       •  ,
   The final regulations for containers
 are largely^taken from the standards
proposed for interim status for
containers, for storage generally, and for
a few other activities that pertain to
   containers. As discussed below.
   requirements for ignitable. reactive, or
   incompatible wastes have been added,
   and the provisions concerning empty
  •containers have* been removed or
   absorbed in Part 281—Identification and
   Listing of Hazardous Waste. -   •
     1. Condition of Containers. The •.
   proposed regulation {§ 250.44-2(a J)
   required that wastes in leaking or
   damaged containers be recontainerized
   in containers in good condition. EPA
   received no comments on this
  requirement and it has been retained in
  the final regulations. A provision has
  been added allowing wastes to be.
  managed in other ways than
  recontainerization. so long as they meet
  the requirements of Part 285.       ,
    2. Compatibility of Waste With
  Container. The final regulation.
  requiring that containers or their liners
  be compatible with the wastes stored in
  them, is essentially identical to the
  proposed regulation (§ 250.44(h)) for.
  storage generally. In contrast to the
  regulation for tanks, this regulation
  retains the standard that "the ability of
  the container to contain the waste
  [should not be] impaired" by the waste.
  While some corrosion by wastes may be
  permissible for tanks, the Agency
  believes that waste should not be stored
  in a container in which it may cause any
  substantial amount of.corrosion. First
  the concept of "useful life" does not
  work well with containers. Most tanks
  will remain under the supervision of a
  single owner or operator for a long
  period of time. However, a generator '
  placing  waste in a container will
  probably not know how long it will be
  stored, and the operator of a storage
  facility will probably not know just how
  long he  can expect a container to last.
  Secondly,  containers are generally
  constructed of lighter materials than
  tanks, and have seams which are more
  vulnerable to corrosion. Leakage due to
  corrosion is therefore more likely and    •
  less predictable for containers than for
  tanks.
   3. Management of Containers. The
 proposed definition for containers
 implied  that they were closable. The
 final definition is broader, indicating
 that any portable device containing
'hazardous waste comes under the
 regulations of this Part. The requirement
 that containers be kept closed now
 appears  in the substantive regulations.
 Its purpose is, as it was originally, to
 minimize emissions of volatile wastes,
 to help protect ignitable or reactive
 wastes from sources of ignition or
 reaction, to help prevent spills, and to-
 reduce the  potential for mixing of .
 incompatible wastes and.direct contact
 •  of facility personnel with waste. While
   many commenters argued and the
   Agency agrees that storage may
   properly be conducted in open tanks
   and surface impoundments, requiring
   containers to be kept closed does not,.
   unnecessarilyres'trict storage options.
   All containers have lids or some other
   closure device, and keeping containers
   closed whenever possible  is simply a
   matter of good operating practice. It is
 •' not expected that containers of
   hazardous waste need be opened
   routinely to inspect the waste or the
   container or for reasons other than to
.   add or remove waste.
    The proposed regulations also
   required (in § 250,44-2(b)) that
  •containers be managed so  that they do
   not rupture or leak. EPA received no
   comment on this provision, and it has
   been retained as proposed. Its purpose
   is to assure that, in addition to removing
   waste from.containers in bad condition,
   owners and operators manage
  containers so that they stay in good
  condition, and handle them so that they
  do not rupture.    .       .     •
    4. Inspections. As an adjunct to the
  general inspection requirements, the
  regulations for various types of facilities
  arid equipment include specific
  inspection requirements. The regulations
  for containers call for weekly inspection.
  of container storage areas for leaks and
  deterioration of the containers. Leaks
  and container deterioration are the
  primary source of damage from
  container storage which can be   '
  minimized through inspection. The
  proposed regulations (§§ 250.43-6(a) and
  250,44(c)) called for daily inspections.
  Commenters believed that daily
  inspections were unnecessary,  and that
  less frequent inspections would be
  adequate". The Agency agrees that
  corrosion of containers and the
  development of leaks is usually a slow
  process, arid that daily inspections are
  typically more frequent than is
  necessary; weekly inspections should
 generally be adequate.
   5. Closure. Because these regulations
 apply to th&.storage of hazardous
 wastes, the definition of storage requires
 that all hazardous wastes and
 hazardous waste residues must be
 removed at closure from a container
 storage facility or from that  part of the
 facility being closed. The closure plan
 required by Subpart G must address this
 requirement. In removing hazardous
 wastes or, residues, the owner or.
 operator becomes a generator of
hazardous wastes and must manage
• them in accordance with all applicable '.'
'requirements of Parts.262, 263, and 265
of these regulations. -

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   33200       Federal Renter /  Vol.  45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
     8. Special Requirements for Igm'table
   or Reactive Waste. The proposed rules
   did not contain any special standards
   forignitable or reactive wastes. Simply
   as a matter of good practice, ignitable or
   reactive wastes should, of course, be
   protected from any conditions or
   materials that could cause them to ignite
   or react, in order to guard against fires,'
   explosions, or violent reactions.
     The requirement in these regulations
   that containers of ignitable or reactive
   waste be 15 meters (50 feet) from the
   facility's property line is taken from the
   National Fire Protection Association's
   (NTPA) Flammable and Combustible
   Code of 1977. The purpose of the
  setback required in the Code is to
  protect adjacent residences, businesses.
  and other public places from the acute
  effects of explosions and fires that may
  be caused  in facilities that store
  flammable materials. While the Agency
  believes that the Code provides an
  adequate basis for requiring a minimum
  setback of 50 feet the Agency does not
  yet have enough data to determine
  whether an additional setback should bo
  required where highly explosive or toxic
  wastes are stored. The Agency expects
  to monitor  the effectiveness of this
  regulation and revise it If necessary.
  Since the NFPA requirement is
  straightforward and already applies
  under OSIIA regulations of facilities, it
  is appropriate for inclusion in the '
  interim status standards. Since this  ,
  regulation was not proposed, it is being
 promulgated Interim final
   7. Special Requirements for
 Incompatible Wastes, General
 requirements for incompatible wastes
 are discussed above in the preamble
 section entitled "General Requirements
 for Ignitable, Reactive, or Incompatible
 Wastes."
   The proposed interim status
 regulations contained a provision
 (§ 250.44(1)J prohibiting the placement of
 a hazardous waste in an unwashed
 container which had previously held an
 incompatible waste. The final
 regulations retain this provision, with
 the modification that placement of a
 waste in such an unwashed container is
 allowed if it will not violate the general
 standards for the handling of
 incompatible wastes. This regulation is
 required because even "empty"
 containers typically have a certain
 amount of waste remaining on the
 bplton or the sides. The fact that the
 container itself may be compatible with-
 both wastes will not prevent th'em from
 reacting with each other if they are
 incompatible. Compliance with this
regulation will probably require owners
or operators to wash empty containers
   or to be able to determine the properties
   of the materials they last contained
   through,records, segregated storage of
   empty containers, tests, or some other  .
   means.
    The final regulations also provide that
   incompatible wastes or materials must
   not be placed in the same container
   unless the general standards for
   incompatible wastes will be complied
   with. The proposed regulations did not
  contain such a provision because it was
  thought that placement of incompatible
  waste in containers was not typical.
  While such mixing may not be common.
  the Agency has decided as, a matter of
  completeness that it should be covered.
  by the incompatible .waste regulations.
  The need for complying with the general
  requirements for incompatible wastes is
  as clear here as it is in other cases
  where incompatible wastes are mixed.
  The requirement is straightforward and
  appropriate for interim status.
   The proposed regulations also
  contained a provision (J 250.4-4-2(d))
  that containers holding incompatible
  wastes should be separated or protected
  from each other to prevent mixing of
  incompatible wastes  if containers
  should leak or break. The final
  regulation clarifies the proposed
 regulation. It extends it to containers.
 stored near incompatibfe wastes in
 other containers or in piles, open tanks.
 or surface impoundments—where the
 incompatible wastes are exposed on the
 surface. It also indicates that protection
 will typically be in the form of a dike,
 berm. or wall. "Nearby" should be
 interpreted  to mean close enough so that
 wastes from broken or leaking
 containers might commingle with  .
 incompatible Wastes before the situation
 would be discovered and corrected in
 the ordinary course of operations.
   8. Empty Non-combustible Storage  :
 Containers. The proposed interim status
 regulations contained a section
 (5 250.44-2(f)) requiring empty non-
 combustible, containers to be recycled in
 some fashion. This section was intended
 partly to assure proper management of
 the hazardous waste residues remaining
 in the empty containers, and partly to
 Implement one of the objectives of
 Section 1003 of RCRA—to promote the
 recycling and recovery of material and '
 energy resources. The Agency has
 reconsidered its position, in light of
 comments received on this section, and
 has changed the focus of these
 regulations to the protection of human
health and. the environment through the
appropriate.management of hazardous
waste. Some contaminated containers
are listed as hazardous wastes under
Part 261 of these regulations, and must
   be managed as such or re-usedj
   result, the regulations on empt^
   combustible containers have bee
   deleted from this Section.
     9. Paper Bags. Another section of the
   proposed interim status regulations
   (§ 250.44-2(g)) required that  .
   contaminated paper bags be managed in
 ;  closed secondary containers. EPA
   received a number of comments on this
   requirement arguing that the standard
   was unnecessary because the amount of
   waste which adheres to such bags is
   small, and that the bags can be properly
   managed \)y other means. In light of the
   comments, the Agency has reorganized
   the proposed regulations. Some bags
   and liners contaminated with certain
   toxic-materials are now listed as
  hazardous wastes in Part 281 and must
  be managed like other hazardous
  wastes. Other contaminated bags are
  not declared hazardous and are no
  longer regulated under this Part. In
  either case, the proposed regulation is
  unnecessary and has been deleted.

  /. SubpartJ— Tanks

   1. Definitions. In the. proposed rules,
  the standards for tanks were markedly
  different from those for basins.
  were regulated as covered cents
  devices used for storing hazardc
  waste. By contrast, basins were
  regulated as uncovered containment
  devices used for treating hazardous
  waste. (The proposed rules did not
  address the use of tanks for treating
  hazardous waste.) Both tanks and
  basins were assumed to be constructed
  primarily of artificial materials or wood,
 rather than earthen materials.-
   The Agency's re-evaluation of its
 conception of storage now permits
 storage to be conducted in uncovered as
 well as covered devices, such as surface
 impoundments. Thus basins, as they
 were defined in the proposed
 regulations, are now-recognizecTas
 appropriate storage devices, and the
 Agency has recognized that treatment as
 well as storage may be conducted in
• tanks. These changes have made the
 proposed regulations' concepts of basins
 and storage tanks essentially identical.
 As a result, the Agency has combined
 the two concepts into one: tanks are
 now defined to be "stationary device(s)
 designed to contain an accumulation of
 hazardous waste and constructed
 primarily of non-earthen materials ...
 which provide structural support."i
 Tanks are referred to as covered
uncovered -when appropriate. The
m

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               Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Rules and Regulations        33201
  "'basin" has been eliminated from the
  .regulations.1         •  '    •
  •, The Agency has reorganized the
  regulations to gather the proposed
  standards for tanks into one Subpart
  (Subpart ]). This Subpart includes
  standards from those that were
~ proposed for storage tanks (5 250.44-1)
.  and basins (§ 250.45-4). for storage     •
  generally (250.44). for treatment
  generally (J 250.45], and for chemical.
  physical, and biological treatment
  facilities (§ 25O45-6). A number of other
  standards from the proposed Section
  3004 standards have been incorporated
  into the present set of interim status
  •standards for tanks. The following
  discussion is organized along the lines
  of the present Subpart J.
   In addition, as explained under
  Subpart Q. the regulations for chemical.
  physical and biological treatment
  facilities (Subpart Q] are essentially
  identical to the regulations for tanks;
  The following discussion therefore also
  serves to present the foundation for the
  Subpart Q regulations. References to
  tanks in the following discussion are
  also meant to include the waste
  containment components of chemical.
  physical, and biological  treatment.
  equipment          :
   The general operating requirements
  and the requirements for waste analysis
  and trial tests were proposed primarily
  for inclusion in the general standards
  and partly for inclusion in the interim
  status standards. They are therefore
  being promulgated interim final only to
  the extent that the Agency will consider
  comments on whether they are
  appropriate for inclusion in the interim
  status  standards.
   2. General Operating Requirements.
  The proposed interim status standards
  for storage {§ 250.44(h)) and the
  proposed general standards for basins
  (§ 250.45-4(b)(l). (d). and.(e)) and
  chemical, physical and biological
  treatment facilities (§.250.45-6(a) and   -
  (b)(2))  included requirements which
  placed restrictions on the type of
 materials used to build tanks and the
 type of waste placed in thenv to ensure
 that the waste was compatible with the  ,
 construction material of the tank.
   'The Agency also mistakenly proposed two
 definitions for storage tank*, in { 5 250.21 and 250.41.
 They were the same except that the latter provided
 that waste in storage tanks must be pumpable: this
 requirement was not intended and has been
 removed. In addition, basin* were defined to be less
 than 100.000 gallons in capacity. This was included
 only to help distinguish basins from surface
 impoundments, which may be larger than 100,000
 gallons., Because the 100OOQ gallon limit proved  '
 confusing and because basins (now tanks) and    .
 surface impoundments are adequately distinguished
 by their construction materials, the 100.000 gallon
 limit has been deleted.
    Few:comments were received on
  these proposed standards. Some
  commenters suggested that the
  standards should be modified to reflect
  the fact that the construction materials
  of most tanks will inevitably be
  somewhat impaired by the chemical
  properties of the wastes they contain.
  The Agency, agrees that tanks need not
  be designed to last forever. Therefore,
  the final rules have been modified to
  require that the ability of tanks to
  contain waste during their intended life
  is not impaired.
    Proposed S 250.45^6(e) provided for a
  2-foot freeboard for uncovered reaction
  vessels. Some commenters felt that the
  2-foot freeboard requirement should be
 .made more flexible by allowing owners
  or operators to use other methods to
  prevent hazardous waste from splashing
  over the rim of an uncovered tank. .The •
  Agency agrees that methods such as
  dikes, trenches, or diversion to stand-by
  tanks may provide a degree of
 protection equal to that afforded by 2
 feet of freeboard. Therefore, the
 standard has been modified to require
 uncovered tanks to either have (1) 2 feet
 of freeboard or (2) a containment,
 drainage control, or diversion structure
 which has a capacity that equals or
 exceeds the volume of the top 2 feet of
 the tank.
   In a similar vein, some commenters
 felt that the proposed requirement for an
 automatic waste feed cut-off or by-pass
 system (5 250.45-6{g)J should be'made
 more flexible by allowing owners or
 operators to use other types of
 emergency response systems in, the
 event that their treatment process
 breaks down. The Agency agrees and
 has rewritten the standard in terms of a
 performance standard. The final
 standard requires that facilities at which'
 hazardous waste is continuously fed
 into tanks be equipped with a means to
 prevent the inflow of waste to the tank*'
 but it does not require that any       *
 particular method(s) be used to
 accomplish this objective. With the
 deletion of the requirement that the cut-
.off be automatic,' the requirement is
 certainly appropriate for inclusion in the
 interim status standards because it
 should not require major equipment
 modification.  •
  .3. Waste Analysis and Trial Tests, As
 an adjunct to the inclusion of general
 requirements for waste analysis in the
 interim status standards, the Agency is
.including specific waste analysis
 standards for specific types of facilities
 and equipment Those for tanks;
 chemical, physical, and biological
 treatment facilities; and surface
 impoundments are drawn from proposed
   § 250.45-6 (b) and (c), and combined into
   a singfe requirement for each type of •
   facility. The purpose of these
   requirements is to prevent accidents and
 '•  haphazard experimentation with new
   wastes or new treatment techniques
   when chemical treatment of large
   batches of'waste is involved. Put
   another way, these requirements ensure
   that the operator knows not only the
   characteristics of the waste involved,
   but how that waste will behave in a
 ' treatment.process, or how a hew
 .  treatment process will affect the wastes
   and the facility. Haphazard
   experimentation or treatment of waste
   without trial tests may cause corrosion
   of containment devices, fires,
   explosions, and other problems
   associated with ignitable, reactive, or •
   incompatible wastes. Trial tests, or
   documented information or similar
   wastes under similar treatment
   processes and similar operating
   conditions, should bring  to. light
  'unanticipated problems before  large.
   batches of waste are treated.
    The comments have prompted several
   changes to the proposed sections. The
  regulations have been revised to make •.'
  clear the Agency's original intent that
  waste continuously flowing into a
   treatment process need not be
  continuously tested; tests or information
  are required only before  the process is
  begun, or .when the waste or treatment
  process, changes significantly.
  Documented information may be used in
  place of tests when the information
  covers wastes, processes, and operating
  conditions similar to the ones to be
. undertaken. However, reliance on
  documented information does not  r
  relieve the owner or operator of primary
  responsibility for assuring that he
' complies with the remainder of the
  regulations.    .                     .
    4. Inspections. Citing the relative
  structural stability of tanks (and the   ,
  dikes surrounding them), several
  commenters suggested that the proposed
  daily inspection schedule (§ 250.43-6
  and 5 250.44(c)} was unnecessary  for
  tanks. EPA agrees that tanks and dikes
 • need not be inspected daily, and has
  therefore changed the frequency for
  inspection of these aspects of facilities
 from daily to weekly. However, the
 daily inspection requirement has been
 retained for emergency response sytems
  (e.g... waste feed cut-off or by-pass
• systems), the data gathered from  '
 monitoring equipment (e.g., pressure and
 temperature gauges) and waste level
 indicators at tanks.
    5. Ignitable, Reactive, or Incompatible
  Wastes. Requirements for ignitablei
 reactive, or incompatible wastes were

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   332D2       Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980  / Rules and Regulations
   proposed for interim status in standards
  _ for storage (§ 250.44(i)) and in standards
   for treatment (§ 2S0.4S(c) and Note), and
   for the general standards under basins
   (S 250.45-4 (b) and (c)). Most of the
   requirements in the present regulation
   are discussed above  in the general
   section on ignitable, reactive, or
   Incompatible wastes.
     The Agency has added a standard to
   the regulations which requires facilities
  storing or treating ignitable or reactive
  waste in tanks to comply with the
  National Fire Protection Association's
  (NFPA's) buffer zone requirements for
  tanks, contained in Tables 2-1 through
  2-6 of the "Flammable and Combustible
  Code—1977**. The purpose of this
  standard is to minimize the potential for
  injury to  the facility, facility personnel.
  and the neighboring public from flying
  debris and toxic air emissions which
  could result from explosions or fires
  involving hazardous waste..The
  standard applies only to ignitable or
  reactive wast? because the potential for
  fires and explosions is largely confined
  to such wastes. The NFPA standards
  already apply to many tanks containing
  ignitable materials under OSHA
'  regulations. Since this requirement was
 •not proposed, it is being promulgated
  interim final, and the Agency will
  consider comments on it.
    6. Closure. The proposed interim
  status standards (or basins (5  250.45-
  4{h)) and the proposed general
  standards for chemical, physical and
  biological treatment facilities (§ 250.45-
  6(h}) required that all hazardous waste
  and hazardous waste residues be
  removed when the facility closed, and
  be disposed of as hazardous waste. A
  few commenters contended that the
  requirement that all residues resulting
  from treatment processes would have to
  be managed as hazardous waste was
  inconsistent with the statement in the
 preamble to the proposed Section 3001
 rules, which required that waste be
 analyzed only when the generator has
 reason to believe that his waste is
 hazardous. The Agency believes that
 treatment residues will normally be
 hazardous. To clarify its position, the
 Agency has revised the Part 261 rules so
 that they now specify that residues from
 hazardous waste treatment processes
 are a hazardous waste unless the owner
 or operator can demonstrate otherwise
 (see the Part 261 preamble for the
 rationale for this change). The present
 regulations recite this in a comment
/. Subpart K—Surface Impoundments
   Surface impoundments, also known as
pita, ponds, or lagoons, are often used'to
treat, store, or dispose of hazardous
waste. A surface impoundment is
  defined as a part of a facility which is a
  natural topographic depression, man-
  made excavation, or diked area formed
  primarily of earthern materials, although
  it may be lined with  man-made
  materials. Impoundments are designed
  to hold an accumulation of liquid wastes
  and wastes containing free liquids. •
  Some are lined with clay or synthetic
  materials to reduce or eliminate leakage
  to ground water. Leakage to ground
  water poses the most serious threat to
  human health and the environment from
  impoundments, but air emissions from
  volatile wastes and overtopping of the
 . impoundment as a result of overfilling.
  precipation. or wind can also be serious
  problems. Discharges to surface water,
  which may be associated with such
  impoundments, are subject to control
  under the Clean Water Act (NPDES
  program),
   The requirements for minimum
•  freeboard protective cover on dikes
  ("Containment System"), waste analysis
  and trial tests, special requirements for
  ignitable and reactive wastes, and
 special requirements for incompatible
 wastes were all proposed for inclusion
 in the general standards in a form not
 radically different from that proposed
 here. Since they were not proposed for
 inclusion in the interim status standards,
 they are being promulgated interim final
 only to the extent that the Agency
 solicits comments on whether they are
 suitable for inclusion in the interim
 status standards.
   The final RCRA interim status
 regulations for surface impoundments
 involve the following issues.
   1. Existing Surface Impoundments.
 Many commenters stated that the
 proposed general regulations were
 infeasible for existing surface
.impoundments. They argued that
 retrofitting thousands  of existing
 impoundments would  be impractical.
 and suggested less stringent regulations
 for existing impoundments, unless they
 were found to be causing an
environmental problem. The Agency
agrees that if an owner or operator can
demonstrate that an existing surface
impoundment is not contributing
measurable quantities of contaminants
to ground water, retrofitting should not
be required in the interim status
regulations. (To the extent the comments
addressed issues relevant only to the
general regulations, those comments will
be addressed when the final general
regulations are issued.) This issue was
discussed at length in the previous
discussion of Existing Facilities.
  These regulations may require
retrofitting of some existing surface
impoundments for maintaining
freeboard and providing protective
  cover for earthern dikes. Howevea
  requirements are standard featunf
  properly engineered surface
  impoundments, and should not pose a
  substantial burden to owners or
  operators of most impoundments.
    2, Minimum Freeboard. The proposed
  general standards provided a minimum
  freeboard requirement. The Agency
  believes that such a freeboard
  requirement meets the criteria for
  interim status standards. It is accepted
  engineering practice to design surface
  impoundments with sufficient freeboard
  to protect against overtopping by waves
  or precipitation, and most.surface
  impoundments already have Z feet of
  freeboard. At least six states already
  require the 2-foot freeboard required in
  these regulations. As a result, an interim
  status freeboard requirement will not
  typically require large capital
  expenditures by owners or operators,
  nor will it require interaction with the
  Regional Administrator. For those
  facilities which do not meet the
  minimum freeboard requirements,  the
  minimum freeboard can be established
  in a short period of "time by such means
  as reducing the quantity of waste or
  adding additional height to the dikes.
    The proposed regulation required that
  the freeboard in a surface impound
  be capable of containing rainfall fi{
  24-hour, 25-year storm,, but not hn f	
  than 2 feet. The objective was to prevent
  spillover of hazardous waste from
  waves or rainfall, and to reduce the risk
  of overfilling. Comments varied from
  suggestions that there be no
  requirements for freeboard to
  suggestions for more stringent
,  requirements.
   The Agency has re-evaluated the
  effect of a 24-hour. 25-year storm, and
  has found that it would necessitate a
  smaller freeboard requirement than the
  specified minimum of 2 feet. It is thus
  unnecessary. The same is true of all
 other suggested storm standards,
 including the 24-hour, 100-year storm.
  . No comments focused on the specific
 measure of 2 feet for minimum
 freeboard. Engineering handbooks,
 textbooks, design manuals, and State
 regulations specify the need for a
 minimum 2-foot freeboard to prevent
 overtopping by waves or rainfall.
 Therefore, the Agenpy is retaining a 2-
 foot minimum freeboard requirement.
  Some commenters suggested that level
 controls (coupled with NPDES discharge
 permits) should be allowed instead of a
 minimum freeboard. The Agency
 disagrees. Any level controls must sj
 provide for a minimum freeboard ta
 protect against overflows resulting^-
 breakdowns in level control equipme...,
 operator errors, waves, and significant

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               Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules and Regulations        33203
  • rainfall. In addition; since the Agency
   has deleted the phrase "average
   maximum" from the proposed definition
   of freeboard, the regulation now
  . requires 2 feet of freeboard at all times
   during nonpar operation.
    3. Containment System. The proposed
   general regulations required all earthen
   dikes to have an outside protective
   cover to minimize wind and water
   erosion. This requirement has been
   added to the interim status standards.
   Protective cover for earthera dikes is
   considered to be standard engineering
   practice, and many impoundments
   already have such a cover. Therefore.
   the Agency does not believe that a
   substantial capital coat or any
   interaction with the Regional
  Administrator, will be necessitated by
   this requirement. The sole comment on
   this section stated that the purpose of
  protective cover, the preservation of the
,  structural Integrity of the impoundment.
  should he noted in the regulation. EPA
  agrees and has done so.
    4. Waste Analysis and     '   '
  Recordkeeping. Waste analysis
  requirements were not included in the  .
  proposed interim status standards but
  were proposed  as requirements in the
  general standards which applied to all
  facilities. However, the final  interim
  status standards contain general waste
  analysis requirements uvSubpart B, and
  in addition, include specific
  requirements for waste analysis in'the
  standards for surface impoundments.'
  Since these standards are essentially
  identical to those for tanks and
  chemical, physical, and biological
  treatement facilities, they are discussed
  in the section on tanks (Subpart J).
   The proposed interim status standards
  required that the owner or operator keep
  records of the contents and location of
  each surface impoundment This
  information will reduce the probability
  of accidental mixing of incompatible
  wastes, aid in resolving damage
  incidents, and assist in determining
  proper closure, procedures. Because all
  hazardous -waste facilities must keep
  records on the types and placement of
  wastes, the recordkeeping requirements  .
  for surface impoundments are included
  in the general recordkeeping
  requirements for all facilities  under
  Subpart E.                     .   .
   5. Inspections. The proposed interim
  status standards required that surface-
  impoundment dikes be inspected daily
  in order to detect and correct any
  deterioration of the dikes. This rule was
  intended to minimize the possibility of
 dike failure.           '     •  .  . ~  .
  - Comments supported the need for
 inspections, but recommended that they
 be conducted less frequently.
 .Commenters argued that dike failure is' a
 Jong-term event that can be detected
 with less frequent inspections, and that
 daily inspections would most likely be
 performed in a cursory manner. Most of
 the commenters recommended weekly,
 bi-weekly, or monthly inspections.
   The Agency agrees that inspections
 on a weekly basis are generally,
 sufficient to detect cracks, erosion, and
 other deterioration in a dike well in
 advance of dike failure. They should
 also not impose a large burden on the
 owner or operator. Additional.
 inspection may be prudent during or
 after an unusual rainfall, and should be
 considered by the owner or operator in
 the inspection schedule required by
 S 285.15. On a routine basis, however. .
 weekly inspections of the surface
 impoundment, particularly for cracks or
 leaks in dikes, represents the best
 balance between need and practicality.
   The proposed regulations also
 required a daily inspection of any
 existing system used for detecting the
 failure of a liner system or natural soil
 barrier. This would ensure the timely
 detection of a failure, of the
 impoundment liner system. This
 requirement has been subsumed in the
 general inspection requirements in
 § 2B5.15(b): the requirement for daily
 inspection has been replaced  by a
 requirement that the owner or operator
 develop his own schedule.            .
  The Agency believes that .when
 surface impoundments are in operation,
 there may be significant daily
 fluctuations in the level of the wastes.
 This potential daily fluctuation could
 substantially reduce the amount of
 appropriate freeboard needed to prevent
 overtopping, and less-thari-daily,
 inspection would not be safe in some
 instances. Moreover, this inspection is
 usually quite simple. Consequently,
 daily.inspection of freeboard is required.
  8. Closure and Post-Closure. The
 proposed interim status regulations
 required-that upon closure, all
 hazardous waste and residues were to
 be removed from a surface
.impoundment and disposed of as a
 hazardous waste, unless the
 impoundment met the proposed
 5 250.45-2 requirements for landfills and
 closed according to the landfill closure
 requirements.'The proposed regulation
 was read by many commenters to allow
 existing surface impoundments to close
 as landfills under interim status only if
 they met the proposed general standards
for design and construction of landfills
as well as the standards for closure.     >
Understandably, this drew strong
objections. Such a requirement was not
applied to landfills closing under interim
status, and it was not intended to be •
  extended.to surface impoundments.
'Although it was not \vell reflected in the
i' text of the proposed regulation, the
  Agency's intent was to require surface  .
  impoundments closing under interim
  status as landfills to meet only the
  interim status requirements for closure
  of landfills, that is. the .closure and post-
  closure care requirements for landfills^
 The present regulations have been
  restructured along these lines.
   In response to comments, the present
 regulations also allow more flexibility
  than the proposed interim status
 standards. If the owner or operator
 elects to avoid closing as a landfill, all
 hazardous wastes and hazardous
 residues must be removed-from the
 surface impoundment, including (unless
 he can show that they are non-
 hazardous) the impoundment liner (if
 any) and underlying and surrounding
 contaminated soil. The choice whether •
 to remove these materials or to close as
 a landfill is up to the owner or operator,
 (subject to the approval of the Regional
 Administrator under Subpart  G). In
 addition,  the owner or operator may
 choose to remove only part of the
 hazardous materials and then close as a
 landfill. As a comment to1 the  regulation
 points out, the detailed requirements for
 landfill closure may then be •
 substantially reduced, because they
 depend on the amount and nature of the
 hazardous materials remaining, along
 with several other factors. The Regional
 Administrator may also adjust the post-
 closure care requirements as
 appropriate for the particular  facility.
 The purpose of this approach  is to
 provide the owner or operator with a
 wide choice of alternatives, while still  '
 assuring adequate protection of human
 health and the environment from any
 hazardous wastes remaining in the
 impoundment'after closure.
   The owner, or operator's choice of
 closure plans may depend, in
 substantial part,  on just how much
 material will have to be removed from
 the impoundment. The determination of
 the amount of material 'to be removed
will be a function of the amount and
mobility of the remaining hazardous
wastes, judgments as to the precise
nature of the cover needed, and the
post-closure care required. The
determinations for closure are ultimately
subject to the approval of the Regional
Administrator. In making this judgment,
the Regional Administrator may require
tests of residues or contaminated soil to
be made by the owner or operator. For
these reasons, it may benefit,the owner .
or operator of a surface impoundment to
submit a closure plan to the Regional
Administrator substantially more than

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Federal  Register / VoL 45~ No. 98 / Monday. May 19.  1980 / Rules and  Regulations
   180 days before the target date for the
   Initiation of closure activities. In
   addition, owners and operators are
   discouraged from penetrating surface
   impoundment liners in order to sample
   and analyze underlying soil for
   contamination, unless prior discussions
   with the Regional Administrator confirm
   the desirability of this step. Liner
   penetration could greatly increase
   leakage of hazardous waste into the  •
   underlying soiL
    A major requirement for an
   impoundment to be dosed as a landfill
   Is that the waste which remains in the
   impoundment must be capable of
   supporting the final cover. This may be
   accomplished by a combination of
  removing wastes (e.g., the liquid portion)
  and treating the residues (e.g.. further
  dewatering. evaporation, of chemically
  stabilizing or solidifying the-residues).
    EPA believes that these regulations
  satisfy many of the concerns raised in
  the comments to the proposed interim
  status standards. Those comments
  stated that the surface impoundment
  closure requirements were improperly
  restrictive, that it might in some
  instances be preferable to leave the
  waste hi place than to move it. and that
  the requirement for inert fill was
  unnecessary. These regulations provide
  flexibility for closure requirements and
  allow the wastes to be left in place. The
  requirement specifying the use of inert
  material for fill has been deleted.
  Comments qri the general  standards will
  be dealt with when those standards are  •
 promulgated.
   Because, the  landfill closure
 requirements, on which the surface
 impoundment closure requirements are
 based, have been substantially modified
 and because there was some confusion
 surrounding the surface impoundment
 closure requirements proposed for
 interim status, this regulation is being
 promulgated interim final,  and the
 Agency is soliciting comments on it The
 Agency is especially interested in
 receiving comments on (1) whether the
 present landfill closure and post-closure
 care requirements need to  be modified
 as they apply to surface impoundments.
 and (2) the number, size, and other
 characteristics of surface impoundments
 from which operators might opt to
 removal some or all of the hazardous
 wastes, residues and other
 contaminated materials during closure.
   7, Ignitable, Reactive, or Incompatible
 Wastes. This  topic was previously •
 discussed in the general section of the
 same title which supplies the rationale
for the regulation of these \vastes in
surface impoundments.
  The issue of volatility has been
deferred until more data is gathered (see
                          discussion of "Volatility"). In the
                          meantime, it must be emphasized that
                          EPA does not condone the addition of
                          volatile hazardous waste constituents to
                          surface impoundments.
                            Several commenters requested that
                          during emergencies they be permitted to
                          place ignitable wastes, such.as
                          petroleum products, in surface
                          impoundments used solely for
                          emergencies. The regulation now
                          permits this, and a similar provision has
                          been made hi the tank regulations.
                          Furthermore, the section on ignitable or
                          reactive wastes is not intended to cover
                          stormwater collection and treatment
                         ponds such as those at petroleum
                         refineries, when they receive incidental
                         amounts of oily material in otherwise
                         non-contaminatedrun^ofL ...
                         K. Sabpart L—Piles
                           There were no regulations concerning
                         the storage of hazardous waste-in piles
                         in the proposed regulations because the
                         proposed rules required that wastes be
                         stored in covered containers or tanks.
                         The waste piles the Agency was aware
                         of were generally used for disposal and
                         were large enough to be properly
                         managed as landfills. The final
                         regulations still require that hazardous
                         waste disposed of in piles be managed
                         as a landfill However, at public
                         hearings during the comment period on
                         the proposed regulations, the Agency
                         became aware that hazardous wastes
                         are occasionally stored in piles for
                         which the landfill regulation* are
                         inappropriate. Comments at the hearings
                         indicated that  such piles are generally
                         small, frequently less than 3 meters  high.
                        Many are in buildings or maintained
                        outside on concrete or other pads. They.
                        are frequently  used to accumulate waste
                        before shipment, treatment, or disposal.
                        and are typically composed of a single
                        dry material                       .
                          The regulations in this Subpart are
                        drawn partly from the landfill     ,'
                       . regulations (Subpart N] and partly from
                        analogy to the storage regulations for.
                        tanks. Since none of the written
                        comments gave details on how storage
                        piles should be regulated, these
                        regulations are founded largely on the
                        descriptions of storage piles given at
                        public hearings. Because none of these
                       regulations were proposed as they relate
                        to. storage piles, they are being
                       promulgated interim final, and 'the   -
                       Agency especially solicits comment on
                       them.
                          \. Protection From Wind. Because
                       many piles are composed of dry, finely-
                       divided materials, they are likely  to be
                       subject to wind dispersal. Wind-blown
                       hazardous waste poses the obvious
                       threat of pollution of nearby land  and
   water, and the possibility of hums
   health effects from inhalation or
   ingestion. The Agency is aware o—n-
   instance where material blowing from a
   very large  pile of asbestos waste posed
   a health risk from inhalation. The
   interim status regulations therefore
   require that wastes piles containing a
   hazardous waste subject to wind
   dispersal be covered or otherwise
   managed so that wind dispersal is
   controlled. Piles inside buildings are
   already adequately managed for this   '
   purpose. In other cases, the Agency
   believes that owners and operators are
   in the best  position to develop cost-
   effective measures to control wind
   dispersal of hazardous wastes.
    2. Waste Analysis. The requirements
   in this section are intended as a
   refinement of the general requirements
   for waste analysis in § 265.13. As the
   regulation for waste piles and the
   comment to the regulation indicates, the
   basic purpose of waste analysis is to
   assure that incompatible wastes are not
   mixed, and that'ignitable of reactive
   wastes are protected from sources of
   ignition or reaction. Facilities which
  receive only one or a few wastes which
  are stored in piles typically need not
•  conduct a very sophisticated analysis of
  incoming wastes: the owner or opes
  can decide,  for example, whether
  observation of the color and textur,——,
  the waste will meet the standard in the
.  regulation.
    3. Containment. Besides the
  requirements for closure,  the major •
  difference in the requirements between
  disposal piles and storage piles is that
  the former must have ground-water
  monitoring to detect contamination. If
  leachate or run-off from a pile is a
  hazardous waste, then owners and,
  operators of the latter must either
  prevent the formation of leachate and
  run-off or control hazardous leachate
  and run-off.
   If the owner or operator chooses to
 .prevent the formation of leachate and
  run-off,  he must protect the pile from
 precipitation and run-on, and must riot
 place any liquids or wastes containing
 free liquids on the pile. (See the
 preamble section on landfills for a
 discussion of free liquids.) Piles kept in
 buildings will typically meet this
 requirement.
   Alternatively, in order to control
. leachate and run-off, the pile must be
 placed on an impermeable base so that
 leachate and run-off can be collected,
 and run-on must be diverted away from
 the pile.  The  collected leachate and
 off must be managed as a hazardoi
 waste, and an NPDES permit will b.,,,
required if the leachate and run-off is".
m

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              Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 /Rules and Regulations       332O5
  discharged through a point source to
  waters of the United States.
    The purpose of this requirement is to •
:  protect against contamination of ground
  water, surface water, and surrounding
  land by leachate and run-off from
  hazardous waste piles.
    4. Closure. Because these regulations
  apply to the storage of hazardous   ,
  wastes, the definition of storage requires
  that all hazardous wastes and •
  hazardous residues must be removed
  when the pile is closed. The definition of
  storage and the regulations in Subpart G
  also require that hazardous wastes and
  residues be removed from the pile base
 , or the containment structure or other
  area on which the pile sat and from any
  equipment or facility used to manage  <
  hazardous leachate or run-off from the
  pile. The closure plan required by.
  Subpart G must address these
  requirements. In removing hazardous
  wastes or residues, .the owner or
  operator becomes a generator of
  hazardous wastes and must manage   ,
  them in accordance with all the
  requirements of Parts 282. 263, and 235
  of these regulations.
   5. Special Requirements.for Ignitable
  or Reactive Was(e. The problems posed
  by ignitable or reactive wastes are
  discussed above in the preamble section
  entitled "General Requirements for
  Ignitable, Reactive, or Incompatible
  Waste."
   The first alternative for managing
  ignitable or reactive waste in piles—
  available when piling the waste renders
  the waste no longer ignitable or
 reactive—is the same alternative
  available for most other forms of storage
 or disposal and is straightforward. The
 second alternative—-protecting the
 waste from any materials or conditions .
 which may cause it to ignite or react—is
 analogous to the approach used for
 tanks. It may be practical for piles kept
 in buildings and in some other  .
 circumstances.
   & Special Requirements for  .
 Incompatible Wastes. These
 requirements are similar to the
 analogous requirements for containers.
 Because piles provide little containment
 of the piled waste, there is a possibility
 that piled wastes may commingle with
 other wastes stored nearby, or that
 adjacent piles may grow until they
 overlap. Commingling of incompatible
 wastes must be prevented by separation
 or by means of a dike, wall, or berm. In
 addition, if hazardous wastes are piled
 in the same place that incompatible
 wastes were previously piled, a. reaction
 between the new waste and residues
 from the previous pile may occur. Thus
 the area must be decontaminated so that
 the proscribed reactions do no,t occur.
 L Subpart M—Land Treatment
 (Landfarms)
    The Agency is now using the term
 "land treatment facility" in place of
 "landfarm" in order to employ a term •
 which more accurately describes the
 purpose of, this particular waste
 .management practice. The terms
 "landfarm" and "lahdfarming"
 misleadingly imply a connection
 between hazardous waste disposal and
 crop production or soil beneficiatibn.  •
 The term "land treatment" in contrast,
 implies that the land or soil is used as a
 medium to treat hazardous waste. This
 meaning, which is reflected in the
 regulations, is consistent with the     .
 Agency's philosophy that applying
 hazardous waste to the soil is a waste '.. •
 management practice reserved for  those
 waste streams that can be treated in a
 soil system. The limitations of this    -  .
 waste management practice are
 explained in more detail later. This-
 practice simultaneously constitutes
 treatment and disposal of hazardous
 waste..  -
   The proposed regulations included
 only ithe closure portion of the        '
 landfarming regulations in the interim
 status standards. The Agency has
 decided to include other portions of the
 regulation in the interim status        •••
 regulations because they serve
 important environmental objectives, and
 generally meet the criteria for inclusion
 in interim status. It is important to
 regulate certain aspects of land
 treatment during the interim status
 period because this is a disposal option
 that presents high potential risks in the
 absence of certain operational controls.
 These risks arise from the fact that land
 treatment involves the direct application
 of hazardous wastes to the land surface.
 Typically this occurs in the absence of
 the type of liner systems associated with
 landfills or surface impoundments.
 Unless the practice is carefully defined
 and regulated, irresponsible parties may
 try to characterize indiscriminate
 dumping of waste as land treatment. In
 addition, land treatment facilities may
 be used to grow food-chain crops. The
 Agency is concerned about the potential
 for hazardous waste constituents to
 enter the human food chain as a result
 of this practice. Since under certain
 conditions crops may be grown on such
 sites during interim status, it is
 important to address this concern during
. the interim status period.
  . Monitoring requirements .have  also '  .
 been included in the interim status
 standards because the Agency believes.
 monitoring is such an essential first .step
 in the regulation of hazardous waste
 disposal. Such monitoring will also be a
  part of any final Phase II regulations'.  .  ••
  Owners and operators of land treatment •'
  facilities, however, must begin to install
 . unsaturated zone* monitoring systems
  and begin to establish background levels
  of various parameters now so that they
  will be in a position to meet the
  treatment, groundrwater. and food-chain '
  crop protection standards.   ,  •
    1. Purpose of Treatment. In § 260.10 of
  the regulations issued today a land
  treatment facility is defined as "that
  part of a facility at which hazardous
  waste is applied onto or incorporated
  into the soil surface." Operators of land
  treatment facilities generally apply the
  waste in thin layers and use common
  farm practices such as tilling, •.;
  contouring, and erosion control
.  techniques. They may also add nitrogen
  and phosporus fertilizers to enhance
  microbial degradation of the  waste. The
  general objective of land treatment is
  the microbial degradation of,organic
  waste constituents. Compared .to the
  more conventional methods of disposing
  of waste in landfills and surface    •
 • impoundments this practice is relatively
  new, It is used primarily to treat oily
  wastes, but may be feasible for other
  types of wastes.
    While EPA doesWt wish to rule out
 : the legitimate use of this waste
  management option, there are certain
  inherent risks with this practice which
  make careful regulation necessary. One
  of the key elements in these regulations
  that will minimize such risks  is a clear
 , specification of the purpose of land
  treatment. In doing this, the Agency
  hopes to prevent the situation where
  irresponsible parties may claim that
  their indiscriminate dumping of waste is
  land treatment. EPA believes that the
  only legitimate purpose for the land
  treatment of hazardous wastes is to
  treat the waste to reduce,its hazardous
  properties. This reduction occurs
  through biological degradation or
  chemical reactions in the soil that alter
.  the  chemical state of the waste.    •
    The Agency acknowledges that soil
  has the capacity to  effectively filter and
  dilute waste. However, these physical
  mechanisms provide little or no net
  reduction in hazard if they do not alter
  the  chemical state of the waste.
  Consequently, the use of the soil solely
  as a filtration or dilution medium is not
  considered appropriate for land'
  treatment. In addition, any benefit  •'
  derived from land treating hazardous
  waste, beyond that of the treatment     •'
  itself, is considered to be incidental, and
  not an appropriate justification for
  permitting the practice; Consequently,'
  land treatment of hazardous waste
  merely for the purpose of providing '

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Federal  Register'/ Vol. 45. No. 98 / Monday. May 19.  1980 / Rules  and Regulations
    nutrients to crops is not considered an
    acceptable practice under these
    regulations.
      Based on the Agency's interpretation
    of the purpose of land treatment, the
    regulation specifies that hazardous
    wastes must not be placed in or on land
    treatment facilities unless the owner or'
    operator can demonstrate that biological
    degradation or chemical reactions in the
    soil will make the* waste less hazardous
    or nnn-^HTjpiom, Thf monitoring  •'
    requirements specified in the regulation
 .   will assist the owner or operator fa '
    confirming that determination! The
    owner or operator must be able to
    demonstrate that the treatment
    requirement is being met at the facility.
    Continued land treatment without the
   ability to make 'that demonstration is a
   violation of these regulations.
     2. Surface Water Run-On and
   Contain/noted Run-Off. The Agency has
   decided that tha term "run-off, as used
   In the proposed regulation concerning '
   the construction of "diversion structures
   to divert all surface water run-off from
 •  th« active portions of a facility," was
   confusing. Therefore tha term "run-on"
   has replaced tha term "run-off1 in these
   situations. That is, as used in these
   regulations, run-on is water which runs
   onto the active portions of a land
   treatment facility or landfill from other
   portions of the facility or from outside of
   the facility. Run-off is now defined aa
   rainwater, leachate. or other liquid
   which flows from the active portions of
   a disposal facility.
    Requirements for control of surface
   water run-off and run-on were not
   Included in the proposed interim status
  standards for land treatment facilities.
  However, those requirements were
  specified in the proposed general
  standards in § 250.43(b} and (c). Those
  regulations required the owner or
  operator to construct diversion
  structures capable of preventing run-on
  from entering a land treatment facility.
  A variance to this requirement was
  allowed where an owner or operator
  could demonstrate to the Regional
 Administrator that run-on would not
 enter the site and come in contact with
 the hazardous waste. The proposed
 regulation* also required the owner or  '
 operator to collect and confine run-off
 from active portions of the facility to a
 point source before discharge or
 treatment
   In these interim status regulations
 land treatment facilities will be subject
 to the same requirements as landfills
•regarding surface run-on and run-off.
 Run-on must be diverted away from the
 active portions of the land treatment
 facility. Run-off from the active portions
.must be collected. If the collected run-
                          off is a hazardous waste it must be
                          'managed as a hazardous waste. If it is
                          not a hazardous waste it may still need
                          to be analyzed, treated, or otherwise
                          managed to comply with Subtitle D of
                          RCRA or the Clean Water Act. For a
                          more specific description of these
                          requirements see the "Landfill" portion
                          of this Preamble.
                           The Agency acknowledges that the
                          surface area of the active portions of a
                          land treatment facility will generally be
                         larger than the surface area of the active
                         portions of a landfill This will
                         necessitate more extensive run-on
                         diversion structures and run-off
                         collection systems for land treatment
                         facilities. EPA believes, however, that
                         such controls are necessary at land
                         treatment facilities because this
                         disposal option involves the placement
                         of hazardous waste on. or barely under.
                         the surface of the land. Such a technique
                         presents a substantial risk that
                         hazardous waste or hazardous waste
                         constituents will be carried off the site
                         by surface water run-off. A12 maaih
                         delay for run-on and run-off control
                         compliance is allowed in these
                         regulations; See further discussion under
                         "Landfills."
                          3. Recordkeepiag. Under the interim
                         status regulations owners and operators
                         of land treatment facilities must ensure
                         that the application dates, tha
                        application rate* the quantities, the
                        results of wast* analyses, and tha
                        location of each hazardous waste placed
                        in the facility is in the operating record
                       . required under | 28073. Such
                        recordkeeping is needed to allow the
                        owner or operator and the Regional.
                        Administrator to evaluate the facility's  ,
                        compliance with the other requirements
                        of this Subpart For example, the waste
                        analyses, the application rates, and -
                        quantities of hazardous wastes placed
                        in the facility .will assist, through the use
                        of a mass-balance analysis, in
                        determining whether the treatment
                        objective of the facility is being met
                        Information on application dates and
                        locations will assist in determining
                        whether the unsatura ted zone   •.
                        monitoring system is properly designed
                        to detect migration of hazardous waste
                       and hazardous waste constituents!
                         4. Waste Analysis. The proposed
                       regulations contained general waste
                       analysis requirements which applied to
                       all facilities.-The general waste analysis
                       regulations in these final  interim status
                       regulations require waste analysis as is
                       necessasry to comply with the
                       regulations, including the land treatment
                       standards. Owners or operators of land
                       treatment-facilities must further analyze
                       waste for the hazardous waste
   constituents which caused the
   be listed, if it is listed, and the
   constituents which exceed the le\
   specified in Table 1 of § 261.24 of
   Chapter. Such information will be
   essential to a demonstration that the
   waste is being made less hazardous at
   the facility and will be relevant to both
   the ground-water and food-chain-crop
   protection goals of this Subpart.
    If food-chain crops are grown, the
   waste must be analyzed for arsenic,
   cadmium, lead, and mercury. The owner
   or operator need not test for each of
   these elements if he has written
   information to indicate that the
   constituent is not in the waste.
    5. Monitoring. The proposed'
  regulation required semi-annual soil
  monitoring of Ihe treated area of a land
  treatment-facility. This was to be
  accomplished by taking one soil core per
  acre to a depth of three times, the zone
  of incorporation (i.e.. three times  the
  depth to which the waste was tilled into
  the soil). If migration was detected, as
  indicated by an increase in waste
  constituent* over background levels in
  the bottom one-third of the core, the
  owner or operator was to notify the
  Regional Administrator and cease
  operation in the affected area until
  corrective actions could be taken. I
  contrast with landfills and surface;.
  impoundments, the proposed reguld—
  did not specify groundrwater monitor
  for land treatment facilities. The .
  environmental performance of a land
  treatment facility was to be evaluated
  solely on the basis  of soil monitoring.
  Because of this difference, the Agency
  solicited information on the desirability
  of ground-water monitoring at land
  treatment facilities. The Agency
 suggested that soil monitoring would
 detect migration of waste constituents
 long before ground-water monitoring
 would.              •
   EPA received several comments
 suggesting that ground-water monitoring
 in addition to soil monitoring was
 unnecessary. Other commenters,
 however, expressed the opinion that
 ground-water monitoring was also
 necessary. These commenters claimed
 that soil monitoring has certain
 limitations such as its lack of reliability •
 for detecting highly mobile
 contaminants. They argued that soil
 monitoring "should not be solely relied
 upon to provide protection of our
 ground-water resources."
 . Commenters .also were specifically
 concerned about the sampling
procedures, the standard for when  the
treatment system had failed, and tha
corrective action that was to follow
detection of a failure. The requireme!
to analyze each soil core for those

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                                   '  ,'                       .•                              *         :
               Federal Register / Vol. 45. No. 98 / Monday. May 19. 198O /  Rules and Regulations      332QT
  constituents in the waste which made it
  hazardous was considered extreme and
  impractical. Commenters suggested that
  indicator substances be analyzed
 - instead. Commenters also challenged
  the "three-times the zone of
  incorporation" test for determining
  whether the treatment system was
  successful arguing that such a distance
  did not relate to the ground-water
  contamination threat; rather, other
  factors, such as thickness and
  permeability of the nnsaturated zone, ,
  determine the potential for
  contaminating ground water. U«ing a
  similar argument, oommenten argued
  that collective action should not be
  triggered simply by the appearance of
  contamination at a depth of three times
  the zone of incorporation.       .
    After examining these comments EPA
  had decided to focus the interim status
  regulations on the establishment of the
  basic monitoring systems heeded to
  accurately, determine whether the
  complex "processes'involved in land
  treatment, are. in fact, occurring, and
  whether contaminant* are migrating to
  ground water. The development of the
  standard by which success or failure ia
  judged will be part of the Phase n
  regulations. Regardless of what that
  standard is. the facility will be required
  to install a system of unsaturated zone •
  and ground-water monitoring to
  determine the success of the treatment'
  process and impacts on ground water.
  Unsaturated zone monitoring includes
  both soil-pore water and soil core
 'monitoring.                 .
   While unsaturated zone monitoring ia
  useful  in assessing the likelihood of
 ground-water contamination at new
 facilities and in indicating any migration
 occurring with each new waste
 application at existing facilities, ground-
, water monitoring is the  only mechanism
 that can accurately detect the presence
 and degree of ground-water
 contamination. Therefore, ground-water
 monitoring is required at land treatment
 facilities. Owners and operators of
 existing land treatment  facilities must be
 able to determine the actual effect of
 their facilities on ground water in order
 to comply with the Phase II
 requirements.
   In addition, the environmentally
 sensitive nature of land treatment
 requires the owner or operator to have
 an accurate picture of the treatment
 process at work in the soil. EPA has
 decided that such an objective requires
 installation of both soil core monitoring;
 and soil-pore water monitoring. Soil
 core monitoring is useful in determining
 the extent to which the hazardous
 wastes are being attenuated and broken
,  downin the soil.;Soil-pore water
  monitoring is a necessary
 • complementary or back-up system to
  assure that the absence of a hazardous
 . waste constituent in the soil core sample
  indicates a breakdown, of .the waste
  rather than merely the rapid migration
  .of the waste material through the soil
  matrix. Several comments and  the •
  results of an EPA-spbnsored study  .
  indicate that the latter phenomenon can
  occur for some organic compounds
  found in hazardous wastes. A
  combination of soil core and soil-pore
  water monitoring provides the'basis for
  a mass balance analysis of the
  unsaturated zone to determine  whether
  the treatment process is meeting the
  treatment objective. Using the
  monitoring data aa feedbackon-the
  performance of a site, an owner or
  operator can more effectively .
  manipulate operating variables in order
  to optimize the performance of  the site
  (e.g.. waste application rates and pH
  controls).
   Careful analysis of the upper soil
  layers is also needed because of another
  change that has been made in the
  regulation. The Agency has decided that
'.  growth of food-chain crops need not be
  banned at hazardous waste land
  treatment facilities but rather should be,
  carefully regulated. Information about
  the presence of contaminants in the
  upper layers of the soil is, therefore,
  necessary to assess the risk of
  significant plant uptake of toxic
  constituents.
  , Soil-pore water monitoring is more  ,
  easily achieved at land treatment sites
  than at landfills or surface
  impoundments. Lysimeters or similar
 devices which measure soil-pore water. •
 contamination  can be installed at land
 treatment facilities hi the area where
 waste has been applied. The relatively
 shallow depth of waste application at
 land treatment facilities allows
 lysimeters to be replaced, at both
 existing and new facilities, when they
 become clogged or otherwise
 nonfunctional. Furthermore, land
 treatment facilities typically do  not have
 liners which would interfere with the
 placement'-of lysimeters.
   In response to the specific comments
 on soil monitoring, the Agency has
 decided not to specify particular .
 procedures or protocols for conducting
 unsaturated zone monitoring during
 interim status. Owners and operators
 will be given the flexibility to develop
•reasonable monitoring plans that meet
 the general objectives specified  for such
 plans. Once established, these plans
must be followed, and an owner or
 operator's failure to follow his own plan
 'constitutes a separate violation of these
 regulations.   •       -  .    >
   In considering the constituents to be
 monitored and analyzed for in the
 unsaturated zone, EPA considered the
 use of indicators. That approach was
 rejected, however, because the Agency
 has not yet been able to devise a set of
 indicators that reflect the success of
 waste treatment in the soil. EPA is
 requiring that the owner or operator
 monitor and analyze for those
 hazardous waste constituents contained '
, in the wastes applied at the facility that
 caused those wastes to be listed as
 hazardous, if they were listed, and those
 that exceed the maximum contaminant
 limits in Table 1 of § 261.24 of this
 Chapter. These constituents, at a  .'
 minimum, are the ones which have the
 potential to create environmental
 hazards if these wastes are
 mismanaged. Such constituents must,
 therefore, be included in any monitoring
•system designed to determine the
 effectiveness of a land treatment system
 in reducing the hazardousriess of the
 wasteTThe Agency~believes that the
 constituents to be monitored are
 sufficiently few as not to cause an
 undue burden.
   In response to the challenge to the
 "three-times the zone of incorporation"
 test to determine success of treatment,
 the Agency is. exploring whether other
 simpler tests can be developed. Until the
 time that such 'a test is developed,,
 owners and operators will have to
 provide waste-specific, constituent-
 specific, and site-specific evidence that
 the treatment objective is being met
   The final interim status regulations
 require owners and operators of land
 treatment facilities to develop and
 implement unsaturated zone monitoring
 plans. These plans must be designed to  ,
 determine the concentrations and
migrations of hazardous waste
constituents, in the soiL The plan must
also describe how the owner or operator
will establish background
concentrations of those constituents
through testing of similar untreated soiL
The monitoring program for the     4
unsaturated zone must include soil core
and soil^pore water monitoring (ground-
water monitoring is required separately
under Subpart F of these regulations).   .
The unsaturated zone monitoring plan
must specify, the owner's or operator's
rationale for such key elements as  the
depth of monitoring, the number of
samples, the frequency of sampling, and
the timing of sampling. These decisions
must reflect a consideration of the
variability of the. waste and the waste/
soil mixture, proximity to ground water,

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    33208
Federal Register  /  Vol. 45. No. 98 / Monday. May 19. 1980 /Rules and Regulations
    the manner of waste application, and
    soil permeability.
      6. Food-Chain Crops, The proposed
    regulation prohibited growing food-
    chain crops on active portions (treated
    areas) of hazardous waste treatment
 •   facilities. The purpose of this regulation
    was to protect humans from consuming
    toxic materials that might be present in
    or on crops grown on land to which
    hazardous waste has been applied. At
    the time, the Agency considered a ban
   as the only means of achieving this
   objective.         .   -
     Commenters objected to this ban.
   suggesting that some crops could be
   grown on treated soil without
   endangering human health. Instead of a
   ban. commenters suggested alternatives
   such as specifying "safe" application
   rates to the soil, and monitoring crops
   for their uptake of hazardous
   constituents. The Agency also received
   comments suggesting that the ban was
   inconsistent with the regulatory
   approach taken to protect food-chain
   crops under Subtitle D of RCRA, Those
   regulations were  finalized as the
   "Criteria for Classification of Solid
   Waste Disposal Facilities and Practices"
 •[The Criteria. 40 CFR 257} on September
  13,1979. The Criteria prescribed annual
  application rates and limits on
  cumulative loadings for cadmium based
  on the specific health risk, and
  treatment requirements for wastes
  containing PCB's or pathogens.
  Commenters argued that the application
  of some hazardous wastes to food-chain
  crops presents no greater risk than such
 practice with some nonhazardous waste.
    It is the Agency's firm  belief that
 growth of food-chain crops on land to
 which hazardous waste has been
 applied is an issue which should be
 dealt with cautiously, and should be
 allowed only where there is convincing
 evidence that the practice is safe. EPA
 believes there is little real need to grow
 food-chain crops at land treatment
 facilities. The small amount of land used
 for land treatment  represents a
 negligible portion of the total productive
 land available for crop growth in this
 country. Furthermore, there are other
 productive uses of the land, such as for
 ornamental horticulture and growth of •
 fiber crops or other non-food crops.  '
   On the other hand, the Agency feels
 that where there is convincing evidence
 that such crop growth is safe, it would
 be unjustified to prohibit it. It is
 conceivable that constituents in a
particular hazardous waste may not be
 taken up by certain food-chain crops, or
 after a period of treatment, the
constituents may have degraded into
products non-hazardous to humans.
                           The Agency carefully examined the
                         suggestion made by commenters of
                         specifying "safe" application rates. At
                         this time, however, the existing data
                         base on rates of crop uptake of
                         hazardous substances are not
                         comprehensive enough to permit the
                         Agency to specify safe application rates,
                         Regulation by crop monitoring is limited
                         by the fact that safe levels of most
                         hazardous substances in crops have not
                         been determined  by the Food and Drug
                         Administration, the Department of
                        • Agriculture, or the Environmental
                        • Protection Agency.
                           The Agency also examined the
                         approach used in  the Criteria and
                       'concluded that the limits developed in
                         those regulations for cadmium should be
                         incorporated into  this regulation. Thus
                         the cadmium limits present in that
                         regulation will be  applicable to
                        .hazardous waste land treatment
                         facilities.
                        : The Criteria include two approaches
                        for the land application of wastes
                        containing'cadmium. The first approach'
                        incorporates four site management
                        controls: Control of the pH of the waste
                        and soil mixture; annual cadmium
                        application limits that are reduced over
                        time; cumulative cadmium application
                        limits based on soil cation exchange
                        capacity (CEC) (specified in units of
                        milliequivalents of exchangeable cations
                        in soil per gram of soil); and a restriction
                        of the cadmium concentration in waste
                        applied to facilities where tobacco, leafy
                        vegetables and root crops are grown.
                         The second approach allows
                        unlimited application of cadmium
                        provided four specific control measures
                        are taken. First, the crop grown can only
                        be used as animal feed. Second, the pH
                        of the soil must be maintained at 6.5 or
                       above for as long as food-chain crops
                       are  grown. Third, a  facility operating
                       plan must describe  how the animal feed"
                       will be distributed to prevent human
                       ingestion. Fourth, future owners are
                       provided notice (through provisions in
                       land records or property deed) that there
                       are high levels of cadmium in the  soil
                       and that food-chain crops should not be
                       grown.
                      .   The Agency does  not believe,
                       however, that the Criteria sufficiently
                       address the broad range of constituents
                       present in hazardous waste. Therefore,
                       EPA has decided to  set additional
                       requirements that relate to hazardous
                       constituents in waste applied as well as
                       other substances of concern (i.e.,
                       arsenic, lead, and mercury) because of
                       their effect on food-chain crops. These
                      additional substances have been
                      identified because of their relatively
                      high  toxicity to humans and evidence
                      that they can be taken up by crops.
   Mercurycan enter plants through
   roots and be readily translocated
   throughout the plant. Arsenic ten..™^
   accumulate in the roots of most crops.
  . which is a concern when root crops such
   as radishes, carrots, etc.. are grown.
   When in high concentrations in the soil.
   lead has been shown to translocate to
   crops.
     The Agency is concerned that there
   are other hazardous substances in the
   waste, including toxic brganics. that
   may be taken up by plants. Because
   most plant up-take studies have
   addressed only inorganics* there is a
   paucity of data on the up-take of toxic
   organics by crops. The Agency is aware.
   however, that data may exist that could
   identify other hazardous substances of •
   concern. Therefore. EPA is seeking
   information on other hazardous  .
   substances that could be taken up by
   crops.
    Where the Agency does not yet have'
  a clear specification of the "safe" level
  of contaminants in food crops, it will
  assume that the level of such
  contaminants presently in food crops
  not grown on waste-amended soils is
  acceptable. As further research refines
  the Agency's thinking, it may be that
  health tolerances in food crops should
  be higher or lower than the average
  levels otherwise present in such cr
    Based on that assumption, EPA  -.
  devised a two-part test to determine
  whether food-chain crop growth on land
  treatment facilities is acceptable. Prior
  to growing a crop for market on soils
  that have received hazardous wastes.
  the owner or operator must document
  that the hazardous waste constituents in
  the waste, as well as any arsenic, lead,
  and mercury, will not (1) be transferred
  to the edible portion of the crop by plant
  up-take or direct contact, or be
  transferred to food-chain am'mals; or if it
• does, that it will not (2) occur in greater
 concentrations in the crop than in crops
 grown in the same region on similar
 soils which have not had wastes
 applied.    .
   An owner or operator must use actual
 field studies of the crop for comparative
 purposes. Also, the conditions under
 which the comparable crops are grown
 must be similar to the conditions found  '
 at the facility. For example, soil type,
 soil moisture, soil pH, and soil nutrients.
must be similar at both the facility and
the control sites. The owner or operator
must also document the sample
selection criteria, sample size
determination, analytical methods, and
statistical procedures used to make i"
demonstration. In order to determini
compliance prior to waste applicatil—
the owner or operator must pre-test a*-
sample crop using the type of waste and
uuiuu
m

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              Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules and  Regulations       33209
 application rate that will be used at the
 facility.
   Finally. EPA has added a provison to
 these regulations that requires owners
 or operators of land treatment facilities
 on which food-chain crops have been
 grown, or are being grown,  to notify the
 Regional Administrator within 60 days
 after the effective date of these
 regulations if they intend to again grow .
 food-chain crop* daring the interim
 status period, hi addition.« comment in
 the regulation apprises an owner or
 operator, who has not accordingly
 .notified the Regional Administratorand
 who proposes to grow food-chain crops
 during the interim status period, that
 this is a change in process and he must
 notify the Administrator under Section .
. 122.23(c)(3) of the consolidated permit
 regulations. These notification
 procedures are designed to give the
 Regional Administrator notice of those
 facilities that are engaging in the
 environmentally ..sensitive activity of
 growing food-chain crops at land
 treatment facilities. This will assist the
 Regional Administrator in the •
 establishment of priorities for
 permitting.
   7. Closure.  The proposed regulations
ttrovided two basic options for closure
.of a land treatment-facility. One option
 was to return the soil in the  treated area
 to its pre-existing condition, as
 determined by background soil analysis
 or analysis of similar local soils. The
 other option was to remove  the
 contaminated soil from the facility if
 that soil met the characteristics of a
hazardous waste. (If it did not have any
of the characteristics of a hazardous.
waste* no further action was required.)
However, a variance to the second
option allowed closure of a facility as a
landfill if the  owner or operator could
demonstrate that the design or location
of the site provided long term integrity   ,
and environmental protection equivalent
to a landfill, as specified in the proposed
regulations.  .
   Many commenters argued that the
requirement to return the soil to its pre-
existing condition was impractical and
would make land treatment infeasible'.
They also objected to the provision
which required that the soil be removed
at closure^ On the other hand, the EPA
extraction procedure (EPJ was criticized
as b.eing an inappropriate mechanism
for determining whether the  soil in the
treated area was hazardous. The EP was
said to be too limited in applicability.
because it does not address most
brganics and some metals. Some
commenters suggested alternative
closure procedures which allow tailoring
the closure procedures to the site.
   . After examining these comments, the
  Agency has .concluded that greater
  flexibility should be given in the
  regulation to allow the owner or,
  operator to develop a plan that
  considers certain key factors and that
  meets general human health and  .
  environmental.objectives. Under the
  final interim status regulations the
  owner or operator of a land treatment •
 • • facility must develop and implement a
  facility closure plan. The terms of that
  plan are enforceable against the owner
  or operator.           •     .    _  ...
    The plan must address four
  objectives: (1) Controlling the migratidn
:  of hazardous waste and hazardous   •
  waste constituents into ground water
  (2) controlling the release of
 contaminated run-off to surface, water;
 (3) controlling the release of airborne
 particulate contaminants: and (4)
 compliance with the standards
 established for food-chain crops. The
 owner or operator must consider a range
 of factors affecting the facility's ability
 to meet the objectives. These factors
 include the waste, the climate, the site  '
 location, the soil, and the depth of
 contaminant migration. The owner or
 operator must also consider the
 applicability of various closure methods
 including removal of the soil, run-off
 collection and treatment use of cover
 materials, diversion structures, and
 additional monitoring.
   The owner or operator must also
 develop a post-closure care plan. The
 terms of this plan are also enforceable
 against the owner or operator. Under
 these interim status regulations the post-
 closure care, plan must provide for
 maintenance of monitoring systems.
 restriction of access as appropriate for
 post-closure use, and control of the
 growth of food-chain crops to the s'ame
 degree as required for an active facility.
  ' The requirements for the closure and
 post-closure plans for land treatment
 facilities and landfills are similar in
 terms of objectives but differ slightly in
 the mechanisms by which  these
 objectives are to be achieved. The
 landfill post-closure plan requires the
 owner or operator to address the.
 following: (1) Maintenance and
 monitoring of leachate collection
 systems (if present). (2) Maintenance
 and monitoring of gas control systems.(if
 present), and (3) Final cover. For land
 treatment facilities, however, the first
 two items are not required because the
 Agency is not aware of any leachate
.collection systems and these facilities
 are rarely plagued by gas problems. This
 results because cover material is not
.laid down after the waste is applied so
 that gases are not confined, and
. decomposition of the waste occurs ,
 predominantly in an aerobic state so
 that methane, carbon monoxide, and
 hydrogen sulfide are not produced.
 Although final cover is addressed in
 both the land treatment and landfill
 closure requirements,- it is,mandatory
 only for landfills. Filial cover must be
 considered, but is not mandatory, for a
 land treatment faculty where the waste
 has been rendered non-hazardous.
 Where wastes have been rendered less
 hazardous, the determination of whether
 final cover is needed, in part, will be
 dependent on the degree of risk to
 human health and the environment
 presented by the hazardous'waste
 constituents remaining in the soil.
   8. Ignitable, Reactive, or Incompatible
 Wastes. The proposed regulations
 prohibited placing ignitable. reactive,
 volatile, or incompatible wastes in a '
 land treatment facility, but allowed a
 variance if the owner or operator could
 demonstrate that airborne contaminants
 would not exceed a specified
 concentration, and that the attenuating
 capacity of the soil would not be
 adversely affected through heat
 generation, fires, or explosions.
   The primary criticism of the proposed
 regulation, other, than the restriction on
 airborne contaminants, was that the
 prohibition was inappropriate because
 'many wastes classified as ignitable,
 reactive, or incompatible might lose
 these properties when land treated. The
 Agency agrees and has modified the
 regulation. The final standard requires
 the owner or operator to incorporate
 ignitafale or reactive wastes into the soil
 in such a manner that the resulting      .
 waste, mixjture, or dissolution of
 material no longer exhibits ingitable or
 reactive characteristics, and complies
 with § 28S.17(b). Ignitable or reactive
 wastes may also be placed in a land
 treatment facility if they are rendered
 non-ignitable or non^reactive before
 land treatment Incompatible wastes
 may not be placed in the same land
 treatment area unless the land treatment
 process complies with § 265.17(b). For a
 description of the "general requirements
 applicable to the disposal of ignitable,
 reactive, or incompatible wastes see the
 "General Facility Standards" portion.of
 this Preamble.
M: Subpart N—-Landfills
  Landfilling has historically been the
preferred means of disposing of
hazardous waste. Until the last decade,
some people acted as though, once
buried, hazardous wastes would cause
no more difficulties. Past practices often
focused only on burying the waste to get
it out of sight and on control of  surface  '
problems such as blowing litter or

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   vectors. Recent experiences at Love
   Canal in New York and other burial
   operations have demonstrated the
   potential for severe human health and
   environmental impacts from improper
   landfilling.
     Many argue that, since many of these
   wastes remain hazardous for very long
   periods, they should not be landfilled.
   EPA agrees in principle that it is better
   to destroy or recycle hazardous wastes
   than to landfill them, but the fact
   remains that, for tha foreseeable future,
   land disposal will be necessary because
   it is technically infeasible at present to
   recycle, treat, or destroy all hazardous
   waste.
     Over the past decade, research and
   investigations of good and bad •   '
   practices, including documented damage
   cases, have advanced  the state-of (he-
   art of landfilling significantly.
   Landfilling is much more than just burial
   of wastes, particularly for hazardous
   wastes. Landfills must provide long-term
   protection of ground water, surface
   water, air, and human health. Although
   the state-of-the-art is still developing, a
  number of techniques are now available
  for effectively reducing the adverse
  health and environmental effects from
  landfills.
   The problems which  hazardous waste
  landfills have presented can be divided
  into two broad classes, which these
  regulations attempt to address. The first
  class includes fires, explosions.
  production of toxic fumes, and similar
  problems resulting from the improper
  management of ignitable, reactive, and
  Incompatible wastes. The Agency
  believes that methods for dealing with
  these problems are generally available
  today, and that they can begin to be
  implemented in these interim status
  standards without substantial capital
  expenditures, the need for case-by-case
 determinations by EPA permitting
 officials, or substantial lead times.
 These methods include the analysis of
 wastes to provide enough information
 for their proper managment; the
 controlled mixing of incompatible
 wastes or their segregation in separate
 landfill cellsj.and the landfilling of
 Jgnitable and reactive wastes only when
 they are rendered not ignitable or
 reactive.
   The second class of problems,
 contamination of surface and ground
 waters, presents substantially more
 difficulty. Several approaches to
 environmental protection, including   '
 proper siting, lining, and leachate
 collection, do not meet EPA's general
 internal guidelines for those standards it
 will impose during interim status. Such
 standards might involve  too great a pre-
pennit  investment, or might be so site-
   or waste-specific that they \vould
   require case-by-case determinations by
   the Regional Administrator. Such
   standards could also require automatic
   closure or relocation of some facilities, .
   or substantial retrofitting. Other
   measures, however, are available which
   will help reduce the formation of  •
   leachate in currently operating landfills.
   The measures incorporated in these
   interim status regulations are diversion
 ,  of "run-on" (water flowing over the
 -,  ground onto active portions of the'
   facility) away from the active face of the
 •  landfill: treatment of any liquid wastes
   or semi-solid wastes so that they do  not
   contain free liquids: proper closure
•   (including a cover) and post-closure care
   to control erosion and the infiltration of
   rainfall; and crushing or shredding most
 .  landfilled containers so that they cannot
   later collapse and lead to subsidence
   and cracking of the cover. In addition.
   these regulations require ground-water
  monitoring to detect contamination of
  ground water, and collection of
  rainwater and other run-off from the'
  active face  of the landfill to control
  surface water pollution. As discussed
  previously under "General
  Requirements for Ignitable. Reactive,  or
  Incompatible Wastes^' the Agency is
  also considering requiring the
  segregation of wastes, such as acids.
  which would mobilize, solubilize, or
 dissolve other wastes or waste
 constituents, such as heavy metals.
 These regulations represent an
 important step toward safer disposal of
 hazardous wastes in landfills.
   Regulations similar to those appearing
 in the present sections on "General
 Operating Requirements", and "Special
 Requirements for Ignitable or Reactive
 Wastes" were proposed for inclusion in
 the general standards. They are being
 promulgated here interim final only to
 the extent that the Agency will accept
 comments on whether they are
 appropriate for inclusion in the interim
 status standards. Regulations on closure
 and post-closure, special requirements
 for liquid waste, and special
 requirements for containers are being
 promulgated interim final and are
 further discussed below.
   1. Landfill Cells. These regulations
 incorporate the concept of landfill cells.
 Such cells can be used to separate
 incompatible wastes.
   As suggested by the comments, the
 proposed definition of a cell as "a
 portion of a waste in a landfill" has
 been replaced by "a discrete volume of
 a hazardous waste landfill which uses a
 liner to provide isolation of wastes from
 adjacent cells or wastes." This makes
 the^cell a discrete part of the disposal
   facility rather than a portion of w,
   in the proposed definition. This
   arrangement, together with the   ,^^,
   flexibility of closure regulations, and the
   concept of partial closure, permits
   different cells to have different closure
   requirements and may permit.different
   financial arrangements in appropriate
   circumstances. Cells may be physically
   separate areas of a landfill, or trenches
   or parts of trenches, or separate pits.    v
   The determining condition is that the
   cell be a discrete volume separated'by a
   liner or cover from adjacent cells or
   other wastes in the facility.
     2. Surface Water Run-on. A
 •  requirement for control of surface water
   run-on was not included in the proposed
   interim status standards. This
   requirement was specified, however, in
   the proposed general standards in
   5 § 2S0.43(b) and 250.45-2(b)(7). The
  purpose of this standard was to
  minimize the amount of surface water-
  entering the landfill facility. Run-on
  controls prevent (!) erosion,  which may
  damage the physical structure of the
  landfill, (2) the surface discharge of
  wastes in solution or suspension, and (3)
  the downward percolation of run-on
  through wastes, creating leachate.
  Control is accomplished by constructing
  diversion structures to prevent surj   "
  water run-on from entering the ai
 .portion of the landfill facility. A hunw?-
  the. proposed regulation provided that no
 diversion structures were, required
 where  it could be demonstrated to the
 Regional Administrator that local
 topography would prevent surface water
 run-on from entering the facility. '
   Comment was received that the
 proposed regulation implied that all run-
 on would have to be diverted from the
 landfill, and that the regulations should
 specify the capacity of the diversion
 structure in terms of the useful life of the
 landfill.
   The Agency believes that the main
 an« of concern for protection of human
 health and the environment is the active
 portion of the landfill, not the landfill
 facility  as a whole (as may have been
 suggested by the language of the
 proposed regulation). It is at active
 portions that run-on is most likely (1) to
 seep into the exposed waste,
 contributing to the formation of
 leachate, or (2) to erode wastes, or
 constituents of them, and carry them
 away in run-off. The Agency requires in
 these regulations that all surface water
 run-on be diverted from active portions.
 Diversion of run-on may be
 accomplished by locating the active
portion in areas where the topograjL
naturally prevents run-on, by sloping^,
contouring the land, or by constructing

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                Federal Register  /  Vol. 45,  No. 98 /  Monday. May 19, 1980 / Rules and Regulations
                                                                        33211
,   ditches, culverts, or dikes. The capacity
   of diversion' structures should be
   determined by the owner or operator
  'considering site topography, size' of.
   drainage area, and size of the active
   portions.      '          .    •.'.'-'
     Comments were received suggesting
  'that the proposed standards be modified
   to allow the owner or operator the
   flexibility to either divert surface water
  •run-on or collect and treat all of the
,   surface run-off, ai long as Clean Water
  Act effluent limitations were complied
  with. The Agency disagrees. EPA
  believes that such a standard allows the
  unnecessary infiltration of water into
  thelandfilL
    The Agency has determined that
  diversion of run-on is appropriate for
   inclusion in the interim status standards.
  Run-on control is for active portions
  only. The Agency expects' that run-on
  diversion structures, where needed
  because of topography, will most likely
  be earthen dikes or benns, or ditches,
  which can be erected with earth moving
  equipment commonly found at landfills.
  These structures can be temporary, and
  can move with the active portions as
.  material is added to the landfill Such
  structures can be designed and
  maintained adequately during interim
  status without case-by-case review by
  permitting officials.
    A12 month delay is allowed for.
1 compliance with this requirement so
  that operators will have adequate time
  to make any necessary topographic and
  hydrologic determinations and complete
  construction.
    3. Contaminated Surface Water Run-
  Off. Requirements for collecting and
  managing contaminated surface water
  run-off were not included in the
  proposed interim status standards, but
  were proposed in the general standards
  in §§ 250.43(c) and 250.45-2(b){8). Their
  objective was tp reduce the potential for
  off-site migration of contaminated run-
  off to land or to waters of the United
  States. There have been a number of
  damage incidents caused by
  mismanaged or uncontrolled
  contaminated run-off from landfills. Ten
  of these iricidents are briefly described
  and referenced in the landfill.        •
  background document These damage
  cases demonstrate that run-off from
  active portions of hazardous waste
  landfills can cause serious adverse
  impacts to land and surface waters. In
  contaminating streams, run-off from
  landfills frequently results in fishkills
  and destruction of other aquatic life.
  During the period 1983-1974. forty-.seven
  separate fishkills caused by run-off from
'  waste disposal were recorded by EPA.
  Based on this evidence. EPA believes
  that it is imperative that run-off from
  active portions of hazardous waste
 ; landfills be controlled during the interim
  status period.           •'           •
    Furthermore, control of run-off from
  active portions of hazardous waste
  landfills is presently a widely accepted
  and relatively simple practice. As of    ,
  January 1979, all but two States   •
  specifically require in their solid or
  hazardous waste regulations control of
  run-off from at least the agtive portions
  of all off-site landfills.
    Run-off control is accomplished by (1)
  minimizing run-off and (2) collecting and
  managing run-off from active portions.
  Run-off is minimized by (1) preventing
  run-on. (2) minimizing the size of the.
  active portion, and (3) preventing   ,
  disposal of liquid wastes in the landfill.
    There are two basic types of landfill
  operations: trench method and area fill
  method. By design, almost all trenches,
  and area fills using depressions or pits.
  control most run-off because of surface
  contours (i.e.. liquids that come into.
 contact with the. waste generally
 infiltrate rather than run-off). Area fills
 which do not use depressions can be
 operated by building a berm or dike on
 the low elevation side to contain any
 run-off. However, when landfills using
 either the trench or area methods
 become large and substantially above
 grade, both run-off and leachate seeps,
 which often' occur oh the outer slopes of
 the fill, need to be collected. Run-off
 .which does emerge from active portions
 may be collected by ditches, benns,
 dikes, and culverts which direct it
 (sometimes by sump pump) to surface •
 impoundments, basins, tanks, or
 treatment facilities. These collection
 devices may consist of temporary  -.
. structures around active portions. Since .
 run-off usually has been in contact with
 waste or leachate seeps from active
 portions, and since run-off sometimes if
 collected via a leachate collection    .
 system, it is usually contaminated. Thus,
 it is usually impossible to differentiate
 between rainwater run-off and leachate
 run-off at the active portion of a landfill.
 Because of this, the proposed definition
 of "run-off, which was "that portion of
 precipitation thafdrains over land. .  .",
 has been revised to "any rainwater,
 leachate, or other liquid that drains over
 land. . .".This change indicates that
 more than just precipitation must be
 collected.                      .
   Once collected, a number of options •
 exist for treating and disposing of run-  '
, off. These are the same options which
 exist for managing liquid wastes and
 leachate and include deep well
 injection, land treatment; treatment hi
 surface impoundments (evaporation.
'. aeration, chemical treatment, etc.),
 dewatering or mixing  with an absorbent
  material and disposal in the landfill,  .
  percolation through a filtering or .
  attenuation medium (e.g.. charcoal, clay.
  soil. sand), or discharge to a sewer or
  other treatment facility.
    The proposed landfill standards
  required that if surface water came into
  contact with the active portions of a
  facility, it was to be collected and
  •managed as a hazardous waste unless it
  was analyzed and found not to be
  hazardous.
    The Agency received! essentially no
  objections to the proposed requirement
  that landfill run-off be collected and
  treated in some fashion. Most of the
  comments on the proposed standards
  concerned the capacity of the treatment
  systems or the final disposition of the
  run-off. These comments are discussed "
  in the background document. The
  current regulation does not limit the
  -met-hod'of treatment of run-off.     '•
    The regulation requires run-off from
  active portions .to be collected. The
  collected run-off is a solid waste from
.  ah industrial activity (the operation of
  the landfill) and the owner or operator
  must determine whether it is a
  hazardous waste in accordance with
  Section 262.11 of this Chapter. If the
  collected run-off is a hazardous waste it
  must be managed as a hazardous waste.
  Even if it is not a hazardous waste, good
  management practices may still require
  some degree of treatment or use of other
  techniques as previously discussed,
  although such  practices are not required
  by these regulations. A12 month delay
  for compliance with these regulations is
  given so that existing facilities may
  construct new run-off control systems or
  upgrade existing systems, including
  those for run-off treatment and disposal.
  If collected run-off is discharged to
  waters of the United States", owners or
  operators of facilities must have or
  apply for an NPDES permit Under the
  Clean Water Act.
   4. Wind Dispersal. Dispersal of
  landfilled hazardous wastes by wind is
  not often'a problem..The Agency's major'
 concern in requiring the control of wind
 dispersal is large waste piles which
 constitute disposal and thus come under
  the landfill regulations. The Agency is
 aware of at least one case in which
 wind dispersal from a pile-of asbestos
 wastes created a health risk. It therefore
 seems prudent to require that, where1
 landfilled hazardous waste is subject to
 wind dispersal, the landfill be managed
 so that wind dispersal is controlled.
 Appropriate methods may vary from
 waste to waste, and the Agency believes
 that the owner,or operator of the facility
 is best able to develop an adequate,
 cost-effective technique to meet this
 requirement

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    33212
Federal Register / Vol. 45, No. 98 / Monday. May 19. 1980 / Rules and Regulations
     This requirement was not proposed •
   for inclusion in either the interim or
   general standards. Comments and
   meetings following publication of the
 ,  proposed regulations brought to light the
   fact that piles are sometimes used for
   storing and disposing of wastes, some of
   which may be hazardous.,Subpart L ,
   (Waste Piles) grew out of these
   comments, and also includes a
   requirement for controlling wind
   dispersal The Agency believes that this
   requirement should typically not require
   major capital expenditures, does not.
   require case-by-case determinations by
   the Regional Administrator, and can be
   accomplished within six months. It is
   therefore appropriate for inclusion in the
   interim status standards. Since it was
   not proposed, it is-being promulgated
   Interim final and the Agency solicits
   comments on it
    5, Surveying and Recordkeeping.
   Recording the location of each
   hazardous waste type within a landfill
   cell will help ensure that this
:   information is available for proper
   landfill operation, closure, and damage
  assessment, when necessary. For
  example, this information is useful In
  managing potentially incompatible
  wastes and materials, and will help deal
  with emergencies, such as fires and help
  in locating sources of contamination.
  Methods of correction and potential for
  further damage may also be more
  readily identified.
   The major issue raised in the
  comments was an objection to the
  proposed requirement that exact
  locations of waste within each cell be
  recorded. The Agency agrees that this
 requirement may have been overly
 restrictive as applied to all wastes. The ,
 regulation now only requires recording
 the waste-'s approximate location within
 a cell. However, the owner or operator
 must record the location of each waste
 type with sufficient accuracy to enable
 proper management of incompatible
 wastes, and later treatment, excavation,
 or other remedial action, if necessary.
 For example, with an extremely mobile
 waste this may mean recording its exact
 location; for a landfill or landfill cell
 which receives only a few types of
 wastes, it may mean merely recording
 the approximate location of the
 demarcations between wastes. EPA
 suggests the use of a threes-dimensional
 grid system, referencing waste type
 location on a map which is keyed to
 permanently surveyed benchmarks. The
 size of the units in the grid should be a
 function of the number of waste types,
 their amounts and the number of
 locations of each type. -
                            6. Landfill Closure. At least 180 days
                          before landfill closure during the interim
                          status period, the owner or operator
                          must submit to the Regional
                          Administrator, for his approval,
                          modification, or disapproval, a detailed
                          plan describing the manner in which the
                          landfill will be dosed and maintained
                          during the post-closure period. (See the
                          previous preamble discussion on
                          Closure and Post-Closure Care).
                           A final cover must be placed over the
                         landfill at closure. The closure plan must
                         address the functions and specify the
                         design pf the final 'cover. It is necessary'
                         to place appropriate cover on a landfill
                         in order to control the infiltration of
                         moisture that could increase leaching,
                         and to prevent erosion or escape of ,,,
                         wastes, waste constitutents. or
                         contaminated soiL
                           The proposed standards included
                         specific requirements regarding the type,
                         depth, permeability, and number of soil
                         layers required  for the final cover. They
                         also included specific quantitative limits
                         on grade (slope) and terracing of the
                         cover to prevent erosion.
                       '   EPA received numerous comments
                         objecting to these specific requirements.
                         Commenters suggested that different
                         combinations of cover materials.
                         thicknesses, and permeabilities could
                         achieve equivalent results, and that
                        greater flexibility was needed to
                        address site-specific situations.
                        Numerous commenters suggested that
                        the proposed 6-inch clay cover was
                        inadequate. Similar objections were
                        raised regarding the final grade and
                        terracing requirements.
                          The proposed  regulation included a
                        variance that allowed alternate.cover
                        designs to be substituted as long as they
                       provided equivalent performance, and
                        thus there was some flexibility.
                       However, the proposed variances would*
                       not have addressed concerns over the
                       basic level of control specified, for
                       example, a 6-inch clay cover.
                          The Agency believes that the
                       commenters have made valid points.
                       The specific limits proposed are not
                       appropriate for all situations. The
                       conditions at each site should weigh'
                       more heavily than perhaps the proposed
                       regulation would allow in determining
                       an appropriate cover requirement. The
                       final regulations provide this flexibility
                       by requiring that certain objectives be
                       addressed in developing a closure plan
                       and designing a final cover. The
                       specified objectives are: (1) control of
                       pollutant migration from the facility via
                       ground water, surface water, and air, (2)
                       control of surface water infiltration.
                       including prevention of pooling, and (3)
                       prevention of erosion.
    The regulation also lists a minis
   set of technical factors which thel_
   or operator must consider in addres.,..
   the control objectives. With regard to
   cover design characteristics, these
   factors include cover materials, final
   surface contours, porosity and
   permeability, thickness, slope and length
   of run of slope, and type of vegetation.
   The cover design should take into
   account the number of layers, and the
   indigenous vegetation. It should avoid or'
  make allowances for deep-rooted
  vegetation, and prevent water from
  pooling. The design will depend ori the
  availability and characteristics of on-
  site or nearby soils, and a number of
  other site-specific factors. The final
  cover design could simply be the
  placement, compaction, grading, sloping,
  and vegetation of on-site soils, or could
  be a complex design such as a
  combination of compacted clay or
,  membrane liner placed over a graded
  and sloped base and covered by topso'U
  and vegetation.
    The final regulation requires (in
  Subpart G) the approval, disapproval or
  modification of the closure plan by the
  Regional Administrator, after
  opportunity for public comment. This
  process is necessary to assure that
  closure plans will achieve the abje
  specified with an adequate'degree!
  confidence.
   Because it has been modified
  substantially, the regulation on landfill
  closure is being promulgated interim
  final and the Agency will consider
 additional comments on it. Many
 comments on the proposed regulation
 Severely criticized it for being too
 inflexible. The Agency believes that the
 present regulation responds to these
 comments by .creating an extremely
 flexible system under which all
 pertinent characteristics of an individual
 facility can be considered in
 determining how it should be closed.
 Since the system leaves so much
 latitude for the creation of individual
 closure plans, those plans will need to
 be reviewed on a case-by-case basis by
 Regional Administrator to assure that
 the objectives of the regulations are
 achieved.
   The Agency believes that  the
 importance of proper closure justifies
 this interaction with the Regional
Administrator during the interim status
period. The closure and post-closure   •
requirements are essential for protection
of human health and the environment  in
the long-term (after post-closure car
period). Unless certain precautions
as a stable and properly designed c
and future site use controls, are taken.
there is a high likelihood of future

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Federal  Register / Vol. 45. No. 98 /Monday. May 19. 1980 / Rules and Regulations
                                                                                                                33213
  ground water, surface water, or air
  contamination or direct exposure of the
  public to hazardous waste. Operating
.  existing leachate collection systems, gas
 • control systems and ground-water
  monitoring systems throughout the post-
  closure care period are essential to
  eliminating future environmental
  problems and determining when post-
  closure care can be terminated.
   . 7. Post-Closure Carp. In orderfor the
  final cover to satisfy the specified
  objectives, it must be properly
  maintained following closure. This is
  also true of certain monitoring and
  control measures, such as ground-water
  monitoring systems.               •  :
    EPA received few comments on the
  proposed post-closure care
 • requirements. Nonetheless, some-
  modifications have been made to
  accommodate changes made in other
  sections of the regulations. Post-closure
  maintenance of a leachate monitoring.   '
  system (unsaturated Zone monitoring) is
  not required for all facilities because
  such monitoring systems are no longer
  required. (See the discussion on Subpart
  G requirements.) A requirement that
  existing leachate collection and removal
  systems be maintained, however, has
  been substituted. Hazardous leachate
  may continue to  be generated within the
  landfill long after the site is closed, even
  with a relatively impermeable cover.
  The Agency believes that* in order for
  an installed leachate collection system
  to achieve its purpose, leachate must be
  removed as it is generated, even after
  closure.
   The one post-closure requirement
  which did generate a number of
 •comments was the restriction against
 constructing buildings on closed
 landfills where radioactive wastes were
 disposed of. The Agency agrees with
 commenters to the extent that concern
 about radiation (uranium and phosphate
 wastes) was the basis for this regulation
 and that such building restrictions
 should be placed in regulations dealing.
 specifically with  those wastes. EPA
 expects to promulgate requirements for
 such wastes in its Phase Q regulations.
   Other commenters suggested that all
 construction or other activities which
 would damage the final cover should be
 •prohibited. The Agency concurs, in "    :
 general, and has added a requirement in
 5 265.117(c) that activities which could
 disturb the integrity of the final cover or
 any liners or the function of the
 monitoring systems,  are not allowed
 without the Regional Administrator's
 approval under specified criteria.
   While the post-closure care regulation
 has not changed radically from the
 proposed regulation, it is being   :
 promulgated interim final along with the
                          closure regulation because the two form
                          an integrated package. Comments will
                          be considered on the post-closure care  .
                          regulation along with the closure
                        . .requirements.   -
                            8. Ignitable or Reactive Waste. The •
                          proposed regulations prohibited '
                          disposing of ignitable or reactive waste
                         , in a hazardous waste landfill unless
                          certain conditions were met- airborne
                          contaminants could not exceed a
                          specified concentration and there could
                          be no damage to the structural integrity
                          of the facility.
                            Several commenters claimed that this
                          provision "banned" landfilling of
                          ignitable or reactive  waste. The
                          commenters suggested that these wastes
                          can be placed in a landfill in a way,
                          such as by blending With soil or other
                        .  materials, that eliminates or minimizes
                          the danger of fires or explosions.
                         .  The final regulation now requires that
                          ignitable or reactive wastes be'treated
                          or mixed before or immediately after.
                          being landfilled so that they are no
                          longer ignitable or reactive. Mixing the
                        ,, waste with soil or other material before,
                          during, or immediately after the waste is
                         placed in the landfill is allowed if the
                         resulting mixture is neither ignitable nor
                         reactive.This treatment must meet the
                         general requirements for handling
                         ignitable, reactive, or incompatible
                         wastes in 5 265.17(b). As explained
                         previously, the provision in the proposed
                         regulation concerning volatility has been
                         deferred.  ..   ,             .  -
                           9. Incompatible Wastes.  Incompatible
                         wastes or materials can react when they
                         come in contact with each other,
                         resulting in the substances or reactions
                         listed in Appendix V, such  as fires,.
                         explosions, or formation of toxic gas.
                         Such contact can be prevented by ;
                         placing incompatible  wastes in separate
                         landfill cells, as proposed in the landfill
                         regulations.                 .
                           Commenters supported this concept:
                         some suggested specific degrees of
                         separation, eg., certain soil thickness, or
                         separation based on waste properties.
                         The Agency found no basis for any
                         specific waste separation requirement
                         because so many site-specific'variables
                         are pertinent, such as characteristics of
                         the liner or separation material, (e.g.,
                        permeability and thickness), special
                         relationship of cells (e.g.. above or on
                         the side of the other),  cover material,
                         and waste characteristics. Therefore, no
                         specific separation requirement is
                         included in the final regulation.
                          Comments received on other sections
                        of the proposed regulations indicated
                        that potentially incompatible wastes can
                        be  premixed or treated before or during
                        disposal so that they are no longer
                        incompatible. Therefore, the final
  regulation has'been revised to allow the
  placement of incompatible wastes in the
  same cell, if they will meet the general ,-
  requirements for incompatible'wastes in
  §265.17(b).
    10. Bulk Liquid Waste. The disposal of
;  liquid hazardous waste, both bulk-and
  containerized,  was the most
  •controversial area of the proposed
  landfill regulations. The proposed
  regulation specified that bulk liquid,
  semi-solid, and sludge wastes must not
  be disposed of in a landfill, unless they
  were pretreated or treated in the landfill
  "so that a non-flowing consistency is
  achieved to eliminate the presence of
  free liquids prior to final disposal in a -
  landfill." The purpose of this proposed
  regulation was to reduce the presence of
  liquid wastes and free liquids in a
  landfill.            .            •
    Liquid wastes and free liquids can
  migrate  through "a landfill, dissolving or
  mobilizing toxic substances in the
  process. In other words, liquid in a
  landfill usually becomes 'a transport and
 •leaching medium. The resultant leachate
  produces a hydraulic head greater than
  that resulting from precipitation alone.
•  The additional  liquids, leaching, and
  head can increase the amount and rate
  of movement of hazardous contaminants'
  from the landfill to ground water.
    Comments on the proposed regulation
  ranged from suggestions that liquid
 'wastes should be categorically banned
  from landfills to suggestions that there
  should be no restrictions placed on
  landfilling of liquid wastes. There were
  also comments  that the regulations
  should allow absorption of liquid wastes
  by municipal refuse and allow, in-situ
  absorption via a well or pit in the
  landfill.
   The Agency believes that there are
 controlled conditions' under which
 liquids in landfills 'can be tolerated. For
 example/with a secure liner (chemically
 and physically resistant to the liquids
 and of low permeability) and a leachate
 collection and removal system, leachate
 can be removed from above the liner
 continuously to prevent build-up of a
 hydraulic head. The low permeability of
 the liner' should result in no migration or
 a very slow rate of migration through it.
 The collected leachate can then be
 either treated and disposed of in the
 facility, or otherwise disposed of. Thus,
 if a landfill has a leachate collection
 system, in-situ absorption can be     .
 environmentally acceptable. The final
 regulation therefore  allows in-situ
 absorption of bulk liquid wastes
 provided the landfill has a chemically  •
 and physically resistant liner and a     .
 functioning leachate removal systein,
 and provided the capacity to remove 'the
 hydraulic head is not exceeded.

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    33214       Federal Register /Vol. 45. No. 98  / Monday.  May 19. 1980 / Rules and Regulations
      Where a landfill does not have a
    leachate collection and removal svstem,
    however, liquids in the landfill will
    eventually migrate and will usually   •
    cany pollutants out of the landfill and
    into ground water.'The many incidents
    of ground-water contamination from
    poorly operated hazardous waste
    landfills testify that this is a common
    problem. In addition, when liquid
    wastes are disposed of directly into a
    landfill without assuring absorption.
    thera is no way of knowing whether
    they are largely being absorbed and
    held by solids in the landfill, or are
    passing through relatively quickly.
    Liquid migration can. however, be
  ' greatly reduced if liquid wastes and
    wastes containing free liquids are
    treated before being landfilled. as by
    mixing with absorbent materials, so that
    free liquids are no longer present. The
   regulations require  such treatment in
   landfills that do not have appropriate
   leachate collection  and removal
   systems. Treating the liquid waste
   before it is landfilled gives visual
-  control of the liquid to absorbent ratio,
   allows testing to confirm absorb'ent
   capacity,  and assures slow release:
   these are  not possible when in-siru
   absorption is practiced Examples of
   absorbent materials which may be  '
   acceptable include soil, fly ash, and
   cement kiln dust EPA discourages the
   use of biodegradable municipal waste as
   an absorbent until studies prove its
.  long-term effectiveness.
    A number of commenters asked for
  definitions of the terms "non-flowing",
  "semi-solid", "sludge", or "free liquids",
  which were used to describe hazardous
  wastes in  the proposed regulations. A
  number of suggestions were given as to
  how or how not to define these terms.
  After review of these comments. EPA
  has decided to use the term "free
  liquids", defined as "liquids which
  readily separate from the solid portion
  of a. waste under ambient temperature
  and pressure." This term and meaning
  best reflect the use to which this term is
  put. which is to distinguish when a
  waste contains liquids which will
  readily flow from the waste in a landfill
  to produce leachate. For sludges or
  semi-solids which are not obviously
  liquids, the following test may be used
  to determine if they contain "free
  liquids." Place a one  to five kilogram (2.2
  to 11.0 Ibs) sample of waste on a level or
  slightly sloping plate  of glass or other    •
  similarly flat and smooth solid material
  for at least five minutes. If a liquid
  phase separation is observed, the waste
  contains "free liquids." EPA feels this
  test provides a practical way to test
  sludges and semi-solids and helps
   clarify the meaning of free liquids until a
   more rigorous test is devised.
     The test is intended to simulate, in a
   simple way, the behavior of semi-solid
   wastes placed on the surface of a
   landfill. If liquids can be observed as a
   separate phase draining over an
   impermeable, substrate from the base of"
  • a small sample of the waste, such
   liquids can also be expected to drain
   from the waste itself when it is placed
.   on the surface of the landfill, and will be
   free to migrate into the landfill much as
   liquid wastes would. The fact that
   liquids cannot be observed to migrate
   from a small sample after a few minutes
   does not. of course, assure that they will
  not migrate from a larger sample, or
   after a longer period of time, or when <
   the waste is compressed by wastes
  placed over it.This test thus represents
  a rough minimum for the containment of
  • free liquids. The Agency expects to
  s'tudy the problem of free liquids further
  and to attempt to devise tests which
  more accurately reflect the conditions of
  waste within a landfill. The Agency
  specifically solicits further comments on
  (I) difficulties that maybe expected in
  applying the test, and (2) suggestions for
  other tests or improvements to this test
  which will better test for the presence of
  liquids which can relatively easily
  migrate from wastes.
    Alternatives to direct disposal of
•  liquid wastes in landfills include mixing
  the wastes with an absorbent material
  prior to landfilling. as described
  previously, chemically fixing or
  solidifying  the wastes before landfilling.
  dewatering before landfilling.  treating
  the wastes  to render them non-
  hazardous, well injection, incineration.
  resource recovery, and storage in
  containers, tanks, and surface
.  impoundments. These options may be
  impossible  for some wastes. Taken
  separately,  facility capacities for these
  options may be limited in the region of
  waste generation, or may require a long
  lead time to develop: nationally, no
'  single option can handle all the
 hazardous liquid and semi-solid wastes.
 Taken together, however. EPA believes
 these options can provide the required
 storage, treatment, and disposal
 capacity to offset the amounts of liquid
 wastes currently disposed of by
 practices prohibited by this regulation.
Indeed, this kind of prohibition is
already being implemented in some
States. At least 19 States already
prohibit or restrict the disposal of bulk
liquid wastes in landfills.
   Although these provisions for bulk
liquid wastes were included in  the
proposed general standards, they were
not included in the interim status
   standards. The Agency believes
   while treating liquid wastes will L
   increase operating costs, it will n*™_
   entail great capital expenditures for
   equipment or facilities. In addition.
   methods implemented during the interim
   status period to comply with the
   regulation will not require,case-by-case
   determinations by Agency officials.
   However, the Agency believes that
  generators, and owners and operators of
  facilities may need more than six
•  months to identify and develop
  alternatives to landfilling bulk liquid
  wastes. The Agency has. therefore,
  delayed the date for compliance with
  this regulation for 12 months past the
  effective date of the regulations.
    While this regulation has not changed
  substantially from the one proposed for
  the.general standards for landfills, it is
  being promulgated interim final
  primarily because it generated so much
  comment but so little data  when
  proposed. Some of the comments
  requested clarification of the terms
  "semi-solid," "non-flowing," "sludge,"
  and "free liquids." The Agency believes
  that its definition and test for free
  liquids adequately respond to these,
  comments.
   Other comments fell in a spectrum
  from contentions .that liquids shoul  """
  banned from landfills to contention
  that liquids in landfills should not 1	
  restricted at all Few of these comments.
  however, provided any data or much
  argument explaining why they adopted
  a particular position. The Agency  '
  solicits comments on the regulation and
  is particularly interested in comments
 on (1) what data, if any. is available to
 show that landfilled liquids can
 confidently be expected to be absorbed
 and immobilized by other waste in the
 landfill; (2) the nature and extent of
 treatment that commenters would
 expect to conduct at landfills in
 compliance with the regulation; (3)
 alternatives to landfilling liquids and
 wastes containing free liquids that
 commenters would expect to pursue as a
result of the regulation; and (4) the
nature of the additional hazards, if any,
that commenters expect to be created by
this regulation, and how they may
compare to the ground water pollution
hazards that the regulation attempts to
alleviate.
   11. Containerized Liquid Waste. The-
proposed regulation required that each
container of liquid hazardous waste be
surrounded by a sufficient amount of
inert sorbent material to absorb all the_
liquid contents of the container. Sir
containers are known to eventually -
decay in a landfill environment, this™
requirement was intended to prevent
ill the
m

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               Federal Register  /  Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules and Regulations       33215
  migration of liquid waste by providing
  an absorbent medium.     •
    Commenters expressed diverse
  opinions on the proposed regulation.
  ranging from suggestions that
  containerized liquid wastes be banned
  totally, to suggestions that their
  placement in landfills not be restricted .
  at all. Alternatives schemes were
.  suggested for providing absorption
  capacity within a landfill, sttcfa as
  placing absorbent material inside a
  container, or suituuuding a group of
  containers (rather than single
  containers) with absorbent material.
  The requirement that the absorbent be
  "inert" was also challenged.
    Based on farther Agency analysis, the
  final regulation generally prohibits
 . disposal of containerized liquid wastes
  or wastes containing free liquid in
  landfills. Drums eventually degrade,
  allowing liquids to escape. When drums
  collapse and create voids, they can
  cause slumping and subsidence of the
  cover. This may increase the infiltration
  of precipitation and can also result in
  the escape of wastes through cracks or
  fissures m the final cover. Furthermore.
  there Is no assurance that the liquid
  waste will be fully absorbed in
  surrounding material It Is difficult to
  predict the absorbent capacity of a
  material buried in a landfilL For
  example, the absorbent material itself
  may have'decayed by the time a   .
  drummed liquid is released or may hava
  already been saturated with moisture
  from another source (such as infiltration
  or moisture .from the decay of organic '
  wastes). Liquid wastes released from a
  drum also will most likely form channels
  from the point of leakage rather than be
  evenly absorbed. In addition, it is
 'impossible to predict when drums will
  fail in a landfill environment This is a
  particularly critical uncertainty in that
  failure could occur after the post-closure
 care period wiien facility maintenance
 and ground-water monitoring are no •
 longer performed; Conversely, it would
 be impossible to establish a rational
 termination of the post-closure care and
 financial responsibility period if the
 stability of the' cover and liquid waste
 release were so uncertain. In contrast, if
 drummed liquids are mixed with
 absorbent materials, as bulk liquid
 wastes must be, a history of trouble-free
 operation and post-closure monitoring is
 a much surer indicator that the landfill
 Will continue to be free from ground-
 water contamination after post-closure
 care and monitoring cease.
  For these reasons, EPA believes that a
 prohibition on placing containerized
 liquid waste, or waste containing free  .
 liquids hi landfills will provide more
 effective control than the proposed
 operating restrictions. At least 11 States
 already prohibit or restrict disposal of
 containerized liquid wastes at landfills.
   The alternatives to landfilling
 containerized liquid wastes are  ,
 essentially the same as those for bulk
 liquid wastes, except that storage of the
 containers probably will be simpler than
 finding storage for bulk liquid wastes.
 Thus, the same reasons exist for
 providing a 12 month delay in the date
 for compliance with this'regulation.
   The Agency believes that some
 containerized liquid wastes will be
 emptied and treated before being placed
 in a landfilL Removing liquid wastes
 from drums may increase the likelihood
 of waste spdls and will most likely
 result in increased air emissions from
 volatile waste. Although these interim
 status regulations do not currently
 address  volatile waste, the Agency
 expects to do so in the Phase II and
 Phase in regulations as information
 becomes available, and may am^nd
 these interim status' regulations where
 appropriate.Additionally, the Agency
 believes that on til .the problem of
 volatile emissions' can be dealt with in a
 more satisfactory manner, volatilit
 hazardous waste should generally not
 be placed in any disposal facility.
 Opening*drums containing liquid
 hazardous waste, particularly volatile
 waste, requires special safety
 precautions, such as ventilation or use
 of respiratory equipment However;
 adequate handling methods are
 currently used at some facilities to
 safely dispose of bulk liquid wastes, and
 to empty containers holding waste with
 free liquids. These methods can
 generally be employed at other landfills
 as welL                     .',     •
  The prohibition on landfilling
 containers (empty or full) applies to 55-
 gallbn drums and other similar
 containers, but does not .apply to
 devices which function as a container
 for hazardous waste during their useful
 life, such as batteries or capacitors or to
 very small containers such as ampules.
 These types of containers are not likely
 to contribute substantial volumes of
 liquid to most landfills, and the difficulty
 of opening and emptying them appears
 to outweigh the small benefit gained.
  Since this regulation has been
 modified substantially from the one
 proposed for interim status, it is being
 promulgated interim final. Comments
 are solicited on the regulation and
 especially on  the four points listed
previously under "Bulk Liquid Wastes.w
 -12. Empty Containers. The Agency
also is concerned that empty containers
buried in a landfill can collapse and
disrupt the final cover.Therefore, the
 . landfilling of empty containers is also
  prohibited. Each empty container must
  be crushed flat, shredded, or in some
  other manner reduced in volume, before
  being incorporated into the landfill. EPA
 .assumes that most empty containers will
  be crushed by landfill equipment prior  •
  to or during disposal in the landfill.
  Current procedures in at least six States
  already call for empty drums to be
  crushed before disposal in a landfill.
   Since the proposed regulations did not
  contain a requirement for the disposal of
  empty containers, the Agency is
  promulgating this regulation interim
  final. The Agency solicits,comments on
 • this regulation, especially (1) on the
  nature and extent of activities which
  commenters expect to conduct in
  compliance with.-the regulations, and (2)
  how these activities relate to the
  management of emissions during the
  disposal of volatile hazardous waste.

  N. Subpaft O—Incinerators
   Incineration is a relatively well-
  developed and well-understood
  technology. Properly executed, it can
  accomplish safe destruction of primarily
  organic hazardous waste, permanently
  reducing large volumes of waste
 'materials,to non-toxic gaseous
  •misaipns and small amounts of ash and
  other residues. Incineration can often   *
 provide an optimum, permanent solution
  to hazardous waste management with
 minimal long-term ecological burden.
   The proposed § 250.45-1 technical
 performance and design requirements
 for incineration cannot be implemented
 during interim status. The time and costs
 of upgrading most existing facilities to
 comply with these standards would be
 considerable,  and the designs would
 require EPA approval during .the
 permitting process. As a result the
 Agency has developed a few general
"operation requirements for incineration
 •which can be implemented during the -
 Interim status period. These standards
 'will jmprove operating procedures by
 eliminating some practices which have
 resulted in-problems in the past'...
   Technical criteria for issuing permits
 will be promulgated during Phase II of
 the RCRA regulatory program. These
 will be accompanied by a design and
 operation guidance manual which will
 assist permitting officials and the
 regulated community in evaluating the
 adequacy of specific incinerators. Most
 of the specific, quantitative design,
 operation, and performance
 requirements will be issued when
 adequate technical support for these
 standards can be firmly established.
   The Phase I  regulations apply to
 incinerators which burn hazardous
 waste regardless of their size, capacity,

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    33216  .     Federal Register / Vol. 45. No.  98 /. Monday. May 19. 1980  /Rules and Regulations
   physical or mechanical type, or
   geographical location. The incineration
   of gaseous, liquid, semi-solid and solid
   hazardous waste, and blends thereof, is
   subject to these regulations. The
   incineration of combustible wastes of
   varying heating values,  as well as
   aqueous and other wastes which may
   require co-incineration with auxiliary
   fuels, is also subject to the Subpart O
   standards. Boilers which burn waste
 ~ primarily to recover energy are not now
.   covered by Subtitle C of RCRA.
     These standards were not proposed to
   be effective during the interim status
   period. However, as comments
   suggested, the Agency believes that
   several of the proposed "good operating
   practice" regulations can beneficially be
•   instituted during interim status to reduce
   hazards associated with poor operating
   procedures. The incineration standards
   for the interim status period are being
   promulgated interim final, and the
   Agency will accept comments on them.
   To some extent, these standards are
   derived from parts of the proposed
   regulations. An analysis of the major
   comments received on these parts of the
   proposed § 250.45-1 standards follows.
    Several commenters felt that RCRA •
•  was not Intended to regulate
  incineration, contending  instead that the
  Clean Air Act is the  appropriate vehicle
  for regulating incinerators. To support
  their argument, these commenters
  claimed that Section 1004(3) of RCRA
  (which defines "disposal'*) spoke in
  terms of land disposal situations
  involving primarily water and soils, and
  was not relevant to incineration.   '
    The Agency disagrees with this
  argument Incineration is in fact a
  treatment process. It meets the
  definition of "treatment"  in Section
  1004(34) of RCRA:        ,  *
   * * * any method, technique, or process,
  including neutralization designed to change
  the physical, chemical, or biological character
  or competition of any hazardous watle to as
  to neutralize »uch watts or so as to render
  such waite non-hazardous, safer for
  transport, amenable for recovery, amenable
  for storage, or reduced in volume • *  *
   The objective of incinerating
  hazardous waste is normally to change
  the physical form or chemical
  composition of the waste so as to render
  it less hazardous. Incineration may also
  render the waste "safer for transport,
  amenable for recovery, amenable for
  storage, or reduced in volume."
 Therefore, incineration is  a treatment
 process within the meaning of RCRA,
 and the Agency has a mandate to
 produce operation, location, design, and
 construction regulations for the
 incineration of hazardous waste
 adequate to protect human health and
   the environment. The interaction of
   RCRA and the Clean Air Act is
   discussed above.
    1. General Operating Requirements.
   Some commenters requested that a
   specific period of time during start-up
   and shutdown be designated, during
   which the proposed performance
   standards (for combustion and
   destruction efficiency) would not apply.
  These commenters claimed that during
  these periods, temperature .and other
  combustion conditions are subject to
  wide fluctuations,  and thus, obtaining
  the required destruction efficiencies
  during these times would be difficult
  The Agency-agrees that these
 . fluctuations can occur during start-up
  periods, and believes that this
  undoubtedly results in hazardous	
  emissions. To counter this problem, the
  final rules require that incinerators
  achieve normal steady state combustion
  conditions, using auxiliary fuel, before
  wastes are introduced.
   2. Monitoring and Inspections. A
  number of comments were received on
  the proposed  monitoring and facility
  inspection requirements. Commenters
 raised questions about the expense and
 reliability of the required gaseous
 monitoring equipment the frequency of
 inspection, and the specification of
 monitoring points. Detailed monitoring
 requirements and the comments on
 these requirements will be addressed in
 the Phase n and Phase in regulations. In
 these Phase I rules, the Agency has
 specified a minimum, schedule for
 monitoring and inspecting the operation
 of incinerators. Combustion and
 emission control equipment must be
 monitored and operating corrections
 made when necessary, at least every 15
 minutes, to ensure that critical
 conditions are not allowed to vary in an
 uncontrolled manner. In addition.
 inspection points, such as visible stack
 emissions and critical pumps, are also
 required to be inspected in accordance
 with both the minimum frequencies
 specified in .the Subpart O standards,
 and in the facility inspection Schedule
 (see preamble discussion on
'"Inspections"),
   3. Waste Analysis. The requirements
 for waste analysis were contained in the
 General Facility Standards section of
 the proposed regulations. As explained
 earlier in the preamble discussion
 entitled "Waste Analysis"; each
 technical section of  the final rules
 contains waste analysis  requirements
 specific to the management method
 regulated hi that section. Accordingly,
 the final Subpart O standards include
 waste analysis requirements which
 specify the parameters and constituents
  for which each type of waste musjjjj
  analyzed. This analysis will enal
  operator to determine the type of .^^
  pollutants which might be emitted from
  the incinerator and to estimate the
  necessary combustion conditions. In
  addition, the final general waste
  analysis rules require that each
  shipment be inspected and, if necessarv,
  analyzed to verify that the waste
  actually received at the facility is the
  same as that which was expected. The
  waste analysis standards specified in
  Subpart O are minimum procedures
  necessary to adequately operate an
  incinerator. Most reputable hazardous
  waste incineration operators currently
  obtain considerably more detailed
  information on a new waste before
 .Incinerating it than these standards
  require. All testing required in Subpart
  O is to be included in'the waste analysis
  plan discussed above.
   4. Energy Recovery. Some
  commenters claimed that many waste
  oils and solvents are usable as fuels and
  are hazardous only because of their
  ignitability, and that too great an
  economic burden would result from
  subjecting these relatively easily
  combusted materials to the detailed
  combustion, monitoring, and other
  requirements specified in the propc
  rules. The Agency has decided thai
  bi/rning of hazardous waste for »"*
•  recovery will not now be covered under
  the hazardous waste provisions of
 RCRA. (However, storage or
  transportation of listed hazardous waste
 prior to energy recovery is covered by  •
  these regulations.) Accordingly, if waste
 oils and solvents are burned as a fuel in
 a boiler primarily to produce steam or
 usable energy, this action is'not now
 covered by these regulations.
   Facilities in which hazardous wastes
 are burned, and in which energy
 recovery is only incidental or minimal,
 are subject to the Subpart O incinerator
 standards. Examples of activities
 covered by these regulations include (1)
 coincinerating wastes with high thermal
 value to help offset the lack of thermal
 value in other waste, and (2) destroying
 wastes in an incinerator to which a
 waste heat recovery boiler has been
 added. The decision as to whether a
 facility is  subject to the Subpart O
 standards depends on the primary
 purpose of the unit in which the waste is
 destroyed. If the primary purpose .is to
 provide steam, such as in a power
 boiler, the operation is not covered. If
 the primary purpose is  to treat wastes,
 then the unit is subject to the Subps
 standards.                      I
 • 5. Closure. At closure, all hazard',,
 waste and hazardous waste residues

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Federal Register /  Vol. 45. No.'98 / Monday. May 19.'1980 / Ruleg  and Regulations
                                 33217
m
 ,   (including ash. scrubber waters, and
    scrubber sludges) must be removed from
    the incinerator.
     Commenters noted that the proposed
    rules did not specifically address
    residues from incinerators. Pursuant to
    § 2Bl,3(e). residues removed from  ..
    hazardous-waste incinerators are
    considered to be hazardous wastes, and
   .they must be managed as hazardous
   wastes in accordance with all.
   applicable requirements of Ports 282^
   263, and 265, unless the owner or
   operator can demonstrate that the
   residue is not a hazardous waste. The
   incinerator operator is a "generator"
   with regard to such wastes, unless they
   are exempted. A comment lo this effect
   has been added to the final rules.

   O. Subpart P—Thermal Treatment
     Because incineration is the most • ••
   prevalent method currently used to  '  '. '•
   thermally treat hazardous waste, both
 ^  the proposed and final rule* contain a
   separate section specific to this waste  •
   management technique. However.
   incineration is only one type of
   management process that can be used to
   thermally treat hazardous waste. There
   are several less conventional methods
   that are being developed as an
.  alternative to classic incineration. For
  example, an EPA research and
  development program is exploring the
  performance characteristics of a
  microwave discharge system for
  destruction of toxic compounds in
  gaseous, liquid, and solid farms.
  Currently, the system has been foond
  successful with .some fahrynt
  limitations, for treating .certain toxic
  organic compounds.
    Several commenten Were concerned
. that, because the proposed rules
 . contained no requirements applicable to
  methods other than incineration to
  thermally degrade hazardous waste, the
  proposed rules might discourage the
.  development and utilization of
  alternative thermal treatment processes.
    The Agency intends to encourage the
 development and use of these emerging
 technologies. Therefore, the final rules
 contain a separate Subpart specific to
 thermal treatment processes other than
 incineration. In addition, a definition of
 "thermal treatment" has been added to
 the final rules to more explicitly define
 the relationship between incinerators •
 ahd other thermal treatment devices.
 Thermal treatment is defined as:
   "the treatment of hazardous waste in a
 device which uses elevated temperatures as
 the primary means lo change the chemical
 physical or biological character or
 composition of the hazardous waste.
 Examples of thermal treatment processes are
 incinerators, molten salt pyrplysis.
                        _ calcination, wet air oxidation, and
                          microwave discharge."     '
                            Incinerators are a subset of the
                          thermal treatment class; thus, most of
                          the Phase I Subpart P standards for
                          thermal treatment facilities are similar
                          to the Phase I Subpart O incinerator '
                          standards. This section of the preamble
                          only discusses those aspects which
                       .   differ.
                           The interim status, standards require
                          that thermal treatment processes
                          achieve steady state (normal) conditions
                          of operation before introducing
                          hazardous waste. The rationale for this
                        ,  requirement is the same as for
                          incinerators. The steady state
                          requirement for, thermal treatment has .
                       .  been modified because some acceptable
                          thermal treatment processes may not
                          operate In a steady state manner (e.g,
                         batch-wise or non-continuous processes
                         in which waste is introduced to the
                         treatment chamber prior to the
                         application of heat).                .
                           Although not proposed as an interim '
                         starus_standard, a ban on open burning
                         of hazardous wastes was contained in
                         the General Facility Standards section
                         of the proposed regulations. This
                         requirement has been incorporated into
                         the interim status standards for thermal
                         treatment because the potential human
                         health hazards associated with the
                         practice dictate that open burning be
                         ended now. Comments received on the
                        proposed standard centered around the
                        military's need,to dispose of explosives
                        in the open. The Agency agrees that
                        open burning and open detonation are
                        currently the only .alternatives for
                        disposal of most munitions, and .thus a
                        modified and more detailed version of
                        the proposed variance for waste
                        explosives has been retained in the final
                        rules.
                          Waste explosives and bulk.
                        propellants are inherently dangerous to
                        cut or disassemble to make them
                        amenable to present thermal treatment
                        technologies. This hazard is
                        demonstrated by the number of damage
                        incidents that have occurred during
                        cutting and handling processes at
                        explosives manufacturing facilities.
                        Open burning and open detonation of
                        known types and amounts of bulk
                        propellants and explosives can be
                        conducted safely without harm to
                        human health and the environment.
                          The Agency has decided to allow
                       open burning and open de tonation of
                       waste explosives during the interim
                       status period, provided that it is
                       conducted at minimum distances from
                       the -property of others. These minimum
                       separation distances were developed
                       and published by the Department of
  Defense. The interim status standards
  for open burning allow small amounts of
  explosives (up to 100 pounds) to be open
  burned or open detonated at a minimum
;  of 204 meters (670 feet) from locations  '
  where there may be persons in the open
  (e.g.. the property of others), and
  succeedingly greater distances for '
  greater amounts of explosives. These
  limits were developed by DOD as
  minimum safe distances for the
  protection of persons m the open from
  fragmentation, flying debris, or the
  effects of overpressure. Since DOD does
  not provide safe distances for protection
  from fragmentation for amounts of
  explosive waste larger than 30,000
  pounds,  the Agency has limited the
  amount of explosive waste that can be
  open burned at any one time to 30,000
  pounds.        ,     •
    Technical performance and design
  requirements for thermal treatment
  processes are being developed. These
  technical criteria will be addressed
  during Phases II and ill of the RCRA "
  regulatory program. These standards
  will be accompanied by a design and
  operation guidance manual, which will
. assist permitting officials, the regulated
•  community, and the public in evaluating
  the adequacy of specific types of
  thermal treatment processes.

 P. Subpart Q—Chemical. Physical, and
 Biological Treatment
   The proposed regulations covered the
 treatment of hazardous waste,primarily
 by setting standards for treatment in
 basins (now tanks), surface
 impoundments, land treatment facilities,
 and incinerators. While these are the
' primary kinds of equipment or facilities
 used to treat hazardous waste, chemical,
 physical  and biological treatment of
 hazardous waste can also be conducted
 in other types of equipment by
processes" such as distillation,
centrifugation, reverse osmosis/ion
exchange, and filtration. The proposed
regulations contained a section designed
to regulate such chemical, physical and
biological treatment Because there are
many different types of possible
processes, and because the processes
are frequently waste-specific, EPA'has
not attempted to develop detailed
regulations for any particular type .of   ,  <
process or equipment.   ,  ;
  The Agency's primary concerns in
developing these regulations has.been.
as it has been for other types of facilities
and equipment, the safe containment of
hazardous waste, hazardous waste
constituents, and treatment byproducts
through waste-analysis, inspections,
special attention to the handling of
ignitable, reactive, or incompatible
wastes, and'proper closure. In these   ',

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   33218
Federal Register / Vol. 45. No. 98 /Monday. May 19.  1980 / Rules and Regulations
   respects, most chemical, physical, and
   biological treatment operations present
   essentially the same problems and
   require essentially the same solutions as
   the treatment of hazardous wastes in
   tank*. The equipment is typically  •
   stationary and fairly large, and the
   materials used and the problems
   encountered in that part of the
   equipment which contains the waste are
   not dissimilar from the materials used
   and the problems encountered in
    In addition, as discussed above fa
  Subpart J, the Agency has reoriented its
  tank regulations to cover treatment fa
  tanks as well as storage, and many of
  the current tank regulations have been
  drawn from the proposed regulations for
  chemical, physical, and biological
  treatment For these reasons, the present
  regulations for chemical, physical, and
  biological treatment and for tanks have
  both been derived from a merging of the
  proposed regulations for these, types of
  equipment for basins (which are now
  treated as tanks), and for storage and
  treatment generally. The tank
  regulations and the chemical, physical,
  and biological treatment regulations are
  now essentially identical, and the
  rationale for the regulations on
  chemical physical and biological
  treatment is therefore presented above
  with the rationale for the regulations on
  tanks.
   The Agency expects to develop
  somewhat more specific standards for
  chemical physical and biological
  treatment facilities fa the Phase II and
  Phase m regulations, and for this reason
  these regulations have been
  incorporated fa a separate Subpart
   The regulations for chemical physical
  and biological treatment (Subpart Q)
  differ from those for tanks (in Subpart J)
 fa one respect Subpart Q contains no
 requirement for maintaining a freeboard
 or inspecting to ensure that the
 freeboard is maintained because, to the
 Agency's knowledge, the treatment
 processes regulated under Subpart Q are
 conducted fa covered containment
 devices, and a freeboard is unnecessary.
  EPA received a number of comments '
 on its proposed Section 3004 regulations
 requesting the Agency to clarify whether
 pipes and other types of totally enclosed
 facilities fa which hazardous waste may
 be treated would be considered
 hazardous waste treatment facilities and
 would be required to meet Section 3004
 standards and obtain a permit.
 Commenters pointed 041 that in  some
 production processes, wastes
 (particularly acid and alkaline solutions)
 are treated fa-pipe, often resulting in a
non-hazardous discharge.         *"
                           EPA agrees that to classify "totally
                         enclosed treatment systems." such as
                         pipes, as'hazardous waste treatment
                         facilities and to require them to meet
                         Section 3004 standards and obtain a
                         permit would not make a great deal of
                         sense. These facilities by definition do
                         not release wastes or waste constituents
                         into the environment and therefore
                         stringent controls are not "necessary to
                         protect human health and the
                         environment" Such controls might also
                         discourage the use of such facilities.
                         which in many ways represent the
                         optimum in good waste management
                         practices. It may also be very difficult as
                         a practical matter to permit or otherwise
                       .  regulate these types of facilities—many
                         are indoors, are part of complicated
                         plumbing systems which do not fall
                         within RCRA's jurisdiction, and do not .
                         have clearly defined starting and end
                         points. Accordingly. EPA has excluded
                         these facilities from regulation under
                       'this Part
                          Persons who handle hazardous waste
                        in what they believe to be a "totally
                        enclosed treatment facility" should
                        carefully read the definition of that term
                        in § 280,10 of this Chapter. The key
                        characteristic of such a facility is that it
                        does not release any hazardous waste
                        or constituent of hazardous waste jnto
                        the environment during treatment Thus,
                        if a facility leaks, spills, or discharges
                        waste or waste constituents, or emits
                        Wastes or waste constituents into the air
                       during treatment it is not a "totally
                       enclosed treatment facility" within the
                      , meaning of these regulations.  •
                         Another important characteristic of a
                       totally enclosed treatment facility is that
                       it must be'directly connected to an
                       industrial production process. Thus,
                       such a facility located at an off-site
                       hazardous waste management facility
                       does not qualify for exclusion from these
                       regulations.
                         After treatment fa a totally enclosed
                       treatment facility, the resulting
                       discharge, treatment residue, etc.. may
                       be a hazardous waste and subject to
                       regulation'under this Part Owners and
                       operators of such facilities should
                       consult 5 281J of this Chapter to
                       determine whether that is the case.

                       Q. Subpart R—Underground Injection
                      •   Under § 250.40(e)(6) of the proposed
                       regulation, the disposal of hazardous
                       wastes via underground injection.
                       pursuant to the'Safe Drinking Water Act
                       (SDWA) regulations, was not subject to
                       regulation under the RCRA Subtitle C
                      program. That exclusion was based on
                      Section 1006 of RCRA which requires
                      the Administrator to integrate RCRA
                      regulations with programs under the
                      Agency's other statutory authorities,
   including the Safe Drinking Wales
   Commenters were generaly suppf
   of EPA's efforts to coordinate its ^^
   programs, but some expressed concern
   that exclusive reliance on the
   Underground Injection Control program
   under the SDWA in addressing the
   environmental problems presented by
   underground injection of hazardous
   wastes would not fully satisfythe key
   health and environmental concerns
   embodied fa RCRA.
    Based on a review of the Comments
   and further analysis of this issue, EPA
   has concluded that underground
   injection of hazardous wastes must be
  regula ted under RCRA during the
  interim status period. Thus the Agency
  .has developed Subpart R in Part 265
  which specifies the particular standards
  applicable to disposal of hazardous
  waste by underground injection. In
  addition, owners and operators of
  hazardous waste injection wells will be
  subject to the general requirements
  (other than Subparts G and H)
  applicable to all hazardous waste
  treatment storage, and disposal  .
  facilities. The Agency recognizes that
  some of these general requirements may
  not apply directly to all underground
  injection of hazardous waste, fa th?
  same sense that some may not apt"
  directly to all other types of hazaru
  waste facilities. The requirements,
  however, are written with sufficient
  flexibility and variances to
  accommodate the differences among
  facilities, including the somewhat
  different aspects of underground
  injection.  .                   '
   Underground injection of hazardous
 waste constitutes "disposal" as that
 term is defined in Section 1004(3) of
 RCRA. The definition-specifically
 includes "injection. . . of-any solid
 waste or hazardous waste into or on any
 land or water." Moreover there is no
 specific language in the Act indicating
 that injection activities that may be
 subject to the SDWA are necessarily
 beyond RCRA jurisdiction. RCRA was
 enacted after the SDWA. The Congress,
 therefore, had an opportunity to impose
 any specific limits on RCRA jurisdiction
 that it deemed appropriate. It is
 significant that the Congress did place
 limits on RCRA jurisdiction to
 coordinate RCRA programs with the
 Clean Water Act For example, the  '
 definition of "solid waste" under RCRA
 excludes "solid or dissolved materials in
 . . . industrial discharges which are
 point sources subject to permits und
 Section 402 of the Federal Water
Pollution Control Act" No such
statutory exclusion exists for

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                federal Register / Vol. 45. Np. 98 / Monday. May 19.  1980 / Rules  and Regulations       33219
   underground injection of hazardous  •
  • wastes.                       '
     Section 1006 does require the   .  .   -
 ,'Administrator to integrate the
 .  provisions of RCRA with appropriate
   provisions of various statutes (including
   the SDWA) which EPA administers.
   Such integration is only required.
   however, "to the extent that it can be
   done in a manner consistent with the
   goals and policies expressed" in RCRA
   and the other statutes.               .
     When EPA's statutory authorities
   provide overlapping jurisdiction over
   certain activities it is within the  .
   discretion of the Administrator to decide
   which program will be used to regulate
.   the activity. In order to implement the
   goals and policies of each law, the
   Administrator will incorporate the key
   elements of each statute into its '
   regulatory program. Section 1006 of
   RCRA provides statutory recognition '
   that such coordinated.regulatory
•  programs are appropriate.
    In evaluating the proposed regulation.
  EPA decided that complete reliance on
  the UIC program to handle underground
  injection of hazardous waste during the
  interim status period could not
  adequately address three key RCRA
  concerns, First, RCRA is aimed at
  protection of a broad range of
  environmental media, including ground-
  water, surface water, air, and land. The
  UIC program is directed at the
  protection of underground sources of
  drinking water. Second. Section 3004 of
  RCRA requires the Administrator to
  establish standards "to protect human
  health and the environment." This
  language indicates that RCRA
  regulations Were to address a broader
  range of environmental problems than
  the UIC program; Third, the UIC
  program does riot have the equivalent of
  an interim status period when'owners or
  operators who dispose of hazardous
  waste by underground injection are
. subject to Federally enforceable
  standards. Enforcement of
 environmental controls under the UIC
 program must await: the identification
 of States needing a program: the  •
 development of State programs for
 primary enforcement responsibility: the
 approval or disapproval of those
 programs by EPA; and the development
 of UIC programs by EPA hi States which
 fail to develop and implement adequate
 programs1 for primary  enforcement
 responsibility. EPA does not believe that
 UIC primary enforcement programs will
 be in place in all States on the effective
 date pf these interim status regulations.
 Therefore, in order to provide control
 over underground injection of hazardous
 waste during the interim status period.
  as contemplated by RCRA. it is
  .necessary to regulate underground
,  injection under these regulations.     ;
    Section 1006 directs the
  Administrator, in the coordination of
.  EPA's other statutes with RCRA. to
  avoid duplication and to structure RCRA
  regulations so that they will not be
  inconsistent with the requirements of
  other statutes (such as the SDWA). EPA
  is mindful of that requirement and ,
-intends to coordinate the later stages of
.  the RCRA and UIC programs so that the
  key elements of the statutory scheme in
  the SDWA will be preserved. EPA does
  not believe, however, that the regulation
  of underground injection of hazardous
  wastes in these interim status
  regulations is inconsistent with the
  SDWA. As mentioned earlier the UIC
  program does not have trie equivalent of
  an interim status period. Thus there can
  be no conflict with SDWA provisions.
   The regulation of underground  '
.injection during interim status was not a
  part of the proposed regulation, but the
 decision to do so was, partially based on
 factors raised in public comments.
 Moreover, the Agency dqes not expect
 that the  application of some of the
 general requirements, otherwise
 required at all facilities, to underground
 injection raises substantially different
 issues than those raised and addressed.
 in the development of the interim status
 regulations. Therefore,  the inclusion of
 underground injection in these
regulations and the application of
certain general requirements to injection
wells are being issued as "interim final."
This approach provides for prompt
implementation of regulations
concerning these practices, in keeping
with RCRA goals and policies, while
allowing an opportunity of public
comment to reveal any  unique problems
that may arise in applying the general
requirements of the interim status
regulations to underground injection.
  Underground injection will not,
however, be subject to Subpart G and H;
of the interim status regulations which
address closure and post-closure care as
well as the financial requirements
necessary to ensure implementation of ••
closure and post-closure care'
requirements. Requirements for closure
and post-closure care need to be
coordinated with the more specific
technical requirements applicable to
underground injection. EPA has decided.
therefore, to address closure and ppst-
closure as part of the proposed
regulation described below.   .
  Subpart R of these regulations
indicates those parts of the regulation
which are not applicable to underground
injection. In addition it should be
recognized that the ground-water
.  monitoring requirements of Subpart F
  have not been applied to underground
  injection at this time. Subpart R also
  indicates that it applies  to Class fand
  Class IV wells as those term are defined
 ' under § 122.32 of the consolidated
  permitting regulations.
    This provision is designed to show
  that these regulations  cover, at a
  minimum, those underground injection
  facilities that'will be subject to control
  under the UIC program.
    The Agency is proposing regulations
  that provide more specific  requirements
  to deal with the particular
  environmental problems presented by
  underground injection. These proposed
  regulations will amend Sabpart R and
  will address issues relating to direct  '
  injection pf hazardous waste, general
' operating requirements, waste analysis,
  monitoring, closure and post-closure
  care, recordkeeping and  reporting! and
  special requirements for ignitable.
  reactive or incompatible wastes.
  VI. OMB Review
    The sections of the regulations issued..
  under Section 3004 of RCRA pertaining
  to recordkeeping and reporting have
 been submitted-to the Office of
 Management and Budget for review in  •
 light of the requirements  of the Federal
 Reports Act. 44 U.S.C.  § 3501 etseq.
 Time has not permitted completion.of
 this review.     •.             ...

 VII. Supporting Documents
   The Agency has developed or will
 prepare two sets of documents in   .
 conjunction with the Section 3004 rules.
 This section of the preamble describes
 these documents.

 A. Background Documents.
   Eighteen background documents have
 been developed to explain and-respond
 to comments on the Phase I rules.
 Additional documents will accompany
 the Phase II and Phase  III regulations as
 they are published. These background
 documents basically correspond to each
 Section or Subpart of the  final rules.
 Each contains an explanation of the
 data and reasoning which led the
 Agency to propose each regulation, an
 in-depth review of the comments .   :
 received on the regulation, an analysis
 of the comments, and the  Agency's
rationale for accepting or rejecting these
 comments.            •            •
   Copies of these documents will be
available for review in the EPA regional
office libraries and at the  EPA
headquarters library. Room  2404,
Waterside Mall, 401 M Street. S.W.,
Washington. D.C 20460. EPA will   ,
publish a notice in the Federal Register
when these documents have all been

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    33220       Federal Register  / Vol. 45. No.98/ Monday. '.May 19. 1980 /  Rules and Regulations
    reproduced and distributed to these
    libraries They will be available from
    Solid Waste Information. U.S.
    Environmental Protection Agency. 28
    WeatSL Glair Street. Cincinnati. Ohio
    45288, within six months after these
    regulations are promulgated.
     A list of these background documents
    is as follows:
     1. Purpose, Scope, and Applicability
    (Including general issues concerning
   Interim Status Standards)
     2. General  Waste Analysis
   Requirements
     3. Security
     4. General Inspection Requirements
     5. Personnel Training
     8. Preparedness and Prevention,
   Contingency Plans, and Emergency
   Procedures   '
     7. Manifest System, Recordkeeping,
   and Reporting ,
     8. Interim Status Standards for
   Ground-Water Monitoring
     9. Interim Status Standards for
   Closure and Post-Closure Care
     10. Interim Status Financial
   Requirements
     11. Interim Status Standards for
   Containers and Piles
   , 12. Interim Status Standards for Tanks
     13. Interim Status Standards for
  Surface Impoundments
     14. Interim Status Standards for Land
  Treatment
     15. Interim Status Standards for
  Landfills
    18. Interim Status Standards for
  Incinerators
  * 17. Interim Status Standards for
  Thermal Treatment
    18. Interim Status Standards for
  Chemical. Physical, and Biological
  Treatment

  B. Reference Manuals
    These regulations, and those yet to be
  promulgated in Phases II and III. will
  constitute the full set of requirements for
  managing hazardous waste. However..
  their reliance on performance standards
  and the incorporation of variance
  procedures provide considerable
  flexibility to accommodate new
  technologies, special needs of specific
  locations, and variations in waste
  characteristics.
   To  assist both owners and operators
.  of facilities and regulatory officials. EPA'
  will prepare a series of design and
  operation manuals. These will not have
  the effect of regulations, but will provide
 guidance on how facilities may be
 designed and operated to meet the
 standards. The manuals will also
 provide guidance on what modifications
 and variations are likely ,to be effective
 under the variance procedures. They
 will be organized to correspond closely
   to the regulations and will be based on
   the collective knowledge of the Agency,'
   the literature, and experts throughout
   the world. Manuals will also be
   prepared for testing, training, and
   monitoring.
     EPA expects to prepare the following
   manuals:
     1. Training
     2. Ground-Water Monitoring
     3. Air Monitoring
     4. Financial Responsibility
     5. Containers
     6. Tanks                .
     7. Surface Impoundments
     & Waste Piles
     9. Land Treatment
     10.Landfilling....   ,  ;
    11. Incineration
    12. Thermal Treatment
 .   13. Chemical. Physical, and Biological .
  Treatment
    The Agency expects to issue these
  manuals before the effective date (i.e.,
  six months after promulgation) of the
  Phase n technical regulations. They will
  be revised from time to time as more
 information becomes available, and as
  the final Phase m regulations are
 developed. The documents will be
 available for review in the EPA regional
 office libraries and the EPA
 headquarters library. Room 2404.
 Waterside Mall. 401 M Street. S.W..
 Washington, D.C 20460. Later the
 Agency will publish the documents for
 distribution through Solid Waste
 Information. U.S. Environmental
 Protection Agency, 28 West St. Clair
 Street. Cincinnati, Ohio 45288.
   Dated- May 2. I960.
 Dougta Costla.
 Administrator.    ...       .         .

   Title 40 is amended by adding new
 Parts 284 and 285 as set forth below.
   The following sections are being
 promulgated on an interim final basis
 (See Preamble Section IIB3 for
 discussion):  ..

 PART 264

 Sec.
 264.12  Required Notices.

 PART 265

 Subpart B—General Facility Standards
 285.12  Required notices,
 285.17  General requirements for ignitable,
    reactive, or incompatible wastes.

 Subpart F—Ground-Water Monitoring
 285.90  Applicability.
 265.91  Ground-water monitoring system.
 265.92  Sampling and analysis.
265.93  Preparation, evaluation, and
    response.
265.94  Recordkeeping and reporting.
   Subpart G—Closure and Post-clc
   Sec.
   265.111  Closure performance i     .^^^
   265.112  Closure plan: amendment ofplan.
   265.113  Time allowed for closure.
   265.117  Post-closure care and use of
      property: period of care.
   265.118  Post-closure plan: amendment of
      plan. .

   Subpart I—Use and Management of
   Containers

   285.178  Special requirements for ignitable or
      reactive waste.     •

   Subpart J—Tanks

   285.198  Special requirements for ignitable or
 •     reactive waste.

  Subpart K—Surface Impoundments
  265.223  Closure and post-closure.

  Subpart L—Waste Piles

  265.251 Protection from wind.
  285.252 Waste analysis.
  265.253 Containment.
  285.258 Special requirements for ignitable or
      reactive waste.
  285.257 Special requirements for
      incompatible wastes.

 Subpart M—Land Treatment

 265.272 General operating requirements.
 285.273 Waste analysis.
 285.278 Food chain crops.
 285.278 Urisaturated zone (zone of aeration)
     monitoring.
 285.280 Closure and post-closure.

 Subpart, N—Landfills

 265.310 Closure and post-closure. '  •
 265.314 Special requirements for liquid
     waste.  <
 265,315  Special requirements for containers.

 Subpart O—Incinerators
 265.343  General operating requirements.
 285.345  Waste analysis.
 265.347  Monitoring and inspections.
 285.351  Closure.

 Subpart P—Thermal Treatment
 265.373 General operating requirements.
 285.375 Waste analysis.
 285.377 Monitoring and inspections.
 285.381 Closure.
 285.38S Open burning; waste explosives.

 Subpart O—Chemical, Physical, and
 Biological Treatment

 265.405  Special requirements for ignitable or
    reactive waste.

 Subpart R—Underground Injection
 265.430  Applicability

   EPA will also accept comments on the
 propriety of including the following
 sections as interim status standards
 (See Preamble Section IIB3 for
 discussion):

PART 265   v

Subpart B—General Facility Stand:

Sec.
265.13  General .waste analysis.

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Federal Register  /  Vol. 45^No.  98 / Monday/May Id. 198O / Rules and Regulations
                                   33221
    Subpart J—Tanks              •    '  .
    Sec.          •       .•  -    •      -
    265.192 General operating requirements.
    265.193 Waste analysis and trial tests.

    Subpart K—Surface Impoundments     '
    265.222 ' General operating requirements.
•'.   265.223 Containment system.
    265.225 Waste analysis and trial tests.
    265.229 Special requirements for ignitable or
     1  reactive waste.              •        '
    285.230 Special requirements for
       incompatible wastes.

    Subpart M—Land Treatment

    285.281  Special requirements for Ignitable or
       reactive waste.
    785282  Special requirement* for
       incompatible wastes.

   Subpart M—Undfllts
   285.302  General operating requirements.
   285.312  Special requiremenU for ignitable or
       reactive waste.   •     '  •.

   Subpart Q—Chemical, Physical, and
   Biological Treatment.
   285.401  General operating requirements.
  •285.402  Waste anarysis  and trial tests,     .
     Comments should be forwarded to:
   RCRA Docket Clerk. Room 2711.
   Waterside Mall. 401M Street. S.W..
   Washington, D.C 20480.

   PART 264—STANDARDS FOR
   OWNERS AND OPERATORS OF
   HAZARDOUS WASTE  TREATMENT,
   STORAGE, AND DISPOSAL
   FACILITIES
   Subpart A—General
  Sec. - '    , '.  '     '     '         '   '
  284.1  Purpose, scope and applicability.
  264.2  (Reserved]
  264.3  Relationship to interim status
      standards.
  284.4  Imminent hazard action.
  284.5-284.9  [Reserved]

  Subpart B—General Facility Standards
  284.10  Applicability.     .
  284.11  Identification number.
  284.12  Required  notices.
  284.13  General waste analysts.
-  284.14  Security.
  284.15  General inspection requirements.
  284.18  Personnel training.
  284.17-284.29  [Reserved]

  Subpart C—Preparedness and Prevention
  264.30  Applicability.
  264.31  Design and operation of facility.
 284.32  Required equipment,   .
 284.33  Testing and maintenance of
    • equipment.
 264.34  Access to  communications or alarm
*    system.
 284.35  Required aisle space.
 264.38 -Special handling for ignitable or
     reactive waste.
 264.37. Arrangements with local authorities.
 264.38-264.49   [Reserved]

 Subpart D—Contingency Plan and
 Emergency Procedures •c  "
 264.50 Applicability/
                          . Sec.    - '.' "   ,  .;.•".-,
                           264.51  Purpose and implementation of
                              contingency plan.
                           264.52  Content of contingency plan.
                           264.53  Copies of contingency plan.
                           284.54  Amendment of contingency plan.
                           264.55  Emergency coordinator.
                           264.58  Emergency procedures.
                           264.57-284.69  [Reserved]

                           Subpart E—Manifest System,
                           Recofdkeeplng, and Reporting
                           284.70 Applicability.
                           284^1 Use of manifest system.
                           2B4J2 Manifest discrepancies
                           284.73 Operating record.
                           284.74 Availability, retention, and
                              disposition of records.
                           284.75 Annual report   .'
                           284.78 Unmanifested waste report.
                           284.77 Additional reports.
                           284.78-284.999  [Reserved]
                          Appendix I—Recordkeeping instructions.
                          Appendix tt—EPA report  form and  --
                             'Instructions!  •
                            Authority: Sees. 1006, 2002(a), and 3004 of
                          the Solid Waste Disposal  Act. as amended by
                          the Resource Conservation and Recovery Act
                          of 1976. as amended (42 U.S.C. 6905, 6912(a).
                          and6924).
                          Subpart A—General

                          |264.t  Purpose scop*  and applicability.
                            (a) The purpose of this Part is to       .
                          establish minimum national standards
                          which define the acceptable
                          management of hazardous waste.
                            (bj The standards in this Part apply to
                          owners and operators of all facilities
                          which treat, store, or dispose of
                          hazardous waste, except as specifically
                          provided otherwise in this Part or Part
                          281 of this Chapter.
                           (c) The requirements of this Part apply
                          to a person disposing of hazardous
                         waste  by means of ocean disposal
                         subject to a permit issued under the
                         Marine Protection. Research, and
                         Sanctuaries Act only to  the extent they
                         are included in a RCRA  permit by rule
                         granted to such a person under Part 122
                         of this  Chapter.
                         [Comment: These Part 254 regulations
                         do apply to the treatment or storage of
                         hazardous waste before  it is loaded onto
                         an ocean vessel for incineration or
                         disposal at sea.]
                           (d) The requirements of this Part
                        .apply to a person disposing of
                         hazardous waste by means of
                         underground injection subject to a
                         permit issued under an Underground
                         Injection Control (UIC) program
                         approved or promulgated under the Safe
                        Drinking Water Act only to the extent
                         they are required by § 122.45 of this
                        Chapter.
                        [Comment: These Part 264 regulations
                        do apply to  the above-ground treatment
                        or storage of hazardous waste before it
                        is injected underground.]
     (e) The requirements of this' Part apply
   to the owner or operator of a POTW
   which treats, stores, .or disposes of
-   hazardous waste only to the extent they,
   are included in a RCRA permit by rule
  . granted to such a person under Part 122
   of this Chapter.
     (f) The requirements of this Part do
   riot apply to a person who treats, stores,
   or disposes of hazardous waste in a
   State with a RCRA hazardous waste
   program authorized under Subparts A
   and B of Part 123 of this Chapter or with
   a RCRA Phase II hazardous waste
   program authorized under Subpart F of
   Part 123 of this Chapter, except that the
   requirements of this Part will continue
   to apply as stated in paragraph (d) of
   this Section, if the authorized State
   RCRA program  does not cover disposal
   of hazardous waste by means'of
   underground injection.
     (g) The requirements of this Part do
   not apply to:
     (•1) The owner or operator of a facility
   permitted, licensed, or registered  by a
   State to manage municipal or industrial
   solid waste, if the only hazardous waste
   the facility treats, stores, or disposes of
   is  excluded from regulation under this
   Part by § 261.5 of this Chapter;
    (2) The owner or operator of a facility
   which treats or stores hazardous waste,
   which treatment or storage meets the
  criteria in § 261.G(a) of this Chapter.
  except to the extent that § 281.6(b) of
  this Chapter provides otherwise:
    (3) A generator accumulating waste
  on-site in compliance with 5 262.34 of
  'this Chapter;
   (4) A 'farmer disposing of waste
  pesticides from his own use in
  compliance with § 262.51 of this
  Chapter; or        .     -v
   (5) The owner or operator of a totally.
  enclosed  treatment facility, as defined in
  i 260.10.           .

  9264.2 [Reserved]

  §264.3  Relationship to Interim status'
  standards.    ,
   A facility owner or operator who has
  fully complied with the requirements for
  interim status—as defined in Section
  3005(e) of RCRA and regulations under
  S 122.23 of this Chapter—must comply
  with the regulations specified in Part 265
 of this Chapter in lieu of the regulations
 in this Part, until final administrative
 disposition of his: permit application is
 made.
 [Comment: As stated in Section 3005(a)
 of RCRA. after the effective date of
 regulations under that Section; i.e.. Parts
 122  and 124 of this Chapter, the
 treatment, storage, or disposal of
 hazardous waste is prohibited except in
 accordance with a permit. Section

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  33222      '.Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
  3Q05(e) of RCRA provides for the
  continued operation of an existing
  facility which meets certain conditions
  until final administrative disposition of
  the owner's or operator's permit
  application is made.]

  § 264.4 Imminent hazard action.
    Notwithstanding any other provisions
  of these regulations, enforcement
  actions may be brought purusant to
  Section 7003 of RCRA. .   .

  §!2S4£-260  [Reserved]'

  Subpart B—<3«n*nj Facility Standards

  1284.10 '.AppBcatoUHy.
   The regulations in this Subpart apply
' to owners and operators of all
  hazardous waste facilities, except as
  5 264.1 provides otherwise.

  52ft4.11 WentHJcaUon number.
   Every facility owner or operator must
  apply to EPA for an EPA identification
  number in accordance with the EPA
  notification procedures (45 FR12746).   .
  §264.fc Required notice*.
   (a) Tha owner  or operator of a facility
  that has arranged to receive hazardous
  waste from a foreign source must notify
 the Regional Administrator in writing at
 least.four weeks  in  advance of the date
 the waste is expected to arrive at the
 facility. Notice of subsequent shipments
 of the same waste from  the.same foreign
 source is not required,
   Jb) The owner or  operator of a facility
 that receives hazardous waste from an
 off-site source (except where the owner
 or operator is also the generator) must
 inform  the generator in writing that he
 has the appropriate permits) for. and
 will accept, the waste the generator is
 shipping. The owner or operator must
 keep a copy of this written notice as
 part of the  operating record.
  (c) Before transferring ownership or
 operation of a facility during its
 operating life, or of a disposal facility
 during the post-closure care period, the
 owner or operator must notify the new
 owner or operator in writing of the
requirements of this Part and Part 122 of
 this Chapter.
{Comment: An owner's or operator's
failure to notify the new  owner or
operator of the requirements of this Part
in no way relieves the hew owner or
operator of his obligation to comply witli
all applicable requirements.]

§264.13  General waste analysis.
  (a) (1) Before an owner or operator
treats, stores, or disposes of any
hazardous waste,  he must obtain a
detailed chemical  and physical analysis
of a representative sample of the waste.
  At a minimum, this analysis must
  contain all the information which must
  be known to treat, store, or dispose of
  the waste in accordance with the
  requirements of this Part or with the
  conditions of a permit issued under Part
  122. Subparts A and B, and Part 124 of
  this Chapter.            .       .
    (2) The analysis may include data
  developed under Part 261 of this
  Chapter, and existing published or
  documented data on the hazardous
  waste or on hazardous waste generated
  from similar processes.
  [Comment: For example^ the facility's
  records of analyses performed on the
  waste before the effective date of these
  regulations, or studies conducted on   •
  hazardous waste generated from .
  processes similar to that which
  generated the waste to be managed at
  the facility, may be included in the data
  base required to comply with paragraph
  (a)(l) of this Section. The owner or   .
  operator of an off-site facility may
  arrange for the generator of the
  hazardous waste to supply part or all of
  the information required by paragraph
  (a)(l) of this Section. If the generator
  does not supply the information, and the
  owner or operator chooses to accept a
 hazardous waste, the owner or operator
  is responsible for obtaining the
 information required to comply with this
 Section.]
   (3) The analysis must be repeated as
 necessary  to ensure that it is accurate
 and up' to date. At a minimum, the
 analysis must be repeated:
   (i) When the owner or operator  is
 notified, or has reason to believe,  that
 the process or operation generating the
 hazardous waste has changed; and  .
   (il) For off-site facilities, when the
 results of the inspection required in
 paragraph (a)(4) of this Section indicate
 that the hazardous waste received at the
 facility does not match the waste
 designated on the accompanying
 manifest or shipping paper.
 . (4) The owner or operator of an off-
 site facility must inspect and. if
 necessary,  analyze each hazardous
 waste movement received at the facility
 to determine whether it matches the
 identity of the waste specified on the
 accompanying manifest or shipping
 paper.
  (b) The owner or operator must
 develop and follow a written waste
 analysis plan which describes the
 procedures which he will carry put to
 comply with paragraph (a) of this
 Section. He must keep this plan at  the
 facility. At a minimum, the plan must
 specify:
  (1) The parameters  for which each
hazardous waste will be analyzed and
  the rationale for the selection of 1
  parameters (i.e.. how analysis foL
  parameters will provide sufficient _
  information on the waste's properties to
  comply with paragraph (a) of this
  Section);
    (2) The test methods which will be
  used to test for these parameters;
    (3) The sampling method which will
  be used to obtain a representative
  sample of the waste to be analyzed. A
  representative sample may be obtained
  using either                   ,
    (i) One  of the sampling methods
  described in Appendix I of Part 261 of
  this Chapter; or
    (ii) An equivalent sampling method.
  [Comment: See § 261.20(c) of this
  Chapter for related discussion.]
    (4) The frequency with which the
  initial analysis of the waste will be
  reviewed or repeated to ensure that the
  analysis is accurate and up to date; and
    (5) For off-site facilities, the waste
  analyses that hazardous waste
 generators have agreed to supply.
   (c) For off-site facilities, the waste
 analysis plan required in paragraph (b)
 of this Section must also specify the .
 procedures which will be used to inspect
 and. if necessary, analyze each
 movement of hazardous waste recejj
 at the facility to ensure that it mafa
 the identity of the waste designate
 the accompanying manifest or shipp,
 paper. At a minimum, the plan must
 describe:
   (1) The procedures which will be used
 to determine the identity of each
 movement of waste managed  at the
 facility; and
   (2) The sampling method which will
 be used to  obtain a representative
 sample of the waste to be identified, if
 the identification method includes-
 sampling.               ,
 [Comment: Part 122. Subpart B, of this
 Chapter requires that the waste analysis
 plan be submitted with Part B of the
 permit application.]

 §264.14  Security.
   (a) The owneror operator must
 prevent the unknowing entry, and
 minimize the possibility for the
 unauthorized entry, of persons or
 livestock onto the active portion of his
 facility, unless he can demonstrate to
 the Regional Administrator that:
   (1) Physical contact with the waste,
 structures, or equipment within the
 active portion of the facility will not
 injure unknowing or unauthorized
 persons or livestock which may i
 the active portion of a facility; ar
  (2) Disturbance of the waste 01
equipment,  by the unknowing or
unauthorized entry of persons  or

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               Federal Register / Vol. 4S. No. 98 / Monday. May 19. 1980 / Rules  and Regulations       33223
   livestock onto the active portion of a  "
   facility, will not cause a violation of the
   requirements of this Part.
   {Comment: Part 122, Subpart B. of this
   Chapter requires that an owner or
   operator who wishes to make the
   demonstration referred to above must
   do so with Part B of the permit
   application.]     '
     (b) Unless the owner or operator has
,   made a successful demonstration under
   paragraphs (a)(1) and (a)(2) of this
  Section, a facility must have:
     (1) A 24-hour surveillance system (e.g.,
  television monitoring or surveillance by
  guards .or facility personnel) which
  continuously monitors and controls
  entry pinto the active portion of the
  facility; or  •-".'               ,
    (2) (i) An artificial or natural barrier
  [e.g., a fence in good repair or a fence
  combined with a cliff), which completely
  surrounds the active portion of the
 'facility; and
    (H) A means to control entry, at all
  times, through the gates or other
  entrances to the active portion of the
  facility (e.g., an attendant, television
  monitors, locked entrance, or controlled
  roadway access to the facility);
  [Comment: The requirements of'
  paragraph (b) of this Section are
  satisfied if the facility or plant within
  which the active portion is located itself
  has a surveillance system, or a barrier
  and a means to controlentry, which
  complies with the requirements of
  paragraph (b)(l) or (b)(2) of this
  Section.]  '
   (c) Unless the owner or operator has
  made a successful demonstration under
 paragraphs (a)(l) and (a)(2) of this
 Section, a sign with the legend.
 "Danger—Unauthorized Personnel Keep
 Out", must be posted at each entrance
 to the active portion of a facility, and at
 other locations, in sufficient numbers to
 be seen from any approach to this active
 portion. The legend must be written in   .
 English and in any other language
 predominant in the area surrounding the
 facility (e.g., facilities in counties
 bordering the Canadian province of
 Quebec must post signs in French;
 facilities in counties bordering Mexico
 must post signs in Spanish), and must be
 legible from a distance of at least 25
 feet. Existing signs with a legend other
 than "Danger—Unauthorized Personnel
 Keep Out" may be used if the legend on
 the sign indicates that only authorized
 personnel are allowed to enter the
 active portion, and that entry onto the
 active portion can be dangerous.

 § 264.15  General Inspection requirements.
   (a) The owner or operator must  ;
 inspect his facility for malfunctions and
  deterioration, operator errors, and
  discharges which may be causing—or
  may lead to—(!) release of hazardous
  waste .constituents to; the environment
  or (2) a threat to human health. The
  owner or operator must conduct these
  inspections often enough to identify
  problems in time to correct them before
 , they harm human health or the    •
 •environment       >       ~;
    (b](l) The owner or operator must
  develop and follow a written schedule
  for inspecting monitoring equipment
  safety and emergency equipment.
  security devices, and operating and
  structural equipment (such as dikes and
  sump pumps), that are important to
  preventing, detecting, or responding to  -
 environmental or human health hazards.
    (2) He must keep this schedule at the
 facility.
    (3) The schedule must identify the
 types of problems (e.g., malfunctions or
 deterioration) which are to be looked for
 ' during the inspection (e.g., inoperative
 sump pump, leaking fitting, eroding dike,
 etc.). .'
    (4) The frequency of inspection may
 . vary for the items on the schedule.
 However, it should be based on the rate
 of possible deterioration of the
 equipment and the probability of an
 environmental or human health incident
 if the deterioration or malfunction or
 any operator error goes undetected
 between inspections. Areas subject to
 spills, such as loading and unloading
 areas, must be Inspected daily when in
, use.       -    ... •   ,-   •    -
 [Comment: Part 122. Subpart B, of this
 Chapter requires the Inspection schedule
 to  be submitted with Part B of the permit
 application. EPA will evaluate the
 schedule along with the rest of the
 application to ensure that it adequately
 protects human health and the
' environment As  part of this review,
 EPA may modify or amend the schedule
 as  may be necessary.]
   (c) The owner or operator must
 remedy any deterioration or malfunction
 of equipment or structures which the
 inspection reveals on a schedule which
 ensures that the problem does not lead
 to an environmental or human health
 hazard. Where a hazard is imminent or
 has already occurred, remedial action
 must be taken immediately.
  (d) The owner or operator must record
 inspections in an inspection log or '
 summary. He must keep these records
 for at least .three years from the date of '
 inspection. At a minimum, these records
 must include the date and time of the
 inspection, the name of the inspector, a
 notation of the observations made, and
 the.date and nature of any repairs or
 other remedial actions.
  § 264.16  Personnel training.
    (a)(l) Facility personnel must
  successfully complete a program of
  classroom instruction or on-the-job
  training that teaches them to perform
  their duties in a way that ensures the
  facility's compliance with the
  requirements of this Part The owner or
  operator must ensure that this program
  includes all the elements described in
  the document required under paragraph
  (d)(3) of this Section.
   (2) This program must be directed by
  a person trained in hazardous waste
  management procedures, and must
  include instruction which teaches
  facility personnel hazardous waste
  management procedures (including
,  contingency plan implementation)
  relevant to the positions in which they
  are employed.
   (3) At a minimum, the training
  program must be designed to ensure that
  facility personnel are able to respond
 effectively to emergencies by
 familiarizing them With emergency
 procedures, emergency equipment, and
 emergency systems, including, where
 applicable:
   (i) Procedures for using, inspecting.
 repairing, and replacing facility
 emergency and monitoring equipment;
   (ii) Key parameters for automatic
 waste feed cut-off systems;
   (Hi) Communications or alarm
 systems;
   (iv) Response  to fires or explosions;
   (v) Response to ground-water
 contamination incidents; and
   (vi) Shutdown of operations.
  . (b) Facility personnel must
 successfully complete the program
 required in paragraph (a) of this Section
 within six months after the effective
 date of these regulations or six months
 after the date of their employment or
 assignment to a facility, or to a new
 position at a facility, whichever is later.
 Employees hired after the effective  date
 of these regulations must not work in
 unsupervised positions until they have
 completed the training requirements of
 paragraph (a) of  this Section.   '  •
  (c) Facility personnel must take part
 in an annual review of the  initial
 training required in paragraph (a) of this
 Section.
  (d) The  owner  or.operator must
 maintain the following documents and
records at the facility:
  (1) The job title for each  position at
 the facility related to hazardous waste
management, and the name of the
employee filling each job; '
  (2) A written job description for each
position listed under paragraph (d)(l) of
this Section. This description may be  "
consistent in its degree of specificity
with descriptions for other similar

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  33224       Federal Register / VoL 45. No. 98  / Monday.  May 19. 1980 / Rules and Regulations
  positions in the same company location
  or bargaining unit, but must include the
  requisite skill education, or other
  qualifications, and duties of employees
  assigned to each position: (3) A written
  description of the type and amount of
  both introductory and continuing
  training that will be given to each
  person filling a position.listed under
  paragraph (d)(l) of this Section:
    (4) Records that document that the
  training or job experience required
  vnder paragraphs (a), (b). and (c) of this
  Section has been given to. and
 • completed by. facility personnel
    [ej Training records on current •
  personnel must be kept until closure of
  the facility; training records on former
  employees must be kept for at least
  three years from the date the employee .
  last worked at the facility. Personnel
  training records may accompany   ,   '
  personnel transferred within the same
  company.

  55 264.17—26*29 [Reserved]

  Subpart C—Preparedness and
  Prevention
  §2*4.30  Applicability.
   The regulations in this Subpart apply
  to owners and operators of all
 hazardous waste facilities, except as
  S 264.1 provides otherwise.

 § 264.31   D«*lgn and operation of facility.
   Facilities must be designed,   .
 constructed, maintained, and operated
 to minimize the possibility of a fire,
" explosion, or any unplanned sudden or
 non-sudden release of hazardous waste
 or hazardous waste constituents to air,
 soil, or surface water which could
 threaten human health or the
 environment

 §264.32   R»«iulr«d equipment
   All facilities must be equipped with
 the following, unless it can be
 demonstrated to the Regional
 Administrator that none of the hazards
 posed by waste handled at the facility
 could require a particular kind of
 equipment specified bejow:
   (a) An internal communications or
 alarm system capable of providing
 Immediate emergency instruction (voice
 or signal) to facility personnel;
  (b) A device, such as a telephone
 (immediately available at the scene of
 operations) or a hand-held two-way.
 radio, capable of summoning emergency
 assistance from local police
 departments, fire departments, or State
 or local emergency response teams;
  (c) Portable fire extinguishers, fire
 control equipment (including special
 extinguishing equipment  such as that
 using foam, inert gas, or dry chemicals),
  spill control equipment and
  decontamination'equipment: and
   (d) Water at adequate volume and
  pressure to supply water hose streams.
  or foam producing equipment, or
 .automatic sprinklers, or water spray
  systems.               •
  [Comment: Part 122, Subpart B. of this .
  Chapter requires that an owner or'
 operator who wishes to make the
 demonstration referred to above must
 dp so with Part B of the permit
 application.]

 i 26433  Testing and maintenance of
 equipment
   All facility communications or alarm
 systems,  fire protection equipment spill
 control equipment and decontamination
 equipment where required, must be
 tested and maintained as necessary to
 assure its proper operation in time of
 emergency.              '        -  •

 § 264.34   Acces* to communication* or
 alarm system.
   (a) Whenever hazardous waste is'
 being poured, mixed, spread, or
 otherwise handled, all personnel
 involved in the operation must have
 immediate access to an internal alarm
 or emergency communication device.
 either directly or through visual or voice
 contact with another employee, unless
 the Regional Administrator has ruled
 that such  a device is not required under
 S 264.32.
  (b) If there is ever just one employee
 on the premises while the facility is
 operating, he must have immediate
 access to  a device, such as a telephone
 (Immediately available at the scene of '
 operation) or a hand-held two-way -
 radio, capable of, summoning external
 emergency assistance, unless the
 Regional Administrator has ruled that
 such a device is not required under
 §264.32.

 926435 Required aisle sp*
nt'sHPf
  The owner or operator must maintain
aisle space to allow the unobstructed
movement of personnel, fire protection
equipment spill control equipment and
decontamination equipment to any area
of facility operation in an emergency,
unless it can be demonstrated to the
Regional Administrator that aisle space
is not needed for any of these purposes.
[Comment: Part 122. Subpart B. of this
Chapter requires that an owner or •
operator who wishes to make the
demonstration referred to above must
do'so with Part B of the permit
application.]
  S 264.36  Special handling for ignitable or
  reactive waste.                  —
    The owner or operator must .„_
  precautions to prevent accidental-
  ignition or reaction of ignitable or
  reactive waste. This waste must be
  separated and protected from sources of
  ignition or reaction including but not
  limited to: open flames, smoking, cutting
  and welding, hot surfaces, frictional
  heat sparks (static, electrical, or
  mechanical), spontaneous ignition (e.g..
  from heat-producing chemical
  reactions), and radiant heat While
  ignitable or reactive waste is being
  handled, the owner or operator must
  confine smoking and open flame to
  specially designated locations. "No
  Smoking" signs must be conspicuously
  placed wherever there is a hazard from
  ignitable or reactive waste.

  § 264.37  Arrangements with local
  authorities.      '
   (a) The owner or operator must
  attempt to make the following
  arrangements, as appropriate for the
  type of waste handled at his facility and
  the potential need for the services of
  these organizations:
   (1) Arrangements to familiarize police.
.  fire departments, and emergency
  response teams with the layout of the
„ facility, properties of hazardous waste
 handled at the facility anc
  hazards, places where facility pel
  would normally be working, entrar
  to and roads inside the facility, and
 possible evacuation routes;
   (2)-Where more than one police and
 fire department might respond to an
 emergency, agreements designating
 primary emergency authority to a
 specific police and a specific fire
 department, and agreements with any
 others to provide support to  the primary
 emergency authority;
   (3) Agreements with State emergency
 response teams, emergency response.
 contractors, and equipment suppliers;
 and            '    '       ; ,
   (4) Arrangements to familiarize local
 hospitals with the properties of
 hazardous 'waste handled at the facility
 and the types of injuries or illnesses
 which could result from fires,
 explosions, or releases at the facility.
   (b) Where State or local authorities
 decline to enter into such arrangements,
 the owner or operator must document
 the refusal in the operating record.

 §§ 264.38—264.49  [Reserved]

 Subpart 0—Contingency Plan and
 Emergency Procedures

 §264.50  Applicability.
  The regulations in this Subpart
 to owners and operators of all

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                Federal Register  / Vol. 45. No. 98  /  Monday.  May 19. 1980-/ Rulesi and Regulations
                                                                       33225
   hazardous waste facilities, except as
   5 264.1 provides otherwise.      : •   .-

   §264.51  Purpose and Implementation of
   contingency plan.  ,  _      .
     (a) Each owner or operator must have
   a contingency plan for his facility. The
   contingency plan must be designed to
•, ' minimize hazards to human health or
   the environment from fires, explosions,
   or any unplanned sudden or non-sudden
   release of hazardous waste or
   hazardous watte constituents to air.
   soil, or surface water.        -
     (b) The provisions of this plan must be
  ' carried out immediately whenever there
   is a fire, explosion, or release of
   hazardous waste or hazardous waste
   constituents which could  threaten. '
  , human health .or the environment   '

-  5 264.52  Content of contingency plan.
     (a) The contingency plan must
 • describe the actions facility personnel
   must take to comply with  § J 264.51 and
   264.56 in response to fires, explosions, or
   any unplanned sudden,or non-sudden  .
   releagejpf hazardous'waste or
  hazardous waste constituents to air.
   soil, or surface water at the facility.
    (b) If the owner 'or operator has
  already prepared a Spill Prevention,
  Control, and Countermeasures (SPCC)  •
  Plan in accordance with Part 112 or Part
  151 of this Chapter, or some other
 ' emergency or contingency plan, he need
  only amend that plan  to incorporate  •
  hazardous waste management
  provisions that are sufficient to comply
  with  the requirements of this Part
    (c) The plan must describe  '
  arrangements agreed to by local police
  departments, fire departments.
  hospitals, contractors, and State and
  local emergency response  teams to
  coordinate emergency services, pursuant
  to § 264.37.                   .  '
    (d) The plan must list names.
  addresses, and phone numbers (office
  and home) of all persons qualified to act
  as emergency coordinator (see § 264.55),
  and this list must be kept up to date.
  Where more than one person is listed,
  one must be named as primary
  emergency coordinator and others must
  be listed in the order in which they will
  assume responsibility as'alternates. For
  new facilities, this information must.be
  supplied to the Regional Administrator
  at the time of certification, rather than at
  the time of permit application.
   < (e) The plan must include a list of all
  emergency equipment at the facility
  (such as fire extinguishing  systems, spill
  control equipment, communications and-
  alarm systems (internal and external).
  and decontamination equipment), where
  this equipment is required. This list must
  be kept up to date. In addition, the'plan
 must include the location and a physical
 description of each item on the list and
 a brief outline of its capabilities.
   (f) The plan must include an
 evacuation plan for facility personnel
 where there is a possibility that
 evacuation could be necessary. This  .
 plan must describe signal(s) to be used
 to begin evacuation, evacuation routes,
 and alternate evacuation routes (in
 cases where the primary routes could be
 blocked by releases of hazardous waste
 or fires).

 5 264.53 Copies of contingency plan.
   A copy of the contingency plan and all
 revisions to the plan must be:
   (a) Maintained at the facility; and
   (b) Submitted to all local police
 departments, fire departments.
 hospitals, and State and local
 emergency response teams that may be
 called upon to provide emergency
 services.   •
 [Comment: The contingency plan must
 be submitted to the Regional       •     :
 Administrator with Part B of the permit
 application under Part 122, Subparts A
 and B. of this Chapter and. after
 modification or approval, will become a
 condition of any permit issued]

 S 264.54  Amendment of contingency plan.
  The contingency plan, must be
 reviewed, and immediately amended, if
 necessary, whenever
  (a) The facility permit is revised:
  (b) The plan fails in an emergency:
  (c) The facility ehanges-Mn its design,
 construction.'operation, maintenance. Or
 other circumstances—in a way that  •
 materially increases the potential for
 fires." explosions, or releases of
 hazardous waste or hazardous waste
 constituents, or changes the response
 necessary in an emergency;' • - -
  (d) The list of emergency coordinators
 changes: or
  (e) The list of emergency equipment
 changes.     ,.    •        .
 [Comment- A change in the lists of
 facility emergency coordinators or
 equipment in the contingency plan
 constitutes a minor modification to the
 facility permit to which the plan is a
 condition.]

 5 264.55  Emergency coordinator.
  At all times, there must be at least one
 employee either on the facility premises
 or on call (i.e.. available to respond to
 an emergency by reaching the facility
 within a short period of time) with the  "
responsibility for coordinating all
emergency response measures. This
emergency coordinator must be
thoroughly familiar with all aspects of
the facility's contingency plan, all
operations and activities at the facility.
  the location and characteristics of waste
  handled, the location of all records
  within the facility, and. the facility
  layout In addition, this person must
  have the authority to commit the
  resources needed to  carry out the
  contingency plan.        . •
  [Comment: The emergency coordinator's
  responsibilities are more fully spelled -.•>•'
  out in § 264.56. Applicable
  responsibilities for the emergency
  coordinator vary, depending on factors
  such as type and variety of waste(s)
  handled by the facility, and type and
  complexity of the facility.]

  §264.56  Emergency Procedures.
   (a) Whenever there is an imminent or
  actual emergency situation, the
  emergency coordinator (or his designee   '
  when the emergency  coordinator is on    *
,  call) must immediately:
   (1) Activate internal facility alarms or
., communication systems, where
  applicable, to notify all facility
  personnel: and
   (2) Notify appropriate State or local
  agencies with designated response roles
  if their help is needed.
   (b) Whenever there is a release, fire,
  or explosion, the emergency coordinator
  must immediately identify the character,
  exact source, amount and areal extent
  of any released materials. He may do
  this by observation or review of facility
.records or manifests,  and, if'necessary, '
  by chemical analysis.
   (c) Concurrently, the emergency
 coordinator must assess possible
 hazards to human health or the
 environment that may result from the
 release, fire, or explosion. This
 assessment must consider both direct  .
 and indirect effects of the release, fire,
 or explosion (e.g., the  effects of any
 toxic, irritating, or asphyxiating gases
 that are generated, or the effects of any
 hazardous surface water run-off from
 water or chemical agents used to control
 fire and heat-induced  explosions).
 . (d) If the emergency coordinator
 determines that the facility has had a
 release, fire, or explosion which could
 threaten human health, or the
 environment outside the facility, he
 must report his findings as follows:
   (1) If his assessment indicates that
 evacuation of local areas may be
 advisable; he must immediately notify
 appropriate local authorities. He must
 be available to help appropriate officials
 decide whether local areas should be   •
'evacuated; and                  •
   (2) He must immediately notify either
 the government official designated as
 the on-scene coordinator for that
geographical area, (in  the applicable
regional contingency plan under Part
1510 of this Title) or the National

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   33226
Federal Register /Vol. 45. No.  98 / Monday. May  19. 1980 / Rules  and Regulations
   Response Center fusing their 24-hour toll
   free number 800/424-8802). The report
   must include:
     (i) Name and-telephone number of
   reporter;
     (ii) Name and address of facility:
     (Hi) Time and type of incident (e.g.,
   release, fire):
     (iv) Name and quantity of maleri'al(s)
   Involved, to the extent known;
     (vj The extent of injuries, if any; and
     (vi) The possible hazards to human
   health, or the environment, outside the
   facility.
     (c) During an emergency, the
   emergency coordinator must take all
   reasonable measures necessary to
   ensure that fires, explosions, and
   releases do not occur, recur, or spread  to
   other hazardous waste at the facility.  •
  These measures must include, where
  applicable, stopping processes and
  operations, collecting and containing
  release waste, and removing or isolating
  containers.
    (f) If the facility stops operations in
  response to a fire, explosion, or release.
  the emergency coordinator  must monitor
  for leaks, pressure buildup, gas
  generation, or ruptures in valves, pipes.
  or other equipment, wherever this is
  appropriate.
    fg) Immediately after an emergency.
  the emergency coordinator must provide
  for treating, storing, or disposing of
  recovered waste, contaminated soil or
  surface water, or any other material that
  results from a release, fire, or explosion
  at the facility.
  [Comment: Unless the owner or operator
  can demonstrate, in accordance with  -
  § 2ei.3(c) or (d) of this Chapter, that the
 recovered material is not a hazardous
 waste, the owner or operator becomes a
 generator of hazardous waste and must
 manage it in accordance with all
 applicable requirements of Parts 282,
 263, and 284 of this Chapter.]
   (h) The emergency coordinator must
 ensure that, in the affected area(s) of the
 facility:
   (1) No waste that may be
 Incompatible with the released material
 is treated, stored, or disposed of until
 cleanup procedures are completed; and
   (2) All emergency equipment listed in
 the contingency plan is cleaned and fit
 for its intended use before operations
 are resumed.
   (i) The owner or operator must notify
 the Regional Administrator, and
 appropriate State and local authorities,
 that the facility is in compliance with
 paragraph (h) of this Section before
 operations  are resumed in the affected
areafs) of the facility.           -
  U) The owner or operator must note in  •
the operating record the time, date, and
                          details of any incident that requires
                          implementing the contingency plan.
                          Within IS days after the incident, he
                          must submit a written report on the
                          incident to the Regional Administrator.
                          The report must include:
                            (1) Name, address, and telephone
                        .  number of the owner or operator:
                            (2) Name, address, and telephone
                          number of the facility;
                            (3) Date, time, and type of incident
                          (e.g.. fire, explosion);
                            (4) Name and quantity of material(s)
                          Involved; -
                        .   (5) The extent of injuries, if any;
                            (6) An assessment of actual or
                          potential hazards to- human health or the
                          environment, where this is applicable:
                          and
                           (7) Estimated quantity and disposition
                          of recovered material that resulted from
                          the incident.

                          55 284.57-264.69 [Reserved]

                         Subpart E—Manifest System,
                         Recordkeeplng, and Reporting.

                         $264.70  Applicability.
                           The regulations in this Subpart apply
                        to owners and operators of both on-site
                        and off-site facilities, except as § 264.1
                        provides otherwise. Sections 284.71,
                        284.72. and 284.76 do not apply to
                        owners and operators of ori-site
                        facilities that do not receive any
                        hazardous waste from off-site sources.
                        § 284.71  UM of manifest system.
                          (a) If a facility receives hazardous
                        waste'accompanied by a manifest, the
                        owner or operator, or his agent., must:
                          (1) Sign and date each copy of the
                        manifest to certify that the hazardous
                        waste covered by the manifest was
                        received;
                          (2) Note any significant discrepancies
                        in the manifest (as defined in
                        S 284.72(a)) on each copy of the
                        manifest;
                        [Comment: The Agency does not intend
                        that the owner or operator of a facility
                        whose procedures under § 284.13(c)
                        include waste analysis must perform
                        that analysis before signing the manifest
                        and giving it to the transporter. Section
                        264.72(b), however, requires reporting an
                        Unreconciled discrepancy discovered
                        during later analysis.]
                          (3)  Immediately give the transporter at
                        least  one copy of the signed manifest;
                          (4) Within 30 days after the delivery,
                        send a copy of the manifest to the
                        generator; and
                         (5) Retain at the facility a copy of
                        each manifest for at least three years
                        from the date of delivery.
                         (b) If a, facility receives, from a rail or
                        water (bulk shipment) transporter.
   hazardous waste which is accpmj
   by a shipping paper containing aj
   information required on the manIL
   (excluding the EPA identification
   numbers, generator's certification, and
   signatures), the owner or operator, or his
   agent, must:
     (1) Sign and date each copy of the
   shipping paper to certify that the
   hazardous .waste covered by the
   shipping paper was received:
     (2) Note any significant discrepancies
   in the shipping paper (as defined in
   § 264.72(a)J on each copy of the shipping
   paper
   [Comment: The Agency does not intend
   that the owner or operator of a facility
   whose procedures under § 284.13(c)
   Include waste analysis must perform
   that analysis before signing the shipping
  paper and giving it to the transporter.
  Section 264.72(b). however., requires
  reporting an unreconciled discrepancy
  discovered during later analysis.]
    (3) Immediately give the rail or water
  (bulk shipment) transporter at least one
  copy of the shipping paper:
    (4) Within 30 days after the delivery.
  send a copy of the shipping paper to the
  generator however, if the manifest is
  received within 30 days after the
  delivery, the owner or operator, or his
  agent, must sign and date the manif
  and return it to the generator in lit
  the shipping paper; and
  [Comment: Section 262.23(c) of this"
  chapter requires the generator to send
  three copies of the manifest to the
  facility when hazardous waste is sent by
  rail or water (bulk shipment).]
   (5) Retain'at the facility a copy of
  each shipping paper and manifest for at
  least three years from the date of
 delivery.   •

 §264.72  Manifest discrepancies.
   (a) Manifest discrepancies are
 differences between the quantity or type
 of hazardous waste designated oh the
 manifest or shipping paper, and the
 quantity or type of hazardous waste a
 facility actually receives. Significant
 discrepancies in quantity are: (1) For
•bulk waste, variations greater than 10
 percent in weight, and (2) for batch
 waste, any variation in piece count, such
 as a^liscrepancy of one drum in a
 truckload. Significant discrepancies in
 type are obvious differences which can
 be discovered by inspection or waste
 analysis, such as waste solvent
 substituted for waste acid,' or toxic
 constituents not reported on the
 manifest or shipping paper,
   (b) Upon discovering a significant
 discrepancy, the owner or operatoi)
attempt to reconcile the discrepancy^™
with the waste generator or transporter

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Federal Register / Vol. 45.  No. 98 / Monday. May 19.  1980 / Rules and Regulations	33227
    [e.g.. with telephone conversations). If
    the discrepancy is not resolved within
   15 days after receiving the waste, the  .
    owner or operator must immediately
  ,  submit to the Regional Administrator a
    letter describing the discrepancy and
    attempts to reconcile it, and a copy of
    the manifest or Shipping paper at issue.
   §264.73  Operating record.
      (a) The owner or operator must keep a
   •written operating record at his facility.
      (b) The folio wing information must be
   recorded, as it becomes available, and
   maintained hi the operating record until
   closure of the facility:.
      (1) A description and the quantity of.'
   each hazardous waste received, and the
   method(s) and date(s) of its treatment,
   storage, or  disposal at the facility as
   required by Appendix I;
      (2) The location of each hazardous
   waste within the facility and the
   quantity at each location.. For disposal
   facilities, the location and,quantity of  '
   each hazardous waste must be recorded
   on a map or diagram of each cell or
   disposal area. For all facilities,' this
 .  information must include cross-
   references to specific manifest
   document numbers, if the waste was
   accompanied by a manifest;
     (3) Records and results of waste
   analyses performed as specified in
   5264.13:                        -.'•••
     (4) Summary reports and details of all
 • , incidents that require implementing the ~
   contingency plan as specified in
  "5264.56{j);
    • (5) Records and results of inspections
   as required by § 264.15(d) (except these
   data need be kept only three years); and
     (6) For offrsite facilities, notices  to
   generators as specified in § 264.12(b).
   § 264.74  Availability, retention, and
   disposition of records.
     (a) All records, including plans,
   required under this Part must be
   furnished upon request and made
   available at all reasonable times for
   inspection, by any officer, employee, or  <
   representative of EPA who is duly
   designated by .the Administrator.
    . (b) The retention period for all records
   required under this Part is extended
   automatically during the course of any
   unresolved  enforcement action
   regarding the facility or as requested by
  , the Administrator.
     (c) A copy of records of waste
-  disposal locations and quantities under
   § 264.73{b)(2) must be submitted to the
   Regional Administrator and local land
   authority upon closure of the facility.
   §264.75  Annual report.
    The owner or operator must prepare
   and submit a single copy of an annual
                           report to the Regional Administrator by
                          •March 1 of.each year. The report form
                           and instructions in Appendix II must be
                           used for this report. The annual report •
                           must cover facility activities during the
                           previous calendar year and must include
                           the following information:
                             (aj The EPA identification number,
                           name, and address of the facility;  •
                             (b) The calendar year covered by the
                           report:
                           '  (c) For off-site facilities, the EPA
                           identification number of each hazardous •
                           waste generator from which the facility
                           received a hazardous waste during the
                           year; for imported shipments, the report
                           must give the name and address of the
                           foreign generator;
                             (d) A description and the  quantity of
                           each hazardous waste the facility
                           received during the year. For off-site
                           facilities, this information must be listed
                           by EPA identification number of each
                          generator;
                             (e) The methpd of treatment, storage,
                           or disposal for each hazardous waste;
                          and                               .
                             (f) The certification signed by the
                          owner or operator of the facility or his
                          authorized representative.

                          § 264.76  Unmanlfeeted waste report
                             If a facility accepts for treatment.
                          storage, or disposal any hazardous
                          waste from an off-site source without an
                          accompanying manifest, or without an
                          accompanying shipping paper as
                          described in S 263.20(e)(2) of this
                          Chapter, and if the waste is  not
                          excluded from the manifest requirement
                          by S 261.5 of this Chapter, then the
                          owner or operator must prepare and
                          submit a single copy of a report to  the
                          •Regional Administrator within 15 days
                          after receiving the waste. The report:
                          form and instructions in Appendix II
                          must be used for this report. The report
                          must include the following information:
                            (a) The EPA-identification number,.
                          name, and address of the facility;
                            (b).The date the facility received the
                          waste:
                            (c) The EPA identification number.
                          name, and address of the generator and
                          the transporter, if available;
                            (d) A description and  the quantity of
                          each unmanifested hazardous waste and
                          facility received: —
                            (e) The method of treatment, storage.
                          or disposal for each hazardous waste;
                            (f) The certification signed by the ,
                          owner or operator of the facility or his
                          authorized representative; and
                            (g) A brief explanation of why the
                          waste was unmanifested. if known..
                          [Comment: Small quantities of
                          hazardous waste are excluded from
 -regulation under this Part and do not
  require a manifest. Where a. facility
  receives unmanifested hazardous
  wastes, the Agency suggests that the
  owner or operator obtain from.each
  generator a certification that the waste
  qualifies for exclusion. Otherwise, the
  Agency suggests that the owner or
  operator file an unmanifested waste
  report for the hazardous waste
  movement.]


  §264.77  Additional reports.

   In addition to submitting the annual
  report and unmanifested waste reports
  described in § § 264.75 and 264.76, the
  owner or operator must also report to
  the Regional Administrator releases,
  fires, and explosions as specified in
  §2B4.56f.j).  .-

  §§284.78-264.999  I Reserved 1.

  Appendix I.— Recordkeeping Instructions
 - The recordkeeping provisions of § 264.73
  specify-that an owner or .operator must keep
  a written operating record at his facility. This
  appendix provides additional instructions for
  keeping portions of the operating record. See
  I 264.73(b) for additional recordkeeping
  requirements.                '
   The following information must be  •
  recorded, as it becomes available, and       4
 .maintained in the operating record until
  closure of the facility in the following
  manner              '  '           .'    '
;   Records of each hazardous waste received, •
  treated, stored, or disposed of at the facility
 'which Include the following:
   (1) A description by its common name and  .
  the EPA Hazardous Waste Number(s) from
 Part 261 of this Chapter which-apply to  the
  waste. The waste description also must
  Include the waste's physical form, i.e.. liquid,
 sludge, solid, or contained gas. If the waste is
 not listed in Part 281, Subpart D, of. this
 Chapter, the description also must include the
 process that produced it (for example, solid
 filter cake from production of	, EPA
 Hazardous Waste Number W051).
   Each hazardous waste listed in Part 261,
 Subpart D. of this Chapter, anil each .
 hazardous waste characteristic defined in
 Part 261, Subpart C, of this Chapter, has a
 four-digit EPA Hazardous Waste Number '
 assigned to it This number must be used for  '
 recordkeeping and reporting purposes. Where
 a hazardous waste contains more than one
 listed hazardous waste, or where more than-,
 one hazardous waste characteristic applies to
 the waste, the waste description must include
 all applicable EPA Hazardous Waste   ;
 Numbers.             •             •
   (2) The estimated or manifest-reported
 weight, or volume and density, where
 •applicable, in one of the units of measure
 specified in Table 1;.
   (3) The method(s) (by handling code(s) as .
 specified in Table 2) and date(s) of treatment, -
 storage,-or disposal.     •',','

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             Untcrfmujur*
                                 Symbol Dtmrty
   Pound : _« i.^.
   Sftcrt torn 12000 KM) ,..
   CMomtUS)
   Toinen (1000 faj) ,™
 P
 T
. G    P/G
. Y    T/Y
. K
. L
 C
                                       K/L
                                       M/C
                     • u*w Mr* ur dtl* proeamv

  Table Z—Handling Code* for Treatment,
  Storage, and Disposal Method*
    Enter the handling code(s) listed below that
  roost closely represents the technique(s) used
  at the facility to treat, store, or dispose of
  each quantify of hazardous waste received,-
  1. Storage
    SOI  Container (barrel, drum, etc.)
    S02  Tank    •
    S03  Waste pile
    S04  Surface impoundment
    SOS  Olher (specify)
 2. Treatment
     (a) Thermal'Treatment
   TOQ  Liquid infection incinerator
   T07  Rotary kiln incinerator
   T03   Fluidized bed incinerator
   T09  Multiple hearth incinerator
   TlO  Infrared furnace incinerator
   Til  Molten salt destructor
   T12  Pyrolysis'
   T13  Wet Air oxidation    '
   T14  Calcination
 .  TlS  Microwave discharge
   TIB  Cement kiln
   T17  Limekiln
 • T18  Other (specify)
    (b) Chemical Treatment   •
   T19  Absorption mound
   T20 Absorption field
   T21   Chemical fixation
  T22  Chemical oxidation
  T23  Chemical precipitation
  T24  Chemical reduction
  T25  Chlorination
  T2fl  Chlorinolysis
  T27  Cyanide destruction
  T28  Degradation
  T29  Detoxification
  T30  Ion exchange
  T31  Neutralization
  T32  Ozonation
 T33  Photolysis
 T34  Other (specify)
    fc) Physical Treatment
     (1) Separation of components
 T35  Centrifugation
 T30  Clarification
 T37  Coagulation
 T38 Decanting
 T39 Encapsulation
 T40 FiltraUon
 T41  Flocculation
 T-42  Flotation
, T«  Foaming
 T44  Sedimentation
 T45  Thickening
 T«  Ultrafiltralion
 T47  Other (specify)
     (2) Removal of Specific Components
 T48  Absorption-molecular sieve
 T49  Activated carbon
 T50  Blending
    TSl  Catalysis
    T52  Crystallization
    T53  Dialysis
 •   T54  Distillation
    Too  Electrodialysis
    T56  Electrolysis
    T57  Evaporation            - -    '
    T58  High gradient magnetic separation
    TS9  Leaching
   'TOO  Liquid ion exchange
    T61  Liquid-liquid extraction
    T62  Reverse osmosis
    T63 ' Solvent recovery
    T64  Stripping    •
    T65  Sand filter
    T66  Other (specify)
     (d)  Biological Treatment
    T67  Activated sludge
    TB8  Aerobic lagoon
    T69  Aerobic tank
   T70  Anaerobic lagoon
   T71   Composting
   T72   Septic tank
   T73   Spray irrigation
   T74  Thickening filter
   T75  Tricking filter
   T78  Waste stabilization pond
   T77  Other (specify)
   T78-79  [Resen-cd)
 3. Disposal
   D80  Underground injection
   D81  Lanami
   D82 Land treatment
   DS3  Ocean disposal
   D84  Surface impoundment (to be closed
    as •  landfill)
   D8S  Other (specify)

Appendix II—EPA Report Form and
Instruction*
•tlUMO COOC «M«41-I| •

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                 .Federal Rggfctef /  Vol. 45, No. 98 /  Monday. May 19.1980  / Rules and Regulations           33229
     PT>T or v.-ce «vnfi ELITE tvp* 113 chtrteten oer inch!.
                    U *. ENVIRONMENTAL PHOTECTION AGENCY

                         HAZARDOUS WASTE REPORT
                             GSA No. 12345-XX :
                             'farm Aoarovrd Oilfg Ho ISS-PQOXX
I. TYPE OF HAZARDOUS WASTE
                                                                            PART A:  GENERATOR ANNUAL REPORT
                                                                         THIS MCPOttT IS'PO* THE VEAIt.ENDING DEC.31.
                                                                              PART B:  FACILITY ANNUAL REPORT
               PLEASE PLACE LABEL IN THIS SPACE
                                                                               THIS REPORT FOR YEAR ENDING OCC. II.  | j jj
                                                                           PARTC; UNMANITESTED WASTE REPORT
                                                                         THIS HCPOHT is row A WASTE
                                                                           RECEIVED Way. mo.. 4 yrj
                                                            >** front of th" P^S*1": •'«!« ^ in tf» d«tii)n«td  cornet, jnd
                                                     "" """* a <"P"B««« •»o*. wmplttt «l  s«cttoni. "In.t.ll.t.on" mun» . «,rql, ,-te where
                               ,.    ,           SL3. NUMBER
IV. INSTALLATION MAILING AOO«ESSjT
 II. TRANSPORTATION SERVICES USED (/or /•«« X rrpora oalyj
 Lilt tri« EPA lVIC*I
                                                                        rg in. itiio'ting y
'III. COST ESTIMATES FOB FACILITIES (/or fart J rrpora only; ^J


           A. COST ESTIMATE rOM PACILITY CUOIUHE

                                                                      •. COST'CSTIM ATE POII rOST CLOIUHC MONITORINC ANO
                                                                                MAINTENANCE (ditprnai foeilitltt onlyt
                                                                                                ^^
I ctrnty undtr ptntlty of Itw tfitt I n*r*-p»non*ily txwnintd tnd tm ftmi/itr twin tnt information luomitnd in this ing"*ll tnachtd documents jntf trot
otud on my mquiry of thott indMdmli mmtdittHy mpontiolt for attaining tht informttion. l.bttit*9 thit tht luomitttd infomttion is true accurate
tnacomplttt. .1 tm «nw* ttitt tfitm tn tignifictnt ptntlatt for tuomining ftlw mformition. including tht pouibility of tint tnd imprisonment.
             A. rntNT on TY»>C NAME
                                                                     • . SIGNATUMC
                                                                                                           C. DATE SIGNED
  i Form 870O13 14-60)  .
                                                                                                   PAGE .
                                                                                                            J_OF._

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  33230    .     Federal Register / Vol. 45. No. 98 / Monday. May 19.1980  / Rules and Regulations
   >lt»lt Of.M or IVD« ~nn ELITE tv« (ISehjrxtirt.-inehl
                                               FACILITY REPORT - PARTS B & C
                                             fCoOcffrf undtr the alillortty eit ftetinn 3014 a' RCKA I
                                      XVI. TYPE Of REPORT l,nttr m "X"l
                                                                              XVII. FACILITY'S EPA I.O. NO
   XVIII. GENEKATOfl-S EPA I.D. NO.
                                                   . CENERATOB ADDRESS ,.„.,< OT?.o. *,M. cHV. .I,,.. 4 ,tp co^n ^SggS
   ^j-|  I  i I  ii I  ii II
   XIX OEMEHATOH NAME t,^,,*
   XXI. WASTE IDENTIFICATION
 XXII. COMMENTS (»n»r mfomttlai, by lm« numlwr- M« im/rucl
£FA Farm *700-13B (6-«0)

wunw CODE esso-ot-c

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                  Federal Register  / Vol.  45. No. 98  / Monday, May'19, 1980 / Rules .and Regulations
                                                                               33231
   General Instructions Hazardous Waste
   Report (EPA Form 8700-13)  ,       '
     Important: Read all instructions before
   completing this form.         ,         .    '
   Section I.—Type of Hazardous Waste Report

   Part A-rCenerator Annual Report
     For generators who ship their waste off-site
.   to facilities which they do not own or
  .operate; fill in the reporting year for this
   report (e.g* 1982).
     Note-—Generators who ship hazardous
   watte off-lite to a facility which they own or
   operate must complete the facility (Part B)  . .
   report instead of the Part A report.   •

  Part B—Facility Annual Report
     For owner* or operator* of on-site or off-
   site facilities that treat, store, or dispose of
  hazardous waste: fill in the reporting year for
  this report (e.g., 1382).

  Part C—Unmariifested Waste Report  .
     For facility owners or operators who
  accept for treatment storage, or disposal any
  hazardous waste from an off-site source
  without an accompanying manifest; fill in the
  date the waste was received at the facility
  (e.g. 04-12-1982).
  Section H. thru Section ^—Installation LD.
  Number. Name of Installation, and
  Installation Mailing Address
    If you received a preprinted lable from
  EPA. attach 'it in the space provided and
  leave Sections U through IV blank. If there is .
  an error or omission on the label, cross out'
  the incorrect information and fill in the
  appropriate item(s). If you did not receive a
  preprinted label, complete Section II through
  Section IV.
  Section V.—Location of Installation

    If your Installation location address Is
  different than the mailing address, enter the
  location address of your installation.
  Section VL—Installation Contact
    Enter the name (last and first) and
  telephone number of the person whom may
  be contacted regarding information contained
'  in this report      ,     .
  Section VII,—Transportation Services Used
  (For Part A reports ONLY)
   List the EPA Identification Number for
  each transporter whose services you used
  during the reporting year.
  Section VUL—Cost Estimates for Facilities
  (For Part B reports ONLY)
   A. Enter the most recent cost estimate for
  facility closure in dollars. See subpart H of 40
  CFR-part 264 or 285 for more detail.
   B. For disposal facilities only, enter the
  most recent cost estimate for post closure
  monitoring and maintenance. See Subpart H
  of 40  CFR Part 264 or 265 for more detail
  Section IX.—Certification
   The generator or his authorized
  representative (Part A reports) dr the owner
  or operator of .the facility or his authorized
  representative (Parts B and C reports) must
  sign and date the certification where
  indicated. The printed or typed name,of the
  person signing the report must 'also be
  included where indicated.
    Note.—Since more than one page is
  required for each report, enter the page
  number of each sheet in the lower right  '
  comer as well as the total number of pages.

  Facility Annual Report Part .B Instructions
  (EPA Form 8700-138)
   •• Facility Annual Report for owners or
  operators of on-site or off-site facilities that
  treat, store, or dispose of hazardous waste.
   Not*—Generators who ship hazardous
  wast* off-site to a facility they own or
  operate must complete this Part B report
  instead of the Generator- (Part A) Annual.
  Report '   • '

  Important Read AH Instructions Before
  Completing This Form
  Section XVI.—Type of Report
   Put an "X" in the box marked .Part B.
 Section XVIL—Facility's EPA Identification
 Number               '        •

   Enter the EPA identification number for
 your facility.                 •  .,       ;
 Examples
             xvii. rtcnjrrt iw to. ML
 Section XVIII.—Generator's EPA
 Identification Number
   Enter the EPA identification number of the
 generator of the waste described under
 Section XXI which was received by your
 facility during the reporting year. A separate
                     Examol•i
  sheet must be used for each generator. If the
 • waste came from a foreign generator, enter
  the EPA identification number of the importer
  in this section and enter the name and
 1 address of the foreign generator in Section
  XXII, Comments. If the waste was generated
  and treated, stored, or disposed of at the
  same installation, leave this section blank'.  •

  Section XIX.—Generator's Name
    Enter the name of the generator
  corresponding to the generator's EPA
  identification number in Section XVIII.
    If the waste was generated and treated,
  stored, or disposed of at the same
  installation, enter "ON-SITE".
    If the waste-came from a foreign generator,
  enter the name of the importer corresponding
  to the EPA identification number in Section
  XVIII.

  Section XX—Generator's Address
    Enter the address of the  generator
  corresponding to the generator's EPA
  identification number in Section XVIII.'If the
  waste was'generated and treated, stored, or
  disposed of at the same installation, leave-
  this section blank.  If the waste came from a
  foreign generator, enter the address of the
 . importer corresponding to  the EPA
  identification number in Section XVIII.
  Section XXl.—Waste Identification
    AH information in this section must be
  entered by line number. A  separate line entry
  is required for each' different waste or
  mixture of wastes that your facility received
  during the reporting year. The handling code
  applicable to that waste at the end of the
  reporting year should be reported. If a
 different handling code applies to portions of
 the same waste, (e.g.. part of the waste is
 stored while the remainder was "chemically
 fixed" during the year), use a separate line
 entry for each portion.
      StMl rlniihlng Sludg*
      StMl rinlahlng Sludg*
                                                               c
                                                             MAMD-
                                                              LIMO
                                                             MCTMOO
                                                              ttlttft
                                               * o e a x o
                                                                           5 0 0 C
Section XXI-A.—Description of Waste
  For hazardous wastes that are listed under
40 CFR Part 281, Subpart D, enter the EPA
listed name, abbreviated if necessary. Where •
mixtures of listed wastes were received,
enter the description which you believe best
describes the waste.
  For unlisted hazardous waste identified
under 40 CFR Part 261. Subpart C. enter the
description which you believe best describes
the waste. Include the specific manufacturing-
or other process generating the waste (e.g.,
green sludge from widget manufacturing) and
if known, the chemical or generic chemical
name of the waste.       .
Section XXI-B.—EPA Hazardous Waste
Number •

  For listed waste, enter the four digit EPA
Hazardous. Waste Number from 40 CFR Part
261, Subpart D. which identifies the waste.
  For a mixture, Of more than one listed';
wastej enter each of the applicable EPA
Hazardous  Waste Numbers.
  Four spaces are provided. If more space is
needed, continue on  the next  line(s) and
leave all other Information on tKat line blank.

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33232
                    Federal Register / Vol. 45. No. 98 /  Monday. May 19. 1980 /  Rules  and Regulations
       For unlisted h*z*rdou» wattes, enter the
     EgA Hazardous Waste Number* from 40 CFR
     Put 281. Subpart C, applicable to tiut waste.
     If more than four apace* an required follow
  •   th» procedure de*cribed above.
     Section XXI-C—Handling Code
      Enter one EPA handling code for each
     waile line entry. Where teverml handling
     •tepi have occurred during the year, report
     only the handling code representing the
     waite'* status at the end of the reporting year
    or its final disposition. EPA handling code*
    •are given In Appendix I of this Part.
    Section XX1-D.—Amount of-Waste
      Enter the total amount of waste described
    on Ihi* line which you received during this
    reporting year.
    Section XXI-E,—Unit of Measure
      Enter the unit of measure code for the
    quantity of waste described on thi* line.
    Units of measure which must be used In thi«
    report and the appropriate codes are:
                                      Coo*
ffeunrit
Short ton.. {MM tr^j 	
Kfetnm. _____
TonnM «;iMQ fctf

. 	 	 p




     Unit* of volume may not be used for
   reporting but must be converted into one of
   the above units of weight, taking into account
   the appropriate density or specific gravity of
   the waste.
   Section XXII—Comment*
    This space may be used to explain or
   clarify any entry. If used, enter a cross-
   reference to the appropriate Section number.
    Not*.—Since more than one page I*
   required for each report, enter the page
   number of each sheet In the lower right hand
   con^r •» weU •» the total number of page*.
    Where required by 40 CFR 254 or 285,  '
.  aubpart* F or R. attach ground-water
  monitoring data to this report.

  Unmanifested Waste Report Part C
  Instruction* (EPA Form 87WW3B)
    Unmanifested Waste Report for facility
  owners or operators who accept for
  treatment, storage, or disposal any hazardous
  waste from an off-site source without an
  accompanying manifest

  Important: Read All Instructions Before
  Completing TW* Form
   For the Unmanifested Waste Report. EPA
  Forms 8700-13 and 8700-13B must be filled
 out according to the directions for the Part-B
 Facility Annual Report except that: (1) blocks
                                         for which information is not available to the
                                         owner or operator of the reporting facility
                                         may be marked "UNKNOWN." and (2) the •
                                         following special instruction* apply:
                                         Section Vm.—Cost Estimates for Facilities
                                           Do not enter closure or post-closure cost
                                         estimates.      :
                                         Section XVL—Type of Report
                                           Put an "X" in the box mark'ed Part C
                                         Section XXI-A.—Description of Waste
                                        -.   Use.as many line numbers as are needed to
                                         describe the waste.

                                         Section XXI-C—Handling Code
                                           Enter the handling code which describes
                                         the status,of the waste on the date the report
                                         I* filed.

                                         Section XXI-D.—Amount of Waste
                                          Enter the amount of waste received, rather
                                         than • total annual aggregate.
                                         Section XXIL—Comments
                                          a. Enter the EPA Identification number.
                                        name, and address of the transporter, if
                                        known. If the transporter is not known Jo you.
                                        enter the name and chauffeur license number
                                        of the driver and the State and license
                                        number of the transporting vehicle which
                                        presented the waste to your facility, if
                                        known.     ....
                                          b. Enter an explanation of how the  waste
                                        movement was presented to your facility-
                                        why you believe the waste is hazardous: and
                                        how your facility plans to manage the wastes.
                                        Continue on a separate blank sheet of paper •
                                        If additional space is needed.
                                        Monitoring Data
                                         Do not attach monitoring data.

                                        PART 265—INTERIM STATUS
                                        STANDARDS FOR OWNERS AND
                                        OPERATORS OF HAZARDOUS WASTE
                                       TREATMENT, STORAGE, AND
                                       DISPOSAL FACILITIES

                                       Subpart A—General
                                       Sec.               .\     ••    '  .
                                       26S.1  Purpose, scope, and applicability.
                                       26S.2-28S.3  [Reserved}
                                       265.4  Imminent hazard action
                                       285.5-265.9  [Reserved]

                                      Subpart B—General Facility Standards

                                      285.10  Applicability.
                                      265.11  Identification number.
                                      265.12  Required notices.
                                      265.13  General waste analysis.
                                      265.14  Security.
                                                                                                                       igra**Bf:
    See.

    265.15  General inspection require,
    265.15  Personnel training.
    265.17  General requirements ^origin
       reactive, or incompatible wastes.
    265.18-265.29  [Reserved]

    Subpart C—Preparedness and Prevention

    265.30  Applicability.
    285.31  Maintenance and operation of
       facility.
    265.32  Required equipment.
    285.33  Testing and maintenance of
       equipment
   285.34  Access to communications or alarm
       system.
   285.35  Required aisle space.
   285.38  [Reserved]                     :
  • 285.37  Arrangements with local authorities.
   285.38-285.49  [Reserved]

   Subpart D—Contingency Plan and
   Emergency Procedures

   285.50  Applicability.
   265.51   Purpose and implementation of
       contingency plan.    '
   285.52   Content of contingency plan.'
   285.53   Copies of contingency plan.
   265.54   Amendment of contingency plan.
  265.55   Emergency coordinator.
  285.56   Emergency procedures.      '
  285.57-265.69   [Reserved]

  Subpart E—Manifest System,
  Recordkeeplng, and Reporting

  285.70  Applicability.
  285.71  Use of manifest system.
  285.72  Manifest discrepancies.
  285.73  Operating record.
  265.74  Availability, retention, and
     •disposition of records.
  265.75  Annual report.
  285.78  Unmanifested waste report
  285.77  Additional reports.
  285.~8-285.89  [Reserved]

  Subpart F-M3round-Water Monitoring

  265.90  Applicability.                ' "   •
  265.91  Ground-water monitoring system.
  265.92  Sampling and analysis.
  265.93  Preparation, evaluation, and
     response.
  265.94  Recordkeeping and reporting.
  265.95-265.109   [Reserved]

 Subpart G—Closure and Post-Closure

 265.110  Applicability.
 285.111  Closure performance standard.
 265.112  Closure plan: amendment of plan.
 285.113  Time allowed for closure.
 285.114  Disposal or decontamination of
    equipment.
 265.115  Certification of closure
 265.116  [Reserved]
 285.117  Post-closure care and use of
    property; period of care.
 265.118  Post-closure plan; amendment of
    plan.       ;                   ,-—:
265.119 Notice to local land AuthorityJlBk
2BS.17J1 Mntii-n in A*~J  i	.   ^^^^Hf
 265.120  Notice in deed to property.
. 265.121-265.139  [Reserved]

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Federal Register /  Vol. 45. No. 98  / Monday.  May  19.  1980  / Rules and Regulations       33233
     Subpart H—Financial Requirements
     Sec.     ••     '     .      '   ' -..    '   •
     265.140  Applicability.
   .  265.141  (Reserved)       /
     265.142  C°st estimate for facility closure.
     265.143  [Reserved]                  :
   .  285,144  Cost estimate for post-closure
        monitoring and maintenance.  .
    .265.145-285.169 [Reserved)
     Subpart I—Us« and Management of
     Containers
     285.170 Applicability.
     265.171 Condition of containers.
  .   285,172 Compatibility of waste with
        container.        '       -  ^   '
     285.173 Management of containers.
     285.174 Inspections.
     265.175 [Reserved]        .
     285.178 Special requiremenu for ignitable or
        reactive waste.	;
     285.177 . Special requiremenu for     '
        incompatible waste*.
    265.178-265.189  [Reserved]
     Subpart J—Tanks
   .265.190 Applicability.   .        .
     285.191 (Reserved]                .
     265.192 General operating requirements.
     265.193 Waste analysis and trial test*.
     285.194 Inspections.  ; ,
     285.195-265.198  [Reserved]
     285.197 Closure.
    285.198 Special requirement* for ignitable or
        reactive waste.
    285.199 Special requirement* for
        incompatible waste*.
    265.200-285419  [Reserved]
 _ •  Subpart K—Surface Impoundments
    285.220  Applicability.               '
    285421  (Reserved]
  .  285.222  General operating requirement*.
    265.J73  Containment system.
    285424  (Reserved]          '
    285.225  Waste analysis and trial test*.
    285428 Inspections.
    285.227  [Reserved]
   285428 Closure and post-closure.
   285.229 Special requirements for ignitable or
       reactive waste.                  ••  "
   265.230 Special requirements for
       incompatible waste*.
   285431-265.249  [Reserved]
   Subpart L—Waste Pile*
   285.250 Applicability.,
   285451 Protection from wind
 ' 265452 Waste analysis.               •  . '
   285.253 Containment
   285.254-265455  [Reserved)
   285456 Special requirements for ignitable or
       reactive waste.
   265457 Special requirements for
       incompatible wastes.
   265.258-265469  [Reserved]   ,     '
   Subpart M—Land treatment
   265.270 Applicability.
   485:271 (Reserved]
   265.272 "-General operating requirements.
   265.273 Waste analysis.
   265.274-265.275, [Reserved]    '
   265.278 Food chain crops.
   265.277 [Reserved],                   "
,   265478 Unsaturated zone (zone of aeration)'
       monitoring.        /
                            Sec.' :;.;  .   --.  -   .          . " ,,  '
                            265.279  Recordkeeping.
                            265.280  Closure and post-closure.
                            265.281  Special requirements for. ignitable or
                                reactive waste.  .      '
                            265.282 , Special requirements for
                                incompatible wastes.                •
                            265.283-285.299  [Reserved]   .
                            Subpart N—Landfills             .
                            285.300  Applicability.              .
                            265.301  [Reserved]
                            285.302  General operating requirements.
                            285.303-285.308  [Reserved]
                            285409  Surveying and recordkeeping.
                            285410-  Closure and post-closure.
                            285411  (Reserved]
                            285.312 .Special requirements for ignitable or
                                reactive waste.                     '
                            285413 Special requiremenu for
                                incompatible waste*.
                            285414 , Special requiremenu for liquid
                           •  .   waste.
                            285.315 Special requirements for containers.
                            265.316-285.339   (Reserved)
                            Subpart O—Incinerator*
                            265440 Applicability.
                            285.341-285.342   [Reserved]
                            285443 General operating requirements.
                            265.344 [Reserved]
                            285.345 Waste analysis.       '
                           : 285446 [Reserved)
                            285447 Monitoring and inspections.
                            285448-285450   [Reserved]
                            285451  Closure.
                            285452-285489   [Reserved]
                           Subpart P—Thermal Treatment
                           285470  Applicability.
                           285471-265.372 , [Reserved)      .:
                           285473  General operating requirements.
                           285474  [Reserved)
                           285475  Waste analysis.
                           285.378  (Reserved)
                           285477  Monitoring and inspection*.   ' .
                           285478-285.380  [Reserved]
                           285.381  Closure,            '
                           285.382  Open burning: waste explosives.
                           285.383-265.399 .[Reserved]
                           Subpart O—Chemical, Physical, and   '
                           Biological Treatment
                           285.400  Applicability.            _
                           285.401 _ General operating requirements.  ••
                           285.402  Waste analysis and trial tests.
                           ±85:403  Inspections.
                           285.404  Closure.,
                           285.405  Special requirements for ignitable or
                               reactive waste.            '          •
                           285.406  Special requirements for
                               incompatible wastes.                  ;
                           265.407-285.423  [Reserved]
                           Subpart R—Underground Injection
                           285.430  Applicability.
                           265.431-265.999  [Reserved]      •
                           Appendix I—Recordkeeping instructions.
                           Appendix II—EPA report form and
                               instructions.
                           Appendix III—EPA interim primary drinking
                               water standards.    '
                           Appendix rV—TesU for .Significance.,
                           Appendix V—Examples of potentially
                             . incompatible waste.
                             Authority: Sees. 1006. 2002(a). and 3004 of
                           the. Solid Waste Disposal Act as amended by
                           the Resource Conservation and Recovery. Act
  of 1978, as amended (42 U.S.C. 6905. 6912(a).'
  and 6924)..

  Subpart A—General

  §265.1  Purpose, scope, and applicability.
    (a) The purpose of this Part is to
  establish minimum national standards
  which define the acceptable '•_ '.
  management of hazardous waste during
  the period of interim status.
•'   (b) The standards  in this Part apply to
  owners and operators of facilities which
  treat store, or dispose of hazardous
  waste who have fiilly complied with the
  requirements for interim status under
  Section 300S[e) of RCRA and § 122.22 of
  this Chapter, until final administrative
  disposition of their permit application is
  made. These standards apply to all
  treatment, storage, or disposal of
  hazardous waste at these facilities after
  the effective date of these regulations,
  except as specifically provided
  otherwise in this Part or Part 261 of this
  Chapter..
  (Comment: As stated in Section 3005(a)
  of RCRA, after the effective date of
  regulations under that Section, i.e.. Parts
 122 and 124 of this Chapter, the
  treatment, storage, or disposal of
 hazardous waste is prohibited except in
 •accordance with a permit. Section
 3005(e) of RCRA provides for the
 continued operation of an existing
 facility which meets certain conditions
 until final administrative disposition of
 the owner's and operator's permit
 application is made;]
   (c) The requirements of this Part do
 not apply to:             ,
   (1) A person disposing of hazardous
 waste  by means of ocean disposal
 subject to a permit issued under the •
 Marine Protection, Research, and
 Sanctuaries Act;
 [Comment: These Part 265 regulations .    '
• do apply to the treatment or storage of
 hazardous waste before it is loaded onto
 an ocean vessel for incineration or
 disposal at sea, as provided in
 paragraph (b) of this Section.]
   (2> A person disposing of hazardous
 waste by means of underground
 injection subject to a  permit issued
 under an Underground Injection Control
 (UIC) program approved or promulgated
 under the .Safe Drinking Water Act;       •
 [Comment: These Part 265 regulations
 do apply to the aboveground treatment
 or storage of hazardous waste before it   -'..
 is injected underground. These Part 265  ••
 regulations also apply to the disposal of
 hazardous waste  by means of
 underground injection, as provided in
 paragraph (b) of this Section, until final
 administrative disposition of a person's
 permit application is made under RCRA

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   33234       Federal Register / Vol. 45. No. 98  /  Monday. May 19. 1980 / Rules and Regulations
   or under an approved or promulgated
   UIC program.]
     (3) The owner or operator of a POTW
   which treats, stores, or disposes of
   hazardous waste:
   f Comment The owner or operator of a
   facility under paragraphs (c)(l) through
   (c)(3) of this Section is subject to the
   requirements of Part 264 of Uu> Chapter
   to the extent they are included in a
   permit by rule granted to such a person
   under Part 122 of thi» Chapter, or are
   required by § 122.45 of this Chapter.]
    (4) A person who treats, stores, or
   disposes of hazardous waste in a State
   with a RCRA hazardous waste program
  authorized under Subparts A and B, or
  Subpart F, of Part 123 of this Chapter,
  except  that the requirements of this Part
  will continue to  apply as stated in
  paragraph (c)(2) of this Section, if the
  authorized State RCRA program does
  not cover disposal of hazardous waste
  by means of underground injection:
    (S) The owner or operator of a facility
  permitted, licensed, or registered by 'a
• Slate to manage municipal or industrial
  solid waste, if the only hazardous waste
  the facility treats, stores, or disposes of '
  is excluded from regulation  under this
  Part by  § 281.5 of this Chapter:
   (6) The owner or operator of a facility
  which treats orstores hazardous waste.
  which treatment  or storage meets the
  criteria in § 281.6(a) of this Chapter. '
  except to the extent that 5 281.6(b) of
  this Chapter provides otherwise:
   (7) A generator accumulating waste
 on-site in compliance with S 282.34 of
 this Chapter, except to the extent the
 requirements are included in S 282.34 of
 this Chapter;
   (8) A farmer disposing of waste
 pesticides from his own use in
 compliance with 1 262.51 of this
 Chapter; or
   (9) Tho owner or operator of a totally
 enclosed treatment facility, as defined in
 §280.10.             '
              [Rtttrv«d]

 §285,4  Imminent hazard action.
  Notwithstanding any other provisions
 of these regulations, enforcement
 actions may be brought pursuant to
 Section 7003 of RCRA.

 §§265.5-265.9  [Reserved]            "~"

 Subpart B— Genera! Facility Standards

 §265.10 Applicability
  The regulations in this Subpart apply
 to owners and operators of all
hazardous waste facilities, except as
 § 265.1 provides otherwise.
   §265.11  Identification number.
     Every facility owner or operator must
   apply to EPA for an EPA identification
   number in accordance with the EPA
   notification procedures (45 FR 12746).

   § 265.12  Required notices.
     (a) The owner or operator of a facility
   that has arranged to receive' hazardous
   waste from a foreign source must notify
   the Regional Administrator in writing at
   least four weeks in advance of the date
 .  of the waste is expected to arrive at the
  facility. Notice of subsequent shipments
  of the same waste from the same foreign
  source is not required.
    (b) Before transferring ownership or
  operation of a facility during its
 , operating life, or of a disposal facility
  during the post-closure care period, the
•  owner or operator must notify the new
  owner or operator in writing of the
  requirements of this Part and Part 122 of
  this Chapter. (Also see S 122.23(c) of this
  Chapter.)
  [Comment: An owner's or operator's
  failure to notify the new owner or
  operator of the requirements of this Part
  in no way relieves  the new owner or
  operator of his obligation to comply with
 all applicable requirements.]

 9265.13  G«n*rsJ waste analysis.
   (a)(l) Before an owner or operator
 treats, stores, or disposes of any
 hazardous waste, he must obtain a
 detailed chemical and physical analysis
 of a representative  sample of the waste.
 At a minimum, this analysis must
 contain all the information which must
 be known to treat store, or dispose of
 the waste in accordance with the
 requirements of this Part.
   (2) The analysis may include data
 developed under Part 281 of this
 Chapter, and existing published or
 documented data on the hazardous
 waste or on waste generated from
 similar processes.
 [Comment: For example, the facility's
record of analyses performed on the
waste before the effective date of these
regulations, or studies conducted on
hazardous waste generated from •       •
processes similar to that which
generated the waste to be managed at
the facility, may be. included in the data
base required to comply with paragraph
(a)(l) of this Section. The owner or
operator of an off-site facility may
arrange for the generator of the
hazardous waste to supply part or all of
the information required by "paragraph
(a)(l) of this Section. If the generator
does not supply the information, and tke
owner or operator chooses to 'accept a
hazardous waste, the owner or operator
is responsible for obtaining the
  information required to comply with this
  Section.]
    (3) The analysis must be repea.
  necessary to ensure that it is accL,
  and up to date. At a minimum, the
  analysis must be repeated:
    •(i) When the owner or operator is
  notified, or has reason to believe, that,  •
  the process or operation generating the
  hazardous waste has changed: and
 •   (ii) For off-site facilities, when the
  results of the inspection required in
  paragraph (a)(4) of this Section indicate
  that the  hazardous waste received at the •
  facility does not match the waste
  designated on the accompanying        ,-
  manifest or shipping paper.
    (4) The owner or operator of an off-
  site facility must inspect and, if
  necessary, analyze each hazardous
  waste movement received at the facility
  to determine whether it matches the
  identity of the waste specified on the
 accompanying manifest or shipping     »
 paper.     .             .
   (b) The owner or operator must      ''
 develop and follo'w a written waste
 analysis  plan which describes the     %J
 procedures which he will carry out to
 comply with paragraph (a) of this
 Section. He-must keep this plan at the
 facility. At a minimum, the plan must
 specify:
   (1) The parameters for which eaj;
 hazardous waste will be analyzed!
 the rationale for the selection of tL^w
 parameters (i.e., how analysis for these
 parameters will provide sufficient
 information on the waste's properties to .
 comply with paragraph (a) of this
 Section):
   (2) The test methods which will be
 used to test for these parameters;
   (3) The sampling method which will
 be used to obtain a representative
 sample of the waste to be  analyzed. A
 representative sample may be obtained
 using either
  (i) One  of the sampling methods
 described in Appendix I of Part 261 of
 this Chapter; or                       ,
  (ii) An equivalent sampling method.
 [Comment: See §.260.20{c) of this
 Chapter for related discussion.]
  (4) The frequency with which the
 initial analysis of the waste will be
 reviewed or repeated to ensure that the
 analysis is accurate and up to date;
  (5) For off-site  facilities,  the waste
 analyses that hazardous waste  "
 generators have agreed to supply; and   '
  (6) Where applicable, the methods    {
 which will be used to meet the
 additional waste analysis requirements
 for specific waste management methods
as specified in §§265.193. 265.225,,
265.252, 265.273, 265.345, 265.375, ai
265.402.
leuious


 *

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               Federal Register / Vol. 45. No. 98 / Monday. May 19.  198O / Rules and Regulations  ~      33235
   „ (c) For off-site facilities, the waste
  analysis plan required in paragraph (b)
  of this Section must also specify the
  procedures which will be used to inspect
  and, if necessary, analyze each
  movement of hazardous waste received
  at the.facility to ensure that it matches
  the identity of the waste designated on
  the accompanying manifest or shipping
  paper. At a minimum, the plan must
  describe:^                        '
    (1) The'procedures which will be used
  to determine the identity of each
  movement of waste managed at the
  facility: and
    (2) The sampling method which will   *
  be used to obtain a representative
  sample of the waste to be identified, if
  the identification method includes  . , .
  sampling.   .  :

  §235.14  Security.
    (a) The owner or operator must
. prevent the unknowing entry, and
  minimize the possibility for the
  unauthorized entry; of persons or
  livestock onto the active portion of his
  facility, unless:
    (1) Physical contact with the waste,
  structures, or equipment with the active
  portion of the facility will not injure
  unknowing or unauthorized persons or
  livestock which may enter the active
  portion of a facility, and
    (2) Disturbance of the waste or
  equipment by the unknowing or
  unauthorized entry of persons or
  livestock onto the active portion of a
  facility, will not cause a violation of the
  requirements of this Part
    (b) Unless exempt under paragraphs
  (a)(l) and (a)(2) of this Section, a facility
  must have:
   (1) A 24-hour surveillance system (e.g.,
  television monitoring or surveillance by
 guards of facility personnel) which  .
  continuously monitors and controls
  entry onto the active portion of the
  facility; or                          .
   (2)(i) An artificial or natural barrier
 (e.g., a fence in good repair or a fence
 combined with a cliff), which completely
 surrounds the active portion of the
 facility; and
   (ii) A means to control entry, at all
 times, through the gates or other
 entrances to the active portion of the
 facility (e.g., an attendant, television
 monitors, locked entrance, or controlled
 roadway access to the facility).
 ' Comment: The requirements of
 paragraph (b) of this Section are   '
 satisfied if the facility or plant within
 which the active portion is located itself
 has a surveillance system.,or a barrier
 and a means to control entry, which
 complies with the requirements of
 paragraph (b)(l),or (b)(2) of this
 Section.]
    (c) Unless exempt under paragraphs
  (a)(l) and (a](2) of this Section, a sign
  with the legend. "Danger—Unauthorized
  Personnel Keep Out." must be posted at
  each entrance to the active portion of a
  facility, and at other locations, in
  sufficient numbers to be seen from any
  approach to this active portion. The
  .legend must be written in English and in
  any other language predominant in the
.  area surrounding the facility (e.g..
  facilities in counties bordering the
  Canadian province of Quebec must post
  signs in French; facilities in counties.
  bordering Mexico must post signs in
  Spanish), and must be legible from a
  distance of at least 25 feet. Existing
  signs with a legend other than
  "Danger—Unauthorized Personnel Keep
  Out" may be used if the legend on the
  sign indicates that  only authorized
  personnel are allowed to enter the
  active portion, and that entry onto the
  active portion can be dangerous.
  [Comment: See § 2e5.117(b) for
  discussion of security requirements at
  disposal facilities during the post-
  closure care period.)        ' ,

 { 265.1$   General Inspection requirements.
   (a) The owner or operator must
 inspect his- facility for malfunctions and
 deterioration, operator errors, and
'discharges which may be causing—or
 may lead to—(1) release of hazardous
 waste constituents  to the environment
 or (2) a threat to human health. The
 owner or operator must conduct these
 inspections often enough to identify
 problems in time to correct them before
 they harm human health or the
 environment    "     ;
   (b)(l) The owner or operator must
 develop and follow a written schedule
 for inspecting all monitoring equipment.
 safety and emergency equipment.
 security devices, and operating and
 structural equipment (such as dikes and
 sump pumps) that are important to
 preventing, detecting, or responding to
 environmental or human health hazards.
   (2) He must keep  this schedule at the
 facility.   ,
   (3) The schedule must identify the  .,
 types of problems (e.g., malfunctions or
 deterioration) which are to be looked for
 during the inspection (e.g., inoperative  -,
 sump pump, leaking fitting, eroding dike,
 etc.).
   (4) The frequency of inspection may
vary for the items on the schedule.
However, it should  be based on the rate
of possible deterioration of the  .
equipment and  the probability of an
environmental or human health incident
if the deterioration or malfunction or
any operator error goes undetected •
between inspections. Areas subject to
spills, such as loading and unloading
 areas, must;,be inspected daily when in •
 use. At a minimum, the inspection    .
 schedule must include the 'items and
 frequencies called, for in § § 265.174,
 265.194. 265.226. 265.347, 265.377. and
 265.403.
   (c) The owner or operator must
 remedy any deterioration or malfunction
 of equipment or structures which the
 inspection rev-eals'on a schedule which
 ensures that the problem does not lead
 to an environmental or human health
 hazard.  Where a hazard is imminent or
 has already occurred, remedial  action
 must be taken immediately.
   (d) The owner or ooerator must record
 inspections in an inspection log or ,
 summary. He must keep these records
 for at least three years from the date of
 inspection. At a minimum, these records
• must include the date and time of the
.inspection, theViame of the inspector, a
 notation of the observations made, and
 the date and nature of any repairs or
 other remedial actions.

 S 265.16  Personnel training. .
   (a)(l) Facility personnel must
 successfully complete a program of
 classroom instruction or oh-the-job
 training  that teaches them to perform
 their duties in a way that ensures the
 facility's compliance with the
 requirements of this Part. The owner or
 operator must ensure that this program s
 includes a]l the elements described in ~
 the document required under paragraph
 (d)(3) of this Section.
   (2) This program must be directed by
 a person trained in hazardous waste
 management procedures, and must
 include instruction which teaches
 facility personnel hazardous waste
 management procedures (including
 contingency plan implementation)
relevant to. the positions in which they
 are employed.         *
   (3) At a minimum, the training
program must be designed to ensure that
facility personnel are able to respond
effectively to emergencies by
familiarizing them  with emergency  •
procedures, emergency equipment, and
emergency systems, including where
applicable:      .
  (i) Procedures for using, inspecting,
repairing, and replacing facility
emergency and monitoring equipment;
  (ii) Key parameters for automatic
waste feed cut-off systems;
  (iii) Communications or alarm
systems;
  (iv) Response to  fires or explosions;
  (v) Response  to ground-water
contamination incidents; and
  (vi) Shutdown of operations.
  (b) Facility personnel must
successfuly complete the program
required  in paragraph (a) of this  Section

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    3323B
Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 /  Rules ana Regulations
    within six months after the effective
    date of these regulations or six months
    after the date of their employment or
    assignment to a facility, or to a new
    position at a facility, whichever is later.
    Employees hired after the effective date
    of these regulations must not work in
    unsupervised positions until they have
    completed the training requirements of
    paragraph (a) of this Section.
     (c) Facility personnel must take part
    In an annual review of the initial
    training required in paragraph (a) of this
   Section.
     (d) The owner or operator must
   maintain the following documents and
   records at the facility:
     (1) The job title for each position at
   the facility related to hazardous waste
   management, and the name of the
   employee filling each job;
     (2) A written job description for each
   position listed under paragraph (d)(l) of
   this Section, This description may be
   consistent in its degree of specificity
   with descriptions for other similar
   positions in the same company location
   or bargaining unit, but must include the
  requisite skill, education, or other
  qualifications, and duties of facility
  personnel assigned to each position;
    (3) A written description of the type
  and amount of both introductory and
  continuing training that will be given to
  each person filling a position listed
  under paragraph (d)(l) of this Section;
    (4) Records that document that the
  training or job experience required
  under paragraph! (a), (b). and (cj of this
  Section has been given to, and
  completed by. facility personnel
    (e) Training records on current
  personnel must be kept until closure of
  the facility. Training records on former
  employees must be kept for at least
  three years from the date the employee
 last worked at the facility. Personnel
  training racords may accompany       •
 personnel transferred within the same
 company.

 S 265.17 General requirements for
 ^tt*bfr,re»ctlv«, or Incompatible wastes. •
   (a) The owner or operator must take
 precaution* to prevent accidental
 ignition or reaction of ignitable or
 reactive waste. This waste must be
 separated arid protected from sources of
 ignition or reaction including but not
 limited to: open flames, smoking, cutting
 and welding, hot surfaces, frictional
 heat, sparks (static, electrical, or
 mechanical), spontaneous ignition (e.g..  ,
 from heat-producing chemical
 reactions), and radiant heat. While
 ignitable or reactive waste is being
 handled, the owner or operator must
 confine smoking and open flame to
specially designated locations. "No
                          Smoking" signs must be conspicuously
                          placed wherever there is a hazard from
                        •  ignitable or reactive waste.
                            (b) Where specifically required by
                          other Sections of this Part, the
                          treatment, storage, or disposal of
                          ignitable or reactive waste, and the
                          mixture or commingling of incompatible
                          wastes, or incompatible wastes  and
                          materials, must be conducted so that it
                          does not:
                            (1) Generate extreme heat or pressure,
                          fire or explosion, or violent reaction;
                            (2) Produce uncontrolled toxic mists.
                          fumes, dusts, or gases in sufficient
                          quantities to threaten human health:
                           (3) Produce uncontrolled flammable
                         fumes or gases in sufficient quantities to
                         pose a risk of fire qr explosions;
                           (4) Damage the structural integrity of
                         the device or facility containing the
                         waste: or
                           (5) Through other like means threaten
                         human health or the  environment.

                         §§ 265.18-265.29  [Reserved] -

                        Subpart C—Preparedness and
                        Prevention

                        5265JO  Applicability.               /
                          The regulations in this Subpart apply
                        to owners and operators of all
                        hazardous waste facilities, except as
                       • S 265.1 provides otherwise.

                        $ 265.31 Maintenance and operation of
                        facility.
                          Facilities must be maintained and
                        operated to minimize the possibility of a
                        fire, explosion, or any unplanned  sudden
                        or non-sudden release of hazardous
                        waste or hazardous waste constituents
                        to air. soil, or surface  water which could
                        threaten human health or the
                        environment.

                       §26542  Required equipment
                          All facilities must be equipped with
                       the following. unJess none of the
                       hazards posed by waste handled at the
                       facility could require a particular kind of
                       equipment specified below:
                          (a) An internal communications  or
                       alarm system capable of providing
                       immediate  emergency instruction (voice
                       or signal) to facility personnel;
                          (b) A device, such as a telephone
                       (immediately available at the scene of
                       operations) or a hand-held two-way
                       radio, capable of summoning emergency
                       assistance from local police
                       departments, fire departments, or State
                       or local emergency response teams;
                         (c) Portable fire extinguishers, fire
                       control equipment (including special
                       extinguishing equipment, such as that
                       using foam, inert gas. or dry chemicals),
                       spill control equipment, and
                       decontamination equipment; and
     (d) Water at adequate volume and
   pressure to supply water hose str
   or foam producing equipment, b:'
   automatic sprinklers, or wa'ter s
   systems.

   § 265.33 Testing and maintenance of
   equipment
     All facility communications or alarm
   systems, fire protection equipment, spill
   control equipment, and decontamination
   equipment, where required, .must be
   tested and maintained as necessary to.
   assure its proper operation in time of
   emergency.

   § 265.34  Access to communications or
   alarm system.
    (a) Whenever hazardous waste is
.   being poured, mixed, spread, or
   otherwise handled, all personnel
   involved in the operation must have
   immediate access to an internal alarm
   or emergency communication device.
   either directly or through  visual or voice
   contact with another employee, unless
  such a device is not required under
   5 265.32.
    (b) If there is ever just one employee
  on the premises while the facility is
  operating, he must have immediate
  access to a device, such as a telephone.
  (immediately available at the scene  of
  operation) or a hand-held two-way
  radio, capable of summoning extei
.  emergency assistance, unless suclj
  device is not required under § 265?

  § 265.35  Required aisle space.  V
 .  The owner or operator must maintain
  aisle space to allow the unobstructed
  movement of personnel, fire protection
  equipment, spill control equipment, and
  decontamination equipment to any area
  of facility operation in an emergency.
 unless aisle space is not needed for any
 of these purposes.

 S 265.36  [Reserved]

 §265.37  Arrangements with local
 authorities.
   (a)-The owner or operator must
 attempt to make the following
 arrangements, as appropriate for the
 type of waste handled at his facility and
 the potential ne'ed for the services of
 these organizations:
   (1) Arrangements to familiarize police.
 fire departments, and emergency
response teams with the layout of the
facility, properties of hazardous waste
handled at the facility and associated
hazards, places where facility personnel
would normally be working, entrances
to roads inside the facility, and possible
evacuation routes;
   (2) Where more than one  police ar
fire department might respond to at
emergency, agreements designating

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               Federal Register /  Vol. 45. No. 98 / Monday. May 19, 1980 /Rules and Regulations       33237
 • primary emergency authority to a
  specific police and a specific fire .
  department, and agreements with any
  others to provide support to the primary
 ' emergency authority;  •
    (3) Agreements with State emergency
  response teams, emergency response
  contractors, and equipment suppliers;
  and
    (4] Arrangements-to familiarize local
• hospitals with the properties of
  hazardous waste handled at the facility
  and the types of injuries or illnesses
  which could result .from fires,
  explosions, or releases at the facility.
    (b) Where State or local authorities
  decline to enter into such arrangements,
  the owner or operator must document
  the refusal in the operating record. •••

  § 265.38-265.49  [Reserved]

  Subpart D—Contingency Plan and
  Emergency Procedures         ."'

 5265.50 Applicability.
   The regulations in this Subpart apply
 to  owners and operators of all
 hazardous waste facilities, except as
 5 265.1 provides otherwise.

' S 265.51  Purpose and Implementation of
 contingency plan.           .
   (a) Each owner or operator must have
 a contingency, plan for his facility. The
 contingency plan must be designed to
 minimize hazards to human-health or
 the environment from fires, explosions,
 or any unplanned sudden or non-sudden
 release of hazardous waste or
 hazardous waste constituents to air.
 soil, or surface water.
  (b) The provisions of the plan must be
 carried out immediately whenever there
 is a fire, explosion, or release of
 hazardous waste or hazardous waste
 constituents which could threaten
 human health of the environment

 § 265.52  Content of contingency plan.
  (a) The contingency plan must
 describe the actions facility personnel
 must take to comply with 55 265.51 and
 265.58 in response to fires, explosions, or,
 any unplanned sudden or non-sudden
 release of hazardous waste or        -
 hazardous waste constituents to air,
soil, or surface water at the facility.
 . (b) If the owner or operator has
already prepared a Spill Prevention,
Control, and Countermeasures (SPCC)
Plan in accordance with Part 112 or Part
151 of this Chapter, or some other
emergency or contingency plan, he need
only amend that plan, to incorporate
hazardous waste management     .
provisions that are sufficient to comply
with the requirements of this Part.
  (cj The plan must describe;
arrangements agreed to by local police
•  departments, fire departments,
  hospitals, contractors, and State and
  local emergency response teams to
  coordinate emergency services, pursuant
  to'S 255.37.             -
   ,(d) The plan must list names,  •
  addresses, and phone numbers (office
  and home) of all persons qualified to act
 , as emergency coordinator (see § 265.55).
  and this list must be kept up to date.
  Where more than one person is  listed.
  one must be named as primary
  emergency coordinator and others must
  be listed in the order in which they will
  assume responsibility as alternates.
   (e) The plan must include a list of all
  emergency equipment at the facility
  (such as fire extinguishing systems, spill
  control equipment, communications and.
  alarm* systems (internal and external), '
  and decontamination equipment), where
  this equipment is required. This  list must
  be kept up to date. In addition, the plan
  must include the location and a physical
.  description of each item on the list, and
  a brief outline  of its capabilities.'
   (fj The plan must .include an
 evacuation plan for facility personnel
 where there is a possibility that
 evacuation could be necessary. This
 plan must describe signal(s) to be used
 to begin evacuation, evacuation  routes,
 and alternate evacuation routes  (In
 cases where the primary routes could be
 blocked by releases of hazardous waste
 or fires).

 § 265.53 Copies of contingency plan.
   A copy of the contingency plan and all
 revisions to the plan must be:
   (a) Maintained at the facility; and
   (b) Submitted to all local police
 departments, fire departments, .'.„<,'
 hospitals, and State and local
 emergency .response teams that may be
 called upon to provide emergency
 services.

 §265.54  Amendment of contingency plan.
   The contingency plan must be
 reviewed, and immediately amended, if
 necessary, whenever:
 .  (a) Applicable regulations are revised;
   (b) The plan fails in an emergency;
   (c) The facijity changes—in its design.
 construction, operation, maintenance, or
 other circumstances—in a way that
 materially increases the potential for
 fires, explosions, or releases of
hazardous waste or hazardous waste
 constituents, or changes the response
necessary in an emergency;        '
   (d) The list of emergency coordinators
changes; or
  (e) The list of emergency equipment
changes.
  § 265.55  Emergency coordinator.
    At all times.-there must be at least one
  employee either on the facility premise's
  or on call (i.e., available to respond to
  an emergency by reaching the facility
  within a short period of time) with the
.  responsibility for coordinating all
  emergency response measures. This."
  emergency coordinator must be
  thoroughly familiar with all aspects of
  the facility's contingency plan, all
  operations and activities  at the facility.
  the location and characteristics of waste
  handled, the location of all records
  within the facility, and the facility
  layout. In addition, this person must
  have the authority to commit the
  resources needed to carry out the
  contingency plan.           •
  [Comment: The 'emergency coordinator's
  responsibilities are more fully spelled
  out in 5 265.56. Applicable
  responsibilities for the emergency •
  coordinator vary, depending .on factors
  such as type and variety of waste(s)
  handled by the facility, and type and
  complexity of the facility.)  .

  § 265.56 Emergency procedures. .
 ;  (a) Whenever there is an imminent or
  actual emergency situation, the
  emergency coordinator (or his designee
  when the emergency coordinator is on
 call) must immediately:
   (1) Activate internal facility alarms or
 communication systems, where   '<''
 applicable, to notify all facility
 personnel; and
   (2) Notify appropriate State or local
 agencies with designated response roles
 if their help is needed.
   (b) Whenever there is a release, fire,
 or explosion, the emergency coordinator
 must immediately identify the character,
 exact source, amount, and a real extent
 of any released materials.'He may do .
• this by observation or review of facility
 records or manifests and, if necessary,
 by chemical analysis.
   (c) Concurrently,'the emergency
 coordinator must assess possible
 hazards to human health or the   ,
 environment that may result from the  .
 release, fire, or explosion.  This.
 assessment must consider both direct •  •
 and indirect effects of the release, fire.
 or explosion (e.g.. the effects of any  ,
 toxic, irritating, or asphyxiating gases
 that are generated, or the effects of .any
 hazardous surface water run-offs from
 water or chemical agents used to control
 fire and heat-induced explosions.].
   (d) If the-emergency coordinator
 determines that the facility has had a  .
 release, fire, or explosion which could
 threaten human healthtor  the
 environment, outside, the facility, he
 must report his findings-as follows:

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   33238       Federal Register / Vol. 45. No. 98 /Monday. May 19. 1980 / Rules  and Regulations
     (1) If his assessment indicates that
   evacuation of local areas may be
   advisable, he must immediately notify
   appropriate local authorities. He must •
   be available to help appropriate officials
   decide whether local areas should be
   evacuated; and
     (2) He must immediately notify either
   the government official designated as
.   the on-scene coordinator for that
   geographical area (in the applicable
   regional contingency plan under Part
   1510 of this Title), or the National
   Response Center (using their 24-hour toll
   free number 800/424-8802), The report
   must include:
     (i) Name and telephone number of
   reporter;
     (H) Name and address of facility;
     (Hi) Time and type of incident (e.g.. .
   release, fire);
     (iv) Name and quantity of material(s)
   involved, to  the extent known;
    (v) The extent of injuries, if any; and
    (vi) The possible hazards to human
  health, or the environment, outside the
  facility.
    (e) During  an emergency, the
  emergency coordinator must take all
  reasonable measures necessary to
  ensure  that fires, explosions, and
  releases do not occur, recur, or spread to
  other hazardous waste at the facility.
  These measures must include, where .
  applicable, stopping processes and
  operations, collecting and containing .
  released waste, and removing or
  Isolating containers.
   (f) If the facility stops operations in
  response to a fire, explosion or release.
  the emergency coordinator must monitor
.  for leaks, pressure buildup, gas
  generation, or ruptures in valves, pipes,
  or other equipment, wherever this is
  appropriate.
   (g) Immediately after an emergency.
  the emergency coordinator must provide
  for treating, storing, or disposing of
  recovered waste, contaminated soU or
  surface  water, or any other material that
 results from a release, fire, or explosion
 at the facility. •                 ..
 [Comment: Unless the owner or operator
 can demonstrate, in accordance with
  § 261 J(c) or (d) of this Chapter, that the
 recovered material is not a hazardous
 waste, the owner or operator becomes a
 generator of hazardous waste and must
 manage  it in accordance with all
 applicable requirements of Parts 262,
.203. and 265 of this Chapter.]
   (h) The emergency coordinator must
 ensure that, in the affected area(s) of the
 facility:
   (1) No waste that may be
 incompatible with the released material
 Is treated, stored, or disposed of until
 cleanup procedures are completed; and
    (2) All emergency equipment listed in
  the contingency plan is cleaned and fit
  for its intended use before operations
  are resumed.
    (i) The owner or operator must notify
  the Regional Administrator, and   .
  appropriate State and local authorities.
  that  the facility is in compliance with
  paragraph (h) of'this Section before
  operations are resumed in the affected
  area(s) of the facility.  *
    (j) The owner or operator must note in
  the operating record the time. date, and
  details of any incident that requires
  implementing the contingency plan.
  Within 15 days after the incident, he
  must submit a written report on the
  incident to the Regional Administrator.
  The report must include:
  , (1) Name, address, and telephone
  number of the owner or operator;
    (2)  Name, address, and telephone
  number of the facility:
    (3)  Date. time, and type of incident
  (e.g.. fire, explosion);
    (4) Name and quantity of material(s)
  involved;
    (5) The extent of injuries, if any:
    (6) An assessment of actual or
 potential hazards to human health or the
 environment, where this is applicable:
 and
   (7) Estimated quantity and disposition
 of recovered material that repulted from
 the incident

 §§265.57-265.69 lR«*«fved]

 Subpart E—Manifest System,
 Recordkeeping, and Reporting

 §265.70  Applicability.
  The regulations in this Subpart apply
 to owners and operators of both on-site
 and off-site facilities, except as 5 285.1
 provides otherwise. Sections 265.71.
 265.72. and 265.78 do not apply to
 owners and operators of on-site
 facilities that do not receive any •
 hazardous waste from off-site sources.

 J265.7T  UM of manifest system.,
  (a) If a facility receives hazardous
 waste  accompanied by a manifest, the
 owner or operator, or his agent, must
  (1) Sign and date each copy of the
 manifest to certify that the hazardous
 waste  covered by, the manifest was   .
 received;   .     .
  (2) Note any significant discrepancies
 in the manifest (as defined in
 S 265.72(a)) on each copy of the
 manifest;
 [Comment: The Agency does not intend
 that the owner or operator of a facility
whose procedures under § 265.13(c)
include waste analysis must perform
that analysis before signing the manifest
and giving it to the transporter. Section
  265.72(b], however, requires reportjj
  unreconciled discrepancy discov^
  during later analysis.]
    (3) Immediately give the transponeTat
  least one copy of the signed manifest:
    (4) Within 30 days after the delivery,
  send a copy of the manifest to the
  generator and
    (5) Retain at the facility a copy of
,  each manifest for at least three years
  from the date, of delivery.
    (b) If a facility receives, from a rail or
  water (bulk shipment) transporter.
  hazardous waste which is accompanied
  by a shipping paper containing all the
  information required on the manifest
  (excluding the EPA identification
 .numbers, generator's certification, and
  signatures), the owner or operator, or his
  agent, must:
    (1) Sign and date each copy of the
  shipping paper to certify that  the .
  hazardous waste, cpvered by the
  shipping paper was received;
    (2) Note any significant discrepancies
  in the shipping paper (as defined in
  § 265.72(aj) on each copy of the shipping
 paper;
 [Comment: The Agency does not  intend
 that the owner or operator of a facility
 whose procedures under § 265.13(c)
 include waste analysis must perform
 that analysis before signing the shij ""
 paper and giving it to the transpor^
 Section 26S.72(b), however, requiregd,
 reporting an unreconciled discrepancy
 discovered during later analysis.]
   (3) Immediately give the rail or  water
 (bulk shipment) transporter at least one
 copy of the shipping paper;
   (4) Within 30 days after the delivery,
 send a copy of the shipping paper to the
 generator; however, if the manifest is
 received within 30 days after the
 delivery, the owner or operator, or .his
 agent, must sign and date the manifest
 and return it to the generator in lieu of
 the shipping paper; and
 [Comment: Section 262.23(c) of this
Chapter requires the generator to.send
three copies of the manifest to the
facility when hazardous waste is sent by
rail or water (bulk shipment).]  •
  (5) Retain at the facility a copy of
each shipping'paper and manifest for at
least three years from the date of
'delivery.

§ 265.72  Manifest discrepancies.
  (a) Manifest discrepancies are
differences between the quantity or type
of hazardous waste designated on the
manifest or shipping paper, and the
quantity or type of hazardous wastes
facility actually receives. Significarf
discrepancies in quantity are: (1) fo1_
bulk waste, variations greater than 1C

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                 Federal Register / Vol. 45, No. -98 /Monday. May 19. 1980 / Rules and Regulations
                                                                         3323S
    percent'in weight, and (2) for batch
    waste, any variation in piece .count, such
    as a discrepancy of one drum in a
    truckload. Significant discrepancies in
    type are obvious differences which can.
    be discovered by inspection or waste
    analysis, such as waste solvent
 .   substituted for waste acid, or toxic
    constituents not reported on the
.'_.  manifest .or shipping paper.
      (b) Upon discovering a significant   .
    discrepancy, the owner or operator must
    attempt to reconcile the discrepancy
    with the waste generator or transporter
    (e.g.. with telephone conversations}. If  •
    the discrepancy is not resolved within
    15 days after receiving the waste, the
    owner or operator must immediately
 1   submit to the Regional Administrator a
    letter describing the discrepancy and
    attempts to reconcile it. and a copy of
   the manifest or shipping paper at issue.

   8 265.73 Operating record.    <
     (a) The owner or operator must keep a
.  written operating record at his facility.
     (bj The following information  must be
   recorded, as it becomes available, and
   maintained in the operating record until
   .closure of the facility:
     (1) A description and the quantity of
   each hazardous waste received,  and the
   method(s) and date(s) of its treatment
   storage, or disposal at the facility as
   required by Appendix fc
    (2) The location of each hazardous
   waste within the facility and the
   quantity at each location. For disposal
   facilities, the location and quantity of
   each hazardous waste must be recorded
   on a map or diagram of each cell or
   disposal area. For all facilities; this
  information must include cross-
  references to specific manifest
  document numbers, if the waste was
  accompanied by a manifest
  [Comment: See 55 265.119. 285.279, and
  265.309 for related requirements.]
    (3) Records and results of waste
  analyses and trial tests performed as
  specified in 55 285.13, 285.193.265.225,
  265.252,265.273.285.345.265.375. and
  265.402:           '     .     .
 .   (4) Summary reports and details of all
  incidents that require implementing the
  contingency plan as specified in
 .§265.560):  .  ,
    (5) Records and results of inspections
  as required by 5 265.15(d) (except these
  data need be kept only three years);
    (6) Monitoring, testing, or analytical
 data where required by § 5 265.90,
 265.94. 265.276. 265.278, 265.280fd)fl).
 265.347. and 265.377; and,
 [Comment: As required by 5 265.94,.
 monitoring data at disposal facilities
 must be kept throughout the post-closure
 period.]
     (7) All closure cost estimates under
   § 265.142 and. for disposal-facilities, all
   post-closure cost estimates under
  ,§265.144.      .   -;•;

   §265.74  Availability, retention, and
   disposition of records.
     (a) All records, including plans.
  required under this Part must be
  furnished upon request and made
  available at all reasonable times for
  inspection, by any officer, employee, or
  representative of EPA who is duly
  designated by the Administrator.
    (b) The retention period for all records
  required under this Part.is extended
  automatically during the course of any
  unresolved enforcement action
  regarding the facility or as requested by
  the Administrator.
    (c) A copy of records  of waste
  disposal locations and quantities-under
  5 285.73(b)(2) must be submitted to the
  Regional Administrator  and local land
  authority upon closure of the facility   :
  (see | 265.119).
  § 265.75  Annual report
   The owner or operator must prepare
  and submit a single copy of an annual
  report to the Regional Administrator by
  March 1 of each year. The report form
  and instructions to Appendix n must be
  used for this report The annual report
  must cover facility activities during the
  previous calendar year and must include
  the following Information:
   (a) The EPA identification number. ,
 name, and address of the facility;
   {b) The calendar year covered by the
 report;
   (c) For off-site facilities, the EPA
 identification number of each hazardous
 waste generator from which the facility
 received a hazardous waste during the
 yean for imported shipments, the report
 must give the name and address of the
 foreign generator;
   (d) A description and the quantity of
 each hazardous waste the facility
 received during the year. For off-site
 facilities, this information must be listed
 by EPA identification number of each
 generator;          .
  (e) The method of treatment, storage,
 or disposal for each hazardous waste:
  (f) Monitoring data under   '
 § 265.94(a)(2)(ii) and (Hi), and (bj(2).
 where required;       "
  (g) The most recent closure cost
 estimate under  5 265.142, and. for
 disposal facilities, the  most recent post-
 closure cost estimate under § 265.144;
 and                                .
  (h) The certification signed by the
owner or operator of the facility or his
authorized representative.     •
   § 265.76 . Unmanifested waste report
     If a facility accepts for treatment.
   storage, or disposal any hazardous
   waste from an off-site source without an
   accompanying;manifest, or without an
   accompanying shipping paper as
   described in § 263.20(e)(2) of this -
   Chapter, and if the waste is pot.  • •
   excluded from the manifest requirement
   by § 281.5 of this Chapter, then the
   owner or operator must prepare and
   submit a single copy of a report to the
   Regional Administrator within 15 days
   after receiving the waste. The report
   form and instructions in Appendix II
   must be used for this report. The report
   must include the following information:
    (a) The EPA identification number,
 •  name, and address of the facility;
    (b) The1 date the facility received the
   waste;
    (c) The EPA identification number,
   name, and address of the generator and
   the transporter, if available:
    (d) A description and the quantity of
  each unmanifested hazardous  waste the
  facility received;             ,       .
    (e) The method of treatment, storage.
  or disposal for each hazardous waste:
    (f) The certification signed by the
  owner or operator of the facility or his
  authorized representative: and
    (g) A brief explanation of why the
  waste was unmanifested, if known.
  [Comment: Small quantities of
  hazardous waste are excluded from
  regulation under this Part and do not
  require a manifest. Where a facility
  receives unmanifested hazardous
.  wastes, the Agency suggests that the
  owner or operator obtain from each
  generator a certification that the waste
  qualifies for exclusion. Otherwise,  the
  Agency suggests that the owner or«
  operator file an unmanifested waste
  report for the hazardous waste   '. - '
  movement.]     '       '••.,'

  §265.77  Additional reports.
   In addition to submitting the annual
 report and unmanifested waste reports
 described in 55 285.75 and 265.76. the
 owner or operator must also report to
 the Regional Administrator.    .
   (a) Releases, fires, and explosions as
 specified in §  265.56(j);  -'..
   (b) Ground-water contamination and
 monitoring data as specified in §§ 265.93
 and 265.94; and       ,            .
   (c) Facility closure as specified in '
.5265.115. "       ,',.'•-    ,    ,

 §§265.78-265.89  [Reserved]        •    '

Subpart F—Ground-Water Monitoring

§265.90  Applicability.
   (a) Within one year after the effective
date of these regulations, the owner or

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   33240       Federal Register  / Vol.  45. .No. 98 / Monday. May 19. 1980  / Rules and Regulation
   operator of a surface impoundment,
   landfill, or land treatment facility which
   is used to manage hazardous waste
   must Implement a ground-water
   monitoring program capable of
   determining the facility's impact on the
   quality of ground  water in the
   uppermost aquifer underlying the
   facility, except as 5 265.1 and paragraph
   (c) of this Section provide otherwise..
    (fa) Except as paragraphs (c) and (d) of
   this Section provide otherwise, the
•   owner or operator must install operate,
   «nd maintain a ground-water monitoring
  system which meets the requirements of
   8 28551, and must comply with
  SS 26S.9Z-285.94. This ground-water
  monitoring program must be carried out
  during the active life of the facility, and
  for disposal facilities, during the post-
  closure care period as well.
    {c) All or part of the ground-water
  monitoring requirements of this Subpart
  may be waived if the owner or operator
  can demonstrate that there is a low
  potential for migration of hazardous
  waste or hazardous waste constituents
  from the facility via the uppermost ,
  aquifer to water supply wells (domestic.
  Industrial or agricultural) or to surface
  water. This demonstration must be in
  writing, and must be kept at the facility.
  This demonstration must be certified by
  a qualified geologist or geotechnical
  engineer and must  establish the
  following:
   (1) The potential  for migration of
 hazardous waste or hazardous waste
 constituents from the  facility to the
 uppermost aquifer,  by an evaluation of:
   U> A water balance of precipitation.
 evapotranspiration, runoff, and
 Infiltration; and
   (Si) Unsaturated zone characteristics
 (i.e., geologic materials, physical
 properties, and depth  to ground water);
 and
   (2) The potential for hazardous waste
 or hazardous waste constituents which
 enter the uppermost, aquifer to migrate
 to a water supply well or surface water.
 by an evaluation of:
   (i) Saturated zone characteristics (i.e.,
geologic materials, physical properties,
and rate of ground-water flow): and
   (ii) The proximity of the facility to
water supply wells or surface water.
   (d) If an owner or operator assumes
(or knows) that ground-water monitoring
of indicator parameters in accordance
with §§265.91 and 265.92 would show
statistically significant increases (or
decreases in the case of pH) when
evaluated under § 265.93(b), he may,
install, operate, and maintain an
alternate ground-water monitoring
system {other than the one described in
§§ 285.91 and 265.92). If the owner or
operator decides to use an alternate
  ground-water monitoring system he
  must:
    (1) Within one year after the effective
  date of these regulations, submit to the
  Regional Administrator a specific plan.
  certified by a qualified geologist or
  geotechnical engineer, which satisfies
  the requirements of § 265.93(d)(3), for an
  alternate ground-water monitoring •
  system;
    (2) Not later than one year after the
  effective date of these regulations,
  initiate the determinations specified in
  5 285.93(d)(4);  ..
    (3) Prepare and submit a written
  report in accordance with § 265.93(d)(5);
    (4) Continue to make the
  determinations specified in
  9 285.93(d)(4) on a quarterly basis until
  final closure of the facility; and
   (5) Comply with the recordkeeping
  and reporting requirements in
  § 265.94(b).

  5 265.91  Ground-water monitoring
  system. .
   (a) A ground-water monitoring system
  must be capable of yielding ground-
  water samples for analysis and must
•  consist of:
1   (1) Monitoring wells (at least one)
  installed hydraulically upgradient (i.e.,
  in the direction of increasing static
  head) from the limit of the waste
 management area. Their number,
 locations, and depths must be sufficient
 to yield ground-water samples that are:
   (i) Representative of background •
 ground-water quality in the uppermost
 aquifer near the facility; and
   (ii) Not affected by the facility; and
   (2) Monitoring wells (at ledst three)
 installed hydraulically downgradicnt
 (S.e., in the direction of decreasing static
 head) at the limit of the waste
 management area. Their number,
 locations, and depths must ensure that
 they immediately detect any statistically
 significant amounts of hazardous waste
 or hazardous waste constituents that  ,
migrate from the waste management
area to the uppermost aquifer.
  (b) Separate monitoring systems for
each waste'management component of a
facility are not required provided that
provisions for sampling upgradient and
downgradient water quality will det.ect
any discharge from the waste
•management area.
  (1) In the case of a facility consisting
of only one surface impoundment.
landfill, or land treatment area, the
waste management area is described by
the waste boundary (perimeter).
  (2) In the case of a facility consisting
of more  than one surface impoundment,
landfill  or land treatment area, the
waste management area is described by
an imaginary boundary line which ,
  circumscribes the several waste
  management components.
    (c) All monitoring wells must L
  in a manner that maintains the ii**^^,
  of the monitoring well bore hole. This
  casing must be screened or perforated.
 • and packed with gravel or sand, where
  necessary, to enable sample collection
  at depths where appropriate aquifer
  flow zones exist. The annular space (i.e..
  the space between the bore hole and
  well casing) above the sampling depth
  must be sealed with a suitable material
  (e.g., cement grout or bentonite slurry) to
  prevent contamination of samples and
  the ground water.

 5 265.92  Sampling and analysis.
    (a) The owner or operator must obtain
 and analyze samples from the installed
 ground-water monitoring system. The
 owner or operator must develop and
 follow a  ground-water sampling and
 analysis plan. He must keep this plan at
 the facility. The plan must include
 procedures and techniques for:
   (1) Sample'collection;
   (2) Sample preservation and shipment;
   (3) Analytical procedures; and
   (4) Chain of custody control.
 [Comment: See "Procedures  Manual For
 Ground-water Monitoring At Solid   ,
 Waste Disposal Facilities," EPA-530/
 SW-611. August 1977 and "Methog
 Chemical Analysis of Water and
 Wastes." EPA-600/4779-020. Marv.,^
 1979 for discussions  of sampling and
 analysis procedures.]
   (b) The owner or operator must
 determine the concentration or value of
 the following parameters in ground-
 water samples in accordance with
 paragraphs (c) and (d) of this section:
   (1) Parameters characterizing the
 suitability of the ground water as a
 drinking water supply, as specified in
 Appendix HI.
   (2) Parameters establishing ground-
 water quality:                  /•
   (i) Chloride
   (ii) Iron               .
   (iii) Manganese
   (iv) Phenols
  (v) Sodium
  (yi)Sulfate  •               ..
 [Comment: These parameters are to be
 used as a basis for comparison in the
 event a ground-water quality
 assessment is required under "
 §265.93(d}.]
  (3) Parameters used as indicators of
ground-water contamination:
  (i)pH
  (ii) Specific Conductance
  (iii) Total Organic Carbon
  (iv) Total Organic Halogen
  (c)(l)Tor all monitoring wells, „,
owner or operator must establish ii

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                Federal Register / Vol. 4S. No. 98-/ Monday. May 19. 198O / Rules and Regu/afions  '     33241
   background concentrations or values of
   all parameters specified in paragraph (b)
   of this Section. He must do this
   quarterly for one year.
     (2) For each of the indicator
   parameters specified in paragraph (b)(3)
   of this Section, at least four replicate
   measurements must be obtained for
   each sample and the initial background
   arithmetic mean and variance must be  '
.   determined by pooling the replicate
   measurements for the. respective
 .  parameter concentrations or values in
   samples obtained from upgradient wells
   during the first year.
     (d) After the first year, all monitoring
   well* must be sampled and the samples
,   analyzed with the following frequencies:
     (1) Samples collected to establish
   ground-water quality must be obtained
   and analyzed for the parameters
   specified in paragraph (b)(2) of this
   Section at least annually.
    (2) Samples collected to indicate
  ground-water contamination must be
  obtained and analyzed for the
  parameters specified in paragraph (b)(3)
  of this Section at least semi-annually.
    (e) Elevation of the ground-water  •
  surface at each monitoring well must be
  determined each time, a sample, is
  obtained.  '•   ,

"5 265.93  Preparation, evaluation, «nd
  response.
    (a) Within one year after the effective
  date of these regulations, the owner or
, operator must prepare an outline of a
 ground-water quality assessment
 program. The outline must describe a
 more comprehensive ground-water
 monitoring program (than that described
 in §§265.91 and 285.92) capable of  .
 determining*
   (1) Whether hazardous waste or
 hazardous waste constituents have
 entered the ground water
   (2) The rate and extent of migration of
 hazardous waste or hazardous waste
 constituents in the ground water and
   (3) The concentrations of hazardous
 waste or hazardous waste constituents
in the ground water.
   (b) For each indicator parameter
specified in § 265.92(b){3).-the owner or
operator must calculate the arithmetic
mean and variance, based on at least
four replicate measurements on each
sample, for each well monitored in
accordance with § 285.92(d)(2). and
compare these results with its initial
background arithmetic mean. The
comparison must consider individually
each of the wells in the monitoring
system, and must use the Student's t-test
at the 0.01 level of significance (see
Appendix IV) to determine statistically
significant increases (and decreases, in
the case of pH) over initial background.
     (c)(l) If the comparisons for the
   upgradient wells made under paragraph
   (b) of this Section show a significant
   increase (or pH decreases), the owner or
   operator must submit this information in
   accordance with § 265.94(a)(2)(ii).
     (2) If the comparisons for
   downgradient wells made under
   paragraph (b) of this Section show a
   significant increase (or pH decrease).
   the pwriefor operator must then
   immediately obtain additional ground-
   water samples from those downgradient
   wells where a significant difference was
   detected, split the samples in two, and -
   obtain analyses of all additional
   samples to determine whether the
   significant difference was a result of
   laboratory error.•  •• •'•  •   .
    (d)(l) If the analyses performed udder
   paragraph (c)(2) of this Section co'nfirm
   the significant increase (or pH   ' •
   decrease), the owner  or operator must
   provide written notice to the Regional
  Administrator—within seven days of the
  date of such confirmation—that the
  facility may be affecting ground-water '
  quality.
    (2) Within 15 days after the
  notification under paragraph (d)(l) of
-  this Section, the owner or operator must
  develop and submit to the Regional
  Administrator a specific plan, based on .
  the outline'required under paragraph (a) ,'
  of this Section and certified by a
  qualified geologist or geotechnical
  engineer, for a ground-water quality
  assessment program at the facility.
   (3) The plan to be submitted under
  § 265.90(d)(l) or paragraph (d)(2) of this
  Section must specify:   ,
   (i) The number, location, and depth of
  wells;
   (ii) Sampling and analytical methods
  for those hazardous-wastes or"       •
  hazardous waste constituents in the
  facility;  •
   (Hi) Evaluation procedures, including
  any use of previously-gathered ground-
  water quality information: and
   (iv) A schedule of implementation.
   (4) The owner or operator must
 implement the ground-water quality
 assessment plan  which satisfies the
 requirements of paragraph (d)(3) of this
 Section, and, at a minimum, determine:
   (i) The rate and extent of migration of
 the hazardous waste or hazardous
 waste constituents in, the ground water;
 and
   (ii) The concentrations of the
 hazardous waste or hazardous waste
 constituents in the ground water.
   (5) The owner or operator must make  •
his first determination.under paragraph
(d)(4) of this Section as soon as
technically feasible, and, within 15 days
after that determiriation..submit to the
Regional Administrator a written report
   containing an assessment of the ground-
   water quality.
     (6) If the owners or operator
   determines, based on the results of the
   first determination under-paragraph
   (d)(4) of this Section, that no hazardous
,   waste or .hazardous waste constituents "
   from,the facility have entered the
   ground water, then he may reinstate the
   indicator evaluation program described'
.   in § 265.92 and paragraph (b) of this
   Section. If the owner or operator
   reinstates the indicator evaluation
   program, he must so notify the Regional
   Administrator in the report submitted
   under paragraph (d)(5) of this Section.
    (7) If the owner or operator
   determines, based on the first ,
   determination under paragraph (d)(4) of
   this Section, that hazardous waste or
   hazardous waste constituents from the
,   facility have entered the ground water,
  .then he:                        ' •
    (i) Must  continue to make  the
  determinations required under
  paragraph (d)(4) of this Section on a
  quarterly basis until final closure of the
  facility, if the ground-water quality
  assessment plan was implemented prior
  to final closure of the facility; or
    (ii) May cease to make the
  determinations required under   .    ,
  paragraph  (d)(4) of this Section; if the
  ground-water quality assessment plan
  was implemented during the post-
  closure care period.
   (e) Notwithstanding any other
  provision of this Subpart, any ground-
  water  quality assessment to satisfy the
  requirements of § 285.93(d)(4) which is
  initiated prior to final closure of the
  facility must be completed and reported
  in accordance with § 265.93(d)(5).
   (f) Unless the ground water is
  monitored to satisfy the requirements of
  §265.93(d)(4). at least annually.the
  owner,or operator must evaluate the
  data on ground-water surface elevations
  obtained, under § 265.92(e) to determine
 whether the requirements under
  § 265.91(a) for locating the monitoring
 wells continues to be satisfied. If the
 evaluation shows that § 265.91(a) is  no
longer satisfied, the owner or operator
must immediately modify the number,
location, or  depth of the monitoring
wells to bring the ground-water
monitoring system into compliance with
this requirement.

§ 265.94 Recordkeeplng and reporting.
   (a) Unless the ground water is
monitored to satisfy the requirements of
§ 265.93(d)(4); the owner or operator
must:
   (1) Keep records of the analyses
required in § 265.92(c) and (d), the
associated ground-water surface
elevations required in § 265.92(e), and

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   •33242       Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 /'Rules and Regulations
    the evaluations required in § 265.93(b)
  • throughout the active, life of the facility,
    'and, for disposal facilities, throughout
    the post-closure care period as well: and
     (2) Report the following ground-water
    monitoring information to the Regional
    Administrator
     (i) During the first year when initial
    background concentrations are being
    established for the facility:    • ^
    concentrations or values of the
   parameters listed in § 285.92(b)(l) for
   each ground-water monitoring well •
   within IS days after'completing each •
   quarterly analysis. The owner or
   operator must separately identify for
   each monitoring well any  parameters
   whose concentration or value has been
   found to exceed the maximum     t
   contaminant levels listed in Appendix
   JIL                             •
     (ii) Annually: concentrations or values
   of the parameters listed in § 265.92(b)(3)
   for each ground-water monitoring well,
   along with the required evaluations for
   these parameters under 5 265.93(b). The
  owner or operator must separately
  identify any significant differences  from'
  initial background found in the
  upgradient wells, in accordance with
  § 285.93(c)(l). During the active life  of
  the facility, this information must be
  submitted as part of th.e annual report
  required under 5  265.75.
    (Hi) As a part of the annual report
  required under. 1265.75: results of the
  evaluation of ground-water surface
  elevations under § 285.93(if). and a
  description of the response to that
  evaluation, where applicable.
    (b) If the ground water is monitored to
  satisfy the requirements of
  3 265.93(d)(4), the owner or operator
  must;
    (1) Keep records of the analyses and
  evaluations specified in the plan, which
  satisfies the requirements of
  § 285.93(d)(3), throughout the active  life
  of the facility, and, for disposal
• facilities, throughout the post-closure
  care period as welt and
    (2) Annually, until final closure of the
  facility, submit to the Regional
  Administrator a report containing the
  results of his ground-water  quality
  assessment program which includes-, but
  is not limited to, the calculated (or.
  measured) rate of migration of
  hazardous waste or hazardous  waste
  constituents in the ground water during
  the reporting period. This report must be
 submitted as part of the annual report
 required under § 265.75.
   §§265.95-265.109 [Reserved]

   Subpart G—Closure and Post-Closure

   §265.110  Applicability.
     Except as § 265.1 provides otherwise:
     (a) Sections 265.111-265.115 (which
   concern closure) apply to the owners
   and operators of all hazardous waste
   facilities; and
     (b) Sections 265.117-265.120 (which
   concenrpost-closure care) apply to the
   owners and operators of all disposal
   facilities.

   5 285.111 Closure performance standard.
    The owner or operator must close his
  facility in a manner that: (a) minimizes  '
  the need for further maintenance, and
  (b) controls, minimizes or eliminates, to
  the extent necessary to protect human
  health and the environment, post-
  closure escape of hazardous waste,
  hazardous waste constituents, leachate,
  contaminated rainfall,  or waste
  decomposition products to  the ground
  water, or surface waters, or to the.  '•
  atmosphere.

  {265.112 Oo*ufe plan; amendment of
  plan.
   (a) tin the effective date of these
  regulations, the owner  or operator must
  have a written closure  plan. He must
  keep this plan at the facility. This plan
  must identify the steps necessary to
  completely close the facility at any point
  during its intended life  and  at the end of
  its intended life. The closure plan must'.
  include, at least:
   (1) A description of how and when the
  facility will be partially closed, if
.  applicable, and ultimately closed. The
  description must identify the maximum
  extent of the operation  which will be be
  unclosed during the life of the facility,
  and how the requirements of § 285.111
  and the applicable closure requirements
 of §5 265.197, 285.228. 285.280. 265.310.
 265.351,265.381. and 265.404 will be met;
   (2) An  estimate of the maximum
 inventory of wastes in storage or in
 treatment at any given time  during the
 life  of the facility;
   (3) A description of the steps needed
 to decontaminate facility equipment
 during closure; and
   (4) A schedule for final closure which
 must include, as a minimum, the
 anticipated date when wastes will no
 longer be received, the date  when
 completion of final closure is
 anticipated, and intervening milestone
 dates which will allow tracking of the
 progress of'closure. (For example, the
 expected date for completing treatment
 or disposal of waste inventory must be
 included, as must the planned date for
 removing any residual wastes from
 , storage facilities and treatment
  processes.)
    (b) The owner or operator mal
  his closure plan at any time durir.0 .„„
  active life of the facility. (The active life
  of the facility is that period during which
  wastes are periodically received.) The
 • owner or operator must amend his plan
  any time changes in operating plans or
  facility design affect the closure plan.
    (c) The owner or operator must submit
  his closure plan to the Regional
  Administrator at least 180 days before
  the date he expects to begin closure. The
  Regional Administrator will modify,
  approve, or disapprove the plan within
  90 days of receipt and after providing
  the owner or operator and the affected
  public (through a newspaper notice) the
•  opportunity to submit written comments.
  If an owner or operator plans to begin
  closure within 180 days after the
  effective date of these regulations, he
  must  submit the necessany plans on the
 effective date of these regulations.

 §265.113  Time allowed for closure.
    (a) Within 90 days after receiving the
 final volume of hazardous wastes, the
 owner or operator must treat all
 hazardous wastes in storage or in  •
 treatment, or remove them from the site,
 or dispose of them on-si.le, in
 accordance with the approved c\
 plan.  .
   (b) The owner or operator must
 complete closure activities in
 accordance with the approved closure
 plan and within six months  after
 receiving the final volume of wastes.
 The Regional Administrator may
 approve a longer closure period under
 5 265.112(c) if the owner or operator can
 demonstrate that: (1) the required or
 planned closure activities will, of
 necessity, take him longer than six
 months to complete, and (2) that he has
 taken all steps to eliminate any
 significant threat to human health and
 the environment from the unclosed but
 inactive facility.

 § 265.114  Disposal or decontamination of
 equipment
  When closure is completed, all facility
 equipment and structures must have
 been properly disposed of, or
 decontaminated by removing all
 hazardous waste and residues.

 §265.115  Certification of closure.
  When closure is completed, the owner,
 or operator must submit to the Regional
Administrator certification both by the
owner or operator and by an
independent registered professior
engineer that the facility has bee '
closed in accordance with the

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               Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Rules and Regulations        33243
   specifications in the approved closure
   plan.

   §265.116  [Reserved]   ...

   §265.117  Post-closure care and use of
   property; period of care.        -
    (a) Post-closure care must consist-of at
   least:
    (1) Ground-water monitoring and.
   reporting in accordance with the
  requirements of Subpart F; and
    (2) Maintenance of monitoring and
  waste containment systems as specified
  In JS 265^1.285JZ23, 235.228, 265.280,
  and 285.310. where applicable.
    (b) The Regional Administrator may
  require maintenance of any or all of the
  security requirements of § 265.14 during
  the post-closure period, when:
   • (1) Wastes may remain exposed after
  completion of closure; or
    (2) Short term, incidental access by
  the public or domestic livestock may
  pose.a hazard to human health.
    (c) Post-closure use of property on or
  in which hazardous waste remains after
  closure must never be allowed to disturb
  the integrity of the final cover, linens},
  or any other components of any     •
  containment system, or the function of
  the facility's monitoring systems, unless
  the owner or operator can demonstrate
  to the Regional Administrator, either in
  the post-closure plan or by petition, that
 .the disturbance:
   (1)  Is necessary to the proposed use of
  the property., and will not increase the
  potential hazard to human health or the
  environment; or         •
  . (2) Is necessary to reduce a threat to
  human health or the environment
   (d) The owner or operator of a
  disposal facility must provide post-
  closure care in. accprdance with the
  approved post-closure plan for at least
  30 years after the date of completing
  closure. However, the owner or operator
  may petition the Regional Administrator
  to allow some or all of the requirements
  for post-closure cdre to  be discontinued
  or altered before the end of the 30-yeaf
• period. The petition must include
.  evidence, demonstrating the secure
 nature of the facility that makes
 continuing the specified post-closure
 requirement(s) unnecessaryT-eig., no
 detected leaks and none likely to occur,
 characteristics of the waste, application
 of advanced technology, or alternative
 disposal, treatment, or re-use
 techniques. Alternately, the Regional
 Administrator may require the owner or
 operator to continue one or more of the
 post-closure care and maintenance
 requirements contained in the facility's
 post-closure plan for a specified period
 of time. The Regional Administrator
 may do this if he finds there has been
 •npncompliance with any applicable
 standards or requirements, or that such
 continuation is necessary to protect
 human health of the environment. At the
 end of the specified period of time, the
 Regional Administrator will determine
 whether to continue or terminate post-
 closure care and maintenance at the
 facility. Anyone' (a member of the public
 as well as the owner or operator) may
 petition the Regional Administrator for
 an extension or reduction of the post-
 closure care period based o.n'cause.
 These petitions will be .considered by
 the Regional Administrator at the time
 the post-closure plan is submitted and at
 five-year intervals after the completion
 of closure.

 § 265.11t Post-ciosura plan; amendment
 of plan.  .                   •
   (a) On the effective date of these
 regulations, the owner or operator of a
 disposal facility must have a written
 post-closure plan. He must keep this      .
 plan at the facility. This plan must
 identify the activities which will be
 carried on after final closure and the
 frequency of those activities. The post-
 closure plan must include at least:
   (1) Ground-water morfitoring activities
 and frequencies as specified in Subpart
 F for the post-closure period; and
   (2) Maintenance activities and
 frequencies to .ensure: (1) the integrity of
 the cap and'final cover or other
 containment structures as specified in
 55 265.223. 265.228, 265.280. and 265.310.   =-
 where applicable, and (2) the function of
 the facility's monitoring equipment as
 specified in 5 265.91.
  (b) The owner or operator may amend
 his post-closure plan at any time during
 the active life of the disposal facility or
 during the post-closure care period. The
 owner or operator must amend his plan
 any  time changes in operating plans or
 facilities design affect his post-closure
 plan.                ;              .
  (c) The owner or operator of a
 disposal facility must submit his post-
 closure plan to the Regional
 Administrator at least 180 days before
 the date he expects to begin closure. The
 Regional Administrator will modify or
 approve the plan within 90 days of    *
 receipt and after providing the owner or
 operator .and the affected public
 (through a newspaper notice) the
 opportunity to submit written comments.
The plan may be modified to include
 security equipment maintenance under
 § 265.117(b). If an owner or operator of a
disposal facility plans to begin closure ..
within 180 days after the effective date
of these regulations, he must submit the
necessary plans on the effective date of
these regulations. Any amendments to
the plan under paragraph (b) of this
  Section which occur after approval of
  the plan must also be approved by the',
  Regional Administrator before they may
  be implemented.

  § 265.119  Notice to local land authority.
    Within 90 days after closure is
  completed,  the owner or operator of a
  disposal facility must submit to the local
  land authority and to.the Regional
  Administrator a survey plat indicating
  the location arid dimensions of landfill
  cells or other disposal areas with  .
 • respect to permanently surveyed      .
.  benchmarks. This plat must be prepared
  and certified by a professional land
  surveyor. The plat filed with the local
  land authority must contain a note,
  prominently displayed, which states the
  owner's or operator's obligation to
  restrict disturbance of the'site as
  specified in § 265.117(c). In addition, the
  owner or operator must submit to the
  Regional Administrator and to the local
  land authority a record of the type.
  location, and quantity of hazardous
%  wastes disposed'of within each cell or
  area,of the facility. For wastes disposed
  of before these regulations~were
  promulgated, the owner or operator
. must, identify the type, loca Uon, and
  quantity of the wastes to the best of his
  knowledge and in accordance with any
  records he has kept.

  5 265.120 Notice In deed to property.
   The owner of the property on which a
  disposal facility is located must record,
  in accordance  with State law, .a notation
  on the deed  to the facility property—or
  on some other  instrument .which is
  normally examined during title search~
  that will in perpetuity notify any.
 potential.purchaser of the property thai:
  (1) the land has been used to manage
 hazardous waste, and (2) its use is
 restricted under § 265.117(c).

 §§265.121-265.139 [Reserved]

 Subpart H—Financial Requirements

 §265.140 Applicability.
   (a) Section 265.142 applies to owners
 and operators of all hazardous waste
 facilities, except as this Section or
 § 265.1 provide otherwise.
   (b) Section 265.144 applies only to
 owners and operators of disposal
 facilities.
   (c) States and the Federal  government
 are exempt from the requirements of this
 Subpart.

§265.141  [Reserved]

§265.142  Cost  estimate for facility
closure.        •.             -,
   (a) On the  effective date of these
regulations, each facility owner or

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   33244       Federal Register / Vol.  45, No. 98 / Monday. May 19, 1980 / Rules and Regulations
   operator must have a written estimate of
   the cost of closing the facility in
   accordance with the requirements in
   §§ 285.lll-26S.ia5 and applicable
   closure requirements in § §265.197,
   285.228.285.280.265.310. 265.351, 285.381.
   and 285.404. The owner or operator must
   keep this estimate, and all subsequent
   estimates required in this Section, at the
   facility. The estimate must equal the
   cost of closure at the point in the
  facility'* operating life when the extent
  and manner of it* operation would make
  closure the most expensive, as indicated
  by its closure plan (see § 2B5.112f.aJ).
  [Comment: For example, the closure cost
  estimate for a particular landfill-may be
  for the cost of closure when its active
  disposal operations extend over 20
  acres, if at all other times these
  operations extend over less than 20
  acres. The estimate would not include
  wsts of partial, closures that the closure
  plan schedules before or after the time
  of maximum closure cost.]
    (b) The owner or operator must
  prepare a new closure cost estimate
  whenever a change in the closure plan
  affects the cost of closure.
    (c) On each anniversary of the
  effective date of these regulations, the
  owner or operator must adjust the latest
  closure cost estimate using an inflation
  factor derived from the annual Implicit
  Price Deflator for Gross National
  Product as published by the U.S.
 Department of Commerce in its Survey
 of Current Business. The inflation factor
 must be calculated by dividing the latest '
 published annual Deflator by the
 Deflator for the previous year. The result
 is the Inflation factor. The adjusted
 closure cost estimate must equal the
 latest closure cost estimate (see
 paragraph (b) of this Section) times the
 inflation factor.
 [Comment: The following is a sample
 calculation of the adjusted closure cost
 estimate: Assume that the latest closure
 cost estimate for a facility is $50,000, the
 latest published annual Deflator is
 252.05, and the annual'Deflator for.the
 previous year is 141.70. The Deflators
 may be rounded to the nearest whole
 number. Dividing 152 by 142 gives the
 inflation factor. 1.07. Multiply $50.000 by
 1.07 for a product of $53,500—the
 adjusted closure cost estimate.]
 5265.143   [Reserved]

 § 265.144   Cost estimate for post-closure
 monitoring and maintenance.
   (a) On the effective date of these
 regulations,, the owner or operator of a
 disposal facility must have a written
estimate of the annual cost of post-
closure monitoring and maintenance of
the facility in accordance with the
  applicable post-closure regulations in
  5 §265.117-285.120. 285.228, 265.280. and
 • 265.310. The owner or operator must
  keep this estimate, and all subsequent
  estimates required in this Section, at  the
  facility.
  '  (b) The owner or operator must
  prepare a new annual post-closure cost
  estimate whenever a change in the post-
  closure plan affects the cost of post-
  closure care (see $ 285.118(b)). The
  latest post-closure cost estimate is
  calculated by multiplying the latest
  annual post-closure cost estimate by 30.
    (c) On each anniversary of the
  effective date of these regulations.
  during the operating life of the  facility,
  the owner or operator must adjust the
  latest post-closure cost estimate using
  the inflation factor calculated in
  accordance with j 285.142(c). The
  adjusted post-closure cost estimate must
  equal the latest post-closure cost
  estimate (see paragraph (b) of this
  Section]  times the inflation factor.

  §5 2es.145-265.169  [R«s«fved]

 Subpart I—Use and Management of
 Containers

 f 265.170   Applicability!
   The regulations in this Subpart apply
 to owners and operators of all
 hazardous waste facilities that  store
, containers of hazardous waste,  except
 as S 285.1 provides otherwise.

 §285.171  Condition of container*.
   If a container holding hazardous
 waste is not in good condition, or if it
 begins to leak, the owner or operator
 must transfer the hazardous waste from
 this container to a container that is in
 good condition, or manage the waste in
 some other way that complies with the
 requirements of this Part.

 § 265.172  Compatibility of waste  with
 container.
  The owner or operator must use a
 container made of or lined with
 materials  which will not react with, and
 are otherwise compatible with, the
 hazardous waste to be stored, so that
 the ability of the container to contain
 the waste is not impaired.

 §265.173  Management of containers.
  (a) A container holding hazardous
waste must always be closed during
storage, except when it is necessary to
add or remove waste.
  (b) A container-holding hazardous
waste must not be opened, handled, or
stored in a manner which may rupture
the container or cauee it to leak.
[Comment: A container that is a
hazardous waste listed in § 261.33 of
this Chapter must be managed in
  compliance with the regulations o|
  Part. Re-use of containers in
  transportation is governed by U.f
  Department of Transportation
  regulations, including those set forth in
  49 CFR 173.28.]

  §265.174 Inspections.
    The owner or operator must inspect
  areas where containers are stored, at
  least weekly, looking for leaks and for
  deterioration caused by corrosion or
  other factors.
  [Comment: See § 285.171 for remedial
  action required if deterioration or leaks
  are detected.]

  §265.175  (Reserved]

  §265.176  Special requirements for
  Ignitable or reactive waste.
    Containers holding ignitable or
  reactive waste must be located at least
  15 meters (50 feet) from the facility's
  property line.
  [Comment: See § 265,17{a) for additional
  requirements.]

  § 285.177  Special requirements for
  Incompatible wastes.
    (a) Incompatible wastes, or
  incompatible wastes and materials, (see
  Appendix V for examples) must n  ~
  placed in the same container, unlj
  § 265.17(b) is complied with.
   (b) Hazardous  waste must not be
 placed in an unwashed container that
 previously held an incompatible waste
 or  material (see Appendix V for
 examples), unless § 2B5.17(b) is
 complied with.
  (c) A storage container holding a
 hazardous waste that is incompatible
 with any waste or other materials stored
 nearby in other containers, piles, open
 tanks, or surface impoundments must be
 separated from the other materials or
 protected from them by means of a dike,
 berm, wall, or other* device.
 [Comment: The purpose of this is to
 prevent fires, explosions, gaseous
•emissions, leaching, or other discharge
 of hazardous waste or hazardous waste
 coristitutuents which could result from
 the mixing of incompatible wastes or
 materials if containers break or leak.]

 §265.178-265.18?  [Reserved]

Subpart J—Tanks

§ 265.190  Applicability.
  The regulations in this Subpart apply
to owners and operators of faciliti
use tanks to treat or store hazard
waste, except as § 265.1 provides
otherwise.

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               Federal Register / Vol. 45. No. 98 / Monday. May m tgso /Rules and  Regulations
                                 3324?
  § 265.191  [Reserved]

  § 265.192  General operating
  requirements. '  _
    (a) Treatment or storage of hazardous
  waste in tanks must comply with
•_ § 265.17(b).               ,
    {b) Hazardous wastes or treatment
  reagents must not be placed in a tank if
  they could cause the tank or its inner
1 liner to rupture, leak, corrode, or
  otherwise fail before the end of its
  intended life.
    (c) Uncovered tanks must be operated
  to ensure at least 60 centimeters (2 feet) '
  of freeboard, unless the tank is equipped
  with a containment structure (e.g.. dike
  or trench), a drainage control system, or
  a diversion structure (e.g., standby tank)
  with a capacity that equals or exceeds
  the volume of the top 60 centimeters (2  '
  feet) of the tank.   -  .     ,   .  > '   ,
    (d) Where hazardous Waste' is
  continuously fed into a'tank. the tank
  must be equipped with a means to stop
  this inflow (e.g., a waste feed cutoff
  system or by-pass system to a stand-by
  tank),      ,    , •         .       ;
  [Comment: These systems are intended
  to  be used in the event of a leak or
  overflow from the tank due to a system
 failure (e.g., a malfunction in the
 treatment process, a crack in the tank,
 etc.).!-

 52651193  Waste analysis and trial test*. .
  (a) In addition to the waste analysis
 required by 5  265.13, whenever a tank is
 to be used to:              .      •
  (1) Chemically treat or store a  .
hazardous waste which is substantially
different from waste previously treated
or stored in  that tank; or
  (2) Chemically treat hazardous waste
with a substantially'different process
than any previously used in that tank:
the owner or operator must, before
treating or storing the  different waste or
using the different process:
  (i) Conduct waste analyses and trial
treatment or storage tests (e.g.. bench
scale or pilot plant scale tests); or
  (5i) Obtain written, documented •
information on similar storage or   '
treatment of similar waste under similar
operating conditions;
to show that this proposed treatment or
storage will meet all applicable
requirements of § 265.192(a) and (b).  -
[Comment: As required by 5 265.13, the
.waste analysis plan must include
analyses needed to comply with
§ § 265.198 and 265.199. As required by
§ 265.73, the owner or operator must
place the results from each waste
analysis and trial test,  or the
documented information, in the
operating record of the facility.]
   §265.194 Inspections..
     (a) The owner or operator of a tank
   must inspect, where present:
     (1) Discharge control equipment (e4g.,
   waste feed cut-off systems, by-pass
   systems, and drainage systemsf, at least
   once each operating day. to ensure that
   it is in good working order:
     (2) Data gathered from monitoring
   equipment (e.g., pressure and
   temperature gauges), at least once each
   operating day. to ensure that the tank is
   being operated according to its design;
     (3) the level of waste in the tank, at
   least once each opera ting* day,  to ensure
   compliance with § 26S.192(c);
     (4) The construction materials of the .
   tank, at least weekly, to detect corrosion
   or leaking^of fixtures or seams: and
     (5) The construction materials of. and
  .the'area immediately surrounding.
   discharge confinement structures (e.g.,
   dikes), at least Weekly, to detect erosion
   or obvious signs of leakage (e.g.. wet
   spots'or dead vegetation).    '
   [Comment: As required by § 265.15(c).
  the owner or operator must remedy any'
  deterioration or malfunction he finds.]

  55 265.19S-265.196 [Reserved]
  5285.197
    At closure, all hazardous waste and
  hazardous waste residues must be
  removed from tanks, discharge control
  equipment, and discharge confinement
  structures.  ••
  [Comment: At closure, as throughput the
  operating period, unless the owner or
  operator can demonstrate, in
  accordance with 5 261.3(c) or (d) of this
  Chapter, that any solid waste removed
  from his tank is not a hazardous waste,
  the owner or operator becomes a
  generator of hazardous waste and must
  manage it in accordance with all
  applicable requirements of Parts 262.
.  263. and 265 of this Chapter.]

  5265.198  Special requirements for
  ignitable or reactive waste.
   (a) Ignitable or reactive waste must
  not be placed iri a tank, unless:
   (1) The waste is treated, rendered, or
  mixed before or immediately after
  placement in the tank so that (i) the
  resulting waste, mixture, or dissolution
  of material no longer meets the
  definition of ignitable or reactive waste
 under § § 261.21 or 261.23 of this
 Chapter, and (ii) § 265.17(b) is  complied
 with; or                 •..'••;
   (2) The waste is stored or treated in
 such a way that it is protected from any
 material or conditions which may cause
 the waste.to ignite or react; or    ~ •
   (3) The tank is used solely for
' emergencies.
     (b) The owner or operator of a facility
   which treats or stores ignitable or  •
   reactive waste in covered tanks 'must
   comply with the National Fire Protection
   Association's (NFPA's) buffer zone     •
   requirements for tanks, contained in
   Tables 2-1 through 2-6 of the
   "Flammable and Combustible Code—
   1977".
   [Comment-See § 265.17(a) for additional
   requirements.]

   § 265.199  Special requirements for
   Incompatible wastes.              •
    (a) Incompatible wastes, or
   incompatible wastes'and materials, (see
   Appendix V for examples] must not be
   placed iri the same tank, unless
   § 265.17(b] is complied with.
    (b) Hazardous waste must not be
   placed in an unwashed tank which
   previously held an incompatible waste
   or material, unless § 265.17{b) is
   complied with.

,  §5265.200-265.219   [ Reserved J ,         '

 •Subpart K—Surface Impoundments

  §265.220  Applicability.
    The regulations in this  Subpart apply
  to owners and operators  of facilities that,
  use surface impoundments to treat.
  store, or dispose o.f hazardous waste.
  except .as § 265.1 provides otherwise.

  § 265.221  [Reserved!                   ;

  5 265.222  General operating
  requirements.            • ,
   A surface .impoundment must
  maintain  enough freeboard to prevent
  any overtopping of the dike by
  overfilling, wave action, or a alarm.
 There must be at least 60 centimeters (2
 feet) of freeboard.
 [Comment: Any point source discharge
 from a surface impoundment to waters
 of the United States is subject to the
 requirements of Section 402 of the Clean
 Water Act, as amended. Spills may be
 subject to Section 311 of that Act.]

 §265.223  Containment system.
   All earthen dikes-must have a
 protective cover, such as grass, shale, or
 rock, to minimize'wind and water
. erosion and to preserve 'their structural
 integrity.   ._.-.'.   '

 §265,224  [Reservedl

 § 265.225   Waste analysis and trial tests.
   (a) In addition to the waste analyses  •
 required by § 265.13, whenever a surface
 impoundment is to be used to:
   (1) Chemically treat a hazardous
 waste which is substantially different
 from waste previously treated in that
 impoundment; or       .

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    33246
Federal Register / Vol. 45. No. 98 /  Monday. May 19.  1980 / Rules and  Regulations
      (2) Chemically treat hazardous waste
    with a substantially different process
    than any previously used in that
    impoundment; the owner or operator
    must, before treating the different waste
    or using the different process:
      (i) Conduct waste analyses and trial
    treatment tests (e.g., bench scale or pilot
    plant scale teats); or
      (ii) Obtain written, documented
    information on similar treatment of
    similar waste under similar operating
    condition*; to show that this treatment
,   Will comply with § 285.17(b).
    {Comment: As required by 5 285.13. the
   waste analysis plan must include
   analyses needed to comply with
   § I 285.229 and 285.230. As required by
   § 285.73, the owner or operator must
   place the results from each waste
  . analysis and trial test, or the
   documented information, in the
   operating record of the facility.]

   5 265.228  Inspections.
  ' fa) The owner.or operator must
   inspect:
    (1) The freeboard level at least once "
   each operating day to ensure
   compliance with J 285.222. and
    {2} The surface impoundment.
   Including dikes and vegetation
   surrounding the dike, at least once a
   week to detect any leaks, deterioration,
   or failures in the impoundment.
   [Comment: As required by 5 285.15(c),
   the owner or operator must remedy any
  deterioration or malfunction he finds.]
  S26&227  [Reserved]

  5 26&22S  Closure and post-closure.
    (a) At closure, the  owner or operator
  may elect to remove from the
  impoundment:
    (1) Standing liquids;
    (2) Waste and waste residues:
    (3) The liner, if any; and
    (4) Underlying and surrounding
  contaminated soil.
    (b) Jf the owner or operator removes
  all the impoundment materials in  '
  paragraph (a) of this Section, or can ,
  demonstrate under 5 281.3(c) and (d) of
  this  Chapter that none of the materials
  listed in paragraph (a) of this Section
  remaining at any stage of removalare
  hazardous wastes, the impoundment is
  not further subject  to the requirements
  of this Part.
  [Comment: At closure, as throughout the
  operating period, unless the'owner or
  operator can demonstrate, in      ,   '
  accordance with § 261.3 (c) or (dj  of this
  Chapter, that any solid waste removed
  from the surface impoundment is not a
 hazardous waste, he becomes a
 generator of hazardous waste and must
 manage it in accordance with all
                          applicable requirements of Parts 262.
                          263. and 265 of this Chapter. The surface
                          impoundment 'may 'be subject to Part 257
                          of this Chapter even if it is not subject to
                          this Part]
                            (c) If the owner or operator does not
                          remove all the impoundment materials
                          in paragraph (a) of this Section, or does
                          not make the demonstration in
                          paragraph (b) of this Section, he must
                          close the impoundment and provide
                          post-closure care as for a landfill under
                          Subpart G and 9 285.310. If necessary to
                          support the final cover specified in the
                          approved closure plan, the owner or
                          operator must treat remaining liquids,
                         residues, and soils by removal of liquids.
                         drying, or other means.
                         [Comment: The closure requirements
                         urjder 5 285.310 will vary with the
                         amount and nature of the residue
                         remaining, if any. and the degree of
                         contamination of the underlying and
                         surrounding soiL Section 285.117(d)
                         allows the Regional Administrator to
                         vary post-closure care requirements.]

                         S 28&229  Special requirements for
                         (gnttabte or rwctfv* wast*.
                          (a) Ignitable or reactive waste must
                         not be placed in a surface impoundment,
                         unless:
                          (1) The waste is treated, rendered, or
                         mixed before or immediately after
                         placement in the impoundment so that
                         (i) the resulting waste, mixture, or
                         dissolution of material no longer meets '
                         the definition of ignitable or reactive
                         waste under i § 281.21 or 281.23 of this
                         Chapter, and (ii) 5 285.17(b) is complied
                         with; or
                          (2) The surface impoundment is used
                        solely for emergencies.

                        526&230 Special requirements for
                        Incompatible wastes.
                          Incompatible wastes, or incompatible
                        wastes and materials, (see Appendix V
                        for examples) must not be placed in the
                        same surface impoundment, unless
                        5 265.17(b) is complied with.

                        5§ 2C5.231-265.249  [Reserved]

                        Subpart L—Waste Piles

                        §265.250  Applicability.
                          The regulations in this Subpart apply
                        to owners and operators of facilities that
                        treat or store hazardous waste in piles.
                        except as § 265.1 provides otherwise.
                        Alternatively, a pile of hazardous waste
                        may be managed as a landfill under
                        Subpart N.

                        § 265.251 Protection from wind.
                          The owner or operator pf a pile
                        containing hazardous waste which could
                        be subject to dispersal by wind must
  cover or otherwise manage the pi
  that wind dispersal is controlle ""
  § 265.252  Waste analysis.
    In addition to the waste analyses
  required by § 265.13. the owner or
  operator must analyze a representative
  sample of waste from each incoming
  movement before adding the waste to  •
  any existing pile, unless (1) the only
  wastes the facility receives which are
  amenable to piling are compatible with
  each other, or (2) the waste received is
  compatible with the waste in the pile to
  which it is to be added. The analysis
  conducted must be capable of
  differentiating between the types of
  hazardous waste the owner or operator
  places in piles, so that mixing of
  incompatible waste does not
  inadvertently occur. The analysis must
  include a visual comparison of color and
  texture.
  [Comment: As required by § 265.13. the
  waste analysis 'plan must include
  analyses needed to comply with
  §§ 285.258 and 285.257. As required fay
  § 265.73, the owner or pperator must
  place the results of this analysis in the
  operating record of the facility.]

  §265.253  Containment
   If leachate or run-off from a
  hazardous waste, .then either:
   (a) The pile must be piaced on*_
  impermeable base that is compatible"
  with the waste under the conditions of
  treatment or storage, run-on must be
 diverted away from the pile, and any
 leachate and run-off from the pile must
 be collected and managed as a
 hazardous waste; or
   (b](l) The pile must be protected from
 precipitation and run-on by some other
 means; and
   (2) No liquids or wastes containing
 free liquids may be placed in the pile.
 [Comment: If collected leachate or run-
 off is discharged through a point source
 to waters of the United States, it is
 subject to the requirements of Section
 402 of the Clean Water Act, as   "
-amended.]
  (c) The date for compliance with
 paragraphs (a) and (b)(l) of this Section
 is 12 months after the effective date of
 this Part.

 §§265.254-265.255 [Reserved]

 § 265.256  Special requirements for
 Ignitable or reactive waste.
  (a) Ignitable or reactive wastes must
hot be placed in a pile, -unless:
  (1) Addition of the waste to an
existing pile (i) results in the wa
  	O 4T'   \~f " *••» «••»•* *** IAA^ »
mixture no longer meeting the uc»^_
of ignitable or reactive waste unde?
m

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                Federal Register / Vol.  45. No. 98 / Monday. May tg. I960 / Rules and Regulations
                                                                         33247
    §§ 261.21 or 261.23 of this Chapter, and
    (ii) complies with § 265.17(b): or     ;
      (2) The waste is managed in-such a
   way that it is protected from any
   material or conditions which may cause
   it to ignite or react.

   §265.257 Special requirement^ for
   incompatible wattes.
     (a) Incompatible wastes, or
   incompatible wastes and materials, (see
   Appendix V for examples) must not be
   placed in the same pile, unless
   5 285.17(b) Is complied with.   .
     (b) A pile of hazardous waste that is
   incompatible with any waste or other
   material stored nearby in other
   containers, piles, open tanks, or surface
   impoundments must be separated from
   the other materials, or protected from
.   them by means of a dike, berm. wall, or
   other device.
   [Comment: The purpose of this is to
   prevent fires, explosions, gaseous
   emissions, leaching,'or other discharge
   of hazardous waste or hazardous waste
 .  constituents which could result from the
   contact or mixing of incompatible
  wastes or materials.]
    (c) Hazardous waste must not be piled
  on the same area where incompatible
  wastes or materials were previously
  piled, unless that area has been
  decontaminated sufficiently to ensure
 compliance with § 265.17(b).    .

;"§S 26S.258-2«5Je9  [Reserved]

 Subpart M—Land Treatment

 § 26&270  Applicability.
    The regulations in this Subpart apply
 to owners and operators of hazardous
 waste land treatment facilities, except
 as J 285.1 provides otherwise.       , ,
 §265.271  [Reserved]

 5 265.272  General operating
 requirements.
   (a) Hazardous waste must not be
 placed in or on a land treatment facility
 unless the waste can be made less,
 hazardous or non-hazardous by
 biological degradation or chemical
 reactions occurring in or on the soil.
   (b) Run-on must be diverted away
 from the active portions of a land
 treatment facility.
   (c) Run-off from active portions of a
 land treatment facility must be
 collected;                 ,     '
 [Comment: If the collected run-off is a
 hazardous waste under Part 261 of this
 Chapter, it must be managed as a
 hazardous waste in accordance with all
 applicable requirements of Parts 262,
263. and 265 of this Chapter. If the
collected run-off is discharged  through a
point source to waters of the United
   States, it is subject to the requirements
  ' of Section 402 of the Clean Water Act.
   as amended.] •
     (d) The date for compliance with
   paragraphs (b) and (c) of this Section is
   12 months after the effective date of this
  ;Part.

   §265.273  Waste analysis.
     In addition to the waste analyses
 ' required by § 265.13. before placing a
  hazardous waste in or on .a land
  treatment facility, the owner or operator
  must                       '      .
    (a) Determine the concentrations in
  the waste of any substances which
 .exceed the maximum concentrations
  contained in Table I of § 281.24 of this
  Chapter'that cause a waste to exhibit •
  the EP toxicity characteristic;..
    (b) For any waste listed in Part 261.
  Subpart D. of this Chapter, determine
  the •concentrations of any substances
  which caused the waste to  be listed as a
  hazardous waste; and
    {c) If food chain crops are grown.
  determine the concentrations in the
  waste of each of the following '
 constituents: arsenic; cadmium, lead,
 and mercury, unless the owner or
 . operator has written, documented data
 that show that the constituent is not
 present              , ,
 [Comment: Part 261 of this Chapter
 specifies the substances for which a
 waste is listed as  a hazardous waste. As
 required by 5 265.13. the waste analysis
 plan must include analyses needed to
 comply with 5 S 285.281 and 265.282. As
 required by 9 285.73. the owner or
 operator must place the results from
 each waste analysis, or the documented
 information, in the operating record of
 the facility.]

 5!2«&274-28&275  [Reserved)

 $ 265.278  Food chain crops.
   (a) An owner or operator of a
 hazardous waste land treatment facility
 on which food chain crops are being
 grown, or have been grown and will be  .
 grown in the future, must notify the
 Regional Administrator within 60 days
 after the effective date of this Part
 [Comment: The growth of food chain
 crops at a facility which has never
 before been used for this purpose is a
 significant change  in process under
 § 122.23(c}(3) of this Chapter. Owners or
 operators of such land treatment
 facilities who propose to grow food
 chain crops after the effective date of
 this Part must comply with § 122.23(c){3)
 of this Chapter.]  '
  (b)(l) Food chain crops must not be
grown on the treated area of a
hazardous waste land treatment facility
unless the owner or operator-can
   dempnstrate; based on field testing, that
   any arsenic, lead, mercury, or other
  .constituents identified under
   § 265.273(b):
    (i) Will not be transferred to the Food
   portion of the crop by plant uptake or
   direct contact, and will not otherwise be.
   ingested by food chain animals (e.g.. by'
  grazing); or
    (ii) Will not occur in greater   .,  .  " .
  concentrations in,the crops grown on the
  land treatment facility than in the same .
  crops grown on untreated soils under '
  similar conditions in the same region.
    (2) The information necessary to make
  the demonstration required by
  paragraph (b)(l) of this Section must be
  kept at the facility and must, at a
  minimum:
    (i) Be based on tests for the specific
  waste and application rates being used
  at the facility; and ,    .     •  •• '
   (ii) Include descriptions of crop and
  soil characteristics, sample selection
' criteria, sample size determination.
  analytical methods, and statistical    .  '
  procedures.      •••              '
   (c) Food chain crops must not be
 grown on a land treatment facility -   '
 receiving waste that contains cadmium
 unless all requirements of paragraph
 (c)(l)(i) through (iii) of this Section or all
 requirements of paragraph (c)(2)(i)
 through (iv) of this Section are met.
   (1) (i) The pH of the waste and  soil
 mixture is 6.5 or greaterat the time of  '
 each waste application, except for
 waste containing cadmium at
 concentrations of 2mg/kg (dry weight)
 or less;                  •,
   (ii) The annual application of        • •
 cadmium from waste does not exceed  •
 0.5 kilograms per hectare.(kg/ha) on
 land used for'production of tobacco,   "
 leafy vegetables, or root crops grown for
 human consumption. For other food
 chain crops, the annual cadmium
 application rate does not exceed:  -,, !
        Time perkxl
 Annual Cd
application rait
  (kg/ho)
Present to June 30,1984	„,
July 1. 1964 to Dec. 31.1988..
Beginning Jan. 1.1987..
          2.0
          1.25
          0.5
  (Hi) The cumulative application of
cadmium from waste does not exceed
the levels in either paragraph
(c)(l)(iii)(A) of this Section or paragraph
(c)(l)(iii)(B) of this Section.

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   33248       Federal  Register / Vol. 45. No. 98 / Monday. May 19, 1980 / Rules  and Regulations
                    (A)
                          Maximum cumuuuv*
         Sdca'on
        cna/iQ* cacta
        (nwq/IOOg)
                           Background
                    x*BH     jotfoH
                  few thin 6.5  gr-wt«r man
                              65
  Vi 5
    (B) For soils with a background pH of
  less than 63, the cumulative cadmium
  application rate does not exceed the
  Jevelj below: Provided, that thepH of
  the waste and soil mixture is adjusted to
  and maintained at 6.5 or greater
  whenever food chain crops are grown.
Sol ctton tttftw»j« cicucfy
                         Maximum cunuumv*
  5-15.
                                  S
                                 10
                                 20
    (2)(i) The only food chain crop
  produced is animal feed.
    (ii) The pH of Ihe waste and soil
  mixture is 6.5 or greater at the time of
  waste application or at the time the crop
  is planted, whichever occurs later, and
  this pH level is maintained whenever.
  food chain crops are  grown.
    (Sii) There is a facility operating plan
  which demonstrates how the animal
  feed will be distributed to preclude
  ingestion by humans. The facility
  operating plan describes the measures
  to be taken to safeguard against
 possible health hazards, from cadmium
 entering the food chain, which may
 result from alternative land uses.
   (iv) Future property owners are
 notified by a stipulation in the land .
 record or property deed which states
 that the property has  received waste at
 high cadmium application rates and that
 food chain crops should not be grown.
 due to a possible health hazard.
 [Comment: As required by 5 265.73. if an
 owner or operator grows food chain
 crops on his land treatment facility, he
 must place the information developed in
 this Section in the operating record of
 the facility.] -

 §265277  [Reserved]

 § 265278  Unsaturated zone (zone of  '
 aeration) monitoring.
   (a) The owner or operator must have
 in writing, and must implement, an
 unsaturated zone monitoring plan which
 is designed to:
   (1) Detect the vertical migration of
 hazardous waste and hazardous waste
 constituents under the active portion of
 the land treatment facility, and
  (2) Provide information on the
background concentrations of the
  hazardous waste and hazardous waste
  constituents in similar but untreated
  soils nearby: this background monitoring
  must be conducted before or-in
  'conjunction with the monitoring
  required under paragraph (a](l) of this
  Section.
    (b) The unsaturated zone monitoring
  plan must include, at a minimum: •
    (1) Soil monitoring using soil cores,
  and
    (2) Soil-pore water monitoring using
  devices such as lysimeters.
    (c) To comply with paragraph (a)(l) of
  this Section, the owner or operator must
  demonstrate in his unsaturated zone
  monitoring plan that:      .
    (1) The depth at which soil and soil-
  pore water samples are to be taken is
  below the depth to which the waste  is
  incorporated into the soil:
    (2) The number of soil and soil-pore
  water samples to be taken is based on
  the variability oft
  •  (i) The hazardous waste constituents
  (as identified in § 265.273(a) and {b)) in
  the waste and in the soil; and
   (ii) The soil type(s); and
   (3) The frequency and timing of soil
 and soil-pore water sampling is based
 on the frequency, time, and rate of
 waste application, proximity to ground
 water! and soil permeability.
   (d) The owner or operator must keep
 at the facility his unsaturated zone
 monitoring plan, and the rationale, used
 hi developing this plan.
   (e) The owner or operator must
 analyze the soil and soil-pore water
 samples for the hazardous waste
 constituents that were found  in the
 waste during the waste analysis under
 5 285.273 (a) and (b).
 [Comment: As required by 5 265.73, all
 data and information developed by th'e
 owner or operator under this Section
 must be placed in the operating record
 of the facility.]

 § 265279  Recordkeeplng.
  The owner or operator of a  land
 treatment facility must keep records of
 the application dates, application rates,
 quantities, and location of each
 hazardous waste placed in the facility,
 in the operating record required in
 §265.73.

 § 265260  Closure and post-closure.
  (a) In the closure plan under § 205.112
 and the post-closure plan under
 § 265.118, the owner or operator must
 address the following objectives and
 indicate how they will be achieved:
  (1) Control of the migration of
hazardous Waste and hazardous waste
constituents from the treated area into
the ground water;
    (2) Control of the release of
  contaminated.run-off from the fa
  into surface water:
    (3) Control of the release of airbor.
  particulate contaminants caused by
  wind erosion: and
    (4) Compliance with § 265.276
  concerning the growth of food-chain
 ' crops.
    (b) The owner or operator must
 •consider at least the following factors in
  addressing the closure and post-closure
  care objectives of paragraph (a) of this
  Section:
    (1) Type and amount of hazardous
  waste and hazardous waste "constituents
  applied to the land treatment facility;
    (2) The mobility and the expected rate
  of migration of the hazardous waste and
  hazardous waste constituents;
    (3) Site location, topography, and
  surrounding land use. with respect to the
  potential effects of pollutant migration
  (e.g., proximity to ground water, surface
  water and drinking water sources);
    (4) Climate, including amount,
  frequency, and pH of precipitation:
    (5) Geological and  soil profiles and •
 surface and subsurface hydrology  of the
 .site, and soil characteristics, including
 cation exchange capacity, total organic
 carbon, and pH:
   (6) Unsaturated zone monitoring
 information obtuined under § 26SJJ
 and •  '
   (7) Type, concentration, and dap^Tol
 migration of hazardous waste
 constituents in the soil as compared to '
 their background concentrations.
   (c) The owner or operator must
 consider at least the following methods
 in addressing the closure and post-
 closure care objectives of paragraph (a)
 of this Section: .
  (1) Removal of contaminated soils;
  (2) Placement of a final cover,
 considering: (i) Functions of the cover
 (e.g., infiltration control, erosion and
 run-off control, and wind erosion
 control), and (ii) Characteristics of the
 cover, including material, final surface'
 contours, thickness, porosity and
 permeability, slope, length of run of
 slope, and type of vegetation on the
 coven             .
  (3) Collection and treatment of run-off;
  (4) Diversion structures to prevent
 surface water run-on from entering the
 treated area; and            .   .
  (5) Monitoring of soil, soil-pore water,
 and ground water.
  (d) In addition to the requirements of
 § 265.117, during the post-closure care
period, the owner or operator of a land
treatment facility must:
  (1) Maintain any unsaturated zc
monitoring system, and collect anu_p
analyze samples from this system in a

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                 Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules and" Reeuiati
                                                                                                       ions
                                                                                                                  33249
    manner and frequency specified in the
    post-closure plan;
      (2) Restrict access to the facility as
    appropriate for its post-closure use: and
      (3) Assure that growth of food chain
    crops complies .with § 265.276.

    §265.281  Special requirements for
   . ignitable or reactive waste.
      Ignitable or reactive wastes must not
    be land treated, unless the waste is
    immediately incorporated into the soil
    so that (1) the resulting waste, mixture*,
    or dissolution of material no longer
   meets the definition of ignitable or
   reactive waste under §§ 281.21 or 281.23
   of this Chapter, and [2] 5 285.17(b) is
   complied with.

   §285.282 Special requirement* for .=
   Incompatible waste*.
     Incompatible wastes, or incompatible
   wastes and materials (see Appendix V
   for examples), must not be placed in the ••
   same land treatment area, unless
   § 285.17(b) is complied with.

   §§ 265J83-265.299  [Reserved]

   Subpart N—Landfills

   §265400  AppUcabWty.
    The regulations in this Subpart apply
   to owners and operators of facilities that
   dispose of hazardous waste in .landfills.
   except as 5 28S.1 provides otherwise. A
   waste pile used as a disposal facility is
   a landfill and is governed by this
   Subpart.                               •

,   §265.301  [Reservedl

   §265.302  General operating     .
  requirement*.
    (a) Run-on must be diverted away
  from the active portions of a landfill.
    (b) Run-off from active portions of a
  landfill must be collected.
  [Comment: If the collected run-off is a
  hazardous waste under Part 281 of this
  Chapter, it must be managed as a
 'hazardous waste in accordance with all
  applicable requirements of Parts 282,
  283. and 265 of this  Chapter. If the
  collected  run-off is discharged through a
,  point source to waters of the United
  States, it is subject to the requirements
  of Seption 402 of the Clean Water Act.
  as amended.]
   •(c)The  date for compliance wjth
 paragraphs (a) and (b) of this Section is
 12 months after the effective date of this
 Part.                      .   .
    (d) The  owner or operator of a landfill
 containing hazardous waste which is
 subject to dispersal  by wind must cover
 or otherwise manage the landfill so that
 wind dispersal of the hazardous waste
 is controlled.
   [Comment: As required by § 265.13. the
   waste analysis plan must include
   analyses needed to comply with
   §§ 265.312 and 265.313. As required by
.§ -265.73. the owner of operator must
•  place the results of these analyses in the
   operating record of the facility.]

   §§265.303-265.308  [Reserved]

   §265.309  Surveying and recordkeeping.
    The owner or operator of a landfill
  must maintain the following items in the
  operating record required in § 285.73:
    (a) Op a map, the exact location and
  dimensions, including depth, of each cell
  with respect to permanently surveyed
  benchmarks; and
    (b) The contents of each cell and the
  approximate location of each hazardous
  waste type within each celL

  § 265.310 Closure and pott-closure.
    (a) The owner or operator must place
  a final cover over the landfill, and the
  closure plan under § 285.112 must
  specify the function and design of the
  coyer. In the post-closure plan under
  S 285.118, the owner or operator must •
  include the post-closure care
  requirements of paragraph (d) of this
  Section.
   (b) In the closure and post-closure
  plans, the owner or operator must
  address the following objectives and
  indicate how they will be achieved:
   (1) Control of pollutant migration from
  the facility via ground water, surface
 water, and air;            '  ,          *
   (2) Control of surface water
 infiltration, including prevention of
 pooling; and
   (3) Prevention of erosion.
   (c) The owner or operator must
 consider at least  the following factors in
 addressing the closure and post-closure
 care objectives of paragraph (b) of this
 Section:          .      .
   (2) Type and amount of hazardous
 waste and hazardous waste constituents
 in the landfill:
   (2) The mobility and the expected rate
 of migration of the hazardous' waste and
 hazardous waste .constituents;
   (3) Site location, topography, and
surrounding land use, with respect to the
potential effects of pollutant migration
(e.g., proximity to ground water, surface.
water, and drinking water'sources);
   (4) Climate, including amount.
frequency, and pH of precipita tion:
   (5) Characteristics of the cover
including material, final surface
contours, thickness, porosity and
permeability, slope, length of run of
slope, and,type of vegetation on the
cover; and                 •  ,
  (6) Geologicaland soil profiles and
surface and subsurface .hydrology of the'
site.  ,
     (b) In addition to the requirements of
   § 265.117. during'the post-closure care
   period, the owner or operator of a
   hazardous waste'landfill must:
     ,(1) Maintain the function and integrity
   •of the final coyer as specified in the
   approved closure plan:             ;
     (2) Maintain and monitor the leachate
   collection, removal, and treatment  "
   system (if there is one present in the
   landfill) to prevent excess accumulation
   of leachate in the system:
   [Comment: If the collected leachate is a
   hazardous waste under Part 281 of this
   Chapter, it must be managed as a
   hazardous waste in accordance with all
   applicable requirements of Parts 282.
   263. and 265 of this Chapter. If the
   collected leachate is discharged through
   a point source to waters, of the United
   States, it is subject to the requirements
   of Section 402 of. the Clean Water Act,
   as amended.]
    (3) Maintain and monitor the gas"
   collection and control system  (if there is
 '  one present in the landfill) to control the
   vertical and horizontal escape of gases;
    (4) Protect and maintain surveyed
  benchmarks; and
    (5) Restrict access to the landfill as
  appropriate for its post-closure use.

  §265.311  [Reserved]

  §265.312  Special requirements for
  Ignitable or reactive waste.   • ,           *
    Ignitable or reactive waste must not
i  be placed in a landfill, unless the  waste
  is treated, rendered, or mixed before or
  immediately after placement in the
  landfill so that (1) the resulting waste,
  mixture, or dissolution of material no
  longer meets the definition of ignitable
  or reactive waste under §§ 261.21 or
  261.23 of this Chapter, and (2). § 265.17(b)
  is complied with.

 §265.313  Special requirements for
 Incompatible wastes.
   Incompatible wastes, or incompatible
• wastes'and materials, (see Appendix V
 for examples) must not be placed in the
 same landfill cell, unless § 265.17(b) is
 complied with.  •        .

 §265.31.4 , Special requirements for liquid
 waste.                  ' •
   (a) Bulk or non-containerized liquid
 waste or waste containing free liquids   •'.
 must not be placed in a landfill, unless:  .
   (1) The landfill has a liner which ?s
 chemically and physically resistant to
 the added liquid, and a functioning
 leachate collection and removal system
 with 'a capacity sufficient to remove all
 leachate produced: or •   '
   (2) 'Before disposal, the liquid waste or
 waste containing free liquids is treated
 or stabilized, chemically or physically
 (e.g., by mixing with an absorbent solid),

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  33250       Federal Register / Vol. 45. No. 98 / Monday.  May 19. 1980 / Rules and Regulations
  so that free liquids are no longer
  present
    (b) A container holding liquid waste
  or waste containing free liquids must
  not be placed in a landfill, unless:
    [I] The container is designed to hold
  liquids or free liquids for a use other
  than storage, such as a battery or
  capacitor; or
    (2) The container is very small, such
  aa an ampule.
    (c) The date for compliance with this
  Section Is 12 months after the effective
  date of this Part.

  52CSJ15  Special requirements for
  containers.
    (a) An empty container must be
  crushed flat,  shredded, or similarly
  reduced in volume before it is buried
  beneath the surface of a landfill.
    (b] The date for compliance with this
  Section is 12  months after the effective
  date of this Part.
  55265.316-265.339  [Reserved]

  Subpart O—Incinerators

  1265340  Applicability.
   The regulations in this Subpart apply
  to owners and operators of facilities that
  treat hazardous waste in incinerators,
 except as  § 265,1 provides otherwise.

 55 265J41-265J42  [Reserved]  .

 5295.343   General  operating
 requirement*.
   Before adding hazardous waste, (he  •
 owner or operator must bring his
 Incinerator to steady state (normal)
 conditions of operation—including
 steady state operating temperature and
 air flow—using auxiliary fuel  or other
 means.

 1265444  [Reserved]

 $265345  Waste analysis.
  In addition to the waste analyses
 required by § 265.13, the owner or
 operator must sufficiently analyze any
 waste which he has not previously
 burned in his incinerator to enable hi"i
 to establish steady state (normal)
 operating conditions (including waste
 and auxiliary fuel feed and air flow) and
 to determine the type of pollutants
 which might be emitted. At a minimum,
 the analysis must determine:
  (a) Heating value of the waste;
  (b) Halogen content and sulfur content
 in the waste; and
  (c) Concentrations in the waste of
 lead and mercury, unless the owner or"
 operator has written, documented data
 that show that the element is not
 present
 [Comment: As required by § 265.7,3. the
owner or operator must place the results
   from each waste analysis, or the
  -documented information, in the .-
   operating record of the facility.]

   §265.348  [Reserved]

   § 265.347  Monitoring and inspections.
    (a) The owner or operator must
   conduct as a minimum, the following
  monotoring and inspections when
  incinerating hazardous wastes:
    (1) Existing instruments which relate
.  to combustion and emission control
  must be monitored at least every 15
  minutes. Appropriate corrections to
  maintain steady state combustion
  conditions must be made immediately
  either automatically or by the operator.
  Instruments which relate to combustion
  and emission control would normally. .
  include those.measuring waste feed.
  auxiliary fuel feed, air flow, incinerator
  temperature, scrubber flow, scrubber
  pH, and relevant level controls.
    (2) The stack plume (emissions) must
  be observed visually at least hourly for
  normaj appearance (color and opacity).
  The operator must immediately make
  any indicated operating corrections
  necessary to return visible emissions to
  their normal appearance.
   (3) The complete incinerator and
  associated equipment (pumps. Valves,
  conveyors, pipes, etc.) must be inspected
  at least daily for leaks, spills, and
  fugitive emissions, and all emergency
  shutdown controls and system alarms
'must be' checked to assure proper
  operation.

  J§26SJ4S-265J50  [Reserved]

  §265351   Closure.
   At closure, the owner or operator
 must remove all hazardous waste and
 hazardous waste residues (including but
 not limited to ash. scrubber waters, and
 scrubber sludges) from the incinerator.
 [Comment: At closure, as throughput the
 operating period, unless the owner or
 operator can demonstrate, in
 accordance-with 5 261.3(c) or (d) of this
 Chapter, that any solid waste removed
 from his incinerator is not a hazardous
 waste, the owner or operator becomes a
 generator of hazardous waste and must
 manage it in accordance with all
 applicable requirements of Parts 262,
 263, and 265 of this Chapter.]

 §§265.352-265.369  [Reserved]

 Subpart P—Thermal Treatment

§265.370  Applicability.
   The regulations in this Subpart apply
to owners and operators of facilities that
thermally treat hazardous waste in
devices other than incinerators, except
as § 265.1 provides otherwise. Thermal.
  treatment in incinerators is subje
  the requirements of Subpart O.

  §§265371-26,5.372  [Reserved]

  §265.373  General operating
  requirements.
    Before adding hazardous waste, the
  owner or operator must bring his
  thermal treatment process to steady
 . state (normal) conditions of operation-
  including steady state operating
  temperature—using auxiliary fuel or
  other means, unless the process is a
  non-continuous (batch) thermal
  treatment process which requires a
  complete thermal cycle to treat a
  discrete quantity of hazardous waste.

  §265.374 [Reserved]

  §265375 Waste analysis.
   In .addition to the waste analyses
  required by § 265.13, the owner or
  operator must sufficiently analyze any
  waste which he has not previously
  treated in his thermal process to enable
  him to establish steady state (normal) or
 other appropriate (for a non-continuous
 process) operating conditions (including
 waste and auxiliary fuel feed) and to
 determine the type of pollutants which
 might be emitted. At a minimum, the
 analysis must determine:
   (a) Heating value of the waste:  ,
   (b) Halogen content and sulfur cc
 in the waste; and
   (c) Concentrations in the waste of
 lead and mercury, unless the owner or
 operator has written, documented data
 that show that the element is not
 present
 [Comment: As required by § 265.73, the
 owner or operator must place  the results
 from each waste.analysis, or the
 documented information, in the
 operating record of the facility.)

 §265.376  [Reserved]

 § 265377  Monitoring and Inspections.
   (a) TOT owner or operator must
 conduct as a minimum, the following
 monitoring and inspections when
 thermally treating hazardous waste:
   (1) Existing instruments which relate
 to temperature and emission control (if
 an emission control device is present)
 must be monitored at least every 15
 minutes. Appropriate corrections to
 maintain steady .state or other
 appropriate thermal treatment
 conditions must be made immediately  •
 either automatically or by the operator.
 Instruments which relate to  temperature
 and emission control would normally
include those measuring waste feetj
auxiliary fuel feed, treatment proc
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                Federal Register /Vol. 45.  No. 98 / Monday/May 19.  1980 / Rules and Regulations
                                                                         33251
     (2) The stack plume (emissions).
   where present, must be observed
   visually at least hourly for normal
   appearance [color and opacity).The
   operator must immediately make any
   indicated operating corrections
   necessary to return any visible
   emissions to their normal,appearance.
    {3J The complete thermal treatment
   process and associated equipment
   (pumps, valves, conveyors, pipes, etc.)
  must-be inspected at least daily for
  leaka. spills, and fugitive emissions, and
  all emergency shutdown controls and •
  system alarms must be checked to
  assure proper operation.

  §§ 26SJ78-265J80  {Reserved!

  3265J81  Closure.
    At closure, the owner or operator
  must remove-all hazardous waste and
  hazardous waste residues (including.
  but not limited  to. ash)  from the thermal
  treatment.process or equipment.  ' '
  [Comment: At closure, as throughout the
  operating period, unless the owner or
  operator can demonstrate, in.
  accordance with § 281.3(c) or (d) of this
  Chapter, that any solid Waste removed
 from his thermal treatment process or
 equipments not a hazardous waste,  the
 owner or operator becomes a generator
 of hazardous waste and must manage it
 in accordance with all applicable
 requirements of Parts 282,283. and 285
 of this Chapter.]

 926&3S2  Open burning; waatc
 exptosivea.

   Open burning of hazardous waste is
 prohibited except for the open burning
 and .detonation of waste explosives.
 Waste explosives include waste which
 has the potential to detonate and bulk
 military prbpellants which cannot safely
 be disposed of through other modes of
 treatment Detonation is an explosion in
 which chemical transformation passes
 through the material faster than the
 speed of sound (0.33 kilometers/second
 at sea level). Owners or operators
 choosing to open bum or detonate waste
 explosives must do so in accordance
with the following table and in a manner
 that does not threaten human health or
the environment.

 Pound. otW«aeexplo»ve«  Unmm distinct from open
     orpropedana      burning or detonation to ttm
                      property oTotheri
0 to 100. 	
101 to 1.000
1.0011010.000
10.001 to 30.000 	
TT- 	 : 	 — 	 	
inn .8™!?Wii°°

— ~. 690 motors (Z260 feet).
   §§ 265.383-265.399  [Reserved]'

   Subpart Q-^Chemical, Physical, and
   Biological Treatment

   §265.400  Applicability/
     The regulations in this Subpart apply
   to owners and operators of facilities
   which treat hazardous wastes by   '
   chemical, physical, or biological
   methods in other than tanks, surface
   impoundments, and land treatment
   facilities, except as § 285.1 provides
   otherwise. Chemical, physical and
   biological treatment of hazardous waste
   in tanks, surface impoundments, and
   land treatment facilities must be
   conducted in accordance with Subparts
  J, K. and M. respectively.

  I26&401 General operating
  requirement*.      ,                 ,
    (a) Chemical, physical, or biological
  treatment of hazardous waste must
  comply with § 265.17(bj.
    (b) Hazardous wastes or treatment
  reagents must not be placed in the -
  treatment process or equipment if they
  could cause the treatment process or
  equipment to rupture, leak, corrode, or
  otherwise fail before the end of its > '
  intended life.
   (c) Where hazardous waste is
  continuously fed into a treatment
  process or equipment, the process or.  -
  equipment must be equipped with a
  means to stop this inflow (e.g., a waste
  feed cut-off system or by-pass system to
  a standby containment device).
 [Comment: These systems are intended
 to be used in the event of a malfunction
 in the treatment process or equipment]

 5 265.402 Waste analysis and trial testa.
   (a) In addition to the waste analysis
 required by § 285.13. whenever
   (1) A hazardous waste which is
 substantially different from waste
 previously treated in a treatment
 process or equipment at the facility is to
 be treated in that process or equipment
 or  :.        '        " •  ;
  • (2) A substantially different process
 than any previously used at the facility  •
 is to be used to chemically treat
 hazardous waste;          .
 the owner or operator must, before.
 treating the different waste or using the
 different process or equipment:
   (i) Conduct waste analyses and trial
 treatment tests (e.g.. bench scale or pilot
 plant scale tests); or
   (ii) Obtain written, documented
 information on similar treatment of
 similar waste under similar operating
 conditions;
 to show that this proposed treatment
will meet all applicable requirements of
 § 285.401 (a) and (b).
   [Comment: As required by § 265.13. the
   waste analysis plan must'include
   analyses needed to comply with-
   § 1265.405 and 265.406. As required by
   § 265.73. the owner or operator must
   place the results from each waste •
   analysis and trial test, or the
   documented informatipn. in the
   operating record of the facility.]

   §265.403  Inspections.
    (a) The owner or operator of a
   treatment facility must inspect, where
   present:
    (1) Discharge control and safety
   equipment (e.g., waste feed cut-off
   systems, by-pass systems, drainage
   systems, and pressure relief systems) at
   least once each operating day, to ensure
  that  it is in good working order
    (2) Data gathered from monitoring
  equipment (e.g., pressure and
  temperature gauges), at least once each
  operating day, to ensure that'the
  treatment process or equipment is being
  operated according to its design;
    (3) The construction materials of the
  treatment process.or'equipment. at least
  weekly, to detect corrosion or leaking of
  fixtures or seams; and     •
    (4) The construction materials of. and
  the area immediately surrounding,
  discharge confinement structures (e.g..
  dikes), at least weekly, to detect erosion-
  or obvious signs of leakage (e.g., wet
  sp9ts or dead vegetation).         .
  [Comment." As required by § 265.15(c).
  the owner or operator must remedy any
  deterioration or malfunction he finds.]
  §265.404  Closure.
   At closure, all hazardous waste and  •,
  hazardous, waste residues must be
 removed from treatment processes or   '
 equipment, discharge control equipment,
 and discharge confinement structures.
 [Comment: At closure, as throughout the
 operating period, unless the owner or   -
 operator can demonstrate, in
 accordance with § 261.3 (c) or (d) of this
 Chapter, that any solid waste removed
 from his treatment process or equipment
 is not a hazardous waste, the owner or
 operator becomes a generator of
 hazardous waste and must manage it in •"
 accordance with all applicable
 requirements of Parts 262.283, and 265
 of this Chapter.]

 § 265.405  Special requirements for
 Ignltable or reactive waste.
   (a) Ignitable or reactive waste must
 not be placed in a treatment process or
 equipment unless:  •
  •(1) The waste is treated, rendered, or   '
mixed  before or immediately after
placement in the,treatment process or
equipment so that (i)  the resulting waste.
mixture, or dissolution of material no

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    	                                         '"."'"-•               t       • •
  33252       Federal Register  /  Vol. 45', No. 98 / Monday. May 19. 1980  /  Rules and Regulations
  longer meets the definition of ignitable
  or, reactive waste under 5 261.21 or
  261.23 or this Chapter! and (ii)
  § 285.17{b) is complied with: or (2) The
  •waste is treated in such a way that it is
  protected from any material or
  conditions which may cause the waste
  to ignite or react

  1265.408  Special requirements for
  Jncomp*tlW« wast**.
   (a) Incompatible wastes, or
  IncompatlblJs wastes and materials, (see
  Appendix V for examples) must not be
  placed in thr same treatment process or
  equipment, unless § 285.1Z(b) la
  complied with.
   (b) Hazardous waste must not be
  placed in unwashed treatment
  equipment which previously held an
  incompatible waste.or material, unless
  § 2S5.17(b) is complied with.

 J52C5.407-265.429  [R**«rv*d]

 Subpart R—Underground Injection

 |285j»30 Applicability.
   Except as § 26S.1 provides otherwise:
   (a) The owner or operator of a facility
 which disposes of hazardous waste by
 underground injection is excluded from
 the requirements of SubparU G and H of
 this Part
   (b) The requirements of this Subpart
 apply to owners an,d operators of wells,
 used to dispose of hazardous waste
 which are classified as Class I under
 i 12Z32(a) of this Chapter and which
 are classified as Class IV under
 i 122.32(d) of this Chapter.
 [Comment: In addition to the
 requirements of Subparta A through E of
 this Part, the owner or operator of a
 facility which disposes of hazardous
 waste by underground infection
 ultimately must comply with the
 requirements of J 5 265.431-265.437.
 These Sections are reserved at this  time.
 The Agency will propose regulations
 that would establish those
 requirements.]

 §2651431-265.999 {Reserved]
 Appcadix 1—Recordkeoping Instructions
  The recordkeeping provisions of 1285.73
 specify that *n owner or operator most keep  ,
 * written operating record at his facility. This
 appendix provides additional instructions for
 keeping portions of the operating record. See
 i 265.73(b) for additional recordkeeping
 requirements.
  The following information must be
recorded, as it becomes available, and
maintained in the operating record until
closure of the facility in the following
manner:
  Records of each hazardous waste received,
treated, stored, or disposed of at the facility
which include the following:           '   •
   (1) A description by its common name and
  the EPA Hazardous Waste Numberfs) from
  Part 281 of this Chapter which apply to the
  waste. The watte description also must
  include the waste's physical form, i.e., liquid.
  sludge, solid, or contained gas. If the waste is
  not listed in Part 261. Subpart D. of this
  Chapter, the description also must include the
  process that produced it (for example, solid
  filter cake from production of	, EPA
  Hazardous Waste Number W051).        '
 .  Each hazardous waste listed in Part 261.  •
  Subpart D. of this Chapter, and each
  hazardous waste characteristic defined in
 Part 281. Subpart C, of this Chapter, has a
 four-digit EPA Hazardous Waste Number
 assigned to it This number must be used  for
 recordkeeping and reporting purposes. Where
 a hazardous waste contains more than one
 listed hazardous waste, or where more than
 ona hazardous waste characteristic applies to
 the waste, tba waste description must include
 all applicable EPA Hazardous Waste	
 Numbers.        .
   (?) The estimated or manifest-reported
 weight or volume and density, where
 applicable, in one of the units of measure
 specified in Table 1: and
   (3) The method(s) (by handling code(s).as
 specified in Table 2) and date(s) of treatment.
 storage, or disposal

                 Tstto.1

          Una c«
 Short ton* (2000 en).
 dupo. (US)—,	
 **>»*!»	
 Tonrm (1000 kg)..
 OubciMMi*
_ P
_ T
_ Q
_ V
_ K
- M
. L
-.C
                                  P/0
                                  T/V
K/L
U/C
  •StogM <*gc tyrrecta m uMd
                          tor <
 Table 2—Handling Codes for Treatment,
 Storage, amd Disposal Methods
   Enter the handling code(s) listed
 below that most closely represents the
 technique(s) used at the facility to treat,
 store, or dispose of each quantity of
 hazardous waste received.

 1. Storage
   SOI  Container (barrel, drum, etc.)
   S02  Tank
   503  Waste pile
.   S04  Surface impoundment
   SOS  Other (specify)

2, Treatment
   (a) Thermal Treatment
   T06  Liquid injection incinerator
   T07  Rotary kiln incinerator
   T08  Fluidized bed incinerator
   T09  Multiple hearth incinerator
 •  TlO  Infrared furnace incinerator
   Til  Molten salt destructor
   T12  Pyrolysis
   T13.  Wet air oxidation
   T14  Calcination
   T15 , Microwave discharge
   T18  Cement kiln
   T17  Limekiln
   T18  Other (specify)
   (b) Chemical Treatment
   T19  Absorption mound
   T20  Absorption field
   T21  Chemical fixation
 .  T22  Chemical oxidation
   T23 .Chemical precipitation
   T24  Chemical reduction
   T25  Chlorination
   T28  Chlorinolysis
   T27  Cyanide destruction
   T28  Degradation
   T29  Detoxification
   T30  Ion exchange
   T31  Neutralization
   T32  Ozonation  -
   T33  Photolysis
   T34  Other (specify)
   (c) Physical Treatment:
   (1) Separation of components
 % T35  Centrifugatioh
   T36  Clarification
   T37  Coagulation •
   T38  Decanting
   T39  Encapsulation  ,
   T40  Filtration
   T41   Flocculation
   T42   Flotation
   T43   Foaming
   T44   Sedimentation
   T45   Thickening
   T48   Ultrafiltration
   T47   Other (specify)
   (2) Removal of Specific Comp
   T48   Absorption-molecular sieve
   T49   Activated carbon
   T50   Blending
   T51   Catalysis
   T52   Crystallization
   T53   Dialysis
   T54   Distillation
  T55   Electrodialysis
  T58   Electrolysis
  T57  Evaporation
  T58  High gradient magnetic
separation
  T59  Leaching
  T80  Liquid ion exchange
  T61  Liquid-liquid extraction
  T62  Reverse osmosis
  T63  Solvent recovery
  T64  Stripping
  T65  Sand filter
  T68  Other  (specify)
  (d) Biological Treatment
  T67  Activated sludge
  T68 . Aerobic lagoon
  T69  Aerobic tank
  T70'  Anaerobic lagoon
  T71  Composting     .  '
  T72  Septic  tank
  T73  Spray  irrigation
  T74  Thickening filter
  T75  tricking filter
  T78  Waste stabilization pom
  T77  Other (specify)
  T78-79  [Reserved]

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*
                     Federal Register / Vol. 45. No. 98 /; Monday. May 19. 198O / Rales  and Regulations      . 33253
         3. Disposal

           D80  Underground injection
           D81  Undfill
           D82  Land treatment
           DS3  Ocean disposal
           D84  Surface impoundment (to be
         closed as a landfill)
           D85  Other (specify)

         APPENDIX II—EPA REPORT FORM AND
         INSTRUCTIONS
         B4UJNO COOC «MO-Ot-M             •   .

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 33254	Federal Register /  VoK 45. No. 98 / Monday. May 19,1980 /  Rules and Regulations
  fltnt or.m 0' t.w *.•(« ELITE ivt» lllcrtirxtcrtocr inch!.  .
                     °•*• *NVI"<"*. eompittt «l Mctioiu. "lfwt.ll«,on" m«m . t.ngl. iitt *h.re
                         .      ,     . or ditooMd of. Httt* nltr to th« «5»eHic Inttruction* for oiiMrttort or fcctlitm btfora cornolttirm thit form
 Th«infofm«t.onr«»mttd hmu, is rtquJiw) by IM /teMM 3OO3OOM S7OO-13(4-BO)
                                                                                                  PAGE.

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                                                           Monday. May 19. igso /  Rulea and Regulations         33259
CSA No. 12345-XX

Form AOD'Ov»
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   33256        Federal  Register  / Vol.  45.  No.  98 /  Monday. May 19.  1980  / Rules' and Regulations
   GENERAL INSTRUCTIONS: HAZARDOUS
   WASTE REPORT (EPA FORM 8700-13)
   .  Important: Read all instructions before
 .  completing this form.

   Section I—Type of Hazardous Waste Report

   Port A: Generator Annual Report
     For generators who ship their waste off-site
   to facilities which they do not own or
   operate; fill in tha reporting year for this
   report (e.g, 1882).
 * * Notsv—Generators who ship hazardous
   wast* off-site to a facility which they own or
   operate must complete the facility (Part B)
  report Insteadofth* Part A report

  Part B: Facility Annual Report   '
    For owners or operators of on-§ite or off-
  site facilities that treat, store, or dispose of
  hazardous waste; fill in the reporting year for
  this report (e.g, 1982). •

  Part C- Unmanifesttd Watte Report
    For facility owners or operators who
  accept for treatment storage, or disposal any
  hazardous waste from an off-site source
  without an accompanying manifest: fill in tha
  date the waste was received at the facility
  (e.g, April 12, 1982).

  Section II Through Section IV—Installation
  LD. Number. Name of Installation, and
  Installation Mailing Address
   If you received • preprinted label from
 EPA. attach it in the space provided and
 leave Sections H through IV blank. If there Is
 an error or omission on the label cross out
 the Incorrect information and fill in the
 appropriate itemfs). If you did not receive a
 preprinted label, complete Section n throuah
 Section IV, '               •

 Section V—location of Installation
   If your installation location address is
 different than the mailing address, enter the
 location address of your installation.

 Section VI—Installation Contact
   Enter the name (last and first) and
 telephone number of the person whom may
 be contacted regarding information contained
 in this report

 Section VH—Transportation Services Used
 (for Part A Reports Only)
   List the EPA Identification Number for
 each transporter whose services you used
 during the reporting year.

 Section Vm—Cost Estimates for Facilities
 (for Part B Reports Only)
   A. Enter the most recent cost estimate for
 facility closure in dollars. See Subpart H of 40
 CFR parts 284 or 265 for more detail
   B. For disposal facilities only, enter the
 most recent cost estimate for post closure
 monitoring and maintenance.  See Subpart H
 of 40 CFR Parts 264 or 265 for more detail.

 Section IX—Certification     •
  The generarator or his authorized
 repreientative (Part A reports) or the owner
or operator of the facility or his authorized
representative (Parts B and C reports) must'
sign and date the certification where
Indicated. The printed or typed name of tho
  person signing the report must also be
  included where indicated.              ',
    Note.—£ince more than one page is
  required for each report enter the page
  number of each sheet in the lower right  '
  corner as well as the total number of pages.

  Facility Annual Report—Part B Instructions
  (EPA Form 870O-13B)
    Facility Annual Report for owners or
  operators of on-site or off-site facilities that
  treat store, or dispose of hazardous waste.
    Note.—Generators who ship hazardous
  waste off-site to a facility they own or
  operate must complete this Part B report
  instead of the Generator (Part A) Annual
  Report                         '
    Important: Read all instructions before
  completing this form.

  Section XVI—Type of Report
    Put an "X" in the box marked Part a

  Section XVn—Facility's EPA Identification
  Number

    Enter the EPA identification number for
  your facility.
  Examplei
        GENERATOR'S B>A IDENTIFICATION
                  NUMBER

 Section XVm—Generator's EPA
 Identification Number

   Enter the EPA Identification number of the
' generator of the waste described under
 Section XXI which was received by your
 facility during the reporting year. A separate
 sheet must be used for each generator. If the
 waste came from a foreign generator, enter
                 i

                    Example*
  the EPA identification number of the importer
  in this section and enter the name a  '
  address of the foreign generator in!_,
  XXII. Comments. If the waste was ge,
  and treated, stored, or, disposed of at  ie
  same installation, leave this section blank.

  Section XIX—Generator's Name
   Enter the name of the generator
  corresponding to the generator's EPA
  identification number in Seciton XVIU.
   If the waste was generated and treated.
  stored, or disposed of at the same
  Installation, enter "ON-SITE".
   If the waste came from a foreign generator,
  enter the name of the importer corresponding
  to the EPA identification number in Section
  xvra.                            •

  Section XX—Generator's Address
   Enter, the address of the generator
  corresponding to the generator's EPA
  Identification number in Section XVIII. If the
  waste was generated  and treated, stored, or
  disposed of at the same installation, leave
  this section blank. If the waste came from a
  foreign generator, enter the address of the
  importer corresponding to the EPA
 Identification number in Section XVIII.

  Section XXI—Waste  Identification
   All information in this section must be"""""
•  entered by line number. A separate line entry-
  is required for each different waste or.
  mixture of wastes that your facility received
  during the reporting year. The handling code
  applicable to that waste at the end of th
  reporting year should be reported. I
  different handling code applies t
  the same waste, (e.g., part of the
  stored while the remainder was "chemically
  fixed" during the year), use a separate line
  entry for each portion.
       Steal Flniahinj sluij.
      _Ste«l
                     Sluda*
                                             r 0 6-0
                                             K 06 n
                                                                     of w*«r«
Section XXI-A—Description of Waste

  For hazardous wastes that are listed under
40 CFR Part 261, Subpart D. enterthe EPA
listed name, abbreviated if necessary. Where
mixtures of listed wastes .were received.
enter the description which you believe best
describes the waste.'.
  For unlisted hazardous waste identified
under 40  CFR Part 261. Subpart C, enter the
description Which you believe best describes
the waste. Include the specific manufacturing
or other process generating the waste (e.g.,
green sludge from widget manufacturing) and
 if known, the chemical or generic chemical
 name of the waste.

 Section XXI-B—ERA Hazardous Waste
 Number            .
  For listed waste, enter the four digit EPA
 HazardousxWaste Number from 40 CFR Part
 261. Subpart D, which identifies the waste.
  For a mixture of more than one listed
 waste, enter each of the applicable EPA
 Hazardous  Waste Numbers.
  Four spaces are provided. If more space is
needed, continue on the next line(s) and
leave all other information on that line blank.

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               Federal Register /  Vol. ,4S» No. 98  / Monday; May 19,  1960  / Rules  and Regulations        33257
                         Example:
'• ' ' ,-'."'
• j • • O«*C«l»Tt«* O» W**T«
!=! - ' ' •• . '
i
.
[ Steel rir_-Ehing Sludge . . 1
• •
• r • •••
.^is^i,.
y 0 6 OlK.O « 1
K . 0 S 2-K 0 6 3
K 0 6 4J
.-••,---
C
MANO--
MCTMOO
ttmrr
*
•'
2

1

VSSB?




2

9

1

7

-ycrKx__
                                            ToxaprMtna..'.—
                                            2.4-O..
                                            2.4.S-TP S-v«r.._	
                                            Padium	'„.„
                                            GroM Alpha	
                                            Gross Beta—
                                            Turbidity...
                                            CoMorm Bacteria™—
                          0,05
                          1.0
                          001
                          0.05
                          1.4-2.4
                          o.os:
                          0.002
                         10
                          0.01
                          0.05
                          O.OO02
                          0004'
                          0.1
                        • - 0.005 ,
                          0.1
                          0.01
                          5 pCi/1
                         15 pa/i
                          4
                          1/TU
                          1/100 ml
                                             ICommoot Turtudily a applicaWa only to «urf«c« w»t«r
                                            -uppliem.)   ....'•   •  • ••
  Appendix IV—Tests for Significance   '  . .
   L As required in § 26o.93(b) the owner or
  operator must use the Student's t-test to  ,
  determine statistically significant changes in
  the concentration or value, of an indicator
  parameter in periodic ground-water samples
  whe,n compared to the initial background
  .concentration or value of that indicator
  parameter. The comparison must consider
  individually each of the wells in the
  monitoring system. For three of the indicator
  parameters (specific conductance, total
  organic carbon, and total organic halogen) a
  •ingle-tailed Student's t-test must be used to
  test at the 0.01 level of significance for
  significant increases over background. The
  difference teat for pH must be a two-tailed
'  Student's t-test at the overall 0.01 level of
  significance.               •  •        '  '    -^
    The student's t-test involves calculation of .""
  the value of a t-.tatistic for each comparison
  of the mean (average) concentration or value
  (based on a minimum of four replicate
  measurements) of an indicator parameter
  with its initial background concentration or
  value. The calculated value of the t-statistic
  must  then be compared to the value of the t-
  statistic found in a table for t-test of
  significance, at the specified level of
  significance. A calculated value of t which
•  exceeds the value of t found in the table
  indicates a statistically significant change in
  the concentration or value of the indicator
  parameter.             .  •     .   .        '  '
   .Formulae for calculation .of the t-statistic
•and tables for t-test of significance can be
  found in most introductory statistics texts.

  Appendix V-f Examples of Potentially
  Incompatible Waste
    Many hazardous wastes, when mixed with
  other waste or materials at a hazardous
  waste1 facility, can produce effects which are
  harmful to human health and the
  environment, such as (1) heat or pressure, (2)
  fire or explosion. (3) violent reaction, (4) toxic  •
  dusts, mists, fumes, or gases, or (5) flammable
 fumes or gases.-
   Below are examples of potentially
  incompatible  wastes, waste components, and
 materials, along with the harmful   •       .
 consequences which result from mixing
 materials in one group with materials in
 another group. The list is intended as a guide
  to owners or operators of treatment, storage.
 and disposal facilities, and to enforcement
 and permit granting officials, to indicate the
•need for special precautions, when managing
 these  potentially incompatible.waste
 materials or components.                    .
   This list is not intended to be exhaustive.
 An owner or operator must, as the   .
 regulations require, adequately analyze his
 wastes so that he can avoid creating
 uncontrolled substances or reactions of the
 type listed below, whether they are  listed
 below or not.
   It is possible for potentially .incompatible
 wastes to be mixed in a way that precludes a
 reaction (e.g.,  adding acid to water rather
 than water to acid) or that neutralizes them
 (e.g., a strong  acid mixed with a strong base), •
 or that controls substances produced (e.g., by -
generating flammable gases in a closed tank

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   33258          Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules and Regulations
   equipped so that ignition cannot occur, and
   burning the gases in an incinerator}.
    In the lists below, the mixing of a Group A
   material with a Group B material may have
   the potential consequence as noted.
            Gnx« 1-A
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  Aktfn* CJUMC tqudt
  •»**!«>• e<«ncr
  AM*n« conow* loud*
  Akilrw COITOW* Ufltry dud
  C*uMC w«*»«ur
  Utn tludg* «nd eCKf oyro*»«
                                Group 1-3
                           Aodskidg*
                           Add w) waiw    *
                           B»n«y *od
                           Qwnctf ci«*nar*
                           B«ctroVt». aod
                          . Etrtng «od tqud Of
                           PteUng iquor and otfw
                           Sp«««d<5
    Potential consequence*: Heat generation:
  violent reaction.
           CVtxpZ-A
  Otoura
  Lntxjm
  Pouuun
  Sodum
  Otner r««ce«« mxal* «nd m*UI
    Potential consequences: Fire or explosion;
  generation of flammable hydrogen gas.
                          Any oonc«Mr«i*d vast*
                          UNim
                          POUMUTI
                          SO/XSCXXPa.
   Potential consequences: Fire, explosion, or
 heat generation: generation of flammable or
 toxic gases.
 H*J09»rul»d hydroentxxw
 Nml*d HyOnx«txxM
 Unuuvtud hjdrocartxxn
 Otfwr ructnr* orgww: compound*
                         Conc«n™tod Greup i^
                           ort^w«i«
                         Group 2-A WUIM
                                                California Department of Health. February
                                                1975.              %              •
                                                |FR Dot *W43<» m«i s-iew« &« am|
                                                eiujrta CODE SSSO-OI-M
   Potential consequences: Fire, explosion, or
 violent reaction.
                              GroupS-B
                         .Groupl-BmtM
   Potential consequences: Generation of
 toxic hydrogen cyanide or hydrogen sulfide
 ga».

                              Groupfrfl
CNoon*
                          organeiodt
                         Conc«nirai*d mn«r^
N*K »cxl. (umng
Ptfc«o«r namcnuM and
                          comtxanbl* wutM
  Potential consequences: Fire, explosion, or
violent reaction.
  Source: "Law, Regulations, and Guidelines
for Handling of Hazardous Waste."

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 Monday
 May 19, 1980
Part VIM



Environmental

Protection Agency

Hazardous Waste Management System

Proposal to Modify 40 CFR Part 265—
Subpart H—Financial Requirements

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  33260
Federal Register / Vol. 45. No. 98 / Monday. May 19,1980  / Proposed Rules
  ENVIRONMENTAL PROTECTION
  AGENCY

  40 CFR Parts 264 and 265
  IFRL. 1459-7}

  Financial Requirements for Owners
  and Operators of Hazardous Waste
  Management Facilities

  AOENCY: Environmental Protection
  Agency.
  ACTON: Revision of Proposed Rule.

  SUMMARY: This proposal is a revision of
  regulations proposed on December 18,
  1978 (43 FR 58995, 59003-7). Under the
  revised proposal, as in the original an
  owner or operator of each hazardous
  waste management facility would have
  to provide assurance that funds will be
  available when needed for properly
  closing the facility and. in the case of a
 disposal facility, for maintaining and
 monitoring it after closure. The revised
 proposal, however, allows a numberof
 options in providing such assurances,
 while the original proposal had only one
 option, trust funds. The revised
 provisions for financial assurance are
 proposed for Inclusion both in the
 general standards to be used in
 permitting (Part 284) and in standards
 for facilities in interim status (Part 265).
   The revised proposal also includes a
 new requirement for liability insurance
 for facilities in interim status. The
 liability requirements in the original
 proposal were only for inclusion in-the
 general standards. These general
 standards have not been revised, but the
 comment period for them is reopened.
   EPA is reproposing this rule because
 of the many new and revised provisions
 which have not been subjected to public
 review. The changes have resulted from
 reanalyses by the Agency in response to
 public comment oo the original proposal
 DATES:  Comments are due on or before
 July 18,1980. A public hearing will be '
 held July 1,1980 from 9 a.m. to 5 p.m.
 ADDRESSES: Comments should be
 addressed to Deborah Villari. Docket
 Clerk, Office of Solid Waste (WH-582),
 U.S. Environmental Protection Agency.
 401M Street SW., Washington. D.C.
 20460, (202) 755-9173. Comments^hould
 identify the regulatory docket'as
 follows: "Section 3004. Financial
 Requirements."
  The official record for this rulemaking
 is available at: Room 2711. U.S.
 Environmental Protection Agency, 401M
 Street SW.. Washington. D.C. 20460. and
 is available for viewing from 9 a.m. to
4:30 p.nu Monday through Friday,
 excluding holidays.
  A public hearing will be held at the .'
HEW North Building Audjfbrium. .330
                     Independence Avenue SW.,
                     Washington. D.C. on July 1.1980. from 9
                     a.m. to 5 p.m.. with registration from 8:30
                     to 9 a.m. Anyone wishing to make a
                     statement at the hearing should notify,
                     in writing: Ms. Geraldine Wyer. Public
                     Participation Officer. Office of Solid
                     Waste (WH-562). U.S. E.P.A.. 401 M  •
                     Street SW., Washington. D.C. 20460-.
                      Oral and written comments may be
                     submitted at the public hearing. Persons
                     who wish to make oral presentations
                     must restrict their presentations to 10
                     minutes and are encouraged to have.
                     written copies of their complete
                     comments for inclusion in the official
                     record.
                     FOR FURTHER INFORMATION CONTACT: .
                     George A. Garland. Chief, Economic and
                     Policy Analysis Branch. Office of Solid .
                     Waste (WH-565). U.S. Environmental
                     Protection Agency. 401 M Street SW..
                     Washington. D.C. 20460. (202) 755-9190.
                      For information about the liability
                     requirements, contact Hugh Holman,
                     Economic Analysis Division. Office of
                     Planning and Evaluation (PM-220). U.S.
                     Environmental Protection Agency, 401 M
                     Street SW.. Washington, D.C. 20460
                     (202) 755-2877.
                     SUPPLEMENTARY INFORMATION:

                     Authority
                      This regulation is proposed under the
                    authority of Section 1006. 2002(a), and
                   , 3004. of the Solid Waste Disposal Act,
                    as amended by the Resource
                    Conservation and Recovery Act of 1976
                    (RCRA). a* amended. 42 USC § S 6905.
                    6912(i]L and 6924.
                    Background
                      Section 3004(6) of the Resource
                    Conservation and Recovery Act of 1978.
                    specifically requires EPA to establish
                   • financial  responsibility standards
                    applicable to owners and operators of
                    hazardous waste management facilities
                    as such standards may be necessary or
                    desirable to protect human health and
                    the environment. EPA proposed, on
                    December 18.1978 (43 FR 58995. 59008-
                    7). financial requirements intended to
                    provide: (1) assurance that funds will be
                    available when needed to close
                    hazardous'waste management facilities
                    properly and to monitor and maintain'.  •
                    hazardous waste disposal facilities after
                    closure; and (2) liability coverage for
                    injuries to people and property which
                    result from the operation of hazardous
                    waste management facilities.
                      The need for requirements for
                    financial assurance of closure and post-
                    closure care is indicate'd by the
                    numerous instances of environmental
                    damage resulting from abandonment of
                    facilities and other failure to provide for
 .closure and post-closure care in a tiii
 manner. (Several such cases are
 described in the Background DOCL
 for the financial requirements.) The*
 likelihood of failure to provide
 adequately for closure and post-closure
 care is increased by the fact that the
 costs occur when the economic value of
 the facility is diminished or nonexistent.
 For some disposal facilities, post-closure
 care must extend for decades beyond
 the operating life .of the facility. EPA
 believes that significant numbers of
 owners and operators may lack the
 ability to provide effectively for closure
 and post-closure costs unless they make
 provision for them during the active-
 operating life of the facility.
   The Agency believes liability
 requirements are necessary because of
 the potential for damage to people and
 property from hazardous waste       •
 management operations, as indicated by
 actual damage cases and the essential
 nature of hazardous wastes. If the
 facility owner or operator has
 insufficient financial resources to pay
 for damages, private parties or
 government may be forced to bear the
 costs.
   The basic purposes of the financial
 requirements have not changed since
 the original proposal, but the provisij
 for achieving these purposes have I
 expanded and altered as a result ol
 reanalyses following public common?
 the original proposal. As explained in
 greater detail below, the revised
 proposal would allow owners and
 operators to choose from a number of
 mechanisms in providing financial ,
 assurance for closure and post-closure
 care, including trust funds, surety bonds,
 letters of credit, guaranties, a financial
 test, and a revenue test for
 municipalities. The provisions for the  .
 one option that was available in the
 original proposal, the trust fund, have
 been restructured to be less burdensome
 to owners and operators.'Standard  .
 forms for the financial instruments have
 been added to the proposal.
  The revised requirements for financial
 assurance for closure and post-closure
 care are proposed for inclusion in both
 the genera} standards to  be used in the
 permitting of hazardous waste
 management facilities (40 CFR Part 264)
 and the interim status standards (Part
 265). The headings and citations are
 numbered for inclusion in Part 265 since
 the regulations on closure, post-closure
 care, cost-estimating, and applicability
 to which the proposed regulations must
refer have been promulgated only foj;
Part 265 (and appear in today's Fe
Register). For inclusion in Part 264.1
citations would be changed and othe

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                                             '            '•     '  '  • "     '          ' '' r    '    *  '

                    Federal Register / Vol. 45.  No. 98  /  Monday. May 19. I960 / Proposed Rules
                                                                       33261
   minor modifications would be made,
   e.g.; the requirement that the assurance
   mechanisms be established by the  ,
   effective date of the regulations would
   be dropped since the general 'standards
   must be applicable to new facilities
   seeking a permit after the effective date.
     The revised proposal also adds a
   liability insurance requirement for
   facilities in.interim status. The insurance
   would cover damage claims resulting
   from sudden accidents. The general
•   status liability requirements in the
   original proposal, covering both sudden
   and nonsuddeh events, are not part of
   the reproposal. but the public comment'
   period for them is reopened, to run .
   concurrently with the comment period .
   for the reproposaL
     Other portions of the original proposal,
   not included in the reproposal are: (1)
   the requirements for estimating the costs
   of closure and post-closure care, which,
   .with an "Applicability" section, are
   promulgated in today's Federal Register
   (2) the transfer of ownership provisions,
   which are dropped from these -
   requirements since this topic is more
   appropriately covered by the-
   Consolidated Permit Regulations, 40
   CFR Part 122. Subparts A and B.  which
   are promulgated today; and  (3) the
   access and default provisions, which are
   dropped since Sections 3007 and 3008 of
   RCRA contain access and enforcement
   provisions that apply to all regulations
   under Subtitle C of RCRA. and the
  Agency has decided that special
  provisions for financial responsibility
  requirements would be inappropriate.
,  Applicability    "    .  ••
    The applicability of the financial
  requirements for hazardous waste
  facility owners and operators is set forth
  in 40 CFR 265.140. which is promulgated
  today. The proposed regulation, as  -
  revised,  includes amendments to
  § 265.140 to cover applicability of the
  proposed financial requirements.
  Essentially,.the financial requirements
  for closure and the liability requirements
  would apply  to owners and operators of
  all hazardous waste facilities, arid the.
  requirements for post-closure care
  •would apply  only to owners and
  operators of disposal facilities. States
  and the Federal government are exempt
  from  the financial requirements.

  Financial Assurance for Closure
   Under Subpart G of the Part 265
  regulations promulgated today, an
  owner or operator of each hazardous
  waste facility must prepare a closure
  plan for the facility. The owner or
  operator must also prepare a cost
  estimate  for closure of his facility at the
  point in the facility's operating life when
  the extent and-manner of i Is opera lion  '
  would make closure the most expensive.
  as indicated by its closure plan: he must
  adjust the estimate for inflation annually
  and prepare a new estimate whenever a
  change in the closure plan affects the
  cost of closure (see § 265.142).
    The originally proposed interim status
  standard for financial assurance for
  closure required that the owner or
  operator make a cash deposit for the
  entire amount of the closure cost
  estimate into a closure trust fund on the
  effective date of the regulations: the
  general standard* required an owner or
  operator to make a cash deposit equal to
  the cost estimate for closure, multiplied
  by the appropriate ."present value
  factor," into a closure trust fund as a
  condition of receiving a permit. The
  present value factor accounted for
  growth of the fund over operating life at
  a 2 percent per annum real interest rate
-.(interest minus inflation). A  number of
  commenters said that owners and
 operators of many facilities  could not
 afford to'comply with these
 requirements. They suggested that many
 facilities would have to close.
 exacerbating the expected shortfall in
 hazardous waste management capacity.
 The Agency believes that depositing the
. full amount of the closure cost in the
 trust at the beginning may cause
 insolvency in a few cases representing a
 relatively small percentage of capacity.
 However, not being willing to risk
 aggravating a possible capacity
 shortfall, EPA proposes to allow the  -
 closure trust hind to build up over the
 expected life of the site or 20 years.
 whichever period is shorter.  The revised
 proposed requirements for the  trust fund
 include provisions for adjusting the
 annual payments in response to
 inflation, changes in the closure cost
 estimate, and changes in the  value of
 securities in the fund.
  As noted above, the originally
 proposed general standard for the trust
 fund allowed adjustment of the lump-
 sum amount to be deposited  on the basis
 that the fund would earn a real interest
rate of 2 percent Some commenters felt
that this rate was too low. while others
felt it was too high. EPA agrees that a 2
percent real interest rate is too high.
Provisions of the revised proposal are
based on a zero real interest  rate to
adequately account for .the effects of
long-term inflation and trustee fees.
Based on long-term data, the  Agency
believes that over an extended period.
the purchasing power of the deposited
funds is likely to be static, i.e., the
nominal interest realized will be
cancelled out by inflation and by trustee
fees..  -'-•''
    The original proposal did not allow
  reimbursement of the.owner or operator
  for closure expenses from the trust fund
  until closure \vas completed to the
  satisfaction of the Regional  -        '
  Administrator. Commenters stated that
  this provision imposed hardship on
  owners arid operators since they would
  have to pay out twice for closure before
  being reimbursed. The Agency .agrees
  that it would be preferable to reimburse
  owners and operators as closure is
  accomplished. Under the revised
  proposal the owner or operator would
  be reimbursed for closure bills
  submitted before closure was completed •
  if the Regional Administrator found
  them to be in accordance with the
  closure plan and if the amount
  remaining in the trust fund after such
  payment wquld be at least 20 percent of
  the'amount in the fund when closure
  began. The 20 percent remaining would
  provide reasonable financial assurance •
  for closure activities that may be found
  to be necessary after the owner or
  operator and an independent registered
  professional engineer have certified that
  closure was completed in accordance
  with the closure plan. The Regional
  Administrator must release all funds
  within 30 days of receiving such
  certifications unless he has reason to   .
  believe closure was not done according
. to the closure plan.   •          , ..
   EPA received numerous comments,
  especially from industry, suggesting that
  other financial assurance mechanisms in
  addition to the trust should be allowed.
  Commenters stated that allowing only
  trust funds is unnecessary and '
  financially burdensomie. The Agency
 now proposes to allow a number of
 mechanisms' including surety bonds,
 letters of credit, guaranties, and tests of
 financial strength, as,well as trust funds.
   EPA's major concern with respect to
 surety  bonds has been that they could
 be quickly cancelled and thys did not
 assure coverage of closure. As the
 Agency has gone through the process of
. revising its proposed regulations,
 however, it has learned that
 cancellation provisions that assure
 coverage of closure may be obtainable
 by the regulated community. The surety
 bond provisions in the reproposal
 include two cancellation clauses. First,
 the owner or operator and EPA must   '
 receive 90 days' notice of cancellation
 from the surety company; during this
 time, if the owner or operator is unable
 to establish other financial assurance,
 the Agency may order closure. A second
 clause requires that the bond must
 remain in effect until completion of
 closure once closure begins or is ordered
 to begin by the Regional Administrator,

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  332S2
Federal  Register / Vol. 45.  No. 98 /  Monday. May 19.  1980 / Proposed Rules
  EPA believes that these provisions
  would make the surety bond an
  acceptable alternative mechanism.
    A bank letter of credit assures that a
  bank will make available a specific sum
  of money over a specific time period on
  behalf of its customer to the party
  {beneficiary) in whose favor the letter-is
  written. The beneficiary can draw on
  the credit by presenting documents
  specified in the letter. Under the
  proposed regulation, a letter of credit.
  payable to the Regional Administrator.
  would be obtained by a .facility owner or
  operator in the amount of the closure
  cost estimate. The letter of credit would
  contain an automatic one-year
  extension clause; if the bank decides not
  to renew the credit it must give 60 days'
  notice to the Regional Administrator
  and the owner or operator. If the owner
  or operator fails to establish other
  financial assurance during this period.
* or if the owner or operator fails to carry
  out closure in accordance with the
  closure plan, the Regional Administrator
  could draw on the credit the funds
  would go into an escrow account from
  which closure bills would be paid.
    The revised proposal includes a •
  financial test consisting of criteria for
  net worth, net working capital, and level
  of indebtedness. By meeting these
  criteria, firms could satisfy the
  requirement for financial assurance for
  closure. The purpose of the test is not to
  predict whether a.firm will go bankrupt
  but rather'to indicate whether it will
  have adequate funds to establish a trust
  fund or other allowable instrument to
  provide financial assurance for closure
  if its financial position deteriorates
  beyond the acceptable levels.
   Under the proposed regulation an
 entity meeting the financial test may
 guarantee another entity's compliance
 with the closure regulations, and this
 guarantee would qualify as financial
 assurance for closure.
   For reason* explained in the preamble
 to 40 CFR Parts 264 and 285. facilities
 owned or operated by States  or the
 Federal government are exempt from
 financial requirements under
 § 265.140(c). Since local governments
 can, and sometimes do, become
 insolvent however, the Agency has
 included a simple revenue test for
 municipalities in the reproposed
 regulation.
  For added flexibility, the revised
 proposal explicitly allows an owner or
 operator to combine instruments (e.g.,
 coverage of half the closure cost
 estimate by a trust fund, half by a letter
 of credit), cover more than one facility
 with a single mechanism, or cover both
 closure and post-closure care  with a
 single mechanism.
                        Under the originally.proposed interim
                      status standards, the Regional
                      .Administrator could allow partial
                      compliance with.the financial assurance
                      requirements if full compliance would
                      render the owner or operator insolvent.
                      This provision is not included in the
                      revised proposal'since it could work
                      against the main function of the
                      requirements as minimum standards for
                      financial responsibility on the part of
                      owners and operators. It would also
                      impose a severe administrative burden
                      on the Agency, since the financial status
                      of owners and operators applying for
                      such relief would have to be evaluated.
                      Furthermore. EPA believes that by
                      changing the trust fund to make it a less
                      costly mechanism, and by providing for
                      other financial mechanisms which, for
                      many owners and operators, may be
                      considerably cheaper to use  than the
                      trust fund, any need for such a provision
                      is substantially reduced.

                      Financial Assurance for Post-Closure
                      Care
                        Subpart G of the Part 265 regulations
                      promulgated today requires that an
                      owner or operator of each hazardous
                      waste disposal facility prepare a plan
                      for 30 years of post-closure care. The
                      owner or operator must prepare, and
                      keep current a cost estimate for 30
                      years of post-closure care of  the facility
                      (see § 265.144).
                       The original proposed regulation, for
                      financial assurance for post-closure care
                      required establishment of a trust fund
                      built up over the life of the facility.
                      Assurance of post-closure care .for 20
                     years was required since the  basic  .
                      period of post-closure care under the
                     proposed post-closure' regulations was   *
                     20 years.  Again, a 2 percent real interest
                     rate was  assumed in directing the  '
                     calculation of the amount to be paid in.
                     The issues and comments received on
                     the post-closure trust fund requirements
                     were very similar to those received on
                     the closure trust requirements. The
                     Agency's response in the revised
                     proposal is very much the same, and
                     thug the post-closure trust provisions are
                     quite similar to those of the closure trust
                     provisions as revised. The owner or -
                     operator would be reimbursed for post-
                     closure costs if they are in accordance
                     with the post-closure plan. At the end of
                     30 years of post-closure care (or earlier
                     if the Regional Administrator reduces  -
                     the post-closure care period required of
                     the facility), any funds remaining in the
                     trust would be returned to the owner or
                     operator.
                      In the revised proposal surety bonds
                     and letters of credit have been added as
                     acceptable financial instruments for
                     assuring post-closure care. These may
  be written so that they assure In
  post-closure funds at closure, or,
  may assure that the funds'will bl 	
  available at any point during the post-
  closure period should the owner or
  operator default. A financial test
  guaranty, and a revenue test for
  municipalities are also being allowed as
  means of assuring post-closure care.
  Mechanisms for Financial Assurance
  Suggested But Not Included
  •' All the basic methods for providing
  financial assurance that have been
  added since the original proposal were
  among those suggested by commenters
  on the original proposal. There were a
  number of other mechanisms suggested
  that are not in the  reproposal. however.
    The escrow account has been •   '
  considered by the  Agency, but was not
  included in the reproposal because it
  would require the Regional
  Administrator to become a signatory to
  the agreement and might present other
  administrative burdens without  offering
  significant advantage over the other
  instruments allowed. The escrow
  account is used in  the reproposed
  regulations as a means of holding funds
  following a default, since this use of
  escrows does not involve the Regional
  Administrator as a signatory.
    A national fund-based on asses
  on owners and operators and    ,^^
  cover defaults was suggested by spiral
  commenters. Use of such a method  •'
  would clearly require special legislation.
  EPA is considering proposal of
1  legislation for a national fund that may
  include coverage of defaults in providing
  post-closure care, as well as coverage of
  post-closure liability.
   Other mechanisms suggested included
  pledges of securities, liens against land
  and real improvements, interest-bearing
  accounts  in financial .institutions, and
  sinking funds. These were not included
 because the Agency concluded that they
 suffered from one or more of the
 following shortcomings: their status is
' uncertain in the event of financial
 failure; they would impose unreasonable
 administrative burdens on the Agency;
 they could be cancelled quickly,
 providing no long-term guarantee of
 financial-assurance; or they depend on
 long-term solvency of the owner  or
 operator.

 Liability Requirements
   The reproposal includes an interim
 status requirement for liability insurance
 during operating life. Under this
 requirement an owner or operator of
 each hazardous waste treatment.  ~
 storage, or disposal facility  must
 evidence of a minimum of Sl.milli.	.
liability insurance per occurrence per

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                    Federal Register / Vol. 45.  No, 98 /  Monday. May 19.  1980 / Proposed Rules
                                                                        33263
    firm with a S2 million annual aggregate.
    for sudden and'acciderital occurrences
..   (exclusive of legal defense costs).   ,
     EPA today also reopens the comment
    period on the general standards for
    liability coverage proposed December
    18,1978 (43 FR 59007 j. The proposed   ,
 •   general standards differ from the interim
    status requirement proposed today, for
   reasons disczased below, the final
   general standards and interim status
   standards will be revised at
   promulgation to make them consistent
   as far as insurance far-sudden accidents
   is concerned.    •
     The general standards proposed in
   December 1978 required each owner or .
   operator to maintain liability insurance •
   for both sudden and accidental
   occurrence's and for nonsudden and "
   accidental occurrences. The interim
   status regulations proposed at that time
   did not include any, insurance         . "
   requirement. Though cognizant of the   •
   need for financial responsiblity for third-
   party claims during interim status, EPA
   was concerned that liability insurance
   would not be made available to
   facilities managing hazardous waste
   until they could show compliance with
   permit requirements. Analysis
   performed since the December 1978
   proposal suggests that many firms
   following good business management
   practices already possess liability
   insurance covering sudden accidents.
   Other firms that follow good
.   management practices should easily be
   able to increase their coverage to the
  requisite amount or to obtain coverage
,  in the event that they do not currently
  carry such insurance.                <
    Sudden accidents that cause damage
  to third parties are clearly  a possibility
 during the operation of a hazardous
 waste management facility. An analysis
 of the 90 incidents of damage occurring
 on hazardous waste management sites
 in the EPA-damage report files showed /
 that damage occurred from sudden
 .events in 15 of the incidents. Facilities
 Involved In sudden accidents were both
 "onrsite" (adjacent to manufacturing
 facilities] and off-site, and were owned
 by small, independent operators as well
 as by large corporations.
    The analysis of liability coverage has
 confirmed that coverage for nonsudden
 occurrences may not be available at this
. time to all firms prior to compliance
 with permit requirements. Most
 insurance companies,do not currently
 provide coverage of nonsudden
 occurrences; most that do provide
 coverage restrict it to their clients who
 are large and weUVmanaged.
 Consequently, for the interim status
• period, the Agency has decided to
 propose that insurance coverage be
   required, but only for damages from
   sudden and accidental incidents.
   .The analysis suggests that the
.   required insurance can be obtained at a
   reasonable cost The cost of liability
  '• insurance varies considerably with the
   inherent risk of the activity, insured, the
   management practices of the firm, and
   the past accident record of the firm. The
,   cost of annual coverage for sudden
   accidents is Kkely to range from $10-
  20.000 for a small "average risk" waste
  disposal firm (with annual revenues of
• $1 million or less) and would increase,
  though at a decreasing rate, for larger
  sized firms. This cost of coverage is.
  estimated to be 1-3 percent of annual
  revenues for small firms. If a small  firm
  is deemed to pose greater risks.
  however, it could end up paying 5-10
  'percent of its revenues for insurance. A
  large high-risk waste disposal firm is
  likely to pay less than 1 percent of its
  revenues for insurance coverage.  '
  Additionally, the cost of coverage for a
  firm that only stares waste shouldJpe
  less than the cost of coverage for waste
  disposal firms. Th« Agency bdicves that
  the firms that do not currently have this
  coverage or do cot have it ia the
  requisite amount should be able to
  secure it at rgqgqnahfc cost
                          .
   In addition to not, requiring coverage
 for nonsudden events, the liability ,
 insurance requirement for the interim  "
 status .period proposed here differs from
 the previously; proposed general
 standards in several respects:
   The amount of insurance .coverage
 required for sudden incidents is SI
 million per incident instead of the $5
 million per incident specified in the
 proposed general standard. Many:,;
 cbramenters on the proposed general
 standard argued that S5 million was too
 high, and that there have been no
 representative settlements in this
 amount In response to these comments,
 EPA has reconsidered the.required level
 of coverage. An extensive analysis of
 the Agency's damage report files
 identified only one incident where
 damage caused by a sudden occurrence
 was estimated. The damages in this
 incident were $216,500 (1979 dollars).
 Insurance industry representatives
 informed EPA that  small firms might
 typically maintain coverage for sudden
 events in an amount ranging from
 5300,000 to SI million. Finally. EPA   •
 contacted four States (Washington.
 Oregon. Oklahoma, and Kansas) known
 to require insurance for hazardous
 waste management facilities, and found
 that the amount of insurance required  .
by these States ranges from 5300,000 to
$1.2 million. On the basis of these
findings, EPA is proposing to require $1
   million of liability insurance per
   incident           '       '       •
     Many commenters on the proposed
   general regulations argued that EPA
   should not specify any one amount of
   required insurance coverage, that the
   amount should be decided on a case-by-
   case basis after a review of the degree
 ,  of risk posed by the operations of a
   hazardous waste management facility.
   EPA agrees that the degree of risk is of
 .  signal importance in setting an   •
   appropriate level of insurance coverage.
   EPA believes that $1 million is a
   reasonable minimum level of coverage '•
   for sudden and accidental occurrences
   for all firms managing hazardous
   wastes, and that many firms will choose
   to obtain coverage in greater amounts
   based on the risks inherent in.their
   operations. EPA also believes that the'
   premiums paid by facility owners and
   operators for a giyen level of coverage
 , will reflect the degree of risk posed by
   the opefations of the facility.
 .   Under today's proposal, liability
  insurance is to be maintained on a per
  firm basis rather than a per site basis,
  accompanied by an annual aggregate
  liability limit. Many commenters on the
  proposed general standards requested
  clarification on this point. Liability
  insurance is required on a per firm basis
•  rather- than a per site basis because  '
  insurance companies.geherally provide '
 •coverage to all facilities owned or
 operated by a firm under a single policy.
 The insurance industry provides
 coverage in this manner because
 through the use of an annual aggregate
 they are able to take into account the    '
 risk of multiple accidents occurring at a
 firm which owns one or more facilities.
 Having reviewed prior damage incident
 histories, the Agency believes that an
 annual aggregate twice that of the
 liability limit per occurrence will
 provide adequate coverage for sudden
 accidents.            ,      " • .  '
   The amount of liability insurance
 carried must exclude legal defense
 costs. Legal defense coats are excluded
 from-the liability limits because the
 costs of legal defense could be
 considerable and. if included in the
 limits, could consume the major portion
 of insurance coverage and leave little
 coverage for actual damages. The
 exclusion of legal defense costs is also
 consistent with standard comprehensive
 general liability policies.
   An added requirement is that the
 deductible in the insurance policy must
 not exceed 5 percent of the per incident.
 limit of liability of the policy. A      -
 maximum limit has been placed on the
 deductible in order to prevent firms from
 carrying a policy with a deductible so  -  '
 high as to render any insurance

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 33264           Federal Register /  Vol. 45. No. 98 / Monday. May 19.  1980 / Proposed  Rules
 coverage ineffective, due to the
 underlying inability of the firm to meet
 its obligations under the deductible.
   Finally, self-insurance is not permitted
 as an alternative to liability insurance
 during interim status. Self-insurance, as
 proposed in the December 1978 general
 standards, was defined as the absence
 of insurance and the sufficiency of
 equity to caver potential claims. The
 Agency believes that most if not all  '
 firms currently carry or can obtain
 comprehensive general liability policies
 and hence sees no need to allow self-
 insurance for the Interim status period.
 UM of State-Authorized Mechanism*
   In the original proposal the Agency
 did not address the problem of
 differences between State and Federal
 financial requirements which potentially
 might cause problems to owners or
 operators. No such problem would
 develop in States that receive
 authorization to operate a hazardous
 waste regulatory program in lieu of the
 Federal program, since only the State's
 requirements would apply. Some States.
 however, may not seek or obtain
 Federal authorization, and. for others.
 authorization may be delayed. In such
 States the owners and operators would   ,
 be subject to Federal hazardous waste
 regulations and also to any State
 hazardous waste regulations that are in
 effect To avoid causing unnecessary •
 burdens on owners and operators, the
 Agency has included provisions in the
 revised proposal that would allow
 owners or operators to use State-
 authorized mechanisms to meet the
 Federal financial requirements if such
 mechanisms provide assurances that'are
 substantially equivalent to that of.
 mechanisms specified in the Federal
 requirements.                        *
  Also, to the extent that a State
 assumes legal or financial responsibility
 for closure, post-closure care, or liability
 coverage for a facility, the owner and
 operator would be exempt from the
respective Federal financial
 requirements.
 Comments Requested on Financial
 Assurance for Closure and Post-Closure
 Care
  In response to many comments on the
 original proposed regulation on financial
 assurance for closure and post-closure
 care, the Agency is proposing a greatly
 expanded regulation. The main
 objective has been to allow means in
 addition to trust funds which would be
 effective in assuring availability of
needed funds. EPA has limited
experience regarding financial
mechanisms, however. The Agency
wishes to receive, and expects to benefit
 greatly from, public review'of this entire
' revised proposal. Furthermore, the
 Agency requests comments on the
 following specific matters:
   • The revised proposal allows the
 closure trust fund to be built up in
 annual payments over the life of the
 facility, or 20 years, whichever period is
 shorter. Does the benefit of lowering the
 cost of compliance with the financial
 requirement outweigh any reduction' in
 financial assurance caused by the
 lengthy pay-in period?       '
   • What kinds of owners or operators
 of hazardous waste facilities are likely
 to be able to obtain letters of credit and
 surety bonds? Can the requirements for
 these instruments be altered in a way
 that will increase their availability
 without reducing their effectiveness?
   • What has been the experience of
 other governmental entities with
 collecting on surety bonds and letters of
 credit in the event of a default? Has
 experience led any governmental body
 to prefer one type of financial
 instrument over another in terms of
reliability and ease of administration?
 What kinds of arrangements do banks
and other financial institutions usually.
make to hold funds pending the outcome
of legal determinations of default?
 "• Are the proposed, financial test.,
revenue test, and guaranty effective
means of financial assurance? Are the
criteria accurate measures of financial
health? Are there relatively simple
alternatives or substitutes for the
criteria which promise greater accuracy
or reliability? Is there empirical
evidence available which would justify
making the proposed financial tests
more or less stringent? Should'private
bond-rating services be considered as
an alternative to the revenue test for
municipalities or added as an element of
the test?
  • The Agency has considered escrow
accounts as mechanisms for financial
assurance and has tentatively decided
that they are likely to present undue
administrative burdens to the Agency
without offering significant advantages
over the other instruments allowed in
the regulations.  Comments are
nonetheless invited on the idea of
adding escrow accounts to the list of
allowed instruments.
  • The revised.proposal allows for use
of a single financial mechanism to
provide financial assurance for closure
and/or post-closure care of multiple
facilities. How useful is this provision to
the regulated community? Will it pose
administrative problems to the Regional
Offices in  cases where facilities in more
than one Region are covered by a single
financial instrument?
    • Suggestions and information or
  other possible mechanisms, or onj
  different versions of the instrume^
  already allowed, will be welcomec
  utility of such suggestions will be
  maximized by providing concrete
  examples of the form and operation of
  the instruments'as well as an argument
  as to how they will succeed in meeting
  the problems of providing financial
  assurance for closure and/or post-
  closure care at a hazardous waste
  facility.
    • EPA has been considering
  proposing legislation for a national fund
  that would provide financial assurance
  for post-closure care. Under such an
  approach, owners or operators of
  hazardous waste disposal facilities-
  would pay into a national fund which
  would then be used to pay for post-
" closure care at bankrupt facilities.
  Comments are invited on whether this
  approach might be less costly than the
  proposed requirements for financial
  assurance for post-closure care.
    • Forms for the trust, instruments.
  surety bonds, letters of credit, and
  guarantees allowed in this revised
  proposal are  included in these
  regulations in Appendices fl-VIII. The
  Agency would prefer to require the use
  of such forms in.order to simplify review
  of the instruments and administraf
  the regulations. Are there errors ol
  commission or omission in the lang
  of the specific forms which may impede
  or prevent them  from accomplishing the
  goals intended? Would changes  in the
  language or requirements of the  specific
  forms increase their availability to the
  regulated community without reducing
  their reliability?  How can the costs of
 •the instruments be minimized further?

  Comments Requested on Liability
  Requirements
   EPA also invites comments on several.
  issues pertaining to the interim status
  liability requirement proposed today,
  and reopens the comment period on the'
 general standard for liability coverage
  proposed December IS, 1978 (43  FR
 59007).
  . EPA invites comment on the following
. specific issues, as well as on any other
  issues raised  by  the proposed liability
 requirements:
   • Should the Agency require
 insurance coverage for nonsudde.n and
 accidental occurrences during the
 interim status period?
   • Will  the insurance industry provide
 such coverage?
   • Will  such coverage be availablg
 a continuing basis, or may the ins|
 industry withdraw such coverage f
 event of large damage suits?

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                             Federal Register / Vol. 45, No.  98 / Monday. May  19. 1980 / Proposed Rules           33265
*
    • Is it desirable to allow the use of
  financial responsibility mechanisms
  such as indemnity funds as alternatives
  to liability insurance for either sudden
  or nonsudden occurrences? How would .
  such alternatives work?    •           -
    • Is the amount of coverage specified
  in the regulations appropriate?
    .• Can we tailor the amount of
  required insurance .to reflect better the
  degrees of risk posed by the operations
  of particular sites? How can this be
  done?
 -  * What will the likely annual cost of
  insurance be for nonsudden incidents?
.    •Will all firms be able to afford -
  insurance for nonsudden incidents?
    •  Can a useful self-insurance
  alternative be specified which will
  ensure financial responsibility? What
  criteria should be used in qualifying self-
  insurers? What should be the allowable
  level(s) of self-insurance?
    »  EPA has obtained information on
  the above issues relating to liability
 requirements since the original proposal
 and has included the information as an
 appendix to the Background Document
 for the financial requirements. The
 Agency requests comments on this
 information as well as on the rest of the
 Background Document
 Background Document
   Copies of the Background Document
 prepared in support of this revised
 proposed rule are available for review in
 all EPA Regional Office libraries and in
 the EPA headquarters library (Public
 Information Reference Unit) Room 2404,
 Waterside Mall. 401 M Street. SW.
 Washington, D.C.

 Economic, Environmental, and    ,  •
 Regulatory Impacts
   In  accordance with Executive Order,
-11821, as amended byExecutive Order
 11949, and OMB Circular A-107. EPA
 policy as stipulated in 38 FR 37419,
 October 21.1974. and Executive Order
,12044, respectively, analyses of the
 economic, environmental, and
 regulatory impacts are being performed
 for the entirety of Subtitle C. Hazardous
 Waste Management. Copies of the draft
 documents covering the proposed
 requirements for financial assurance of
 closure and post-closure care are
available for review in the EPA libraries
noted above. The impacts of the liability
requirement in this reproposal are not
covered in the present drafts but will be
covered in subsequent drafts.
  Dated:.Vtay 2.1980.   •
Douglas M. Cattle.
Administrator.        '        , ,

  It is proposed to amend 40 CFR Part
265 by revising  § 28S.l40{a)  and (b}. and
                                                   . adding § § 285.141. 265.143. 265.143.
                                                    265.148. 265.147..and Appendices I-VIIL
                                                    It is also proposed that the'same
                                                    provisions, with change's in section
                                                    numbers and other minor modifications.
                                                    will be included in Part 264.

                                                    Subpart H—Financial Requirements

                                                    §265.140 Applicability.
                                                     (a) The requirements of §§ 285J42,
                                                    265.143, 265.148. 265.147. and 265.149
                                                    apply to owners and operators of all   ,
                                                    hazardous waste facilities, except as
                                                    provided otherwise in this section or in
                                                    5286.1,
                                                     (b) The requirements of 51285.144
                                                    and 285.145 apply only to owners and
                                                   operators of disposal facilities.  	
 9265.141  Definition*.
   When used in Part 265, the following
 terms have the meanings given below:
   (a) "Assets" means debit balances
 carried forward upon a closing of books
 of account representing property values
 or rights acquired that are recognized
 and measured in  conformity with
 generally accepted accounting
 principles.
   (b) -Current assets" means cash and,
 other assets that are reasonably
 expected to be realized in cash or sold
 or consumed daring the normal
 operating cycle of a business or within
 one year, if the operating cycle is shorter
 than one year.
   (c) "Current liabilities" means
 liabilities expected to be  satisfied by
 either the use of assets classified as ,
 current in the tame balance sheet or the
 creation of other, current liabilities: or
 those expected to be satisfied within a
 relatively short period  of time, usually
 one year.         •                 .' ;
   (id) "Liabilities'* means  obligations
 carried forward upon a closing of books
of account that are recognized and
 measured in conformity with generally
 accepted accounting principles.
   (e) "Marketable securities" means
 securities that are traded on recognized
 established securities markets where
 there are independent bona fide offers
 to buy and sell and where payment will
be received in settlement of a sale
within a relatively short time  ,
conforming to trade custom.
   [f] "Net working capital" means the
excess of current assets over current
liabilities.                ,
   (g) "Net worth" means the excess of
total assets over total liabilities and is
equivalent to owner's equity.
  (h) "Standby letter of credit" means
an irrevocable engagement by an issuing
bank, at the request of an owner or
operator, that it will honor demands for
  payment made by the U.S.,
  Environmental Protection Agency for,
  the period of the letter of credit and
  under terms specified for letters of credit
 , in these regulations.           '
   (i) ''Surety bond" means a'contract by
  which a surety company engages to be
  answerable for the default or debts by
  an owner or operator on responsibilities
  relating to closure or post-closure care,
  and agrees to satisfy these   .
  responsibilities if the owner or operator
  does not, in accordance with the terms
  specified for surety bonds in these
  regulations..         ,             .
   (j) 'Total-liabilities-to-net-worth
  ratio" means the value of total
  liabilities, which includes the sum of
  short-term and long-term obligations,
  divided by the value of net worth.
   (k) 'Trust fund" means a fund
  established by an owner or operator and
 held by a financial institution as the
  trustee with a fiduciary responsibility to
 carry out the terms of the trust as
 specified in these regulations for the
 "benefit of the U.S. Environmental
 Protection Agency.
 . • -  •    . •   •    •

 9265.143   Financial assurance for facility
 closure.
   By the effective date of these
. regulations, an owner or operator of
 each facility must establish financial
 assurance for closure of the facility. He
 'must choose from among the following
 options:,         '.. '
   (a) Closure trust fund.
   (1) The owner or operator may
 establish a closure trust fund^ The
 trustee must be a bank or other financial
 institution. The beneficiary of the trust
 fund must be the U.S. Environmental
 Protection Agency. ,•••
   (2) The trust agreement must be
 executed on EPA  Form 8700-15 (see
 Appendix 11). The owner or operator
 must send the properly executed trust
 agreement to the Regional Administrator
 by certified mail within 10 days after the
 effective date of the agreement.       -
   (3) Replacement of a trust fund with
 another form or forms of financial
 assurance allowed in this section must
 be preceded by the written consent of
 the Regional Administrator. The owner   •
 or operator must report any change of
 trustee to the Regional Administrator
 within 10 days after such a change
 becomes, effective.              .  '
   (4) Payments to the trust fund must be
in cash or marketable securities. The
 value of each security must be        '
determined in accordance With the
Internal Revenue Service method for'
valuing securities  for estate tax  .
purposes (26 CFR 20.2031-2). In all
valuations  of the trust fund for purposes

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                    Federal Register / Vol. 45. No. 98 / Monday. May 19, 1980  /  Proposed Rule9
33266
   of these regulations, securities must be
   valued fay this IRS method.
     (5) Payments to the closure trust fund
   must be made annually over the
   operating-life of the facility as estimated
   in the closure plan {§ 265.112{a)J or 20
   years, whichever period is shorten this
   period is hereafter referred to as the
   "pay-in" period. The first payment must
   be equal to the adjusted closure cost
   estimate (see 5 265.142] .divided by the
   pay-in period fa yean. THe first payment
   muit be made by the effective date of
   theie regulations. Subsequent payments
   must be made no later than 30 days after
   each anniversary date of the first
   payment The trust agreement must
   require the trustee to notify the Regional
   Administrator by certified mail within 5
   days after the end of the 30-day period if
   he doe»" not receive payment within such
  period. Upon receiving such notification.
 •the Regional Administrator may order
  the facility to begin closure unless the
  owner or operator has established other
  financial assurance as allowed in this
  section.
    (8) The owner or operator must adjust
  the amount of each annual payment
  after the first one by multiplying the
  amount of the previous year's payment
  by the inflation factor calculated in
  accordance with §  265.142(c).
   (7)  If a new closure cost estimate is
 prepared in accordance with
  1285.142(b), the next annual payment
 must  be calculated as follows:
   Step 1—Divide the adjusted closure
 cost estimate by the number of years in
 the pay-in period as of the effective date
 of these regulations.
   Step 2—Multiply the result by the
 number of payments made to the fund.
   Step 3—From the result of step 2
 subtract the current value of the fund.
 The result is the amount which needs to
 be distributed over'the remaining pay-in
 period.
   Step 4—Divide the result of step 3 by *
 the remaining years in the pay-in period.
   Step 5—Add the result of step 4 to the
 result  of step 1 to obtain the new
 payment
 (For an example of this calculation, see
 Appendix LJ
   (8) The owner or operator must
 determine the value of the trust fund
 each year within 30  days prior to the
 date each annual payment is due to be
 made.  If the total value of the fund has
 decreased since the  previous year's
 valuation the next payment must be
 calculated using the steps in paragraph
 (a](7) of this section. The owner or
 operator may also use the calculation in
paragraph (a)(7) to determine his next
payment if the value of the fund has
increased. If the value of the fund
                                       exceeds the total amount of the adjusted
                                       closure cost estimate, the owner or
                                       operator may submit a written request
                                       to the Regional Administrator for
                                      . release-of the amount in excess of the
                                       adjusted closure cost estimate. This
                                       request must be accompanied by a
                                       written statement from the trustee
                                       confirming the value of the fund.  ,
                                        (9} An owner or operator may
                                       accelerate payments into the trust fund
                                       or he may deposit the full amount of the •
                                       closure cost estimate at the time  the
                                      fund is established, but the trust fund
                                      must be valued annually and its value
                                      must be maintained at no less than the
                                      value that the fund would have had if
                                      annual payments had been made as
                                      specified in paragraphs (af)(5}-(8) of this
                                      section.
                                        (10) If an owner .or operator.
                                      establishes a closure trust fund after the
                                      effective date of these regulatiqns,
                                      having initially used one of the other
                                      mechanisms specified in this section, his
                                      first payment must be in the amount that
                                      the trust fund would have contained if it
                                      had been established on the effective
                                      date of these regulations-m accordance
                                      with the requirements of this section.
                                       (11) If the operating life of a facility
                                      extends beyond thejnaximum 20-year
                                     pay-fa period, the owner or operator
                                     must determine the value of the trust
                                     fund every year after the 20th year until
                                     closure begins. Whenever the closure
                                     cost estimate-changes during this, period
                                     fa accordance with § 285.142 ^b) or (c).
                                     the owner or operator must compare the
                                     new estimate-with the latest annual
                                     value of the fund. If the value of the fund
                                     is less than  the amount of the adjusted
                                     closure cost estimate, the owner or
                                     operator must deposit cash or
                                     marketable securities into the fund so
                                     that its value equals the amount of the
                                     estimate. Such payment must be made
                                     within 60 days of the change in the
                                     closure cost estimate. If the value of the
                                     fund is greater than the total amount of
                                     the adjusted closure cost estimate, the
                                     owner or operator may submit a written
                                     request to the Regional Administrator
                                     for release of funds fa excess of the
                                     estimate. This request must be
                                     accompanied by a written statement
                                     from the  trustee confirming the value of
                                     the fund.
                                       (12) Within 30 days after receiving a
                                    request from the  owner or operator for
                                    release of excess funds as specified in
                                    paragraphs (a)  (8) and (11). the Regional
                                    Administrator must direct the trustee in
                                    .writing to release such excess funds to
                                    the owner or operator unless the
                                    Regional Administrator finds that the
                                    closure cost estimate was not prepared
                                    and adjusted in accordance with
                                    §265.142.
     (13) An owner or operator may
   request reimbursement for closun
   expenditures by submitting itemi
   bills to the Regional Administrato—,
   Within 30 days after receiving bills lor
   closure activities, the Regional    •   .
   Administrator must direct the trustee in
   writing to pay those bills which the
   Regional Administrator determines to be
   fa accordance with the closure plan or
   are otherwise justified. Such payments
•   must be made so long as the value of ,the
   fund after payment is at least 20 percent
   of the value that the fund had before any
   closure bills were paid.
    (14) If an owner or operator
   substitutes another form or forms of
   financial assurance specified fa this
   section for all or part of the trust fund.
   he may apply to the Regional
   Administrator for release of funds from
   the trust fund. Within 30 days after
   receiving such request, the Regional
   Administrator must direct the trustee in
   writing to release the excess funds to
   the owner or operator.
    (15) The terms of the trust must
  require the trustee to make
  .disbursements as specified in this
  paragraph. The trustee will disburse
  monies from the trust fund to parties
  designated by the Regional
  Administrator upon written notification
  from  the Regional Administrator
    (i) The value of the trust fund«
  the amount of the adjusted closu
  estimate; or
    (ii) The itemized bills are in
  accordance with the approved closure  •
  plan or are otherwise justified, and  they
  must  be paid if the value of the trust
  fund after such payment is at least 20
  percent of the value that the fund had
  before any closure bills were paid; or
   (iii) The owner or operator has
  established other financial assurance for
  closure as allowed in this  section for
  part or all of the trust fund; or
   (iv) There has been a legal
  determination, a copy of which is
  attached to this notification, of a
  violation of the closure requirements of
  these  regulations rendered in a
 proceeding brought pursuant to Section
 SOOSofRCRA.  .
   (16) The trust agreement must require
 the trustee to release all funds remaining
 fa the  trust fund to the owner or
 operator upon receipt from him'Of the
 original or dn authenticated copy of the
 Regional Administrator's letter,
 specified in paragraph (h) of this section.
 notifying the owner or operator that he
 is no longer required to comply with the
 requirements of this section for
 financially assuring closure of the'
 facility.
   (b) Surety bond guaranteeing  .
performance of closure, (I) An own!

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                    Federal Register  /Vol. 45.  No. 98 / Monday. May 19.  1980 / Proposed Rules
                                                                        33267
   operator may meet the requirements of
   this section by obtaining a surety bond
   guaranteeing performance of closure. A
   surety company issuing a bond in
   accordance with these regulations must,
-   at a minimum, be authorized to do
   business in the United States and be
   certified by the U.S. Treasury
   Department, in Circular 570. to write
   bonds in the penal sum of the bond to be
   issued, the obligee of the bond must be
   the U.S. Environmental Protection
   Agency.
     (2) The bond must be executed on'
   EPA Form 8700-16 (see Appendix ffl].
   The terms of'the bond must provide that
   the surety will send the properly
   executed bond to the Regional     -.,.,
   Administrator by certified mail within
   10 days after the effective date  of the
   bond.
     (3) The surety bond must guarantee
   that the owner or operator will perform
   facility closure in accordance with the
   closure plan. The surety bond must be
  'written in an amount equal to or greater
   than the adjusted closure cost estimate
   (see S 265.142). The surety bond must be
•  written so that whenever closure
  activities begin or are ordered to begin
  by the Regional Administrator during
  the term of .the bpnd. the bond coverage.
  includes completion of closure in
  accordance with the closure plan.
    (4) If.the closure cost estimate
  increases'beyond the amount of the
  penal sum of the bond, the owner or
  operator must, within 30 days of such
  increase in the estimate, cause the penal
  sum of the bond to be increased or
  obtain other financial assurance; as
  specified in this section, to cover the
  increase. If the closure cost estimate
  decreases, the penal sum of the bond
.  may be reduced to the amount of the
  adjusted closure cost estimate. At the
  request of, the owner or operator, the
  Regional Administrator must send
  written notice to the surety of any
  reduction in the required penal sum
  within 30 days after receiving the
  request             •
   (5) The terms of the surety bond must
  provide that the surety company may
  cancel the bond by sending notice to the.
  owner or operator and to the Regional
  Administrator by certified mail.
  Cancellation must not be effective for at
  least 90 days after the Regional
  Administrator receives the notice. The
 owner or operator, within 5 days of
 receiving a notice of cancellation from
  the surety, must notify the Regional
 Administrator by certified mail that he
 has received such a notice. .The owner
 or operator may cancel the bond  by
 providing 30 days' notice to the surety
 company if the Regional Administrator
has given prior written consent based on
  his having received evidence of other
  financial assurance as specified in this
  section.        .      -
    (6) Thirty-days after receiving a notice
  of cancellation from the surety the
 •Regional Administrator may order the
  owner or Operator to begin closure '
  unless the Regional Administrator has
  received evidence of other financial
  assurance as specified in this section.
    (7) A surety becomes liable on a bond
  obligation only when a proceeding
  brought pursuant to the provisions of
  Section 3008 of RCRA has determined
  that the owner or operator has violated
  the closure requirements of these
 regulations. The terms of the bond must
 require that, following such a
 determination, the surety must:
    (ij Complete closure of the facility in
 accordance  with the closure plan: or
    (ii) Pay the amount of the penal sum,
 into an escrow account as  directed by
 the Regional Administrator.
    (8) The Regional Administrator must
 direct the depositary of an escrow
 account established under paragraph
 (b)(7)(ii) of this section to disburse funds
 to designated parties for the purpose of
 completing closure.
   [c] Standby letter of credit assuring
 funds for closure. (1) An owner or
 operator may meet the requirements of
 this section by obtaining an irrevocable
 standby letter of credit. The letter must
 be written in favor of the Regional
 Administrator of the US. Environmental
 Protection Agency and must be for a
 period of at least-one year.  The letter of
 credit may be issued by any bank which
 is a member  of the Federal  Reserve
 System.
  , (2) The letter of credit must be
 executed on EPA Form 8700-17 (see
 Appendix IV). The terms of Ihe letter
 must provide that the issuing bank will
 send the properly executed letter of
 credit to the Regional Administrator by
 certified mail within 10 days after the   •
 effective date of the letter.
  (3) The credit must be issued for at
 least the. amount of the adjusted closure
 cost estimate (see S 265.142).
  (4) If the closure cost estimate
 increases beyond the amount of the,
 credit, the owner or operator must,
 within 30 days of such increase in the
 estimate, cause the amount  of the credit
 to be increased or obtain other financial
 assurance, as specified in this section, to
 cover the increase. Jf the closure cost
 estimate decreases, the credit may be
 reduced to the amount of the adjusted
 closure cost estimate. At the request of
 the owner or operator, the Regional
Administrator must send written notice
to the issuing bank of any reduction in
the required credit within 30 days after
receiving the request.
     (5) The letter of credit must contain a •
   clause providing for automatic annual
   extensions of the credit, subject to 60
   days' written notice by the issuing bank
   to both the owner or operator and the
   Regional Administrator, by certified
   mail, of the, bank's intention not to
   renew the credit. The owner or operator,
   within 5 days of receiving notice of
   nonrenewal from the bank, must notify
   the Regional Administrator by certified
   mail that he has received such a notice.
  The owner or operator may cancel the
  letter of credit by providing 30 days'
  notice to the issuing bank if the Regional
  Administrator has given prior written  .
  consent based oh his having received
  evidence of other financial assurance as
  specified in this section,
    (6) Thirty days after receiving a notice
  of nonrenewal from the bank the
  Regional Administrator may draw upon
  the cre'dit up to the full amount of the  -
  credit unless he has received evidence
  that the owner or operator has
  established other financial assurance as
  specified in this section. If the Regional
  Administrator draws upon the letter of
  credit following a notice of nonrenewal,
  the issuing bank must, under the  terms
  of the letter, deposit the amount of the .
  draft immediately and directly into an
 . interest-bearing escrow account.
  Disbursements from the escrow account
  must be made in 'the same manner as
  specified for trust funds in paragraphs
  (a)(12HlS) of this section.
    (7) If the closure cost-estimate
  increases beyond the amount of the  ,
  funds in the escrow account, the owner
  or operator must, within 30 days of such
  increase, add to the account or establish
  other financial assurance as specified in
  this section to .cover the'increase. If the
 owner or operator fails to do so, the
 Regional Administrator may order him
 to begin closure.
   (8) The Regional Administrator may
 otherwise draw upon the letter of .credit
 only upon a legal determination of a
 violation of the closure requirements of
 these regulations rendered in a
 proceeding brought pursuant to th'e
 provisions of Section 3008 of RCRA. The
 terms of the letter must provide that,  if
 the Regional Administrator draws upon
 the letter of credit following such a
 determination, the issuing bank will
 immediately and directly deposit the
. amount of the draft into an interest-
 bearing escrow account. The letter must
 require the escrow depositary to
 disburse monies from the escrow
 account to persons designated by  the
 Regional Administrator to complete
 closure of the facility. ;
  | (d) Use of more than one type of • •
financial instrument. An owner or
 operator may meet the requirements of

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   33268           Federal Register, / Vol. 45. No. 98 / Monday. May 19. 1980  /Proposed Rules
   this section by establishing more than
   one type of financial instrument. These
   instruments are limited to a trust fund.'
   surety bond, or letter of credit as
   specified in paragraphs (a}, (b). and (c).
   respectively, of this section (e.g.. a letter
   of credit may assure half the closure
   cost and a trust fund the remaining half).
     (e) Financial test and guaranty for
   closure. (1) An owner or operator may
   meet the requirement! of this section by
   having all of the following financial
   characteristics:
     (I) At least $10 million In net worth in
   the United States.  '
     (il) A total-liabilities*to-net-worth
  ratio of not more than three.
     (ill) Net working capital in the United
  States of at least twice the adjusted
  closure cost estimate (see § 265.142).
    (2) These characteristics must be
  demonstrated in a financial statement
  which has been audited by an
  independent certified public accountant
  and which contains unconsolidated
  balance sheets dated no more than 140
  days prior to the current date. The
  owner or operator who intends to use a
  financial test to meet both closure and
  post-closure requirements fora single
  facility or to meet closure and/or post-
  closure requirements for more than one
  facility must indicate in the statement
  which requirements for which facilities
  are to be met through the financial test
  and must demonstrate (hat his net
  working capital in the United States is
  at least twice the sum of all the adjusted
  estimates of closure and post-closure
  cosU to be covered by the financial test
 The owner or operator must have the
 financial statement available at the
 facility and must provide data from the
 statement if requested as part of annual
 reports to the Regional Administrator
 under 12S5.75.
   (3) If at any time during the operating
 life of the facility the owner or operator
 fails to meet the requirements of
 paragraph (e)(l) of this section, he must
 notify the Regional Administrator by
 certified mail within S days of learning
 of failure to meet the requirements. •'   -
 Evidence of other financial assurance as
 specified hi this section must be sent to
 the Regional Administrator by certified
 mail within 30 days from the time that
 the owner or operator .learns of failure to
 meet the requirements: otherwise the
 Regional Administrator may order him
 to begin closure.
   (4) An owner or operator may meet
 the requirements of this section by   •
 obtaining another entity's written
 guaranty providing financial assurance.
 in an amount equal to the adjusted
 closure cost estimate, for the owner's or
 operator's compliance with the closure
requirements of these regulations. The
  guarantor must meet the requirements
  for owners or operators in paragraphs
  (e) (1) and (2) of this section.
     (S) The guaranty must be executed on
  EPA Form 8700-18 (see Appendix V).
  The owner or operator must send the
  properly executed guaranty to the
  Regional Administrator by certified mail
  within 10 days after the effective date of
  the guaranty.
    (6) Under the terms of the guaranty.
  the guarantor must notify the Regional
  Administrator and the owner or
  operator by certified mail if he at any
  time falls to meet the requirements of
 • paragraph (e)(l) of this section. The
  guarantor must send such notice within
  5 days after learning of failure to meet
  the requirements.
    (7) The owner or operator must,
  within 30 days of receiving such
  notification, establish other financial
  assurance as specified in this section
  and provide evidence of such assurance
  to the Regional Administrator. If he fails
  to do so, the Regional Administrator
 may order him to begin closure.
   (8) The guarantor may cancel the
 guaranty with 90 days' notice  to the
 Regional Administrator and the owner.
 or operator by certified mail except that
 the guaranty must remain in effect if  •
 closure begins or is ordered to begin by
 the Regional Administrator before the
 end of the SO days. Evidence of other
 financial assurance as specified in this
 section must be provided to the Regional
 Administrator within 30 days after a  .
 notice of cancellation is received by the
 Regional Administrator; otherwise, he
 may order the owner or operator to
 begin closure.
 • (9) The guaranty may be cancelled at
 any tune following the mutual written
 consent of the owner or operator! the
 Regional Administrator, and the
 guarantor.
  (10) Under the terms of the guaranty.
 in the event of a legal determination of a
 violation of the closure requirements
 rendered in a proceeding brought
 pursuant to Section 3008 of RCRA. the
 guarantor must pay parties designated
 by the Regional Administrator  to .
 complete closure in accordance with the
 closure plan.
  (f) Revenue test for municipalities. (1)
 If the'owner or operator is a
 municipality (as defined by RCRA), it
 may meet the requirements of this
 section by having annual revenues from
 property, sales, and/or income  taxes
 equal to 10 times the adjusted closure
 cost estimate (see § 265.142). To be
 acceptable, these tax revenues must be
legally available to cover closure -
responsibilities. i.e., they must not be
dedicated to other purposes or
  otherwise precluded from use in i
  closure responsibilities.
    (2) The owner or operator must
  letter signed by the chief financial
  officer of the municipality to the
  Regional Administrator stating that the
  municipality meets the requirements of
  paragraph (f)(l) of this section. The .
  letter must be sent by certified mail
  within 10 days after the owner or
  operator begins use of the revenue test
  to meet the requirements of this section.
    (3) If at any time during the operating
  life of the facility the annual tax
  revenues fail to meet the minimum
  multiple specified in paragraph (f)(l), the
  owner or operator must notify the  "
  Regional'Administrator by certified mail
  within 5 days of learning of failure to
  meet the requirement. The owner or
  operator must send evidence of other
  financial assurance as specified in this
  section to the Regional Administrator by
  certified mail within 30 days  from the
  time that the owner or operator learns of
  failure to meet the minimum multiple;
  otherwise the Regional Administrator
  may order the owner or operator to
  begin closure.
   (g) Use of a single financial ,
 mechanism for multiple facilities. An
 owner or operator may use a  singls
 financial mechanism, as specified!
 paragraphs (a) through (f} of this se_™
 to meet  the requirements of this section
 for more than one facility of which he is
 the owner or operator. The amount of
 funds available through the mechanism
 must be no  less than the sum'of funds
 that would be available if a separate
 mechanism had been established for
 each facility.
   (h) Release of the owner of operator
 from the requirements of this  section.
 Within 60 days of receiving
 certifications from the owner or operator
 and an independent registered
 professional engineer that closure has
 been accomplished in accordance with
 the closure plan (see § 265.115), the
 Regional Administrator must,  unless he
 has reason to believe that closure has
 not been in accordance with the closure
 plan, send a letter to the owner or
 operator notifying him that he no longer
 has to comply with the requirements of
 this section for the facility in question.
 [Comment: It should be noted  that this
 letter from the Regional Administrator
 to the owner or operator releases him
 only from requirements for financial
 assurance for closure of the facility; it
does not release him from legal
responsibility for meeting the
standards.]

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                   Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980  / Proposed Rules           33269
   § 265.145  Financial assurance for post-
   closure monitoring and maintenance.
     By the effective date of these  •'"•'.-'
   regulations, an owner or operator of '
   each disposal facility must establish
   financial assurance for 30 years of post-
   closure care of the facility. He must
   choose from among the following
 ,  options:        •  ;"
     (a) Post-closure trust fund. (1) The
  'owner or operator may establish a post-
   closure trust fund. The trustee must  be a
   bank or other financial institution. The
   beneficiary of the trust fund must be the
  U.S. Environmental Protection Agency.
    (2) The trust agreement must be
  executed on EPA Form 8700-19 (see
  Appendix VI). The owner or operator
  must send the properly executed trust
  agreement to, the Regional Administrator
  by certified mail within 10 days after the
  effective date of the agreement
    (3) Replacement of a trust fund with
  another form or forms of financial
  assurance allowed in this section must
  be preceded by written consent of the
  Regional Administrator. The owner or
  operator must report any change of   .
.  trustee to the Regional Administrator
  within 10 days after such a change
  becomes effective.'       "  •. ';   •
    (4) Payments to the trust fund must be
  in cash or marketable securities. The
  value of each security must be
  determined in accordance with the
  Internal Revenue Service method for
 valuing securities for estate tax
 purposes (28 CFR 20.2031-2). In all
 valuations of the trust fund for purposes
 of these regulations, securities must be
 valued by this IRS method.
   (5) Payments to the post-closure trust
 fund must be made annually over the '
 operating life of the facility as estimated
 in the closure plan (5 265.112(a)) or 20
 years,  whichever period is shorter, this
 period is hereafter referred to as the
 "pay-in" period.tThe first payment must
 be equal to the adjusted post-closure
 cost estimate (see 5 26S.144).divided by
 the pay:in period in years. The first
 payment must be made by the effective
 date of these regulations. Subsequent
'payments must be made no later than 30
 days after each anniversary date of the
 first payment The trust agreement must
 require the trustee to notify the Regional
 Administrator by certified mail within 5
 days after the 30-day period if he does
 not receive payment within such period.
 Upon receiving such notification, the
 Regional Administrator may order the  '
 facility to begin closure unless the
 owner or operator has established other
 financial assurance as allowed in this
section.
   (6) The owner or operator must adjust
the.amount of each annual payment
after the first one by multiplying the
  amount of the previous year's payment
  by the inflation factor calculated in
  accordance with § 265.142(c).
    (7) If a new post-closure cost estimate
  is prepared in accordance with
  § 265.144(b). the next annual payment
  must be calculated as follows:  "
    Step 1—Divide the adjusted post-
  closure cost estimate by the number of
  years in the pay-in period as of the
  effective date of these regulations.
•'.  Step 2—Multiply the result by the
  number of payments made to the fund.
   Step 3—From the result of step 2
  subtract the current value of Uie fund.
 .The result is the amount which heeds to
  be distributed over the remaining pay-in
  period.
   Step 4—Divide the result of step 3 by
  the remaining years in the pay-rin period.
  . Step S—Add the result-of step 4 to the
 result of step 1 to obtain the new
 payment
 (Appendix I provides an example of a
 calculation of a new closure trust fund
 payment using these same steps.)
   (8) The owner or operator must
 determine the value of the trust fund
 each year during the operating life of the
.facility within 30 days prior to the date
 each annual payment is due to be made.
 If the total value of the fund has  ,
 decreased since the previous year's
 valuation, the next payment must be
 calculated using the steps in paragraph  •
 (a)(7) of this section. The owner or
 operator may also use the calculation in
 paragraph (a)(7) to determine his next
 payment if the value of the fund has
 increased If the value of the. fund
 exceeds the to/a/amount of the  adjusted
 post-closure-cost estimate, the owner or
 operator may submit a written request
 to the Regional Administrator for
 release of the amount in excess of the
 adjusted post-closure cost estimate. This
request must be accompanied by a
written statement from the trustee
confirming the value of the fund.
  (9) An owner or operator may
accelerate payments into the trust fund
or he may deposit the full amount of the
post-closure cost .estimate at the time
the fund is established, but the trust
fund must be valued annually and its
value must be maintained at no less
than the value that the fund would have
had if payments and valuations had
been made as specified in paragraphs
(a)(5)-(8) of this section.           •
  (10) If an owner or operator
establishes a post-closure trust fund
after the effective date of these
regulations, having initially used one of
the other mechanisms specified in this
section, his first payment must be in the
amount that the trust fund would have
contained if it had been established on
   the.effective date of these regulations in
   accordance with the requirements of
   this section.                •
;    (11) If the operating life of a facility
   extends beyond the maximum 20-year  •
   pay-in period.' the owner or operator
   must determine the value of the trust
   fund every year after the 20th year until
   closure  begins. Whenever the post-
   closure  cost estimate changes during
   this period in accordance with § 265.144
  (b) or (c), the owner or operator must
  compare the new estimate with the
  latest annual value of the fund. If the
  value of the fund is less than the amount
  of the adjusted post-closure cost
  estimate, the owner or operator must
  deposit cash or marketable securities
  into the  fund so that its value equals the
  amount  of the estimate. Such payment
  must be  made within 60 days of the
  change in the post-closure cost estimate.
 ' If the value of the fund is greater than
  the total amount of the adjusted post-
  closure estimate, the owner or operator
  may submit a written request to the
  Regional Administrator for.release of  •
  funds in  excess of the estimate. This
  request must be accompanied by. a '
  written statement from the trustee
  confirming the value of the fund.
    (12) Within 30 days after receiving a
  request from the owner or operator for
  release of excess funds as specified in
  paragraphs (a)(8) and (11). the Regional
  Administrator must direct the trustee in
  writing to release such excess funds to
  the owner or operator unless the
  Regional Administrator finds that the
  post-closure costjestimate was not
  prepared and adjusted in accordance
  with § 265.144.
   (13) Ah owner or operator may
 request reimbursement for pos.t-closure
 expenditures by submitting itemized
 bills to the Regional Administrator.'
 Within 30 days after receiving the bills
 for post-closure activities, the Regional
 Administrator must direct the trustee in
 writing to pay those bills which the
 Regional  Administrator determines to be
 in accordance with the post-closure plan
 or are otherwise justified.
   (14) If an owner or operator
 substitutes another form of financial
 assurance specified in this section for all
 or part of the trust fund, he may apply to
 the Regional Administrator for release
 of funds from the.trust fund. Within 30 '
 days after receiving such a request, the
 Regional'Administrator must direct the
 trustee in writing to release the excess
 funds to the owner or operator.       • ' • '
   (15) Reversion of excess furids alter
 closure. -•'.-'•
   (i) If, under the provisions of
 § 265.117(d). the Regional Administrator
 follows termination or reduction of some
 or all of the requirements of a post-.

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  33270
                                                                        *

Federal  Register / Vol. 45. No. 98  /  Monday. May 19. 1980 / Proposed  Rules
  dostire plan before the end of the 30-
  year period, the excess portion of the
  trust fund must be released by,the
  Regional Administrator.
    (ii) At the end of the post-closure care
  period or the end of 30 years of post-
  closure care, whichever comes earlier.
  the Regional Administrator must direct
  the trustee to release any funds
  remaining in the trust to the owner or
  operator.
    (18) The terms of the trust must
  require the trustee to make
  disbursement* as specified in this
  paragraph. The trustee will disburse
  monies from the trust fund to parties
  designated by the Regional
  Administrator upon written notification
  from the Regional Administrator that:
    (ij The value of the trust fund during
  the operating life of the facility exceeds
  the amount of the adjusted post-closure
  cost estimate: or
    (ii) The itemized bills are in
  accordance with the approved post-
  closure plan or are otherwise justified;  •
  or
    (iii) The owner or operator has
  established other financial assurance for
  post-closure care as allowed in this
  section for part or all of the trust fund:
  or
    (iv) There has been a legal,
  determination, a copy of which is
  attached to this notification, of a
  violation of the  post-closure
  requirements of these regulations
  rendered in a proceeding brought
  pursuant to Section 3008 of RCRA: or
    (v) The post-closure care period has
  ended or the requirements for post-
  closure care have been reduced.
    (b) Surety bond guaranteeing a Jump-
 sum payment for post-closure care. (1)
 An owner or operator may meet the
 requirements of this section by
 obtaining a surety bond guaranteeing a
 lump-sum payment into a post-closure
 trust fund. A surety company issuing a
 bond in accordance with these
 regulations roust at a minimum, be
 authorized to do business in the United
 Stales and be certified by the U.S.
 Treasury Department, in Circular 570. to
 write bonds in the penal sum of the
 bond to be issued. The obligee of the
' bond must be the U.S. Environmental
 Protection Agency.
   (2) The bond must be executed on
 EPA Form  8700-20 (see Appendix VII).
 The terms of the bond must provide that
 the surely will send the properly ,
 executed bond to the Regional
 Administrator by certified mail within
 10 days after the effective date of the
 bond.
   (3) Such surety bond must guarantee '
 that the owner or operator will, within
 30 days after the beginning of closure of
                      the facility, pay a lump sum equal to the
                      final post-closure cost estimate prepared
                      in accordance with § 265.144 into a trust
                      fund that complies with the provisions
                      of paragraph (a) of this section. The
                      surety bond must be written so that
                      whenever closure activities begin or are
                      ordered to begin by the Regional
                      Administrator during the term of the
                      bond, the bond coverage includes
                      completion of the payment obligation
                      guaranteed by the bond.
                        (4) If the post-closure cost estimate
                      increases beyond the amount of the
                      penal sum of the bond, the owner or
                      operator must, within 30 days of such
                      increase in the estimate, cause the penal
                      sum of the bond to be increased or
                      obtain other financial assurance, as
                      specified in this section, to cover the,
                      increase. If the post-closure cost
                      estimate decreases, the p'enal sum of the
                      bond may be reduced to the amount of
                      the adjusted post-closure cost estimate.
                      At the request of the owner or operator.
                      the Regional Administrator must send
                      written notice to the surety of any
                      reduction in the required penal sum
                      within 30 days'after receiving the
                      request.
                    .   (5) The terms of the surety bond must
                      provide that the surety company may
                      cancel the bond by sending notice to the
                      owner or operator and to  the Regional
                      Administrator by certified mail.
                      Cancellation must not be effective for at
                      least 90 days after the Regional
                      Administrator receives the notice. The
                      owner or operator, within 5 days of
                      receiving a notice of cancellation from
                    -  the surety, must notify the Regional
                      Administrator by certified mail that he
                      has received such a notice. The owner
                      or operator may cancel the bond by
                      providing 30 days' notice to the surety
                      company if the Regional Administrator
                     has given prior written consent based on
                     his. having received evidence of other
                     financial assurance as specified in this
                     section.
                       (8) Thirty days after receiving a notice
                     of cancellation from the surety, the
                     Regional  Administrator may order the
                     owner or operator to begin closure
                     unless the Regional Administrator has
                     received evidence of other financial.
                     assurance as specified in this section.
                       (7) A surety becomes liable on a bond .
                     obligation only when the owner or
                     operator fails to perform as guaranteed
                     by the bond and fails to provide other
                     financial  assurance of post-closure care
                     as specified in this section.
                       (8) The Regional Administrator must
                     notify the surety in writing within 60
                     days after the beginning of closure that
                     the owner or operator has:
    (i) Established financial assurance for
  post-closure care that satisfies
  requirements of this section: or
    (ii) Failed to fulfill the payment' ^
•  obligation guaranteed by the bond.'The •
  Regional Administrator will then direct
  the surety in the placement of funds in a
  trust, fund meeting the specifications of
  paragraph (a) of this section.
    (c) Standby letter of credit assuring a
  lump-sum payment at the time of
  closure for post-closure care. (1) An
  owner or operator may meet the
  requirements of this section by
  obtaining an irrevocable standby letter
  of credit assuring a lump-sum payment
  at the time of closure to provide for post-
  closure.care. The letter must be written
  in favor of the Regional Administrator of
  Ihe U.S. Environmental Protection
  Agency and must  be for a period of at
  least one year. The letter of credit may
  be issued by any bank which is a
  member of the Federal Reserve System.
    [2] The letter of credit must be
  executed on EPA Form 8700-17 (see
  Appendix IV). The terms of the letter
  must provide that  the issuing bank will
  send the properly'executed letter of
  credit to the Regional Administrator by
  certified mail within 10 days after the
  effective date of the letter.
   (3) The credit must be issued for an
  amount equal to the adjusted post-j
  closure cost estimate (see §  265.14
   (4) If the post-closure cost estiml „
 increases beyond  the amount of the
 credit, the owner or operator must.
 within 30 days of such increase in the
 estimate, cause the credit to be
 increased or obtain other financial
 assurance, as specified in ihis section, to
 cover the increase. If the post-closure
 cost estimate decreases, the credit may
 be reduced to the amount  of the
 adjusted post-closure cost estimate. At
 the request of the owner or operator, the
 Regional Administrator must send
 written notice to the issuing  bank of any
 reduction in the required credit within
 30 days after receiving the request.
   (5) The letter of credit must contain a .
 clause providing for automatic annual
 extensions of the credit subject to 60
 days' written notice by the issuing bank
 to both the owner or operator and the
 Regional Administrator, by certified
 mail, of the bank's intention not to
 renew the credit. The owner or operator,
 within 5 days of receiving a notice of
 nonrenewal from the bank, must notify
 the Regional Administrator by certified
 mail that he has received such a notice.
 The owner or operator may cancel the
 letter of credit by providing 30 days'
 notice to the issuing bank if the Re
Administrator has given prior wriJ
 consent based on his haying  receivl
wt au
  €>
iys
 €>

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                   Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Proposed  Rules
                                                                        33271
   evidence of other financial assurance as
   specified in this section.
     (6) Thirty days after receiving a notice
   of nonrenewal from the bank.' the
   Regional Administrafor.may draw upon
   the credit up to the full amount of the
   credit unless he has evidence that the
   owner or operator has established other
  . financial assurance as specified in this
   section. The terms of the letter must
   provide that if the Regional.
   Administrator draws upon the letter of
   credit following a notice of nonrenewal
   the issuing bank will deposit the amount
  of the draft immediately and directly
  into an intereit-bearing escrow account.
  Disbursements from the escrow account
  must be made in the same manner as
  specified for trust funds in paragraphs
  (a)(12Hl8) of this section.
    (7) If the post-closure cost estimate
  increases beyond the amount of the
  funds in the escrow account, the owner
  or operator must, within 30 days of such
  increase, a,dd'to the account or establish
  other financial assurance as specified in
  this section to cover the increase. If the
  owner or operator fails to do so. the
  Regional Administrator may order him
  to begin closure.
    (8) The Regional Administrator may
  otherwise draw on the credit only if the
  owner or operator fails to establish.
  within 30-days after the beginning of
  closure, other financial assurance for
  post-closure care as specified in this
  section. The issuing bank must'under -•
  the terms of the letter, deposit the
  amount of such a draft immediately and
  directly into an interest-bearing escrow  '
  account. Disbursements from the escrow
  account must be made in the same
  manner as specified for trust funds in
  paragraphs (a)(13Hl6) of this section.
    (d) Surety bond guaranteeing
 performance of-post-chsure duties. (1)
  An owner or operator may meet the
  requirements of this section by
  obtaining a surety bond guaranteeing
  performance of post-closure care. A
 surety company issuing a bond in
 accordance with these regulations must.
 at a minimum, be authorized to do
 business in the United States and be
 certified by the U.S. Treasury
' Department, in Circular 570. to write
 bonds in the penal sum of the bond to be
 issued. The obligee of the bond must be
 the U.S. Environmental Protection
 Agency.          '•       '.•••-'
   (2) The bond must be executed on
 EPA Form 8700^-21 (see Appendix VIII).
 The terms of the bond must provide that
 the surety will send the properly
 executed bond to the'Regional
 Administrator by certified mail within
 10 days after the effective date of the     "
 bond.
    (3) The surety bend must guarantee  .
  that the owner or operator will satisfy  ,
  the post-closure care requirements of
  these regulations for 30 years or for the,
  post-closure care period, .whichever
  period is shorter. The surety bond must.
 . be written in the amount of the adjusted
  post-closure cost estimate (see
  §265.144).  ...        . •
    (4) If the post-closure cost estimate
  increases beyond the amount of the
  penal sum of the'bond, the owner or'
  operator must, within 30 days of such
  increase in the estimate, cause the penal
  sum of'the bond to be increased or
  obtain other financial assurance, as
  specified in  this section, to cover the -
  increase. If the post-closure cost
  estimate decreases, the penal sum of the
 .bond may be .reduced to the amount of
  the adjusted post-closure cost estimate.
 At the request of the owner or operator,
 the Regional Administrator must send
 written notice to the surety of any
 reduction in the required penal sum
 within 30 days after receiving the
 request.
   (5) Under the  terms of the bond, the
 surety company may cancel the bond
 during the operating life of the facility
 by sending notice to the Regional
 Administrator and to the owner or
 operator by certified mail Cancellation.
 must not be effective for at least 90 days
 after the Regional Administrator  -  .
 receives the notice. The owner or
 qperator. within 5 days of receiving
 notice of cancellation from" the surety.
 must notify the Regional Administrator
 by certified mail that he has received
 such a notice. The owner or operator  •
 may cancel the bond at any time by
 providing 30  days' notice to the surety
 company if the;Regional Administrator-
 has given prior written consent based on
 his having received evidence of other
 financial assurance as specified in this
 section. '..'•.''.             '
  (6) Thirty days after receiving a
 cancellation notice from the surety, the
 Regional Administrator may order the
 owner or operator to begin closure
 unless the Regional Administrator has
 received evidence of other financial
 assurance as specified in this section.
  (7) The surety bond must be written so
 that whenever closure activities begin or
 the Regional Administrator orders them
 to begin during the term of the bond, the
 bond coverage extends to the end of 30
 years of post-closure care .or to the end
 of the post-closure care period.      '   •
 whichever is shorter. The owner or
 operator, as the principal of the bond.
 must notify the-surety of the date on
 which post-closure care begins in
accordance with  the post-closure plan
for the facility;
    (8) As post-closure obligations are
  completed, the penal sum of the bond
  may be reduced commensurately. so   •
  that the balance of the penal sum of the •
  bond will equal the remaining cost •
  obligations of the owner or operator for
  post-closure care. At the request of the,
  owner or operator, the Regional
•  Administrator must send written notice
  to the surety of any reduction in the
  required penal sum within 30 days after
  receiving the request
   (9) A surety becomes liable on a bond-
  obligation.only when a proceeding
  brought pursuant to the provisions of
  Section 3008 of RCRA has determined
  that the owner or operator has violated
 •the post-closure requirements of these
  regulations. Following such a
  determination the surety must:
  . (i).Complete -post-closure care of'the  .
  facility in accordance with the post-
  closure plan; or
   (ii) Pay the amount of the penal sum of
  the bond into a trust fund meeting the
 specifications of paragraph (a) pf this
 section as directed by  the Regional
 Administrator. .'';••
   (e) Standby letter of credit assuring
 funds during the post-closure period. (1)
 An owner or operator may meet the
 requirements of this section by
 obtaining an irrevocable standby letter
 of credit assuring availability of funds  .
 during the post-closure period. The letter
 must be written in.favor of the Regional
 Administrator of the U-.S. Environmental
 Protection Agency and must be  for a
 period of at least one year. The  letter of
 credit may be issued by any bank which
 is a  member of the Federal Reserve
 System.                          ' ,
  (2) The letter of credit must be   '
 executed on EPA Form 8700-17 (see
Appendix IV). The-terms, of the letter
must provide that the issuing bank will
send the .properly executed letter of
credit to the Regional Administrator by
certified mail within 10 days after the
effective date,of the letter.     ,
  (3) The credit must be issued for the
amount of the adjusted post-closure cost
estimate (see §263.144).
  (4) If the post-closure cost estimate
increases beyond the amount of the
credit, .the owner or operator must,
within 30 days of such increase in the
estimate, cause the amount of the credit
to be increased or obtain .other financial
assurance, as specified in this'section, to
cover the increase. If the post-closure
cost  estimate decreases, the amount of   "
the credit may be reduced to the amount
of the adjusted post-closure cost
estimate. At the request of the owner or
operator, the Regional Administrator -
must send written notice to the surety of
any reduction in the required credit

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Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980  / Proposed Rules
    within 30 days after receiving the
    request
      (5) As post-closure obligations are
    completed, the credit guarantee may be
    reduced commensurately, so that the
    remaining credit will equal the
    remaining cost obligations of the owner
    or operator for post-closure care. At the
    request of the owner or operator, the
    Regional Administrator must send
    written notice to the bank of any
    reduction  in the required credit
   guarantee within 30 days after receiving
    the request   .
     (ej The letter of credit must contain a
   clauie providing for automatic annual
   extensions of the credit subject to 60
   days' written notice by the issuing bank
   to both the owner or operator and the
   Regional Administrator, by certified
   mail, of the bank's intention not to
   renew the  credit The owner or operator.
   within 5 days of receiving a notice of
   nonrqnewal from the bank, must notify
   the Regional Administrator by certified
   mail that he has received such a notice.
   The owner or operator may cancel the
   letter of credit by providing 30 days'  -
   notice to the issuing bank if the Regional
   Administrator has given prior written
   consent based on his having received
   evidence of other financial assurance as
  specified in this section.
    (7) Thirty days after receiving a notice*
  of nonrenewal from the bank, the
, Regional Administrator may draw upon
  the credit up to the full amount of the  '
  credit unless he has received evidence
  that the owner or-operator has
  established  other financial assurance as
  specified in  this section, the terms of
  the letter must provide that if the
  Regional Administrator draws upon the
  letter of credit following a notice of
  nonrenewal. the issuing bank will
  dep.osit the amount of the draft
  immediately and directly into an
  interest-bearing escrow account
  Disbursements from the escrow account
  must be made in the same manner as
  specified for trust funds in paragraphs
  MP2HU) of this section.
    (8) If the escrow account specified hi
 paragraph (e)(7) of this section is
 established during operating life, and if
 the post-closure cost estimate increases
 beyond the amount of the funds in the
 escrow account, the owner or operator
 must within 30 days of such increase.
 add to the account or establish other
 financial assurance as specified in this
 section to cover the increase. If the
 owner or operator fails to do so, the
 Regional Administrator may order him
 to. begin closure.
   (9) The Regional Administrator may
 otherwise draw upon the letter of credit
 only upon a legal determination of a1
                      violation of the post-closure
                      requirements of these regulations
                      rendered in a proceeding'brought
                      pursuant to the provisions of Section
                     • 3008 of RCRA. The terms of the letter
                      must provide that if the Regional
                      Administrator draws upon the Jetter of
                      credit following such a determination.
                      the issuing bank will immediately and
                      directly deposit the amount of the draft
                      into an interest-bearing escrow account
                      The letter of credit must require the
                      escrow depositary to disburse monies
                      from the escrow account to persons
                      designated by the Regional
                     Administrator to carry out post-closure
                     care of the facility.
                        (f) Use of more than one type of
                     financial instrument An owner or
                     operator may meet the requirements of
                     this section by establishing more than  -
                     one type of financial instrument. These
                     instruments are limited to a trust fund.
                     surety bonds, or letters' of credit as
                     specified in paragraphs (a) through (e) of
                     this section (e.g.. a  letter of credit may
                     assure half the post-closure cost and a
                     trust fund the remaining  half).
                       (g) Financial test and guaranty for
                     post-closure care. (1) An owner or
                     operator may meet the requirements of
                     this section by having all of the
                     following financial  characteristics:
                       (i) At least $10 million  in net worth in
                     the United States.
                       (ii) A total-liabilities-to-net-worth
                     ratio of not more than three.
                       (Hi) Net working capital in the United
                     States of at least twice the adjusted
                     post-closure cost estimate (see
                     § 265.144).
                      (2) These characteristics must be
                     demonstrated in a financial statement
                     which has been audited by an
                     independent certified public accountant
                     and which contains unconsolidated
                     balance sheets, dated no more than 140
                     days prior to the current date. The
                     owner or operator who intends to use a
                     financial test to meet both closure and
                     post-closure requirements for a single
                     facility or to meet closure and/or po&'t-
                    closure requirements for more than one
                    facility must indicate in the statement
                    which requirements  are to be met for
                    which facilities through the financial
                    test and must demonstrate that his net
                    working capital in the United States is
                    at least twice the sum of all the adjusted
                    estimates of closure  and post-closure
                    costs to be covered by the financial test.
                    The owner or operator must have the
                    financial statement available at the
                    facility and must provide data from the
                    statement if requested as part of annual
                    reports to the Regional Administrator
                    under § 265.75.                _,
                     (3) If the owner or operator fails to
                    meet the requirements of paragraph
   (g)(l) of this section at any time befo
   the end of the post-closure care pj"™
   or 30 years of post-closure care. 1
   whichever comes earlier, he must .„„,.,
   the Regional Administrator by certified
   mail within 5 days of learning of failure
   to meet the requirements. Evidence of
   other financial assurance as specified in
   this section must be sent to the Regional
   Administrator by certified mail within
   30 days from the time that the owner or
   operator learns of failure to meet the
   requirements of paragraph (g)(l). If he
   does not establish other financial
   assurance, and this lapse in financial
   assurance occurs during operating life,
   the Regional Administrator may order
   the owner or operator to begin closure.
    (4) An owner or operator may meet
 ' the requirements of this section by
  obtaining another entity's written
  guaranty providing financial assurance. -
  in an amount equal to the adjusted post-
  closure cost estimate, for compliance by
  the owner or operator with .the post-
  closure requirements of these
  regulations. The guarantor must meet
  the requirements, for owners or
  operators in paragraphs (g) (1) and (2) of
  this section.
   (5) The guaranty must be executed on
  EPA Form 8700-18 (see Appendix V).
  The owner or operator must send the
  properly executed guaranty to the
  Regional Administrator by certified
  within 10 days aftei- the'effective
  the guaranty.
   (6) Under the terms of the guaranty.
  the guarantor must notify the Regional
  Administrator and the owner or
  operator by certified mail if he fails to
  meet the requirements of paragraph
 (g)(l) of this section at any time before
  the end of the post-closure period or the
 end of 30 years of post-closure care,
 whichever comes earlier. The guarantor
 must send such notice  within 5 days
 after learning of failure to meet the
 requirements.
   (7) The owner or operator must,
 within 30 days of such  notification,
 establish other financial assurance as
 specified in this  section and provide
 evidence of such assurance 1o the
 Regional Administrator. If he fails to do
 so.- and such failure occurs during
 operating life, the Regional
 Administrator may order him to begin
 closure.
   (8) The guarantor may cancel the
 guaranty during the operating life of the
 facility with 90 days' notice to the
 Regional Administrator and the owner
 or operator by certified mail, except that
 the guaranty must remain in effect if
closure begins or is ordered to begin^
the Regional Administrator before \J
end of the 90 days. Evidence of othl
financial assurance as specified in

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                  Federal Register / Vol. 45.  No. 98  / Monday. May 19.. I960./Proposed Rules
                                                                        33273
  section must be provided to the Regional
  Administrator within 30 days after a
  notice of cancellation is received by the  .
  Regional Administrator; otherwise, he
  may order the owner or operator to
  begin closure.
   (9) The guaranty may be cancelled at
  any time following the mutual Written
  consent of the owner or operator, the
  Regional Administrator, and the  -,.
  guarantor.                          -
   (10) Under the guaranty, in the event
  of a legal determination of a violation of
  the post-closure requirementa rendered
  in' a proceeding brought pursuant to
  Section 3008 of RCRA. the guarantor
  must pay parties designated by the
  Regional Administrator to complete
  post-closure care for 30 years or the
  post-closure care period, whichever
  period is shorter.               •
   (h) Revenue test for municipalities, (1)
  If the owner or operator is a
  municipality (ai defined by RCRA). it
  may meet the requirements of this
  section by having annual revenues from
.  property, sales, and/or income  taxes .
  equal to 10 times the adjusted post-
  closure cost  estimate (see 5 265.144). To
  be acceptable, these tax revenues must  •
  be legally available to cover post-
  closure responsibilities. I.e.. they must
 not be dedicated to other purposes or
 otherwise precluded from'use for post-
 closure care. . .                  .
   (2) The owner or operator must send a
 letter signed by the. chief financial
 officer of the municipality to the
 Regional Administrator stating  that the
 municipality meets the requirements of   .
 paragraph (h)(l) of this section. The
 letter must be sent by certified mail
 within 10 days after the owner or
 operator begins use of the revenue test
 to meet the requirements of this section.
   (3) If the annual tax revenues fail to
 meet the minimum multiple specified in
 paragraph (h)(l) at any time before the
 end of the post-closure care period or 30
 years of post-closure care, whichever
 comes earlier, the owner or operator
 must notify the Regional Administrator
 by certified mail within 5 days of
 learning of failure to meet the
 requirements. The owner or operator- .
 must send evidence of other financial
 assurance as specified hi this section to
 the Regional Administrator by certified
 mail within 30 days.from the time that  "
 the owner or operator learns of failure to
 meet the minimum multiple. If he does
 not establish other financial assurance,
 and this lapse in financial assurance
 occurs during operating life, the
 Regional Administrator may order the
 owner or operator to begin closure.
   (5) Use of a single financial
 mechanism for multiple facilities. An
 owner or operator may use a single.
'financial mechanism, as specified in
 paragraphs (a) through (h) of this   ,
 section, to meet the requirements of this
 section for "more than one facility of
 which he is the owner or operator. The
 amount of funds available through the   .
 mechanism must be no less'than the sum
 of funds that would be available if a
 separate mechanism had been    '
 established for each facility.          .,

 5 265.146  UMofasinglrnwchsnlsmfor
 financial aMuranc* of both closure and
 pott-ckwir* car*.    '        >
   An owner or operator may use a
 single mechanism to provide financial
assurance for both closure and post-
closure .care of one or more facilities of
which he is the owner or operator. Such
a mechanism must be one of the
following:
   (a) A trust fund that meets the
specifications-of both §  265.143(a) and
 § 265.145(a).              '.-•'-.
   (b) A surety bond that meets the
specifications' of both. 5 J65.143(b) and
5 265.145 (b) or (d).
  '(c) A letter of credit that meets the
specifications of both J265.143(c) and
§ 285.145 (c) or (ej.
   (d) A guaranty that meets the
specifications of both § 265.143(e) and
S26S.145(gl.  :-
   (e) The financial test as specified
under both 5 265.143(e) and 5 285.145(g).
   (f) The revenue test as specified under
both 5 265.143(f) and 5 285.145(h).
  The amount of funds available under
the mechanism must be  no less than the
sum of funds that would be available if
a separate mechanism had been
established for financial assurance of  .
closure and of post-closure care of each
facility.             "

§ 265.147 Liability requirement
  An owner or operator of a hazardous
waste treatment, storage, or disposal
facility or group of facilities must have
and maintain liability insurance from an
insurer licensed or eligible to insure
facilities in the jurisdiction where any
one facility is located, for sudden and  -
accidental occurrences in the amount of
SI million per occurrence with an annual
aggregate per firm of S2 million,
exclusive of legal defense costs, for
claims arising out of injury to persons or
property from the operations of each
such hazardous waste facility or group  •
of facilities. The deductible written into
the insurance policy must not exceed 5
percent of the per incident limit of
liability of the policy.."
 §265.148  [Reserved!

, §265.'149  Applicability of State financial
 requirements.
  . (a) A facility may be located in a State
 in which existing hazardous waste
 regulations include liability
 requirements and requirements for "
 financial-assurance for closure and post-
 closure care. If so. the owner or operator
 may use existing State-authorized
 financial mechanisms in meeting'the
 requirements of  §§ 265.143, 265.145, and
 265.147 provided that
   (1) The State-authorized mechanism is
 a mechanism allowed in § § 265.143,
 265.145. or 265.147; or
   (2) The State mechanism provides
 substantially equivalent assurance (e.g.,
 escrow account) or liability coverage as
 the mechanisms  of §§ 265443, 265.145,
 and 265.147. -                •.   ,   '.
   The owner or operator must obtain an
 additional financial assurance'
 mechanism for closure or for post-
 closure care, chosen from § 265.143 for
 closure and from § 265.145 for post-
 closure care, or additional liability
 insurance as specified in § 265.147, if the
 amount of funds available from the ,
 State mechanisms is less than that
 required by this Subpart.,The total,
 amount of funds available through the,
 combination of the State and Federal
 mechanisms must equal at least the
 amount required in §§ 265.143. 265.145,
 and 265.147,      .  •   .
   (b) If a State assumes legal  .
 responsibility for an o'wner's or
 operator's compliance with the closure
 or post-closure requirements or liability
 requirements of these regulations or
 assures that funds will be available from
 State sources to cover such
 requirements,  the owner or operator will
 be in compliance with such
 requirements of this Subpart to the
 extent the State's assurances are .
 substantially equivalent to meeting the
 requirements of this Subpart. The owner
 or operator must send a letter to the
 Regional Administrator describing the
.nature of the^ State's responsibility
 regarding his facility's closure, post-
 closure care; and/or his liability,  and
 citing the State regulation-providing for
 such assumption of responsibility. The
 letter must be sent, by certified mail
'within 10 days after the effective date of
 these EPA regulations or the date on
 which State'assumption of responsibility
 for the facility becomes effective. A
' copy of the letter must be sent to the
 responsible State agency(ies).  v      -
 Appendix Ito Part  285
   The following is an example of the '
 calculation in § 265.143{a)(7) using these
 assumptions; The closure cost estimate at the
 time the closure trust fund was established ' •

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 33274
Federal  Register /  Vol. 45.  No.  98 / Monday. May 19, 1980  / Proposed  Rules
 was 570,000. Five annual payments have been
 made. The current value of the fund is S25.000
 (including earnings of the fund and yearly
 increases in the payments as a result of the
 adjustment for inflation required by
 paragraph (aJ(B)J.The total pay-in period is
 20 years. Now the owner or operator has  '
 changed the estimate to Si20.000 because of a
 change in the closure plan and therefore
 needs to recalculate hit next payment '
  Step 1—Ths adjusted estimate, $120.000.
divided by  the pay-in period. 20 years, is
    njfWW*
     Step 2—58,000 multiplied by the number of
   payments made. 5. is $30.000.  ,
     Step 3—530.000 minus the current value of
   the fund. $25.000. Is 55,000.
     Step 4—33JDOO divided by the remaining
   years In the pay-ln period. 15, is $333.
     Step 5—Adding $333 to the $8JMO from,
   Stap 1 gives the new payment $8.333.
   Appendix H to Part 285
   EPA Form 8700-15

   U-S. Environmental Protection Agency

   Cfoiure Trust Agreement
    As provided for in 40 CFR 265.143(a) under '
      authority of the Resource Conservation
      and Recovery Act of 1978. as amended
      (42 USC 6901)
   •EPA Facility Identification No	
  Adjusted closure cost estimate, in accordance
  with 40 CFR 285.142:$ 	\	.
    On this	day of	. 19—, I'
  (owner or operator)	, am placing
  property described below in trust  for the U.S.
  Environmental Protection Agency (EPA) to be
  held by (name of financial institulion)-
  ——— as trustee  under the terms set
  forth below. The trust shall be named the
  "Closure Trust" for the following hazardous
  waste management facilities:

  (name and address of facility, or write in "see
  attached Schedule A"' if more than one
  facility),
   1. Purpose Clause
   Pursuant to the financial assurance
 requirements of 40 CFR 265.143, the purpose
  of this trust is to pay for the costs of closing
  the above-named facility(ies) in accordance
 with the closure requirements of 40 CFR Part
 205,
   2. Property Clause
   It Is agreed to by (owner or operator)
 ——as grantor of this trust that the
 trust will be funded in accordance  with the
 requirements of 5 26S.i43(a) of the
 regulations. The initial transfer of property to
 the trust shall consist of the property listed in
 Schedule B. attached hereto.9
   3. Period Clause
   This trust shall continue until terminated
 upon the happening of one of the following
 conditions:
   (a) When (owner or operator)	
 presents to the trustee  the original or an

   'II closure of more than one facility is-covered by
 the trust, list on a separate sheet the EPA Facility
 Identification Numbers, npmes. and addresses, and
 adjusted closure cost estimates for all the facilities. '
 de«Jy Ubel this list "Schedule A," and attach it to
 this agreement. Show total of cost estimates.
  "Ust property included in initial transfer on
««pirate sheet, clearly label this list "Schedule B."
and attach it lo this agreement
                         authenticated copy of the letters) signed by
                         the EPA Regional Administrntor(s) stating
                         that he is no longer required to provide
                         financial assurance for closure of the above*
                         named facility(ies). In such an event, all
                        •remaining trust property, less final trust
                         administration expenses, shall be delivered
                         to (owner or operator)          .
                           (b) By the mutual written consent of the
                         grantor of this trust the EPA Regional
                         Administrators) of the Region(s) in which the
                         facility(ies) is (are) located, the trustee of this
                         trust at any .time.
                           4. Operation of the Trust Duties of the
                        Trustee
                           (name of financial institution acting as
                        trustee) ———- acknowledges below its
                        receipt of the trust property listed in Schedule
                        B and Its acceptance of the obligations and
                        duties of the trustee as defined below.
                          (•) The trustee agrees to notify the EPA ,
                        Regional Administrator^) by certified mail
                        within five  days following the expiration of
                        the thirty-day period after the anniversary of
                        the establishment of the trust, as specified in
                        i 26S.143(a)f.5).
                      _   (b) The trustee may resign from its
                        obligations as trustee by submitting a written
                        notice of its intent to the grantor and to the
                        EPA Regional Administrators).
                         (c) The trustee is to "make payments out of
                        the trust only under the conditions specified
                        in 40 CFR 285.143(a)(15).

                        (data)       .   (signature of grantor)

                        (address of grantor)  ——^——^___
                        (authorized  signature for trustee)  	
                        (name of trustee)	
                        (address of trustee)	—	
                        (signature of notary)  	—	
                        Mail original to the EPA Regional
                        Administrator within 10 days of the effective
                        date by certified mail. If more than one
                        facility Is covered and the facilities are in
                        more than one Region, send original to
                        Regional Administrator of Region in which
                        the  largest number of facilities are located
                       and copies to the other  Regional
                       Administrators), by certified mail.
                       Appendix III to Part 2«
                       EPA Form 8700-18

                       U.S. Environmental Protection Agency

                       Closure Performance Bond
                         As provided for in 40  CFR 265.143(b) under
                           authority of the Resource Conservation
                           and Recovery Act of 1976. as amended
                           (42 USC 6901)
                       1 EPA Facility Identification No.
   Agency (EPA)'in the penal sum of
   U.S. dollars (S	) for payment o
                                          Adjusted closure cost estimate, in accordance
                                          with 40 CFR 265.142: $  	.	
                                            Know all men by these presents, that we,
                                          (owner of operator)	i	of (address)
                                                    . as Principal and (name of surety
                                          company) —	—. a company created
                                          a'nd existing under the laws of (State)
                                          	. as Surety, are held and firmly
                                          bound unto the U.S. Environmental Protection

                                            'If closure of more than one facility is covered by
                                          the bond, list on a separate sheet the EPA Facility
                                          Identification Numbers, names, addresses, and
                                          adjusted closure cost estimates for ail the facilities,
                                          clearly label this list "Schedule A." and attach it to
                                          this bond. Show total of cost estimates.
   well and truly to be made, we bind ^
   our heirs, executors, administrators.  .^^
   successors and assigns, jointly and severally,
   and firmly by these presents.*
     Whereas, the Principal intends-to obtain
   interim status, as defined by Section 3005 of
   the Resource Conservation and Recovery Act
   of 1976. as amended, for one or more
   hazardous waste* management facilities, and
   such status depends upon compliance with
   the standards of 40 CFR Part 265. which
   includes the requirement specified in
   9 265.143, that the owner or operator of each
   such facility must establish financial
   assurance that the applicable closure
   requirements of Part 265 will be met, and
    Whereas, this bond is written to assure
   compliance with the closure requirements of
   Part 265 for the following hazardous-waste
  management facilities: (name and address of
  facility or write in "see attached Schedule
  A"1 if more than one facility)	••	. and
  shall inure to the benefit of EPA in
  accordance with Part 285,
    Now. therefore, the condition of this
  obligation is such that, if.the Principal shall
  faithfully fulfill the closure requirements of 40
  CFR Part 265 at each of the facilities
  guaranteed by this bond, pursuant to all
  applicable statutes, rules and regulations,
  and shall close each such facility in
  accordance with the closure plan required by
  the said Part 285.  then, and only then, the
  above obligation shall be void; otherwise to
  be and to remain in full force and effeci
   the Surety shall become liable on t
  bond obligation only upon legal     I
  determination rendered in a proceeding
  brought pursuant to Section 3008 of the •
  Resource Conservation and Recovery Act, as
  amended, that the Principal has violated the
  closure requirements of 40 CFR Part 265.
  Following such a determination, the Surety
  must either complete closure of the facility in
  accordance with the approved closure plan
  for the facility or pay the amount of the pon.-il
 sum into an escrow account as directed  by an
 EPA Regional Administrator./: •• -
   The liability of the Surely shall not be
 discharged by any payment or succession of
 payments hereunder, unless and until such
 payment or payments shall amount in the
 aggregate to the penal sum of the bond, but in
 no event shall the Surety's obligation
 hereunder exceed the amount of said penal
 sum. The insolvency or bankruptcy of the
 Principal shall not constitute a defense to the
 Surety with regard to claims of liability on
 the bond obligations, and in the event of said
 insolvency or bankruptcy, the Surety must
 pay any unsatisfied final judgments obtained
 on such claims. The Surety agrees to furnish
 written notice forthwith to the Regional
 Administrator(s) of the EPA Reyionfs) in
 which the facility(ies) is (are) located of all
 suits filed, judgments rendered, and
 payments made by the Surety under this
 bond.
  This bond is effective the -—	day of
—	. 19	. at the address of the
Principal as stated herein and shall cor
in force until terminated as hereinafter
provided. The Surety may terminate th^^pj.-
bond by written notice sent by certifiedmail

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                      Federal Register /  Vol. 45,  No, 98  / Monday. May 19.  1980 / Proposed Rales             3327S
   to the Principal and to the EPA Regional
   Administrators) of the Region(s) in which the
   facility(ies) is (are) located such termination
   to become effective ninety (90) days after
   actual receipt of said notice by EPA:
   provided, however, no such termination shall
   become effective with respect to any facility
   closure guaranteed by this bond if closure of
   said facility has begun or has been ordered to
   begin by an EPA Regional Administrator. The
   Principal may terminate this bond by sending
   written notice to the Surety, such termination
   to become effective thirty (30) day* after
   receipt of such notice by the Surety; provided.
   however, that such notice is accompanied by
  ' written authorization for termination of the
   bond by the Regional Administrator*) of the
   EPA Regionf.*) in which the bonded
   facilities) is (are) located.
     If more than one surety company Joins in
   executing this bond- juch action shall
   constitute joint and several liability on the
  part of the sureties.
     In witness whereof, the'Principal and
  Surety have executed this Instrument on the  •

-(Surety)
fScal)
(Principal)
(Scnlr
(attomey-in-factj




(address of ' -

  Mail original to the EPA Regional
  Administrator within 10 days of the effective
  date by certified mail. If more than one
  facility Is covered and the facilities are in   *
  more than one Region, send original' to
  Regional Administrator of Region'in which
  the largest number of facilities are located
  and copies to the other Regional
  Administrator*), by certified mail
  Appendix IV to Part 285
  EPA Form 8700-17

  VS. Environmental Protection Agency  ,

  Standby Letter of Credit
    A* provided for in 40 CFR 26S.143(c).
     285.145{c). and 26S.145(e) under authority
     of the Resource Conservation and
     Recovery Act of 1978, as amended (42
     USC 6901)
  1 EPA Facility Identification No	.
  Adjusted cost estimate(s) for the facility, for
  closure and/or post-closure care to be
  covered by this Letter of Credit in
  accordance with 40 CFR 285.142 and 285.144:
  $	:	(closure] $ -	:	(post-
  closure)             :
  Administrator*) for Region(s)
  U.S. Environmental Protection Agency.
  Addreaa(es)
  (Address to EPA Regional Administrators) of
  Region(s) in which the facility(ies) is (are)
  located)                                 '
   Dear Sir or Madam: We hereby establish
  our Irrevocable Standby Letter of Credit No.

• •. • ' If more than one facility ii covered by this Letter
  of Credit, list on a separate aheet the EPA Facility
  Identification Number*, name*, addresses, and
 adjusted closure and/or pout-closure cost estimates
 for aU the facilities, clearly label tn,« list "Schedule
 "A." and attach it to this Letter of Credit. Show
 lotal(i) of cost estimates.   -
  '           , in favor of the Regional'
   Administrators) for Region(s) —— of the
   U.S. Environmental Protection Agency for the
   account of (owner or operator) ———— up
   to the aggregate amount of	>—'• U.S.
   dollars (S	] available by your drafts as
   specified below.
     This Letter of Credit is effective as of
   today's date and will expire on the
  —	day of	••—19—. subject
   to the operation of the renewal clause- below.
     The purpose of this Letter of Credit is to
  provide financial assurance  to the U.S.
  Environmental Protection Agency of
  compliance with the ("closure." "post-   .
  closure.'* or "closure and post-closure")
          '  requirements of 40 CFR Part 285
  as they apply to (name and address of
  facility, or write in "tee attached Schedule
  A" > if more than one facility) —       . .
  Such assurance is required for closure by 40
  , Cm 285.143 and for post-closure care by 40  ••
  CFR 285.145. This Letter of Credit provides
  assurance for (check those that apply):
    —Closure in accordance with the letter-of-
  credit specifications of 40 CFR 2B5.143(c)
    —A  lump-sum payment at  closure, for the
  purpose of assuring post-closure care, in .
  accordance with letter-of-credit
  specification* of 40 CFR 285.145(c)
    —Funds for the performance of post-
  closure care in accordance with letter-of-
  credit specification! of 40 CFR 285.145(e)
    All drafts on this Letter of Credit submitted
  in writing *nd accompanied by your
  signature will be promptly paid and
  deposited in an interest-bearing escrow
  account in this Bank. If a draft on the escrow *
 'account Is accompanied by a copy  of an .
  order from a Federal Administrative Law    '. '
  Judge or a Federal District Court judge setting
  forth a  determination of a violation of the  '
  above-mentioned closure and/or post-closure
  requirements, we will pay the party or parties
  designated by the court or the EPA Regional
  Administrator*).
  .  Alternatively, payments may be made out
  of any amount in escrow following  a draft
  upon this Letter of Credit by the mutual
  written consent of (owner or operator)  '
         '— and the EPA Regional
  Administrators), pursuant  to  40 CFR
  285.143(c)(8). 285.145{c)(6) and (8). or
  285.145(e)(7). as applicable.
    It is a condition of this Letter of Credit that
  it  will be automatically extended for one-year
  periods from the expiration date set forth
 .above, unless sixty (60) days before that date
  we notify you by certified maU of our intent
  not to renew the credit In that case, for the
.  remainder of the period of the Letter of'.'
  Credit.you may draw upon the credit up to ,
  the aggregate amount of the credit remaining,
  such draft to be deposited in escrow as
  described above. This -Letter of Credit may be
  terminated by (owner or operator) — •
  by sending written notice to this Bank, such
  termination to become effective thirty (30)'
  days after receipt of such notice by  this Bank;
  provided however, that such notice is
  accompanied by your written  authorization
  for termination of the Letter of Credit
   This Letter of Credit is subject to  Article
 Five of the Uniform Commercial Code and
  the "Uniform Customs and Practices for
 Documentary Credits" (1974 Revision)  '
  described in International Chamber of
  Commerce Brochure No. 290.             '
    All communications concerning this Letter
  of Credit are to be addressed to: (name and
  address' of responsible officer of the issuing

  ^«___.^^KK.^^W.
  (date)           (authorized signature)
  (print or type name of person signing) 	'-
  (title of person signing)	——_
  (name of bank)-—;	'.	,	
  Mail to the EPA Regional Administrators)
  within 10 days of the effective date by
  certified mail   '  ,.  • *

  Appendix V to Part 285
  EPA Form 8700-18

  U.S. .Environmental Protection Agency
  Guaranty     '
    As provided for in 40 CFR 285.143(e) and
      265.145(g). under authority of the
      Resource Conservation and Recovery
      Act of 1978, as amended (42 USC 6901)
  'EPA  Facility Identification No.—;	:	
 , Adjusted cost .estimates^) for the facility, for
 , closure and/or post-closure care to be
  covered-by this guaranty, in accordance with
  40 CFR 265.142 and 265.144: S^	-'  '
  (closure) S	(post-closure)
                                                                                             Guaranty made this
                               - day of
           ., 19	. by (name of guaranteeing
 entity)         .  . a business'entity
 organized.under the .laws of the State of
   1 .  "     . with its principal office at
           . herein referred to as guarantor, to
 the U.S. Environmental Protection Agency
 (EPA) as' obligee on behalf of (owner or
 operator) —	 of (business address)

 Recitals
   1. Guarantor meets or exceeds the financial
 test requirements  of 40 CFR 285.143(e) and/or
 285.14S(g). Guarantor agrees- to notify the
 EPA Regional Administrators) for the
 Regioh(s)in wnicn the facility(ies) listed
 below is (are) located and (owner or
 operator)         '  within" five days after
 the  guarantor learns of its failure to meet any
 of the. test requirements at any time during
 the  life of this guaranty.   '
   2. (G-wner or operator)	•	operates
 or owns a hazardous waste facility at
• (address of facility, or write in "See attached
 Schedule A"'' if more than one facility is
 covered)	i	-.        ,
 Statement-of Guaranty
.  For value .received from (owner or,
 operator) —       • , the guarantor
 guarantees to the U.S. Environmental  '
 Protection Agency (EPA) that hi the event
 that (owner or operator)	.fails to
 comply with the ("closure," "post-closure," or
 "closure and post-closure")	•—--—
 requirements of 40 CFR part 265 applicable to
 (name and address of facility or write in "see
 attached Schedule A")	:—.the
   'If more, than one facility is covered by th'ia
guaranty, list on a separate sheet the EPA Facility
Identification Numbers, names, addresses, and .the
.adjusted closure and/or post-closure estimates for
all the facilities, clearly label this list "Schedule A,"
and attach it to this guaranty. Show lotal(a) of cost
estimates.                -            ,

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    33278
Federal  Register /  Vol. 45.  No. 98  / Monday.  May 19. 1980 /  Proposed  Rules
    guarantor agrees to pay the persons(s)
    designated by EPA or to pay EPA itself.
    following a Irgal determination of a violation
    of the regulations, an amount sufficient to
    bring the above-mentioned facilities) into
    compliance with the applicable regulations.
    but not to exceed the adjusted cost
    estimate^) as prepared in accordance with
    40 CFR 233.142 and 2SS.144.
      This guaranty is good for so long as [owner
    or operator) —	must comply with the
  •  applicable financial assurance requirements
    of 40 CFR 205.143 and 285.145 for the above-
    named faciliry(ies).
      The guarantor may terminate this guaranty
    by sending nolle* by certified mail to the EPA
    Adminlstratorfs) for the Regionf*) In which
    the facjlity(ies) Is (axe) located and to (owner
    of operator) ••         such lermination to
    become effective ninety (90) days after actual
    receipt of the nonce by EPA: provided.
    however, that no such termination shall
   become effective if closure begins or is
   ordered to begin by an EPA Regional
   Administrator before the end of the 90 days.
   Furthermore, if compliance with post-closure
   requirements Is guaranteed, no such
   termination may become effective if closure
   has taken place.
     This guaranty may be terminated at any
   time subject to the mutual prior written
   consent of Ifctguarantor. the EPA Regional
  Admlnlstrat6r(s) of the Region(s) in which tha
  facility(ies) Is (are) located, and (owner or
  operator)	.t..	'
  (effective date)-
  -{name of guarantor)
  (authorized signature for guarantor) -
  (print or type name of person signing)
  (iilleof person signing] -
  (signature of witness or notary)
  Mull original to the EPA Regional
  Administrator within 10 days of the effective'
  date by certified maiL If more than one   '
  facility is covered and the facilities are in
  mort than one Region, send original to
  Regional Administrator of Region in which
  the largest number of facilities are located
  and copies to the other Regional
  Admlnislratorfs), by certified mail.

  Appendix VI to Part 285
  EPA Forrh 8700-19

  VS. Environmental Protection Agency

  Post-Closure Trust Agreement
   At provided for in 40 CFR 265.145{a). under
     authority of the Resource Conservation
     and Recovery Act of 1978. as amended
     (42 USC 6901)
  1 EPA Facility Identification No. -	
 Adjusted post-closure cost estimate, in ac-
^  cordance with 40 CFR 265.144: $ —_____
   On this	djy of—	. 19	i
 (owner or operator)	. am placing'
 property described below in trust for the U.S.
 Environmental Protection Agency (EPA) to be
 held by (name of financial institution)

   'Ifpoit-clcwure care of more'than one facility is
 covered by the trust. list on a separate sheet the
 EPA Facility Identification Numbers, names, and
 addresies. and adjusted post-closure cost estimates'
 lor the frctliliej, dearly libel this list "Schedule A."
 and attach it to (hi* agreement. Show- total of cost
 estimates.
   	as trustee under the terms set.
   forth below. The trust shall be named the
   "Post-Closure Trust" for the following
   hazardous waste management facility(ies):

   (name and address of facility, or write in "see
   attached Schedule A"' if more than one
   facility).
     1. Purpose Clause
     Pursuant to the financial assurance
   requirements of 40 CFR 285.145. the purpose
   of this  trust rs to pay for the costs of post-
   closure care of the  above-named facility(ies)
   in accordance with the post-closure
   requirements of 40  CFR Part 265.
     2. Property Clans*
     It is agreed to by (owner or operator)  .
           •   as grantor of this trust that the
   trust will b« funded in accordance with tha
   requirements of { 2S5.145(a) of the
   regulations. The initial transfer of property to
   the trust shall consist of the property listed in
-  Schedule E attached hereto.*
     3. Period Clause
     This trust shall continue until terminated
   upon the happening of one'of the following
   conditions:
     (a) Upon written noticefs) from the EPA
   Regional Administrat6r(s) thai (owner or
   operator) —	is no longer required  to
   maintain financial assurance for post-closure
   care of the above-named facilily(ie»). In such
  an event, all'remaining trust property, less
  final trust administration expense*, snail be
  delivered to (owner or operator)           ,.
    (b) By'the mutual  written consent of the
  grantor of this  trust, the EPA Regional
  Administrators) of the Region(s) in which the
  facility(ies) is (are) located, the trustee of this
  trust at any time.
   4. Operation of the Trust. Duties of the
  Trustee  *
   (name of financial Institution acting as
  trustee)         	acknowledges below its
  receipt of the trust property listed in Schedule
  B and its acceptance of the obligations and
  duties of the trustee  as defined below.
   (a) The trustee agrees to notify the EPA
  Regional Administrators) by certified mail
  within five days following the expiration of
  the thirty-day period after the anniversary of
  the establishment of the trust, as specified in
  1265.14S(a)(5).       •
   (b) The trustee may resign from  its
 obligations as trustee by submitting written
 notice of its intent to the grantor and to the
 EPA Regional Administrators).  *
   (c) The trustee is to' make payments out of •
 the trust  only under the conditions specified
 in40CFR265.145(a)(16).
                       (date)
               , (signature of grantor)
                       (address of grantor)  —	__
                       (authorized signature for trustee)  ————
                       (name of trustee)	—	
                       (address of trustee)	.	
                       (signature of notary)  	—	
                       Mail original to the EPA Regional  .
                       Administrator within 10 days of the effective
                       date by certified mail. If more than one.
                       facility is covered and the facilities are in
                       more then one Region, send original to

                        'List property included in initial transfer on
                       separate sh,eet. clearly label this list "Schedule B."
                       and attach it to this agreement.
                                                                      Regional Administrator of Region in which
                                                                      the largest number of facilities are ;   "~"
                                                                      and copies to the other Regional
                                                                      Administrators), by certified mail.

                                                                      Appendix VII to Part 265
                                                                      EPA Form 8700-20

                                                                      U.S. Environmental Protection Agency

                                                                      Bond for Payment to Post-Closure Care Trust
                                                                      Fund

                                                                        As provided for in 40 CFR 265.145(b). under
                                                                          authority of the Resource Conservation
                                                                          and Recovery Act of 1976, as amended
                                                                          (42 USC 6901)
                                                                      1 EPA Facility Identification No.
  Adjusted post-closure cost estimate, in ac-
  cordance with 40 CFR 265.144: S   ,
    Know all men by these presents, that we.
  (owner of operator)	,	of (address)
  	, as Principal and (name of surety
  company)	, a company created
  and existing under the laws of (State)
  —	. as Surety, are held and firmly
  bound unto the U.S. Environmental Protection
  Agency (EPA) in the penal sum of	—	
  U.S. dollars (S     ) for payment of which.- -
  well and truly to be made, we bind ourselves,
  our heirs, executors, administrators.
  successors and assigns, jointry and severally,
  and firmly by these presents.
    Whereas, the Principal intends  to obtain
  interim status, as defined  by Section 3005 of
  the Resource Conservation and Recovery Act
  of 1976, as amended, for one or more
  hazardous waste disposal facilities, and such
  status depends upon compliance with t
  standards of 40 CFR Part 265. which i
  the requirement, specified in 5 265.14
  the owner or operator of each such fuwr-^
  must establish financial assurance that the
  applicable requirements of Part 265 for post-
  closure care will be met, and
    Whereas, this bond  is written to assure
  that the Principal will  establish a trust fund in
  accordance with § 265.145 for the purpose of
  providing for post-closure  care of the
  following hazardous waste disposal facilities:
  (name  and address of facility or write in "see
 attached Schedule A"1 if more than one
 facility)	•—, and shall inure to the
 benefit of EPA in accordance with said Part
 265.
   Now. therefore, the condition of this
 obligation is such  that, if the Principal shall
 faithfully, for each of the facilities guaranteed
 by this bond, within 30 days after beginning
 closure, make full  payment in the amount of
 the final adjusted post-closure cost estimate
 calculated in accordance with § 2-65.144 into
 a trust fund meeting  the requirements of
 § 265.145(a) to assure the.costs of 30 years of
 post-closure care, pursuant to all applicable
 statutes, rules and regulations, then and only
 then, the above obligation shall be void:
 otherwise to be and to remain in full force
 and effect.
  •The Surety shall become  liable on this
 bond obligation on|y when  the Principal fails

  1 If provision for post-eioaure care of more than
 one facility is covered by the bond, list on a
 separate sheet the EPA Facility Identification
Numbers, names,  addresses, and adjusted p
closure cost estimates for all the facilities, cl
lable this list "Schedule A," and attach it to
bond. Show total of cost estimates.

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                                  Federal Register /Vol. 45.  No.  98  / Monday. May 19. 1980 /  Proposed  Rules
                                                                                                                               33277
*
  to make payment in accordance with  .
  , 5 -65.145{b)(3). Upon notification by an EPA
 . Regional Administrator that the Principal has
  failed to fulfill the payment obligation, the  •
  Surety will place funds in the amount of the
  payment obligation into a trust fund as    . •
  directed by an EPA Regional Administrator.
    The liability of the Surety shailnot be
  discharged by any payment or succession of
•  payments hereunder. unless and until such
  payment or payments shall amount in the
  aggregate to the penal jum of the bond.-but in
  ho event shall the Surety'* obligation     .
  hereunder exceed the amount of said penal
  sum. The insolvency or bankruptcy of the
  Principal •hall not constitute a defense to the
  Surety with regard to claims of liability on
  the bond obligation*, and in the event of said
  insolvency or bankruptcy, the .Surety must
 • pay any unsatisfied final judgment* obtained
  on sufh claims. The Surety agree* to furnish
  written notice.forthwith to  the Regional
'  Administrators) of the EPA Region(s) in
  which the facility(ies) is fare] located of all
  suits filed, judgment* rendered, and
  payments made by the Surety under this
  bond.
    This bond is effective the ——	-day of
  	;	•. 10 '  . at the address of the
  Principal as stated herein and shall continue
  in force for each facility guaranteed by this
  bond until ninety (90) day*  following' the
  beginning of closure of that facility or until
  receipt of written notice tent by EPA to the
  Surety of satisfactory completion of the
  financial-assurance obligation of the
 Principal with regard to post-closure care of
 that facility, the sooner, or until otherwise •   ,
 terminated as hereinafter providiid. The
 Surety may terminate this bond by written
 notice sent by certified mail to the Principal
 and to the EPA Regional Administrators) for •
 the Region(s) in which the facility(ies) is (are)
 located, such termination to become effective
 ninety (90) day* after actual receipt of said
 notice by EPA: provided, however, that no
 such termination shall become effective if
 closure of said facility has begun, or has been
 ordered to begin by "an EPA Regional
 Administrator. The Principal may terminate
 this bond by sending written notice to the
 Surety, such termination to become effective
 thirty (30) days after receipt of such notice by
' the Surety; provided, however, that such
 notice is accompanied by written
 authorization for termination of the bond by
 the Regional Administrators) of the EPA
 Region(s) in which the bonded facility (ies) ia
 (are) located.
   If more than one surety company joins in  '
 executing this bond, such action shall
 constitute joint and several  liability oh the
 part of the sureties.     '".
  .In witness whereof, the Principal and
 Surety have executed this instrument on the
(Scnl)
(Surety)
(Stall
(Principal)
(Seal)
(attorney-in-fact) ' •
Principal)
	 	 . 19— 	 .


(address of
  date by certified mail. If more than one
  facility is covered and lhe:fac:lities are in
  more than one Region, send original to
  Regional Administrator of Region in which
  the largest number of facilities are located
  and copies to the other Regional          •  '•
  Administrator^), by certified mail.

  Appendix VIII to Part 263
  EPA Form 8700-21

  U.S. Environmental Protection Agency

  Post-Closure Performance Bond
    As provided for in 40 CFR 265.145(d). under
     authority of the Resource Conservation
     'and Recovery Act of 1976, a* amended
     (42 USC 6901}                ;
  ' EPA Facility Identification No.	'—±—
  Adjusted post-closure cost estimate, in ac-
  cordance with 40 CFR 265.144: $	i—
    Know all men by these presents, that we.  •
'  (owner or operator)	—— of (address)
     ,  	;. as Principal and (name of surety
  company)  '          a company created
  and existing under the  laws of (State)   •
  	'—	, as Surety, are held and firmly
  bound,unto the U.S. Environmental Protection
  Agency (EPA) in the penal.sum of—	
  U.S. dollars ($—-) for payment of which.
  well and truly to be made. we. bind ourselves.
  our heirs, executor*, administrators.
  successors and assigns, jointly and severally.
  and firmly by these presents.
    Whereas, the Principal intends to obtain
  interim status, a* defined by Section 3005 of
  the Resource Conservation and Recovery Act
  of 1976. a* amended, for one or more
  hazardous waste disposal facilities, and such
  status depends upon compliance with  the
  standards of 40 CFR Part 205, which includes
  the requirement, specified in f  265.145, that
  the owner or operator of each such facility
  must establish financial assurance  that.the
  applicable requirements of Part 265 for post-
  closure care will be met. and ,
   Whereas, this bond is written to assure
  cqmpliance with the post-closure
 requirements of 40 CFR Part 265 for the
  following hazardous waste disposal facilities:
 {name and address of facility or write in "see
 attached Schedule A"'if more  than one   •  ,
 facility)	—. and shall inure to  the
 benefit of EPA in accordance with said Part
 265.               .
   Now. therefore, the condition of this
 obligation is such that, if the Principal shall
 faithfully fulfill the applicable post-closure
 requirements set forth in 40 CFR Part 265 for
 each of the. facilities guaranteed by this bond,
 pursuant to all applicable statutes, rules and
 regulations, and shall carry out the post-
 closure plan required by Part 265. then, and
 only then, the'above obligation shall be void:,
 otherwise to be and to remain in full force
 and effect.                "'•.,'
  • The Surety shall become liable on this
 bond .obligation only upon a legal
 determination rendered in a proceeding
             Surety Bond No..	'•—-
             Mail original to the EPA Regional
             Administrator within 10 days of the effective
                                             .   ' If post-closure care of more than one facility is
                                             covered by the bond, list on a separate sheet the
                                             EPA Facility Identification Numbers,'names. and
                                             addresses, and adjusted post-closure cost estimates
                                             forall the facilities, clearly label this list "Schedule
                                             A." and attach it to this bond. Show total of cost ,••
                                             estimates. -                   . ,     .
  ' pursuant to Section 3008 of the Resource   '
  Conservation and'Recovery Act. as amended.
  that the .Principal Jias violated the post-
•  clpsure requirements of 40 CFR Parties.
  Following such a determination, the Surety
  must either, complete post-closure care of the
•  facility in accordance with the approved
  post-closure plan for the facility or pay the
  amount of the penal sum into a -trust fund .is
  directed by an EPA Regional Administrator.
    The liability of the Surety shall not be-
  discharged by any  payment or succession of
  payments hereunder. unless and until such
  payment or payments shall amount in the
  aggregate to the penal sum of. the bond, but in
  no event shall the Surety's obligation
  hereunder exceed the amount of said penal
  sum. The insolvency or bankruptcy of the
  Principal shall not constitute a defense to the
  .Surety with regard  to claims of liability'on '•
  the bond obligations, and. in the event of said
  insolvency or bankruptcy, the Surety must
  pay any unsatisfied final judgments obtained
  on such claims. The Surety agrees  to furnish
  written notice forthwith to the Regional
  Admiriislrator(s) of the  EPA Region(s) in
  which the facility(ies) is (are) located of all
  •'suits filed, judgments rendered, and   '
  payments made by  said Surety under this
  -bond.
    This bond is effective, the —'        day of
  ———;	. 19	, at the address  of the :'
.  Principal as stated herein and Shall continue
  in force until the end of 30 years of post-
  closure care unless prior notice is received by
. the Surety from EPA. or until terminated as
  hereinafter provided. The Surety may
  terminate this bond by written notice sent by
  certified mail to the Principal and to the EPA
,  Regional Administrator(s) of the Region(s) in
  which the facility(ies) is (are) located, such
  termination to become effective ninety (90)
  days after actual receipt of such notice by the
  Agency: provided, however, that no such
  termination shall become effective if closure
  of any said facility has taken place, has
  begun, or has been ordered to begin by an  •
  EPA Regional Administrator. The Principal
  may terminate this bond by sending written
  notice'.t'o the Surety, such termination to  '
  become effective thirty (30) days after receipt
  of such notice by. the Surety: provided,
  however, that such notice is accompanied by
'  written authorization for. termination of the
  bond by'the Regional Administrator(s) of the
  EPA Region(s) in which  the bonded
  facility(ies) is (are) located.
    If more than one surety company joins in
  executing this'bond, such action shall
  constitute joint and  several liability on the
  part of the sureties.    •  '      ,   '   •   •
    In witness whereof, the Principal and
  Surety have executed this instrument on the
 	i- day of	—, 19-—.
:  (Seal)	:	. •  '
  (Surety)
  (Seal)	,	—	
  (Principal)    '        .
                                                                                                      ' (attorney-in-fact).
                                                                                                       Principal)
                                                                                                                  (address of
                                              Surety Bond .No."—.	•—
                                              Mail original to the EPA Regional
                                              Administrator within 10 days of the effective
                                              date by certified mail. If more than one   •
                                              facility is covered and the facilities are in,

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 33278
Federal Register /  Vol. 45. Wo.  98 / Monday. May 19. 1980 / Proposed Rules
wore then one Region, send original to
Regional Administrator of Region in which
the largest number of facilities are located
and copies Jo the other Rezioual
.Adnun:Mratorf!>). by certified mail.
jn» Doc *M«TIO PTid S-IG-OT: /MS ami
OttJJMQ COOE eSU-OI-M

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 Monday
 May 19, 1980
Part IX



Environmental

Protection Agency

Hazardous Waste Management System

Proposal To Modify 40 CFR Part 265—
Subpart R—Underground Injections

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                                                                                      *
33280            Federal Register / Vol. 45. No. 98 / Monday. May 19.1980  /  Proposed Rules
                                                                                                - ™* :-\ 10

                                                                                                        m.
   ENVIRONMENTAL PROTECTION
   AGENCY

   40 CFR Part 265
   IFHL1447-1]

   Hazardous Waste Managmenfc Interim
   Status Requirements for Underground
   Injection
   AGENCY: Environmental Protection
   Agency.
 *  ACTION;Propoaedrule.    	

   SUMMARY: The Environmental Protection
   Agency (EPA) is proposing specific
   requirements for disposal of hazardous
   waste by undeground injeption under
.   § 3004 of the Resource Conservation and
 • Recovery Act. 42 U.S.C. § 6901, et seq*
   as amended. These proposed
   requirements would amend Subpart R of
   the interim status regulations  applicable
   to hazardous waste treatment, storage
   and disposal facilities. The proposed
   amendment includes requirements
,   concerning general operating practices,
   waste analysis, monitoring and
  response, closure and post-closure care,,
  financial responsibility and special
  handling of ignitable, reactive or
  incompatible waste. A public hearing  •
  will be held to receive public comment
  on the amendment as well as on issues
  raised in the  Preamble to the regulations
  issued under Part 122 of this Chapter
  concerning regulation of Class IV wells.
  DATES: EPA will accept written
  comments on the proposed amendment
  until on or before July 18,1980.
   A public hearing will be held from 9
 a.m. to 5:00 p.m. on July 8,1980.
 ADDRESSES: Comments should be
 addressed to  Docket Clerk, Office of
 _ Solid Waste [WH-562I, U.S.
 Environmental Protection Agency.
 Communications should identify the
 regulatory docket number "Section •
 3004".
   The hearing will be held on July 8,
 1980 at the H.E.W. Auditorium at 330
 Independence Avenue, S.W.
 Washington. D.C. from ftOO am to 5:00
 pm.
   The official docket for this proposed
 rulemaking is located (n Room 2711, U.S.
 Environmental Protection Agency. 401M '
 Street, S.W., Washington. D.C. 20460,
 and is available foryiewing from 9:00
 am to 4:00 pm. Monday through Friday,
 excluding holidays.
 FOR FURTHER  INFORMATION CONTACT:
 Mr. Bernard J. Stoll, Office of Solid
 Waste IWH-564], U.S. Environmental
 Protection Agency, 401M Street. S.W.,
 Washington, D.C» 20460, (202) 755-9116.
 SUPPLEMENTARY INFORMATION:
 Underground injection of hazardous
  waste is under the jurisdiction of both
  the Resource Conservation and
  Recovery Act (RCRA). 42 U.S.C. § 6901
  etseq.. which creates a "cradle to
  grave", management program for all
  hazardous waste, and the Safe Drinking
  Water Act (SDWA). 42 U.S.C. § 300f et
  seq.} which creates an Underground
  Injection Control (UIC) program. After
  examining the goals and policies of
  these two programs, EPA has concluded
  that the disposal of hazardous waste by
  underground injection in each State will
  be regulated under RCRA until a UIC
  program has been established in that
  State.
 ,  The hazardous waste management
  program, under Subtitle C of RCRA,
  provides a system for tracking and
  managing those solid wastes which are
  deemed "hazardous" .according to the
  criteria established under Section 3001
  of RCRA. A manifest system is  •
  employed to assure that hazardous
  waste is properly transported from its
  point of generation to facilities that
  store, treat or dispose of the waste.
   Under Section 3004 of RCRA^EPA is
  to establish standards, applicable to
 owners and operators of hazardous
 waste treatment, storage or disposal
 facilities which protect human health
 and the environment. Eventually all
 such facilities will be subject to permits.
 issued pursuant to Section 3005 of
 RCRA. which implement the Section
 3004 standards and other appropriate
 requirements. Under Section 3005. all
 treatment, storage or disposal of
 hazardous waste is prohibited, except in
 accordance with a permit under that
• section, six months after the
 promulgation of the Section 3004
 standards. •
   The Congress recognized that it would
 not be possible for EPA to issue all
 permits within six months of the
 promulgation of Section 3004 standards.
 Therefore it created an "interim status"
 period during which existing facilities
 which have applied for a permit may be
 treated as having been issued a permit
 while the Agency reviews and processes
 the facility's permit application. In
 keeping with the philosophy that
 facilities are to be treated as having
 been issued a permit during the interim
 status period. EPA believes it is
 appropriate to impose certain basic
 requirements on those facilities during
 the interim status period. The Agency
 has promulgated such interim status
 regulations for hazardous waste
 treatment, storage and disposal in a •
 separate section of today's Federal
Register.
  Part C of the SDWA creates a
program for the protection of
underground sources of drinking water. *
  As part of that program. EPA is to
  establish regulations containing
  minimum requirements for effect!
  State underground injection contl
  (UIC) programs and the Administrator is
  to list in the Federal Register each State
  for which, in his judgment, a State UIC
  program may be necessary  to assure
  that underground injection will not
  endanger drinking water sources. The
  Administrator has listed a total of 57
  States,  territories and the District of
  Columbia as needing a UIC program.
  Once EPA has established the minimum
  requirements, each listed State shall
  apply for and may receive approval for
  primary enforcement responsibility over
  underground injection in their State. If
  the State does not seek such
  responsibility, or if EPA determines that
  State authority is inadequate to
  implement the minimum requirements,
  EPA shall establish a UIC program for
_ the State.
    Thus  the UIC program does not have  "
  an equivalent of the "interim status"
•  period under RCRA. To accommodate
  the RCRA goal that disposal of  .
  hazardous waste (including
  underground injection) be subject to
  control  during that period. EPA has
  decided to regulate underground
  injection under the RCRA interim status
  regulations. Accordingly, owners j
  operators of underground injectic
  used to  dispose of hazardous was?
  be subject to the same general
  requirements applicable to all treatment.
  storage  and disposal facilities. These are
  set forth in Subparts A-E of Part 265,
  which is published in today's Federal
  Register.'In addition the interim status
  regulations of Part 265 include a Subpart
 R, which will contain specific
 requirements applicable to underground
 injection.                    •.
   The proposed.hazardous waste   .
 management regulations of December
 18,1978 (43 Fed Reg 58946) did not
 specifically address underground
 injection. The Agency has decided to
 propose the specific requirements
 applicable to underground, injection to
 gain the benefit of public comment.

 Rulemaking Strategy

   EPA recognizes that the regulation of
 underground injection under RCRA must
 be,coordinated with the UIC program.
 EPA anticipates that when State UIC
 programs become effective, underground
 injection of hazardous waste which falls
 under the jurisdiction of the UIC
 program will be regulated under that
 program. Thus the RCRA and UIC
 programs must be structured to al"
 such a shift without unnecessary!
 confusion.
                                                                                                        m siaius


                                                                                                        as^M-fl

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                    '  „ '      ,    '   '   "                             ,       '.."-        «_.
                   Federal Register /  Vol. 45.  NIo. 98 /  Monday, May 19. 1980 /  Proposed  Rules
                                                                                                               33281
    EPA plans to develop this portion of
  the RCRA regulations in tandem with
  the UIC program. Certain portions of the
  UIC program regarding Class IV wells
  are being Te,-prpposed today. For a
  discussion of those re-proposed
  elements commenters should see the
  Preamble to Subpart C,of the Part 122
  regulations published in today's Federal
  Register. The hearing dates which have
.  been established in this proposed
  regulation also match those for the re-
  proposed elements of Part 122. EPA
  anticipates that commenters may want
  to address their written comments and
  any statements at the hearing to both
  the Part 122 proposal and this proposed
  amendment to Part 285.
   The technological requirements
  specified in these proposed regulations
  apply to both Class I and Class IV
  underground injection wells, unless
  identified as applying only to one or the
  other. All Class I wells have similar
  characteristics so that these
  applications should be easily
  understood. In the case of Class IV
  wells, however, this may not be the
  case.
   Underground injection wells for
  disposal of hazardous waste are
  classified as either Class I or Class IV. *
  Class I wells are those which inject ,-
 waste beneath the lowermost formation
 containing; within one quarter mile of
 the well bore, an underground source of
 drinking water. However, the Class IV  '
 wells can be subdivided into two types.
 The first type is those Class IV wells
 which discharge hazardous Waste
 directly into underground sources of
 drinking water. The other type is those
 Class IV wells which discharge
 hazardous waste above underground
 sources of drinking water.         •
   One of the key issues concerning
 underground injection is the approach
 that should be taken under RCRA and
 the SOW A toward Class IV wells that
 involve the direct injection of hazardous
 wastes into underground sources of
 drinking water. For a more detailed
 description of this issue, commenters
 should see the Preamble to Subpart C of
 Part 122, which is published in today's
 Federal Register.
  •Commenters should! be'aware that
 EPA is considering implementing some
 of the options discussed in Part 122
 under RCRA and may incorporate one
 of those options in these inlerim status
 regulations. Under § 122.36 of the UIG
program proposal, all injection of
hazardous waste directly into an     .   ,
underground source of drinking water
through a Class IV well would be    .  .'
prohibited six months after approval of
a State program, EPA is considering a
similar ban under RCRA. Such a ban
  might be instituted on the effective date .
  of the interim status regulation
  implementing the ban or at spme time
  after the effective date. Commenters
  should also be aware-that EPA is
  considering incorporating such a bah
  into its Part 264 regulations to address
  direct'injection while UIC-programs are
  being developed.                   '
    The Agency has not made a decision
  at this time concerning whether Class IV
  wells discharging hazardous waste
  above underground sources of drinking
  water should be banned. However, the
  Agency believes that in the event it
  decides to allow such wells to continue
  to operate, that It should alert the public
  to the kinds of technical controls it is
  considering imposing so that the public
  can meaningfully comment on them.
    Class FV wells discharge hazardous
  waste into or above underground     •
  sources of drinking water through a
  variety of underground injection
  devices. As already discussed in this
  Preamble, rip technScarrequirements.are
  included in these regulations for Class
  IV wells which discharge directly into
  underground sources of drinking water.
  Requirements are included in these
  regulations, however, for those Class IV
  wells which discharge hazardous waste
  above underground sources of drinking
  water. Because of the variety of devices
  classified as Class IV wells xvhich
 discharge above .underground sources of
 drinking water, the Agency recognizes
 that difficulties arise in developing
 requirements that  would apply to all
 such injection devices.
   There'are essentially four groups or
 types of these Class IVidevices. They
 are best .described by expressing them
 in comparison to other devices and •
 techniques. The first type are those
 normally called wells, which are similar
 to the taual dug or drilled  well, with'or
"without, well casing or other fabricated
 side walls. They are always
 considerably deeper than they are wide.
 The second type is similar, to the first
 but usually much shallower than the
-first. They are usually referred to as pits
 and are similar in most aspects to  "  •
 surface impoundments. They are usually
 open at the top and constructed to allow
 liquid to seep through Jhe bottom and
 sides into surrounding soil. The third
 type is more a treatment device than an
 injection device. They are usually buried
 rigid vessels designed to contain waste
 for chemical, physical or biological
 treatment and equipped with distinct
 influent and effluent pipes. Septic tanks,
 devices w.hich are designed to treat-
 waste biologically under anaerobic
conditions, are an example of this type.
The fourth and final type are those that
  are designed to distribute fluids beneath
  the ground surface over a relatively
  large area and usually involve buried
  lateral pipes or trenches. An example of
  this type is a leaching field which   ,
  distributes effluent from a septic tank.
    As cart be seen from this discussion a
  given requirement for one type'of device
  may not be appropriately applied to the
  other three devices. For this reason the
  Agency has directed the requirements in
  these proposed regulations primarily to
  those Class ly.undergrouhd injection
  devices which' are normally thought of
  as wells.
    In addition to, or instead of, the
  requirements specified in these
  proposed regulations for Class IV
  underground injection devices, the
  Agency is considering the specification.
  of other more appropriate requirements
  for.those Class IV underground  injection
  devices which dp not typify wells.
    In particular, the Agency is.
  considering the requirements specified
  in Part 265-Subpart K. Surface
  Impoundments, or similar requirements
  for application to the second type
  described above (i.e., pits). The
  requirements specified  in Part 265-
  Subpart Q, Chemical, Physical, and
  Biological Treatment or similar  .
  requirements are being considered for
  application to the third  type (e.g., septic,
  tanks) and the requirements in Part 265-
  Subpart M. Land Treatment, or similar
  requirements for the fourth or remaining
  type. The Agency specifically invites
;  comment on the appropriateness of •
'  applying these requirements to Class IV
  underground injection devices.'
   Because of  the similarity between
.  these latter three types of injection
 devices and .those hazardous waste
 management techniques to be controlled •
 by regulation  in accordance with the
 Part 265 requirements under RGRA, the
 Agency is also considering regulating
 these injection techniques under RCRA
 only, now and in the future. The UIC
 program would still assume regulatory
 responsibility for those of these injection
 techniques which are generally  . .
 considered as wells (i.e., the first type)
when such programs go. into effect. The
Agency invites specific comments on
this concept.
  These proposed regulations include a
limited number of definitions, used
throughout the regulations. These
definitions also appear in § 122.3 of the
Part 122  regulations published in today's
Federal Register. The Agency will be
developing additional appropriate
definitions for this proposed regulation
in conjunction with the Part 148
regulations which are now under
development.

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      33282
       The various requirements included in
      these proposed regulations are
      discussed as follows:
      General Operating Requirements,
       These proposed regulations include
     specific operational requirements for
     Class I wells which dispose of
     hazardous waste beneath the lowermost
     formation containing, within one quarter
     mile of the well bore, an underground
     source of drinking water. Such wells
     typically pass through overlying aquifers
     which are to be protected as
     underground sources of drinking water.
     This protection involves requirements
     that Injections only occur through*
     properly designed and constructed
     wells. The injection of hazardous waste
     must be accomplished through tubing   '
     inside of a well casing which is
     cemented to the well bore. Furthermore,
     the annular space between the tubing
     and casing must be filled with a suitable
     fluid. As will be,discussed later, the
     integrity of these seals is to be
     demonstrated by a monitoring program.
     A final requirement for protecting
     aquifers overlying the injection
     formation is the prohibition of injection
    of hazardous waste between the
    outermost casing and the well bore.
    Additional operational controls include  •
    limitations placed on injection pressure
    baaed on conditions in the injection  .
    zone. These limits are set to prevent the
    migration of hazardous waste.
    hazardous waste constituents, or
    formation fluids.from the Injection zone
    Into underground sources of drinking
    water. This migration could occur either
    through fractures in the injection zone
    and the confining zone, or through
   .improperly completed or plugged wells
    penetrating the injection zone. To
    prevent migration by the first of these
    pathways the pressure in the injection
    formation must remain below a
    calculated maximum known as fracture
    pressure. The injection pressure must at
    all times remain less than the fracture
   pressure. To prevent contamination by
   the second pathway, the owner or
   operator can either correct the problems
   in these wells or inject at a reduced
   pressure such that the injected fluids  .
-  will not reach the improperly plugged or
   completed wells. Facilities under interim
   status are existing facilities for which
   proper injection pressures have already
   been determined. The regulations
   require that the owner or operator
   control and monitor his injection
   pressure to prevent migration of
   hazardous waste or hazardous waste
   constituents out of the injection zone by
   either pathway.
     The above discussion applies only to
   Class I wells disposing of hazardous
Federal  Register / Vol. 45. No. 98  /  Monday! May 19.  1980 / Proposed Rules
                      waste. The regulations do not include
                      any general operating requirements for
                      Class IV wells which inject above
                      underground sources of drinking water.
                      Since these wells are intended to
                      introduce injection fluids above
                      underground sources of drinkirig water,
                      requirements to prevent leakage from
                      the well are not pertinent As will be"
                      discussed later, however, the regulations
                      do specify ground-water monitoring
                      requirements for these wells.

                      Special Handling Requirements
                       Facilities which dispose of hazardous
                      waste by underground injection must
                      comply, with the § 285.13 General Waste
                      Analysis requirements. In addition,  in
                      the case of underground injection, the
                      owner or operator must ascertain that
                      the waste is compatible with the
                      components of the well and the injection
                      formation. Trial tests are required when
                      a well is used to inject a  different
                     hazardous waste to ensure that the new
                     waste will not react with previously
                     injected fluids, the injection formation or
                     components of the well and form gases
                     which could cause a threat to public
                     health or the environment, or otherwise
                     damage the well or the receiving
                     formation. Test results must .
                     demonstrate compliance with the
                     requirements of § 265.17{b). If the owner
                     or operator has on hand information
                     demonstrating the compatibility of
                     various hazardous wastes with the well
                     components and the injection formation
                     the trial tests need not be performed.
                      In S 265.437 of the proposed
                     regulations the underground injection of
                     ignitable. reactive, and incompatible
                     waste is prohibited unless such injection
                    complies with 5 285.17(b).

                    Monitoring and. Response
                      As discussed earlier in the discussion
                   «of general operating requirements, for
                    Class I wells both the mechanical  -•
                    integrity and the injection zone pressure
                    are to be monitored.
                      Monitoring to assure the mechanical
                    integrity of the well is to be
                    accomplished by applying a selected
                    pressure to the material placed in the
                    annular space between the tubing and
                    the well casing, and then monitoring the
                    pressure for changes. Any abrupt
                    change  in the measured pressure
                    indicates that the tubing is leaking into
                    the annular space. In determining the
                    pressure to be applied to the annular
                    space the owner or operator must
                    establish an allowable range based on
                   generally accepted engineering
                   practices. A sudden leak or fracture in
                   the tubing or casing would cause an
                   abrupt change in the annular pressure. If
                   a significant change in the annular
   pressure is detected, the owner or
   operator is required to take approp,
   corrective action to restore mechar
   integrity. This action may include
   replacing or repairing tubing, casing.
   seals or other appurtenances.
     These proposed regulations do not
   specify appropriate annular pressures or
   the means to restore mechanical
   integrity. The regulations do require the
   owner or operator to implement a
   monitoring program to demonstrate
   mechanical integrity of Class I wells
   based upon a plan prepared and       ;
   submitted to  the Regional
   Administrator, all on the effective date
   of these regulations. Continuous
   monitoring of annular  pressure is  '
   commonly employed at Class I facilities
   and therefore the Agency is requiring
   continuous monitoring and recording. In
   addition to the annual  report that  the
   Agency is considering  requiring notice
  within a specified period (e.g.. 24 hours)
  any readings falling outside the
  allowable range.
    Monitoring  of the injection pressure is
  also required, for Class I wells. As
  discussed earlier in this document,
  injection at too high a pressure can
  cause hazardous waste, hazardous
  w'aste constituents, or formation fluids
  to migrate from the injection zone. To  '
,  guard against  this possibility, the ovu"
  or operator must measure the injecti"
  pressure to assure that  it does not
  exceed the allowable pressure in the
  injection zone. Since the pressure is  •
  measured at the well head and not in
  the injection zone itself, he must
  calculate, based upon generally
  accepted engineering principles, the
  maximum allowable pressure at the well
  head based on the characteristics of
  both the fluid being injected and the
  injection well apparatus. If the well
 head pressure  exceeds the allowable
 limit, the owner or operator must modify
 his injection process to  restore the
 injection pressure to within allowable
 limits. For more information on this
 subject see "An Introduction to the
 Technology of Subsurface Wastewater
 Injection," EPA-600/2-77-240,
 December 1977.   '
   As with the mechanical integrity
 monitoring program, the owner or         '
 operator must, on the effective date of
 these regulations, develop and submit to  '
 the Regional Administrator a plan for
injection pressure monitoring and then
implement it. This plan must include a .
specification of continuous monitoring
and recording. The Agency is
considering, in addition to the annual
report, requiring periodic or episodic
reporting.                         ,',
   The owner or operator is required t£
keep records of monitoring data and

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                   Federal  Register / Vol. 45.  No. 98 / Monday. May 19.  1980 / Proposed Rules    ';".    33283
   evaluations throughout the active life of
   the facility. He must also submit to the -
   Regional Administrator an annual report
   on his mechanical integrity and injection
   pressure monitoring programs. The
-  report must contain a description of any'.
   corrective actions instituted during the
   year and the circumstances which
   necessitated the corrective actions.
    In the case of Class IV wells used to •
   dispose of hazardous waste by injection
   above an underground source of
 ,  drinking water, these proposed
   regulations require compliance with the
   requirements of Part 285 Subpart F—
   Ground-Water Monitoring.
    The Agency believes that wells
  injecting hazardous waste above an
  underground source of drinking water
  are very similar to surface
  impoundments used for the storage.
  treatment or disposal of hazardous
  waste in terms  of potential ground-water
  contamination. This is especially true if
  the surface impoundment leaks. Because
•  of this similarity, the proposed    '   '
  regulations specify the same ground-  '
  water  monitoring requirements for these
  wells as those which apply to surface
  impoundments, including the
  recordkeeping and reporting
  requirements of Subpart F.
    Subpart F requires indicator
 monitoring which may lead to. a ground*
 water quality assessment program. For
  those facilities where no hazardous
 waste or hazardous waste constituents
 are thought to be entering the ground
 water,  an indicator monitoring program
 to detect leaks is described. For those
 facilities where ground-water
 contamination by hazardous waste or
 hazardous waste constituents from the
 facility is known or assumed to exist,
 the Subpart F regulations describe a •   :
 ground-water quality assessment
 program to establish the magnitude of
 the impact on the ground water. Since
 most Class IV wells may already have
 contributed hazardous waste or
 hazardous waste constituents to the
 ground water, the Agency anticipates
 that a ground-water quality assessment
 program will be implemented at most
 Class IV injection well facilities:

 Closure and Post'Closure
   The regulations require an owner or
 operator to close his injection well in
 such a way that migration of hazardous
 waste or hazardous waste constituents
 into or between underground sources of
 drinking water is prevented.
 Furthermore, the need for maintenance
 to protect human health and the
 environment is to be minimized. On the
 effective date of these regulations the
owner or operator is required to have a
written plan for closure of his injection
  welj at the end of its intended life or. for
  that matter, at any other time that   ^
  closure would be necessary. The closure
  plan must describe the steps which will
  need to.jbe taken to close the injection
  well.  .               •
    These proposed regulations specify
  requirements for closure plan
  amendments, plan approval, and     '•  •
  notification which are Very similar to
  the facility closure requirements
  specified in Part 285—Subpart G.
  Closure and Post-Closure. Commenters
  may wish to review these proposed
  requirements in consideration of
 .Subpart G.
    In the case of Class I wells, these
  regulations specify that closure must be
  accomplished by plugging. Common   '
  plugging techniques include: the Balance
  Method; the Dump Bailer Method; and -
  the TworPlug Method. Each,of these
  techniques requires that the well be
  brought into a state of static equilibrium.
  either by circulating the mud in the well
  at least once or a comparable method.
 prior to placement of the cement plug(s).
 For more information see "Cementing"
 by Dwight K. Smith. Chapter 10.
. Monograph Volume 4. Henry L. Doherfy
 Series, SPE of AIME. 1976.
   In the case of Class IV wells which   .
 are used to dispose of hazardous waste,
 by injection above underground sources
 of drinking water, the owner or'operator
 must remove-remaining hazardous
 waste from the injection well and then-
 dose, the well, in accordance with the
 facility closure plan to satisfy
 S 265.435(a). One method of meeting this
 objective is to preclude the injection of
 additional fluids, even those which are
 not hazardous waste, which  could result
 in mobilization of hazardous waste
 remaining  in the aeration zone and
 introduction of these substances into the
 ground water.    '
  A "Comment" included in  the        -
 proposed regulations reminds the owner.
 or operator that any waste removed
 from the injection well during closure
.must be managed as a hazardous waste.
 unless he demonstrates that the waste is
 not hazardous.  •            ,
  Following closure, the owner or
 operator of a Class IV well must
 implement  his post-closure plan. These
 proposed regulations impose  the post-
 closure requirements specified in
 Subpart G.  which, in the case of
 underground injection, involve post-
 closure monitoring of the ground water
in accordance with Subpart F. EPA    ;
believes that such post-closure
monitoring  is appropriate since        ;
hazardous waste may remain in the soil
adjacenj to the injection well. This .
monitoring  will determine whether the
waste migrates to ground water and, if
 ' such migration occurs, what degree of
  contamination occurs. The latter
  determination must, at a minimum."   .
  include a prediction of the rate of
  migration of the contaminants in the
  saturated zone. If the well is
  contaminating ground water the
  assessment of contamination in the
  ground water must continue as long as
  waste is being injected (i.e.. until closure
  of the facility). This is necessary to
  account for differences in the waste
  injected (e.g.. volume, constituents).
    If contamination first appears during
  the post-closure period a single ground-
  water quality assessment (including a
  prediction of the rate of migration)
  should be sufficient to characterize
  likely future contamination. While the
  Agency believes'that the post-closure
  monitoring requirements of Subpart F
  are applicable to Class IV wells that •
  inject above an underground source of
  drinking water, the Agency does not
  expect that most Class IV wells will be
 engaging in extensive post-closure
 monitoring. Many Class IV wells will
 have triggered the ground-water quality
 assessment program of Subpart F during
 the active life of the facility. Such
 facilities would only monitor until final
 closure. Those that are using the
 indicator monitoring system during the
 post-closure period are likely to discover
, an impact on ground water. Under
 Subpart F. such facilities need only
 complete and report on a single ground-
 water quality assessment.

 Financial Requirements
   In imposing financial requirements on
 the owners or operators of underground
 injection facilities, these proposed
 regulations draw a distinction between'
 the closure and post-closure
 requirements. Since closure is   •
 accomplished essentially through   '
 plugging, it is appropriate to use
 financial requirements similar to those
 in 5 122.42(g). which seem appropriate
for such techniques. Since the post-
closure requirements of this Subpart are
based on the requirements of Subpart G
of this Part, it is appropriate to use
financial responsibility requirements
similar to those in Subpart H of this
Part.             .
  The Agency is also considering
distinguishing between Class I and
Class IV wells for purposes of financial
responsibility. Under this alternative
approach, requirements for Class I  wells
(which do not have post-closure
requirements) would be based on those
in § 122.42(g). The requirements for
Class IV wells (which would include
requirements during the post-closure
period) would be based on Subpart H.
The Agency is also considering imposing

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   33284
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Proposed Rules
   either all of Subpart H or requirements
   similar Jo those in § I22,42,rg) on all
   underground injection facilities
   disposing of hazardous waste above
   underground sources of drinking water.
     The Agency has decided to repropose
   financial responsibility requirements for
   owners or operators of hazardous waste
   management facilities. To the extent
   appropriate, the Agency may decide to
   promulgate such requirements for
   owners or operators of wells treed to '
   dispose of hazardous waste, at the time
   Jt promulgates such requirements for
   other hazardous waste management
   facilities.
    Dtted:May2.1saa
   BotiglMM.Co«tl«,
   Administrator.

    It l» proposed to further amend Title
  40 CFR. Part 205. by adding 55 205.431—
   285.437 to Subpart R, which has been
  promulgated in Joday's Federal Register
  as follows:

  §265.431  Detrition*.
    The following definitions promulgated
  In § 122.3 of this Chapter apply:
   Formation means a body of rock
  characterized by a degree-of lithologic
  homogeneity; which \e prevailingly, but
  not necessarily, tabular and mappable
  on the earth's surface or traceable- in-the
  subsurface.
   Formation fluid meant "fluid" present
  in a ** formation'* under natural
  conditions as opposed to introduced
  fluids, such as drilling mud.
   Infection well means a "well" into
  which "fluids" are being injected.
   Infection zone means a geological
  "formation", group of formations, or part
 of a formation receiving fluids through a
 well
   Plugging means the act or process of
 stopping the flow of water, oil. or gas in
 formations penetrated by a borehole or
 welL
   Underground source "of drinking water
 ("USDWT) means an aquifer or its
 portion: (a] which supplies drinking
 water for human consumption: or (b) in
 which the ground water contains  fewer
 than 10.000 rag/1 "total dissolved
 solids".

 § 265.432  Genera! operating
 requirements.
   The owner or operator of.a Class I
 well for disposal of hazardous waste
 must prevent migration of hazardous'
 waste or hazardous waste constituents
 into or.between underground sources of
 drinking water as follows:
   (a) Wells must be cased and cemented
between the well bore and casing:
  (b) Hazardous waste must be injected
through tubing, with a packer set
                      immediately above the injection zone
                      and with the annulus between the
                      tubing and the long string of casings
                      filled with fluid, or by another equally  '
                      effective technique for which the owner
                      or operator has a written demonstration,
                      available for review by the Regional •
                      Administrator, indicating that'it
                      provides a comparable level of
                      protection to underground sources of
                      drinking water.                -
                        (c) Injection of hazardous waste
                      between- the outermost casing and the
                      well bore is prohibited; and  '
                        (d) Injection pressure at the well head
                      must not exceed a maximum pressure
                      which must be calculated so as to
                      assure that the pressure in the injection
                     zone during injection does not initiate-
                     new fractures or propagate existing
                     fractures in the injection zone,  initiate •
                     .fractures in the confining zone  or
                     otherwise cause the migration of
                     hazardous waste, hazardous waste •
                     constituents, or formation fluids into an
                     underground source of drinking water.

                     §265.433  Wasts analysis.
                      For disposal of hazardous waste by
                     underground injection the owner or
                     operator must, in addition to the waste
                     analyses required by 5 265.13:  .
                      (a) Conduct waste analyses and trial
                     tests; or
                      tb) Present written, documented ,
                   .  information from his or similar disposal
                     operations to show that this disposal
                     will comply with J 285.17(b) and for
                     Class I wells, that the waste is
                     compatible wfth fluid! in the injection
                    zone and minerals in both the injection
                    zone and the confining zone and will not
                    damage the mechanical integrity of the
                    well.

                    S 261434  Mentoring and response.- •
                      (a) The owner or operator of a facility
                    which disposes of hazardous waste by
                    underground injection into a  Class I well
                    must:
                     • (1) On the effective date of these
                    regulations develop and submit to the
                   -Regional Administrator a plan for a
                    monitoring program capable of
                    determining compliance with § 265.432.
                    by:
                      (i) Demonstrating the mechanical
                    integrity of the injection well to satisfy
                    5 265.432(a) and (b): and -
                      (ii) Demonstrating that the pressure of
                    the injected fluids remains within
                    allowable limits to satisfy § 265.432(d).
                      (2) The plan to be submitted under
                   paragraph (a) of this section must
                   specify:
                     (i)  For demonstrating mechanical
                   integrity:
                     (A) The annual pressure range to be
                   maintained and basis for determining it
   for the specific well tubing, packer and
   casing characteristics and for the
   anticipated-injection fluid temperat
     (B) The devices and procedures f*,^,
   continuous monitoring and recording of
   the annular pressure, and evaluation of
   that information: and
     (C) Procedures for immediate
   response to. changes in the annular
   pressure outside the allowable range.
   and for restoration of mechanical
   integrity;
     (ii) For demonstrating that injection ,
   fluid pressure remains within allowable
   limits:
    (A) The  calculated fracture pressure
   and the basis for determining it for the
   specific formation and zone of injection;
    (B) The calculated allowable injection
  pressure to be measured at the well
  head and the basis for determining it for
  specific injection fluid characteristics
  (i.e.. specific gravity, viscosity and
  temperature); '
    (C) The techniques and procedures for
  continuous monitoring and recording of
  the injection pressure at the well head.
  for evaluation of that information: and
    (D) Procedures  for immediate
  response to an increase in the well head
  pressure above the allowable limit, to
  restore pressure to within allowable
  limits.
    (3) On the effective date of these
  regulations the owner or operator m
  implement  the monitoring plan whic., -
  satisfies paragraph (a)(2) of this section
  and determine the mechanical integrity
  of the well and the injection zone
  pressure.
   (4) The owner or operator must keep
 •records of the monitoring data and
 evaluations specified in paragraphs
 (a)(2).(i) and (ii) of this section
 throughout the active life of the facility.
   (5) The owner or operator must submit
 an annual report to the Regional
 Administrator which assures
 compliance  with § 265.432. He must
 separately identify in the annual report ,
 those corrective actions, specified in
 paragraphs (a)(2)(i) (C) and (a)(2)(ii)(D)
 of this section which were implemented
 during the reporting period, and an
 explanation of the  circumstances which
 required corrective action.
   (b) The owner or operator of a facility
 which disposes of hazardous waste by
 underground injection into a Class IV
 well which discharges above an
 underground source of drinking water
 must monitor the ground water in •
 Accordance with  the requirements of
 Subpart F of this  Part.

 § 265.435 Closure and post-closure.
  (a) The owner or operator must cloi
his facility in a manner that:

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     ' (!) Will prevent the migration of
    hazardous waste or hazardous, waste
    constituents into or between
    underground sources'of drinking water
   . vi,a the well structure: and
      (2) Will minimize the need for further
    maintenance to protect human health
    and the environment.
      (b) On the effective date of these
    regulations, the owner or operator must
    have a written closure plan. He must
    keep this plan at the facility. This plan
    must identify, the steps necessary to
    completely dose the facility. The closure
i   plan must .'•••'••.
     (1) Identify the techniques to be used
   to close the well in accordance with
   paragraphs (c) and (d) of this Section;
     (2) Describe the steps which are
   necessary to decontaminate facility
   equipment during closure; and
     (3) Include a schedule for final closure
   \yhich specifies the anticipated  date
   when wastes will no longer be received.
   the anticipated date when final  closure
   will be completed, and intervening
   milestone dates for tracking the progress
   of closure.
     (c) The owner or operator may amend
   his closure plan at any time during the
   active life of the facility. The owner or
   operator must amend his plan any time
   changes in operating plans or facility
   design affect the closure plan.->
     (d) The owner or operator must-
   submit his closure plan to the Regional
   Administrator at least 180 days before
   the date he expects to begin closure. The
  Regional Administrator will modify.
  approve, or disapprove the plan  within
  90 days of receipt and after providing
  the owner or operator and the affected
  public (through a newspaper notice) the
  opportunity to submit written comments.
  If an owner or operator plans to begin
  closure within 180 days after the
  effective date of these regulations, he
  must submit the necessary plans on the
  effective date of these regulations.
    (e) Within 90 days after receiving the
  final volume of hazardous wastes, the
  owner or operator must treat all
  hazardous wastes in storage or in
  treatment, or remove them from the site,
  or dispose of them on-site, in-       ,
  accordance with the approved closure
  plan.
   (f) The owner or operator must . .  '•  .
  complete closure activities in
  accordance with the approved closure
.  plan and within six months after
 receiving the final volume of wastes.
 The Regional Administrator may
 approve a longer closure period under
 paragraph (d) of this section if the owner
 or operator can demonstrate that:
   (1) The required or planned closure
activities will, of necessity, take him
longer than six months to complete, and
                      Federal Register / Vol. 45. No. 98 / Monday. May 19.198O / Proposed Rules
                                     ^—
     (2) That he has taken allsteps to
   eliminate any significant threat to  '
   human health and the environment from
   the unclosed but inactive facility.
     (g) The owner or operator of a Class I
   well must close by plugging to satisfy
   paragraph (a).of this section.
     (hj At closure, the owner or operator
   of a Class IV well which discharges
   above an underground source of     "•.'
  .drinking water must;
     (1) Remove the hazardous waste
  remaining in the well; and
     (2) Close the well in a manner which
  satisfies, paragraph (a) of this section. .
  [Comment: At closure, as throughout the
•  operating period, unless the owner or
  operator can demonstrate, in
  accordance with J 281.3 (c) or (d) -of this
  Chapter, 'that any solid waste removed
  from  the injection well is not a  ',' '
  hazardous waste, he becomes a
  generator of hazardous waste and must
  manage it in accordance with all .
  applicable requirements of Parts 262.
  263. and 285 of this Chapter.)
    (i) When closure is completed, the
  ownw-or operator must submit to the
  Regional Administrator certification
  both by the owner or operator and by an
  independent registered professional
  engineer that the facility has been
  closed in accordance with the ,
  specifications in the approved closure
  plan.
   (J) The owner or operator of a Class
  IV well which discharges above an
  underground source of drinking water
  must provide post-closure care in
  accordance with the applicable
  requirements of § § 265.117-265.120 (see
  Subpart G of this Part).

  5265.438  Financial requirement*.,  '•'.
   (a) On the effective date of these   .
  regulations, the owner or operator of a  •
 facility which disposes of hazardous
 waste by underground injection must
 have a written estimate of the cost of
 closing the facility in accordance with
 the requirements in § 265.435. The owner
 or operator must keep this estimate, and
 all subsequent estimates required in  this -•
 Section, at the facility.
  (b) The owner or operator must
 prepare a new closure cost estimate
 whenever a change in the closure plan
 affects the cost of closure.        .
  (c) The owner or operator must
 maintain financial responsibility in the
 form of performance bonds or other
 equivalent form  of financial assurance
 to close a facility which disposes of   •
 hazardous waste by underground
 injection. In lieu of individual
 performance bonds, owners dr operators
 may furnish a bond or other equivalent
 form of financial guarantee covering all  '.'  •
  facilities which dispose of hazardous,
  waste by underground injection in any
  one State.       ,
    (d) On the effective date of these ,.
  regulations an owner or operator of a
  facility which disposes of hazardous
 .. waste by underground injection'in a
  Class IV well which discharges'above
  underground sources of drinking water
  must have a written estimate of the
  annual cost of post-closure monitoring
  and maintenance in accordance with the
  applicable post-closure requirements in
  § § 265.117-265.120. This estimate, and
  all subsequent estimates, must be kept
  at the facility.              .
    (e) The cost estimate required in
  paragraph (d) of this section must be  '
  revised whenever a.change in the post-
  closure care plan affects the  cost of    .
 post-closure care (see § 265.113(b)). The
 .latest post-closure cost estimate is
 calculated by multiplying the latest
 annual post-closure cost estimate by 30.
   (f) On each anniversary of the
 effective date of these regulations, the
 owner or operator must adjust the latest
 post-closure cost estimate "Using an
 inflation factor derived from  the annual
 Implicit Price Deflator for Gross
 National Product as published by the
 U.S. Department of Commerce in its- '
 Survey of Current Business. The
 inflation factor must be calculated by
 dividing the latest annual published
 Deflator by the Deflator for the previous
 year. The result is the inflation factor.
 The adjusted post-closure cost estimate
 must equal the latest post-closure cost
 estimate tim'es the inflation factor.

 § 265.437  Special requirements for
 Ignltabl*. reactive or Incompatible wastes.
  Ignitable, reactive or incompatible
 wastes (see Appendix V for examples)
 must not be disposed by underground
 injection unless § 265;17(b) is satisfied.
IFS Doc 80-14310 Filed 5-16-80; 8:« am|
BIUJNO CODE 6SSO-01-M              '

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5-19-30
Vol. 45—No. 93
BOOK 3:
PAGES
33237^33588
Book 3 of 3 Books
Monday, May  19, 1980
                                             33287 Environmental Prptection Agency
                                                    Consolidated Permit Program

                                             33290  Part X
                                                    Consolidated Permit Regulations

                                             33516  Part XI
                                                    Consolidated Permit Application Forms

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 Monday
 May 19, 1980
Part X


Environmental
Protection  Agency
Consolidated Permit Regulations

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   33290        Federal Register'/  Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
   ENVIRONMENTAL PROTECTION
   AGENCY

   40 CFR Parts 122,123,124, and 125  ,

   IFRL1453-5]

   Consolidated Permit Regulations:
   RCRA Hazardous Waste; SDWA
   Underground Injection Control; CWA
   National Pollutant Discharge
   Elimination System; CWA Section 404
   Dredg* or Fill Programs; and CAA
   Prevention of Significant Deterioration

   AQENGY: Environmental Protection
   Agency (EPA).
   ACTION: Final rule.	

   SUMMARY: This rule establishes
   consolidated permit program
   requirements governing the Hazardous •
   Waste Management program under the
   Resource Conservation and Recovery
   Act (RCRA), the Underground Injection
   Control (UIC) program under the Safe
   Drinking Water Act (SDWA). the
   National Pollutant Discharge
   Elimination System (NPDES) program
•  and State Dredge or Fill ("404")
   programs under the Clean Water Act
   (CWA), and the Prevention of
  Significant Deterioration (PSD) program
  tinder the Clean Air Act. for three
  primary purposes:
    (1) To consolidate program
  requirements for the RCRA and UIC
  programs with those'already established
  for the NPDES program.
    (2) To establish requirements for State
  programs under the RCRA, UIC, and
  Section 404 programs.
    (3) To consolidate permit issuance
  procedures for EPA-issued Prevention of
  Significant Deterioration permits under
  the Clean Air Act with those for the
  RCRA. UIC, and NPDES programs.
  DATES: These regulations shall become
  effective as follows: All regulations shall
  become effective as to UIC permits and
  programs July 18,1980. but shall not be
  implemented until the effective date of  ."
  40 CFR Part 148. All regulations shall
  become effective as to RCRA permits
  and programs November 19.1980. Part
 «124 shall become effective as specified
  In §  124.21. All other provisions of the
  regulations shall become effective July
 18,1980. For purposes of judicial review
  under the Clean Water Act, these
 regulations will be considered issued  at  .
 1 p.m. eastern time on June 2,1980; see
 45 FR 26894. April 22,1980. In order to
 assist EPA to correct typographical
 errors, incorrect cross-references, and
 ^similar technical errors,  comments of a
 technical and nonsubstantive nature on
 the final regulations may be submitted
 on or before Jury 18,1980. The effective
   date will not be delayed by
   consideration of such comments.
    Comments on the scope and
   applicability of Executive Order 11990
   and Executive Order 11988 to RCRA.
  . UIC. and NPDES permits must be
   submitted on or before July 18.1980.
    Comments on requirements for Class
   IV wells must be received by July 15,
   1980.
   • There will be a hearing on the ,
   requirements for Class IV wells  on July
   a 1980, from 9 a.m. to 5 p.m.
   ADDRESSES: Comments of a technical
   and nonsubstantive nature, as well as
   the comments concerning the scope and
   applicability of Executive Order 11990
   and Executive Order 11988. should be
  addressed to: Edward A. Kramer. Office
  of Water Enforcement (EN-338), U.S.
  Environmental Protection Agency,
  Washington. D.C. 20460.
    Comments on requirements for Class
  IV wells should be addressed,to: Alan
.  Levin. Director. State Program Division
  (WH-550). Office of Drinking Water.
  Environmental Protection Agency,
  Washington. D.C. 20460.
   The Public Hearing on Class IV wells
  will be held at: HEW Auditorium. 330
  Independence Avenue. S.W.,
  Washington. D.C
  fOR FURTHER INFORMATION CONTACT:
  Edward A. Kramer. Office of Water
  Enforcement (EN-338). U.S.
  Environmental Protection Agency.
 .Washington. D.C. 20460, (202) 755-0750.
  SUPPLEMENTARY INFORMATION:
  Background

   These final regulations consolidate
  requirements and procedures  for five
  EPA permit programs. These regulations
  represent the major product of the
  Agency's permit consolidation initiative
  that  began in the fall of 1978. They are
  based on the proposed consolidated
  permit regulations that were published
  in the Federal Register for comment on
 June 14.1979 (44 FR 32854).
   EPA program requirements and State
 program requirements are established
 for three programs:
   • The Hazardous Waste Management
 (HWM) program under the Resource
 Conservation and Recovery Act
 (RCRA);
   • The Underground Injection Control
 (UIC) program under the Safe-Drinking
 Water Act (SDWA):
   • The National Pollutant Discharge
 Elimination System  {NPDES} program
 under the Clean Water Act (CWA):'and
   State program requirements only are
 established for:  '
   • State section 404 "Dredge or Fill".
 programs under the  CWA.
    In addition, procedures for permit
  decisionmaking are established foj
  above four programs, and for    . f
    • The Prevention of Significant .^^
  Deterioration (PSD) program under the
-  Clean Air Act, where this program is
  operated by EPA or a delegated State
  agency under 40 CFR 52.21 (v): these
  procedures do not apply to PSD permits
  issued by States to whom
  administration of the PSD program has
  been transferred. (See preamble to Part
  124. Subpart C.)
    These regulations are an important
  element of an Agency-wide effort to
  consolidate and unify procedures and
  requirements applicable to EPA and
  State-administered permit- programs.
    The Agency has also developed a
  single set of permit application forms for
  the programs covered by'these
  regulations. These consolidated
  application forms are published
  elsewhere in today's Federal Register.
  They consist of a single general form to
  collect basic information from  all
  applicants, followed by separate
  program-specific forms which collect
  additional information needed to issue
  permits  under each program. The
  application forms in today's Federal
  Register include the general information
. form and the additional forms for
  certain water discharges under NPDE
  and for hazardous waste permits  "*
  RCRA.
   When the draft consolidated
  application forms were published for
 public comment, they appeared along
 with a set of proposed NPDES
 regulations which were closely related
 to  the contents of the application forms.
 Those accompanying regulations have
 now been integrated with the final
 NPDES regulations'which appear as part
 of  these consolidated permit regulations,
 and are summarized in the proper places
 in the preamble discussion. For a more
 thorough discussion and response to
 comments on those portions of the
 NPDES regulations,  see the preamble to
 the consolidated application forms
 published elsewhere in today's  Federal
 Register. Because the draft application
 forms and accompanying proposed
 NPDES regulations were originally
 published together, commented upon
 together, and are closely related, the
detailed discussion of both forms and
accompanying regulations has been
retained in one place.
  Many of the requirements in these
regulations apply both to EPA programs
and to State programs that receive EPA
approval to operate in lieu of a Federal
program in a particular State. These
common requirements are intended,
ensure that State permit programs
satisfy minimum statutory and

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               Federal Register / Vol. 45. No; 98 / Monday. May 19. 1980 /Rules and Regulations
                                                                       33291
   environmental objectives, while at the
   same time recognizing that State laws.
   procedures, and management
   philosophies differ. EPA also seeks in
   these regulations to help States
   rationalize their own regulatory
   programs by removing or avoiding
 ,  Federal obstacles to such efforts. These
   regulations allow greater coordination
   and cooperation in permit review and
   issuance between EPA and States with
   approved RCRA. UIC, NPDES. 404. of
   PSD programs in instances where a   •
   single facility or activity requires
  permits from both EPA and one or more
  State agencies.          -
    Although nothing in thesa regulations
  would require a State to reorganize its
  permitting procedures. EPA encourages
  States to begin or continue efforts
  toward "one-stop" permitting or other
  forms of permit program-consolidation.
    The Agency anticipates a number of
  benefits to the environment, the
  regulated community, the general public.
  and its own institutional efficiency from
 •permits consolidation:-
    •  Environmental Benefits:
  Consolidation of permit requirements
  and processing procedures should result
  in more comprehensive management
 and control of wastes.             .  . .
   •  Regulatory Benefits: More uniform
 procedures and permit requirements
 among EPA permit programs should
 result in more consistency and
 predictability for the regulated
 community, and in many.instances this
 should reduce the costs of compliance.
 Consistent program requirements and a
 single set of application forms forEPA-
 issued permits should reduce paperwork
 and increase efficiency in. processing
 permits.         ..-'-.
   • Institutional Benefits: The Agency
 has already experienced greater   ."
 coordination, sharing of information.
 and resolution of inconsistencies and
 overlaps among the various programs
 during the development of these
 regulations. This high level of
 coordination and awareness is expected
 to continue.               '
   • Public Participation Benefits:
 Procedures and opportunities for public
 participation in permit decisions  and in
 State program approvals are more
 uniform and predictable under these
 regulations.         ..     '
   • Resource Benefits: Consolidating
 these permit programs should reduce the
 resources EPA needs to administer them
 over the next few years, compared with
 what the expanding scope of EPA permit
 programs would otherwise require.
 Consistent program requirements and
use of the consolidated application
forms should be'particularly helpful in
starting up and administering the two
  new programs (RCRA hazardous waste
  and UIC) covered by these regulations.
  If States adopt similar approaches. '
  resource benefits cquld also be realized
  at the State level.

  Organization of Final Regulations

    The.final regulations replace 40 CFR
  Parts 122^123. arid 124. which were
  formerly used exclusively for NPDES
  program regulations. These Parts of the
  Code of Federal Regulations are being
  used because they already provide the
  skeleton for organizing permit
  regulations, namely:
    • PART 123—PERMIT REQUIREMENTS.
    • PART lia—STATE PROGRAM
  MOUUIEMCNT*.
    •PART 134  PROCEDURES FOR
  DCCISIOMMAXINO.
    Parts 122.123. and 124 have been
  organized into Subparts. Subpart A of
  each Part applies to each permit
  program included in that Part.
  Subsequent subparts  set forth additional
  program-specific requirements for the
  individual programs.
    Although the Agency has attempted to
  unify these regulations, statutory.and
  programmatic considerations preclude
  complete uniformity. Thus, to review the
  regulations for a particular program, one
  must read both the general Subpart A
  plus any applicable program-specific
  subpart

 Summary of the Regulations

   • Part 122—Establishes  definitions
 and basic permit requirements for EPA
 administered RCRA, UIC, and NPDES
 programs. Part 122 also provides certain
 requirements applicable to State
 programs, including State 404 programs.
 but only to the extent Part  123 explicitly'
 refers to Part 122 requirements. Part 122 .
 spells out in detail who must apply fora
 permit: contents of the applications;
 what conditions must be incorporated
 into permits; when permits may be
 revised, reissued, or terminated; and
 other requirements.               "    . -
  • Part 123—Establishes the
 requirements for State programs
 operated in lieu of EPA. after a program
 has received the approval of the
 Administrator. In addition to the RCRA
 hazardous waste, UIC. and NPDES
 programs. Part 123 governs State section
 404 programs for discharges of dredged
 or fill  material  into certain waters of the
 United States. After receiving the
 approval of the Administrator a State
 may issue section 404 permits, in lieu of
 the  United States Army Corps of
Engineers, in so-called  "Phase II and III"
waters (sometimes referred to as
traditionally non-navigable waters). In
addition. Part 123 contains the
  procedures for EPA approval, revision.
  and withdrawal of a State program
'    • Part 124—Establishes the
  procedures to be followed in making
  permit decisions under the RCRA
  hazardous waste. UIC. PSD, and NPDES
  programs. It includes procedures for
  public participation, for consolidated
  review and issuance of two or more
  permits to the same facility or activity,
  and for appealing permit decisions. Most
  requirements in Part 124 are only
  applicable where EPA is the permit-
  issuing authority. I lowever. Part 123
  requires States to comply with some of
  the Part 124 provisions, such as the
  basic public participation requirements
  of permit issuance...

  Technical Requirements
   Technical regulations containing
  requirements and criteria which apply to
  decisionmaking under the RCRA, UIC,
  NPDES, 404. and  PSD programs have
  been developed separately from Parts
  122-124. These regulations set the
  standards for the contents of permits
  issued under these, programs and
 provide some of the technical bases for
 determining the adequacy of State
 programs and individual permit
 decisions.  .                   ,
.   The coverage and format of the
 consolidated permit regulations, and the
 location of the-tcchhical regulations
 which correspond to each program, are,
 summarized in the following 'chart:
 BILLING COOt (MO-01-M                ,   .

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                                               I:  COVERAGE AND  FORMAT
« 1
j Name Abbrev.
Kazaroous waste i KW4
.Management : '
IrWrrxn.... , 1
trogjTciiB 1
1 , • i
j
Coverage
j Consolidated
i 1 ^
1122 123 "1241 Act
fill
generation, trans- ' Yes 1 Yes 1 Yes
portation, treat- | ' I
merit, storage, • 1 1 i
disposal of . . 1 ! . '
hazardous waste 1 ! 1 i
juioeiyit«nd | me well injection/
.Injection . protection of
ICbntrol Program 1 I drinking water
1 	 ,- 1 j aquifers
(National . j NPDES
Pollutant .
(Discharge Elimi-1
(nation System 1
iSr'^-lrro ryr* t*-» i i r **-i >• " "T1
IPrcgram
1
i-i_L.L | «4W* |
1 I
J 1
ijtrevention oz t>sD \
{Significant, j , '
Deterioration j |
*uw*a cooe iwo-ot-c
oischarge of
wastewater into
waters of the U.
discharge of
dredged or fill
material into
waters of U.S.
emission of
pollutants fron
sources in
clean air areas
j Yes | Yes Yes.
•! ! 1 !
. JYesjYesj Yesj
q I 1 ' . I
1 l I '
— I 1
j Par' Yesi Pari
tly| 'tly
1 I
'No Itto j YesT
•' ' ' !
i i i 1
Resource
Conservation
Recovery Act
(RCRA)
42 USC §6901
Safe Drinking
Water Act
(SDWA)
42 USC §300f
Clean Water
Act
(CWA)
33 USC §1251
Clean Water
Act '
(CWA)
33 USC §1251
Clean Air Act
(CM)
42 USC §7401
7- 	 ^
I Technical
1 Bequirements
' 40 CFR. . '
&| 260-266 |
1 1
1 40 CFR 146 |
1: !
j 40 CFR, 125, .
129, 133, & '
| Subchapter N|
j 40 CFR 230 1
i 1
J 1
. 40 CFR 52 '
1 1
! m
 Part 122—Program Requirements
   A. What Does This Part Do?
   (1) Coverage. Subpart A of Part 122
 deals with EPA administration of the
 RCRA hazardous waste. UIC. and
 NPDES programs. First, it provides
 definitions for terms used in these
 regulations. Second. Subpart A contains
 basic program requirements applicable
 to EPA administration of these three
 programs, such as application
 requirements, standard permit
 conditions, and grounds for modification
 and termination of permits. Subparts B
 through D of Part 122 describe
 additional program elements of these
 threo programs. Subpart B is specific to
 RCRA hazardous waste.-Subpart C to
 UIC. and Subpart D to NPDES. The
 reader must consult both the general
Subpart A and the appropriate program-
specific Subpart B. C. or D for a full
description of any one program.
   Certain of the Part 122 program
 requirements are applicable, as
 indicated in section headings and in Part'
 ,123. to State RCRA. UIC. NPDES. or 404
 programs which obtain approval to
 operate in lieu of EPA programs (or, in
 the case of 404 programs, in lieu of the
 U.S. Army Corps of Engineers). In
 addition to the definitions for RCRA.
 UIC and NPDES. Subpart A of Part 122"
 contains definitions used in Part 123 for
 State 404 programs, but no 4O4 Subpart
 appears in Part 122 because EPA does
 not insue Federal 4O4 permits.
  (2) Complexity. A large number of
 commenters on proposed Part 122, and
•the consolidated permit regulations in
 general, stated that the regulations are
 difficult to use because of their
 complexity, length, and numerous cross-
 references both to other sections of
 these regulations and to the separate
 technical regulations.
•   EPA agrees that the consolidated
 regulations are complex. Much of'this
 complexity is due to the fact that the
 regulations include provisions under five
 programs which regulate complex and
 differing types of activities under four
 different statutes. The consolidation of
 regulations under these five permit
 programs may not make the substantive
 requirements of the five programs easier
 to meet. However, we believe that these
regulations are less complex than they
would have been if issued in five sets of
regulations developed in isolation from
eachother. By developing the permit
regulations as a set. contradictions.
gaps, and overlaps among program   '.
requirements have been detected and
more easily and completely dealt with.
In addition, consolidation has avoided
many differences in approach that are
not direct conflicts, but which still are

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                Federal Register / Vol. 45. No. 98 / Monday. May 19. 198O / RnJes and 'Regulations
                                                                         33233
   unnecessary to carry put the objectives
   of the program. The consolidated
  • regulations make the provisions more
   uniform, and therefore easier to learn
   and deal with conceptually, by favoring
   consistency among programs where
   differences are not required by statutory
   objectives. In addition, these regulations'
   achieve some saving in total length
   because provision! which are applicable
   to all programs only have to be stated
   once.
    While EPA has retained the idea of
  consolidation and the basic format of
  the proposed regulations, we have taken
  or will be taking a number of steps to try
  to make the regulations easier to use
  and less confusing.
    First, EPA will conduct an extensive
 .program for public awareness after the
  regulations are promulgated. One aspect
  of this proram will be preparing and
  distributing reprints of the regulations.
  which will contain only the parts of
  these consolidated regulations   '
  applicable to each progra.ni individually.
  This will make it possible for a reader
  interested in only one program to find
  out about it without reading about other
  programs. These individual program
  reprints may be combined with the
 separate "technical" regulations for a
 program, such as the Part 148
 regulations for UIC in order to provide a
 single package which contains the entire
 universe of regulatory requirements for
 one program and thereby  ease the
 burden of pursuing cross-references.
   In addition. EPA will be preparing a
 s_eries of booklets on the regulations  •
• written to address the concerns of
 particular constituencies. For example,
 one such booklet will be specifically
   addressed to farmers, and another
   addressed to permit applicants in
   general.
     Second, the consolidated regulations
   themselves have been redrafted with '
   particular attention to their organization'
   and their readability. Steps that EPA has
   taken in this  effort include the following:
    ••  The sequence of sections within
   each of the subparts of Part 122 has
   been rearranged for logic and
   consistency and to provide a discernible
   "map" for proceeding through the
   regulations. Each subpart of Part 122
   includes three types of provisions: (1)
   Orientation material such as the
   purpose and scope of each program,
  prohibitions, and the classification of
  injection wells; (2) the ways in which
  activities covered by the programs are
  authorized, either through application
  for a permit or by permit substitutes
  such as interim authorization or   '    •
  authorization  by rule: and (3)          '
  information on how conditions are
  incorporated into permits—first, the
  conditions that do vary from permit to
  permit, and then information on how  to
  calculate or specify conditions whlcTTdo
  vary from permit to permit. In addition.
  (4) Subpart A contains  sections on the
  effect of-having a permit, such as the   '
  extent of the protection a permit
  provides, how it is reviewed, and when
  it can be modified or terminated. The
  regulations have been organized to
  follow this sequence, and we have
 rewritten the section headings to clarify
  the relations between provisions in
 Subpart A and parallel  provisions in the
 program subparts. The organization of
 the final regulations is displayed in
 Tablet!.
                           Table It—Organisation at Part 122
                          Subpart A (Gen.r.1)  Subpart B iRCRA)   SuDpart C (UO   Sutpart 0 (WOES) •
1 OrMnubon maMnal:
Purpo«« and *copa...__ 	
Bane program provtwxw and covar-
agr. prohtotont. '
W. Application:
Praaopfceakon raquramanu and
. parrm aubaUule*.
. Who «oplwi (or « pwrart
and how? * .
Soeoal parrnti . _.__•_ 	 „
111. EsUMntwig parrm condition*:
, Standard parrrMcondftontJ: 	
Estaobtfuig vanae* eonaDons 	
IV Effect of a perm* 	
122.1 to 122.2 	
122.3 	 '_, 	
122.4 	
122.5. and 122.6 	
122.7 	 ; 	 	
122.8...:..; 	 ,. 	
122.9 to 122.12 	
122.13 to 122..19 	
12221-
122.23 	 	 	
122.22! 	 	 	 '.
123.24, and 122 25-
122.28 10 122.27 __
122.2a! 	 ,. 	
122.29 to 122.-30 	
122.31... 	
122.32 10 122.36 	
122.37. 	 '. 	
122.3S.
122.39 to 122.40...._
'122.41 	 :: 	 ^.
122.42 	 , 	 :_
122.43 to. 122.45 	
122.S1. l
122.52.
122.53
122.54 to 122.S8.
122.59.
122.60 and 122.81.
122.62 to 122.63
122.64 to 122.66.
  A reader might wish to determine the
treatment of a particular activity under
Part 122 in the. following manner •
(referring to Table II): First, if the
activity is within a State with an
approved program the individual is not
directly covered by Part 122, but rather
by State program statutes and  .
   regulations approved under Part 123,
   and the reader would consult those
   State statutes and regulations. Because
   some of the programs covered by these
   regulations are new, and others may not
  - be approved in a particular State, the
   reader might wish to consult Part 123 to
   determine what the minimum
   requirements for one of these programs
   would be in the State. Otherwise, the
,   reader would first go to the "Orientation
   Material," which summarizes each
   program sufficiently to give a quick idea
  of whether further examination of the
  regulations is warranted. If the activity
  is covered, the reader would next turn to
  the "Application" provisions to see what
  procedures .to follow in  obtaining a
  permit or other authorization. Beyond
  this point an individual's requirements
  under these programs will be spelled out
  in the permit document  (except where
  the activity is  authorized by a "rule" or
  other permit substitute). If the reader
  wants to know what his or her permit
  requirements would  be,  he  or she could
  go on to the provisions oh "Establishing
  Permit Conditions." First, "standard
  conditions" that will .appear in all
  permits can be looked up. Second, the
  sections on establishing variable permit
  conditions  can be consulted: these will '
  refer to the location of the other sections
  of these and other regulations that set
  forth the requirements for variable
  permit conditions and how  they are
  derived. The specific conditions of these
  permits for the most part will be derived
  through the application of technical
  regulations for each of the programs
 .which do not appear  with these
 regulations. Finally, the provisions in
 Subpart A on the "Effect of  a Permit"
 will tell the reader what  it means to
 have a permitrthe protection :that it
 offers, and how it may be reopened or
 changed..   '     '
  . •  Orientation sections have been
 added to the beginning of each subpart
 of Part 122. The first of these orientation
 sections briefly introduces the
 consolidated regulation as a whole
 (S 122.1). The second sets forth the
 purpose and scope of Part 122 (§ 122.2).
 Finally, each of the program subparts of
 Part 122 now contains an introductory
 section setting out the basics of that
 program's permit system. These
 introductory sections  are designed both  '
 to indicate at the beginning what
' activities are regulated, and  to make the
 more detailed sections which follow
 easier to comprehend. Much of this   -
material is explanatory and illustrative
rather than regulatory. EPA believes
that  inclusion of this material will help
reduce the confusion created by the
complexity of the regulations. Because

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    33294       Federal Register / Vol. 45. No. 98 / Monday. May 19..1980 / Rules and Regulations
   the introductory sections are summaries
   they can not substitute for the full
   regulations which follow.
     • Those sections of Part 122 and Part
   124 which are applicable to State
   programs (through reference in Part 123J
   have been highlighted in the section (or.
   •where necessary, paragraph) headings.
   Indication that a section is "applicable
   to State programs" does not mean that
   exactly the same'provision will be  -
   applicable to owner* or operators who.
   receive their permits from  a State.
   Rather, "applicability" means that a
   Slate program must have a similar
   provision in its own statutes and
*   regulations in order to receive approval
   to operate in lieu of EPA (or the Corps of
   Engineers for 404). For the
   corresponding State provision, these
   statutes and regulations would have to
   be consulted.This subject  is discussed
   at length in the preamble to Part 123.
     • Some material has been shifted
   from the program-specific subparts to
   Subpart A when it makes sense to do so.
   An example is noncompliance.reporting
   {§ 122.18): moving all the requirements
   into Subpart A has eliminated many '
   sections and a large number of cross-
   references, as well as many needless
   inconsistencies.
    • EPA has attempted whenever
  possible to indicate in  italics at the
   beginning of sub'paragraphs and
  paragraphs when the material that
  follows is applicable to one program
  only, as occurs occasionally in the.
  general Subpart A. •
   , • Paragraph and subparagraph
  headings have been added  to  break up
  long sections or to identify the material
  which follows. However, it  is not always
  possible to provide a heading for every
  paragraph In a section.
    • A large number of cross-references
  between these permit regulations and
  the technical regulations is unavoidable.
  However. EPA has tried to organize
  both sets of regulations to place the
  permit material in the permit regulations
  and technical material in the technical
  regulations, to make these materials
  consistent, to provide cross-references
  when needed, and to'make the cross-
  references understandable. We have
  added topical headings for many cross-
  references to help readers determine the
  nature of the requirement referred to.
   • Some commenters raised concerns
  regarding the status of "comments" in
  the proposal, especially when they
  contain regulatory material.  We have
' attempted to eliminate as many
  comments as possible by moving
  regulatory material into the text and
 purely explanatory material  into the
 preamble or the "purpose and scope"
 sections. However, we have  retained
  some comments to give examples or
  illuminate requirements contained in the
  regulations. Following standard Federal
  Register style, these comments have
  been labeled as "Notes."
    B. How Does This Part Relate To The
  June 14.1979 Proposal?

  Subpart A—General Program
  Requirements

    The following is a discussion of the •
  significant comments received and of
  the basis for revisions made to Part 122
  of the proposed regulations. Minor
  editorial and stylistic changes (including
  "technical amendments" solicited in the
  preamble to the June 7.1979 final
  NPDES regulations) have been made in
  all sections and are not discussed.
  "Includes, but is not limited to" or - < •
  "includes without limitation" have been
  rewritten simply as "Includes" in all  .
 • cases and wherever that term appears.
  the provisions which follow are not
 _ exclusive.

  5 122.2   What are the consolidated
  permit regulations?

   Much of this material appeared in
  proposed { 12Z1. "Purpose and scope."
  but it has been reorganized and
  rewritten to logically set out the
  coverage of the entire consolidated
  permit regulations. Thus, there are now
  separate paragraphs on (a) coverage, (b)
  structure, (c) relation1 to other
  regulations, (d) authority, (e) public
  participation, and (!) State authorities.
  Slate authorities was formerly $ 122.4.
  Because it is generally true of these
  regulations, and not just true of Part  122,
  that they do not preempt more stringent
  State requirements (except as provided
 for RCRA in $ 123.33). the proposed
 section was moved to § 122.1 where it
 applies to all of the-regulations. It  was
 reworded to clarify that these
 regulations do not preempt more
 stringent requirements whether or not
 those requirements are part of an
 approved State program.

 S 122.2 Purpose and scope of Part 12Z

  This section is completely new. It has
 been added to make Part ,122 easier to
 read and to clarify Its organization.
  Many commenters noted that the
 applicability of Part 122 to the PSD
 program was unclear. The PSD program
 was not mentioned in proposed § 122.1.
 "Purpose and scope," but some of the
1 definitions in Part 122 appeared to be
 applicable to PSD. EPA has decided that
 the best way to avoid confusion is to
 exclude PSD from Part 122 entirely, and
 this is noted in the regulations. Instead,
 PSD definitions appear in Part 124;
 Subpart C.
  § 1223  Definitions.   .
    A number of commenters mal
  general suggestions to cope witr. __
  difficulty of finding the correct definition
  in § 122.3. The proposal organized the
  definitions into a paragraph containing'
  "general definitions" followed by
  paragraphs containing definitions
  applicable to each of the programs
  individually. EPA has followed a
  suggestion that all the definitions be
  organized into one alphabetical list If a
  term applies to fewer than all of the
  programs, a parenthesis is inserted after
  the term to indicate to which programs it
  applies. However, because many
  readers of this preamble are likely to be
  particularly interested in the definitions
  for a single program, the following
  response to comments will continue to
 . follow the proposed format by
  discussing first the "general definitions"
  and  then the definitions that apply to
  individual programs.
   Frequently terms are defined in
  reference  to other terms which are also
.  defined. When a defined term appears
  in a definition, the defined term appears
  with quotation marks when this may be
  helpful Also, technical terms are
  frequently used in these regulations in
  their acronym form, such as "BMP" for
  "best management practices." Wj "'"
  expanded the definition section,
  include these acronyms, which ar^p*-
  placed in their  alphabetical order among
  all the other definitions.
   (1) General definitions.
   Administrator. Some commenters.
 pointed out the conflicts between the
 proposed definition's delegation
• language ("his/her designee"). and those
 in the definition of Regional
 Administrator ("delegated
 representative"), proposed  § 122.ll(e)
 (Director or an  "authorized
 representative"), and proposed § 123.37
 (Regional Administrator or "his
 designee"). For consistency, the term
 has been made uniformly "or an
 autorized representative." Elsewhere in
 the regulations, only Administrator.
 Regional Administrator, or Director is
 used, with  the understanding that.
 authorized representatives and
 designees are included in these terms
 unless indicated otherwise. For
 example, the Regional Administrator
 may be the authorized representative of
 the Administrator.
  Appropriate Act and regulations. For
 the reasons discussed under § 122.2
 above, EPA has deleted the reference to
 the Clean Air Act.
  Aquifer and underground source
drinking water.  Some commentef
objected.to the fact that the prop!,
effect set forth two definitions of
Mf lor
m

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                Federal Register /Vol. 45.  No. 98 / Monday. May 19.  1980 / Rules  and Regulations
                                                                        3329J
   "underground source of drinking water"
   (USDW). one foruse'under RCRA and
   one with "more latitude",for use in the
   UIC program. (The greater flexibility for
   USDWs in the UIC program resulted
   from the procedures for eliminating
   certain aquifers, now called "exempted
   aquifers." from the coverage of the UIC
   program.)
     Likewise, coramenlers noted that the
   proposed definition of "aquifer""
-  ("capable of yielding useable quantities
   of groundwater") contradicted the
   definition in proposed § 250.41(5) for
   RCRA ("useable quantities to wells or
   springs"). The final definition applicable
   to both'RCRA and UIC which appears in
,   the consolidated regulations is "a
   geological formation, group of
   formations, or part of a formation that is
   capable of yielding a significant amount
   of water to a .well or spring." This is
   slightly different  than the definition
   which appears in Part 260 for.RCRA.
   which is the same as proposed   '
   §250.41(5).   .
    In,both instances EPA agrees that  •'
   these definitions should be the same for
  both programs, and EPA will conform
  them. They have not been conformed in
  these regulations because the question
  of the proper definition of "aquifer" and
  "USDW" are closely related to the
  scope and form of the section 3004
  standards under RCRA and to the
  manner in which Class IV wells will be
  dealt with. Both those issues are  -
  scheduled for final resolution by EPA
  next fall. The definitions of "aquifer"
  and "USDW" willbechangedat the
  Same time. The current definition of
  "USDW" applies  to  the RCRA program
  only insofar as injection' wells are
  regulated under RCRA under 5 122,26.
   - Best management practices. Several '
.•  commenters noted that it was confusing
  to provide,two separate definitions of
  "best managementpractices" (BMPs):
  one for NPDES and one for State 404
  programs. The two. definitions have
  been combined so that they appear in
 .one place. The differing coverage under
  two programs is- highlighted in the new
  combined definition.
   For 404, several commenters objected
  to the requirement that BMPs "ensure
 compliance with water quality  •
 standards." EPA agrees that the
 proposed definition could be interpreted
 to place an unrealistic burden on
 individual BMPs. and therefore has
 changed the definition to require that
 BMPs facilitate compliance with
 applicable water quality standards.
 Some commenters argued that there
 should be no reference at all to water
 quality standards because CWA section
.•4p4(h)(l)(A)(i) does not mention them.
 The Agency disagrees, because that.
  section refers to the environmental
  guidelines promulgated under CWA
  section 404(b)(l) (the "section 404{b)(l)
  guidelines." 40 CFR.Part 230) which do
  require compliance with'applicable
  water quality standards.
    Some commenters wanted the BMP
  definition to require consideration of
  .practicability, feasibility, or economics.
  The final regulation allows States to
  include such considerations in addition
  to the minimum environmental
  requirements. It should also be noted
  that the section 404 BMPs contained in
  S 123-.92 are not absolute requirements;
  anyone objecting to any of them may
  apply for a permit and raise questions of
  practicability in that context.
    Facility or activity. In response to a
  comment. EPA has clarified the
  applicability of this definition to section
.  404 programs by adding a reference to
  the 404 program. "Facility" and
  "activity" frequently appear in Rart 123,
  Suhpart E.           ,
    Hazardous waste. Two commenters
  stated that a full definition of
  "hazardous waste" rather than a cross-
  reference  should be given. However, the
' definition in Part 281  isMoo complex to
  be set out in full. Several other
  commenters stated that no reference
  should be made to RCRA section 1004
  because that definition is not self-
  implementing and the only hazardous
  wastes covered by Subtitle C of  RCRA
  are those which are identified or listed
  under section 3001. EPA accepts  this
  comment and has changed the definition
  of "hazardous waste" so that it reads
  entirely in terms of the substantive
  RCRA regulations.              .  -
   Ma/or facility. This is a new definition
  added to the final regulations. It  is
  discussed  in paragraph (2) of the
  preamble .to §122.18.
   Owner or operator. This definition
 remains unchanged. Some com'menters
 sought clarification of what happens
. when the owner and operator are not
 the same, and expressed concern that
 requirements of the permit program
 might by virtue of this definition, be   •
 imposed on landowners whd'have no
 involvement in operation of a permitted
 activity. To address this concern, we
 have amended § 122.4. application for a
 permit, to provide that the operato'r is
 responsible for obtaining a permit and
 complying  with it when ownership and
 operation are split. However, RCRA
 applications must be signed both  by the
 owner and the operator. The
requirements of a RCRA permit bind
both the "owner" and the "operator" of
 the permitted facility, while the
requirements of other permits subject to
this Part bind only the permit holder.
     The reasons for this approach are
   explained in the preamble to the
   regulations implementing section 3004 of
   RCRA. Briefly, this approach has been
   chosen because there is at least one
   provision of the 3004 regulations that
   only the owner can comply with—.the
   one requiring insertion of a notation in
   .the deed to the property in question. It
   also may be materially more difficult to
   implement and enforce the closure and
   financial responsibility provisions of the
   regulations if the owner is not bound.
   since in at least some of those cases the •
   site may have been abandoned and the
   "operator" may be difficult to determine.
   Joint responsibility will also provide
   more incentive to comply with the
   requirements of the RCRA program.
   Finally, the legislative history suggests
   that both owner and operator should be
 .  bound.
    To ensure that both the owner and the-
   operator understand their joint
   responsibility, EPA is requiring both the
   owner and the operator to sign the
   permit application. In adopting this
   approach-, however, EPA has no
   intention to require both owner and
   operator to take all or even most    ,
  .compliance actions in tandem. EPA will
   regard compliance by either owner or
 . operator with any given obligation
   under the permit as sufficient for both of
   them. EPA anticipates that in most cases
  the operator will take the lead role in
  complying with all but the few
  conditions that only the owner can
  satisfy. The owner is free to make
  arrangements with the operator by
  contract or otherwise to assure itself
  that the operator will take most actions
  necessary for  compliance activities
  beyond that. Nonetheless, EPA
  considers both parties responsible for
.  compliance with the regulations.
   Permit. EPA has changed the
  definition in response to comments.
  First, commenters found obscure and
  confusing the statement that "in Part
  124, reference  to 'permit' may include
  permit modification, revocation or
  denial." EPA agrees. Part 124 has been
  rewritten to specify the precise kinds of
  permit actions to which its provisions
  apply.        ,        .-.. -
   Second, we have clarified the scope of ,
  the definition by adding references to
  other types of authorization or  ••   .
 .documents, such as "general permit,"
  "draft permit," and "permit by rule."
  Similarly. § 122.4. application for a
 permit, is now written to clarify which .
. of the several types of permits or other
 authorizations under these regulations is
 covered by. the application requirement.
 Finally, the procedures governing
 issuance, administration, or termination  *

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 3329B      -Federal Register / Vol. 45. No. 98 / Monday. May  19. 1980 / Rules and Regulations
of interim status, authorization by rule,
permits by rule, and emergency permits
are segregated within their own
sections. As a result, provisions of Parts
122 and 124 [and discussions in this
preamble) which are generally
applicable to permits, permit
applications, and permittees are not
applicable to those types of
authorization, but are applicable to all
other permits, including area permits   •
and general permits. The following chart
may be helpful in determining which
provisions of the regulations apply to
which kinds of authorizations.
MUDM COOC *UO-01~M         ' * *

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Federal Register / Vol. 45. No. 98 / Monday. May 19. 198O / Rules and Regulations
33297

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    33298      Federal Register / Vol. 45. No. 98 / Monday.  May 19. I960 / Rules and "Regulations
     Person. The definition has been
   reworded to eliminate duplication.
     State. One commenter suggested that
   this definition be changed to include
   Indian tribes so that they would be able
   to administer programs under Part 123.
   EPA has not accepted this suggestion
   because RCRA. SDWA. and CWA all  .
   explicitly define ''State" and none
   includes Indian tribes. Indian tribes are
   included within the meaning of
   "municipality" in these statutes.
     State Director. The definition has
   been changed from "a State agency" to
   "any State agency" to reflect the fact
   that a State may have more than one
   agency administering the permit
   programs.
     (2) Definitions for RCRA.
     Comments were received requesting
   clarifications or revisions to definitions
   applicable to the RCRA program
   requirements. Many of the definitions
   have been clarified or revised. All RCRA
   definitions in these final regulations are
   taken from 40 CFR Part 260. Part 260
   provides the definitions for terms used in
   40 CFR Parts 261 through 268. Using the
   Part 260 definitions in these regulations
   will ensure uniformity in all the
   regulations promulgated under  Subtitle
   C of RCRA.  Comments on the RCRA
   definitions are addressed and responded
   to as part of the rulemaking on 40 CFR
   Part 260.
    Existing HWM facility. This   '
   definition is  discussed in the preamble
   to Part 122, Subpart B.
    Major Hazardous Waste Management
  Facility. In the proposal EPA defined
  "major HWM facility" as one that
  handled at least 5,000 tons of waste a
  year. EPA received a number of
  comments questioning this definition.
  For the reasons discuss'ed in the
  preamble to § 122.18, EPA has
  determined that major HWM facility
  will be defined through guidance, and
  consequently this definition has been
  deleted. EPA intends that this guidance
  will result in approximately 10 percent
  of RCRA facilities being classified as
  major.
    (3) Definitions for UIC.
    Well Commenters requested that
  sludge drying beds and treatment
  lagoons which seep into groundwater
  should not be considered wells. EPA
  agrees and has added a definition of
  "well" Lagoons and drying beds do not
  meet  this definition of a well. However,
.  those facilities may be subject to
  regulation under RCRA.
   Additional definitions. Definitions for
  the following UIC terms have been
 wadded to clarify their use in the
  consolidated permit regulations:
  acidizing, exempted aquifer, fluid,
 formation, formation fluid, and plugging.
    These new terms and comments on
   terms which appeared in the proposal
   are discussed in the preamble to Part
   122, Subpart C. or will be discussed in
   the preamble to 40 CJFR Part 146.
    (4) Definitions for NPDES.
    Navigable waters and waters of the
   United States. Commenters noted that
   the definitions for "navigable waters"
   and "waters of the United States" were
   circular. EPA agrees and has eliminated
   the use of the term "navigable waters"
  in favor of using "waters of the United
  States" throughout these regulations and
  providing a single definition. "Waters of
  the United States" was chosen for the
  same reason that it is used in the Clean
  Water Act: the Act covers much more
  than waters which are traditionally
  "navigable.".      .......   ,   ,
    The following changes have been
  made in the proposed definition of  -
  "navigable waters," which now appears
  as the definition of "Waters of the
  United States:"
    (1) "Wetlands" has been given  its own
  definition because it is sometimes used
  independently, and included within the
  scope of "waters of the United States"
  by cross-reference.
    (2) The proposal exempted "treatment
  ponds or lagoons designed to meet the
  requirements of the CWA" from the
  definition of navigable waters. To
  clarify that the scope of this exemption
  is not limited to treatment ponds or
.  lagoons.'it is now written to cover
  "waste treatment systems including
  treatment ponds or lagoons.  . .."
  Because CWA was not intended to
  license dischargers to freely use waters
  of the United States as waste treatment
  systems, the definition makes clear that
  treatment systems created in those
 waters or from their impoundment
 remain waters of the United States.
 Manmade waste treatment systems are
 not waters of the United States.
 however, solely because they are
 created by industries engaged in. or
 affecting, interstate or foreign
 commerce. Finally, as in the proposal,
 certain cooling ponds fall outside the
 exemption. EPA has referred to the
 definition of cooling ponds in 40 CFR
 § 423.11(m) to indicate the type of
 cooling ponds intended.
   New discharger. EPA has changed
 this definition in two ways. First, EPA
 has expanded the definition to include  .
 an indirect discharger which commences
 discharging into waters of the United
 States. This does not represent a change
 in policy but is merely a wording change
 to simplify the regulatory language
 regarding new dischargers, former
 indirect dischargers, and recommencing
 dischargers.
    Second, the definition now
  specifically includes a mobile poi{
  source that begins discharging at i^^,
  location for which it does not have an
  existing permit. This clarifies our
  existing interpretation that a mobile
  source that moves to a new location.
  unlike an existing source at that
  location, creates a new environmental
  insult and therefore should not be
  allowed to begin discharging until final
  Agency action granting a permit and
  until installation of the necessary
  pollution control equipment. Thus, these
  sources are ineligible for stays of
  contested permit conditions on the basis
  of a request for an evidentiary hearing
  which has been granted. These sources
  are governed by § 124.59(a); if the
  request for an evidentiary hearing is
  granted, "the applicant shall be without
  a permit pending final Agency action
  under § 124.91."
   This change also requires, under
  §122.68 (proposed § 122.81(d)(4)J. that a
  mobile point source start up control
  equipment before beginning discharge
  and meet its permit conditions within
  the shortest feasible time. Under
  § 122.10, it is ineligible for schedules of
  compliance, and under §122.53 it is
  required to submit a new permit ,
  application 180 days before
  recommencing discharge at the nev
  location, unless that requirement ia
  waived. Because a new permit is
  required each time the source moves,
  the permit can be updated to
  incorporate the appropriate water
  quality standards of the area and any
  other appropriate permit requirements.
   Privately owned treatment works. To
  clarify the new provisions for treatment
  works other than POTWs (§ 122.62(m))
 we have added a definition of "privately
 owned treatment works." The definition
 includes any treatment system which is •
 hot a POTW and whose operator is not
 the operator of the facility whose wastes
 are being treated. Thus, the typical case
 of a single operator of an industrial
(. facility providing its own treatment
 would not be a privately owned
 treatment works. Although termed a
 "privately owned" treatment works the
 definition does not exclude a treatment
 works that is owned by a State or
 municipality but which meets this
 definition.
  (4) Definitions'for404.
  The proposal contained definitions for
 "plowing," "seeding," "cultivating."
 "minor drainage." and "harvesting."
 Because these terms are only used once,
 in the § 123.92 (proposed. § 123.107);
 of activities not requiring permits.!
 has moved them to that section.
Responses to the many comments

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federal Register / Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules  and Regulations
                                33299
   received on these terms appear in the •
   corresponding preamble.
     Discharge of dredged material. One
   commenter questioned the distinction, in
   the definition of dredged material.
   between discharges from on-board
   processing (included in the definition)
   and on-shore processing of dredged
   material (not included). This distinction
   comes from the Corps of Engineers
   regulations. 33 CFR § 323.2(8}.  •"
   Comments to {he Corps suggested that
   there were significant differences
•   between the two kinds of operations,
   justifying the distinction. However, to
   clarify the distinction and to maintain
   consistency in eliminating the "primary
   purpose test" (see discussion of "fill
   material"). EPA has changed the
   definition to exclude all discharges
   resulting from on-shore processing of
   dredged material, regardless of the
 1  purpose for which the material was
   extracted. All such on-shore, processing
   discharges  are subject to the NPDES
 •  program. Extraction and subsequent
   deposit of the dredged material may still
   be subject to regulation by the Corps or
   under a State section 404 program, and
   are unaffected by .this change.
    One commenter argued that dredged
   material returned "unaltered" to its
  original borrow site should not be a
  discharge because there is no "addition"
  of a pollutant to waters of the United
  States. EPA disagrees;  the release of
  dredged material into the water column
 1 may add pollutants to the water column
  or the downstream substrate. Also,
  movement of material from one part of
  the substrate to another may have
  significant environmental effects before
  the material is ultimately returned to its
  original site.
    Fill material. The proposal defined fill
  material as  material discharged for the
  primary purpose of replacing an aquatic
f area with dryland or of changing the
  bottom elevation of a water body.
  reserving to the NPDES program
  discharges with the same effect which
  are primarily for the purpose of
  disposing of waste. Comments Were
  solicited on this distinction, referred to _
  as the primary purpose test Two  .
  comments were received, one favoring
  retention of the test, one opposing the
  test. EPA has decided to change the
  definition of "fill material" to eliminate
  the primary  purpose test and to include
  as fill material under the 404 program all •
 pollutants which have the effect of "fill
 '(that is. which replace part of the waters
 jof the United States with dryland or
 which change the bottom elevation of a
 waterbody).  '   ..
 ,   The Agency agreed with the"
 commenter who said that the primary
 purpose test,was too subjective. It has
                          been our experience that the primary
                          purpose test is difficult to apply.
                          particularly where a project has two
                          purposes, or where the purpose changes
                          over time. In,addition, the purpose of the
                          discharge is immaterial to its effect on
                          the waters of the United States: a
                          landfill motivated by the need to
                          dispose of waste and.a landfill intended
                          to create a building site both result in
                        . -the loss of waters of the United States
                          and pose a risk of contaminating the
                        -  surrounding area.    "   •
                           Moreover, the Agency disagreed with
                          the suggestion that all solid waste (for
                          example, garbage, trash, and sludge) be
                          regulated under section 402. There are'
                          several reasons why EPA believes that  .
                          all discharges with the effect of fill
                          should be handled under the 4O4
                          program instead of the 402 program. The
                          404 program is better suited to
                          preventing the unnecessary destruction
                          of valuable wetland ecosystems. For
                          example, the section 404(b)(l) guidelines
                          require consideration of alternative
                          sites; the NPDES program does not
                          provide for a comparable alternatives
                          analysis. In addition, the section
                         404(b)(l) guidelines look at the
                         ecological impact of the discharge; the
                         NPDES program uses technology-based
                         effluent limitations. Finally, individual
                         section 404 permits specify sites,
                         whereas NPDES permits are issued for
                         point sources, such as a truck delivering
                         trash to a wetlands. Writing an-NPDES
                         permit for a truck presents practical
                        . problems apart from the difficulty of
                         devising technology-based limitations
                         for discharges from trucks.
                           For all these reasons. EPA believes
                         that the new  definition of "fill material."
                         eliminating the primary purpose test,
                         better carries out the goals of the Clean
                         Water Act                  :
                           Impoundment. A few commenters
                         objected to the definition of  .
                         "impoundment" as being too expansive.
                         too restrictive, or hot necessary. We
                         agree that the definition is not
                         necessary, because impoundments as
                         such are not treated differently from
                         other waters under these regulations.
                         Because the definition served no
                         purpose, EPA has deleted it to avoid
                         confusion.

                         S 122,4 'Application for a perniit.
                           (1) Commenters suggested that the use
                        of the term "any person" in proposed
                         S 122.6(a) (now § 122.4(a)) might require
                        more than one permit application for a
                        facility, where several "persons" are
                        making use of a facility. EPA intends the
                        person with operational control over the
                        facility to be the one required to submit
                        a permit application. Accordingly. EPA
                        has adopted a suggestion of the Utility'
  Solid Waste Activities Group that a
  paragraph to this effect.be .added to the
  section. However, for RCRA facilities,
  both the owner and the operator must
  sign the application; see discussion
  under the definition of "owner and
  operator." The section has also been
  redrafted, in response to a comment, to
  reflect the three limited instances when
  a "permit"'is required .but an application
  is not (that is, permits by rule under
  RCRA. and .NPDES and 404 general
  permits). In addition,  no "permit" is
  required until notice is given by the
  Director when a facility is authorized by
  rule for UIC or regulated under interim
  status for RCRA. See  preamble to
  "permit" under § 122.3.
   (2) Proposed §l22.7(c) required the
 permittee to reapply if it wished to
 continue regulated activities after   '
 expiration of the  permit. This
 requirement has been merged with final
  § 122.4(a). One commenter suggested
 that a permittee should be able to refer
. 'to the application for its expired permit.
 rather than submit a new one if none of
 the information has changed. EPA
 rejects this suggestion. It is essential to
 obtain an updated certification of the
 accuracy of the information before
 issuing a new permit.  However,  nothing
 in these regulations precludes
 resubmitting old information so  long as
 the certification which accompanies it is
 current. Resubmittal is necessary to
 prevent any confusion and to ensure
 active awareness of the information that
 is being certified.
   The requirement to submit a renewal
 application prior to the,expiration date
 of the existing permit has been restated
 in the standard permit conditions
 (5 122.7). In addition; the program  .
 subparts contain information on how
 early permittees must  submit their
 renewal applications for EPA-issued
 permits: 180 days  for RCRA (§ 122.23), a
 reasonable time before construction is
 expected to begin for UIC (5 122.37), and
 180 days for NPDES (§ 122.53). Because
 these timing requirements are not      .
 applicable to States, it was not possibile
 to place them in the standard permit —
 conditions, .which would have given
 permittees the advance Warning  of the
 duty to reapply which  one commenter
 requested; However, these regulations
 do not preclude placing such a    .
 statement in permits or otherwise  '
 notifying permittees when renewal
 applications are due.
  (3) One commenter read proposed
 5 122.7 ("Permit issuance." now
 § 122.4(c)) to mean that the permit
issuance process necessarily cannot'  •'.
begin until all permit applications for a
facility have been submitted. We have

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    33300
Federal Register / Vol. 45.  No! 98 / Monday. May 19. 1980 / Rules and Regulation
    rewritten the section to clarify that it I»
    possible For one permit to be processed
    even if the Director has not yet received
    3 completed application for another
    permit for the same facility. Similarly.
    when a facility is required to have
    several permits, the duty to submit a
  ' renewal application operates
    independently for each permit. The
    subject of consolidation of permit
    applications and permit processing is
    further addressed in the preamble to
    Part 124.
      Somacommenten objected to tha
    vagueness of th» term "completeness" o»
    requested that a notification of
    completeness be required of the .
    Director. Section 124J contains
    provisions for notifications of
    completeness for all EPA permits for
    RCRA. UIC and'NPDES facilities; these
    provisions are discussed in the
    accompanying Part 124 preamble. A
    sentence has been added to § 122.4(c) to
   emphasize that the completeness of one
   permit application does  not depend on
   the completeness of other permit
   applications.
     (4) New paragraph (d) of 5 122.4 lists •
   the information which applicants for
  permits under RCRA. UIC. or NPDES
  must supply to the Director. A detailed
  description of the purpose of these
  permit Information requirements, and
  responses to comments received on their
  proposal, are contained in the detailed
  discussion which appears in the
  preamble to the consolidated
  application forms, published elsewhere
  In today's Federal Register. The
  requirements  are quite basic and
  generated relatively little comment A
  brief description of the requirements is
  Included here..       *
    EP/f has developed a set of
  consolidated application  forms to b«-
  used by applicants'for EPA-
  administered RCRA, UIC. and NPDES
  permits. The structure of the
•  consolidated permit application forms is '
  similar to that of the consolidated
-.permit regulations: questions applicable
  to all programs are contained in a
  generally applicable Form 1, which is   '
  supplemented by additional forma
  containing questions for each specific
  program. Likewise, the information in
  S 12Z5{d) comprises the essential
  Information which is submitted in Form
  1.  while 51122^4 for RCRA. 122.37 for
 UIC. and 122.53 for NPDES list essential
 information which is submitted in •
 additional forma for those  specific
 programs.
  The draft consolidated permit
 application forms appeared as Part III of
 the June 14.1979 Federal Register along
with certain proposed NPDES        •
regulations which listed the information
                          requirements contained in Form 1 and
                          Form 2 (44 FR 34393. 34346). (The draft
                          Form 1 was to be applicable to all
                          programs even though its contents were
                          listed only in the proposed NPDES
                          regulations.) Proposed || 122.23 arid
                          122.36{c) of the consolidated permit
                          regulations also included RCRA Part A
                          and UIC permit application information
                          requirements similar but not identical to
                          those in draft Form 1. However, it was
                         clear in the draft consolidated
                         application forms that Form  1 covered
                         all applicants, and no confusion was
                         apparent  in comments received.
                           The informational requirements in
                         paragraph (d) are also applicable to
                         States: Applicants for State permits will
                         use State  application forms, which may
                         be different from EPA's consolidated
                         application form. However, to provide a
                         minimum  level of uniformity in the basic
                         data, f 1217 requires State forms to
                         include at least the information listed
                         here and in the .program subparts
                         (55 122J4 for RCRA. 122.37 for UIC and
                         122.53 for NPDES) for EPA permit
                         applications. Because these sections are
                         applicable to States, only essential
                         information hi listed as a permit
                        application requirement; the information
                        required by these sections does not
                        include every detail which appears on
                        the application forms for EPA-isaued
                        permits.
                          The applicability of these information
                        requirements to States does not reflect a
                        change from tha proposal. The Form 1
                        requirements were to be made
                        applicable  to State NPDES programs
                        through a proposed amendment to
                        5 123^3 (see 44 FR 34116). and
                        applicability to States of the permit
                        applicafion requirements for RCRA and  •
                        UIC appeared in the proposed
                        consolidated permit regulations at
                        5 5 123.39 and 123.57 respectively.
                          (5) EPA has added a new paragraph
                        (e) to { 122.4 which requires applicants
                        to keep records for a period of three
                       years of the data used to complete all
                       applications. This requirement is also
                       listed in I12Z3 (standard permit
                       conditions)  requiring records of
                       background data for monitoring and
                       other reports required by the permit to
                       be kept for three years. The
                       recordkeeping requirements are
                       necessary to support any subsequent
                       EPA enforcement action for false
                       reporting.
                       5 132.5 Continuation of expiring
                      permits:

                        (1) Some changes have been made in
                      proposed § 12ZB(c) (now § 122.5) in
                      response- to comments. Proposed § 122 S
                      (c](3)(ii) (now 5 122.5(cj(2)J created some .»
                      confusion as to what grounds were to be
   considered by the Director in denyi
   permit renewal application when t
   permittee is out of compliance with
   continued permit In response to thee
   comments, EPA has amended J  122.16.
   ."termination of permits." to state that
   any grounds for terminating an existing
   permit is grounds for denying a permit
   renewal application. While termination
   of a permit or denial of an application is
   a harsh measure that will only be used
   in extreme instances. EPA believes that
   a provision for doing it is necessary and
   that, in some instances, such action will
   be appropriate. If the Director were
   required, as some commenters .
   suggested, to base the decision of
   whether or not to issue the permit solely
   on the permit renewal application, he or
   she would be in the position of having
   authority to terminate the existing
   permit for the grounds listed in 5  122.16
   but then being required to renew  the
  permit for the same facility because the
  application did not reflect the
  noncompliance. We have reworded
  1124.8 to clarify that when the.Director
  seeks to deny a renewal application, he
  or she must first issue a notice of Intent
  to deny which is treated as a form of
  draft permit, subject  to public notice and
  the other procedures  of Part 124. A
  specific reference to 5 124.6 is now
  provided in f l22.5(c)(2).
   In addition, several readers
  interpreted this section to require  t
  Director to either deny the renewal
  application or take enforcement action
  when a facility with a continued permit
  is out of compliance. Comments stated
  that under this reading the section
  seems onerous and that more normal
  options  such as permit modifications
  and compliance schedules ought to be
  available. EPA has redrafted 5 122.5(c)
  to clarify that issuance of a new permit
  with appropriate conditions remains an
 option available to the Regional
 Administrator in this situation.
   (2) A large number of commenters
.noted the possibility under proposed
 5 122.7(6] that a Federally-issued permit
 might lapse after transfer of a program  .
 to a State and expressed concern that a
 permittee might be forced to close  down
 or operate illegally without a permit
 through no fault of its own. Several
 suggested that States ought to be
required to have  some  sort  of automatic
reissuance authority or a provision for
extensions similar to the Federal
Administrative Procedure Act. perhaps  '
as a condition of program approval
under Part 123. EPA has rewritten the
section to emphasize that States may
continue  Federally-issued RCRA.
or NPDES permits which expire w
under State administration if adequat

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               Federal Register /  Vol. 45.  No. 98 / Monday., May 19. 1980 /-Rules and Regulations
                                                                        33303
  permit. Under final 1122.7, permit
  conditions may still be incorporated by
  reference. However. EPA has provided
  protection to permittees by requiring.
  that, if conditions are. incorporated by
  reference, the reference must include a
  specific citation to these regulations or
  to the corresponding State regulations..
  EPA does not believe that it is-possible
:  to state all permit requirement* in all
  permits without using references in
  some instance*. For example.
  S 122.BO(e)(l) requires as a standard
  permit condition for all NPDES permits
  that monitoring be conducted according
  to the test procedures approved under
  40 CFR Part 139 unless alternative test  „
  procedures are specified in the permit
  Part 138 procedures are in many
  instances quite detailed and requiring _
  these procedures to be restated in the
  permit verbatim would not be justified
  in view of the increased paperwork
  burden it would impose on permit
  writers.
   (3) Dirty to comply. Section 122.7(a) is
  •tssuntially a restatement of proposed
  3 122.11(a), The duty of an NPDES
  permittee to comply with newly
  promulgated toxic effluent standards or
  prohibitions under section 307(a) of
  CWA. which appeared in the proposal
  in J 122.69. has been moved to the
  corresponding "duty to comply1* NPDES
  section. 5 122.60(a). because it is
  addressed to permittees; Also, the
 corresponding RCRA (5 122^28(a)) and
  UIC (§ 122.41(a)) provisions reflect the
  fac.t that emergency permits issued
 under these programs may act as a
 limited modification of existing permit
. requirements. -.'
   (4) Duty to reapply. EPA has added
  § 122.7(b) to make sure that permittees
 are informed of their duty to reapply for
 a permit State and EPA permits may
 incorporate reapplication deadlines at
 this point if desired.
   (5) Duty to halfor reduce activities.
 Proposed § 122.11(j) (now § 122:7(c))
 required the permittee to "halt or reduce
 its business activities whenever and to
 the extent necessary to maintain
 compliance with the term's of  a permit."
 This requirement received many
 adverse comments. In general,
 commenters argued that in many cases
 noncompliance with permit conditions
 may not be serious enough to  justify
 halting or reducing regulated activities.
 and therefore that the requirement
 should be: deleted, discretionary, limited
 to imminent and substantial
*ndangerment of the environment,
deleted in favor of assessing     '
enforcement penalties, or should allow
for exemptions. Some commenters found
the requirement inconsistent with the
  performance-based standards which are
  the primary mechanism for protection of
  the environment used by the programs
  in these regulations, arguing that EPA
  has no-authority to enforce or require
  anything but limits "at the end of the .
  pipe."   .
   . EPA does not intend to enforce a duty
.  to halt or reduce regulated activities
  every time any permit condition is
  violated. Furthermore. EPA does not rule
  but the possibility .that in some
  instances baiting activities could cause .
  more damage than to continue them.
  that it may be necessary to continue
  operations to locate the problem, that
  less drastic means for assuring permit
  compliance may be appropriate in some
  circumstances, or that for certain
  instances of trivial noncompliance it
  might be inappropriate fora permittee to
  halt its operations. However. EPA
  wishes to clearly establish for every   ;
  permittee the principle that a permittee
  has a duty to comply with its permit,
  and that this duty requires reducing or
  halting activities if no other means of
  complying is possible. A permittee can
  not "buy" a right to damage the
  environment by violating the permit and
  being assessed civil penalties as a
  result. '' • -     *
   EPA has rewritten  the provision to
  state that "it shall not be a defense for ,
• .the 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". This
'  rewording of the duty emphasizes its i
  relevance to enforcement actions, and
  eliminates the appearance of double'
  enforcement (once for the permit
  violation, and again for not reducing
  activity or shutting down). Of course,
  permittees must use their judgment in
  determining how to respond to
  noncompliance. They should consider
  the potential seriousness of the
  noncompliance. and the damage it is
  causing. If noncompliance with the
  permit is serious enough to warrant
  enforcement action, no permittee will be
  allowed to argue that compliance would
  have been unreasonable because it
  would have required a halt or reduction
  pf the regulated activity.    '
   Several commenters noted that
  proposed 5 122.11(j) was quite, similar to
  proposed § 122.6jB(e),  which applied to
 NPDES. The NPDES provision now
 appears at i 122.60(b) and is discussed
 in the preamble accompanying that
 section.        '
   (6) Duty to mitigate. Section 122.7(d)
 restates proposed § 122.11(i). For the
 reasons discussed under (5) above, EPA
 rejects the argument that it may not
 require permittees to mitigate the
 damage caused by noncompliance with
 their permits. It should be noted that in
 some circumstances noncompliance
 with this permit condition may be used
 Jo establish willfulness in an "
 enforcement action.
   (7) Proper operation and maintenance.
 The first sentence of proposed
 5 122.11(g) (now § 122.7(e}) required the
 permittee to "maintain in good working
 order and operate efficiently all
 facilities and systems of treatment or
 control which are installed or used by
 the permittee to achieve compliance
.with the terms and conditions of the
 permit." The second sentence further
 defined "proper operation and
 maintenance" as  including "effective
 performance based on'designed facility
 removals, adequate funding, effective
 management, adequate operator staffing
 and training, and  adequate laboratory
 and process controls including
 appropriate quality assurance
 procedures." We  have revised the first
 sentence by substituting the phrase
 "proper operation and maintenance" for
 "maintain in good working order and  '
 operate efficiently" in order to parallel,
 the second sentence, which gives
 examples of proper operation and
 maintenance.
   Many commenters expressed doubt'
 whether EPA is legally authorized to
 require proper operation and
 maintenance of facilities. This
 requirement is clearly authorized for
 NPDES permittees by section 402(aJ(2J
 of CWA which requires the
 Administrator to prescribe permit
 conditions which  will assure compliance
 with the requirements of CWA section
 402(a){l). EPA similarly believes that a
 proper operation and maintenance
 requirement is authorized by section
 1421(b) of SDWA  to assure compliance
 with requirements in UIC permits to
protect underground sources  of drinking
water, and by section 3004(6) of RCRA
which requires EPA to, establish
"maintenance" and "operation"
standards.
   One commentor argued that if a
permittee can meet its permit
requirements by operating its treatment
or control systems at less that optimum
efficiency, rather than at "designed  .
facility removals." it should be allowed
to do so. EPA agrees and has deleted
that example from the second sentence.
  Other commenters argued that the
phrase, "effective management'-' as an
example of "proper operation and
maintenance" was unnecessary, ,
overbroad, and would result in an
intrusion into internal plant
management. Although EPA still       . '
believes effective  management
requirements are authorized by CWA.

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   333D4       Federal  Register / Vol. 45. No. 98  / Monday. May 19. 1980 /'Rules and Regulations
   EPA agrees, in part,-that the term
   "effective management" may be
   overbroad as a generally applicable
   permit condition and has deleted it from
   the second sentence. In response to
   comments fearing that proposed
   5122.11(g) would require operation of
   backup or auxiliary facilities and
   systems at all times, EPA has added a
   new sentence to final § 122.7(e) to
   clarify that this paragraph requires the
   operation of those facilities only when
   necessary to achieve compliance with
   the permit
    (8) Permit actions. Proposed
   ! 12ZlI(d) stated that "unless and until
  * permit is modified or revoked and
  reissued, a permittee must comply with
  the terms and conditions of the existing
  permit whether or not the existing
  permit would allow the permittee to
  begin the activity described in
  paragraph (c) of this section." The.
  paragraph referred to required
  notification of proposed activities which
  could constitute grounds for
  modification. Commenters found this
  provision vague and objected that it
  appeared to prohibit activities otherwise
  allowed in the permit.
    EPA agrees that it can not prohibit
  activities which are in compliance with  '
  a permit The intent of the provision is,to
  inform permittees that, simply because a
  permit modification has been requested
  or because information has been
  reported which might require a change
  in UIB permit, the permit itself has not
 been changed and must be complied
 with. Because RCRA and UIC permits
 contain construction as well as
 operating requirements, permittees
 should obtain approval before
 physically modifying a RCRA or UIC
 facility; see || 122.28 (RCRA) and 122.41
 (UIC). (Similarly, for RCRA facilities
 under interim status, see § 122.23.) Final
 5122.7(d) clarifies the intent by stating.
 "The filing of a request by the permittee
 for a permit modification, revocation
 and reissuance, or termination does not
 stay any permit condition."
   Several commenters argued that a
 permittee should be able to change its
 conduct before approval of a permit
 modification. So long as the change does
 not violate the requirements of the
 permit, EPA agrees. However, a
 permittee runs the risk of enforcement
 action whenever it does not comply with
 its permit (see § 122.7(a)); therefore, it is
 in the permittee's interest to notify the
 Director sufficiently in advance for the
 permit to be modified, if necessary, to
 allow for anticipated changes in conduct
prior to their occurrence. The
notification could constitute "new
   information" which is cause for
   modifying a permit under i 122.15(a)(2).
     The reporting requirements
   summarized in paragraph (1) of the
   standard conditions require advance
   notice of (1) planned physical
   alterations or additions to the permitted
   facility, and (2) any planned changes in
   the permitted facility or activity which
   may result in permit noncompliance.
   These duties are narrower than in the
   proposal and are discussed below. EPA
   recognizes that plans will not always be
.   formulated enough in advance for the
   permit to be modified prior to a change.
   When this is the case and the change
   does result in noncompliance. the
   permittee will not be excused by the fact
   that notice has been submitted or that a
   permit modification is being processed.
    Some commenters noted that
   proposed 5 122.11(d) contradicted the   .
  proposed provisions for emergency and
   temporary authorizations under RCRA
  and UIC Sections 122.28 and 122.41 now
  clarify that a permittee need not comply
  with the.conditions of its existing permit
  to the extent and for the duration
  authorized in an emergency permit One
  effect of this statement is that
  emergency permits are processed
  independently of existing permits and
  not as modifications of them, although
  the end result is similar.
    (9) Property rig/its. Section 122.7{g)
  repeats the statement in 9 122.13(b)
  (proposed i 122.7(b)) that a permit is not
  a property right For a discussion of
  permit transfers, see the preamble to
  J 122.14.
    (10) Duty to provide information. Final
  paragraph (h) states the duty of the
  permittee  to provide information
  necessary in determining compliance or
'  in processing a permit modification or
  termination. This roughly corresponds to-
  proposed § 122.13(f). but has been
  broadened to be coextensive with the
 Director's general-authority to require
 information under RCRA section 3004,
 SDWA section 1445, and CWA section
 308.
   Proposed f122.11(c). in addition to
 requiring notification of any activity that
 might give rise to cause for modification,
 stated that "the Director may require a
 aubmissidn of a new application." This
. language no longer appears as a
 standard permit condition. EPA has
 amended J 124.5 to require submission
 of a new application whenever a permit
 is being revoked and reissued. This is
 necessary because in-that case the
 permit is being reissued for a new term.
 Section 124.5 also states that an updated
application may be requested by the
Director in the case of a permit
modification. An updated application
may be necessary when, for example, a
   permit is being extensively rewrittj
   when a permit is being modified
   reflect a transfer in ownership.
   However, it is not EPA's intent to
   require a complete new application
   when not all of the information is
   needed to process a permit modification.
   Likewise, when information is needed to
   determine compliance, it will be
   requested through the general
   information gathering authority and not
   through a requirement to submit a
  complete new permit application, which
 • contains questions which often are not
  relevant to a determination of
  compliance.
    (11) Inspection and entry. Final
  paragraph (i) was proposed as
  S I22.1l(e). Proposed §122.11(e) set forth
  requirements for allowing • .    •   .
  representatives of the Director to enter
  and inspect the facility, the records that
  are required to be kept, and regulated
  substances. Many commenters were
  concerned  that confidential information
  is not adequately protected when a
  contractor rather than an officer or
  employee of EPA or a State government
  conducts an inspection. All information
  disclosed during an inspection is subject
  to the business confidentiality provision
  of 40 CFR Part 2. A company may assert
 .a claim of confidentiality and if EP/
  proposes to disclose any informtiog
  covered by such a claim, the Agend
  gives prior notice to the submitter. '...„
. Agency's procedures for disclosure to
  contractors who are authorized
  representatives are contained in 40 CFR
  S 2.301(h) which is incorporated by
 reference in § J 2.302(h) (CWA). 2.304(h)
 (UIC) and 2.305(h) (RCRA). Readers are
 referred to these sections for their
 specific provisions. In addition, 40 CFR
 5 2.211 provides that a contractor may
 only  use the information as provided by
 the contract Any violation of these
 provisions is grounds for debarment or
 suspension: willful violation may result
 in criminal prosecution. EPA believes
 that these provisions fully protect
 confidential information obtained by a
 contractor..
   Several commenters stated that the
 provision should incorporate the legal
 principles set forth in Marshall v.
 Barlow's Inc.. 436 U.S. 307 (1978).
 relating to the necessity for presentation
 of a warrant under appropriate
 circumstances. Some commenters feared
 that by including entry and inspection
 requirements as a permit condition. EPA
 might be requiring permittees to waive
 certain rights under the Fourth
 Amendment to the United States
 Constitution. It is nof EPA's intent
 deprive any permittee of its Fourth!,
 Amendment rights as interpreted bj

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               Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
                                                                       33305
  Supreme Court decisions. However, we
  have retained the general wording
  requiring "presentation of credentials
  dndsuch other .document as may be
  required by law" because of the
  complexity and the changing nature of
  this area of the law, and  the possibility
  that any particular formulation or
  citation could be inaccurate or
  inapplicable.
    Seyeal commenters argued that
  proposed subparagraphs  (e](3), (4). and
  (5}—concerning entry to inspect
  facilities, equipment and  operations, and
  to sample at the monitoring ppint
  substances required to be monitored—
  were not authorized by RCRA. EPA
  disagrees. Congressional  intent was to
  allow for monitoring of areas
  surrounding the waste disposal sites.   :
  and EPA inspection of such sites and the
  substances monitored, to  ensure
  reasonable protection of human health
  and the environment See H. Rep. 94-
  •1491. 94th Cong.. 2d Sess., page 28. EPA
  has followed the suggestion of two
  commenters and combined proposed
  subparagraphs (e)(4) and  (e)(5).
    Some commenters suggested that
  entry under proposed  § 122.11(e)(l)
  should also be at reasonable times, as
  are access to copy, to inspect or to  '
  .sample; or monitor. EPA feels that such •
  limitation should not be inserted
  because it might give rise  to arguments
  that EPA is precluded  from inspecting
  without notice or at unusual times when
  in fact doing so is "reasonably"
  necessary to determine compliance or
  noncompliance.     '
    (12) Monitoring and records. The
  requirement for permittees to conduct
  monitoring and keep records, contained
  in §122,7(j). was proposed in § 122.H(k).
  This standard permit condition has been
  revised to include requirements"which
  appeared in the proposed  section on
  "Recording and reporting  of monitoring
  results" (proposed § 122.14. now
  J122.11). The generally applicable
  requirements that monitoring be
  representative of the monitored activity.
  that certain information be recorded.  ,
  and that records be retained for at least
  3 years, are appropriately  addressed to
  permittees in the permit document
   The records retention requirements  >
  have been revised slightly in response to
  comment Copies of all reports required
  by the permit not just the  data used in
  monitoring reports, must now be
,  retained for the 3 year period. In1,
  addition, the requirement to retain
  records  for longer than 3 years during
  litigation will no longer apply
'automatically. Commenters argued that
 permittees must be given notice if  -
  records are to be retained  for longer
 than 3 years. The Director  .will now have
.  to make a request before longer
  retention of records during the course of •
  litigation is required; This procedure will
  give adequate notice to the permittee
  during litigation to the extent,
  preservation of material evidence is not
  already a requirement under common
  law. Likewise, the Director can require
  the permittee to retain records at any
  other time for longer than 3 years upon
  request, as in the proposal. EPA believes
  that there are many instances when it
  will be important for records to be
  retained for longer periods of time, up to
  the life of • facility or the postdosure
  period, and additional records retention
>  requirements are set forth in
  corresponding paragraphs of §§122.28
  and 122.41 for RCRA and UIC
  respectively. Finally, EPA has amended
  §122.4. as discussed hi the preamble to
  that section, to require retention of
  information used In completing permit
  applications, and this requirement is
  repeated here.
   (13) Signatories. Paragraph (k) simply
  restates the requirement of § 122.6 that
  reports to the Director be signed and
  certified, to make sure that the
  requirements of that section are permit
  requirement
   (14) Reporting requirements. Final
  paragraph (1) was proposedori § 122.11
,  (c) and (h). Many commenters expressed
  concern over proposed paragraph (c).
  which required the permittee to report  -
  any past or predicted activity which
  might constitute cause for modification
  or revocation and reissuance. The
  general tenor of these comments was
  that the provision was vague, and
  burdensome, would lead to trivial and
  duplicative reporting, and might violate
  the Fifth Amendment Examples were
 given of instances when this
 requirement would apply even if there
 were neither permit noncompliance nor
. alteration to the facility, for example
 upon promulgation of new standards or
 regulations. Furthermore, the provision
 would have required the permittee to
 make a determination of "cause" and
 might for example, have required
 reporting of trivial instances of
 "ineffective management" Finally, it
 was unclear how this reporting .
 requirement operated in relation to
 several other reporting requirements
 which also appeared in the proposed
 section (reporting of noncompliance, in
emergencies, of monitoring) and
elsewhere in the regulations
(monitoring, proposed transfers, .
noncompliance jepbrting). The same
event might have had to be reported two
or even three times under separate
proposed provisions.
    Several commenters argued that
  mandatory reporting of noncompliance
.  raises.questions of selMacfiraination
  under the Fifth Amendment The t
  privilege against compulsory self-
  incrimination applies only in a criminal-
  case. Moreover,  corporations do not
  have the privilege. George Campbell
  Painting Corporation*.Reid, 392 JJ.S.
  288 (1968). Finally, "records required to
  be kept" by individuals are outside  the
  scope of the privilege. Shapiro v. United.
  States. 335 U.S. 1 (1948). The reporting
  requirements of  § 122.7(1) fit within this
  "required records" exception to the
  scope of the Fifth Amendment privilege
  and. therefore, there is no Constitutional
  infirmity in requiring reporting of.  .
  noncompliance as a condition of
  receiving a permit
    EPA has extensively, rewri tten the
 •permittee's reporting  requirements to
.  make it as clear as possible to the
  permittee what reports are required.
  when they are to be submitted, and  how
  they rejate to eachother and to other
  sections of the regulations. All duties of
  the permittee to submit reports to the  .
  Director as part of the permit program
, will now be explained in the permit and
  are summarized in one place. § 122.7(1).
  and corresponding sections of the
  program subparts. These reporting  ,
  requirements are summarized under
  eight headings in § 122.7(1) and are
  discussed here as follows: (a) planned
  changes and anticipated noncompliance;
  (b) transfers: (c) monitoring reports:  (d)
  compliance schedules: (e) 24-hour
  reporting; (f) other noncompliance: and
  (g) other information. See Table HI.
 These headings have  been harmonized
 to prevent duplicate reporting of the
 same event where this would serve no
 purpose. As noted in the .table, the
 corresponding program sections refer to
 additional permit reporting requirements
 that are not'specifically related to
 monitoring or compliance. These
 requirements must also be incorporated
 into fixed-term permits to be
 enforceable.
   (a) .Planned changes and anticipated
 noncompliance. Proposed paragraphs (c)
 and (h) combined reporting of both past
 and future causes for modification or
 noncompliance. Commenters argued  .
 that these paragraphs were confusing
 and overbroad. In response, EPA has
 separated the reporting requirements for
 events contemplated in the future from
 reporting requirements which arise after.
 the event, and has narrowed'the scope  '
 of both.
   Planned changes. First, permittees
 must- report "planned  physical
 alterations or additions to the permitted
 facility1* (§ 122.7(1)(1J). Except as

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   333D6  •    Federal Register / Vol. 45. No. 98/Monday. May 19. 1980 / Rules and Regulations
   provided in 5122.BI(a) for NPDES
 .  (expected use or manufacture of toxic
   pollutants), this is the only reporting
   duty which arises before the event as a
   matter of course regardless of whether
   the permittee believes it might give rise
   to a permit modification. (New RCRA
   and UIC facilities are also required to
   submit a statement before commencing
   operations: see Sil2Z2a{c) and
   122,41(d)0 In the proposal, the permittee
   only reported changes after making a
   determination of cause for modification.
   However. EPA believe* that it is
   unreasonable to expect permittees to
   distinguish those alterations to the
   facility which may constitute cause for
   permit modification from those which do
  not; therefore, the Director shall make
  this distinction! In addition, the nature
  of the programs covered by this
  provision favors the presumption that  '
  physical changes in the facility will give
  rise to cause for modification of the
  permit For NPDES, changes to the
  facility include any p'hysical changes,
  such as addition of a new process line.
  that may affect the quality of the
  discharge. It also includes commencing
  to discharge into a well, into a POTW.
  or by land application, and the permit
  may be modified or terminated
  accordingly under 5 12Z16(a](4). using
  the criteria in § 122.65. When plans are
  known sufficiently in advance, this
  notice should be given in time for the
  Director to modify the permit prior to
  the occurrence of the noted event This
  is necessary so that, if modification of
  the permit is an appropriate response to
  the change, the modification can be
  made in time to prevent noncompliance
  with the permit
   Anticipated noncompliance. The
 "planned alterations or additions to the
 facility" that are to be reported under
  § 122.7(1){1) are limited to physical
. changes to the facility and exclude
 changes in production or other activities
 (except as provided in § 122,81(a) for
 NPDES). In the case of all other changes
 to the facility or activity contemplated
 by the permittee, advance reporting is
 required only where, noncompliance is
 anticipated (§ I2Z7(1}(2)). Here EPA
 presumes that changes are not likely to
 cause noncompliance except in cases
 where the potential violation is clear
 enough to allow reliance on self
 policing. Consequently. EPA believes
 that in most cases permittees may begin
 new activities other than physical
 alterations to the facility without the
 fear of violating their permits if they
have no reason to believe that they will   .
result in honcompliance. However,
noncompliance with a permit is always
grounds for enforcement, and if there is
   any doubt in the permittee's mind
   whether a contemplated change to the
   regulated activity may constitute  '
   noncompliance. the permittee should
   contact the permitting authority for
   further information.
    Distinguishing "planned changes"
   from "anticipated, noncompliance"
   reflects a compromise between two
   conflicting but valid considerations: the
   need to give the permittee the maximum
   achievable certainty as to what it is
  necessary to report, and the need to
  provide the Director with information in
  a timely manner. The final approach is
 ' significantly narrower than in the
 , proposal The proposal required that
  notice be given in advance of anything
  which might constitute cause for
  modification or revocation and	
  reissuance as well as notice of any
  anticipated noncompliance. The final
  notice requirements (1J eliminate
  notification at any time based on
  possible cause for modification; (2) only
  require notice of anticipated
 noncompliance without the elaborate
 list of noncompliance information that
 was required in the proposal- (3) triggers
 advance notice only upon changes to the
 facility or activity; and (4) only requires
 advance reporting of changes in
 production without accompanying
 process changes if the permittee has
 reason to believe they might result in
 permit noncompliance. For example, if
 an NPDES permittee is reducing Its
 production and consequently its
 discharges, and therefore does not
 violate the effluent limitations  in the
, permit such changes normally need not
 be reported This-prevents the permittee
 from feeling it must report innumerable
 instances of changed production'just to
 be on the safe side. (See. however.
 ! 122.16{a)(4). which allows an NPDES
 permit to be modified in this  situation
 even if there is no permit
 noncompliance. This cause for
 modification is statutory.) Fifth, changes
 in the activity which are not limited in
 the permit would not have to be
 reported under this scheme. EPA
 believes that for NPDES the requirement
 to report expected use or manufacture of
 toxic pollutants under § 122.61{a) takes
 care of parameters not limited in the
 permit in most instances: similarly
 S 123.95 ensures that any change in an
 activity regulated by a 404 permit is   ,
 noncompliance. As for RCRA and UIC,
 experience with these programs may be
necessary before it can be determined
with more precision what activities-
other than changes to the physical
facility or those which may result in
noncompliance—need to be reported in
advance.
     (b) Transfers. The provision on
   transfers appeared in the proposal
   § 122.8(e). These final regulations"
   contain a separate section on transfers,
   § 122.14. This standard permit condition
   reflects the requirements of that section:
   see the preamble discussion thereunder.
    (c) Monitoring reports. The new
   section of the permit listing reporting
   requirements now refers to the duty to
   submit monitoring reports1 so as to
  provide one list of permit reporting
  requirements. The frequency and
  content of these reports, however, will
  be specified elsewhere in the permit
  because they are variable provisions
  Incorporated through 5 122.11 and the
 . sections which it refers to.
    (d) Compliance schedules.  The
 . requirement for the submission of
  reports on compliance or noncompliance
  with requirements in a compliance
  schedule appeared in proposed
  S 122.12(a){2) (now § 122.10(a)(2)).
  Because this requirement is binding on
  all permittees with compliance
  schedules, it is referred to also in  final
  S 122.7(1)(4) to make sure that it will
  appear in the permit.
   (e) Twenty-four hour reporting.
  Proposed § 122.11(h) stated that all
  instances of noncompliance had to be
  reported, that the Director "may"
  require such report within 24 hour,
  five days in certain instances, and (_
  the Director "shall" require such rep!..
  within 24 hours in the case of NPDES
  permittees subject to CWA section
 307(a) toxic standards or prohibitions.
 Many commenters objected that the
 duty to report these instances of
 noncompliance was vague,
 unreasonalbe, and duplicative. In
 addition, application of the five-day or
 24-hour requirement was" unclear.
   EPA believes that in certain instances
 it is important to receive prompt notice
 of noncompliance, and the requirement
 for 24-hour or five-day reporting has
 been retained. However, several
 changes have been made to make this •
 requirement clearer.
   EPA has retained the general duty  to
 report potential endangerments to
 health and the environment as a 24-hour
 reporting requirement applicable to all
 programs. However, the general
 requirement is now triggered only by
 noncompliance. EPA agrees that a duty
 to independently repprt information that
 "may" constitute an endangerment to
 human health or the environment that is
 not coupled with noncompliance should
 not be imposed;
  Second, each of the program subparts
 indicates more specific instances wj:
health and the environment report! J
likely to be applicable. While in mal_
cases the prompt repprting of instances

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               Federal Register / Vol. 45. No,  98 / Monday. May 19. 1980 /  Rules, and Regulations
                                    ^	
                                                                        33307
 '  of noncompliarice affecting human
   health and the environment must
   depend on the permittee's good faith
   estimation of its importance, it should
   be clear, as these regulations now
   provide, that in the case of a release of a
   hazardous waste into public drinking
   water supplies (RCRA), endangerment
   of public "drinking water supplies (UIC).
   and noncompliance involving a CWA
   section 311 or 307 pollutant (NPDES). the
   permittee must report immediately to
   the Director.
    Third, the program subparts also
   indicate additional 24-hour reporting
   requirements which are not necessarily
   linked to possible endangerment to
  human health and the environment'or to
  noncompliance. but which are readily
  identifiable by the permittee and which
  EPA has determined are sufficiently -
  important to warrant immediate •
  reporting. Thus, for NPDES. each permit
  will include a list of those pollutants for
  which the violation of a maximum daily
  discharge limitation must be reported
  within 24 hours. Similarly, for RCRA.
  EPA requires notification of any fire or
  explosion at an HWM facility, as
  required in each RCRA permittee's
  contingency plan, even though there
  may be no specific permit condition
  directly prohibiting fires or explosions
  so as to render the event technically a  .
  "noncompliance."
   Each event reported under J 122.7(1)(6)
  and the corresponding program sections
 must be followed by a written
 submission within 5 days. The list of
 information that must be submitted in
 the written report speaks jn terms of
 "noncompliance." but where a report
 must be submitted for ah event which is
 technically not noncompliance. this may
 be read to include the other events
 required to be reported.
   Fourth, several inconsistencies have
 been eliminated. The requirement for *
 oral reporting within 24 hours is now
 uniform in all instances covered by new
 § 122.7(1H6).The provision for RCRA
 has been coordinated with the language
 in the section 3004 regulations: see
 5 122.28(d) and 40 CFR § 284.58.
   Fifth, the operation of the 24-hour
 versus 5-day requirement has been
 clarified. Now. in all instances, an oral
 repprt must be supplied in 24 hours, to
 be followed by a written report within 5
 days. There is no longer a "choice"
 between 24 hours or 5 days that the
 permittee would have to be informed of
 somehow, and there is no possibility   -
 that a written report could be required
 withiri 24 hours.,In addition, some
 commenters. including EPA Regional
Offices,  argued against the Director's
proposed authority to waive a written
report when the permittee has orally
   reported within 24 hours. EPA agrees
   that a written report is needed for
  .documentation of all instances of threats
   to human health and the environment.
   However, written reports concerning
   other 24-hour reporting instances remain
   waivable if indicated in the program
   subparts.                       .  •
   • (g) Other noncompliance. Proposed
   § 122.11(h) required all instances of
  noncompliance to be reported to the
  Director, but was unclear as to how this
  requirement related to other reporting
 . .requirements. Final § 122.7{1)(7) states
  that only those instances of
  noncompliance not otherwise reported ,
  in monitoring reports, compliance •
  schedules, -or as 24-hour and 5-day
  reports, must be independently reported
.  as noncompliance. Reports of
  anticipated noncompliance must still be
  reported under this heading if the
  noncompliance actually occurs. Thus, -if
  noncompliance is revealed in routine
  submissions of monitoring reports, it is
  not necessary for the permittee to
  automatically submit a .duplicate report
  on the same "information. For NPDES,
  and perhaps the other programs, reports
 .under this heading will be rare.
   The final provision: also clarifies when
  these noncompliance reports are to be
  submitted—at the same time as the
  monitoring reports are submitted under
  the conditions of the permit. The
  proposal referred to the section on
  quarterly and annual noncompliance
  reports. This was confusing .because
  these reports are prepared by the
 Director, not the permittee. The cross-
 reference has been eliminated.
   (h) Other information. This heading.
 which was only implied in the proposal
 through the. duty to report causes for •
 modification; requires permittees to
 update information submitted in their
 applications or reports. If the permittee
 learns that incorrect information is
 contained in its application or reports
^that have been submitted, it shall
 correct the information "promptly."
,   The permittee's reporting
requirements are summarized in Table
• * •    . - '     .   •    ' '*   '       '

 1122.8 Establishing permit conditions   -
  .Final } 122.8 (proposed § 122.13) Is
essentially a cross-reference to other
sections of these regulations and other
regulations which set forth required
permit conditions that vary from permit
to permit and methods for setting those
conditions: This section has been
rewritten to provide a roadmap to all of
the sections of these regulations that
must be consulted by permit writers in
setting these variable permit conditions
(see also Table 11 and preamble to
§ 122.13). The section, first refers to
   sections of Subpart A which set forth
   permit conditions required for all     '
   programs in certain instances, and then.
   refers to corresponding sections in each
   of the program subparts on "establishing
   permit conditions" for those programs.
   The latter sections in turn refer to all
  • subsequent sections of the subpart
   containing information on setting permit
   conditions, and .to relevant portions of
   the technical regulations for the
   program.

     Tabh) V.—femftteo Reporting Requirements
                When
                          Additional program
                            requirements
  1. Planned
    Change*..
In advance _
           — 9 122.28(0) (RCRA),
               5 122.41 (c) (UIC).
               9 122.60(g)(3)(i) and
2. Anticipated
noncoroplt-
ance. .
3. Planned
transfers.
4. Monitoring
reports.
5 Compliance
schedules.
6. Endanger-
men! or
other 24
hours/Sdav.
1. Other
noncompa .
' anca.
In advance ............; 	


In advance 	 . 	 .. 	 .

Aa specified in permit

14 day* of
compliance date.
24 hours/5 days 	 .-.
With moratonng
reports:

vruco;.




9 122 60(e) (NPDES).



9 122 28(d) (RCRA).
9 122.4 1(d) (UIC).
9122.60(1) >
(NPOES). .


8. Other NPromptty..:... 	 ...;..._. ' .' .
information.
9. Additional
program
require-
ments. =


i

As specified 	 	 ; 	
'. ' . ' .





9 12228(e) (RCRA).
9 I22.4t(e) (UIC).
9122.601'g).
9 122.60(h).
1 122.61(a). and
9 122.61(b)
(NPOES).
   The fact that this section is the guide
 to all permit conditions which do not
 always apply in the same way, or in
 every instance, to every permit, and that
 these conditions therefore, must be
 applied on a case-by-case basis, as
 appropriate, should not be taken to
 mean that any of them are necessarily
 optional. In many if not most cases, the
 conditions referred to in this section are
 mandatory if the circumstances which
 invoke the condition are present. In
 addition, this section now explicitly
 states the general duty of the permit
" writer to include conditions in the
 permit which are necessary to ensure'
 compliance with the appropriate Act
 and regulations. It also contains
 guidance on when a statutory or
 regulatory requirement becomes
 effective for purposes of that duty. Some
 of that material originally appeared in '
 § 122.69 of the proposal for NPDES; it is
 now applicable to all of the programs.

 1122.9  Duration of permits.
  Proposed § 122.8 (now § 122.19)
provided that RCRA and UIC permits

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   33308
                                                                       !           '



Federal Register / Vol. '45,  No. 98 / Monday. May 19. 1980 / Rules and Regulations
   •would be issued for terms up to the life
   of the facility. XPDES and 404 permits
   would be issued for terms of up to S
   years. When a facility or activity has
   permits under two or more programs, •
   proposed S1225 (now J 122.14)
   provided that a "cross-review" of each
   issued permit would have been
   conducted every «?"ig another permit for
   that facility or activity was issued
   modified, reissued, or terminated. This
   review would have been conducted to
   determine whether tha other permits
   should also be modified, revoked and
  reissued, or terminated. Proposed
   112Z9 on causes for modification (now
   §12215) provided that modification or
  revocation and reissuanca of a permit
  could be based upon a related change to
  another permit issued to the same  .
  facility or activity. Also, all UIC and
  RCRA permits were subject to
  mandatory review every 5 years.
    The proposal requested comments on
  the permit duration and review scheme.
  and a signficant number were received.
  In general, industry favored lifetime
  permit* for RCRA and UIC and
  objected that the provisions for permit
  review negated the advantages of
  lifetime permits. Many felt that normal
  reporting, Inspection, and monitoring
  already provided sufficient oversight.
  and that reviews ought to be triggered
  only when such methods themselves
  revealed possible cause for a
  modification. More fundamentally,
  commenteri died the permittee's need -•
  to rely on tha condition* of its permit.
 particularly for siting and construction
 requirements, and argued that financing
 could bs Jeopardized without this  '
 certainty. The proposal seemed to open
 the prospect of an endless round of
 reviews or "nonstop permitting" with
 permit conditions continually being
 adjusted. This fear was aggravated by
 the fact that just what a "review"
 entailed was not spelled out Finally.
 many commentera feared that reviews
 would cause delaya in processing
 application* and modification'requesta,
 because action would be held up while
 all review* of other permits for the same
 facility were conducted. They especially
 objected to the provision for "cross-
 reviews" for facilities with multiple
 permits both for its potential for delay
 and for  appearing to "bootstrap" the
 requirements of one permit onto other,
 related permits.
   On the other hand, a number of
 comments were received from
 environmental groups and some States
favoring a fixed term approach.
particulary for RCRA permits. These
commentera felt that regular review and
updating of permits is necessary for an
                          effective UIC or RCRA program, and
                          that the only way to be sure that such •
                          reviews take place is to adopt a fixed-
                          term permit approach.
                            In response, and as a result of the
                          evolution of its own thinking. EPA has
                          extensively redrafted the permit
                          duration, permit review (proposed
                          § 1225. now deleted but discussed
                          below), permit termination (proposed
                          S 122,10, now § 122,18). effect of a permit
                          (proposed 512Z7, now 5122.13). and.
                         consolidation of applications (proposed
                          § 124.4, now ! 124.4) sections to provide
                         maximum certainty to permittees
                         consistent with adequate protection of
                         .the environment and human health. The
                         discussion of permit durations should be
                         read along-with the above sections and
                         accompanying preamble. --	
                           With tha exception of certain UIC
                         wells, which may receive lifetime
                         permits, the final regulations replace the
                         mandatory S year reviews for RCRA and
                         UIC permits, and in all cases replace the
                         "cross-reviews" for facilities with more
                         than on« permit, with a fixed-term
                         permit scheme for. all of tha programs.
                         Accordingly, permit reissuance at
                         regular fiveor tea year interval*, instead
                         of permit modification at unpredictable
                       •  times, wiQ b* the primary mechanism
                         for adjusting permit requirements. In
                         addition. EPA has narrowed the grounds
                         upon which a permit may be modified or
                         teminated during each permit term in
                         order to provide a maximum amount of
                         security to permittees. Also, a provision
                         has been added stating that  for all
                         permits that must be issued for a fixed
                         term, compliance with a permit
                         constitutes compliance.-for purposes of
                        enforcement, with the appropriate Act.
                        Finally, because of the fixed-term
                        approach, permits for the same facility
                        can be set to expire and be reissued at
                        the same time. In this way all relevant
                        aspect* of a facih'ty's operations can be
                        reviewed together, which should result
                        in more comprehensive and consistent
                        requirements.
                          (1) Final S1224 now states that all '
                        HYVM facilities may be issued permits
                        which are effective for a.maximum of 10
                        years. Wells injecting industrial or
                        municipal wastes beneath the
                        lowermost formation containing an
                        underground source of drinking water
                        and certain wells injecting-hazardous
                       wastes (Class I wells) may be issued
                       permits for up to 10 years. Wells for
                       enhanced recovery, hydrocarbon
                       storage, and special process mining
                       (Class H and III wells) will still receive  -
                       permits for up to the life of the facility.
                       A Class V well, if it is required to obtain
                       a permit (see preamble, to § 122.37)) may
                       receive a permit for up to 10 years.
    EPA agrees with those comment
   who believe that permit expiration
   reissuance is an important mechan^
   for providing regular scrutiny of permit
   compliance and updating of permit
   conditions. When permits must be
   reissued periodically, there is greater
   assurance that the existing conditions of
   the permit will be scrutinized to
   determine whether any of them must be
  modified or updated. In addition, a
  limited-term permit provides protection
  against human error by the permit
  writer. This is particularly-important for
  facilities which undergo construction to
  comply with construction or
  performance standards contained in the
  permit; such facilities could comply with
  those standards and yet not comply with
  other requirements designed to protect
  human health  and the environment.
  Under the proposed scheme, the facility
  could be subject to having its permit
  modified at any time. Under a fixed-
  term permit scheme, this situation can
  normally be 'addressed  during permi t
  reissuance  (see discussion of permit
  modification below).
   Finally, periodic reissuance builds in a
  mechanism for upgrading of permit
  requirements to reflect changing
 knowledge  and advances in technology
  for permit programs which are new o
 undergoing rapid evolution.
   Accordingly, EPA has determined H
 RCRA facilities and Class I wells under
 the UIC program will be issued permits
 of a fixed duration of up to 10 years.
 These facilities deal with hazardous and
 municipal wastes which in many
 instances have great potential for harm
 to human health and the environment. In
 both instances  the Federal regulatory
 program covering these facilities is new,
 which favors a  short-term permit
 approach, especially during the early
 years while technical criteria for the
 regulation of hazardous  and municipal
 waste are further developed.
   A 10-year term (rather than 5 years as
 with NPDES) was chosen for RCRA
 facilities because of the especially
 intense scrutiny such facilities
 frequently receive during public
 hearings (which are required during
 permit reissuance) and the local
 opposition which is frequently
 engendered. EPA determined that for
 this reason the entrepreneurial risk and
 need for the  security which is afforded
 by a longer permit term is
 correspondingly greater for RCRA
 facilities as a class than for NPDES
 point sources as a class,  particularly in
 view of widespread shortages of
capacity within  approvable facilitiesj
and the consequent lack  of local
alternatives.  In addition,  a term of up

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               Federal Register / Vol. 45. No. 98  / .Monday. May 19. 1980 / Rules and Regulations       33309
  10 years may be needed for some RCRA
  facilities because of their experimental
,  nature and the need for adequate time to
  analyze differing approaches to
  hazardous waste management. Finally.
 ' 10 years was chosen because it is a
  multiple of five, which will make it
  easier to coordinate the reissuance of
  RCRA permits with NPDES and UIC
  permits for the same facility. Having
  chosen maximum 10-year term* for
  RCRA facilities. EPA determined that
  the maximum term for Class I wells
  should likewise be 10 years. To provide
  otherwise would not comport with
  EPA'« attempts through consolidation to
  achieve consistency between programs.
  particularly as Class I wells include'
  those injecting hazardous wastes.
    Class n and III wells under the UIC
  program, on the other hand, will retain
  the maximum lifetime permit duration
  which appeared in the proposal. These
  wells, which are used for enhanced oil
  and gas recovery, certain types of
  hydrocarbon storage, and several kinds
  of special processes for mining of
  minerals or in situ gasification of
  hydrocarbon resources, present less
  hazard to the environment, so that the
  increase in permit issuing resources
  needed for fixed-term permits would not
  be justified. Instead, permits for these
  facilities  will be reviewed every 5 years.
  as in the proposal.
    (2) Several commenters stated that
  UIC permits should be for the actual life
  of the facility rather than the "designed-
  life, on the grounds that for many
  facilities the "designed" life is hard to
  determine or arbitrary, and that a permit
  renewal application would be required if
  the facility happened to last longer than
  originally computed. The purpose of this
  provision was to be sure that EPA and
  States would have adequate oversight of
  the termination of facility operations.
 particularly the closure and  financial
 responsibility provisions set forth in
  5 122.42. However. EPA agrees that
 setting the permit term on the basis of.
 an estimate of the operating life of the
 facility is not the way to do it,
 particularly as the estimate could fall on
 either side of the actual date of closure.
 Rather. EPA has amended §  122.41 to     '
 require UIC permittees to give notice 180
 days prior to closure so that  the
 financial responsibility and closure
 provisions of the permit can  be
 reviewed and modified if necessary, and
 the permitting agency can be assured of
 adequate opportunity to oversee the
 termination of operations. This change
 has consequently allowed EPA to
 amend § 122,9 so that Class II and III
 wells may be permitted for up to the
 actual operating life of the facility.   ' <
    (3) Several commenters noted that
  both the lifetime and fixed-term permit
  provisions gave the Director discretion
  to issue permits for less than the full
  allowable term. EPA believes that the
  option of issuing permits for less than
  the maximum duration is necessary in
  both instances. For example. Class .II
  and III UIC wells include a wide variety
  of operations in various locations with
  differing environmental concerns. More
  rigorous oversight through a term permit
  may be appropriate because of the type
  of the well, its past operating history. ,
  and the risks to the environment which
  it may present For the fixed term
  permits, permits of less than 10 year
  durations will be a normal occurrence,
  both in consideration of varying
  environmental risks and as permit
  durations will be set to allow permits for
  the same facility to expire and be
 reissued at the same time (see 5 124.4
 and'accompanying preamble]. Another
 example of short-term permits- is the
 "short-term permit policy" for NPDES
 permits (see § 122.64). coordinating
 permit durations so as to incorporate
 BAT effluent limitations mandated by
 the NRDCv. Train settlement
 agreement

 5 122.10  Schedules of compliance,
   (1) Proposed $ 122.12 (now § 122.10) '•
 solicited comments on the possible .need
 for uniformity in two requirements for
 schedules of compliance: (a) the
 deadline for permittees to give notice of
• compliance or noncompliance (14 days
 from the compliance date for EPA
 programs, but 30 days for UIC programs
 and for all State programs); and (b) the
 maximum interval between compliance
 dates (9 months for EPA programs. 1
 year for States).
   In both  Instances, commenters heavily
 favored greater uniformity. Not a single
 State specifically commented in favor of
 the greater latitude for States which
 appeared  in the proposal As for
 uniformity among programs, almost all
 commenters stated that they favored it.
 and then went on to lend support to the
 less stringent requirements of 30 days
 and one year.
   EPA agrees with commenters that
 timing requirements associated with
 compliance schedules is an area where
one of the potential benefits of
consoIidation-Telimination of, arbitrary
differences in rejquirements snared by
several programs—can be realized.
   (a) The NPDES program, which has
had several years of experience in
monitoring permit compliance and is the
Only program covered in these. >  •
regulations with Federal enforcement
experience, has found that the 14-day
notice requirement is an important
  element of State and Regional oversight.
  In some cases delay in reporting could
  result in damage to the environment.
  Balanced against this possibility, there
  is little increased burden in requiring
  prompt notice, because notice is
  required in any event, and the permittee
  knows or should know that it is in
  noncompliance on the date specified for
  the requirement in the schedule. EPA
  has therefore determined that the
  deadline of 14 days after the compliance
  date for notice should be retained as a /
  uniform requirement for all programs  ,
  and. in view of comments in favor of
  uniformity.'for States as well
    (b) Stating a maximum time between
 , interim compliance dates limits the
  Director's discretion in writing permit
  conditions. The dates he or she sets for
  compliance will determine how soon
  information on noricompliarice will be
  received. Timely receipt of information
  is particularly important for State-
  administered programs, where EPA will
  be relying on summaries of compliance ,
  schedule violations contained in
  quarterly or annual noncompliance
 'reports. In  the interest of uniformity,
  EPA has determined that a maximum
  one-year interval between compliance
  dates is practical. Because the provision
  sets forth the maximum interval
  between deadlines, the Director is
  always free to set deadlines closer
  together when more rigorous oversight is
  important. Normally "milestone" events
  occur at intervals snorter than one year.
  Under 5 122.10(a)(3)(ii). Directors must
  require progress reports where it is
  impractical to specify compliance
  intervals of one year or less.
   (2) A comment following proposed
  § 122.12(a)  stated that NPDES new
 dischargers, sources which recommence
 discharge after terminating operations,
. and those sources which had been
 indirect dischargers which commence
 discharging into waters of the United"
 States, do not qualify for compliance
 schedules. This comment was taken
 from the language of § 122.17(f) of the
 NPDES regulations. Final § 122.10(a),
 reinstates this language as part of the
 text of the regulation rather than as' a
 comment to emphasize the regulatory
 effect of the section.
   In addition, the proposed comment to
 § 122.12(a) failed to specify that NPDES
 new sources are ineligible for schedules
 of compliance.                  '   .
  . The comment was thus inconsistent
 with 5 122.17(f) of the final June 7,1979
 NPDES regulations and with section
 306(e) of CWA. This omission has been
 corrected in the final regulations.
   Some commenters questioned whether
 the comment to proposed § 122.12(a)
 (and the corresponding provision in

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  33310       Federal Register / Vol. 45. No. 98  /  Monday. May 19.  1980 / Rules  and Regulations
   § I22.81(d)(4)) could be construed to
  mean that dischargers subject to its
  provisions are never eligible for
  schedules of compliance, even for
  permits issued after the first permit. EPA
 _ illd not intend this interpretation and
  thus has clarified'the section to indicate
  that these dischargers will be ineligible
  for schedules of compliance only for the
  first permits issued to them.
    An additional change in the text of
  final {122.10(a) [and a parallel change
  in S 122£7(d](4), proposed as
  i 12Zai(d)(4)j allows new dischargers
  which commenced discharge before
  August 13,1979 (the effective date of the
  June 7,1979 NPDES regulations), to
  qualify for schedules of compliance.
  Became a number of new dischargers •
  had begun discharge before the August
  date with EPA's consent pending
  Agency action on their permit
  applications, EPA believes it would be
  unfair to retroactively declare such
" dischargers ineligible for schedules of
  compliance.                       -
    (3) Several commenters. including the
  State of New Mexico, stated that they
  thought compliance schedules are
  unnecessary for the UIC program. This
 section will not disrupt those State-
 administered UIC programs which hare
 used compliance schedules infrequently.
 Thoso States are free to continue their
 practice of requiring full compliance on
 "startup." However, the UIC program
 does contain requirements for which
 compliance schedules may be
 appropriate. For example, although
 States may, if they wish, require even
 existing operations to stop injection
 pending permit compliance, the
 regulations require that, if States do not
 choose this route, permits for existing
 wells are at least .required to contain
 schedules for compliance with
 construction requirements: see
 S 122,42
-------
    are necessary to protection of human
    health and the environment, compliance
    may not be excused. At a minimum, a
    RCRA (or UIC injector of hazardous
    waste] permittee on a closure schedule
    should be required to meet RCRA
    interim status standards, just as a
    facility without a permit would be.
     Finally. RCRA (and certain UIC)1
    permit requirement* which pertain to
    closure and post-closure. inrlnH;^
 •   financial responsibility, are applicable
    to a closing facility, regardless of
   . whether it is on a schedule leading to
   cessation of arthritic*, and the schedule
-   must ensure compliancef trith these
   requirements.  .    .'.,•,.
     Several commenters noted that the
. - proposal required the permittee or
   applicant to decide to cease conducting"
   activities before the Director determines '
   what the compliance schedule would be
   if that decision were reversed. They
   suggested that the Director, should be
   required to determine the compliance   -
   schedule first to help the permittee make
   a decision. EPA has not accepted this
   comment However, where new permits
"  are at issue. EPA encourages permittees
   to contact their permitting agencies to
   discusi compliance schedules and work
   out compliance or closure alternatives.
   Where existing permits are concerned.
   the paragraph is designed to give the
   Director an optional mechanism for
  modifying permits when the permittee
  has made the decision to terminate.
  Presumably such a permittee already
  knows what its schedule leading to
 compliance looks like.
    EPA has not retained the language of
 the proposal which coupled the
 cessation schedule to compliance with
 the closure requirements by the
 "predicted closure date." Instead, the
 final provision requires timely
 compliance in general, thus eliminating
 any implication that only the closure
 requirements are of concern when a
 facility is on a closure schedule. Also.
 several comraentera suggested that the
   predicted closure date" should be
 predicted by the permittee or applicant
 rather than the Director. As discussed
 above, the end date of any-schedule
 leading to cessation is appropriately
 determined through the permit-issuance
 process.
   Some comments expressed concern.
 that the schedule leading to closure of a
 RCRA facility did not adequately
 address the requirements which pertain
 to closure itself and post-closure. As the
 provision is now written, it refers to
 "cessation of regulated activities." For a
 KCRA facility, this means ceasing to
 accept hazardous waste which, under 40
CFR Part 264. Subpart G. triggers the
    § 122.11  Requirements for recording
    and reporting of monitoring results.

     Several commenters noted the
    inaccuracy of the comment that    •
    "generally installation of monitoring
    equipment is not required under the UIC
    program" m proposed J 122.14 [now
    S 122.11). EPA has deleted the
   statement.
     Several objections werereceived that
   NPDES permittees should not have to
   refer in their discharge monitoring
   lejKula to data on internal waste
   streams and data collected by third
   parties. The comment and the
   requirement have been deleted.
    Several of the provisions which
   appeared in this section of the proposal
.   have been relocated to:follow the format
   of the final regulations. Th.e requirement
   that monitoring data be "representative?
   of the monitored activity now appears In
   § 122.7(j); recordkeeping requirements
   are also in 1122.7TJ). The requirement
   that DMRs be used for NPDES reporting
  now appears in § 122.80. Finally.
  proposed paragraph (e). which repeated
  requirements for compliance schedule
  reports, has been deleted.
    One commenter expressed concern
  that the recordkeeping and reporting
  requirements for 404 permittees in
  proposed §5 122.14 and 122.12 (now
  5 122.11) go beyond the intent of CWA,
  particularly section 303(c). However.
  under section 4G4(.)(i)(B) (andits
  NPDES counterpart, section 402{b]{2) (A)
  and (B)). one condition of State program
  approval is the State's authority to issue
  permits which apply, and assure
  compliance with, all applicable
  requirements of section 308. Section 308
  gives the Administrator authority to
  require recordkeeping, monitoring.
  reporting, and a right of entry. These  >.
 regulations comply with the statute by"  -
 establishing recordkeeping and
 reporting requirements based on those
 used by the EPA and State NPDES
programs. However, monitoring
requirements for 404 permittees may
vary in required frequency or extent as
appropriate to assure compliance with
40 CFR 230. Part 230 does not contain
specific monitoring requirements but
will be used to determine what
monitoring is appropriate.
 § 122.12  Considerations under Federal
 law.            '••'.'

  Proposed § 122£3 (now deleted)
 directed that EPA-issued NPDES permits
 be consistent with the requirements of
 several listed Federal laws and
Executive orders. Several commenters
   objected to this section because it was
   , too b.roadly ivritten. The section has
   been rewritten (as § 122.12) to eliminate
   reference to those Federal laws that do
   not require any particular action by the
   .Regional Administrator and to explain
   the relevance of the remaining laws
   listed. The provision is no longer limited
   to NPDES permits because the
   requirements of these laws may apply to
   other Federally-issued permits. This
   section does not impose any legal
   requirements beyond those imposed by
  , the terms of the laws themselves. The
   purpose, of the section is to inform the
   public and permit issuers of the
   requirements applicable to the permit
 •  programs regulated under this Part.
    EPA has under consideration inserting
   a provision requiring permit writers ».o
   comply with two Executive orders.
   Executive Order 11990 (Protection of
   Wetlands), and Executive Order  11908
   (Preservation of Floodplains). EPA
   included these Executive Orders  in  .
  proposed § 122.83. "Special
  considerations under Federal law." As
  proposed, the orders would only have
  applied to NPDES permits. A number of
 , commenters objected to this proposal on
  the grounds that the Executive orders
  were unrelated to specific statutory
  requirements in the Clean Water  Act.
   EPA wishes to reassess the    ,
  applicability of these Executiveiorders  ,
  in the context of not only the NPDES
  program, but the UIC and RCRA
  programs as welL Consequently. EPA
  invites comment on the appropriate
  scope and applicability'of the
  requirements of these two Executive
 orders as applied to NPDES permits.
 RCRA permits, and UIC permits. Any
 such comments must be submitted to the
 address listed below on or before  July
 18.1980.           •          -.'.*-
 Edward A. Kramer (EN-33GJ. Office of
   Water Enforcement, Environmental
   Protection Agency, Washington. D.C.
   204GO.
 \ 122.13  Effect of a permit.
  (1) New § 122.13(a) states, with some
 limitations, that "compliance with a
 permit during its' term constitutes
 compliance, for purposes of
 enforcement, with" the appropriate Act.
 This "shield" provision is one of the
 central features of EPA's attempt to
 provide permittees with maximum
 certainty during the fixed terms of their
 permits. (For a discussion of permit
 durations, see preamble to  § 122.9.) This
 new provision gives a permittee the
 security of knowing that, if it complies
 with its permit, it will not be enforced
 against for violating some requirement
of the appropriate Act which was not a
requirement of the permit (Of course.

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   33312
Federal Register / Vol. 45/No. 98 / Monday. May 19. 1980  / Rules and Regulations
   compliance with a permit is not a
   defense to actions brought under the
   emergency provisions of sections 7003 of
   RCRA. 504 of CWA or 1431 of SDWA.)
     A similar provision already applied to
   NPDES permits, as explicitly required by
   section 402(k) of CWA. and appeared in
   1122.65 of the proposal. Because the   .
   provision is now generally applicable.
   § 122.65 has been eliminated. For State
   404 programs. new'§ 12243(a) is
   similarly required by the explicit
   wording of section 404(p) of CWA. The
   Safe Drinking Water Act is more
   generally phrased, but there Is nothing
   in it that speaks against applying the •
   "shield" to UIC permits as well
   However, the "shield" does not apply to
   Class U or III, well UIC permits, because
   it is important to be able to Upgrade
,   permit requirements for permits which
   do not incorporate applicable
   requirements during periodic reissuance.
     Where RCRA is concerned,  authority
   for the "shield" is more complicated. As
   the preamble to the section 3004
   regulations points out, RCRA requires
   compliance by persons subject to
   Subtitle C with all the requirements of
   that Subtitle, and authorizes
   enforcement of all those requirements.
  The requirement  to obtain a permit is
  one of the section 3004 requirements, but
  nothing in the statute states that
  compliance with the permit is deemed
  compliance with other provisions of
  Subtitled
    Nevertheless, EPA believes that the
  "shield" is beneficial to the practical
  working of the RCRA permit program, as
  it is to the other permit programs. EPA
  agrees that  one of the most useful
  purposes of issuing a permit is  to
  prescribe with specificity the   '
  requirements that a facility will have to
  meet, both so that the facility can plan
  and operate with knowledge of what
  rules apply, and so that the permitting
  authority can redirect its standard-
  aetUng efforts elsewhere. If all the
  section 3004 standards were fully
  enforceable against a permitted RCRA
  facility even though they were not
  reflected in the permit (or, perhaps, not
  consistent with it), facilities would be
  exposed to unavoidable uncertainty as
  to the standing of their operations under
  the law. In addition, such a provision
  would increase pressure on EPA and'
 Slates to keep the permit conditions
 applicable to a given facility in  a
 perpetual state of re-examination. EPA's
 resources will at most be barely
 sufficient to Issue and renew RCRA
 permits, and review State permits, at the
 time of their initial issuance and
 periodic renewal. EPA and States are
 likely to make much better use of their
                          resources if they restrict examination of
                          permits between issuance and renewal
                          to monitoring compliance and taking
                          enforcement action where necessary.
                           Accordingly, in these regulations EPA
                          is announcing a principle by which it
                          will bind itself—that it will not take
                          enforcement action against any person
                          who has received a final RCRA permit
                          except for noncompliance with die
                          conditions of that permit (For reasons
                          set out at length In the peramble to the
                          section 3004 regulations, this self-
                          restriction does not apply to the interim
                          status standards applicable to facilities
                         which have not received a final permit)
                           For all programs, the shield provision
                         applies to enforcement actions by EPA
                         or an approved State, as well as to   =
                         enforcement through citizen suits. EPA
                         recognizes that the RCRA "citizen suit"
                         provision allows private enforcement
                         actions against RCRA permittees
                         without limitation. However, because
                         EPA plans to specify all the regulatory
                        "requirements applicable to an individual
                         facility in the permit for that facility, as
                         a practical matter there will be nothing
                         beyond the permit conditions for a
                         citizen suit to enforce. Indeed, if a
                         plaintiff in such a suit argued that
                         regulatory requirements outside the
                         conditions of the permit should be
                         applied and enforced, that would
                         probably amount to an improper
                         collateral attack on the conditions of the
                         permit
                          As required by CWA, the shield does '
                         not apply to section 307 toxic effluent
                         standards or prohibitions for NPDES
                         permits. In addition, although a permit
                         may specify monitoring and reporting
                         requirements, EPA believes that the
                         "shield" does not preclude it from
                         invoking its reporting and information •
                        gathering authority as specified in
                        sections 3004 of RCRA. 1445 or SDWA,
                        and 308 of CWA. which operate
                        independently of the permit document.
                        Under these authorities, the Director
                        could require a report or certain
                       . monitoring, without modifying a permit
                        and regardless of whether the permittee
                        were complying with the monitoring or
                        reporting requirements of its permit
                        However, if the changed monitoring or
                        reporting duties we're of a continuing  ,
                        nature, so as in fact to amount to a
                        modification of the duties specified in
                        the permit, the Director would be
                        required to modity the permit.
                         . EPA believes this "shield" affords
                        RCRA and UIC permittees a significant
                        degree of added certainty. It now places
                        the burden on permit writers rather than
                       permittees to search through the
                       applicable regulations and correctly
                       apply them to the permittee through its
                       permit This means that a permittee may
   rely on its EPA-issued permit docj
   to know the extent of its enforce|
   duties under the appropriate ActL
   its State issued document to the exfSJTt
   the State program has  not adopted a
   more stringent approach to enforcement.
    This new "shield" provision does not
   alter the fact that a permit may be
   modified, revoked and reissued, or
.   terminated during its term for
   appropriate causes (see preamble to
   S § 122.15 and 122.16). Most instances of
  modification, revocation and reissuance.
  or termination will be the result of
  noncompliance with a requirement of
  the permit although some causes do 'not
  require noncompliance. However,
  "failure to apply any applicable
  requirements" (proposed § 122.9(e)(6)J is
  not. as it was in the proposal, grounds
  for modifying or revoking and reissuing
  a fixed-term permit Thus, if the permit
  writer makes a mistake and does not
  include a requirement of the appropriate
  Act in the permit document, the
  permittee will neither be enforced
  against nor have its permit modified or
  revoked and reissued as a result (unless,
 .perhaps, an endangerment to human
  health or the environment can be
  shown: see § 122.16{a)(3)). In addition.
  EPA has the authprity in certain
  circumstances to "veto" a State-issj,
  RCRA permit This provision is  A
. discussed in the preamble to Parti
  SubpartB.
   This change has necessitated a careful
  rewriting and reorganization of many
  sections of the proposal. The proposal
  contained language which was
 addressed to permit writers as well as
 permittees, without a coherent attempt
  to distinguish one from the other.
 Because requirements for permittees
 were scattered through the regulations.
 a conscientious permittee might have
 felt obliged to read through all of the
 regulations in order to be sure that it
 was aware of all of its duties. Similarly.
 there was no mechanism for assuring
 that the permit writer would pick up all
 of the requirements and place them in
 the permit This is no longer.true. Rather
 than stating that "the permittee shall,"
 the regulations now in many instances
 state in effect that, "the permit shall  be
 written to require that the permittee
 shall." Likewise, the regulations have
 been structured so that generally
 applicable permit requirements appear •
in all permits, and that permit
requirements which vary from permit to
permit can be tracked through the
regulations and applied as appropriate:
see Table II and accompanying
preamble.
   (2) Proposed § 122.7(b) (now
§ 12Z13(b)) provided that a permit'

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               Federal Register / VoL 45.  No. 98 / Monday. May 19. 1980 / Rules  and Regulations       33313
  not "infringe" State or local law or  .
  regulations or preempt any duty to
  obtain State or local assent required by
 ' law- EPA cecieved several comments on
  these proposed provisions, particularly
  for RCRA fadlities.'First EPA has
  reorganized the section so that no State
  program will be required to ensure non-
- preemption as a condition of program
  approval by EPA. It is quite possible for
  a State to determine that in establishing.
  for example, a hazardous waste program
  to satisfy the requirements of the
  Federal Resource Conservation and
  Recovery Act K is preempting any local
  authority to regulate hazardous waste:
  see Rollins Environmental Services v.
  Iberrille, 13 ERG 1280 (S.Ct La.. 1979).
  The preemptive effect of State operation
  of any of the programs in these
  regulations is a matter for Federal or
  State law which EPA does not address
  one way or the other in these
  regulations..Applicants and permittees
  must find out for themselves if there are
  local laws with which they must comply.
  Second; the statement that a permit does
  not Infringe State or local law or .
  regulations remains applicable to EPA
  permits. EPA does not intend this
  provision to mean that non-preemption
  is a "precondition of issuing an EPA  '
  permit EPA's intent is that it has not
  made a determination through these
  regulations that in issuing a permit'it is
  preempting State or local requirements.
    Review of permits (proposed 5 i223).
  In the proposal, the provisions for permit
  "reviews" were of central importance.
  and retrieved an appropriately large
  volume of comment because they were
  a counterpart to the proposed lifetime
  duration of RCRA and UIC permits.
  Becaue of the fixed-term approach to
  permit duration adopted in these final
  regulations (see final § 122.9 and
  accompanying preamble), permit   ,
  reviews are no longer a central feature
  of Part 122. Although the mandatory
  five-year review for Class n and in UIC
  permits (proposed 5122.9 (a)) remains in
  S 122,9(c) (duration of UIC permits), the
  other provisions concerning review that
  appeared In proposed § § 12Z9(a). (b)
  and (c) either have been eliminated or
  are adequately covered by. Part 124.
   First (proposed § 122.9(3)). the other
  five-year reviews have been eliminated
  because all permits other than certain
  UIC permits are now for a fixed term
  and therefore will be reviewed
  automatically as a part of permit
  reissuance.                -
   Second (proposed §122.9(b)), EPA has
  eliminated mandatory "cross-reviews"
  for facilities with more than one permit
 and the corresponding provision
 (proposed § 122.9(e)(5}) that would have
  made modification of one permit
  grounds in itself for modifying any other
  permit for the facility. The "cross-
  review" provision is no longer necessary
  because of the fixed-term permit      .
  approach, and the modification
  provision has been eliminated both as
  part of EPA's attempt to narrow the
  causes for modification of a permit and
  because of commenters' objections that
  it involved "bootstrapping" me   ,
  programs onto eachother. Section 124.10
  (public notice) provides, as it did in the
  proposal, that mandatory notice of any
  permit action will be sent to any agency. t
  administering other permits under these.
  regulations for the same facility. These,
  agencies would then be free to take
  whatever permit actions would be
  authorized if any, under the statutes
  and regulations governing the programs
  they administer.
   • Third (first clau*e of proposed
  §122.9(c)). the provision that the
  Director may review a permit at any ,
  time has been eliminated. The Director
  always has authority to review a permit
  and the statement tended merely to,
  create confusion as to what EPA meant
  by "review."                     • -  ,
   Fourth (second clause of proposed
  } 122.9(c)j. it remains true that the
'  Director must review a permit when
  presented with information which, if.
 .valid, would constitute cause for a
  modification. However, the concept is
  now taken care of in final § 124.5, which
  EPA has broadened to state that any
  interested person, and not just the
  permittee, may request a modification.
  revocation and reissuance, or
  terminatjon of a permit Section 124.5(b)
  requires that denial of any such request
  must be conveyed to the requester in
  writing:  this ensures that the "review"
  "shall" take place.
   Commenters expressed a great deal of
 confusion and anxiety over what   .
 constitutes a "review." We have not
 provided a definition of review because
 EPA believes that the Director should
 determine the appropriate level of
 review. In conducting a review, the
 Director may obtain information in any
 of the ways which are authorized under
 the appropriate Acts anyway; such as
 review of the files, inspection, or
 information requests. Thus, the   .
 proposed review provisions added
 nothing to  statutory information:.
 gathering authority. "Review" describes
 what the Director always could have
 done at any time anyway. For this
 reason, EPA has also eliminated the list
 of sources  of information upon which
 the Director could base review .
 (proposed  § 122J3(d)) as misleading and
 less accurate than relying on the full
 range of statutory aumonlies. Review of
 a permit does not mean that the permit
 is automatically "reopened." but only
 that a search is conducted to determine
 whether or not it should be.
   Many commenters requested that
 information submitted by the pubiic.be
 subjected to some evidentiary
 requirement before review would be
 triggered. Although, as discussed above.
 review upon receipt of a valid public
 request is mandatory.' the Director is
 free to fashion' the scope his or her
 review according to the merits of the
 information submitted. Only if cause is
 found.are permits opened, at which time
 the draft permit and hearing provisions
 of Part 124 give permittees an .
 opportunity to provide their views on
 any contemplated action.'      :    -

 §  122.14   Transfer of permits.
   The provision on transfers jppeared  •
 in the proposal in § 122.8(e).The
 proposal stated that permits could be
 transferred only if written notice were
 given to the Director containing a.
 specific date for transfer of permit
 responsibility and if the Director failed
 to object within 30 days to the transfer*
 Tranfer of a facility was a cause for
 modification pr termination of the   •
 permit (proposed J§ 122.9f.e)(4) and
 122.10(b](4)J. Many cpmmenters
 objected that the grounds for
 disapproving a transfer and requiring a -
 modified permit or terminating the
 permit were vague, that the list of
 grounds for modifying or terminating a
 permit under all circumstances ought to
 be sufficient, and that if there are
 additional grounds that arise because of
 permit transfers they ought tp be spelled
 out and included with the others.
   The implicit assumption of many of
 these commenters is that a permit is a
 "vested" right which should be freely
 and automatically transferable along
 with ownership of the regulated facility.
 EPA disagrees  with this notion. It is.
 EPA's position as a matter of law that
 the privileges associated with a permit
 attach only to the person authorized to
 conduct permitted activities and are hot
 inherently assignable. Many States
 preclude any permit tranfers and require .
 the new facility owner to apply for and
 obtain a new permit in all instances.
  As a practical matter, permits in many
 instances contain requirements which
 are personal to'the permittee through the
 explicit conditions required to be   '   ,
contained in the permit This is most
significantly true for RCRA facilities and
UIC wells injecting hazardous wastes.
Consequently, for these facilities in
every case, and for other UIC facilities
and NPDES facilities as appropriate, .a
modification of the permit is necessary

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    33314       Federal Register / Vol. 45. No.  98 / Monday. May 19. 1980 / Rules and Regulations
                ^	°	
  * to reflect the new ownership or
    operational control of the facility.
    although EPA has attempted to draft
    these requirements to achieve the least
    possible burden on property
    transactions consistent with adequate
    transfer of permit responsibilities.
      First EPA has retained the essential
    features of the proposal for NPDES
    facilities and UIC wells not injecting
    hazardous waste. Permits for these
    facilities may be transferred
    automatically, without requiring any
    affirmative act by the Director, but only
    if a written agreement for transfer of
    permit responsibilities I* sent to the
    Director. The agreement no longer
    requires specific provisions as to
    liability for events occurring before and
    after the.transfer, but only an agreement
   as to liability between the parties. For
   UIC facilities, the notice to the Director
   must also demonstrate that the
   requirements for financial responsibility
   will be met by the'new permittee.
   Finally, the director must have the
   opportunity to require that the permit be
   modified to reflect the change in
   ownership or operation. In many cases
   the Director may feel that it is desirable
   to require the prospective new permittee
   to submit a permit application: see *
   preamble to 5 122.15(b}.'
    For permits that are* automatically
   transferred under this provision, the
   transfer-based cause for modification or
   revocation and reissuance
   (1122.15(b)(2)) survives the transfer, so
   that the Director can later modify the
   permit to reflect the new realities of the
   operation without holding up the
   transfer. However, after an automatic
   transfer.is effective the permit will not
   be reopened to revoke and reissue the
   permit unless the permittee requests or
  agrees. Otherwise, the new permittee
  would be subject to having its entire
  permit rewritten at any time regardless
  of its relevance to the change brought
  about by the transfer. This is contrary to
,  the certainty which th'ese regulations
  attempt to give permittees during their
  fixed-terra permits. Of course, the
  transferred permit may also always be
  terminated for cause, such as violation
  of the financial responsibility
  requirements.
    Second, for RCRA facilities and UIC
  wells injecting hazardous w.astes. EPA
  has determined that in all cases it will
  be necessary to modify the permits upon
  transfer of ownership or operational
  control of a permitted facility or activity.
 This provision is also applicable to 4O4
 permits. This is necessary because these
 permits, unlike NPDES permits or
 certain UIC permits (other than the
 provisions for financial responsibility),
   contain conditions which are personal to
   the permittee and which necessarily
   must change when the permittee
4   changes. These include such conditions
   of the permit as the closure and post-  •
   closure plans, the contingency plan, and
   provisions for financial responsibility. In
   addition, because some of these   '
   conditions are incorporated in the
   permit on the basis.of information which
   is submitted as part of the permit
   application, in most of these transfers a
   new permit application will be
   necessary as well. A new application
   will always be required when the permit
  is revoked and reissued However, there
  may be some instances, such as a
  corporate-subsidiary transfer, where the
  modification would require no.,.	
  substantive changes in permit
  conditions but merely an updating to
  reflect the identity of the new owner or
  operator. In these cases, the transfer
  could be processed as a minor
  modification under 5 122.17{d) if the
  Director receives an agreement for
  transfer of permit responsibilities. EPA
  believes that such an agreement is
  necessary even in these situations in
  order to asure adequate continuity of.
  permit responsibilities.
    This provision does not cover
  transfers of facilities under RCRA
  interim status. Provisions for such
  transfers may be found in § 122.23.
    Because permittees need to know
  what provisions apply to permit
  transfers, final 5 122.7(1)(3) now states
  that "this permit is not transferable to
  any person except after notice to the
  Director." The Director shall then
 proceed under the provisions of, 5 122.14.
   Under this scheme, transfer in itself
 will no longer be a cause for termination
 of a permit Rather, the permit will either
 be automatically transferred; transferred
 after a required modification or
 revocation and reissuance; or the permit
 will not be transferred but will remain
 with the prior owner or operator of the
 facility, and the new owner or operator
 of the facility will be subject to
 enforcement for operating without a
 permit
   EPA believes that in some instances
 final § 122.14 may be less burdensome
 than would have been possible in the
 proposal. For example, in the proposal
 an agreement for transfer of permit
responsibilities was necessary in every
instance  of a transfer of a RCRA permit
In the final version, this is not necessary
unless the transfer is to be handled.as a
minor modification. Also, in the
proposed provision for automatic
transfers, a new application was
required whenever the Director objected
to the transfer. Under these final
  regulations, a permit may be modjJlfik
 , without requiring a new applicatilHB

  § 122.25  Modification or revocation
  and reissuance of permits.
    EPA has rewritten the permit
  modification section in two ways as part
  of the effort (see also §§ 122.9 and 122.13
  and accompanying preamble} to provide
  greater certainty to permittees during
  the  period when they hold permits and
  thereby make it easier to make business
  decisions and obtain financing. First
  EPA has narrowed the circumstances
  under which a permit may be modified
  during its fixed term. Second. EPA has
  narrowed the scope of the changes that
  can  be made when a permit of fixed but
 not lifetime  duration is reopened during
 its termr-
    (1) The causes for modification have
 been narrowed. Normally, a permit will
 not be modified during its term if the
 facility is in compliance with the
 conditions of the permit. The list of
 causes for modifying a  permit is narrow:
 and  absent cause from  this list, the
 permit cannot be modified. (However,
 State programs may always be-more
 stringent than these requirements arid
 an approved State program could
 provide additional causes.) In addition,
 certain "minor" modifications (§ 122^8
 .can be made, with the consent of t
 permittee, absent cause from the
 5122.15.
   First (see § 122.15(a)(l). proposed
 S 12Z9(e)(l)). a permitted facility may
 change its operations in ways that were
 not contemplated in the original permit
 but which require regulation. This is one
 instance when compliance with a permit
 should  not insulate the permit from
 modification. While in many'cases a
 change in operations will violate the
 permit (giving rise to cause for
 modification  under § 122.15(b)(l)), in
 other cases activities not limited in the.
 permit will arise after the permit was  •
 issued.  If permits could not be modified
 for such reasons then  permits would
 have  to be written to prohibit all
 activities not specifically limited in the
 permit  With such a requirement
 permittees would never be sure what the
 scope of permissible activities is under
 their permits. (State 404 permits.
 however;, authorize only a specific
 activity for what is normally a shprt
 period of time and activities not
 authorized in the permit  are prohibited;
 see §  123.97(b).) For NPDES. see the
 related causes for modification
 discussed below under.
 § 122.1S(a)(S)(viii) and (ix). Permittees
have a duty to report all  changes ii
physical facility, and all  other cha
that may result in noncompliance,
§122.7(1).

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                Federal Register / Vol. 45, No.: 98  /  Monday. May 19. 1980 / Rules and Regulations
                                                                        33315
     Second (see §.122.15(a)(2). proposed
   S 122.9(e)(2)), the Director may receive
.   new information which justifies
   applying conditions different from thos«
   in the permit However, except for Class
   II and in UIC wells, this cause is limited
   .by requiring that the information must
   not have been available at the time of
   permit issuance. Otherwise, this cause
   would allow the permit writer to modify
;  a permit because a mistake was made at
   the time of issuance by failing to
   Incorporate applicable requirements into
   the permit However, except for Class H
   and III UIC wells. EPA has rejected the
   idea that mistake should be a grounds
   for modifying a permit (see also
  preamble to §122.13). In addition, the
  cause is limited.by requiring that the
,'  information would have justified the
  application of different permit
  conditions at the time of permit
  issuance. Stating the date  of issuance as
  the reference point is necessary to
•  prevent using this cause to modify a
  permit because, of changed regulations
  or standards against the will of the
  permittee (prohibited by §122.15 (a)(4).
  discussed below] by citing information
  used in setting a new standard or
  regulation. The new information must
  have justified the application of permit
  conditions under the regulatory
  requirements that were applicable at the*
  time of permit issuance. (Hovvever. new
  toxic standards or prohibitions under
  section 307 of the CWA and new
  conditions provided for by a reopener.
  clause are an exception for NPDES and
 404.)
   A special case of "new information"
 is information thai cumulative effects of
 activities authorized by a NPDES or 404
 general permit or UIC area  permit are
 unacceptable. Thus, for example, any
 new information indicating that the
 effects of a 404 general permit are more
 than the "minimal adverse
 environmental effects" allowed by CWA
 section 404(e}(l) would be grounds for
modifying ithe permit  •
   Third (see § 122.l5(a)(3). proposed
 § 122.12 (a), (b) and (c)). provisions for
modifications of compliance schedules
which formerly appeared only in the
compliance schedule section are also
causes for modification of a permit
during its term and consequently are
listed here.                   ,
   Fourth (see § 122.15(a)(4); proposed"
9 12Z9(e)(3)J, standards and regulations
covering the permitted activity may
have changed since issuance of the
permit. As part of its attempt to provide.
permittees with maximum certainty and
protection.from regulatory change
during the terms of their permits. EPA
has limited this cause to instances when
   modification is requested by the      "
   permittee. This limitation formerly',
   applied only to NPDES permits: it is now
 ;  applicable to all fixed term permits.  '
   Because Class n and Class III Wells
   under the UIC program may be issued
   lifetime permits, it is necessary to retain
   authority to reopen them on the basis of
   regulatory changes during the life of the
   permit; therefore,  the requirement for a
   request does not apply to 'these wells.
    Fifth (see § 12ZlS(a](5). proposed
   § 122.73), several causes for
  modification are unique to  the NPDES
  program and formerly appeared in the
  NPDES subpart They have been moved
  to § I2Z15(a)(5) and expanded to
•  include other causes for modification •
  scattered throughout the proposal, to.
  provide the reader with a complete list
  of all causes for modification in one
  place.    ....,'
    Two new optional causes for
  modification which appear in the
  NPDES list (§§  122.15(a)(5)(viii) and (ix))'
  concern pollutants listed on the new   .
  NPDES application form. These causes
  are included in  the final regulations as
  the result of a change in the Agency's
 approach toward controlling pollutants
 not limited in permits. Undfer proposed
 S 122.88(a). which appeared in Part III of
 the June 14.1979 Federal Register (44 FR
 34393). a permittee was limited to five
 times the levels or  the detection limit of
 all pollutants reported in the application
 form but not otherwise limited in the
 permit Under the proposal,  the Director
 had the authority to modify the permit
 when these "application-based limits"
 were exceeded,  because violation of a
 permit limitation is grounds  for permit
 modification. In response to a large •
 number of comments, EPA had modified
 the proposal by  using the levels of
 pollutants reported in the permit
 application as the basis for a   :
 notification requirement only, s'ee
 §122.61(a). Therefore, the Director can
 no longer modify (or revoke and reissue)
 the permit in this case for
 noncompliarice. Rather, the first new
 optional cause for modification was
 established under § 122.15(a)(5)(viii).
This cause arises whenever the level of
discharge of any pollutant not limited in
the permit exceeds the level attainable
by the installation of Best Available
Technology (BAT) for treatment of
discharges. (When the level of discharge
of a pollutant exceeds five times the
level reported in the application form,
but does not exceed BAT-level
treatment the Director may modify the
permit to establish a new "notification
level" under § 122.15(a)(5)(x).) The
Director is not required to modify the
permit unless he or she determines that
   modification is necessary to control the
   discharges of the pollutant. A more
   detailed discussion of the new  •'
   regulations and the comments received
   on the proposed  application-based limit
   appears in the preamble to the public
   notice of the consolidated application
   forms in today's  Federal Register.
    The .second new optional cause for
   permit modification appears in
   § 122.15(a)(5)(ix). It allows the Director
   to modify the permit when the permittee
  begins or expects to begin to use or
  manufacture any toxic pollutant (listed
  under section 307(a) of CWA) which it  '
  did not report using or manufacturing in
  its permit application. This provision
  supports other new regulations requiring
  NPDES permits to control any  toxic
  pollutant used or manufactured by the '
  permittee. Dischargers are required by  •
  5 122.53(d) to report these pollutants in
  their permit applications and by'  •
  § 122.61(a)(2) to hotify the Director of
  any new pollutants used or
  manufactured thereafter. The Director is
  not required to modify the permit unless
  he or she determines that modification is
  necessary to control the discharges of
  these pollutants. A more detailed
  discussion appears in the preamble to
  the public notice of the consolidated
  application form.   .     ,
    (2) To narrow the scope of changes
  that can be made  in the permit  once
  cause is found, the causes for  " •
  modification only  (final § 122.15(a),
  discussed in paragraph (1) above) have
  been distinguished (except for Class II
  and III  UIC wells)  from causes which
 can give rise to either a modification  or
 a revocation and reissuance (final
  § 122.15(b)). When a permit is modified.
 only the permit conditions to.be
 modified may be reopened (see  § 124.5).
 When a permit is revoked and reissued.
.the entire permit must be reopened and
 the reissued permit must incorporate all
 currently applicable requirements (see
 § 122.8). ("Revoca tion" is used in these
 regulations only as part of this
 "revocation and reissuance."
 "Revocation" of a permit under  section
3008 of RCRA is a form of termination in
these regulations.)  If the Director could
use any cause for modification as an
opportunity to open the entire permit to
scrutiny and modification, it would
defeat the purpose of fixed-term permits
coupled with security during the term for
permittees. It would also defeat  any'
narrowing of the causes for
modification, because a modification not
otherwise authorized could be
bootstrapped onto one that is.
  However, a permittee is always free
to request a revocation and reissuance
rather than a modification. See § 124*5.

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   33316
Federal  Register / Vol. 45.  No. 98 / Monday. May  19, 1980 / Rules and Regulations
   \Vhen the permittee requests, the
   Director is free to revoke and reissue the
   permit for any cause in 5 I22.15(a)
   which la otherwise limited to
   modification. In many instances it may
   be in the permittee's interest to request
   revocation and reissuance. For example.
   •when the remaining term of the permit is
   short, the permittee may prefer the
   certainty of a new 5 or ID-year permit
   over a limited modification to a permit
   which may be extensively revised again
   soon during the permit-reissuance
   process.
     Only two causes appear in {122.15(b).
   First, when cause For termination exists
   the Director may determine to modify or.
 - alternatively, revoke and reissue a
   permit during its term as a less drastic
   alternative to termination.
    Second, when ownership or
   operational control of a facility is
   transferred, the permit can also either be
  modified, or revoked and reissued
  (i 122.15(b)(2J);  see preamble discussion
  of permit transfers under 5 122.14. In
  many cases a modification may be •
  adequate to reflect the name ofTEe new
  permittee; for example, a transfer of
  control of a facility between
  subsidiaries of the same corporation. In
  other cases revocation and reissuance
  will be more appropriate. For example,
 for RCRA facilities..permiltees are
 required to submit a contingency plan as
 part of their Part B applications. This
 plan includes such matters as a list of
 names, addresses and phone numbers of
 all persons qualified to act as facility
 emergency coordinators. Once the
 permit application is approved this plan
 becomes part of the permit There are
 several similar items which are
 submitted as part of the RCRA permit
 application. This information should be
 provided by the new applicant. As a
, result, a permit application followed by
 issuance of a new permit with a full
 term may be more appropriate than a
 simple modification of the prior permit
 Similarly, a new permit application to
 assure an updated plugging and
 abandonment plan (I I22.42(a)) may be
 appropriate for any UIC facility.
   Likewise, existing industrial NPDES
 permittees are required to predict in
 their applications any expected levels of
 poUutanta in their effluents which may
 over the next five years {the duration of
 the permit) exceed the levels found
 through the required testing, and to list
any toxic pollutants which they
presently use or manufacture or expect
that they will during the next five years.
Because these predictions should be
based on knowledge of what types of
operations are expected to be conducted
over the next five years, it may be
                          appropriate for the new permittee to be
                          required to provide this information in a
                          new permit application, and revoke and
                          reissue the permit      •  •
                           (3) In order to further narrow the
                          scope of permissible permit
                          modifications, part of the preamble to
                          the proposal has been moved to the. text
                          of the permit modification section.
                          which now states that for RCRA and
                          UIC, "facility siting will not be
                         considered at the time of permit
                         modification or revocation and
                         reissuance unless new information or   '
                         standards indicate an endangerment to
                         human health or the environment which
                         was unknown at the time of permit
                         issuance."This statement emphasizes
                         that siting conditions in a permit will not
                         normally be modified as.a result of....
                         permit review; and limits the
                         circumstances where the permit
                         termination cause of "endangerment to
                         human health or the environment" can
                         be used as a grounds for modifying
                         siting conditions. However, an
                         endangerment to human  health" or the
                         environment is still cause for
                         terminating a permit if that is the only
                         way that the threat can be dealt with.
                        i 122.16  Termination ofpetmlta.
                          In general, cotnmenters on proposed
                        5 122,10 (now 1122.16) sought greater
                        specificity regarding causes for
                        termination and less breadth in their
                        possible application, such as limiting
                        terminations to "willful! and persistent"
                        violations of a permit or Tntentional"
                        failure to disclose relevant facts. Many
                        thought abuses could result from
                        arbitrary application of the causes as
                        proposed.
                          EPA believes that causes for
                        termination must be broadly worded so
                        that a basis for initiating permit '
                        termination proceedings  is available
                        when the need is present Most attempts
                        to narrowly define the boundaries of
                        cause are inadequate because they must
                        be invoked in a wide variety of
                        circumstances depending on the
                        exercise of enforcement discretion.
                         The proposed section neglected to
                        state, that terminations are subject to the
                        same Part 124 (or applicable State)
                       provisions for notice and opportunity for
                       a hearing applicable to other permit
                       actions. This oversight has been
                       corrected. EPA believes that these
                       administrative provisions and.
                       ultimately, the possibility of judicial
                       review, should provide the protection  •
                       which commenters are seeking against
                       arbitrary application of broadly-worded
                       causes for termination. Thus, permittees
                       will have an opportunity to refute claims
                       such as that there is an endangerment to
                       human health or the environment, or
   that permit violations were signify
   The objective is not, to try to desc
   precisely the circumstances whicu^ff
   provide grounds for termination, which
   is impossible. buMo subject such
   .determinations to .the procedural
   protections of Part 124 and judicial
   review.
     Several commenters discussed the
   provisions of RCRA section 3008 as they
   relate to terminations under this section.
   EPA has concluded that the procedures
   set forth in Part 124. Subpart E. satisfy
   the requirements of section 3008 for a
   formal evidentiary hearing in cases of
   permit "suspension or revocation." The
   procedures of 40 CFR Part 22 will no
 __ longer apply to RCRA permit
   terminations.
    As noted in the preamble to the
   proposal, "termination is essentially an
   enforcement mechanism." The Director
   of a permit program must carefully
   exercise discretion in allocating scarce
   "enforcement" resources. Because of
   these limitations,on resources, it makes
.  no sense to enforce against trivial
  infractions when unremedied
  substantial infractions exist. This alone
  in most cases should prevent the.
  Director from reading the termination
  causes too broadly, It should also be
 • clear that in most cases less dfasli
  actions, such as permit modi'ficatic
  are available. Proposed § 122.9 stau^pi
  that for NPDES and 404 permits, causes
 for termination could also be causes for
 modification or revocation and
 reissuance, thereby implying that  this
 was not so for RCRA or UIC. The
 wording has been changed to include
. RCRA and .UIC This does not mean,
 however, that if termination is not
 chosen, modification is mandatory. In
 some  cases neither termination nor
 modification may be appropriate.
   Some changes in the causes for
 termination were necessary because
 they also serve as causes for modifying
 or revoking and reissuing permits during
 their terms (see §122.1S(b)(l)J. Permits
 maybe terminated even though, as now
 provided in  § 122.13, "compliance with a
 permit is compliance with the
 appropriate Act" However, if
 noncompliance with the appropriate Act
 could be grounds for termination absent
 a  permit condition which incorporates a
 specific requirement of the Act, the
 "shield" provision of § 122.13 would
 have limited effect. Consequently,
 § 122.16(a)(l) (proposed § 122.10(b)(l)) .
 has been narrowed to exclude violations
of the appropriate Act as an
independent cause for termination', i
now reads "noncompliance by the A
permittee with any condition of the
permit"

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               Federal Register / V6L 45. No. 98 / Monday. May 19. 198O / RuJea and Resolutions •      33317
     Similarly, the proposal included
   "'other good cause" as a ground for
   termination. Not only was this cause
   vague and .open-ended, but it could, in
   serving as a cause for modification.
   provide a means of circumventing the
   limitations on opportunities for
   modifying permits during their terms
   which the changes from the proposal are
   intended to provide. Consequently, this
   cause has been eliminated. In addition.
   as noted in the preamble to 5 122.14,
   transfer of ownership has been deleted
   as a cause for termination. The
   remaining causes for termination
   (misrepresentation and endangerment to
   human health or the environment) have
   been retained in their proposed form
   both because they are sufficiently '-••••'
   serious to warrant possible permit
1'  termination and because they may
  warrant modifying a permit during its
  term.'  ..'.-'...
    Several commenters noted the need to
  clarify the effect that termination of one
  permit has on other related penriits. As
  set forth in final § 124,10. termination of
  one permit triggers a notification to any '
  agency administering a related permit.
  The related permit can then be modified,
  revoked and reissued, or terminated if
  cause exists for such action. The
  reference in proposed paragraph (a) to
  partial termination seemed to imply the
  existence of one "umbrella" permit
  However, permits issued under these
  regulations are completely severable
  and an action on one has no automatic
  effects on others. The concept of partial
  termination has been deleted to avoid
  any such implication. :
   Finally, as noted in the discussion of
  final S 122.5, any cause for termination
  is also cause for denial of a permit
  renewal application^ and EPA has
  amended the section to reflect this
  determination.          '          '

  § 122.17  Minor modifications of
' permits.
   Proposed § 122.9(g) (now 5122.17}
  contained several provisions for minor
  permit modifications which could be
 made without the draft permit and
 public notice provisions applicable to all
 other permit modifications. This feature
 has been retained, with some
 reorganization and revisions. In addition
 to S 122.9(g). the proposal contained
 several minor modification provisions in
 the subparts for RCRA. UIC and NPDES.
 One source of confusion noted by many
 commenters on the RCRA provisions
 was that the two'sections appeared to
 be contradictory. All program provisions
 have now been moved to new § 122.17
 so that readers will find a complete list
 of provisions for minor modifications in
 one place.     , • .  ,
    In the proposal, a modification could
  not be treated as minor if it would
  "render the permit less stringent" We
  have deleted this limitation because it
  was vague and contradicted by other
  provisions in the proposal. Rather, any •
  minor modification on the list can be
  made without public notice if both the
  Director and the permittee  agree to the
  minor modification. If either disagrees. '
  the permit modification is not minor and
  must be for cause and with public notice
  ai required under S 122.15.
    Several commenters suggested that
  the list of minor modifications should be
  examples, rather then exclusive. EPA
  rejects the notion that the permit
  modifications which can be processed
  without any notice to the public should
  be open-ended. EPA continues to -
  believe that scrutiny by the interested
  public should be available in most
 instances, not only to lessen ,the
  possibility of objectionable changes
  being made without objection, but to
 preserve public confidence  in the permit
 system. Several other commenters
 suggested that more flexibility should be
 available to States in the scope of
 permit actions which can be processed
 ai "minor modifications." The final
 minor modification provisions'are not
 applicable to States, as they were in the
 proposal. Of course, .as with any Part
 122 requirement a State is free to have
 such provisions as a part of its program.
 However, the essential due  process
 requirements of Part 124 that were .
 applicable to States in the proposal are
 still applicable in these final regulations.
 This means that a State program .may  •
 provide for modifications to permits
 without notice (i.e., as minor
 modifications) in any situation where to
 do so would be "more stringent" (as
 discussed in the preamble to Part 123)
 than the applicable requirements of Part
 124. For most of the items in 5 122.17, a
 State program could provide for more   /
 flexible minor modification provisions
 (if consistent with due process) because
 eliminating notice and comment
 provisions would result in greater State
 control,    ..': •
   Some commenters suggested that  •
 minor modifications should be available
 to decrease permit monitoring
 frequency, rather than only to increase "'
 frequency, as in the proposal EPA
 rejects this suggestion. Any permit
 modification to require less frequent
 monitoring should be made known to
 the interested public for comment.
  Several comments were received on
 the minor modification provison for
permit transfers (proposed § 122.9(g)(4)J.
EPA has retained a provision for minor
modifications to reflect changes in
  operational control or. ownership of
  facilities. Transfers are discussed in the
  preamble to § 122.14. .
   The proposed regulations included
  special provisions on "minor
  modifications" of RCRA permits which
  would have allowed modification of a
  RCRA permit without notice and
  comment to change the types and •
  quantities of wastes treated or.to change
  treatment storage, or disposal methods
 .(proposed §§ 122.9(g)(5) and (6} and
 122.24(d)).
   These RCRA provisions have been
 deleted from the final regulations. They
 were so broadly phrased that they could
 have been used to completely change
 the nature of the permitted activity
 without putting the permitting agency
 and the permittee to the discipline "of,.
 informing the public and considering its
 views.
   There may well be cases where
 flexibility regarding these matters is "
 desirable. In those cases, it wrll.be
 perfectly possible to write  the initial
 permit so that it covers the various
 coursesofactionthatmay.be
 contemplated for the future. Where that
 is not done, the permit can still be
 modified whenever the requirements of
 S 122.15 are met
   However, for the present it would not
 be responsible for EPA to specify certain
 changes to the substance of RCRA
 permits as "minor" ones that do not
 require notice and comment. Because
 there is no experience with the RCRA
 permit program yet. EPA lacks the
 information necessary to determine
 which  changes in methods  or hazardous
 wastes would really be minor and which -
 would not be minor although they might
 appear to be.   ,           '

 S 122.18  Noncompliance andprpgram
 reporting by the Director.
  (1) Proposed § 122.15 (now § 122.18)
.has been completely reorganized to .
 bring all of the provisions for quarterly
 and annual noncompliance reports
 together in Subpart A.' Minor changes
 have'been made to achieve this
 reorganization, but it was possible only
 because the proposed RCRA and UIC
 requirements were already modeled on
 the NPDES scheme and were virtually
 identical to it The 404 noncompliance
 reporting requirements, because of the
 unique nature of that program (a large
 number of permits of very short
 duration, in most cases issued without
monitoring or compliance schedule
requirements) are somewhat different
and have been placed in separate
paragraphs ((b) and (d)).            ,
  In the proposal there was some
confusion between ''program reports"
and noncompliance reports. Because

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     33318       Federal  Register
/ Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules and" Regulations
                  ' • ' '        "   " '^^^^^^^^^^^^^^^^^"'^^••iM^^^a^^^^lMMaM^an^^^
     both reports must be prepared by
     permitting authorities (i.e.. Slate
     Directors or Regional Administrators] it
     makes sense to put Ihe-provisions
     governing them in one place so that
     Directors can easily determine what
     mports to prepare. The only exceptions
     are the "progress reports" required of
     Stales with interim authorization under
     RCRA and of States which have been
     "listed" but not approved under UIC
     (see S 123.11). These changes have
     eliminated a great number of cross-
    references and have served to increase
    uniformity among programs. Thn
    coverage and organization of the section
    Is illustrated fa Table VL •
     7«W» VL—ffoncompliance and Program Reporti
      ftoyttn
                                  Amutf
122,1 B<»)
         122.18
 reporting requirement. The information
 to be provided in the report will address
 the kinds and numbers of compliance
 monitoring and enforcement activities
 the Director has undertaken during the
 reporting period and the results of such
 activities.
  (6) The reporting year in final
 § 122.18(e)(2) has been changed from the
 fiscal year as it appeared in the proposal
 for NPDES (§ 122.72(1)) to the calendar
 year for all programs. EPA made this
 change to coincide with business
 recordkeeping practices and to
 coordinate reporting schedules  with the
requiremen ts for genera tors and
transporters under the RCRA program
as set forth in 40 CFR Parts 202  and 283.
                                                                  § 122.19  Confidentiality of information.
                                                                   Paragraph (a) of § 122.19 (proposed
                                                                  § 122.16) states that information claimed
                                                                  as confidential will be treated according
                                                                  to the EPA's rules contained in 40 CFR
                                                                  Part 2 (as amended Sept. 8,1978; 43 i
                                                                  3999). Commenters raised several  a
                                                                  questions concerning § 2.208 of thol—
                                                                  regulations. Section 2.208 sets forth tjU
                                                                  substantive criteria for use in business
                                                                  confidentiality determinations.
                                                                   First, commenters suggested (hat if
                                                                  under § 2.208(d) EPA determines that a
                                                                  statute specifically requires disclosure
                                                                 of information claimed as confidential,
                                                                 the submitter should be given notice.
                                                                 EPA agrees with this comment;
                                                                 however, no change in the regulations is
                                                                 necessary. Notice is already provided  to
                                                                 the submitter under § 2.205(f).
                                                                   Second, commenters argued that
                                                                 S 2.208(e) should be amended to
                                                                 specifically prohibit releasing
                                                                 information which would violate 18
                                                                 U.S.C. J 1905. The commenters argued
                                                                 that 18 U.S.C. 5 1905 is incorporated in
                                                                 the third exemption to the Freedom of
                                                                 Information Act (FOIA). 5 U.S.C.   •
                                                                 § 552(b)(3). EPA does not agree that 18
                                                                 U.S.C. S 1905 is incorporated in the  third
                                                                 exemption to the FOIA. Rather. EPA
                                                                 believes that 18 U.S.C. § 1905 limits the
                                                                Agency's discretion to disclose
                                                                information. EPA recognizes this in  its
                                                                definition of "reasons of business
                                                                confidentiality" in 40 CFR § 2,201(ej; As
                                                                a matter of policy. EPA does not
                                                                disclose, information covered by 5 U S C
                                                                § 552(b){4) (see 40 CFR § 2.119). EPA,
                                                                interprets 18 U.S.C. § 1905 to be witfi
                                                                the scope of S U.S.C. § 522(b)(4).

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                FecleralRegister /Vol. 45. No. 98  /  MonBay.-May 19.  1980 / Rules and Regulations
                                                                        33319
    Consequently, information within 13
    U.S.C § 1S05 would not be disclosed.
    Therefore, as a practical matter, the
    existing regulations adequately address
  •  this comment.
     Paragraph {b) of § 122.18 lists
    information specifically required by
    statute to be disclosed even if the
 .   information would otherwise be exempt
 :  from disclosure under the FOLA. Several
    commenters argued that the proposed
    section required disclosing categories of
    information not specifically required to
   be disclosed The information entitled to
   confidential treatment varies under each
   of the statutes covered by these
   consolidated regulations. Generally.
   information concerning trade secrets or
   secret processes is not to be disdosed:
   However, under section 402 of the  Clean
  '.Water Act. NPDES.permits and permit
   applications must be available to the
   public. Section  308 of (he Clean Wa ter
   Act .provides that effluent data related
   to NPDES and 404 permits also are not
   entitled to confidential treatment.
   Section 1445(d)(2) of the Safe Drinking
   Water Act provides that information
   related to UIC permits which deals with
   the level of contaminants in drinking
   water must be. disclosed. Paragraph (b)
  of 5122.18 has been rewritterrto
  recognize these specific statutory
  directives. EPA  has deleted the
  provision which would have
  automatically required denying claims
  of confidentiality for information
  contained in all  draft permits;
  statements of basis: fact sheets:
  comments: and,  in the case  of all permits
  other than NPDES permits, permit
  applications and permits.      ,  :,  •
    Data which are not specifically listed
  in paragraph (b) will be disclosed to the
- public under the.prqcedures discussed
  in § 122.18(aJ. If no daim of
  confidentiality U asserted at the time of
  submission. EPA may make the
  information available to the public
  without further notice. If a daim of
  confidentiality is asserted, the
  information will be disdosed only in
  accordance with the procedures in 4O
  CFR Part 2. These procedures require
  that if EPA proposes to disdpse any
  information daimed as confidential.
 EPA must give prior notice to the
 submitter. Therefore, if information is
. claimed as confidential in, for example.
 an. application for a permit under RCRA
 and EPA proposed to include the
 information in a*fact sheet or draft
 permit, EPA will  give prior notice  to the
 submitter. Because of the importance of
 public participation in the permitting
 process. EPA will make every effort  to
 prepare draft permits and fact sheets
 which contain meaningful information
   while still preserving a submitter's valid
   claims of confidentiality, if any. In the
,-'• case of NPDES permits, because the
   permit application itself can not be
   daimed confidential, information
   contained in the application may be
   disclosed as part of a fact sheet or draft
   permit as appropriate. Moreover much
   of the data in the permit application is
   "effluent data" within the meaning of 40
   CFR S 2.302(a](2) and therefore would
   have to be disclosed, under section 308
   of CWA.      -                 •
    Under each of the statutes covered by
   these consolidated regulations, EPA
  may disdose confidential information
 . when relevant in any proceeding under,
  the particular statute. If EPA determines
  that it is necessary to disclose otherwise
  confidential business information in a
  permit proceeding. EPA will follow the
  procedures contained in 40 CFR
  I 2.301 (g) {Clean Air Act) as
  incorporated by reference in § § 2.302(gl
  (CWA). 2.304fg) (SDWA), and 2.305(g)
.  (RCRA). Questions concerning the
  entitlement of data to confidentiality
  will be addressed to the maximum
  extent possible before initiation of the
  public participation procedures under
  Part 124.
    In the case of NPDES permit
  applications, paragraph (cj provides that
  no information on the NPDES permit
  application forms provided by the
  Director may be daimed confidential
 This indndes information submitted in
  the forms themselves and in any
 attachments required by the forms.
 Under CWA section 402(j).  information
 contained in NPDES permit applications
. is not entitled to confidential treatment
 and EPA has made class determination
 that any claim of confidentially for
 information contained in the NPDES
 permit application forms will be denied.
 Class Determination 1-78 dated March
 22.1978. Because by statute altthe
 information contained in the NPDES
 permit application forms must be    •
 disdosed to the public, there is no
 reason to allow persons to claim the
 contents of the NPDES application form
 as confidential. Such a provision would
 only cause delay in the availability to
 the public of the NPDES permit
 application form in contravention of the
 dear purpose of section 402fJ) of the
 CWA. Section 122.19(c] refers to the
 requirement in §§ 122.3 and 122.53 that
 the Director provide application forms.
 Section 122.19(cJ does not apply to any
 information submitted to EPA which
goes beyond that required under
 § 11224 and 122.53 on the NPDES
'application form; claims of.
confidentiality may be asserted for such
information and will be handled under
  40 CFR Part 2. Claims of confidentiality
  for "effluent data" will be denied.
    In the case of RCRA permit
  applications, paragraph (d) provides that
  at the time an application is submitted.
  the applicant must subsantiate all'  '
  claims of confidentiality. This is done by
  answering.the six questions in the
.  instructions to the form. If an applicant
  asserts a claim but fails to submit any
  substantiation, it will be given an
  opportunity to correct.this mistake
  before the Director releases the
.  information. EPA or the State will
  review claims of confidentiality and
  deny any daim if it finds that disclosure
  of the relevant materials would not
  reveal confidential business ..  .'  .
  information. Under the RCRA section
  3010 procedures for the notification of
  hazardous waste activity, owners and
  operators were also required to
  substantiate a daim of confidentiality at
  the time of submitting the information.
  (45 /TJj.12748, February 26.1980.)
    There are several policy and
  administrative reasons for requiring
  substantiation of a claim of
  confidentiality at the  time of submitting
  the information. These include the need
  to provide non-confidential information
  on the RCRA permit application to the
 public, to provide the Director with
 information necesary to make
 confidentiality determinations, and to
 inform the submitter of the criteria that
 the permitting authority will use in
 making its determination.
   Under RCRA and FOIA. EPA has an
affirmative duty to make non-.,.,
confidential information available to the
public. Given the public interest in the
RCRA program. EPA expects a great
number of requests for information on
permit applications under RCRA.
Moreover, under the permit-issuance
procedures of Part 124. EPA must
prepare a draft permit and a statement
of basis or fact sheet If EPA did not
require substantiation at the time a  ,   -
RCRA permit application is submitted,
EPA would have to contact the-
submitter to request substantiation
every time a claim of confidentiality
was m'a'de. This would be a significant
administrative burden. Under the final
procedure, however, no additional
burden will be placed on permit
applications because EPA would have
requested substantiation of the daim in
any event In fact, applicants will now
have as much as six months to prepare
their substantiation, instead of the 15
business days otherwise allowed by the
Agency's business confidentiality  . "
regulations.     ;
  The final approach will provide the
Agency and Slates with all the   '  -,'
information they need  to make

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   33320       Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules and Regulations
   confidentiality determinations upon
   receipt of a RCRA permit application.
   Thus, if Ihe Director wishes to make a
   determination of confidentiality (either
   on its own or, for EPA, in response to an
   FOIA request), there will be significant
   savings in time. In the case of permit
   applications, it is especially important to
   settle any confidentiality issues early
   because permit procedures In Part 124
   applicable both to States and EPA
   anticipate public Involvement That
   process can not effectively proceed until
   confidentiality issues, if any. are settled.
    The final scheme also has the
   advantage of directing the submitter's
   attention to the type of substantiation
   the Director must have to grant     „ • .
   confidentiality claims. This should
   reduce uncertainty for the submitter and
   result in defensible rather than
   unwarranted claims. The requirement to
   submit substantiation at the lime of
   filing the permit does not change  the
  substantive criteria for determining
  whether information is  entitled to
  confidential treatment
  Subpart B—Additional Requirements for
  Hazardous Waste Program

  i 12221 Purpose and scope of Subpart
  &

   EPA has reorganized this section to
  provide an orientation to the RCRA
  Subpart similar to orientation sections
  added to the other Subparts; to provide
  a dearer picture of the relationship
  between the consolidated regulations
  and the technical RCRA regulations (40
  CFR Parts 260 to 268); and to provide a
  narrative of the basic requirements of
  the RCRA permit program. A chart
  showing the CFR number, date of
  Federal Register publication, and
 subject matter of each major portion of
.the technical RCRA regulations has also
 been included. Detailed elements of the
 permit program are specified in   *
 subsequent sections. Proposed § 122^2,
 (Authorization), has been incorporated
 into the new f 322£l(b). Section
 122£l(c) provides a brief overview of
 the RCRA permit process. The-
 application procedures for existing and
 new facilities are explained.
   (1) Inclusions and Exclusions.
Paragraph 12Z21(d) (proposed
 1122£l(c)) lists some activities and
facilities which are included and
excluded from the RCRA permit
application requirement. The inclusions
are not an exhaustive list, but focus
attention on certain activities which
may also have permits under other EPA
programs. The exclusions list activities
exempted by the other RCRA
regulations.
     A number of comments suggested
   excluding from the RCRA permit
   requirements treatment, storage and  •
   disposal facilities handling various
   types of wastes, such as petroleum '
   wastes, domestic sewage sludge,
   industrial sewage sludges, other
   industrial sludges, and small quantities
   of wastes. They suggested that certain
   wastes had a low degree of hazard, that
   others were not covered by the RCRA
   definition of solid waste, that certain
   wastes were similar to other excluded
'   wastes, and that there would be adverse
   economic impact if facilities for such
   wastes had to comply with the RCRA
   requirements. These are issues which
   pertain to the RCRA section  3001
  regulation for the identification of
  hazardous wastes and the section 3004  •
  regulation for standards for hazardous
  waste management facilities, and will
  be addressed in the rulemaking on those
  sections. The one exception concerns
  dissolved material in domestic sewages.
  which is discussed below.
    (2) Coverage of NPDES Surface
  Impoundments. Proposed § 122.21 would
  have required a RCRA permit for any
  surface impoundment associated with a
  wastewater treatment plant other than a
  POTW that treats or stores hazardous
  waste. Virtually every aspect of this
  proposal proved controversial.
   Many comments were received stating
  that such impoundments at facilities
  having NPDES permits should be
  excluded from the RCRA permit
  requirements. Some argued that there
  was no basis for requiring NPDES
  Industrial surface impoundments but not
. surface impoundments at POTWs to
 obtain a RCRA permit Others argued
 that NPDES surface impoundments ..   .
 should be issued a permit-by-rule like
 POTWs.
   The proposed exclusion of surface
 impoundments at POTWs was based
 upon the RCRA definition of solid waste
 which excludes solid or dissolved
 material in domestic sewage.
   As the preamble to the section 3001
 regulations explains in detail. EPA has
 re-examined this question in the light of
 comments received.
   That re-examination has led EPA to
reaffirm its original conclusion that
material which is (1) mixed with
domestic sewage in a sewer and then (2)
discharged from the sewer into a POTW,
is exempted by the statute from
treatment as soild waste. This
conclusion is being promulgated in •
interim final-form. Additional comments
on it are invited and will be considered.
  That conclusion leaves open two
questions concerning the coverage of the •
RCRA permit requirements.
     The first concerns-what happens
   when hazardous wastes are discha'
   into a POTW without losing their ^
   hazardous character by being mixeo
   with domestic sewage in a sewer.1 For
   example, the hazardous wastes might be
   dumped into the POTW from a truck or
   tank car, or they might be discharged .
   into it from a pipe which carried only
   industrial wastes and did not carry
 .  domestic sewage.
    In these cases the basic logic of the
   argument for exempting "dissolved
   material in domestic sewage" still holds.
  The wastes will be placed in a facility
   that is subject to a pervasive set of
  Federal regulatory and subsidy
  provisions (including the pretreatment
  program) that should be sufficient to
  deal with any hazardous waste
  problems by themselves. Accordingly, in
  these cases the POTW receiving the'
  waste will be granted a permit by rule
 . (5 122.26(c)). The permit by rule is
  necessary.to  ensure that any applicable
  manifest is returned and the formal
  requirements of RCRA are otherwise
  satisfied.
   The second question is whether a
 hazardous waste which has come under
  the manifest system may be deposited
 into a sewer, become mixed with
 domestic sewage, and thereby lose its
 hazardous character. -             ^
   The answer to this question is "f
 Manifested wastes may only be     ._
 delivered to an approved HWM facility,
 and sewer systems will not be  approved
 for that purpose. Sewer systems are
 obviously not HWM facili ties in any
 normal sense of the word, and  there is
 no assurance that wastes deposited in
 them would be treated, stored or
 disposed of in a manner consistent with
 the purposes of RCRA. Such disposal
 would be significantly harder to regulate
 under existing authorities than  disposal
 directly into the  POTW. Congress when
 it created an exemption for dissolved
 material in domestic sewage had in
 mind avoiding disruption of the existing
 patterns of funding and operation of
 POTWs receiving waste from "indirect
 dischargers," not allowing additional
 unregulated discharges by those not
 currently making use of the treatment
 system.
   Comments also stated that NPDES
 surface impoundments should not be
 required to obtain a RCRA permit
 because they pose no threat to human

  'A facility which is not a POTW that received
 hazardous waste in any form, whether or not mixed
 with domestic sewage in a sewer, is subject to the
 full range of RCRA's regula lory requirements.
 However. If such a facility receives only domes
 sewage it is of course exempt from RCRA
requirements altogether because domestic se-
not classified as a hazardous waste.

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                Federal Register / Vol. 45. No. 98  /Monday. May 19. 1980 / Roles and Regulations       33321
   health and the environment or should
   not have to obtain a'permit where .the
   owner or operator can demonstrate that
   no harm to groundwater will occur. •
   Others stated that requiring NPDES
   surface impoundments to obtain RCRA
   permits would be very costly arid force
   major retrofitting or abandonment of
   such facilities. These comment* address
   the need for and nature of the technical
   standards for surface impoundments
   and are in fact comments on the RCRA
   section 3004 standards for treatment.
   storage and disposal facilities, rather
 .  than comments on the applicability of
   the permit program.
   ; As the preamble to those regulations
   explains. EPA has significantly amended
•   these requirements to reduce to a
   minimum the need for burdensome
   retrofitting. However, as explained*
   below, these facilities cannot be
   completely exempted from RCRA
   coverage because of their potential for
   causing air pollution or groundwater
   pollution which cannot be" remedied
   under the NPDES permit
    Commenters also argued that NPDES
   surface impoundments were adequately
   controlled by .various programs under   •
   the Clean Water Act such as the NPDES
•  and BMP programs. Comments also
   stated that the requirement for a RCRA
  permit was inconsistent and duplicative
  of the goals and regulations of the Clean
  Water Act EPA has considered all of
  these arguments but believes that a
  RCRA permit is necessary for these
  facilities. Limitations imposed in NPDES
  permits are directed toward the quality
  of discharges to surface waters. Hie
  technology to achieve the limitation may
  require construction of surface
  impoundments, although the objective of
  such construction is to assist in the
  ultimate'prevention of pollution of
  surface waters. Improper containment of
  waste's in surface impoundments may'  '
 . result in pollution of groundwater and a
  series of other advene human health
  and environmental impacts. These types
  of problem* are not directly addressed
  through NPDES permits; but are directly ,
  regulated under RCRA. The CWA does
  not provide authority to set standards
  for construction of impoundments to
  prevent groundwater pollution but
  standards for snch construction are
  specifically provided for in section
  3004(4) of RCRA. Further, leaving
 resolution to BMPs under CWA will riot '
  solve the problem, as BMPs are. directed
 'toward controlling only designated
 pollutants under sections  307 or 311 of
 CWA and only so far as they may reach
 a navigable water. Therefore both
 NPDES and RCRA permits are
 necessary for such facilities, because
  each permit program is directed toward
  coniroljof different types of pollution.  •
  Any potential inconsistency and
.  duplication can be minimized if ike
  permit programs are consolidated as
  provided for in these regulations.
    Cbmmenters suggested that coverage
 • of surface impoundments (proposed
  5 122^1 (c)(3)) should be clarified to
  state that RCRA permits should only be
  required for surface impoundments if the
  water is hazardous at the point of
  discharge, regardless of the condition at
  the point of entry to the system. The
  proposal stated 
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   33322
                                     .                                       •

Federal  Register / Vol. 45. No. 98 / Monday.  May 19. 1980  /  Rules and Regulations
   listed fAs noted above. EPA intends to
   list or designate additional wastes as
   hazardous in June of this year.)
     A more flexible rule applies for Part B
   of the application. EPA will apply any
   new requirements that become
   applicable before a final permit is*
   issued, but no set procedures or filing
   requirements are prescribed to be
   followed in such a situation. The normal
   notice and comment procedures, and
   where necessary {124.14. provide
   enough flexibility to cope with any
   particular situations that may arise. For
   example, if a significant number of new
   wastes were listed and a facility with a
   permit application under consideration
   was treating, storing, or disposing of
   them, EPA could require submission of
   an updated permit application under
   § 124.14.
    (2) The Two Part Application Process.
  Several commenters objected to the two
  part application prscess, some claiming
  that there was no authority for such a
  process. Others felt that the Part A
  application should obtain much more
  Information such as hydrogeological,
  geological and climatological data or
  information to determine compliance
  with the interim status standards.
  Commenters  also stated that the
  information contained in Part A was not
  sufficient to establish permitting
  priorities.
   Despite these comments EPA has
  decided to maintain the two part
  application process for existing
  facilities. EPA believes this approach is
  legally Justified and that the policy
  arguments for it are conclusive.
   Nothing in RCRA requires that all the
  Information for a final decision be
 submitted as part of the "application"
 needed to trigger interim status. In many
 permit proceedings significant new
 information is likely to come in during
 the public comment period or at the
 public hearing well after filing of the
 application and thereby affect the final  •
 conditions of the permit
   Indeed, the statute itself recognizes
 that considerable supplementing of the
 Initial "application" may be required
 before a final decision when it provides
 for revoking interim status (which, of
 course, can only be granted upon the
 filing of an "application") for failure to
 "furnish [further] information
 reasonably required or requested in
 order to process the application." RGRA
 section 3005(d).
   Beyond this, RCRA contemplates that
 facilities will be able to qualify for
 "interim status" by filing within six
months of issuance of the 3001
regulations, even though affirmative
EPA action on those permits may not
take place for an appreciable time
                          thereafter. EPA expects that in the light
                          of the magnitude of the regulatory
                          program now being started, many
                          facilities may not receive their final
                          permit for several years.
                            Accordingly, EPA has designed the
                          application requirements to fit the
                          overall structure of the program which
                          they serve. The Part A application is
                          designed to enable facilities to qualify
                          for interim status within the six months
                          filing deadline, and to provide EPA with
                          information that will be useful to
                          determine,in which instances to move
                          on to the next stage by requiring
                          submission of a Part B. The alternative
                          suggested by some commenters—.
                          requiring both parts to be submitted as a
                          condition of interim status—would make
                          it much more difficult and costly to    - *
                          qualify for interim status. In addition, it
                          would require all owners and operators
                          filing for interim status to furnish a great
                          deal of information that EPA would lack
                          the resources to review for several
                         years. By the time EPA did review that
                       • information, much bf it would probably
                         have become outdated.               ~"
                           Part A of the permit application has
                         not been designed to determine
                         compliance with the interim status
                         standards as some comments suggested.
                         Combining compliance monitoring
                         information and permit application
                         information on one form would result in
                         a complicated document that would not
                         serve either purpose very well.
                         Monitoring of compliance with the
                         interim status standards will be carried
                         out through separate information
                         collection and facility inspection
                         activities.
                          The information  contained in Part A
                         should allow EPA to establish initial. -  ;
                         priorities for permitting of facilities. The
                         Part A applications will provide the type
                         of data needed for  setting priorities
                         which is not presently available, such as
                         design capacities and types and
                         quantities of wastes handled at
                        individual facilities as well as proximity
                        to drinking water wells. The initial
                        priorities can be further refined using
                        compliance monitoring reports, annual
                        reports and information from the Part B
                        applications.
                          Comments on proposed § 122.23(a)(2)
                        objected to waiting for a notice by the
                        Director before submitting Part B of the
                        permit application,  stating that some
                        facility owners or operators may desire
                        to obtain permits as soon as possible.
                        Nothing in the regulation prevents the
                        submittal of Part B prior to request by
                        the Director. Six months notice for
                        submittal of Part B was established to
                        allow applicants adequate time to
                        gather any necessary information for
   submission of an application. Ear
   s'ubmittals are always possible.  L
     (2) Permit 'Prior to Construction**.
   New Facilities. Many commenters
   objected to § 122.23(b) which would
   require a permit prior to construction of
   a new HWM facility. Many commenters
   argued that this provision is illegal
   under section 3005(a) of RCRA. stating
   that RCRA only requires permits for the
   operation of facilities and only prohibits
   the actual handling of hazardous waste
   without a permit. Commenters also
   stated that this provision will tie-up
   capital and aggravate existing and
   future capacity problems. Some argued
   that industry should be allowed to
   proceed at their own risk during
   construction and apply for a permit
   during or after completion of
  construction.
    Once again, EPA believes that the
  proposed approach should be adopted
  for both legal  and policy reasons.
    Section 3004 of RCRA requires the
  Agency to promulgate regulations
  specifying, among other things, the
—location, design and construction of
  HWM facilities. Those regulations will
  only take full effect and have full
  meaning for a given facility when they
  are applied to and incorporated into the
  permit for that facility. Congress w'
  incorporated a permit requirement^)
  RCRA must have meant the task <
  permitting to have independent
  regulatory significance, and EPA intends
  in its final Part 264 regulations to allow
  flexibility in adapting the requirements
  of those regulations to specific sites.
  Given the variety of different situations
  that these facilities may present, and the
  newness of the program, the opposite
  course—applying specific national  •
 requirements automatically to any
  facility whatever its circumstances—
 would not be rational. Many  industries
 that commented on the proposed
 regulations made this point.
   If facilities were free to make
 substantial commitments to a given
 facility, location, design or construction
 before receiving their RCRA permits, the
 purpose of the statute could very readily
 be undermined for no reason.
   The overriding purpose of the section
 3004 standards is to "protect human  '
 health and the environment." There is a
 significantly greater likelihood that
 permit writers will be able to set
 "location, design, and construction"
 permit terms that serve that purpose for
 new facilities if they make the permit
 decision before a' substantial and
 irretrievable financial commitment is
 made to the location, design, and
 construction which the applicant iJL
 has chosen. Allowing such commitLv,
 to be made before assuring that they

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               Federal Register /Vol. 45. No. 98 /  Monday. May 19. 1980 /  Rules and Regulations       33323
  will be in conformity with the best
  application of the statute would force
  the permitting agency to the   .   v     •'
  unjustifiable choice.of either requiring a
  lesser degree of health and
  environmental protection than would '
  otherwise have applied, or forcing the
  abandonment or devaluation of the
  premature investment
    The only significant argument made in
.  favor of allowing construction to begin
  before receipt of a permit was that it
.  would avoid delay in the construction of
  HWM facilities. However. EPA believes
  this argument is flawed even .on its .own
  terms and that it lacks, persuasive force
  when compared with the arguments for
  forbidding that construction. Nothing in
  these regulations prevents owners or
  operators from applying fora permit
  early In' their planning process. If the
  facility is small, the application can
  probably be.processed quite quickly. If
  'the facility is large, then the permit. -
  processing time will probably be a small
  part of the total time needjed for design,
  financing, obtaining other approvals, ,
  and the like. There is no reason in either
  case for the permit itself to become a
  critical path item. EPA has made
  particular provisions in these
  regulations for expediting consideration
  of permits for new facilities.
  ' Some commenters objected to the
  requirement for submitting a permit
  application for new facilities 160 days
  before physical construction is expected
  to commence. They argued that this was
  too long a period and that owners and
  operators would not have the
  information necessary, to complete the .
  permit application that far in advance.
  EPA believes that the 180 day period is
  necessary in order'to provide adequate
  time to provide for public notice and
  comment, hold a public hearing if
  necessary and complete an evaluation
  of the application which in some
  instances may be quite lengthy and
  complex. If on a case-by-case basis the
  permitting process can be completed in
•  less than 180 days, it will be. However, a
  180 day period will be necessary for
  many facilities and will be used as the
  general rule. Facility owners and
  operators should have all of the
  necessary information to submit an
  application 180 days prior to physical
  construction because they will need that
  information in order to ensure that the
  facility is located, designed and   .
  constructed in compliance with the
  section 3004 standards.
,   (3) Revocation of Interim Status. The   '
  proposed regulation provided (at
  1122^23) that interim status could be
 terminated without process for failure to
  submit an adequate Part B application
 when required. Commenters felt this
 provision was unduly harsh, not
 sufficiently defined, possibly
 detrimental to the environment, and in'
 violation of section 3008 of RCRA.
   Although EPA believes the;question is
. debatable; it has accepted in these final
 regulations the position of commenters
 who claimed that "interim status"
 cannot be terminated without providing
 an opportunity for an evidentiary
 hearing. Part 124 has been modified
 accordingly.     .       .
   In accordance with the plain language
 of section 3005(d), the only grounds for
 termination of interim status will be the
 failure to furnish information reasonably
 required to process a permit application.
 This provision of course includes failure
 to respond on time to a.request for a
 Part B application, or failure to furnish
 either Part A or Part B in an acceptable
 form.3            ,
   Because of this limited test, in many.
 cases the facts relevant to the decision
 will probably not be disputed.
 Therefore, EPA anticipates that
 termination of interim status will often
 be a candidate for summary disposition
 under { i24.75(a)(l).
   When questions about the conformity
 of the site to the substantive standards
 of Part 285 are at issue, interim status
 will not be terminated in this manner.
 As the preamble to those regulations
 explains, they are meant to be
 enforceable apart from any permit
 mechanism. Nor will separate
 proceedings to revoke interim status be
 required when a permit applying the
 permanent status standards of Part 284
 is being issued or denied. The
 mechanism provided by the statute for
 broader-gauged decisions like that is a
 final decision on the permit application
 as a whole. The preamble to Part 124
 sets forth EPA's position on the
 procedures required for that.
 \ 122.23  Interim status.
   RCRA states that during interim
 status owners and operators of existing
HWM facilities shall be treated as
having been issued a permit until a final
decision is made on the complete permit
application. Many comments were
received on this provision.
   (1) Definition of Existing HWM
Facility. The proposal defined an
existing HWM facility as a facility    ' \
which was in operation or under
construction on or before the date of
promulgation of the RCRA section 3001
regulations. Some commenters stated
that interim status should not apply to
owners and operators of facilities under
  'Failure lo furnish an acceptable Part A. by
contrast; means that interim stanu never start*.
  construction but only to facilities in
  operation. Others indicated that section
  3005(e) refers to facilities in existence oh
  the date of enactment of RCRA. not the
  date of the section 3001 regulations.
    EPA now agrees that the language of .
  the statute is clear and that the
  approach proposed is not defensible.
  Accordingly, it has changed the
  definition of "existing facility" to mean
  a facility that was in existence on the
  date of enactment of RCRA. or October
  21,1976.
    EPA regards it as all but certain that
  Congress will act to  change this
  definition before these regulations  '
  become effective.'
    Amendments to RCRA are now in
1  conference. The House bill would
  change the. definition of "existing
  facility" to mean one that is in existence
 , on the effective date of the initial RCRA
  promulgation: the Senate bill would
  change it to cover those in existence on
  the date of promulgation, indications are
  that the conferees are considering  '   .
  October 30.1980 as the date for
  determining when a facility is an
  existing facility. Both bills would
  therefore provide relief from the   .
  consequence of existing law,  .
    Accordingly. EPA encourages every
  facility which was built or under
  physical construction as of the
  promulgation date of these regulations
  to file Part A of its permit application so
  that it can be quickly processed for
  interim status when the change in the
  law takes effect. A "Note" to this' effect
  has been inserted into the regulations.
   Depending on what final action
  Congress: takes, other provisions of
  these regulations may also require
  amendment. EPA will issue any
  necessary amendments and an  .       •
  explanatory preamble as soon as
  possible after final Congressional
  action.                 •
   This final regulation also interprets an
  existing HWM facility to mean either "A
  facility in operation, i.e., receiving
  hazardous waste for treatment, storage.
  or disposal." or "a facility for which
  construction has commenced." This
  definition has been adopted because  '
  EPA believes' that owners and operators
  who have commenced facility
  construction in good faith prior to  the
  statutory date should be classified as
  existing.       .      •
   This final regulation further defines   >
  the term "commence  construction" to
  take the meaning defined in EPA's
  Prevention  of Significant Deterioration
  (PSD) regulations issued under the '
  Clean Air Act. These regulations specify
  that construction has commenced  before.
  the date in question if:

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    33324
Federal  Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
      I.The owner and operator has
  ^ obtained all necessary Federal State.
    and local prcconstniction approvals or
    permits; and
      2a. A continuous on-site. physical
    construction program has begun or
      2b. The owner or operator has entered
    into contractual obligations—"-which
    cannot be cancelled or modified without
    substantial Ion—for construction of the
    facility to be completed within a
    reasonable time.
     It Is Intended that the continuous on*
    site, physical construction program
    Include physical site preparation. Design
    and other non-physical and non-site
    specific preparatory activities alone
   •would not constitute oa-site. physical
    construction. Furthermore it is intended
   that structures or equipment constructed
   from a permanent part of the facility
   that are to be used in its own operation,
   nnd represent a substantial commitment
   to construction.
     In general if the amount an owner or
   operator must pay to cancel
   construction agreements or stop
   construction exceeds 1095 of the total
   project cost the loss would be deemed
   "substantial". Options to purchase or
   contracts for feasibility, engineering.
   and design studies would not constitute
   contractual obligations.
    EPA believes this provides an
  equitable and reasonable approach  to
   facilities constructed prior to the
  promulgation of the RCRA regulations.  -
  A substantial commitment of resources
  by owners and operators in a period of
•  uncertainty to provide for treatment.
  storage,  and disposal of hazardous
  waste will not be penalized. All facility
  construction commenced after
  promulgation of the new RCRA
  hazardous waste regulations would be
  subject to the RCRA permit process.
    (2) Changes in the Facility During
  Interim Status. A number of commenters
  raised questions as to whether a facility
  could be modified during interim status.
  Comments stated that facilities should
  be able to male* such modifications
  during Interim status as are: (1) needed
  to keep the facility in operations, (2)
  necessary in order to meet tfie section
  3004 standards or (3) needed to insure
  full beneficial use of the facility. On the
  other hand is the concern that allowing
  such changes during interim status
  would provide a loophole to avoid the
  requirements for obtaining a permit (as
  would occur if the modification of an
 existing HWM facility was tantamount
 to construction of a new facility), or for
 submitting less major, but significant '
 changes to a facility to the kind of
 review and cross-check that a fully
 effective permit would provide. In
 response to these comments the final
                          regulation sets forth the following
                          approach to making changes in a facility
                          during the interim status period.
                            Part A of the permit application
                          basically defines the process which will
                         "be used .for treatment storage or
                          disposal  of hazardous wastes and the
                          hazardous wastes to be handled at a
                          facility during interim status. In order to
                          make any changes in such items the
                          owner or operator of the facility must
                          submit a  revised Part A permit
                          application and in some instances such
                          changes must be approved by the
                          Director.
                           New hazardous, wastes (not
                         previously specified on the Part A
                         permit application) may be handled if
                         the application is revised prior to such a
                         change. No approval of the Director is   •
                         required ia this instance. Furthermore
                         additional quantities of hazardous
                         waste (already specified on the permit
                         application) may be handled at any time
                         within the design capacity of the facility
                         without revising the application.
                           Increases in design capacity or
                         changes in the processes used at the
                         facility may only be" made upon
                         submittat  of a revised application and
                         with Director approval. The Director
                         may approve additional processes if he
                         or she finds that they (1) are necessary
                         because of an emergency situation; or
                         (2) are necessary to comply with
                         Federal State or local laws. The
                         Director may approve increases in the
                         design capacity of the facility if he or
                         she finds that this is necessary because
                        of lack of available capacity at other
                        facilities. In any of these instances the
                        Director may inspect a facility prior to
                        or after such a change and may
                        disapprove a change that would result in
                        a violation of the interim status ...
                        standards.
                          Changes in ownership and operational
                        control of a facility may only occur
                        during the interim status period in
                        accordance with the requirements of 40
                        CFR $ 265.150. A revised Part  A permit
                        application ia required 90 days prior to
                        such a change so that the Director has
                        an opportunity to determine whether
                        such requirements are completed.
                          Finally. EPA will prohibit any changes
                        to an existing facility during interim
                        status which are so extensive  as to
                        amount to the construction of a new
                        facility.' Failure to do this would allow
                        avoidance of the requirement that all
                        sources which are in fact physically new
                       go through the full permitting process
                       before construction begins. For this
                       purpose EPA has adopted the practice
                       under the Clean Air Act of designating
                       as a new facility any change that when
                       completed would amount to more than
                       50% of the capital value of the facility.
     The Agency believes that this
   approach to changes in a facility ^.
   interim status will allow reasonabl
   modifications in existing facilities  .
   withput creating a situation in which the
   requirements for obtaining a permit are
   nullified.
     EPA believes that this approach
   represents a legally acceptable
   resolution to a question which the
   statute does not address.
     Nothing in the statute provides that
   applicants are bound by their  Part A
   application, and it has never been the
   practice'wnen Congress requires
   existing facilities to come under permits
   to freeze their present patterns of
   operations until final agency action. Any
• •  such rule could have drastic
V  consequences which Congress
   presumably did not intend, particularly
   since Congress explicitly recognized   •
   that several years might be necessary to
   process all RCRA permit applications. In
   addition, those consequences would be
   predominantly suffered by facilities
   which, because they are small  or well
  operated, are low on the priority list of
   the permitting authority. To require
  affirmative action before such facilities
  could change their operations would not
  only be burdensome on  them, but would
  divert the resources of the permitting
  agency toward such facilities and i
  from more urgent tasks.
    At the same time, EPA does not
  believe that facilities which have not yet
  received a RCRA permit should be
  completely free of specific regulatory
  requirements. The existence of  interim
  status standards grounded in the statute
  indicate that Congress intended such  i
  facilities to be subject to at least the
  outlines of the general RCRA scheme. In
  addition, the requirement to file a permit
  application as the price of interim status
  can only mean that the permitting
  agency can require  updating of  that
  application if it ceases to be accurate.
  Where the updated application
 indicated that the facility might cease to
 conform to the general RCRA regulatory
 scheme, EPA would be free to take
 enforcement action  as these regulations
 provide.
   (3) Commencement and Termination
 of Interim Status. The proposal provided
 that interim status began at the  time the
 Director advised the applicant that his
 or her Part A application  had been
 received. Commenters pointed out that
 under section 3005(e) of RCRA interim
 status is not granted by the Director, but
 begins at the time an application is
 submitted (and after notification under
 section 3010). EPA agrees with this
 interpretation and did not intend a  •
 different effect under these regulatiol
The acknowledgment was not an

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                Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules'and Regulations
   attempt to place further restriction on or
   delay interim status. However, a method
   is necessary to insure that the Director
   and applicant know the required
   information has been submitted.
     EPA has revised the proposal at
   5 122.23(a] to require an applicant to
   either submit notification and Part A of
   the application by certified mail or to
   hand deliver such information to
   provide assurance to both the applicant
   and EPA that the information baa been
   aent and received.
     One commenter suggested that EPA
   consider adopting a definite date for
   termination of all interim status. When a
   permit application is complete EPA doea
   not have the authority to terminate,
   interim status short of the
  , administrative disposition of the permit
   application. The time period necessary
   to take final action on all permits is
   contingent upon the  availability of
   resources. Therefore a definite date for
   termination of all interim'status cannot
   be established.

   §722.24  Contents of Part A of Ihe
  RCRA permit application.
    The comments received on this
 - section are discussed in the preamble to
'  the consolidated application forms.
  published elsewhere in today's Federal
  Register.

  5722.25  Contents of Part B of the
  RCRA permit application.
    The proposed regulation Identified six
  general informational categories for
  inclusion in Part B of the permit
  application. These included a master
  plan for the facility which combined all
  of the plans required by the section 3004
  facility standards. Also included were
  geological and hydrogeo.logical data, a
  description of the climate at the site, a
  list of positions and job descriptions and
  a listing of the performance bonds and
  other financial instruments.
   This general approach created some
  confusion because the relationship
  between the proposed section 3004
  regulation and the permit application
  requirements was not clear. Many
  commenters believed that they were
  required to,submit all the information
  included in each category. They
  suggested that the information needs be
  limited to the type of facility (e.g.
  landfill, incinerator). EPA agreed with
  these comments and restructured the
  Part B informational requirements. The
  Part B application requirements now
  parallel the structure of the section 3004
  standards promulgated in Part 264 of
  this, chapter.       '
   Only Subparts  B through E of Part 264
 have been promulgated to date/This
 covers requirements which generally
                                                                        33325
  apply to all facilities. Subsequent   .
  subparts of Part 264 including standards
  for specific facility types (landfills.
  incinerators, etc.) will be promulgated
  later this year. The Part B permit
  application requirements being
  promulgated today essentially pertain to
  information which is common to all
  hazardous waste facilities as well as the
  specific plans required of all facilities in
  Subparts B through E of Part 264. The
 : Part B application requirements  will be
  amended to reflect additional planning
  requirements and the technical
  standards (e.g. equipment design, site
  preparation and design) which will be
  promulgated in Part 264 later this year.
   Section 122.23 of the proposed rules
  contained provisions for the Director to
  waive certain application requirements
  in Part B if the information was not
  applicable to the facility'and was not
: .needed to .establish compliance with the
  section 3004 standards. The Agency
  received numerous comments on the use
  of the waiver provision. While the
 reorganization of the regulation may
 eliminate the need for this waiver
 provision, it is not possible to reach a
 final decision on its use until the  full
 Part 264 standards are promulgated.
 1122.28  Permits by rule.
   The proposed regulation provided for
 a permit by rule for facilities accepting
 special wastes, ocean disposal barges
 and vessels, and certain POTWs. In
 these instances application for a permit
 was not required and an actual permit
 would not be issued. The owner and
 operator of such a facility would be
 deemed to have a RCRA permit if
 certain specific conditions in the
 regulation were-complied .with. Many.
 comments were received on this
 provision.         "                "
   Comments from industry generally     >
 approved of this approach, though some
 argued that limiting the permit by rule to
 POTWs was arbitrary and that privately
 owned treatment works and NPDES
 industrial surface impoundments  should
 be treated in a similar manner. However
 some commenters stated that the  permit
 by rule is illegal under RCRA. as section
 3005 requires each HWM facility to have
 a permit These commenters objected  to
 the permit by rule approach as less
 environmentally protective than site-
 specific permits and argued that permit
 by rule eliminates public notice and
public participation and that EPA and
 the public lose the chance to gain
information about such facilities.  •
  Although the scope of the permit by
rule provisions has been cut back
substantially. EPA continues to believe
that such an approach is both legally
justified and appropriate in certain
  cases. The courts have interpreted the
  Clean Water Act to allow the issuance
  of "general" or "area" permits covering
  point sources under that statute. Natural
  Resources Defense Council v. Costle.
  568 F.2d. 1369.1301 (D.C. CSr. 1977). The
  court recognized that use of such
  approaches might be the only way to
  fulfill the legislative intent in a setting of
  limited resources. Yet the permit
  provisions of the Clean Water Act
  against which that case was  decided are
  stronger than those of RCRA. for not
  only do they affirmatively, require  every
  "point source" to have a permit, but     ,
  unlike RCRA. they underline the     .   \
  implication that source-by-source
  examination is required by limiting both
  the time for which a permit application
  will be .acceptable instead of a permit.  |
  and the maximum*term of the permit    '
  once issued. In addition, section 1006 of
  RCRA directs the Administrator to     ,
  integrate the administration of that
  statute "to the maximum extent
  practicable" With the provisions of other
  EPA statutes, including the Clean Water
 Act. the Ocean Dumping Act. and the
 Safe Drinking Water Act.              j
   Against this background. EPA         1
"believes that there can be little question
 of its ability to issue a permit by rule to
 facilities where the activities  that a
 RCRA permit would regulate  are for the
 most part already regulated under
 another EPA permit and the only purely
 RCRA-related provisions are  those that •
 are not site-specific and do not need to
 be particularized in an individual
 permit. The choice here is between
 requiring a duplicate permit proceeding
 and duplicate paperwork .or simply
 making the missing RCRA provisions
 applicable through a general regulatory
 statement. EPA has chosen the latter
 course.      ,    •
   Despite criticism the permit by rule
approach has been retained for POTWs
for the reasons discussed above. This
provision caused considerable confusion
in the proposed regulation. Permit by
rule was only .to be applicable to the
rare situation where a POTW  received
hazardous waste by rail or truck or  by a
pipe that did not carry sewage since
sewer  line influent to a POTW would in
most instances be exempted from the
RCRA  definition of solid waste which
includes dissolved or suspended
materials in domestic sewage. Many .
.commenters misunderstood this point
and argued for. extending the permit by
rule approach to a wide variety of other
operations such as privately owned   •
treatment works and NPDES surface
impoundments;
  As explained earlier and in the
section 3001 preamble, these facilities

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    33328       Federal Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Rulea and Regulations
    do not come under the special
    Congressional intent applicable to
    POTWs and there is therefore no reason
    to exempt them from otherwise
    applicable RCRA requirements.
     The remaining use« of permit by rule
    are for 1J barges or other vessels for
    ocean disposal of hazardous wastes
    with a permit under the Marine
    Protection. Research and Sanctuaries
    Act and 2) underground injection of
    hazardous waste* with a permit under
    the UIC program of th« Safe Drinking
    Water Act Both of the** situation* meet
    the criteria for permit by role described
    previously. In both of these cases the
    owner or operator is deemed to have a
    RCRA permit if he or she haa a  valid
    permit under the other program, is in
    compliance with that permit and also
    complies with the RCRA manifest.
   recordkccping and reporting
   requirements. Shoreside facilities
   related to ocean disposal activities and
   surface storage and treatment prior to
   underground injection are not covered
   by permits under these other statutes
   and the RCRA site-specific permit
   requirements apply to the handling of
   hazardous  waste at such installations.
     Owners and operators of facilities
   with a permit by rule are not required to
   aubrait a RCRA permit application.
   However if an owner or operator of an
   existing underground injection well does
«  not have a U1C permit he or she  must
   comply with the RCRA notification and
   permit application requirements  in order
   to qualify for interim status.
    Control of VIC Well* Infecting
  Hazardous Wastes. The RCRA
  hazardous waste permit program
  regulates the treatment, storage,  and
  disposal of hazardous wastes. The UIC
  permit program, governed by Subpart C
  of this Part and Part 123. governs State
  programs regulating injection wells.
  including those which dispose of'
  hazardous wastes by underground
  injection. The two programs therefore
  potentially overlap, and could result in
- duplicative regulation of the same
  practices. In order to avoid this, in the
  proposed consolidated permit
  regulations EPA sought to set clear
  Jurisdictional boundaries for the two
  programs so that each would regulate
  the practices it was specifically
  designed to control, and duplication
  could be eliminated. In the main, these
  jurisdlctioaal "boundaries are retained in
  these final regulations, and are
  discussed below.
    In general. UIC permits will be
  required lor the well itself, while RCRA
  permits will be required for associated
 above-ground facilities which require
 permits under this Subpart—for
 example, those which store hazardous
   wastes prior to injection. A number of
   commenters objected to this scheme.
   and recommended that the UIC program
   control ail facilities associated with a
   UIC well, even if such facilities might
   meet RCRA permitting requirements.
   EPA rejected this approach for two
   reasons. First,  there is no doubt that
   EPA has authority to regulate surface
   storage facilities under RCRA: it is less
   clear that strcfa authority exists under
   the SDWA. Even if authority is present
  under the SDWA. the UIC provisions of
  that statute are ill-raited to control risks
  associated-with surface facilities.
  including possible explosions, leakage of
  hazardous waste into the abnospneVe, or
  spills.
   •The final regulation* depart from the .
  proposal in that afl UIC well* injecting
  hazardona waste will for an interim
  period be subject to regulation  under
  RCRA. RCRA interim status standards
  have been revised so that they  can be
  applied to wells. Thus, existing UIC
  hazardous waste wells must notify
  under RCRA section 3010 and file a Part
  A application form. Such wells  will
  qualify for interim status, and will be*
  subject to interim status standards like
  any other HWM facility. Except as
  noted below (in the discussion of new
  5122.30. "Interim RCRA Permits for
 .Clas* I Wells"). RCRA permits will aot
  be issued for UIC well* injecting
  hazardous wastes. When UIC programs
  become effective, all such wells will
  either be issued UIC permits (in which
 case they will qualify for the RCRA
 permit by rule, f 122^8). or they will be
 required to shut down (see. for example,
  §122.36).
   There are several reasons why it is
 necessary to require UIC wells to obtain
 interim status and comply with RCRA
 interim status standard* during  this
 period.  Perhap* most important  is that,
 under section 3005 of RCRA. these
 facilities will not be allowed to receive
 hazardous wastes unless  they have
 interim status, a RCRA permit or a UIC
 permit which in turn would qualify them
 for a RCRA permit by rule. Mechanisms
 for issuing the UIC permits will not be hi
 place for some time. Thus, the only  ,
 practical alternative is for UIC wells to
 qualify for interim status.
   Moreover, under the SDWA,
 substantive regulations do not become
 enforceable until they are incorporated
 into a UIC program adopted by a State
 or promulgated by EPA. States are
 allowed 270 days after the promulgation
 of UIC regulations to submit a program,
 and the Administrator may extend this
period by as much as another 270 days.
If the program submitted is
unacceptable, EPA must promulgate
tio^P^
   one. This could take considerable
   additional time, resulting- in delayi
   perhaps as much as two'years aftL
 .  issuance of UIC program regulation
   before effective regulation of injection
   wells begins. EPA sees ho reason why
   wells cannot be regulated during this
   period under interim status standards.
   These standards are simple, basic, and
   will provide some measure of control.
  The requirement that an application be
 . submitted will also enable EPA to
  develop early a complete inventory of
  injection wells disposing of hazardous
  wastes, forming a basis for prompt and
  effective regulation of the facilities
  when UIC programs are in place.
    Among other requirements UIC wells
  with interim status will be required to
  comply with the manifest system under
 40 CFR Part 285. Subpart E when they
". receive hazardous wastes. Failure to
 impose manifest requirements oh these
 facilities would create major obstacles
 to carrying out one of the primary
 functions of the manifest system: to
 track the movement of hazardous
 wastes from generation to disposal.
   When a final UIC permit Is issued to a
 UIC hazardous waste injection well, the
 well will become subject to the general
 RCRA permit by rule. Thus, they will not
 be required to obtain individual H\\
 facility permits. Sections 122.36 anj"
 122.45 identify the requirements foL
 permits for these facilities. Many of i
 requirements of analogous RCRA
 regulation* are incorporated in their
 entirety. Others are modified  so as to fit.
 wells, or are not applicable to wells. The
 resulting regulatory scheme provides, in
 EPA's view, a degree of control which is
 equivalent to that which would be
 obtained if the facilities were required
 to 'obtain individual permits under
 RCRA. A more detailed  discussion of
 this issue may be found  elsewhere in the
 preamble to § 122.36 and in the
 preamble to § 122.45. Thus, nothing
 would be gained by dual permitting, and
 a  permit by rule carries out the purposes
 of 5 1006(b) of RCRA, which obligates
 EPA to "avoid duplication, to  the
 maximum extent practical, with the
 appropriate provisions of *  *  *  the
 Safe Drinking Water Act" *  *  *.

 §  122.27, Emergency permits.

   Several comments were received on
 the proposed emergency authorization
 provision. In general, commenters
 supported EPA's proposal. Some
 commenters stated that the 90-day limit
 for such authorization was too short
 while another commenter stated this
 action should not be limited to perc
 facilities. Another commenter  state^
 that this provision was unnecessary

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               Federal Register / Vol. 45. No. 98 / Monday. May 19, 1980 / Rules and Regulations       33327
   EPA had available to it immediate relief
   through court action.
    EPA continues to believe this
   provision is fully justified under the
   statute. Though section 7003 does
   authorize a court to grant emergency
   relief, that requirement is independent •
   of permitting authority under section
   3005 and is probably better adapt*"1 to  .
   forbidding certain acts than to     :
   permitting disposal. The right of the-
   government to .take summary
   administrative action in response to an
   emergency is well recognized in other
   regulatory fields and in the law
   generally. As the preamble to Part 124
   explains, RCRA specifies no explicit
   requirements for issuing a permit; EPA
   believes that reading the general RCRA
   language to allow summary action in •
   limited and urgent category of cases is
   the interpretation Uiat best carries out
   the overall intent of the legislation Jo
  protect public health and the
  environment
    This provision-has been extended to
  include facilities that do not have a
  permit; however EPA continues to be  '
  conservative in defining the scope of
  this exemption to prevent the possibility
  of abuse, particularly while the program
  is still so new, and to restrict the
  number of cases in which regulatory
  action will be taken-without an '
•  opportunity for public comment.

  5 132.28 Additional condition*
  applicable to all RCRA permits.
    Numerous comments were received
  on the proposed RCRA permit
  conditions (proposed § 122.24). Many of
  the comments were in fact comments on
  the cross-references to the RCRA
  section3004 regulations. These
  comments were received after the close
  of the comment period for that particular
  regulation and are not germane to Part
  122 Subpart B, To the extent those
, comments were made during the  '  ,
] comment period for the section 3004
  regulation, they were considered as part
  of the rulemaking for that regulation.
   Commenters interpreted the proposed
  permit conditions. § 122.24(e], to mean
  that an entire facility must be
  constructed or modified before any
 given part of that facility could be
  operated, or that an entire facility must
 be closed while part of the facility is
 being modified EPA's intent was that
 only those portions pf a facility affected
 by modifications would be covered by
 this requirement. The regulations have
 been revised so that this intent is
 explicit (final 5122^8(c)), The provision
 also allows for phased construction and
 operation of a facility over time, if the
 existing parts can operate alone and in
 .compliance with'the.permit
  requirements.
    Several commenters objected to the
  requirement that an engineer registered
  in the State in which the facility is
  located certify that the facility has been
  constructed or modified in compliance
  with the permit. Some commenters
  argued that this requirement is too
  restrictive for Federal facilities. Other
  commenters argued this requirement is
  not necessary as most States have  '
  reciprocity agreements for registered
  engineers. EPA agrees that requiring an
  engineer to be registered in the State in
  which the facility is located is overly
  restrictive and the regulation has been
  changed. Certification by a "registered
  professional engineer*? is still required
  because a certain level of expertise is
  required to certify compliance with
  permits.
 .   Numerous commenters stated  that a
 time limit should be placed on the   •
 Director to inspect a completed facility.
 Suggestions of'10 days and 30 days were
 offered. Most commenters expressed
 concernTBat the Director could unduly
 delay start-up of a facility by not acting
 promptly in this regard. EPA has .
 restructured the regulation  to help
 alleviate this problem. If the Director
 does not notify the applicant of his or
 her intent to inspect within 15 days of
 the receipt of certification, he or she
 waives the right to prior inspection, and
 authorization to commence operations is
 automatically granted.
   Another commenter stated that EPA
 had not provided a standard to be
 applied by the Director to determine
 whether operation should begin. The
 regulation how provides that the
 .Director shall authorize commencement
 of operation if he or she.finds the facility
 is in compliance with the conditions of
 the permit.                   '   ,  '
   Several commenters also objected to
 the proposed requirement (5 12i24(b))
 which allowed the Director to establish
 permit requirements as necessary to
 protect human health and the
 environment Commenters thought this
 provision allowed the Director too much
 discretion and would lead to imposition
 of conditions unrelated to RCRA. EPA
 agrees that this provision .is unnecessary
 and has deleted it However, as the
 preamble to the section 3004 regulations
 explains, in many cases the permit,
 writer will have to exercise
 considerable discretion to adapt the
 requirements of general regulatory
 provisions to a specific permit See also
 § 122.8 and accompanying preamble.
  Several State agencies commented
 that in order to reduce paperwork
 permits should incorporate specific
-permit conditions by referencing
 appropriate sections of Federal
 regulations rather than list each
 condition in its entirety. The regulations
 accommodate this (see § 122.7).

 § 122.30  interim RCRA permits for UIC
 ivells.      '   '
   There is an additional respect in
 which these regulations must be
 harmonized with those for UIC permits.
 RCRA prohibits the disposal of
 hazardous wastes except in a RCRA-
 permitted facility. This prohibition will
 take effect this fall, when the second
 phase of RCRA regulations, including
 technical standards for HWM facilities,
 is published. UIC Class I and Class.lV
 wells with interim status may continue
 to operate. New UIC Class I wells and
 Class IV wells will be prohibited by
 RCRA from accepting hazardous waste •
 for disposal because only existing
 facilities qualify for interim status
 (under section 3005{e) of RCRA). (See
 5 122.32 for a discussion of how
 injection wells are classified under UIC.)
 If these wells are permitted under UIC,
 they will be covered  by a RCRA permit
 by rule (J 122^6). However, many States
 may require as much as a year after the
 RCRA prohibition takes effect to
 develop arid submit a UIC program.
 Until then, there will be no UIC program
 and therefore no authority to permit new
 Class I wells (or Class IV wells, if EPA
-decides to allow them to be permitted).
 Thus. EPA could inadvertently create a
 moratorium on the construction of new
 Class I wells which could last two or
 more years. Because these wells are, in "
 some cases, the preferred method of
 disposal of hazardous waste, EPA
 believes tin's, result i» undesirable.
  Accordingly. EPA intends to issue
 standards under RCRA § 3004 which
 would allow EPA or approved States to
 issue RCRA permits to new hazardous
 waste injection wells. Such standards     '
 would be patterned closely on 40 CFR
 Part 148, so that wells would not be    '
 subject to possible new or inconsistent
 construction and operation requirements
 as their RCRA permits expire and they
 come under regulation under the UIC
 program.       •                  •
 . The actual issuance of the permits
 involved can be done ei ther by  EPA
Regional Administrators or by the
States. At their option, States may
assume, under section 3006 of RCRA
and 40 CFR Part 123, permitting
authority for Class I wells during the
period after the RCRA permit
requirement goes into effect but prior to
approval or promulgation of a UIC
program in the State. Accordingly,
States may apply to EPA for approval to
issue permits under RCRA to Class I
wells, as part of their applications either

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Federal Register /  Vol. 45.  No. 98 / Monday. May 19. .1980  / Rules and Regulations
   for interim or final authorization. The
   technical standards for such permits will
   fae issued this fall at the same time as
   the other RCRA technical standards.
   and will be closely modeled upon 40
   CER Part 146. the technical standards
   for UIC permits. Because EPA continues
  . to view the UIC program as the most
   effective vehicle for regulation of
   underground injection, the permits will
   be limited in  duration to not more than
   two yean. At the end of the two year
  period either the State will have an
  approved UIC program or EPA will have
  ' promulgated one under the SDWA.
     The Regional Administrator will have
  authority to issue RCRA permits to UIC
  facilities under the same conditions in
  the event that the State Director does
  not seek authority to issue them. EPA
  does not anticipate that it will be asked
  to issue such permits except in a very
  few cases. The total number of Class I
  UIC wells is small—about 400—and has
  grown at a slow rate.
    Class IV wells are continuing to be
  studied in connection with the request
  for comments  on Class IV UIC wdls
  (see preamble discussion of 5 § 122.36
  and 122.45). EPA will announce  '
  treatment of these wells this fall at the
  completion of  consideration of
  comments.
   Proposed 1122,25(a). Health Can
  Facility Permits. The provisions for
  special permits for health care facilities
  have been deleted. The section 3001
  regulations do  not include infectious
  waste at present and the section 3004,
  regulation does not have specific
  standards for the treatment, storage or
  disposal of infectious waste. If future
  versions of these regulations cover
  infectious waste the permit
  requirements can be revised if
  necessary.
   Proposed $ 12Z25(bJ, Experimental
 Permits. As proposed. RCRA permits
 were normally  to be issued for the
 designed life of the facility and
 experimental special permits were to be
 issued for up to one year with a one
 year maximum extension. Because EPA
 will now issue RCRA permits only for
 up to ten years, and permits can be
 limited to one year if necessary, the
 experimental permits section has been  '

  Proposed 512237. Reporting
 requirements. Comments suggested that
 the reporting requirements under this
 section be reviewed to determine if less
 stringent requirements would suffice.
 EPA has done this and has reduced the
 requirements to the minimum it now
 estimates are necessary to  carry out the
RCRA program in  an adequate and
responsible way. Since the program has
not started yet. any estimate of the
                          reporting needs is likely to require'
                          revision in the light of experience, and
                          EPA will re-examine these requirements
                          once the program has a sufficient degree
                          of operating history behind it All RCRA
                          reporting requirements for permitting
                          agencies are now contained in § 122.18.

                          Subpart C—Additional Requirements for
                          UIC Program
                           These regulations in part establish
                         program requirements for State
                         Underground Injection Control programs
                         under the Safe Drinking Water Act
                         However, not all the regulations called
                         for under section 1421 of that Act appear
                         in these consolidated permit regulations.
                         The technical requirements for State
                         UIC programs will appear separately as
                         Part 148. The Agency expects to publish
                         Part 148 regulations within a month.
                           The SDWA requires any State listed
                         under section 1422 of that Act to submit
                         a UIC program for approval within 270
                         days after "promulgation of any
                         regulation under section 1421. . . ." The
                         Administrator may grant a  270 day
                         extension. EPA believes, however, that
                         it would be inappropriate for States to
                         be subject to a statutory  deadline for
                         preparing and submitting programs
                         when many of the necessary
                        requirements for the programs have not
                        yet been issued. The statute does not
                        specify when "promulgation" takes
                        place. Accordingly, to avoid confusion.
                        EPA is fixing the date of "promulgation" -
                        of Part 122.123. and 124. to the extent
                        that they establish UIC program
                        requirements, to the effective date of the
                        40 CFR Part 148 regulations. This
                        effective date will be 30 days after the
                        publication in the Federal Register of
                        regulations under Part 146.

                        5 122.31  Purpose and scope of Subpart
                         This is intended to be' an introductory
                        or "roadmap" section corresponding to
                        sections which have been added to
                        Subparts A, B. and D. One goal of this
                        section is to clarify the connection
                        between the proposed process for
                        "identification" and the regulatory
                        requirements  designed to protect
                        underground sources  of drinking water
                        (USDWs). The section now emphasizes
                        the fact that USDWs are to be protected
                       regardless of whether they have been
                       accurately mapped or otherwise
                       identified. Mapping or otherwise
                       identifying USDWs will aid the Director
                       in fulfilling this requirement
                         The Director may also identify
                       "exempted aquifers" using criteria in
                       Part 146. Such aquifers are those which
                       would otherwise qualify as
                       "underground sources of drinking
                       water" to be protected, but which have
  • no real potential to be used as drinL
   water sources. Exempted aquifers
   treated as exempt only if they hav^
   affirmatively identified as "exemptec
  •aquifers" by the Director in the UIC
   program for the State.
   ^ This section also contains a list of
   "specific inclusions" and "specific
   exclusions" parallel to similar lists in
   the other Subparts of Part 122. These
   lists are designed to give readers a quick
   indication of whether their facilities
   come within the scope of the UIC
  program. These inclusions and
  exclusions are not exhaustive, but
  illustrative. The language of the
  regulations must be applied to    '
  determine whether the program applies
  to a particular activity.
    Septic tanks or cesspools  used to
  dispose of hazardous wastes have been
  specifically included within the
  definition of an injection well. In House
  Report No. 93-1185 (page 31) Congress
  specifically expressed its intentions that
  EPA include underground injection
  systems "other than individual
  residential waste disposal systems"
  when they are used to inject
  contaminants, including hazardous
  waste.
    Several commenters questioned
  whether EPA should impose the same^
  monitoring, reporting, construction  """
  operating requirements for injectior-
  wells sited in areas without any USE, ^
•  to be protected as it does in areas  with
  one or more USDW. One commenter
  questioned EPA's legal authority to
  control wells located outside State
  territorial waters. Several additional
  commenters asked EPA to clarify the
  scope of coverage. EPA agrees that the
  UIC program is a Slate program and is
  not applicable to injection wells located
  outside State territorial waters (i.e., to
  injection wells at platforms located on
  the outer continental shelf). A specific
  provision to this effect has been added
  to S  122.31{d).
   Section 122.43 has been added to
  allow the Director discretion in reducing
  regulatory requirements under certain
  circumstances..
   In  the proposal, EPA exempted
  drilling muds and cement from the
 program, because the Agency did not
 impose requirements prior to operation.
 Since preconstruction permits are now
 required, this exemption has been
 deleted. When UIC permits are issued,
 they  should routinely authorize
 emplacement of these materials.

 1122.32   Classification of injection
 wells.
  In response to several comments  tj
 definition of Class I wells (other thal
 hazardous waste wells) has been limiS

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                Federal Register /Vol. 45. No.  98 /Monday. May 19. 1980 /Rules and Regulations       33329
   to include only those wells injecting
   beneath formations which contain
   USDWs within one quarter mile of the
   •well site. Individual'formations are often
   identifiable for hundreds of miles and a
   formation may be suitable in erne area
   •as a -source of drinking water yet not in
   another. The limitation prevents a well.
 .  from being subjected to Class I
   requirements simply because it injects
  .under an aquifer which, miles away,
   contains drinking water. Such a well.
. ' would now be treated as Class V. Class
   I will also now include all wells
   injecting hazardous wastes other than
   Class IV wells.
     EPA proposed to classify wells
   disposing of "nuclear" wastes in either
   Class I or Class IV. but did not, define
   the term in the proposal. Few
   commenters addressed this aspect of the
   proposal, although some objected to
   granting States authority over these
  .sources. The President.on February, 12.
   1980. issued an Executive Order
   outlining a program to arrive at a
   comprehensive radioactive waste
  management program. Until this
  program is complete,  and EPA has had  '
  an opportunity for full consultations  -
  with the Nuclear Regulatory        .?
  Commission; the Department of Energy,
  and other agencies with responsibilities
  potentially affecting radioactive wastes,
,  it would be premature for EPA to issue
  regulations concerning the disposal of
  radioactive wastes into Class I wells.
  Moreover. EPA wishes to coordinate
  any regulations governing sand  backfill
  wells with regulatory  measures  it may
  undertake under the Uranium Mill
  Tailings Act Accordingly. EPA has
  modified the classification of wells so
  that wells disposing of radioactive
  wastes below strata containing a USDW
  will be Class V wells.
   However, the disposal of radioactive
  wastes into or above USDWs is an
  environmentally undesirable practice.
 Therefore. EPA has added a definition
 of "radioactive waste" in § 122.3 which
 clarifies that the term  "nuclear"  waste
 used in the proposal was intended to
 cover not only, the radioactive wastes
 which are hazardous wastes under
 RCRA but also fission by-products and
 similar wastes covered under the
 Atomic Energy Act of 1954. The disposal
 of all such wastes into or above USDWs
 is included in Class IV and will be
 regulated according to the scheme
 promulgated here for Class IV wells:
 those Class IV wells injecting into a
 USDW are prohibited:  requirements for
 .other Class IV wells will be promulgated
 in the fall of this year. (See the
 discussion of Class IV requirements
 below.J
    A large number of commenters
  questioned the need for regulations
  governing Class n oil and gas wells.
  Many felt that existing State programs
  are adequate and many questioned the
  legality of Federal requirements citing
  the SDWA's prohibition against
  interfering with or impeding oil or •
  natural gas production.
    Class 0 wells still include all those
  covered by the proposal except those
  injecting natural or synthetic gas.
  However, there are many features of
  these regulations which are designed to
  prevent inclusion in the UIC program
  from being unduly burdensome. These.
  include permitting by rule for existing
 .Class H wells for the life of the well;
  additional time (three years) for
  compliance with construction
  requirements; area permitting for entire
  well fields and allowing for new
  enhanced'recovery wells covered by
  existing area permits to be installed
  prior to notice to the Director and
  elimination of the area-of review and   •
  corrective action requirements for
  existing Class II wells. Those Part 146
  requirements for Class  D wells which
  are potentially burdensome are written
  with flexibility. Others, for example
  monitoring and reporting, are not
  burdensome enough to cause   * -
  interference with oil and gas production.
   The hydrocarbon storage industry
  argued that: (1) the underground storage
 of natural gas does not meet the
 statutory requirement for underground
 injection because it is stored and not
 disposed of; (2) Congress did not intend
 for EPA to regulate the storage of
, natural gas; and (3) natural gas is not a
 "contaminant" In both the SDWA and  .
 the 1977 Amendment to the Act the term
 "underground injection." means, the
 "subsurface emplacement of fluids by .
 well injection." Natural gas is a fluid
 which is emplaced into an underground
 formation or reservoir for the purpose of
 storage by well injection.
   The House Committee Report (H.R.
 Report 93-1185. page 31) indicates that
 the Committee 'decided to include
 natural gas under the definition of a
 fluid. The term "fluid" is defined in both
 this document and in the April 20,1979
 proposed Part .146 regulations (44 FR
 34270) as a "material or  substance
 .which flows or moves whether .
 semisolid, liquid.' sludge or any other
 form or state."
  The SDWA defines "contaminant"
 broadly as "any physical, chemical,
 biological, or radiological substance or
 matter in water." (Section 1401(6).)
  Even though EPA believes natural gas
 is clearly subject to the Act's regulatory
 scope, EPA believes that th~e
 commenters are correct insofar as they
   make a technical argument that
   underground storage of natural gas
   poses no threat to USDWs in the vast '
   majority of cases and that inherent
   economic reasons compel operators on
   their own initiative to employ stringent
   technical controls to prevent loss of an
   extremely valuable resource.  However,
   the Agency does have some concern
   that natural gas storage could displace
   formation fluids into a USDW.
   Accordingly, this section has been
   modified so as to classify, the
   underground storage of natural gas and
   other gaseous hydrocarbons within
   Class V. As such they will be  authorized
   by rule and subject to assessment by the
   Director and any further regulatory
   requirements that may be fashioned  in
   the future. la the interim, the Director
 .  will have authority to take action
   against such wells, including requiring
   them to get a permit in those cases
   where it is necessary, see § 122.37(c).
   Underground storage of liquid   '       ,
   hydrocarbon's (gasolinai crude
  petroleum, and others) will remain in
 rClass IL These hydrocarbons have a
  greater potential for contaminating
  water than do gases, which would be
 .normally driven into the atmosphere  as
  soon as the contaminated water was  '
  drawn from the tap.  ,       ••'.'.-
 .   The definition of Class III injection
  wells has remained unchanged.
    The-definition of Class IV wells has .
  been limited with regard to its proximity
  to a USDW. jn the same way, and for
  the same reason, as the definition for
.  Glass I wells. In addition, the proposed
  definition covered any well injection by
 a HWM: facility, which was overly
 broad. Several commenters suggested
 that Class FV wells should be limited  to
 those wells which inject hazardous
 waste and not include any and all
. injectipn wells owned by a hazardous
 waste generator or disposer. EPA
 concurs and has redefined Class IV
 wells as those, including non-residential
 septic system wells, used by hazardous
 waste management facilities to inject
 hazardous material into or above
 formations that contain an underground
 source of drinking water. Disposal wells
 not associated with HWM facilities,
 such as those on farms injecting water
 containing pesticide residues, will be
 classified as Class V.
   Any injection well which is not
 otherwise classified will be a Class V
 well. Such wells are not free from
" regulation (see § 122.34), but need not
 comply with: the technical design and
 operation requirements prescribed for
 other classes of wells jn Part 146.
   Commenters said'.hat sand backfill
 operations using uranium mill tailings
 which meet the hazardous waste criteria

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     ,              a                                .              .



Federal Register  /  Vol.  45. No. 98 / Monday. May 19. 1980 /Rules and Regulations
    of RCRA might be Injecting materials
    termed hazardous. They pointed out that
    the proposed regulations consider sand
    backfill operations to be Class V wells
    but, if they do inject hazardous waste..
    the operations might be considered
    Class IV wells.
      In sand backfill operations waste
    materials remaining from the milling
    procesf are returned to abandoned
    portions of the mine;from which they
    were originally removed. While some of
    these materials may be defined as
    hazardous they are waste from
    processing operations that must be
    disposed of in some manner. Even
    though there are environmental risks
    connected with the placement of certain
    materials in sand backfill operations, in
    some instances, it is the most
    environmentally safe method of
    disposal. EPA believes further study is
   needed before technical criteria can be
   prescribed for these wells. They will
   therefore be classified in Class V.
   whether or not the tailings are
   hazardous wastes. Keeping these
   operations in Class V allows an  '
   inventory and assessment procedure to
   determine the actual risk individual
   sand backfill operations present
   Provisions are already contained in (he
   regulations for removal (including
   immediate closure) of any Class V wells
   which present a significant risk.
   § 122.33 Prohibition of unauthorized
  injection

    This new section has been added to
  clarify the basic legal authority which
  any Slate must have in order to carry
  out a UIC program. A requirement that
  the Slate prohibit construction of an
  unauthorized well, as well as injection.
  has been added. EPA believes  that
.  permits must be issued and control
  requirements applied before a well is
  constructed, not simply when it goes
  into operation. Among the technical
  requirements of Part 146 are
  construction requirements. It may not be
  possible to assure compliance with
  these requirements if a permit is not
  Issued until after construction of the
  welL

  112Z3i  Prohibition of movement of
  fluid in to underground sources of
  drinking water

    We have moved proposed § 122.38,
  the general prohibition against
  movement of fluids into USDWs, up
  front as new § 122.34. The technical
  rationale for the prohibition, and
  responses to comments, appear in the'
  preamble to Part 148. The provision has
  been augmented to include the basic
 provisions designed to achieve
                          protection of USDWs for all classes of
                          wells, not just Class I. II. and III.
                           EPA believes that this reorganization
                          will serve to place the basic
                          requirements of the UIC program up
                          front and dispel confusion about their
                       .   operation. For Classes I. II. and in. no
                          injection may be authorized by permit or
                         rule if it causes or allows the movement
                         of fluid into a USDW. If monitoring
                         indicates movement the Director may
                         impose additional requirements as
                         necessary. This standard for Classes I.
                         n. and m was selected because it is
                         operationally meaningful (Le., it can be
                         measured or otherwise determined) and
                         because it can be achieved through the
                         use of available, good engineering .
                         practices.
                           Because of the design of Class IV
                         wells, the use of good engineering
                         practices will not reliably insure that
                         movement of fluids into USDWs will not
                         occur. Consequently, Class IV wells
                         injecting directly into a USDW are to be
                         closed. The regulation of other Class IV
                         wells is reserved.
                          Similarly, Class V embraces wells of  '
                         differing construction and design, many
                         of which inject non-hazardous fluids
                         into and above USDWs. A "no
                         movement" standard would not make
                         sense for these wells. Therefore, the
                         prohibition relies on the language of the
                        SDWA. Class V wells are not to cause a
                        violation of. primary drinking water
                        standards and they are not to affect the
                        health of persons adversely. While the
                        Class V wells are being assessed, the
                        Director is to take action with regard to
                        any well that violates either of these
                        prohibitions. Such action may be
                        accomplished through an order or by.
                        requiring the injector to apply for a •
                        permit
                          The permit mechanism may be a more
                        efficient one under some State laws to
                        prescribe controls. The regulation leaves
                        to the Director's discretion what
                        technical requirements would be
                        imposed through such a permit
                        However, all the conditions in 55 122.7,
                        122.41. and 122.42 must be included in
                        such permits except for the plugging and
                        abandonment requirements and •
                        mechanical integrity requirements of
                        S 122.42, which the Director may include
                        as a discretionary matter. By an
                       amendment to 5 122.9 (duration of
                       permits), a Class V well may be
                       permitted for up to ten years.
                         A new provision has been included to  •
                       authorize the Director to take emergency
                       actions whenever EPA would be
                       authorized to do so under section 1431
                       of the SDWA, to prevent imminent and
                       substantial endangerment to the health
                       of persons.
   122.33: Identification of undergo.
   sources of drinking water and e.vi
   aquifers •
    Numerous commenters noted the
   apparent contradiction between Part 146
   and Part 122 on aquifer designation and
   noted that EPA used different
   definitions for a USDW in the RCRA
   and UIC programs. EPA has clarified its
   intent and resolved the differences
   between RCRA and UIC by identifying
   USDWs by definition. The Director may
   designate aquifers as USDWs to
   facilitate program administration and
  put potential injectors on notice of
  regulatory requirements.
    EPA encourages State Directors to
  designate aquifers as USDWs, and to
  make the designation as thorough and
  complete as possible. Even if an aquifer
  is not designated, it is a USDW if it
  meets  the technical criteria of § 122.3
  and has not been exempted. For this
  reason, the burden will be on any owner
  and operator planning to construct an
  injection well to ascertain if the well.is
  likely to pass close enough to a USDW
  to require a permit, or to determine if a
  permit is otherwise required (if, for
  example, the injector is injecting
  hazardous wastes). Thus, for example,
  an injector might commence drilling
  well believing it was not going to ia
  hazardous wastes and that the-weL
  would not intersect or pass close to -
  USDW. Such a well might be authorized
  by rule as a Class V well. If the drilling
  operation intersects an aquifer,
  however, the driller must sample the
  water and test it to determine if it is a
 USDW, and if so, must cease all further
 drilling and construction until it has
 obtained a permit as required by the "
 State program.    .            ,
   Some aquifers may not, as
 commenters noted, be amenable to
 description by geographic methods. The
 Director may identify USDWs or
 exempted aquifers in narrative terms or
 a combination of narrative and
 geographic terms.
   The State Director may also identify
 "exempted aquifers." A definition of
 "exempted aquifer" has been added to
 § 122.3(c). This term takes the place of
 the exceptions to USDW's formerly
 listed in proposed 5 146.04. which also
 appeared in the definition of USDW in
 proposed 5 122.3(a). The term and its
 definition have been adopted by EPA
 from several suggestions by
 commenters. An exempted-aquifer is an
 aquifer or portion which would normally
 qualify as a USDW but which for any of
 several specified reasons has no aci
potential for providing drinking wal
and which has been affirmatively	
identified as an exempted aquifer by the

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                Federal Register / Vol. 45.  NO; 98 /-Monday. May 19. 1980 / Rules and Regulations
                                                                        33331
   State Director as part of the program
   description required by § 123.4(g).If a
   State Director exempts an aquifer or
   portion of an aquifer, it is not treated as
   a USDW subject to the protections of  '
   these regulations.

   5 § 122.36 and 122.45  Requirements for
   Class IV and other hazardous waste
   wells.
     In the final regulations, all wells
   which are used to inject "hazardous
   waste," as defined under RCRA. are
   grouped into Classes I or IV. Class IV
   also covers the injection of radioactive
   wastes. Standards for Class I wells have
   already been discussed above. Section
   122.36 establishes, on an interim basis, a
 •  prohibition, also required for approvable
   State administered programs, against
   the injection of hazardous waste directly
   into underground sources of drinking
   water (USDWs). The prohibition is
   effective six months after the effective
   date of a State program. Requirements
   applicable to other Class IV. wells—
   those which inject above, but hot into.
~  USDWs—are reserved. Also reserved
   are additional requirements (for
   example, monitoring and retention'of
   records) for Class IV wells injecting into
   USDWs.
  .  Section 122.45 establishes additional
  requirements for operators of wells
  through which manifested hazardous
  wastes are injected. They apply to Class
  I wells and will apply to Class IV wells
  as final standards are established. This
  section essentially requires that the
  operators of these wells comply with
  selected requirements established for
  hazardous waste management facilities
  under 40 CFR Part 122 SubparJ C and 40
  CFR Part 284.
    The proposed standards for wells
  used to inject hazardous waste (§ 122.45,
  44 FR 34285, June 14,1979) provided for
  a ban on the construction and operation
  of new Class IV wells, and a three-year
  phase-out of existing ones. The proposal
  would also have required that wells
  used to inject hazardous waste comply
  with the manifest and record-keeping
  requirements of the hazardous waste
  management regulations.
   The definition of Class IV has been
  narrowed. The proposal required only
  that the well be owned or operated by:
  (1) a generator of hazardous waste; (2)
  the owner or operator of a hazardous
  waste management facility, and (3) that
  the injection be. into or above a USDW
  in order to be included in Class IV.
  Commenters correctly pointed out that
  this definition could embrace wells ;that
 were not in fact used to inject hazardous
 waste. A requirement that hazardous
 wastes be injected has now been added
 to the definition of Class IV. The
   definition also clarifies that the injection
   has to be "into or ab'bve a formation
   which, within one^quarter mile of the
   well, contains a USDW" (5 122.32).
    A second major change has been
   made with regard to the coordination of
   regulatory authorities under RCRA and
   SDWA. Both Acts mandate regulatory
   controls on these wells: RCRA because
   hazardous wastes are disposed of. the
   SDWA because fluid is emplaced
   beneath the surface. The draft
   regulations proposed that all surface
   facilities involved in managing
   hazardous waste be regulated under
   RCRA. The well itself, from the cut-off
   valve at the wellhead was to be .
•   regulated under SDWA. The rationale
   fpr the proposal was that the different
  technologies (surface management v. •
  injection) could be grouped and
  regulated by technical requirements
.  appropriate to each.                  ;
    One commenter in particular .objected,
  arguing that the injection of hazardous
  waste be regulated under RCRA
  because the regulations under RCRA
  could afford a higher level of protection.
  The Agency does not agree that the
  SDWA is inherently weaker in
  preventing the potential  impacts of
  injection. Indeed, the SDWA provides
  broader authority to regulate the
  injection of materials (e.g.. oil and gas
  related brines and  fission by-products)
  than RCRA.
 .  However, because the SDWA allows
  States up to 18 months to develop UIC
  programs, there could be instances in
  which no effective  UIC program will
  exist in a State for  two years  after the
  effective date of these regulations. In
  order to provide some level of
  environmental protection during this  . .
  period. § 122.45 now requires all
  injectors of hazardous waste to obtain
  "interim status" under the hazardous
 waste management program. When the
 applicable State UIC program becomes
 effective, such injectors will be
 regulated under the UIC program.
 However. § 122^8 provides for a permit
 by rule under RCRA which wiirbe
 satisfied if the injector is in compliance
 with  the applicable  UIC standards. In
 order to make control under SWDA
 substantially equivalent to control under
 RCRA. § 122.45 has been expanded to
 include appropriate standards from 40
 CFR Part 264 in addition to the manifest
 system.        ;                    '
   The third major change from the
 proposal is that the  requirements for
 Class IV wells, other than those
 injecting hazardous  wastes into a
 USDW. are reserved. There are several
 reasons for this decision. While few
 commenters questioned the basic -     •"
 premise underlying the proposal, some
  questioned whether, at least in some
  cases, the migration of fluid into a
  USDW would in fact cause any adverse
  effects either on drinking water supplies
  or human health. Other commenters
  suggested that a well should not be
  banned if it overlies a deep or remote
  USDW which it is not likely to
  contaminate. As noted above,
  commenters also indicated their belief
  that the definition of Class IV was too
  broadly drawn, and thati therefore, the
  proposed standard was unnecessarily
  protective. The Agency has reviewed
  these comments and is mindful of its
  obligation to proceed with extraordinary
  care before imposing an absolute ban on
  any practice. The Agency's concern in
  fashioning the proposal was to afford
  protection to drinking water sources.
  Nor is the Agency contemplating any
  changes which would sacrifice or   *
 •endanger drinking water sources people
  rely on. Furthermore, wells injecting
  hazardous wastes are also subject to
 RCRA which mandates a broader set of
  environmental concerns than drinking
  water. Nevertheless, there may well be
  portions of aquifers so deep or remote
  that they may never serve as drinking
 water sources, or conditions under
 which a particular injection may not
 have an impact on the quality of the •,
 drinking water spurce.
   A further reason for the proposed
 approach is that regulations under
 RCRA and SDWA touch at several
 points. Facilities under Class I and Class
 IV overlap the class of facilities    .,
 designated under RCRA as hazardous
 waste management facilities. It is,.
 therefore, appropriate that technical
 standards under RCRA and UIC be l
 consistent, to the extent allowable under
 the governing statutes, for facilities
 capable of causing a similar degree of
 environmental risk.
  EPA has decided to defer issuance of
 permitting standards for HWM facilities
 until fall 1980. Adoption of UIC
 standards now for Class IV wells-could
 prove misleading to the States and the
 public, because EPA might decide this
 fall to revise the standards to reflect
 policy decisions made in connection
 with RCRA standards. The best course
 is to defer the technical standards for
 Class IV wells which inject above
 USDWs until fall 1980. Accordingly, we
 now solicit further comment on
 requirements for Class IV wells.
  EPA has under consideration several
 options which would allow Class IV  .
 wells to inject, in certain circumstances.
In order to assist commenters, these
options are described below. In addition
to the SDWA. EPA is  considering
invoking RCRA authority to deal with

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   33332
Federal Register / Vol. 45. No. 98./ Monday..May 19. 1980 /  Rules and Regulations
  . Class IV wells. Accordingly, after
   consideration of comments. EPA will
   publish regulation* this fall amending 40
   CFR Part 122. Subpart C or Parts 148.
   264. or 265. At that time. EPA may
   decide to prohibit all Class IV wells as
   proposed under SDWA or RCRA or   .
   both, adopt any of the options discussed
   below, or adopt any combination or
   modification of the options which
   appears justified based upon the record,
   including comments received.
    Tha language of the Act (section
  1421f.d](2)) states that
    Undergronno! tajactioa endanger* drinking
  water scorces if soca. injection may result in
  *fc* pre»enc« of underground water which '
  tupplki or can reasonably bt expected to
  supply any public water tyttcm of any
  contaminant »nd if th« pmeace of such   '
  conlaminant may remit in »uch tystera'i not
  complying with any national primary
  drinking water regulation* or may olherwiM
  ad«r»cly affect the health of persona.
    For the proposed regulations. EPA   .
  adopted • conservative approach to the
  designation of USDWs, This approach
  was based upon that suggestStHn the
  Hoose Committee Report on SDWA
  (HJt Kept No. 93-1185.92d Cong.. 2d
  Sess. at p. 32). Thus. EPA proposed to
  protect any aquifer or aquifer portion
  already ia use as a source of drinking
  water. Aquifers or portions which could
  potentially serve as drinking water
  sources would also be protected if they
  could yield nseable quantities of water
  containing fewer than 10.000 mg/1 of
  TDS.
   Potential drinking water sources
  which met the technical definition could
  be designated as "exempted aquifers" if
  they are: (1) hydrocarbon, mineral or •
 geothennal energy producing: (2) so
 contaminated as to make their use for
 human consumption technically or
 economically impractical: and (3)
 located in such a fashion as to make
 their use  technically or economically
 impractical
•  Within this regulatory approach, two
 alternative methods suggest themselves
 for expanding the range of allowable
 Class IV practices. The first is to
 attempt a more precise distinction
 between ground water in general and
 ground water that serves or can
 reasonably be expected to serve as a
 source of drinking water. Option A takes
 this approach.
   A second possible approach is to
 attempt a more precise definition of the
 circumstances under which the presence
 of contaminants in a USDW may or may
not cause a system to exceed national
primary drinking water (NPDWRJ
standards or otherwise adversely affect
the health of persons. Option B takes the
latter approach.
                            Option A. This option would entail
                          modification of the definition of a
                          USDW to decline to protect USDWs in
                          areas adequately served by other
                          sources. EPA is aware of areas of the
                          country which are underlain by aquifers
                          containing immense quantities of usable.
                          fresh water, or where surface water' '•
                          supplies are so plentiful that they could
                          reasonably be expected to supply all
                          foreseeable needs for drinking water. In
                          such cases. EPA is willing to consider a
                          policy which would authorize injection
                          through Class IV wells.
                           In this approach, an additional basis
                          for exemption could be added to
                          § 14&04 that would allow the Director to
                          decline to protect an aquifer or its
                          portion if it "otherwise cannot
                          reasonably b« expected to serve as a
                          source of drinking water." To justify
                          such an exemption, the Director could
                          be required to consider the following
                          factors:      •
                           • present and future availability of
                          alternative sources of drinking water;
                           • future'population growth and land
                         use patterns in the area; and
                           • the expected growth in the demand
                         for drinking water.
                           In keeping with the revised definition
                         noted above, such wells would fall
                         under Class I because they would inject
                         into exempted aquifers (!.e* not into or
                         above a USDW). Injectors would apply
                         for permits with a duration of up to ten
                       •  years as specified in 40 CFR 148 Subpart
                         B, with one exception. The applicant
                         would be required to make a showing
                         that the Injection would not impact
                         aquifers or portions of aquifers
                         protected as USDWs. Such a showing
                         would involve a demonstration that the
                         injection zone is not in hydraulic
                         connection with or that the natural flow
                         from the injection zone is away from
                         protected USDWs.
                          The application would be processed
                         as any other Class I permit application.
                         Under § 122.43. the Director would have
                         the discretion to require such permit
                         conditions as he believes necessary to
                        protect USDWs.
                          Option B. This option would recognize
                        that the injection or presence of
                        contaminants in a USDW may not
                        necessarily lead to drinking water
                        supplies exceeding the NPDW standards
                        or adverse effects on the health of
                        persons. Based on this rational, a more
                        liberal approach could be taken to
                        regulating Class IV wells if the applicant
                        could demonstrate  that the injection: (1)
                        is environmentally the most acceptable
                       method of disposal; and (2) would not
                       contaminate the portion of the aquifer
                       from which water is drawn for drinking.
     Under such an approach, the sts
  •that the applicant would have to
,  -demonstrate would be that:
     • technology for safe disposal is not
  available, taking into account the costs:
     • injecting fluid will be less harmful
  than use of other available means: and
     • technology and other means will be
  employed to reduce volume and toxicity
  of waters.
    The applicant would be required to:
  ,  • demonstrate that the proposed
  injection is the most environmentally
  acceptable alternative available
  considering technology and the cost of:
    Trucking to an approved site.
    Pretreatment prior to injection.
    Construction of a Class I welL
    Incineration.
    Segregation of streams and/or
  reduction in flow.
  ,  • demonstrate anticipated ground
 • water impact will not adversely affect
  the health of persons or violate NPD WR
  based on the following information:
    Injection volume and pressure.
    Life of operation.
    Direction of ground water flow.
    Proximity to use.
    Monitoring up gradient and down-
  gradient.
    Geological and hydrological data.
    Closure plan.
    There would be certain common .
  elements under both options. Injecti'
  would be required to obtain a permiT,_
 .operate a Class IV well within one year
  of the effective date of the State
  program or dose. Permits could be for a
  duration of 10 years, and new wells
 would be subject to the requirement in
  S 122J3 that a permit be obtained prior
 to the construction of a new well.
   Similarly, there are certain common
 questions with regard to implementation
 under either option. The Agency solicits
 specific, detailed comments on these
 questions: First, do factual
 circumstances exist in which EPA
 should allow injection of hazardous
 waste into or above an underground
 source of drinking water? Second, if so.
 what information should be required of
 the applicant to show that the injection
 will not endanger drinking water
 sources, and what,criteria should the
 Director use in granting or denying
 permits? Third, should new and existing
 Class IV wells be treated differently or
 alike? Fourth, should the decision to
, allow the  use of a Class IV well be made
 as part of a statewide or regional plan
 (e.g., section 208. land use, RCRA
 section 4007 solid waste plan, UIC
 program application) or as part of the
 individual permit decision? Fifth, wfc""
 factors should be considered hi    '
 subdividing aquifers into relatively
 confined exempted areas and USDWs?
 €>
nitW^

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               Federal Register  /.Vol. 45.  No, 98 / Monday. May 19. 1980 / Rules  and Regulations       33333
•  Sixth, what procedures should be
  imposed to ensure full public
  participation in decisions to allow     '
  injection through Class IV wells?
  Seventh, what kinds of post-closure care
.  requirements (monitoring, third-party
  liability, use restrictions) should be
  imposed on Class IV well operators-?
  Eighth, are the authorities under SDWA
  and CWA sufficient to prevent the
  potential impacts of such injections or
  should RCRA authorities be invoked to.
  meet non-human health related
  environmental concerns .such as aquifers
  discharging to streams and surface
  Impact on vegetation?
.   These final regulations prohibit new
  Class IV wells injecting directly into  ''
  USDWs as of the effective date of these
  regulations. Existing such Class IV
  facilities are allowed only .six months
  from the effective date of the State
  program in'which to close, which will in
  many cases, be more than two years
  after the date of these national
  regulations. Even though requirements
  for these wells are reserved under the
  UIC program, all Class |V wells must
 meet interim status standards tinder  '
 RCRA.

 5 122.37 Authorization of underground
injection by rule.-   '-',-.      '   .   '
  • Only minor changes have been made
 from the proposal. First, the section-has
 been written to clarify when •
 construction requirements must be
 complied with. Second, the rules are
•limited to exclude wells which have not
responded to inventories generally, not
merely Class IV and V inventories.
   A number of commenters noted that
 this section as proposed did not
explicitly specify what operational
requirements were applicable to
injectors authorized by rule, as opposed
to by permit. This section has been
revised to incorporate the applicable
requirements of §5 122.41 and 122.42.
Most of these requirements are as   •
necessary for rules as they are for
permits. The exceptions (for example.
the requirement that the injector apply
for a renewal permit) are explicitly
noted here.
  In response to comments, this section
has beenrevised to allow a rule to
continue (even beyond its termination
date) to authorize injection where the
injector has applied for a permit and the
Director has not yet acted on the
application.      :  ••
  A new paragraph (c) has been added
to this section to authorize the Director
to require an injector authorized by rule
to apply for a permit EPA believes that
this authority may be necessary in some
cases to provide a means of promptly
imposing cleanup measures on problem
  wells, or of allowing the Director to
  phase in the permitting of wells in an
  orderly way.                •  ,
    EPA rejects the claim by one industry
  that the authorization of existing Class
  H wells by rule will result in loss of oil
  reserves. Existing Wells are allowed to
  continue current operations with the
  exception that they must start
  monitoring and reporting, at small cost
  The estimated costs for this monitoring
  and reporting are given in the preamble
  to 40 CFR Part 148.     ,

  5 12238 Authorization of underground
  injection by permit
   As proposed, the section referred to a
  schedule for submitting permit
  applications which was to be part of a
  State Director's program submission
  under Part 123. However, no mention
  was made of what happens when EPA is
  the permitting authority. When EPA
  promulgates any UIC program for a
  State, it will specify the schedule for
  applications to be submitted. For States,
  the program description under § 123.4
 will establish the schedule.
   Proposed paragraph (d), mechanical
 integrity, has been relocated as a permit
 condition in S 122.42. A very large
 number of commenters objected that the
 prohibition against permitting wells
 which lacked mechanical integrity was
 illogical since permits are issued prior to-
 construction and mechanical integrity
 cannot be shown until-after
 construction. Relocation'and rephrasing  .
 of this requirement is responsive to this
 concern.

  A commenter objected to the
 proposed provision authorizing a State
 to allow an applicant to submit an
. application as much as four years after
 program approval. The commenter
 pointed out that this schedule conflicted
 with the three-year schedule set out in
 section 1421(b) of the SDWA. EPA has
 retained the four-year phase-in. All
 injectors must be authorized either by
 permit or rule under a State program, as
 required by section 1421. However. EPA
 believes that a reasonable phase-in
 period is necessary for States to issue
 permits in an orderly way, and finds a
 four-year period to be reasonable.
Moreover, the States will have inventory
 information under § 122.37 well before
the expiration of the four-year period
and can take action under § 122.37(b) to
require  an early application :if  *
necessary.     .
  A commenter asked EPA to specify   •
how long in advance of operation a
permit application is required. Since a
permit will be needed for construction,
each owner or operator should submit a.
complete (under § 122.5(c)) application
 for a permit as early as possible to allow
 time for the Director to process the
 application. Since the time needed to
 process a permit will vary with
 complexity, available State resources,
 controversial situations,, and other
 'factors, EPA has chosen not to require a
 fixed time for submission prior to    ;
 starting construction. Instead, EPA has
 retained the requirement that the
 application be submitted to the Director
 a reasonable time before construction is
 expected to begin. EPA suggests that an
 applicant submit applications at least   ,
 six months in advance of planned
 construction.     •              •

 9 122,39  Area permits.
   This section has been extensively
 rewritten for logic and clarity. The only
 substantive change is to allow for new
 injection wells within the area without
 requiring prior administrative
 authorization. Many commenters noted
 that without such a requirement it would
.be impossible for some Class III
 operations,.such as frasch process or
 solution mining operations to continue.'  '
 The rewritten section should eliminate
 any possibility that the need for
 authorization will hold up the drilling of
 additional wells within the area.
 However, additional wells, are carefully
 regulated under the terms of the area
 permit and the permit.can be modified
 or revoked if its terms are violated.
 Additional wells will constitute grounds
 for minor modifications of the area
 permit which, if necessary, can be made
 without requiring public notice and
 opportunity for a hearing.         •
   Commenters pointed out that many
 Class II well fields are cut by faults,
even though the field is a distinct unit.
These commenters contended it was
unreasonable to limit area permits to
fields injecting into the same aquifer. In
response, EPA has eliminated the  ,'  ;
requirement that all wells inject into the
same aquifer. They need only be within
the same well field, facility site,
reservoir, project, or similar unit in the
same State. The final rule also adopts a
commenter's suggestion that control by
a single "owner or operator," rather
than a single "person," be required, for
area permits.
  Comments objected to the
authorization of new, wells within an
area covered by an area permit where :
the Director has not considered the
cumulative impact of the new wells,
when added to those existing at the time
of permit issuance. EPA agrees^ and has
added a requirement that the Director
consider these cumulative impacts
before issuing an area permit which
authorizes new wells to be drilled
without specific approval by the

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   33334       Federal Register / Vol. 45. No. 98 /Monday. May 19. 1980 / Rules  and'Regulations
   Director. The final rules do not require
   that the location of every well that might
   be drilled under an area permit be
   identified in advance of permit issuance.
   However, there must be sufficient
   information on potential new wells in
   order for the Director to consider
   cumulative impact If there is not. the
   Director may issue an area permit
   covering only existing wells if he or she
   wishes to, but new wells will be
   required to obtain individual permits.
   §122.40 Emergencypermits.
    EPA proposed this section is i 122.40.
  "Temporary authorization." It has been
  renamed Temporary permits'* to
  correspond to its actual function, and to
  the scheme of the SDWA. which   .
  requires UIC programs to prohibit any
  Injection not authorized either by a rule
  or a permit EPA does not view this
  section as unlawful or as an attempt to
  depart from the statutory scheme, as
  contended by one commenter. A
  temporary permit is a permit  The
  procedures for its issuance, while
  different from those for other permits
  tinder this Part in no way contravene  .
  the SDWA. EPA believes, moreover.
  that the stringent and narrow  conditions
  under which temporary permits can be
  granted not only fill a real need, but will
  assure that Our injection does not
  endanger drinking water sources.
   The issuance of these permits is. of
  course, optional with the State Director.
  No State which  does not wish to issue
  temporary permits is required  to do so
  by these regulations.
   Numerous commenters expressed
  concern that the EPA permitting
  procedures have the potential for
  creating or contributing to major delays
 in issuing permits. Several stated that
 issuance of draft permits is an
 unnecessary step ra the UIC permitting
 process. Others claimed that the
 detailed procedures in Part 124 appear
 to be excessive in that they provide for
 unwarranted delays in the permitting
 process for oil and gas wells.
   EPA evaluated these comments and
 found lhat the permitting time delays
 arising from these regulations would not
 cause an unwarranted delay except
 where new field (wildcat) wells were
 involved. If a wildcat operator found oU
 he or she might have to delay initial
 production in order to secure a UIC
 permit to drill an injection well which
 conforms with these regulations.
  To avoid any unnecessary delay in
 production for new field wildcat wells.
 § 122,-JOhas been expanded to permit
 the Director to issue an emergency
authorization for a new Class II
injection well where a substantial delay
In production of oil or gas resources will
  occur unless it is granted. Such
  authorization must not result in the
  movement of fluids into a USDW. The
  authorization is valid only during the
  time the permit application is being
  processed, provided the application is
  submitted within 90 days, a period EPA
  considers more than ample.

  $122.41  Additional conditions
  applicable to all UIC permits.
   § 122.42  Establishing UIC permit
   conditions.
    One commenter noted that the
  sequence of permitting steps and
 . construction for new wells was
  confusing in the proposal EPA agrees
  and has moved a paragraph covering
  construction requirements into this
  section from !} 146.12.146.22,140.32
  and 14&42. Permits are issued prior to  .
  construction and contain requirements
  which govern the construction of the
  well. Wells must be in compliance with
  these requirements before injection
  begins. Changes in construction plans
  during construction may be approved by
  the Director as minor modifications. To
  avoid any unnecessary delay in.
  production for new field wildcat wells,
  S 122.40 has been expanded to permit
  the Director to issue a temporary permit
  for an injection well where a substantial
  delay in production of pil or gas
  resources will occur unless temporary
  authorization is granted to new Class II
  wells. Such permit must not result in the
 movement of fluids into a USDW. The
  temporary permit is valid only during
 the time the permit application is being
 processed.
   The plugging and abandonment
 condition has been rewritten to cover
 the possiblity of conversions of wells to
 new uses rather than abandonment
 Injectors must notify the Director 180
 days in-advance of plans to converter
 abandon a well so that the Director may
 review the plugging'and abandonment
 procedures or otherwise act to prevent
 contamination.
  A new requirement has been added
 that the permittee retain records on the
 nature and composition of injected
 fluids until at least five years after
 plugging and abandonment, at which
 time the Director may require the
 permittee to turn over the records. This
 provision is necessary in order to assure
 that if contamination of a USDW is
 discovered, the Director will have ready
 access to records of injected fluids
which might be necessary to trace the
origin and direction of flow of the
contaminating fluids. EPA encourages
the States to establish a system to retain
these records for as long as possible.
    'While § 122,41 itself prescribes „
  .conditions, this section prescribes ...^
  manner in which certain types of permit
  conditions must be established by the
  Director when issuing permits. The
  section is also intended to serve as a
  complete cross-reference to the
 . applicable requirements of 40 CFR' Part
  148, as well as other requirements of
  Part 122. Subpart C, which must be
  applied through UIC permit issuance.
  Most of the requirements referenced in
  this section are actually established    t
  elsewhere, and comments on those
  requirements are dealt with in
  connection with the sections which
  establish them. However, several
  requirements established by this section
  do not appear elsewhere, and  are
  discussed below.
    Construction requirements and
  plugging  and abandonment procedures
  are handled the same way. The permit
  applicant must develop and submit for
  the Director's approval permit
 conditions necessary to assure adequate
 plugging  and abandonment or testing.
 drilling, and construction. The  Director
 may adopt the proposed conditions or
 prescribe other appropriate ones. The
 injector is presumably in the best
 position to know how these
 construction-related requirements
 best be tailored to the individual
 site. This provision will enable the
 Director to take advantage of that
 expertise,,as well as giving the applicant
 an opportunity to suggest optimally
 efficient permit requirements.
   This section  also includes financial
 responsibility requirements. These were
 proposed as S 122.42fa)(7). The proposal
 did not specify a dollar amount for the
 performance bond or other instrument,
 but each well would have been required
 to be covered by a financial
 responsibility instrument. A number of
 comments were received. Many of these
 comments addressed the dollar amounts
 of financial responsibility instruments
 already required under some State laws,
 and suggested that applying these
 amounts to each well would shut down
 many marginal  well operations. In
 consideration of these comments, EPA
 has revised the regulations to give the
 Director dear discretion to approve any
 form of financial responsibility  which is-
 equivalent to a performance bond to
 close, plug, and abandon the well in a
 manner prescribed by the Director.
  The Director, might conclude,  for
 example, that the applicant's financial •
 statement  showing large assets
sufficiently proves the applicant's
financial stability and reliability. A

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                 Federal Register /  Vol 45. No. 98 / Monday. May 19;  ISSO / Rules and Regulations
    State Director might require an
    applicant to set up an escrow account
    where authorized by State law (because
    of Federal statutes, this alternative is
    not open to a Regional Administrator).
      Similarly, if the Director requires a
    performance baud, he or she may
    authorize an owner or operator :     •
.   controlling a large number of wells to '
    post a single instrument of financial
    responsibility Covering all well* within a
    State. EPA considered establishing a
    minimum dollar amount for performance
    bonds covering all wells within a State.
  . This did not appear practicable,
   however, for two reasons. First, such a
   fixed requirement seemed inconsistent
   with the broad discretion granted to the
   Director to approve alternative methods
   of establishing financial responsibility.
   Second, no dollar amount could be
   defined which EPA would be confident
'   would be adequate for afl wells under
   all circumstances,  without being
   prohibitively high for most cases. The
   costs of plugging aad abandonment
   range from S1500 for some Class II wells
   to as much as S30.oo6-S40.000 or more
   for seme Class I wells. In most
   situations. EPA believes that a $60,000
   bond would be sufficient for an
  otherwise financially stable owner or
  operator to post for a number of wells
  within a State However, this figure is
  only guidance, and the Director is free to'
  establish a higher or lower figure as
  circumstances dictate.
  .  Some cbmmenters contended that a
  bond! requirement would shut down
  marginal and stripper wells. Such wells
  are often operated by large multi-
  national corporations which should
  have no difficulty establishing financial '
 • responsibility absent a bond. For
  smaller operators, the Director will be
  able to employ a single instrument for
  all wells under the operator's control.
  This authority is expected to reduce the
  economic burden to the lowest possible
  point consistent with effective
  regulation.  ,

  § 122.43  Waiver of requirements by
,  Director,

    Some commenters suggested that
  some of the technical requirements of
  these regulations are not necessary
  when injection takes place-far from any
  potential drinking water source and
 where the fluids are not likely to migrate
 into a USDW. EPA agrees and has
 added limited authority to allow the
 Director to waive the technical
 requirements for operation, monitoring.
 and reporting in cases where the radius
 Of the zone of endangering influence is a
 negative number. In cases where
 injection does not take place into.
 through or above a USDW, the Director
   may also waive requirements for area of
   review, construction and mechanical
   integrity. The Director's fact sheet under
   paragraph fc) should explain not only
   the technical basis for the waiver under
   this section, but also why compliance
   with the requirements would riot be
   feasible.           • .  -
   leaks are found, then corrective action
   would of course not be required for •
   existing wells (See 40 CFR Part 148
   Subpart D).    '     .
  Proposed $ 122.13  Xoncoatplicace •
  reporting.      .          .
    This section has been moved to
  Subpart A. §122.17.

  \ 122.44 Corrective action.
    This section has been extensively
  rewritten both for clarity and substance.
  Several commenters objected to the
, . prpvjsipni ia the proposal that the  .
  Director shall prescribe steps for
 • corrective action by noting that the
  improperly completed Weils may be on
  property hot owned by the permittee.
  EPA has determined that no exception
  shall be made for situations when
  corrective action on a third party's land
  is necessary. The Director may still
 prescribe such steps, although of course
 ,he or she can not require that a third
 parry's property rights be violated.
 Rather, if an injector can not work out
 an agreement with a neighboring
 landowner, then the jpennit may be
 terminated or the injection will not be
 authorized. However, an additional
 -option available to the Director in
 setting corrective action requirements
 has been emphasized. This consists of
 limiting injection pressure, and may
 avoid shutting  some wells down in
 situations where other corrective    ;
 actions are impossible because of
 conflicting property interests.
   The burden and roles of the applicant
 or permittee and the Director in
 proposing corrective action have been
 clarified. The applicant must identify
 wells within the area of review. The -
 applicant may.  but is not required to,
 include a plan foe corrective action in
 the application. If no such plan is
 included, or if the plan is inadequate.
 the Director may request one. or require
 further information. The Director then
 places corrective action requirements in
 the permit
  Several of the paragraphs in the
 proposal covered the handling of
 migration of fluids into' USDYVs
generally rather than covering only
corrective action. These provisions have
been moved into the expanded eeneral,
prohibition against movement pi fluids
into USDWs. new § 12Z34.
  Some comznenters suggested that  •
Frasch wells should be exempted from
corrective action requirements because
economics preclude leaks in such wells.
If these commenters are correct, and no
   $122.45  Requirements for wetis
   managing hazardous waste.
     This section is intended to integrate
   the requirements of these regulations
'   with those issued under RCRA for
   hazardous waste management facilities.
   RCRA prohibits disposal of hazardous
   wastes except at facilities which are
'•   permitted under RCRA. In order to avoid
   needless daplicative regulation of the
   same disposal actions under two
   statutes. Subpart B of this Part
   establishes under RCRA a permit by
   rule fpr UIC wells which hold final
   permits under an approved State UIG
   program, or a federal program. The two
   programs should be consistent, however.
   Accordingly, this section establishes
   requirements simitar  to these under
   RCRA, but adapts those requirements to
   the particular circumstances cf injection'
   wells. ' ..       .               •,.'''"
    The ma-iifust system has been       !
   adopted without^hansre. However,
   financial responsibility for UIC facilities
  differs from that for RCRA-permitted
  facilities. EPA believes that the
  circumstances are fundamentally  •
  different. A properly sited, desigried and
  operated Class I disposal well offers
  little risk of-leakage and contamination
  during the period of injection. Thus the
  primary purpose of financial
  responsibility is to ensure proper
  plugging and abandonment. EPA     •
  believes this can be done more simply
  for UIC wells than for RCRA facilities
  and has accordingly left the Director
  broad  flexibility. Similarly, plugging and
  abandonment for a UIC well is
  dissimilar to closure for a RCRA facility.
  Plugging and abandonment is as close
.as can be obtained to assurance that
  fluids will not migrate  and contaminate
  drinking water sources. For a UIC Class
  I well,  observance of proper operating
  and pressure monitoring practices
  provide assurance agains't migration and
  contamination of USD Ws. After the well
 is plugged, the plugging operation leaves
 an impermeable barrier between the
 injection zone and acy USDW. Thus
 post-closure monitoring wells and other
post-closure maintenance required
 under RCRA are unnecessary. For a
HVVM facility, closure is only the
beginning of necessary extensive post-
closure monitoring and protection. Thus
plugging and abandonment is -ail that
these regulations require of wells,
injecting hazardous waste. However.
completion of required  procedures must
be certified by an independent
registered professional engineer. RCRA

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No. 98 /Monday.  May 19. 1980 / Rules and Regulations
   notification and training requirements
   apply without change to UIC wells.
     Other UIC program requirements are
   equivalent to their RCRA counterparts.
   For example, owners or operators of
   Class I wells are required to analyze
   injected fluids often enough to yield
   representative data on its
   characteristics (| 14G.13(b](l)J. They
   must regularly monitor and report to the
   Director injection pressure, flow rate
   and volume, annular pressure, and any
   other information which might indicate
   movement of fluids out of the injection
   zona(i!4ai3{c)). If the well leaks or    ,
   otherwise causes movement of fluids
   into USDWs, it must be repaired. To the
   extent that these wells present the
   hazards of explosion or other sudden
   Incidents requiring emergency  • • • • •
   equipment or contingency plans under
   RCRA, these hazards will be associated
   with surface facilities,  which'continue to
   be subject to RCRA even though they
   are at the site of an injection well.
   . In order to assure prompt application
   of controls under the UIC program.
  owners and operators of UIC wells
  injecting hazardous wastes must apply
  for a permit within six months of
  program approval.

  Subpart D—Additional Requirements for
  NPDES Program
    Subpart D of Part 122 contains
  requirements which are for the most
  part identical to those in Part 122 of the'
  final NPDES regulations, published on
  June 7.1978 (44 FR 32B54J. Subpart D-
  also contains the deadlines for request
  for variances from effluent limitations'
  (previously in i 124.51 of the NPDES
  regulations). The Agency received a
  large volume of comments on these
 provisions. Many of these comments
  either repeated or incorporated by
 reference the comments previously
 made on the NPDES regulations which
 became final on June 7,1979. EPA feels
 that comments that were made during
 the comment period for the June 7,1979.
 regulation have been adequately
 considered and addressed in the
 preamble to those regulations. EPA has
 considered only those comments on the
 NPDES regulations which raised new
 issue*.  Some changes have been made
 as a result of comments and of
 consolidation, as discussed below.
   Subpart D now incorporates
 regulations proposed separately on June
 14.1979 (44 FR 34393). The incorporated
 regulations accompanied the draft
 consolidation application forms (44 FR
 34348) and are intended to improve
 control of toxic pollutant discharges
. under the .NPDES program. Changes
 from the proposal include specification
 of the contents of the new NPDES
                          application form, new duties to report
                          certain pollutants, and accompanying
                          requirements for establishing permit
                          conditions. The regulations appear now
                          in §5 122.53.122.62.122.63. and
                          Appendix D. and are discussed in detail
                          in the preamble to the final consolidated
                          application forms published elsewhere
                          in today's Federal Register. The major
                          changes from the proposal are
                          summarized in this preamble in the
                          appropriate sections.   , .        .

                          \ 122,51  Purpose and scope.
                           EPA has expanded 5 122.51. Purpose
                         and scope, to include proposed 55 122.62
                         (Law authorizing NPDES permits) and
                         122.63 (Exclusions). The new section, in
                         line with other subparts, contains a
                         paragraph outlining the scope of the -v • -
                         NPDES permit program. The "specific
                         inclusions" list discharges that require
                         NPDES permits, although the list is not
                         exclusive.
                           EPA has added a new "specific
                         exclusion." 5 122.51(c)(2)(iv). which
                         deals with the need to discharge
                         chemicals and other materials to counter
                         the effects of sudden hazardous
                         discharges.-The provision exempts any
                         discharge made in compliance with the
                         instructions of an On-Scene
                         Coordinator. The Coordinator is a—
                         Federal official designated by EPA or
                         the U.S. Coast Guard to direct Federal
                         discharge removal efforts at the scene of
                         an oil or hazardous substance discharge
                         according to Regional Contingency
                         Plans. The exemption is necessary
                         because the NPDES permit process is
                         inappropriate for discharges required by
                         a Federal official in this context
                          Another new exclusion.
                         5 122.51(c)(vi). lists return flows from
                         irrigated agriculture as exempt from the
                        NPDES permit requirement This does
                        not represent a change in policy;
                        irrigation return flows are also excluded
                        from the definition of point source in
                        these and the prior final NPDES
                        regulations as required by section
                        502(14) of CWA. It is added here for
                        clarity.

                        S 122.52 Prohibitions.
                          Proposed § 122.67(i) (now 112?.52(i)J
                        included the terms "effluent limitation
                        segment" and "water quality segment"
                        which were defined in 40 CFR § 130.2
                        (a)(l) and (a)(2). Because those
                        regulations have been superseded, we
                        have deleted the two terms. The
                        provision now implements section
                        303(d) and 303(e) of CWA by prohibiting
                        permits for a new source or new
                        discharger if its discharge will cause or
                        contribute to the violation of a water
                        quality standard. A new source or new
                        discharger proposing to discharge into a
                                    water segment that does not now meet
                                    water quality standards or is not
                                    expected to meet those standar
                                    after the application of the effl
                                    limitations required by section
                                    301(b)(l)(A) and 301(b)(l)(B) of CWA.
                                    and for which a pollutant load
                                    allocation has been performed, may
                                    receive a permit if it shows that
                                    sufficient pollutant load allocations to
                                    allow for the discharge remain and that
                                    existing dischargers into the segment are
                                    subject to compliance schedules
                                    designed to eliminate the segment's
                                    noncompliance with water quality
                                    standards.
                                     Many commenters observed that no
                                    criteria were provided by the Agency for
                                    determining "entitlement" to pollutant
                                    load allocations. Upon reconsideration,
                                    we agree that it would be almost
                                    impossible to prove "entitlement:" thus.
                                   we have deleted the requirement that
                                   the applicant demonstrate the facility's
                                 •  entitlement to the remaining pollutant
                                   load allocation. In addition, the
                                   requirement that a discharger
                                   demonstrate, at the  time of applying for
                                   a permit, that there are sufficient
                                   remaining pollutant load allocations to
                                   allow for the discharge has been
                                   changed to allow the demonstration to
                                   be made at any time before the close of
                                   the public comment period. This change
                                   was made in response to comment
                                   compliance with the proposed re
                                   would be unduly burdensome an«^
                                   the information necessary to make the
                                   required demonstration, in many cases,
                                   would not be readily available  to the1'.-
                                   discharger at the time of application.

                                   5 122.53  Application for a permit.
                                    (1) New application requirement.
                                   Proposed 5 122.64(b) required existing
                                   permittees to submit a new application
                                   automatically when certain facility
                                   changes would either result in new or
                                   substantially increased discharges or a
                                   change in the nature of the  discharge, or
                                   violate the conditions of the permit.
                                   Commenters argued  that this would be
                                   unduly burdensome because of the
                                   detailed testing requirements which are
                                   likely to be a part of the new
                                  consolidated application forms. EPA
                                  agrees that this subparagraph is  •
                                  unnecessary for three reasons: (1) the
                                  regulations now require the permittee to
                                  notify the Director of planned
                                  alterations or additions to the permitted
                                  facility as soon as possible
                                  (5 122.7(1)(1)); (2) application-based
                                  notification requirements have been
                                  established for toxic  pollutants
                                  (§ 122.61(a)J; and (3) 5 124.5 gives the
                                  Director authority to  request an updated
                                  application from the permittee, if  '
                                  necessary, where cause exists to :

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                Federal Register. / VoL 45. No. 98 /  Monday. May 19. 198O / Rules and Regulations
                                                                       33337
   or revoke and reissue a permit Thus.
   this subparagraph has been deleted.
     (2) Final 5 122-53(cj phases in the new
   application requirements'which have
 .  been promulgated,today, (see
   §5 I22.4(d). 122^3(d) and 122.53(e)) for
   existing dischargers other than POTWs.
   These new requirements apply to (1) any
   such discharger whose existing permit
   expires after November 30.1980 and (2)
   any such discharger whose  permit
   expires on or before November 30,1930
   bat who has not submitted an   .
   application prior to April saisaa the
   approximate date these regulations
   become public. The reason for
   distinguishing between these two groups
   is discussed below:
 ,  The schedule for phasing  fa the new
   application requirements has been set
   after consideration of several factors.
   On one hand, it is desirable to make the
 -  requirements effective as early as
   possible so that the newly-required
   information On toxic discharges is made
   available to permit writers. On the other
   hand, as some conunenters have noted.
   applicants mnst'have ample time to
   sample and analyze their waste streams
   for toxic pollutants. A further
   consideration is the effect of § 122.10(b)
   of the final NPDES regulations (now
   incorporated, with changes, into
   S 122.53(c)J. The regulation (proposed in
   the consolidated permit regulations as
   5 122.64{bJ) required applicants for EPA-
  issued permits to reapplyat least 180
  .days prior to permit expiration. (Many
  NPDES States have similar rules.) Thin
 . permittees whose permits are due to
  expire before November 30,1980 had to
  submit applications to EPA by Jane 3.
  1980. It would be unfair to require
  dischargers in this group who have
 already applied to apply once again for
• the same permit.       -
    Based upon the above considerations.
 .EPA decided to phase in the new
 application requirements beginning with
 those dischargers whose permits expire
 after approximately si* months from
 when these regulations are promulgated.
 i.e, after November 30.1980.  Applicants
 whose permits expire before  that date
 will in most cases have already applied
 under the old requirements. They need
 not reapply except that those whose
 permits expire before November 30.
 1980, but who have not .yet applied by
 April 30,1980 are required to  apply
 under the new requirements.
   Dischargers whose permits expire
 after November 30.1980 must comply
 with the new application requirements,
 even if they have already applied for
 permit renewal It would be
 inappropriate to exclude these
 applicants from the new requirements
  simply because they have submitted
  applications unusually early.  .
    To allow applicants sufficient time to
  apply under the new requirements. EPA
  is temporarily relaxing its general
  requirements that applicants submit
  applications at least 180 days-before
 . permit expiration. The rule will initially
  be waived and then gradually phased
  back in accordance with the table In
  5 i22.53(c).           '
   EPA recognizes that in some
  situations, despite the relaxation of the
  180-day rulfc some applicants may not
  be able to sample and analyze  their
  waste stream* and submit the results by
  the application deadlines. Therefore.
  applicants whose permits expire be/ore
  Juna X. 1981 may apply for time ........
  extensions to submit that data.
  However.-the extension must be limited
  to a maximum of six months  and must'
  not go beyond June 30,1981. These
.  limitations are necessary to, ensure that
  permit issuance and compliance will
  meet the statutory July 1.1984 deadline
  of CWA section 301(b).
   (2) Information requiremeots. Section
  12Z53(d) lists the information which
  existing industrial NPDES permit
  applicants must supply to the Director in
  addition to the information listed in
  S 122.4(d). Dischargers applying to  EPA
  for their permits will supply this
  information on Form 2c of the .
  consolidated application forms.
  Dischargers applying to States for
 permits' will ase State application forms.
 which may be different from EPA's form:
 however, i 123.7(d) requires State forms
 to include  at least  the information listed
 in 9 12Z53(d).
   Additions to { 122^3 were proposed
 along with a public notice of the draft
 consolidated permit application forms
 as Part in of the June 14.1979 Federal
 Register (44 FR 34393. 34348), A detailed
 discussion of-the significant comments
 received on the proposal and EPA's
 responses appears in the preamble  to
 the public notice of the consolidated
 application forms published elsewhere
 in today's Federal Register. The major
 changes from the proposal are
 summarized as follows:
  (i) The sections of the regulations
 listing information  to be provided by all
 applicants have been moved to Subpart
 A of Part 122, discussed above at
 Sl22.4(d).            '..-..
  (iij A new paragraph has been added
 (§ 122.53(d)(lJ) which requires
 applicants to list the latitude and
longitude of each outfall and the name
of the receiving water.   •"       '••.    '
  (iii) The requirement for submission of
a line drawing with a water balance
(§ 122.53(d)(2). proposed as
 § 122i84(d)(9)) has been modified to
   indicate that flows may be estimated
   and that multiple operations may be
   indicated as a single unit Also, when a
   water balance cannot be determined.
,  . applicants may provide a pictorial
   description of the source, use. and
   treatment of water!
    (iv) The requirement to describe flow.
   processes contributing waste water,, and
   treatment units  (§ 122J3(d)(3J. proposed
   as 5 122.84(d)(10) and (14)) has been
   simplified by deleting the-requirement ,
   for reporting maximum flows for types
   of wastewater. including storm runoff.
  The new subparagraph also states
  processes may be described in general
  terms. Two requirements have also been
 • added: applicants must list the average
  flow of wastewater contributed by each
  process, and privately-owned treatment
  works must identify all users (see
  further discussion contained in the
  preamble to the  consolidated
  application form in today's Federal
  Register).        ,
    (v) The requirement to list the
  production or other measure of
  operation [e.g.. raw materials consumed.
  products manufactured) used in any
  applicable effluent guideline.
  (5 12Z53(d)(5). proposed § 122.64(d)(8)).
  has been modified to require listing of
  only a maximum measure of actual
  production as required by  § 122.63(dj(2).
   (vi) The analytical testing
  requirements have be.en modified in a
  number of ways  (§ 122.53(d)(7).    -    ' .
  proposed § 122.64(d)(18)J:
   1. The list of pollutants
  (S 122.53(d)(7)(i)) for which all       •
  applicants must test now includes
.  ammonia, and no longer includes  .
  cyanide, total phenols, and total
  Kjeldahl nitrogen.
 '  2. The list of organic toxic pollutants
 for which primary-industries must test in
 process wastewater has been specified ':
 for each of the 34 primary categories
 (see Table II in Appendix D to Part 122.
 Subpart D). (In the case of 2.3.7.8
 tetrachlorodibenzo-p-dioxin, (TCDDJ.
 the testing requirement depends on the
 applicant's use or production of a
 specific list, of chemicals potentially
 contaminated with TCDD.) The organic
 toxic pollutants are specified by the four
 fractions, tested by the Gas
 ChrOmotography/Mass Spectrometry
 analytical method. All primary
 applicants must test for cyanide, total
 phenols, and the metals on the toxics
 list Also, all applicants must  test for
 any toxic pollutant they expect to be
 present.    .               .  ;
   3. The list-of pollutants for which -
 applicants must indicate expected
 presence or absence now includes total
 organic nitrogen,  and no longer includes
 ammonia, asbestos, or additional  •

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    33338
Federal Register / Vol. 45. No. 98 / Monday.  May 19. 1980 /  Rules and Regulations
    pesticides (see Table IV in Appendix D
    Jo Part 122. Subpart D). Also, applicants
 .   who Indicate that a pollutant on this list
    {which includes all of the toxic
    pollutants except asbestos) is present
    must now teat for that pollutant, while
    the proposal allowed an estimate.
     4. A Bat has been added of pollutants
    for which applicants must indicate the
  , reasons for the presence of any
    expected pollutants (see Table V in
   Appendix D to Part 122, Subpart D). This
   list includes asbestos and 73 hazardous
   substances.
     (vU) A paragraph has been added
   (J 12Z53(dj{BJ) which exempts
•  applicants qualifying as small
   businesses from submitting analyses for
   any organic toxic pollutants., .  .
     (viHJ A paragraph has been added
   (f 122J53(d)(9) and (10)) requiring
   applicants to: (1) list any toxic
   pollutants which they use or
   manufacture; and (2) describe any
   discharges of pollutants they expect to
   exceed the maximum values reported
 .through testing.
     (ix) The requirements concerning Best
  Management Practices (BMP) plans and
  potential discharges of toxic pollutants
  or hazardous substances not through
  outfalls has been deleted (proposed
  S 122.64(d)(l2) and (13)).
    (x)The paragraph requiring reporting
  of additional chemical testing results
  has been deleted (proposed
  S 12Z04(d)(18)J.
    (xi) The paragraph allowing
 applicants the option of reporting
 information to obtain exclusions from
 the requirements'and penalties of
 section 311 of CWA has been deleted
 (proposed 1122.64(d)(19)j.
    (xii) The requirement to report any
 previous biological toxlcity tests
 (proposed ] 122.e4(d)(ia). now
 S 122J>3(d)(ll)) has been modified to
 delete the requirement to report the
 results of the test
    (xill) The requirement to report the
 identity of laboratories performing any
 reported analyses (i l2£53(d)(12)J, has
 been added, and modified to require
 identification of which pollutants were
 analyzed by the laboratories.
   (xiv) The paragraph allowing the
 Director to require additional
 Information from an applicant (proposed
 § 122.84(d)(20), now § 12233(d)(13)) has
 been modified by adding the word
 "reasonably."
   Section 122J3(e) deals with
 concentrated animal feeding operations
and aquatic animal production facilities.
It lists the information which permit
applicants must supply to the Director in
addition to the information listed in
i 322.4{d). Applicants applying to EPA
for theirpermits will supply this ,
                          information on Form 2b of the
                          consolidated application forms.
                          Applicants applying to States for
                          permits will use State application forms.
                          which may be different from EPA's form;
                          however. $ 123.7(d) requires State forms
                          to include at least the information listed
                          in 5 122.53(e).
                           Form 2b was published as a part of
                          the public notice of the draft
                          consolidated permit application forms,
                          in Part HI of the June 14.1979 Federal
                          Register (44 FR 34346). However, the
                          corresponding regulations were
                          inadvertently omitted from the proposed
                          application regulations {44 FR 39333.
                         June 14.1979). The final regulations
                         correspond to the final Form 2b, which
                         is published elsewhere in today's
                         Federal Register the comments received
                         and the changes made are discussed as
                         a part of that preamble. The regulations
                         require applicants to provide the.
                         following information:
                          (i) For concentrated animal feeding
                         operations, a description of the size of
                         the operation and of the waste-control
                         system.
                          (ii) For concentrated aquatic animal
                         production facilities, a description of the
                         water use and of the size of the
                         operation.
                          Two paragraphs have been added  to
                         { 12Z53. but are now reserved for future
                        publication of the application
                        requirements for POTWs and for new
                        sources. This material will be proposed
                        during the summer of I960 (1122.53(0
                        and(g)J.                           *
                          (4) New source applications and
                        variance requests. Certain requirements
                        from Part 124 of the final NPDES
                        regulations for applications from new
                        sources and requests for variances were
                        moved, to the application section of Part
                        122, Subpart D in the proposal. Final
                        SS 12ZS3(h). (i). U), and (k) include these
                        requirements with some rewording, but
                        no substantive changes. Also, the
                        definition of variance in S 122.3 has
                        been amended to include all
                        modifications and variances specifically
                        authorized by the Clean Water Act
                       Therefore, the term "variance" can be
                       used for all permit conditions based on
                       these CWA provisions, and the term
                       "modification" reserved for permit
                       modifications under § 124.5.
                         Final 5 I22.53(k) now specifically
                       allows the draft or final permit to
                       contain, along with the applicable
                       limitation, the alternative limitations
                       which may become effective
                       automatically upon grant of the
                       variance.
   § 122.54 and § 122.55  Concentrat
   animal feeding operations and
   concentrated aquatic animal prodi
   facilities.      ,   ,

     The detailed criteria for determining
   whether facilities are "concentrated
   animal feeding operations." (§ 122.54.
   proposed § 122.76), or "concentrated
   aquatic animal production facilities,"
   (§122.55. proposed 5 122.77) required to
   obtain permits, have been moved from
   the text and placed in Appendices B and
   C, respectively, to allow smoother
   reading of the regulations.

   S 722,57  Separate storm sewers.

    Section 12Z57(b) (proposed
   § I22.79(b)) defines a "separate storm
  sewer" as a conveyance used primarily
  for collecting storm water runoff, which
  is either located in an urbanized area or
  designated (normally because it is a
  significant contributor of pollution) as a
  separate storm sewer. EPA does not
  consider storm sewers which do not fall
  under this definition (i.e.. rural storm
  sewers or those not designated) to be
  point sources subject to NPDES permit
  requirements unless the storm water
  runoff is contaminated (see
  § 12Z57(b)(3J). The former NPDES
  regulations had a comment to that
  effect see 40 CFR S 125.52(a)(l).
  Because we did not repeat the lan
  of the comment in the June 7,1979
  revised NPDES regulations or in the June
  14,1979 proposed, consolidated  .
  regulations, commentera asked whether
  EPA was changing its policy. To make
  clear that we are not changing our
 policy, a sentence has been added
 (5 122.57(b}(2)) stating that such storm
 sewers are not point sources.

  S 122.59 General permits.

   EPA has rewritten and reorganized .
 the general permits section (proposed
 S 122.82) for clarity and to make minor
 changes. First the "General Permit
 Program Area (GPPA)" has been
 eliminated because this entity, along
 with its procedural trappings, served no
 purpose which could not be served
 equally well simply by the area.
 described in the permit Second, the
 proposal stated that the general permit
 program area could be "reviewed" if
 necessary to address water quality
 problems. The general permit can be
 modified for any of the causes listed in
 § 122.15 that apply to all permits.
Information indicating unacceptable
cumulative  impacts now appears as an
example of information which is cause
for modifying a permit under
9122.15(a)(2) and applies as well to^fi|
• •~™"'*wi"jv*'j w«v* a£f}/iiea cis well 1C
general and area permits under the
404 programs and UIC programs.

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               Federal Register / Vol. 45. No. 98 / Monday. May  19, 198Q /Rules and  Regulations
                                                                        35339
    Third, the procedure for EPA
.  Headquarters review of EPA issued
  draft general permits, proposed in
.  § 124.7(a)(2) and the comment following
 .§ 122.82(a), has been shortened to allow
  EPA 30 days rather than 90 to review
  and raise objections to the draft permit
  (final 5 124.58).
    Fourth, the proposal (§ 122:83(e)(2)J
  stated that the Director could revoke a  .
  general permit as it applied to an
  individual discharger and require that
  discharger to obtain an individual
  permit, but EPA could do this only after
  an on-site inspection. The requirement
  for an on-site inspection has been
  deleted because the causes for requiring
  an individual permit (examples are
  listed in J 122.59(b)(2)(i)J can be
  adequately determined without an
  inspection.       •',.-•
    Fifth, the sources other than separate
  storm sewers that may be covered by a
  general permit are no longer limited to
  "minor" sources, so long as the category
  specified in the permit meets the
 requirements of § '122.59(a)(2).
   Tinally, § 122.59(b)(2)(iv) clarifies that
  the general permit automatically
  terminates on the effective date of an
 individual permit

 \122.6O  Additional conditions
 applicable to all NPDES permits.

    § 122.60(a)(l j-states the duty, of the
 permittee to comply with toxic effluent
 standards or prohibitions regardless of
 whether they appear in the permit This
 requirement formerly appeared as a
 comment to proposed § 122.68(b).
    Section 122.60{b) (proposed
  5122.68(e)J: The proposal required a'
 permittee to control production arid all
 discharges upon reduction, loss, or
. failure of the treatment facility, until the
 facility is restored or an alternate
 method of treatment provided. Some -
 commenters argued that this
 requirement to control both production
 and discharges was burdensome and
 that some flexibility should be allowed
 based on the degree of honcompliance.
 EPA agrees in part and has revised
.§ 122.60(b) tq require a permittee to
 control either production or all
 discharges rather than both. However, if
 the circumstances warrant the permittee
 may still be required to control both
 production and all discharges.
   Portions of paragraphs (dj through (h)
 of proposed § 122.71 have been moved
 to S 122.60. These  monitoring
requirements are mandatory for all
.permittees and as such properly appear
in the standard NPDES permit
conditions. They are discussed under
 § 122.62(i) below.     ,    ;
   Section 122.60(f) contains the 24-hour
reporting requirements for NPDES. This
  paragraph is intended to coordinate
  with the reporting requirements under
  § 122.7(1). The proposal required 24-hour
  reporting of unanticipated bypasses if
  the permittee wished for the bypass riot
  to be "prohibited." This requirement has
  been coordinated with'the 24-hour
  reporting duties and therefore now
  applies in. all instances regardless of
  whether the bypass will be "prohibited."
  Similarly, in the proposal upsets only  ,
  had to be reported if the permittee
  wished to establish an affirmative
  defense to an enforcement action for
  noncompliance. This 24-hour reporting
  duty has now also been coordinated
  with the other 24-hour reporting duties
  and is mandatory in all instances where,
  the upset causes any effluent limitation
  in the permit to be violated. Finally, the
  Director may now specify in the permit
  any other pollutant which he or she
  wishes  to be reported within 24 hours if
  a maximum daily discharge limitation is
  violated.'          .
   Section 122.80(g) contains provisions
  covering bypass. The. paragraph has
  been extensively redrafted for clarity. In
  general, the paragraph now clarifies that
  bypass  which causes violation of
  effluent limitations is prohibited; the
  proposal appeared to place the
  presumption in favor of approval of a
  bypass. Consequently, ten day advance
  notice of any anticipated bypass which
  may violate effluent limitations is now a  '
  requirement in ail cases, and not simply
  an optional mechanism for obtaining
  "approval" of an otherwise prohibited
  bypass. Similarly, EPA has deleted the
  statement in proposed § 122.68(c)(3) that
  "if there is any doubt" as to the
  necessity for the discharge, enforcement
  action may be taken. Finally, the
  reorganized section clarifies the
  applicability of the requirement that
  backup  equipment be available to
.  prevent bypass, fa general, bypass will
  not be excused except in extreme
  situations, and the lack of adequate
  backup  equipment' for downtime periods
  will not be a defense unless the       <
  permittee could not have anticipated the
  need for such equipment at the time the
  facility was constructed. Similarly.
 although in general bypass which does
 not exceed effluent limitations is not
 prohibited, this is true only if the bypass
 also was necessary for essential
 maintenance.             ,

  1122.61  Additional conditions   , *.'
 applicable to specified categories of
 NP.DES permits.
   (1) Section 122.61(a) requires existing
 industrial permittees to notify the
 Director when some activity has
 occurred or will occur, causing them to
 discharge toxic pollutants at a level
 'exceeding five times the level reported
 in the permit application. Permittees
 most also notify the Director if they
 begin to use or manufacture a toxic
 pollutant which theydid not report in
 the permit application. This requirement
 has been changed from the proposal
 {§ 122.68(a) in Part III of the June 14.   ^
 1979 Federal Register (44 FR 34393))   .
 which established permit limits at five
 times  the reported level or detection
 limit In response to a large number of
 comments on this section, EPA has
 changed its approach towards    •
 controlling pollutants not limited in
 permits. A detailed discussion of the
 new section and the comments received
 on the proposal appears elsewhere in
 today's Federal Register in the preamble
'.to the public notice of the consolidated
 application forms. '  •             •
   (2) Section 122.61(b) specifies
 conditions applicable to all POTWs;
 They were proposed as §.122.69(d)(l), in
 the section titled "Applicable
 limitations, standa'rds, prohibitions, and
 conditions." Rather than leaving them as
 requirements for permit writers to
 specify on a case-by-case basis, they
 were moved, without substantive
 change, to this section because they are
 applicable to all PQTWs.

 1122.62  Establishing NPDES permit
 conditions.' "
   (1) We have.divided proposed
 5  122.69(a), which listed required
 limitations,-into two paragraphs,
 5  122.82(a) and (b). Section 122.62(a)
 contains requirements for technology- ..,'
 based limitations, to be imposed either
 on the basis of guidelines or case-by-
 case under § 125.3. It also specifies
 requirements concerning new source
 performance standards which were
 proposed as S 122.69(c).
   (2) Section 122.62(c) modifies the
 proposed § 122.69(b) by deleting the four
 dates in proposed Appendix A
 (September 30 and December 31,1980
 and March 31 and June 30,1981) and
 replacing them by a single date  .
 identified in the text of § 122.62(c),
 which is June 30,1981. Any permit
 issued on or before June 30,1981 to any
 dischargers in an industrial category
 listed in Appendix A must contain a
 reopener clause as provided in this   ;
 section. This will ensure incorporation
 of the requirements of effluent
 guidelines into permits issued to these
 dischargers. Any permit issued after
 June 30,1981 to these dischargers must
 meet the requirements of sections
 301(b)(2) (A). (C), (D). (E), and (F) of the
 Clean  Water Act, whether or not
 applicable effluent limitation guidelines
have been promulgated for those
 industries.    '          '-  '

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   33340
.Federal Register /- VoL 45.No.98 /  Monday. May ^9, 1980 / Rules and Regulations
     The effect of the revision from th.e  .
   proposal Js to extend the time during
   •which permit writers may wait for
   promulgation of guidelines before
   writing permits requiring BAT and BCT.
   This change has been made for several
   reasons.
     First, many commenters expressed
   concern that in the absence of
   guidelines, permit writers would begin
   setting BAT Emits on a caie-by-case
   basis, resulting in a lack of uniformity.
   As a solution, two commenters
   supported allowing the permitting
   authority to extend expired permits until
 -  applicable guidelines are promulgated.
    Th* dates in proposed Appendix A
  were derived by adding 18 months to th*
   effluent guideline promulgation dates set
   in tha original NRDC Consent Decree.
  Due to the enormity of the task, it
  became evident that EPA would not be
  able to meet that ambitious schedule.
  Therefore, the promulgation dates were
  delayed substantially in the modified
  Consent Decree on March 9,1973.
  Furthermore, a moderate slippage
  beyond the new deadlines is likely for
  some industries. As a result, some
 guidelines will bo promulgated after the
 applicable dates in proposed Appendix
 A*
    To maximize the usage of effluent
 guidelines by permit writers, the.
 September 30 and December 31,1980
 and March 31.1981 dates in proposed
 Appendix A have all been extended to
 June 30,1981 in the final regulations.
 Due to the statutory deadline of Jury l,
 1984. the June 30,1981 date is the latest
 date by which it would be reasonable to
 wait for promulgation of guidelines.
 After that date, permits must require
 compliance with sections SOlfbMZ] (AT,
 (C), (D), fE), and (F} of CWA. whether or
 not guidelines have been promulgated.
   In conjunction with revising the
 expiration dates for short-term BPT
 permits. EPA is revising one other
 aspect of its second round permits
 policy. On page 25 of "Policies and
 Guidance for Issuing the Second Round
 of NPDES Permits to Industrial
 Dischargers" (Jury 1978). EPA directed
 EPA Regional offices to issue only short-
 term permits to primary industries
 unless BAT guidelines for toxics were
 promulgated. (States were allowed to
 Issue long-term permits with reopener
 clauses, provided that the permits
 required BAT and BCT, based upon best
 engineering judgment). EPA is now
 rescinding this directive.
  As of today. EPA permit writers may
issue long-term permits to primary
industries even if guidelines have not
yet been promulgated, provided that the
permits require BAT and BCT and
contain reopener clauses. The reason for
                          this change is that the July 1.1984
                          deadline for compliance with BAT and
                          BCT is two years closer than it was
                          when the Second Round Permit Policy
                          was written. In some situations (for
                          example, when the applicable guideline
                          is not likely to be promulgated by July
                          1931) it may be appropriate to issue a
                          long-term BAT permit, rather than to
                          issue a short-term permit for a very
                          short period of tune and then issue a
                          long-term permit soon afterwards.
                           In general. EPA continues to
                          encourage EPA (as well as State) permit
                       .   writers to issue short-term permits (or,
                       -  where necessary, extend them
                          administratively undar section 558(c) of
                          the Administrative Procedures Act or
                          analogous State law) to primary ,-
                          industry dischargers until BAT
                         guidelines are promulgated or until July
                         1.1981 (see { 12iS3fcj). However. EPA
                         permit writers are now being given the
                         same flexibility as State permit writers
                         have had to issue long-term BAT and
                         BCT permits, based on best engineering
                         judgment, fa appropriate circumstances.
                          Th* proposal also required the
                         reopened permit to be modified to
                         include "any other requirements of
                         CWA then applicable," and stated that
                         the reopened permit could be "modified
                         or, alternatively, revoked and reissued."
                         These provisions are inconsistent with
                         the provisions of § 122.15 and. because
                         they are not required by paragraph 10 of
                         the NRDC v. Train settlement
                         agreement, they hare been deleted. The
                         reopener dauae now requires that "the
                         permit shall be modified or revoked and
                         reissued to conform to that effluent
                         standard or limitation."
                          (3) Section 12Z62(d) (proposed
                         §122.69(f)) li«ts water quality standards
                        and State requirements in addition to or
                        more stringent than technology-based
                        standards or limitations. Proposed
                        S 122.69(0(10). which included
                        technology-based limitations on
                        pollutants not limited in guidelines, has
                        been deleted from this paragraph,
                        because such limitations are now
                        covered by expanded f 122.62(a).
                          In response to a comment that
                        proposed 5122.69(0(3) was overbroad.
                        EPA has amended § 122.62(d)(3) to
                       ! provide that an NPDES permit will not
                        include more stringent conditions of a
                        State certification which has been
                        stayed by a court of competent
                        jurisdiction or by an appropriate State
                        agency. EPA will include in the  permit.
                        however, any more stringent conditions
                        necessary to meet EPA's obligation
                        under § 301(b)(l)(C) of CWA.
                          (4) Section 122.62(e) requires permits
                        to contain limits controlling all toxic
                       pollutants which either are reported at
                       levels exceeding BAT or are used or
   manufactured at the facility. Limits
   be placed directly on these" toxic
   pollutants,- or indirectly on other
   pollutants if those limits will result
   equivalent treatment of the toxic
   pollutants. This provision is included in
   the final regulations as a result of a
   change in the Agency's approach toward
   controlling pollutants not limited in
   permits. In the preamble to the
   regulations proposed in Part III of the
   June 14.1979 Federal Register (44 FR
   34393). EPA expressed the policy that
   permits should control all significant
  pollutants, and that the proposed
  application-based limit (proposed
   5 122-68{a)J was designed only to control
  unexpected pollutants. In response to a
  large numberof comments, EPA now
  distinguishes between pollutants that
  should be controlled by the permit and
  all other pollutants, which are.regulated
  only by the requirement that permittees
  notify the Director when their discharge
  does or will exceed five times the
  reported level or detection limit of toxic
  pollutants (J 12Z81(a)J. A more detailed
  discussion of these regulations appears
  elsewhere in today's Federal Register, in
  the preamble to the public notice of the,
  consolidated application forms.
    (5) Section 122.62(g) is a new
  provision which requires permit write
  to specify which pollutants will reqa"
  24-hour notice under j 122.60(0(3) tl
  Director when their maximum daily
  discharge limitations are violated. This
  is a change from the proposal
  (§ 122.11(h)) which required 24-hour
  reporting for toxic pollutants and
 hazardous substances. Because in some
 cases toxic pollutants and hazardous
 substances will be controlled by limits
 on other pollutants,,permit writers must
 be able to require 24-hour reporting for
 these other pollutants. In addition, the
 Director may specify any other pollutant
 as one which must be reported if a
 maximum daily discharge limitation is
'exceeded.
   (6) Section I22.62(h) specifies that
 NPDES permit durations must comply
 with 5 122.64. All provisions of Subpart
 D which contain requirements for how
 permits must be written are cross-
 referenced in section 122.62.
   (7) Monitoring. Section 122.62(i)
 (proposed 1122.71) specifies the
 monitoring requirements that must be
placed in NPDES permits. Proposed
 § 122.71. "NPDES requirements for  •
recording and reporting of monitoring
reports" (sic) has been deleted and its
provisions placed in this section and
§§ 122.7 and 122.60 to conform to the
organization of the consolidated
regulations. The requirement to repc,
all monitoring and the statements of i

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               "Federal Register  /  Vol. 45. No. 98 /  Monday. May 19. 1980 /  Rules and Regulations       3334!
   potential liability for falsifying
   monitoring results under the Clean
   Water-Act have been moved to final
   § 122.60 (conditions applicable to all
   NPDES permits], with only minor
   wording changes.
    Proposed § 122.71(d) is deleted from
   the final regulations. This provision
   encouraged permittees to request-that
   additional monitoring requirements be
   placed in their permits when they felt
   that the conditions in their draft permits
   were hot sufficient to yield*
   representative data. It was deleted
   because section (g) of proposed § 122.71
   (retained with minor wording changes
   as 5 122.60(f)(2]) required that
   permittees use all monitoring results in
   calculating compliance with permit
   limits, including any results from
   monitoring more frequently than
   required by the permit. Therefore.
.   permittees may undertake additional
   monitoring to yield more representative  .
   results without requesting permit
-   modifications. (The general 'requirement
   that monitoring be representative now
  appears in § 122,7, applicable to all
•  programs).
    Other provisions of proposed 5 122.71
  appear m final 5 122.62(i). Certain
  changes have, been made in this
  paragraph to correspond to the Agency's
  policy concerning the use of test
  methods which are approved under 40
  CFR Part 136 and which are used in the
  development of effluent standards and
  limitations. Specifically, the final
  regulations state that permits must'
  require monitoring using test methods
  approved under 40 CFR Part 136, for all
  pollutants having approved test
  methods, and that permits must specify
  a test method to be used in monitoring
  for pollutants not having approved test
  methods. (Approved test methods
  include any alternate test method
  approved by the procedures in 40 CFR
  Part 136; therefore  the additional
  language in proposed § 122.71(b)(l) is
  unnecessary and is deleted.) The major
  change from the proposal is the deletion
  of the requirement  that the Director ,
  specify monitoring test methods to
  correspond to the test methods used in
  developing effluent limitations.        '-
 proposed 5 122.71(b)(3) and (4). This
 requirement has been deleted because it
 is not always appropriate to constrain
 the choice of monitoring methods to
 those used in developing effluent
 guidelines. Additional provisions i» the
 proposal which required the permit to
 specify any test methods and sampling
 frequency required by standards or
 guidelines (proposed §§ 122.71(b)(3), (4).
 and I22.71(c)) have been deleted
 because the general requirements of
  § 122.62 that permits correspond to
  standards and guidelines will ensure
  that these requirements (which are
  unusual in standards and guidelines)
  will be incorporated into the permit.
   The final regulations retain the
  proposed provision allowing the
  Director to specify monitoring
  requirements for pollutants reported-in
  the application form but not limited in
  the permit The proposal appeared in
  Part III of the June 14,1979 Federal
  Register (44 FR 34393) as a part of the
  proposed consolidated application
  forms. Final  § 122.62(i)(lpi) retains/the
•  provision as one example of additional
  monitoring requirements the Director
  may specify  in the permit
   The requirement' for specifying in
  permits a schedule for submitting
  monitoring results, alluded to in
  proposed § 122.14(d) but inadvertently
 dropped from proposed Subart D. now
 appears in J  122.62(i)(2) and follows the
 requirement  that the minimum frequency
 be once-per year, with certain
 discharges requiring more frequent
 reporting, as in the final NPDES
 regulations published on June 7,1979
 (S 122,23(3). 44 FR 32910).
   (8) Section 122.620) contains the
 requirement, for permits to require a
 pretreatment program from POTWs. »
 Minor wording changes have been made
 from proposed 5 122.69(d). Other parts
 of proposed .5 122.69(d) are incorporated
 in S 122.61(b).
   (9) Best management practices. The
comment following the requirement for
permits to contain management
practices (proposed 9122.69(g). now
 S 122.82(k)) has been deleted as  '
unnecessary; however, the examples of
management  practices are still
applicable. It should be noted that
separate requirements for developing a
Best Management Practices program are
contained in Part 125. Subpart K.  -
   (10) "Anti-backsliding."Proposed
§ 122.68U) (now J 122.62(1)) reflects
EPA's "anti-backsliding policy" as
initially modified in the. NPDES
regulations. This policy prohibits the
renewal or reissuance of NPDES permits
containing interim effluent limitations
less stringent than those imposed in the
previous permit The three exceptions
applied only .when both (1) the previous
permit limitations were made on a case-
by-case basis under section 402(a)(l) of
CWA in the absence of promulgated
effluent guidelines, and when (2) the
subsequently  promulgated effluent
guidelines were less stringent.
Numerous comments were received
asserting that the provision was unduly
restrictive. One commenter noted that
the proposed regulation could be
construed to "lock" dischargers into
   maintaining a fixed treatment efficiency
   even when maintenance of that.
   efficiency level was not necessary to
   compl^ with applicable effluent
   guidelines. EPA1 reconsidered,the "anti-
   backsliding" rule and has added two
.   new exceptions. The first, § 122.62(1)(4).
   explicitly states what was implicit
   before: less stringent limitations may be
   appropriate when there has been a
   material and substantial change in the '
   circumstances on which the previous -
   permit was based which would
   constitute grounds for permit
   modification or revocation and
   reissuance. The second new, exception
   to the rule.  § 122-.62(1)(5). allows
 ,  reducing permit limitations to
   correspond to subsequently-
   promulgated guideline limitations when
   increased production significantly
   reduces treatment efficiency. This-
   exception will, in effect, allow
   dischargers that have constructed
   treatment facilities which are capable of
   treating increased discharges resulting
   from a  substantial increase in
  production to take advantage of this
  "banked" treatment efficiency as long as
  doing so will still allow  them to meet
 - permit  limits based on subsequently
  promulgated effluent guidelines.
    (11) Privately owned treatment works.
  Discharges of pollutants are within the
  jurisdiction of CWA whether they are
  made directly or indirectly into
  navigable waters. See United States v.
  Granite State Packing Co., 343 F. Supp.
 57 (D.N.H. 1972). affd 470 F.2d 303 (1st
 Cir. 1972). Some dischargers, however,
 arrange for other private companies to
 treat their wastes before discharge into
 navigable waters. Although all these
 dischargers technically require NPDES
 permits under CWA, controls usually
 are most appropriately applied at the •
 point of treatment. In recognition of this
 fact and in response to comments
 critical  of a requirement that users of  : ;
 privately owned treatment works obtain
 NPDES permits. EPA has made several
 changes that affect these users. We have
 added a new subparagraph (m) to
 authorize the permit writer to include in
 the permit issued to a privately owned •
 treatment works any conditions
 expressly applicable to any user, as a   •
 limited co-permittee, that may
 reasonably be necessary to ensure
 compliance with applicable
 requirements of the NPDES program. For
 example, a permit issued to a treatment
 works might require each user to notify
 the Director if it begins or expects to
 begin to use or manufacture a toxic
 pollutant not reported in the permit
 application. The permit writer
 alternatively may issue separate permits.

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   33342       Federal Register / Vol. 45. Mo. 98  /  Monday. May 19. 1980 / RuJes and  Regulations
   to the treatment works and to the users;
   or may require any user to submit its
   own permit application. The Director's
   decision to (1) impose no conditions-
   applicable to the users, (2} impose
   conditions on one or more users. (3)
   Issue separate permits, or (4) require  .
   separate permits, and the basis for the
   decision, must be included in the fact
  'Sheet prepared for the draft permit This
   discretionary authority should provide
   the Director sufficient flexibility both to
   ensure compliance with applicable
   standards and limitations and to
   minimize any administrative burdens.
   Proposed 112Z84 has been amended by
   adding a new provision (now
   § 322J53(d)(3}) that requires the privately
   owned treatment works to identify in its
   permit application all users of the
   treatment works. Sections
  122.51(c)(2)(b)(ii) (amending proposed
   5 12ZB3(a)) and 12Z53(a) (proposed
   S 122.&4(ajj exclude users from having to
  apply for and obtain a permit, except as
  the Director otherwise may require
  under f 122JJ2. Finally. EPA has
  amended proposed  § I24.1l(b)(l] to add
  a new subparagraph (now
  112MO(c](2)(vJ) to require that public
  notic* of permits be sent to users
  Identified In the permit application
  submitted by the privately owned
  treatment works. These requirements
  apply prospectively. so that only after
  the effective date of these regulations
  will privately owned treatment works
  have to identify their users in their
  permit applications and permit writers
  be required to choose whether to impose
  permit conditions or application
  requirements on such users under
  S 12£83(m). (Of course, permit writers.
  in appropriate cases, may determine
  that it is unnecessary to impose any
 permit requirements on the users of the
  treatment works.) Existing permits held
 by privately owned treatment works,
 however, may contain conditions
 applicable to their users (whether or not
 thetwers are identified in the permit).
.Permitting authorities will continue to
 enforce those conditions. See  the
 Decision of the General Counsel No. 43
 (Friendswood Development Company).

 $12Z63  Calculating NPDES permit   '
conditions.

   (1) Section 12Z63(b) sets requirements
for calculating permit limits on the basis
of the actual production of the facility.
The regulation has been reworded with
no substantive change from the
proposed 102i70(a)(2). including the
comment Additionally EPA has now
specified that the time period for the
production must correspond to the time
period for the permit limit For example.
permit limits usually are written for a   *
   maximum daily discharge, and an
   average monthly discharge which is
   usually lower by a factor of 1.5 or 2.
   Therefore, a one-month' production
   figure should be used to calculate the •
   average monthly discharge limitation, or
   a one-day production to calculate the
   maximum daily limitation.
    (2) Paragraphs (c). (d). and (e). have
   been reworded from the proposal with
   no substantive change. The definitions
   in proposed 5 122.70{c} have been
   reworded somewhat and moved to the
   definitions section.
    The definitions of "average monthly
   discharge limitation." "average weekly
   discharge limitation." and "maximum
  daily discharge limitation" all use the
  term "daily discharge." which is also
  defined. This has allowed the
  elimination of duplicate wording in the
  definitions and has made the  terms more
  nearly parallel.
    (2) Paragraph 122.63(0 (proposed
  § 122.70(c) and (d)) now provides permit
  issuers greater flexibility in using
  concentration limits. Whenever
  appropriate, permits may include a
  concentration limit in addition to'a mass
  limit Limitations expressed exclusively
  in terms other than mass may be used
  (1) when applicable effluent guideline .
  limitations are expressed other than in
  mass; (2) when on a case-by-case basis
  the mass of the discharge cannot be
  related to production or other measures
  of operation, and dilution will  not be
  used as « substitute for treatment: or  (3)
  for pH or other pollutants which cannot
  appropriately be expressed as mass. For
  example, total suspended solids
 discharges from certain mining .
 operations may be unrelated to
 measures of operation. Finally, a permit
 can always contain a non-mass limit in
 addition to a mass limit, and the
 permittee must comply with  both.   •
   (3) J 122&3{i) (proposed S 122.70(i))
 concerns requirements for placing
 limitations on internal waste streams.
   The provision now requires the permit
 writer to include in the fact sheet under
 S 124.58 the unusual circumstances
 which require the imposition of such
 limits. This requirement will ensure that
 the permittee and other interested
 persons will be able to judge the reasons
 why such limitations, which are to be
 imposed only in exceptional
 circumstances, are being used in each
 case.

 § 122.64  Duration of certain NPDES
permits.

  This requirements section has been
modified by deleting the dates in
proposed Appendix A and replacing -
them in the body of the regulation with
the single date of June 30,1981. The
   reasons for this change are discussed in
   the preamble to § 122.62(c).
   1122.66 New sources and new
   dischargers.
     (1) Paragraph 12i6S(d)(2) (proposed
   § 122.81(d)J governing exclusions from
   the protection period has been modified
   slightly to clarify that the Director may
   impose any permit limit in conformance
   with S 125.3 on a toxic pollutant or
   hazardous substance not controlled by
   new source performance standards
  during the protection period, thus
  including limits imposed on a case-by-
  case basis as well as those required by
  effluent guidelines.
    (2) Proposed § 122.81(d)(3) (now
  § 122.66(d)(3)J required that permittees
  with a 10 year "protection period"
  pursuant to § 122.81(d)(l) be in
  compliance with all applicable
  requirements immediately upon the
  expiration of the protection period.
  Some commenters were  concerned that
  when new requirements were
  promulgated a short time before the
  expiration of the protection period this
  section could force dischargers to shut
  down pending construction of treatment
  facilities necessary to achieve
  immediate compliance. EPA recognizes
  this concern and has revised final
  S 122.66(d)(3) to allow additional tir
  for compliance, but only  when
  necessary to comply with requirer..,
  promulgated less than 3 years beforeTJTe
  expiration of the protection period. This
  three-year period parallels the
  requirements of sections  301(b)(21(Dl
 and (F) of CWA. which allow
 dischargers up to three years to comply
 with certain newly promulgated effluent
 limitations.
   (3) An additional change to proposed
 S 122.81(d)(4) (now § 122.68(d)(4)J allows
 new dischargers which-cbmmenced
 discharge before August 13.1979 (the
 effective date of the June 7.1979. NPDES
 regulations) to qualify for schedules of
 compliance. (See further discussion in
 the preamble to § 122.10(a).)
   (4) Some commenters seemed
 confused about the distinction in
 proposed § 122.81(b) (now § 122.66(b))
 between construction that creates a new
 source at the site of an existing source
 and construction that only modifies the
 existing source. Therefore, we have
 clarified paragraphs (b)(l) and (b)(2) to
 emphasize that construction of a new
 source requires construction of a new
 building, structure, facility, or
 installation. Construction  that alters,
 replaces, or adds to existing process or
production equipment without creating
these separate, physical entities is   ""•
merely a modification subject to  '(
§ 122.15. For example, the construct!

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                Federal Register /VoL 45.No.98 / Monday. May ig. 1980 /Rules and Regulations
                                                                         33343
   of an additional digester within an
   existing building at a' pulp mill to
  . increase plant capacity would be a
   modification, whereas the construction
   of a separate building to produce
   inorganic chemicals at the site of an
   existing organic chemicals plant would
   create a new source.
     (5) Section 12i6e(c) (proposed
   5 122.81(c)) contains several minor
   changes to conform to the Council on
   Environmental Quality's regulations for
   implementing the procedural provisions
   of NEPA. 40 CFR -Parts 1500-1508. Those
   regulations include • requirement that
   agencies prepare a finding of no
   significant impact rather than issuing a
   "negative declaration" where an
   environmental assessment has been
   prepared which indicates that an
   environmental impact statement (EIS) is
   not needed. Thus the final section      '.
   substitutes the phrase "finding of no
 .  significant impact" where the proposal
   required a "negative declaration."
    •Section 122,'66(cj(4)(ii) (proposed
   § 122.8I(c)'(4)(ii)) barred on-site
 •  construction for new sources for which
   an EIS was not required until 15 days
  after issuance of a negative declaration.
  This paragraph has been cha'nged to
  state that on-site construction shall not
  commence until 30 days after issuance
  of a finding of no significant impact, to
  allow for public comment in line with
,  CEQ's NEPA regulations at 40 CFR
   S 1501.4(e). and EPA's regulations
  implementing CEQ's regulations at 40
  CFR S 6.400(d). CEQ's regulations. 40
  CFR § I501.4(e). provide in certain
  circumstances that no action  shall be
  taken  until 30 days following  the
  issuance of a finding of no significant
  impact to allow for public review. EPA,
  has decided that this rule shall apply in
  all cases where, a finding of no
  significant impact has been issued, in
  line with the public review procedures
  for final  environmental impact
  statements.
 Proposed  5 122.72.
   Proposed S 122.72. iwhicn contained
 NPDES'noncompliance reporting
 requirements, has been moved to
 S 122.18.  The substance of the proposed
 section has not changed. All of the
 noncompliance reporting requirements
 for each program have been
 consolidated in § 122.18.
 Proposed $122133.       •
   EPA has deleted. § 122.83 of the
 proposal. "Special considerations under
 Federal law." However. EPA-issued
 NPDES permits must still reflect
 requirements of other applicable Federal
 laws or regulations under section
 301(b)(l)(CJ of CWA. as incorporated in
  5 122.61(gJ(5J. In addition, all EPA-    •
  issued permits must reflect requirements
  of other Federal laws or regulations.--as
  listedlin § 122.12 and-as further
  discussed in the accbmpaning.preamble
  discussion.             '            .  '
  Appendices

    New appendices have been added
  (and modifications have been made to
  Appendix A, discussed in the preamble
  to S 122.82(c)). Appendix B lists criteria
  for concentrated animal feeding
  operations under S 122.54 and Appendix
  C lists criteria for concentrated aquatic
  animal production facilities under
  S 122.55. Appendix D lists several tables
  of pollutants required to be tested by
  existing industrial  dischargers under
  8 122.53(d). di*cu»sed in the preamble to
 'the consolidated application forms
  elsewhere in today's Federal Register.

  Table VII.—Relationship of June 7 Part
  122 to Today'i Regulations

 Summary of Changes from Part 1^> of
  the June 7 Regulations
   EPA has developed, the Table VII for
 use by readers who are familiar with
 Part 122 of the filial NPDES regulations
 published on June 7.1979 (44 FR 32854).
 The table shows the new numbering of
 each section of Part 122 of the June 7
 regulations, and shows what changes.
 additions, and deletions have been       >•
 made to. the paragraphs and
 subparagraphs of each section. We hope-
 that this table will provide a guide to a
 more detailed examination of the
 changed regulations themselves. The
 table is organized as follows:
   •  The first column lists each
.paragraph.or subparagraph of the June 7
 regulations in order.
  • The middle column, in the first
 phrase, gives the subject of the June 7 •, ••
 paragraph or subparagraph in a few
 words. The second phrase gives a
 summary-indication of changes from the
 June 7 regulations.
  * The last column lists the paragraphs
 or subparagraphs of today's regulations
 corresponding to the contents of the.
paragraph or subparagraph of the June 7
regulations in the first column.
  • Each June 7 section heading {for   •
example. Purpose and scope) is listed
separately and italicized. At the end of
each June 7 section, any additional
paragraphs in the corresponding section
pf today's regulations are listed. A blank
in the first column.indicates that the
paragraph is competely new. A
bracketed reference to a paragraph of
the June 7 regulations in the first column
indicates that the paragraph has been
moved into the corresponding section of
today's regulations from some other
section of the June 7 regulations. In both
instances no explanation appears in the
second column. This is because the. ,  :
bracketed June 7 paragraph is also
listed, and explained, in the place where
it originally appeared, and because
completely new material is fully
addressed in this preamble. These two
devices ensure^hat all additional
changes and reorganizations pertaining
to a section of the June 7 regulations are
noted at the end of the section. •
BILLING CODE 6HO-01-M

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  33344      Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulati
                                    . TABLE VII

             RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
  June 7 Paragraph
  	Number	

  5122.1
  Sl22.1(b)



  Sl22.1(b)(3)


 S122.1(c)



 S122.1(d)
 Sl22.1(d)
 [Comment]
 S122.2


 S122.2(a)


 Sl22.2(b)


 S122.2(c)


 S122.2{d)


S122.2(e)
  Subject and Any Changes

  Purpose and scope
  Coverage of NPDES.
    Reworded, no substantive
    change

  Coverage of 122, 123, 124.
    Reworded, no substantive
    change

  Coverage of 125 by States.
   Moved  to  Part 123

  Permits  implement the law.
   Deleted, duplicates other
•   provisions

 Permits  issued by RA or State
 Director.
   Deleted, duplicates
   definitions

RA and State Director 'include
delegees.
   Deleted, duplicates
   definitions

Law authorizing NPDES permits.  , .
   Minor wording changes

301(a)  of CWA.
   Minor wording changes

402(a){l)of CWA.
  Minor wording changes

318{a) of CWA.
  Minor wording changes       '

405 of CWA.
  Minor wording changes

402(b), 318(b) & (c), 405(c) of CWA.
  Minor wording changes•
  Today's Paragraph
      Number(s)

  §122.1, §122.2,
    §122.51
 §122.1(b)
 S123.7(d)
 §122.51


 §122.51(b)(l)


 §122.51(b)(2)


 §122.51(b)(3)


§122.51(b)(4j


§122.51(b){5)

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            Federal Register / Vol. 45. No. 98 / Monday. May 19. 198O / Rules and Regulations
                                                              33345
           ,         .              .   TABLE VII       '     ' '

           RELATIONSHIP OF JUNE 7 PART 122 :Tp  TODAY'S  REGULATIONS
                           '    '   (Continued)
 June 7 Paragraph
 	•  Number
 S122.2(f)


 S122.2(g)


 §122.2(h)


 §122.2(1)



 S122.3
 S122.3
 {Comment]
S122.3'(a)


5122.3(b)



Sl22.3(c)


Sl22.3(d)



Sl22.3(e)


Sl22.3(f)



§122.3{h)
 Subject and Any Changes


 404 of ,CWA.
   Moved to Part 123

 304(1) of CWA.
   Minor wording changes

 501(a) of CWA.
   Minor wording changes

 101(e) of CWA.
   Minor.wording-changes
 t        •     ,•       '   , •

 Definitions
Other terms defined in CHA.
  Minor wording changes';  coment
  incorporated
             ,      ..
  Deleted, CWA used  instead

"Administrator"
  Added:  "or  an authorized
  representative"

"Application"      .         •
  Minor wording changes

"Applicable standards  and
limitations"
  Minor wording changes

"Approved State program"
  Most of definition deleted

"BMPs":   '    ;    .   .   -;.-•
  Minor wording changes;
  combined with 404

"Direct discharge"
  Minor, wording changes
 Today ;'s- Paragraph
     Number(5)
 S123.1


 S122.51(b)(6)
 S122.51(b)(8),
   Sl22.1(e):.
 §122.3/No longer with
   paragraph numbers,, ..

 S122.3
CWA used instead


S122.3  .




S122.3


S122.3.

*


S122.3


S122.3  '




§122.3   .

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  33346      Federal Register / Vol. 45. No. 98 /Monday. May 19.1980 / Rules and Regulations

                                     TABLE VTI

             RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS '
                                  (Continued)



  JUnS l^S^^       CK-      ^                  •          Today's Paragraph
  	Nvmber            Subject and Any Changes                    Numbers)


'  5122.3(i)               "Director"   '                          $122.3
                          Comment incorporated into text            "           •

  5122.3 (j)               "Discharge"   .            .            §122.3
                          Minor wording changes

  5122.3(k'}               "Discharge  of a pollutant"              §122.3
                         ' Minor wording changes

 5122.3(1)               "DMR"                             . ,     Si22.3
                          Minor wording changes

 5122.3(m)               "Effluent limitation"                   §122.3
                          Minor wording changes      .

S122.3(n)              "Enforcement Division Director"
                          Deleted as applicative

5l22.3(p)           •   "Indirect discharger"                  §122.3              ifll
                          Minor wording changes                                    ^B^

5122.3(q)              "Interstate agency"       *            5122.3
                          Minor wording changes     •

5122^3(s)              "NPDES"                                §122.3
                          Added:  "pretreatment"                   *.'.-.       ,

5122.3(t)              "Navigable waters"
                          Term is deleted:   minor wording               .
                          changes for definition of  "waters          '
                          of the United States"

Sl22.3(u).              "New discharger"                        5122.3             ".
                          Includes indirect discharger             "
                         switching  to direct discharge, and
                         mobile point sources  which move
                          (e.g., drilling rigs)

S122.3£v)              "New source"                      .     §122.3
                         Minor wording changes; comment
                         deleted.

-------
             REIATICNSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                               ,   (Continued)                 •
  June 7 Paragraph                 .
   -    Number            Subject and Any Changes
  S122.3(w)



  S122.3(x)


  §122.3(z)

 \


 §122.3(aa)


 §122.3(bb)


 S122.3(cc)


 S122.3(dd)


 $122.3(hh)


Sl22.3(ii) r


5122.;
S122.3(kk)




{S122.16{c){3J]


[S122.16{c)(4)J
   "Permit"         . •„.   .-..'"
    Reworded;  includes general permit;
    excludes draft and proposed permits

  ."Person"             ..  _
    Reworded, no substantive change

  "Pollutant"                    ,
    Minor wording changes; coiment
    incorporated into note

  "Process, wastewater"
    Same    '  .     .   •        ,1

  "POW"
    Reworded, no substantive  change

  "Regional  Administrator"
    Minor wording changes

  "Schedule  of compliance"
    Minor wording changes

  "State"
   Minor wording changes
    t       '       .
 "State Director"
   Minor wording changes

 "Variance"     •

  • tipns of time deadlines

 "Waters of the United States"
   Now defined;  wording changes,
   Clarifying treatment ponds
   exclusions

 "Average monthly discharge
.limitation"
                                                                Today's Paragraph,
                                                                    Number(s)
                                                                §122.3
                      "Average weekly discharge
                      limitation"
                                                               §122.:
                                                               S122.3
                                                               S122.3


                                                               S122.3
 §122.3


 §122.3



 §122.3




§122.3,


§122.3

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  33348       Federal Register / Vol. 45. No. 98 / .Monday. May 19. 1980 / Rules and Regulations
                                      TABLE VII

              RELATIONSHIP OF JUNE 7  FART 122 TO .TODAY'S REGULATIONS
                                   (Continued)
  June 7 Paragraph
  	 Number
  15122.16(c)(l)]
  ISl22.16(c)(2)J
 !Sl22.3(t){6)]


§122.4

5122.4(a){l)


Sl22.4(a){2)
  Subject and Any Changes


  •Continuous discharge"

  "Daily discharge"

  "Draft permit"     ,       '

  "Effluent limitations guideline"

  "Facility or activity"

  "General  permit"

  "Hazardous substance"
                         *
  "Major facility"

  "Maximum daily discharge limitation"

  "Owner or operator"

 "Primary industry"
                                  \
 "Privately owned treatment works"

 "Proposed permit*

 "Recommencing discharger"

 "Secondary industry"

 "Site"                   '

 "State/EPA Agreement"  .

 "Toxic pollutant*
          •
 "Wetlands"


Exclusions

Sewage from vessels.
  Added:  when secured to a storage
  or seafood facility

404.        .      .             .
  Same
   Today's Paragraph
       Number(s>
.  5122.3

  §122.3

  5122.3

  §122.3

  5122.3

  §122.3

  §122.3

  5122.3

  §122.3

  §122.3

  5122.3

  S122.3

  §122.3

  5122.3

  §122.3

  5122.3

  §122.3

  §122.3

 §122.3


 §122.51(c)(2)

 §122.51(c)(2)(i)



 §122.51(c)(2)(ii)

-------
           .  .    .  '•      •  ,      TABLE VII   ; .    \     .''•  '   ,

           RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S  REGULATIONS
                   '    '          (Continued)
  June 7 Paragraph
       Number
 S122.4(a)(3)


 §122.4(a){4)


 §122.4(b)
 5122.5

 §122.5{a)


 §122.5(b)



 §122.5(c)



 §122.5(d)


 §122.5(e)
§122.10

§122.10(3}
 Subject and Any Changes


1 Indirect dischargers.
   Part of comment incorporated

 Silviculturai.
   Minor wording changes

 State  regulation not precluded. .
   Minor wording changes

 Inclusions - a  specific list.

 Exclusions - ordered by on-scene
 coordinator.
                                         Today's Paragraph
                                         __Number(s)
                                         §122.51(c)(2)(v)


                                         §122.l(f)


                                         §122.51(c)(l)

                                        ,§122i51(cj(iv)
                        Exclusions ,- irrigation return flows.  §122.51(c)(vi)
 Signatories

 Permit applications.
   Same                   •

 R^orts; authorization.
   Added:  a position can be
   authorized

 Changes.to authorization.
   Reworded:   submitted prior to or
   together with reports

 Certification.
   Same;   comment deleted     :

 Applicable to States.
   Still  applicable  to  States; may
   adopt  equivalent  language,  taken
   care of in general provisions of
   Part 123  '
Application for a permit

Who must apply.
  Minor wording changes
                                       $122.6

                                       S122.6(a)


                                       §122.6(bj



                                       §122.6(c)



                                       §122.6(d)
                                      §122.4, §122.53

                                      §122.4(a), §122.53(a).

-------
          RELATIONSHIP OF JUNE 7 PART 122 TO .TODAY'S REGULATIONS
                                (Continued)
 June 7 Paragraph
 	Number
 Sl22.10(b}(l)
S122.10.(b)(2)
Sl22.10(c)
IS122.11 (a)].
  Subject and Any Changes
  Todayrs Paragraph
      Number(s)
  Reapplication when increase discharge.
    Deleted - now grounds for
    modification. Director may require
    new application, see §124.5

  Expiring permits - 180 day rule.
    Same for POTWS; reworded:  ,
    phasing-in for new application
    forms

 New .discharger.
   Minor wording  changes

 Who applies?
   Operators must  apply

 Completeness.
   Permit can't be issued until
   application is complete, to
   Director's satisfaction

 Information requirements..
   Lists information required in
   Form 1       '•'•-„

 Recordkeeping.
   Requires applicants to keep data
   used for applications  for three
   years   .

 Information requirements  for'
 existing industrials.
   Lists  information required  in
   Form  2c

Information from aniroal feedlots &
fishfarms. '
  Lists information in Form 2b
                      Information from POIWs  [Reserved].
                       Will list information in Form 2a

                      Information from new industrials
                      [Reserved].
                       Will list information in Form 2d
 Sl22.53(c)




 §122.53(b)


 S122.4(b)


 Sl22.4(c)




 §122.4(d)



 §122.4(e)




 §122.53 (d)




§122.53(e)
                                       §122.53(f)


                                       §122.53(g)

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            Federal Register / Vol. 45. No. 98 / Monday. May 19. 198O / Rules and Regulations
                                                             33351
                               '  TABLE VII

          RELATIONSHIP OF J'JNS 7 PART 122 TO TODAY.'S REGULATIONS •
                 "••..,    .       (Continued)       .   •
 June 7 Paragraph
 	  Number  •
 Subject and Any Changes
 Today's Paragraph
   .  Number(s)
 [5124.12]


 j§124.51(a),(b)J


 [§124.51(a),(c)]


 [§124.51(d)J
 §122.11

 Sl22.11(a}


 §122. ll(b)


 §122.11(c)
§122.11(d)(2)


S122.11(d)(3)



S122.12


Sl22.12(a)
 Special provisions for new sources.
   Minor wording changes   .

 Variance requests by non-POTWs.
   Reworded, no substantive change

  Variance requests by POTWs. '
   Reworded,,no substantive change

 Expedited variance procedures..
   Reworded, time specified after
   notice is received (instead of
   "before draft permit is formulated")
   added:  draft or final permit may
   contain alternative limitations;
   comment deleted
 §122.53(h)


 §122.53(1)'


  §122.53(j)


 §122.53(k)
 Permit issuance,  effect ,of a permit

 Application completeness.
  Reworded, no substantive change

 Final  EPA action.
  Incorporated into 124

 Compliance is  compliance with CWA.
  Minor wording changes

 Issuance  does  not convey rights or
 privileges.
 -' '.Same       .•'..,
     >•   -  .         •  •          \  , ,
 Issuance  does  not authorize  injury.
  Reworded, no substantive change

 Issuance  does  not preempt  State  law.
  Deleted as redundant   .;••'•'
Duration, continuation, transfer
Duration.   .
  Reworded; "modification etc."
  deleted as redundant.
 §122.13

 §122.4(c)


 §124.19


 §122.13(a)


 §122.13(b)



 §122.13(0
§122.5, §122.9,
  §122.14, §122.64

§122.9(a)

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   33352      Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
                                  TABLE VII

           RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                                 (Continued)
  June 7 Paragraph
       Number
  Sl22.12(b)(1)


 '$122.12{b){2)


  S122.12(b)(3)



  S122.12(b)(4)


 S122.12(c)
 Sl22.12(d)
S122.13

Sl22.13(a)


Sl22.13(b)


S122.13(c)


S122.13(d)



Sl22.13(e)
  Subject  and*Any Changes
 Continuation by EPA.
   Minor wording changes

 Effectiveness of continued permits.
   Minor wording changes

 Enforcement of continued permits.
   Reorganized, no major
   changes

 Continuation by States.
   Minor wording changes

 Short-term permits.
   All dates in Appendix A are
   June 30, 1981;  rearrangement and
   wording changes;  parts of comments
   deleted or moved  to 5122.62(c); no
   BAT permits without toxics data.

 Transfer.
   Reworded:   automatic transfers
   under conditions  similar to
   S122.12(d); otherwise,  permit must
 .  be  modified to transfer
Prohibitions

Noncompliance with CWA.
  Minor wording changes

No State certification..
  Minor wording changes

Regional Administrator objects.
  Same           '

Nonattainment of water quality of
States.               •
  Minor wording changes

Impairing navigation.
  Same                            •
 Today's  Paragraph
     Number(s)
 Sl22.5(a)


 S122.5(b)


 •S122.5(c)



 5122.5(d)


 5122.64
                                                               5122.14, §122.7(1)(3)
 5122.52

 5122.52(a)


 5122.52(b)


 S122.52(c)


 §122.52(d)



Sl22.52(e)

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             Federal Register / Vol. 45. Noi 98 / Monday. May 19. 1980 / Rules and Regulations


                       •••'    ' - TABLE VII

           RELATIONSHIP OF JUNE.-7:-PART 122 TO TODAY'S REGULATIONS
                                 (Continued)
                                                              33353
 June 7 Paragraph
      Number  •
  Subject and Any Chanqes
 Today's Paragraph
 ____Nuniber(s)
 Sl22,13(f)


 S122.13(g)


 §122.13(h)


 §122.13(i) .
 S122.14
$122.14 (a)'
 [Reserved]
Sl22.14(b)


S122.14(c)



Sl22,14(d)
  Radiological waste.           .
    'Same .   .     /•- .  •  •    •..-.,

  Inconsistent with 208 'plan.
    Minor; wording changes

  Ocean discharge.
    Minor wording changes

  Violation of water quality.
    Change to prohibit any discharge
    violating water quality standards;
    new source must demonstrate
  ,  sufficient allocation before close
    of public comment period, need not
    prove  "entitlement"
 Conditions applicable to all permits
   incorporation ty reference     ~
   requires specific cite.

 [Application-based limits].
   Existing dischargers must .notify
   Director if they exceed five-times
   levels reported in the application

 Duty to comply.
   Reworded, no substantive change,

 Permit may be modified.
   Added:  filing of a modification
•-.: request does not stay conditions

 Toxic standards or prohibitions  •
   Comment into standard  permit terms,
   Sl22.-60(a)(l);  requirement to
   modify into modification §122.15
   and into §122.62
 §122.52(f)
 Sl22.52(g)
.§122.52(h)
                                                                §122.52{i)  and (j)
                                                               §122.7, §122.60,
                                                                 S122.61
§122.61(a)
§122.7(a)  .
§122.7(a), §122.7(f)
                                                               §122,60(a)(l),
                                                                 §122.62(b)

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   33354      Federal Register / Vol 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
                                   TABLE VII

            RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S  REGULATIONS  .'    •        •     Ml
                                  (Continued)     .        :     -                      - ^P^
                         « u-        -    •               •        l***1* Paragraph
                         Subject and Any Changes
_ Sl22.14(e)             Reporting requirements.                5122.7(1)
                           No longer tied to causes for
                           modification; causes spelled out
                           individually; Director's right to
                           request application in modification
                           (5124.5)   -

  Sl22.14(f)             Right of entry, copying, etc.          §122. 7(i)
                           Minor wording changes

  5122. 14 (g)             Operate efficiently.    '                §122.7 (e)
                           Added:  requires backup equipment       ,
                           only to comply with permit; minor
                           wording changes

  Sl22.14(h)             incompliance  reporting.                S122.7(1)(2),  (1)(6),
                           Extensively  rearranged,  sane           (D(7),
                           substantive  changes.                   .§122.60(f ) (3),
                           Added:  permits must specify           §122. 62 (g) '
                           24-hr,  pollutants, others not                   ,
                           reported; planned changes arid
                           anticipated non-compliance  in
                           advance

 Sl22.14(i)             Duty to minimize impact of         '    .§122.7(d)
                        noncompl iance .
                          Minor wording changes

 S122.14(J)             Duty to halt activities.               §122.?(c),  §122.60(b)
                          In S122.7; not a defense against
                          enforcement, §122. 60; minor
                          wording changes

 Sl22.14(k)             Bypass.        .                 .       §122.60(g)
                          Rearranged,  no substantive change

 5122.14(1)             upset.                                  S122.60(h)
                          Comment partially incorporated,
                  1        no substantive change

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                           / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulation
            RELATIONSHIP'OF "JUNE 7 PART 122 TO TODAY'S REGLTATICNS
                             • ,   (Continued)
   June,? Paragraph
       Number  '•
   lS122.10{a)-J
   Subject and Any Chances


 .  Duty to reapply.

  .Permit does not convey property
   rights.

  Duty to provide information .to the
  Director.

  Monitoring must be representative.

  Retaining records of nonitoring.

  Signatory requirements.

  Reporting planned changes.

• .Reporting transfers/
         -  '    *         .  '   • .•     ~
 Reporting monitoring results.

 Reporting compliance with
 construction schedule.

 Reporting other  information
 previously reported falsely.

 Listing of civil & criminal
 penalities.

 Monitor using 40 CFR 136.

 Penalties for falsifying monitoring.

 Penalties for false statements.


 Monitoring reports.
Sa3«8?w)({ii)  •   2"-hr-•fir***£°r u<^ * >w—'.-
  rS122.20(b){2)]

  IS122.21(b)J

;  15122.5(a)]

  15122.31(e)(l)]

  ISl22.12(d)(l)J

  15122.22(a)J

  IS122.22
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   33356    ~ Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations

                               .   TABLE VII                         .
           RELATIONSHIP OF JUNE 1 PART 122 TO TODAY'S REGULATIONS
                                 (Continued)
  June 7 Paragraph
       Number
  5122.15


  5122.15


  5122*15 (a)'
 Sl22.15(b)
 S122.15(c)

        *         •


 Sl22.15(d)(l)   '




 Sl22.15{d)(2)


 Sl22.15(e)


 Sl22.15(f){l)-(9)


S122.15(f)(10)  ,


5l22.15(f)(3)
  Subject and Any Changes
 Applicable limitations and
 standards    •               .

 •Applicable  requirement."
   Minor wording changes

 Effluent limitations and standards.
   Clarifications, separation of
   technology-based and other
  • standards; including new sources;
   no substantive changes

 Short-term permits; reopener clause.
   All dates in Appendix A are June 30,
   1980, conforming changes here;
   reopener clause now only reopens
   permit to include guideline, not
   all requirements of CWA

 New source performance standards.
  Wording changes, incorporated
   into technology-based standards
  .section,  no-substantive changes

 POTtf notice of  new users.
  Moved to standard permit
  conditions, comment incorporated

 PCTW pretreatment  program.
  Minor wording changes

 POTW grant requirements.
  Comment deleted

Additional water quality standards.
  Minor wording changes

Technology-based case-by-case limits.
  Incorporated into 5122.62(a)

State certification.
  Added:• if certification is
  stayed, conditions under CHA
  section 301(b)(l)(c)
 Today's Paragraph
     Number(s)
 5122.8,5122.62


 5122.8(b)


 $122.62(a),(b)
                                                               S122.62(c)
 5122.62(a)




 S122.61(b)



 Sl22.62(j)


 S122.62(n)


 S122.£2(d)(l)-(9)


5l22.62(a).


§122,62(d)(3)

-------
            RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S
                                  (Continued)
   June 7 Paragraph
       : Number
   5122.15{g)


   S122.15(h)4


   5122.15(i)
  S122.15(j)


  S122.15(k)
 lS!22.12(a)J

 IS122.20(a)J




 5122.16

 S122.16(a)(1)


 S122.16(a)(2)
5122.16(a)(3)
   Subject and Any Qiancfes


   Best management practices.
     Ocroment deleted             -

   Sewage sludge.
  •••   Same  ;>    ,.•'•'•'

   Reissued permits with no less
   stringent  limits.
:    .Added:   changes in circumstances
     allows less stringent limits;
     increased production leading to '
     reduced  treatment efficiency

  vessels -  Coast Guard regulations.
    Minor wording changes

  Conditions  for navigation^
    Same

  Incorporation of'conditions by
  reference.

  Limits on toxic pollutants.

  Higher notification level.
*                  -        '
  Indicators  for 24-hr, reporting.

  Permit durations.

  Monitoring  requirements.

  Privately owned treatment  works.


  Calculation of effluent limits

 Limits for each outfall.
   Reworded,  no subs tantive change

 Actual production limits for     '
 non-POTWs.         •  \
   Reworded^  comment incorporated;
.,  tine period for production same as-
   time period for limits

             limits  for
  Today's Paragraph
      Numberfs)
  S122.62(k)


  5122.62(0)


  5122.62(1)
 5122.62(p)


 S122.62(q)


 5122^8(c)


 S122.62(e)

 5122.62(f)

 5122.62 (g)'

 5122.62(h)

 5122.62(i)

 Sl22.62(m)
         *

 5122.63

5122.63(a)



S122.63(b)(2)
                                                              Sl22.63(b)(l)

-------
            RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                                  (Continued)
   June 7 Paragraph
   	Number
   5122.16(b)


   5122.16(c)



  Sl22.16(c)(l)-(4)


               *


  Sl22.16(d)
 S122.16(e)


 S122.16{f)




 Sl22.16(g)


 5122.16 (h)




 [5122.41]


5122.17
  Subject and Any Changes


  Total metals.
    Reworded, no substantive change

  Maximum daily etc. limits.
    Added:  "unless impracticable"
    Comment added to 5122.60(e)(3)

  Definitions.
    Put into definitions section,
    some rewording,   no substantive
    change

 Mass  limits.'
    Added:   (1) mass-based limits
    not required when case-by-case
   production can't be used; (2)
   concentration-based limits allowed
   in addition to mass-based limits,
   and permittee must comply with
   both

 Gross limits.
   Same              .  .

 Net limits.
   Reworded, no substantive
   change, also added to causes  for
  modification (5122.15)

 Noncontinuous discharges.
  Same

 Limits on internal wastestreams.
  Added:  the fact sheet must include
 •an explanation of why the limits are
  necessary; comment incorporated

Disposal into wells, etc.
  Today's Paragraph
      Humberts)


  Si22.63(c)


  5122.63(d)



  S122.3





  S122.63(f)
 S122.63(g)
 S122.63(h);
   S122.15(a)(5)(iv)
   and (a)(5)(v)
 S122.63(e)
                       Schedules of compliance
S122.63(j)
5122.10

-------
   June 7 Paragraph
         Number
   S122.17{a)



   S122.l7(b)
   S122.17(b)(l)





  5122.17(b)(2)



  S122.17(c)   :



  5122.17(c)(l)
 S122.17(C}{1) (
 Sl22.17(c)(2)


 5122.17(c)(3)




Si22.17(c)(3}(i)


S122.17(c)(3)(iiJ
                          OF JUNE 7 PART 122 TO TODAY'S REGUIATICNS
                                   (Continued)
 Subject and Any Changes


 Require compliance ASAP and no later
 than CWA deadline.
   Rearranged,  no substantive change

 Interim requirements.	
  .Interim dates  required if
   compliance is more than 1 year
   (instead of 9 months) away
   examples put in Note

Time between dates.              .  .
  Time between interim dates may be
  up to 1 year (instead of —
  9 months)
         into sta^s>  submit reports.
    Again, tiro between interim dates
    may be 1 year;  no other change

 A1«ernf5ive schedules of  coipliance.
    Reworded, any termination
    of discharge

 Termination after permit  is issued.
   Minor wording changes

 Modification to include termination.
   Reworded,. no substantive change

 Terminate before miss any interim

 •'• * Same          • •           '     -   ;

 Decision  before permit is  issued.
   Reworded,  no -substantive change

Alternative  schedules.
  Added:  Director may modify a
  permit to  include two schedules
   (as well as issue a permit)

Date for final decision.
  Reworded, no substantive change
                                        to
                                          Today's Paragraph
                                              Number(s)


                                          S122.10(a)(1)
                                                                 5122.10(a)(3),
                                                                   5122.10(a)(3); [Note]
 S122.10(a)(3)(i)




   *"

 S122.10(a)(3)(ii)




 5122,10(b)
 *'



S122.10(b)(l)
                                     S122.10(b)(2)


                                     5122.10(b)(3)




                                     S122.10(b)(3)(i)
                                                      .
                                 , no substantive change

-------
    33360
  Federal Register / Vol. 45. No/98 / Monday. May 19.1980 / Rules fln.
                    -—•	              -^•^••

                       TABLE VII


RELATIONSHIP OF JUNE 7 PART 122. TO TODAY'S REGULATIONS
                      (Continued)
    June 7 Paragraph
         Number
   S122.i7(c)(3)(iii)




   S122.17(c)(3){iv)




   Sl22.17(c}(4)


   $122.17(0)(5)




  Sl22.17(d)
  Sl22.17(e)
 5122.17(f)
 5122.20





 S122.2D(a)




 5122.20(a)(1)



5122.20(a)(2)
              Subject and Any Changes    .

                     «

              Schedule leading to compliance.
               Reworded, compliance must be
               achieved as soon as possible


             Follow appropriate schedule after
             decision.
               Reworded^ no substantive change

             Requirement to post a bond.
               DELETED


             Firm public commitment.
               Reworded,  comment deleted; no
               substantive change
            •               -.

             Director may modify ccnplianos
            schedule.
              Reworded, moved to causes for
              modification, no substantive
             ' change       '
   Today's Paragraph
       Number(s)   •



   S122.10(b)(3)(ii)




  S122.10(b)(3)(iv)
  S122.10(b)(4)




  5122.15(a}(4)
                 innovative technology grants.
              Reworded, moved to causes for
              modification, no substantive
              change


           No compliance schedule for new
           sources, etc.
              Reworded, moved  to  first paragraph,
              no major change


           Monitoring
           Pe.rmits must contain monitorinq
           requirements.
             Reworded,  no substantive change

          Monitor for  each pollutant limited.
           .  Reworded,  no substantive change

          Monitor volume.
            Reworded,  no substantive change
                                                                S122.15(a)(5)(xi)
                                                                S122.10(a)(2)
S122.7.(j), 5122.7(1)(4),
  5122.11, S122.60(c),
-  S122.60(J)(1),
  S122.62(i)(l)


S122.62(i)(1)

-------
             ,.' -_           '  •   .  TABLE VII  ,   ,  --'.-• ,       :

           RELATIONSHIP OF JUNE-7 PART 122 TO TODAY'S REGULATIONS
                        •         (Continued)
  June 7 Paragraph
  •	' Number
  Sl22.20(aH3)
 Sl22.20(b)(l)




 S122.20(b)(2)
 S122.20(b)(3)
 S122.20(c)(l)
Sl22.20(c)(2).




5122.20(c)(3)


S122.20(c)(4)




Sl22.2G(d)
   Subject and Any Changes
                                        Today's Paragraph
                                            Humberts) .
 Monitor otherwise. •..
   Reworded, added example of requir—
   ing monitoring for pollutants
   reported in,application, internal
   wastestreams, and  net limits

 Permits must specify monitoring
 equipment.  •
 '  Minor wording changes '

 Monitoring  frequency  must  be'  .,
 sufficiently  representative.
   Added:  may. require continuous.  •
   monitoring;  deleted specific
   requirement for more  frequent
   monitoring'of variable effluents      ;
.   (representativeness requirement
   remains) other rewording;  in    ,
 k  standard permit conditions,  permittees
  must  take representative samples

Permits must specify monitoring
methods. "                    /
  Deleted as redundant     ,
                                         Sl22.11fa)
                                                               Sl22.11(b),
  40 CFR Part 136  listed or alternate
  approved methods must be used.
   Permittees must use 40 CFR Part 136
   methods .or a method specified in
   the permit

  Director specifies a method in permit
-where no 136.
   Minor wording  changes

 Director may specify guideline method.
   DELETED

 Director must specify guideline method
 if 40 CFR 136.      '  •
   DELETED .
                      / *           .
        ..  ' •.         -       .''  .       i
•Sampling  frequency shall be consistent
•with  guideline.
   DELETED   •                      ,
                                                               S122.62(i)(iv),
                                                                 S122.60(c)(l)
                                        Sl22.62(i)(l)(iv)

-------
    33362
Register / Vol. 4J5. No. 98 / Monday. May 19.
                                       TABLE VII
                RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                                    (Continued)*
    June 7 Paragraph
         Number
   5122.20(e)




   S122.20(f)




1   15122.22(a)J



  5122.21 .



  5122.21(a)

 «
  S122.21(a)(l)



  Sl22.21(a}(2)



  S122.21(a)(3)

              •

  Sl22.21(a)(4)



 S122.21(a)(5)



 Sl22.21(a)(6)



 S122.21(b)
   Subject and Any Changes


   Permittee should request more
   frequent monitoring.
  'DELETED

  Penalties  for falsifying nonitoring.
    Same, moved to standard permit
    conditions

  Reporting frequency.


  Recording of monitoring results


  Records  of monitoring  information.
   Deleted "and monitoring activities"

  Date, place, and time  of sampling.
   Same                          ^

 Samplers.
   Minor wording changes.

 Date of analyses.
   Same

 Analyzers.
   Minor wording changes.

 Analytical techniques.
   Same            '

 Results.
  Same

Records and results kept for 3 years.
  Added:  all reports required by
  the permit and application data;
  at least 3 years fron the date
  of the sample, measurement,
  or report; minor wording changes
                                            Today's Paragraph
                                                Number(s)
                                           S122.60(c)(2)
                                           5122.11(c)
                                             S122.60(d)

                                           5122.7(3) (3)
                                          5122. 7$) (3) (ii)
                                          S122.7(j)(3)(iv)


                                          5122.7(j)(3)(v)


                                          S122.7(j)f3)(vi)


                                          S122.7(j)(2)

-------
               Fedetal Register / VoU5.No.98 / Monday. May mi98Q /
                                        Rules and Regala tions
                                                                                       33363
                                     TABLE VII
               ^RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S • REGOtATICNS'
                                    (Continued)
   -June 7,Paragraph
   _i.    Number " •
   S122.21(b)(l)



   5122.'21(b)t2J'



   S122.2l(c)



  5122.22  ,
 5122.22(a)


 Sl22.22(a)



 S122.22(a)



 5122.22(3)
 {Comment]

 5122.22(b)



5122.22(c)
5122.22(d)
   Subject and Any Changes  '


   D»ree years autcnatically extended
   during litigation.
     Now Director must request extension

   Ihree years extended by Director »s
   request.
   .  Minor wording changes     •

   Penalties for false  statements.
    Minor wording changes -•'":.
                         Reporting of monitoring
                         permittees^       '  r~~^
                         Permittees must use DMR.
                         .  Minor wording, changes

                         Reports at least once per year.
                           Now is duty of Director to specify
                           in  permit              .

                         Permittee, must  report other  data not
                         required by permit..
                          DELETED

                        Examples of reporting frequency.
                          Most of comment deleted
                report more frequent

   Reworded,  no substantive change

Permittee must report compliance  -
with  interim dates.-
   Reworded,  put in both standard
  permit conditions and schedules of
  compliance;  no substantive change

Penalities for false statement.-  '
  Combined with S122.21(c) in
  standard permit conditions
                                                                 Today's Paragraph
                                                                     Number(s)
                                                                 S122.7(j)(2)
                                                                 S122.7(j}(2)
                                                                S122.60(d)
                                         5122.7(1)(5),
                                           Sl22.60(e),.
                                           5122.60(1)(5),
                                          ,5122.60(d),
                                           S122.62(i),
                                           S122.10(a)(4)

                                         S122.6b(e)(l)    ,
                                         5122.62(i)(2),
                                           5122.11(c)
S122.62(i)(2)

       *. .

S122.60(e)(2)
                                                               S122.7(l)(5),
                                                                 S122.10(a)(4)
                                                              S122.60(d)  :

-------
                                    TABLE VII
               RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                        !           (Continued)       .
  June 7 Paragraph
  	Number
  5122.23
  $122.23(3)
  S122.23(b)


 S122.23(b)(l)

     w


 S122.23(b-)(2)  •





 Sl22.23(b)(3)(i)
S122.23(b)(3)(ii)
S122.23(b)(3)(iii)
§122.23(b)(4)
  Subject and Any Changes
  Noncompliance reporting by the
  Director        	—	

  State reports to Region; Regional
  reports to HQ.
  .  Changes:  reports submitted to RA
    (instead of Enforcement Division
    Director),  Regional reports sub-
    mitted by RA to EPA Headquarters
    (instead of by Enforcement  Division
    Director to EPA CWE)

  Reports  of nohcompliance by majors.
    Reworded, no substantive change

 Report failure to meet construction
 date. .      '                      .
   Reworded, no substantive change

 Failure to submit schedule reports.
   Combined with failure to submit
   monitoring reports; minor wording
   changes

 Noncompliance with applicable
 limitations,
   Keyed  on violation of permit
   (instead of  applicable standards);
   unless returned to compliance
   before 45 days  after reporting
   noncompliance was due (instead of
   "or date when DMR was due")

Pattern of noncompliance.
  Reworded,  no substantive change

Significant  noncompliance.
  Reworded, no substantive change

Failure to report DMR.
  Combined with failure to submit
  progress reports, minor wording
  changes  "
 Today's Paragraph
     Number(s)


 S122.18


 S122.18, S122.18(e)
S122.18(a)


S122.18(a)(2)
                                                               $122.18(a)(2)(vj(A)
                                                               5122.18(a)(2)(v)(B)
                                                              S122.18(a)(2)(v)(C)

-------
             Federal Register /Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
               .     '   •           TABLE VII_  '•   ••  ' .   ' ,  "

             RELATIONSHIP OF JUNE 7  PART  122 TO  TODAY'S REGULATIONS
                                  (Continued)           .    .     . • .
 June 7 Paragraph
      Number

 5122.23(b}(4)
 5122.23(b)(5)


 5122.23(b)(6)
 S122.23(b}(6)
 (Comment]
 S122.23(c)(l)
Sl22.23(c)(l)(i)
Sl22.23(c)(l)(ii)
Subject and Any Changes
Sl22.23(c)(l)(iv)



Sl22.23(c)(l)(v)


Sl22.23(c){2)



S122.23(c}(3)
Failure to report
                        upliance.
   Deleted as duplicative

 Deficient reports.
   Reworded, no substantive change

 Modification of compliance schedule.
   Reworded, reporting required when
   schedule is modified

 All,noncompliance reported until
 resolved.                       .
   Reworded, no substantive change

 Information required in report.
   Rearranged, ho substantive change

 Name,  location, permit number.
   Same             .

 Date and description of noncompliance.
   Combined With requirement for a
   single entry per permittee
   (Sl22.23(c)(3)); minor wording
   changes

 Date and description of Director's
 actions.
.'' -Same   • '••     ''•./'..:    ...'..

 Status of noncompliance.   •
 . Status as of date of review
   (instead of date of action)

Mitigating factors.  '
  Same   •- '   .           ';•'.-•

Separate  lists for POTW,. non-POTW,
Federal.:
  Minor;wording changes "...'•

Single entry per permittee.     "
  Combined with date  and     *',-'•
  description requirement; minor
  wording changes  :
                                        Today's  Paragraph
                                            Nuniber(s)    '
                                       Sl22.18(a)(2)(iv)
                                                               S122.18(a)(2Hii)
                                       S122.18.(a)(2)
                                       S122.18(a)(l)(iv) '
                                                               Sl22.18(a)(l)(iv)(A)
                                                               Sl22.18(a)(l)(iv)(B)
                                      S122.18(a)(l)(iv)(E)
                                                               §122.l8(a)(l)(iv)(B)

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    33386
F«deral Renter / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and-RegulatioM


                      TABLE VII

 RELATIONSHIP  OF JUNE 7 PART 122 -TO TODAY'S  REGULATIONS
                  .   (Continued)
    June 7 Paragraph
  , 	Number

   5122.23(0)(4)


   S122.23(d), "


   5122.23(e)
  Sl22.23(e)



  Sl22.23(f)(l)



  S122.23(f)(2)
 S122.23(g)
 S122.23(g)
 iCoramentJ
 5122.30




5122.31


5122.31(a)
   Subject and Any Changes     .  :

  'Alphabetized.
    Minor wording changes

  Statistical information.
    Minor wording changes

  Annual reports  for non-majors.
    Reports roust  include .number
    reviewed, number noncomplying,
    number of enforcement setions, 3nd
    number of modifications extending
    deadlines

  Separate list of non-majors -behind
  in construction.
    Sane'      .•        . .      ''    •

  Reporting schedule for quarterly
  reports.                        *
   Same

 Reporting schedule for annual
 reports.
   Reports submitted at end
   of calendar year (December 31)
   (instead of fiscal year)

 Reports available to the public
   No  longer specified separately

 Designation  of majors.
  Majors  are defined  in §122.3

Separate  list,for facilities with
two or more permitsi
                               revocation,
General modification.
terminationl~~
  No longer a separate section'
        Modification, revocation and
        reissuance, and termination"

        Any permit may be modified, etc.
        for .cause.
          Same
                                                  Today's Paragraph
                                                  '_   Number (s)
                                                  §122.18(a) (2) (vi)


                                                  S122.18(c)(l)
                                                 5122.18(c)



                                                 S122.18fe)(l)



                                                 S122.18(e)(2)
                                                S122.18(e)(2)
                                                  footnote

                                                S122.3
                                       §122.15, §122.16,
                                         §122.17

                                       §122,13(a),
                                         §122.15

-------
               RELATIONSHIP OF JUNE 7 PART 12.2 TO TODAYS REGUIATICNS
                                   (Continued)
  June 7 Paragraph
  ',	Number

  5122.31(b)
  Sl22.31(c)
  Sl22.31{c)


  5122.31(d)
 5122.31(d){1)
 S122.31(d)(2)
5122.31(d)(3)
5122.31(d)(4)
   Subject arid Any Changes/

1   Modification can't give  longer
   than 5-year term.             .
    Put into  duration section

   Director may initiate.
    Director may revoke and reissue
    only for separate cause or at
    permittee's request; may initiate
    modification'if cause exists

  Any interested person may request.
    Incorporated into 124

  Causes  for modification,
  revocation and  reissuance,  and
  termination.    ..•-'..
    Separated causes, for revocation
    and reissuance or; termination,
    from modification; modifications
    only of condition giving cause

 Nonoompliance with permit.
   Now cause  for termination,
    noncompliance" (instead of
   "violation")

 Misrepresentation of facts.
   Now-cause for termination;
   reworded: failure to disclose
   fully "at any time"   '

 Reduction or  elimination of
 discharge.
   Now cause for  termination; last
   two examples deleted             :

.Threat to human health.
  .Now cause .for termination-
   reworded:   determination
   (instead of "information");
   "human health or the environment"
   (instead of "human health or
  welfare"); added-  "which, can
  only be regulated to acceptable
  levels by permit modification
  or termination." -.       '        -
 Today's Paragraph
     Number(s)
                                                                5122.15
S124.5(a)


5122.15(a)
                                                               S122.16(a)(l)
                                                               S122.16(a)(2)
                                                              S122.16(a)(4)
                                                              5122.16(a)(3)

-------
                                    TABt£ VII

               •RELATIONSHIP OF JUNE 7 PART 122 .TO TODAY'S REGULATIONS
                                   (Continued)
   June 7 Paragraph
        Number

   S122.31(d)(5)
  S122.31(e)
  Sl22.31(e)(1)
 S122.31(e)(2)
               •   *



 S122.31(e)(3)



 S122.31(e) (3) (i)



 Si22.31(e)(3)(ii)
S122.31(e)(4)
   Subject and Any Changes

   Transfer.
     Cause for a revocation and
     reissuance;  continues to be
     cause for modification but not
     revocation and reissuance after
  •  automatic transfer;	

  Cause for modification or revocation
  and reissuance.                    '
     Modification only, unless  permittee
     requests; modification only opens
     up condition giving  cause

  Substantial alterations.
    Reworded:  "which justify the  .
    application of permit conditions
    that are different or absent in
    the existing permit" (instead of
     which were not covered in the
    effective permit");  examples deleted;
   .comment partially incorporated, with
    less discussion of new sources
  Today's Paragraph
      Number(s)

  Sl22.15(b)(2)
                                                                Sl22.15(a)
                                                                S122.15(a)(l>
  New information.
   Reworded, clarified,  "information-
   not  "factors"; other  changes

  New regulations.
   Combined.with judical remand
   (S122.31(e)(4))

 Permit condition based on revised
 regulationi             .
•  .Minor wording changes

 EPA action has revised.
  Minor wording changes

 Request filed  within 90  days.
  Reworded, no substantive  change

Judicial remand or stay.
  Remanded by  a court of
  competent jurisdiction;
  Demand or stay" (instead of
  "remand")
 Sl22.15(a)(2)



 S122.15(a)(3)



 Sl22.15(a)(3)(i)(A)



S122.15(a)(3)(i)(B)


Sl22.15(a)(3)(i)(C)

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           F«Jeral Register / Vcl. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
                                                                                    33369
                                 TABLE VII

           RELATIONSHIP OF JUNE 7  PART 122 TO .TODAY'S REGULATIONS
                .   ,   .    .      (Continued)
June 7 Paragraph
     Number

S122.31(e)(5)
 5122.31(6) (6).


 S122.31(e){6)



 Sl22.31(e)(6) N


 S122.31(6)-(6)



 Sl22.31(e) (if)




 S122.31(e}(7)


 Sl22.3l(f)




 Sl22.31(f)(1)



 S122.31(f)(2>


5122,31(f)(3)


S122.31(f)(4)
  Subject and Any Changes
  ""• ."'..'"   II UN I* !•.. I  * ... • -    I  _.  _- - .

  As authorized by CWA,
    Requirements  listed, separately.
    in S122.15(a)(5}(ii)

  Cross references.
    Separated

  Required by toxic standard or
  prohibition.
    Written out           '

  Required by toxics reopener clause.
    Written out        '

  To modify compliance  schedule.
   Written out,  transferred from
    S122.17(d)

  Innovative waste treatment grant
  to POiw.            .
   Written, out,  transferred
   from 5l2-2.17(e)\

 Failure to notify  affected State.
   Same        *'  •

•Minor modification.  :
   Added:  Consent of permittee-:
   required;  deleted: unless
   would make permit less stringent

Minor modification. Correction
of typos.
   Same .-'.-•.""   -,   •  "  ..

More frequent monitoring.
.  Minor wording  changes

Change in compliance schedule.
   Minor wording  changes

Transfer.              .       .
   Reworded,  requirement  for
  ^agreement  included (instead
.   of referenced),  no substantive
   change  '. '                  i   ' •
                                                                Today's Paragraph
                                                                    Number(s)'

                                                                5122.15(a)(5)(ii>
                                                              S122a5(a)
                                                              S122.15(a)(5)(ii)
                                                              §122.15(3) (4)



                                                              §122.15(.a)(5)(xi)-

                                                              •


                                                              S122.15(a)(5)(vii)


                                                              S122.17




                                                              S122.17(a)



                                                              $122. 17 (b)


                                                              S122.17(c)


                                                             •5122.17 ("d)     ;  -.,.

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                                    TABLE VII

              RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                                   (Continued)
  June 7 Paragraph
        Number	

  5122.31{f){5>
  5l22.31(f)(6)


  rsi22.10(b)(l)
     Sl22.14(e)J  .
  [S122.16(f)(l)J
 ISl22.31(d)J


 [5122.30]



5122.40



S122.41

5122.41 (a)
   Subject and Any Changes

   Change in construction for new
   source.
     Same

   Delete outfall.
     Minor wording changes

   Director may request an application.
/         *                         ,

  Modification when State
  certification changes.

  To incorporate net limits.

  To remove net limits. '

  When "recpener" for pretreatment
  is triggered.
                                     4
  To. reopen pretreatment compliance
  schedule.  ,

  Mien discharge  exceeds  §125.3  levels.

  When permittee  begins to use or
  manufacture  toxics.

  To  establish a higher
  "notificaton level.",

 Any cause for termination is
 cause for revocation.

 Director follows Part 124
 procedures for termination.
  Today's Paragraph-
      Number (s)

  S122.17(g)(l)
  S122.17(g)(2)


  S122.15
                                                                S122.15(a)(5)(iv)

                                                                S122.15(a)(5)(vj
.Sl22.15(a)(5)(vi).


 S122.15(a)(5)(viii)

 S122.15(a)(5).(ix)


 S122.15(a)(5)(x)


 S122.15(b)(l)


 S122.16(b)
 General—Special NPDES programs
   No longer a separate section
 Disposal into wells,  etc.

 When to make  adjustments.
  Same
5122.65

§122.65(a)

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                  Register / Vol. 45. No. 98 / Monday. May 19. igso / Rules
                                 TABLE VII
             RELATIONSHIP OF JUNE  7 PART 122 TO TODAY'S  REGULATIONS  '
                ,            -    (Continued)  S
June 7 Paragraph
:     Number

S122.41(a)(l)
  Sl22.41(a)(2)



  5122.41(b> ,



  5122.41(c)




  5122.42


.  5122.42(3)


 5122.42(b)(l)



 S122.42(b)(2)



 Sl22.42(c)



 5122.43


 5122.43(a) '


Sl22.43(b)



$122*43(c)



5122.44
  Subject arid Any Changes        •

  If no waste discharged.
 "  -Sane •            r   '           .•  -
                *                '

  Calculation for partial discharges.
    Minor wording changes, comnent
    incorporated

  Not applicable for concentration
  guidelines.
    Minor wording changes

  May be  nore  stringent. ,  < ,
    Increased  number of cross-
    references
 Concentrated.animal feeding
 operations'!:

• Permit requirements.
   Same          .   •        «

 Definition of animal feeding
 operation.      '
   Same          -          .

 Definition of concentrated.
   Moved tovAppendix B, no
   substantive change

Case-by-case designation.
   Minor wording changes
        s ~

Concentrated aquatic animal
production facilities~

Permit required.          ,
   Same

Definition of concentrated.
   Moved to Appendix C,. no.
   substantive changes

Case-by-case  designation.
  Minor wording  chsnges


Aqu3culture pro-|ects
                                                                Today's Paragraph
                                                                    Number(s)

                                                                S122.65(a)(1)
                                                              Sl22.65(a)(2)



                                                              5122.65(b)



                                                             ,5122.'65(c)




                                                             5122.54


                                                             S122.54(a)


                                                             S122.54(b)(l)
                                                             Sl22.54(b)(2),
                                                             Appendix B
                                                             5122.54(c)



                                                             5122.55


                                                             5l22.55(a)
                                                             5122.55(b),  .
                                                             Appendix C
                                                             5122.55(c)
                                                            5122.56

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    33372
FadenJ Register / Vol. 45. No. 98 / Monday. May 19.1960 / Rules' and Regulations

                     TABLE VII

 RELOTCNSHIP OF JUNE 7,PART 122 TO TODAY'S  REGUIATICNS
                     (Continued).
   June 7 Paragraph
         Number	

   5122.44 (a)


   S122.44{b)
   S122.45

   S122.45(a)




   Sl22.45(b)


  5122.45(c)



  5122.46

  5122.46(a)


 5!22.46{b)



 S122.47

 5122.47(a)


 Si22.47(b)(l)(i)


 5122.47 (b)(l){ii)




5122.47(b)(2)
           Subject and Any Chances

           Permit requirements.
           '  Same

           Definitions.
             Sane
          Separate storm sewers

          Permit required.
            Added: coverage of permit from
            comment at end of 5122.45,
            minor .wording changes

          Definitions.
            Reworded, clarified

          Case-by-case designation.
            Minor wording changes


          Silvicultural activities

          Permit required.
           Same

         'Definitions.
           Minor wording changes


         New sources and new dischargers

         Definitions;
          Sane,  "site" moved to-5122.3

         Construction en  a new site.
          Sane

        Construction  on  an existing site.
          Reworded, totally replaces or
          causes change  in discharge;
          comment deleted

        Modification of existing source.
          Reworded - construction must
          create new building
   Today's Paragraph
   1   Number(s)

   S122.56(a)


   5122.56(b)
   5122.57

  5l22.57(a)




 • 5122.57(b)
        \


  S122.57(c)



  5122.58

  5122.58(3)


. 5122.58(b)



 5122.66

 5122.66(3)


 S122.66(b)(l)(i)


 S122.66(b)(l)(ii)




S122.66(b)(2)

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               RELOTCNSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATIONS
                                   (Continued)  *                    '
  .-June 7 Paragraph
        Number

  5122.47(b}(3)
  S122.47(c)(1)
 *      . \    • _•  -  .


  S122.47(c)(2)


  Sl22.47(c)(3)





  S122.47(c)(4)(i)





 S122,47(c)(4)(ii)
 Sl22.47(c)(5)


 5122.47(d)




S122.47(d)'(l)


5122.47(d) (2)
 Subject and Any Changes

 Conmencement of construction.
  . Same   '  ,

 Requirement for an EIS.
   Same   '         ..'.'        .

 EIS includes recommendation..
   Minor wording changes

 RA review.
  Added: "issue, condition, or
  deny"; "or a finding of no
  significant impact"
          - ——•—.-«.»..».w with EIS.
        .   RA must  find no irreversible
   impact;  provisions of agreement
   shall be put into permit

.No on-site construction with  no
EIS.
  Must wait 30 days (instead
  of 15), RA must make  "no
  significant impact- extermination
  at construction (instead of the
  probable need for EIS)    '
                                         Today's Paragraph
                                             Number(s)

                                         S122.66(b)(3)


                                         S122.66(c)(l)
                                         S122.66(c)(2)


                                         S122.66(c)(3)
                                        S122.
                                             •
                                                               S122.66(c)(4)(ii)
              Of OIMite construction.  .S122.66(c)(5)
Effect of NSPS.             "
  Added: paragraph clarifying that
  existing sources are not covered
  from comment at end of S122.47

Protection period.
  Same '

Doesn't apply to toxics.    '
  Added:   Does not apply to any
  5125.3  limit on toxics or
  hazardous substances
                                       Sl22.66(d)




                                       5122.66 (d Ml)


                                       Sl22.66(d)(2)

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 •  33374       Federal Register / Vol. 45. No. 98 / Monday. May 19. I960 / Rules and Regulations

                                   TABLE VII

           ,    RELATIONSHIP OF JUNE 7  PART 122 TO TODAY'S REGULATIONS
                                   (Continued)
  June 7 Paragraph
       Number	

  5122.47(d)(3)
  5!22.47{d){4)


  Sl22.47(d)(5)


  5122.48

  S122.48{a)(2)
 5122.48(a)(2)
 iCcranent]

 5122.48(a)(3)
 5122.48{b)(l)


 5122.48(b)(2)


 S122.48(c)


 5122.48{c)(l)


 5122.48(c)(2)


S122.48£c)(3)
  Subject and Any Changes      • '

- Compliance schedules.
    Added:  compliance schedules
  ' allowed to meet conditions
    promulgated within 3 years of
    permit expiration .

  Start-up control equipment.
    Same

  Effectiveness of NSPS.
    Same

  General permits

  Definition of "GPPA.m.
    No longer separately defined,
  .  no substantive  change

  Objection  by EPA.
    Moved to 123  and 124

  Definition of general permit.
    Definition shortened, regulatory
    requirements  elsewhere; no
    substantive change

 Coverage of'separate storm sewers.
   Same             •  -

 Coverage of other"sources.
   Minor wording changes

 Covers a category within area.
   No. longer a separate requirement

 Area.-   . '      •    ,
  Minor wording changes

 Designation subject to  review.
  DELETED

 Procedures  follow  Part  124.
  Reworded, no substantive change
 Today's Paragraph
     Number(s)  .

 S122.66(d)(3)
 S122.66(d)(4)


 S122.66(d)(5)


 5122.59

 S122.59(a)(l)
 5124.57,
  5123.76

'5122.3, 5124.57,
   §123.76,
   Sl22.59(a)(1)
S122.59(a)(2)(i)
5122.59(3) (2).(ii)
S122.59(a)(1)
S122.59(a)(l)
                                                               S122.59(b)(l)

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              REIATICNSHIP OP JUNE 7 PART 122 TO TCDftY'S REFLATIONS
                              ,   (Continued)
  June 7 Paragraph
     •  Number

  5122.48(c)(3) -
  IConroentJ

  5122.48(d)(l)


  S122.48(d}(2)(i) .


 S122.48(d}(2){ii)


 S122.48(e)(l)


 S122.48(e)(2)
S122.48(e)(3),


Si22.48(e){4)


5122.48(e)(5)
   Subject and Any Changes  ' .."

   Providing notice.
    Added to  5124.57

   Excluded sources.         -
    Reworded, no substantive change

  Permit applies to all not excluded.
'.'   Reworded,  nosubstantive change

  Request for coverage.
    Minor wording  changes          '

 Requirement  for  individual permit.  '
    Reworded,  no substantive change

 EPA  revocation.
    Reworded,  requirement for onsite
    inspection deleted;   allowance  for
    additional tiroe added';

 Request  for  individual permit.
   Reworded, no substantive change

 Effect of individual permit.
   Incorporated with S122.48(e)(5)

 Processing under  Part 124.
   Incorporated with S122.48(e)(4)
  Today's Paragraph
      Number(s)

  5124,57
  S122.59(a)(l),
    S122.59(b)(2)

  Sl22.59(aj(l)


  S122.59{b)(2}(v)


  S122.59(b)(2)(i)


 S122.59(b)(2)(ii)
;S122.59(b)(2)(iii)


 S122.59(b)(2)(iy)


 Sl22.59(b)(2)(iv)
5122.49
5122. 49 (a)
S122.49{b)
S122.49(c)
§122.49(d)
S122.49(e)
Special considerations nrrfo,-. •
Federal law.
'••'•' EO 11990 (Wetlands). ..". .
Reserved in today's regulations
EO 11988 (Floodplains).
Reserved in today's regulations
• Wild and Scenic Rivers.
. Narrative added
National Historic Preservation.
• Narrative added
Land and Water Con«5*a>-i»n«^ ***
5122.12
Sl22.12(f)
(Reserved)
S122.12(f)
(Reserved)
S122.12(a)
S122.12(b)

                        DELETED

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  33376      Federal Register / Vol. 45. No. 98/ Monday. May 19.1980 / Rules and Regulations

                       '            TABLE VII            .

              RELATIONSHIP OF JUNE 7 PART 122 TO TODAY'S REGULATION'S
                                  (Continued)
 June 7 Paragraph
 	Number

 S122.49(f)
 Sl22.49(g)


 5122.49(h)    - '


 5122.49(1)


 S122.49(j)


 S122.49(k)


5122.49(1)


 £l22.47(c)]



5122.60
 Subject and Any Changes

 Endangered Species.
   Narrative added

 Coastal Zone Management.
   Narrative added, comment deleted

 RCRA. v •  -       -
   DELETED

 SDWA.        •         >~  '
   DELETED

 Ocean Dunping.
   DELETED

 Surface Mining.
   DELETED

 Fish  and Wildlife  Coordination.
  Minor word changes

NEPA.     '
  Coverage specified
Delegation of Authority
  DELETED'
 Today's Paragraph
     Number(s)

 5122.12(c)
 S122.12(d)
Sl22.12(e)


5122.12(f)
                       .Confidentiality of  Information
                                       §122.19

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    PART I23r-STATE PROGRAM
   • REQUIREMENTS
    A. What Does This Part Do?
      This Part establishes the requirements
    for State RCRA, UIC. NPDES. and 404
    programs and the process for approval.
    revision, and withdrawal of these State
    programs. It also establishes guidelines
    for EPA  overview of these programs.
  ,  including the requirement for a
    Memorandum of Agreement between
    EPA and the State. Although State
    programs are established and operated
    under State law. approved State RCRA.
    UIC. NPDES, and 4O4 programs also
    implement Federal law and operate to
    lieu of Federally administered progranu.
    A permit issued by a State under State
    law after its program has'been approved
   satisfies the Federal permit requirement
   Under the CWA. EPA retains the right to
   object to  ("veto") NPDES and 404
,   permits proposed to be issued by   -
   approved States. Part 123 contains the
   procedures for EPA objection to these
  . permits.     -
     Part 123 is divided into a general
   subpart (Subpart A) and five program
   specific subparts (Subparts B-F). Unless
   expressly indicated, the requirements of
  Subpart A are generally applicable to all
  of the State Programs covered by'this
  Part, except Slate RCRA programs under"
  interim authorization: their requirements
  are contained solely in Subpart F
  Subparts B. C. D and E provide program-
  specific requirement* additional to those
  of Subpart A for the RCRA final
  authorization. UIC NPDES. and 404
  programs,  respectively.
    The procedures for issuing permits, as
  well as the minimum technical
  requirements for such permits, are
  incorporated into the requirements  for
  State programs by cross-references to
  other provisions of EPA regulations. For
  example, many of the permit
  requirements contained in Part 122,
  which is applicable in full to EPA-,
  administered permit programs, are
  applicable  to State programs through
  cross-references in Part 123. Because
  EPA does not issue Section 404 permits
  (these are issued by the Corps of
  Engineers in the absence of an approved
 'Stateprogram). Part 122 does not
  contain a subpart devoted solely to 404
 •permitting.  Instead. Part 123,'Subpart E
  contains the additional permit
  processing  requirements applicable to
  State 404 programs.    •  ;  •  '       '
   With one major exception, the
 requirements of Part 123 represent the
 minimum requirements which States
 must meet to qualify for approval. States
 are allowed some flexibility in how they
 implement these requirements and are
 free to impose more stringent controls
    pursuant to State law. (The exception.
   ^discussed below, concerns the statutory
    requirement under RCRA that State   •
    hazardous waste programs be
   ."consistenf' with other approved State
    programs and with the Federal
    program.)
     Many of the comments EPA received
   on proposed Part 123 objected to this
   scheme of setting minimum
   requirements for State programs and •
   allowing States flexibility to implement
   those requirements. Some commenters
   felt that the requirements for State
   programs were tod detailed and
   inflexible and that EPA should simply
   approve "effective" State programs. On
   the other hand, many national
   companies favored nationally uniform
   requirements and raised objections to
   allowing flexibility among the Stales.
   Alter careful consideration EPA rejects
   both the suggestion that State program
   requirements should be totally flexible
   and the suggestion that they be much
   more rigid.
    EPA believes that numerous problems
   would occur if it were to simply approve
   effective" State programs without
   setting minimum requirements. First.
   since many States are presently working
   on developing programs, setting specific
.  minimum requirements enables these
  States to know with certainty whether
  their program will be approvable. For
  example. State A is working on a
  hazardous waste statute. A
  controversial aspect of this legislation is
  the level of penalties and fines for
  program violations. By specifically
  establishing the minimum levels of fines
  for State programs in Part 123. EPA has
  given clear guidance. A requirement
  only of "effectiveness." which is subject
  to multiple interpretations, would
  subject the State to the risk of   "
  disapproval by EPA unless it enacted
  legislation identical to the Federal law.
   It would be most difficult for the
  Agency to approve programs based on
   effectiveness." To generate a record
  that a State program is "effective"
  which would withstand judicial
  scrutiny. EPA would have to look much
  beyond the State's submission for
 approval Moreover, unless EPA
 established standards on which to judge
 whether the program was effective, it
 would be difficult tp justify approving
 one State's program and denying
 another's. These regulations establish  :
 the specific criteria which are needed in
 order to make and justify these approval
 decisions.
   In addition, because decislonmaking
 based on effectiveness relies primarily
 on the past performance of a program, it
 would be particularly difficult to judge
 State programs which are new or
   substantially modified since these
   programs would have no "track-record."
   Moreover, past performance is not asi
   important to EPA as expected future
   performance. The Agnncy does not
   intend to disapprove all State programs
   which have had problems in the past. It
   views the decision whether or riot to
   approve a State program as being
   forward looking: the Agency is primarily
   concerned that the program be effective
   in the future.4              .'..    •
    Finally, all three of the statutes  -
   authorizing the State programs covered
   by UHS Part contemplate specific criteria
   tor State programs (see CWA section
   101(e). 402(b). 404(h). and 304(i); RCRA
   sections 3006(a) and 70O4(b), and SDWA
   section 1421). There is a growing body of
   case law which suggests that in the
   absence of specific requirements EPA
   would not be able to deny a State's
   request for approval.
    On the other hand. EPA rejects the.
   suggestion that State program's be
   nationally uniform (i.e..  that  they should
   meet all the requirements ,of Parts 122
  and 124), The Agency has carefully
  analyzed each of the Part 122 and Part
  124 requirements  to determine which are
  essential to State programs. In
  evaluating which  requirements the State
  should adopt. EPA employed the
  following criteria:
.   (1) Is the requirement necessary to
  protect public health and the
  environment?;
   (2) Is there a need for national
  uniformity with respect to the
t  requirement?:   .
   (3) Is the requirement necessary to
  promote a programmatic goal? (e.g., to
  promote public participation): and
   (4) Is the requirement necessary under
  Federal law for State programs? (e.g.. 5-
  year permit terms for NPDES  and 404
 permits).
   Many of the procedures of Parts 122
 and 124 do not meet these criteria, and
 therefore have not been made
 applicable to State programs.  For
 example, while the Agency believes that
 fact sheets, draft permits, and 30 day
public comment periods are necessary
to ensure the opportunity for public
participation (an explicit goal of Federal
environmental programs), it does not

   •In thi« regard, then wat one place in the  '
proposed regulations where the Ajjcncy nugs-Jsiud
that past performance in enforcement would be u
factor in evaluating State RCRA programs (see the
Comment after proposed J 123 J4(-JJ). Th'is provision
was strongly criticized by a large number of
commenters who felt that past performance is not a
SIT1,1   " ™ ev«ll»Un* a Slate program. While
EPA believes that past performance can be
considered, it agrees with the corcmcnters that the
decision whether or not to approve a Slate projram
ii.forward looking and that past performance
should not be the only or prime decision factor.    '

-------
Federal Register / Vol. 45. No/TO / Monday. May 19. isao / Rujes ^Regulation.
    believe that the process for
    administrative appeals of permits need
    Jo be uniform. Indeed, most States have
    their own administrative procedures
    acts and there were no comments
    suggesting thatrthese were inadequate.
    £. How Does This Part Relate to the
    June 14.1979 Proposal? '
      The following is a •tifitgiinn of the
    significant comments-received and
    changes made to the June 14.1S79
    proposal Editorial and stylistic changes
    have been mad* to afl sections and an
    not discussed.
    Subpart A—General rVogram
  *  Requirement*
     A frequent complaint about the
    proposed consolidated permit
    regulations was that they were too
   complex and confusing. Some of the
   comments noted that there were a great
   number of cross-references in Part 123
   and a general bifurcation of
   requirement* between Subpart A and
   the program-specific subparts. Indeed.
   this bifurcation generated many of the
   cross-references.
  •  To mitigate this problem EPA has
   further consolidated requirements by
   moving some of the material found in
   the program-specific subparts into the
  general subpart For example, the
  criteria for withdrawal of State
  programs are Ibund in 5 123.14. In the
  proposal, one additional ground for
  withdrawal was included for Slate
  RCRA program* ia Subpart B at § 123.41.
  In these regulations. EPA has moved
  proposed i 123141 into the same section
  which contains tha other grounds for
  withdrawal but. to avoid confusion, has
  dearly labeled it as being applicable
  only to Slat* RCRA'programs. While
  this  approach, means that some of the
  program-specific requirements are
  contained in Subpart A. it has resulted
  in the ^"^"Minn of many cross-
  references and sections.
    Subpart A i* not applicable to State
 RCRA programs, «nrf»»r interim.
 authorization.'
 1323.1  PuipojHfaad scope.
   Some commenters questioned whemer
 a State authorized to administer one of
 the programs under this Part would be
 required to seek authority to administer
 the others. The answer is no. EPA has
 never intended these regulations to act
 In such a manner. While EPA strongly
 encourages States to seek authority to
 administer all programs under this Part.
 and has promulgated these regulations
 In order to simplify the States' task in
 administering multiple programs, no
 affirmative duty to develop such
programs is established by these  •
                         regulations. It should by noted, however
                         that section 1422 of SDWA does require
                         States listed by the Administrator to
                         develop UIC programs: (AH States have
                         now been so listed) In answer to a
                         similiar comment concerning the
                         requirement to consolidate. States are
                         not being forced to consolidate when
                         they administer multiple programs. •
                         These regulations, howeiaf. provide the
                         framework fur consolidation for those
                         States that wish to do, so. EPA
                         ^                   pressed concern
                        about § 123.1(gHpn»po»ed j 12Xl(c)).
                                                         .
                         eguiiLusj tf** transition Hum an EPA (or
                        Cbrpwof Engineers in the case- of the 404
                        program) to * State administered
                        program, and wanted EPA to retain. ....
                        permit issuance authority over permits
                        being processed at the time of transfer.
                        Potential permittees indicated'it would
                        be tarfirir to make an applicant whose
                        application had been processed by EPA
                        start orer again with the State. While
                        the Agency is sympathetic to these
                        concerns, the statutes preclude retention
                        of permit issuance authority after State
                        program, approval. For example, the
                        Clean Water Act mandates that the
                        Administrator (or the Secretary in the
                        case of 404" programs) "suspend the
                        issuance of permits'* coon approval of a
                        State program (see CWA sections 402(cJ
                        and 404(h)J. Upon approval the State has
                        the sole permit issuing authority.  EPA
                       cannot preclude Slates from
                       reconsidering decisions made by  EPA '
                       {or the Corps) during the processing of a
                       permit application, aa soma commenters
                       requested. EPA (or the Corps) will.  .
                       however, transfer aH pending permit
                       applications and other relevant
                       information, including the record of any
                       proceedings, to the State at the time of
                       program approval, and wiH work closely
                       with the State to avoid unnecessary
                       repetition. EPA (or the Corps] may
                       maintain jurisdiction over permits
                       issued prior to the transfer.
                       Arrangements for the orderly
                       administration of these permits ace
                       usually included in th* Memorandum of
                      Agreement
                        Most of what was a Comment to
                      proposed i 123.1(e) has now been
                      included in the body of the regulation in
                      5 123.10). The question of who has
                      responsibility for program
                      administration over activities on Indian
                      lands drew many comments. Objections
                      were raised to the requirement that
                      States must administer the program over
                      activities on Indian lands to the extent
                      they are authorized to do so. coupled
                      with the requirement of proposed 5 123 J
                      that the State Attorney General analyze
                      the State's authority over Indian lands.
    Because Slates will lack jurisdiction, in
    most instances, to control activities on
    Indian lands, and since many of the
    comments suggested that requiring t
    State to take a position on the issue
    could generate significant political
    controversies. EPA has modified the
    requirement of the proposal EPA will
    assume that a. State lacks audiority
    unless the State affirmatively asserts
    authority and supports its assertion with
    an analysis from the State Attorney
   General. Thus, the State will not be
   forced to take a position unless it
   chooses to assert jurisdiction.
     The provisions hi § 123-I(k) (proposed
   5 12UIJJJ clarify that excite i-egard
   tocertaiB aspects of State RCRA
.   programs. States may provide more
   stringent controls than do the
   comparable Federal programs.
   Provisions applicable under an EPA-
   administered program ne«d not be
   adopted or may be modified by a State
   if their omission or modification would
   make the State program more stringent
   than the Federal program. For example
   a Slate NPDES or404 program need not
   provide for the issuance of general
   permits, but could instead require all
   dischargers to receive an individual
  permit Likewise. NPDES States need
  not adopt upset or bypass provisions
  since more stringent control can be
  achieved without them.
    Most of the Comment included in
  proposed i 12Xl(f) regarding State
  programs with a greater scope of
  coverage then required by Federal law
  has been incorporated into the '
  regulation. § 123.1(k)(2).
  5 123.2 Definitions,
    Although the definitions of Part 122
  apply to the terms used in Part 123.
  States are not required to adopt the
  same definitions. For example, although
  a State NPDES program must cover all
  "discharges of pollutants" into
  "navigable waters." it need not adopt
  the same language in defining the scope
 of coverage of the State program. For
 example, many NPDES States tie the
 permit requirement to die discharge of
 "waste." or use a different definition of
 waters. This is acceptable as long as the
 State does not adopt language which
 reduces the scope of coverage of the
 State program below the scope of
 coverage of the Federal program.

 $123.3 Elements of a program  •
 submission.
   This section establishes the
 documentation and information which a
 State must submit to EPA  before
 program review can begin. Since  the
 time allowed for EPA review of a State
program submission is quite limited, it i

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    essential that all 'the necessary
    documents be submitted before the
    statutory review period starts. The
    Agency views each element of a
    submission as essential to review in
    making its approval decision. Program-
    specific additions have been added io
    the list of required elements so that all
    the elements are contained in one
    section.
     Apparently, .many commenters
    misconstrued the language of proposed
    paragraph (a). These commenters
    thought that EPA'i 30-day review for
   completeness of the submission
   occurred before the commencement of
   the statutory-review period and pointed
   out that to do so would not be legal
   EPA recognizes that the statutory-
   review pfriod commences on the date of
   receipt of a complete submission and
   not on the date the Agency determines
   the submission is complete.  5 I23.3(b)
   has been revised to clarify this.
    Proposed 1123.3(b)(5). which required
   that a State submit copies of the forms it
   intends to use in its program, has been
   shifted to S 123.4. Submission of these
   forms 'is more appropriate as a
   component of the program description
   than as a separate requirement' .

  $123.4 Program description.

    All the program-specific additional
  requirements for the program
  description (i.e., proposed J§ 123.34
  (RCRA). 123.52 (UIQ. and 123.95 (404))
  have been incorporated into this section
  and clearly identified.
    The 404 requirement for a single
  agency has been dropped so as not to
  preclude States from using a "oneHtop"
  permitting body for certain types of
  facilities, e.g.. energy facilities.
  However. EPA believes that the use of a
  single State 404 agency is a preferable
  approach, offering more administrative
 simplicity and substantive consistency,
 and avoiding much potential confusion.
 Where more than one agency has
 responsibility for administering a State
 4O4 program, the program submission
 must specifically address this division of
 authority, and discuss how the program
 will be administered and enforced by
 the State. Each responsible State agency
 must have full authority in the category
 of its jurisdiction. §5123.4(h){7) and (8)
 have been added to establish these
 requirements.
   Some commenters suggested that
 States be required to demonstrate that
 the staff designated to administer the
 program is adequate. Indeed, this is the
 purpose of $ 123.4(b). Also, to avoid
 confusion, $ 123.4(b) has been clarified
 to explicitly provide that any agency
 administering a program must have
state-wide jurisdiction. A series of
    regional boards cannot administer a
    program unless.they are sufficiently   '
    under the control of a State agency. The
    purpose of this requirement is to avoid.
    inconsistent program administration
    within a State.
      States with more than one.agency
    responsible for administering a program
    are encouraged to designate a lead
    agency to. facilitate communications
    between EPA and the State agencies
    having program responsibility. State
    RCRA programs must designate a lead
    agency. The. lead agency need not be
    one of the agencies administering the
    program.
     The requirement for submission by
    States of the forms they will use in their
    programs (proposed J 123.3(d)(5J) has   .
  -  been retained, but is now included as a
    part of the program description
    (} 123.4(d)). Some commenters pointed
    out that program-specific requirements
    for State forms were not identified in the
   proposal EPA has tried to clarify this.
   Other commenters suggested that States
   be required to use uniform national
   forms. EPA believes that States should
   have the flexibility to develop their own
   forms as long as they require the same
   basic information as EPA. Only in the
   case of the NPDES Discharge Monitoring
   Report is an identical form required.

   9 123.5 Attorney General's statement.
    The Attorney General* statement is a
  central part of any State application for
  program approval The Attorney
  General's statement is heavily relied
  upon by EPA in determining what
  authorities exist in a State, and thus
 . whether these authorities can
  adequately operate in lieu of Federal
  requirements. While EPA will review a
  State's legal authorities, a complete  '
  evaluation is not possible without the
  Attorney General's interpretation of
  various provisions of State law. The
  Attorney General's certification can also
  be valuable where a State program is
  challenged for failure to conform with
  Federal requirements. The Agency will
  develop model Attorney General's
  statement formats for use in meeting the
  requirement of this section.
  ^The proposal (f 123.5(a)J required that
  the authorities cited by the Attorney
 General be in full force and effect at the
 time the statement is signed. This
. provision has been changed so as  to
 prevent unnecessary delays in the
 approval process. The Attorney General
 may now sigh the statement before the
 authorities are fully effective as long as
 the statutes and regulations cited by the
 Attorney General have been lawfully
 adopted prior to signing, and will be
 fully effective when the program is
 approved. For example, the provision
    now allows the Attorney General to sign
    the statement at the time of
    promulgation of a necessary regulations,
    even though its effectiveness is to be
    delayed.

     ;Ini response to comments that States
    not be forced to assert jurisdiction over
    activities on Indian lands. § 123.5(b) has
    been changed to provide that the
   Attorney General need analyze the
   State's authority over activities on
   Indian lands only when the State asserts
   such jurisdiction.
     One commenter suggested that the
   showing required under proposed
   5 123.94(b) for State section 404
   programs regarding specification of
   disposal sites be deleted for lack of
   statutory basis. EPA concurs and has
   deleted this requirement.
   § 123.6  Memorandum of agreement.  •
   - The program-specific requirements for
  .the Memorandum of Ag.-et-ment fi e
  proposed §§ 123.37 (RCRA), 123.72 "
  (NPDES). and 123.92 (404)) have been
  moved into this section for convenience
    One commenter suggested that MOAs
  be submitted to rulemaking. public
  notice, comment and hearing procedures
  before execution by the State Director.
  All MOAs Witt be subject to public
  scrutiny prior to program .approval
  (when they become effective) if not prior
  to their signing by the State Director. In
  the case of RCRA and UIC programs.   ,
  States are required to issue public notice
  of, and provide opportunity for public
  comment and hearings on their
  programs, a part of which is the MO A.
  prior to submittal to EPA. States are not
  required  to provide similar procedures
  for NPDES and 404 programs, although
  some may do so. However, under all
  four programs. EPA will provide public
  notice of the receipt  of Stats program
  submissions, including MOAs. provide a
 public comment period,  and schedule a
 public hearing.          --..'.
   f «3.efaM-This paragraph identifies
- the basic requirements of the MOA. The
 Note under $ 123.6{b)(2) points out that
 the nature and basis  of EPA review of
 State permits varies among the
 programs. Under the  CWA programs.
 EPA has a statutory duty to review Slate
 NPDES and 404 permits, and may object
 to permits proposed to be issued by a
 State. EPA is authorized to issue the
 NPDES permit, or the Corps of Engineers
 the 404 permit if the State does not
 modify the permit within a specified
 period to satisfy EPA's objections.
 Under RCRA. EPA may not veto a
 proposed State permit to which it
 objects, but may terminate a permit
 issued by a State to the extent the
 permit does not reflect comments made.

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  33380       Fader** Register / Vol. 45. No. 98 /Monday. May 19. 1980  /  Rules and Regulations
  by EPA which it stated were necessary
  to Implement State program
  requirements. Under the L*IC program.
  EPA has neither a. statutory right of
  review nor the ability to veto a State
  permit but may make arrangements
  with the State through, the MOA to
  review and comment upon. State
  permits. Under all four programs the
  MOA should b* the reside for
  specifying the detail* of EPA'* review of
  State programs*.
    Comment! wersr received 00 proposed
  i 123.6{b)(4)(i) stating that EPA should
  always notify States before- conducting
  inspections of fecsBrias or activities)
  within a State and .that the section-
  should be modified accordingly. EPA
  will, under mos< jarcnmstancesi provide'
  advance notification. However, for
  cases of emergency and when otherwise
  necessary. EPA must retain tba right to
  dispense with advance notification  of
  inspections. | IZ3.B(b)[4j(?) ha* therefore
  been retained in its proposed form.
   Proposed £ I2X8(b)f4][ii] concerning
  "fiscal arrangements for effective
  litigation support" has been dropped.
  Commenters indicated that they did not
 understand ths nature of the
 requirement Tha proposal included this
 as a means to ensure that enforcement
 activities are adequately funded,
 particularly when enforcement is
 conducted by an offica outside the
 approved State agency (e.sj- an Attorney
 General's office). Although EPA remains
 concerned about ensuring adequate
 funding for enforcement, it decided that
 this is appropriately handled In the
 context of a State/EPA agreement rather
than through, tha MOA.
   A new provision has been added, to
 ! 123.6(b)(4] requiring that the MQA ,
 include arrangements for the
 coordination of enforcement activities-
 by EPA and the States
   Some commenlers were concerned
 that { 123.8{b](5). regarding the joint
processing of permits- required by EPA
and a State under different pingum*,
could lead to delay* in permit i**r,T*~~f
They believed tiat approval of on*
permit would Mug** on: compliance: with;
another. The- intent of thi* paragraph
has been misinterpreted. First, joint    • .
processing of permits i* not required by
the regulations, but rather is al the-
option of EPA and the State. It la
intended to promote efficiency and
avoid duplication and inconsistency.
Where joint processing is chosen; the
agreement could provide for separating
out troublesome permits to avoid delays
in Issuing the o.thers. 1124.4 provides for
this separation. Further, the public
would have an opportunity to comment
on any provision regarding joint
  processing'before program approval.
  § 123.8(b)(5) has been retained.
   One commenter suggested that where
  more Aan one agency in a State
  administers a given program the MOA
  should require intra-State coordination.
  Such coordination has not been made an
  MOA requirement. While procedures for
  intra-State coordination may be referred
  to in toe MOA. they an better discussed
  in th» JJHJyjiu deagpiptinrt than m rif^
  MOA. f 123-4(b) requires a description
  of'these intre-Stal* piucedutes for
  coardraaHan. In tin ease of State 4O*
  DfO^ZSUQS ft IO£QaiQa?&XKEU&I Ol
  understanding between the responsible
  State agencies will need to be included
  in tfast program description when max*
  than one agsscy. seeks to administer the .
  program, and. tb* responsible agencies
  will all need to be-parties to me MOA
  under this section.
   i T716fff—Several comments were
 received on this paragraph [proposed
  S ia.32{a)]. which pertains to die scope
 of wait eis of permit retimx available to
 the Regional Administrator, under State
 404 programs. These comment*
 expressed two opposite viewpoints;
 some suggr*»ri that virtually no
 waivers be granted, whilst others
 soggestad that me SUteJj* given a
 blanket waiver of EPA permit review
 Upon program approval EPA continues
 to take an intermediate position based
 on th* express language of sections
 404{j] and (kj.of CWA, which provides
 EPA authority to review Stats* permit*.
 but allows waivers for specific classes
 and categories of activities.
   Certain types of activities are likely to
 have substantial environmental effects,
 and EPA feels, that it should always
 have aa opportunity to review permit
 application* and draft permit* for these
 activities. One soch category is "major
 discharges." A commenter suggested
 that a definition for "major discharger"
 b* formulated and applied nationwide.
 EPA believe* that development of »
 nationwide-dennitian is unrealistic
 given m* variety of discharge and
 aqua tic resource combinations within
 each Stats, and has therefore decided
 that such a definition is better placed in
 individual State MOA's with the
 Regional Administrator.
  Another eommenter requested an
 escalation procedure for resolving
 disagreements among Federal agencies
 on the scope of waivers. EPA disagrees.
The waiver provision under section
404{lc) does not require .the concurrence
of other Federal agencies. EPA has,
through these regulations, provided
other Federal agencies with an
opportunity to comment on waivers by
providing for consultation with the
Corps of Engineers. Fish and Wildlife
;nes



eraM^
  Service, and National Marine Fisheries
  Service on the scope of the waivers
  be contained in the State/EPA MO/'
  Since the MCA is part of the State
  program sabmittai these agenciesIOT»
  have an opportunity to comment on the
  waivers during the official review
  process required by sections 404(g;{:j
  and (3). Furthermore. EPA has required
  that procedures for MOA modification
  be consistent with those for MOA
  development. Thus, consultation with
  these other involved Federal agencies
  will also take place before any farther
  waivers are implemented.
    One commenter felt that the term
  "discharge which may affect the waters
  of another State" in 5 123^{f)(l)(»KA)
,  needed further definition to establish a
  reasonable .basis, for its use as a •
  criterion. Although the term has not
  been further definad because it derives
  directly from the requirements of CWA
  section 404(h)(l). it is meant to apply to
  discharges which may cause or
  contribute to the likelihood of a long or
  short term chemical, physical, or
  biological change in the other State's
  waters, or which may violate the other
  State's water quality standards. In
  response to a number of comments, EPA
  has expanded the  list of critical areas
  not subject to waiver in
  S i23.a
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                         F«faral Register / VoL 45. No. 98 /Monday. May 19. 1980 / Rule, and
m.
. that they are applicable to State
 programs. It should be noted that States
 are not precluded from adopting any of
 the other provisions of Parts 122 and
 124. However, only the provisions listed
, in 9 123.7 are specifically required of
 State programs.
   Many comments suggested that the
 requirement* applicable to States were
 too detailed and inflexible. In response,
 EPA reanalyzed the sections listed in
 4t« A M^MMak^^l 19* «M* A*	!• * '
            the proposal (| 12MJ which were
            applicable to all programs to determine
            if any sections could be eliminated a»
            State requirement*, or made applicable
            1o State* in a manner that would
          ;  provide the States with greater
            flexibility. Aa a result of this analysis.
            certain sections «nd subsections of Parts
            122 and 124 are no longer applicable to
            States (Law the requirement for a
           statement of basis and selected
           provisions regarding permit Issuance.
           draft permits, and public notice).  -
             EPA considered the idea of separating
           the remaining general State program
           requirements so as to establish two
           levels of applicability, one of which
           would allow States greater flexibility in
           how they could implement selected
           requirements. The idea was rejected.
           however, because of the confusion this
           bifurcation would cause among States
           seeking to determine what authorities
           wjjuld satisfy the requirements of
           provisions placed at varying levels and
           because of the difficulty of justifying the
           placement of a requirement at a riven
           JeveL                    .
            The requirement that State programs
          have legal authority to implement and
          be administered in conformance with
          the listed provision* has been retained
          This requirement does not mean that
          States must implement provisions
          identical to the listed  provisions; only
          that they establish requirements which
          are at least as stringent as the
          corresponding listed provisions.
          Assistance will be made available to
          States by EPA on how they can satisfy
          this section.
            Comment* were also received
          expressing the belief that all of the
         provisions of Parts 122 and 124 should
          be made applicable to States. As
        - discussed earlier in this Preamble, that
         notion was rejected, Comments were
         received, as well regarding the failure of
         § 123.7 to apply specific provisions of
         Parts 122 and 124 to States. One
         commenter recommended that the
         transfer provisions of Part 122 should
         apply to States. This recommendation
         has been adopted. Transfer
         requirements were made applicable to
         NPDES States in the Agency's June 7.
         1979. NPDES regulation (44 FR 32854)
         and are now made applicable to the
   other programs under this Part to assure
   that the State Director is given notice of
   a transfer of ownership and may react to
   it Other cpmmenters suggested that
   States be required to protect
   confidential information to the same
   extent as EPA. This suggestion has been
   rejected. § 123.7(a)(13) requires-States to
   implement §5 122.19(bHd); This means
   that States must grant public access to
   at least the same type of information as
   does EPA. EPA will not however.
   dictate how a State must treat other
   information submitted to it 9 I22.19fal
   (proposed g 12Zie(an. therefore, has not
   been made applicable to States. Finally,
   • eommenter requested that State notice
  .and hearing procedures for RCRA
   permits be the same as EPA procedures.
   The pro visions of Part 124 regarding
 •  notice and hearing were, in the proposal
   and remain, in these final regulations,
   applicable to State* to the extent
  necessary to assure adequate public
  participation. EPA believes that beyond
  these minimum requirements. States
  should have flexibility to establish their
  own administrative procedures.
   The list of applicable requirements in
  9123.7(a) has been adjusted to reflect
  the transfer of those permit application
  requirement provisions common to all
  programs from the individual program
  subparts of Part 122 to the general
  Subpart. i 122.4. It imposes no
  additional requirements on the States.
  This change appears at f 123J(a)(l). The
  corresponding provision of Part 124,
  i 124J(a), ha* also been made
  applicable. Also, an addition has been
 made to the hst of applicable
 requirement*,  f 1217{aHlS), to clarify
 thata draft permit must be prepared and
 circulated by approved States before a
 permit is modified or revoked and
 reissued as required by 5 124.5. This
 requirement is not applicable to State
 404 permits when no draft permit is
 PffParfd prior to Initial permit issuance.
   The language in proposed 9 123.S has
 been amended, in response to
 commenter*' concern that the section
 limited State authority to impose
.requirements more stringent than      •
 Federal requirements, to make dear that
 tile applicability of.the listed sections to
 State programs does not infringe on a
 State's right to be more stringent For
 example. State NPDES programs need
 not adopt the provisions for bypass and
 upset in 1122.60. However, when States
include provisions  on bypass and upset
these may not be less stringent than
those allowed by EPA regulations.
    NPDES compliance evaluation programs
    {proposed 9 123 JO) have been included
    in this section for convenience.
     A comment was received suggesting
    that States not be required to make the
    information gathered under 5 123.8(b)fl)
    available to EPA if it is prepared in
    anticipation of or is in any way
    associated.with litigation. EPA cannot
    accept this suggestion. EPA does not
    intend to interfere with State litigation.
   However, the information collected by a
   State regarding persons subject to
   regulation who have failed to comply
   with permit application or other program
   requirements must be available to EPA
   m order for EPA to perform its statutory
   responsibilities to oversee approved
   State program*. The information which
   this commenter seeks withheld from
   EPA is information vital lo EPA's
   oversight of State enforcement
   activities, i I22.8(b)(l) has been
   retained.
    One commenter requested that
   § 123.8(b)(2) indicate how often periodic
   inspections should be made. EPA agrees
   that the establishment of such schedules
   is desirable, but feels that it is better
  handled on a State by State and year by
  year basis because of the continually
  changing nature of State permit activity.
  Schedules for periodic inspections.
  therefore, will continue to be
  established in annual State/EPA
  agreements.
                                    § 123.8 Requirements for compliance
                                    evaluation programs.

                                    _This section was proposed as § 123.9.
                                    The additional requirements for State
  9 123.9 .Requirements for enforcement
  authority.

  .This section was proposed as 9123ilO
  The requirements for Sta te enforcement
  programs generated more comments
  than any other section of Subpart A. The
  proposal generalized the requirements
  to a degree which made them-confusing
  and vague. Therefore, EPA has chosen
  to set some of the requirements on a
  program-specific basis closely tracking
  the EPA enforcement authority in each
 of the programs.              /
   Most of the controversy on this
 section centered on the amounts of civil
 and criminal penalties or fines
 recoverable under State law and the
. types of violations to which they apply.
 EPA's proposal would have required
 States to have essentially the same
 enforcement capabilities as EPA.
 including the (ability to collect the same
 maximum fines and penalties. The final
 regulation adopts a similar approach.
 but affords a greater degree of flexibility
 on the amounts recoverable. All State
 programs must have both civil penalties
 and criminal sanctions. Fines and
 penalties must be recoverable under   .
State law; a State program cannot rely
on the levying of Federal fines, as one
commenter suggested, since the State,

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33382
    iHi'i^fcni ° have pnmaiy "nforcemenl
    ££Tt  ,,my nrpon Pro-am approval.
    The violation, for which these fines and
    penalties must be recoverable, which
    some commentera claimed were set out
    too broadly fa the proposal are now
    clearly «et out and coincide with EPA;.
    avir?onty under each statute.
      The Agency ha. determined that it is
    necesMry to «et .pecific minimum level.
    of fines and penalties which States must
    tMvo tho authority to recover fa order to
    ensure effective State enforcement
    prop^ Without «uch minimum leveU.
    EPA would often be forced to take its  •
    own enforcement action fa approved
   State. because the State action imposed
   inadequate penalties Such EPA action?
   while available a. a backup, i. not
 ,  Intended to be relied upon a.  the prime
   enforcement mechanism fa approved
   State*. Accordingly, the Agency has set
   minimum levels of fines and penalties.
   However, it has reduced the levels
 .  below those available to EPA based on.
   Uie large volume of comments  from
  States requesting such relief.
    In the area of State RCRA programs,"
  the minimum levels of fines and
  penalties are set at SlO.OOO per day at
  the suggestion of the National
 Governor. Association. Also, •
 Imprisonment for at least six month.'
 muat be available. These are the
 mimmums which must be present in a
 State program before it can be
 considered to "provide adequate
 ^rf\a« T T this,mav b* Preferable
 and has. therefore, allowed States to
 choose between pipeline severance and
 criminal fines for Class tt wells.
   One commenter suggested that the
S?oS,0iL^12?-l,(a)tl)u(pr°p°sed
 » I23.10(a)(l)}_that States have the
authority to restrain immediately
unauthorized activities endangering
pubUc health or the environment-w
too broad for purposes of the UIC
program, and that *nr{an>»«»._> _
                                                               t-was
                                                                                           	•—       ,.;
                                                                                violations and are inherently flexible so
                                                                                as to provide States with a wide mi  ^
                                                                                of discretion fa their application
                                                                                  some commentera arsued that th.ll
                                                                                penalty policy could not be appledTo1
                                                                                States administering RCRA programs
                                                                                because under section 3008(c) of RCRA
                                                                                the Administrator may only consideMhe
                                                                                I5&SSSZ £ ?• *?•**and s°°d
 S!^1118 "H""0"8 ^ which criminal
 remedle. mint be obtainable wa.
 changed from "any program violation" .
 fK.?«l1D*ny «»»»««««• pointed out
 that EPA cannot obtain criminal
 remedies for any program violation. The
 jWuiHon. where, criminal remedies must
 uttVa   V8 n°Y d°8ely Parallels the
  •$? P   8ecUon 300a °f RCRA.
  4*39 levels of fines And pen<ies for
 i*le N?,1325 Program, has been
«dju»ted to the same level reflected fa
P*»t Agency policy. All currently
approved NPDES s,,te, meet ^ f  ,
                                                    Mangerment o  the
                                               shoultf be eliminated as a
                                    cauw for immediate action. This
                                    commenter cited section 1431 of SDWA
                                    which allow, immediate action oidy
                                    when there U an "immfaent and
                                    •ubstantial endangerment to the health
                                    of penoru." Section 1431 ii not
                                    applicable to State UIC programs.
                                   Further, section 1421(a)(l) is intended to
                                   assure effective programs. Reference to
                                   endangerment of (threatening) the
                                   r^^fJ'J188 bee-n retained in
                                   § 123.9(a)fl) because it is anecessary
                                   element of State enforcement programs.
                                    The alternative in proposed
                                   5,123-1(Ha)(l) which allowed States to
                                   choose having available either the
                                   S3i  y lofAimmediat"ly notifying the
                                   Regional Administrator by telephone of

                                  IZ"^01^ 8?,Uvltiei or ' »• remedy of
                                  fmmediately and effectively restraining
                                  •uch activities by order or by suit has g

                                  r^fuiifTn  ?e-latter rcmedv i8 n
                                  JSES* rf.a,"  SJate Pro«ranis. The
                                  remedy of .telephone notification was
                                  dropped as an  option since it is an

                                  teH? ', 1U,ty °J "" ?tate>- ^ mon
                                  important authority of being able to
                                  ^mediately restrain an unauthorized

                                          °ne "
                                                                                                       aPPcae
                                                                                           in assessing a penalty The
                                                                                           v.ea *«« *« factor *'
                                                                                       .? 5 123>9(C) fit "^ ">"«
                                                                               broad statutory standards. Moreover.
                                                                               EPA interprets section 3008fc) of RCRA
                                                                               ft.** "OW ad°P.tion °f « Penalty policyby
                                                                               find,^^ to n?f strictly «««"» **
                                                                               II.M J f f^ °f ?eotion XXHM- sll»ce the
                                                                               Usting in section 3008(c) is not exclusive.
                                                                               fa addition section 3003 covers only
                                                                                  f™ Enforcement and is not directly
                                                                               applicable to the States.
                                                                                 § 123.ff(d}-Thi3 section establishes
                                                                               mimmum guidelines to ensure that the
                                                                               public has an adequate opportunity to
                                                                               P     -   " '" &e enforcemcnt process

                                                                              cooperation with States, topublish
                                                                              minimum guidelfaes which provide for
                                                                              such public participation. Additionally.
                                                                              this regulation is promulgated in
                                                                              response to the opinion of the Seventh
                                                                              Circuit in Citizens for a Better
                                                                                    ment v. EPA (596 F. 2d 270.
                                                                                     o- rehearing denied. 13 ERG

                                                                                      "' ^ " Wa8 p™P°8ed
                                                                                       °D AugU8t 22. 1979 (44 FR
     4WUWU.

 ~/*i8 J^eU of dvU Penaltie. and
 criminal fine, for State UIC program.
 have been similarly reducedSw
 federal amount.. The minimum civil
 penalties and criminal fines have h*«i»n
 «t«tS2.500andS5.000perday!
 respectively However, fa the case of
 Oass J weUs, States need only have the
 authority to recover a civil penalty of

 Authority for pipelfae (or production)
 severance for crimfaal fines. Several -
 commentera noted that they had this
 authority for pipelfae severance
available to them, and that it proved to
be more effective than monetary fine.
                                                           a8e
                                              administrative cease and
                                        ,   ' °f Wilh *" abilitv to 8eek «n
                                   m   lmrL°Jary "strafafag order, an
                                 ability which few. if any. States lack.
                                   States are still required to have the
                                 same array of enforcement tools as EPA.
                                 .except that imprisonment is only
                                 ^rS f" Stat° ?CRA Programs. State
                                 programs may not impose a greater
                                 burden of proof for establishing
                                 violation, than is required of EPA under
                                 tte appropriate Act,. A State could not
                                 for example, require a showing "beyond
                                 a reasonable doubt" to estabiilh.a dvU
                                £?~  n"* " ^8reater burden of Proof
                                             e
                                     . ..a August 22.1979 proposal required
                                   all States wishing to receive or maintain
                                   programs covered by the consolidated
                                   permit program to provide citizen
                                   intervention as of right Additionally.
                                   EPA suggested several other
                                   mechanisms for public participation.
                                   After reviewing the public 'comments
                                   this proposal the Agency has
                                   established requirements which ens
                                   the benefit, of public participation.
                                  while intruding less into the States'
                                  management of their judicial and
                                  administrative systems.
                                    Many commenters objected to the
                                                                                                             on
                                                                                                        ensure
                                        —-. -.1=i, suucBssmJ and State
                                 >-s«au». therefore, less effective.
                                  The penalty policy provision in the
                                 reposal (§ l23.lo(c)J has been retained
                                uncnanged1 despite numerous objections
                                that it not be applied to States. EPA
                                believes that it is entirely reasonable to
                                expect States to assess penalties which '
                                are  appropriate to the violation."'^
                                additional criteria for assessing
                                penalties apply only to "deadline"
                                                                                        .wM>«ii ut intervention as
                                                                           -...«.» ui jiuie enforcement action.
                                                                           Various reasons were advanced
                                                                           including that Ihe Agency lacks
                                                                           statutory and constitutional authority to
                                                                           impose such a requirement and that
                                                                           under section 101(b) of CWA States
                                                                           have the primary responsibility to
                                                                           control pollution. Additionally, many
                                                                           States pointed to the possible disruption
                                                                          or loss of existing programs if State
                                                                          legislatures were asked to enact
                                                                          statutory changes. Although the Agency,

-------
    does not asreewifh all of the arguments
    advanced by commenters. intervention
    as of right is not now mandatory but is
    one of two options to be adopted by
    States, f                    •     • .
   .,  The first option allows States to
    provide for intervention as of right by
    citizens who have an interest which is
    or may be adversely affected by a
    violation. This coverage is comparable
.   »o existing rights In Federal court
   Alternatively, States may provide
   assurance that they will not oppose
   intervention by dtizeiu when such
   intervention may b« permissibly
   authorized understate law. States
   employing this option are also required
   to ensure that dtizen complaints of
   potential violations are received and •-«•
   responded to. and that any proposed
   settlement of an enforcement  action is
   published for public comment.
     Commenters also objected to the
   application of these requirements to
   RCRA and UIC programs. Many pointed
   out that CDE v. EPA. supra, in which the
   Seventh Circuit invalidated the
   Administrator's approval of the Illinois
   NPDES program, was based only on the
   requirements of section 101(e] of the
   CWA. ETA believes that the application
   of these requirements to programs under
  RCRA and SDWA. in addition to CVvX  '
  is warranted.. Section r(XH(b) of RCRA is
  virtually identical to section 101 (e) of
  CWA. and contains the same obligation
  to promulgate regulations dealing with.
  public participation. Although SDWA
  contains no such specific requirements. -
  section 1450(s)(l] authorizes the
  Administrator to prescribe regulations
  which are necessary or appropriate to
  carry out his functions under the Act
'  The Agency believes that these
  minimum public participation
  requirements are both necessary and
  appropriate for an adequate State UIC
  program. The requirements of § 123.9(3).
  therefore, remain applicable to all
 programs covered by Subpart A of these
 regulations.
   Numerous commenters urged the
 Agency to adopt all the mechanisms for
 public participation suggested in the
 proposal Some stated that the right of
 participation in State court should be
 equivalent to that available in Federal
 Court Although these regulations
 require that States provide a meaningful
 opportunity for public participation in
 enforcement, they represent minimum
guidelines and do allow States some
flexibility in developing these
provisions. Nothing in the Act or its
legislative history indicates that
Congress intended that States be
required to provide identical rights to
    those Congress specified for citizens in
    Federal court
      Some commenters objected to the
    suggestion, adopted as part of the
    second Alternative.; that States be
    required to publish proposed settlements
    for public comment They claimed that
    this could disrupt a process which
    requires that settlements be negotiated
    in private and adopted quickly.
   However, it is just such a situation, with
   its potential for abuse, which public
   participation is designed to avoid.
   Experience by the Federal government
   indicates that noticing proposed
   settlements for public comment does not
   make it appreciably harder to settle  •
   cases. Thus, notice of settlement must
   b« published although the.settlement
   Itself needn't be published. Interested
   persons will be allowed to view the
   settlement if they wish.-This process is
   similar to that now employed by the
   Department of Justice {23 CFR § S0.7).
    Some commenters stated that the
   Agency should define "citizen." Many
   pointed to section 505(d) of CWA which  •
   defines citizens as persons who have an
  interest which is or may be adversely
  affected. The Agency has adopted a
  similar definition in this rule. However.
  it should be noted that the legislative
  history of section 505 indicates
  Congress* intention to give citizens  th'e
  broadest right of participation permitted
  by the requirement of "standing" •
  contained in the U.S. Constitution.
  Similar breadth would be required of
  States choosing to provide intervention
  as of right
    It was also suggested that the  Agency
  require States to provide their citizens a
  right to compel State officials to  perform
  non^discretionary duties. EPA does  not
  believe that such a right  need be
 specified in these minimum guidelines.
 When States are not performing
 necessary duties, citizens have the right
 .to petition EPA to withdraw the State's
 authority to administer the program.
   Some commenters objected to  the
 length of time which States are given to
 comply with these requirements.
 However, this period is the same given
 for compliance with all new
 requirements contained in these
 consolidated permit regulations.
   Some commenters asserted that EPA
 has hot developed these regulations "in
 cooperation with the States" as required
 by RCRA and SDWA. Due to the  time
 constraints imposed by the court inCBE
 v EPA, supn, the proposal was
 developed by EPA. However. States
 were fully informed and their views on
 the proposal Were actively sought
Comments were received  from agencies
in over 30 States. These comments were
    § 123.10 Sharing of information.
    _ This section was proposed as § 123.16
    Paragraph (a) requires approved States
    to share information with EPA. Manv
    States indicated that under State law
    they may not be able to make     •  '
    confidential information available to ,
   EPA upon request However, since EPA
   cannot exercise its statutory oversight
   and enforcement responsibilities
   without  access to all the information it
   needs, including confidential
   information, the paragraph has not been
   changed.              ....."
     A commenter stated that if EPA
   receives, confidential information from a
   State, the Agency should preserve the
   confidentiality of thfe information. When
   the Agency receivesJnformation from a
   State which is claimed as confidential
   by the submitter EPA will treafthis  :
   information in accordance with its
   business  confidentiality regulations at
 ,  40 CFR Part 2. These regulations treat all
   information claimed confidential by thn
   submitter as confidential until  an
  explicit determination is made that it is
  not entitled to confidentialtreatment A
  submitter gets prior notice of this
  determination under 40 CFR § 2.205
    If a State operates a broader program
  than is required by Federal law. this"   .
  information sharing requirement applies
  only to the Federally required portion.
    Under,§ 123.10(b). EPA willprovide
  States with information from its files
  when the State requires the information
  to administer a Federal program. If the
  information has been claimed
  confidential by its submitter. EPA will
  disclose the information to a State in
  accordance with the procedures of 40
  CFR Part 2, In particular. 40 GFR
  5 2.301{hJ(3). which is incorporated by
 reference jn § 2.302(h)(3) (NPDES/404
 permits). § 2-304(h)(3) (UIC Permits), and
 § 2.305(h)(3) (RCRA permits), provides
 that EPA will disclose .information '     ••
 claimed confidential to a State if the
 State has the authority to compel that
 information or. if it does not have such
 authority. If EPA determines that the
 State will provide adequate protection
 to the interests of the affected business.
   One commenter stated that a
 submitter should get notice before
 confidential information it  submitted to
 EPA is disclosed to a State. Under the
 Part 2 regulations. EPA will give notice
 to the submitter before disclosure to the
 State if the  State agency does not have
 the authority to directly compel  .   -
submission of the information: If the
State does have the authority to compel
submission of the information, notice is
not required. EPA's disclosure of

-------
  information to an approved State nndi
  S 323.10(b) is essentially the same as
  disclosure to EPA employees or other
  Federal agencies who perform a
  function on behalf of EPA. Notice is not
  required prior to disclosure in either of
  these instances. See 40 CFR
  SIZ259(c}(3)and(e).

  Proposed $223.11  Progress reports.
   TMs proposed section has been
  dropped because it was duplicativ* of
  other provisions in this Part. Tb»
  requirement that States with interim
  authorization under RCRA. and those
  listed as needing a UIC program submit
  progress reports is found in Subparts F
, and C. respectively.

 I323.13  Procedure for revision of State
 programs.
   "This section was proposed as § 123.13.
 The procedures for revising State
 programs are designed to be flexible
 enough  to cover both minnr «nH major
 modifications. The Agency will issue
 public notice and provide opportunity
 40f DtpLullC ******"'•*•••* — —..i	t	«? _ i
                          «-,)ria
   proposed program modifications, and
   will indicate its approval by notice in
   the Fadaral Kejpsiar. IB most instances
   of minor modifications. EPA will not
   issue public notice and will indkata its
   approval by letter.
     One commenter requested that there
   be no formal EPA review of nominal
   changes in the structure and
   responsibilities of State agencies
   •dministeringanapprovedprofram.lt
  It of these final regulations to require
  EPA review in such cases. Only when
  the controlling Federal or State statutory
  or regulatory authority is modified or
  •upplemented. or when the State
  proposes to transfer all or part of a
  program from an approved State agency
  to another agency may EPA approval be
  necessary. Changes solely in the
  Internal structure of an approved State
  •gency. with no changes in the overall
  authority of the agency, do not require
 EPA approval.
   A new provision (i 123.13(g)) has been
 added to reinstate the time periods for
 compliance with revised NPDES
 requirements by1 approved State NPDES
 programs. Those compliance deadlines
 had been suspended on March 13. igao
 (45 FR 36182) to allow NPDES States to
 await promulgation of these
 consolidated regulations before
 modifying their programs.
  1123.13[g) also requires NPDES States
 to Implement the new NPDES
 application requirements for existing
 dischargers other than.POTWs
 contained in §S 122.4(d) and I22^3(d)
•>nd (e). for all dischargers whose
   permits expire after November 30.1980
   or whose permits expire before
   November 30.1980 but who have not
   reapplied prior to April 30.1980. This is
   necessary to assure that the imminent
   round of BAT permit issuances are
   written with adequate knowledge of the
   toxic pollutants being discharged. (See
 '  the preamble to the. consolidated
   application form, published elsewhere in
   today's Federal Register, and the
•   preamble to  { i 122J3 and 12Z£Z for
   detailed discussion of the new
   application, its use in the NPDES
   program, and the considerations
   involved in phasing in the use of the
   new application.}
    While these application requirements
  wio have to ba implemented more
  rapkfly by States than other new NPDES
  requirements. EPA anticipates that
  States should have no difficulty
  implementing them in a timely manner.
 EPA is not requiring that States
 immediately develop new forms to
 secure the information required under
 §5 122.4(d) and 12ZS2(d] and (e). Until
 such time as they develop new forms
 they may either receive the required
 information without the use of any form.
 or they may use EPA's new consolidated
 Forms 1.2b and 2c (see separate
 publication in today's Federal Register »
 of EPA consolidated application forms).
 EPA will provide adequate supplies of
 these forms to States wishing to use
 them. States which develop new
 application forms consistent with
 Ji 12Z4(d) and 122J3(d] and (e) win
 receive expedited approval EPA wiH
 consider these new forms to be
 nofjsubatantial program modifications   '
 under 1123.13(bJ(2).
                                                                                 withdrawal would remain valid after
                                                                                 withdrawal. This provision appears at
                                                                                 5 123.15(c).
                                                                                Subpart B—Additional Requirement'
                                                                                State Hazardous Waste Programs
                                                                                Subpart F—Requirements for Interim
                                                                                Authorization of State Hazardous Waste
                                                                                Programs
                                        	  Criteria for withdrawal of
                                     State program*.

                                       This section was proposed as J 123.14.
                                     One commenter thought that program
                                     withdrawal should be mandatory for
                                     any violation by a State of the
                                     requirements of this Part Such a
                                     ,requirement would be draconian and
                                     haa been rejected by the Agency and the
                                     Courts. See Save the Boy v.
                                     Administrator. 558 F.2d 1282 (5th Cir
                                     1977).          .

                                     5 123.15 Procedures for withdrawal of
                                     State programs,

                                      This section was proposed as § 123.15.
                                     A commenter suggested that EPA give a
                                     written response to any petition for
                                     withdrawal of a State program. This
                                     suggestion has been adopted. Also.
                                     language has been added to clarify that
                                     actions taken by a State prior to
                                     withdrawal are valid and are not
                                     affected by withdrawal. Thus, a permit
                                     issued by a State prior to program
      RCRA is unique among the statutes
    covered by these consolidated
    regulations in that it provides for two
    different types of EPA approval of State
    programs—."interim authorization."
    which may extend for only 24 months
    after the full Federal program has been
    established—and "final authorization."
    which is the same type of permanent
    approval authorized by the other •
    statutes implemented by Ihis Part
     EPA originally proposed guidelines for
    both mlerim and final authorization of
   State hazardous waste pros-rams under
   section 3006 of RCRA on February 1
   1978 (43 FR 4365). On June 14.1979. EPA
   reproposed the guidelines as part of
-  these consolidated permit regulations,
   Because of She public interest in the.
   Federal hazardous waste regulatory"
   program and because of the particular
   need for States to know early in 1980
   what EPA would require for interim
   authorization, the Agency, on January
   29,1980. published in the Federal
   Register (45 FR 6752) Advance Notice
   what today's regulations impose as
  requirements for both interim  and finar
•  authorization of State hazardous waste
  programs. The Agency did not accept
  comments on this Advance Notice, nor
•  did it respond in the Advance Notice to
  comments made on the June 14.1979
  proposal.
    In the June 14,1979 proposal EPA
  responded to comments received
  concerning the February 1,1978
  proposal and discussed certain program
  decisions. These will not be reiterated
  fully here. However. EPA strongly
  solicited comments on many aspects of
  the proposal pertaining to interim
  authorization. Comments pn these
  aspects  and the basis for this final
  regulation for interim authorization as it
  appears today are addressed below.
   In the June 14.1979 proposal  of Part
 123. requirements for both interim
 authorization and final authorization
 were contained in Subparts A and B.
This caused confusion among many
commenters as to which requirements
pertained to which type of authorization.
In order  to make the final regulations
easier to read and work with. EPA has
now separated the RCRA provisions in
this Part into two Subparts—one for
final authorization and one for interim
authorization. EPA believes that the

-------
    requirements for interim authorization
    are most comprehensible when set forth
  •  as a discreet, autonomous subpart of  '
    Part 123.
      Thus, new Subpart F includes all of
  .  the requirements for interim
    authorization, having explicitly adopted
    the applicable portions of Subpart A.
 -  Accordingly, Subpart F can be read as a
    unit by those interested in interim  . -
    authorization only. This system will'alsb
    allow Subpart F to be dropped from the
    Code of Federal Regulations when the
    interim authorization period is over.
    Subpart B now includes the
    requirements for final authorization
    additional to those contained In Subpart
_   A. Although this separation causes some
   duplication of requirements which
   pertain to both interim and final
   authorization, EPA believes'this
   reorganization will remedy the
   uncleamess of the proposal concerning
   requirements for interim authorization.
     Because final and .interim
   authorization are so closely related, they
   are discussed together in this section pf ,
   the Preamble. The discussion first
   covers two general issues relevant to
   both programs. Interim authorization is
   discussed next, since  it comes first in
   time and is expected to provide the
   foundation for final authorization.
   Finally. Subpart B concerning final
 , authorization is discussed.
    Equivalence and consistency. One of
  the most frequently discussed issues in
  the comments on the RCRA portions of
  the proposed Part 123  regulations
  concerned the extent to which State
  programs should be required to be
  substantive and procedural duplicates of
  the Federal program before they could
  be approved for either interim or final
  authorization. Many industries argued
  for requiring nearly identical State
  programs, out of an understandable and
  legitimate concern about the burden of
  adhering to many dissimilar State
  programs, while many  States argued for
 a more lenient test, for equally   . ,
 understandable reasons. The basic legal
 framework of the problem is laid out
 here; EPA's detailed resolution of the
 issue is explained later in the program-
 specific discussion.
   RCRA expresses a concern for
 national consistency of State programs
 during final authorization, but backs-off
 from that goal of consistency during ':
 interim authorization. The statute
. requires States with final authorization
 to have programs both "equivalent to"
 and "consistent with" the full Federal
 program. However, during the period of
 interim authorization States must have
 programs that are only "substantially
 equivalent-to the Federal program.  .
     Although these provisions .taken
    together evidence a clear concern to
    avoid applicativei and overlapping
    regulations and to make State hazardous
    waste control programs relatively equal
    to each other and to the Federal
   program, particularly during final
   .authorization, they must be considered
   in light of section 3009 of RCRA. Section
   3009 of RCRA states that after the
   Federal RCRA program becomes
   effective, no State may administer a
   program less stringent than the Federal
   program. The statutory, language does
   not directly address the question  .
   whether more stringent State
   requirements are preempted, though
   EPA believes in certain circumstances
   discussed later in the preamble, they
   well migrrtbe. However, the section
   taken as  a whole does suggest by
   negative  implication that RCRA was not
   intended to have sweeping preemptive
  .effect Thus States may impose
  requirements under their own laws
  which are more stringent than the
  Federal requirements, but section 3006
  forbids EPA from approving these
  requirements as part of a State,final
  authorization program if they are
  "inconsistent" with the Federal program.
    Accordingly, establishing very tight
  standards for EPA approval of State
 .programs would not necessarily
  advance some of the basic goals of the
  statute—to establish Federal minimum
  standards, but riot abruptly halt the
  development of State programs, and to
  reduce the existence of overlapping or
  duplicative State regulatory programs.
  Indeed, setting a very high threshold
  might produce the reverse effect by
 removing an incentive for Slates to take
 moderate steps to make their program
 more similar to the  Federal program, but
 not identical to it
   Though EPA has tightened a number
 of the requirements for approval of State
 programs, it has not accepted the
 comments  calling for the programs to be
 identical Instead, as discussed below, it
 nas adhered to a more flexible
 approach, particularly where interim
 authorization is concerned. Final State-
 RCRA programs though may not be less
 stringent than the Federal program.
   Review of State permits. Section
 Spoara)(3) of RCRA authorizes the
 Administrator, after giving notice, to
 revoke any RCRA permit whose holder
 is m violation of any of the requirements
 of Subtitle C. 'or State requirements
 established under that Subtitle, and to
 assess a dvil penalty against that
person.The statute explicitly allows this
whether the permit'concemed was
issued by EPA or by a State with an  .
approved program.
    , The proposed regulations did not
    specify any restrictions on this
    authority, and thus by implication
   'allowed it to be used at any time. (This
    implication was reinforced by the very
    broad grounds for modification of RCRA
    permits set forth in proposed § 122.9.)
     In these final regulations. EPA has
   made more explicit and narrowed the
   grounds on which it will move to revoke '
   btate-issued permits or enforce against
   their holders. First EPA may take such
   fhl11^8,8*.!1?? «"»* •*« Pving notice to
   the State, if the holder of a State-issued
   permit has not complied With its terms.
   EPA intends that States should have
   primary enforcement responsibility, but .
   the Agency retains independent'
   enforcement authority in an approved
   State and will use it to the extent a State
   fails to take necessary enforcement
   action. Beyond that, the regulations
   state that EPA will only revoke State-
   issued permits or enforce against their
   holders to the extent permittees do not
   comply with conditions included in
:   comments ma,de_by EPA during the
  period for review of State permits
  required by 5 § 123.6.123.38. and 123.134
  and which EPA stated were.necessary
  to implement approved program
  requirements. EPA comments on the
  proposed State permit would only
  address whether the permit properly
  implemented the approved State
  requirements, not whether it
• implemented the Federal requirements
  that were not effective in the State. EPA
  does not intend to take enforcement
  action against a State permit holder who
  is in compliance with a condition
  commented upon by EPA daring its
  review period and recommended for
  inclusion in the permit, even though the
  condition is not included in .the permit.
 This is clearly not a result EPA intended
 in establishing these permit review
 procedures. Permit applicants will be on
 notice as to comments made by EPA
 during the review period as these
 comments will be sent to the permit
 applicant before the permit is issued.
   This approach means that in cases
 where EPA has no comments on a State
 permit or where the comments are'
 successfully accommodated, compliance
 with the State permit will be deemed
 compliance with the requirements of the
 State program and Subtitle C. for
 Federal enforcement purposes, apart
form an "imminent hazard" action, under
section 7003. However, it also reserv es  -
to EPA the authority to prevent a State-
issued permit from shielding owners and
operators from Federal enforcement to
the extent that EPA has timely
expressed its views that the permit in
question is not adequate to carry out the

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   33388    '  Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
  purposes of RCRA. This xvill allow EPA
  a measure of control over State RCRA
  programs short of the drastic and often
  impractical step of withdrawing
  program approval. The language of
  section 3008{a){3) indicates that
 . Congress had such an oversight role in
  mind when State-issued RCRA permits
  *vere lijim rtuedg
   EPA will follow tins approach both in
  States vrith final authorization and in
  State* which an issuing permitm ™~w
  Pfaas* U of interim anthorization. Oaring
  Phase I of interim authorization.
  "Interim states standards" or ttn»ir State
  equivalents apply to facilities which
  hav* not nu^iied a fofl  RCSA permiL
  Some States with Phase I interim
  authorization may elect  to enforce their
  version of the interim status standards
  by granting permits containing those
  conditions. This approach is perfectly
  acceptable. However, a permit
  containing those standards has no status
  as a RCRA permit and does not relieve
  the facility holding U of the obligation to
  apply for and receive a full RCRA
  permit when the Director requests.   .

 Interim Authorization

  1123.121  Purpaitaadtcop*.
   As noted abort, RCRA is unique
 among the programs covered by these -
 consolidated regulations in providing
 not Just for fnll and permanent
 authorization to States to administer a
 permit program instead of EPA. but  also
 for • preliminary transitional stage
 called "Interim authorization." Section
 3000{c) of RCRA provides that
  Any Stale which has in existence •
 huzvdoai wast* program pursuant lo Slate
 law be/ore the date 90 days after the dale of
 promulgation of regulation* under lectioni
 3002.3003.30O4. and 3005, majr submit to the
 Administrator evidence of such existing
 prograoi and m*y request a  temporary.
 aatborixatxni to carry out neb progrmni
 under this sobtiti*. The Administrator sh«IL if
 the evideae* suborinad shows die •»»«»inf
 Slstt program to b* •tA««»nn.My equivalent
 to tht Federal program nivW this subtitle.
 grant an interim authorization to the StaU to
 carry cot such program In liea of tin Federal
 program pwwumt to mi* subtiu* for a 24-
 month period beginning oa the dat* 6 months
*fler th«d»t«of prcenulgatiaao/ regubtiacs
 under jeetions 3O02 mroogh  3OQS.  •
  Unlike final authorization programs.
 which must be "equivalent" to the
 Federal program, "consistent" with the
 Federal program and programs in other
 Slates, and provide adequate
 enforcement assurances,  the State
 interim authorization program must only
 be "substantially equivalent" to the
Federal program. The legislative history
emphasizes Congress? intent that interim
authorization be granted in a relatively
 liberal manner so as not to disrupt on-
 going State efforts and to encourage
 States to continue their efforts so that
 they will be ready to take over
 responsibility for the full program when
 interim authorization is over.
   The timing and conditions for interim
 authorization, and the relationship
 between various State programs and
 between the Federal program and State
 programs under interim authorization.
 have been among the most difficult
 questions to be addressed in these
' consolidated regulations.
   In the proposal. EPA specified a single
 starting date for interim authorization.
 namely "the date 8 months after the.
 promulgation of regulations under
 section 3001 of RCSA." The proposed
' requirements for obtaining interim •
 authorization were relatively loose. A
 State was not required to  have a
 program for .listing and designating
 hazardous wastes or for implementing
 the manifest system in order to obtain
 interim authorization. Instead it was
 only required to control by permit either
 on-site or off-site hazardous, waste
 disposal facilities and to conduct an
 effective enforcement program.
   The final regulations significantly
change the approach taken in the .
proposal First the interim authorization
program will be implemented in two
"phases" corresponding to the two
stages in which-the underlying Federal
program will itself take effect The
reasons for and mechanic* of this
approach art discussed immediately
below. Second, the requirements for
approval of interim authorization have
been tightened significantly. A much
greater degree of similarly to the
corresponding requirements of the
Federal program will now be required.
   As the preamble to the RCRA section
3004 regulations sets forth. EPA will
establish the regulations setting up the
RCRA program in its initial form  in two
stages. The first set of regulations (or
"Phase 1"). which win become effective
6 months from the date of their
promulgation, win accomplish the initial
identification of characteristics of
hazardous waste and listing of
hazardous wastes (Part 281), establish
the standards applicable to generators
and transporters of hazardous wastes.
including establishing the manifest
system (Parts 2&2 and 203). erect
"interim status" standards applicable to
existing HWM facilities before they
receive permits (Port 2SS) and set out
permitting procedures (Part 122).
  The second set of regulations (or
"Phase IT), to be promulgated in  the fall
of 1980. wul complete the job of
establishing the initial set of standards
that govern the operation of HWM
 facilities. Full permitting of these
 facilities will be able to proceed on
 effective date of these regulations.
 two-stage approach has proved to be ...
 only practical way. given the size of the
 regulatory task involved, of putting  the
 program in motion expeditiously.
   As Ear as the Federal program is
 concerned, the only concrete operational
 difference that will flow'from this two-
 stage approach, as opposed to one in
 which the  regulations were all
 promulgated at once, will be that a
 period of 8 months will be created
 during which existing HWM faculties
 will be subject to interim status
 standards  but no permits will be issued.
 However, as the preamble to the section
 3004 regulations explains, the statute
 explicitly foresees that many facilities
 will not be permitted for years after the
 program starts and provides for "interim
 status" for these facilities. The two-
 stage approach  operates within that
 basic understanding.
   It would be inconsistent and contrary
 to Congressional intent to establish
 interim authorization in one stage only
 when the basic Federal program is being
 established in two stages. As a  practical
 matter, a one stage interim authorization
 program could only have been dune by
 postponing the beginning of interim
 authorization until after both stages q,
 the Federal program were promulgat
 That would have meant creating a
 period of 8 months in which EPA would
 run a purely Federal program without
 any possibility of a State formally taking
 it over. This would have been contrary
 to the Congressional desire that States
 take formal responsibility for the
 program as soon as possible.
  For these reasons; EPA has elected to
 allow interim authorization for the first
 phase of the Federal program as well us
 for the second. EPA believes this
 approach is legal under the statute.
  Section 3006(c) of RCRA consists of
 two sentences embodying somewhat
 different policies. The second sentence
 requires EPA. upon finding that  a State
 program is  "substantially equivalent" to
 the Federal program, to
 grant an interim authorization to die Slate to
 carry out such program in lieu of the Federal
 program for a 24-month period beginning on
 the date 6 months after the date of
 promulgation of regulations under sections
 3002 through 3005.

  This sentence  allows States 2 years
 from the effective date of the regulations
 establishing the full Federal program in
its initial form to come into compliance
 with the Federal program and. during
 that grace period, allows Federal
 approval of State programs that do

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Federal Register / VoL 45.-No.-98 7 Monday. May 19.! 1980•/• Rales.'and Regulations
                                                                                                                  33387
    yet meet the equivalency test required
    for final authorization.      . '    •
      The approach EPA has adopted
    carries out that policy by limiting
    interim authorization to 2 years from the
   . effective date of the full initial RCRA .
   . program regulations. Which includes the
    Phase II regulations to be promulgated
    next fall It would have been consistent
    with the literal language of this second
   . sentence to have limited interim
  ,  authorization to, a two year period
    beginning on the effective date of the
    Phase I regulations, and EPA considered
    that approach.           '
      However, that approach would have
    failed entirely to carry out the policies in
    the first sentence of section 3006(c).
 ,. That sentence, reads:     .     . .-   ;,
    • Any State which has in existence a
   hazardous waste management program
   pursuant to Slate Jaw before the date 90 days
   aftcr promulgation of rcguldtions under  •
   sections 3002. 3003. 3004. and 300S may
   submit to the Administrator evidence of such
   existing program'and may request a        , i
   temporary authorization to carry out such
   program under this subtitle.       ^_
     This sentence expresses and the
   legislative history underlines, an intent
 '  that States be able to apply for interim .
   authorization and-get it promptly after
   promulgation of regulations setting up a
 .  meaningful regulatory program under
   Subtitle C To forbid application until
   after promulgation of next fall's
   regulations would not have been
   consistent  with that purpose.
   Accordingly. EPA has elected to allow
   interim authorization for this stage
   (Phase I) of the program as well. Though
   this technically will redult in interim
   authorization in some cases extending •'
   for more than the 24 months specified by.
   the second sentence of section 3006(c).
   the purpose behind that 24-mo.nth ceiling
  will be preserved, and EPA feels the     l
  extension is necessary to carry out the
  purposes of the section as a whole.
    Preconditions to-applying. Section   .
  3006(c) of RCRA provides that interim
  authorization may only be granted to
  States which have "in existence a
  hazardous waste program pursuant to
  State law" no more than 90 days after
  promulgation of the RCRA program
  regulations.          .       •
    EPA interprets the word "program" as
.  used above to mean enabling legislation
  only. EPA believes this interpretation is
  in keeping with Congress' desire to give
  States which have begun developing
  hazardous waste programs enough time
  to bring these programs into conformity
  with Federal requirements. Ninety days
  from the date .of promulgation of the
  substantive Federal regulations—when
  their final terms become known for the
  first time—'would be an extraordinarily
  short time in which to require States to
  react to them and bring their regulatory'
  programs as a whole into "substantial
  equivalence" with them. Given the
  statements: favoring use of interim
  authorization in the legislative history of
  RCRA. we do not believe that Congress
  intended such a strict reading. Although
  EPA will not require States to have'more
 . than legislative authority in place to "
  meet the 90-day cutoff, it will require all
  aspects of the State program to be
  "substantially equivalent" to the Federal
 program by the time interim
 authorization  is actually granted.
    For these reasons EPA interprets ,the
 relevant statutory provisions as
 requiring States to have the necessary
 legislative authority in place 90 days
 after promulgation of the Federal
 regulations. Since there will-be two
 phases  of Federal regulations' and
 interim  authorization for each phase, the
 requirement for legislative authority will
 be applied to each phase  separately.;'
. States that wish to.apply  for Phase 1
 interim  authorization must have,
 legislative authority for Phase I within
 90 days from today. States that wish to
 apply for Phase II interim authorization
 to administer a program in lieu of the
 full Federal program as it will exist after
 next Fall must have the legislative
 authority necessary for Phase II in
 existence 90 days after promulgation of
 the Phase II regulations,      .
 1.123.122  Schedule.
   With the issuance of these
 regulations, events and possibilities
 surrounding State assumption of the
 RCRA program will begin to unfold as
 follows:
   Phase I application. A State may
 apply for interim authorization for Phase
 I of the Federal program, without an
 accompanying application for Phase II.
• during the period between the
 promulgation of requirements for Phase
 L today, and the effective  date of the •
 Phase II regulations, which will be 6
 months after their promulga tion. or
 some time in the Spring of 1981.
   This application window.
 approximately 1 year in length, will
 divide roughly into a first half,
 consisting of the estimated 6 months
 between promulgation of Phase I and
 promulgation of Phase II: and a second
 half, consisting of the 6 months between
 promulgation of the Phase II regulations
 and their effective date.
   During the first half of the "window,"
before Phase II is promulgated, only
applications for Phase I will be
possible.* Although an argument can be
  •This issue of the Federal Register contains
EPA's initial list of wastes under section 3001 of
RCRA. In June. EPA expects to list additional
                                                                  made that after the Phase II
                                                                  requirements are known, only       *
                                                                  applications for complete interim
                                                                  authorization, including both Phase I
                                                                  and Phase IL should be permitted, EPA
                                                                  has not accepted that argument in these
                                                                  regulations. To be approved for interim
                                                                  authorization, a State program must
                                                                  show "substantial equivalence" to the
                                                                  Federal program. As discussed later in
                                                                  this preambje. EPA has significantly
                                                                  tightened the standards for making that
                                                                  showing over those set forth in the
                                                                  proposal, arid it can be expected that in
                                                                  some cases States will have to make*
                                                                  quite a few changes in their existing .
                                                                  programs to conform them to the
                                                                  "substantial equivalence" requirement.
                                                                  Six months may often be too'short a
                                                                  time for that, and so a year has been
                                                                  allowed. Letting this year overlap the
                                                                  promulgation  date of the Phase II.
                                                                  regulations  will mean that there will not
                                                                  be any abrupt interruptions in filing and
                                                                  processing of State applications for
                                                                  interim authorization. By contrast.
                                                                  forbidding State .applications that did
                                                                  not include Phase II as  of the
                                                                  promulgation date of Phase II would
                                                                  create a period when no interim
                                                                  authorization applications could be filed
                                                                  because States would be adjusting their
                                                                  programs to the newly promulgated
                                                                  Phase II requirements. A discontinuity
                                                                  of this nature would be contrary to the
                                                                  Congressional intent that interim
                                                                  authorizations not be subject to
                                                                  avoidable obstacles.
                                                                   Phase II application.  A. State may
                                                                  apply for interim authorization for Phase
                                                                  II of the Federal program {and Phase I.
                                                                 at the same time-, if it has not already
                                                                 been approved for Phase I), any time
                                                                 between the time the requirements .
                                                                 establishing Phase n are promulgated.
                                                                 sometime next fait and Q months after  '
                                                                 the effective date of those regulations.
                                                                 which is expected to be approximately
                                                                 October of 1981.
                                                                   Relationship between Phase I
                                                                 authorization and Phase 11
                                                                 authorization. As noted above, for 6
                                                                 months after promulgation of the Phase
                                                                 n regulations, a State may apply for
                                                                 Phase I interim authorization or for both
                                                                 Phase I and II or for Phase .11 interim'
                                                                 authorization, if it already has Phase I
                                                                 authorization (or for final authorization).
                                                                 A State may never obtain only Phase II
                                                                 interim authorization. Starting with the
                                                                 effective date of the Phase II regulations

                                                                 wastes, and the candidates for that listing have abo
                                                                 been published today. EPA encourages Slates  •
                                                                 applying for interim authorization before the June
                                                                 promulgation to include the wastes set forth today
                                                                 as candidates for listing in June in their Phase I
                                                                . Submissions. That will avoid the need to supplement
                                                                 the application-Inter and will reduce confusion and
                                                                 paperwork.

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     33388
Federal  Register / Vol. 45. No. 98 / Monday/May 19. 1980 / Rule, and  Regulations
     In approximately April of 1981. only
     applications for Phase tt or for Phase I
     and II combined, will be accepted.
       All Phase I interim authorizations will
     expire automatically 6 months after the
     effective date of the Phase U regulations.
     or approximately October 1981 if a
     Phase II application has not been filed
     by that date. In other words, any State
    with Phase linterim authorization must
    apply for Phase n approximately by
    October 1981. or lose the program. EPA
  . established this requirement to minimize
    the time during which States would be
    operating interim authorization
    programs that did not correspond to the
    then effective Federal program, and to
    keep States moving toward final
    authorization. The dates adopted allow
    States approximately 12 months, after
    promulgation of the Phase II regulations
    to apply for Phase II interim
  .authorization. This is the same lenath of'
    time allowed  to States to file Phase I
   applications, and was set for the same
   reasons. It allows a period of 6 months
   (approximately April 1981 to October
   1981) when States could be operating
   Phase 1 programs even though the Phase
  II program was effective. Although such
  a phase-in  time is inevitable if the
  Interim authorization process in to be
  kept operating without avoidable
  interruption us Congress intended, it has
  obvious potential for creating confusion
  and inconsistency and its duration
  should be minimized. Finally, cutting off
  Phase I is desirable at a means of
  making ture that States are moving
  toward final authorization at least to the
  extent of adopting the requirements
  necessary for Phase IL
    Relationship between interim
  authorization and final authorization. A
  State may apply fqr final authorization
  at any time after the Phase U regulations
  arc promulgated. Final authorization, if
  granted, automatically ends interim
  authorization in that State and the
  applicability of Subpart F.
   No applications for interim
 authorization of any sort will be
 accepted more than 6 months after the
 Phase n regulation* become effective. In
 other words, no applications will be
 ^P^!,aJter approximately October of
 19B1. EPA ha« established this
 requirement because applications made
 after this date, taking into account the
 necessary period for processing and
 approving a State submission, would
 result in conferring interim authorization
 that would at most, last only slightly
 Jnore than a year before it would
 automatically terminate. This is too
 short a time to justify the administrative
effort required to draw up and approve
Ihe application, particularly when an
                          application for final authorization would
                          nave to be drawn up. reviewed, and
                          approved within that same year.
                           Finally, as the statute requires, any
                         State with interim authorization that has
                         not received final authorization 2 years
                         after the effective date of the Phase II
                         regulations (about April 1983) will
                         automatically lose interim authorization
                         and the program will revert to EPA. (See
                         Schedule of Events.)
                         SILUIM CODE »s«o-oi-u
                                                                                                              41

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              F«f«Ml Renter / Vpl 45. No. 98 / Monday. May 19.198O / Rules and Regulation.
                                                                                         33389
   Federal
   Prcgraa  '
                                        SCHEDULE  OF  EVENTS
      :•    •     •        ••''.-  Phase I comaences
        Phase I
      promulgated I    6 months   I	
                 I               I effective
                                                Phase II coranences
                     promulgated!   6 months   I - -
                                I              (effective
  State
  Prograas
  Application
  for Phase I
  vithoxit
  Phase II
                I   6 ao«
6 taoa
                                               16 aos •   (
                                               I
                                                            24 mos
                                18
                                             \Interim
                                             Authorization
                                             Expire  .
 Application
 for  Phase II
 for  Programs
 vi'th Phase I
 Application
 for Phase  I
 and
 Phase II
 (simultaneous)
 Application
,;for Jinal-.
 Authorization
BILUNO COM «MO-01-C.

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     33390
Fedet.1 Regbter / VoL 45. No. P3 / Monday. May 19. 198Q / Rules and
      Manifest s^-stem. In general, as later
    portions of this preamble discuss. State
    programs approved for Phase I or Phase
    II must be substantially equivalent to
    each' part of the corresponding Federal.
    program. For reasons also discussed
    later. EPA has made an exception for •
    the manifest system and associated
    generator and transporter requirements
    promulgated a* part of the Phase I
    program. State progrmmi that do not
    contain provisions corresponding to
    these standards may still be approved
    for Interim authorization. More
    precisely, a State will have three choices
    In deciding how to deal with these
    requirements:
     J. It may apply for interim
    authorization for these requirements
    along with the rest of its Phase I
    application. This would have been the
   required course if EPA had not made
   special provision for this part of the
   program, and it may still be the option
   chosen by a State.
     2. A State may apply for interim
   authorization to run the manifest system
   as part of its Phase 11 application, even
   though the corresponding Federal
   requirements were promulgated in
   Phase L EPA will operate the manifest in
   that State during Phase LThe only
   restriction placed on this application
   that will not be placed on Phase II
   applications for other parts of the
  program is that the legal authority for
   the manifest system must have been in
  place no later than 90 days after the
  promulgation of Phase L Since the
  manifest system is part of Phase I of the
  Federal program, this requirement is
  2^""^to *ati9fylhe requirement of
  RCRA that Slates only  be granted
  interim authorization if they have a
  program "in existence" 90 days after the
  promulgation of the Federal program.
    3-«"?%,« State may apply for and
  receive both Phase I and Phase II of
  interim authorization without being
  authorized to run the manifest system.
 In that case. EPA will operate the
 manifest system In that  State throughout
 its Interim authorization. Assumption of
 the manifest system will still be required
 in these Stales before final
 authorization.
                          S 123.124  Program description.
                           This section lists the required
                         components of a complete program
                         description, which i? one element of the
                         program submission. It is largely derived
                         from § 123.4. the corresponding
                         provision governing final authorization.
                           In the June 14.1979 proposal, only the
                         RCRA program mandated States to "
                         identify a lead agency for State
                         hazardous waste program approval.
                         EPA received several comments noting
                         this fact. One commenter stated that by
                         this requirement EPA was improperly
                         dictating a State's internal organization.
                         The intent of the requirement was only
                         to fadlitate.communication between
                         EPA and the State, due to the
                         multimedia nature of the RCRA'
                        program. The term "lead" means only
                        "the principal point of contact with
                        EPA." and does not refer to overall
                        program responsibility.

                        S 123.125 Attorney General's
                        statement.
 1123.123 Elements of a program
 submission.

  This section lists the elements a State
 must submit to EPA in its application for
 interim authorization. It is largely
 derived from relevant portions of
 ! 323.3. the corresponding provision
 governing final authorization. Due to the
 poased nature of Interim authorization,
 • Slate will have to amend all or some
 of the elements In its Phase I application
when It applies for Phase IL
                          In accordance with the provisions
                        described above, the Attorney General's
                        statement must attest to the enactment
                        of any necessary legislation within 90
                        days of promulgation of the phase of the
                        Federal program for which interim
                        authorization is sought.
                         As with the other program elements.
                        Attorney Generals'statements
                        submitted for Phase I authorization wilj
                       probably have to be amended to be'
                       acceptable for Phase IL

                        S 123.128  Memorandum of agreement.
                         This section contains the required
                       components of the Memorandum of
                       Agreement (MOA). The MOA is also a
                       part of the program submission under
                       5 123.123. It largely derives from § 123.6.
                       the corresponding provision governing
                       final authorization. Those components
                       of the MOA which concern only
                       permitting procedures and which are not
                       relevant until the commencement of
                       Phase n. have been distinguished and
                       put in a separate paragraph and need
                      not be included in MOAs which are part
                     , of a Phase I application. Any MOA
                      negotiated during Phase I must be
                      amended at the time of the Phase II
                      application to incorporate required
                      Phase n components.
                        EPA's authority to  inspect has been
                      modified slightly in the final rule, in that
                      5 123.126(b)(6) has been  added to clarify
                      that the MOA cannot limit EPA's right to
                      inspect generators, transporters, or non-
                     major facilities when there is cause to
                     believe a facility is not in compliance.
                     One commenter stated that EPA's
                     Inspections should be limited to only
                     "problem sites." This impliesthat EPA
    should become involved only after an
    activity has been, identified as a
    "problem," This would negate a     i
    significant aspsct of the oversight roll
  .  which is to ensure that problem sites
    not arise or are identifisd in the first
    place.         .     •
     An additional comment on EPA's
    inspection authority was that only EPA
   employees can perform inspection, not
   Agency contractors. This is correct as
   the Act now stands. However. EPA
   believes the statute permits EPA
   employees to be accompanied by
   contract personnel who will assist them
   in their work. The extra personnel add
   little to the degree of intrusiveness
   which would result. A Federal employee
   will be in charge and will be required to
   obtain any necessary warrant. The
   ass:stance of contract personnel is likely
   to mean,  however, that the substantive
  goals of the Act will be better served
   1123.127  Authorization plan.
    This is a provision of the Subparl F
  regulalions that does not have any
  counterpart in Subparts A or B. It
  requires States which apply for interim
  authorization to set out in some detail
  how they will use the time of interim
  authorization to qualify for final
  authorization.
    The statute obviously intends interim
  authorization to be a stcnpjng-stonc to
  final authorization. Beyond this, groat '
  disruption would occur if a large numb
  of States with interim authorization did
  not qualify for final authorization when
  interim authorization was over. The
  program would then revert in full to EPA
  and would have to be rednlegated over
  the ensuing years as States pulled the
  necessary authorities together. For these
  reasons. EPA has required States to
  assess and document in advance the
  actions needed to establish the final
 program.
   As the regulation explicitly provides.
 States must submit their authorization
 plan with the Phase I application and
 update it with their Phase II application.
 Of course, the'authorization plan with
 the Phase I application only needs to
 address the portions of the final program
 that are included in Phase L The final
 requirements contained in Phase II—
 basically the detailed technical
 standards for treatment, storage, and
 disposal of hazardous wastes—can be
 addressed for the first time in the Phase
 II application.
  'The Attorney General's statement
 required under § 123.125 must certify
 that the authorization plan, if carried
 out. would meet the requirements of
final authorization.

.u^™*06? ncJl agree with the comment
that EPA should make the decision as

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Federal  Register / VoL 45. No. 98 / Monday; May 19. 19BO / Rules and "Regulatioas
                               33391

    what modifications .are necessary for   •
    final authorization. Although EPA will
    provide guidance and assistance to the
    State in developing its authorization
    plan, it is the State which is in the best
    position to identify required revisions
    and modifications and to determine how
    best to accomplish-them.   •  ..•   .
    3S 123.128 and 123.129 Program
    requirement* for interim authorization •
   for phase 1 and for phoMfU.
     These sections set forth the
    substantive requirements for an
    approvable State interim authorization
    program. They have been entirely .;
   rewritten because EPA's position oh
   program requirements for interim
   authorization has changed significantly
   since the June 14.1879 proposal There
   EPA stated that eligibility for interim
   authorization "would require the States
.   to implement (i.e- regulate and enforce)
   controls over at least either on-site or
   off-site disposal of hazardous wastes."
   EPA agrees with the numerous
   commenters that argued that a State
   should have a fundamentally complete
   •hazardous  waste management program
  .as compared with the Federal program
   in order to  receive interim authorization.
    In addition, this final regulation js
   much more specific than the proposal in
   describing what a State program must
   do to receive interim authorization. This
   specificity should alleviate the lack of
a  clarity in the proposed regulations
   which numerous commenters pointed
  .out
    In rewriting these provisions EPA had
.   to deal with the question of the degree
   of similarity to the Federal program It
   should require of State programs before
 •  approving them for  interim
   authorization, and the question of  '
   whether State programs including  less
   than all the requirements of the
   corresponding phase of the Federal
   program should be approved. •
    Degree of similarity. In establishing
  the substantive requirements for interim
  authorization. EPA has had to balance
  two competing interacts evident in
  RCRA, its legislative history, and the
  public comments on EPA's proposed
  guidelines for State  programs. These two
  interests are: U} assuring that at least a
  minimum lever of protection of the
  human health and the  environment is
  established  nationwide: and (2)
  encouraging continued development of
  States"own>programs  without
  disruption, so that as many States as
  possible can, assume responsibility for
  the program.            .
    The legislative History indicates that
  Congress created interim authorization
  \o reconcile  these two  interests. Interim
  authorization allows State programs
                          time to achieve the desired level of
                          control (complete equivalence with the
                          Federal program), but also requires such
                          programs to provide an adequate degree
                          of protection to human health and the
                          environment. Congress specified in
                          section 3006(c) that a State could receive
                          interim authorization if its program was
                          "substantially equivalent" to the Federal
                          program, leaving it up to EPA to define
                          "substantial equivalence."
                           There were several public comments
                         . on the need for a working definition of
                          this term, in order to remedy its
                          vagueness. EPA now defines substantial
                          equivalence as "to a large degree, or in
                          the main, equal in effect" "Effect" of
                          course, could mean either effect in
                          protecting health and the .environment
                          or effect in the sense of requirements
                         , imposed on regulated industries and
                          others. .EPA has  and intends to keep
                         both these meanings in mind, as well as
                         concerns about State autonomy, in
                         judging the substantial equivalence of
                         State programs. So. for example,
                         variations in  the manifest system, which
                         calls for eventually creating a single
                         accounting system to track wastes from
                         State of origin to State of deposition.
                         could be extremely burdensome to the
                         companies that would have to cope with
                         the inconsistencies, and to the
                         governments  that would have to
                         regulate taking the differences in the
                         manifest systems into account Here.
                         both concern for the environment and
                         concern for avoiding regulatory burden
                        •argue for a relatively high degree of
                         similarity. Permitting standards, by
                         contrast will be  applied in local
                         decisions, and the initial Federal
                         standards will leave a good deal of
                         discretion to permit-writers. Here  the
                         arguments for uniformity are weaker.
                         though EPA sets  minimum standards to
                         assure protection of human health and
                         the environment
                          EPA believes this general working
                         definition, and the specific requirements
                         found in these sections, represent  a
                         middle ground between the approaches .
                         advocated in the  public comments. The
                         comments generally fell into two groups.
                        Some commenters wanted EPA to
                        require States to regulate all facilities
                        that the Federal program would, and
                        wanted State standards to be very
                        similar to the Federal standards. Others
                        thought that States should only require
                        minimal coverage of either oil-site or off-,
                        site disposal during interim
                        authorization, and thought EPA need not
                        examine "the substance of State
                        requirements or compare them to
                        Federal requirements, but only examine
                        the effectiveness  of the State program.
   At least one commenter suggested
  that the regulations should explicitly
  state that a State program may be less
  stringent than the Federal program for
  interim authorization. The Agency
  believes that while section 3009
  disallows imposition by a Slate of "any
  requirements less stringent than those*
  authorized under this subtitle respecting
  the same matter as governed by (EPA)
  regulations. ..." section 3009 was .
  clearly notjntended to mandate
  application of a "no less stringent"
  standard to State programs which seek-
  interim authorization. Application of
  section 3009  to such State programs is in
  direct contradiction to the "substantially
 equivalent" standard for interim
 authorization mandated in section
 3006{c).                         •
   Thus, EPA will not apply the mandate
 of section 3009 to States seeking interim
 authorization. This position is
 unchanged from the Agency's  position in
 the June 14.1979 proposal. EPA will.
 however, apply the mandate of section
 3009 to State programs seeking final
 authorization and all State programs
 will be required to satisfy section 3009
 to receive final authorization.
   EPA also believes that States that
 have not received interim authorization
 are subject to the "no less stringent"
 requirement of section 3009. However.
 as a practical matter, it is unlikely that
 EPA in the early years of the program    \
 would treat this as a matter of high
 priority and take enforcement  actions.
  Partial programs. Because hazardous
 waste management is generally a  new
 activity for State governments, it is
 inevitable that many States will not, by
 the effective date of the Federal
 program, have in place programs which
 control all of  the same aspects as  the
 Federal program controls, especially
 since many State regulations will be
 patterned after the Federal regulations
 which are just now being promulgated.
 This situation raised a major policy
 decision for EPA. The Agency had two
 options:         '  .
  (1) To authorize immediately those .
 parts of a State program that are
 substantially equivalent 16 the Federal
 program, or
  (2) To postpone authorization, in a
 State until the entire State program is
 substantially equivalent.
  In the June 14.1979 proposal the
 Agency rejected partial programs  for
 final authorization. The Agency.
 however, solicited comments on the
 possible alternatives to EPA regulation
 of activities that are not regulated by the
 State during interim authorization.
Comments ranged from endorsement of.
 interim authorization of parts of State
 programs which meet Federal

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    33392
                                 •                                      •  , '• *

Federal Regbter '/.VoL 45. No. S8 /Monday. May 19. 1980 / Rules  and Regulations
    requirement*, to rejection of Slate
    regulation of certain activities and EPA
    regulation of other*. Commenters
  %  strongly urged clarification of this point
    With one major exception. EPA has
    chosen to postpone interim
    authorization in x State until the entire
    State program for the relevant Phase of
    the Federal program is substantially  .
  *  equivalent to the relevant Phase of the
   Federal program. The exception,
   covering the manifest system and other
   generator and transporter requirements.
   Is discussed be!ow.»
     In *fl other areas, the State program
   most be substantially sqntvalent to th«
   relevant pbaai of the Federal program.
   Further fragmentation of the program
   with a variety of program parts divided
   between the State and EPA would result
   In excessive complexity for regulated
  parties,"
     j 123.12B(a) (Identification and listing
  of hazardous wastes). This paragraph
  provides that States seeking interim
  authorization must demonstrate control
  over a Ma universe of hazardous wastes
  generated, transported, treated, stored.
  and disposed of in the State which Is
  nearly identical to that which would b*
  controlled by the Federal
  program. • • •"
    The definition of substantial
  equivalence for the Identification and
  listing of hnzardons wastes is one of the
  keys to control of hazardous waste by
  States during interim authorization. This
  definition wffl necessarily determine
  what •wastes will become part, of the
  hazardous waste management program
  required by RCRA. thus assuring their
  proper management Wastes outside of
  the definition will not receive the
  attention RCRA affords. Thus, it is
  important that during interim
  authorization States be required to
  control as meny hazardous wastes as
  possible without detracting from the
  basic concepts of substantial
 equivalence and Interim authorization.
 In setting the appropriate level of
  »T}» ptusint of interim a.thwUaUoo can alio b»
 •ettl *a ti* nUxuttatioo at put *f • Suit program
 jnd thui« ajto&er exceptioa to the r«quu«aent
 fora coapTet* St.lt program. EPA don oat view it
 thu w*y., howtver, tor two nuao*. First Uw two
 Fba»«« of'interim «ulbotiutian«n» necessitated by
 lh« two phases of the Federal regulations, ud the
 State program forPhs»»l or Phes«n will b«
 suUiUntUUy equivalent to the Federal program for
 RWJ* I and Phase It and ieco-ii EPA doe* not
 hilend to authorize • State for u=Jy on* ph jse of the
 pro*rara (evidenced by the automatic reversion of
 Ph4i« I to EPA if. SUtc don ml .pply for. or is
 denied. Phase n).
  'For exarop]*, *lDO* B?A wUaw enforce the
 reileral requirements for Ihou element* of • SUu
 program wfcdiM has anthoriied. further
 Jrjrnrauiion of program approval would subject
 U**P««• ^ community to • patchwork of Slate

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               Federal Register / Vol.-'-45.'No. 98 / Monday. May 19. 1980  /  Rules and Regulations
                                                                                                                33393
  environment substantially equivalent to
  the Federal program is afforded in other
  States without the need for a State with
  interim authorization to include in its  ,
  program the authority to administer [and
  enforce] these requirements. In other
  words, the aspects of DOTs program
  listed above must be complied-with for
  the interstate transportation of
  hazardous wsste in m State with interim.
  authorization authorized to operate the
  manifest system. In such a case, the
  universe of wastes subject to these
  requirements is the Federal universe, as
  defined by 40 CFR Part 281. Any
  generator or transporter proposing to
  ship a waste interstate which is
  hazardous under Part 2S1 most comply
  with DOTs requirements.
   . Shipments of hazardous waste by
  intrastate motor carriers are not subject
  to DOT requirements during interim  .
  authorization, although the majority of
  State* have adopted DOT requirements
  in their motor vehicle codes  or by other
  means. For the reasons stated above.
  EPA has chosen not to set minimm^
  requirements respecting these standards
  as a condition for interim authorization.
  However, since the transportation of
  hazardous waste  by interstate carriers
  will be subject to DOT regulation*. EPA
  encourages States to adopt   .
  transportation requirements  which are
  consistent with DOTs regulations.
   In addition. EPA will continue to
  require reports directly to it of  .  ,
  international shipments of hazardous
  wastes. This is uniquely an issue that
  concerns the  National Government and
  requiring reports directly to EPA is the
 .simplest procedural ""fh^TMTm  for
  ensuring that there is a central national
  repository of  information about those .
  shipments.                   •
  . 51 i23.128(e) aad 123.129 (Hazardous
  waste treatment, storage,  and disposal •
  facilities). During interim authorization a
 State must have authority to regulate all
  types, of hazardous waste treatment.
 -storage and disposal facilities except
 those that do  not exist in the State on •
 the date of '"t*"m authorization. This is
 a significantly stricter requirement than
 the one that appeared in the June 14.
 1979 proposal
  , When Phase H is concerned, a State
'must have in effect a permit program
 substantially equivalent to the Federal
 hazardous waste permit program..
 including substantially equivalent public
 participation provisions.             •
   EPA cannot accept the suggestion that
 a system of permits by rule more
 extensive than the one in the Federal
 system be accepted for purposes of
 interim authorization. The safety and ,
 control of HWM facilities, particularly
 in the early years of the program, will be
  to a great extent a matter of site-specific
  judgment requiring site-specific
  examination. •         "•;   •
    As discussed in more detail earlier in
  this preamble (Part 122/Subpart B	
 .Additional requirements for Hazardous
  Waste programs), the Agency has
  integrated the overlapping requirements
  of RGRA and SDWA relative to the ..-
  underground injection of hazardous
  waste into wells. Briefly, the approach is
  as' follows: Existing wells that receive
  hazardous waste will be considered to
  be "hazardous waste management  •  ,
  facilities." During the "interim status" .
  period their owners or operators will be
 required to comply with certain
 requirements of 40 CFR Parts 122 and
 285. including -such requirements as- •••
 filing of notifications and Part A permit
 applications, and compliance with the
 manifest system and interim status
, standards. As discussed in the preamble
 to Part 122. Subpart E EPA also will
 make provisions for issuing interim
 RCRA permits to class I wells handling  '
 hazardous waste.                    -
   Because this regulation under RCRA •
 of wells injecting hazardous waste is'
 somewhat different than what EPA
 proposed, EPA will give a State the   .
 option of whether to cover such wells
 under Phases I and II of its State
 hazardous waste program until the State
 has an approved U1C prograh
 (§ l~J.lZ8(eH8j). If a State chooses not
 to regulate wells injecting hazardous
 waste under its  RCRA program. EPA   ^
 will enforce the interim status standards
 for such'wells, and will, once the
 permitting standards tor Class I wells
 injecting hazardous waste are in place.
 issue permits to owners and operators
 requesting them.
   Relationship of State programs to
 ea^h other and to the Federal program  '
 under interim authorization. As noted
 above. EPA has significantly revised its
 approach to interim authorization since
 the time of proposal, tightened the test
 for determining "substantial
 equivalence" and forbidden partial
 programs. These changes'should greatly
 reduce the cases in which differences
 between State programs, and between
 State programs and. the Federal  •
• program, lead to inconsistencies which
 require resolution. However. EPA has
 identified several types of
 inconsistencies which may still arise.
 The independent application of DOT
 regulations respecting interstate
 shipments (including requirements for
 the identification of waste and use of
 the manifest) should help mitigate the '
 impacts of the first three-potential
 problems discussed below.
.  1. Inconsistencies due to differences in
 the "universe" of wastes from State  to
  State'. Two types of inconsistencies can
  arise here. First a waste could move
  from a State where it is not designated
  or listed as hazardous into one where it
  is designated or listed. Both under
  section 3009 of RCRA and under the •
  general State police power, each State
  has the right to control the movement
  and disposal within its boundaries of
  wastes which it considers hazardous.
  Accordingly, under new $ 123.130{b).
  when wastes move from a State where
  they are not listed or designated to one
  in which they are. they become subject
  to the treatment storage and disposal'
  requirements and the transporter
  requirements of that second State,
    Also, a waste could move from a State
  where it is listed into one where it is not
  designated or listed. This is by far the
  most troubling of the four types of
  inconsistencies. EPA intends to   '  ~  •
  administer the program so as to
  minimize the chances that this situation
  will in fact occur. Specifically, EPA will
.  not a.pprbve State programs which      •
  affirmatively appear to include a smaller
  "universe" of wastes than the Federal
  program covers. However, since during
  interim authorization EPA will allow
  State programs to vary from the Federal
  program in their listing characteristics
  and test methods, it may be that a State
  program will turn out to be     •
  underindusive even though that was not
  clear at the time of approval. By the    •
  same reasoning used above, the wastes
  become unregulated (except as general
  State law may provide) upon moving
  into the second State and. under
  S 123.130(a), may be managed as
  permitted^ by the laws of the State into
  which it has been transported. In
  addition. $ 123.12B(b)(6) requires State
  manifest systems to insure that all
  interstate shipments of hazardous waste
  be designated for delivery to facilities
  authorized to operate under an
  approved State program.
   Clearly, under this approach States
  could become preferred "dumping
 grounds" for wastes which they did not
 regulate, but neighboring States did.
 However, the possibility of that
 occurring cannot be avoided under any
 approach which gives effect to the
 "substantial equivalence" language of
 RCRA.'         .             *
   'EPA will also permit StMle* to obtain interim "
 authorization even if tbey luck regulatory authority
 over certain types of storage, treatment, or disposal
 facilities ai long ai those facilities do not exist in
 the Slate at to* time interim authorization U
 granted. Thi» provision raises the possibility that
 such • facility could be opened in the State during
 the time of interim authorization and operate
 unregulated. However. EPA believe* that this will
 not prove to be a practical problem. It will be
 difficult to construct and open large or complex
          Footnotes continued on next page

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      83394
 l,,^n\ i     has fnferim authorization
 M?    running the manifest system.
   ?i* ?ael the Fedwal manifest system
 -nd Federal standards for generators
 t?a,.tr™3p°rt.ers W|U be enforced in the
 State. The universe of wastes subject to
  m ? Federal requirements. however.
 will be the universe of wastes covered
 by the State program. It will not be the
Federal univene as defined in 40 CFR
.^.™VrH£r.Vef' DOTg requirements
«» applicable lo Interstate i WpmenU of
ntzardou.wa.te. In the Federal    "
   ver«* a. defined In 40 CFR Part 281.
         !°
                                      .
    rf,,rf  llf !° ^'J?880 ! •uthorization
    during Phase IL Tfal. atate of affair* a.
    explained above, can only la.t for 9
    month.. During thi. period. EPA could
    administer and enforce the Federal
    Permit Program in the State. However. It
    I. moat unlikely that EPA would operate
    an active permit program that would

          teState
            ,               o  exsng
          f. Instead. EPA would almost

   fn n!!!?lf Cn"?ne 'I8elf *° 1SSUlnS Permits
   to new facll.ties which need  them to
   begin construction.
   ,„* S P3-**8® °ndM (Enforcement and
   compliance evaluation). The  proposal

   ^h±d ?" i^tel \Ppiyin8 ''or interim
   authorization had to .how. in their
   application, .ubstantial compliance with
   proposed S 123.10, the enforcement
   requirements of Subpart A. and
   compliance with the rest of Subpart A.
   Including the compliance evaluation
  requirement, of proposed 1 123.9.
                     .
    For compliance evaluation, the
 SlST11.? fo,rlnent action authority.
 ri?fi   ,?S equivalence has been
 dc™ed,wl* "Pedficity. A State can
 qualify for Interim authorization wltii
 leMer amount, of fine, than required f01
 final authorization or under the Federal
 program. A Stall must have the
 authority to Impose dvil or criminal
 ?•*?« J13' btjt,necd n°t have authority
 to imprison. Upon review of existing
Statelegjsiation. EPA found that a
significant number of State program.
would not qualify for Interim
authorization if required to have the
                           	
    same enforcement provisions as the
    Federal program. In keeping with the
    Congressional intent that the interim
    authorization period provide time for
   *»£*   •  eSS 8lrin8ent Programs to
   reach equivalence rather than have the
   program halted in its development. EPA
   has determined that an adequate de«ree
   of protection of human health and the
   environment will be provided by these
   requirements, while allowing as many
   State, as possible to operate the
   program.
    •Once a State receives interim
   authorization. EPA retains oversight
   authority (section 3008) concerning the
   activities regulated by the State. The
  language in section 3008(c) that a State
  program with Interim authorization
   'operates in lieu of the Federal
  program" does not mean, as suggested
  by one commenter. that EPA has no
  authority to enforce the State's proernm
  either in conjunction with or through the
  State. Section 300a(a)(2) specifically
  authorizes Federal enforcement of such'
  a State program.
   Section 3008(a) provides that EPA
 may enforce "any requirement of this
 PDA i  i   ' 8S one concenter noted.
 EPA has given notice to the authorized
 btate. The preamble to the June 14.1979
 proposal at page 34259 stated that in an
 authorized State EPA might "enforce
 directly against any facility or activity
 violating the Federal standards" under
 the authority of section 3008(a)(2). It

 with interim or final authorization, the

EPA will enforce under section 3008 are
the State program requirements.

9 123.132  Sharing of information.
  Thi. section is the same as S 123.10
 id i. rfi.™..^ in the preamble ,Q -
     expect that the numbers chosen will
     result in review of approximated
     percent of the permit aoulica "
     Slate.               •v
      One commenter suggested that i
     limit its review of permits to receivina
     summaries" and that it review the
    actual application only upon specific
    request. There may be cases where .Bri-
    an approach would be appropriate
    However, a "summary" (which the
    »«i!.i,«n. may require in any event in
              a fact sheet) would not be
            . a thorough review of an
    -•••r—.»... permit Accordingly EPA
    believes that transmittal of more

    •k^m?1* f°rCertain tyP63 of Perm:
    should be provided for in the MOA
                         pace

                                   ! 123.133  Coordination with other
                                   programs.

                                     This section I. self-explanatory. The
                                   question of coordination is fully
                                   discussed In the preamble to Part 124.
                                   § 123.134 EPA review of State permits.
                                    The major issue raised by this
                                   section—when EPA will use its
                                   authority to revoke a State permit-has
                                   been discussed earlier.
                                    Beyond this, quite a number of
                                   comments were received on the
                                   definition of "major" facility permit and
                                  now EPA will review State permits As^
                                  the preamble to Part 122 explains a
                                  precise definition of a "major" facility la
                                  not possible at  this stage of the program!
                                  Instead, the definition will be
                                  established year by year and State by
                                  State in guidance. However. EPA does
   1123.133  Approval process.
     In the June 14,1979 proposal, the
   approval process for interim
   authorization was identical to the
   approval process for final authori:
   In this final regulation EPA has
   shortened the approval process for
   interim authorization. There'are two
   reasons for this change. First, section
   3006(b) explicitly mandates, for final
   authorization, specific procedures which
   a State seeking final authorization and
  tm granting authorization must follow
  ««lhIS? ^^ the Provi8ion ^ interim
  authorization, contains none of these
  procedural requirements.
    Second, extensive procedural   A
  requirements for interim authorizatl
  approvals would be inappro—'•••- -;:
  the short duration of interim
  authorization, and would contravene the
  Agency's desire to minimize the
  potential for duplicate Federal and State
 hazardous waste programs. Protracted
 approval procedures enhance the
 potential for duplicate Stats and Federal
 programs while an application is being
 processed.
   The Agency is, however, committed to
 extensive public participation in the
 intenm authorization process and is
 mindful of the need for reasoned
 decisionmaking in granting interim
 authorization. Therefore, the approval
 process for interim authorization will
 contain all the elements of the approval
process for final authorization except for

te^!*!! *±S'a'e P^
                                     authorization and the require'meiutha't
                                     the Administrator make a tentative
                                     determination to approve the State
                                     program.
                                       Unlikesection 3006(b). section 3000(c)
                                     does not include a statutory reyiew
                                     period (i.e.. a period of time allotted to
                                     EPA for review of a complete program
                                     submission). In light of the Agency's
                                     desire to minimize the possibility of
                                     duplicate State arid Federal

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                   '".."•          '     -    '.           •       '        •             •     "
                Federal,Register / Vol. 45. No. 98 / Monday. May 19. 198O  /Rules and Regufariona
                                                                                                                33395
   the Agency is committed to expedited
   review of State submissions for interim
 ,  authorization. Thus, the Administrator
   will issue notice in the Federal Register
  . of a hearing on the State's submission
   and,will make a dial determination
 -  whether or not to approve a State
   program as quickly as possible, but in
 ' no case later than 120 days after receipt
   of a  complete program submission.
   1123.136  Withdrawal of state
  programs.             .
    This section to dented from 1123.14.
   It include* as an additional criterion for
   withdrawal of interim authorization
   State failure to meet the schedule for or
   accomplish the additions or revisions  to
   its program set forth in its authorization
   plan. This criterion is required because
   interim authorization was specifically
  established to facilitate State
  assumption of a fully equivalent
  hazardous waste program.
   i The intent of Conj?ress was clearly to
  grant interim authorization to States
  which would strive to achieve the
 • requirements for final authorization in
  the twenty-four month period provided
  in section 3006(c). The  authorization
  plan sets forth the necessary steps die
  State must take to achieve these
  requirements in this period. If it appears
  that a State, will not achieve these
  requirements and dearly will not
  receive final authorization, it may be
  less disruptive to withdraw the program
  than to wait for it to lapse
 automatically. Hence. lhl'« added'
 criterion for program withdrawal.

  1123.137 Reversion of State programs.
    This section is new. It provides that a
 State program shall terminate and revert
 to EPA if either the State fails to submit
 the amended application required lex
 Phase II interim authorization as      -
 required by f 122.122f.c)(4) or the
 Regional Administrator determines, in
 accordance with procedures set forth at
 § 123.138. that the amended State  '
 program submission does not meet the
 requirements for interim authorization
 corresponding to Phase H. There are no •
 similar provisions in other subpart* of
 this Part.                  '           '
   This automatic termination and
' reversion provision is necessary here'
 because as described above, the two
 phases of interim authorization are
 integral parts of a State hazardous
 waste program. EPA does not intend to
 provide authorization for only cna
 phase. Therefore, States with interim
 authorization for Phase I will be
 expected to seek interim authorization
 for Phase It and States which' received
 Phase I interim authorization but doVot
.apply for interim authorization for Phase
 , n shall not retain Phase I interim  "
  authorization beyond the 6 month period
  following the effective date of Phase II.
    This rulemaking does not set forth
  detailed specifications for how the
  reversion of a State program to EPA will
  actually occur. EPA will address that
  subject in a future rulemaking if that
  appears necessary. If such a reversion
  takes place, it is EPA's intention to
  assure that facilities which had received
  interim status under the Federal
  program before a State received interim
  authorization, retain interim status if the
  program .reverts to EPA and the State
  has not issued the facility a RCRA
  permit during! interim authorization.
 . Facilities which have received State-
  issued RCRA permits during Phase II of
  interim anthorizatioa will retain then-
  permitted status until that State permit
  expire* or is terminated.'Ills also EPA's
  intention to assure that facilities which
  had the equivalent of interim status
  undar the State program will be eligible
  for Federal interim status.
  Final Aotivoaz«tioo.    -
   ByTne, time of final authorization
 under Sttbpart B of this Part the
 na tional program for controlling
 hazardous wastes should be
 substantially more settled than it win be
 during interim authorization. In addition.
 the statutory scheme governing final
 authorization is mure clear-cut For both •
 these reasons, this Subpart is
 significantly leas intricate than Subpart
 •F acd,requires less preamble discussion.
 \123Jf1  Purpota atsd scope.  •
   ThSs-ts an introductory section,.This
 section points out  that interim
 aulhomsUco is not a precondition to
 final 'fcuJhorization. States may apply for
 final authorization at any time after
 prrmulgation-of the Phase II regulations
 whether or not they have applied for or
 received interim authorization.

 \ 123.32 "Consistency.             '  •••
  As the discussion earlier in this
 Preamble states. Congress intended for
 Slate programs receiving firi«l
 authorization to become hilly part of an
 integrated national program to control
 hazardous wastes. Section 3006(b) of
 RCRA provides that State programs can
 only be approved if they are "equivalent
 !o~ and "consistent with" the Federal
 program. EPA has therefore tightened
 considerably the requirements  for
 approval of final programs over those
 for approval of interim programs.
 although, as the earlier discussion also
 states, it has not gone as far as some
 commenters suggested.,
' This section provides that any aspect
 of a State program which operates as a
  ban on the interstate movement of
 ; hazardous waste is automatically
  inconsistent A recent court decision.
  City of Philadelphia v.-Kew Jersey, 437
  •US. 617 (1978), has held that such
  statutes are unconstitutional because
  they violate the interstate commerce
  clause, and EPA believes that decision
  is correct However, since the text of
  RCRA speaks only to the
• "inconsistency" of State program
  submissions, not of State laws generally,
  this provision is restricted to the same
  extent.
   EPA believes that State requirements
  which forbid the construction or
  operation of hazardous waste disposal
  facilities could be subject to attack by
  the same reasoning adopted by the
  courts that have struck down
  transportation bans. A State that refuses
  entirely to allow a necessary part of
  national  commerce—the disposal of
  hazardous wastes—to take place within
  its boundaries is impeding the-flow of
  interstate commerce just as much as a
  State that refuses  to. allow the
  transportation of those wastes. The
 • interstate commerce concerns involved
  here are underlined by the
  establishment through RCRA of a
, national regulatory scheme, even though
  that scheme is not on its face
  preemptive. Accordingly. State
  programs which contain provisions that
  prohibit .treatment, storage or disposal
  of^hazardous waste within the State.
  will be deemed inconsistent if trie
 prohibition has ho basis  in human
 health or environmental protection.
   Finally, the section provides that if the
 manifest system does not meet the.
 requirements of Part .123. the State
 program will be deemed  inconsistent
 Since the manifest is a document'that
 may actually travel from^Stale to State.
 it is important that the various States be
 very similar in this regard.
   A number of comments raised as a
 "consistency" issue that State programs
 might be too lax in some respect so that
 a State would become a "waste haven"
 for a region. Though the terms
 "consistent" and "equivalent" do have a
 certain degree of overlapping content, in '
 general EPA. during final authorization.
 will deal with problems of State
 programs  that conflict with each other
 or impose unnecessary procedural
 burdens, as a "consistency" issue.
 Questions as to whether the programs
 are strong enough will be dealt with as a
 matter of "equivalence." Those matters
 are discussed below. To summarize.
 EPA has not required Steles to adopt
 EPA's precise regulations., but has
 required them to achieve the same
 effect and has been particularly careful

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       33396
      lo require very dose similarity where
      problems of dissimilar State
      requirements might arise.

              Identification and listing of
  This section requires States to control
 we same "universe" of wastes as the
 Federal program. This requirement will
 •void the problems of differing lists

 free to control additional wastes ifli" '*
desires but as explained earlier, this

SundiS?n°t^l!nl^yond.tlrfSt.a.te
    and placarding of wastes: the
    forwarding of the manifest or shippins
    document for shipments solely by
   railroad or solely by Water (bulk    -
  ; fements only}' ™° provision of the
   DOT proper shipping name. The Agency
   believes that for final authorization.*
   State must incorporate these DOT
                                                                                               mto 55 123.4. 123.7
                                                                                         respectively
                    tore inclusive
       •"». mo extra wastes listed will
      . considered hazardous In other
 states.

 lFh^'r,Re^J'rement3 for generators
 ofnazaraous waste.,
   As explained above. EPA places
 particular weight on consistency
 between the manifest systems in
 different States. The June 14.1979
 proposa  provided that States must use
 the(manifest formal published by EPA
 £!£ ^requirement remains in the final
 rule. This means that a State's manifest
 lorm or format must contain the same
information as required for the Federal
manifest format. EPA has decidcd to
              approach lo the

            . --. ..'asons explained in
            to the section 3002
            "-"—18-29 (February
     While EPA decided to minimize
   Burdensome paperwork by only
   requiring exceptions reports by
   generaton Mo CER 5 262.42). the Agency
   recognizes that several States view
   £«ckfa? of individual manifests!^
   integral and necessary part of their
  StS« I"16"1 &¥***• fadced. several
  States have such « tracking system
    The overriding concern behind this
  requirement is the need for regulatory
  stopUdty and elimination of wnfusion
  by split administration. Le.. generators
  and transporters will be able to look
  •olely to the State hazardous waste
  management agency for all requirements
  with which they must comply.

  \12338 Requirements for hazardous
  waste management facilities.- •  •
   This section contains standards for
  facilities that will be Incorporated in
  permits for these facilities. Most of these
  requirements will be promulgated in
  Phase, II and thus this section may well
 need revision at that time to fill in
 details.  '

 5 123.37 Requirements with respect to
permits and permit applications.
  This section requires the State

auSl* f«fter ? Stat.C h35 received finfll
authorization, to review and change as
necessary any pcrmifs issued by the
State under Phase II of interim
authorization. Where such permits are
Issued under Phase n. the Director
                                                                                                        ms
                                                                                     .     changed to the extent
                                                                               changes have been made in Part! 12=

                                                                               Ota.1v ™* fatM must ban^a n
                                                                               Class IV wells as provided in § 122.36
                                                                             .  Treatment of other Class IV wellJhas
                                                                               J™ ^?Telas discussed «n &e
                                                                               preamble to that section.

                                                                               $123.51  Purpose and scope.
                                                                              S
                                                                              8
                                                                                                          .
                                                                                   123^fnf?»~This PW"!* (proposed
                                                                                   123^1(f)(ij) generated a certain

                                                                                                                  -
                                                                                                             not
                                                                           ...  , ~*M4= «Miie una wnicn are n
                                                                           sS™,?"6 ™lp being f*xceP' *a< the
                                                                           *^£X£F*to ban class
                                     -,.	j in order to make this re-
                                     examination easier.

                                     1123:33  EPA review of State permits.
                                       The significant issues raised by this
                                      CCllOn hav* naan rl:.<»._	i    i.
                                 an
         perators to send copies of all
,  manifests to the State. The Agency
  views the continuation of such a    •
  £!*? Ttm by « State «• allowable -
  A. SS8**!1 3°°9 of ,RCRA- P«vided
  At State adheres to all Federal manifest
 SS re(luireni"J^ (e.g, the generator
 remains responsible for exception
 reporting).
                                     § 123.39 Approval process.
                                      RCRA specifically provides the
 ?OTh,2aUrSS^^
 ^jough notrequired to be partof a'
 i>tate s Interim authorization proeram
 niust be regulated as part of a State's'
 flnal auUiorizatlon program. These
 aspects Indude requirements  for
 accumulation of wastes in containers
 meeting DOT standards prior to
•bipmenl; packaging, labeling, marking
                                            R5f "  °r  mal auth°"*
                                     of state RCRA programs, which is
                                     different from that for interim.
                                     been'S^ T}* apP'OVal Proce" h"
                                     oeen simplified for interim, but remains
                                     virtually identical  to the IroposHTor
                                    final authorization. One change, in
                                   '&f^|e "1 aJ>ubllc ^mment is that
                                    £ nSSi™18 dOM I01 require &* Siat°
                                    of fhTn  M-8 c,°Py.°f the actua! transcript
                                    of the public hearing, but can instead
                                    provide a summary of  the proceedings.

                                                                     '
                                                                                    r.          ram
                                                                              types of injections and not
                                                                           inadvertently authorize new injections
                                                                           not previously found in the State
                                                                           Therefore. States with no wells in a
                                                                           certain class (other than Class IV) have
                                                                           the following options:
                                                                            (1) Without distinguishing between
                                                                           fin?'!? £f *f ?' treat a11 ^c«ons as
                                                                           though they fall into EPA'S Class I.
                                                                            (2) Prohibit infections in non-existent
                                                                          .classes explicitly.
                                                                            (3) \Vhen the State can demonstrate
                                                                          that injections are not authorized in the
                                                                          absence of rules, and no rules are .
                                                                          estabhshed over a particular class of

                                                                          S-^  *? a°Cept thto a« an |D«P'W«
                                                                          prohibition. A certification to this effect
                                                                          from the State Attorney General is
                                                                          necessary, however. The State must
                                                                          controrciass IV wells to the extent
                                                                          required by 5 5 122.36 and 122.45 even
                                                                          though the State may not currently have
                                                                         any Class IV wells.

                                                                         S 123.52 Requirement to obtain a
                                                                         permit.

                                                                         _ This section was proposed as § 123.54.
                                                                         State law must prohibit all well
                                                                         injections which are not authorized
                                                                         SSftiT11" °.L by. peimit- and must
                                                                         provide the authority to regulate all well
                                                                         "'^pna'Currently in place in the'State.
                                                                         either by rule or by permit, Before any
                                                                         type of well injection not currently in
                                                                        place can be authorized, the State
                                                                        progam must be amended to cover that
                                                                        typeofmj'ection.
                                   .,.K""'^ C" ""! re1uirements of this
                                   subpart have been moved into Subpart
                                   A for the reasons explained above.
                                   Proposed SS 123.52.123.57. and 123 60
                                                                          The specific requirement in this
                                                                        section has been dropped. The State's
                                                                        authority to prohibit or authorize well
                                                                        inj-ections without a permit must be
                                                                        discussed, however, in the Attorney  .
                                                                        General s statement under § 123.5.

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                  Federal Register / VoL 45. No. 98  / Monday. May 19. .1980 /Rules and Regulations       33397
     Proposed 5 123.53  Annual report.
       This section has been moved to
     5122.18.   •
     \12334  Approval process.
       Some commenters suggested that EPA
     was too stringent in its public notice
     requirements in proposed { 123.58(a).
     Itow § 123.54{a). They suggested that
     States should be given greater flexibility
     to handle public notice of their programs
     prior to submission. EPA strongly
     encourages public involvement in all of
     its programs and has not reduced these
     requirements below what was proposed.
     However, i 123.54{c) has "been rewritten
     to clarify the circumstances under which
     the Regional Administrator may decline
     to hold a public hearing on a program
     approval       '       '
     Subpart D—Additional Requirements for
     State NPDES Programs
       This Subpart reflects the requirements
     of EPA's revised NPDES regulations. (44
     FR 32854. June 7.1979). No. substantive
     changes have been'made. Sections
    ' 123.74 and 123.75 (proposed § J. 123.77
     and 123.78) have been reorganized for
     greater clarity.                 .
       Proposed 5 123.75 has been dropped
     because the requirements of that section
     that States have adequate authority fo
     inspect monitor, enter, and require
     reports, are duplicative of other
     requirements of these regulations. See
     55 122.7 (applicable permit conditions).
     122.11 (monitoring requirements), and
     123.8 (requirements for compliance
     •evaluation programs).
     Subpart E—Additional Requirements for
     State Programs Under Section 404 of the
     Clean Water Act
       This Subpart has been reorganized to
     be more comprehensible.'
     1123.91  Purpose and scope.
       One commenter suggested that'
     5 123£l(c) be modified to allow EPA
     approval of State 4O4 programs lacking
     jurisdiction over all the waters within
     the State falling under the definition of
     "State regulated Waters." EPA has
     thoroughly studied both the express
     language of CWA and the legislative
     history of the Act regarding the breadth
     of State section 404 programs. Both
     clearly indicate  that State section 404
     programs must regulate discharges of
     dredged or fill materials into all waters
     of the United States except, those
     expressly reserved to the Corps of
     Engineers under section 404(g)(l) of
     CWA. For this reason, partial programs
     cannot be approved.
       One commenter argued that
     5 123.91(d) limited the scope of State
!l    programs to regulation of only  those
activities permitted by the State after
program approval. EPA disagrees.
5 123.91(d) clearly allows approved
States to assume responsibility over
existing general permits issued by the   ;
Corps of Engineers. The Memorandum.
of Agreement between the State and  the
Secretary, under § 123.99. will be the
vehicle for establishing which Corps
issued permits the State will administer
and enforce.           .

1123.82  Activities not requiring
permit*.                      .       N

  This section was proposed as
$123.107. -..        .
  A number of commentera objected.to
the description of activities exempt from
the requirement of having to obtain a
permit, on the grounds that the
exemptions have been drawn so
narrowly that the 404 program intrudes
illegally into activities reserved to the
208 program. EPA believes these
objections are based on a
misunderstanding of the relationship
between sections 404 and 203, It is. clear
from the statutory scheme and
legislative history that sections 402 and
404 must reach all 'point source .
discharges except those explicitly
exempted in sections 404(f), 404(r), or
402(7). Section 208 was intended to
supplement those programs by covering
major non-point sources of pollution,  by
ensuring coordination between point
and non-point source controls, by
coordinating treatment facilities, and by
preventing pollution as  well as
controlling it Thus. It is not correct to
assume that merely because an activity
is identified in section 203 it is a
nonpoint source: similarly, the BMPs  in
section 404(f)(l)(E) are not invalid       •
merely because they reach point some  ,
problems Which the 208 plans also , v
address. Sections 404 and 208 simply  do
not define distinct spheres of influence.
  § 123.S2(o){l)—Several cdmmenters
objected to the restrictive language of
5 123.92(a)(l). This subparagraph has
been rewritten to more clearly specify
the activities which are exempted from ,
the section 404 permit requirement
instead of focusing on those activities  ,
which do require permits.'as the purpose
of this section is to identify those
activities which do not require permits.
  The definitions of "plowing."
"seeding." "cultivating." "minor
drainage" and "harvesting" (proposed
§ 122.3(e)) have been moved into this
paragraph for convenience. The terms
appear only in this paragraph.
Comments received on  the definitions of
cultivating, harvesting, minor drainage.
and plowing are as follows:
 Cultivating    •       •   •

   EPA agrees with the commenter who
 recommended the deletion of the word
 "planted" in the definition of
 "cultivating." and has changed the
 definition accordingly to make it clear
 that cultivating naturally occurring
 crops, such as salt hay, may be exempt '
 as long as the other requirements are
• met  •'   .•' •      ,       .-   ':     • -•..

 Harvesting               '

   The Agency has included established
 ranch lands in the definition of
 "harvesting" to better coincide with
 statutory language.    :

 Minor Drainage        '    '

   A large number of commenters
 objected to the definition of "minor
 drainage." Most complained that by
 limiting minor drainage to upland drains
 (and connections of such drains to.
 waters of .the United States), the
 regulation "exempted" only those
 'activities, which were already outside
 the scope of section 404. These  '
 commenters cited several passages in
 the legislative history to support their
 argument that .some drainage within
 wetlands was also meant to be
 exempted. These commenters noted that
 the "recapture" provision in section
 .404(0(2) would serve as assurance that
 the exempted drainage would have only
 minimal effects. The commenters also
 observed that the  proposed definition
 would require a drainage proponent to
 determine the presence or absence of
 wetlands before he or she would know
 whether a permit is needed. A few
 commenters. citing the potential for
 abuse from'wetlands drainage.
. recommended that the proposed
 definition be retained.'
   The definition of minor drainage is not
 an easy problem to solve. The legislative
 history contains numerous, inconsistent
 references to minor .drainage and to
 other section 4O4(f)(l) exemptions. Some
• portions of the legislative history clearly
 support the position taken in the
 proposal, such as  the statement that the ,
 provision for minor drainage merely ,
 recognizes that upland drainage does
 not involve the discharge of dredged and
 fill material in waters of the United
 States, and therefore does not ever need
 a permit. However, other passages in the
. legislative history suggest that the minor
 drainage provision is intended to aid    .
 farmers and foresters who are actively
 farming an area which may technically
 be waters of che United States, at least
 where these activities will not have a.
 significant impact on the aquatic
 ecosystem. . '   • .

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      33338
                  •———~—————^i

    i J^tcr • c*rcM "vte" of the entire
    legislativeiistory and consideration of
    the numerous comments. EPA has
    concluded that it would be appropriate
    1o define "minor drainage" to include
    certain clearly defined drainage
    activities in wetlands which are part of
    on-going agricultural and silvicultural
    operations and which have minimal
  .  adverse effects, where permits are an
    unnecessary burden. Subparagraphs (ii).
    (Hi), and  Iv) of tha new definition reflect
    this revision. It should be stressed that
    each of these provisions applies to •
    activities that arc part of an on-soing
   farmlnf or forestry operation; theydo
   not exempt activities which convert
   wetlands to non-wetland* or which
   bring wetlands into farmina use. The
   lilted activities wfflhavTmmimal  •
  adverse effects partly because they
  tavolvt limited, reversible alterations to
  the hydrologJcal regime.    ,
    Subparagraph (ii) refers to activities
  incidental to the planting, cultivating.
  protecting, or harvesting of rice,
  cranberries of other wetland crop
  species, in farm or forest areas in
  established use for such wetland croo
  production. This will allow a farmer to
  temporarily dewater the area for a
  particular step, such as planting, as long
  •• the area is kept In wetland plant
  production (with or without rotation  '
  with other crops where such rotation is
  a normal practice). The phrase "wetland
  crop species." In the definition of minor
  *•l™Se< m«t be read in connection
 wHh the phrase "food, fiber, and forest
 products in 112X32fa)(l)m. Thus, it
 does not Include peat and similar
 £!.lf J* e£tr«cted « m«"d from the
 wetland substrate, even if such
 njalerials are derived from plants which
 also yield food or fiber or tree products.
  Subparagraph (Hi) also recognizes the
 particular situation of rice" and cranberry
 £ndpossiblyotherfarm or foreTfcropf
 growers, whose manipulation of water
level* mav Involve the *3:—*	  * "••"
                       	    "~^"^—™«—«™
      happen to have been created by fluvial
      action over a period of time.
        EPA considered adding a provision to
    •  exempt drainage of small, isolated.
      occasionally wet areas where such wet
      areas are surrounded by lands in
      established fanning use. EPA concluded
      for a number of reasons that it would be
      unnecessary or unwise to include this
      provision in the definition of minor
      drainage.
       First many of these small, isolated
     wet areas may not be waters of the
     United States either because they are
     not wet enough to be "wetlands" under
     i 1f2f °f because, even If wetlands,
    their destruction or degradation would
    Botljav* any effect on interstate   ,
    ewmnerce. Including an "exemption'1' for
    •uch arees might creete the erroneous
    impression that but for the exception  -
    and subject to the recapture previsions
    of section 404(f)(2). each puddle and
    damp spot would need a permit There
    a. of course, no such requirement unless
    there is a discharge into waters of the
    United States.
    .k5??0,1"1^ *** caie where Caters  of
    Uie United States are  involved, such
    orainage would generally be covered by
    an existing nationwide general permit
    Issued by the Corps of Engineers. States
    may arrange with the  Secretary of the
    Army to take over the administration bf
    •uch general permits, for State regulated
                                                                                                     	•^-"^^^^•™*
                                                                                 approach for regulating small. Isoh
                                                                                 wetlands in regions where agricultu
                                                                                 and silvicultural activities predomil
                                                                                 For example, the general permit   \t
                                                                                 approach allows a certain flexibiliryTsf
                                                                                 the event that the cumulative impact of
                                                                                 such drainage should become more
                                                                                 significant in the future. This flexibility
                                                                                 arises in two ways. First under the
                                                                                 i-orps regulations and under State
                                                                                            to require an individual
                                                                                penrut m a particular case where
                                                                                required by concerns fpr the aquatic
                                                                                enwonment (as expressed in the
                                                                                •action 404(b)(l) guidelines). For
                                                                                example, the permitting authority may
                                                                                      *thm
   Subparagraph (iv} responds to the
 concerns of farmers and foresters who
 pointed out that storms and floods
 occasionally deposit silt bars in pre-  '
 existing drainage channels in
 established crop lands; these bars block
 the normal drainage and often threaten
 crops which are not adapted to.the new
 flooding regime. Such blockages may be
 due to storms, flood* beaver dams, and
 other such, "events." We have included
 a requirement that such blockages be
 removed within one year of placement
 to bei eligible for the exemption. This
 ahouW ensure that this exemption will
not be used to drain wetlands which
   • •—•i«»jj. unuer one current
   nationwide permit (33 CFR { 323.4-2)
   discharges of dredged and fill material
   are authorized, subject to certain

   Snmtjf T? ^ to affect '•""««•
   n: (1) Non-tidal rivers, streams and their
   Impoundments including adjacent
   wetlands that are located above the
   h,cadwat««: (2) Natural lakes, including
   their adjacent wetlands, that are less
   than 10 acres in surface area and that
   are fed or drained by * river or stream
   above the headwaters. In the absence of
   adjacent weflands the surface area of a
   lake shall be determined at the ordinary
  high water mark: (3) Natural lakes.
  including their adjecent wetlands, that
  are less than 10 acres in surface area
  and that are isolated and not a part of a
  surface river or stream. In the absence
  of adjacent wetlands, the surface area of
  a lake shall be determined at the
  ordinary high water mark: and (4) Other
  non-tidal waters of the United States
  other than isolated lakes larger than 10
  acres (see (3) above) that are not part of
  a surface tnbutary system to interstate.
  waters or navigable waters of the
  United States (see 33 CFR J 323.2(a)(5J).
 TTiese small isolated wetlands would be
 covered by this nationwide permit
'mnK  f"? Stn?ng P^V grounds, for
 continuing to rely on the general permit.
    coQciuoe loat in a particular area
    todlvidual scrutiny i. needed for the
    drainage of isolated wetlands (e.g..
    prairie potholes) of a certain size or
    type. Second, general permits are issued
    for fixed terms, not exceeding 5 years.
    and must be renewed upon expiration in
    order to continue in effect. The
    opportunity for public hearing required
   for such renewal will give State
   administrators, farmers, and other   >
   interested citizens an opportunity to
   assess the continued need for the
   general permit and its conditions, baaed
   on environmental conditions, and other
   relevant matters. For instance, in the  -
   previous example, the State Director
   may conclude that the loss of prairie
   potholes has had such an impact on
   migratory waterfowl that future
   discharges into any prairie pothole
   should have individual permits.
    EPA believes that this approach
  complies with the direction of Congress
  to give the States a role in the
  implementation of the 404 program.
  recognizing that some States may
  choose a more protective approach than
  we minimum standards set by the
  Federal program. At the same time, this
  definition assures  that the legitimate
  interests of farmers and other groups, as
  reflected in section 4O4(f), are also
  protected.
 Plowing

   Several commenters pointed out that
 plowing is a normal forestry as well as
 fanning activity. We have amended the
 definition of plowing  to reflect this.
 Others objected to  the exclusion from
 plowing of redistribution of surface
 materials by grading,  on the grounds '
 that filling in depressions in irrigated
 fields may actually be a BMP.
   Plowing, as defined, is not a point
 source and. under 5 123.92, will not
 require a section 404 permit However,
 other activities which involve the
redistribution of soil or other surface
matenals to fill in waters of the U.S

-------
                 Federal Renter / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and
    not included in this definition and may
    require a section 404 permit
      Several commenters questioned the
    requirement that plowing take place on
    "established" farm or forest lands. This
    requirement has been deleted. However.
    it is still necessary to distinguish  '
    ongoing fanning and forestry activities.
    which are exempt under section 404(f)(l)
  ' of CWA, from activities which convert
    waters of the United States to a new
    use. which, under section 404(f](2). an
    not exempt
     EPA believes that redistribution of
   material should be subject to the
   scrutiny of the permit process when it
   results in the conversion of waters of the
   United States to dry land. In appropriate
   circumstance*, with appropriate	
   conditions, such redistribution may be
   permitted ai provided in the section
  :404(b)(l) guidelines,
     $ i23.92fa}(2}—Some commenters felt
   that § 123.92(aj{2) was too vague or too
   inflexible for all emergency situations.
   EPA disagrees,  and has retained this
   paragraph with only minor revisions.
     5 123.32(a)(3}—A. number of
   commenters objected to the, language
   defining the exemption for the
   connection of irrigation ditches to
   waters of the U.S. as being too
  restrictive. The revised language
  clarifies that a permit is required only
  for those connections that involve
  construction of a water intake  structure
  which results in significant discemable
  alterations to the flow or circulation of
  waters of the United States. It is not the
  Intent of EPA that simple connections
  fall under the permit requirement
  Furthermore, construction of bank  "
  protection features for ditches which do
  not reach into waters of the U.S. do not
  need a permit in any case.
    5 123£2(aJ(8}—Numerous reviewers
  objected to the baseline best
  management practices proposed in
  ! 123.107{a)(5) on which the road
  construction exemption is based.
  Objections centered on two issues: (1)
  whether it is appropriate, or indeed
  legal, for EPA to prescribe by regulation
 , a set of nationwide BMPs for State 404
  programs: and. (2) whether the baseline
  BMPs in the proposal improperly control
  activities that do not relate to road
  construction involving the discharge of
  dredged and fill material
    As to the first of these objections, the
  Agency, after review of the legislative
  history of CWA section 404(f)(l)(E).
  finds no direct or implicit guidance as to
  the means by which Congress intended
• the best management practices
 requirement to be implemented. Our
 intent in specifying baseline best
 management practices was. and is. to
 identify basic measures which are
   nationally applicable and which can
   form a core or framework to which
 .  States may add more detailed and
   locally applicable BMPs which they
   believe are needed to assure that the
   environmental protection objectives of
   section 404(0(1 j(E) are met We also
   believe that an explicit statement of
   minimum standards will aid States in
   preparing program submissions for
   approval For this reason, we have
   retained the approach of baseline BMFs
>   Infl23J82(a)(6).
    EPA has carefully considered the
   second objection, relative to the scope
   of thrspeciflc BMPs. in light of the
   legislative history of section 404{f)(l)(E),
   and has concluded that in some cases
   the proposed BMPs were too broad. The
   Agency has, therefore, revised the list of
   BMPs'in order to focus upon
   environmentally protective measures
   which are directly linked to the
  methodology and location of discharges
  for road construction. Proposed (i). (x),
  (xi), (xvi) and (xvii) have been deleted.
  and other proposed BMPs have been
  revised accordingly. Revisions have also
  been made to maintain consistency with
  the Corps of Engineers. Consistent with
  these other changes, we have also • •
  added several new BMPs,
  55 123;fl2(a)(6){v). (xi). and (kil). New (v)
  emphasizes the importance of     :
  minimizing disturbance within the
  waters of the United States lying
  adjacent to road corridors. This BMP is
  designed to reduce th* adverse impacts
  of road construction in waters of the
  United States by encouraging the
  widespread use of procedures' which
  restrict road construction  to the actual
  corridor to be occupied by the finished
  road. New {xi) and (xii) are both
  included to maintain consistency with
  the BMPs applied by the Corps of
  Engineers.. New (xi) requires that the
 public health and welfare  be protected.
 New (xii) requires that health and
 economic concerns be protected by the
 protection of shellfish production areas.
 Below is a BMP by BMP analysis of
 comments received and changes made
 in each of the proposed baseline BMPs.
- Most of the comments on proposed (i)
 were not favorable, expressing concerns
 that this BMP was outside EPA's   '
 authority, that the absolute nature of the
 prohibition made it impracticable, and
 that it might even result in the need for
 additional road construction. Although
 the Agency agrees with the comments
 favorable to proposed (i) that logging in
 streams may be .environmentally
 harmful proposed (i) has been deleted
 as not being within the proper scope of
 this section.
                                                                                                               33399
    Although many commenters approved
  of proposed (ii) (now (i)). others felt that
  it was already covered under section
  208 or that it was too inflexible. In
  response to this latter comment, the
  Agency has included more factors to be
  used in determining what restrictions
  are feasible in any given case.
    Proposed (Hi) (now (ii)) has been
  revised to require the minimization of
  discharges of dredged or fill material
  only. This responds to those, comments
  which stated that the BMP. as proposed.
  was not limited to dredged or fill
  material and was impractical
   Many commenters agreed with
  proposed (iv) (now (iii)}. and so it has
  been retained and only slightly revised.  :
  The Agency does not agree with those
  commenters who felt that allowances
  for certain types of discharges or for
  extreme flows should be included in this
  BMP. The phrase "high" flows has been
  changed to "flood" flows for clarity.
   Comments on proposed (v) (now (vii))
  were generally favorable, and so this
  BMP was retained with minor revisions.
  The  revisions specify that the affected
  activities are related to road crossings.
 The Agency does not feel that it is
  Impractical, as two comments stated.
   Almost all commenters agreed with
 proposed (vi) (now (x)) and proposed
 (vii)  (now (xiv)J. and they have been
 retained unchanged.
   Although a few commenters felt that
 proposed (viii) (now (ix)) neededmore
 definition or explanation, EPA has
 retained this BMP unchanged in light of
 the predominance of favorable
 comments and the availability of
 information compiled  under the
 Endangered Species Act for
 implementing-this requirement.
  Most .commenters agree with
 proposed (ix) (now (iv)). and if has been
 retained, although limited to erosion
 prevention. Several commenters
 suggested that the word "prevent" be
 replaced with "minimize" or "control"
 but the Agency and the greater number
 of commenters felt that the original .
 language is both preferable and
 practicable.             :
  All comments on proposed (x) were
 negative,-with the primary objections
 being that it exceeded EPA's authority,
 was too restrictive, was covered under
 section 208 and was inappropriately
 regulated under section 404, and was not
 practicable. In response to these
comments,.proposed (x) has been  '
deleted.
  Almost all of the comments on
proposed {xi) were negative. Primary
concerns  were that it exceeded EPA's
scope of authority, was covered under
section 208 and was inappropriately
regulated under section 404, was

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     33400
     «MMMMM
     «"•—"•—•"•"•	    	

     unrelated to farm or forest road
     construction, was not practicable, and ••
     would not always lead to
     environmentally protective practices.
     Only one commenter favored retaining
     this BMP. In response to these
     comments, proposed (xi) has been
     deleted.
      Many commenters agreed with
    .proposed (xii) (now (vij) which, in
    response Jo comments, has been slightly
    revised to relate specifically to road
    crossings. The Agency disagrees with
    the many commenters who felt that this
    BMP was not adequately specific to
    section 404 and that it was best
    regulated under section 208 only, since it
    Is clearly concerned with potential
    discharges Into waters of the US.
      Proposed (xiii) (now (viiij) has been
    revised in response to a number of
    comments which criticized the zone of
    vegetation and thermal pollution
   requirements as being ineffective or not
   necessarily protective of the
   environment. The other major point of
   criticism in the comments was that this
   Is not adequately related to section 404
   and Is properly regulated under section
   208. The Agency disagrees with this
   point of view, and feels that this BMP
   may be appropriate to both sections 404
   and 208, A number of commenters
   agreed with this position, and so
   proposed {xiii) has been revised and
   retained.
    A large number of commenters agreed
   with proposed (xlv) (now (xiii)). which
   has been retained unchanged. Critical
   comments generally stated  that this
  BMP was not adequately related to
  section 404 or that it exceeds EPA's
  authority. EPA feels that neither
  criticism is well-founded since the
  requirement applies to discharges
  regulated under section 404  and assures
  compliance  with two related Federal
  laws.                          .
   Almost all of the commenters agreed
  with proposed (xv) (now (xvj) and it has
  been retained substantially as proposed.
 EPA feels that there is no basis for the
 comments that this requirement is
 Impractical or that it might result in
 ^vlronmentally harmful activities.
   No favorable comments were received
 "^fr"8 Pr°P°*ed (xvi). The general
 criticisms were that this BMP was not
 adequately related to section 4O4 and
 Wai more appropriately regulated under
 section 203 and/or FIFRA, that it was  •
 not practicable, that it was beyond the
 scope of EPA's authority, and that the
 language was not adequately defined or
specific. In response to these  comments
P«P°«d £xvi) has been deleted.
  No favorable comments were received
regarding proposed (xvii). Objections to
this BMP were generally that it Was
     covered under section 208 and
     regulation under section 4O4 was not
     appropriate, that it was not practicable
     or not necessary, that it exceeded EPA's
     authority, and that it was unrelated to
    farm or forest road construction. In
    response to these comments proposed
    {xvii) has been deleted.
      In addition to these revisions and
    deletions EPA has included in these
    regulations three other baseline BMPs.
    As explained above, new BMP (v) is
    Intended to restrict the adverse impacts
    of road fill construction on waters of the
    US. to the specific site of the fill It
    specifically affects the manner in which
    dredged or fill material is discharged for
    road construction, and so is clearly
    appropriate In this section.
     New (xi) and (xii) are both designed
    to protect the public health and welfare
   by protecting water supply and food
   production areas from contamination
   resulting from discharges allowed under
   this paragraph.
     § 123.S2(d)—Qne  commenter
   expressed concern that proposed
   S 123.107(d), which exempts Federal
   projects qualifying under section 4O4(r)
   of CWA from State section 404 permit
   requirements, is contrary to the
   provisions of section 404{t) of CWA.
   Section 404(t) preserves for the States
   the right to regulate discharges of
   dredged or fill material in the navigable
   waters of the State. To clarify the
  distinction between section 4O4(r)  and
  section 404(t). the paragraph has been
 • changed to specify that projects
  qualifying under section 404(r) are
  exempt from regulation under the
  Federal or State section 404 program.
  but may be regulated under other State
  or Federal programs.    ""

  112X94  Permit application:  -
   . This section was proposed as
  S 123.108.
 '  Several commenters suggested that
 tne permit application content
 requirements of proposed 5 123.108(c) be
 simplified and reduced. The Agency
 agrees, and in revising those
 requirements has attempted to clarify
 what is required in the application.
 reduce duplication, and limit application
 requirements to the information which is
 normally required for evaluation of
 proposed projects.
   A number of commenters objected to
 what they considered the unreasonable
 economic costs of providing the
 application information required by the
 proposal. We believe the simplification
 and reduction of those requirements will
 result in commensurate reduction in
 costs to the applicant The Note under
 1123.94(c)(2)(v) also seeks to ensure   .
that the level of information required
     will be appropriate to the necessary
     review, pursuant to- the section 404?b
     guidelines. 40 CFR § 230.4(c) (as   J
     proposed in 44 FR 54222. Septembe
     I 123.98 Emergency permits.

      EPA has revised the section on
     emergencies (proposed § 123.111) to
     ensure that procedures and
     requirements relating to discharges of
     dredged and fill material will be waived
     only to the extent necessary to meet
    e.meJ!<5enciea-The Provision still allows
    the Director the necessary flexibility to
    respond to situations which would result
    in an unacceptable hazard to life or
    severe loss of property  if corrective
    action is not undertaken during the
    usual processing period. At the same
    time, the revised language assures the
    public s right to participate at the
    earliest feasible opportunity.

    5 123.97 Additional conditions
    applicable to all 404 permits.
     This section contains  the standard
    permit conditions which the State
   Director shall include in all State 404
   permits. The permittee now must be
   required to maintain the authorized
   work area as described in the permit in
   order to prevent subsequent violations
   of CWA standards due to previously
   authorized activities. In addition every
   permit must specify that  only activitic
   specifically identified and authorized
   the permit are authorized activities. T
   maintains consistency with Corps
   permits, and alerts the permittee to the
   fact that the permit allows him/her to
   perform only work specifically
   described by the permit. Any other
  Activities which require a permit but are
  not specifically identified and
  authorized in the permit cannot be
  performed unless the permit is modified
  or a new permit is obtained.

  1123.93  Establishing 404 permit
  conditions.
   This section also includes permit
  conditions which the State Director shall
  include in State 404 permits. These
  conditions may vary in their wording
_ from permit to permit, but must be '  •
  applied, to the extent appropriate, in
  every permit
   The permit must now include
 descriptions of the geographic area.
 specific site, type, size, and purpose of
 any authorized discharge, as well as the
 water quality standards, effluent
 limitations, and toxic effluent standards
 with which the discharge must comply.
 These requirements are intended to
 avoid any confusion as to what is
 authorized by the permit and what  .
 limitations are imposed on the       '4aai\

                                   IP

-------
                 _Pgjeral Register  / VoL 45. No. 98 / Monday. May 19,
     authorized discharge. The permit must
     also include a specific date by which
     work must commence. This will ensure
     that the permittee knows exactly when
     the discharge is authorized and when it
     isnot'

     S 12339  Memorandum of agreement  .
 .   with the Secretary.

      This section was proposed as 5123.93.
    One coznmenter suggested that the
    requirement for the State and the
    Secretary to enter Into an agreement
    was unnecessary. EPA disagrees. The
    MOA with the Secretary is the primary
 1   means of implementing the requirements
    of sections 4O4(g) and (h) of CWA. It is
    necessary to coordinate the. transfer of
•   the Federal program applicable to Stale-
    regulated waters to the State, and to
    clearly establish where the jurisdiction
    of the Corps ends and that of the State
    begins. The Corps will identify for the *
    Slate those waters within the State over
    which the Corps will retain jurisdiction.
   The MOA with the Secretary will
   describe this division of jurisdiction, and
   confirm the State's understanding of, its
   jurisdiction as set out in the program
   description under j 123.4(h)(l).
     Two commenters felt that § 123.99(f).
   which prohibits the State from issuing a
   section 404 permit if in the judgement of
   the Secretary the discharge would
   substantially impair anchorage or
   navigation.,should be struck. EPA
   cannot incorporate these comments
   since to do so would conflict with the
   express language of section 4O4{g)(l](F)
   of CWA.

   §727.707  Transmission of information
  to EPA and other Federal agencies.
    This section was proposed as 5 123.98.
  Several commenters objected to any
 application of the draft permit
 requirements of J 124.6 to State section
 404 programs. As in the proposal, draft
 State section 404 permits will continue
 to be required in certain cases. In most
 cases draft permits will not be required.
 However, for those activities for which
 EPA may never waive permit review.
 such as major projects of projects in
 particularly sensitive areas, and for
 other activities when EPA deems it
 necessary, the State will be required to
 prepare and circulate a draft permit
 (See the discussion under § 124.6 of this
 preamble for a general justification of
 the draft permit requirement,} As
 discussed in the preamble to § 123.6(f).
 the categories of discharges for which a
 draft State section 404 permit is required
 have been more clearly defined.
 § 123.101  EPA review of and objections
 to State permits.           '

  'Two industry commenters and one
 State agency objected toiEPA review of
 State permits in general and the 90-day
 review period in particular. No changes
 were made because the provisions of
 'this section follow from the express
 language of section 404(j) of CWA. If the
 Regional Administrator is going to'
 comment upon a permit application or
 draft permit he or she shall notify the
 State Director within 30 days of receipt
 If such notification is made in time, the
 Regional Administrator shall have an
 additional 60 days to respond..
Responses will normally be given in less'
than the full 90-day period..-.
  The following chart should clarify the
entire State section 404 permit
application review process.
81LUMQ COOt (S40-01-M          •  .

-------
                STATE 404 PROGRAMS-PERMIT APPLICATION REVIEW
                                                                                                PROCESS
                                                                 comment, or of reservation
                                                                   •ration o» draft permit ot  additional information),

                                             Deadline for C.O.E.. F.W.S.. N.M.F.S.. to submit
                                             witnen comment, to E.P.A. - (may fa. a 30 day extension}.


                                                                           Deadline for E.P.A. to tubmit written
                                                                           comments to Stale. Slate review*  '
                                                                           E.P.A. comments.      '           '     I
                                                       II lit objection hti bttn lubmiiud by EPA
                                                                                                     II no objection hn b*M tubmitttd by EPA
                                                                                                     SUM proem (Jpprovid ttite 404 program)
             EPA public hurini (rtquttt within M diyi ol objection)
                                                                              No requait for public hearing
Suit doai not reiubmil ipplication
to meat EPA objection* within 30

-------
              Federal Regfctef / V0L 45. No. 88 /Monday. May 19. 198Q / Rules and
 $123.103 Enforcement authority.
   This section was proposed as
 5 123.101. It has b'e'en shortened in order
 to avoid duplication with § 123.9 and
 eliminate unnecessary provisions. These
 changes do not in any way weaken the
 State enforcement authority
 requirements: expectations of diligent
 and effective State enforcement have
 not been altered. The complete
 requirements for State 4O4 program
 enforcement authority can be
 ascertained by reading both S 123.9 and
 8123.103.

 \ 123.104 'Appro
                      MS.
  This section (proposed { 123.104) has
been retained largely in its proposed
form.The following chart should clarify
the entire State 404 program submission
and program approval process.
WUJNO COOt «&40-01-«

-------
     33404
                                                                   ......     .      ,

                                 404 PROGRAM SUBMISSION AND APPROVAL
   If STATE SUBMISSION IS
  CHANGED. REVIEW PERIOD
    BEGINS UPON RECEIPT
   OF REVISED SUBMISSION
                                            RECEIPT OF STATE SECTION
                                             404 PROGRAM SUBMISSION
                                 """"g'O* ""ST CONTAIN 3 COP.ES OF THE FOLLOWING
                                         ISTRATOR PROVIDES COPIES OF STATE'S
                                        SUBMISSION TO C.O.E.. F.W S." ItF X.
                                          WITHIN 10 DAYS OF RECEIPT
                                       "STlf'"STATE WITHIN 30 DAYS OF RECEIPT
                                       WHETHER SUBMISSION IS COMPLETE
                                          _ NOTICg MUST INCLUDE

                              COST Of OBTAINING A COPY OF STATE
                              S???i H?l «r BL'C SHOULD CONTACT WITH QUESTIONS

                                             PUBLIC HEARING

                                           HELD NO LESS THAN
                                          30 DAYS AFTER NOTICE
sraSrSffis1*""
               DISAPPROVES

•IUJMO cooe
                                       ADMINISTRATOR APPROVES OR
                                       STATE AND EP.A. MAY
                                      EXTEND REVIEW PERIOD
                                                                            APPROVES


                                                               PUBLISHES NOTICE IN THE FEDERAL REGISTER

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    L Part 324—Procedures for
    Dedsiomnaking.

    A. What Does This Part Do?
     Part 124 establishes the procedures for
    issuing, denying, modifying, revoking
    and reissuing, or terminating EPA-issueo!
    RCRA. UIC PSD. and NPDES permits. It
 '  also establishes procedures applicable
    to certain State administered permit
 .  programs.               -
     This framework gives EPA the
   discretion to process RCRA, UIC PSD,
   or NPDES permits separately or in
   combination. While consolidating permit
   procedures is not mandatory, it is
   encouraged whenever a-fadlity or
   activity requires permits under more
   than one statute. Without consolidation.
   a facility needing multiple permits
   would repeat the entire permit process  '
   for each permit But with the opportunity
   fpr joint issuance of draft permits, joint
   comment periods, and joint public
   hearings under Part 124. a facility would
   go through the process only once.
    When EPA issues all the permits
   required by a facility, the process may
   be consolidated at any time. When
   responsibility is divided between EPA
  .and a State, the regulations encourage
 joint proceedings.    .  _/
    Part 124 includes procedures for     "
  issuing permits under regulations
  implementing the "prevention of
  significant deterioration" (PSD)
  provisions of the Clean Air Act. These
  procedures are similar to 40 CFR
  5 52^1(r). No parallel requirements have
  been included in Parts 122 and 123
  because the mechanism for approving
 State programs under the Clean Air Act
 differs from that for other permit
 programs. EPA will explore-the
 possibility of more comprehensive
 consolidation in the  future.
 B. How Does This Part Work?    '
   Under these procedures, a facility
 must apply for a permit under the
 requirements in Part 122 (RCRA, UIC.
 NPDES) or 40 CFR 152^1 (PSD). The
 Director reviews the application and
 notifies the applicant when the
 application is complete (5 124.3). The
 Director then decides whether to deny
 the application or prepare a draft
 permit If the former, the Director issues
 a notice of intent to deny; if the latter, he
 or she prepares a draft permit under
 S 124.6. Both decisions are accompanied
 by a "statement of basis" ($124.7) or a
 -fact sheet" (J 124.8) that becomes part
 of the "administrative record"  .
 assembled for all EPA-issued permits
 (5 1245). Because of practical limits on
EPA's ability  to explain in
comprehensive detail each of the  :
permits it issues, the depth of discussion
   in the fact sheet or statement of basis
   will be related to the.importance of the
   issues involved and their controversial
   nature.
     Decisions to modify, revoke and
   reissue, or terminate a permit (§ 124.S)
   also require the Director to deny the
   request or prepare a draft permit. The
   Director may take any of these actions
   either on his or her initiative or by
   acting on a request submitted by any
   interested person. Denials of requests
   for modification, revocation and
   reissuance. or termination, unlike
   denials of applications, are  not subject
   to public notice, public comment or' •
   public hearings. If the Director decides
   to deny the request he or she sends the
   requester a notice briefly stating reasons
   for the denial. This notice is not
   accompanied by a "statement of basis"
   or a  "fact sheet" And an
   "administrative record" -is not
   assembled. Denials of requests for
   modification, revocation and reissuance..;
   or termination cannot be formally
   appealed to the Administrator under
   S 124.19 but only informally under
   S 124.5{b). All draft permits prepared
  under 51124.5 and 124.6 are subject to
  public notice (5 124.10). public comment
  (1124.11) and. in suitable cases, public
  hearings (§124.12). This process allows
  any interested person to bring forward
  any comments or questions concerning
  the draft permit or its  supporting
  materials. After the comment period
  {including any public  hearing) has
  closed. EPA issues a final decision on  a  '
  permit (J 124.15). The  final permit
  decision is accompanied by a response
  to all significant comments (5 124.17)
  which, together with additional
  supporting material, completes the final
•  administrative record (5 124.18).
   Whenever cpmmenters on a draft
  permit ask that changes be made, the
  final permit will not become effective
  until 30'days after notice is served under
  5 124.15(a). This gap between the date of
 issuance and the effective date of a final
 permit allows interested persons time to
 appeal a decision on a  RCRA. UIC. or
 PSD permit to the Administrator under
 S 124.19 or request an evidentiary
 hearing for an NPDES permit under
 S 124.74. If no such comments  are
 received, the final permit is issued arid
 effective the same day.
   When an approved State program is
 the permitting authority, the State
Director must prepare a draft permit
provide public notice and opportunity
for a hearing and allow the public at
least 30 days to comment on the draft
permit before a final permit is  issued. A
fact sheet for all major permits is also
required (These regulp.tions do not
    include requirements for processing
    State-issued PSD permits.) Section
    headings (or when necessary, paragraph
    headings) have been highlighted to make
    it easier to identify which Part 124
    requirements apply to approved State
    programs.

    C. What Kinds of Hearings Are        I
    Available Under This Part?           .!
      There are three kinds of hearings
    available under Part 124: the public
    hearing, the evidentiary hearing and the
    non-adversary panel hearing.
      (1) The Publii; Hearing.Section 124.12
    describes a public hearing that is purely
    legislative in nature. Public hearings are
    granted in two situations: (1) upon
    written request, if the Director finds "a
    significant degree of public interest" in a
    RCRA. UIC. PSD. or NPDES draft permit
    or (2) without request at the Director's
    discretion. At such a hearing/oral or
    written statements and data concerning
    the draft permit can be submitted by
   any interested person. In general, this is
   the only type of hearing that wi'll be held
   on RCRA.  UIC or PSD permits. Limitod
   exceptions to this rule are described
   below.
     (2) The Evidentiary Hearing.
   Evidentiary hearings are provided fiir in
   Subpart E. These hearings are available
   whenever NPDES permits are contested.
.   if a written request is filed within 30
   days after a decision on the final permit.
   Evidentiary hearings also are available
 .  whenever RCRA permits are  terminated.
   Under certain circumstances  (outlined in
   1124.74(b)(2j). persons requesting an
   evidentiary hearing on an NPDES permit
   also may request that the evidentiary
   hearing include closely related
   conditions of a RCRA or UIC permit.
   PSD permits can never be made subject
   to a Subpart E hearing.
 ..  (3) The Non-Adversary Pa     e
  Subpart F contains procedures for
  conducting a non-adversary panel
  hearing; These new procedures
  primarily apply to specific kinds of
  NPDES permits. Panel hearings may be
  held for first decisdns on any CW"A
  variance and for the issuance of any
  other NPDES permit which constitutes   '
  "initial licensing" under the
 Administrative Procedure Act The
 Regional Administrator also may use  ,
 these procedures when making RCRA or
 UIC permit decisions, or when preparing
 a draft NPDES general permit  under
 5 122.59. Finally, the parties to an       .<
 evidentiary hearing under Subpart E
 may agree to use Subpart F procedures  '
 instead. Whenever a Subpart F hearing
 is held on one permit and other permits
 subject to this Part have been           i
 consolidated with that first permit, all  '  j

-------
      33308
                       e"ed Aether under
            t
        fa * panel hearing the Presiding
      Officer sits with a panel of other EPA
      employees. Together they question the
      participants, rule on requests for cross-
      examination, and schedule  •
     supplemental hearings for cross-
     examination. A recommended derision
     if issued and becomes final if not
     *PPe«]£? to the Administrator within 30
     days. (The Presiding Officer will
     generally be an Administrative Law
     Judge. Persons other than
     Administrative Law Judges may serve ••
     »«Hta« Officers if io NFoSSS
     other than a general permit is involved
     orby agreement of the parties if an
     NPDES permit other than a general
     Permit is Involved.)    •'       ' '  •
      To clarify the different types of

                      *1™ •*****»
               	o  -S either a jicu.
    --_	._,.„. t E or a hearing under .
   faubpart F. since both types of hearings
   conform to the formal hearing
   requirements of the Administrative
   Procedure Act*
   J]"7!e.'?m* can be found in the
    definitions" section (5124.2).
   u0,7'iP^ReIa'ototh»
  Juno-K 1979, Proposed Regulations?
    The following is a discussion of
  significant comments received and the
  basis for revisions made to Part 124 of
  the proposed regulations. Minor
  editorial changes have been made in
  m°"{ I"1'01" *nd *re not discussed..
    EPA has attempted to address all
  significant comments received on this
  P«rt during this rulemaking. However

  the procedum to Part li4W.S
  ou£rowth of the procedures in the final
  NPDES regulations published June T/
 J%*- ***** *? 32854- Many comment.
 addressed in the preamble to those
                      	"""P^™^™
       Several commenters argued that
     consohdation would slow down the
     permitting process to the pace of the
     slowest permit They provided graphic
     examples of bow-confusion would result
     when deasionmaking on one permit
     interacted with decisionmaking on
     another. These commenters also argued
     for the efficiency of a facility gettoTiu "
  -  ffi^^0"'"1^8" needed.
     rather than all at once. Accordingly, thT
     comments suggested thai consolidation
     ought to be at the option of the permit
  •   applicant •             •      .
      While issuing several permits together
    often may take longer thaTSsuing the
    f!f °if "i fwPence °f Permits, this is not
    the whole picture. First RCRA. UIC.
    PSD. and new source NPDES permits
    •re construction permits. A new facility
    or activity which requires a permit
    under more than one statute must obtain
    oil required permits before construction
    can begin. Thus, it is the granting of the
    last permit not the first that completes
    tne job of specifying the environmental
    requirements applicable to  a plant
    Planning and financing often cannot
   proceed until those administrative
   requirements are fixed. Consolidating  -
  ,the procedures. In almost all cases, will
   accelerate the granting of that last and
  most important permit  *
     Second, and more important the very
  process of issuing permits to a major
  tource in sequence, rather than at the
  •arae time, leads to problems of its own.
  The issuance of an earlier permit may
                                  estion
           D.soet
      of the permit applicant only. The
      regulations provide that the permit
      applicant may request consolidation.
      and in most cases considerable weight
     ,,      rSM Wen Sta88«ring the -
     issuance of permits fits a project
      3
     wh      ennil.s together' and
     when the dangers inherent in issuing
     permits in sequence are worth risking
     However, both the States' and EPA™
     mterest. in handling their own workload
     and the public interest in  effective
     rS"™?1!?,1 "^"on  also must be
     2S I?™4 Sta"-bolh of _^i«_    . .
                       . to
$124.1  Purpose and scope.
                   enler3 Questioned
 ffnH        e CPre con«lidation
effort. Several points were made.
  (1) Consolidation will be too
cumbersome,
                    ———•—••!*»*»«*•• ai
  "•-» -««r permit would require.
  When the later permit imposes
  unanticipated requirements, the first
  permit then may need to be re-
  examined. Moreover, evidence
  Introduced at a later permit proceeding
 • may affect the evidence at an earlier
  proceeding and call into question an
  earlier decision. Whenever such
  situations arise, the Agency (and the
 2f fcamt]Lan'f8Ced ^A eTther trying to
 patch up the earlier permit whichiT
 wow and cumbersome, or moving
   .w,ard ftoal action and judicial review
 with questions of consistency
 unresolved. Consolidation at least
 provides a mechanism by which such
 b^orf T *?" bte idenufi*d and resolved
 before the final permits are issued.
  For these reasons EPA has rejected
  le suMMtionn«t to proceed fu -
                i at this time.*

              -*»J" Wait IneM reguuuonf


^^SrP^"^rf
^^^s&^syssr^.
       and PSD programs.
    - -gree that these programs are new
ifT-T?.:   8.°lidatlon is an untested
effort It is quite likely that in a few
years, these consolidated regulations
might be comprehensively rewritten to
account for what we will have learned.   Jaatk
S"'^.WOES regulations hadTo be   Mi
revised In light of practical experience.   ~V
  Hmunvmr 
-------
     ,_                 .        I
   NEPA more broadly applicable. One
   commehter argued that even though PSD
   permits are exempt from NEPA by
   .statute, if a PSD permit were   -
   consolidated with a new source NPDES
   permit for the same plant. PSD issues
   might have to be discussed in the EIS on"
   the NPDES permit, .the result would
 -  make NEPA applicable to the PSD
   permit despite the explicit language of
   the dean Air Act
     EPA agrees that this is an anomalous
   result, but it is hard to see how to avoid
  •it Given the explicit language of many
.   NEPA cases that otf the reasonably
   foreseeable major impacts of a project
   must be discussed in an EIS. a strong
   argument can be made that  the kind of .
   comprehensive balancing analysis
   NEPA contemplates would be
   impossible if air quality impacts were
   totally excluded. This argument.
  however, does not rise or fall on
  whether the permits are consolidated. It
  applies just as strongly to an NPDES   . •
  permit issued to a source after or before
  a PSD permit Indeed, in one recent case
  EPA has been challenged for its failure
 -to adequately consider air issues in an
  EIS on an NPDES permit issued after the
  source's PSD permit. Save the Valley,
  Inc. v. EPA, Civil No,79-30S5 (6th Cir.
  1979).. In such a case. Issuing permits in
  sequence rather than together will likely
  lead to confusion of the NEPA issues. If
  the EIS is prepared for one permit before
  another permit is issued, any new
  information provided in subsequent
  permit proceedings may lead to charges
  that the EIS is inadequate for not
  considering it If the EIS is prepared.
 after some of the permits are  issued, any
 new information in the EIS. conversely.
 may lead to charges that the
 consideration of the earlier permits was -
 inadequate.
   Consolidating permit proceedings"
 offers a procedural vehicle for avoiding
 these results and ensures that work on
 the EIS does not have to be re-«xamined
 in the context of an individual permit
 decision.
 51243  Definitions.
  A few commenters stated that the
 regulations did not clarify whether
 permit modification, revocation and
 reissuanca. and termination would be
 processed through the same'procedures
 as permit issuance and denial. To make
 this clear, the regulations identify, on a
 section-by-section basis, which kinds of
 permit actions are concerned.
  This section has also been rewritten
 to specify more precisely the definitions
 that apply to the PSD program, and to
help make clear that for PSD, the    '
general provisions of Part 122 do not
apply.         .            .
   5 -1243:  Application for a permit
     (I) A number of commenters urged  -
   EPA to specify a date by which an
   application should be considered
   complete. One commenter suggested
   that this date should be the date of a
   complete response to the Director's
   request for additional information." EPA
   has accepted this suggestion, but has not
   accepted a second suggestion to limit
   the Director's authority to request
   information that will make the   •
   application complete. Without the
   power to require such information, the
   Director will not be able to make     .
   responsible decisions. If the Director
   believes an application is incomplete
   and needs to be supplemented, this
   section now requires him or her to list.
   in a notice of deficiency, all  the
   information needed to make.an
  application complete. The limiting factor
  is that not more than one deficiency
  notice may be issued in any  given.
,  permit proceeding.  ,
    (2) Beyond this, many commenters
  urged that EPA set legally binding
  deadlines for its own actions under this
  Part These comments have not been
  fully accepted for the reasons set forth
  in the preamble to the final NPDES
  regulations. See 44 FR 32892 {June 7,
  1979).                        ,
   But EPA has partially accepted the' ,
  comments where major new facilities or
  activities are concerned. EPA will now
  set and make public a schedule for
  decisionmaking for each new project
   The schedule is not legally binding.
  although EPA expects schedules to be.
  followed in most cases. If schedules
 were set so that they could be met in all
 cases, they would not be of much use as
 a management tool Accordingly, EPA
 expects to set schedules tight enough to
 pose some risk of not  meeting them, and
 it expects some schedules will not be
 met This provision does not apply to
 PSD permits as they are already subject
 to a one-year, statutorily imposed,
 timetable for decision. "     -
   13) Some commenters recommended
 that 1124J(a) explicitly exempt UIC
 activities authorized fay rule under
 § 122J7 from the application
 requirement This section does not apply
 to them because UIC activities
authorized by rule do not "require a  ~
permit" An exemption has been added
to the final regulations to make this
explicit
   (4) 40 CFR 5 52.21(0(3} provides that
certain sources requiring a PSD permit
need not go through EPA permitting
procedures if the relevant State has • •,-
already provided an equivalent     .
opportunity for publjc comment These
   provisions have been included in Part
   124 as § 124.3(b).

   1124.4  Consolidation of permit
   processing.

    (1) EPA has redrafted proposed
   §124.4 in its entirety. The proposal
   covered both existing and new facilities
   and allowed applicants to delay filing
   RCRA and UIC permit applications for
   up to 180 days in order to consolidate
   them with applications for new NPDES
   permits or with  reapplications for
   expiring NPDES permits.            .
   , These elaborate provisions were
   included in the proposal because RCRA
   and UIC permits were to be granted for
   the life of the facility. Thus, it was
   necessary to provide a special
  mechanism to coordinate issuing these
  permits with renewals of five-year
  NPDES permits.  Now that RCRA permits
,  ana Uic permits for Class, I wells also
  will be issued for fixed terms, it will be
  much simpler to  coordinate by allowing
  the Director to set permi ts to expire
  simultaneously;  the regulations have
  been rewritten to provide for that.
    A special provision for coordinating
  applications is unnecessary for new
  facilities. Since all permits subject to
  this Part will be required at the same
  early stage of the project's planning.
  there will be a natural incentive to file
  corresponding applications even earlier
  and at about the  same time.
   (2) A number of commenters
  (including some who opposed the
 concept of consolidation) urged that
 States should be  required to consolidate
 permit proceedings with EPA whenever
 EPA and a State share permitting
 authority for a given facility or activity.
 EPA believes it would be unwise .to start
 the consolidation effort by compelling
 .the States to act-in parallel with the
 Federal government whenever the
 Federal government saw fit. Because the
 efficiency of the consolidation effort will
 partially depend on State cooperation.
 the comment has  not been accepted/The
 regulations have been amended to
 reflect EPA's position that approved
 States are encouraged to consolidate
 applications, but are not required to do
 so.       '     ''•.',.'
   (3) The sections relating to
 consolidation of draft permits  were
originally part of proposed § 124.6.
Proposed § 124.6(d) has been combined
with the new § 124.4 to make clear that
consolidation can occur at different
stages in the permitting process.
Comments addressing proposed
5 124.6(d) are answered here.
  Several commenters objected to the
potential consolidation of PSD permits
with other permits. They argued that
consolidation of PSD permits would

-------
      33503
      cause unreasonably delay, and might
      even breach the one-year statutory
      deadline Imposed by CAA section
      i65c.
        EPA disagrees. Compliance with the
      atatutory deadline has not been a
      problem with the vast majority of PSD
      permits. The applicant's right to a
      •gjeedy decision is explicitly preserved
      by S 124.4(e) which provides Sat
      consolidation leading to a breach of the
      deadline will not occur without the
      applicant^ consent One year Is short
     construct « facility without regard to
     any Federal regulation: large facilities
     £"«« «qulre more than a decade.
     Taking longer to proccss-the PSD permit
     alone due to consolidation is likely to be
     more than offset by the shorter time
     L™> t0,.proce" olher Pem»s for the
     same facdily and by gains from
    considering applications together
    instead of sequentially. Because it is  the

    av±h i°pVr,a!C Wh'"Ch nxes lhe ri*h« to
    wffl IS .^. ln?c?enis- consolidation
    will no  affect a facility's "place in line"
    for available increments.
     NPDES permits are eligible for
     evidentiary hearings under 5 124 74
       (1) EPA has kept-this section separate
     r?£. .? ?ectio" on draft Pe™"8
    . IS I24.fl) for two reasons. First EPA
     wants to distinguish permit actions that
     can be initiated only by the permittee
     (permit issuance based upon an
     application under S 124.6) from permit
     actions that can be initiated by the^
    Director (124 J).         .   J«w
      We emphasize this distinction in •
    response to one comraenter who asked
    whether the Director could prepare a
    draft Mnnit fnr • fa<.:li>.. IL.  « tl j
                                            agrees with this comment and has
                                            rei
    - -	  Modification, revocation and
   nistuance. or termination of permits.

   • •?« «BBtLon ""Wnw Proposed
   Si 124.5 nnd 124.7 under a single
   heading in order to eliminate In
   unnecessary distinction between actions
   anslng out of request, by interested
   persons (Including the permittee) and
   actions undertaken by the Director
   without any preceding request Whether
   a modification, revocation and
   rclssuance, or termination is based on a
   rcque,t „ on an independent decision
  by the Director, the action must be
  iK ™by <*"« under §§ 122.15 or
  122.16. This section has been amended
  to allow the Director to request the

  ±±tn/J":"pdt'edapp^on
 -nnir^^"1"^"18 «ubml«8ion of a new
 application whenever a permit is being
 revoked and reissued. A draft permit
 must beprepared for any modSSton  '
 or revocation and reissuancelmless the
 permit modification qualifies as a minor
                ^* 3 Ate^aA* * £\ nOllC6 Ol
        > terminate"'
    _.,.. ->.v..cu lur ono. me uirector s
    authority to take permit actions without
    ST*8 ™ee*wd'«* application is limited
    to the situations specified in § 124.5 and
    to general permits and permits by rule:
   Second. EPA wants to distinguish a
   denial of a request for modification.
   revocation and reissuance. or
   termination under 5 124.5 from a  .
   tentative decision to deny a permit
   application under 5 124.8.The former is
   not subject to the same procedures as a
   denial of an application for a permit.
   Notice of a denial of a request for
   modification, revocation and reissuance
   or termination is not a draft permit and
   mere is no opportunity for public
  comment a public hearing or a formal
  Administrative appeal. These denials are


    In adopting this position. EPA reiected
  comments urging that modification
  denials be appealable through the same
  agency procedures as permit issuance or
  denial Departures from the cycle of
  permit issuance and periodic

 IT.?,8!?"1'1"0'1 *hoiild not be encouraged
 «L?Mft * manner-*f encouraged, they
 could keep many  permits in a  state of
 perpetual reexamination thus impeding
 the control program being implemented.
   (2)  Other commenters urged that the
 Director should be required to consult
 with the permittee before he or she
 modifies, revokes  and reissues, or
 terminates a permit In most cases

 £od/fbti°n? ^the Director «"fl be
 triggered by information submitted by
Je permittee, and the Director may
determine whether **ftmi«a»M *»**• «
                                                         -es.
                                              (4) This section does not contain
                                            special procedures for modifying Ps
                                            perm,ts.EPA will decide whethe^Vuch
                                            procedures are necessary when it
                                            promulgates rules based on its
                                            September 5. 1979 Notice of Proposed
                                            ^"^ !?d may amend this section

                                                     '   " Se?ioni however' does
                                                             based on 40 CFR
                                                        ennnaUn8 PSD permits.
                                                    purpose of § S2^l(w) is »o
                                           quickly adjust permits granted under an
                                           erroneous interpretation of the bw to
                                           ?JL T 'l^dards of the Alabama
                                           orn^H "S?"1?- n° Procedures are
                                           provided for those decisions. They
                                           simply will be granted or denied by the

                                                                    ^
            .   ese drafts, whether in
 permit or notice form, are processed the
 wme wany draft permit prepared
 under S 324.6. They are accompanied by
 • statement of basis (§ 124.7) or a fact
 sheet (1 124JJ. based on the
administrative record (| 324.9), subject
to public notice
 modification actions will berare.
 Although EPA agrees that consultation
 may be advisable in many cases, there
 may be other cases where it is nit
 advisable. Accordingly, the comment
 has not been accepted.
         .  Draft permits.  •

   »J,1J A num,ber of commenters objected
   to the use of draft permits. These
   commenters would perfer to comment
   on the permit application before the
   agency takes a .tentative position
   mstead °,f afler such a position has been
   taken and prepared in the form of a
   draft permit These commenters feel that
   preparing a draft permit creates the
   impression that the agency already has
  prejudged the case. EPA disagrees with
  th,s view. A draft permit functions 3
  as a tentative decision on the issuance^
  m°,!lCation. revocation and reissuance/
  or termination of a permit It is a mere
  proposal,  subject to change based upon
  comments received during the public
  comment (including the public hearing)
  penod. Moreover, there is a major
  advantage to the public in commenting
  on ine oraft permit rather than on the
  apphcation.alone. Comments on the
  application are-invariably restricted to
  the content of the application, reflecting
 only the apphcanfs analysis and policy
 choices. The draft permit, on the other
 hand, embodies the tentative views and
 analysis of the decisionmaker who the
 comments are. ultimately, designed to
 influence. Therefore, comments on a
 draft permit can be written in a more
 tocused and informed way.
  (2) This section also has been
amended to make clear that the
standard permit provisions of Part 122
do not apply to PSD permits.
S 124.7  Statement of basis.
! 124.8 Fact sheet.
                              and
beside; OTelermi^brSedT8
request permit modification, revocation
and reissuance. or termination. EPA
                                      tkoT'.u* j*-""3 reJected comments urging
                                      that the discussion requirements in both
                                      these sections be expanded. As
                                      explained in the preamble to EPA's
                                      rmal NPDES Regulations (see 44 FR
                                      32881 (June 7.1979,). the statenSnTof

-------
                Federal Register / Vol. 45J No. 98 / Monday. May 19. igso / Rules and Regulation*
               ^,^^^___^^_
    basis is supposed to be a brief summary
    that meets minimum requirements. If the
    Director needs to provide more detail.
.    he or she always may prepare a fact
    sheet, which is more comprehensive
    than a statement of basis.  ~
      (2) EPA also has rejected comments
    urging that the statement of basis
  '  requirement be eliminated for UIC
   permits for das* n wells. Preparing a
   statement of basis should not be
 •  burdensome even for individual wells,
 •  and the burden under the UIC program
   will be eliminated for injections
   authorized by rule (5122J7) and
   reduced for injections within area
   permits (512136).
     (3) Commenters suggested that EPA '
   define "major permits" more precisely.
   Though this would be desirable, the
   comment cannot be accepted now. Such
   a definition is  a function both  of EPA's  -
   knowledge of the impact of  the pollution
   involved and of its resources to address
   this aspect of permit issuance. Both are
   too uncertain right now to justify
••  departing from the present approach of
   year-by-year designation of "major"
   permits,.which is described  in  $ 122,3,

   S 1243  Administrative record for draft
  permits when EPA is the permitting  ,
  authority.        .   .

    (1) Several,commenters urged EPA to
  include supporting as well as
  nonsupporting  documents in the
  administrative  record. Because the
 • documents for draft permits  under this
  section will generally comprise most of
  the material in  the final administrative
  record. EPA agrees that the record    . '
  should include  both kinds of documents.
;. Fact sheets (and. to the extent
  discussion is needed, statements of
  basis) also should be objective
  statements of the issues faced by EPA
  and should cite documents on both sides
  of controversial issues. No change has
.  been made because the existing text is
  consistent with this interpretation.
    (2) Another commenter suggested that
  all material in the administrative record
  be stamped with the date of submission.
  This approach, or a variation of it, might
  be advisable in some cases (or for some
  documents). However, right now EPA
 does not know enough about  handling
  these administrative records  to specify a
 particular approach on questions of
 detail in this regulation.

 5 124.20  Public notice of permit actions
 ana public comment period.  •
   (1) Several cbmmenters. stated that
 this section sounded as if public
 hearings could not be scheduled when a -
 permit  is issued  and would only be held
 in response to requests received during
 the public comment period. The
   commenters assumed, and EPA agrees.
   that hearings often will be scheduled at
   the same time the public notice is
   issued. A sentence has been added to
   S 124.10(a) to make this clear.
    (2) One commenter questioned the
   provision forgiving notice of 404 permit:
   action to adjacent property owners.
   arguing that the identity of such owners
   in some cases, might be very hard to
  .determine. Although EPA believes such
   cases will be rare, the language has
   been changed to require notice to be
   given to "any reasonably ascertainable"
   property owner.        .        .
    (3) Another commenter objected to the
   "comment" in the proposal that gave the
   Director the discretion to use press
   releases as a method of public notice.
   Although EPA eliminatsd-that
   "comment," the Agency recognizes that
   the  use of press releases for public '
  notice is both customary and often
  essential for any organization that
  wants to communicate with the public.
 ,  . (4) Finally, one commenter objected to
  the inclusion under J 124.10(d) of a
  "summary of major conditions" in the
  notice of draft permits. It argued that
  this would either lead to long notices or
  to litigation for failure to provide an
  adequate "summary."
    EPA agrees and  has eliminated
'  summaries from the public notice
  requirements. Not only would
  summaries result in long public notices.  '
  they would also  impose an increased
  burden on the Director by requiring the
  preparation of an additional document.
  Since summaries repeat essentially the
  same information contained in the
: permit application, draft permit and
  statement of basis or fact sheet EPA
  has decided to require copies of the
  latter documents to be sent to certain
  persons instead. This requirement would
  spare Directors from an additional
  burden without sacrificing public
 participation. Other interested persons
 may request copies of these documents.
  1124.12  Public hearings.
   Several commenters argued that the
 ground for granting a hearing—
 "significant degree of public interest--
 was vague, and that it did not take
 account of the permit applicant's
 interest (or. someone else's interest) in
 using the hearing to explore issues
 further.     .
   EPA has not changed this
 requirement. One of the purposes of
having  a public hearing is to respond to
public interest, which is hot subject to
precise measurement EPA, however,
has added a second ground for holding a
public hearing which allows the Director
to hold  a public hearing at his or her
discretion.
     Since a public hearing is not required
   by any of the statutes covered by this
   Part.*EPA does not believe that a
   refusal to hold a hearing by itself.
   should ever lead to invalidation of a   *
   permit. The question on judicial review.
   should be whether the record EPA
   generated adequately supports the
   decisions involved, not whether some
   other record might have been better.
    L Adjudicatory hearings or public
  hearings. In the preamble to the
  proposed regulations. EPA stated its
  opinion that a formal evidentiary
  hearing under § 554 of the
  Administrative Procedure Act  (APA) is
  not required for issuance of RCRA. UIC,
  or PSD permits. Supporting reasons
  were given. See 44 FR 34264^65. (June
  14.1979)
    This  conclusion proved          ' '
•  uncontroversial where the UIC and PSD
  programs were concerned. EPA did not
  receive any comments challenging its
  conclusion that formal hearings were
  not required for PSD permits, and
  received only one dissenting comment
  as to UIC permits.•
    The question,of the proper procedures
  for RCRA permits, however, proved to
  be the single most controversial issue in
  Part 124, Several major industrial groups
  argued that formal hearings were
  required. Others were equally forceful in
  their arguments that no such hearing
  was mandated and that the procedures
  proposed by EPA- were more elaborate
  than justified. Because of its importance
  this issue will be discussed in detail.
 A. Arguments in Favor of a Formal
 Hearing           ,

   (1) Due Process Arguments. Some
 commenters urged that due process
 required a formal APA hearing before
 the initial decision on a RCRA permit. It
 is well settled by now,  however, that the
 requirements of due process are flexible,
 and that the procedures used can be
 adapted to the nature of the problem
 being addressed. Vermont Yankee
 Nuclear Power Corp. v. NRDC, 435 U.S.
 517. 524 (1978). Mathewsv. Eldridge. 424
 U.S. 319  (1976), Coss v. Lopez, 419 U.S.

  •Except for th« PSD program, where an ,
 opportunity for • hearing it required by statute. See
 CAAsection 18S(aH2|.EPA believes that this
 requirement should be read in the light of the
 provisions of CAA section 307(d)(8) concerning  .'
procedural errors.     '
  • One commenter argued that because the SDWA
section 1424(b)(2) required a formal hearing for
certain interim permits issued by the Administrator.
Congress must also have intended to impose such
requirements where the statute is silent, as it is in
section 1421. However, as the preamble to the
proposal explained, the normal approach in
statutory construction is the opposite of thai
advocated by the comment. (See 44 FR 34265 (June
14,1979).) Differing language generally indicates
differing meanings, rather than the same meaning.

-------
      33420
                   -   ™"*™™™«^w«
      365 (1975). Although some of the
      commenters on this point cited earlier
      edition, of Professor Davis' Treatise on
      AdannistoatfveLatv. the latest edition of
      ine Treatise strongly favors this flexible
      approach. JC Oetro. Administrative Law
      Treatise. Chs. 10, 12 (2d ed 1979).)
       EPA believes it has fully met
     whatever due process teats may apply. •
     II has provided for notice of what the
     Agency proposes to do, an opportunity
     tochallenge that proposal bojh through
     written comments and at an Informal
     neating, a response to comments and a
     derision based on the administrative
     record.
      It has done all this in the context of
     decisions aimed, not at punishing past
     misconduct in any way, but at
     Implementing an entirely new field of
    regulatory policy. Decisions will be
    based on choices among policy
    approaches; not on judgments of legal
      ml"0": Moreov". the facts at issue
    wil  be the types of technical questions
    ^ii   i, P^8^"' are not particularly '
    well suited to address.

                to the similarity among
                        UM- •  esn
   that due process requires a formal APA
   hearing for RCRA permits certainly
   would lead to the conclusion that such a
   hearing is required, on both the Federal
   and State levels, for PSD and UIC
   permits. This conclusion probably would
   result In a decision that formal hearings
   are required for many other types of  ,
   Slate and Federal land use permits
   currently granted or denied by less
   cumbersome methods.
    (2) The Legislative Intent.  Most
   commenters did not emphasize the due
   P™^!* "Sument Instead, they looked
   lo RCRA Itself, and made two
  arguments; one based on the text of the
  itatuteand one on its legislative history.
    laj The Language of the Statute. No
  commenter denied that the permitting
  •«Hon of RCRA.  section 3005. contafn,
  no wferenca to a "hearing" of any sort
  to connection with the initial grant or
  denial of • permit. Instead. th«T
  eommentera fixed on section 3008 fbl
  which provide, for a "public hearing" on
   *ny order or any suspension or
 revocation of a permit-. -n,ey u^
 *•*  °jder" here has the meaning rivcn
 fc the definitions section of the
 3ttStf*llVe fc0"*"* Act, namely:
  the whole or a part of a final
 disposition,. whether affirmative
 negative. Injunctive. or declaratory in
 form, of an agency in a matter other
 than rulemaking but including
licensing." s U.S.C. { 551(6). U this
argument is accepted, the initial grantinc
y£y$°* of * Iiccnse faU- within the
APA definition of "order" and a formal
                         	•^^^^"•1^™™.^^
     hearing is required But there are three
     problems in accepting this argument
       First it is an extremely strained
     overall reading of the statute. If
     Congress had meant to require a formal
     hearing on the issuance of RCRA
     permits, it would have stated that intent
     in the section specifically concerned
     with permit issuance (section 3005). not
     by inserting it via the back door by the
     use of "order" fa section 3008.
      Indeed, the very sentence in section
    3008 referred to by proponent* of formal
    hearings requires such hearings for the
     •usperision" or "revocation" of a
    permit as well as for any "order." This
    showii that Congress was perfectly
    capable of describing procedures for
    permit action in detail when it chose to,
    rather than leaving such procedures to
    be inferred from the use of the word
     order.  As a matter of sentence
    construction, it casts doubt on whether
    order  can properly be read to include
   permit actions; if it did include permit
   actions,  the reference in the same
   sentence to permit revocations and
   suspensions would be redundant since '
   tney arc just 0.9 znuch "orders** within
   the APA definition as decisions on
   issuance.
     Second, though the term "order" as
   used in this sentence is not explicitly
   defined anywhere in RCRA. its meaning
   as derived from the text of section 3008
   as a whole leads to the conclusion that
   "order" does not have the APA meanino
    Section 3008 i, entitled "FedeSj^
  Enforcement" which in itself leads to
  the inference that the exclusive subject
  matter of that section is enforcement '•
  Subsection 3008{a) is entitled
   Compliance Orders". The three
  references to "orders" in that subsection
  obviously apply only to "compliance
  orders . Similarly, subsection (c) is
  entitled "Requirements of Compliance
  Orders, and the one reference to an
   order in the subsection text obviously
 refers to a compliance order. The
 reference to "order" in the text of
 •ubsection (b) is the fifth and last
 reference to an "order" In the text of
,«ection 3008 as a whole. It is clear that
 the other four references mean only

formal hearings depends on civino this
particular use of the word a con7p!etely
different reading from the other four.
though there is nothing to indicate that
S™*^* readi?g Was mtended. It seems
much more logical to assume that the
drafters of this section simply referred  .
to  Compliance Orders" in subsection
headings, and then used "order"
                    r
                   of reference.
     "rfv  ad°Pt,the APA definition
      order  here would lead to absurd an
     unpractical results. It would requfce a
     formal hearing for all actions under
     order: a definition that is very broad
    and include, much more than simpTe
    permit issuance. It would include, for

    5en?£e' f r"!f l dedsions to «
    deny grants under sections 2004
    «0a 7007 8001 and 8008™ S^
    •       " de8iOM toP««^e   not
                 enrecyded materials or
                 services. under section
           nught also include the denial of a
    petition under section 3001 or section

    • (b) The Legislative History. The

    S™!? Ver3Mn °f RSRA provided tha«
    permits could only be issued or  denied
    after  opportunity for a public hearing."
   The House version contained  no such

   ?oT13lot1; Tie text of lhe final statuf«
   follows the House- version.
     Nevertheless, some commenters
   argued that because Senator Randolph
   who addressed the Senate before final'
   passage and summarized the changes
   made between the Senate and  the final
   version did not refer to dropping  the
   hearing requirement, it must not have
   been dropped.                    .
   •k1??^  £i8 arSument overlooks the fa
   that the final version tracked the H
   bill not the Senate bill Second, the
   House debates are equally free from any
   mention of a change of approach:  Thus
 ' a counter-argument can be made that if'
  the Senate's hearing requirement had
  been inserted, the House would
  certainly have mentioned it Finally, it is
  not at all inconceivable to EPA that, in
  the brief floor debates on the final
 passage of RCRA. any reference to
 permit issuance procedure would simolv
 have been omitted.
 B. Arguments Against Formality
   Other commenters argued that the
 proposed EPA permit procedures which
 provided for a "hybrid" public hearing
 and potential for cross-examination
 were too formal. They also argued that
 fcf A had no legal authority to impose
 procedures more elaborate than
 Congress has explicitly required.
 Although EPA disagrees with this
 argument. EPA has eliminated both the
 hybrid public hearing and the
 opportunity to cross-examine from the
 public hearing stage. As previously
 discussed, there are now only three
 kinds of hearings under Part 124: a
 legislative-type public hearing, an
evidentiary hearing and a non-
adversary panel hearing.

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      EPA recognizes that some RCRA and
    U1C penults may raise issues better
    suited to a more formalized mechanism
    for discussion than that provided by the
    traditional public hearing and has
    amended the final regulations to allow
    the Director to use the "non-adversary
    panel hearing" procedures in Subpart F,
    even if those permits were not
    consolidated with permits requiring a
    panel hearing. No comparable provision
    has been made for PSD permits because
 ,   of the potential for delay.      ,
     A» noted above, RCRA and SDWA do
 ,   not require any hearing before permits
    are issued Accordingly, in providing the
.   Director with a range of choices under
    these regulations. EPA takes the.     ;
    position that no particular form of
    hearing is. required for these permits.
   The Director is given discretion to
   choose the procedures that appear likely
   to result in the best decision under the
   circumstances of the case.

   C. Other Considerations
    • EPA has previously said 'that a formal
   APA hearing it required under section
   3008 for termination of a RCRA permit.
   See 43 FR 34730 (August 4.1978).
 .  Termination of a permit is very likely to
   rest on an "accusatory" determination
   that standards established in the past
   have not been met. rather than on a
   Judgment of what the goals of the statute
   require by way of control requirements.
   which is likely to be the case for initial
   permit decisions.
    EPA previously had proposed
  procedures for terminating RCRA
  permits as part of EPA's consolidated
  rules for assessing dvil penalties and
  revoking or suspending permits. See 43
 FR 34730 (Aug. 4.1978).» EPA has now
 decided that these procedures should
 Instead be consolidated With the formal
 hearings In Part 124 for NPDES permits.
 This will provide a greater measure of  ^
 procedural consolidation among     <
 different EPA permit programs than the
 approach originally proposed. In
 addition, th* NPDES procedures are
 somewhat better adapted than the
 others  to handle complicated factual
 records of the sort that may wejl be
 Involved in a RCRA permit termination.
 As the preamble to Part 122 states, these
 procedures also apply when "interim
 status" is terminated for failure to
 furnish information necessary to make a
 final decision.
   EPA believes that RCRA permit
 modifications under 5 122.15 and
 revocation and reissuance (which
 amounts in effect to a modification)
 .should be handled by the procedures
   used for permit issuance, rather than
   those used for permit termination.
   Although the statute is not explicit on
   this point-the only reference to
   "modification" is in section 3005 and riot
   in section 3008.     ,       .
     In addition, the general scheme of the
   statute is to provide for regulatory •
   activities (where no hearing is required)
   in section 3005 and activities of a purely
   enforcement nature (where a formal
   hearing is required) in section 3008.
   Thus, section 3005 allows the complete
   denial of a RCRA permit resulting in
   •ite closing.' without any statutory
   hearing requirement Section 3008. on
   the other hand, is entitled "Federal
  ' Erifofceiaenr and covers criminal and
   dvil penalties as well as permit-actions.
   The permit actions covered are
   "suspension" and "revocation;" both of
   which describe the complete removal of
  . • permit
    Against this background. EPA
  believes that changes in regulatory
  requirements which do not result in
  removal of the permit should be handled
  under section 3005 procedures instead of
  •ection 3008 procedures. The dedsion
  will not involve judgments of wrong-
  doing and punishment for which section
  3008 was designed; rather it will involve
  imposing the regulatory requirements
  best adapted to carry out the statutory.
  intent for which section 3005 was
i  designed.        •           '

   For these reasons EPA has rejected
  comments arguing that any permit
  modification was in effect a
  "revocation" of the superseded
  conditions and therefore liad to be
  subject to section 3008. Section 3008   *
  speaks in terms of "revocation" and
  "suspension" of whole permits, not of
 Individual conditions. EPA interprets
 this to refer to the permit as a whole,
• namely the authorization  to operate. A
 contrary conclusion would lead to the  '
 result that even permit modifications
 which make the permit more lenient
 must be  treated u "revocations" under
 the statute, since the conditions which
 were no  longer binding would, after all,
 have been "revoked"
 i 124.33  Obligation to raise issues and
provide information daring the public
comment period,     '
 , (1) Many commenters argued'thatlt''
would be impossible to provide all the
information and arguments this section
calls for within 30 days if a permit were
controversial or complicated, EPA
agrees. The 30 days is intended to be the
minimum comment period for all
permits. This section has been changed
to state that longer comment periods
   should be freely established in
   complicated cases.1*          .
     (2) Other commenters urged that this
   section be amended to limit the extent
   to which points must be raised and
   information provided during the public
   comment period.
     These comments have been rejected.
   As applied to the NPDES program, the
   reasons for rejecting these comments
   are set forth in the preamble to EPA's
   final NPDES regulations. 44 FR 32884-65
   (June 7,1979). It would be illogical to
   accept this comment with respect to
   RCRA. UIC. or PSD permits because the
   public comment on draft RCRA. UIC. or
   PSD permits is the exdusive mechanism
   for gathering facts and arguments
   relating to such draft permits. The later
   stages are appellate in nature and new
   issues should not be  raised on appeal.

   § 124.15  Issuance and effective date of
  permit.         ,                   •

    (1) Several commenters pointed out
  that the provision which makes a permit
  effective 30 days after its issuance
  would leave the facility without a valid
  permit during that period This potential
  problem would be aggravated, so the
  argument goes-, by the provision
  allowing the Regional Administrator to  .
  extend beyond 30 days the date on
  which the permit became effective.
  _EPA has not accepted this comment. If
  the permit in question is a renewal
  permit under { 122J. the original permit
  remains In effect until it is superseded.
  in whole or in part, by a new permit. S«e
  also 5 124.60. A new permit may become
  effective immediately where no adverse
  comments are received. Any delay is a
 necessary part of a party's right-to
 request an evidentary hearing.   '
   (2) This section has  been changed to
 eliminate the possibility, noted in some
 comments, that an NPDES permit might
 become "effective" after 30 days, and '
 then become "ineffective" upon the
 granting of a request for evidentary
 hearing.

 $124.16 Stays of contested permit
 conditions.  ,
  (1) One commenter urged that this
provision be amended to allow stays
while requests for further proceedings
were pending. The way the "effective
date" of the permit is handled under
section 124.15 accomplishes this result
automatically.'

  11 One commenter argued that the provision in
proposed 1124.11(1) for •minimum 30 day notice of
« public hearing conflicted with the requirement in
«p CFR12U for • minimum 45 day notice period.
However. 1122.1(e) provides that these regulations

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      33312
       (2) Several commenters argued
     •gainst ihe provision in proposed
     1324.IB(fa) for stays based on cross-
   •  effects. But becauss no commenter
     offered any alternative way to deal with
     the problems at which the section is
     aimed, the provision remainm
     unchanged.
       I3J Other commenters urged that
 •    ?^SLU tp^odarly permit! for new
     facOlHej) should not be stayed pending
     Agency appeal proceedings. This
     comment has not been accepted for the
     reasons Hated In the final NPDES
     regdaHoni, See 44 fR 32883-32884 {June
     7.1979).
      fa addition, under 5 U.S.C 1704. If the
    permit h not stayed, it become*
   • Judldallyxeviewable immediately. This  •
    result makes little sense if an appeal
    within the Agency is pending, since both
    Wie court and the Agency would be
    reviewing the same permit
    simultaneously. However, in cases
    where an evidentiary hearing is granted •
    on an NPDES permit for on RCRA or
    UIC permit conditions which are
    associated with an NPDES permit). EPA
    to recognition of the time it takes to
    conduct these hearings, has provided a
   mechanism (i 124.60) by which the
   Presiding Officer at the hearing can
   authorize operations to begin before the
   date of final agency action if certain
   conditions are met These conditions are
   Based on those normally required for
   Issuance of a preliminary injunction.
   i 124.17 Resporaa to comment*, '
     One commenter attacked the
  !^m^1 fa *" "eomnent" In proposed
  iU?»*(no W™*of the "Stations)
  thatEPA could document its response to
  comments by adding new material to the
  administrative record. The commenter
  argued that this would violata tha
  •Uudards set out in Portland Cement

  MID £ SS2S
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Federal
   preconstructian review program, the
   time for considering PSD issues will not
   be the same as the time for considering
   issues involving other permits. They also
   argued that EPA has made the
   procedures for issuing PSD permits more
 .  complicated and time-consuming,
   leading to confusion in the allocation of
  -increment*.               ,
    EPA has not accepted these
   comments. First PSD does not differ
   from the other programs included in this
   Part in being a preconstruction
   requirement As explained earlier, EPA's
   position is that new HWM facilities.
 • NPDES new sources and underground
   injection wells also must have their.
   permit fa hand before construction can
   begin. Inclusion of PSD, therefore.
   should not strata permit processing  '
   schedules.            ,       ' . '  .
    Second, the procedures for issuing a
  PSD  permit by itself have not been made
  more complicated. The only significant
  change (S 124.19) and the only one .
  stressed in comments, is the provision of
  a formal opportunity to appeal a PSD
  permit to the Administrator. Such
  appeals are already made (usually at
  industry's inititative) and considered.
  even though the.rules do not provide for
  them.
    Some new procedures have been
  added to enable a single proceeding to
  handle more than one permit. As
  explained fa detail above, although this
  may slow down issuance of the first
  permit it is very likely to produce better
  decisions and to speed up issuance of
  the last permit thereby reducing delay
  in reaching the actual on-line date for
  the facility.
   EPA has no reason  to expect
 therefore, that including PSD in the
 consolidated permit regulations will
 make any great difference fa the EPA-
 administered PSD permit program. It
 follows that EPA has no reason to
 expect any adverse effect on processing
 of permit applications and allocating
 increments on a first-fa, first-out basis.

 B. Changes Made to Better Incorporate    .
 the PSD Program -
   Although the PSD program Is still part
 of these regulations. EPA has made a
 •considerable number of changes to
 accommodate it The major changes
 follow:        '       ..
   1. Proposed § 124.41 established
 special procedures for permitting "small
 sources." The Alabama Power decision
 in effect has eliminated that category of
 sources from mandatory PSD coverage.
.and so the section as proposed has been
 dropped.        .
   2. Proposed S 124.41 has been changed
 to clarify the status of a State agency to
 which EPA has delegated or may
                            No. 98 /Monday. May 19.  1S8O / Rules and Regulations    - 33«3
  delegate authority to administer these
  regulations: (Although regulatory
  authority for State delegations is
  presently found in 40 CFR S 52^1 (v). this
  provision may be changed as a result of
  the pending amendments to the PSD
  regulations.) For the purposes otPart
  124. a delegate State stands fa the shoes
  of the Regional Administrator. Like the
  Regional Administrator, the delegate    .
  must follow the procedural requirements
  of Part 124. Any person aggrieved by a
  PSD permit issued by a delegate may
  appeal to the Administrator under
  1124.19. Delegation under S 52£l(v) (or
  any successor provision) is distinct from
  transfer of the PSD program to a State
  by revisions to a State implementation
  plan under CAA sect ion 110. A permit
  issued by a "delegate iii still an"EPA-
  issued permit"; a permit issued by a    .
  transferee State is a "State-issued
  permit" Part 124 does not apply to
  State-issued PSD permits. See f 124.1(d).
   3. Proposed 5:124.41 contains
  definitions designed to clarify the
  relationship between Part 124 and the
  PSD program, and to help ensure that
  portions of Part 122 are not
  inadvertently mads, applicable to PSD.
   4. Section 165(d)(2) (C) and (D) of the
 dean Air Act and 40 CFR S 5Z21(q)
 provide a complicated series of
 variances and exemptions which may be
 applied to the PSD permit for a source
 that will affect a Class 1  area. Section
 124.42 relates these provisions to the
 Part 124 procedures, it provides that
 permit condition! that EPA may grant or
 deny must like any other permit
 condition, be requested and documented
 before the close of the public comment
 period. Permit provisions which follow   •
 from a decision by the Governor of the
 State in question, or by the President
 will be made outside the framework of.
 Part 124 and automatically reflected in
 the permit
  5. Section 124.74 has been amended so
 that issues concerning a PSD permit may
 never be consolidated with a formal
 evidentiary hearing under Subpart E,  '
 though they may continue to be    •
 consolidated fa non-adversary panel
 hearings under Subpart F. EPA accepted
 comments which argued that the
 potential for exceeding the one-year
 deadline under Subpart E proceedings
 was too great to risk.
  6. As noted above, changes to better
 incorporate the PSD program have been
 made fa § § 124.3,124.5 and 124.6.
  7. In addition to these changes,
 complementary changes will be made to
40 CFR S 52^1 to clarify its relationship
with Part 124. In particular. EPA expects
to repeal § 52^1(r), which has been     '•
supplanted by this Part, and to insert
                                                                appropriate cross-references to this Part
                                                                in §52^1.
                                                                C. Other

                                                                 1. A number of commenters argued
                                                                that the provision in section 307(d) of
                                                                the Clean Air Act allowing 60 days to
                                                                seek judicial review of a PSD permi t
                                                                should be reflected in the effective date
                                                                of permits issued under these
                                                                regulations. EPA has not accepted this
                                                                comment Accepting it would result in
                                                                an automatic 60 day delay of the
                                                                effective date of every permit, even
                                                                those that were uncontroversial;
                                                               Although the Administrative Procedure
                                                               Act 5 U.S.C. S 704, forbids making a
                                                             :  permit effective before judicial review is
                                                               available, judicial review of a PSD
                                                               permit could come at any time between
                                                               the date of final agency action and the
                                                               closing of the section 307(d) period.
                                                                 2. In the preamble to the prbpos.il,
                                                               EPA stated its position on whether
                                                               "threshold" determinations that a »ivr»n
                                                               source would have to apply for a PSD
                                                               permit should be regarded as final
                                                               agency action.,EPA has changed thai
                                                               position. Instead, the Agency supports
                                                               the policy, announced in the September
                                                               1,1979. Memorandum from the Assistant
                                                               Administrator for Enforcement and the
                                                               General Counsel in Federal Register
                                                               Publication of Significant Final Activity
                                                               under Title I of the Clean Air Act, that
                                                               requires PSD applicability determination
                                                               to be published in the Federal Register
                                                               as final agency actions. Because of Ihn
                                                               consequences of applicability
                                                               determinations for a source (for
                                                               example, the triggering of a one-year
                                                               monitoring requirement under CAA
                                                               section 165(e)(2)) and the infrequency of
                                                               factual questions. EPA has decided that
                                                               for reasons of fairness and efficiency
                                                               these determinations Should be treated
                                                               as final agency action,

                                                               Subpart D—Specific Procedures
                                                              Applicable to NPDES Permits
                                                                Many of the comment on this Subpiiri
                                                              and Subparts E and F essentially
                                                              repeated points made during the
                                                              rulemaking on EPA's NPDES program
                                                              revisions. Those comments were
                                                              addressed fa the preamble to the final
                                                              regulations, issued June 7.1979,44 FR
                                                              32854. and cross-references to that
                                                              preamble are included here.
                                                              5 124.53  State certification.
                                                                Comments received here questionuiJ
                                                              both the requirement for States to  .',
                                                              supply a complete certification within 60
                                                              days, and the statement that conditions
                                                              properly certificated would be   ."
                                                              automatically accepted in almost all
                                                              cases. However, no new arguments
                                                              were raised, so the reasons given for

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  33414
  Jhess provisions in the June 7
  regulations remain applicable. 44 FR
  32980.

  \124JSS Fact sheets.

  ,,AjJew, Paragraph has been added to
  tWi section listing what must be
  induded in the fact sheet. If a permit
  Includes any of three types of
  rendition*, the fact sheet must include
 an explanation of how those condition*
~were developed. (Section 124.8 also
 requires that a fact sheet, rather than a
•J^f1.?111 of ^^ ** s been rejected.
    13J Ona commenter attacked the
  *"lnvM? "^"^S Permit conditions

  appealed through the procedures of the"
  Corps and not through EPA procedures.
  This comment has been rejected for the
  reasons stated in the final NPDES
  regulations. Sea 44 /H 32881 (June 7.
                  •	_.—.,
      the proceedings is finished, the statutory
      preconditions to permit issuance have
      not been met Even after an initial
      decision by an Administrative Law
   •   Judge or the Regional Administrator. S
      U.S.C. S 704 requires a permit to be
      stayed if judicial review is to be
      avoided. Since it makes little sense to
     judicially review a permit that is  '
     undergoing Agency review. EPA. instead
     of staying the control requirements fa
     the permit stays the status of having a
     permit and treats the new source or new
     discharger as being without a permit
     pending final Agency action.
      EPA. however, has amended
     S 124.60(a) to give the Presiding Officer
    at an evidentiary hearing the power to
    authorize .the source to commence
    operations before final agency action  if
    the source complies with all the
    conditions of the contested permit The
   • Presiding Officer may issue such, an
    order if the source requests and if no
    party objects. If a party objects, the
    order cannot be issued unless the source
    can meet the requirements listed in
    i 124.60(a)(2}.
     (2) One commenter asserted that
   although § I24.60{d) would prevent the
   lapse of an NPDES permit that was
   being reissued at the expiration of its
     r^.?°uld npl Prevent the Idpse of
   an NPDES permit which  was being
   modified or revoked and reissued. This
   does not correspond  to EPA's
   Interpretation. In revocation and
   reissuance. the existing permit is
   revoked simultaneously with the
   establishment of the new permit
   conditions, leaving no gap uncovered by
  a permit Similarly, when a permit is
  modified, the conditions change, but
  there is no interruption of the permit's
  coverage.
                                                                                   1124.63  Special procedures for
                                                                                                       watefs ander
                                                                                            fma,! "S'toton* EPA has
   subi
      i-	™uic procedural optioi
   as other types of variance decisions.
   • inis section and § 124.111 have been
   revised to eliminate the requirement that
 . 30l(h) variances be automatically  .
   processed through a panel hearing.
   independent of other pending permit
   actions. Giving the Regional
   Administrator discretion on the
   procedures to use and whether to
  consolidate 301(h) decisions with other
  decisions on the same permit should
  result in decisions that can be made
  more efficiently and economically.

  \124.68  Special procedures for
  decisions on thermal variances.

   One commenter urged that other types
  of variances should be made subject to
  the early decision" provisions of this
 section. The comment pointed out that
 m these cases a decision o^riance
 conditions might be necessary to allow
 States to make a decision. EPA believes,
 however,  that only variances of
 extraordinary importance (e g section
 316(aJ) should be afforded this type of
 fragmented procedure, and therefore has
 not enlarged the "early decision"
 provision.

 Subpart E-Evldentiary Hearing for
 EPA-l««ued NPDES Permits and EPA-
Terminated BCRA Permits
   (I) Commenters again objected to the
 ^revision that an NPDES permit to a
 f 1W x%!ckarScr or °ew source would not
 take effect until final Agency action. As
 stated in the June preamble. EPA
 •"•'"""•* ^at such a position is enur,
         J as a matter of law. 44 FR
     i that permits can only be issued
     *InS an opportunity for a "public
^j^'  Couita aave interpreted this   .
provision to meana formal hearing
liu*. until ihe fcnnal hearing ™*
  S 121.62 Decisions on, variances.

   Several commenters opposed the
 provision fa this section allowing EPA to
 retain jurisdiction over certain variances
 even fa a State which had been
 approved to administer the basic NPDES
 program. However, as the June preamble
 exp ained. these provisions reflect the
 explicit language and intent of the
 CWA. 44 FR 32882-63.

 1124.64 Appeals of variances.

   A number of commenters objected to
 ?f,!?!1!",1 forth m this secu°ri and
  !• ??    Stays of Pennit conditions
 subject to requests for section SOlfel
 variances. This provision, however!
 simply reflects the explicit language of
section 30IUK2J of the CWA.     '
                                                                           1 124.71  Applicability.

                                                                             One commenter questioned the
                                                                           statement in EPA's prior preambles that
                                                                           evidentiary hearings would not be held
                                                                           on general permits. 43 FR 37087- 44 AH
                                                                                 -         a  atug  flPP»cat
                                                                           for an individual permit, followed by
                                                                           individual proceedings on that permit.
                                                                           might be the best way to handle
                                                                           discharger-specific problems with a
                                                                           general permit, an evidentiary hearino
                                                                           should be available for chall7ng"?o the
                                                                           conditions of the permit fa their general
                                                                           application.
                                                                            EPA disagrees. As the preamble to the
                                                                          proposal stated, general permits are.
                                                                          functionally rules. Evidentiary hearings
                                                                          today are almost never required before
                                                                          issuing such rules, and it is EPA's
                                                                          conclusion that Congress did not intend
                                                                          them in this context either. The notice
                                                                          fnl ^ma^ Procedures provided here.
                                                                          together with the opportunity for judicial
                                                                          review, afford interested persons ample
                                                                          procedural protection. However, if the
                                                                          Regional Administrator decides to        ^^
                                                                          employ a more formal mechanism.       «|l

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    .'..'•      Friend Register / VoL 4S. No. 98 /  Monday. May 19. igab / Rules
    Subpart F panel hearings are available
    for this purpose.
      EPA has added a sentence stating that
    termination and suspension of RCRA
    permits are governed.by this Subpart  •

    5 124.74,  Requests for evidentiary
    hearing.                    •

      (1) Some commenters questioned the
    consequences of raising  both legal and
    factual issues in a request for an
    evidentiary hearing. This section allows
    the submission of requests for
  .  evidentiary hearings even though both
    legal and factual issues.may be raised.
    or only legal issues may be raised. In the
    latter case, because no factual issues
    Were raised, the Regional Administrator
    would be required to deny the request
    However, on review of the denial, the
    Administrator is authorized by
    §124.9i(a)(l) ip review policy or legal   ,
    conclusions of.the Regional
    Administrator. EPA is requiring an  •
    appeal to the Administrator even of
    purely legal issues involved in a permit
    decision to ensure that the
   Administrator will have an opportunity
   to review any permit before it becomes
   final and subject to judicial review.
    (2) One commenter suggested that
   only persons who had commented on
   the draft permit should be allowed to
   request an evidentiary hearing on that
   permit   •

 ,   • EPA believes that persons should'
   make as much of their case as possible  •
   during the notice and comment period
   before moving to an evidentiary hearing, '
  but believes this comment goes further
  than appears hecessary. '  •        '  •>.
    Section 124.78 provides that generally
  speaking, the material and argument for
  an evidentiary hearing must have been
  presented during the notice and
  comment stage. Given this restriction.
  little benefit would result from
  restricting the participants at the hearing
  to those who took part at the preceding
  stages.                       • •  •*
    (3) Other commenters contended that
  the provision requiring the requester to
  produce documents  and witnesses was
  tpo broad. This provision is no broader
  than the Agency subpoena power for
  which it substitutes. See 44 FR 32884.
,  S 124.7S Decision on request for a
 hearing.              :

 _ One commenter suggested that a time
 limit should be imposed on the Regional
 Administrator for either granting or
 denying a request for an evidentiary
 hearing. EPA has accepted this comment
 and has imposed a 30-day time limit for
 the granting or denying of an evidentiary
 hearing request
    S -124.78  Obligation to submit evidence
   and raise issues before a final permit is
   issued.  •'•'•:':

     A number of commenters thought this
   provision was too restrictive. Because
   no significant new points were raised.
   EPA continues to adhere to the position
   articulated in the final NPDES revision.
   See 44 fTt 32884-32885. However. EPA
   does wish to emphasize the value of the
   good cause provision. This provision
   functions as a safety valve to prevent
   1124J8 from being as restrictive as
   feared by the commenters. Good cause
   allows the Presiding Officer to exercise
   his or her discretion to admit issues and
   evidence not raised during the public
   comment period or-at any public	
   hearing. What is "good cause" will vary
   from case to case. Although suggestions
   of what can constitute good cause are
   included in the regulation itself, this list
   is not exhaustive. The provision has
   been slightly redrafted to clarify that
  point These standards should be
  applied differently depending upon the
  procedural setting. When deciding
  whether to grant or deny a request for a
  hearing, the Regional Administrator
  should apply these standards in a
  relatively unrestrictive manner. Request
  should be rejected only if they are
  frivolous or clearly without merit After
  a hearing has been granted and an
  Administrative Law Judge begins to
  structure the proceedings/he or she
  should apply those standards strictly in
  conformity with the principle of
  developing the record as much as
  possible during the notice and  comment
  stage*.
 1124,78  Ex parte communications.
   (1) One commenter objected to the
 statement that appearance as a witness
 is not automatically the same as the
 performance of "investigative or
 prosecuting functions" so as to invoke
, the ex parte rule. This, however, is the
 conclusion of Professor Davis, with
 which EPA concurs and which it has
 adopted. K.Davis. Administrative Law
 Treatise, $11.17 (1958).
  (2) Another commenter questioned
 why witnesses from EPA were not
 automatically subject to the "ex parte
rule," while witnesses from outside the
Agency were. The answer is that
different legal tests apply  to the two
classes of witnesses. Witnesses from
within EPA are subject only to the
"separation of functions" provisions of
the EPA if they have performed
"investigative or prosecuting" functions.
See 5 U.S.C. S 554(d).
  However, the "ex parte provisions."
added to the APA by the Government in
the Sunshine Act 90 Stat 1241 et seq^
    apply to all contacts with any
    ^interested person outside the Agency."
    See 5 U.S.C. section 544(d). The
    legislative history is clear that this
    definition includes any person whose
    interest in the case is greater than the
    interest of an ordinary member of the
    public. H.R. Rep, Nol 94-880. 94th. Cong.

   354. 94th. Cong, 1st Ses's. at 38*(19%).
   S 124.03  Prehearing Conference.

     (1) One commenter argued, without
   supporting reasons, that the discovery
   provisions in this section were illegal
   However, the Administrative
   Conference of the United Sta tes has
   recommended that all Agencies,
   including those lacking formal subpoena
   authority adopt "discovery" procedures.
   The report accompanying
   Recommendation No. 21 asserts fhat
   such procedures would be legal.
   Tomlinson. "Report of the Committee on
   Compliance and Enforcement
 .  Proceedings in support .of  '  .
   Recommendation No. 21,"
   Recommendation and Reports of the
  Administrative Conference of the
   United Stales. Vol 1. 577.583.
   • (2) This sarae.commenter urged that
  discovery be safeguarded against abuse.
  Any request for discovery is explicitly
.  made subject by 5 l24.83(cK5). to the
  approval of the Presiding Officer.
  Accordingly, no change in the proposed
  regulation is necessary.
    (3) Another commenter asked whether
  furnishing the names of witnesses under
  S 124jB3(d) meant only the names of
 direct testimony witnesses. EPA agrees
  that as a practical matter, such a limit
 will probably be set But the Presiding
 Officer, in an appropriate case, could
 schedule, a second conference to deal
 with rebuttal submissions. See
 §124.83(a),      .

 1124.84  Summary determination.
   (a) One commenter urged that motions
 for summary determination should stay
 the hearing. This is not the practice in
 Federal District Courts with respect to
 motions for summary judgment, and the
 comment has not been accepted. (A
 similar suggestion regarding •
 interlocutory appeals under § 124.90 has
 also been rejected.)                    •
   (2) EPA has accepted another
 commenter's suggestion that this
 provision be amended to include
 language patterned on Rule 5S(f) of the
 Federal Rules of Civil Procedure.
 S  124.85 Hearing procedure. •  •
   (1) Several commenters questioned
EPA's conclusion that the burden of
persuasion for permit issuance always
rests with the permit applicant The only

-------
      33418
 newpofat however, was that it made
 little sense to allocate the burden of
 persuasion differently from the burden
 ofgoing forward, since a party not
 saving the burden of persuasion, but
having the burden ofgoing forward.
might hold back information
                     If this argumenl
                     be no need for
               - — —  »«•»•»»» wt UIVUJ,
    «w ouroen ofgoing forward could
    .alway. be derived from the burden of
    persuasion. However, not only ire both
    concept, wefl established; it li settled
    that th« question of who ha. the better
  . «cces, to Jnformatfon affects the burden
    f.f going forward far more easily than
    the burden of persuasion, and i. often
    not dispositive- even where the burden
    of going forward is concerned. See
   McCormick. Handbook on the Low of
   Egdence. at 675 (1954J. See also.
   wigmore. Treatise on the Law of
   Evidence. § 2488.
     (2) One commenter objected to the
 '  «^Vli,  n ln, 5 124-8S(b)(I4) for hearing
   opposing witnesses simultaneously or
   for asking them to confer outside the
  hearing. It claimed that this would
  h^6/1,8" •dve*»rv hearing into a
    ^7T8 *e"lon or a "ientific forum.
    EPA disagrees with the apparent
  premise of this comment that hearing
  procedures should be chosen tolreserve
  • ftrf —....-.»t  •            •*»• »w f**caCtTQ
  »na protect adversary conduct Hearing

  produce the most accurate and °8en to
• whP^"'^f record for decision.
 When a complicated technical matter i,
 under discussion, there may be real
 value in having the experts from all
 sides listening to each other and
 responding to or answering individual.
 points. It is EPA'. experienVSkt

 jf3££S^Jffi~

 SCemnen?«dnHefthodolo8y «#«"«• «f
 unduly restrictive. One commenter
 suggested that this provision should be
 changed to allow Agency emplovees to
 be questioned on the basis for an
 Agency action relating to contested
 provision, in a final  permit EPA agrees
 that cross-examination may be prober
•on questions of policy to the extent
required to disclose the factual basiS for
permit requirement,  and j 124.85(b]fl6»
ha. been revised accordingly

 *^£S^1^***
                                                                                  § 12*89  Decisions.
                                                                                                      pr°P°sal
                                                                                                     of Administ
                                     	— —»*w «* vcucubc under
                                     { 124.85(dH2). The reasons for this
                                     approach were explained in the June
                                     preamble at 44 at 32885. The only new
                                     argument raised was that such
                                     introduction could, be prejudicial
                                     However. In NPDES proceedings'there'is
                                     no jury to prejudice. Accordingly, the
                                     likelihood of prejudice in this less
                                     restrictive approach appears minimal..
                                     and it seems unlikely to outweigh the
                                     benefits of having the administrate
                                     record available.  •
                                      (5J Another commenter objected to the
                                    requirement that a request for a witnesm
                                    to sponsor the administrative record  on
                                    a showing meet a "legitmate doubt" test
                                    as welU. the standard, for cross.
                                    examination.
                                     EPA partially agrees with this
                                    comment and has deleted the
                                     legitimate doubt" test The
                                    *"     *—"  • rsenrrf     U
                                             ---ay introduced in writing.
                                           iponsoring witness may be
                                                                                                             na
                                                                                              1 Admini*trator when
                                                                                              Pu "nit con<««°nS are
                                                                                  concerned has been deleted as causme
                                                                                  unnecessary procedural complexity
                                                                                  Instead, the ALJ's decision regard^
                                                                                  these permit conditions will be sffi ct
                                                                                  to appeal to the Administrator like anv
                                                                                       ecision after M ^"
                                                                                          Interlocutory appeal.
                                                                                     ww      ™7 appeal stated in
                                                                                 9 I24.90(a)f3) was unnecessary and that
                                                                                 the function of screening out
                                                                                       3
                                                                                                             in
                                                                                  (2) This commenter a!3o challenged
                                                                                the provision in section 124:90fd) that
                                                                                interlocutory relief is extraordinary
                                                                                relief. This provision has been retained
                                                                                to ensure that interlocutory appeals do
                                                                                not Decome an administrative burden
                                                                                8 i7lIverPrOVision in this Action and
                                                                                ik  r-   Ior,n2andatory consultation of
                                                                                Uie General Counsel on matters of law
                                                                                has been deleted. Of course, the
                                                                               «f IH
                                                                               •till
                                        	.».™ direct Accordingly, there is
                                        no need for an additional "legi ima™
                                        •d°ubt  tot EPA believe, that the

                                        SSSSf °/.?1§ I"' to included in ** •
 roh
 request tns witnesses to discuss th»
 matter informally; not to bS "•
 consensus solution, but simphTto clarifv
  ff Ir '"""Paon.. Both appr^cheT^
                  ,
       ^°?M fo ^^^y lwue»
course of theh- own professional
Activities, and there seems no reason to
5"rrthelr "« «taply because a lega°
        decn   on *«* cl«fflef"oii.
                                   ih, ~           8 cross^xamination.
                                   tnat cross^xamination would be likely
                                   to clanfy or resolve a relevant disputed
                                   Issue of material fact See
                                   |124.85{d)[10J.

                                  sectio?^n,te'!i "l80 argued thatthi>
                                  S?•£  taCt€d "O'^xamination too
                                  rtZZ Tho" comments have been
                                  rejected for the reasons stated in the
                                  June 7 preamble. See 44/H'32886.
                                   rin   i re('u/renient contained in the
                                       "105 *"" ifction and 5 124.129
                                            , could only be settled with
                                        	— ~v-^«aCJ's Office on such
                                    matters, and request them to draft
                                    portions of the final decision to the
                                    ex ent that the persons consulted are
                                    not part of the trial staff designated  '
                                    under 9 124.78.

                                    8 1Z4-91. APPeal to the Administrator.
                                     One commenter on this section asked
                                    that a provision be included for stays of
                                   final agency action. No such provision
                                   has been included because EPA believes
                                   questions concerning such stays are bpst
                                   addressed ease-by-case.

                                   Subpart F-Nofiadv«nwry Panel
                                   Procedures)
                                      1124.83  Motions.
                                                - -rr	! the provision of
                                      ««» acuuon allowing new regulatory
                                      r^uirements to be made ap?licabhT
                                      They have not been accepted for the
                                                                             &      I2mnient8 were received on this
                                                                             « TA" ?owey?r' no new points were
                                                                             made that wodd necessitate revision of
                                                                             the discussion in the June 14. 1979
                                                                             preamble at 44 FR 32887-32891
                                                                              A major feature of these procedures is
                                                                             the merging of the notice-and-comment
                                                                             procedures under Subpart A and the    .
                                                                             hearing under Subpart E into one
                                                                            proceeding. Accordingly. EPA b
                                                                            *%$*& benefit of ^e3e Pro
                                                                            will be felt only if they are used
                                                                            beginning with the draft permit
                                                                              However, cases may arise in which it
                                                                                ma
                                                                            SnAar
                                                                            Subpart A proceedings, that use of this

-------
                Federal Regfctef / VOL  45. No. 98 / Monday. May 19. 1980 / Rules and
                                                                                                              33417
   Subparf might be advisable:
   Accordingly, changes have been made •
   to 5§ 124.15.124.74.124.75. and various
   provisions of this Subpart to make it
   easier to switch a permit into this
   Subpart in cases where it was not
   placed under this Subpart from the
   beginning.

   5124.111 Applicability.   .
    This section has been changed to
   darity that, though EPA consider!
   variances and modifications to be
   eligible for-Initial licensing"
   procedure!, these procedures should not
   be used where they would result in
   duplicate hearings being held by EPA on
   the tame permit This could happen
   when a permit was being renewed and a
   variance application was-made at the
   same time. The variance standing alone
   would be eligible for processing under
   Subpart F. while the other permit terms
   would be subject to an evidentiary
  hearing under Subpart E.
    In such a case Subpart P could still be
  used if all parties agreed. However.
  without such agreement the variance
  proceedings should be consolidated
  with the evidentiary hearing under
  Subpart E,
    This principle applies to 301(h)
  variances as well as other types of
  variances.
                     \
•\ 124.118  Submission of written
  comments an draft permit
  , One conunenter argued that thi»
  provision violated the APA by failing to
  provide for rebuttal testimony.-Rebuttal
  rights, however.-are adequately
.  conferred in f } 124.120 and 124.121.
  \ 124.119  Presiding officer.
   This section has been amended to  :
 make clear that the Chief          •
 Administrative Law Judge has no
 obligation tq assign an Administrative
 Law Judge to preside at hearings not
 subject-by statute to the formal hearing
 requirements of the Administrative,
 Procedures Act when to do so would
 impair his or her ability to staff hearings
.that are subject to those requirements.
   This section also has been amended
 to give the Presiding Officer greater
 control over the scheduling of the panel
 hearing. Fpr example, if new evidence
 comes in. or if the evidence .takes longer
 than expected to analyze, the Presiding
 Officer will be able to reschedule the
 start of the hearing or to recess it for a
 time after it has started.

•1124.128  Final decision.   .
   One conunenter took the title of this
section as the occasion to ask when the
final permit was issued in proceedings
under this Part            -   .  «
     It is EPA's position that the final
   permit is issued at the same time'as the
   final "decision" described in this
   section.            ;

   Appendix—Guide to Dedslonmaking
   Under Part 124
     During the public comment period on
   the proposed Consolidated Regulations.
   the American Petroleum Institute (API)
   submitted their version of a flow chart
   of the Part 124 Procedures for
   DedsionmaJcing. It was seven feet long.
   dearly, the API flow chart exaggerated
   the complexity of these regulations. To
   give the reader a better and more
   accurate  understanding of how Part 124
   works. EPA has attached its flow chart
  of these procedures aa an Appendix to
  Part 124.  ••.';...'•

  PART 125—CRITERIA AND
'  STANDARDSFORTHE NATIONAL
  POLLUTANT DISCHARGE
  ELIMINATION SYSTEM

    This rulemaldng contains a series of
v revisions  and technical amendments to
  Part 125, Criteria arid Standards for the
  National Pollutant Discharge
  Elimination System, The technical
  amendments correct cross-references to
  40 CFR Parts 122.123 and 124, rendered
  incorrect  due to publication of the
  consolidated permit regulations where .
  the NPDES regulations previously
  appeared. Two cross-references have
  been corrected in 1125.104{cL which i»
  part of Subpart K. the Best Management
  Practice* (BMP) regulation. The effective
  date for Subpart K has been deferred
  until completion of the technical
 guidance document for the BMP
 program. See 44 FR 47083 (Aug. 10.19791
 «nd 45 FR 17997 (March 20.1960). In
 addition. I125J has been revised. These
. revisions were proposed along with the
 draft consolidated application forms in
 the June 14.1979 Federal Register (44 FR
 34393L

 Subpart A—Criteria and Standards for
 Tecfcnology-8*Md Treatment
 Requirements Under Sections 301(b)
 and 402 of the Act                '

   § 12S4(c)(4>—This section allows
permit limits to be written in terms of
toxicity to a particular species. This
regulation was proposed in Part DJ of
the June 14.1979 Federal Register (44 FR
34393). Only minor wording changes '•'.
have been made from the proposal A
detailed discussion of comments
received oh this regulation appears
elsewhere in today's Federal Register, in
the preamble to the public notice of the
consolidated application form.
   5125.3(g)—This section authorizes the
Director to  use indicator pollutants to
   control toxic pollutants and hazardous
   substances by setting limits on
   indicators as if the indicator? were toxic
   or hazardous. Limits on indicators (for
   toxic pollutants and for hazardous
   substances) which are conventional
   pollutants may be set at a level more
   stringent than the best conventional
   pollution control  technology (BCT); and
   limits on indicators (for toxic pollutants
   only) which are nonconventibnal
  pollutants may be set at a level which is
  not subject to economic or water-quality
  modifications under section 301 (c) or (g)
  of CWA. The Director must show that
  the indicator provides control equivalent
  to a direct limitation of the toxic
  pollutant or hazardous substance and
  that a direct limitation is technically or
  economically infeasible.
    This section, insofar as It  applies to
  toxic pollutants, was proposed  in Part in
  of the June 14.1979 Federal Register (44
  FR 34393). and a proposal to extend it to
  include hazardous substances was
  published on August 29.1979 (44 FR
  50780). A detailed discussion of the new
  section and the comments received on
  these proposals appears elsewhere in
  today's Federal Register, in the
  preamble to the public notice of the
  consolidated application form. One
  change baa been made from the
  proposal- the safeguards against
  inappropriate use of indicators have
  been strengthened by adding a '
 prohibition against setting more
 stringent limits on indicators where the
 permittee would be prevented from  ,  • >
 using a method of treatment which
 would assure compliance with a direct
 limitation on a toxic pollutant or
 hazardous substance.
   Notav—The Environmental Protection
 Agency has-determined that this document
 does not constitute a major regulation
 requiring preparation of an economic impact
 statement under Executive Order 12044. In
 accordance with Executive Order 12O44. EPA
 will review the effectiveness and continued
 need for the provisions contained in these
 regulations no more than 5 yean after
 promulgation. As part of this evaluation we
 will consider comments from the public.
 permit applicants. Region*! and State permit
 writers, and other affected parties with
 regard to the financial and administrative
 costs incurred as a result of these regulations.  .
 and ways in which these costs can be
 reduced..

   As explained in the, portion of the
 preamble discussing § § 122J6 and
 122.45, EPA by this  notice is inviting
 comment on all requirements  for Class
 IV wells. Such comments must be
received by July 15.1980. Submit
 comments to: Alan Levin. Director. State  '
Program Division (Wrt-550). Office of
Drinking Water, Environmental

-------
   Projection Agency. Washington. D.C

     EPA Is also scheduling a hearing in
   Washington. D.C. on Tuesday. July a,
   I960. The hearing will be held at the
   HEW Auditorium. 330 Independence
   iVf«f'W^ Washin8ton. D.C. and will
   MI mm a sun. to 5 p.nu unles.
   concluded earlier.  pm~mue9S
   ,Af^rJ5^5.re»!?I«u«>n« «• J««ed
Subpart C-Addttlonal Requirement* for
unB«r9round Injection Control Programs
Under th* Safe Drinking Water Act
Sec*
                                                 Application for a permit
                                                h«'ri»«onbyP«n
                                                 Anjaptrmiu.
      1.40 CFR is amended by revisina
    Port. 122.123 and 124 to read « Blow*

             -EPA ADMINISTERED
                                                EjlabU^tagUiC permit condJHow.
                                               ,
                                          -    orrecv« action.
                                       122.45  Requirement, for wells injcclinn
                                          harardoui waste.
   ELIMINATION SYSTEM; THE
   HAZARDOUS WASTE PERMIT

   S5SS5S AND ™E UNDERGROUND
   INJECTION CONTROL PROGRAM
                                                1-:i«tten«'R«<»"'r«n«fltafof
                                         National PoJIutant Discharge Elimination
                                         Syttem Proarama Under tn« Cl«an Watar
                                         122J1
                                         122.52
Sec. .
  SS  S33KS1 »
  2Sf  Application for a permit.
  IS
                                            operaUonm.
                                         12ZSS  Conc»ntr«ted aquatic «nim«l
                                            production facjlitlet.
                                               A^u«™j"u« project..
                                                           icwen.
                                            General permil»,
 ias ?chedul"l.w..
 laz-iT1*?11" of monTloring re»ulu>
 W13 £'  *7tUoM«W« Fedora! law.
 iS ?    :f-->M«lt
 122.15 X
    r«U*i         	

 £v  I       0<*V«aU*
 Si  K       •^«tion, of permiu.
 ta«  *«      Jane* and program
-,*>£*?     'J>« Director:^
322,18  C      aUalityofmformatlon,
                                                         Ion. applicable to

                                                         lion, applicable to
                                          " pi"r.T.i~k"s'"»^t?f NPDES permiu.
                                           &abinning NPDES permit
                                        conditions
                                     122JS3 Calculating NPDES permit
                                        conoiuoM.
                                     122AI Duration of certain NPDES permiu.
                                        «,K»I?P°*'1 ^P0""""" into well.. ta,0
                                        publlclv .mm^i hutment work, or by
                      .
               "onorravocatloaand
                                                   on.
                                           New Muree. and new discharger*.
                                    Appendix A to Part 12S-NPDES Primary"
                                        Indtuhy Categories       """ary
                                    ApP^bcB to P«t I2Z-NPDES Criteria for
                                        g«|«ainfag a Concentrated Animal
                                        Feeding Operation (i 122J4L
                                                               iteria for
                                                            rae
                                           nal Production Facility (Jia
                                      Appendix D to Part 12Z-NPDES PernUt

                                                 0™
       AppUcation for a permit
12223  Interim .tatui.
                                     Authority: Retource Conwrvation and
                                                     . i 6901 et °eq;
•,,w'
33225 Content, of PartB of the RCRA
   P*rait application.        ^^
      Permiu by rule.
                                           ADe,fInltI
                                               uirements
                                                                                                ous Waste
                                                                                     as amended by the Resource
                                                                                 m>er?!!La? <""! Recovery Act ofl9T6
                                                                                (iii) The National P0llutant Discharge
                                                                               limina      stem
                                                                               (v) The Prevention of Significant
                                                                                                   section IBS of
                                                                                                   as -"ended.
                                      (2) For the RCRA. UIC. and NPDES

                                   SAS'-S"" rcg^atlons c°ver basic
                                   tPA perau ting reqmrementa (Part 122).
                                   what a Sta e must do to obtain approval
                                   to operate its program in lieu of a
                                   Federal program and minimum
                                   requirements for administering the
                                  'nSSfT*1 Srate >»««"«» (Part 123),
                                   procedure, for EPA processing of pc
                                   apphcations and appeals (Part 124). Fo?
                                   "1B,454 Program,  these regulations
                                   todude only the requirements which
                                  must be met for a State to administer its
                                  own program in lieu of the U.S. Am y
                                  Corps of Engineers in "State regulated
                                  "/'?"• ,and Provisions for EPA vetoes
                                  of State Issued 4O4 permits. For the PSD
                                  program, these regulations cover only
                                  procedures for EPA processing of PSD
                                  permits in Part 124.
                                    (b) Structure. (I) Coverage of Parts.
                                  These ^consolidated permit regulations
                                  are incorporated into three Parts of Title
                                                .n
                                            2. Thi. Part contain.
                                 definitione for all of the programs except
                                 PSD. It aliro contains basic permitting '
                                      eUf<
                                 permit conditions, and -monitoring and
                                 reporting requirements.
                                   («) Port J23. This Part describes what

                                 S&1w.fiffl^A.'5.w41.
                               * programs. It also sets forth the minimum
                                 requirements for administering these
                                 P6.™;1 Programs after approval.
                                  fiL/^^™8.Part«tablisheSthe
                                                   isuance of RCRA,
      Interim permits for UIC welU.
                                               tSSSHSSSA.

-------
              Federal Register / Vol. 45. No. 98  / Monday. May 19. 198O / Rules and Regulations      33419
   (2) Subparts. Parts 122.123. and 124
 are each organized into subparts. Each
 Part has a general Subpart A which
 contains requirements that apply to all
 the programs covered by that Part.
 Additional subparts supplement these
 general provisions with requirements
-which apply to one or more specified
 programs. In case of any inconsistency
 between Subpart A and any program-
 specific subpart. the program-specific.
 subpart is controlling.
   (3)  Certain requirements set forth to  .
 Parts 122 and 124 are made applicable to
 approved State programs, including
 State 404 programs, by reference In Part
 123. These references are set forth in
•| 123.7. If a section or paragraph of Parts
 122 or 124 is applicable to States.
 through reference in S 123.7. that fact it
                                        signaled by this following words at the
                                        end of the section or paragraph heading:
                                        f applicable to State programs, see
                                        S 123.7). If these words are absent, the
                                        section (or paragraph) applies only to
                                        EPA-administered permits.
                                          (4) The structure and coverage of
                                        these regulations by program is   •
                                        indicated La the following chart. A
                                        permit applicant or permittee that is
                                        interested in finding out about, only one
                                        of the programs covered by these
                                        regulations can use this chart to
                                        determine which regulations to read. If a
                                        State is the permitting authority, the
                                        applicant or permittee should read the
                                        State laws and program regulations
                                        which implement the requirements of
                                        Part. 123 for the relevant program. .
                            Part 122
                                              Ptrt1»
                                                                Part 124
 PSO
                      Sutxarit A tna C.
                      Sucx*fttt,imo_
                                       Sotwrtt A »n F.
SuOpartA.
Sueptra A. C. and F.
   (c) Relation to other requirements. (1)
 Consolidated permit application forms.
 Applicants for EPA-issued RCRA Part
 A. UIC, NPDES. or PSD permits and
• persons seeking interim status under
 RCRA must submit their applications on
 EPA's consolidated permit application
 forms when available. (There will be no
 form for RCRA Part B applications and
 therefore no EPA application form is
 used. See 9 122.25.) These forms, like
 these consolidated regulations, contain
 a general form covering all programs ,
 plus several program-specific forms.
 Although application forms have been
 consolidated, they, like permits, have
 been coordinated without losing their
 separate legal identities. There is no
 "consolidated permit" Each permit and
 application under a program is a
 separate document Most of the
 information requested on these
 application forms (other than Form 5 for
 PSD) is required by these regulations.
 The essential information required in
 the general form (Form 1) is listed in
 S 122.4. The additional information
 required for. RCRA Part A applications
 (Form 3) is listed in S 12124. for UIC
 applications (Form 4) in § 122.37. and for
 NPDES applications (Forms 2a-d) in
 S 122.53. Applicants for State-issued .
 permits must use State forms which
 must require at a tninitni^ the
 information listed in these sections. All
 minimum information requirements for,
 State 404 permit applications appear la
 §123.94.
   (2) Technical regulations. The five
 permit programs' which are covered in
                                       these consolidated permit regulations
                                       each have separate additional
                                       regulations that contain technical
                                       requirements for those programs. These
                                       separate regulations are used by permit-
                                       issuing authorities to determine what
                                       requirements must be placed in permits
                                       if they are issued. These separate
                                       regulations are located as follows:
                                       ROM	 40 CFB PM> MO-2M.
                                       WC	40 CFR P*1 141.
                                       N*OES— 40 CFRPara 12S, l». 133. 130.
                                              40 CFW SubcMpWr N (PlfW 4OO-460).
                                       404_:	 40 CFR PM ZX.
                                      .PSO	 40CFKPMU.

                                         (d) Authority. The consolidation of
                                       these permit programs into one set of
                                       regulations is authorized by sections
                                       101(f) and SOlfa) of CWA. sections 1006
                                       and 2002 of RCRA. section 1450 of the
                                       SOW A. and section 301 of the CAA.
                                         (e) Public participation. This rule
                                       establishes the requirements for public
                                       participation in EPA and State permit
                                       issuance,  enforcement and related
                                       variance proceedings: and in the
                                       approval of State RCRA, UIC. NPDES.
                                       and 404 programs. These requirements
                                       carry out the purposes of the public
                                       participation requirements of 40 CFR
                                       Part 25 (Public Participation), and
                                       supersede the requirements of that Part
                                       as they apply to actions covered under
                                       Parts 122.123. and 124.
                                        (f) State authorities. Nothing in Parts
                                      • 122.123, or 124 precludes more stringent
                                       State regulation of any activity covered
                                       by these regulations, whether or not
                                       under an approved State program,
                                       except as  provided for the RCRA
                                       program in J 123.33 (requirement that
  State RCRA programs under final
  authorization be consistent with the
  Federal program and other State
  programs).  •                     '   '
  §12Z2  PurpoM and scop* of Part 122,
    (a) Subpart A of Part 122 contains
•  definitions (S 122.3) and basic permitting
  requirements (§ S 122.4 through 122.19).
.  Definitions axe given for the RCRA, UIC,
  NPDES. and State 4O4 programs.
  Definitions for EPA processing of PSD
  permits are in Part 124,-Subpart C The
  permitting requirements apply to EPA
  administered RCRA, UIC; and NPDES
 .programs. (Permit program requirements
  for the Federal 404 program
  administered by the Corps of Engineers
  do not appear in these regulations but
  are found'in 33 CFR Parts 320-327.) In
  addition, the permitting requirements
  apply to State-administered RCRA. UIC.
  NPDES, and 404 programs to the extent
  specified, by cross-reference in 5 123.7.
    (b) Subparts B. C, and A contain
  additional requirements for RCRA, UIC
  and NPDES permitting, respectively.
 They apply to EPA. and to approved
 States to the extent specified by cross-'
 reference in 5123.7.
 §122J  Definition*.
   The following definitions apply to
 Parts 122.123. and 124. except Part 124
 coverage of the PSD program (see
 1124.2). Terms not defined in this
 section have the meaning given.by'the
 appropriate Act When a defined term
 appears in a definition, the defined term
 is sometimes placed within quotation
 marks .as an aid to readers. When a
 definition applies primarily to one or
 more programs, those programs appear
 in parentheses after the defined term.
   Acidizing (UIC) means the injection of
 acid through the borehole or ''well" into
 a "formation" to increase permeability
 and porosity by dissolving the acid-
 soluble portion of the rock constituents.'
   Administrator means the   -  ,
 Administrator of the United States
 Environmental Protection Agency, or an
 authorized representative:
   Applicable standards and limitations
 (NPDES) means all State, interstate, and
 Federal standards and limitations to
 which a "discharge" or a related activity
 is subject under the CWA. including
 "effluent limitations." water quality
 standards, standards of performance.
.toxic effluent standards or prohibitions,
 "best management practices," and
 pretreatment standards under sections
 301. 302. 303. 304. 306. 307, 308. 403. and
 405ofCWA.
   Application means the EPA standard •
 national forms for applying for a permit
 including any additions, revisions or
 modifications to the forms; or forms
 approved by EPA for use in "approved.
 States." including any approved

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     33420
Federal  Register / Vol. 45.  No. 98 / Monday. May 19. 1980  / Rules and Regulations
   modifications or revisions. For RCRA.
   application also includes the
   Information required by the Director
   tinder {122^25 [contents of Part B of the
   RCRA application).
    Appropriate Act and regulations
   means the Clean Water Act (CWA): the
   Solid Waste Disposal Act, as amended
   by the Resource Conservation and
   Recovery Act (RCRA): or Safe Drinking.
 • Water Act (SD WA). whichever is
   applicable: and applicable regulations
  promulgated under those statutes. In the
  casa of an "approved State program"
.  appropriate Act and regulations
  Include* State program requirements.
    Approved program or approved State
  means a Slate or interstate program
  which has been approved or authorized
  by EPA under Part 123.
    Aquifer (RCRA and UICJ means a
  geological "formation." group of
  formations, or part of a formation that is
  capable of yielding a significant amount
 of water to a well or spring.
   Area ofreviw (UIC) means the area
 surrounding an "infection  well"
 described according to the criteria set
 forth In S 148.06.
 nA^n?ly discharge limitation
 (NPDES) means the highest allowable  •
 average of "daily discharges" over a
 C? « jar Dlonlh' calculated as the sum
 of all daily discharges measured during
•calendar month divided by the number
of daily discharges measured during that
month..
.K^^?6 wefMy discharge limitation
(NPDES) means the highest allowable
average of "daily discharges" over a
cf)I"ld«r week, calculated as the sum of
all daily discharges measured during a
ca endar week divided by the number of
daily discharges measured during that
      *
    &?*tnjana8*inent practices ("BMPs")
  (NPDES and 404) means schedules of
  activities, prohibitions of practices,
  maintenance procedurea. and other
  management practices to prevent or
  reduce the pollution of "waters of the
  United States," For NPDES, BMPs also
  Include treatment requirements,
  operating procedures, and practices to
 control plant site runoff, spillage or
 leaks, sludge or waste disposal or
 drainage from raw material storage. For
    1 1?4 Pros™™«. BMPs also Include
 methods, measures, practices, or design
 and performance standards, which
 facilitate compliance with section
 *OJ(bXlJ environmental guidelines (40
 CFR Part 230). effluent limitations or
 prohibitions under section 307(a). and
    ™M       uay «anars.
  •BMP* (NPDES and 4O4) means "best
management practices."
  Closure (RCRA) means the act of
•ecunng a "Hazardous Waste
                          Management facility" pursuant to the
                         •requirements of 40 CFR Part 264.
                           Contaminant (UIC) means any  :
                         physical, chemical biological, or
                         radiological substance or matter in
                         water.
                           Contiguous zone (NPDES) means the
                         entire zone established by the United
                         States under Article 24 of the
                         Convention on the Territorial Sea and
                         the Contiguous Zone.
                           Continuous discharge (NPDES) means
                         « discharge" which occurs without
                         Interruption throughout the operating
                         hours of the facility, except for
                         Infrequent shutdowns for maintenance,
                         process changes, or other similar
                         activities.
                          CWA means the Clean Wa ter Act
                         (formerly referred to as the Federal
                         Water Pollution Control Act or Federal
                         Water Pollution Control'Act
                         Amendments of 1972) Pub. L 92-500, as
                        amended by Pub. L. 95-217 and Pub. L
                        95-576; 33 U.S.C. S 1251 et seq.
                        t.J?°'lyd'schar8e (NPDS) means the
                         discharge of a pollutant" meansured  '
                        during a calendar day or any 24-hour
                        period that reasonably represents the
                        calendar day for purposes of sampling.
                        For pollutants with limitations
                        expressed in units of mass, the "daily
                        discharge" is calculated as the total
                        mass of the pollutant discharged over
                        the day. For pollutants with limitations
                        expressed in other units of
                        measurement, the "daily discharge" is
                        calculated as the average measurement
                       of the pollutant over the day.
                         Direct discharge (NPDES) means the
                        discharge of a pollutant"
                         'Director meant the Regional
                       Administrator or the State Director, as
                       the context requires, or an authorized
                       representative. When there is no
                        approved State program." and there is
                       an EPA administered program.
                       "Director" means the Regional
                       Administrator. When there is an
                       approved State program. "Director"
                       normally means the State Director. In
                       some circumstances, however. EPA
                      retains the authority to take certain
                      actions even when there is an approved
                      State program. (For example, when EPA
                      has issued an NPDES permit prior to the
                      approval of a State program, EPA may
                      retain jurisdiction over that permit after
                      program approval: see § 123.71.) In such
                      cases, the term "Director" means the
                      Regional Administrator and not the
                      State Director.
                        Discharge (NPDES) when used
                      without qualification means the
                      "discharge of a pollutant" .
                        Discharge of a pollutant (NPDES1
                      means:                         .  .
                        (a)(l) Any addition of any "pollutant"
                      or combination of pollutants to "waters
                                                                                  of the United States
                                                                                  source."
           'or
                       ' from any "poii
                                                                                   'U*w«i«  WA         ,          >  MB^Hlk
                                                                                    (2) Any addition of any pollutanlHD
                                                                                   ifnninatinn r\f **/*])..*	»_ *_ .L   ^JIH£
      »-,. ~.j ouujuuu ui any pollutant!
    combination of pollutants to the wa
    of the "contiguous zone" or the ocean
    ——-~  «-»».«»«5uwuo Auue or uie ocei
    from any point source other than a
    vessel or other floating craft which is
      £?•£?. .,aV means of transportation.
      (bj This definition includes additions
    of pollutants into waters of the United
    states from: surface runoff which is
    collected or channelled by man:
    discharges through pipes, sewers, or
    other conveyances owned by a State.
    municipality, or other person which do
    not lead to a treatment works: and
    discharges through pipes, sewers, or
 •   other conveyances leading into privately
    owned treatment works.
     This term does not include an addition
   of pollutants b}r any "indirect
  , discharger."
  .   Discharge Monitoring'Report
   ("DMR") (NPDES) means the EPA
   uniform national form, including any *
   subsequent additions, revisions, or
   modifications, for the reporting of self-
  monitoring results by permitees. DMRs
  must be used by "approved States" as
  well as by EPA. EPA will supply DMRs
  to any  approved State upon request.The
  EPA national forms may be modified to
  substitute the State Agency name.
  address, logo, and other similar
  information, as appropriate, in p
  EPA's.   •                    .
    Discharge of dredged material (404
 .means any addition from any "point
  source" of "dredged material" into
  "waters of the United States." The term
  Includes the addition of dredged
  material into waters of the United States
  and the runoff or overflow from a
  contained land or water dredged
 material disposal area. Discharges of
 pollutants into waters of the United
 States resulting from the subsequent
 onshore processing of dredged material
 are not included within this term and
 are subject to the NPDES program even
 though the extraction and deposit of
 .such material may also require a permit
 from the Corps of Engineers or the State
. section 404 program.
 -Discharge of fill material (404) means
 the addition from any "point source" of
 "fill material" into "waters of the United
 States." The term includes the following
 activities In waters of the United-States:
 placement of fill that is necessary for the
 construction of any structure: the
 building of any structure or
impoundment requiring rock, sand, dirti
or other materials for its construction;
site-development fills for recreational,
industrial, commercial, residential, and
other uses: causeways or road fills;
dams and dikes: artificial islands:
property protection and/or reclamatic

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                                    ft.        .       '         I          .1 »           ' :  " •         '

                Federal Register / VoL 45. No. 98  / Monday.  May ,19. 1980 /  Rules and Regulations
                                                                        33421
   devices such as riprap, groins, seawalls.
   breakwaters, and revetments; beach
   nourishment; levees: fill for structures
   such as sewage treatment facilities.
   intake and outfall pipes associated with
   power plants and subaqueous utility
   lines: and artificial reefs.          '
   , Disposal (RCRA) means the
   discharge, deposit, injection, dumping.
   •pilling, leaking, or placing of any
   ."hazardous waste" into or on any land
   or water so that such hazardous waste
   or any constituent thereof may enter the
   environment or be emitted into the air or
   discharged into any waters, including
   ground water.
    Disposal facility (RCRA) means a
   facility or part of a facility at which
   "hazardous waste" is intentionally
   placed into or on the land or water, and
   at which  hazardous waste will remain
   after closure..'
   ' Disposal site (404) means that portion
  of the "waters of the United States"
  enclosed  within fixed boundaries
  consisting of a bottom surface area and
  any overlaying volume of water. In the
  case of "wetland" on which water is not
 , present the disposal site consists of the
  wetland surface area. Fixed boundaries
  may consist of fixed geographic point(s)
  and associated dimensions, or of «
  discharge point a.nd specific associated
  dimensions.             •           .
 .  DMR (NPDES) means "Discharge    .
  Monitoring Report"
   Draft permit means a document
  prepared  under 5 124.6 indicating the
  Director's tentative decision to issue or
  deny, modify, revoke and reissue.
  terminate, or reissue a "permit" A
  notice of intent to terminate a permit
  and a notice of intent to deny a permit
  as discussed in j 124.5, are .types of
  "draft permits." A denial of a request for
  modification, revocation and reissuance. •
  or termination, as discussed in f 124.5. is
  not a "draft permit" A "proposed
  permit" is not a "draft permit".
   Drilling aiud (UlC] means a heavy
  suspension used in drilling an "injection
  well" introduced down the drill pipe
•  and through the drill bit             '
   Dredged material (404) means
  material that is excavated or dredged
 .from "waters of the United States."
   Effluent limitation (NPDES) means
 any restriction imposed by the Director
 on quantities, discharge rates, and
 concentrations of "pollutants" which are
 "discharged" from "point sources" into
 "waters of the United States." the
 waters of the "contiguous zone," or the
 ocean.
   'Effluent limitations guidelines
 (NPDES) means a regulation published  .
 by the Administrator under section
 3Q4(b) of CWA to adopt or revise
 "effluent limitations."
    Effluents (404) means "dredged  .
  material" or "fill material." including
  return flow from confined sites.
    Emergency permit means a RCRA.  „
  UIC. or State 404 "permit" issued in
  accordance with §§ 12237.122.40 or
  123.96. respectively.
    Environmental Protection Agency-
  ("EPA") means the United States
  Environmental Protection Agency..
    EPA means  the United States
  "Environmental Protection Agency."
    Exempted aquifer (UIC) means an
  "aquifer" or its portion that meets the
  criteria in the definition of "underground
  source of drinking water" but which has
  been exempted according to the   .
  procedures in  J122J5(b). >
    Existing HWMfacility (RCRA) means
  a facility which was in operation or for
  which construction had commenced, on
  or before October 21, 1976. Construction
  had commenced if:
    (a) The owner or operator had
  obtained all necessary Federal State.
  and local preconstruction approvals or
  permits: and
   (b)(l) A continuous physical, on-site
•  construction program had begun, or
   (2) The owner or operator had entered
  Into contractual obligations—which
  cannot be cancelled or modified without
 substantial loss—for construction of the
 facility to be completed within a
 reasonable time.

   (Not*—-ThU definition reflects the literal
 language of the statute. However. EPA
 believe* that amendments to RCRA how in
 conference will shortly b« enacted and will
 change the date for determining when a
 facility U an "existing facility" |o one no
 earlier than May of,1980: indications are that
 the conferees are considering October 30.
 1980. Accordingly. EPA encourages every
 owner, or operator of a 'facility which was
 built,or under physical construction as of the
 promulgation date of these regulations to file
 Part A of its permit application so that it can
 be quickly processed for interim status when
 the change in the law takes effect When
 those amendments are enacted. EPA will
amend this definition.]

  Existing infection well (Uiq means
an "Injection well" other than a "new
injectipn well"
  Facility or activity means any "HWM
facility." UIC "injection well." NPDES
"point source."  or State 4O4 dredge or fill
activity, or any  other facility or activity"
(including land  or appurtenances
thereto) that is subject to regulation
under the RCRA. UIC. NPDES. or 404
programs.  .
  Fill material (404)'means any
"pollutant" which replaces portions of
the "waters of the United States" with
dry land or which changes the bottom
elevation of a water body for any
purpose.
    Final authorization (RCRA) means
  approval by EPA of a State .program
  which has met the requirements of
  § 3006(b) of RCRA and the applicable
  requirements of Part 123. Subparts A
  andB. '•                     •
    Fluid (UIC) means any material or
  substance which flows or moves
  whether in a semisolid, liquid, sludge.
  gas. or any other form or state.
    Formation (UIC) means a body of rock
  characterized by a degree of lithologic
  homogeneity which is prevailingly, but
  not necessarily, tabular and is mappable
  on the earth's surface or traceable in the
  subsurface.
    Formation fluid (UIC) means "fluid"
  present in a "formation" under natural
  conditions as opposed  to introduced
  fluids, such as "drilling mud."       .
    General permit (NPDES and 404)
  means an NPDES or 404 "permit"
  authorizing a category of discharges
  under the CWA within a geographical
  area. For NPDES. a general permit
  means a permit issued under § 122.59. •
  For 404. a general permit means  a permit
  issued under § 123.95.
    Generator (RCRA] means any person.
  by site location, whose act or process
  produces "hazardous waste" identified
  or listed in 40 CFR Part 261,
   Ground water (RCRA and UIC) means
  water below the land surface in  a zone
  of saturation.
   Hazardous substance (NPDES) means
4  any substance designated under 40 CFR
  Part 116 pursuant to section 311 of
  CWA.
   Hazardous waste (RCRA and UIC)
  mean's a hazardous waste as defined in
  40 CFR §261.3.
   Hazardous Waste Management
 facility ("HWM facility")  means all
  contiguous land, and structures,  other
 •appurtenances, and improvements on
  the land, used for treating, storing, or
•  disposing of "hazardous waste." A
  facility may consist of several     ;
  "treatment" "storage." or "disposal"
  operational units (for example, one or
  more landfills, surface impoundments,  •
  or combinations of them).
  'HWM facility (RCRA) means  .
  "Hazardous Waste Management *
 facility."                 .
   Indirect discharger (NPDES) means a
 nondomestic "discharger introducing
 "pollutants" to a "publicly owned
  treatment .works."
   Injection well (RCRA and UIC) means
 a "well" into which "fluids" are being
 injected.        '
   Injection zone (UIC) means a
 geological "formation." group of
 formations. Or part of a formation
 receiving fluids through a "well."

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      33422
        In operation (RCRA) means a facility
      which is treating, storing, or disposing of
      "hazardous waste."
       Inlerimauthorization (RCRA) means
      approval by EPA of a State hazardous
      waste program which has met the
     requirements of 5 3006{c) of RCRA and
     applicable requirements of Part 123  •
    , Subpart F.
       Interstate agency means an agency of
     two ornore States established by or
     nnder an agreement or compact
     approved by the Congress, or any other
     agency of two or more States having
     substantial powers or duties pertaining
     to tte control of pollution as determined
    and approved by the Administrator
    under the "appropriate Act and
    regulations."..
    *J£'%2rfac'/'tymean* "y RCRA. UIC
    NPDES. or 404 "facility or activity"
    classified as such by the Regional
    Administrator, of. fa the case of
     approved State programs," the
    Kegional Administrator in conjunction
    With the State Director.
      Manifest (RCRA and Uiq means the
    shipping document originated and
    signed by the "generator" which
    contains the information required bv
    Subpart B of 40 CFR Part 282.
   t\mSX^rnum daily discharge limitation

   ffiylsdr^ehighesi!u°wabie
     Municipality (NPDES) means a city
   town, borough, county, parish, district
   association, or other public body
   created by or under State law and
   having jurisdiction over disposal or
   •ewage. Industrial wastes, or other
   wastes, or an Indian tribe or an
   authorized Indian tribal organization, or
  ««„ 8'jd *nd aPProved management
  agency under section 208 of CWA!
    National Pollutant Discharge
  Elmmotion System means the national
  program for issuing, modifying, revoking
  andreissuinfl.term5ri.tino monitoring
»  SSvf* termii«tln& monitoring
and enforcing permits, and imposing and
enforcing pretreatment requirement.
rfi? ^f"?" ^ f02- W8- and «S of
 r                  -  8- an  «S of
 CWA. The term includes an "approved
 program.
   NmrdbehaiserlttPBESl means any
 building, structure, facility/or
 installation:
   (a){l) From which there is or may be a
 new or additional "discharge of
 pollutants" at a "site" at which on
  f hi W^licl1 ls not a "new source."

"indirect discharge?" whidf^rnmences
discharging into "waters of the United
States.-It also includes any existing
     mobile point source, such as an offshore
     oil drilling ng. seafood processing rig
     seafood processing vessel or aggregate
     plant that begins dischargingatk
     location for which it does not have an
     existing permit
       NeivHWM facility (RCRA) means a
      Hazardous Waste Management  •
     facility which began operation or for
     which construction commenced after
     October 21.1978.
      New injection weJ/fUHQ means a
     "well" which began injection after a UIC
    program for the State applicable to the
    well is approved.
      New source (NPDES) means any
    building, structure, facility, or
    installatiori from which, there is or may .
    be a  discharge of pollutants." the
    construction of which commenced:
      (a) After promulgation of standards of
    performance' under section 308 of CWA
    Wh*,  «* applicable to such source: or
     (b) After proposal of standards of

   308 of CWA which are applicable to  ^
   such source,  but only if the standards
   are promulgated in accordance with
   section 308 within 120 days of their
   proposal
     NPDES means "National Pollutant
   Discharge Elimination System."
     Off-iite (RCRA) means any site which
   Is not  on-site."
     On-site (RCRA) means on the same or
   geographically contiguous property
   which may be divided by public or
   private right(s)-of-way. provided the
   entrance and exit between the
  properties is at a cross-roads
  intersection, and access is by crossing
  as opposed to going along, the righ't(s)- •
  of-way. Noncontiguous properties    .
  owned by the same person but
  connected by a right-of-way which the
  person controls and to which the public
  does not have access, is also-considered
  on-site property.
   Owner or operator means toe owner
  or operator of any "facility or activity-
  subject to regulation under toe RCRA.
  UIC. NPDES. or 4O4 programs.
 ' ffraut means an authorization,
 license, or equivalent control document
  mnlll y,^A " an "aPP«>ved State" to
   5 « ent *• "laments of this Part
 and Parts 123 and 124. "Permit" includes
 RCRA permit by rule" (5 122^6) UIC
 area permit (5 122.39). NPDES or 404
  ge,nfja| Permit" (§§ 122.59 and 123.95).
 and RCRA. UIC. or 404 "emergency
 permit" (55 122^,7.122.40. and 123.98).
 Permit does not include RCRA interim
 status (5 I22JJ3). UIC authorization by
rule (5 12Z37), or any permit which has
not yet been toe subject of final agency
action, such a. a "draft permit" or a
 proposed permit"
     requirements of toe provision.
      Person meags an individual
     association, partnership, corporation.
     municipality. State or Federal agency, or
     an agent or employee thereof.    •
     thf r°Sf 7?PAJ means that phase of
     toe Federal hazardous waste
     management program commencing on
     toe effective date of toe last of toe
    g"°wmf to be initially promulgated: 40
    CFR Parts 122.123. 260. 281.282, 263
    and 265. Promulgation of Phase I refers
    to promulgation of toe regulations
  .  .necessary for Phase I to begin. '
    _ P."aafU (RCRA) means that phase of
    federal hazardous waste management
    program commencing on the effective
    ^ec°futhe flrst SubPart of 40 CFR Part
    ..64. Subparts F through R to be initially
    promulgated Promulgation of Phase II
    refers to promulgation of the regulations
    necessary for Phase II to begin.
     Physical construction (RCRA) means
   excavation, movement of earth, erection
   01 lorms or structures, or similar activitv
   to prepare an "HWM facility" to accept
    'hazardous waste."
     Plugging (UIC) means toe act or
  process of stopping toe flow of water.
  oil. or gas in "formations" penetrated
  a borehole or 'Veil."             &
     Point source (NPDES and 404) meaA
  any discernible, confined, and discrete
  conveyance, including but not limited to
  any pipe, ditch, 'channel, tunnel conduit
  well discrete fissure, container, rolling
  stock, concentrated animal feeding
  operation, vessel or other floating craft
  from which pollutants are or may be
  discharged. This term does not include
  return flows from irrigated agriculture
    Pollutant (NPDES £id 404) means  .
  dredged spoil solid waste, incinerator
  residue, filter backwash, sewage.
  garbage, sewage sludge, munitions,
  chemical wastes, biological materials,
  radioactive materials (except those
  regulated under toe Atomic Energy Act
  of 1954, as amended (42 U.S.C. 5 2011 et
 aeq.)), heat wrecked or discarded
 equipment rock. sand, cellar dirt and
 Industrial municipal and agricultural
 waste discharged into water. It does not
 mean:
  (a) Sewage from vessels: or
  (b) Water, gas, or other material
 which is injected into a well to facilitate
 production of oil or gas. or water
 derived in association with oil and gas
 production and disposed of in a well if
 toe well used either to facilitate
 production or for disposal purposes is

which toe well is located and if toe
State determines that toe injection or

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  'disposal will not result in the
  degradation of ground or surface water
  resources.
    {Note*—Radioactive materials covered by
  the Atomic Energy Act are those
  .encompassed in iti definition of source.
 • byproduct or special nuclear material*.
  Example* of materials not covered include
  tddium and accelerator-produced isotope*.
  See Train v. Colorado Public Interest
  Retearch Croup, lac, 428 U.S. 1 (1876).]
    POTW mean* "publicly owned
  treatment work*."
    Primary industry category (NPDES)
  means any industry category listed in
  the NRDC settlement agreement
  {Natural Reiources Defense Council'et
  al. v. Train. 6 EJLC. 2120 (D.D.C. 1978).
  modified 12 E.R.C. 1833 (DJ3.C. 1979):
  also listed in Appendix A of Part 122.
    Privately owned treatment works.
  {NPDES) means any.device or system
  which is (a) used to treat wastes from
  any facility whose operator is not the
  operator of the treatment works and (b)
  not a "POTW."
    Process wastewater (NPDES) means
  any water.which, during manufacturing
  or processing, comes into direct contact
  with or results from the production of
  use of any raw material, intermediate
  product, finished product, byproduct, or
  waste product
   Proposed permit (NPDES) means a
  State NPDES  "permit" prepared after
  the dose of the public comment period
  (and when applicable, any public
  hearing and administrative appeals)
 which is sent  to EPA for review before
  final issuance by the State. A "proposed
 permit" is hot a "draft permit"
  ^Publicly owned treatment works
 ("POTW") means any device or system
 used in the treatment (including
 recycling and  reclamation) of municipal
 sewage or industrial wastes of a liquid
 nature which is owned by a "State" or
 "municipality." This definition includes
 sewers, pipes, or other conveyances
 only if they convey wastewater to a
 POTW providing treatment
  Radioactive waste (UIC) means any
 waste which contains radioactive
 material in concentrations which exceed
 those listed in 10 CFR Part 20. Appendix
 B. Table H. Column 2. or exceed the
 "Criteria for Identifying and Applying
 Characteristics of Hazardous Waste and
 for Listing Hazardous Waste"'in 40 CFR
 Part 261. whichever is applicable.
  RCRA means the Solid Waste
 Disposal Act as amended by the
 Resource Conservation and Recovery
 Act of 1976 (Pub. L, 94-580. as amended
 by.Pub. L. 95-609.42 U.S.C. § 6901 et
sea.).
  Recommencing discharger (NPDES)
means a source which recommences
discharge after terminating operations.
    Regional Administrator means the
   Regional Administrator of the
   appropriate Regional Office of the,
   Environmental Protection Agency or the
   authorized representative of the
   Regional Administrator.
    Schedule of compliance means a
   schedule of remedial measures included
   in a "permit" including an enforceable
   sequence of interim requirements (for
   example, actions, operations, or,   •   .
 s  milestone events) leading to compliance
   with the "appropriate Act and
   regulationa."
    SDWA means the Safe Drinking
   Water Act (Pub. L. 95-523. as amended
   by Pub. L, 95-1900; 42 U.S.C. I 300f et
  tea.].
    Secondary industry category (NPDES)
  means any industry category .which is
.'  not a "primary industry category."
    Secretary (NPDES and 404) means the
  Secretary of the Army, acting through
  the Chief of Engineers.
  . Section 404 program or State 4O4
 program or 4Ot means an "approved
 Slate program" to regulate the
 "discharge of dredged material" and the
 "discharge of fill material" under section
 404 of the dean Water Act in "State
 regulated waters."
    Sewage from vessels (NPDES) """»nt
 human body wastes and the wastes
 from toilets and other receptacles -
 Intended to receive or retain body
 wastes that are discharged from vessels
 and regulated under section 312 of
 CWA. except that with respect to
 commercial vessels on the Great Lakes
 this term includes graywater. For the
 purposes of this definition, "graywater"
 means galley, bath, and shower water.
   Sewage sludge (NPDES) means the
 solids, residues, and precipitate
 separated from or created in sewage by
 the unit processes of a "publicly owned
 treatment works." "Sewage" as used in
 this definition means any wastes,
 including wastes from humans.
 households, commercial establishments.
 industries, and storm water runoff, that
 are discharged to or otherwise enter a
 publicly owned treatment works.
 .  Site means the land or water area  '
 where any "facility or activity" is
 physically located or conducted.'
 including adjacent land used in
 connection with the facility or activity.
   State means any of the 50 States, the
District of Columbia. Guam, the
Commonwealth of Puerto Rico, the
Virgin Islands, American Samoa, the
Trust Territory of the Pacific Islands
(except in the case of RCRA). and the
Commonwealth Northern Mariana
Islands (except in the case of CWA).
   State Director means the chief
• administrative officer of ariy State or
interstate agency operating an
   "approved program." or the delegated
   representative of the State Director. If
   responsibility is divided among two or
   more State or interstate agencies; "State
   Director" means the chief administrative
   officer of the State or interstate agency
   authorized to perform the particular
   procedure or function to which reference
   is made.
     State/EPA Agreement means an
   agreement between the Regional
   Administrator and the State which
   coordinates EPA and State activities.
   responsibilities and programs including
   those under the RCRA. SDWA. and   '
   CWA programs.
    State regulated waters (404) means
   those "waters of the United States" in
   which the CorpS of Engineers suspends
   the issuance of section 404 permits upon.
   approval of a State's, section 404 permit
   program by the Administrator under
   section 404(h). These waters shall be
   identified in the program description as
   required by § I23.4(h)(l). The Secretary
   shall retain jurisdiction over the
   following waters (see CWA section
  404(gKlJ):
    (a) Waters which are subject to the
  ebb and flow of the tide;
    (b) Waters which are presently used,
  or are susceptible to use in their natural
  condition or by reasonable improvement
  as a means to transport interstate or
  foreign commerce shoreward to their
  ordinary high water mark; and      '.
    (c) "Wetlands" adjacent to waters in
  (a) and (b).
    Storage (RCRA) means the holding "of
  "hazardous waste" for a temporary
  period, at the end of which the
  hazardous waste is treated, disposed, or
  stored elsewhere.   •
   Stratum (plural strata] (UIC) means a
  single sedimentary bed or layer,
  regardless of thickness, that consists of
  generally the same kind of rock
  material.         '
   Total'dissolvedsolids (UIC and
  NPDES) means the total dissolved
  (filterable) solids as  determined by  use
  of the method specified in 40 CPU Part
  138.  ,
   Toxic pollutant (NPDES and 404)
  means any pollutant listed as toxic
 under section 307(a)(l) of CWA.
   Transporter (RCRA) means a person
 engaged in the off-site transportation of
 "hazardous waste" by air; rail, highway
 or water.
   Treatment (RCRA) means any
' method, technique, of process, including
 neutralization, designed to change the
 physical, chemical, or biological
 character or composition of any
 "hazardous waste" so as to neutralize
 such wastes, or so as to recover energy
 or material resources from the waste, or
 so as to render such waste npn-

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      33424
     hazardous, or less hazardous: safer to
     uansport. "tore or dispose oft or
     •amenable for recovery, amenable for
     •torage. or reduced in volume.
     rnW£Tean3 the Und«sround Injection
     P? «  Program under Part C of the
     Safe Drinking Water Act including an
     approved program."

                              mean" •
                                          fe) "Wetlands" adjacent to waters
                                             1
   i ~— "  i (RCRA and UICJ mean, an
   "aquifer" or It. portion:
     («]{*) Which .upplle. drinking water
   for human con»umption; or
     (2) In which the ground water     '
   contain, fewer than JOOOO mg/1 "total
   dl«olved«olids;"and

   -qSfeW^'!hll.n°t*n"eXempted   '
   ^ USDW (RCRA and UIC) means
   underground source of drinking water *
    Variance (NPDES) means any
          im or provision under sections
          J of CWA or under 40£FR Part
   '""\'r~""" j»u'w«-jines"'which allows
   modification to or waiver of the
   generally applicable effluent limitation
   requirements or time deadlines of CWA.
   This Includes provisions which allow
   tne establishment of alternative
   limitation, based on fundamentally
   n«,Cre-!  ,ctors or on 'ectlohs
                            or
    (a) All waters which are currently
  u«4 were used in the pastTorma
  •         to use in interstate or
     Waste treatment systems, including
     treataent ponds or lagoons designed to
     meet the requirements of CWA (other
     than cooling ponds as defined in 40 CFR
     8 499 44/—.1 . !_• L 1           ^v.w* *\
     s IM.IIIIDJ wnicn also meet the criteria

     United States. This exclusion applies "
     only to manmade bodies of water which
     neither were originally created in waters
     of the United States (such as a disposal
     area In wetlands) nor resulted from the
     tapoundment of waters of the United
     states.
       MW/(UIC) means a bored, drilled or
    driven shaft, or a dug hole, whose depth
    i. greater than the largest surface
    dimension.
      Well injection (UIC) means the
    subsurface emplacement of "fluids-
    through a bored, drilled, or driven
     well; or through a dug well, where the
    depth of the dug well is greater than the
    largest surface_dimension.
     WcUojias means those areas that are
    Inundated or saturated by surface or
    ground water at a frequency and
    duration .ufficient to support, and that
   under normal circumstances do support.  .
   a prevalence of vegetation typically
   adapted for life in saturated soil
   condition.. Wetlands generally include
   awamp.. marshes, bogs, and similar
   areas.                ,.
    -ISBSKSSK**-
    SaSSSS*?'
    RCRA permits by rule, or emei4r>nr-<>
    permits. An application for a penrtt
    under-a program is completed*
    Director receives an application form
   JjJjV supplemental information
                                                                                                 -
                                                                                   ,   application which is
                                                                            reviewed under J 124.3 is complete
                                                                            when the Director receives effir a

                                                                            Hsled tee»anPPr ^ 7 the inf
                                                                            listed in a notice of deficiency.
                                                                             Id) Information requirements. All
                                                                            applicants for RCRA. UIC or NPDFS

                                                                                                  "
         '™enW' waters. Including
     sae "wetlands;"         ^
 iL'y OthI._. «L_ *  .1
 could affect Interstate or foreta
                                    intori   i?§ """""Uy authorized with
                                    Interim statu. under RCRA ( J 12Z23) or
                                                   by rule (|       ]
         or foreign traveler, for
recreational or other purpos
                            are or
could be taken and .old in fatemtatebr
Jorei              '
      commerce; or '
  (3) Which are used or could be
          l purposes fcy fa
             erce;
                    of waters
                                                .     i when required by
                                        :. t   ' ferson8 covered by RCRA
                                    Permit, by rule (5122.28). and NPDESor
                                    ^•dischargers covered by general
                                    permits under § 122.59 or 123.97.
                                        (6) A listing of all permits or
                                      construction approvals received or  "
                                      applied for under any of the following
                                       rora
                                                                         programs:
                                                           ' Procedures
                                                 issuance and
                                             ?1 °f emergency permits are
                                      •m* Under SD.WA.
                                       (Hi) NPDES program under CWA
                                       (iv) Prevention of Significant
                                                     program undor l
                       °
ffi ?^t.es.und« thii definiti
lej Tnbutaraes of waters ident
     Ph« riMf) of this de
     eterntorial3ea;and
                          on;
                      identified in
                                     Oean A°lr Ac"1
                                           ^xikrP±te
                                                                                                    ". *«
                                                                                                     for
           an
operator > duty to obtain a permit,
except that for RCRA only.
must also sign the permi
                                                                                           Permits •under th«
                                                                                                          jBk

                                                                                                          IP

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      (viii) Dredge or fill permits under
    section 404 of CWA.             x
      (ix) Other relevant environmental
    permits, including State permits.
      (7) A topographic map (or other map if
    a topographic map is unavailable)
    extending one mile beyond the property
    boundaries of the source, depicting the
    facility and each of its intake and
    discharge structures; each of its
    hazardous waste treatment storage, or
    disposal facilities: each well when
   fluids from the facility are injected
   underground: and those wells, springs.
   other surface water bodies, and drinking
   water wells listed la public records or
   otherwise known to the applicant in the
   map area.
     (8) A brief description of the nature of
   the business,   •               •
     (e) Recordkecping. Applicants shall
   keep records of all data used to
   complete permit applications and any
   supplemental information submitted
   under §5 122.4(d). 12234. and r» ?5
   (RCRA); 122Ja (UIC); 12ZS3 (NPDES):
   and 123.94 (404) for a period of at least 3
   years from the date the application is -
   signed, •
  S122J Continuation of MpMngp
    (a) EPA permits. When EPA is the
  permit-issuing authority
                       ,     ^ons
  of an expired permit continue in force
  under 5 U.S.C. i 558(c) until the effective
  date of a new permit (see 1 124.15) it
    (1) The permittee has submitted a
  timely application under 5 § 12Z25
  (RCRA). 12238 (UiC). or 12Z53 (NPDES)
  which is a complete (under { 122,4(c})
  application for a new permit and
    (2) The Regional Administrator.
  through no fault of the permittee, does
  not issue a new permit with an effective
  date under 1 124.15 on or before the
  expiration date of the previous permit
  (for example, when issuance is
  impracticable due to time or resource
•  constraints).
   (b) Effect. Permits continued under
  this section remain fully effective and
 enforceable.
   (c) Enforcement When the permittee
 is not in compliance with the condition*
 of the expiring or expired permit the
 Regional Administrator may choose to
 do any or all of the following:
   (1) Initiate enforcement action based
 upon the permit which has been
 continued;  '              .
  (2) Issue a notice of intent to deny the
 new permit under  § 124A If the permit is
 denied, the owner or operator would
 then be required to cease the activities
 authorized by the continued  permit or be
 subject to enforcement action for
 operating without a permit:
  (3) Issue a^new permit under Part 124
with appropriate conditions;  or
     (4) Take other actions authorized by
   these regulations.            •  ' _•'
     (d] State continuation.       * •   -  '
     (1) An EPA l (or. in the case of 404.
   Corps of Engineers) issued permit does
   not continue in force beyond its
   expiration date under Federal law if at
   that time a State is the permitting
   authority. States authorized to     :
   administer the RCRA, UIC NPDES or
   404 programs may continue either EPA
   (or Corps of Engineers) or State-issued
   permits until the effective date of the
   new permits. If State la wallows.
   Otherwise, the facility or activity is
   operating without a permit from the time
   of expiration of the old permit to the
   effective date of the State-issued new -
   permit
  1122.6 Signatories to permit applications
  and reports.
    (Applicable to State programs, see
  5123.7.) ,            .   '
    (1) Applications. All permit
 -applications, except those submitted for
  Class 0 wells under the UIC program
  (see paragraph (b) of this section), shall
  be signed as follows:
   Jl) fore corporation: by a principal
  executive officer of at least the level of
  vice-president:
    (2) For a partnership or tola
 proprietorship: by •general partner or
  the proprietor, respectively; or
   (3) For a municipoIity.Slate. Federal,
 or other public agency: by either a
 principal executive officer or ranking
 elected official.    •
   (b) ReportM. All reports required by
 permits, other information requested by
 the Director, and all permit applications
 submitted for Class 11 wells under
 5 122J8 for the UIC program shall be
 signed by a person  described in
 paragraph (a) of this section, or by a
 duly authorized representative of that
 person. A person is a duly authorized
 representative only i£
   (1) The authorization is made in
 writing by a person described in
 paragraph (a) of this section:
   (2) The authorization specifies either
 an individual or • position having
 responsibility for the overall operation
 of the regulated facility or activity, such
 as the position of plant manager,
 operator of a well or a well field.
 superintendent, or position of equivalent
 responsibility. {A duly authorized
 representative may thus be either a
 named individual or any individual
 occupying a named position.); and
 , (3) The written authorization is
 submitted to the  Director.
  (c) Changes to authorisation. If an
 authorization under  paragraph (b) of this
section is no longer accurate because a
different individual or position has
 / Rales and Regulations
•••••'^••^^•^••-••.
                      —             	
   responsibility for the overall operation
   of the facility, a new authorization
   f^M1!"8 the WUMrements of paragraph
   »b) of this section must be submitted to
   the Director prior to or together with any
   reports, information, or applications to
   be signed by an authorized
   representative.
     (d) Certification. Any person signing a
   document under paragraphs (a) or (b) of
   this section shall make the followinjj
  certification:                   <
     "I certify under penalty of law that I
  have personally examined and am
  familiar with the information submitted
  in this document and all attachments
  and that based on my inquiry of those
  individuals immediately responsible for
  obtaining the information. I believe- that
  the information is true, accurate, and
  complete. 1 am aware that there are
  significant penalties for submitting false
  information, including the possibility of
  fine and imprisonment"

  f 122.7 Condition* applicable to aU
    (Applicable to State programs, see   .

    The following conditions apply to all
  RCRA. UIC. NPDES, and 404 permits.
  For additional conditions applicable to
  all permits for each of the programs
  individually, see sections 12T28 (RCRA)
  122.41 (UIC). 122.60 and 122.81 (NPDES)'
  and 123.97 (404). All conditions
  applicable to all permits, and all
 .additional conditions applicable to all
 permits for individual programs, shall be
 incorporated into the permits either
 expressly or by reference. If
 incorporated by reference, a specific   .
 citation to these regulations (or the
 corresponding approved State
 regulations) must be given in the permit
   (a) Duty to comply. The permittee
 must comply with all conditionsof this
 permit Any permit noncompliance '
 constitutes a violation of the appropriate
 Act and is grounds for enforcement
 action; for permit .termination.
 revocation and reissuance, or
 modification: or for denial of a permit
 renewal application.
   (b) Duty to reapply. If the permittee
 wishes to continue an activity regulated
 by this permit after the expiration date
 of this permit the permittee must apply
 for and obtain a new permit
   (c) Duty to halt or reduce activity. 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
 Jd) Duty to mitigate. The permittee
shall take  all reasonable steps to
minimize or correct any adverse impact

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    on the environment resulting from
    ^compliance with this permit
      (e) Proper operation and maintenance.
    The permittee shall at all times properly
    operate and maintain all facilities and
    systems of treatment and control (and
    related appurtenances) which are
    Installed or used by the permittee to
    achieve compliance with the conditions
    *H 1M* permit Proper operation and
    maintenance Includes effective
    performance, adequate funding.
    adequate operator staffing and training.
   «nd adequate laboratory and jjroces*
   controls. Including appropriate quality
   assurance procedure*. This provision  •
   "qajre* the operation of back-up'or
   auxiliary faculties or similar systems  '
   only when necessary to achieve
   compliance  with the conditions of the
   permit

   mn!lin^i7"Vo^/0f* Thii Pennit mfly b«
   modified, revoked and reissued, or
   terminated for cause. The  filing of a  '
  "quest by the pennittee for a permit
 • modification, revocation and reissuance.
  or termination, or a notification of
  planned changes or anticipated
  noncompliance. does not stay anv   •
  permit condition.
    fe) Property rights. This permit does
 not convey any property rights of any
 •on. or any exclusive privilege.

 permittee shall furnish to the Director
 within a reasonable time. ,neL"rector'
 information which the Director may
 request to determine whether cause
 exists for modifying, revoking and
 reissuing, or terminating this permit or
 to determine compliance with this
 permit The permittee shall also furnish
 to the Director, upon request copies of
 records required to be kept by this
 permit
   (I)^Inipection and entry. The permittee
 •hall allow the Director, or an  pOTU"ee
authorized representative, upon the
presentation of credentials and other
document* as may be required by law.

  {!) Enter upon the permittee'*
 remise* wni»H» • M»..I_<.J *•__•
                                   substances or parameters at anv
                                   location.     '               * - •  .
                                     (j) Monitoring and records.
                                     (1) Samples and measurements taken
                                   lor me purpose of monitoring shall be
                                   "presentative of the monitored activity.
                                   rfB    Vmaanfshall retain record?
                                   .11 MC&^ormation-fadudin*
                                                                                  n»Ui •;»" -"y-'"ur "°ur repomnf. The
                                                                                  permittee shall report any     '    j^*
                                                                                  noncompliance which may endangoJIi
                                                                                  ba^?L^n^™ent Any     l|f
                                              ai.            rec°rs
                                            and all original strip chart recordings for
                                            continuous monitoring instrumentation.
                                            copies of all reports required by this
                                            permit and records of all data used to
                                                   5* "PP"0811011 far this permit
                                                      of at,Ieast 3 yeare fr"" to*
                                                        '
                                                ,
                                    T.S^V'Sfr "eaaurement
                                     pplication. This period may be
                                 extended by request of the Director at
                                 anytime.   ....
                                   S £S£ °f monltorin8 formation
                urs  om the time the
     permittee becomes aware of the  '
     %%?*?'* uCM- A written ^mission
     shall also be provided within 5 days of
     the time the permittee becomes axvare of
     the circumstances. The written
     submission.shall contain a description
     ™ ed to
    reduce, eliminate, and prevent
                        *  acty
           ocated or conducted, or
                       or
 condition* of this permit6
   (2) Have access to and copy, at
 seasonable time*, any records that must
 be kept under the conditions of this
 pennit:
 * $,^nsPect *l reasonable times anv
 lad! tie*, equipment (including
 moni oring and control equipment).
 Practices, or operations regulated or  '
 lequired under this permit; and
 ««tJ tQ* Or moilitor at reasonable
 4flBM- f"*«li	aes of assuring
     (i) The date, exact place, and time of
   sampling or measurements:'
     (ii) The individual(s) who performed
   the.sampling or measurements:
     M The date(s) analyses were
   performed;
     (iv) The individual(s) who performed
   tne analyses;
    (v) The analytical techniques or
  methods used; and                   <
    [$T°e results of such analyses.
    l*j) Signatory requirement. All
  applications, reports, or information

  and certified. (See ] 122.8.)
    (I) Reporting requirements. (1)
  Planned changes. The permittee shall
  give notice to the Director as soon a*
  possible of any planned physical
  alternations or additions to the
 permitted facility.
   (2) Anticipatednoncompliance. The
 Permittee shall give advance notice to
 tte Doctor of any planned changes in
 the permitted facility or activity  which
 may result in noncompliance with
 permit requirements.
   (3) Transfers. This permit  is not
 transferable to any person except after
 notice to the Director. The Director may
 require modification or revocation ami
 reissuance of the permit to change the
 name of the permittee and incorporate .
 such other requirement* a* may be
DCCCSflflrv imrlAf* 4k^ •*•*>— _-.   • .   »
                                                                                       e noncompance.
                                                                            Other noncompliance. The
                                                                       permittee shall report all instances of
                                                                       noncompliance not reported under
                                                                       paragraphs (1)(4). (5). and (6) of this
                                                                       section, at the time monitoring reports
                                                                       are submitted. The reports shall contain

                                                                                     Il3ted in paragraph
                                                                         (8) Other information. Where the
                                                                       permittee becomes aware that it failed '
                                                                       to submit any relevant facts in a pennit
                                                                       application; or submitted incorrect
                                                                       information in a permit application or in
                                                                       any report to the Director, it shall
                                                                      promptly submit such facts or   •
                                                                      information.
  H22JI  E»UWJshmBP™tt conditions.
  5 1(APpI)Icable to Sta«e programs, see

    (a) All programs. In addition to
  conditions required in all permits for all
  P™^?"* (5 122.7). the Director shall
  establish conditions, as required on a
  case-by-case basis, in permits for all
  programs under J§ 122.9 (duration of
  permits). 122.10(a) (schedules of
  compliance), 122.11 (monitoringj.'and for
  EPA permits only 122.10(b) (alternate
  schedules of compliance) and 122.12
   rCf r !f?tii5na,linder Federal law).
   IDJ Individual programs.
   (1) In addition to conditions required
   "
     n
authorized
                sung
'f.11'1008 ora« otl«rwise
 by the appropriate Act any
                                                	—- »•*«# «t'rAwr<1
                                      •- -- * -—-4; in some cases.
                                      modification or revocation and
                                      reissuance i* mandatory.)

                                      »J»ifA*kl/i?£"* KPorts^ Monitoring
                                      results shaU be reported at the intervals
                                      specified elsewhere in this permit
                                       (S) Comphance schedules. Reports of
                                     compliance or noncompliance with, or
                                     any progress'reports on. interim and
                                     final requirements contained in any
                                     COinDliancp «r*tie#4«ilA **t *L.:	   ..  i
                                                 -.»HM.b W4 uiia pennn
                                     »= ouonuiiea no later than 14 days
                                     following each schedule date.
                   . 122.41 for U1C.
        *   7  for NPDES' and uw
  or 404). the Director shall establish
 conditions in permits for the individual
 programs, as required on a case-by-case
 basis, to provide for and assure
 compliance with all applicable
 requirements of the appropriate Act and
 regulations.
  (2) For a State issued permit, an
 applicable requirement is a State
 !!vUi°^0r "f^atory requirement
 which takes effect prior to final
administrative disposition of a pennit
For a permit issued by EPA. an

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               Tederal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rub's arid Regulations        33427
  applicable requirement is a statutory or
  regulatory requirement (including any
  interim final regulation) .which takes
  effect prior to the issuance of the permit
  (except as provided in § 124.86(c) for
  RCRA. UIC and NPDES permits being
  processed under Subparts E or F of Part
. 124). Section 124.14 (reopening of
  comment period) provides a means for
  reopening EPA permit proceedings at  -
  the discretion of the Director where new
  requirements become effective during
  the permitting process and are of
,  sufficient magnitude to make additional
  proceedings desirable. For State and
  EPA administered programs, an
 .applicable requirement is also any
  requirement which takes effect prior to
  the modification or revocation and  -,
  reissuance of a permit to the extent >
  allowed in 5122.15.           -    ->
   , (3) New or reissued permits, and to
  the extent allowed under § 122.15
  modified or revoked and reissued
  permits, shall incorporate each of the
  applicable requirements referenced in '
  5 J 122^9 (RCRA). 122.42 (UIC), 122.62
  and 122.63 (NPDES). and 123.98 (404).
    (c) Incorporation. All permit
  conditions shall be incorporated either
  expressly or by reference. If
  incorporated by reference, a specific
 citation to the applicable regulations or
 requirements must be given in the
 permit

 5122.9  Duration Of permit*.
   (Applicable to State programs, see
 1123.7.),  •_.-.:
   (a) NPDES and section\4O4. NPDES
 and section 404 permits shall be
 effective for a fixed term not to exceed 5
 years.   •    '
   (b) RCRA. RCRA permits shall be
 effective for a fixed term not to exceed
 10 years. (See also § 122JO (interim
 permits for UIC wells)).
   (c) UIC. UIC permits for Class I and
 Class V wells shall be effective for a
 fixed term not to exceed 10 years. UIC
 permits for Class n and HI wells shall be
 issued for a period up to the operating
 life of the facility. The Director shall
 review each issued Class n or in well
 UIC permit at least once every 5 years to
 determine whether it should be
modified, revoked and reissued,
 terminated, or a minor modification
made as provided in  § § 122.15.122.16.
and 122.17.                     V
  (d) Except as provided in § 122.5. the
term of a permit shall not be extended
by modification beyond the maximum  •
duration specified in  this section.
  (e) The Director may issue any permit
for a duration that is less than the full
allowable term under this section.
   §122.10  Schedules of compliance.
    (a) General (applicable to State
  programs, see § 123.7}. The permit may.
   when appropriate, specify a schedule of
   compliance leading to compliance with
   the appropriate Act and regulations.
    (1) Time for compliance. Any
   schedules of compliance under this
.  section shall require compliance as soon
  as possible.
    (i)For NPDES. in addition, schedules
  of compliance shall require compliance
  not later than the applicable statutory
  deadline under the CWA.
    (ii) For UIC in addition, schedules of
  •compliance shall require compliance not
  later than 3 years after the effective date
  of the permit
    (2) For NPDES only. The first NPDES
  permit issued to a new source, a new
  discharger which commenced discharge
  after August 13.1979.  or a recommencing
  discharger shall not contain a schedule
  of compliance under this section. See
  also J 12Z.66{d)(4).  ,'•
    (3) Interim dates. Except as provided
  in paragraph (b)(l)(ii) of this section, if a
  permit establishes a schedule of
  compliance which exceeds 1 year from
  the date of permit issuance, the schedule
  shall set forth interim  requirements and
  the dates for their achievement
    (i) The time between interim dates x.
  shall not exceed 1 year.
    (ii) If the time necessary for    :
  completion of any interim requirement
  (such as the construction of a control
  facility) is more than 1 year and is not
  readily divisible into stages for
  completion, the permit shall specify
  interim dates for the submission of  ,
  reports of progress toward completion of
  the interim requirements and indicate a
  projected completion date.      <
   (Not*.—Example! of interim requirement!
  include (1) submit • complete Step 1
 construction grant (for POTWs); (2) let a
 contract for construction  of required
 facilities: (3) commence construction of
 required facilities; (4) complete construction
 of required facilities,]

   (4) Reporting. The permit shall be
 written to require that  no later than 14
 days following each interim date and
 the final date of compliance, the
 permittee shall notify the director in
 writing of its compliance or
 noncompliance with the interim or final
 requirements, or submit progress reports
 if paragraph (a)(l)(ii) of this section is
 applicable.      ..--.-.
   [b). Alternative schedules of
 compliance. A. RCRA. UIC, or NPDES
 permit applicant or permittee may cease
 conducting regulated activities (by '
 receiving a terminal volume of
 hazardous waste for HWM facilities.
 plugging and abandonment for UIC
  wells, or termination of direct discharge
  for NPDES sources) rather than continue
  to operate and meet permit requirements
  as follows:
    (1) If the permittee decides to cease
  conducting regulated activities at a
  given time within the term of a permit
  which has already been issued:
    (i) The permit may be modified to
  contain a new or additional schedule
  leading to timely cessation of activities;
  or
    (ii) The permittee shall cease
  conducting permitted activities before
  noncompliance with any interim or final
  compliance schedule requirement
  already specified in the permit
    (2) If the decision to cease conducting
  regulated activities is made before
  issuance of a permit whose term will
  include the termination date, the permit
  shall contain a schedule leading to
  termination which will ensure timely
  compliance with applicable
  requirements, or for NPDES, compliance
  no later, than  the statutory deadline.
    (3) If the permittee is undecided
 whether to cease conducting regulated
 activities, the Director may issue or
 modify a permit to contain two   '.
 schedules as follows:
   (i) Both schedules shall contain an '
 identical interim deadline requiring a
 final'decision on whether to cease
 conducting regulated activities no later
 than a date which ensures sufficient
 time to comply with applicable
 requirements in a timely manner if the
 decision is to continue conducting
 regulated activities;
   (ii) One schedule shall lead to timely
 compliance with  applicable
 requirements.-and for NPDES,
 compliance no later than the statutory
 deadline;      '
  ' (iii) The second schedule shall lead to
 cessation of regulated activities by a
 date which will ensure timely
 compliance with applicable
 requirements, or for NPDES. compliance"
 no later than the statutory deadline.
   (iv) Each permit containing two
 schedules shall include a requirement
 that after the permittee has made a final
 decision under paragraph (b)(3)(i) of this
•section it shall follow the schedule
 leading to compliance if the decision is
 to continue conducting regulated
 activities, and follow the schedule
 leading to termination if the decision is
 to cease conducting regulated activities.
  (4) The applicant's or permittee's
 decision to cease conducting regulated
 activities shall be evidenced by a firm
 public commitment satisfactory to the
 Director, such as a resolution of the  •
 board of directors of a corporation.  •

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      33428
                                      V.L
       	.—.	                 1

      §1^.11  Requfrem«nt« for recording and
      reporting of monitoring results.
       iAnn!ir>a'M* *« c »*.*«. —._	
                                                                        „
                                  ' see
       -AD penniu shall specify:
       la) Requirements concerning the
     proper use. maintenance, and
     installation, when appropriate, of
     monitoring equipment or methods
     {Including biological monitoring
     methods when appropriate);
       (b) Required monitoring including
     SKuM1??1"'^ fr«P«ney sufficient
     to yield data which «« representative of
     toe monitored activity including, when
     appropriate, continuous monitoring:
      (^Applicable reporting requirements
    tssed upon tho impact of the regulated
    activity ancf as specified in Parts 284
    SSiSSy*08*)' Part «6 IMC). 8 122.82
    [NPDES)  and. when applicable « CFR
    Part 230 404). Reporting shall be no le« -
    Sequent than specified in the above
    regulations.
          'i? "ha.n .^ lM'ued fn a mann«
       shall contain conditions consistent
   w»h requirement, of applicable Federal
   Jaws. These laws may include:
               	—«"«•••«»» 444 rc.43 SlCi,
 -- —YV"•"' e'*<*7- Section 7 of the
 Act prohibits the Regional
• Administrator from assisting by license
 or otherwise the construction of aS
 w"" ~	  t that would have
  . issuing a permit for an activity affecting
   land or water use in the coastal zone *
   until the applicant certifies that the
   proposed activity complies with Ihe
   State Coastal Zone Management

   a>reTan£onnd *" ^3'e °r its.desi8nated
   the Secretary of Commerce overrides f"
     , ?£!e * n°nconcurrence).
     (e) The Fish and Wildlife
  Coordination Act. 18 U.S.C. 881 et sea
  require, that the Regional        ^
  Administrator, before issuing a permit
  proposing or authorizing the
  impoundment (with certain exemptions).
  diversion, or other control or
  modification" of any body of water.
.  consult with the appropriate State
  a?f•jcy exercising jurisdiction over
  wildlife resources to conserve those
  resources.
   (f) Executive orders. (Reserved )
   (g) For NPDES only, the National
  Environmental Policy Act 33 U.S.C. 4321
 et seq., may require preparation of an
 Environmental Impact Statement and
 the tadusion of ElS-related permit
 conditions,;as Provjded in $ 122.67(c).
 f 122,13
                                                                                 ! 122.iS(bK2)). or a minor modific
                                                                                 made (under § I22.I~(d)). to ider*
                                                                                 new permittee and incorporate s
                                                                                 other requirements as may be neciSarv
                                                                                 "nder the appropriate Act

                                                                                 al£lX,"ta?rtfc tma^» As an
                                                                                 alternative to transfers under paragraph
                                                                                                   not injecting
                                                                                                    be aut<"na
                                                                                              new Pern"«ee if:
                                                                                           .
                                                                               » J!J Tlle "f^ Deludes a written
                                                                               agreement between the existing and
                                                                               new permittees c
                                        newpermit^con^inraTecTc
                                        aate for transfer of permit responsibility.

                                        and, in the case of Uir: noi-m.-t,, -.u_
                                                                                      ,
                                                                                      ,the ««• of .UIC permits. -the
                                                                               notice demonstrates that the financial
                                                                               responsibly requirements of
                                                                               5 122.42(8) will  be me, by the new
                                                                               permittee; and
                                                                                (3) The Director does not notify the
                                                                               existing permittee and the proposed new
                                                                               permittee of his or her intent to modirV
                                                                               or revoke and reissue the permit  A
                                                                               modification under this subparagraph
                                                                                         ' min " modifica
    (b) The National Historic
  Preservation Act of i960, ie U.S.C 470
  et sea. Section 108 of the Act and
  taplementing regulation, [30 CFR Part
  aOO) require the Regional Administrator
  before issuing a license, to adopt

            h
 i iMl«*'«"Vi*""e ^ aiaieprograms, see
 J 123.7(0)). Except for Class II and III
 well, under UIC. and except for any
 toxic effluent standards and
 prohibitions imposed under section 307
 of the CWA for NPDES. compliance
«mn?iP*rn"i during ita tenn constitute,
compliance, for purposes of
m   ,  Tent- with Subtitle C of RCRA.
     . of SWDA, sections 301. 302. 308,
                                                                                                        paragrap
                                                                                            min " modifica«°n under
                                                                                    "         notlce is not received.
                                                                               «5r23 ff If. effect}ve on the date
                                                                               specified in the agreement mentione
                                                                               paragraph (b)(2) of this section.
    to
                             licensed
                        e  or eligible
              e National RegisterTf
              - **• Ac'
                                                   u             and «» of
                                      mmi    ' "owever- ? permit may be
                                      modified, revoked and reissued, or
                                            "1        ita term for ««« as
                                                   122.U and 12Z16.
                             ration
                   reserv
 «nd upon notica to. and when
 appropriate, in consultation with the
 Advisory Council on Historic
 ^reservation.
                                      5               to Stote/"^~CT*
                                      i 123.7la).) The issuance of a permit
                                      doe, not convey any property right, of
                                                ^     '
                      ffe/5«16
-   i            Sectit« 7 of the Act
Mdtaplementingregulations (SO CFR
Part 402) require the Regional
       '!!^ t0 *MUI* fa «»>«ultati
    the Secretary of the Interior or  •
              *
                                                         i permit does not
                                      «£t^i£c "?y mjury to P««ons or
                                      property or invasion of other private
                                      In  n " toy in^nsenient of State or
                                      local law or regulations.
                                      5 122.14  Transf^ of permits.

                                      § ^j Cable '° State Pr°8ranw. see

                                       (a) Transfers by modification. Exceot
                                     as provided in paragraph (b) of this

                                     the permittee to a new owner or
                                     0peJ*-tor only if the permit has been
                                     mooofied or revoked and reissued (under
                                        When the Director receives any
                                      information (for example, inspects the
                                      facility, receives information submitted
                                      by the permittee as required in the
                                      permit (see $ 122.7). receives a request
                                      for modification or revocation and
                                      reissuance under 5 124.5, or conducts a
                                      review of the permit file) he or she may
                                      determine whether or hot one or more of

                                      £?-ST9 "'Ifd *? Para8~Pb» («) and
                                      fb) of thi, section for modification or
                                      revocation and reissuance or both exist
                                      If catue exists, the  Director may modify
                                      or revoke and reissue the permit

                                      Dar^S? '"&?to the "nations of
                                      paragraph (c) of this section, and may
                                     request an updated application if
                                     %X**'*!P!* a  permit is Codified.
                                     only the conditions  subject to
                                     modification are reopened. If a permit is
                                     revoked and reissued, the entire permi!
                                     is reopened and subject to revision and
                                     toe permit is reissued for a new term.
                                     fee. 5 124-5(c)(2). If cause does no/exist
                                     under this section or 5 122.17. the
                                     Doctor shall not modify or revoke and
                                     reissue the permit If a permit '

                                     f,°d^a,aon/ati8fics lhe ^teria in
                                     5 122.17 for "minor modifications" thi

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                   *    ,  '       \          •     •         .    •  •       ...       .    ' •        •     , •   .
                Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules and •Regulations        33429
   permit may be modified without a draft
   permit or public review. Otherwise, a
   draft permit must be prepared and other
   procedures in Part 124 (or procedures of
   an approved State program) followed.
     [a] Causes for modification. The
   following are causes for modification
  4>ut not revocation and reissuance of
.   permits. However, for Class n or m
   wells under UIC, the following may be
   causes for revocation and reissuance as
   well as modification: and the following
   may be causes for revocation and
,   reissuance as well as modification under
   any program when the permittee
   requests or agrees.            •
     (1) Alteration*. There are material and
   substantial alterations or additions to
   the permitted facility or activity which
   occurred after permit issuance which.
  justify the application of permit
  conditions that are different or absent in
 ,  the existing permit            .   ,  ' '
    INoI«L—For NPDES, certain recoiwtnictlon'
  •ctivitlel may cautt the new source
  proviiioni of | \22Jff to b« applicable.]
    (2]\Information. The Director has
  received information. Permits other than
  for UIC Class II and m wells may be
  modified during their terms for this
  cause pnly if the information was not
  available at the time of permit issuance
  (other man revised regulations.
  guidance, or test methods) and would
  have justified the application of
  different permit conditions at the time of
  issuance. For UIC area permits
  (i 12239). NPDES general permits
 (5122.59) and 404 general permits
 (5,123.95) this cause shall include any
 information indicating that cumulative
 effects on the environment are
 unacceptable.              ,  .
   (3) New regulations. The standards or
 regulations on which the permit was
 based have been changed by
 promulgation of amended standards ot
 regulations or by judicial decision after •
 the permit was issued. Permits other
 than for UIC Class n or m wells may be
 modified during .their terms for this
 cause only as follows:
   (i) For promulgation of amended
 standards or regulations, when:
   (A) The permit condition requested to
 be modified was based on a
 promulgated Part 280-266 (RCRA) or
 Part 148 (UIC) regulation, or a
 promulgated effluent limitation guideline
 or EPA approved or promulgated water
 quality standard (NPDES); and
   (B) EPA has revised, withdrawn, or   .
 modified that portion of the regulation
 or effluent limitation guideline on which
 the permit condition was based, or has
 approved a State action with regard to a
 water quality standard on which the
 permit condition was based: and
    (C) A permittee requests modification
  in accordance with § 124.5.within ninety
  (90) days after Federal Register notice of
  the action on which the request is based.
    (ii) For judicial decisions, a court of
  competent jurisdiction has remanded
  and stayed EPA promulgated
  regulations or effluent limitation
  guidelines; if the remand and stay
  concern that portion of the regulations
  or guidelines on which the permit
  condition was based and a request is .
  filed by the permittee in accordance
  with {124.5 within ninety (90) days of
 •Judicial remand.'
    (iii) For changes based upon modified
  State certifications of NPDES permits.
  see i 124J5{b).
    (4) Compliance schedules. The  :
  Director determines good cause exists
  for modification of a compliance
  schedule, such as an act of God, strike.
  flood, or materials shortage or other
 events over which the permittee has
 little or no control and for which there is
 no reasonably available remedy.
 However, in no case shall an NPDES
 compliance schedule be modified to
 extend beyond ah applicable CWA
 statutory deadline. See also $ 12Z17(c)
 (minor modifications) and paragraph '
 (a)(5)(xi) of this section (NPDES
 innovative technology).
   (S) Fdr NPDES only, the Director may
 modify a permit:
   (i) When the permittee has filed a
 request for a variance under CWA    '
 sections 301(c). 301(g). 301(h). 3Ol(i).
 301(k). or 318{a). or for "fundamentally
 different factors" within the time
 specified in § 122.53. and the Director
 processes the request under the
 applicable provisions of § J 124.81.   •
 124.82. and 124.64.
   (ii) When required to incorporate an
 applicable 307{a) toxic effluent standard
 or prohibition (see § 122.62(b)).
   {iii) When required by the ."reopener"
 conditions in a permit, which are
 established in the permit under
 il2Z82(b) (for CWA toxic effluent
 limitations) or 40 CFR S 403.10{e)
 (pretreatment program).
   (iv) Upon request of a permittee who   •
 qualifies for effluent limitations on a net
 basis under S 122.63(h).
   (v) When a discharger is no longer
 eligible for net limitations, as provided
 in 5 i22.83(h)(l)(ii)(B).
   (vi) As necessary under 40 CFR
 $ 403.8(e) (compliance schedule for
 development of pretreatment program).
  (vii) Upon failure of an approved State
 to notify, as required by section
402(b)(3), another State whose waters
may be  affected by a discharge from the
approved State.   .
  (viii) When the level of discharge of
any pollutant which is not limited in the
  permit exceeds the level which can be  I
  achieved by the technology-based      I
  .treatment requirements appropriate to  '!
  the permittee under S 125.3(c).
    (ix) When the permittee begins or
'  expects to begin to use or manufacture
  as an intermediate or final product or
  byproduct any toxic pollutant which
  was not reported in the permit
  application under $ 122.53(d)(9).
    (x) To establish a "notification level"
  as provided in H22.62(f).
    (xi) To modify a schedule of
'  compliance to reflect the time lost
  during construction of an innovative or
  alternative facility/in the case of a
  POTW which has received.a grant under
  section 202(a)(3) of CWA for 100% of the
  costs to modify or replace facilities
  constructed with a grant for innovative
  and alternative wastewater technology
  under section 202(a}(2). In no case shall
  the compliance schedule be modified to
  extend beyond an applicable CWA
  statutory deadline for compliance.
   (8) For 404 only, the Director shall
  modify a permit to reflect toxic effluent
  standards or prohibitions or water
  quality standards, under the "reopener"
  condition of § 123.97(g).
   (b) Causes for modification or
 revocation and reissuance. The
 folio Wing, are causes to modify or.
 alternatively, revoke and reissue a  ,
 permit:          • •    "
   (1) Cause exists for termination under
 ! 122.18, and the Director determines
 that modification or revocation and
reissuance is appropriate.
   (2) The Director has received
notification (as'required in the permit.- '
see $ 122.17(1)(3)) of a proposed transfer
of the permit A permit.also may be
modified to reflect a transfer after the
effective date of an automatic transfer .
(5 12Z14(b)) but will not be revoked and
reissued after the effective date of the!
transfer except upon the request of the
new permittee.        '      .
   (c) Facility siting. For RCRA and UIC.
suitability of the facility location will
not be considered at the time of permit
modification or revocation and
reissuance unless new inf6rmation or
standards indicate that a threat to
human health or the environment exists
which was unknown at the time of
permit issuance.   •        '

S 122.16  Termination of permit*.
   (Applicable to State programs, see
5122.7.)
   (a) The following are causes for
terminating a permit during its term, or
for denying a permit renewal
application:
   (1) Noncompliance by the permittee
with any condition of the permit;

-------
     33430
                     - — -^^^""i""^™!^^

        {2) The permittee1* failure in the
        plication or during the permit
       sua
     app
                         e perm
     Issuance process to disclose folly all
     relevant facts, or the permittee's
     misrepresentation of any relevant facts
     at any .time; or
      C3J. A determination that the permitted
     activity endangers human health or the
     environment and can only be regulated
     »o acceptable levels by permit      *
    modification or termination.
      (4) For JNPDESand404 only. penniU
    fflay be modified or terminated when
    U>ere Is a change In any condition that
    requires either a temporary or m
    permmnentieduction or elimination of
    «ny discharge controlled by the permit
    (for example, plant closure or
                        by connection  ,
     fb) lie Director shall follow the
   applicable procedures in Part 124 or
   Stale procedures in terminating any
  M2Z17 Minor modlfJeaUons or permits.
    Upon the consent of the permittee, the
  Director may modify a permit to make
  ine corrections or allowances for
  changes fa the permitted activity listed
  fa this section, without following the
  procedures of Part 124. Any permit
  raoajncatlon not processed as a minor
 3, rCOtlon Und"J^ 8ecUon mi»t be
 made for cause and with Part 124 draft
 permit and public notice as required in
 5 Iftg^^^i^o" S5onTy.
'  rkl r0"*01 typographical errors;
 or «i«S?   u mo_re fre**v««CI*... _*—	*  •
                             	
   interfere with the operation of the
   facility or its ability to meet conditions
   prescribed fa the permit and would not
   change its classification.
    (2) Change construction requirements
   approved by the Director pursuant to
   5122.42(a) (establishing UIC pemit
   conditions), provided that any such
   alteration shall comply with the
  requirements of this Part and Part 146.
    fe) For NPDESonly.
    (1) Change the construction schedule
  for a discharger which i. a new source!
.  No iuch change shall affect a     '
  al«cniirger'« obligation to have all
  poUution control equipment installed
  and fa operation prior to discharge
  onder 1122.88.             «s*

  * {2iDeuete aPomt 90UKe outfaU when
  the discharge-from that outfaiHs
  terminated and does not result in
 discharge of pollutants from other
 outfalls except fa accordance with
 permit limits.
   (h) For 401 only, extend the term of a
 State  section 404 permit so long as the
Ih™;!^!1 does1not «tend the term of
the permit beyond 5 years from its
original effective date.
                                                                                                  on a list include
                                                                                          g  nformation in the
                                                                               following orden
                                                                                 (A) Name, location, and permit

                                                                                i
                                                                                  fBl  hi
                                                                                *J% ,t  .    descnption and date of
                                                                                n!™-^8  ?" of noncompliance for that
                                                                                permittee. Instances of noncompliance
                                                                                may include one or more of the kindslet

                                                                                {ffi.Sffi1*^ °f «"• section-
                                                                                Wien a permittee has noncompliance of
                                                                                more than one kind under a single
                                                                                    ablne ^e ^"nation into a
                                                                                             8) and a
                                                                                                            tee.
                                                                                                               tion
                                         (Applicable to State programs, see
                                         1Z3*7.    .
                                         The Director shall prepare quarterly

                                       When the State "is the permit-issuino '
                                       authority, the State Director shall submit
                                                ,                   ec
                                                ional Administrator. When
                                        fcPA U the permit-issuing authorirv the
                                        Regional Administrator fhall subSt any
                                        £P°« «*>ired «nder this section™   X
                                          « Head.quarte«. For purposes of this
                                        £C»  SD ^ARCRA Puttees shall
                                        Include RCRA interim status facilities.
                                        when appropriate.
                                               ormat:
                                                     e report ihaU
                                                   n
                                       (ii) For facilities or activities with
                                     permits under more than
          °,r?aUJ0nret'ulred«lnder
 348.16, 14a2fl and 148JB. would not
                                                i two or more permittees
                                     s^J^bS^^i^
      (D) Status of the fastance(s) of
    noncompliance with the date of the
    review of the status or the date of
    resolution.
      (E) Any details which tend to explain
    or miUgate the fastance(s) of
    noncompliance.

    «oi2wilf/'?'ces °f noncompliance to be
    reported. Any instances of
    noncompliance within the following
    categories shall be reported fa
    successive reports until the
    noncompliance is reported as resolved.
    Once noncompliance is reported as
   resolved it need not appear fa
   subsequent reports.
     [ij Failure to complete construction
   e/eme/jte. When the permittee has failed
   to complete, by the date specified fa th '
   permit an element of a compliance
   schedule involving either planning for
   construction (for example, award of a
•   contract preliminary plans), or a
 .  construction step (for example, begin
   construct ion. attain operation level); and
   the permittee has not returned to
  compliance by accomplishing the
  required element of the schedule within
  30 days from the date a compliance
  "^ ^e^port.i8 due under the permit.
    (11) Modifications to schedules of
  compliance. When a schedule of
  compliance fa the permit has been
  modified under 5§ 122.15 or 122.17
  because of the permittee's
 noncompliance.
   W} Failure to complete or provide
 compliance schedule or monitoring
 reports. When the permittee has failed
 to complete or provide a report required
 fa a permit compliance schedule (for
 example, progress report or notice of
 noncompliance or, compliance) or a
 monitoring report and the permittee has
 no submitted the complete report
 within 30 days from the date it is due
 under the permit for compliance
schedules or from the date specified fa
tne permit for monitoring reports
  (iv) Deficient reports. When the
required reports provided by the
permittee are so deficient as to cause

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                Federal Register / Vol 45. No.  98 / Monday. May IS, 198Q / Rules and'Regulations
                                                                        33431
   misunderstanding by the Director and
   thus impede the review of the status of
   compliance.
     [v] floncompliance with other permit
   requirements. Noncompliance shall be
   reported in the following circumstances:
     (A) Whenever the permittee has
   violated a permit requirement (other
 - than reported under paragraphs (a)(2) (i)
  , or (ii) of this section), and has not
   returned to compliance within 45 days
   from the date reporting of    ' •  >
   noncompliance was due under the   :
   penult; or   "    .         .   "•
     (B) When the Director determines that
   a pattern of noncompliance exists for a
   major facility permittee over the most
   recent four consecutive reporting
.   periods. [For NPDES only, this pattern
   of noncompliahce is based on violations
   of monthly averages and excludes
   parameters where there is continuous
   monitoring.) This pattern includes, any
   violation of the same requirement in two
   consecutive reporting periods, and any
   violation of one or more requirements in
   each of four consecutive reporting
   periods; or  "  .         . ••
     (C) When the director determines
  significant  permit noncompliance or
  Other significant event has occurred.
  such as a discharge of a toxic or,
  hazardous substance by an NPDES
 , facility, a fire or explosion at an RCRA
,  facility, or migration of fluids into a
  USDW.
    (vi) All other. Statistical information
  shall be reported quarterly on all other
•  instances of noncompliance by major
  facilities  with permit requirements not
  otherwise reported under paragraph (a)
  of this section.
    (3) For RCRA only, the Director shall
  submit, in a manner and form prescribed,
  by the Administrator, quarterly reports
  concerning noncompliance by
  transporters [for example,            '
  recordkeeping requirements), and by
 generators that send their wastes to off-
 site treatment, storage, or disposal
 facilities.
   (b) Quarterly reports for State 4O4
 programs. The Director shall submit
 noncompliance reports for section 404
 discharges specified under
 J 123.B(fHlJ(i) (AHE) containing the
 following information:,
   (1) Name, location, and.pe'rmit number
 of each noncomplying permittee:
   (2) A brief description and date of
 each instance of noncompliahce, which
 should include the following:
   (0 Any unauthorized discharges of
 dredged or fill material subject to the
 State's jurisdiction or any
 noncompliance with permit conditions:
 and      .
    {»} A description of investigations
  conducted and of any enforcement
  actions taken or contemplated;
    (c]Ara:ua} reports for RCRA. UIC.
  and NPDES.      ,                .
    (1) Annual noncompliance .report.
  Statistical reports shall be submitted by
  the Director on nonmajor RCRA. UIC.
  and NPDES permittees indicating the
  total number reviewed.' the number of
  noncomplying nonmajor permittees, the
  number of enforcement actions, and
  number of permit modifications
  extending compliance deadlines. The
  statistical information shall be
  organized to follow the types of
  noncompliance listed in paragraph (a) of
  this section.
.    [2] For NPDES .only, a separate list of .
  nonmajor discharges which are one or
  more years behind in construction
- phases  of the compliance schedule shall
  also be submitted in alphabetical order
  by name and permit number.
    (3) For RCRA only, in addition-to the
  annual noncompliance report, the
  Director shall prepare a "program
  report"  which contains information (in a
  manner and form prescribed by the
  Administrator) on generators and
  transporters; the permit status of
  regulated facilities; and summary
  information on the quantities and types
  of hazardous wastes generated,
  transported, stored, treated, and
  disposed during the preceding year. This
  summary information shall be reported
  according to EPA characteristics and
 lists of hazardous wastes at 40 CFR Part
 2U.
   (4) ForState-administered'UIC
 programs only, in addition to the annual
 noncompliance report, the State Director
 shall:
   (i) Submit each year a program report
 to the Administrator (in a manner and
' form prescribed by the Administrator)
 consisting of:
   (A) A  detailed description of the
 State's implementation of its program:
   (B) Suggested changes if any to the
 program description (see §123.4(0)
 which are necessary to more accurately
 reflect the State's progress in issuing
 permits;
  (C) Ah updated inventory of active
 underground injection operations in the
State.
  (ii) In addition to complying with the
requirements of paragraph (c)(4)(i) of
this section the State Director shall
provide the Administrator within 3
months of the completion of the second
full.year  of State operation of the UIC
program  a supplemental report
containing the information required in 40 '
CFR Part 148 on corrective actions taken
by operators of new Class H wells based
upon these regulations.
    (d) Annual reports for State 404
  programs. The State Director shall-
  submit to the Regional Administrator an
  annual report assessing the cumulative
  impacts Of the State's permit program on
  the integrity of State regulated waters.
.  This report shall include:  .
    (1) The number and nature of
  individual permits issued by the Slate
  during the year. This should include the
  locations and types of water bodies
  where permitted activities are sited (for
  example, wetlands, rivers, lakes, and
  other categories which the Director and
  Regional Administrator may establish);
    (2) The number of acres of each of the
  categories of waters in paragraph (d)(l)
  of this section which were filled or
  which received any discharge or
  dredged material during the year (cither
  by authorized or known unauthorized
•  activities);
-   (3)  The number and nature of permit
  applications denied; and permits
  modified, revoked and reissued, or
  terminated during the year.
  '_  (4) The number and nature of permits
  issued under emergency conditions, as
  provided in 5 123.96;
    (5) The approximate number of
  persons in the State discharging dredged
  or fill material under general permits  •
  and an estimate of the cumulative
 .impacts of these activities.
   (e)'Schedule.
   (1 j For all quarterly reports.  On the
 last working day of May, August,       "
 November, and February, the State
 Director shall submit to the Regional
 Administrator information concerning
 noncompliance with RCRA. UIC.
 NPDES. and State 4O4 permit
 requirements by major dischargers (or
 for 404. other dischargers specified
 under § 123.6(f)(l)(i)(AHE)) in the State
 in accordance with the following       •
 schedule. The Regional Administrator
 shall prepare and submit information for -
 EPA-issued permits to EPA
 Headquarters in accordance with the
 same schedule:
 Quarter* Cow»d by Reports on Noneompflanc*
           by Major Dischargers
     ,  '   |D«l»toreompl«oorio
                                Nov. 30'
                                Feb. 28*
  'Report* mml ba mad* avaiW* to tn. public fa in«p«c.
ton and copying on tot data.

  (2) For all annual reports. The period '
for annual reports shall be for the
calendar year ending December 31, with
reports completed and available to the  -
public no more than 60 days later.

5122.19  Confidentiality of Information.
  (a) In accordance with 40 CFR Part 2,
any information submitted to EPA

-------
       33432

       claimed u confidentialrbv th^7,l  -,.      "* "^cated at
       Any sucfa claim musTKs^e^Tlhf   f°»ows: (Applic
       «ta» of submission in the aura?          propams. see §
       prescribed on the .mrfS/K." __      in ^ Subpart s


       confidenU.1 business information"
             urther notice. If . daimis
                                                                         tf
                                                       waste and for B,£?
       «.,, 7—.«• »"««• "uonnauoni.           -•«•=«« tu laenmy
     i SSWf A/*rtofltoto/«««w«ft «»    hazardous waste «
     feK; C?^BI* of "nfidenUality for the    Wastes considered
     foUowtag Information will be deS      _») Section 3002,
           I* J Section 30io nf pr*D A -   .
                                                                                       er section
                                   '
                                                                                     fa")'^ nf0S!fication ^S been given
                         <5 Pfl 12724;   i
                          •nd [45 FH _ 1
                         ( - FH - ]
                                                                  MWOU. w,*
                                                               "•"•••ani d luurdoui
                                                                ••Ml       ^^
                                                                                                    « FH 12724, F«,. 28. 1080.
                                                               S**"**"* (or HWM lieiiidM
                                                                                                    I - FR — _J '

                                                                                                    Th«*« regulauan,.
       «<«j,
   .  *> CFH Pan, !22 and 124

     <0 CFfl Pan 123..

01 HW (PuUeNolK,,	
                                                                                                   <5 FR 12746. Feb. 29. 1980.



(a) Content



                                                            application
                                    .
  •E

-------
     authorization under Part 123. Facility
     owners and operators with interim
     status are not relieved from complying
     with other State requirements. For
     existing HWM facilities the Director
     shall set a date, giving at least six  '
     months notice, for submission of Part B
     of the application. There is no form for
     Part B of the application: rather; Part B
     must be submitted in narrative form" and
     contain the information set forth at
    ^J^Pf Owners oroperators of new
    HWM facilities must submit Part A and
    Part B of the permit application at least
    180 days.before physical construction is
    expected to commence.
      (d) Scope of the RCRA permit
  ^requirement. RCRA requires a permit for
    the "treatment" "storage." or "disposal"
    of any "hazardous waste" as identified
    or listed in 40 CFR Part 281. The terms
    "treatment" "storage." "disposal." and
     hazardous waste" are defined in
    § 122.3.           •
      (1) Specific inclusions (applicable to
   State RCRA programs, see § 123.7}.'
   Owners and operators of certain
..  facilities require RCRA permits as well
 -  .as permits under other programs for
   certain aspects of the facility operation.
   RCRA permits are required for
     (i) Injection wells that dispose of
   hazardous waste, and associated
   surface facilities that treat, store; or
   dispose of hazardous Waste. (See   "
   § 122.30.) However, the owner and
   operator with a UIC permit in a State
   with an approved or promulgated UIC
   Program, will be deemed to have a
  RCRA permit for the injection well itself

   § 122.28{b) (permit by rule foHnjecti'on
  wells).
     (ii) Treatment storage, or disposal of
  hazardous waste at.facilities requiring
  an NPDES permit However, the owner
  and operator of a publicly owned
  treatment Works receiving  hazardous
  waste will be deemed to have a RGRA
  permit for that waste if they comply
  with the requirements of 5  122.26(c)
 . (permit by rule for POTWs).
    (>"') Barges or vessels that dispose of
 hazardous waste by ocean disposal and
 onshore hazardous waste treatment or
 storage facilities associated with an
 ocean disposal operation. However, the
 owner and operator will be deemed to
, have a RCRA permit for ocean disposal
 Jrom the barge or vessel itself'if they  '
 comply with the requirements of
 § 122.26(3} (permit by rule for ocean
 disposal barges and vessels).  .
   (2) Specific exclusions. The following
 persons are among those who are not
 required to obtain a RCRA permit:
 .  (i) Generators who accumulate
hazardous waste on-site for less than 90
days, as provided in 40 CFR § 262.34.
   (11) Fanners who dispose of hazardous
 waste pesticides from their own use as
 provided in 40 CFR § 262J1.
   (iii) Persons who own or operate
 facilities solely for the treatment
 storage, or disposal of hazardous waste
 excluded from regulations under this
 Part by 40 CFR § 261.4 or 5 261 .5 (small
 generator exemption).
   (iv) Owners or operators of-totally
 enclosed treatment facilities as defined
 in 40 CFR J 280.10.
   (v) Owners or operators of totally     :
 enclosed treatment facilities as defined
 in 40 CFR J 260.10.

512Z22  Application for a permit
  (Applicable to State RCRA programs,
  e j 123^.). ...   ,.       •
   see
     (a)i Existing HWM facilities. (1) Not
   later than six months after the first
   promulgation of regulations in 40 CFR
   Part 281 listing and identifying
   hazardous wastes, all owners and
   operators .of existing hazardous waste
   treatment storage, or disposal facilities
   must submit Part A of their permit
   application with the Regional
 •  Administrator.  _  -     '.
    (2) At any time after promulgation of
  Phase n the owner and operator of ah
  existing HWM facility may be required
  to submit Part B of their permit
  application. The State Director maV
  require submission of Part B (or
  equivalent completion of the State
  RCRA application process) if the State
  in which the facility is located has
  received interim authorization for Phase
  II or final authorization; if not the
  Regional Administrator may require •
  submission of Part B. Any owner or
  operator shall be allowed at least six
 months from the date of request to
 submit Part B of the application. Any  •
 owner pr operator of an existing HWM
 facility may voluntarily submit Part B of
 the application at any time.
 _ (3) Failure to furnish a requested Part
 B application on time, or to furnish in
 full the information required by the Part
 B application, is grounds for termination
 of interim status under Part 124
   (b) New HWM Facilities.  (1) No
 person shall begin physical construction
 on a new HWM facility without having
 submitted Part A and Part B of its permit
 application and received a finally
 effective RCRA permit
   (2) An application  for a permit for a
 new HWM facility (including both Part
 A and Part B) may be filed any time
 after promulgation of Phase II The
 application shall be filed with the
 Regional Administrator if at  the time" of
 application the State in which the new
HWM facility is proposed to be located
has riot received interim authorization
for Phase H or final authorization;
    otherwise it shall be filed with the State
    Director. All applications must be
    submitted at least 180 days before
    physical construction is expected to
    commence..        ,

     (c) Updating permit applications, (l)If
    any owner or operator of a HWM
    faci ity has filed Part A of a permit
   application and has not yet filed Part B.
   the owner or operator shall file an
   amended Pah A application:
     (i) With the Regional Administrator, if
   the facility is located in a State which
   has not obtained interim authorization
   for Phase U or final authorization, within
   six months after the promulgation of
   revised regulations under Part 261 listing
   or identifying additional hazardous
   Wastes, if the facility is treating, storing
   or disposing of any of those newly listed
   or identified wastes.
    [Note.—EPA intends to promulgate   .
   regulations in June of 1980 lislin« or
   designating additional.wastes beyond those   ;
   f D  f«,eSj£na'ed fa '" 'nitial Promulgation
   of Part 261. The wastes to be listed or
   designated in June are set forth in an
  Appendix to the initial promulgation. EPA
  encourages facilitiei appjying for interim
  status before that second set of wastes is
  actually published to Hsl or designate any of
  the wastes In that set which they are treating
  storing, or disposing of. That will avoid the
  need to extensively update the Part A
  application when the June 19ao promulgation
  occurs.)         .     '        .

    (ii) With the State Director, if the
  facility is located in a State which has
  obtained Phase II interim authorization
  or final authorization, no later than the
  effective date of regulatory provisions
  listing or designating wastes as
  hazardous in that State in addition to
  those listed or designated under the
  previously approved State program, if
  the facility is treating, storing, or
 disposing of any of those newly listed or
 designated wastes; or
   (iii) As necessary, to comply with
 provisions of 5 122J23 for changes during
 interim status or the analogous
 provisions of a State program approved
 for final authorization or interim
 authorizaton for Phase U. Revised Part
 A applications necessary to comply with
 the provisions of § 122.23 shall be filed
 with the Regional Administrator if the
 State in which the facility in question is
 located does.not have Phase II interim
 authorization or final authorization;
 otherwise it shall be filed with the State
 Director.
   (2) The owner or operator of a facility
 who fails to comply with the updating
 requirements of paragraph (c)(l) of this
section does hot receive interim status
as to the wastes not covered by duly
filed Part A applications.

-------
         -bapplicat/ons. Any HWM facility
    with an effective permit shall submit a
    new application at least 180 days before
    the expiration date of the effective
    permit unless permission for a later
    date has been granted by the Director.
    fThe Director.shall not grant permission
    for applications to be submitted later
    than the expiration date of the existing
    permit)
    512223  Interim status.
      (a) Qualifying for interim tlatus. Any
    person who owns or operates an
    -existing HWM facility" shall have
    interim status and shall be treated as
    having been Issued a permit to the
    extent he or she has:
     (1J Notified the Administrator within
   80 days from the promulgation or
   revision of Part 281 as required in '
   Section 3010 of RCRA (this may be
   done by completing EPA form 8700-12);
   and
     (2) Complied with the requirements of
   1122^2 (a) and (c) governing'
*    ,£ ™,!on SK"? A aPPlic*'i°ns:
     (3) When EPA determines on
   examination orrcexamination of a Part
   A application that it fails to meet the
   standards of these regulations, it may
   notify the'owner or'operator that the
   application is deficient and that the
  owner or operator is therefore  not
  entitled to interim status. The owner or
  operator will then be subject to EPA
  enforcement for operating without a
  permit
    (b) Coverage. During the Interim
  status period the facility shall not-
    (I) Treat store, or dispose of
  hazardous waste not specified in Part A
  of the permit application;
    (2) Employ processes not specified in
   ,Yiof the Penn" application: or  •
   (3) Exceed the design capacities
 specified in Part A of the permit
 application.
   (c) Changes during interim status. (1)
 New hazardous wastes not previously
 Identified fa Part A of the permit
application may be treated, stored, or
disposed of at a facility if the owner or
operator submits a revised Part A permit
appUcatlon prior to such a change;
   (2) facreases-in the design capacity of
processes used at a facility may  be
made it the owner or operator submits a
revised Part A permit application prior
to auch a change {along with a
4i*attf?B»«. tf	_»#»   +      .  —
                    ! the need  for the
                                            facility «"• additional processes may be
                                            added if the owner or operator submits
                                            a revised Part A permit application prior
                                            to such a change (along with a
                                            justification explaining the need for the
                                            change) and the Director approves the
                                            change because:'
                                              (i) It is necessary to prevent a threat
                                            to human health or the environment
                                            because of an emergency situation, or
                                             (ii) It is necessary to comply with
                                            Federal regulations (including the
                                            interim status standards at 40 CFR Part
                                            285) or State or local laws.
                                             (4) Changes in the ownership or
                                           operational control of a facility may be
                                           made if the new owner or operator
                                           submits a revised Part A permit
                                           application no later than 90 days prior to
                                           the scheduled change. When a transfer
                                           of ownership or operational control of a
                                           facility occurs, the old owner or  '
                                           operator shall comply with the
                                           requirements of 40 CFR Part 265. '
                                           Subpart H (financial requirements), until
                                           the new owner or operator has
                                           demonstrated to the Director that it is
                                           complying with that Subpart. All other
                                           interim status duties are transferred
                                          effective immediately upon thp date of
                                          the change of ownership or operational
                                          control of the facility. Upon
                                          demonstration to the Director by the
                                          new owner or operator of compliance
                                          with that Subpart the Director shall
                                          notify the old owner or operator in
                                          Writing that it no longer needs to comply
                                          with that Part as of the date of
                                          demonstration.       .
                                            (5) fa no event shall changes be made
                                          to an HWM  facility during interim status
                                          which amount to reconstruction of the
                                          facility. Reconstruction occurs when the
                                          capital investment in the changes to the
                                         facility exceeds fifty percent of the
                                         capital cost of a comparable entirely
                                         new HWM facility.
                                           (d) Interim status standards. During
                                         interim status, owners or operators shall
                                         comply with the interim status
                                         standards at 40 CFR Part 285.
                                           (e) Grounds for termination of interim
                                         status. Interim status terminates when:
                                           (1J Final administrative disposition of
                                         a permit application is made;.or
                                         , (2) Interim status is terminated as
                                         provided in 5 122^2(a)(3).
                                             (c) An indication of whether the
                                            facility is new or existing and whether it
                                            is a first or revised application.   .^iKk
                                             (d]I For existing facilities, a scalelM
                                            drawing of the facility showing 'tiie*mP
                                            location of all past present, and future
                                            treatment storage, and disposal areas.
                                             (e) For existing facilities, photographs
                                           of the facility clearly delineating all
                                           existing structures; existing treatment,
                                           storage, and disposal areas; and sites of
                                           iuture treatment storage, and disposal
                                           areas.     .                       .
                                             (f) A description of the processes to be
                                           used for treating, storing, and disposing
                                           of hazardous waste, and the design
                                           capacity of these items.
                                             (g) A specification of the hazardous
                                           wastes listed or designated under 40
                                          CFR Part 261 to be treated, stored, or
                                          disposed at the facility, an estimate of
                                          tne quantity of such wastes to be
                                           treated, stored, or disposed annually.
                                          and a  general description of the
                                          processes to be-used for such wastes.
 ^-.^«v«.mu explaining me need for th
 change) and the Director approves the
 change because of a lack of available
 treatment, storage, or disposal capacity
       r •          waste manasement
  (3) Changes in the processes for the
treatment storage, or disposal of
hazardous waste may be made at a
 S 122.24  Contents of Part A.
   (Applicable to State RCRA programs.
 see § 123.7.)
   fa addition to the informatioain
 § 122.4(d). Part A of the RCRA
 application shall include the foflowinR
 information:
  (a) The latitude and longitude of the
facility.
  (fa) The name, address, and telephone
number of the owner of the facility.
  § 122^5  Contents of Part B.
    (Applicable to State RCRA programs.
  see § 123.7.)
    Part B of the RCRA application
  includes the following:
    (*} General information requirements.
  The following information is required for
  all facilities:.
    (1) A general description of the
  facility.      .
    (2) Chemical and physical analyses*
  the hazardous wastes to be handled at
  the facility. At a minimum, these   '
  analyses shall contain all the
  information which must be known  to
  freat. store, or dispose of the wastes in
  accordance with Part 264.
   (3) A copy of the  waste analysis  plan
 'required by.§ 264.13(b) and, if-
 applicable, § 264.13(c).
   (4) A description  of the security
 procedures and equipment required by
 5 204.14. or a.justification demonstrating
 the reasons for requesting a waiver of
 this requirement
  (5) A copy of the general inspection   •
 schedule required by. § 264.15(b).
  (6) A justification of any request for a
 waivers) of the preparedness and
 prevention requirements of § 264.30.
  (7) A copy of the contingency plan
 required by Part 264, Subpart D.
  (8) A description of procedures.
structures, or equipment used at the
facility to.
  (i) Prevent uncontrolled reaction of
incompatible wastes (for example.
procedures to avoid  fires,  explosions, or
toxic gases).                .   .
  (ii) Prevent hazards in unloading
  ,0,0.,-— (for example, ramps, special

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      (Hi) Prevent runoff from hazardous
   •waste handling areas to other areas of
   the facility or environment or to prevent
   flooding (for example, berms. dikes.
   trenches).
     (iv) Prevent contamination of water
   supplies.  -...-•
     (v) Mitigate effects of equipment
  , failure and power outages.
     (vi) Prevent undue exposure of     .
   personnel to hazardous waste (for  •
   example, protective clothing).
     (9) Traffic pattern, volume and control
   (for example, show turns across traffic
   lanes, and stacking lanes (if
   appropriate); provide access road
   surfacing and load bearing; capacity;
   •how, traffic control signals; provide
   estimates of traffic volume .(number.
   types of vehicles)).
    'D. [Reserved]
    (Note—The requirements iet forth in
   ! 12Z2S(a) reflect those permit application
   requirement! related lo the initial •
   promulgation of Part 284. Additional permit
   application requirement* Including specific
   design and operating data, financial plan*'.
  and 
   (d) May be terminated by the Director
 at any time without process if he or she
 determines'that termination is
 appropriate to protect human health and '•
 the environment;
   (e) Shall be accompanied by a public
 notice published under §  124.ll(b)
 including:      -
.   (1) Name and address of the office
 granting the emergency authorization;
     (2) Name and location of,the
   permitted HWM facility;
     (3) A brief description of the wastes
   involved;!
     (4) A brief description of the action
   authorized and reasons for authorizing
   it and                            .
     (5) Duration of the emergency permit;
   and               •    .        ,
     (f) Shall incorporate, to the extent
   possible and not inconsistent with the
   emergency situation, all applicable
  .requirements of this Part and 40 CFR
.   Parts 264 and 266.

   L12«i!LAddltIonl" «"«"««"« applicable
   to *fl RCRA permits.
    (Applicable to State RCRA programs.
   see § 122.7.)
    The following conditions, in addition
   to those set forth in § 122.7. apply to all'
  BCRA permits: " "
    (a) In addition to § 122.7(a) (duty to
  comply): the permittee need not comply
  with the conditions of this permit to the
  extent and for the duration such
  noncompliance is authorized in ah
  emergency permit (See § 122.27.)
    (b) In addition to $ 122.7(j)
  (monitoring): the permittee shall
  maintain records from all ground
  monitoring wells and associated
  groundwater surface elevations, for the
  active life of the facility, and for
  disposal facilities for the post-closure
  care period as well.
   (c) In addition to 5 122.7(I)(1) .(notice
  of planned changes): for a new HWM
  facility, the permittee may not
 commence  treatment, storage, or
 disposal of hazardous waste; and for a
 facility being modified the permittee
 may not treat store, or dispose of
 hazardous waste in the  modified portion-
 of the facility, until:.
   (1) The permittee has  submitted to the
 Director by certified mail or hand
 delivery a letter signed by the permittee
 and a registered professional engineer
stating that the facility has been
constructed or modified in compliance
with the permit; and             •
   (2)(i) The Director has inspected the
modified or newly constructed facility
and finds it is in compliance "with the
conditions of the permit; or \
   (ii) Within 15 days of the date of   :
submission of the letter in paragraph
(c)(l) of this section, the permittee has
not received notice from the Director of
his or her intent to inspect prior   '
inspection is waived and the permittee
may commence treatment storage, or
disposal of hazardous waste.
  (d) The following shall be included as
information which must be reported
orally within 24 hours under § 122.7(1)(6):
  (!) Information concerning.release of
any hazardous waste that may cause an

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      33438
                       ----   '^™^™^«^™»
      endangerment to public drinking water
      supplies.
      , t 2{ Any information of a release or
      discharge ofiazardous waste, or of a
      lire or explosion from a HWM facility. '
      which could threaten the environment or
      human health outside the facility. The
      description of the occurrence and its
     cause shall include:
       3) Name, address. and telephone
     tiurabw of the owner or operaton
       {ill Name, address, and telephone
     number of UJB facility:
       OH) Date, time, and type of Incident:

            mK J
       of
      MThe extent ofinjuries. if any;
      ivy An assessment of actual or  •
    potential hazards to the environment
    and human health ontside the facility
    «*«**!• !• applicable; and      V
      (vnj Estimated quantity and
    disposition of recovered material that
    resulted from the Incident.  •
    The Director may waive tha Ere day
    written notice requirement in favor of a
    wntten report within fifteen days.
            °W"n8,reportl reee J 284.78.)
    (3) Annual report an annual report
  m!f? jV *"bmitted covering facility^
  ^&SSft^^.ed^
512Z30 Intsrim permJts for UIC wells.
          "1" to Sute prosram«'
•hSf H1?*'" "fy ^^ a Penait «">der
tbl« P*rt to any Class I UIC well (see
               -«-—.«.»».•« ri9\tuirenm
    .-. -.- r.wgram* Under ttw Safe
    Drinking Water Act

    112231  Pwpc»« and •«»»>• of SubpertC.
      (a) Content of Subpart C. The
    regulations in this Subpart set forth the
    specific requirements for the UIC
    program. They apply to EPA. and to
    approved States to the extent set forth
    in Part 123. Sections of this Subpart
    which are applicable to States are
   indicated at the section heading as
   follows: {Applicable to Slate UIC
   nprw*^«**k~a A__^K • *A& _• ^^
   r .r.  _":•    * ""*-<>• ias regulations
   in this Subpart are supplemental to tha
   requirements in Part 122. Subpart A.
   wnicn contains requirements for all
   programs.
   cn%» uthority- ft) Section 143 of
   SDWA requires the Administrator to
   promulgate regulations establishing
   minimum requirements for effective UIC
   programs.
    (2) Section 1422 of SDWA requires the
  Administrator to list in the Federal
  Register "each State for which in his
  judgment a State nhderground injection
  control program may be necessary to
  assure that underground injection will
  not endanger drinking water sources"
  and to establish by regulation a pronram
  for EPA administration of UIC program.
  In the absence of an approved State
  program in a listed State.
   (3) Section 1423 of SDWA provides
 procedures for EPA enforcement of UIC
 requirements where the State fails to
 enforce those requirements.
   (4) Section 1431 authorizes the

 {hSiff^r* *°take action to ?*>««*
 the health of persons when a
 contaminant which is present in or may
 enter a public water system may present
 an imminent and substantial
 endangerment to the health of persons.
   (5) Section 1445 of SDWA authorize,
 the promulgation of regulations for such
recordkeepmg. reporting, and monitorina
requirements "as the Ao^strator inTy
reasonably require ... to assist Hirp £3
establishing regulations under this title."
                                     ^•^zzxxsss
                                     program within 270 days after the
                                     effective date of these rules and 40 CFR
                                     Part 148. unless the Administrator grants
                                     an extension which can be for a period
                                     not to exceed an additional 270 davs. If
                                     a State fails to submit an approvabl-   -
                                     program. EPA will establish a program
                                     for that State. Once a program is
                                     established. SDWA provides that all
                                     underground injections in listed States
                                     are unlawful and subject to penalties
                                     unless authorized by a permit or a rule.
                                    Th.s Subpart sets forth the requirements
                                    governing authorizations by permit or
                                    rule and prohibits authorization of
                                    certain types of injection. The technical
                                    regulations governing these
                                    arborizations appear in 40 CFR Part

                                     (d) Scope of the permit or rule
                                   requirement. The UIC permit program
                                   regulates underground injections by five
                                   classes of wells (see definition of "well
                                   Injection." { 1223). The Eve classes of
                                   wells are set forth in 112232. All
                                   owners or operators of these injection   •
                                   wells must be authorized either by
                                   permit or rule by the Director. In
                                   carrying out the mandate of the SDWA.
                                 •  this Subpart provides that no Class L II.
                                   or III well shall be authorized by permit
                                   or rule if it results in movement of fluid
                                   into underground sources of drinkina
                                   water (USDWs) (5 12234). The technical
                                   requirements of Part 146 are designed to
                                   insure that such movement will not
                                   occur. No Class V well shall be
                                  authorized by permit or rule if it results
                                  n<:nwPreS?°(;8 °f ""* «»«"inlnanffa   ,
                                  USDWs which may adversely affect the
                                  health of persons (§ 12234). Existing
                                  Class IV wells which inject hazardous
                                  waste directly into an underground
                                  source of drinking water are to be
                                  eliminated over a period of six months.        .
                                  and new such Class IV wells are to be    •
                                  prohibited (5122.38). Class V wells will
                                  be inventoried and assessed and
                                  regulatory action will be established at
                                  a later date. In the meantime, if remedial
                                  action appears necessary, an individual  ^fti
                                 permit may be required (§12237) or the  ••

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                Federal  Register / Voi. 45. No. S8  /  Monday, May 19. 1930 / Rulea and Regulations
   Director must require remedial action or
   closure by order (Sl22J4(c)). During
   UIC program development the Director
   may identify aquifers and portions of  .
 ,  aquifers which are actual or potential
   sources of drinking water (see 5 123.4(g)
   for State programs). This will provide an
   aid to the Director in carrying out his or
 '  her duty to protect all USDWs. An
   aquifer is a USD W if it fits the
   definition, even if it has not been
 .  "Identified." The Director may also
   designate "exempted aquifers'* using
   criteria in Part 146. Such aquifers are
   those which would otherwise qualify as
   "underground sources of drinking
   water" to to protected, but which have
   no real potential to be used as drinking
   water sources. Therefore they are not
   USDWs. No aquifer is an "exempted
   aquifer" until it has been affirmatively
   designated under the procedures in
   5 122.35. Aquifers which  do not fit the
  definition of "underground sources of,
  drinking water" are not "exempted
  aquifers." They are simply not subject to
  the special protection afforded USDWs.
    (1) Specific inclusions.  The following
  wells are included among those types of
  injection activities which are covered by
  the UIC regulations. {This list is not
  intended to to exclusive but is for
  clarification only.)
    (i) Any injection well located on a
  drilling platform inside a State's
  territorial waters.                    .
    (ii) Any dug hole or well that is deeper
  than its largest surface dimension.
  where the principal function of the hole
  to emplacement of fluid*.
  ^ (til) Aay septic tank or cesspool used
  by generator* of hazardous waste, or by •
  owners or operators of hazardous waste '•
  management facilities, to  dispose of
 fluids containing hazardous waste.
   .(iv) Any septic tank, cesspool, or other
 well used by a multiple dwelling.
 community, or Regional system for the
 injection of wastes.
,   (2) Specific exc/us/ww. the following
 are not covered by these regulations:
   (i).lnjection wells located on a drilling
 platform or. other site that is beyond a
 State's territorial waters.
 * _(U) Individual or single family
 residential waste disposal systems such
 as domestic cesspools or septic systems.
   (iii) Any dug hole which is not used
 for emplacement of fluids underground.

 512Z32  CteMHicanon ol Injection Wells.
   (Applicable to State UIC programs,
 see 5123.7.)
   Injection wells are classified as
 follows:
   (a) Class I.
   (1) Wells used by generators of
hazardous wastes or owners or
operators of hazardous waste
   management facilities to inject
   hazardous waste-other than Class IV
   wells.   ''.;-.'-.
     (2) Other industrial and municipal
   disposal wells which inject fluids
   beneath the lowermost formation ,
   containing, within one quarter mile of
   the well bore, an underground source of
   drinking water.         -
     (b) Class II. Wells which inject fluids:
     (1J Which are brought to the surface in
   connection with conventional oil or
   natural gas production:     -
     (2) For enhanced recovery of oil or
   natural gas; and
     (3) For storage of hydrocarbons which
   are. liquid at standard temperature and
   pressure.:  .                       .   '•
     (c) Class Iff. Wells which inject for
  extraction of minerals or energy.
  including: '.   •              -
    (1) Mining of sulfur by  the Frasch
  process:
    (2) Solution mining of minerals:
    (3) In situ combustion of fossil  fuel;
  and  ;•••-.
    (4) Recovery of geothermal energy.
    (d) Class /V. Wells used by generators
  of hazardous wastes or of radioactive
  wastes, by owners or operators of
  hazardous waste management facilities,
  or by owners or operators of radioactive
  waste disposal sites to dispose of
  hazardous wastes or radioactive  w.astes
  into or above a formation which within
  one quarter mile of the well contains an
  underground source of drinking water.
    (e) Class V. Injection wells not
  included in Classes 1. n. m. or IV.
          Proh*fbon of unauthorised
 Injection.
   (Applicable to State programs, see
 S 123J.)
   Any UIC program shall prohibit.
 effective no later than the date of
 approval (for State programs) or the
 effective date of regulations establishing
 the program (for EPA-administered
 programs) any underground injection.
 except as authorized by permit or rule • '
 issued under this Part and Part 123. as
 applicable. Any UIC program shall also
 prohibit the construction of any well
 required to have a permit under this Part
 until the permit has been issued.

 S 122J4  Prohibition of movement of fluid
 into underground •ourcra of drinking
-water.
   (Applicable to State UIC programs.
 see $ 123.7.)
   (a) No UIC authorization by permit or
 rule shall be allowed hi the following
 circumstances:
   (1) Where a Class I EL or m well;
 causes or allows movement of fluid into
 underground sources of drinking water.
  (2) Where a Class IV or V well causes
 or allows movement of fluid containing
   any contaminant into underground
   sources of drinking water, and the
   presence of that contaminant may cause
   a violation of any primary drinking
   water regulation under 40 CFR Part 142
   or which may adversely affect the
   health of persons.
     (b) ForClass. I. II. and IH wells, if any
   monitoring indicates the movement of
   injection or formation fluids into
   underground sources of drinking water.
   the Director shall prescribe such
  . additional requirements for
   construction, corrective action.     •. .,
   operation, monitoring, or reporting
   (including closure of the injection well)
;   as are necessary to prevent such
   movement In the case of wells
   authorized by permit these additional
   requirements shall be imposed by
   modifying the permit in accordance with
   § 122.15. or the. permit may be
   terminated under 5 122.16 if cause
   exists, or appropriate enforcement
   action may be taken.if the permit has
   been viola ted.-In the case of wells
   authorized by rule, see 5 122.37(a).
    (c) For Class Vwells, if at any time
   the Director learns that a Class V well
• may cause a violation of primary
  drinking water regulations under 40 CFR
  Part 142. he or she shall:           •
    (1) Require  the injector to obtain an
  individual permit:
    (2) Order the injector to take such
  actions (including where required
  closure of the  injection well) as may be
  .necessary to prevent the violation; or
   , (3) Take enforcement action.
    (d) Whenever the Director learns that
  a Class V well may be otherwise
  adversely affecting the health of
  persons, he or she may prescribe such
  actions as may be necessary to prevent
  the adverse effect, including any action
  authorized under paragraph (c) of this
  section.
   (e) Notwithstanding any other
  provision of this section, the Director
  may take emergency action upon receipt
  of information that a contaminant which
  is present in ot is likely to enter a public
  water system may present an imminent   ;
  and substantial endangerment to the
  health of persons.

  S 122J5 Identification of underground
  source* of drinking water and exempted
  aquifers.
   (Applicable to  State UIC programs,
  see 5 123,7.)
   (a) The Director may identify (by
  narrative description, illustration?. *
  maps, or other means) and shall protect
  except where exempted under
 paragraph (b) of this section,  as an
 underground source of drinking water,
 all aquifers or parts of aquifers which
 meet the definition of an "underground

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      33438
      imjrce
  •".uras 01 cruaang water" in § I22J
  Ex-en if an aquifer has not been
  specifically identified by the Director, it
  « an underground source of drinking
  water if Jl meets the definition in i v»?
   U>) After notice said opportunity for a
  public hearing the Director may identify
  {by narrative description, illustrations,
  maps, or other means] and describe in
 geographic and/or geometric term*
 (such aa vertical and lateral lunits and
 gradient) which an clear and definite.
 •U aquifers or part* thereof which the
 Director proposes to designate as
 ^^^ *°.uir«n» tains the criteria in
 40 CFH S148J>tPorState UIC
 programs, no such designation shall be
 final until approved by the
 Administrator as part of the State     •
 program. Subsequent to program
 approval Identification of additional
 exempted aquifers shall be treated aa
 program modifications tinder
 3 123.0{b)(8).

3122.38  EJlrrirertJonofcarUJnClasslV
     (Applicable to State UIC programs,

     (a) fa addition to the requirement of
     Hf4!' "ny UIC Program shall prohibit
     '?/,  B construction of any Class IV
   well for the injection of hazardous
   waste directly into an underground
   source of drinking water;
   ,j.t2lP,einJecUon °f hazardous waste
   directly into an underground source of
   drinking water through a Class IV weD
    (3) Any Increase in the amount of
  hazardous waste or change in the type
         1       te tofectod fal° • well
                   waite *"««!«      a
  »  I  «•   t     m  ^^   *»4jj *«WuBS iV \V
  nln
-------
    made aware of the inventory
    requirement.        -•  "•.
    .  [3) Deadlines. Owners or operators of
    injection wells must submit inventory
^    information no later than one year after
    the authorization by rule. The Director
    need not require inventory information
    from any facility with interim status
    under RCRA.
      {ej Assessment of Class V Wells. The
    Director shall, within three years of the
    approval of the program in a State'
    submit a report and recommendations to
  ;  EPA fo compliance with § 146.52(bJ.

    5'mJM  Application for a pcnntt;
  -  authorization by permit
     (Applicable to State UIG programs,
   aee 51217.)   .
     (a) Permit application. Except as
   Provided in I122J7 (authorization by
   rule), al) underground injections into
    tfi'tf **• °r IU wells in toted States
  . shall be prohibited unless authorized by
   permit Those authorized by a rule under
   1122.37 mutt still apply for a permit
  under this section unless  authorization
  by rule was for the life of the welL Rules
  authorizing well Injections for which
  permit applications have been submitted
  shall lapse for a particular well injection
  only upon the effective date of the
  permit, or permit denial for that well
  injection.
    (b) Time to apply. Any person who
  performs or proposes an underground
  injection for which a permit is  or will be
  required shall submit an application to
  tne Director in accordance with the
  State UIC program as follows:
    U).For existing Injection wells, as
  expeditiously as practicable and in
  accordance with the schedule contained
  m any program description under
  §  I23.4(g). but no later than 4 years from
  the approval of the UIC program, or as
  required under § 122.45(b) for wells
  injecting hazardous waste.  •
    (2) For new injection wells, except
 new wells covered by an existing area
 permit under .5 122.39(c). a reasonable
 time before construction is expected to-
 begin. (See also {122.41 (b)).
  _(c) Contents of UIC application.
 (Reserved.]     •      •
      (3) Of similar construction:
      (4) Of the same class as determined
    under § 122^2; and
      (5) Operated by a single owner or
    operator.
      (b) Area permits shall specify:
      (1) The area within which
    underground injections are authorized.
     (2) The requirements for construction.
   monitoring, reporting, operation, and
   abandonment, for all.wells authorized
   by the permit
  - ' (c) The area permit may authorize the
   permittee to construct and operate new
   injection wells within the permit area
   provided: . •
     (1) The permittee notifies the Director
   no later than the date on which
   monitoring reports are required to be
   submitted under § 122^(I)(4). pursuant
   to a procedure which shall be specified'
   in the permit, when and where the new
  .well has been or will be drilled;
   . (2) The additional well  satisfies the
   criteria in paragraph (a) of this section
   and meets the requirements specified in
   the permit under paragraph (b) of this
   section: and      •
    (3) The cumulative effects of drilling
  and operation of additional injection
  wells are considered by the Director
  during evaluation of the area permit
  application and are acceptable to the
  Director. .
    (d) If the Director determines that any
  well constructed pursuant to paragraph
  (c) of this section does not satisfy any of
  the requirements of paragraphs (c](l)
  and (cK2) of this section the Director
  may modify the permit under § 122.15.
  terminate under J 122.16,- or take
  enforcement action. .If the Director
  determines that cumulative effects are
  unacceptable, the permit may be
  modified under {122.15.
 5 12239  Arw permits.
   (Applicable to State UIC programs,

   (a) The Director may issue a permit on
an area basis, rather than for each well
individually, provided that the permit is
for injection wells:
  (1) Described and identified by
location in permit application(s). if they
are existing wells,                   •
  {2} Within the same well field; facility
site,  reservoir, project or similar unit in
the name Stale:
 5122.40  Emergency permits.
   (a) Coverage, Notwithstanding any
 other provision of this Part or Part 124
 the Director may temporarily permit a
 specific underground injection which
 has not otherwise been authorized by
 rule or permit if:
   (1) An imminent and substantial
 endangerment to  the health of persons
 will result unless  a temporary
 emergency permit is granted; or
  _(2) A substantial and irretrievable loss
 of oil or gas resources will occur unless
 a temporary emergency permit is
 granted to a Class II well; and
  (i) Timely application for a permit
 could not practicably have been made-
 and
  (ii) The injection will not result in the
movement of fluids into imdergound
sources of drinking water; or
     _{3) A substantial delay in production
    ot oil or gas resources will occur unless
    a temporary emergency .permit is
    granted to a new Class II well and the
    temporary authorization will hot result
    m the movement of fluids into an
   -underground source of drinking water.
     IDJ Requirements fa issuance. (11 Anv
    temporary permit under paragraph (a](i)
    of this section shall be for no longer•   '
    term than required to prevent the
   hazard,
     (2) Any temporary permit under
   paragraph (a)(2) of this section shall be
   for no longer than 90 days, except that if
   a permit application has been submitted
   prior to the expiration of the 90-day   "
   period, the Director may extend the
   temporary permit until final action on
   the application.
     (3) Any temporary permit under
   paragraph (a)(3) of this section shall be
   issued only after a complete permit
   aPP»calion has been submitted and
   shall be effective  until final action on   .
   the application.
     (4) Notice of any temporary permit
   under this paragraph shall be published
   in accordance with 5124.11 within 10
   days of the issuance of the permit.
    (5) The temporary permit under this
  section may be either oral or written; If
  oral, it must be followed within 5
  calendar days by a written temporary
  emergency permit
    (6J The Director shall condition the
  temporary permit in any manner he or
  she determines is necessary to ensure
  that the injection will not result in the
  movement of fluids into an underground
  source of drinking  water.

  § 122.41  Additional conditions applicable
  to all UIC permits.
    (Applicable to Slate UIC programs
  see §123.7.).
   The following conditions, in addition
  to those set forth in 5 122.7, apply to all
 UIC permits and shall be incorporated
 into all permits either expressly or by
 reference. If incorporated by reference.   '
 a specific citation to these regulations
 (or approved State  regulations) must be
 given in the permit
   (a) In addition to  J 12Z7(a) (duty to
 comply): the permittee need not comply
 wiu the provisions of this permit to the
 extent and for the duration such    '
 noncompliance is authorized in a
 temporary emergency permit under  '
 § 122.40.
   (b) In addition to  § 122.7(j5(2)
 (•nonitbring and records): the permittee
 shall retain all r&cords concerning the
 nature and composition of injected
 fluids until five years after completion  of
 any plugging and abandonment
 procedures specified under § 122.42(f).
The Director may require the owner or

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   S£!*a.tor to Deliver the records to the
   Director at the conclusion of the
   retention period.
     (c) In addition to § 122.7(1)(1} (notice
   of planned changes]: a new injection
   well may not commence injection until
   construction it complete, and
   nf(JH3iB f,6™1"" ia» aubmitted notice
   of completion of construction to the
   Director; and  .
     (2](i) The Director has Inspected or
   otherwise,reviewed the new injection
  well ani finds It I, fa compliant, with
   the conditions of the permit; or
    CU) The permittee has not received
  notice from the Director of his or her
  intent to Inspect or otherwise review the
  new injection well within 13 day. of the
  date of the notice fa paragraph (clfl) of
  this section, fa whicficasfprior    J
  Inspection or review is waived arid the
  P0™1"" may commence  injection.
   (dj The following shall be included as
  Information which must be reported
  within 24 hours under 1122.7(1)(5):
   (1) Any monitoring or other
 information which indicates that any
 contaminant niay cause an
 endangerment to a USDW.
   (2)^Any noncompliance with a permit '

 system which may  cause fluid migration
 Into or between USDWs.     mi8ra"°n
  (e) The permittee shall-notify the
Director at least 180 days before
conversion or abandonment of the well
                                             	            =====
                                              approval of the modification by the
                                              Director.
                                                                  as
                        ;' each UIC
                     c°ndi«°na meeting
    S 122.44 and § 148.7.   . .
     (c) Operation requirements as set
    forth in 40 CFR Part 148; the permit shall
    establish any maximum injection
    volumes and/or pressures necessary to
    assure that fractures are not initiated fa
    toe confining zone, that injected fluids
   do not migrate into any underground
   source of drinking water, that formation
   fluids are not displaced into any
   underground source of drinking water
 •  ™to"«ure compliance with the Part   '
   148 operating requirements.
 * *. Wtevurenontsfor wells managing
 .  hazardous waste, as set forth fa
   § 122.45.                  •
    (e) Monitoring and reporting
  "•Winmenta as set forth fa 40 CFR Part
  M* S" Pennl"ee shall be required to
   dentify types of tests and methods used
  to generate the  monitoring data.
    (f) Plugging and abandonment. Any
 Class III or III  permit shall include, and
 any Class V permit may include
 conditions to ensure that plugging and
 abandonment of the well Will notTallow
 the movement of fluids either into an
 underground source of drinking water or
 irpm one  underground source of
 drinking water to another. Any
 applicant for a UIC permit shall be
 required to submit.a plan for plugging
 and abandonment. Where the plan
 meets the requirements of this
 paragraph, the Director shall incorporate
 it-fato the  permit as'a condition. Where
 the Director's review of an application
 ndicates that the permittee's plan is
 inadequate, the Director shall require
 the applicant to revise the plan.
prescribe conditions meeting the

SSS^KXZ^Z*"*
                                           shows to the satisfaction of the Director
                                           under § 146.08 that the well hTs
                                           mechanical integrity.
                                            (1} Additional conditions. The D
                                           shall impose on a case-by-case b
                                           such additional conditions „ Ir
                                          Eln7 t0 Sreyent the ««%«tton'of
                                          fluids into underground sources of
                                          drinking water.
                                                                                         .
                                                                                   .  (a) When infection does not occur
                                                                                      'Iu
                        irements as set
  ,™          -        0869 °
paragraph, temporary intermittent
cessation of injection operations is not
abandonment                 /
  (gj Financial responsibility. The
permit shall require the permittee to
maintain financial responsibility and
   achieve compliance with such
   rt2U!fCtment* accorduiS to a compliance
   schedule established as a permit
   condition. The owner or operator of a  '
   proposed new injection well shall         u  j    • ~,	>~ *«="unnHi
   aubmlt plani for testing, drilling, and       £Onds.°r other equivalent form of
.  construction as part of the permit         "nancial assurance approved by the
  application. Except as authorized bv an    ^I?0*™' to ^ose"plu* and abandon the
  •rea permit, no construction may          underground injection operation fa a
  commence until a permit has been         iKn ?Wb?d b?the Doctor, fa
  Iisued containing construction            Ueu of individual performance bonds
  requirements (see § 122.33? New wM!«     °Peratora may furnish a bond or other
  •hall be fa compliance with E          SnlS^L^J? £ fmandal *»«•»£
  requirements prior to commencine         aPProved by the Director covering all
  Injection operations. Changes fa      '      tMJF T   m any one State-
  construction plans during construction     anv rif ech.a%ca!integrity. A permit for
  may be approved by the Director a«          •     . *• ^ or m wel1 or injection
  mfaormodificaUons (§ 12Z17). No such    ISKIf ? T l^ b^8 med»anical integrity
  changes may be physicaDySonoSted   »aJ?i  f^6'and for "^ Class V vJett*
 into construction of the wellprioT?o       ffii?dude> a ™n**™ prohibiting    •
                         " pnor to       injection operations until the permittee
                       	— ..MWJ^J VSU4/
           —^MW/,^ waier, the Director
   may authorize a well with less stringent
   requirements for area of review    8
   construction, mechanical integrity
   operation monitoring, and reporting
   than required fa 40 CFR 146 or § 122 42
   to the extent that the reduction fa
  requirements will not result in an
  increased risk of movement of fluids  '
  ™°ean underground source of drinking

    (b) When infection occurs into.
  through, or above an underground
  source of drinking water, but the radius
  of endangering influence when
  computed under § 146.06(c) is a negative
  number the Director ma^ authorizfa
  wen w.th less stringent requirements for
 operation, monitoring, and reporting
 than required in 40 CFR 140 or § 122.42-
 to the extent that the reduction in
 requirements will not result in ah '
 mcreased-risk of movement of fluids
 into an underground source of drinking

   (c) When reducing requirements under
 paragraph (a) or (b) of this section, the
 Director shall prepare a fact sheet under
 5 124.9 (or equivalent document under
fnr3£ pro"dures) explaining the reasons
tor the action.  ••   .

5122.44  Corrective action.
                                                                             (a) Coverage. Applicants for Class I. II
                                                                           (other than existing), or III injection Well
                                                                           permits shall identify the location of all
                                                                          •known wells within the injection well's
                                                                           area of review which penetrate the
                                                                           injection zone. For such wells which are
                                                                           improperly sealed, completed, or
                                                                          abandoned, the applicant shall also *
                                                                          submit a plan consisting of such steps or
                                                                          modifications as are necessary to
                                                                          prevent movement of fluid into
                                                                          underground sources of drinking water
                                                                          (corrective action"). Where the plan is
                                                                          adequate, the Director shall incorporate
                                                                          A^S^Pf™1*as a c.ondi«°n- Where
                                             i that the permittee's plan is
                                            -ite (based on the factors fa
                                     . - -_._. j the Director shall require the
                                     applicant to revise.the plan, prescribe a
                                                                                                                  
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    plan for corrective action as a condition
    of the permit under paragraph (b) of this
    section, or deny the application. The
    Director may disregard the provisions of
    5 14&06 (area of review) and $ 146.07
    (corrective action) when reviewing an
    application to permit an existing Class II
    welL
   ..  {*>} Requirements—{1} Existing
    injection wells. Any permit issued for an
 *  existing injection well (other than Class
    II) requiring corrective action shall
    include a compliance schedule requiring
    any corrective action accepted or
    prescribed under paragraph (a) of this
    section to be completed as won a*
   possible.
     (2) New injection wells. No permit for
   a new injection well may authorize
   injection'until all required corrective
   action has been taken.
   _ (3) Infection pressure limitation. The
   Director may require as a permit
 • condition that injection pressure be so
   limited that pressure in the injection
 ,  zone does not exceed hydrostatic
   pressure at the site of any improperly
   Completedor abandoned well within the
   area of review. This pressure limitation
   shall satisfy the corrective action  ,
   requirement. Alternatively, such
   injection pressure limitation can be part
   of a compliance schedule and last until
   all other required corrective action 'has
   been taken,,
  §122.45 Requirement* for wells Injecting
  nuardog* waste.      .
    (Applicable to State UIC programs.
  see $ 123.7.).       .
    (a) Applicability. The regulations in
  this section apply to all generators.of
  hazardous  waste, and to the owners or
  operators of all hazardous waste
  management facilities, using any class •
  of well to inject hazardous wastes
  accompanied by a manifest. (See also
  S * 22.36.J    '   '                 •  •
   (b) Authorization. The owner or
 operator of any well that is used to
 inject hazardous wastes accompanied
 by a manifest or delivery document
 shall apply  for authorization to inject as
 specified in 5122.38 within 6 months
 after the approval of an applicable State
 program.'
   [c] Requirements. In addition to
 requiring compliance with the
 applicable requirements of this Part and
 40 CFR Part 146. Subparts B-F. the
 Director shall, for each facility meeting
 the requirements of paragraph (b) of this
•section, require that the owner or
operator comply with the following:
  (1) Notification. The owner or
operator shall comply with the
notification requirements of Section 3010
of Pub. L. 94-580.
      (2) Identification .nitinber. The owner
    or operator shall comply with the
    requirements of 40 CFRr| 264.11.
      (Z) Manifest system. -Theowner or
    operator shall comply with the
    applicable recordkeeping a'nd reporting
    requirements for manifested wastes in
    40 CFR 5 264.71.
      (4) Manifest discrepancies. The owner
    or operator shall comply with 40 CFR
    §264.72.               '•'•'•
      (5) Operating record. The owner or
    operator shall comply with 40 CFR
    S 264.73(a). (b)(l). and (b)(2).
      (6) Annual report. The owner or
    operator shall comply with 40 CFR
    i 264.75.
     (7) Unmanifested waste report. The
   owner or operator shall comply with 40
   CFR S 264.75.-  _ ."  ,. .^ '
     (8) Personnel training. The owner or
   operator shall comply with the
   applicable personnel training
   requirements of 40 CFR J 254.16.
     (9) Certification of closure. When
   abandonment is completed, the owner
   or operator must submit to the Director
   certification by the owner or operator
   and certification by an independent
   registered professional engineer that the
   facility has been closed in.accordance
   with the specifications in § 122.42[f).
    (d) Additional requirements for Class
  IV wells. (Reserved)
  Subpart D—Additional Requirements
  for National Pollutant Discharge
  EUmlnatlpn System Proflrams Under
  .the Clean Water Act

  §12Z51  Purpo«« «nd «sop« of SfUbpart O.
    (a) Content of Subpart D. The
  regulations in this Subpart contain the
  specific requirements for the NPDES
  permit program. They apply to EPA, and
  to approved States to the extent set
  forth in Part 123. Sections of this
  Subpart which are applicable to Slates
  are indicated at the section heading as
  follows: (applicable to State NPDES
 programs, see J 123.7). the regulations
 m this Subpart are supplemental to the
 requirements in Part 122. Subpart A.
 which apply to all programs.
   W Authority. (1) Section 301(a) of
 CWA provides that "Except as in
 compliance with this section and
 sections 302. 306. 307. 318. 402. and 404
 of this Act. the discharge of any
 pollutant by any person shall be
 unlawful."        .•'..-
   (2) Section 402(a)(l) of CWA provides
 m part that "The Administrator may   '
 after opportunity for public hearing.   '
 issue a permit for the discharge of any
 pollutant, or combination of pollutants'
 • '.;,uP°n condition that such discharge
will meet either allapplicable
requirements under sections 301; 302.
    ,	.	. . „„„. M1IU ^jj Of Jjjjg ^'C£ ^jj. ppJQj,
    to the taking of necessary implementing
    *f,ons r*!a.tln§ to all such requirement!.
    such conditions as the Administrator
    determines are necessary to carrv out
    the provisions pf this Act."
    ,u(?litctio"318(al°f CWA provides
    tnat The Administrator is authorized.
    after public hearings, to permit the
    discharge of specific pollutant or
    pollutants under controlled conditions
    associated with an approved
    aquaculture project under Federal or
     (4) Section 405 of CWA provides, in
   part, that "Where the disposal of
   sewage sludge resulting from the
   operation of a treatment works as
   defined in section 212 of this Act
   (including the removal of in-place
   sewage sludge from one location and its
   deposit at another location) would result
   in any pollutant from such sewage
   sludge entering'the navigable waters.
   such disposal is prohibited except in
   accordance with a permit issued  by the
   Administrator under section 402 of this
   Act    .                  '         «=—.

  'J$ >SerC!i?.",S 402(b)t 318(Wand (c). and
  405(c) of CWA authorize EPA approval
  of State permit programs for discharges
  trom point sources, discharges to
  aquaculture projects, and disposal of
  sewage sludge.
    (6) Section G04(i) of CWA provides
  that the Administrator shall promulgate
  guidelines establishing uniform
  application forms and other minimum
•  requirements for the acquisition of
  information from dischargers in
  approved States and establishing
  minimum procedural and other elements
  of approved State NPDES programs.
   (7) Section 5Cl(a) of CWA provides
  that 'The Administrator is authorized to
  prescribe such regulations as are
  necessary to carry out his functions "
  under this Act."
  • (8) Section 101(e) of CWA provides
 that' Public participation in the
 development, revision, and enforcement
 of any regulation, standard, effluent
 limitation, plan, or program established
 by the Administrato.r or any State under
 this Act shall be provided for.
 encouraged, and assisted by the   '
 Administrator and the States. The
 Administrator, in cooperation with the
 States, shall develop and publish •
 regulations specifying minimum  •
guidelines for public participation in
such processes."
   (c) Scope of the NFDES permit
requirement. The NPDES program
requires permits for the discharge of
"pollutants" from any "point source"
into "waters of the United States." The
terms "pollutant," "point source" and

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       33442
      "waters of the United States" are
      defined in § 1223.
        (3) Specific inclusions. The following
      are point sources requiring NPDES
      permits for discharges:
        (I) Concentrated animal feeding
      operations as defined in § 122J4;
        pi) Concentrated aquatic animal
      production facilities as defined in
      312235;
       (Hi) Discharges into aquaculture
     projects as set forth in § 122.56;
       (iv) Discharges from separate storm
     *"J*?Si*5 **,1 forth fa * 12ZS7'< «nd
       fv) S Ivicultural point sources as
     defined in { 122J8.
       W Specific exclusions. The following
     discharges do not requlre-NPDES
     permits;
       (0 Any discharge of sewage from   '
     vessels, effluent from properly
     functioning marine engines, laundry.
     «h.owe,r; and ga»cy sink wastes, or any
     other discharge incidental to the normal
    -operation of a, vessel This exclusion
    does not apply to rubbish! trash.
    garbage, or other such materials
    Discharged overboard: nor to other
    discharges when the vessel is operating
    In « capacity other than aa a means of
    transportation such as when used as an
    energy or mining facility, a storage
    fadhty or a seafood processing facility.
   or when secured to a storage facility or
  . « seafood processingfacility. or when
   .secured  to the bed of the ocean,   '   -
              one or wal<;w of the Un»ed
                       of mineral °r °"
                                  ™^™~M~^»«
      silvicultural activities, including runoff
      from orchards, cultivated crops
      pastures, range lands, and forest lands.
      out not discharges from concentrated '
      animal feeding operations as defined in
    .  5 122^4. discharges from concentrated
     aquatic animal production facilities as .
     defined in § 122.55. discharges to
     aquaculture projects as defined in  -
     § 122£6, and discharges from
     silvicultural point sources as defined in
     5 122.53.
      (vi) Return flows from irrigated
     agriculture.
      (vii) Discharges into a privately
     owned treatment works, except as the
     t lr«L°,r,niay otherwise require under
     I 1?.7iOZ[mj.

    J 122.52  Prohibitions.
                s to State NPDES progr
     construction or operation will cause or
     con nbute to the violation of water
     quality standards. The owner or   '
     operator of a new source or new   *•
     discharger proposing to discharge intS
     water segment which does not meet

     SftS^l'^ Standards •«• is
     uoi expected to meet those standards
              -— -ipplication of the effluent
              i required by section
      No permit may be issued:
      (a] When the conditions of the permit
    do not provide for compliance, with the .
    applicable requirements of CWA. or
    "fui «,?"• Promulgated under CWA:
      IDJ When the applicant is required to
    obtain a State or other appropriate
    certification under section 401 of CWA
    and § 124.53 and that certification has
   not been obtained or waived;
     (c) By the State Director where Jhe
   Regional Administrator has objected to
     M? wC£ °f *te permit undcr 5 ^23-76;
     Idj When the imposition of conditions
   cannot ensure compliance with the
                              terstae
           -   , peilome* a Pollutant load
     llocation for the pollutants to be
    discharged, must demonstrate/before
    the dose of the public comment period.

      (1) There are sufficient remaining
   f.oll«lant load allocations to allow for
    the discharge: and                   .
   •JmI!!6 eXiStL"8 discharg«s .into that
            ar  Sub)ect to
        ™            pmen
     { I) Discharges of dredged or fill
          l?   T6? of the United Slat«
        i are regulated under section 404 of

    (Hi) The introduction of sewage
  industrial wastes, or other pollutants
  InrU P"bi'.dy owned treatment works by
  indirect dischargers. Plans or          y
  •greements to switch to this method of
  disposal in the future do not relieve
  dischargers of the obligation tb have and
  comply with permits until all discharges
  of pollutants to waters of the United
  Slates «ra eliminated. (See also
  3 322.lO(c.).) This exclusion does not
 apply to the Introduction of pollutants to
     *'5 y lVm*d tfeatal=nt works or to
    (e) When, in the judgment of the
  Secretary, anchorage and navigation in
  ZL°?™?°L*e wate" of the United
            ns of an On-Sccne
• •»»•••••* icj irouuuon oy
Hazardous Substances).
  (v) Any Introduction of pollutants
iromaon-point-source agricultural and
    (j) For the discharge of any
  radiological, chemical, or biological
  warfare agent or high-level radioactive
  wasicj
    (g) For any discharge inconsistent
  with a plan or plan amendment

    (h) For any discharge to the territorial
  tea  the waters of the contiguous zone.
  or the oceans in the following
 circumstances:
   (1) Before the promulgation of
 guidelines under section 403(c) of CWA
 (for determining degradation of the
 waters of the territorial seas, the
 contJguous.zone, and the oceans) unless
 to fa? W" d«?.m™* P*nnit issuance
 to,°?k the public interest; or
 ,,n,4  ^.Prorogation of guidelines
 under section 403(c) of CWA. when
 insuuicient information'exists to made A
 reasonable judgment whether the
 discharge complies with them.
  [I] To a new source or a new
discharger, if the discharge from its
   5122.53  Application fora permit.
     (Applicable to State NPDES programs
   **£eptflw paragraphs (bj. (c) and (h);

     (a) Duty 'to apply. Any person who
   discharges or proposes to discharge
   pollutants and who does not have an
   effective permit, except persons covered
   oy general permits under § 122.59
   excluded under § 122.51. or a user of
   privately owned treatment works unl
   the Director requires otherwise undi
   5 122.62(m). shall submit a complete
  application (which shall include a BMP
  program if necessary under 40 CFR
•  * ?.?f'.102'to the Director in accordance
  with 5 122.4, paragraphs (b) through fh)
  of this section, and Part 124.
    (b) Time to apply. Any person
  proposing a new discharge shall submit
  an application at least 180 days before
  the date on which the discharge is to
  commence, unless permission for a later
  date has been.granted by the Director.
  Persons proposing a new discharge are
  encouraged to submit their applications
  well in advance of the 180 day
 requirement to avoid delay. See also
 paragraph (h).
   (c) Duty to reapply. (1) Any POTW
 with a currently effective permit shall
submit a new application at least 180
days before the expiration date of the
existing permit, unless permission for a
later date has been granted by the
Director. (The Director shall not grant
permission for applications to be
submitted later than the expiration date
of the existing permit)
  (2) All other permittees with currently
effective permits shall submit a new
application in accordance with the table
below:

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                 Federal Register / Vol. 45. No. 98 / Monday.  May 19. 1980 / Rules and Regulations
    Permit
                AppNcanon
                             ~Oeadkr«a
-------
     33-144   .
Federal Register / VoL 45, No. 98  /Monday. May 19.  1980 / Rule, and Regulations-
     sectlon is not required to analyze fpr the
     pollutants listed in Table H of Appendix
   , D (the organic toxic pollutants).
       (B) All pollutants in Table IV of
     Appendix D (certain conventional and
     nonconventioaal pollutants).
       (iv) Each applicant must indicate
     whether it knows or has reason to
     believe that aay of the pollutants in
    Table V of Appendix D (certain
    hazardous substances and asbestos) is
    discharged from each outfalL For every
    pollutant expected to be discharged UM '
*   applicant must briefly describe the
    reasons the pollutant is expected to be
    discharged, and report any quantitative
    data it has for any pollutant
      (v) Each applicant must report
    qualitative data, generated using a
    screening procedure not calibrated with
    analytical standards, for Z3J3-
    tetrachlorodibenzo-p-dioxin (TCDDJ if
    it   ,                       .-
     (A) Uses or manufactures 2,4,5-
   • trichlorophenoxy acetic acid (2,4.5-T): Z-1
    {2,4.5-trichlorophenoxy) propanoic acid
    (Silvex. 2.4.5.TPJ: 2-{2,4.5-
    trichlorophenoxy) ethyl 2.2-
    dichloroproplonate (Erbon):
    O.O-dimetbyl O-{2.4.5-trichIorophenyl)
    phosphorolhioate (Ronnel); 2,4.5-bi-
    chlorophenol (TCP]; or hexachlorophene
.   (HCP);or                   ,
     (B) Knows or has reason to believe
   that TGDD is or may be present In an
   effluent
     (8) Small business exemption. An
   applicant which qualifies as a small
   business under one of the following •
   criteria is exempt from the requirements
   in paragraphs (d){7){ii}(A) or
   (d){7J(iii)(A) of this section to submit
   quantitative data for the pollutants
   listed in Table n of Appendix D (the
   organic toxic pollutants):
     (i) For coal mines, a probable total
  annual production of less than 100,000
  tons per year.
    (ii) For all other applicants, gross total
  annual sales averaging less than
  S100.000 per year (in second quarter
  A80 dollars).  •
    (9) Used or manufactured toxic*. A
  listing of any toxic pollutant which the
  applicant does or expects that it will
  during the next 5 years use or
  manufacture as an intermediate or Cnal
  product or byproduct
    (10) Potential discharges. A
  description of the expected levels of and
  the reasons for any discharges of
  pollutants which the applicent knows or
  has reason to believe will exceed two
  times the values reported in paragraph
  (d)(7) of this section over the next 5  '
 years.
    (11) Biological toxicity tests. An
 identification of any biological toxicity
 tests which the applicant knows or has
                          reason to believe have been made
                          within the last 3 years on any of the
                          applicant's discharges or on a receiving
                          water in relation to-a discharge.
                            (12) Contract analyses. If a contract
                          laboratory or consulting firm performed
                          any of the analyses required by
                          paragraph (d)(7) of this section, the
                          identity of each laboratory or firm and
                          the analyses performed.
                           (13} Additional information. In
                         .addition to the information reported on
                          the application form, applicants shall
                          provide to the Director, at his or her -
                         .request snch other information as the
                         Director may reasonably require to -
                         assess the discharges of the facility and
                         to determine whether to issue an NPDES
                         permit The additional information may
                         include additional quantitative data and
                         bioassays to assess the relative toxicity
                         of discharges to aquatic life and
                         requirements to determine the cause of
                         the toxicity.
                           (e) Application requirements for new
                         and exatiag concentrated animal
                         feeding operations and aquatic animal
                         production facilities. New and existing
                         concentrated animal feeding operations
                         (defined in § 122L54) and concentrated
                         aquatic animal production facilities
                         (defined in { 122J55) shall provide the
                         following information to the Director.
                         uaing the application form provided by
                         the Director
                          (1) For concentrated animal feeding   '
                        operations:
                          (i) The type and number of animals in
                        open confinement and housed under
                        roof.
                          (ii) The number of acres used for
                        confinement feeding.
                          (ill) The design basis for the runoff
                        diversion and control system, if one    •
                        exists, including the number of acres of
                        contributing drainage, the storage
                        capacity, and the design safety factor.
                          (2) For concentrated aquatic animal
                        production facilities:
                          (!) The maximum daily and average .
                        monthly flow from each outfalL
                          (if) The number of ponds, raceways.
                        and similar structures.
                          (iii) The name of the receiving water
                        and the source of intake water.
                         '(iv) For each species of aquatic
                        animals, the total yearly and maximum
                        harvestabla weight
                         (v) The calendar month of maximum
                       feeding and the total mass of food fed
                       during that month.
                         (f) Application requirements for new
                       and existing POTWs. (Reserved.]
                         (g) Application requirements for new
                       sources and new dischargers.
                       (Reserved.)
                         (h) Special provisions for applications
                       from new sources.
     (1) The owner or operator of any
   facility which may be a new source (a
   defined in § 122.3) and which is ioc  '"
   in a State, without an approved NP!
   program must comply with the
   provisions of this paragraph.
     (2)(i) Before beginning any on-site
   construction as defined in 5 122.66. the
   owner or operator of any facility which
   may be a new source must submit
   information to the Regional
   Administrator so that he or she can
   determine if the facility is a new source.
   The Regional Adminstrator may request
   any additional information needed to
   determine whether the facility is a new'
   source.
     (ji) The Regional Administrator shall
   make an initial determination whether
   Uae facility is a new source within 30   •
   days of receiving all necessary
   Information under paragraph (hjfZUi) of
   this section.
     (3J The Regional Administrator shall
   issue a public notice in accordance with
   5 124.10 of the new source determination
   under paragraph  (h)(2) of this section. If
   the Regional Administrator has
  determined that the facility is a new
  source, the notice shall state that the
  applicant must comply with the
  environmental review requirements of
  40 CFR Part 6.600 et seq.
    (4) Any interested person may
  challenge the Regional Administrator's
  initial new source determination by   '
  requesting an evidentiary hearing un«
 . Subpart E of Part 124 within 30 days o
  issuance of the public notice of the
  initial determination. The Regional
  Administrator may defer  the evidentiary
  hearing on the determination until after
  a final permit decision is made, and
  consolidate the hearing on the
  determination with any hearing on the
  permit
   (i) Variance requests by non-POTWs.
  A discharger which is  not a publicly
  owned treatment works (POTVV) may
 request a variance from otherwise
 applicable effluent limitations under any
 , of the following statutory  or regulatory
 provisions within the times specified in
 this paragraph:
   (1) Fundamentally different factors. A
 request for a variance based on the
 presence of "fundamentally different
 factors'! from those on which the
 effluent limitations guideline was based
"shall be made by the close of the public
 comment period under § 124.10. The
 request shall explain how  the
 requirements of 1124.13 and 40 CFR
 Part 125, Subpart D have been met
   (2) Non-conventional pollutants. A
 request for a variance from the BAT
 requirements for CWA section
 301(b)(2)(F) pollutants (commonly called
 "non-conventional" pollutants) p	*

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                 Federal Renter / Vol. 45. No. 98 / Monday. May lg. IQSQ / Rde9 and Regulation,
    to section 30I(c) of CWA because of the
   • economic capability of the owner or
    operator, or pursuant to section 301(g) of
    CWA because of certain environmental
    considerations, when those
    requirements were based on effluent
    limitation guidelines, must be made by:
      (i) Submitting an initial request to the
    Regional Administrator, as well as to
  •  the State Director if applicable, stating
    the name of discharger, the permit
    number, the outfall numbers), the
    applicable effluent guideline, arid
    whether the discharger is requesting •
>    section 301(c) or section 30i(g)
    modification or both. This request must
    have been filed not later than:
      (A) September 25,1878. for a pollutant
    which Is controlled by a BAT effluent
   .limitation guideline promulgated before
   December 27,1977; or
      (B) 270 days after.promulgation of an
   applicable effluent limitation guideline
   for guidelines promulgated after
   December 27.-1977; and
     (H) Submitting a completed request  no
   later than the close of the public
   comment period under § 124.10
   demonstrating that the requirements of
   S 124.13 and  the applicable requirements
   of Part 125 have been met
     (iii) Requests for variance from
   effluent limitations not based on effluent
   •limitation guidelines, need only comply
 .  w«b paragraph (i)(2)(ii) of this section
   and need not be preceded by an initial
   request under paragraph (i)(2)(i) of this
   section.      -    .
    (3) Delay in construction of 'POTW.   •
   An extension under CWA section
   301(1X2) of &• statutory deadlines in
   ^a.°« ^KIKA) or (b)ClKQ of
   CWA based on dslay in completion of a
   POTW into which the source is to
   discharge must have been requested on
   « oefore June 28.1878. or 180 days after
   the relevant POTW requested an
   extension under paragraph (j)(2) of this  '
   section, whichever is later, but in no
  event may this date have been later than
  December 25.1978. The request shall
  explain how the requrements of 40 CFR
  Part 125. Subpart J have been met
    (4) Innovative technology. An
  extension under CWA section 301(k)
  from the statutory deadline of Section
  301(b)(2)(A) for best available
  technology based oh the use of
  innovative, technology may be requested
 no later than the close of the public
  comment period under j 124.10 for the
 discharger's initial permit requiring
 compliance with section 301{b)(2)(A).
 The request shall demonstrate that the
 requirements of 5 124.13 and Part 125.
 Subpart C have been met
   (5) Water quality related effluent
 limitations. A modification under
 section 302(b)(2) of requirements under
    section 302(a) for achieving water
    quality related .effluent limitations may
    be requested no later than the close of
    the public comment period under
    § 124.10 on the permit from which the
    modification is sought
     (6) Thermal discharges. A variance
    under CWA section 316(a) for the
    thermal component of any discharge
    must be filed with a timely application
    for a permit under this section, except
    that if thermal effluent limitations are
    established under CWA seption
    402(a](l) or an based on water quality
    standards the request for a variance
   may be filed by the close of the public
   comment period under S 124.10. A copy
   of the request as required under 40 CFR
   Part 125, Subpart H. shall be sent
   simultaneously to the appropriate State
   or interstate certifying agency ar -
   required under f40 CFR Part 125. (See
   § 124.05 for special procedures for
   section 316(a) thermal variances.)
     0) Variance requests by POTWsl A
   discharger.which is  a publicly owned
   treatment works (POTW) may request a
   variance from otherwise applicable
   effluent limitations under any of the
   following statutory provisions as
   specified in this paragraph:
     (1) Discharges into marine waters. A
   preliminary request for a modification
   under CWA section  301(h) of
   requirements of CWA section
   301(b)(l)(BJ for discharges into marine
   waters must have been submitted to the
  Agency no later than September 25,
  1878. A final request must be submitted
  in accordance with the filing
  requirements of 40 CFR Part 125.
  Subpart G. after that Subpart is
  promulgated, and shall demonstrate that
  all the requirements of 40 CFR Part 125.
  Subpart G have been met (See $ 124.64
  for special rules for CWA section 301(h)
  modifications.)
    (Z) Delay in construction. An  -'  •
  extension under CWA section 30l(i)(i)
  of the statutory deadlines in CWA
  sections 301(b)(l)(B) or {b)(l)(q based
  on delay in the construction of-the
  POTW must have been requested on or
  before June 28,1978,   .
   , (3) Water quality based effluent
 limitation. A modification under GWA
  section 302(b)(2) of the requirements
 under section 302(a) for achieving water
. quality based effluent limitations shall
 be requested no later  than the dose of
 the public comment period under
 S 124.10 on the permit from which the
 modification is sought
   00 Expedited variance procedures
 and time extensions. (1)
 Notwithstanding the time requirements
 in paragraphs (i) and 0) of this section.
 the Director may notify a permit
 applicant before a draft permit is issued
                                                                                                               33445
   under § 124.6 that the draft permit will
   likely contain limitations whichTare
   eligible for variances. In the notice the
   Director may require the applicant as a
   condition of consideration of any
   potential variance request to submit a  "
   "questexplaining how the requirements
   of 40 CFR Part 125 applicable to the
   variance have been met and may
   require its submission within a specified
   reasonable time after receipt of the
,   notice. The notice may be sent before
   the permit application has been
   submitted. The draft or final permit may
   contain the alternative limitations which
   may become effective upon final grant
   of the variance.
    (2) A discharger who cannot file a
   complete request required under
   paragraphs (i)(2)(ii) or (i)(2)(iii) of this
   section may request an extension. The
   extension may be granted or denied .at
   the discretion of the  Director.
   Extensions shall be no more than 6
   months in duration.

   J 122.54  Concentrated animal feeding
  operations.

    (Applicable to State NPDES programs
,  see §12X7.)                         '
    (a) Permit requirement. Concentrated
  animal feeding operations are point
  sources subject to the NPDES permit
  program.
   (b) Definitions.
   (1) "Animal feeding operation" means
  a lot or facility (other than an aquatic
  animal production facility) where the
  following conditions are met:         •
   (i) Animals (other than aquatic
  animals) have been, are, or will be       :
  stabled or confined and fed or
  maintained for a total of 45 days or more
  in any 12-month period, and
   (ii) Crops, vegetation forage growth, or
  post-harvest residues are not sustained
  in the normal growing season over any
  portion of the lot or facility.
   (2) Two or more animal feeding
  operations under common ownership
 are considered, for the purposes of these
 regulations, to be a single animal
 feeding operation if they adjoin each
 other or if they use a common area or
 system for the disposal of wastes.
   (3) "Concentrated animal feeding
 operation" means an "animal feeding
 operation" which meets  the criteria in
 Appendix R or which the Director
 designates under paragraph (c) of this
 section.
   (c) Case-by-case designation of   '
 concentrated animal feeding operations.
 (l)_The Director may designate any
 animal feeding operation as a
 concentrated animal feeding operation
 upon determining that it is a significant
 contributor of pollution to the waters of
 the United States. In making this

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      33448
     «•••••••
     	——	,—-^^
     designation the Director shall consider
     the following factors:
       d) The size of the animal feeding
     operation and the amount of wastes
     reaching waters of the United States:
       (UJ The location of the animal feeding
     operation relative to waters of the
     United Stater,
       (ill) Tin means  of conveyance of
     *£lmal wastes and process waste
     waters into waters of the United States:
       (ivj The slops, vegetation, rainfall, and
     other factors affecting the likelihood or
     frequency of discharge of animal wastes
    and process waste waters Into waters of
 .  the United States;  and
  *   (v) Other relevant factors.
      (2) No animal feeding operation with
    less than th» numbers of animals set
    forth in Appendix B shall be designated
    as a concentrated animal feeding
    operation unless:
     (i) Pollutants are discharged into
    waters of the United States through a
    manmade ditch, flushing system, or
    other similar manmade device: or
     (ii) Pollutants are discharged directly  '
    into waters of the United States which
    originate outside of the facility and  pass
   over, across, or through the facility or
   otherwise come into direct contact with
   Uie animals confined in the operation.
     (3) A permit application shall not be
  required from a concentrated animal
  feeding operation designated under this
  paragraph until !ha Director has'
  conducted an on-site inspection of the
  operation and determined that the   •
  operation should and could be regulated
  under the permit program.    fcsu'^ca
     tvr                   °Srani9-
    (a) Permit requirement. Concentrated
  aquatic animal production facilities, as
  defined in this section, are point sources

  M        *   "
       (ii) The holding, feeding, and
     production capacities of the facility:
       (in) The quantity and nature of the
     pollutants reaching waters of the United
     States: and
       (iv) Other relevant factors.
       (2) A permit application shall not be
     required from a concentrated aquatic
     animal production facility designated •
     under this paragraph until the Director
     has conducted on-site Inspection of the
     facility and has determined that the
    facility should and could be regulated
    under the permit program.'

    f'22£f  AqtacuKur* presets.
     (AppKeabl* to State NPDES programs.
   &C9 y 12X7.)
     (a) Permit requirement. Discharges
   into aquaculture projects, as defined in
   this section, are subject to the NPDES
   permit program through section 318 of
   CWA. and in accordance with 40 CFR
   Part 125. Subpart B.
     (b) Definitions. (1) "Aquaculture
   projecr'means a defined managed
   water area which uses discharges of
   pollutants into that designated area for
   the maintenance or production of
   harvestaWe freshwater, estuarine. or
   marine plants or animals.
     (2) "Designated project area" means
   the portions of the waters of the United
   States within which the permittee or
   permit applicant plans to confine the
   cultivated species; using a method or
   plan or operation (including, but not
   limited to, physical confinement) which.
  on the basis of reliable scientific
  evidence, is expected to ensure that
  specific individual organisms comprising
  an aquaculrare crop will enjoy increased
  growth attributable to the discharge of
  pollutants, and ba harvested within a
  defined geographic area.
     conduits, ditches, and channels)
     primarily used for collecting and
     conveying storm water runoff and whi
     is either
      Ii) Located in an urbanized areas'aa
     designated by Ihe Bureau of the Census
     SflRnpninn f»% *!*** __Ji	•  •  __ -
          Separata storm Mwvrs.
         r  v                    n
         finition. "Concentrated aquatic
 animal production facility" means a
 hatchery, fish farm, or other facility
 which meets the criteria in Appendix C.
 or which Iht Director designates under
 paragraph (c) of this section.
   (cj Case-by-case designation of
 concentrated aquatic animal production
 facilities. (1) The Director ma>
 designate any warm or cold water   •
 aquatic animal production facility as a
 concentrated aquatic animal production
 facility upon determining that it is a
significant contributor of pollution to
waters of the United States. In making
this designation theDirector shall
"M! ?<£* ?* following factors:
  IU The location and quality of the
receiving waters of the United States;
 — j 123.7.)
   (a) Permit requirement. Separate
 storm sewers, as defined in this section
 are point sources subject to the NPDES
 permit-program. Separate storm sewers
 may be permitted either Individually or
 under a t?en*»rfll n*****?* /*.,.,. * ««•** ».»*  *
 w££c aeaeral pennlt (see 5 122.59). An
 NPDES permit for discharges into
 waters of the United States from a
 separate storm sewer covers all
 conveyances which are a part of that
 separate storm sewer system, even
 though there may be several owners or
 operators of these conveyances.
 However, discharges into separate
 storm sewers from point sources which
 are not part of the separate storm sewer
 8yn!tm£?ay. Paragraph
    (b){3) ef this section, a conveyance or
    system of conveyances opera ted
    primarily for the purpose of collecting
    and conveying storm water runoff which
    is not located in an urbanized area and
 .   has not been designated by the Director
    under paragraph (c) of this section is not
    considered a point source and is not
    subject to the proviaions of this section.
     (3) Conveyances which discharge
   process wastewater or storm water
   .runoff contaminated by contact with
   wastes, raw materials, or pollutant-
   contaminated soil, from lands or
   facilities used.for industrial or
   commercial activities, into waters of the
   .United States or into separate storm
   sewers are point sources that must
   obtain NPDES permits but are not
   separate storm sewers.
    (•*) Whether a system of conveyances
  is or is not a separate storm sewer for
  purposes of this section shall have no
  bearing on whether the system is
  eligible for funding under Title II of
  CWA; see 40 CFR { 35.925-21.
    (c) Case-by-case designation of
  separate storm sewers. The Director
  may designate a storm sewer not
  located in an urbanized area as a'
  separate storm sewer. This designation
  may be made to the extent allowed or
  required by EPA promulgated effluent
 guidelines for point sources in the
 separate storm sewer category: or when:
    (1) A Water Quality Management plan
 under section 208 of CWA which
 contains requirements applicable to
 such point sources is approved; or
   (2) The Director determines that a
 storm sewer Is a significant contributor
 of pollution to the waters of the United
 States. In making this determination the
 Director shall consider the followins
 factors:                       .   ,
   (i) The location of the discharge with   '
 respect to waters of the United States:
   (ii) The size of the discharge:
   OH) The quantity and nature of the
pollutants reaching waters of the United
States; and
  (iv) Other relevant factors.

5 122.58 . snvfeuftural actlvJWes.
  (Applicable to State NPDES programs.
see 5 123.7.)
                                                                                                                   
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                Federal Register / VoL 45. No. 98 / Monday. May 19. IJWQ /
        lal Permit requirement. Silviculture!
      point sources, as defined in this section.
      are point sources subject to the NPDES
     ' permit program, • •           .
        (t] Definitions. (\) "Silvicultural point-
      source" means any discernible.
     , confined, and discrete conveyance
      related to rock crushing, gravel washing.
      log sorting, or log storage facilities '
    - which are operated in connection with
     silvicultural activities and from which
     pollutants are discharged iato waters of
     the United States. The term does not
     include noa-point source silvicultural
     activities such as nursery operations,  "  -
     site preparation, raforestatiaa and
     subsequent.cultural treatment, thinning,
     prescribed burning, pest and Cta coniroL
     nanresffcg operations, surface drainage.,
     or road construction and maintenance
     from which there is natural runof£
     However, some of these activities (such
     as stream crossing for roads) may
     involve point source discharges of
    dredged or fill material which may
    re,c£™ ! CWA 8ection «°* P«™»* (**
    33 CFR § 209J20 and Part 123; Suhpart
    EJ.
      (2J "Rock crushing and gravel washing
    facilities" means facilties which process'
    crushed and brok'en stone, gravel, and
    riprap (see 40 CFR Part 438. Subpart a
    includiijg the effluent limitation*
    guidelines).
      (3) tog sorting'and log storage
   facilities" means facilities whose
   discharges result from the holding, of
   unprocessed wood, for example^lessee
   ™«ndwood withbark or aftericemoval
  •±SJ±^5SS?ta*J'««a-«f
or
                                        .
       (v) Standard metropolitan statistical
     areas as defined by the Office of
     Management and Budget:
     .  (vi) Urbanized areas as designated by
     the Bureau of the Census according to
     ^.te^Jo » f* 1S202 (May 1.1S74); or
       (vri) Any other appropriate division o
     combination of boundaries.
  •    (2) Source*. The general permit shall
    be wntten to regulate, within the area
    described fa paragraph (a)(l) of thisx
  •_ section, either
     (i) Separate storm sewers; or
     (11) A category of point sources other
    than separate storm sewers if the
    sources alt
     (A) Involve the same or substantially
    similar types of operations:
  ,   tBjrJ»aeh«rg*tk« same types of  *
    wastesi
     (C) Require the same effluent
    limitations or operating conditions;
     (D) Require the same or similar
   monitoring; and             .
     (E) In the opinion of the Director, are
  • more appropriately controlled under a
   general permit than under individual
   permits.
     (b) Administration.—{\) In geoeral.
   General permits may be issued.
   modified, revoked and reissued, or
   terminated in accordance with
  applicable requirements of Part 124 or
  corresponding State regulations. Special
  procedures for Issuance are found at
  § 12X75 far States and § 124.55 for EPA.
                                                                                          -             !BI« Of this
                                                                                   tion, only ,f the o^imer or operator
                                                                                nas been notified in writing that a
                                                                                permit application is required. This
                                                                                nohc. shall include a brief statement of
                                                                                the reasons for this decision, an
                                                                                applicatiortformi a statement setting a
                                                                                toe for the owner or operator to fill the
                                                                               e?r£^°,1n*.aa(, lstalement tbat on «»»
                                                                               effective date of the individual NPDES
                                                                               Sf-f^i •!.8eferaJ P*™" « "applies «o
                                                                               the individual permittee shall
                                                                               automatically terminate. The Director
                                                                                 (iii) Any owner or operator authorized
                                                                        (i)
 -. u
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     33448
Federal  Register / VOL 45. No. 98 / Monday. May 19. 1980 / Rules and
     condition Implementing sections 301.
     302,306.307.308,318. or 405 of the Clean
     Water Act is subject to a civil penalty
     not to exceed S100.000 per day of such
     violation. Any person who willfully or
     negligently violates permit conditions
     implementing sections 3Q1,302.306.307,
     or 303 of the Clean Water Act is subject
     to m fine of not less than 52.500 nor more
     than 525.000 per day of violation, or by
     imprisonment for not more than 1 year.
     orbojh.
      (b) In addition to f  122.7fc) (duty to
    bait or reduce activity), upon reduction.
    lots, or failure of the treatment facility.
    the permittee shall to the. extent
    necessary to maintain compliance with
    its permit, control production or all
    discharges or both until the facility Is
    restored or an alternative method of
    treatment is provided. This requirement
    applies, for example, when the primary
    source of power of the treatment facility
    fails or is reduced or lost.
      (cj In addition to S 122.7(j)
    (monitoring):
      (1) Monitoring must be conducted
    according to test procedures approved
    under 40 CFR Part 136, unless other test
    procedures have been specified in this
    permit.
     (2) The Clean Water Act provides that
    *ny person who falsifies, tampers with. •
   or knowingly renders inaccurate any
   monitoring device or method requlrcd'to
   be maintained under this permit shall,
,   upon conviction, be punished by a fine
   of not more than $10,000 per violation, or
   by Imprisonment for not more than 0
   months per violation, or by both.
     (d) In addition to 112i7(k)
   (sfgna lories): th« Clean Water Act
   provide* that any person who
   knowingly make* any false statement.
   representation, or certification in any
   record or other document submitted or
   required to be maintained under this   •
   permit. Including monitoring reports or
  reports of compliance or non-
  compliance shall, upon conviction, be
  punished by a fine of not more than
  510,000 per violation, or by
  Imprisonment for not more than 6
  months per violation, or by both.
    (e) In addition to 1122.7(1)(3)
  (monitoring reports):
    (1) Monitoring results must be
  reported on a Discharge Monitoring
  Report (DMR).
    (2) If the permittee monitors any
  pollutant more frequently than required
  by the permit, using test procedures
  approved under 40 CFR 138 or as
  specified in the permit, the results of this
  monitoring shall be included In the
  calculation and reporting of the data
 submitted in the DMR.
    (3) Calculations for all limitations
 which require averaging  of
                          measurements shall utilize an arithmetic
                          mean unless otherwise specified by the
                          Director in the permit
                            (f)(l) The following shall be included
                          as information which must be reported
                          within 24 hours under S 122.7(l)(5) (24-
                          hour reporting):
                            (5) Any unanticipated bypass which
                          exceeds any effluent limitation in the
                          permit (See § 122.60(g) below.)
                           (ii) Any upset which exceeds any
                         effluent limitation in the permit
                           (iii) Violation of a maximum daily
                         discharge limitation for any of the
                         pollutants listed by the Director in the
                         permit to be reported within 24 hours.
                         (See i 122.B2(g).)
                           (2) The Director may waive the
                       .  written report on a case-by-case basis if
                         the oral report has been received within
                         24 hours. •'
                           (g) Bypass—{!) Definitions, (i)
                         "Bypass" means the intentional
                         diversion of waste streams from any  •
                         portion  of a treatment facility.
                         •  (ii) "Severe property damage" means
                         substantial physical damage to property,
                         damage to the treatment facilities which
                         causes them to become inoperable, or
                         substantial and permanent loss of
                         natural resources which can reasonably
                         be expected to occur in the absence of a
                        bypass. Severe property damage does
                        not mean economic loss caused by
                        delays in production.
                          (2) BypoM not exceeding limitations.
                       The permittee may allow any bypass to
                       occur which doe* not cause effluent
                       limitations to be exceeded, but only if it
                       also is lor encoiial maintenance to
                       assore efficient operation. These
                       bypanee are not subject to the
                       provisions of paragraph* (g)(3) and (g)(4)
                       of this section.
                          (3) Notice.—(i) Anticipated bypass. If
                       the permittee knows in advance of the
                       need for a bypass, it shall submit prior
                       notice. If possible at least ten days
                       before the date of the bypass.
                        . (ii) Unanticipated bypass. The
                       permittee shall submit notice of an
                       unanticipated bypass as required in
                      • paragraph (f) of this section (24-hour
                       notice).           •
                         (4) Prohibition of bypass, (i) Bypass is
                       prohibited, and the Director may take
                       enforcement action against a permittee
                       for bypass, unless:
                        (A) Bypass was unavoidable to
                       prevent loss of life, personal injury, or
                       severe property damage:
                        (B) There were no feasible
                       alternatives to the bypass, such as the
                       use of auxiliary treatment facilities.
                       retention of untreated wastes, or
                       maintenance during normal periods of
                       equipment downtime. This condition is
                      not satisfied if the permittee could have
                      installed adequate backup equipment to
   prevent a bypass which occurred during
   normal periods of equipment downti,
   or preventive maintenance: and   4
     (C) The permittee submitted non'L
   as required under paragraph (g)(3) of
   this section.
     (ii) The Director may approve an
   anticipated bypass, after considering its
   adverse effects, if the Director
   determines that it will meet the three
   conditions listed above in paraBranh
   fe)[4)(i) of this section.        ^P
     (h) Upset—{!] Definition. "Upset"
   means an exceptional incident in which
   there is unintentional and temporary
   noncompliance with technology-based
   permit effluent limitations because of
   factors beyond the reasonable control of
   the permittee. An upset does not include
   noncompliance to the extent caused by
   operational error, improperly designed
   treatment facilities, inadequate
   treatment facilities, lack of preventive
  maintenance, 'or careless or improper
  operation.
  .  (2) Effect of an upset. An upset
  constitutes an affirmative defense to an
  action brought for noncompliance with
  such  technology-based permit effluent
  limitations if the requirements of
  paragraph (h)[3) of this section  are met.
  No determination made during
  administrative review of claims that
  noncompliance was caused by upset,
  and before an action for noncompliar
  is final administrative action subject/
. judicial review.
   (3) Condition* necessary for a
  demonstration of upset. A permittee
  who wishes to establish the affirmative
  defense of upset shall demonstrate,
  through properly signed,
  contemporaneous operating logs, or
 other relevant evidence that:
   (i) Art upset occurred and that the
 permittee can identify the specific
 cause(s) of the upset:
   (ii) The permitted facility was at the
 time being properly operated: and
   (iii) The permittee submitted notice of
 the upset as required in paragraph (f) of
 this section (24-hour notice).
   (iv) The permittee complied with any
remedial measures required.under    •
 Sl22.7(d).
   (4) Burden of proof. In any
enforcement proceeding the permittee
seeking to establish the occurrence of an.
upset has the burden of proof.

§ 122.61  Additional conditions applicable
to specified categories of NPOES permits.
   (Applicable to state NPDES programs.
see S 123.7.)
  The following conditions, in addition
to those set forth in § 122.7 and § 122.60.
apply to all NPDES permits within the
categories specified below:

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      [a] Existing manufacturing.
    commercial, mining.'and silviculture!
    dischargers. In addition to the reporting
    requirements under § 122.7(1) and
    5122.60. all existing manufacturing.
    commercial, mining, and silviculture!
    discharger* must notify the Director as
    soon as they know or have reason to
  , believe
     (1) That any activity has occurred or
    will occur which would result in the
    discharge of any toxic pollutant which Is
   not limited m the permit, if that
   discharge will exceed the highest of the
   following "notification levels:"
     (i) On* hundred micrograms per liter
   [100 US/1];                  .-.'.,.'
     (ii) Two hundred mlcrograms per liter
   (200 pg/l) foe acrolein and acrylonitrile;
   five hundred mkrograms,per liter (500
   Mg/1) foe 2.4-dinitrophenol and tor Z-
   methyl-4.e-diiiitrophenol; and one
   miingram per liter (1 mg/1] for
   antimony;           .
     (iii) Five (3) times the maximum
   concentration value reported for that
   pollutant in the permit application in
   accordance with 5l22J3{d]f71 or
  .5 122.53(d)(10J: or            •
    (iv) The level established by the
  Director in accordance with 5  122.62(f).
    (2) That they have begun or expect to
  begin to use or manufacture as an
  intermediate or final product or
  byproduct any toxic pollutant which
  was not reported in the permit
  application under i I22£3(d](9).
    (b) Publiclyownedtreatment works.
  All POTWs must provide adequate
  notice to the Director of the following:
-   (11 Any new introduction of poDutants
  into that POTW from an indirect
  discharger which would be subject to
  sectioni 301 or 306 of CWA if it were
 directly discharging those pollutants;
 and              •           '   •
   (2) Any substantial change in the
 volume or character of pollutants beina
 introduced into that POTW by a source
 introducing pollutants into the POTW at
   •3me -rf t*"**0* rf the Permit
   (3) For pnrrumi of this paragraph.
 adequate notice s&aQ mered*
 information on (i) tfa» quality and
 qjjjnstirr of effluent  introduced into the
 POTIV. and (ii) any anticipated impact
 of the change on the quantity or quality
Affluent to be discharged from the
§122.62  Establishing NPDES permit
conditions.
  (Applicable to State NPDES programs,
see j 123.7*)   .
  In addition to the conditions
established under § I22£(a), each
NPDES permit shall include conditions
      (a) Technology-based effluent
    limitations and standards based on -
  .  effluent limitations and standards
    promulgated under section 301 of CWA
    or new source performance standards
    promulgated under section 306 of CWA.
    on case-by-case effluent limitations
    determined under section 402fa)(l) of
    CWAi or on a combination of the two. in
    accordance with §125.3. For new ,
    sources or new dischargers, these
    technology based limitations and
   standards are subject to the provisions -
   «112i87fd) (protection period).
     (b) Other effluent limitations and
   standard* voter sections 301.302.303.
   307.318. and 405 of CWA. If any
   applicable tc«ie effluent standard or
  prohibition (including any schedule of
  compfiance specified in such effluent
  standard or prohibition) is promulgated
  under section 307f,«) of CWA for a toxic
  poCctant and thai standard or
  prohibition is more stringent than any
  limitation on the.pollutant in the permit
  the Director shall institute proceedings
  under these regulations to modify or •
  revoke and reissue'the permit to
  conform to the toxic effluent standard or •
  prohibition. See also 1122.60(8).
                            -—    •——-^-^
      (3) The Director shall promptly modify
    or revoke and reissue any permit
    containing the clause required under
    Paragraph (c)(l) of this section to
    incorporate an applicable effluent
    •""J~J or limitation under sections
    **•/ ••fc**f'w-ic*' V4wu#c* tor any
  discharger within a primary industry
  category (see Appendix A).
  requirements under section 307(a)(2) of
  CWA as follows:
    (1) Ot or before June 3O. J981: (5) If
  applicable standards or limitations have
  nf*i& . n P.ro°»u!gated. the permit
  shall mchtd* a condition stating that if
  an applicable standard or limitation  is
  promulgated undersections 301(b)(21 fCl
  and (D). 304(b)(2). and 307(a)(2) and that
  effluent standard or limitation is more
  stringent than any effluent limitation in
  the permit or controls a pollutant not
  limited in the permit the permit shall be
  promptly modified or revoked and
 reissued to conform to that effluent
 standard or limitation.
   (if).If applicable standards or
 limitations have been promulgated or
 approved, the permit shall include those
 standard* or limitations. (If EPA
 ^PPffv*" wasting effluent limitations or
 decades not to develop new effluent
 Umitations. it will publish a notice in the
 Federal Register that the limitations are
  approved" for the purpose of this
 regulation.)
  (2) After June 30.1981, any permit
 issued shall include effluent limitations
 and a compliance schedule to meet the
 requirements of sections 301(b)(2) (A).
 (CJ. (D). (E) and (F) of CWA. whether or
 not applicable effluent limitations
 guidelines have been promulgated or  -
approved. These permits need not   '
incorporate the cjause required by
paragraph (c)(l) of this section.
         r,«  f'. *_      ^^* *\"*M"|< «IIJI
       . ,.2j which is promulgated or
   approved after the permit is issued if .
   that effluent standard or limitation is
   more stringent than any effluent
   limitation in the permit or controls a
   pollutant not limited in the permit
     (d) Water quality standards and State
   requirements: any requirements in
   addition to or more stringent than
   promulgated effluent limitations
   guidelines or standards under sections
   301. 304. 306.307. 318. and 405 of CWA
   necessary tor   ,        .          ;
     (1) Achieve water quality standards
   established under section 303 of CWA;
     (2) Attain or maintain a specified
   water quality through water quaiity-
   related effluent limits established under
   section 302 of CWA;
     (3) Conform to the conditions of a  •
   State certification under section 401 of
•   CWA which meet the requirements of
   ! 124.53 when EPA is the permit issuing
   authority: however, if a State ''
  certification is stayed by a court of  •
  .competent jurisdiction or appropriate
  State board or agency. EPA shall include
  conditions in the permit which may be
  necessary to meet EPA's obligation
  under section 301(b)(l)(q bf CWA;
    (4) Conform to applicable water
  quality requirements under section
  4OT(aH2) of CWA when the discharge   .
  affects a State other than the certifyinH
  State:                 ' ,   •       °
   (5) Incorporate any more stringent
  limitations, treatment standards, or
  schedule of compliance requirements
  established under Federal or State law
" or regulations in accordance with
  section 301(b)(lJ(C) of CWA:    .
   (6) Ensure consistency with the
  requirements of a Water Quality
 Management plan approved by EPA
 under section 208{b) of CWA;
   (7) Incorporate section 403(c) criteria
 under Part 125. Subpart M, for ocean
 discharges;
   (8) Incorporate alternative effluent
 limitations or standards where
 warranted by "fundamentally different
 factors." under 40 CFR Part 125. Subpart

   (9) Incorporate any other
 requirements, conditions, or limitations
 into a -new source permit under the
 National Environmental Policy Act 42
 U.S.C. §§ 4321 etseq. and section 511 of
 CWA. when EPA is the permit issuing
authority (see § 122.88).
 .  (e) Toxic pollutants: limitations
established under paragraphs (a), (b). or

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  33450      P^^-t Regis(                         ...






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  owned treatment works, in accordance
•  with any applicable regulations.
    (p) Coast Guard. When a permit is
  issued to a facility that may operate at
  certain times as a means of
 .transportation over water, a condition
  that the discharge shall comply with any
  applicable regulations promulgated by
 the Secretary of the department in
 which the Coast Guard is operating, that
 establish specifications for safe
 transportation, handling, carriage, and
 storage of pollutants.
   (cj Navigation. Any conditions  that
 the Secretary of the Army considers   '
 necessary to ensure that navigation and
 anchorage will not be substantially
 impaired, in accordance with $ 124.58.
    conditions.
    ^(Applicable to State NPDES programs.

      (a) Outfalls and discharge points. All
    permit effluent limitations, standards.
    and prohibitions shall be established for
    each outfall or discharge point of the
    permitted facility, except as otherwise
    provided under 5 122.62(k)(2) (BMPs
    where limitations, are infeasiblej and
    paragraph (i) of this section (limitations
—  on internal waste streams).
    w (b) Production-based limitations. (11
    In. the case of POTWs. permit
    Iimitaihonsi.standards, or prohibitions
   shall be calculated based on design

 ,   (2) Except in the case of POTWs.
   calculation of any permit limitations.
   standards, or prohibitions which are
   based on production (or other measure
   of operation), shall be based not upon
   tne designed production capacity but
   rather upon a reasonable measure of
   actual production of the facility, such as
   the production during the high month of
   the previous year, or the monthly
 •  average for the highest of the previous 5
  years. For new sources or new
  dischargers, actual production shall be
  estimated using projected production.
  The time period of the measure of
  production shall correspond to the time
  period of the calculated permit
  limitations; for example, monthly
 . production shall be used to calculate
  average monthly discharge limitations
    (c) Metals. All permit effluent
  Imitations standards, or prohibitions
 5 A T  "I ShaU,be exPressed in terms
 of the total metal (that is. A.e sum  of &
 dissolved and suspended fractions of
 the metal) .unless:
    (1) An applicable effluent standard or
 limitation has been promulgated under
 CWA and specifies the limitation for the
 mffi? th.e.d/"«?lved or valent form; or
   (2) In establishing permit limitations
 on a case-by-case basis under § 125.3  it
    is necessary to express the limitation on
    the metal in the dissolved or valent form
    m order to carry out -the provisions of
    CWA.
      (d) Continuous discharges. For
    continuous discharges all permit effluent
    limitations, standards, and prohibitions.
    including those necessary to achieve
    water quality standards, shall unless
    impracticable be stated as:
      (!) Maximum daily and average
    monthly discharge limitations for all
    dischargers other than publicly owned
    treatment worlds; and
     (2) Average weekly and average
   monthly discharge limitations for
   POTWs.
   •  (e) Non-continuous discharges.
   Discharges which are not continuous, as
   defined in J 122.3, shall be.particularly
   described and limited,  considering the
   following factors, as appropriate:
     (1) Frequency (for example, a batch
   discharge shall not occur more than
   once every 3 weeks);
    (2) Total mass (for example, not to
   exceed 100 kilograms of zinc and 200
,   kilograms of. chromium"  peciatch
   discharge):
    (3) Maximum rate of discharge  of
  pollutants during the  discharge (for
  example, not to exceed  2 kilograms of
  zinc per minute); and
    (4) Prohibition or limitation of
  specified pollutants by mass,
  concentration, or other appropriate
  measure (for example, shall not contain
  at any time more than 0.1 mg/1 zinc or
  more than 250 grams (1/4 kilogram) of
  zinc in any discharge).
    (f) Mass limitations, (l) All pollutants
  limited in permits shall have limitations,
  standards, or prohibitions  expressed in'
  terms of mass except
   (i) For pH. temperature, radiation, or
 other pollutants which cannot
 appropriately be expressed by mass:
   (11J When applicable standards and
 limitations are expressed in terms of
 other units of measurement; or
   (iii) If in establishing permit
 limitations on a case-by-case basis
 under § 125.3. limitations expressed in
 terms of mass are infeasible because the
 mass of the pollutant discharged cannot
 oe related to a measure of operation (for
 example, discharges.of TSS from certain
 mining operations), and permit
 conditions ensure that dilution will not
   ,U,S«d,fS a 8ubstitute  for treatment
  (2) Pollutants limited in terms of mass
additionally may.be limited in terms of
other units of measurement, and the
permit shall require the permittee to -
comply with both limitations.
  (g) Pollutants in intake water. Except
  t npni/iria*f **• —	—	i_ ** » •> .• .   "
                                                                                    permits shall not be adjusted for
                                                                                    pollutants in the intake water.
                                                                                     f A- NJ? li'nitations- P) Upon request
                                                                                    of the discharger, effluent limitations or
                                                                                    !11? rr, Vmposed toapenntt shall be
                                                                                    calculated on a "net" basis: that is.
                                                                                    fn ,K $? '? refle« «»««* for pollutants
                                                                                    in the discharger's intake water, if the
                                                                                    discharger demonstrates that its intake
                                                                                    water is drawn from the same body of
                                                                                    Vater into which the discharge is made

                                                                                     (i)(A) The applicable effluent
                                       ***•* - ——-«*••*«• 44* **f*mie? water* nx<
                                     as provided in paragraph (h) of this
                                     section, effluent limitations imposec
                                                                   iposed in
     (B) The discharger demonstrates that
   po utants present in the intake xvater
   will not be entirely removed by the
   teafment systems operated by the
   discharger, and
     (ii) The permit contains conditions
   requiring:
     (A) The permittee  to conduct
   additional monitoring (for example, for
  .flow and concentration of pollutants) as
   necessary to determine continued
   eligibility for and compliance With any
   such adjustments; and
   ^•(B)  The permittee to notify the
   Director if eligibility for an adjustment
   under this section has been altered or no
  longer exists. In that case, the permit
  may be modified accordingly under

    (2) Permit effluent -limitations or
  standards adjusted under this paragraph
  shall be calculated on the basis of the
  amount of pollutants present after any
  treatment steps have been performed on
  the intake water by or for the
  discharger. Adjustments under this
  paragraph shall be given only to the
  extent that pollutants  in the intake   "
  water which are limited in the permit
  are not removed by the treatment
  technology employed by the discharger.
  In addition, effluent limitations or
 standards shall not be adjusted to the
 extent  that the pollutants in  the intake
 water vary physically, chemically, or
 biologically from the pollutants limited
 in the permit Nor shall effluent
 limitations or standards be adjusted to
 the extent that the discharger
 significantly increases  concentrations of
 pollutants in the intake water, even
 though  the total amount of pollutants
.might remain the same.
   (i) Internal waste streams.  (1) When
permit effluent limitations  or standards
imposed at the point of discharge are
impractical or infeasible. effluent
limitations or standards for discharges
of pollutants may be imposed on
internal waste streams  before mixing
with other waste streams or cooling
water streams. In those instances, the

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33452
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Ru?M  and Regulations
    monitoring required by § 122.82{i) shall
    also be applied to the internal waste
    streams.   •
      (2) Limits on internal waste streams
    will be Imposed only when the fact
    sheet under § 12438 sets forth the
    exceptional circumstances which make
    such limitations necessary, such as
    when the final discharge point is
    inaccessible (for example, under 10.
    meters of water), the wastes at the point
    of discharge are so diluted as to make
    monitoring Impracticable, or the
    interferences among pollutants at the
    point of discharge would make detection
    or analysis impracticable.           .  -
     0) Disposal of pollutants into wells,
   intoPQTWt, or by land application.
   Permit limitations and standards shall
   be calculated as provided in 5 122.65,

   §122.64  Duration of certain NPDES
   permits.
     (Applicable to State NPDES programs
   see 5 123.7.)
     (a) On or before June 30,1981. any  "
   permit issued to a discharger in a
   primary industry category (see
   Appendix A):
     (1) Shall meet  one of the following
   conditions:
     (i) Expire on June 30,1981;
     Pi) Incorporate effluent standards and
  limitations applicable to the discharger
  which have been promulgated or
  approved under sections 301(b)(2) (C)
  and (D). 3W(b)(2). and 307(a)(2) of CWA;
  or
    (Hi) Incorporate the "reopener clause"
  required by 1122.82(c)(l). and effluent
  Jimitations to meet the requirements of
  «cu«» **WW (A), (C). (D). (E). and
  (r) of CWA.
    (2) Shall not be written to expire after
  June 30,1981 unless the discharger has
  submitted to the Director the
  information required by
  S 12233(d)(7)(ii),
    (b) After June 30.1981 a permit may
 be issued for the full term if the permit
 includes effluent limitations and a
 compliance schedule to meet the
 requirements of sections 301(bl(2) (A).
 (C), (D), (E), and (F) o'f CWA, whether or
 not applicable effluent limitations
 guidelines have been promulgated or
 approved.
   (c) A determination that a particular
 discharger falls within a given industrial
 category for purposes'of setting a permit
 ospiraUon date under paragraph (b) of
 this section is not conclusive as to the'
 discharger's inclusion in that industrial
 category for any other purposes, and
 docs not prejudice  any rights to
 challenge or change that inclusion at the
 time that a permit based on that
determination is formulated.
                                       §122.65  Disposal of pollutants Into wells,
                                      . into publicly owned treatment works, or by
                                       land application.
                                         (Applicable to State NPDES programs,
                                       see § 123.7.)
                                         (a) When part of a discharger's
                                       process wastewater is not being
                                       discharged into waters of the United
                                       States or contiguous zone because it is
                                       disposed into a well, into a POTW. or by
                                       land application thereby reducing the
                                       flow or level of pollutants being
                                       discharged into waters of the United
                                       States, applicable effluent standards
                                       and limitations for the discharge in an
                                       NPDES permit shall be adjusted to
                                       reflect the reduced raw waste resulting
                                       from such disposal Effluent limitations
                                       and standards in the permit shall be
                                       calculated by one of the followjng
                                       methods:
                                        (1) If none of the waste from a
                                       particular process is discharged into
                                       waters of  the United States, and effluent
                                      limitations guidelines provide separate
                                      allocation for wastes from that process.
                                      all allocations for the process shall be
                                      eliminated from calculation of permit
                                      effluent limitations or standards-.
                                        (2) In all cases other than those
                                      described in paragraph (a)(l) of this
                                      section, effluent limitations shall be
                                      adjusted by multiplying the effluent
                                      limitation derived by applying effluent
                                      limitation guidelines to the total waste
                                      stream by the amount of wastewater .
                                      flow to be treated and discharged into
                                      waters of the United States, and
                                      dividing the result by the total
                                     •wastewater flow. Effluent limitations
                                     and standards so calculated may be
                                     further adjusted under Part 125. Subpart
                                     D to make them more stringent if
                                     discharges  to wells, publicly owned
                                     treatment works, or by land application
                                     change the  character or treatability of
                                     the pollutants being discharged to
                                     receiving waters.
                                       This method may be algebraically
                                     expressed as:
                                                                   (c) Paragraph (a) of this section does
                                                                 not alter a discharger's obligation"; ***~
                                                                 meet any more stringent requiremf
                                                                 established under § 122.7. § 122 8
                                                                 § 122.60. § 122.61. and § 122.62.
                               ion does
                                  
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     or facilities which is necessary for the
     placement assembly, or installation of
     new source facilities or equipment: or
       (ii) Entered a binding contractual
     obligation for the purchase of facilities
 .    or equipment which are intended to be
     used in its operation within a
     reasonable time. Options to purchase or
   .  contracts which can be terminated or
    modified without substantial loss, and
    contracts for feasibility, engineering.
    and design studies do not constitute a
    contractual obligation under the
    paragraph. ,
      (c) Requirement for an Environmental
    Impact Statement (I) The issuance of an
    NPDES permit to new source:
      (i) By EPA may be a major Federal"
    action significantly affecting the quality
    of the .human environment within the
   meaning of the National Environmental
   Policy Act of 1969 (NEPA). 33 U.S.C
   4321 et seq. and is subject to the
   environmental review provisions of •
   NEPA as set out in 40 CFR Part 6,
   SubpartF. EPA will determine whether
   an Environmental Impact Statement
   (EIS) is required under S 122.53(h)
   (special provisions for applications from
.   new sources) and 40 CFR Part 6. Subpart

     (Ii) By .an NPDES approved State is
   not a Federal a,ction and therefore does
   not require EPA to conduct an'  •
   environmental review.
     (2) An EIS prepared under this
   paragraph shall include a
   recommendation ei thcr to issue or deny
   the permit.   •              .
     (i) If the recommendation is to deny
   the permit, the final EIS shall contain
   the reasons for the recommendation and
   list those measures, if any. which the
   applicant could take to cause the
   recommendation to be changed;
    (ii) If the recommendation is to issue
  the permit, the final EIS shall
  recommend the actions, if-any. which
  the permittee should take to prevent or
  minimize any adverse environmental
  impacts:
    (3) The Regional Administrator shall
  issue, condition, or deny the new source
  NPDES permit following a complete
  evaluation of any significant beneficial
  and adverse environmental impacts  and
 a review of the recommendations
 contained in the EIS or finding of no
 significant,impact
   (4)(i) No on-site construction of a new
 source for which, an EIS is required shall
 commence before final Agency action in
 issuing a final permit incorporating
 appropriate ElS-related requirements, or
 before execution by the applicant of a
 legally-binding written agreement which
 requires compliance with all such
 requirements, unless such construction
 is determined by the Regional
    Administrator not to cause significant or
    irreversible adverse environmental
    impact The provisions of any agreement
    entered into under this paragraph shall
   -be incorporated as conditions of the
    NPDES permit when it is issued.
     (ii) No on-site construction of a new
    source for which an EIS is not required
    shall commence until 30 days after '
  . issuance of a finding of no significant
   impact unless the construction is
   determined by the Regional
   Administrator not to cause significant
   adverse environmental impacts.
     (5) The permit applicant must notify
   the-Regional Administrator of any on-
   site construction which begins before
   the times specified in paragraph (c){4) of
   this section. If orisite construction begins
   in violation of this paragraph, the    .
   Regional Administrator shall advise the
   owner or operator that it is proceeding
   with construction at its own risk, and
  •thatsuch construction activities
  constitute grounds for denial of a permit.
  The Regional Administrator may seek a
  court  order to enjoin construction in
  violation of this paragraph. ;
    (4) Effect of compliance with new
  source performance standards.  (The
  provisions of this paragraph do not
  apply to existing sources which modify
  their pollution control facilities or
  construct new pollution control facilities
  and achieve performance standards, but
  which are neither new sources or new
  dischargers or otherwise do not meet the
  requirements of this paragraph.)
  ,JD Except as provided in paragraph
  (d)(2) of this section, any new
  discharger, the construction of which
  commenced after October 18.1972. or
  new source which meets the applicable
  promulgated new source performance
 standards before the commencement of
 discharge, may not be subject to kny
,more stringent new source performance
 standards or to any more stringent
 technology-based standards under
 section 30l(b)(2) of CWA for the soonest
 ending of the following periods:
   (i) Ten years from the date that
 construction is completed;
   (ii) Ten years from the date the source
begins to discharge process or other.
nonconstruction-related wastewaten or
   (Hi) The period of depreciation or
amortization of the facility for the
purposes of section 167 or 169 (or both)
of the Internal Revenue Code of 1954.
   (2) The protection from more stringent
standards of performance afforded by
paragraph (dj(l)  of this section does not
apply to:
  (i) Additional or more stringent permit
conditions which are not technology
based; for example, conditions based on
water quality standards, or toxic
    effluent standards or prohibitions under
    section 307(a) of CWA: or
      (ii) Additional permit conditions in
  ,  accordance with § 125.3 controlling
.   toxic pollutants or hazardous
    substances which are not controlled by
    new source performance standards. This
    me udes permit conditions controlling
    pollutants other than those identified as
  .  toxic pollutants or hazardous  •
    substances when control of these
    pollutants has been specifically'
    identified as the method to control the
    toxic pollutants or hazardous
    substances.
     (3) When an NPDES permit issued to a
   source with a "protection period" under
   paragraph (d)(l) of this section will •  • •.
   expire on or after the expiration of the
   protection period, that permit shall
   require the owner or operator of the
   source to comply with the requirements
   of section 301 and any other then
   applicable requirements of CWA
   immediately upon the^expiration of the
   protection period. No additional period
   for achieving compliance with these
   requirements shall be. allowed except
   when necessary to achieve compliance
   with requirements promulgated less
   than 3 years.before the expiration of the
  protection period.            '
    (4) The owner or operator of a new
  source, a new discharger which
  commenced discharge after August,13,
  1979. or a recommencing discharger
  shall install and have in operating
  condition,, and shall "start-up" all
  pollution control equipment required to
  meet the conditions of its permit before.
  beginning to discharge. Within the
  shortest feasible time (not to exceed 90
  days), the owner or operator must meet
  all permit conditions..
    (5) After the effective date of new
  source performance standards, it shall
  be unlawful for any owner or operator
  of any new source to operate the source
  in violation of those standards
  applicable to the source.
  Appendix A to Part 122—NPDES Primary
  Industry Categories
   Any permit issued after June 30,1981 to
 dischargers in the follqwing categories shall
 include effluent limitations and a compliance
.schedule to meet the requirements  of section •
 301(b)(2) (A). (C). (D). (E) and (F) of CWA.
 whether or not applicable effluent limitations
 guidelines have been promulgated. See
 $5122.62 and 122.64.                ,
 Industry Category
 Adhpsives and Sealants   '
. Aluminum Forming           •
 Auto and Other Laundries
 Battery Manufacturing •
 Coa! Mining
 Coil Coating       •
 Copper Forming '
 Electrical and Electronic Components

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8345S .      Federal Register  / VoL  45. No. 98 / Monday.  May 19. 198o / Rules  and°
     Electroplating
     Explosives Manufacturing
     Foundries
     Cum and Wood Chemicals
     Inorganic Chemicals Manufacturing
     Iron and Steel Manufacturing
     teathet Tanning and-Finishing
     Mechanical Products Manufacturing
     Nonferrous Metals Manufacturing
     Ore Mining
     Organic Chemicals Manufacturing
    Paint and Ink Formulation
    Pesticide*
    Petroleum Refining
    Pharmacwtlcal Preparation*
    Photographic Equipment and Supplie*
    Pia«Uc» Processing
    Plailic and Synthetic Miterltl*
      Manufacturing
    Porcelain Enameling
    Printing and Publishing
    Pulp and PaperMills
    Rubber Processing
    Soap and Detergent Manufacturing
    Steam Electric Power Hants
    Textile Mills
   Timber Products Processing
   Appendix B to Part 122—Criteria for
   Determining a Concentrated Animal Feeding
   Operation (§ 123,54)

     An animal feeding operation is a
   concentrated animal feeding operation for
   purpose* of 1122J4 if either of the following
   criteria ire met
     (a) Mora than the number* of animals
   specified In any of the following categories"
   are confined:                  •
     (1) 1,000 slaughter and feeder cattle."
     (2) 700 nature dairy cattle (whether milked
  or dry cows).
    (3JZ500 swine each weighing over 25
  kilogram* (approximately 55 pound*).
    (4) 500 hone*.
    (5) 1OOOO sheep or lamb*,
    (8) 55,000 turkeys,
    t'') 100.000 laying hens or broilers (if the
  facility ha* contlnuou* overflow watering),
    (8) 30,000 laying hens or broilers (if the
  facility has a liquid manure handling system).-
    (9)5.000 duck*, or                     .
    (10) 1.000 animal unit*: or
   • (b) More than the following number and
  *ype* of animal* are confined:
    (1) 300 slaughter or feeder cattle.
    (2) 200 mature dairy cattle (whether milked
  or dry cow*),
    (3) 7SO «wlne each weighing over 25
 kilogram* (approximately 55 pounds).
   (4) ISO home*.
   (5) 3.000 ihecp or lambs,
   (6) 16V500 turkey*.
 , W 30.000 laying hens or broilers (if (he
 ftcility ha* continuou* overflow watering).
 t W8*fx)1*yln8l»en» or broilers (if the
 tttulity has a liquid manure handling system).
   (9) 1.500 ducks, or
   (10) 300 animal units;
 and either one of the following conditions are
 met: pollutants are discharged into ncvigable
 waters through a manmade ditch, flushing
 •ystem or other similar munmade device: or
 pollutants are discharged directly into waters  •
 of the United States which originate outside
 of and pass over, across, or through the
facility or otherwise come into direct contact
wjta the animal* confined in the operation.
                                             Provided, however, that no animal feeding
                                            operation is a concentrated animal feeding
                                            operation as defined above if such animal
                                            feeding operation discharges only in the
                                            event of a 25 year. 24-hour storm event.
                                             The term "animal unit" means a unit df '
                                            measurement for any animal feeding
                                            operation calculated by adding the following
                                           numbers: the number of slaughter and feeder
                                           cattle multiplied by 1A plus the number of
                                           mature dairy cattle multiplied by 1.4. plus the
                                           number of swine weighing over 25 kilograms
                                           (approximately 55 pound*) multiplied by 0.4.
                                           plti* the number of sheep multiplied by O.i.
                                           plu* tha number of hone* multiplied by 2.0.
                                             Tha term "manmade" mean* constructed
                                           by man and need for the purpose of
                                          .transporting waste*.

                                          Appendix C to Part 122—Criteria for
                                          Datannining a Concentrated Aquatic Animal
                                       •  ProducUc* Facility'($ I2Z5S)
                                            A hatchery, fish farm, or other facility-is a • -
                                          concentrated aquatic animal production
                                          facility for purposes of { 122J5 if it contains.
                                          grows, or holds aquatic animals in either of
                                          the following categoric*.
                                            (a) Cold  water fish species or other cold
                                          water aquatic animals in  ponds, raceways, or
                                          other similar structures which discharge at
                                          least 30 days per year but does not include:
                                            (1) Facilitie* which produce less than 9.090
                                          harvest weight kilograms  (approximately
                                          20^00 pounds) of aquatic  animals per yean

                                            (2) Facilities which feed leu than Z272
                                          kilogram* (approximately 5.000 pounds) of
                                          food during the calendar month of maximum
                                          feeding.
                                            (b) Warm water fish species or other warm
                                          water aquatic animals in ponds, raceways! or
                                         other similar structure* which discharge at
                                         least 30 day* per year, but doe* not include:
                                           (1) Ooied pond* which discharge only
                                         during period* of excess ninoffi or
                                           (2) Facilities which produce less than
                                         45.454 harvest weight kilogram*
                                         (approximately 100.000 pounds) of aquatic
                                         animals per year.
                                           "Cold water aquatic animals" include, but
                                         are not limited to. the Salmonidae  family of
                                         fish; e.g.. trout and salmon.
                                           "Warm water aquatic animals" include but •
                                         are not limited to. the Ameiuridc,
                                         Centrarchidae and Cyprinidae families of
                                         fish: e^, respectively, catfiaa. «unfish and
                                         minnow*.       .

                                        Appendix D  to Part -UZ—NPDES Permit
                                        Application Testing Reaiurment* (\ IS3J3J.

                                          Tabta t—Testing Requirements for Organic Toxic
                                           fWtuttna ty taOuartat Category for Existing
                                                        Oischanjars '
                           •"•• ••— • ra-iff requirements ferCrganc
                           Pollutants Oy /rotsfrrs/ Category terExisti,
                                   Oiscf^rgers—Continued
                                            Induanat category
                                                                 GC/MS fracton '
                                                             Vota-  Aod  Base/ Pestt.
                                                              Ue       neutral oat
                                        Aonev»e» and Sealants
                                        Atemnum PUHMI^
                                        Aulo and Oiner Launonej
                                        Qattary Manufactunrg
                                                     *
                                       Copper Fonrsng	
                                       Bectnc and Became
                                         Components.
n
n
o
n .
o
<•)
o
 o
 <•>
 o
..,..._
 n
 o
industrial category

£ocirbolaune>-.
Eipfcwve* Manufacturing 	
Foundne* 	 	
Com and Wood Chemcal*. 	
"norganc Chemcala
Manufaeturmg.______
Kon and Steel Manufacturing.
Leather Tamng and Finvung
Mechanical Product*
Manufaetunng 	
Nonferrou* Met**
Manufaetunng 	 .
Ore Mmg.. .
Organe Chemcal*
Manufacturing 	 	
Parta« Ink Formulation__
Petroleum Refnng ~
P"*rm«eeutcal Prooaralxjn*_
PrwtoofapnwEqwpment (nd
Euookej 	 	 	
P!«t>c and Svntnebc
MalnnaH Manulactunng: 	
P*15llC P'OCOniPQ 	 __.»„.
Porcelan Enameling 	
Pnrlmg and Putlahmg 	
Pulp and Piper. M.Ui 	
Rubber ProcetMig 	
Soap and Detergent
Manulactunng 	 ...
Steam Electnc Power Plant*..
Textile MrfU 	 	
Timber Product* Proceuwg _
G
Vola-
tile
(*)

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                                                               o    n
                                                                              D
    •The toK-pollutant* in eacn Iractnn are kited n Table II
    Texing required.

  Table II Organic Toxic Pollutants in Eac.
  Four Fractions in Analysis by Gas       ~\
  Chromatography/Mass Spectroscopy fCC/
  MS},

  Vohtiles

  IV  acrolein
  2V  acrylonitrilc
  3V  benzene
  4V  bis (chloromethyl) ether
 ,5V  bromoform
  6V  carbon tetrachloride
  7V  chlurobcnzene
 HV  chlorodibromomethane
 9V  chloroethane
 10V  2-chloroethylvinyl ether
 11V  chloroform
 12V  dichlorobromomethane
 13V  dichlorodiflubromethane
 14V  1.1-dichloroethane
 1SV  1.2-dichlorocthane
 16V  1.1-dichloroethylene  .
 17V  1,2-dichloropropane
 IflV  1.2-dichioropropylene
 19V  ethylbenzene
 20V  methyl bromide
 21V  methyl chloride
 22V  methylene chloride
 23V  1.1.2.C-teTaciilorcBthane
 24V  tetrachloroethylene
 25V  toluene
 26V  1.2-trans-dichloroethylene.        >
 27V  1.1.1-trichloroelhane
28V  1.1.2-trichlorocthane
29V  trichloro»thy!ene
30V  trichlorofluoromethane
31V  vinyl chloride

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                   Federal Register
/ VoL 45. No. 98 / Monday. May m  a98O  J Ra]e>a , J  „„,.,„,_...
    ' .l-T.-tf Con-founds
     1A  2-chIorophenol
     •2A  it-dichiorophenol    ,   '
     3A  2.4-dimethylphenol
     4A  4.6-dinitro-o-cresol
     5A  Z4-dinitrophenol
     6A  2-nitrophenol
 .    7A  4-nitrophenol
    «A  p-chlo«WB-cresol   .
    3A  pentachlocopneaol
    IDA phenol
    11A 2,4.6-trichloropheaol
    Base/Neutral
    IB  aoenaphthen*
    28  •cenaphthytaM
    38  anthracene    -
    48  benzidint
    SB  benzo(a)anthraceiM
    68  benzo(a)pyren«  /
   -7B • 3.4-benzondoranthene
    8B  benzofghljperylene
    98  benzofkjnuoranthehe
    108  bis(2^hloroethoxy)methane
    118  bis{2-cWoroethyl)ether
    128 .bts{2-chloroisopropyl)ether
    138  bis(2-ethylhexyi)phthalat»
    148  4-bromophenyl phenyl ether
    1SB  butylbenzyl phthalate
    168  2-chturonaphthnlene
   17B  4-chIorophenyl phenyl ether
   18B  chrysene
  •19B  dibenzofaJOanthracen.
 .  208  1.2-dichlorobenzene
   21B  IJ-dichlorobenzcna   '
   22B  1.4-dichlorobenzene
   238  3J--dichIorot>etmdin«
   248  diethyl phthalala
   258  dimethyl phthalal*
   268 di-n-butyl pfathalate
  ZTQ 2.4-din|trotoluen«
  288 ZMinltrotoIuetw
  29B di-n'-octyl phthalat.
  308 U-diphenylhydn
  316 fluoranthen*
  32B fluorene  •
  338 hexachlorobenzene
  34B hexachlorobutadjene
  3SB ' hexachlorocyclopentadiene
 36B  hexachloroethane

 388  isophorone.
 39B  naphthalene
 40B  nitrobenzene'
 41B  N-oitiDsodimethylamine
 42B  N-flitrosodi-o-propyUmin*
 438  N-nitrosodipheny!amin*
 448  phenanthrena
 4SB  pyren*
 468   lA4-trichlorobenzene
 Pesticides
 IP  aldrin
 2P  a-BHC
 3P  5-BHC
 4P  y-BHC
 5P  d-BHC
 6P  chlordane
 7P  4.4--DDT
 8P -4.4'-DDE
 8P  4.4'-DDO
 10P  dieldrin
 UP  a-endoiulfan

 13P  endosulfansulfate         •
.14P  endrin              '
     ISP  endrin aldehyde
     16P  heptachlor    ,
     17P  heptachlor epoxide'
     13P  PCB-1242
     19P  PCB-I2S4
     20P  PCB-1221    .
     ZIP  PCB-1232
     22P  PCB-1248
  ,  23>  PCB-izea    \  .
     24P  PCB-I016         '
     2SP  toxaphehe

    Tabk m Other Toxic Pollutants: Metals.
    Cyanide, and Total Phenols..
    Antimony, Total
    Arsenic, Total
    •Beryllium. Total           r  .
    Cadmium. Total
    Chromium. Total
 .   Copper. Total
  ,  Lead. Total
    Mercury, Total             >
    NickelTotal
    Selenium, Total      .
    Silver. Total
    Thallium. Total       ,
    Zinc. Total            .          ,     ;
    Cyanide. Total     ...
    Phenols, Total                 .

   Table IV Conventionaland'ffonconvemjonal
   Pollutants Required, to be Tested br Existina
   Disdiorgtrs if Expected to be Present.
   Bromide      •        • •  ' '  •
   Chlorine. Total Residual
   Color                 .
   Fecal Coliform
   Fluoride          '      •            •
   Citrate-Nitrite
   Nitrogen. Total Organic
 .  Oil and Crease  •
   Phosphorus. Total     '                 .
   Radioactivity                            '
   Sulfate                  '
   Sulfide
  Sulfite
  Surfactants  •    '
  Aluminum. Total
  Barium,  Total              •
  Boron, Total
  Cobalt Total
  Iroa Total                .
  Magnesium, Total
  Molybdenum, Total
  Manganese,-Total'
  Tin. Total  -
  Titanium. Total              •

 TabU V  Toxic Pollutants and Hazardous
 Substances. Required to bo Identified by
 Existing Dischargers if Expected lobe
 Present.    • -    ;'          •  "

 Toxic Pollutants         .         -.
 Asbestos

 Hazardous Substances
 Acetaldehyde
 Allyl alcohol
 Ally! chloride
 Amyl acetate
 Aniline
 Benzonitrile      '                  •
 Benzyl  chloride    "            .
• Butyl acetate
Butylamine
Captaa      •            .   - .
                                                    Carburyl,'
                                                    Carbqfuran    °   -   ..''.'
                                                    Crfrbon disulfide    .
                                                    Chlorpyrifos        • '.'  • .   ',-..
                                                    Coumaphos
                                                    Crcsol -
                                                    Crotonaidrhyde
                                                    Cyctohexane
                                                    2.4-D (Z4-Dichloropheooxy acetic .icidl
                                                    Diazinon          .  •    .
                                                    Dicamba     .                '  ..
                                                    Dichlobenil
                                                    Dichlone                ..."
                                                    2.2-Dichloropropionic acid  '
                                                    Oichlorvot
                                                    Diethylamine
                                                    .Dimethyl amine
                                                    Dintrobenzene        '
                                                    Diquat .
                                                 •   Oisulfoton
                                                   Diuron
                                                   Epichlorohydnn
                                                   Ethnnolumine
                                                   Ethiun
                                                   Elhylnne diuminc  '   .  '   .
                                                   Ethylene dibromide
                                                   Formiildohvdp
                                                   Furfunil      '  .
                                                   Cuthion           •       • •
                                                   laoprene
                                                   Isopropiinolaminn
                                                   Kelthane
                                                   Kcpone                 .
                                               •    Maiathion
                                                   Mercuptodimethur     \
                                                   Methoxychlor
                                                   Methyl mercaptun
                                                  Methyl methacrylute
                                                  Methyl parathion
                                                  Mevinphos
                                                  Mexacarbate               :
                                                  Monoelhyl amine
                                                  Monomethyl amine
                                                  Naled    '  • . v        .       ,    .
                                                  Napthenic ucid.             .
                                                  Nitratoluene
                                                 Parathion                       -
                                                 Phcnolaulfdnale
                                                 Phosgene    " _• •                <
                                                 Propargite
                                                 Propyleoe oxide          .         •
                                                 Pyrethrins     -   .
                                                 Quinoline       !            •
                                                 Resorcinot
                                                 Strontium
                                                 Strychnine.               '
                                                 Styrene        .     .  .
                                                 Z4.5-T (2.4.5-Trichlorophenoxy acetic acid)
                                                 TOE (Tetrachlorodiphenylethane)
                                                 2,4.5-TP [2-{2,43-TrichlorophenoKyJ
                                                  •  propanoic acid|     ' .       >
                                               ,  Trichlorofon      .
                                                 Triethylamine
                                                 Trime.thylamine         •
                                                 Uranium
                                                 Vanadium'.         "        .     .     ' .
                                                 Vinyl Acetate           '•        '    '
                                                 Xylent    '      .      ,          .   r
                                                 Xylenol
                                                 Zirconium

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      33458
      PART 123-STATE PROGRAM
      REQUIREMENTS

  •    Suopart A—General Program Requirement*
      Sec
      1234  Purpose and .cope.
     3233  Definition*.
     123J  Element* of a program submission.
     12M  Program description.
   . 1235  Attorney General'* *tatement
     32M  Memorandum of Agreement with
        Regional Administrator.
     123J  Requirement, for permitting.
     123J  R*juIrtm«nU for compliance
        •valuation program*.
     3235  Rtgoirement. for enforcement
        authority,
     123.10  Sharing of Information.'
     123.11  Coordination with other program*
     ¥%%  Awrwalprocesfc
     123.13  Procedure* for revfclon of State
        program*. '
    323.14  Criteria for withdrawal of Slate
        program*.                    '
    123.15  Procedures for withdrawal of State
        program*.

    Subpart B-AddWonal Requirement, for
    State Hazartoua Waste Program*
    123.31  Purpose and scop*.
    123.32  Consistency.       "       •	
    123,33  Requfcement* for identification and
       listing of hazardous wastes.
    123.34  Requirements for generators of
       hazardous wastes.
   123.35  Requirement* for transporters of
       hazardous wastes.
   323.30  Requirement* for hazardous waste
      management facilities.

  ^dtn±^i:/,lre'p"f  io  p*™^.
Register / Vol. 45. No. 98 / Monday. May 19.  1980 / Rule3 ..J „_,„...,.,,
                       a
         Approval procc**.
  12341  Purpo** and *cop*.
  123.S2  Requircmant to obtain a permit.
  123 -S3  Progress report*.
  123.54  Approval process.
  1J-"  Procedures ^r withdrawal of Stale
   *  UIC programs.
                  -
     t  rogram* Undtr th« National
  Pollutant Otuharg* Elimination System
  123^   Purpose and scope.
                  iip°Ml of pollutants into
' 123.73  Receipt and use of Federal
     information.
                  n of Information to EPA.

                                      '
       Prohibition.
 323J7 Approval process.
123S1  Purpose and *cope.
                 12357  Additional condition* applicable to
                     all 404 permit*.
                 i^^f  E*tabli«hing 404 permit conditions.
                 3-3.39  Memorandum of Agreement with the
                     Secretary.
                 123.100 Transmission of information to EPA
                     and other Federal agencies.
                 123.101  EPA review of and objection* to
                     State permit*.
                 HI"102  Coordination requirement*.  •
                 123.103  Enforcement authority.
                 123.104  Approval process.

                 fuJfartFr-RequIrement* for Interim
                 Authorization of State Hazardous Waste
                 Program*

                 123.121  Purpose and scope.
                 123.122  Schedule.
                JJJ'H3. J3«nent« of a program submission.
                123.124 Program description.
                HJH! A.ltorney General-abatement.
                1Z3.120 Memorandum of agreement
                123.127 Authorization plan: ••'•..
                123.128 Program requirement* for interim
                   authorization for Phase 1.
                123.129 Additional program requirements
                   for interim authorization for Phase H.  '
                123.130  Interstate movement of hazardou*
                   wast*.
                123.131  Progress reports.
                12JJ-1M  Sharing of information.
                •"•"•••"  Coordination with other program*.
                      EPA review of State permits.'
                      Approval proces*.
               ,*£'.'~ Withdrawal of Stale program*.
               123.137 ' Reversion of State program*.
                 Authority: Re*ource Conservation and
               Recovery Act 42 U.S.C. 6901 el arq; Safe
               Dnnldns Water Act. 42 U.S.C. 3no(Q et SCq.;
               Clean Water Act 13 UAC12S1 et seq.
               Subp^t A-G«nenH Prooram
               Requfcrwnenta
                   "JiriTr" »i«-v»u«» th« procedures
              T -rfn foDow in approving, revising.
              f.nd withdrawing State programs under
              the followkig statute. and the •
              requirement. State programs must meet
              to be approved by the Administrator  .
              under:
                (I) Section 3006(b) (hazardous waste-
              final authorization) and section 3006fc)
              fbazardnu. waste-interim authorization)
       Permit application.
123.95  General permit*.
52190  Emergency penniU.
                (2) Section 1422 (underground
             infection control—Uiq of SDWA;
                (3) Sections 318. 402, and 405
             (National Pollutant Discharge
             Elunination System—NPDES) of CWA;

             •  (4) Section 404 (dredged or fill
             material) of CWA*
               loj ouopart A contains requirements
             applicable to all programs listed in
             paragraph (a) except hazardous waste
             propams operating under interim
             authorization. All requirements
             applicable to hazardous waste programs
             operating under interim authorization
             are contained in Subpart F. (References
             in this subpart to "programs under this
                  	———i—————^=
     Part" do not refer to hazardous waste
     programs operating under interim .^n.
     authorization.) Subpart A include^Bl
     elements which must be part of   ill
     submissions to EPA for program   ^^
     approval, the substantive provisions
     fbrSml8'^6 Pre3ent ta Stafe Programs
     for them to be approved, and the
    procedures EPA will follow in
    approving, revising, and withdrawing
    State programs. Subpart B contains
    adaatlonal requirements for States
    requirements for State NPDES projzrams
    Subpart E specifies additional pr°8rdms<
    requirements for State section 404
    programs.
     (c) State submissions for program
    approval must be made in accordance
    with the procedures set out in Subpart A
   and, fa the case of State 404 programs
   with the procedures set out .in Subpart E.
   (Submissions for interim authorization
   ahall be made in accordance with
   Subpart F.) This includes developing
   and submitting to EPA a program      -
   description (5 123.4). an Attorney'
   General a statement (5 123.5). a
   Memorandum of Agreement, with the
   Regional Administrator (i 123.8) and
   with the Secretary in the case ofeection
  404 programs (§ 123.99).
    (d) The substantive provisions wh'i
  must be included in  State programs f!
  them to be approved include
  requirements for permitting, compliance
  evaluation, enforcement public
  participation, and sharing of
  information. The requirements are found
  both in  Subpart A (§§ 123.7 to 123.11)
  and in the program specific subparls.
  Many of the requirements for State
  programs a-e made applicable to Stales
  oy cross-referencing  other EPA
  regulations. In particular, many of, the
  provisions of Parts 122 and 124 are made
  ppphcable to States by the references
 contained in 5123.7.
   fe) Upon submission of a complete
 program, EPA will conduct a public
 hearing, if interest is shown, and
 determine whether to approve or
 disapprove the program taking into
 consideration the requirements of this
 Pa-t, the appropriate Act and any
 comments received.
   (f) The Administrator shall approve
 State programs which conform to the
 applicable requirements of this Part.
   (g; Jpon approval of a State program
 tns Administrator (or the Secretary in
 the case of ssetion 404 programs) shall
 suspend the iasuance of Federal permits
 for those  activities subject to the
approved State program.

-------
   .  (hj Any State program approved by
     the Administrator shall at all times be
     conducted in accordance with the
   .  requirements of this Part
      (ij States are encouraged to
     consolidate their permitting activities.
     While approval of State programs under
   -this Part will facilitate such
   r consolidation, these regulations do not
   - require consolidation. Each of the four
    programs under this Part may be applied
    for and approved separately.
      0) Partial State programs are not
   allowed under NPDE& 404. or RCRA
   (for programs operating under ffn^l
   authorization). However, in many cases
   States will lack authority to regulate
   activities on Indian lands. This lack of
   authority does not Impair a State's
   ability to obtain fuH program approval
   in accordance with this Part. Le,
   inability of a.State to regulate activities
   on Indian lands does not constitute a
   partial program. Similarly, a. State can
   assume primary enforcement
   responsibility for the UIC program,
   notwithstanding J i23Jl(e). when the
   State program is unable to regulate
   activities on InHi-n landt within the
   State. EPA. or in the case of section 404
   programs tha Secretary, will administer
   the program on Indian lands if the State
   docs not seek this authority.

    |Note.-StatM .» adri.ed to contact the
   tmtedStalei Department of the Interior.   '
   Bureau of Indian Affairs, concerning
   authority over IndUn lands.)
    (k) Except as provided in i 123J2.
  nothing in this Part precludes a State
 1 from;                 .
    (1) Adopting or enforcing
  requirements which are more stringent
  or more extensive than those required
  under this Part               ^
   (2) Operating a program with a greater
  scope of coverage than that required
  under this Part Where an approved
  State program has a greater scope of
  coverage than required by Federal law
  the additional coverage is not part of the
  Federally approved program,
   [Nota^-For example, when a Slate reonires
  permits for discharge, into publicly owaid
  treatment works, thew permits a» not
  NPDES permits. AUo. State assumption of the
  section 404 program U limited to certain
; waters, as provided in i !ZJ-91(c). The
 Federal program operated by the Corps of
 Engineers continue, to apply to tha remaining
 waters in the State even after progranT^^
 approval However, this doe* not restrict
 State, from regulating di»charge. of dredged
 or EU material, into those waters over which
 tne Secretary retains section 404 jurisdiction.)
                                           §12X3  Elements of.a program
                                           submission.
                                             (a) Any State that seeks to administer
                                           a program under this Part shall submit
                                           to the Administrator at least three
                                           copies of a program submission. The
                                           submission shall contain the following:
                                            (1) A letter from the Governor of thi
                                           State requesting program approval:
                                            (2) A complete program description^
                                           as required by 5123.4. describing how
                                           the State intends to carry out its
                                          responsibilities under this Part
                                            (3) An Attorney General's statement
                                          as required by 1123.5;
                                            (4) A Memorandum of Agreement
                                          with the Regional Administrator as
                                          required by {123.8. and. in the case of
                                          State section 4O4 programs, a
                                          Memorandum of Agreement with the
                                       .  Secretary as required by 5 123.99;
                                            (5) Copies of all applicable State
                                          statutes and regulations, including' those
                                          governing State administrative
                                          procedures;
                                            (6) The showing required by
                                          S 123J9(c) fRCRA programs only) and
                                         •! 123.54(b) (UIC programs only} of the
                                         State's public participation activities
                                         prior to program submission,
                                           (b) Within 30  days of receipt by EPA
                                         of a State program submission. EPA will
                                         notify the Slate  whether its submission
                                         is complete. If EPA.Ends that a State's
                                         .submission is complete, the statutory
                                         review period (Le, the period of time
                                         allotted for formal EPA review of a   •
                                         proposed State program under the
                                         appropriate Act) shall be deemed to
                                         have begun on the date of receipt of'the
                                         State's submission. If EPA finds  that a
                                         State's submission is incomplete, the
                                         statutory review period shall not begin
                                         until all the necessary information is
                                         received by EPA!
                                          (c) If the State's submission is
                                        materially changed-during the statutory
                                        review period, the statutory review
                                        period shall begin again upon receipt of
                                        the revised submission.
                                          (d) The State and EPA may extend the
                                        statutory review period by agreement
5 1233 DeflnWona,
  The definitions in Part 122 apply to all
subparts of this Part, includingTSubpurt
 §1234 Program description.
   Any State that seeks to administer a
 program under this part shall submit a
 description of the program it proposes to
 administer in iieu of the Federal
 program under State law or under an
i interstate compact The program
 description shall include:
 . (a) A description in narrative form of
 the scops, structure, coverage and
 processor of the State program.
   (b) A description (including
 organizatipE charts) of the organization
 and structure of the State agency or
agencies which will have  responsibUity
for administering the program, including
                                            •*•-   i	— - ••»• » w ^ka tew l«Jt; i j
                                           over a class of activities. The
                                           responsibilities of each agency must be
                                          .delineated, their procedures for
                                           coordination set forth, and an =»i>encv
                                           may be designated as a "lead agency" to
                                           facilitate communications between EPA
                                          and the State agencies bavin* program
                                          responsibility. In the case of State
                                          RCRA programs, such a designation is
   «K  i
   section). When the State proposes to
   administer; a program of greater scope of
   coverage than is required by Federal
   law. the information provided under this
   paragraph shall indicate the resources
   dedicated to administering the Federally
   required portion of the program.
     W A, description of the State agency'
   staff who will carry out the State"
   program; including the number.
   occupations, and general duties of the
   employees. The State need not submit
   complete job descriptions for every
   employee carrying out the State
  program.                              •
    (2) An itemization of the estimated
  costs of establishing and administering
  the program for the first two years after
  approval Including cost of the personnel
  listed tn paragraph (b)(l) of this section.
  cost of administrative support, and cost
  of technical support
    (3) An itemization of the sources and
  amounts of funding, including an
  estimate of Federal grant money.
  available to the State Director for the
  first two years after approval to meet
  the costs listed in paragraph (b)(2) of
  this section. Identifying any restrictions
  or limitations upon, this funding.
   (c) A description of applicable State
 procedures, including permitting
 procedures and any State administrative
 or judicial review procedures.
   (d) Copies of the permit fonn(s).    .
 application fonn(s)..reporting_form(s).
 and manifest format the State intends to
 employ in its program. Forms used by
 States need nbt be identical to the forms
 used by EPA but should require the
 same basic information, except (hat
 State-NPDES programs are required to
 use standard Discharge Monitoring  ,
 Reports (DMR). The State need not
 provide copies of uniform national forms
 it intends to use but should note its
 intention to use such forms. State
 section 404 application forms must
 include the information required by
 5123.94 and State section 404 permit
 forms must include the information and
 conditions required by § 123.87.
  [Notev—State, are encouraged to uao
uniform national forms established by the

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    33C8       Federal Register / Vol. 45. No. 98 / Monday. May 19.
                                   1980 / Rules and  Regulations
    Administrator. If tmiform national forms are
    toed, ihey may be modified to include the
    Slate Agency's name, address. J0go. and
    otheralmllar information, as appropriate, in
    place of £PA'«.]
      (ej A complete description of the
    State'i compliance tracking and
    enforcement program.
      (0 State RCRA programs only, fa the
 *   CAM of State RCRA program*, the
    program description ihall alio Include:
      (1) A description of the State manifest
    tracking system, and of the procedures
    Ihe State will use to coordinate
    Information with other approved State
    programs and the Federal program
    regarding interstate and international
    shipments.
      (2) An estimate of the number of the
    following:   •
    "  (J) Generators:
      (ii) Transporters: and
     (ill) On- and off-site storage, treatment
   and disposal facilities, and a brief
   description of the types of facilities and
   an indication of the permit status of
   these facilities.
     (3) If available, an estimate of the
.   annual quantities of hazardous wastes*
     (1) Generated within the State:
     (»} Transporters; and
   State; and
    (HI) Stored, treated, or disposed of
   within the State:
    (A) on-site: and
    (B) off-site.
    (4) When more than'one agency
  within a State has responsibility for
  administering the State-program, an
  identification of a "lead agency" and a
  description of how the State agencies
  will coordinate their activities.
    (g) Stats UlC'programs only. In  the
  case of a  submission for approval of a
 State UIC program the State's program
• description shall also include:
    (1) A schedule for issuing permits.
 within five years after program approval
 to all Injection wella within the State
 which are required to have  permits
 under this Part and Part 122;
    (2) The priorities (according to criteria
 set forth In 40 CFR §14&O9) for issuing
 permits, Including the number of permits
 in each class of Injection well which will
 be issued each year during the first five
 years of program operation:
   (3) A description of how the Director
 will Implement the mechanical integrity
 testing requirements of 40 CFR § 146.08.
 including the frequency of testing that
 will be required and the number of tests
 that will be reviewed by the. Director
 each yean
   (4) A description of the procedure
whereby the Director will notify owners
and operators of injection wells of the
requirement that they apply for and
obtain a permit The notification
    required by this paragraph shall require
    applications to be filed as soon as
    possible, but not later than four years
    after program approval for all injection
    wells requiring a permit;
    > (5) A description of any rule under
    which the Director proposes to authorize
    injections, including the text of the rule:
     (6} For any existing enhanced  '
   recovery and hydrocarbon storage wells
   which the Director proposes to authorize
   by rule, a description of the procedure
   for reviewing the wells for compliance
   with applicable monitoring, reporting.
   construction, and financial
   responsibility requirements of 55 122.41
   and 122,42, and 40 CFR Part 146;
     (7) A description of and schedule for
   the State's program to. establish and
   maintain a current-inventory of injection
   wells which must be permitted under
   State law;
     (8) Where the Director has designated
   underground sources of drinking water
   in accordance with 5 122.35(a). a
   description and identification of all such
   designated sources in the State;
    (9) A description of aquifers, or parts
  thereof, which the Director has
  identified under § 122J5(b) as exempted
  aquifers, and a summary of supporting
  data;
    (10] A description of and schedule for
  the State's program to ban Class IV
  wells prohibited under § 122.36; and
    (11) A description of and schedule for
  the State's program to establish an
  inventory of Class V wells and to assess
  the need for a program to regulate Class
  V wells.
    (h) State 4O4 programs only. In the
  case of a submission.for approval of a
  section 404 program the State's program
  description shall also include:
    (1) A description of State regulated
  waters.

   [Not*.—Stales should obtain 'from the
 Secretary an identification of those waters of
 the U.S. within the State over which the
 Corps of Engineers retains authority under
 section 404(gJ of CWA.J
   maintenance of farm.roads, forest
   or temporary roads for moving i
   equipment    .                -
     (5) A description of how the State
   section 404 agency(ies) will Interact with
   other State and local agencies.
     (6) A description of how the State will
   coordinate its enforcement strategy with
     ?«°«J?e Corps of ^Sineers and EPA.
     (7) Where more than one agency
   within a State has responsibility for
   administering the State program:
     (i) A memorandum of understanding
   among all the responsible State agencies
   which establishes:
     (A) Procedures for obtaining and
   exchanging information necessary for •
   each agency to determine and assess the
   cumulative impacts of all activities
   authorized under the State program:
     (B) Common reporting requirements:
   and                        .
     (C) Any other appropriate procedures
   not inconsistent with section 404 of
   CWA or these regulations;
    (ii) A description  of procedures for
  coordinating compliance monitoring and
  enforcement distributing among the
  responsible agencies information.
  received from applicants and permittees,
  and issuing reports required by section
  404 of CWA or these regulations. .
   (8) Where several State 404permits
  are required for a single project, a
  description of procedures fon    t
   (i) Ensuring  that all the necessarj.
  State 404 permits are issued before";
  of the permits go into effect; and
   (ii) Concurrent processing and. where
  appropriate, joint processing of all of the
  necessary State 404 permits.
   (2) A categorization, by type and
 quantity, of discharges within the State.
 and an estimate of the number of
 discharges within each category for
 which the discharger must file for a
 permit  .          «
   (3) An estimate of the number and
 percent of activities within each
 category for which the State has already
 issued a State permit regulating the
 discharge.
   (4) In accordance with 1123.92(a)(6), a
 description of the specific best  •
 management practices requirements
 proposed to be used to satisfy the
 exemption provisions of section
404(f)(l)(E) of CWA for construction or
 S 123.5  Attorney General's statement
   (a) Any State that seeks to administer
 a program.under this Part shall submit a
 statement from the State Attorney
 General (or the attorney for those State
 or interstate agencies which have
 independert legal counsel) that the laws
 of the Stele, or an interstate compact,
 provide adequate authority to carry out
 the program described under § 123.4 and
 to mset the requirements of this Part.
 This statement shall  include citations to
 the specific statutes,  administrative
 regulations, and, where appropriate.
 judicial decisions which demonstrate
 adequate authority. State statutes and
 regulations cited by the State Attorney
 General or independent legal counsel
 shall be in the form of lawfully adopted
 State statutes and regulations at the
 time the statement is  signed and shall be
 fully effective by the time the program is
 approved. To qualify  as "independent
 legal counsel" the attorney signing the
statement required by this section muat
have full authority to  independentlj^K;
•w*n»nA«B* *L_ I7*i._»_ _ .     •      ABaaaal^^lifj
unvc luu auuioniy to independently
represent the State agency in court!

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                  a** «^» / VoL 45. Np. » , Monday. M.y 19. 19ao  , MM ,J ,..,._.
                                                                                  cSlrf' ,t0 ,c.°1sider steP* t» coordinate or
    all matters pertaining to the State
    program.

     (Note—EPA wiH supply States with an
    Attorney General's statement format on
    request.]  .                  •

     (b) When a State seeks authority over
    3<=tivities on Indian lands, the statement
    shall contain an appropriate analysis of
    the State's authority.                  .
     (c) State NPDES programs only. In the
   case of State NPDES programs, the
   Attorney General's statement shall
   certify that the State has adequate legal
   authority to issue and enforce general
   permi.ts if the State seeks to implement
   the general permit program under

 .'.  |dJ ^°f? section 4O4 program* only.
    (1)  In the case of State section 404
  programs the State Attorney General's
  statement shall contain an analysis of
  Slate  law regarding the prohibition on
  taking private property without just
  compensation, including any applicable
  judicial interpretations, and an
  assessment of the effect such law will
  have-on the successful  implementation
  ofthe  State's regulation of the discharge
  of dredged or fill material
    (2) In the case of State section 404
  programs, where more than one agency
  has responsibility for administering the
  Slate program, the Attorney General's
 Statement shall include certification that
 each agency has full authority to   •
 administer the program  within its
 category of jurisdiction  and that the
 State as a whole has full authority to
. administer a complete State section 404
 program.
  5 123.8  Memorandum of Agreement with
  the Regional Administrator.         .    • •

    (a) Any State that seeks to administer
 . .a-program under this Part shall submit a
  Memorandum, of Agreement The
  Memorandum of Agreement shall be
  executed by the State Director and the '
  Regional Administrator and shall
  become effective when approved by the
 Administrator. In addition to meeting ,
 the requirements of paragraph (b) of this
 section, the Memorandum of Agreement'
 may include other terms, conditions, or
 agreements consistent with this Part and
 relevant to the administration and
 enforcement of the State's regulatory
 program. The Administrator shall not
 approve any Memorandum of ,
 Agreement which contains provisions-
 which restrict EPA's statutory oversight
 responsibility.           '         8
                      '
           e the following:
  (1) Provisions for the prompt transfer
from EPA to the State of pending pstmi
applications and any other iafomatio
relevant to program operation not
    already in the possession of the State
    Director (e.g.. support files for permit  -
    issuance: compliance reports, etc.).
    When existing permits are transferred
    from EPA to the State for
    administration, the Memorandum of
    Agreement shall contain provisions
    specifying a procedure for transferring
    the administration of these permits. If a
    State lacks the authority to directly
    administer permits issued by the Federal
    government a procedure may be
    established to transfer responsibility for
    these permits.       -     •

     [Note^-For example, EPA and the State
    and the permittee could agree that the State
    would iuue • permit(») identical to the
    outstanding Federal permit which would
    (imultaneously be terminated.]

     (2) Provisions specifying classes and
   categories of permit applications, draft
   permits, and proposed permits that the
   Slate will send to the Regional
   Administrator for review, comment and
   where applicable, objection.    "  -
    (Note.—The nature and basis of EPA
   review of State permit* and permit
   application* differ* among the program*
                                                                                    (6) Provisions for modification of the
                                                                                  Memorandum of Agreement in
                                                                                  accordance with this Part.'  .
                                                                                  . (c) The Memorandum of Agreement
                                                                                  !le..a5nual Program grant and  the State/
                                                                                  EV fe/|m!nlshould be WMlstent If
                                                                                  the State/EPA Agreement indicates that
                                                                                  a change is needed in the Memorandum
                                                                                  of Agreement the Memorandum of
                                                                                . Agreement may be amended through  the
                                                                                                              "-
  o- - ~..«,v Wj uu^ ran. oec f S ZZ3.*;
  1217S (NPDES) and 123.101 (W4).J

    (3) Provisions specifying the frequency
  and content of reports, documents and
  other information which the State is
  required to submit to EPA. The State
  shall allow EPA to routinely review
  State records, reports, and files relevant
  to the administration and enforcement
  of the approved program. State reports
  may be combined with grant reports
  where appropriate. These procedures
  shall implement the requirements of
  5 123,74 (NPDES programs only) and
  § 123.100 (404 programs only).
  •  (4) Provisions on the State's
  compliance monitoring and enforcement
  program, including:
   (i) Provisions for coordination of
  compliance monitoring activities by the
  State and by EPA, These may specify
  the basis on which the Regional
 Administrator.will select facilities or
 activities within the State for EPA
-inspection. The Regional Administrator
 will normally notify the State at least 7
  ,y?, S!!ore ""y 8Uch inspection: and
  (uj Procedures to assure coordination
 of enforcement activities.
  (5) When  appropriate, provisions for
 joint processing of permits by the State
 and EPA. for facilities or activities
 which require permits from both EPA
 and the State under different programs.
(See 5124.4.

  (Note^-To promote efficiency and to avoid
duplication and Inconsistency, States are
encouraged to enter into joint processing
agreements with EPA for permit issuance.
LikewUe. States are encouraged (but not
                                                                                      ray noj override
                                                                                 the Memorandum of Agreement.
        )rrmir"°""ir"{.* ^ ^*A SUPPOrt °f the
        program wi 1 change and are therefore
   more appwpnately negotiated in the context
   pf annual agreements rather than in the

   «?cAfv^n7heVMo'imay tm be "PP^Pnate <°
   specify m the MOA the basis for such
   detailed agreements, e.g.. a provision in the
   MOA specifying that EPA will select facilities
   in the State for inspection annually as cart of
   the State/EPA agreement.]      *   P

    (d) State.RCRA prorgrams on/y.'ln the
   case of State RCRA programs the  •  •
   Memorandum of Agreement shall also'
   provide that'
    (1), EPA may conduct compliance
   inspections of all genera tors,
   transporters, and HWM facilities in
  each year for which the State is
  operating under final authorization. The
  Regional Administrator and the State
  Director may agree to limitations on
  compliance inspections of generators.
  transporters, and non-major HWM
  facilities.          .

   (2) No limitations on EPA compliance
  inspections of generators, transporters.
  or non-major HWM facilities under
  paragraph (d)(l) of this section shall
  restrict EPA's right to inspectjmy
  generator, transporter, or HWM facility
  which it has cause to believe is not in
  compliance with RCRA: however, before
  conducting such an inspection. EPA \vtll
 normally allow the State a reasonable
 opportunity to conduct a compliance
 evaluation inspection.
   (3) The State Director shall promptly
 forward to EPA copies of draft permits
 and permit applications for all major
 HWM facilities for review and
 comment The Regional Administrator
 and the State Director may agree to
 limitations regarding review of and
 comment on draft permits and/or permit
 applications for non-major HWM
 facilities. The State Director shall supply
 EPA copies of final permits for all major
HWM facilities.
   (4) The Regional Administrator shall
promptly forward So the State Director
informaUoa obtained prior to program
approval in notifications provided under

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                  Federal Register / Vol. 45. No. 98 / Monday. May 19. i980 / Rules  an'd Regulatjon9
33460
    section 3010fa) ofRCRA. The Regional
    Administrator and the State Director
    shall agree on procedures for the
    assignment of EPA identification
    numbers for new generators;
    transporters, treatment, storage; and
    disposal facilities.
      (5) The State Director shall review all
    permits issued under State law prior to
    the date of program approval and
    modify or revoke and reissue them tp
    require compliance with the
    requirements of this Part. The Regional
    Administrator and the State Director
    shall establish * time within which this
    review must take place.
     [t) State NPDES programs only. In the
    case of State NPDES programs the
    Memorandum of Agreement  shall also
    specify the extent to which EPA will
    waive iu right to review, object to. or
    comment upon Slate-issued permits  .
   under sections 402(d)(3). (e) or (Q of
   CWA. While the Regional Administrator
   and Ihe State may agree to waive EPA
   review of certain "classes or  categories"
   of permits, no waiver of review may be
   granted for the following discharges:
     (1) Discharges into the territorial sea;
     (2) Discharges which may affect the
   waters of a State other than the one in
   which the discharge originates:
    (3) Discharges proposed to be
   regulated by general permits (see

    (4) Discharges from publicly owned
   treatment works with a daily average
   discharge exceeding I million gallons
  per day;
    (5) Discharges of uncontamina ted
  cooling water with a daily average
  discharge exceeding 500 million gallons
  per day;
    (6) Discharges from'any major
  discharger or from any discharger within
  any of the 21 industrial categories listed
  in Appendix A to Part 122;
    (7) Discharges from other sources with
  a daily average discharge exceeding 0.5
  (one-half) million gallons per day
  except that EPA review of permits for
  discharges of non-process wastewater
 may be waived regardless of flow.
•    (fj Slate section 4O4 programs only. [11
 In the case of State section 404     *
 programs, .Jhe Memorandum of
 Agreement with the Regional
 Administrator shall also specify:
   (i) The categories {including any class,
 type, or size within such categories) of
 discharges for which EPA will waive •
review of State-issued permit
applications, draft permits, and draft
genera] permits. While the Regional
Administrators and the State, after
consultation with the Corps of
Engineers, the U.S. Fish and Wildlife
Service, and the National Marine
fisheries Service, may agree to  waive  . .
                                        Federal review of certain "classes or
                                        categories" of permits, no waix-er may
                                        be granted for the following activities: '
                                          (A) Discharges \vhich may affect the
                                        waters of a State other than the one in
                                        which the discharge originates;
                                          (B) Major discharges;
                                          (C) Discharges-in to critical areas
                                        established under State Or Federal law
                                        including fish and wildlife sanctuaries
                                        or refuges. National and historical
                                       monuments, wilderness areas and
                                      • preserves. National and State parks,
                                       components pf the National Wild and
                                       Scenic Rivers system, the designated
                                       critical habitat of threatened or
                                       endangered species, and sites identified
                                       or proposed under the National Historic
                                       Preservation Act  -
                                         (D) Discharges proposed to be
                                      regulated by general permits: or
                                         (E) Discharges known or suspected to
                                      contain toxic pollutants in toxic
                                      amounts under section 307(a)(l) of CWA
                                      or hazardous substances in reportable
                                      quantities under section 311 of CWA.
                                      ,  (ii) A definition of major discharges.
                                        (2) In the .case of State section 4O4
                                      programs, where more than one agency
                                      within a State has responsibility for
                                      administering the program, all of the
                                      responsible agendes shall be parties to
                                      the Memorandum of Agreement
                                       • fg) State NPDES and Section 404
                                      programs only. Whenever a waiver is
                                      granted under paragraphs (e) or (Q(l) of
                                      this section, the Memorandum of
                                      Agreement shall contain:
                                        (1) A statement that Ihe Regional
                                      Administrator retains the right to
                                      terminate the waiver as to future permit
                                      actions, in whole or in part, at any time
                                      by sending the Slate Director written
                                      notice of termination; and  •.
                                        (2) A statement that the State shall
                                      supply EPA and. in.the case of State
                                      section 404 programs, the Corps of
                                     Engineers, the U.S. Fish and Wildlife
                                     Service, and the National Marine
                                     Fisheries Servcie (unless receipt is
                                     waived in writing], with copies of final
                                     permits.           '.   •

                                     § 123.7  Requinmmts for permitting.
                                       (a) All State programs under this Part
                                     must have legal authority to implement
                                     each of the following provisions and
                                     must be administered in conformance
                                     with each; except that States are not
                                     precluded from omitting or modifying
                                     any provisions to impose more stringent
                                     requirements:         "
                                      (1) § 122.4—(Application for a permit),
                                     except in the case of § 122.4(d) for State
                                     section 404 programs;-
                                      (2) § 122.6—(Signatories);
                                      (3) 5 122.7—{Applicable permit
                                    conditions);
     (4) § 122.8—(Establishing permit
   conditions);   '             ,
     (5) § 122.9—(Duration):
     (6) § 122.10(a)-techedules of
   compliance);
     (7) § 122.11—(Monitoring
   requirements);
     (8) § 122.13 (a) and'(b)-{Effect of
   permit);
     (9) § 122.14—(Permit transfer);
    , (10),5 122.15—(Permit modification);
     (11) S 122.16—(Permit termination);
     (12) S 122.18—(Nonconipliance
   reporting);
   .  (13) S 122.19 (bHdMConfidential
   information);
     (14) 5124.3(a)—(Application for a
   permit);
     (15) 5 124.5 (a), (c), (d). and (f)_
   (Modification of permits), except as
   provided in 5 123.100(b)(2) for State
   section 404 programs;
    (16) § 124.6 (a), (c), (d). and (e)-(Draft
  permit), except as provided-in
   § 123.100(b)(2) for State section 404  .
  programs;
    (17) 5 124.8—(Fact sheets), excep'ras
  provided in' 5 123.100(b)(2) for State
  section 404 programs;
    (18) § 124.10 (a)(l)(ii). (a)(l)(iii).
  (a)(l)(v). (b). (c). (d). and (e)—(Public
  notice);
    (19) § 124.11—(Public comments and
  requests for hearings);
    (20) S 124.12(a)—(Public hearings
  and                 .     .     6
   (21) $ 124.17 (a) and (cMReaponsI
  comments).
   [Note.—States need hot implement
  provisions Identical to the above listed
  provisions or the provisions listed in §§ 123.7
  (bHd). Implemented provisions must.
  however, establish requirements at least as
 stringent as the corresponding listed
 provision*. While States may impose more
 stringent requirements, they may not make '
 one requirement more lenient as a tradeoff
 for making another requirement more
 stringent: for example, by requiring tha t
 public hearings be held prior to issuing any
 permit while reducing the amount of advance
 notice of such a hearing.
   Slate programs may, if they have adequate
 legal authority, implement any of the
 provisions of Parts 122 and 124. See. for
 example. $ I22.5(d) (continuation of permits)
 and { 124.4 (consolidation of permit
 processing).

   (b) State RCRA programs only. Any
 State hazardous waste program shall
 have legal authority to implement each
 of the following provisions and must be
 administered in conformance with each,
 except that States are not precluded
 from omitting or modifying any
 provisions to impose more stringent   '
requirements:
  (1) § 122.21(d)(2J—(Specific
inclusions);

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       (2) 5 12232— {Application for a
    permit};
       (3)'S 12234— (Contents of Part A);
       (4) 9 122.25— (Contents of Part B);
      [Note— States need not use a two part  '
    permit application process. The State
    application process must, however, require
    information in sufficient detail to satisfy the.
    requirement* of 55 12224 and 12&25.J
      (5)512238— (Permit by rule);
    .  (6) 5 12237— (Emergency permits):
      (7} § 12238-{Additional permit
    conditions]:
      (8) $ 12239— (Establishing permit
    conditions); and   .'
      (9) 5 12Z30-{Interim permits for UIC
    wells).
      (c) Slate UIC programs only. State
    ulC programs shall have legal authority
    to implement each of the following .
    provisions and must be administered in
    cbnformance with each: except that
    States are not precluded from omitting
    or modifying any provisions to impose
    more stringent requirements:
     (1) § 122^32— (Classification of   .
   injection wells);
     (2) § 12243— (Prohibition of
   unauthorized injeeticn);
     (3) 5 122.34— {Prohibition of
   movement of fluids into underground
   sources of drinking water);
    (4) 5 122J5-{Identification of
   underground sources of drinking water
   and exempted aquifers);
    (5) § 122.36— (Elimination of Class IV
   wells):
    (6) 1 122.37— {Authorization by rule);
    (7) § ,122J8-{Authorization by
  permit);                       .
    (8) i 12239_{Area permits);
    (8) JI22.41-(Additional permit
  conditions);
    (10) 5 122.42— {Establishing permit
  conditions);
    (11) 5 122.44— (Corrective action); and
    (12) S 122.45— (Requirements for wells
  managing hazardous wastes).
  *,$£tcte NPDES Programs only. State
  NPDES programs shall have legal
  authority to implement each of the
  following provisions and must be
  administered in conformance with each:
  except that States are not precluded
  from omitting or modifying any
• provisions to impose more stringent
 requirements:    . .  •
   (1) 5 122.52-{Prohibitions);
   (2) 5 122.53 (a), (dHg) an
 (Apphcation for a permit); •
   (3) 5 122S4— (Concentrated animal
 feeding operations);
   (4) 5 122.55— (Concentrated aquatic
 animal production facilities);
   .(5) 1 122.56— (Aquaculture projects);
   £  | ^^Separate storin sewers);
   (7)  { 122.58— {Silviculture);
   (8)  § 122.59— {General permits)
provided that States which do not seek
« >
    to Implement fee general permit program
    under 5122.59 need not do so:
      (9) 5 122.60—(Conditions applicable to
    all permits);           •        '
      (10) 5 122.61—(Conditions applicable
    to specified categories of permits):
      (11) Sl22.62-{Establishing permit
    conditions):             •            .
      (12) § I22.63-^{Calculating NPDES
 ,   conditions);                       •
      (13) 5122.64—(Duration of permit);
      (14) S 122.65-{Disposal into wells);
      (15) i 124.58-(Fact sheets);
      (16) § 124.57(aMPublic notice);
      (1.7) i 124.59—{Comments from •
   government agencies):
     (18) Subparts A. B, C. D. H. I, J. K and
   L of Part 125; and
     (19) 40 CFR Parts 129.133. and
   SubchapterN.'  •  .
     JNotfc—For example, a Slate may impose   '
   more stringent requirements in an NPDES
   program by omitting the upset provision of
   i 122.80 or by requiring more prompt nolice
..   of an upset]                  .   •

     (e) State KPDES and 404 programs
   only. (1) State  NPDES and 404 permit
   programs shall have an approved
   continuing planning process under 40
   CFR J 35.1500  and shall assure that the
   approved planning process is at a'H
   times consistent with CWA.
    (2) State NPDES and 404 programs
   shall ensure that any. board or body
  which approves all or portions of
  permits shall hot include as a member
  any person who .receives, or has during
  the previous 2 years received, a
  significant portion of income directly  or
  indirectly from  permit holders or
  applicants for a permit
    (i) For the purposes of this paragraph:
    (A) "Board or body" includes any
 individual including the Director, who
 has or shares authority to approve all or
 portions of permits either in the first
 instance, as modified or reissued, or on
 appeal
   (B) "Significant portion of income" '
 means 10 percent or more of gross
 personal income for a calendar year.
 except that it means 50 percent or more
 of gross personal income for a calendar
 year if the recipient is over 60 years of
 age and is receiving that portion under
 retirement, pension, or similar
 arrangement
   (C) "Permit holders of" applicants for a
 permit" does not include any ,
 department or agency of a State
government, such .as a Department of
SJ-^S ?r a ^P^ent of Fish and
Wildlife.
   (D) "Income" includes retirement
benefits, consultant fees, and stock
dividends.                  •
   (ii) For the purposes of this .
subparagraph, income is not received
                                               "directly or indirectly from permit
                                               holders or applicants for a permit" when
                                               it isrdenved from mutual fund payments
                                               orJromolneT diversified investments for
                                               which the recipient does not know the
                                               identity of the primary sources of
                                               income. •          ,                ,'  .
   5123.8  Requirements for compliance
   •valuation programs,        :
     (a) State programs shall have
   procedures for receipt evaluation.
   retention and investigation for possible
   enforcement of all notices and reports
   required of permittees and other
   regulated persons (and for investigation
   for, possible enforcement of failure to
   submit these notices and reports).     :
   .  (b) State programs shall have
   Inspection and surveillance procedures
 .  to determine, independent of
,   information supplied by regulated
 .  persons, compliance or noncompliance
   with applicable program requirements.
  The State shall maintain:
    (1) A program which is capable of
  making comprehensive surveys of all
  facilities and activities subject to the
  State Director's authority to identify
  persons subject to regulation who have
  failed to comply with permit application
  or other program requirements. Any
  compilation, index,  or inventory of such
  facilities and activities shallbe made
  available to the.Regional Administrator
  upon request;
    (2) A program for periodic inspections
  of the facilities and activities subject to
  regulation. These inspections shall be
  conducted in a manner designed to:
   (i) Determine compliance or
 noncompliance with issued permit
 , conditions and other program   '
 requirements:     '
   (ii) Verify the accuracy of information
 submitted by permittees and other
 regulated persons in reporting forms and
 other forms supplying monitoring  data;
 and         T   .
   (iii) Verify the adequacy of sampling
 monitoring, and other methods used by
 permittees and other regulated persons
 to develop that information;
   (3) A program for investigating
 information obtained regarding
 violations of applicable program and
 permit requirements; and
   (4) Procedures for receiving and
 ensuring proper consideration of
 information submitted by the public
 about violations. Public effort in   "
reporting violations shall be encouraged,
and the State Director shall make
available information on reporting
procedures.   "         .    ,
  (c) The State Director and State
officers engaged in compliance
evaluation shall have authority to enter
any site or premises subject to

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     		____„__.^^

     regulation or in which records relevant
     lo program operation are kept in order
     to copy any records, inspect, monitor or
     otherwise investigate compliance with
     the Stale program including compliance
     with permit conditions and other
     program requirements. States whose law
     requires a search warrant before entry
     conform with this requirement;
    •   fd) Ihveitigatory inspections shall be
    conducted, samples shall be-taken and
    oiner information shall be gathered in a
    manner (c-g,  using proper "chain of
    custody" procedures) that will produca
 •  evidence admissible in an enforcement
    proceeding or in court
      (*} State NPDES programs only.  State
    NPDES compliance evaluation programs
    ahaH have procedures and ability fon
      (1) Maintaining a comprehensive
    inventory of all sources covered by
    NPDES permits and a schedule of
    reports required to be submitted by
    permittees to the Slate agency;
     (2) Initial screening {i.e.. pre-
    enlbrcement evaluation) of all permit or
   Sranl-related compliance  information to
    identify violations and to  establish
   priorities for further substantive
   technical evaluation;
     (3) When warranted, conducting a
   «ib«tantive technical evaluation
   following the inilial screening of all
 -Permit orgrant-rclate'd compliance
   information to determine the
  appropriate agency response;
     (<) Maintaining a management
  infonaalkm system which  supports the
  compliance evaluation activities of this'
  Part; and"
    (SJInspectlng the  facilities of all major
  dischargers «l feast  annually.
  § 123.9 Requircmtnts for enforc«mtnt
    (a) AiryShrtB agency administering a
  program shaJlhave available the
  following remedies for violations of
  State program requirements:
    (1) To restrain immediately and
  effectively any person by order or by
  •uit in State court from engaging in any
  unauthorized activity which is
  endangering or causing damage to
 public health or the environment;
   |No««^-Thr« paragraph requires that States
 have a mechanism (e.g.. an administrative
 sense and desist order or the ability to seek a
 temporary jrtlrainine order) to stop any
 jmauthof jzed activity endangering public
 health or the environment.)

   12) To sue in courts of competent   '
 jurisdiction lo enjoin any threatened or
 continuing violation of any program
 requirement, including permit
 conditions, without the necessity of a
prior revocation, of the permit;
       (3) To assess or sue to recover in court
    civil penalties.?nd to seek criminal
    remedies, including fines, as-fellows:
      (i) State RCRA programs only. (A)
    Civil penalties shall be recoverable for
    any program violation in at least the
    amount of SI0.000 per day.
      (B) Criminal remedies shall be
    obtainable against any person who-
    knowingly transports any hazardous
    waste to an unpermitted facility: who
    treats, stores, or disposes of hazardous
    waste without a permit: or who makes
    any false statement or representation in
    any application, label, manifest, record.
    report, permit or other document filei
    maintained, or used for purposes of
    program compliance. Criminal fines
    shall be recoverable in at least the
    amount of S10.000 per day for each
   violation, and imprisonment for at least
   six months shall be available.
     (ii) State UICprograms only. (A)  For
   all wells except Class II wells,  civil
   penalties shall be recoverable for any
   program violation in at least the amount
 •  of S2.500 per day. For Class II wells, civil
   penalties shall be recoverable for anjt^.
   program violation in at least the amount
   of $1.000 per day.
    (B) Criminal fines shall be recoverable
   m at least the amount of S5.000 per day
•   against any person who willfully
   violates any program requirement, or.
   for Class H wells, pipeline (production)
   severance shall be imposable against
  any person Who willfully violates any
  program requirement.        •  •
    (Ui) State NPDES and section 40?
 programs only. (A) Civil penalties shall
 MhE£i?verabIe for the v'°lation of any
      5^r iect!on «H Permit condition;
 any NPDES or section 404 filing
 requirement: any duty to allow or carry
 out inspection, entry or monitoring
 activities; or any regulation or orders
 issued by the Slate Director. Such '
 penalties  shall be assessable in at least
 the amount of SS.OOO per day for each
 violation.
    (B)  Criminal fines shall be recoverable
 against any person who willfully or
 negligently violates any applicable
 standards or limitations: any NPDES or
 section 404 permit condition;  or any  '
 NPDES or section 404 filing requirement.
 Such fines shall be assessable in at least
 the amount of $10.000 per day for each
 violation.-     .               .
  (Note.— States which provide criminal
 remedies based on "criminal negligence "
 gross negligence" or strict liability satisfy

           "1 °f Para8raph WW
    NPDES or section 404 form, in anv
    notice or report required by an N'PDJ
    or section 404 permit, or who fcnowi
    renders inaccurate any moitoring degn
    or method required to be maintained by
    the Director. Such fines shall  be
    recoverable in at least the amount of
    So.OOO for each instance of violation.
     (Note.—In many States the State Director
    Will be represented in State courts by the
    Slate Attorney General or other appropriate '
    legal officer. Although the State Director need
    not appear in court actions he or she should
    have power to request that any of the above
   actions be brought]

     (b)(l) The maxjmum civil penalty or
   criminal fine (as provided in paragraph
   (a)(3) of this section) shall be assessable
   for each instance of violation and. if the
   violation is continuous, shall be
   assessable up to the maximum amount
   for each day of violation.
    , (2) The burden of proof and degree of
   knowledge or  intent required under
   State law for establishing violations
   u"d,f''Paragraph (a)(3J of this section.
   snail be no greater than the burden of .
   proof or degree of knowledge or intent
   EPA must provide when it brings an
   action under the appropriate Act.
    (Note.—For example, this requirement is
  not met if State law includes mental stale as
     lement of proof for civil violations.)
  (C) Criminal fines shall be recoverable
against any person who knowingly
makes any false statement.
representation or certification in any
    (c) Any civil penalty assessed, sou
  or agreed upon by the State Director
  under paragraph (a)(3) of this section
  shall be appropriate to the violation. A
  civil penalty agreed upon by the Slate
  Director in settlement of administrative
  or judicial litigation may be adjusted by
  a percentage which represents the
. likelihood of success in establishing the
  underlying viejation(s) in such litigation.
  If such civil penalty, together with the
  costs of expeditious compliance, would
  be so severely disproportionate to the
 resources of the violator as to jeopardize
 continuance in business, the payment of
 the penalty may be deferred or the   .
 penalty may be forgiven in whole or
 part, as circumstances warrant. In the
 case of a penalty for a failure to meet a
 statutory or final permit compliance
 deadline, "appropriate to the violation,"
 as used in this paragraph, means a
 penalty which is equal to:
  (1) An amount appropriate to redress
 the harm or risk to public health or the
 environment: plus
  (2) An amount appropriate to remove
the economic benefit gained or to be
gained from delayed compliance; plus
  (3) An amount appropriate as a
penalty for the violator's degree of
recalcitrance, defiance, or indifference
to requirements of the law; plus

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Mend Raster / VoL 45. No. 98  A Monday.
      l«) An amount appropriate to recover
    unusual or extraordinary enforcement
    costs thrust upon the public: minus
      (5) An amount, if any. appropriate to
    reflect any part of the noncompliance
    attributable to the government itself.
    and minus
      (6) An amount appropriate to reflect
    atiy part of the noncompliance caused
  , by factors completely beyond the
  •  violator's control [e.g.. floods, fires).
     JNotsv-In addition to the requirements of
   tms.psragrapb. the State may have othar
   enforcement remedies. Tb» following
   enforcement options, while not mandatory.
   «» highly recommended:

     Procedures for assessment by mt Stats- of
   UM costs of invMtifatiom. inspections, or
   monilonng surveys which lead to the
   establishment of violations;'' ••  - •••. .. ..  .,..;
     Proceaure* which enable the Stale to
   aneas or to rue any persons reaponaibl* for
   unauthorized activities for any expensci
   incurred by the Slate in removing, correcting.
   or terminating any adverse effects upon
   human heaJth and the environment resulting
   from the unauthorized  activity. Whether or
   not accidental:     '              :    .
    Procedure* which enable the State to lua
  for compensation for any IOH or destruction
  of wildlife, nth or aquatic Jife. or their
  habitat, and for any other damages caused by
  unauthorized activity, either to the State or to
  any resident! of the State who are directly
  aggrieved by the unauthorized activity, or
  both: and
   • Procedures for the administrative
  asseMznent of penalties by the Director.)
    (d) Any State administering a program
  shall provide for public participation in
  the State enforcement process by
  providing either:                    ,
    (1) Authority which allows
  intervention as of right La any civil or
  administrative action to obtain remedies
  specified in paragraphs (a) (1), (2) or (3)
  of this section by.any citizen having an
  interest which is or may be adversely
  affected; or   ,
    (2) Assurance that the State agency or
  enforcement authority will:
   (1) Investigate and provide written
 responses to all citizen complaints  '
 submitted pursuant to the procedures
 specified in 5123.8(b)(4):
   (ii) Not oppose intervention by any
 citizen when permissive intervention
 may be authorized by statute, rule or
 regulation; and       '
   (Hi) Publish notice of an3 provide at
 least 30 days for public comment on any
 proposed settlement of a State
 enforcement action.

 5123.10 Sharing of Information.
  (a) Any information  obtained or used
 in the administration of a State program
 shall be available to EPA upon request
 without restriction. If the information
 has been submitted to  the State under a
claim of confidentiality, the State must
                          submit that claim to EPA when
                          providing information'under this section.
                          Any information obtained from a State
                          arid subject to a claim of confidentiality
                          will be treated in accordance with the*
                          regulations in 40 CFR Part 2. If EPA
                          obtains from a State information that is
                          not claimed to be confidential. EPA may
                          make that information available to the
                          public without further notice.
                           (b) EPA shalUuinish to States with
                          approved programs the information in
                          its files not submitted under a claim of
                          confidentiality which the State needs to
                          implement its approved program. EPA
                         •hall furnish to States with approved
                         programs information submitted to EPA
                         under a claim of confidentiality, which
                         the State needs to implement its
                         approved program, subject to the
                         conditions in 40 CFR Part 2.
                         $12X11  Coordination with other
                         programs.
                           (a) Issuance of State permits under
                         this Part may be coordinated with
                         Issuance of RCRA. UIC. NPDES, and 404
                         permits whether they are controlled by
                         the State. EPA. or the Corps of
                         Engineers. Sea § 124.4.'            ,  .
                          (b) The State Director of any
                         approved program which may affect the
                        planning for and development of
                        hazardous waste management facilities
                        and practices shall consult and
                        coordinate with agencies designated
                        under section 4006(b) of RCRA (40 CFR
                      ^  Part 255) as responsible for the
                        development and implementation of
                        Stale solid waste management plans
                        under section 4002(b) of RCRA (40 CFR


                        9 123.12  Approval process.
                         The.process for EPA approval of State
                        programs is set out in 55 123.39 (RCRA1.
                        123.54 (UTQ. 123,77 (NPDES). and
                        123.104(404J.

                        5123.13  Proe»dur««forf»vWonofSut«
                        program*.              ••
                         (a) Either EPA or the approved State
                       may initiate program revision. Program
                       revision may be necessary when the'
                       controlling Federal or State statutory or
                       regulatory authority is modified or
                       supplemented. The State shall keep EPA
                       fully informed of any proposed
                       modifications to its basic statutory or
                       regulatory authority, its forms.
                       procedures, or priorities.            .
                         (b) Revision of a State program shall
                      be accomplished as follows:      :
                         (1) The State shall submit a modified
                      program description. Attorney General's
                      statement. Memorandum of Agreement.
                      or such other documents as EPA
                      determines to be necessary under the
                      circumstances..
     (2) Whenever EPA determines that the
   proposed program revision is ' • • • •
   substantial. EPA shall issue public
   notice and provide an opportunity to
   comment for a period of at least 30 days.
   The public notice shall be mailed to
   interested persons and shall be
   published in the Federal Register and in
   enough of the largest newspapers in the
   State to provide Statewide coverage
   The public notice shall summarize the
   proposed revisions and provide for the
   opportunity to request a public hearing.
   Such a hearing will b« held if there is
   significant public interest based on
   requests received.
'   (3) The Administrator shall approve or
   disapprove program revisions based on
   the requirements of this Part and of the
   appropriate Act '     •
    (4) A program revision shall become
   effective upon the approval of the
  Administrator. Notice of approval of any
  substantial revision shall be published   '
  in the Federal Register. Notice of
  approval of non-snbstantial program
  revisions may be given by a letter from
  the Administrator to the State Governor
  or his designee.
   (c) States with approved programs
  shall notify EPA whenever they propose
  to trsjisfer all or part of any program
  from the approved State agency  to any
  other State agency, and shall identify
  any new division of responsibilities
  among the agencies involved. The new
  agency is not authorized to administer
  the program until approved by the
  Administrator under paragraph (b) of
  this section. Organizational charts
 required under 5 123.4(b) shall be
 revised and resubmitted.
   (d) Whenever the Administrator has
 reason to believe that circumstances
 have changed with respect to a State
 program,  he may request, and the State
 shall provide, a  supplemental Attorney
 General's statement, program
 description, or such other documents or
 information as are necessary. •
   (e) State RCRA programs only. All
 new programs must comply with  these
 regulations immediately upon approval.
Any approved program which requires
revision because of a modification to
this Part or to 40 CFR Parts 122.124.260
261. 262. 263. 264.265 or 266 shall  be so
revised within one year of the date of
promulgation of such.regulation. unless
a State must amend or enact a statute in
order to make the required revision in
which case such revision shall take
place within two years.
   (f) State UIC programs only. The State
shall submit the information required
un'der paragraph (b)(l) of this section
within 270 days of any amendment to
this Part or 40 CFR Parts 122.124,  or 146
which revises or adds any requirement

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   	                	        =
   respecting ma approved State UIC
   program.
     fg) Stofe ffPDESprograms only. All
   new programs must comply with these
   regulations immediately upon approval.
   Any approved Slate section 402 permit .
   program which requires revision to
   conform to this Part shall be so revised
   within one year of the date of
  promulgation of these regulations.
  unless a Stata must amend or enact a
  statute la order to make the required
  revision In which case suchjevlsion  •
  •hall take plan within 2 years, except
  that revision of S.tate programs to
  Implement  the requirements of 40 CFR
  Part403 (pretreatment) shall be
  accomplished as provided in 40 CFR
  S*"-1^ to addition, approved States    •
  •hall submit' within 8 months, copies of
  their permit forms for EPA review and
  approval Approved States shall also
  "sure that  permit applicants, other than
  POTWs. either (1) whose permits expire
  after November 30, I960 or (2) whose
 permits expire before November 30.1980
 and who have not reapplied for a permit
 prior to April 30.1980, submit, as part of
 their application, the Information
 required under !§ 12Z4(d) and 122,53 (dl
 or (ej, as appropriate.
_fli]\Stata section 404 programs only.
The Regional Administrator shall
consult with the Corps of Engineers, the
US. Fish and Wildlife Serviw. and the
National Marine Fisheries Service
regarding any substantial program
revision, and shall consider their
  • o.i.iuii, ana «nau consider their
  recommendations prior to approval of
  any such revision. '  ,

  S12X14 Crtt»rtaforwm»drawB*ofStat»
  programs.

    (a) The Administrator may withdraw
  program approval when a State proizram
  no longer complies with the
  requirements of this Part and the State
  fails to take corrective action. Such
  circumstances include the following:
   WWhen the State's legal authority no
  longer meets the requirements of this
  Part Including:
   (I) Failure of the State to promulgate
  or enact new authorities when    '
 necessary; or
   (U) Action by a State legislature or
 court striking down or limiting State
 authorities.
   (2) When the operation of the State
 program fails to comply with the
 requirements of this Part. Including-
  (i) Failure to exerdse control over
' JL,  « " "T^red to be regulated under
 this Part. Including failure to issue
permits;
  OU Repeated Issuance of permits
which do not conform to the
requirements of this Part; or
                                     i ._
       (iii) Failure to comply with the public
     participation requirements of this Part.
       (3) When the State's enforcement
     program fails to comply with the
     requirements of this Part, including:
       (i) Failure to act on violations of '
     P"%?~ 7"Other Prog™ requirements;
      (ii) Failure to seek adequate
     enforcement penalties or to collect •
    administrative fines when imposed: or
      (III) Failure to inspect and monitor
    activities subject to regulation.
      (4) When the State program fails to
    comply with the terms of the
    Memorandum of Agreement required
    under 1123.8.. ^   .         ^

    ltt*1*Pre<»duTO for withdrawal of
    Stat* programs.,,..^  .... .   •  .
     (a) A State with • program approved
    under this Part may voluntarily transfer
    program responsibilities required by
    Federal law to EPA [or to the Secretary
    n the case of 404 programs) by taking
    the following actions, or in such other
   manner as may be agreed upon with the
   Administrator.
     (1) The State shall give the
   Administrator (and the Secretary in the
   case of section 404 programs) 180 days
   notice of the proposed transfer and shall
   submit a plan for the orderly transfer of
   all relevant program information not in
   the possession of EPA (or the Secretary
   In the case of section 404 programs!
   (such as permits, permit files.
   compliance files, reports, permit
   applications) which are necessary for
  EPA (or the Secretary in the case of
  •ection 404 programs) to administer the
  program.
    (2) Within 60 days of receiving the
 , notice and transfer plan, the  •
  Administrator (and the Secretary in the
  case of section 404 programs) shall
  "^."fj8 *? Slate'» transfer P^ and
  shaU identify any additional information
  needed by the Federal government for
  program administration and/or identify
  any other deficiencies in the plan.
   (3) At least 30 days  before the  transfer
 is to occur the Administrator shall
 publish notice of the transfer in the
 Federal Register and In enough of the
 largest newspapers in the State to
 provide Statewide coverage, and shall
 mail notice Uxall permit holders.permit
 applicants, other regulated persons and
 other Interested persons On appropriate
 EPA and State mailing lists.
   (b) The following procedures apply
 when the Administrator orders the
 commencement of proceedings to
 determine whether to withdraw
 aPP™val of a State program, other than
 a UIC program. The process for
 withdrawing approval of State UIC
programs Is set out in 5 123.55.
                                                                                                          ^H_

                                                                                  (1) Orefer. The Administrator may
                                                                                order the commencement of withdi  '
                                                                                proceedings on his or her own initi
                                                                                or in response to a petition from an^i
                                                                                taterested person alleging failure of the
                                                                                State to comply with the n>mi:Mn,..4(cMauthorities of     '
 •Presiding Officer):
   (iii) S 2i08-(filing/8ervice of rulings
 and orders):
   (iy) § 2Z07(a) and ^-except that.
 the time for commencement of the
 hearing shall not be extended beyond
 the date set in the Administrator's order
 without approval of the Administrator—
 (computation/extension of time)-
 M (v) § 2Z.O&-however. substitute
  order commencing proceedings" for
  complaint"—(Ex Parte contacts);
  (vi) S 22.09—(examination of filed
documents);
  (yii) S 22.11(0). (c) and W. however.  ^
motions to intervene must be filed     ^Hfe.
within 15 days from the date the noticeMi

-------
    of the Administrator's order is first
    published—fintervention);
    .  (yiii) 5 22.18 except that, service shall
    be in accordance with'paragraph (b)(4)
    of'this section, the first sentence in
    S 22.16(c) shall be deleted, and. the word
    "recommended" shall be substituted for
    the word "initial" in S 2246(c)—
    (motions):
     (ix) i 2Z1^«J. (b) and (c)-{Prehearing
    conference);
     (x) 5 2i22—(evidence):     •
     (xf) ] 2223—(objections/offers of
    proof):     "                    -
     (xii) §2Z25-{filteg the transcript);
    and
     J*»MM» '' "•"  lunoings/concinsio
     {*} Record*}proceedings. (i)The
   hearing shall be either stenographicany
   reported verbatim or tape recorded; and
   thereupon transcribed by an official
   reporter designated by the Presiding
   Officer: •
     (ii) AD orders issued by the Presiding
   Officer, transcripts of testimony, written
   statements of position, stipulations.
   exhibits, motions, briefs, and other
   written material of any kind submitted
   in the hearing shall be a part of the
   record and shall be available for
   inspection or copying in the Office of the
   Hearing Clerk, upon payment of costs.
   Inquiries may be made at the Office of
   the Administrative Law judges. Hearing
   Clerk. 401M Street. S.W, Washington.
  D.C.2O4BO;
    (iii) Upon notice to all parties the
  Presiding Officer may authorize
  corrections to the transcript which
  involve matters of substance:
    (iv) An original and  two (2) copies of
  all written submissions to the hearing
  shall be filed with the Hearing Clerir
    (v) A copy of each such submission
  shall be served by the person making
  the submission upon the Presiding
  Officer and each party of record. Service
  under this paragraph shall take place by
  mail or personal delivery;"
   (vi) Every submission shall be
 accompanied by an acknowledgement
 of service by the person served or proof
, 9f service in the form of a statement of
 the date. time, and manner of service
 and the names of the persons served.
 certified by the person who made
 service: and                   '    ''
   (vH) The Hearing Clerk shall maintain
 and furnish to any person upon request.
 a list containing the name, service
 address, and telephone number of all
 parties and their attorneys or duly
 authorized representatives..
   (5) Participation by a person not a
party. A person who is not a party may
at the discretion of the Presiding Officer
be permitted to make a limited
appearance by making an oral or
written statement of his/her position on
    the issues within such limits and on
    such conditions as may be fixed by the
    Presiding Officer, but he/she may not
    otherwise participate in the proceeding
      (6) Rights, of parties. All parties to the
    proceeding may:.
      (i) Appear by counsel or other
    representative in all hearing and pre-
    hearing proceedings;   '        .
      (ii) Agree to stipulations of .facts
    which shall be made a part of the
    record.       ..-.'•
     [7] Recommended decision, (f) Within
   30 days after the Cling,of proposed
   findings and conclusions, and reply
   briefs, the Presiding Officer shall
   evaluate the record  before him/her, the
   proposed findings and conclusions and
   any briefs filed by the parties and shall.
   prepare a recommended decision, and
   shall certify the entire record, including
   the recommended decision, to the
   Administrator.
    (ii) Copies of the recommended
   decision shall be served upon all parties
    (iii) Within 20 days aflerthe
   certification and Cling of the record and
   recommended decision, all parties may
   file with the Administrator exceptions to
   the recommended decision and a
  supporting brief.
    (8) Decision by Administrator, (i)
  Within CO days after  the certification of ,
  the record  and filing of the Presiding
  Officer's recommended decision, the
  Administrator shall review the record
  before him and issue  his own decision.
    (ii) If the Administrator concludes that
  the State has administered the program
  fa conformity with the appropriate Act
  and regulations his decision shall
  constitute "final agency action" within
  the meaning of 5 U.S.C §704.
    (iii) If the Administrator concludes
  that  the State has not administered the
  program in  conformity with the
  appropriate Act and regulations he shall
  list the deficiencies in the program and
 provide the State a reasonable tin.*, not'
 to exceed 90 days, to take such
 appropriate corrective action as the
 Administrator determines necessary
   (iv) Within the time  prescribed by the
 Administrator the State shall take such
 appropriate corrective action as
 required by  the Administrator and shafl
 tile with the Administrator and all
 parties a statement certified by the State'
 Director that appropriate corrective
 action has been taken,
   (v) The Administrator may require a
 further showing in addition to the
 certified statement that corrective action
 has been taken.               .
  (vi) If the State fails to take
 appropriate corrective action and file a
certified statement thereof within the
time prescribed by the Administrator.
the Administrator shall issue a
    supplementary order withdrawing
    approval of the State program. If the
    State takes appropriate corrective
    action, the Administrator shall issue a
    supplementary order stating that
    approval of authority is not withdrawn.
     (viij The Administrator's
    supplementary order shall constitute
     (c) Withdrawal of authorization under
   tins section and the appropriate Act
   does not relieve any person from
   complying with the requirements of
   State law. nor does, it affect the validity
   of-actions by the State prior to
   withdrawal.                      .

   Subpart B-Additional Requirements
   for State Hazardous Waste Programs
   5 123.31  Purpose and scope.
     (a) This Subpart specifies additional
   requirements a State program must meet
   in order to obtain final authorization
   under section 3006(b) of RCRA. All of
   the requirements a State program must
  meet in order to obtain interim
  authorization under section 3006(c] of
  RCRA are specified in Subpart F. '
•   (b) States approved under this
  Subpart are authorized to administer
  and enforce their hazardous waste
  program in lieu of the Federal program.
    (c) Slates may apply for final
  authorization at any time after the initial
  promulgation of Phase IL State programs
  under final authorization may not take
  effect until the effective date of Phase IL
   (d) States operating ander interim
  authorization may apply for and receive
  final authorization as specified in
  paragraph (c) of this section.         .
  Notwithstanding approval under
  Subpart F. such States must meet all the
  requirements of Subpart A and this
  subpart in order to qualify for final
 authorization.
   (e) States need not have been
 approved under Subpart F in order to
 qualify for final authorization.        •'  .
 S 12X32  Consistency.
  To obtain approval, a State program
; must be consistent with the Federal
 program and State programs applicable
 in other States and in particular must
 comply with the provisions below. For
 purposes of this section the phrase
 "State programs applicable in other
States" refers only to those State
hazardous waste programs which have
received final authorization under this
Part  .     ,;       '
  (a) Any aspect of the State program
which unreasonably restricts, impedes,
or operates as a ban.on the free
movement across the State border of
hazardous wastes from or to other

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     33468
                                     V.L
                                                      Mmd.v
                                                                     ,
                                e
             al or an approved Slate
     program shall be deemed Inconsistent
       fb) Any aspect of State law or of the
     State program which has no basis in
     Human health or environmental
     protection and which acts as a
     prohibition on the treatment storage or
     disposal of hazardous waste in the State
     *"y b« deemed Inconsistent
    «nilU>1?.lSUte manjfc«t "ystern does
    not meet the requirements of this Part
    the State program shall be deemed
    Inconsistent
    J,2**»; R***w»crts lor ktontfflcation
    ««xl UstSofl of hazardous wastes.
      The State program must control all the
    hmrdous wastes controlled under 40  •
    CTR Part 281 and must adopt a list of
    Hazardous wastes and a set of
    characteristic, for identifying hazardous .

              ant l°  ose under <°  ^
    	— — "•*»«*•«
   Ca) The State program must cover all
 generators covered by 40 CFR Part 262.
 States must require new generators to
 contact the State and obtain an EPA
 Identification number before they
 perform any activity subject to       •
Tcgulation under the approved State
Jli"«!ou« waste program.
JSP* S^e shall have authority to
require and shall require all generator!
to comply with reporting and
wcordkeeptag requirements equivalent
tothow under 40 CFR §J 282.40 and
2«2.41. States must require that
   	                 _
   shall be filed with the Administrator.
   TOeState may require that a copy of
   such advance notice be filed with the
   State Director, or may require
   equivalent reporting procedures.
    [Nota^-Such notices shall be mailed to
  ft^°U*^M";ExPort-Div'»i«'nfor
  Oceans and Regulatory Affairs (A-107J. U.S.
  Environmental Protection Agency.
  W.ihmgton. D.C. 2M60.J ^ency'

    ff) The State must require that all
  generators of hazardous waste who
  transport [or offer for transport) such
  hazardous waste off-site:
  .. W Uae • manifest system that ensures
  that Interstate and Intrastate shipment!
, of hazardous waste are designated for
 delivery, and. In the case of tetrastate
 shipments, are delivered to facilities
 that are authorized to operate under an '
approved State program or the Federal
program:  i        '  .
   (2) Initiate the manifest and designate '
on the manifest the storage, treatment
or disposal facility to which the waste is
to be shipped]  •
  (3) Ensure that all wastes offered for
transport are accompanied by the
manifest except In the case of        —
shipments by rail or water snedfiprf in
                                                                               (cj The State must require the
                                                                             fransporter to carry the manifest durirw
                                                                             transport except in the case of      ^

                                                                            ftcFRPiZSP?* W,ater Specified '^
                                                                            ««-FR 5 263.20(e). and to deliver
                                                                            wastes only to the facility designated on
                                                                            the manifest The State program shaU
                                                                            provide requirements fo
                                       requirements for shipments by rail or
                                         (4) Investigate instances where
                                       manifests have not been returned by the
                                       owner or operator of the designated

                                       ttfS&sssssss
                                       for^toUie case of interstate shipments
   fc) The State program must require
 that generators who accumulate
 hazardous wastes for short periods of
 time prior to shipment off-site do so in
 containers meeting DOT shipping
    (d) For hazardous wastes that are
  discharged in transit the State program
  must require that transporters notirl

  aSSJUfi?*1"'•      and"ed«al

 ' SS ws'ff *S8%Snaofr
  such wastes do not present a hazarf o
  human health or the environment These
  requirements shall be equivalent to
  those found at 40 CFR § § 263.30 and


 5 123.38  Requirements for hazardous
 waste management facilities.
   The State shall have standards for
 hazardous waste management facilities
 which are equivalent to 40 CFR Parts
 284 and 288. These standards shall
 include:
  (a) Technical standards for tanks
 containers, waste piles, incineration,
 chemical, physical and biological
 treatment facilities, surface *
impoundments, landfills, and land
treatment facilities;
   aH ™U °ner 49 CFR Mm.
 378 and 178 or accumulate such wastes
 to tanks In accordance with State
 *tWldlir
 nf°f the approved State program.
rti»      .Ute Pr°8ram must require
that generators comply with             	
requirements that are equivalent to the    1801 et ««lO.

asspssesas^
                                                         to lhe Slate to
                                                     esignated on the
                                           l,    '?"16' and to the State to
                                          the shipment may have been
                                    delivered (or to EPA in the case of
                                    unauthorized States).
                                    m?}-7b^Sinie must foll°w the Federal
                                    manifest format {40 CFR § 26i2l) and
                                    may •upplement the format to a limited
                                    extent subject to the consistency
                                    requirements of the Hazardous
                      tai
       e State program shall provide
           respecting international
                             those
                                                    1'0™ »ust cover all
                                           ers covered by 40 CFR Part 263
                                         f5fPS**""mustberequiredto
                                   contact the State and obtain an EPA
                                   identification number from the State

                                     >cuiapun.
                                      (b) The State shall have the authority
                                    to require and shall require all
                                    transporters to comply with
                                     fc) Preparedness for and prevention of
                                   discharges or releases of hazardous
                                   waste: contingency plans and
                                   emergencyprocedures. to be followed in
                                   the event of a discharge or release of
                                   hazardous waste;
                                     (d) Closure and post-closure
                                   requirements including financial
                                   requirements to ensure that monev will

                                   »na£a,!!able f°J d°8Ure Bnd P03t-Closure ,
                                  , monitoring and maintenance;
                                    (e) Groundwater monitoring;
                                    (f) Security to prevent unauthorized
                                  access to the facility;
                                    (g) Facility personnel training;
                                    (hjlnspections. monitoring,
                                  recordkeepmg, and reporting;
                                    (i) Compliance with the manifest
                                  system, including the requirement that
                                  facility owners or operators return a
                                  signed copy of the manifest to the
                                  generator to certify delivery of the
                                  hazardous waste shipment
                                   0) Other requirements to the extent

                                  sSindMB8 todUded ta**CFRPart8

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               F«&nJ Register / Vol. 48. No. 98 / Monday. May 19. 1980  / Rules and
   S123J7  Requirements with respect to
   permits and permit application*.
    (a) State law must require permits for
   owners and operators of all hazardous
   waste management facilities required fo
   obtain a permit under 40 CFR Part 122
 '  and prohibit the operation of any     \
   hazardous waste management facility
 .  without such a permit, except that
   State* may, if adequate legal authority
   exists, authorize owners and operators
   of any facility which would qualify for
   interim status under the Federal
   program to remain in operation until a
   final decision Is made on the permit
   application. When State law authorizes
   such continued operation It shall require
   compliance by owners and operators of
   such facilities with standards at least as
  stringent as EPA's interim status
  standards at 40 CFR Part 265.
    (b) The State must require all new
  HWM facilities to contact the State and
  obtain an EPA identification number
  before commencing treatment, storage,
  or disposal of hazardous waste.
    (c) All permits issued by the State
  shall require compliance with the
  standards adopted by the State under
  5123.38.
    (d) All permits issued under State law
 prior to the date of approval of final
 authorization shall be reviewed by the
 State Director and modified or revoked
 and reissued to require compliance with
 the requirements of this Part '•••'''

 (12331 EPA review of State permits.
   (a) The Regional Administrator may -
 comment on permit applications and
 draft permits as provided in the
 Memorandum of Agreement under
 S 123.9,
   (b) Where EPA indicates, in a
 comment, that issuance of the permit
 would be inconsistent with the approved
 State program. EPA shall include in the
 comment:               '
   (1) A statement of the reasons for the
 comment (including the section of RCRA
 or regulations promulgated thereunder
 that support the comment); and
   (2) The actions that should be taken
 by the State Director in order to address
 the comments (including the conditions
 which the permit would include if it
 were issued by the Regional
 Administrator)..         .
 v (c) A copy of any comment shall be
 sent to the permit applicant by the
 Regional Administrator.             .
   (d) The Regional Administrator shall
 withdraw such a comment when
 satisfied that the State has met or
 refuted his orher concerns.
   (e) Under section 3008(a)(3) of RCRA.
 EPA may terminate a State-issued
 permit in accordance with the
procedures of Part 124. Subpart E, or
   bring an enforcement action in
   accordance with the procedures of 40
   CFR Part 22 in the case of .a violation of
 .  a State program.requiremerit In
   exercising these authorities. EPA will
   observe the following conditions:
    (1) The Regional Administrator may
   take action under section 3008(a)(3) of
   RCRA against a holder of a State-issued
   permit at any time on the ground that
   the permittee is not complying with a
   condition of that permit
    (2) The Regional Administrator may
   take action under section 3008(a)(3) of
   RCRA against a holder of a State-issued
  permit at any time on the grounds that
   the permittee is not complying with a
  condition that the Regional
•. Administrator in commenting  on the •.  ..
  permit application or draft permit stated
  was necessary to implement approved
  State program requirements, whether or
  not  that condition was included in the
  final permit
    (3) The Regional Administrator may
 not take action under section 3008(a)(3)
 of RCRA against a holder of a  State-
 issued permit on the ground that the
 permittee is not complying with a
, condition necessary to implement
 approved State program requirements
 unless the Regional Administrator
 stated in commenting on the permit
 application or draft permit that that
 condition was necessary.       ...
    (4) The Regional Administrator may
 take action under section 7003 .of RCRA
 against a permit holder at  any time
 whether or not the permit holder is
 complying with permit conditions.

 i123J9 Approval process.      "
   (a) Prior to submitting an application
 to EPA for approval of a State program,
 the State shall issue public notice of its
 intent to seek program approval from
 EPA. This public notice shall:
   (1) Be circulated in a manner
 calculated to attract the attention of
 interested persons including:
   (i) Publication in enough of the largest
 newspapers in the State to attract
 statewide attention: and
   (ti) Mailing to persons on the State
agency mailing list and to any other
persons whom the agency has reason to
believe are interested;
   (2) Indicate when and where the
State's proposed submission may be
reviewed by the public;
   (3)  Indicate the cost of obtaining a
copy of the submission;
   (4) Provide for a comment period of
not less than 30 days during which time
interested members of the public may
express their views on the proposed
program;                  .    .  •
   (5) Provide that a public hearing will
be held by the State or EPA if sufficient
   public interest is shown or.
   alternatively, schedule such a public
   hearing. Any public hearing to be held
   by the State on its application for
   authorization shall be scheduled no
   earlier than 30 days after the notice of
   hearing is published:
    (6) Briefly outline the fundamental
   aspects of the State program; and
    .(7) Identify a person that an interested
   member of the public  may contact with
   any questions.
    {b) If the proposed State program is
   substantially modified after the public
   comment period provided in paragraph
.   (a)(4) of this section, the State shall.
  prior to submitting its  program to the
  Administrator, provide an opportunity
  for further public comment in
  accordance with the procedures of
  paragraph (a) of this section, provided
  that the opportunity for further public
  comment may be limited to those
  portions of the State's  application which
  have been changed  since the prior
  public notice.              ,
    (c) After complying with  the
- leojiirements of paragraphs (a) and (b)
  of this section the State may submit, in
  accordance with 5 123.3. a proposed
  program to EPA for approval. Such
  formal submission may only be made
  after  the date of promulgation of Phase
  0. The program submission shall include
  copies of all written comments received
  by the State.-a transcript, recording,  or
.  summary of any public hearing which
  was held by the State,  and a
  responsiveness summary which
  identifies the public  participation
  activities conducted, describes the
  matters presented to the public,
  summarizes significant comments
  received and responds  to these
• comments.        ,
   (d) Within 90 days' from the date of
 receipt of a complete program
 submission for final authorization, the
 Administrator shall make a  tentative
 determination as to whether or not he
 expects to grant authorization to the
 State program. If the Administrator
 indicates that he may not approve the
 State program he shall include a general
 statement of his areas of concern. The
 Administrator shall give notice of this
 tentative determination in the Federal
 Register and in accordance with
paragraph (a)(l) of this  section. Notice
of the  tentative determination of
authorization shall also:      .
   (1) Indicate that a public hearing will
be held by EPA no earlier than 30 days
after notice of the tentative
determination of authorization. The
notice may require persons wishing to
present testimony to file a request with
the Regional Administrator, who may •
cancelthe public hearing if sufficient

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    33468
Federal Register / VoL 45. No. 98 / Monday. May 19. 1930 / mea and Regulations
    public interest in a hearing is not
    expressed:
      12) AJTord the public 30 days after the
    notice to comment on the State's
    submission and the tentative
    determination; and
      (3) Note the availability of the State
    submission for inspection and copying
    by the public.
      (ej Within 90 days of the notice given
    pursuant Jo paragraph fd) of this section,
    1h> Arimln^trafnxHall mnt-» f fjna|
    determination whether or not to approve
    the State's program, taking into account
    *ny comments submitted. The '
   Administrator wffl grant final
    authorization only alter tha effective
   dato ofPhase E. Tha Administrator «ha!1
   give notice of iHs final ^termination in
   tha Fodaral Register and ID acccordanca
   with paragraph (a)(l) of this section. The
   notification shall include a concise
   statement of tha reasons for this
   determination, and a response to
   significant comments received.

   Subpart C—Additional Requirement*
   for State U1C Proflrams

   512&51 Purpo** and scope.
    (aj This Subpart describes additional
   substantive and procedural
   requirements for State UIC programs
  authorized under section 1422 of SDWA.
    (b) States shall submit to the
  Administrator a proposed State UIC
  program complying with {1233 of this
  Part within 270 days of the date of
  promulgation of these regulations. The
  Administrator may, for good cause,
  extend tb* date for submission of a
  proposed State UIC program for up to an
  additional 270 days.
    (c) EPA will establish a UIC program
  to any State which does not comply with
  paragraph (b) of this section. EPA will
  cootinu* to operate a UIC program in
  such * State until the State receives
  approval of a UIC program in
 accordance with the requirements of
 this Part
   FNot*.-St«lw which are authorized to
 admZnUter the NPDES permit program nnder
 lection 40Z of CWA are enconraged to reh-
 on •»»&* statutory .nihorirr. to the extent
 gobble, in devefopinjra Sl.tr UIC program.
 Section «3b)(lHD) of CWA requires that
 NPOES States bcvc th* authority to issue
 permits whith • • • control the disposal of
 pollutants Into weUs," In many instance*.
 therefore. NPDES Slates will h*ve existing
 statutory authority to .regulate well disposal
 which satisfies the requirements of the UIC
 program. Note, however, that CWA excludes
 certain types of well injections from the
 definition of "pollutant" If the State's
 Statutory author!ty contains • *imi]ar
exclusion it may need to be modiBed to
qualirjr for UIC program appro vtLJ
                            (d) If a State can demonstrate to
                          EPA's satisfaction that there are no
                          underground injections within the State
                          for one or more classes of injection
                          wells (other than Class IV wells) subject
                          to SDWA and that such injections
                          cannot legally occar in the State until
                          the State has developed an approved
                         program for those classes of injections,
                         the Slate need not submit a program to
                         regulate those injection* and a partial  •
                         program may be approved. The
                         demonstratica of legal prohibition shall
                         b« mads- by either explicitly banning
                         new injections of the class not covered
                         by the State program or providing a
                         certification from tha State Attorney
                         General that such new injections cannot
                         legally .occar until the State has....	
                         developed an approved program for that
                         class. The Slate shall submit a program
                         to regulate both those classes of
                         injections for which a demonstration is
                         not made and Class IV wells.
                          (e) When a State UIC program is fully
                         approved by EPA to regulate all classes
                         of injections, the State  assumes primary
                         enforcement authority under section
                        1422[bX3) of SDWA. EPA retains
                        primary enforcement responsibility
                                          program is
  whenever the State ..._„ _____
  disapproved in whole or in part States
.  which have partially approved programs
  have authority to enforce any violation
  ofthe approved portion of their
  program. EPA retains authority to
  enforce violations of State underground
  injection control programs, except that
  when a Slate baa • fully approved
  program. EPA wiD not take enforcement
  actions without providing prior notice to
  the State and otherwise complying with
 section 1423 of SDWA.
                         States may authorize certain well
                       injections by rule rather than by permit
                       Any authorization by rule shall comply
                        . States shall submit to the
                       Administrator S months after the date of
                       protmthjatioa of these regulations a
                       report describing the State's progress in
                       developing a UIC program. If the
                       Administrator extends the time for
                       submission of a UIC program an
                       additional 270 days, pursuant to
                       i 123.51(b). the State shall submit a
                       second report six months after the first
                       report is due. The Administrator may
                       prescribe the manner and form of the
                       report

                       §12154  Approval process.
                        (a) Prior to submitting an application
                       to the Administrator for approval of a
                      State UIC program, the State shall issue
   public notice of its, intent to adopt a UIC
   program and to seek program approv
   from EPA. This public notice shall:
     (1) Be circulated in a manner
   calculated to attract the attention of.
   interested persons. Circulation of the
   public notice shall include publication in
   enough of the largest newspapers in the
   State to attract Statewide attention and
   mailing to persons on appropriate State
   mailing lists and to any other persons
   whom the agency has reason to believe
   are interested;
     (2) Indicate when and where the
   State's proposed program submission
   may be reviewed by the public:
     (3) Indicate the cost of obtaining a
   copy of the submission;
    {4} Provide/or a comment period of
   not less than 30 days during which
   interested persons may comment on the
   proposed UIC program;
    (5) Schedule a public hearing on the
  State program for no less than 30 days
  after notice of the hearing is published;
    (6) Briefly outline the fundamental
  aspects of the State UIC program; and
    (7) Identify a person that an interested
  member of the public may contact for
  further information.
    (bj After complying with the
  requirements of paragraph (a) of this
  section any State may submit a
  proposed UIC program under section
  1422 of SDWA and 5 123.3 of this Part
  EPA for approval. Such a submission
  shall include a showing of compliance
  with paragraph (a) of thia section, copies
  of all written comments received by the
  State, a transcript, recording or
  summary of any public hearing which
  was held by the State, and a
 responsiveness summary which
 identifies the public participation
 activitips conducted, describes the
 matters presented to the public.
 summarizes significant comment*
 received and responds to these
 comments. A copy of the responsiveness
 summary shall be sent to those who
 testified at the hearing, and others upon
 request.       • /
   (c) After determining that a State's
 submission for. UIC program approval is
 complete the Administrator shall issue
 public notice of the submission in the
 Federal Register and in accordance with
 paragraph (a)(l) of this section. Such
 notice shall;
   (1) Indicate that a public hearing will
 be held by EPA no earlier than 30 days
 after notice of the hearing. The notice
 may require persona wishing to present
 testimony to file a request with the
 Regional Administrator, who- may
 cancel the public hearing if sufficient
public interest in a hearing is not  ,
expressed;

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      (2] Afford the public 30 days after the
 •   notice to comment on the State's
    submission: and
    ,  (3) Note the availability of the State
    submission for inspection and copyina
    bythepublic,   ,             ^.™-
      [d) Within 90 days of the receipt of a
    complete submission (as provided in
  - 5123J) or material amendment thereto.
    the Administrator shall by rule either
  •  fully approve, disapprove, or approve in
    part the State's UIC program taking into
    account any comments submitted. The
    Administrator shall give notice of this
    rule in the Federal Register and in
    accordance with paragraph (a](l) of this
    section. If the Administrator determines
    not to approve the State program or to
    approve it only in part, the notice shall
    include a concise statement of the
    reasons for this determination. A
    responsiveness summary shall be
    prepared by the Regional Office which
    identifies the public participation
    activities conducted, describes the
   ,matters presented to the pubjic.
   summarizes significant comments
   received and explains the Agency's
   response to these comments. The
   responsiveness summary shall be sent
   to those who testified at the public
   hearing, and to others upon request

 -§123.55  Procedures for withdrawal of
  State UIC programs.
    Approval of a State UIC program may
  oe withdrawn and a Federal program
  established in its place where the
  Administrator determines, after holding
  a public hearing, that the State program
  is not in compliance with the
  requirements of SDWA and this Part
    (a) Notice to State of Public Hearing.
  If the Administrator has cause to believe
  that a State is not administering or
  enforcing its authorized program in
  compliance with the requirements of
  SDWA and this Part, he or she shall
  inform the State by registered matt of
  the specific areas of alleged
 noncompliance. If the State
 demonstrates to the Administrator
 within 30 days pf such notification that  '
 the State program is in compliance, the
 Administrator shall take no further
 action toward withdrawal and shall so
 notify the State by registered mail
    (bj Public Hearing. If the State has not
 demonstrated its compliance to the
 satisfaction of the Administrator within
 30 days after notification, the
 Administrator shall inform the State
 Director and schedule a public hearing
 to discuss withdrawal of the State
 program. Notice of such public hearing
 shall be published in the-Federal
 Register and in enough pf the largest
 newspapers in the State to attract
' statewide attention, and mailed to
Register / Vot 45. No. 88 / Monday. May 39. 198O./ Rules and -Regulations
                • persons on appropriate State and EPA
                 mailing lists. This hearing shall be
                 convened not less than 60 days nor more
                 than 75 days following the publication of
                 the notice of the hearing. Notice of. the
                 hearing shall identify the
                 Administrator's concerns. AH interested
                 persons shall be given opportunity to
                 make written or oral presentations' on
                 the State's program at the public
                 hearing.              ,
                   (c} Notice to State of Findings.
                Wherein the Administrator finds after
                the public hearing that the State is not in
                compliance, he or she shall notify the
                State by registered mail of the specific
                deficiencies in the State program and of
                necessary remedial actions. Within 90'
                days of receipt of the above letter, the
                State shall either carry out the required
                remedial action or the Administrator
                shall withdraw program approval. If the
                State carries out the.remedial action or,
                as i result of the hearing is found to be
                in compliance, the Administrator shall
                so notify the State by registered mail
                and conclude the withdrawal
                proceedings.

                Subpart D—Additional Requirements
                for State NPDES Program*

                1123.71  Purpos* and scope.
                  (a) This subpart describes additional
                requirements for State NPDES programs
                under sections 318.402 and 405 of CWA.
                A State NPDES program  will not be
                approved by the Administrator under
                section 402 of CWA unless it has
                authority to control the discharges
                specified in sections 318 and 405(a) of
                CWA. Permit programs under sections
               318 and 405 will not be approved
               independent of a section  402 permit
               program.    .     ,
                 (bj These regulations are promulgated
               under the authority of sections 304{i)
               and 101(e) of CWA. and implement the
               requirements of those sections.
                 (cj No partial NPDES programs will be
               approved by EPA. The State program
               must prohibit (except as provided in
               S 12Ul(cK2)) all point source
               discharges of pollutants, all discharges
               into aquaculture projects, and all
               disposal of sewage sludge which results
               in any pollutant front such sludge
               entering into any waters of the United
               States within the State's jurisdiction;
              except as authorized by a permit in
              effect under the State program or under
              section 402 of CWA. NPDES authority
              may be shared by two or more State
              agencies  but each agency must have
              Statewide jurisdiction over a class of
              activities or discharges. When more
              than one agency is responsible for
              issuing permits, each agency must make
              a submission meeting the requirements
   of 5 ,123.3 before EPA will begin formal
   review.         .
     (d) Affer program approval EPA shall
   retain jurisdiction over any permits
   (including general permits) which it has
  . issued unless arrangements have been
   made with the State in the
   Memorandum of Agreement for the
   State to assume responsibility for these
   permits. Retention of jurisdiction shall
   include the processing of any permit
   appeals, modification requests, or
   variance requests:. the conduct of
   inspections, and the receipt and review
   of self-monitoring reports. If any permit
   appeal modification request or variance
   request is not finally resolved when the
   Federally issued permit expires, EPA
   may, with the consent of the State,
   retain jurisdiction until the matter is
   resolved.                            .

          Csntr°' -P» disposal of pollutants
    State law must provide authority to
  issue permits to control the disposal of
  pollutants into wells. Such authority
  shall enablie the State to protect the
  public health and welfare and to prevent
  the pollution of ground and surface
; waters by prohibiting well discharges or
  by issuing permits for such discharges
  with appropriate permit conditions. A
  program approved under section. 1422 of
  SDWA satisfies the requirements of this
  section.                 .

   [Note.— States which are authorized to
  administer  the NPDES permit program under
  section 402 of CWA are encouraged to rely
  on existing  statutory authority, to the extent
  possible, in developing a Stale UIC program
  under section 1422 of SDWA. Section
  402(b)(l)(D) of CWA requiras.that NPDCS
  States have the authority "to issue permits
  which . . . control the disposal pf pollutants
  tato wells." In many instances, therefore.
 , NPDES States will have existing statutory
 authority to regulate well disposal which
 satisfies the requirements of the UIC
 program. Note, however, that CWA oxcludas
 certain types of well injections from the
 definition if "pollutant" If the State's
 statutory authority contains a similar
 exclusion it  may need to be modified to
 qualify for UIC program approval.]
 9 123.73  Receipt and use of Federal
 Information.
  Upon approving a State permit
 program. EPA shall send to the State
 agency administering the permit
 program any relevant information which
 was collected by EPA. The
 Memorandum of Agreement under
 $123.6 shall provide for the following, in
 such manner as the State Director and
 the Regional Administrator shall agree:
  (a) Prompt transmission to the State
Director from the Regional
Administrator of copies of any pending
permit applications or any other

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     33470
                             ™^™^^-«^^^— ••
     relevant Information collected before
    , the approval of the State permit program
     and not already in the possession of the
     State Director. When existing permits
     are transferred to the State Director
     [e^, for purposes of compliance
     monitoring, enforcement or reissuance).
     relevant Information includes support
    Dies for permit issuance, compliance   '
    ••reports and records of enforcement
    actions.
      (b) Procedure* to ensure that the State
    Director will not issua a permit on the
    basis.of any application received from,
    Uie Regional Administrator which the
    Regional Administrator identifies as
    Incomplete or otherwise deficient until
    the State Directorreceives information
    sufficient to correct ihe deficiency.

   'I,!?3*74  T«««mta«Jon of Information to
    EPA.

     (a) Each State agency administering a
    permit program shall transmit to the
    Regional Administrator copies of permit
    program forms and any other relevant
    information to the extent and in the
    manner agreed to by the Slate Director
    and the Regional Administrator in the
   Memorandum of Agreement and not
   Inconsistent with this Part. Proposed
   permits shall be  prepared by State
   agencies unless agreement to the
   contrary has been reached under
   1 123.7S{J). The Memorandum of
   Agreement shall  provide for the
   following:
    (1) Prompt transmission to the
   Regional Administrator of a copy of aD
   ?*?h£ TO" "PPUcationa received
   by the State Director, except those for
  which permit review has been waived

  £Sler ? P-*e)- 7le Slmte •''•u ««ppiy
  EPA with copies of permit appllcationi
  for which permit review has been
  waived whenever requested by EPA;
    (2) Prompt transmissidn to the
  Regional Administrator.of notice of
  every action taken by the State agency
  related to the consideration of any
  permit application or general permit.
  including a copy of each proposed or
  orwl permit and any condition!,
 requirements, or documents which are
     £ i *2e ProP«ed or draft permit
 or which affect the authorization of the
 propoaod pennit except those for which
 ??£r tr^r has been w«5ved under
 i 123.6{e}. The State shall supply EPA
 with copies of notices for which permit
 review has been waived whenever
 requested by EPA; and
  ]3) Transmission to the Regional
                               sued
                                ^^^•"•••••l^™

       (b) The State shall transmit a copy of
     each draft general permit or proposed
     general permit except those for separate
     storm sewers, to the EPA Deputy
     Assistant Administrator for Water
     Enforcement at the same time the draft
     general permit or proposed general
     permit is transmitted to the Regional
     Administrator under paragraph (a)(2) of
     this section.
      (c) The State program shall provide
    for transmission by the State Director to
    EPA of:
      |1J Notice* from publicly owned
    treataent world under § 122.81 (b) and
    40 CFR Part 403. upon request of the
    Regional Administrator;
      (2) A copy of any significant
    coramenu presented in writing pursuant
    to the public notice of a draft permit and
    a summary of any significant comments
    presented at any hearing on any draft
    permit except those comments
    regarding permits for which permit
    review has been waived under § 123.8fe)
    and for which EPA has not otherwise
   requested receipt if:
     (i) The Regional Administrator
   requests this information: or
                                                     .	             .
                                        recommendations with respect to
                                        proposed general permit and is not
                                        f.ou?d °y any shorter time limits se
                                        the Memorandum of Agreement for
                                        general comments, objections or
                                        recommendations. The EPA,Deputv
                                        Assistant Administrator for Water
                                        Enforcement may comment upon, object
                                        to. or make recommendations with
                                        «^Vh0 Pr°,p08ed *eneral Pennits.
•c^ucaia mis imormation: or
  (H) The proposed permit contains
requirements significantly different from
those contained in the tentative
    «»,           Pem   or
    [HI] Significant comments objecting to
  the tentative determination and draft
  permit have been presented at the
  hearing or In writing pursuant to the
  public notice.
    (dj Any State permit program shall
  AJ P ""^ recordj and «ubmit to the
  Administrator such information as the
  Administrator may reasonably require
 •to ascertain whether the State program
  complies with the requirements of CWA
  or of this Part

         nK.* ****** ** *"* o*"**00
               ,
               issuance, along with
any and all conditions, requirements, or
documents which are rekted to or affect
the authorization of the permit
   (a)(l) The Memorandum of Agreement
 •hall provide a period of time (up to 90
 days from receipt of proposed permits)
 In which the Regional Administrator
 may make general comments upon.
 objections to, or recommendations with
 respect to proposed permits. EPA
 reserve! the right to take 90 days to
 supply specific grounds for objection,
 notwithstanding any shorter period
 specified in the Memorandum of

 fiS? SIS?1 ?he° a general "Section is
 fie d within the review period specified
 in the Memorandum of Agreement. The
 Regional Administrator shall send a
 copy of any comment objection or
 recommendation to the permit applicant
  (2) In the case of general permits. EPA
 shall have 90 days from the date of
receipt of the proposed general permit to
comment upon, object to or make
      WgrWithin the period of time
    provided under the Memorandum of
    Agreement for making general
    comment! upon, objections to or
    recommendations with respect to
    proposed permits, the Regional
    Administrator shall notify the State
    Director of any objection to issuance of
    a proposed permit (except as provided
    m paragraph (a)(2) of this section for .
    proposed general permits). This
    notification shall set forth in writing the
   general nature of the objections.
     (2) Within 90 days following receipt of
   a proposed permit  to which he or she
   has objected under paragraph (bj(l) of
   this section, or in the case of general
   permits within 90 days after receipt of
   the proposed general permit, the
   Regional Administrator, or in the ca'se of
   general permits other than for separate
   storm sewers, the Regional.
   Administrator or the EPADeputy
   Assistant Administrator for Water
   Enforcement shall set forth in writing
   and transmit to the State Director
    (i) A statement of the reasons for the
  objection (including the section of CWA
  or regulations thereunder that support
  the objection), and
    (ii) The actions that must be taken by
  the State Director to eliminate the
  objection (including the effluent  -
  limitations and conditions which the
  permit would include if it were issued
  by the Regional  Administrator).
   (Note.—Paragraph* (a) and (b) of this
 section, in effect, modify any existing
 agreement between EPA and the State  which
 provides less than 90 days for EPA to supply
 we specific grounds for an objection.
 Hojwever. when an agreement provides for an
 EPA review period of less than 90 days. EPA
 must file a general objection, in accordance
 with paragraph (bj(l) of this section, within
 the time specified in the agreement This
 general objection must be followed by a
 specific objection within the 9
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                Fadend RggJstar / Vol 45. No. 98 / Monday. May 1§. 1980 / Rules ^d Regulations
                               "^^""^^^•••'•'^-••-^—"-^—         ——»
   •  (1) The permit fails to apply, or to
   ensure compliance with, any applicable
   requirement of this Part;
     (Note.—For example. the.Rejtional
   Adrajniitrator may object to • permit not
   requiring the achievement of required effluent
   limitation* by applicable statutory
   deadlines.]     •       '

 -   pj In the case of a proposed permit
   for which notification to the
•   Administrator i» required under section
   402(bH5).of CWA. the written
   recommendations of «n affected State
   have not been accepted by the    , .
   permitting State and the Regional
   Administrator finds the reasons for
   rejecting the recommendations are
  . inadequate;
    ,(3J The procedures followed in
   connection with formulation of the
   proposed permit failed in a material
   respect to comply with procedures
   required by CWA or by regulations
   thereunder or by the Memorandum of
•   Agreement;   '  '       '
    (4) Any finding made by the State
   Director in connection with the       ,
   proposed permit misinterprets CWA or
   any guidelines or regulations under
   CWA. or misapplies them to the facts;
    (5) Any provisions of the proposed
 , permit relating to the maintenance of   •'"*
 . records, reporting, monitoring, sampling.
  or the provision of any other information
  by the permittee are inadequate, in the
  judgment of the Regional Administrator.
  to assure compliance with permit
  conditions. Including effluent standards
  and limitations required by CWA, by
  the guidelines and regulations issued
  under CWA. or by the proposed permit:
   (6) In the case of any proposed permit
  with  respect to which applicable
  effluent standards and limitations under
  sections 301.302,306,307,318.403 and
  405 of CWA have not yet been
  promulgated by the Agency, the     •
  proposed permit, in the judgment of the
 Regional Administrator, fails to carry
 out the provisions of CWA or of any
 regulations issued under CWA: the
 provisions of this subparagraph apply to
 determinations made pursuant to
  § 125 J[c)(2) in the absence of applicable
 guidelines and to best management
 practices under section 304fe) of CWA,
 which must be incorporated into permits
 as requirements under sections 301. 306.
 307.318,403 or 405, as the case may be;
   (7) Issuance of the proposed permit  '
 would in any other respect be outside
 the requirements of CWA. or regulation's
 issued under CWA.
   (d) Prior to notifying the State Director
 of an objection based upon any of the
 grounds set forth in paragraph (b) of this
 section, the Regional Administrator:
     (1) Shall consider all data transmitted
   pursuant to 1123.74:
     (2) May, if the information provided is
   inadequate to determine whether the
   proposed permit meets the guidelines
   and requirements of CWA. request the
   State Director to transmit to the      •
   Regional Administrator the complete
   record of the permit proceedings before
   the State, or any portions of the record
   that the Regional Administrator
   determines are necessary for review. If
   this request is made within 30 days of
   receipt of the State snbmittal under
   § 12&74. it shall constitute an interim .
   objection to the issuance of the permit,
   and the full period of time specified in
   the Memorandum of Agreement for the
   Regional Administrator's review shall.
   recommence when the Regional
  Administrator has received such record
  or portions of the record: and
    (3) May. in his or her discretion, and
  to the extent feasible within, the period
  of time available under the
  Memorandum of Agreement, afford to
  interested persons ah opportunity to
  comment on the basis for the objection;
    (e) Within 90 days of receipt by the
  State Director of an objection by the
  Regional Administrator, the State or
  interstate agency or any interested
* person may request that a public
  hearing be held by the Regional
  Administrator on the objection. A public
  hearing in accordance with the
  procedures of J |124.12 (c) and (d) shall
  be held, and public notice provided in
  accordance with 1124.10, whenever
  requested by the State or the interstate
  agency which proposed the permit or if
  warranted by significant public interest
  based on requests received.
   (f) A public hearing held under
  paragraph (e) of this section shall be
  conducted by the Regional
  Administrator, and,at the Regional,
  Administrator's discretion, with  the
  assistance of an EPA panel designated
'  by the Regional Administrator, in an
 orderly and expeditious manner.
   (g) Following the public hearing, the
 Regional Administrator shall reaffirm   •
 the original objection, modify the terms
 of the objection, or withdraw the
, objection, and shall notify the Slate  of
 this decision.           .  '        .   .
   (h)(l) If no public hearing is held
 tinder paragraph (e) of this section and
 the State does not resubmit a permit
 revised to meet the Regional
 Administrator's objection within.90 days
 of receipt of the objection, the Regional
 Administrator may issue the permit in
 accordance with Parts 121.122, and 124
 of this chapter and any other guideliness
 and requirements of CWA.
   (2) If a public hearing is held under
paragraph (e) of this section, the
                                                                        93471
  Regional Administrator does not
  withdraw the objection, and the State
  does not resubmit a permit revised to
  meet the Regional Administrator's
  objection or modified objection within
  30 days of the date of the Regional
  Administrator's notification under
  paragraph (g) of this section, the
  Regional Administrator may issue .the-"
  permit in accordance with Parts \zi, 122,
  and 124 of this chapter and any other
  guidelines and requirements of CWA.
    (3) Exclusive authority to issue the
  permit passes to EPA when the times set
>  out in this paragraph expire.
    (i) In the case of proposed general
  permits for discharges other than from
  separate storm sewers insert "or the
  EPA Deputy Assistant Administrator for
  Water Enforcement" after "Regional
  Administrator" whenever it appears in
  paragraphs (c)-{h) of this section.    >
   (j) The Regional Administrator may
  agree, in  the Memorandum'of
  Agreement under § 123.8. to review draft
 permits rather than proposed permits. In
 such a case, a proposed permit need not
 be prepared by the State and
 transmitted to the Regional
 Administrator for review in accordance
 with this  section unless the State
 proposes to issue a permit which differs
 from the draft permit reviewed by the
 Regional  Administrator, the Regional
Administrator has objected to the draft
permit, or there is significant public
.comment

§123.76  Prohibition.                  .
   State permit programs shall provide
that no permit shall be issued when the
Regional Administrator has objected in
writing under § 123.75.
       • '                      ,   'I
§ 123.77.   Approval process.
   (a) After determining that a State
program submission is complete. EPA
shall publish notice of the State's
application in the Federal Register, and
in enough of the largest newspapers in
the State to attract statewide attention.
and ihall mail notice to persons known
to be interested in such matters,
including all persons on appropriate
State and  EPA mailing lists and all
permit holders and applicants  within the
State. The notice shall:
  (1) Provide a comment period of not
less than 45 days during which         '
interested members of the public may
express their views on the State
program;    x        ..      -  •   •
  (2) Provide for a public hearing within
the State to be held no less than 30 days
after notice is published in the Federal
Register;              ,
  (3) Indicate the cost of obtaining a
copy of the State's submission;

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      33472
        (4) Indicate where and when the
      State a submission may be reviewed fay
      ine public:
        (5) Indicate whom an interested  '
      member of the public should contact
      With any questions: and
        (8) Briefly outline the fundamental
      aspects of the State's proposed program.
      and the process for EPA review and
      decision.
       (b) Within SO days of the receipt of a
     complete program submission under
      f 12345 the Administrator shall approve
     or dlsapprova the program based on the
     requirements of this Part and of CWA '
     and taking Into consideration all
     comments received. A responsiveness
     •umrnary shall be prepared by the
     Regional Office which Identifies the
  _  publlc'partlcipation activities •    .
     conducted, describes the matters
     presented to the public, summarizes
     •Jgnificant comments received and
     explains the,Agency's response to these
    comments.
    _ fc) If the Administrator approves the
    Slate s program he or she shall notify
    Uio State and publish notice In the
    £*ref*J R«tf«t«r. The Regional
    Administrator shall suspend the
    issuance of permits by EPA as of the
    mS **S Promulgated under the
 •uthonty of sections 101(e) and 501(a) of

   (cj I No partial section 404 programs
 wiH be approved by EPA. Except as
 provided In § 123.92. the State program
 mustregulate all discharges of dredged
 or M material into State regulated
 waters. State lection 404 programs are
                           	—^^^^™^™™
      limited under section 404(g)(l) of CWA
      to coverage of such .State regulated
      waters. See the definition of "State
      regulated waters" in § 1224.
       (d) Under section 404(h)(S) of CWA.
     States are entitled, after program
     approval, to administer and enforce
     general permits issued by'the Secretary.
     u toe State chooses not to administer
     and enforce these permits, the Secretary
     retains Jurisdiction until they expire. If
     the Secretary has retained jurisdiction
     and if a permit appeal or modification
     request is not finally resolved when the
     Federally issued permit expires, the
     Secretary, upon agreement with the
     State, may continue to retain Jurisdiction
     until the matter is resolved.

    I12M2  Actfvttfes not requiring permits.
      (a) Except as specified In paragraphs
    (b) and (c) of this section, any discharge
    of dredged or fill material that may
   •result from any of the following
    activities is not prohibited by or
    otherwise subject  to regulation under
    this subpart:
      UKU Normal farming, silviculture and
   ranching activities such as plowing.
   •Ceding, cultivating, minor drainage,  and
   harvesting for the production of food.
   Boer, and forest products, or upland soil
   and water conservation practices, as
   defined in paragraph (a)(l)(iiij of this
   •ection.                      •
     (ii) To fall under  this exemption, the
   activities specified  In paragraph (a)(l)(i)
   of this section must be part of an
   established (i.e, ongoing) farming.
   silviculture, or ranching operation.
   Activities on areas lying fallow as part
   of a conventional rotational cycle are
   part of an established operation]
   Activities which bring an area into
   faming, silviculture, or ranching use are
  not part of an established operation. An
  operation ceases to be established when
  the area on which it was conducted has
  been coverted to another use or has lain
  Idle so long that modifications to the
  nydrological regime are necessary to
  resume operations. If an activity takes
  place outside the waters of the United
.  States, or if It does not involve a
  discharge. It does not need a section 404

  established farming, sUvlcuiture.^*"
  ranching operation.
 »lrt?£J CtuIti^atinS means physical
 methods of soil treatment employed
 witiun established farming, ranching
 and silviculture lands on farm, ranch, or
 forest crops to aid and improve their
 growth, quality or yield.
   {BJ Harvesting means physical
 measures employed directly upon farm.
 lorest or ranch crops  within established
 agricultural and silvicultural lands to
 bnng about their removal from farm.
                        iut does not  •
       . -»%-«—..-lor Drainage means:
     mltaT?—?"*? or dredged or fill  ~
     material incidental to connecting upland
     drainage facilities to waters of the
     United States, adequate to effect the
     removal of excess soil moisture from
     upland croplands. (Construction and
     maintenance of upland (dryland)
     facilities, such as ditching and tihng.
     uicidental to the planting, cultivating.
    protecting, or harvesting of crops.
    tovolye no discharge of dredged or fill
    ma enal into waters of the United
    States, and as such never require a
    •ection 404 permit):
      I/O The discharge of dredged or fill
    material for the purpose of installing
    ditching or other such water control
    facilities incidental to planting
    cultivating, protecting, or harvesting of '
    nee, cranberries or other wetland crop
    species, where these activities and the
    discharge occur in waters of the United
   States which are in established use for
   such agricultural and agricultural
   wetland crop production;
     (AM) The discharge of dredged or fill
   material for the purpose of manipulating   .
   the water levels of. or regulating the
   flow or distribution of water within.
   existing impoundments .which have been-;
   constructed in accordance with       jlffk
   applicable requirements of CWA. and ••I
   which are in established use for the   MP
   production of rice, cranberries, or other
   wetland .crop species;

    KiSE^S^S^*^^.
                and (///) ofIhtoi
  •pply to .reai that are in eatablished use
  exduiively for wetland crop production as
  well as areas in established use for
  conventional weUand/non-wetiand crop      -
  rotation (e.g.. the rotations of rice and
  •oybeans) where such rotation results in the
  of iuch orintenni"-ent temporary dewatering

   (/V) The discharge  of dredged or fill
 matenal incidental to the emergency
 removal of sandbars, gravel bars, or
 other similar blockages which are
 formed during flood flows or pther
 events, where such blockages close or
 constrict previously existing
 drainageways and. if not promptly
 removed, would result In damage to or
 loss of existing crops  or would impair or
 prevent the plowing, seeding, harvesting
 or cultivating of crops on land in
 established use for crop production.
 Such removal does not include enlarnina
 or extending the dimensions of. or       •
 changing the bottom elevations of. the
 affected drainageway as it existed prior
 to the formation of the blockage.
Removal must be accomplished within  .flfel

',     '      '    '         •'•'   .     IP

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              Federal Register / VoL  45. No. 93 / Monday. May 19. 19SO /Rules and Regulations       33473
 . one year of formation of such blockages
 in order to be eligible for exemption.   • .
   • (2} Minor drainage in waters of the
 U.S. is limited to drainage within areas
 that are part of an established farming
 or silviculture operation. It does hot
 include drainage associated with 'the
 immediate or gradual conversion of a
 wetland to a non-wetland (e.g., wetland-
 species to upland species not typically
 adapted to life in saturated soil
 . conditions), or conversion from one
 wetland use to another (for example.
 silviculture to farming), to addition,
 minor drainage does not include the
 construction of any canal, ditch, dike or
 other waterway or structure which
 drains or otherwise significantly
 modifies a stream, lake, swamp, bog or
 any other wetland or aquatic area
 constituting waters of the United States.
 Any discharge of dredged or fill material
 into the waters of the United States
 incidental to the construction of any
 such structure or waterway requires a   ..'
 permit   -              •'
  ' (D) Plowing means all forms of
 primary tillage, including moldboard. •
 chisel, or wide-blade, plowing, discing,
 harrowing, and similar physical means
 utilized on farm, forest or ranch land for
 the breaking up, cutting, turning over, or
 stirring of soil to prepare it for the
' planting of crops. The term does not
 include the redistribution of spoil, rock,
* sand, or other surficial materials in a
 manner which changes any area of the
 waters of the United States to dry land.
 For example, the redistribution of
 surface materials by blading, grading, or
 other means to fill in wetland areas is
 not-plowing. Rock crushing activities
 which result in the loss  of natural
 drainage characteristics, the reduction
 of water storage and recharge
 capabilities, or the overburden of
 natural water filtration capacities do not
 constitute plowing. Plowing will never
 involve a discharge of dredged or Gil
 material.
   (EJ Seeding means the sowing of seed •
 and placement of seedlings to produce •
 farm, ranch,, or forest crops and includes,:
 the placement of soil beds for seeds or   •
 seedlings on established farm and forest
 lands..
  .(2) Maintenance, including emergency
 reconstruction of recently damaged
 parts, of currently serviceable structures
 such as dikes, dams, levees, groins,
 riprap, breakwaters, causeways, bridge
 abutments or approaches,'and
 transportation structures. Maintenance •
 does not include any modification that
 changes the character, scope, or size of  •
 the original.fill design. Emergency
 reconstruction must occur within a
 reasonable period of time after damage
 occurs in order to qualify for this
 exemption.
   (3) Construction or maintenance of
 farm or stock .ponds or irrigation ditches,
 or the maintenance (but not  ; •
 construction) of drainage ditches. A
 simple connection of an irrigation return
 or supply ditch to waters of the U.S. and
'related bank stabilization measures are
 included within this exemption. .Where a
 trap. weir, groin, wall, jetty or other
"structure within waters, of the U.S.,' •
 which; will result in significant
 discernable alterations  to flow or
 circulation, is constructed as part of the
 connection, such construction requires a
 404 permit.
   (4) Construction, of temporary
 sedimentation  basins on a construction
 site which does not include placement of
 fill material, into wafer* pf the U.S. The
 term "construction site" refers to any
 site involving the erection of buildings,
 roads, and other discrete structures and
 the installation of support facilities
 necessary for construction  and
 utilization of such structures. The term.
 also includes any'other, land areas
 which involve land-disturbing
 excavation activities, including ' .
 quarrying or other mining activities,
 where an increase in the runoff of
 sediment is controlled through the use of
 temporary sedimentation basins.      .
   (5) Any activity with respect to which'
 a State has an approved program under
 section 208(b)(4) of CWA which meets
 the requirements of sections 2O8{b}(4)
 (B)and(C).
   (6) Construction or maintenance of
 farm roads, forest roads, or temporary
 roads for moving mining equipment.
 where such roads are constructed and
 maintained in accordance with best
 management practices (BMPa) to assure •
 that flow and circulation patterns and
 chemical and biological characteristics  •
 of waters of the United States are not
 impaired, that the reach of the waters of
 the United States is not  reduced, and
 that any adverse effect on the aquatic
 environment will be otherwise
. minimized. These BMPs which must be
 applied to satisfy this provision shall
 include those detailed BMPs described
 in the State's approved program
 description pursuant to  the requirements
 of § 123.4(h)(4). and shall also include
 the following baseline provisions:
   (i) Permanent roads (for farming or
 forestry activities), temporary.access
roads (for mining, forestry, or farm
purposes) and skid trails (for logging) in
waters qf the U.S. shall be held to the
minimum feasible number, width, and .
 total length consistent with the purpose
of specific farming, silvicultural or
mining operations, and local topographic
and climatic conditions;
    (ii) All roads, temporary or
  permanent, shall be located sufficiently  '
  far from streams or other water bodies
  (except for portions of such roads which
  must cross water bodies) to minimize
  discharges of dredged or fill material
  into waters of the U.S.;
    (iii) The road fill shall be bridged.
  culverted, or otherwise designed to   .
  prevent the restriction of expected flood
  flows:
   '(iv) The fill shall be properly
  stabilized and maintained during and
  following construction to prevent
  erosion:            -.
    (v) Discharges of dredged or fill
  material into waters of the United States.
  to construct a road fill shall be made in
  a manner that minimizes the    '
  encroachment of trucks, tractors.
  bulldozers, or other heavy equipment
  within waters of the United States
  (including adjacent wetlands) that lie
  outside the lateral.boundaries of the fill
  itself:    '   -   . .
 ,   (vi) In designing, constructing, and
  maintaining roads, vegetative
  disturbance in the waters of the
  shall be kept to a minimum;
    (vii) The design, construction  and
  maintenance of the road crossing shall,
  not disrupt the migration or other
  movement of those species of aquatic
  life inhabiting the water body;
    (viii) Borrow material shall be taken
 •from upland sources whenever feasible;
    (ix) The, discharge shall not take, or
  jeopardize the.continued existence of, a
  threatened or endangered species as
.  defined under the Endangered Species :
  Act. or adversely modify or-destroy the •
  critical habitat of such species;  •
    (x) Discharges into breeding and
  nesting areas for migratory'waterfowl,
  spawning areas, and wetlands shall be
  avoided if practical alternatives, exist;
    (xi) The discharge shall not be located
  in the proximity of a public water supply
  intake;      ,    . '
 .  (xii) The discharge shall not occur in
  areas of concentrated shellfish
  production; •           .
   (xiii) The discharge shall not .occur in
  a component of the National Wild and
  Scenic River System;
  • (xiv) The discharge of material shall
  consist of suitable material free from
  toxic pollutants in toxic amounts; and
   (xv) All temporary fills shall be
  removed in their entirety and the area
  restored to its original elevation. '
    (b) If any discharge of dredged or fill
 .material resulting from the activities
  listed in paragraphs (a) (1}~{6) of this
 .section contains any toxic pollutant
.. listed under section 307 of CWA such
  discharge shall be subject to any •
  applicable toxic effluent standard or

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     33474
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 /  Rules
    prohibition, and shall require a permit
    under the State program.
      (c) Any discharge of dredged or fill
    material into waters of the United States
    incidental to any of the activities
    identified in paragraphs (a) (l)-{6) of
    this lection must have a permit if it Is
    part of an activity whose purpose is to
    convert an area of the waters of the
    United States into a use to which it was
    not previously subject where the flow
    or circulation of waters of the United
    States may bo impaired or the reach of
    •uch. waters reduced. Where the
    proposed discharge will result in
    significant discernible  alterations to
    UQVf or circulation, tho presumption is
    that flow or circulation may be impaired
    by such-alteration.
                          Administrator's actions under that
                          authority;
     {Not*,—For example.« permit will be
   required for the conversion of a cypress
   twamp lo ioine oiher use or the conversion of
   * wetland from silviculiural to agricultural
   use when there I* a discharge of dredged or
   fill materials into waters of the United Slates
   to conjunction with construction of dikes.
   drainage ditches or other works or structures
   u<.c.dt|° fffcct »uc!j conversion. A discharge
   which elevates the bottom of waters of the
   Unlled-States without converting It to dry
   land does not thereby reduce the reach of
   but may alter the flow or circulation of.
   water* of the United States.]
     (d) Federal projects which qualify
  under the criteria contained in section
  404(r) of CVVA (Federal projects
  authorized by Congress where an EIS
  has been submitted to Congress prior to
  authorization or an appropriation) are
  exempt from State section 4O4 permit
  requirements, but may be subject to
  other State or Federal requirements.

  S 123.93  Prohibitions,
   No permit shall be issued by  the State
  Director in the following circumstances:
   [a] When the conditions of the permit
  «°«f' comply with the requirements of
  CWA, or regulations and guidelines '
  Implementing CWA, Including the
  section 404(b)(l) environmental
 guidelines (40 CFR Part 230).
   (b) When the Regional Administrator
 nai objected to issuance of the permit
 under section 404(J) of CWA and the
 objection has not been resolved.
   (c) When, In the judgment of the

 r£ff tart£°f.the Anny actto8 throu8I» the
 Chief of Engineers, anchorage and
 navigation in or on any of the waters of
 the United States would be substantially
 impaired by the discharge.
   (d) When the proposed discharge
 would be into a defined area for which
 MS?!!011 as -a ^P03318ite has been
 prohibited, restricted, denied, or
withdrawn by the Administrator under
•action 404(c) of CWA, and the
fflseharge would faU to comply with the
                          § 123.94  Permit application.
                            (a) Publicity and preapplication
                          consultation. The State Director shall
                          maintain a program to inform, to the
                          extent possible, potential applicants for
                          permits of the requirements of the State
                          program and of the steps required to
                          obtain permits for activities in State
                          regulated waters. The State Director is
                          encouraged to include preapplication
                          consultation as part of this program to
                          assist applicants in understanding the
                          requirement* of the environmental
                          guidelines issued.under section 404(b][l)
                          of CWA (40 CFR Part 230) and in      •
                         fulfilling permit application
                         requirements.
                           {b) Application for permit. Except-
                         when an activity is authorized by a
                         general permit under S 123.95 or is
                         exempt from the requirement to obtain a
                         permit under 5 123.92. any. person who
                         proposes to discharge dredged or fill
                         material into State regulated waters
                         shall complete, sign and submit an
                         application to the State Director. State
                         application forms are subject to EPA
                         review and approval.
                          (c) Content of Application. A complete
                         application shall Include the following
                         information:   .                 ,
                          (1) A complete description of the
                        proposed activity including:
                          (i) Name, address, and phone number
                        of the applicant; the names, addresses.
                        and phone numbers of owners of
                        properties adjacent to the site; and. if
                        appropriate, the location and
                        dimensions of adjacent structures;
                       -.  (ii) A description of the source of the
                        dredged or fill material and method of
                        dredging useoVIf any; a description of
                        the type, composition and quantity of
                        the material; the proposed method  of
                        transportation and disposal of the
                       material, including the type of
                       equipment to be used; and the extent  (in
                       acres) of the area of waters of the
                       United States to be filled or used for
                       disposal:                             .
                         (iii) The purpose and intended use of
                       the proposed activity (including  whether
                       it is water-dependent); a description of  .
                          «e of any structures to be erected
                       on the fill: and a schedule for the
                       proposed activity;
                         f>) A list of the approvals required by
                       other Federal interstate. State and local
                       agencies for the activity, including all
                       approvals or denials received; and
                         (v) A vicinity map identifying the
                      proposed disposal site and the local
                      jurisdiction closest to the disposal site.
                         izj information about the disposal site
                      needed to evaluate compliance with 40
                      CFR Part 230. including the following:
      (i) A description of known
    altema lives to the proposed disch
    including alternative disposal site
    construction methods, methods of  "'
 .   discharge, and reasons for rejecting the
    alternatives:
      (ii) A description of special aquatic
    sites, public use areas, wildlife refuges.
    and public water supply intakes in the
    affected or adjacent areas that may
    require special protection or
    preservation;
     (iii) Plants, fish, shellfish, and wildlife
    ta the disposal site which may be
    dependent on water quality and
    quantity;
     (iv) Uses of the disposal site which
   might affect human health and welfare:
   and
     (v) A description of technologies or
 . management practices by which the
   applicant proposes to minimize adverse
   environmental effects of the discharge.
   Guidelines for minimizing the adverse
   effects of discharges of dredged or fill
   material are found in 40 CFR Part 230.
    ' [Note—The State shall provide permit
   applicants with guidance, either through the
   application form or on an individual basis.
   regarding the level of detail of information
   and documentation required under this
   paragraph. The level of detail shall be
   reasonably commensurate with the type and
   size of discharge, proximity to critical
  likelihood qf presence of long-lived lo
  chemical substances, and degree of '
  environmental degradation.
    (3) One original set of drawings and
  maps, or one set of drawings and maps
  of reproducible quality, including:
    (i) A map showing the following in
  plan view: '
    (A) Location of the activity site
  including latitude, longitude, and river
  mile, if known;
    (fl) Name of Wa terway;
    (C) All applicable political (e.g.,
  county, borough, town, city, etc.)
  boundary lines;
   (DJ Names of all major roads in the
 vicinity of the site including the road
 providing the closest practicable access
 to the site;
   (E) North arrow;
   (F) Arrows showing flow and
 circulation patterns;
 " (G) Existing shorelines or ordinary
 high watermark;
   (H) Location of known wetlands-
   (I) Water depths and bottom
 configuration around the project;
   (J) Delineation of disposal site;..
   (K) Size-relationship between the
proposed  disposal site and affected
waters (e.g.. a tt acre fill in a 15-acre
wetland);
  (L) Location of previously used
dredged material disposal sites with •
remaining capacity in the vicinity of th!

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               Federal Register / Vol. 4S. No. 98 / Monday. May 19. 1980 / Rules  and Regulations    .   ,33475,
  project. The map must indicate retention
  levees, weirs, and any other devices for  '•
  retaining dredged or fill materials; and
.    (M) Location of structures, if any, in
  waters of the United States immediately
  adjacent to the proposed activity,
  including permit numbers, if known.
  Identify purposes of all structures.
    (ii) A cross-sectional view of the
  proposed project showing the following:
    (A) Water elevations:
    (B) Water depths at waterward face of
  proposed work, or if dredging is
  proposed, showing dredging grade;
    (C) Cross-section of fill;
    (D); Elevation of spoil areas;
    (E) Location of wetlands; and
    (F) Delineation of disposal site.
   .(iii) Notes on all maps or drawings  ,
  submitted, Including:
    (A) A list of names of adjacent
  property owners whose property also
  adjoins the water and who are not
  shown in the plan view:
    (B) A title block for each sheet
  submitted identifying the proposed
  activity and containing the name of the
  body of water; river mile, if applicable;
  name of county. State and nearest
  incorporated municipality; name of
  applicant; number of the sheet and the
  total number of sheets in set; and date
  the drawing was prepared; and
    (C) Graphic'or numerical scale.

  § 123.95  General permit*.     ,       •
    (a) Coverage. The State Director may
  issue a general permit for similar
  activities as specified in paragraph
.  (b)(l) of this section within a defined
  geographic area as specified in  •
  paragraph (b)(2) of this section, if he or
  she determines that the regulated
  activities will cause only minimal.
  .adverse environmental effects when
  performed separately and will have only
  minimal cumulative adverse effects on
  the environment.
    (b) Conditions. In addition to 58 122.7
  and 123.97, and the applicable
  requirements of § 123,98, each general
  permit shall contain conditions as    '
  follows:
    (1) Activities: A specific description of
  the type(s) of activities which are
  authorized, including limitations for any
  single operation, to ensure that the
 requirements of paragraph (a) of this
  section are satisfied. At a minimum,
  these limitations shall include:
   (i) The maximum quantity of material  /
  that may be discharged;
 .  (ii) The type(s) of material that may
 be discharged:       -
   (iii) The depth of fill permitted:
   (iv) The maximum extent to, which an
 area may be modified; and.      ' .  '
   (v) The size and type of structures that
.may be constructed.                .   -.
   (2) Area: A precise description of the
 .geographic area to which the general
 permit applies; including, when
 appropriate, limitations on the types of
 waters or wetlands where operations '
 may be conducted, to ensure that the
 requirements of paragraph (a) of this    '
 section are satisfied.
   (3) Notice: The permit shall contain a
 requirement that no activity is          '
 authorized under the general permit
 unless the Director receives notice at
 least 30 days in advance of the date
 when the proposed activity is to
 commence. The Director may require
 any information in the notice necessary
 to determine whether the conditions of
 the general permit will be satisfied. If
 within 15 days of the date of submission
 of the notice the owner or operator has
 not been informed by the State Director
 of his or her intent to require an
 individual permit application, the owner,
 or operator may commence operations
 under the-general permit.
   (c) Requiring an individual permit.
.   (1) Upon receiving notice under
 paragraph (b)(3) of this section, the State
 Director may require, at his discretion,
 that the owner or operator apply for an  .
 individual permit Cases where an
 individual permit may be required
 include:'
   (i) The activity has more  than a
 minimal adverse environmental effect;
   (ii) The cumulative effects on the
 environment of the authorized activities
 are more than minimal; or
   (iii) The discharger is not in
 compliance, with the conditions of the
 general permit
   (2) When the State Director notifies
 the owner or operator within 15 days of
 receipt of notice under paragraph (b](3)  .
 of this section that an individual permit"
 application is required for that activity,
 the activity shall not be authorized by
 the general permit
   (3) The Director may require any
 person authorized under a general
 permit to apply for an individual permit

 §123.96 Emergency permits.
   (a) Coverage. Notwithstanding any •
other provision of this Part or Part 124,
the State Director may temporarily
permit a specific dredge or fill activity if:
   (1) An unacceptable hazard to life or
severe loss of property,will occur if ah
emergency permit is not granted; and
   (2) The anticipated threat or loss may
occur before a permit can be issued or
modified under the procedures
otherwise required by this Part and Part
124.   .   ;   '
   (b) Requirements for issuance. (1) The
emergency permit shall incorporate, to
the extent possible and not inconsistent
with the emergency situation, all
  applicable requirements of §'§ 122.7,
  123.97 and 123.98.
    (2) Any emergency permit shall be
•  limited in duration to the time required
  to complete the authorized emergency
  action, not to exceed 90 days.
    (3) The emergency permit must have a
  condition requiring restoration of the
  disposal site (for example, removal of
  fill, steps to prevent erosion). If more
  than 90 days from issuance is necessary
,.'to complete restoration, the permit may
  be extended for this purpose only.
   (4) The emergency permit may be oral
  or written. If oral, it must be followed
  within five days by a written emergency
  permit
   (5) Notice of the emergency permit
  shall be published and public comments
 • received in accordance with applicable,
  requirements of §§ 124.10 and 124.11 as
  soon as possible but no later than 10
  days after the issuance date.
 i  (8) The emergency permit may be
  terminated at any time, without process
  if the State Director determines that
  termination is appropriate to protect
  human health or the environment.

  9 123.97  Additional conditions applicable
  to all 404  permits.
   The following conditions, in addition ;
  to those set forth in'§122.7. apply to all
 404 permits:         '   .    .
   (a) The permittee need not comply
 with the conditions of this permit to the
 extent and for the duration that such
 noncompliance is authorized in an
 emergency permit (See § 123,96.)
   (b) Activities are not conducted under
 the authority of this permit if they are
 not specifically identified and        '
 authorized in this permit.
   (c) The permittee shall maintain the
 authorized work area in good condition
 and in accordance with the
 requirements contained in this permit.
   (d) If any applicable water quality
 standards are revised or modified, or if
 a toxic effluent standard or prohibition
 under CWA section 307(a) is established
 for a pollutant present in the permittee's
 discharge and is more stringent than any
 limitation in the permit, the permit shall
 be promptly modified to conform to the
" standard, limitation or prohibition.

 5123.98  Establishing 404 permit
 conditions.            .
   In addition to the conditions
 established under § -122.8(a), each 404
 permit shall include conditions meeting
 the following requirements, when
 applicable:  •
   ,(a) Identification. A specific
 identification and description of the
 authorized activity, including: •   -  ,

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                 Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 7 Rules and Regulations
33478
      (1) "lie name and address of the
    permittee and the permit application
    identification number:
      (2) The use or purpose of the
    discharge;
      (3) The type and quantity of the
    material* to be discharged;
      (4) Any structures proposed to be
    erected on fill material; and
      (5) The location and boundaries of the
    discharge sile(s). including a detailed
    •ketch and the name and a description
    of affected State regulated waters.
      \b) Environmental guideline*.
    Provisions ensuring that the discharge
    will be conducted in compliance with
    the environmental guidelines issued
    under section 404(b)(l) of CWA (40 CFR
    Part 230), Including conditions to ensure
    that Iho discharge will be conducted in a
    manner which minimizes adverse
    impacts upon the physical, chemical
   and biological integrity of the waters of
   the United Slates, such as requirements
   for restoration or mitigation.
     (c) Water quality standards. Any
   requirements necessary to comply with
   water quality standards established
   under applicable Federal or State law. If
   an applicable water quality standard is
   promulgated after the permit is issued, it
   •hall be modified as provided in
   i 323.B7(d).
    (d) Toxic effluent guidelines or
  prohibitions. Requirements necessary to
  comply with any applicable toxic
  effluent standard or prohibition under
  section 307{a) of CWA or applicable
  State or local law. If an applicable toxic
  effluent standard or prohibition is
  promulgated after the permit Is Issued, it
  shall be modified as provided in
  1123.97{d).
    (e) Best Management Practices.
  Applicable BMPs approved by a
  Statewide CWA section 208{bJ(4)
  agency as provided in the agreement
  described in f 323.102(a)fl).
    (f) GaneraJpermits. Any conditions
 necessary for general permits as
 required under § 123.95.
    fe) Commencement of work A
 specific date on which the permit shall
 automatically expire, unless previously
 revoked and reissued or modified or
 continued, if the authorized work has
 not been commenced.
 f 123.99  Memorandum of Agreement with
 W* Secretary.

  Before a State program is approved
 under this Part, the State shall enter into
 * Memorandum of Agreement with the
 Secretary. Where more than one agency
 within a State has responsibility for
 administering the State program, all of"
 this responsible agencies shall be parties
to the Memorandum of Agreement The
                                       ' Memorandum of Agreement shall
                                       include:  .
                                         fa) A description of State regulated
                                       waters, as identified by the Secretary.
                                         (b) Where an agreement is reached,.
                                       procedures for joint processing of
                                       permits for activities which require both
                                     1  a section 404 permit from the State and
                                       a section 9 or 10 permit from the   •
                                       Secretary under the Rivers and Harbors
                                       Act of 1899,. provided such procedures
                                       satisfy the requirements of this Part.
                                        (c) An identification of those general
                                       permits, if any, issued by the Secretary;
                                       the terms and conditions of which the
                                       State intends to administer and enforce
                                       upon receiving approval of its program
                                       and a plan for transferring responsibility
                                       for these permits to the State, including
                                      procedures for the prompt transmission
                                      from the Secretary to the-State Director
                                      of relevant information not already in
                                      the possession of the State Director
                                      including support files for permit
                                      issuance, compliance reports and
                                      records of enforcement actions. In many'
                                      instances States will lack the authority
                                      to directly administer permits issued by
                                      the Federal government However,
                                     procedures authorized under State law
                                     may be established to transfer
                                     responsibility for these permits.
                                       (d) Procedures whereby the Secretary
                                     will, upon program approval, transfer to
                                     the State pending section 404 permit
                                   •  applications and other relevant
                                    . information, not already in the
                                     possession of the State Director.
                                       (ej Procedures to ensure that the State
                                     Director will not Issue a permit on the
                                     basis of any application received from
                                     the Secretary which the Secretary has
                                     identified as incomplete or otherwise
                                     deficient until the State Director
                                     receives information sufficient to correct
                                     the deficiency.
                                       (f) A provision that the State shall not
                                    issue any section 404 permit for a
                                    discharge which, in the Judgment of the
                                    Secretary after consultation with the
                                    Secretary of the Department in which
                                    the Coast Guard is operating, would
                                    substantially impair anchorage or
                                    navigation
                                      fg) Those classes or categories! if any,
                                    of proposed State permits for which the
                                      S5!?1? waivea toe right to review.
                                      in] Other matters not inconsistent
                                    with this Part that-the Secretary and the
                                    State deem appropriate.
                                     (Note.—For example, where a State permit
                                    program includes coverage of. those
                                    traditionally navigable waters in which only
                                    Uie Secretary may issue .section 404 permits
                                    (by virtue of aection 404(g)(iJ of CWA). the
                                   ?uf'"'* itr°ng!y encouraged to establish in
                                   this MOA procedures for joint processing of
                                   Federal and State permits, including joint
                                   public notices and public hearings.]
    § 123.100  Transmission of Informatie
    EPA and other Federal agencies.  S
      (a) The Memorandum of AgreeL
    under § 123.8 shall provide for the1
    following:
      (1) Prompt transmission to the
    Regional Administrator (by certified
    mail) and to the Corps of Engineers, the
    U.S. Fish and Wildlife Service, and the
    National,Marine Fisheries Service of a
    copy of all complete permit applications
    received by the State Director, except
    those for which permit review has been
   waived under § I23.8(f)(l)(i). The State
   shall supply EPA. the Corps of
   Engineers, the U.S. Fish  and Wildlife
   Service, and  the National Marine   '
   Fisheries Service with copies of permit
   applications for which permit reiyew
   has been waived whenever requested
   by such agencies. Where State law
   requires preparation of an
  .environmental impact statement (EIS) or
   similar document and such EIS or other
   document is available, the EIS or other
   document shall accompany the permit
   application when transmitted to the
   Regional-Administrator.
    (2J Prompt transmission to the
  Regional Administrator (by certified
  mail) and to the Corps of Engineers, the
  U.S. Fish and  Wildlife Service, and the
  National Marine Fisheries Service of
  notice of every action taken by the-j""
  agency related to the consideratioil
  any permit application, including a cop
  of each draft permit prepared, and any"
  conditions, requirements, or documents
  which are related to the draft permit or
.  which affect the authorization of the
  draft permit A draft permit shall be
  prepared by the State and transmitted to
  EPA:
    (i) At the time of transmission of the
  complete permit application, for
  discharges listed in § 123.6{f)(l)(i)(A)-
  (E);
   (Si) Upon request of EPA in
 accordance with § 123.101 (e)(3), for
 discharges not listed in
 5 123.6{f)(l)(i)(AHE), unless EPA has
waived review under § 123.6(f)(l)(i).
   (3) Prompt transmission to the
Regional Administrator, the Corps of
Engineers, the U.S. Fish and Wildlife
Service, and the National Marine
Fisheries Service of a copy of each draft
general permit  A draft general permit
shall be prepared by the State whenever
the State intends to issue a general
permit.
   (4) Transmission to the Regional
Administrator, the Corps of Engineers,
the U.S. Fish and Wildlife Service, and'
the National Marine Fisheries Servic
a copy of every  issued permit follov
issuance, along with any and all
conditions and requirements.

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                      Federal Register / Vol. 45.  No. 98  / Monday. May 19. 1980 / Rules and Regulations        33477
t
    (b)[l) State section 404 programs shall
  comply with the draft permit
  requirements of §5 124.6 (a), (c). (d), and
  (e) and 124.8 for those discharges which
  require a draft permit under paragraph
  (a)(2) of this section and for those
  discharges to be regulated by general
  permits. For discharges which require a
  draft permit under paragraph (a)(2) of
  this section, public review and EPA
  review, under 5123.101, shall be based
  on the permit application and the draft
  permit For discharges to be regulated •
  by general permits, public review and .
  EPA review shall be based on the draft
  general permit  '        •
.   (2) For all other discharges) public
  review and EPA review, if not waived
  under J 123.6(f)f.l)(f). shall be based on
  the permit application. For these
  discharges. States need not comply with
  5 § -124.8 (a), (c). (d). and (e) or 124.8.

  § 123.101  EPA review of and objections to
  State permit*.   ,
    (a) The  Memorandum of Agreement
  shall provide that the Regional
 .Administrator may comment upon.
  object to,  or make recommendations  .-
  with respect to permit applications, draft
  permits (if prepared under J 123.100).  of
  draft general permits within 90 days of
  receipt If the Regional Administrator
  Intends to comment Spon, object to. or
  make recommendations with respect to
  a permit application, draft permit, or
  draft general permit he or she shall
  notify the  State Director of his or her
  intent within 30 days of receipt. The
  Regional Administrator may notify the
  State within 30 days of receipt that there
  is no comment but reserve the right to
  object within 90 days of receipt based
  on any new Information brought out by
  the public during the comment period  of '
  at a hearing. The Regional
 Administrator shall send a copy of any'
 : comment,  objection, or recommendation
  to the permit applicant
   (b) Within 90 days following receipt of
 a permit application, draft permit or    :
 draft general permit for which the
 Regional Administrator has provided
 notification under paragraph (a)  of this
 section, the Regional Administrator may
 'object to permit issuance. In order to
 object, the Regional Administrator shall
 set forth in writing and transmit to the
 State Director:
   (1) A statement of the reason(s) for
 the objection (including the section of
 CWA or regulations thereunder that
 support the objection); and
   (2) The actions that must be taken by
 the State Director In order to eliminate
 the objection (including the conditions
 which the permit would include if it
 were issued by the Regional
 Administrator).                •
   (c) When the State Director has
 received an objection to a permit
 application, draft permit or draft
 general permit under this section and
 has taken the steps required by the
 Regional Administrator to eliminate the
 objection, a revised permit shall be
 prepared and transmitted to the
 Regional Administrator for review. If no
 further objection is received from the
 Regional Administrator within 15 days
 of the receipt of the revised permit, the
 Director may issue the permit
   (d) Any objection under this section
 must be based upon one or more of the
 following grounds:
   (1) The permit application, draft
 permit or draft general permit fails to
 apply, or to ensure compliance with, any
 applicable requirement of this Part;
   (2) In the case of any permit -
 application for which notification to the
 Administrator is required under section
 404(h)(l)(E) of CWA. the written
 recommendations of an affected State
 have not been accepted by the
 permitting State and .the Regional
 Administrator finds the reasons for
 rejecting the recommendations are
 inadequate (see § 123.102(c));   .
   (3) The procedures followed in
 connection with processing the permit
 failed in a material respect to comply
 with  procedures required by CWA. by
 this Part, by other regulations and
 guidelines thereunder, or by the
 Memorandum of Agreement:
.   (4J Any finding made by the State
.Director in connection with the draft
•permit or draft general permit    '  -
 misinterprets CWA or any guidelines or
 regulations thereunder, or misapplies
 them to the facts;
   (5)  Any provisions of the permit
 application, draft permit or draft
general permit relating to the
maintenance of records, reporting.
monitoring, sampling,  or the provision of
any other information by the permittee
are inadequate, in the judgment of the
Regional Administrator, to assure
compliance with permit conditions
including water quality standards,,
required by CWA. by 40 CFR Part 230.
or by,the draft permit or draft general
permit:
  (6) The information contained in the
permit application is insufficient to
judge compliance with 40 CFR Part 230;
Or              . '.'     t ...    ;    .  .  ,
  (7) Issuance of a permit would in any
other respect be outside the
requirements of section 404 of CWA. or
regulations implementing section 404 of
CWA.  :.  . •       .
  (e) Prior to notifying the State Director
of an objection based upon any of the
grounds set forth in paragraph (d) of .this
section, the Regional Administrator:
   (1) Shall consider all data transmitted
 pursuant to §§ 123.100 and 123.102.  '
   (2) Shall, if the information provided
 is inadequate to determine whether the
 permit application, draft permit, of draft
 general permit meets the guidelines .and
 requirements of CWA. request the State
 Director to transmit to the Regional
 Administrator the complete record of  •
 the permit proceedings before the State,
 of any portions of the record, of other
 information, including a supplemented
-application, that the Regional
 Administrator determines are necessary
 for review. This request shall be made
 within 30 days of receipt of the State
 submittal under § 123.100. It shall
 constitute an interim objection to the
 issuance of the permit, and the .period of
 time specified in the Memorandum of
 Agreement for the Regional
 Administrator's review shall be
 suspended from the date of the request
 and shall resume when the Regional
 Administrator has received such record
 or other information requested.
   (3) May. in the case of discharges for
'which a draft permit is no,t
 automatically required under  '•
 S  123.100(a](2)(i), request within 30 days
of receipt of the permit application that
 the State Director prepare a draft permit
under  § 123.100(a)(2)(ii). The draft .
permit shall be submitted to EPA and  "'
other Federal agencies, as required
under  5 123.100(a)(2). When a draft
permit is prepared under this
subparagraph. Federal and public
review shall recommence under
5 123.100(b)(l). The Regional
Administrator's period for review shall
begin upon receipt of the draft permit
  (Note.—It is anticipated that draft permits
will be  requested Only in exceptional and/or
complex cases.].
   (4) May, at his or her discretion, and
to the extent feasible within the period
of time available under the
Memorandum of Agreement, afford to
interested persons an opportunity to
comment on the basis for the objection.
  (f) Within 90 days of receipt by the
State Director of an objection by the
Regional Administrator, the State or any
interested person may request that a
public hearing be held by the Regional
Administrator on the objection. A public
hearing in accordance with the
procedures of 5 § 124.12 (c) and (d) shall
be held, and public notice provided in
accordance with § 124.10, whenever
requested by the State issuing the
permit, or if warranted by significant
public interest based on requests
received.
  (g) A public hearing held under
paragraph (f) of this section shall be
conducted by,the Regional

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     33478
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules, and Regulations
     Administrator, and. at the Regional
     Administrator's discretion, with the
     assistance of an EPA panel designated
     by the Regional Administrator, in an
     orderly and expeditious manner.
       (h) Following the public hearing the
     Regional Administrator shall reaffirm
     the original objection, modify the terms
     of the objection, or withdraw the
     objection, and shall notify the State of
     this decision.
       {!][!) If no public hearing is held under
     paragraph [f} of this section and the
     State does not resubmit a permit revised
     to meet tho Regional Administrator's
     objection or notify EPA of its intent to
     deny the permit within 90 days of
    receipt of the objection, the Secretary
    may issue the permit in accordance with
    the guidelines and regulations of CWA.
      (2) If a public hearing is held under
    paragraph (f) of this section, the
    Regional Administrator does not
    withdraw the objection, and the State
    does not resubmit a permit revised to
    meet the Regional Administrator's
    objection or modified objection or notify
  * EPA of its intent to deny the permit
-   within 30 days of the date of the
    Regional Administrator's notification
    under paragraph (h) of this section, the
    Secretary may issue the permit in-
    accordance with the guidelines and
   regulations of CWA.

   S 123.102  Coordination requirements.
     (a) General coordination. (1) If the
   State has a Statewide CWAsection
   208{b)(4) regulatory program, the State
   Director shall develop an agreement
   with the agency designated to
   administer such program. The agreement
   shall include:
     (i) A definition of the  activities to b«
   regulated by each program;
     (ii) Arrangements providing the
   agencies an opportunity to comment on
   prospective permits. BMPs. and other
 ,  relevant actions; and
     (111) Arrangements incorporating BMPs
   developed by the section 208{b)(4)
   program into section 404 permits, where
   appropriate.
     (2) Where a CWA section 208{b)(4)
   program has been approved under
   section 208{bH4J(q. no permit shall be
   required for activities for which the
  Administrator has approved BMPs
  under such approved program except as
  provided in § 1123.92 (b) and (c). Until
  such section 208(b)(4) program has been
  approved by the Administrator, a person
  proposing to discharge must obtain an
  individual permit or comply with a
  general permit
    (3) The State Director shall consult
  with any State agency(ie's) with
  jurisdiction over fish and wildlife
  "esources.
                            {b) Coordination with other Federal
                          and Federal-State review processes.
                          State section 404 programs shall assure
                          coordination of State section 404 permits
                          with Federal and Federal-State water
                          related planning and review processes.
                            (1) The State Director shall assure that
                          the impact of proposed discharges will
                          be consistent with the Wild and Scenic
                          Rivers Act when the proposed discharge
                          could affect portions of rivers
                          designated wild, recreational, scenic, or •
                          under consideration for such
                          designation.
                            fJ2) Agencies with jurisdiction ove'r "~~
                          Federal and Federal-State water related
                          planning and review processes.
                          including the U.S. Army Corps of
                          Engineers, the U.S. Fish and Wildlife
                          Service, and the National Marine-
                          Fisheries Service, shall notify the
                        •  Regional Administrator that they wish
                          to comment on a permit application.
                          draft permit, or draft general permit
                          within 20 days of receipt by the Regional
                         Administrator of the permit  application. •
                         draft permit, or draft general permit
                         Such agencies should submit their
                         evaluation and comments to the
                         Regional Administrator within 50 days
                         of receipt by the Regional Administrator
                         of the permit application, draft permit.
                         or draft general permit The Regional
                         Administrator may allow any such
                         agency up to an additional 30 days to
                         submit comments, upon request of such
                         agency.
                           (3) All comments from the  U.S. Army
                         Corps of Engineers, the U.S. Fish and
                         Wildlife Service, and the National
                         Marine Fisheries Service on permit
                         applicati6ns. draft permits, and draft
                        general permits shall be considered by
                         the Regional Administrator. If the
                        Regional Administrator does not adopt a
                        recommendation of any such agency, he
                        shall consult with that agency. The final
                        decision to object or to require permit
                        conditions shall be made by the
                        Regional Administrator.
                          (c) Coordination with other States. If
                        the proposed discharge may affect the
                        quality of the waters of any State(s)
                        other than the State in which  the
                        discharge occurs the State Director shall
                        provide an opportunity for such State(s)
                        to submit written comments within the
                        public comment period on the effect of
                        the proposed discharge on such State(s)
                        waters, and to suggest additional permit
                        conditions. If these recommendations
                        are not accepted by the State Director.
                        he shall notify the affected State and the
                       •Regional Administrator in writing of his
                        failure to accept these
                        recommendations, together with his
                       reasons for so doing.
     [Note.—States are encouraged to rece
   and use information developed by the \'
   Fish and Wildlife Service as part of the,
   National Wetlands Inventory as it bcco
   available.)

  . 5 123.103 Enforcement authority.
     In addition to meeting the
   requirements of § 123.9. State section
   404 programs shall include procedures
   which enable the State Director to
  'immediately and effectively halt or
  remove any unauthorized discharges of
  dredged or fill material, including the
  authority to issue a cease and desist
  order, interim protective order, or
  restoration order to any person
  responsible for. or involved In. an
  unauthorized discharge.
  5 123.104  Approval process.
    fa) Within 10 days of receipt of a
  complete State section 404 program
  submission under § 123.3. the
  Administrator.shall provide copies of •
  the State's submission to the Corps of
  Engineers, the U.S. Fish ffnd Wildlife
  Service, and the National Marine
  Fisheries Service.            .  .
    (b) After determining that a State
  program submission is complete. EPA
  shall publish notice of the State's
  application in the Federal Register, and
  in enough of the largest newspapers
  the State to attract Statewide attentf
  and shall mail notice to persons knd
  to be interested in such matters,
  including all persons on appropriate
  State. EPA. Corps of Engineers. U.S. Fish
  and Wildlife Service, and National
  Marine Fisheries Service mailing lists
  and all permit holders and applicants  ,
  within the State. This notice shall:
   (1) Provide a comment period of not
 less than 45 days during which
 interested members of the public may
 express their views on the State
 program;
   (2) Provide for a public hearing within'
 the State to be held no less than 30 days
 after notice of the  hearing is published
 in the Federal Register;
   (3) Indicate the cost of obtaining a
 copy of the State's submission;
   (41 Indicate where and when the-
 State's submission may be reviewed by
 the public;
  (5) Indicate whom an interested
 member of the public should contact
 with any questions; and
  (S) Briefly outline the fundamental
 aspects of the State's proposed program,
 and the process for EPA review and
 decision.
  (c) Within 90 days of receipt of a
complete program submission under
 § 123.3. the Corps of Engineers, the
Fish and Wildlife Service, and the   «
National Marine Fisheries Service sha

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               Federal Register  /  Vol. 45.  No. 98 / Monday. May 19. 198Q -/• Rules and Regulations
  submit any comments on the State
  program.                   >
    (d) Within 120 days of the receipt of a
  complete program submission under
  § 123.3, the Administrator shall approve
  or disapprove the program, based on the
  requirement! of this Part and of CWA
  and taking into consideration all
  comments received. A responsiveness
  summary shall be prepared by the
  Regional Office which identifies the
  public participation activities
  conducted, describes the matters
  presented to the public, summarizes
  significant comments received. anoV
  explains the Agency's response to these
  comments. The Administrator shall
•  respond individually to comments
  received from the Corps of Engineers.  .
  the U.S. Fish and WUdlife Service, and
  the National Marine Fisheries Service.
    (e) If the Administrator approves the
  State's section 404 program he or she
  shall notify the State and the Secretary
 , and publish notice in the Federal
  Register. The Secretary shall suspend
  the issuance of section 4O4 permits by
  the Corps of Engineers within the State.
  except for those waters specified in
  section 404(g)(l) of CWA and not
  identified in the program description
  under § 123.400(1) as State regulated
  waters.        ,'    ••  '        •
    (f) If the Administrator disapproves
  the State program he or she  shall notify
  the State of the reasons for the
  disapproval and of any revisions or
  modifications to the State program
•  which are necessary to obtain approval.

  Subpart F—Requirements for Interim •
  Authorization  of State Hazardous
  Waste Programs

  § 123.121 Purpose and scop*.
   (a) This subpart specifies all of the
 requirements a State, program must meet
 in order to obtain interim authorization
 under section 3006(c) of RCRA. The
 requirements a State program must meet
 in order to obtain final authorization
 under section 3006{b) of RCRA are
 specified in Subparts A and  B.
   (b) Interim authorization of State
 programs under this Subpart may occur
 in two phases. The first phase (Phase I)
 allows States to administer a hazardous
 waste program in lieu of and
 corresponding to that portion of the
 Federal program which covers
 identification and listing of hazardous
 waste (40 CFR Part 261). generators (40
 CFR Part 262) and transporters (40 CFR
 Part 263) of hazardous wastes, and
 establishes preliminary (interim status)
 standards for hazardous waste
 treatment storage and disposal facilities
 (40 CFR Part 265). The second phase
 (Phase II) allows States with interim
 authority for Phase I to establish a
 permit program for hazardous waste
 treatment, storage and disposal facilities
 in lieu of and. corresponding to the
 Federal hazardous waste permit
 program (40 CFR Parts 264 and 266).
 States may apply for interim      . •  '.'
 authorization either sequentially
 (application for interim authorization for
 Phase 1 followed by an amendment of'
 that application for Phase II) or all at
 once (application for interim
 authorization for both Phases I and n at
 the same time) as long as they adhere to
 the schedule in 5123.122,
   (c) The Administrator shall approve a
 State program which meets the
 applicable requirements of this Subpart
   {d] Upon approval of a State program • '•
 for Phase H, the Administrator shall
 suspend the issuance of Federal permits
 for those activities subject to the
•approved State program.
   (e) Any State program approved by
 the Administrator under this Subpart
 shall at all times be conducted in
 accordance with this Subpart.
  , (f) Lack of authority to regulate
 activities on Indian lands does not
 impair a State's ability to obtain interim
 authorization under this Subpart EPA
 will administer the program on Indian
 lands if the State does not seek this
.authority.         " ''
  (Note.—State*  are advised to contact the
 United States Department of Interior, Bureau
 of Indian Affairs, concerning authority over
 Indian lands.]
  (g) Nothing is this Subpart precludes a
 State from:
  (1) Adopting or enforcing
 requirements which are more stringent
 or more extensive than those required
 under this Subpart
  (2) Operating a  program with a greater
 scope of coverage than that required •
under this Subpart. Where an approved.
program has a greater scope of coverage
 than required by Federal law the
additional, coverage is not part of the
Federally approved program.

$123.122 Schedule.                ...."
  (a) Interim authorization for Phase I
shall not take effect until Phase I  .
commences. Interim authorization for
Phase II shall not take effect until Phase
II commences.  •.•'.'•
  (b) interim authorization may extend
for a 24-month period from the
commencement of Phase IL At the end
of this period all interim authorizations
automatically expire and EPA shall
administer the Federal program in any
State which has not received final
authorization,    .               ••
  (c) A State may apply for interim
authorization at any time prior to
 expiration of the 6th month, of the 24-
 month period beginning with the ,   .
 commencement of Phase n,   '
   (1) Sta.tes applying for interim
 authorization prior to the promulgation
 Of Phase n shall apply only for interim
 authorization for Phase I.
 •  (2) States applying for interim
 authorization after the promulgation of '
 Phase II but before the commencement
 of Phase H may .apply either for interim
 authorization for both Phase land Phase
 n or only for interim authorization for
 Phase L      '.•     . i
   (3) States applying for interim
 authorization after the commencement
 of Phase n shall apply for interim
 authorization for both Phase I and Phase
,11, unless they have already applied for
 interim authorization for Phase I.
   (4) States which have received interim
 authorization for Phase I shall amend
 their original submission to meet the .
 requirements.for interim authorization
 for Phase II not later than 8 months after
 the effective date of Phase IL
   (d) No State may apply for interim
 authorization for Phase II unless it has
 received interim authorization for Phase
 I or is simultaneously applying for
 interim authorization for both Phase I'
 and Phase IL

 §123.123  Dements of a program
 submission.         '
   (a) States applying for interim
 authorization shall submit at least three
 copies of a program submission to EPA
 containing the following:
   (1) A letter from the Governor of the
 State requesting State program
 approval;             .
   (2) A complete program description,
 as required by § 123.124, describing how
 the State intends to carryput its
 responsibilities under this subpart;'
   (3) An Attorney General's statement
 as required by § 123.125;
   (4) A Memorandum of Agreement
 with the Regional Administrator as
 required by § 123.126;       ''        :
  {5) An authorization 'plan  as required
 by § 123.127;
  (6) Copies of all applicable State
 statutes and regulations, including those
governing State administrative
procedures.'            .              •
  (b) Within 30 days of receipt by EPA
of a State program submission, EPA will
notify the State whether its submission'
is complete. If a State's submission is
found to.be complete. EPA'a formal '
review of the proposed State program
shall be deemed to have begun on the
date of receipt of the State's submission.
See § 1231135. If a State's submission is
found to be incomplete, formal review
shall riot begin-until all the necessary
information is received by-EPA.

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    33480
Federal Register / Vol. 45. No.  98 / Monday. May 19. i960 / Rules  and Regulations
      TO) If the State's submission is
   materially changed during the formal'
   review period, the formal review period
   •hall recommence upon receipt of the
   xevised submission.
     (d) States simultaneously applying for
   interim authorization for both Phase I
   and Phase n shall prepare a single
   submission.
     (ej States applying for Interim
   authorization for Phase H shall amend
   their submission for interim
   authorization for Phase I as specified in
  •§5323.124 to 123.127.
   1123.124  Program description.
     Any State that wishes to administer a
   program under this Subpart shall submit
   to the Regional Administrator a
   complete description of the program it
   proposes to administer in lieu of the "
 , Federal program understate law. A
   State applying only for interim
   authorization for Phase II shall amend
   its program description for interim
   authorization for Phase I as necessary to
   reflect the program it proposes to
   administer to meet the requirements for
   interim authorization for Phase II. The
   program description shall include:
    (a) A description In narrative form of
  the acope, structure, coverage, and
  processes of the State program.-
    (b) A description (including '        .
  organization charts) of the organization
   nd structure of the State agency or
  agencies which will have responsibility
  for administering the program including
  the information listed below. If more
  than one agency is responsible for   "
  administration of the program, each
 agency must have Statewide jurisdiction
 over a class of activities. The
 responsibilities of each agency must be
 delineated, their procedures for
 coordination set forth, and one of the
 agencies must be designated a "lead
 agency" to facilitate communications
 between EPA and the State agencies .
 having program responsibility. Where
 the State proposes to administer a
 program of greater scope of coverage
 than is required by Federal law, the
 Information provided under this section
 shall indicate the resources dedicated to
 administering the Federally required
 portion of the program.
   (1) A description of the State agency
 staff who will be engaged in carrying
 out the State program, including the
 number, occupations, and general duties
 of the employees. The State need not
 submit complete job descriptions for
 every employee engaged in carrying out
 the Stats program.
   (2J An Itemization of the proposed or
actual costs of establishing and
administering Jhe program, including
cost of the personnel listed in paragraph
                          (b)(l) of this section, cost of
                        •  administrative support and cost of
                          technical support.
                            (3) An itemization of the sources and
                          amounts of funding, including an
                          estimate of Federal grant money,
                          available to the State Director to meet
                          the costs listed in paragraph (b](2) of
                          this section identifying any restrictions
                          or limitations upon this funding.
                            fc) A description of applicable State
                          procedures, .including permitting
                          procedures, and any State appellate
                          review procedures.
                           [Note.—States applying only for interim
                          authorization for Phase I need describe
                          permitting procedures only to the extent they
                          will be utilized to assure compliance with
                          standards substantially equivalent to 40 CFR
                          Part2S5.J
                           (d) Copies of the forms and  the
                         manifest format the Slate intends to use
                         in its program. Forms used by the State
                         need not be identical to the forms used
                         by EPA. but should require the same
                         basic information. If the State  chooses
                         to use uniform-national forms it should
                         so note.
                          .(e) A complete description of the
                         State's compliance monitoring and
                         enforcement program.
                           (f) A description of the Slate manifest
                         system if the State has such a system
                         and of th*e procedures the State will use
                         to coordinate information with other
                        approved State programs and the
                        Federal program regarding interstate
                        and international shipments.
                          (g) An  estimate of the number of the
                        following:
                          (1) Generators;
                          ,(2) Transporters; and
                          (3J On- and off-site treatment, storage
                        and disposal facilities including a brief
                        description of the types of facilities, and
                        an indication, if applicable, of the permit
                        status of these facilities.
                        S 123.125  Attorney General's statement
                          (a) Any Slate seeking to administer a
                        program under this Subpart shall submit
                        a statement from the State Attorney
                        General (or the attorney for those State
                        or interstate agencies which have
                        independent legal counsel), that the
                        laws of the State, or the interstate
                        compact, provide adequate authority to
                        carry out the program described under
                        ! 123.124 and to meet the applicable
                        requirements .of this Subpart. This
                        statement shall include citatio'ns to the
                        specific statutes; administrative
                       regulations, andi where appropriate,
                       judicial decisions which demonstrate   •
                       adequate authority. Except as provided
                       in § 123.128(d). the State Attorney
                       General or independent legal counsel
                       must certify that the enabling legislation
                       for the program for Phase I was in
   existence within 90 days of the   ;
   promulgation of Phase'l. In the call
   State applying for interim authoril.—,r
   for Phase II. the State Attorney General
   or independent legal counsel must
   certify that the enabling legislation for
   the program for Phase II was in
   existence within 90 days of the
   promulgation of Phase II. State statutes
   and regulations cited by the State
   Attorney General or independent legal
   counsel shall be lawfully adopted at the
   time the statement is signed and shall be
   fully effective by the time the program is
   approved. To qualify as "independent
   legal counsel" the attorney signing the
   statement required by this section must
   have full authority to independently
   represent the State agency in court on   .
   all matters pertaining to the State
  program. In the case of a State applying  •
  only for interim authorization for Phase
  II, the Attorney General's statement
  submitted for interim authorization for •
  Phase I shall be amended and recertified
  to demonstrate adequate, authority to
  carry out all the requirements of this
  Subpart.
    (b)(l) In tha case of a State applying
  only for interim authorization for Phase
  I. the Attorney General's statement shall
  certify that the authorization plan under
  § 123.127(a), if carried out. would
  provide the State with enabling
  authority and regulations aduqu
  meet the requirements for final
  authorization contained in Phase I.
   (2) In the case'of a State applying for
  interim authorization for Phase II. the
 Attorney General's statement shall
 certify that the authorization plan under
  5 123.127(b). if carried out, would
 provide the State with enabling
 authority and regulations adequate to
 meet all the requirements for final
 authorization.
   (c) Where a State seeks authority over
 activities on Indian lands, the statement
 shall contain an appropriate analysis of
 the State's authority.

 5 123.126  Memorandum of Agreement
   (a) The State Director and the
 Regional Administrator shall execute a-
 Memorandum of Agreement (MOA). In
 addition to meeting the requirements of
 paragraph (b) of this section, and. if
 applicable, paragraph (c) of this section,
 the Memorandum of Agreement may
 include other terms, conditions, or
 agreements relevant to the
 administration and enforcement of the
 State's regulatory program which are not
 inconsistent with this subpart. No
Memorandum of Agreement shall be
approved which contains provisions A
which restrict EPA's statutory overs
responsibility. In the case of a State
applying for interim authorization for
    41)
"»"=Hf

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               Federal  Register / Vol. 45. No. 98  /  Monday.  May 19. 19SO / Rules and Regulations
                                                                        33481
  Phase II. the,Memorandum of,
  Agreement shall be amended and re-
  executed to include the requirements of
  paragraph (c) of this section and any
  revisions to the requirements of
  paragraph {b} of this section.
    (b) The Memorandum of Agreement
 ' shall include the following:  '.,
    (1) Provisions for the prompt transfer
  from EPA to the State of information
 • obtained in notifications made pursuant
  to section 3010 of RCRA and received by
  EPA prior to the approval of the State
  program. EPA identification numbers for
  new generators, transporters, and
  treatment storage* and disposal
  facilities, and any other information
  relevant to effective program pperation
  not already in the possession of;the':',, ,
• State Director, (e.g., pending permit
  applications, compliance reports, etc.).
    (2) Provisions specifying the frequency
  and content of reports, documents, and
  other information-which the State is
  required to submit to EPA. The State
  shall allow EPA to routinely review
  State records, reports, and files relevant
  to the administration and enforcement
  of the approved program. Sta te .reports
  may be combined with grant reports
 when appropriate.
 .  (3) Provisions on the State's'.".
 compliance monitoring and enforcement
 program, including:     '      !
,  (i) Provisions for coordination of
 compliance monitoring activities by the
 State and EPA. These may specify the
 basis on which the Regional
 Administrator will select facilities or
 activities within the State for EPA
 inspection. The Regional Administrator '
 will normally notify the State at least 7
 days before any such inspection: and
   (ii) Procedures to assure coordination
 of enforcement activities.
   (4) Provisions for modification of the
 Memorandum of Agreement in
 accordance  with this Part      - •:
   (5) A provision allowing EPA to .
 conduct compliance inspections of all
 generators, transporters, and HWM
 facilities during interim authorization.
 The Regional Administrator and the
 State Director may agree to limitations
 regarding compliance inspections of
 generators, transporters, and non-major
 HWM facilities.
  (6) A provision that no limitations on
 EPA compliance inspections of
 generators, transporters, and non-major
 HWM facilities under paragraph (b)(5)
 of this section shall restrict EPA's right
 to inspect any HWM facility, generator.
 or transporter which it has cause to
 believe is not in compliance with RCRA;
 however, before conducting such an
inspection, EPA will normally allow the  '
State  a reasonable opportunity to
  conduct a compliance evaluation
  inspection.        ,„  >
  •  (7) A provision delineating respective
  State and EPA responsibilities during
  the interim authorization period.
  .  (c) In the case of a State applying for
  interim authorization for Phase Q. the
  Memorandum of Agreement shall also
  include the following:   "   •-.''-..
    (1) Provisions for prompt transfer from
  EPA to the State of pending permit
  applications and support files for permit
  issuance. Where existing permits are
  transferred to the State for
  administration, the Memorandum of
  Agreement shall contain provisions
  specifying a procedure for transferring
  responsibility for thes« permits. If a
  State lacks the authority to directly  -
  administer permits issued by the  Federal
  government, a procedure may be
.  established to transfer responsibility for
  these permits,
    (2) Provisions specifying classes and
  categories of permit applications  and
  draft permits that the State Director will
  send, to the Regional Administrator for
  review and comment. The State Director
  shall promptly forward to EPA copies of
  permit applications and draft permits  for
  all major HWM facilities. The Regional
  Administrator and the State Director
  may agree to limitations regarding
  review of and comment on permit •
  applications and draft permits for non-
  major HWM facilities. The State
  Director shall supply EPA copies of final
  permits  for all major HWM facilities.
   (3) Where appropriate, provisions for
  joint processing of permits by the  State
  and EPA for faculties or activities which'
 require permits under different
 programs, from both EPA and the  State.

 §123.127 Authorization plan.
   The State must submit an
 "authorization plan" which shall
 describe the additions and modifications
 necessary for the Slate program to
 qualify for final authorization as soon as
 practicable, but no later than the end of
 the interim authorization period. This
 plan shall include the nature of and
 schedules for'any changes in State • -
 legislation and regulations; resource
 levels: actions the State must take to
 control the complete universe of
 hazardous waste listed or designated
 under section 3001 of RCRA as soon as
 possible; the manifest and permit.
 systems; and the surveillance and
 enforcement program which will be
 necessary in order for the State to
 become eligible for final authorization.
  (a) In the case of a State applying only
 for interim authorization for Phase I, the  .
 authorization plan shall describe the .
 additions and modifications necessary
 for the State program, to meet the
  requirements for final authorization
  contained in Phase I.     .
    (b) In the case of a State applying for
  interim authorization for Phase II. the
  authorization plan under paragraph (a)
  of this section shall be amended to     '
  describe the further additions and
  modificatioi:i a««o<*r,3ary for the State
 .- program to meet all the requirements for
  final authorization.        ,

  S 123.128  Program requirements for
  Interim authorization for Phase I.
    The following requirements are
  applicable to States applying for interim
  authorization for Phase I. If a State does
  not have legislative authority or
 • regulatory control over certain activities'
  that do not occur in the State, the State
  may be granted interim authorization for
  Phase I provided the State authorization
 'plan under § 123.127 provides .for the
  development of a complete program as
  soon as practicable after receiving
  interim authorization. . •
    (a) Requirements'foridentification
 and listing of hazardous waste. The
 -State program must control a universe of
 hazardous wastes generated,
 transported, treated, stored, and
 disposed of in the State which is nearly
 identical to that which would be
 controlled by the Federal program under
 40 CFR Part 281.
   {b) Requirements for generators of
 hazardous waste. (1) This paragraph
, applies unless the State comes within
. the exceptions described under
 paragraph (d) of this section.
   (2) The State program must cover all
 generators of hazardous wastes     :
 controlled by the State.
  . (3) The State shall have the authority
 to require and shall require all
 generators'covered by the State program
 to comply with reporting and
 recordkeeping requirements
 substantially equivalent to those found
 at 40.CFR § § 262.40 and 282.41.
  (4) The State program must require
 that generators who accumulate  •
 hazardous wastes for short periods of
 time prior to shipment do so in a manner
 that does not present a hazard  to human
 health or the environment.
  (5) The State program shall provide
 requirements respecting international
shipments which are substantially-
 equivalent to those at 40 CFR § 262.50.
 except that advance notification of     ••
international shipment, as required by'
40 CFR 5 232.50{b)(l). shall be ffled.with
the Administrator. The State may
require that a copy of such advance . .
notice be filed with the State Director, or
may require equivalent reporting
procedures.             -.  '.  .
.  [Note.—Such notices shall be mailed to
Hazardous Waste Export, Division for   . -   .

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     33482
Federal Register / Vol. 45. No.  98 /. Monday, May 19. 1980 / Rules  and Regulations
     Oceans and Regulatoiy Affairs (A-I07). U.S.
     Environmental Protection Agency,
     Washington. D.C. 204GO.J
       (6) The State program must require
     thatauch generators of hazardous waste
     who transport (or offer for transport)
     such hazardous waste off-site use a
     manifest system that ensures that inter-
     and Intrastate shipments of hazardous
     waste are designated for delivery, and.
     In the case of intrastate shipments, are
     delivered only to facilities thai are
     authorized to operate under an
     approved State program or the Federal
    program,
      [7] The State manifest system must
    require that:
  .   (I) The manifest itself- identify the-
    generator, transporter, designated   -
    facility to which the hazardous waste
    will be transported, and the hazardous
    waste being transported;
      (ii) The manifest accompany all •
    wastes offered for transport, except in
    the case of shipments by rail or water
    specified In §§ 26£23(c) and 263.20(e);
    and
     (iii) Shipments of hazardous waste
    that are not delivered to a designated
    facility are either identified and reported
   by the generator to the State in which
   the shipment originated or are
   independently Identified by the State in
   which the shipment originated.   "
     (8) In the case of interstate shipments
   for which the manifest has not been
   returned. the.Slate program must
   provide for notification to the State in
   which the facility designated on the
   manifest is located and to the State in
   which the shipment may have been
   delivered (or to EPA in the case of
   unauthorized States).
     (c) Requirements for transporters of
  hazardous wastes. (1) This paragraph
  npplies unless the State comes within
  !he exceptions described under
  paragraph (d) of this section.
     (2) The State program must cover all
  transporters of hazardous waste
  controlled by the State.
    (3) The State shall have the authority
  to require and shall require all
  transporters covered by the State
^ program to comply with recordlceeping
* requirements substantially equivalent to
  those found at 40 CFR | 263.22,
    [4) The State program must require
  auch transporters of hazardous waste to
  use a manifest system that ensures that
  inter- and intrastate shipments of
  hazardous waste are delivered only to
  facilities that are authorized under an
 approved State program or-the Federal
 program.
   (5) The State program must require
 that transporters carry the manifest with
 all shipments, except in the case of
                          shipments by rail or water specified in
                          40 CFR § 263.2C(e).
                            (8) For hazardous wastes that are
                          discharged in transit, the State program
                          must require that transporters notify
                          appropriate State, local, and Federal
                          agencies of the discharges, and clean up
                          the wastes or take action so that the
                          wastes do not present a hazard to
                          human health or the environment these
                          requirements shall be substantially
                          equivalent to those found at 40 CFR
                          SS 263.30 and 263.31.
                            (d) Limited exceptions from generator.
                          transporter, and related manifest
                          requirements. A State applying for
                          interim authorization for Phase I which
                          meets all the requirements for such
                          interim authorization except that it does
                       •  not have statutory or regulatory
                         authority for the manifest system or
                         other generator or transporter
                         requirements discussed in paragraphs   •
                         (b)-and (c) of this section may be
                         granted interim authorization, if the
                         State authorization plan under § 123.127
                         delineates the necessary steps for
                         obtaining this authority no later than the
                         end of the interim authorization period
                         under J 123.122(b). A State may apply
                         for interim authorization to implement
                         the manifest system and other generator
                         and transporter requirements if.the
                         enabling legislation for that part of the
                         program was in existence'within 90 days
                         of the promulgation of Phase I: If such
                         application is made, it shall be made as
                        part of the State's submission for interim
                        authorization for Phase II. Until the
                        State manifest system and other
                        generator and transporter requirements
                        are approved by EPA. all Federal
                        requirements for genera tors  and
                        transporters (including use of the
                        Federal manifest system) shall apply in
                        such States and enforcement
                        responsibility for that part of the
                       program shall remain with the Federal
                       Government. The universe of wastes for
                       which these Federal requirements apply
                       shall be the universe of wastes
                       controlled by the-State under paragraph
                       (a) of this section.
                          (e) Requirements for hazardous waste
                       treatment, storage, and disposal
                       facilities. States must have standards
                       applicable to HWM facilities which are'
                       substantially equivalent to 40 CFR Part
                       265. State law shall prohibit the
                       operation of facilities not in compliance
                       with such standards. These standards
                       shall include:
                         (1) Preparedness for and prevention of
                       releases of hazardous waste controlled
                       by the State under paragraph (a) of this
                       section and contingency plans and
                       emergency procedures to be followed in
                       the event of a release of such hazardous
                       waste;
      (2) Closure and post-closure
    requirements;
      (3) Groundwater monitoring:   —
      (4) Security to prevent unknowing
    unauthorized access to the facility;
      (5) Facility personnel training;
      (6) Inspection, monitoring,
    recordkeeping. and reporting;
      (7) Compliance with the manifest
    system including the requirement that
    the facility owner or operator or the
    State in which the facility is located
    must return a copy of the manifest to the
   generator or to the State in which the
   generator is located indicating delivery
   of the waste shipment: and
     (8) Other facility standards to  the
   extent that they are included in 40 CFR
   Part 265. except that Subpart R   -.
   (standards for injection wells) may be
   included'in the Slate standards at the
   State's option.
     (f) Requirements for enforcement
   authority. (1) Any Slate agency
   administering a program under this
   Subpart shall have the following   '
   authority to remedy violations of State
   program requirements:
     (i) Authority to restrain immediately
   by order or by suit in State court  any
   person from engaging in any
   unauthorized activity which is
   endangering or causing damage to
   public health or the crivtrohmont;
    (ii) To sue in courts of competent^
  jurisdiction to enjoin any threatened,
  continuing violation of any program
  requirement, including, where
  appropriate, permit conditions, without
.  the necessity of a prior revoca lion of the
  permit; and
    (iii) For any program violation, to
  assess or sue to recover in court civil
  penalties in at least the amount of S1000
  per day or to seek criminal fines in at
  least,the amount of SlCOO per day.
    (2) Any State agency.administering a
  program under this Subpart shall
  provide for public participation in the
  State enforcement process by providing
  either                        ;
    (i) Authority which allows
  intervention as of right in any civil or
  administrative action to obtain remedies
  specified in paragraph (f)(l) of this
 section by any citizen having an interest
 which is or may be adversely affected-
 or
   (ii) Assurance that the State agency or
 enfoscement authority will:
   (A) Investigate and provide written
 responses to all citizen complaints
 submitted pursuant to the procedures
 specified in paragraph (g)(2)(iv) of this
 section;
   (B) Not oppose intervention by any
 citizen where permissive interventioa'
 may be authorized by statute, rule,
 regulation; and

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               Federal Register / Vol. 45. No.. 98 / Monday. May 19.  198O / Rules and  Regulations
                                                                       33483
    (Q Publish and provide at least 30
  days for public comment on any..
  proposed settlement of a State
  enforcement action. .
    (g) -Requirements for compliance  •
  evaluation programs. [I] A State
  program under this Subpart shall have
  procedures for receipt, evaluation.
  recordkeeping. and investigation for
  possible enforcement of all required
  notices and reports;'
    (2) A State program shall have
  'independent inspection and surveillance
  authority and procedures to determine
  compliance or'noncompliance with
  applicable program requirements. This
  shall include:    •
    (i) The capability to make        .
  comprehensive surveys of any activities
  subject to the State Director's authority
  in order to identify persons subject to
  regulation who have failed to comply
  with program requirements;
    (ii) A program for periodic inspections
  of the activities subject to regulation:    •,
    (Hi) The capability to investigate
'  evidence of violations of applicable
  program and permit requirements; and
    (iv) Procedures for receiving and
  ensuring proper consideration of
  Information submitted by the public
•  about violations, Public effort in
 .reporting violations shall be encouraged,
  and the State Director shall make
  available information on reporting
  procedures.        •   ,   ,.
    (3) The State officers engaged in
  compliance evaluation activities shall
  have authority to enter any conveyance,
  vehicle, facility, or premises subject to
 . regulation or in which records relevant
  to program operation are kept in order
  to inspect, monitor, or. otherwise
  investigate compliance with the State
  program. States whose law requires  a
  search warrant prior to entry conform
  with this requirement
    (4) Investigatory inspections shall be
  conducted, samples shall be taken, and
  other information shall be gathered in a
  manner (e.g., using proper "chain of
  custody" procedures) that will produce
  evidence admissible in an enforcement
  proceeding or in court ••-

•  9123.129  Additional program
  requirements for Interim authorization for
  PtiascIL
    In addition to the requirements of
  S 123.128. the following requirements are
  applicable to States applying for interim
  authorization for Phase IL
    (a) State programs must have
  standards applicable to hazardous .-
  waste management facilities that
 provide substantially the same degree of
 human health and environmental •
 protection as the standards promulgated
 under 40 CFR Parts 264and 268.
   (b) State programs shall require a
 permit for owners and operators of
 those hazardous waste treatment
 storage, and disposal facilities which
 handle any waste controlled by the
 State under S 123.123(a) and for which a
 permit is required under 40 CFR Part
 122. The State program shall prohibit the
 operation of such facilities without a
 permit provided States may authorize
 .owners and operators of facilities which
 would qualify for interim status under
 the Federal program (if State law so
 authorizes) to remain in operation
 pending permit action. Where State law
 authorizes such continued operation it
 shall require compliance by owners and
 operators of such facilities with
 standards substantially equivalent to  •'• •
 EPA's interim status standards under 40
 CFR Part 285.
 '. (c) All permits issued by the State
 under this section  shall require
 compliance with the standards adopted
 by the State in accordance with
 paragraph (a) of this section.
   (d) State programs shall have    -:
 requirements for permitting which are
 substantially equivalent to the
 provisions listed in 5 ! 123.7(a) and (b).
   (e) No permit may be issued by a
 State with interim  authorization for
 Phase II with a term greater than ten
 years.       -

 9 123.130  Interstate movement of
 hazardous waste.
   (a) If a waste is transported from a
 State where it is listed or designated as
 hazardous under the program applicable
 in that State/whether that is the Federal
 program  or an approved State program,
 into a State with interim authorization
 where it is not listed or designated, the
 waste must be manifested in accordance
 with the laws of the State where the
 waste was generated and must be
 treated, stored, or disposed  of as
 required  by the laws of the .State into'
 which it has been transported.
   (b) If a waste is transported.from a
 State with interim authorization where it
 is not listed or designated as hazardous
 into a State where  it is listed or
 designated as hazardous under, the
 program applicable in that State,
 whether that is the Federal program or
 an approved State program, the waste
 must be treated;  stored, or disposed of in
 accordance with the law applicable in
 the State into which it has been
 transported.
  (c) In all cases Of interstate movement
 of hazardous waste, as defined by 40
 CFR Part 281; generators and
 transporters must meet DOT
requirements in 49 CFR Parts 172,173,
178. and 179 (e.g.; for shipping paper.
  packaging, labeling, marking, and
  placarding).

  § 123.131  Progress reports.       .
   The State Director shall submit a   :
  semi-annual progress, report to the EPA
  Regional Administrator within 4 weeks
  of the date 8 months after Phase I
  commences, and at 6-month intervals ,.
  thereafter until the expiration of interim
  authorization. The reports shall briefly
  summarize, in a manner and form
  prescribed by the Regional
  Administrator, the State's compliance in
  meeting the requirements of the
  authorization plan, the reasons and
  proposed remedies for any delay in
  meeting milestones, and the anticipated
  problems and  solutions for .the next
  reporting period.

  $123.132  Sharing of Information.
   (a) Any information obtained or used
  in the .administration of a State program
  shall be available to EPA upon request
  without restrictionl If the information
  has been submitted to the State under a
  claim of confidentiality, the State must
  submit that claim to EPA when
  providing information under this   •   •
  Subpart .Any information obtained from
  a State and subject to a claim of
  confidentiality will be treated in
 .accordance with the regulations in 40
 CFR Part 2. If EPA obtains from a State
  information that is not claimed to be
 confidential. EPA may make that
 information available to the public
 without further notice.
   (b) EPA shall furnish to States with
 approved programs the  information in
 its files not .submitted under a claim of
 confidentiality which the State needs in
 order to implement its approved.
 .program. EPA shall furnish to States
 with approved programs information
 submitted to EPA under a claim of
 confidentiality, which the State needs in
 order to implement its approved
 program, subject to the conditions in 40
 CFR Part 2.

 9123.133  Coordination with other
. programs.
   (a) Issuance  of State permits under '
 this Part may be coordinated, as
 provided in Part 124, with issuance of
 NPDES, 404. and UIC permits whether
 they are controlled by the«State, EPA, or
 the Corps of Engineers.'
   (b) The State Director of any
 approved program which may affect the
 planning for and development of
 hazardous waste management facilities
 and practices shall consult and
 coordinate with agencies designated
 under section 4006(b) of RCRA (40 CFR
 Part 255) as responsible  for the
 development and implementation of

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    33484
Federal Renter / Vol 45. No. 98 / Monday. May 19. I980 / Rglea
    State solid waste management plans
    under section 4002(b) of RCRA (40 CFR
    Part 256).

    § 123.134  EPA review of State permits,
      fa) The Regional Administrator may
    comment on permit applications and
    draft permits as provided in the,
    Memorandum of Agreement under
    1123.128.
      (b) Where EPA indicates. In a
    comment, that issuance of the permit
    would be inconsistent with tha approved
    State program. EPA shall include in the'
    comment:
      (1) A statement of th* reasons for the
    comment (including the section of RCRA
    or regulations promulgated thereunder
    thai support the comment); and
      (2) The actions that should be taken
    by the State Director in order to address
    the comments (including the conditions
    which the permit would include if it
    were issued by the Regional
   Administrator).
     (c) A copy of any comment shall be
   sent to the permit applicant by the    '
   Regional Administrator.
     (d) The Regional Administrator shall
   withdraw such comment when satisfied
   that the State has met or refuted his or
   her concerns.
    (e) Under section 3008(a)(3) of RCRA.
   EPA may  terminate a State-issued
   permit in accordance with the
   procedures of Part 124. Subpart E or
   bring an enforcement action in
   accordance with the procedures of 40
  CFR Part 22 in the case of a violation of
  a State program requirement. In
  exercising these authorities. EPA win
  Qb«rve the following conditions:
    (1) The Regional Administrator may
  take action under section 3008(a)(3) of
  RCRA against a holder of a State-issued
  permit at any time on the ground that
  the permittee is not complying with a
  condition of that permit
    (2) The Regional Administrator may
  take action under section 3008(a)(3) of
  RCRA against a holder of a State-issued
  permit at any time on the ground that
  the permittee is not complying with a
  condition that the Regional
 Administrator in commenting on the
 permit application or draft permit stated
 ww necessary to implement approved
 State program, requirements, whether or
 not that condition was included in the
 final permit
   (3J The Regional Administrator may
 *?««* acUon under section 300a(a](3]
 of RCRA against a holder of a State-
 Issued permit on the ground that the
 permittee-is not complying with a
 condition necessary to implement
 approved State program requirements
 unless the Regional Administrator
atated in commenting on the permit
                          application or draft permit that that
                          condition was necessary.
                            (4) The Regional Administrator may
                          take action under section 7003 of RCRA
                          against a permit holder at any time
                          whether or not the permit holder is
                          complying with the permit conditions.

                          $12X135  Approval process.
                           (a) Within 30 days of receipt of a
                         complete program submission for
                         interim authorization, the Regional
                         Administrator shall:
                           (1) Issue notice in the Federal Register
                         and in accordance with 9 123J8(a)(l) of
                         a public hearing on the State's
                         application for interim authorization.
                         Such public hearing will be held by EPA
                         no earlier than 30 days after notice of
                         the hearing, provided that if significant
                         public interest in a hearing is not
                         expressed, the hearing may be cancelled
                         if a statement to this effect is included in
                         the public notice. The State shall
                         participate in any public hearing held by
    (2) Afford the public 30 days after the
  notice to comment on the State's
  submission: and
    (3) Note the availability of the State's
  submission for inspection and copying
  by th« public. The State submission ?
  shall, at a minimum, be available in the
  main office of the lead State agency and
  in the EPA Regional Office.
    (b) Within 90 days of the notjce in the
  Federal Register required by paragraph
  (ajflj of this section, the Administrator
  shall make a final determination
  whether or not to approve the State's
  program taking into account any
  comments submitted. The Administrator
  will give notice of this final
  determination in the Federal Register
  and in accordance with § 123.39(a)(l).
  The notification shall include a concise
  statement of the reasons for this
  determination, and a response to
  significant comments received.
   (c) Where a State has received interim
 authorization for Phase I the same
 procedures required in paragraphs (a)
 and {b) of this section shall be used in
 determining whether this amended
 program submission meets the
 requirements of the Federal program.

 S 123.138  Withdrawal of State programs.
  (a) The criteria and procedures for
 withdrawal set forth in J§ 123.14 and 15
 apply to this section.  •
  (b) In addition to the criteria in
 § 123.14. a State program may be
withdrawn if a State which has obtained
interim authorization fails to meet the
schedule for or accomplish the additions •
or revisions of its program set forth in its
authorization plan.
    5 123.137  Reversion of State progr
      (a) A State program approved (
    interim authorization for Phase l'
    terminate on the last dayof the 6Uj
    month after the effective date of Phase I|
    and EPA shall administer and enforce
    the Federal program in the State
    commencing on that date if the State has
    jailed to submit by that date an
    amended submission pursuant to
    5 123.122(c)(4).
     (b) A State program approved for
   interim authorization for Phase I shall
   terminate and EPA shall  administer and
   enforce the Federal program in the Stats
   if the Regional Administrator
   determines pursuant to § 123.13S{cJ that
   a program submission amended
   pursuant to 5 123.122(c)(4J does not meet
   the requirements of the Federal program.

   PART 124—PROCEDURES FOR
   DECISIONMAKING

   Subpart A—General Program Requirements
   Sec.
   124.1  Purpose and scope.
   124.2  Definitions.
   124.3  Application for a permit.
   124.4  Consolidation of permit processing.
  124.5  Modification, revocation and
     reissuaace. or termination of permits
  124.8 Draft permit.
  124.7 Statement of basis.
  124.8 F«ct,iheet  '
  124.9 Administrative record for draft I
     permits when EPA is the permitting
     authority.
  124.10  Public notice of permit actions and
     public comment period.
  124.11  Public comments and requests for
     public hearings.
  124.12  Public hearings.
  124.13  Obligation to raise issues and
     provide information during the public
     comment period.
  124.14  Reopening ot the public comment
     period.
 124.15 Issuance and effective date of permit
 124.16 Stays of contested permit conditions.
 124.17 Response to comments.
 124.18 Administrative record for final
    permit when EPA is th« permitting
    authority.
 124.19 AppeaiofRCRA,UlCandPSD
    permit*.
 124.20  Computation of time.
 124.21  Effective date of Part 124.

 ?U£P,art«^~Speclflc Procedures Applicable
 to RCHA Permits [reserved]

 Subpart C—Specific Procedures Applicable
 to PSD Permits

 124.41  Definitions applicable to PSD
    permits.
 124.42  Additional procedures for PSD
    permits affecting Class I areas.


SSSftSE."8 PrOC'dUre« *"*—
                                                             124.S1  Purpose and scope.
                                                             124.52  Permits required on a cag
                                                                basis.

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                Federal Register /  Vol. 4S. No. 98  / Monday. May 19.  198O / Rules  and Regulations
                                                                                                     33485
  124.53  State certification.,
  124.54  Special provisions for State
      certification and concurrence on •
      applications for section 301(h) variances.
  124.55 ' Effect of State certification.   .   •
  124.56  Fact sheets.                    ,
  124.57  Public notice.
  124.58  Special procedures for EPA-issued
      general .permits for point sources other
      than separate storm sewers.        '
  124.59  Conditions requested by the Corps of
      Engineers and other government
  >    agencies.        •
  124.60  Issuance and effective date and stays
      of NPDES permit*.
  124.61  Final environmental Impact
      statement
  124.62  Decision on variance*.
  124.63  Procedure* for variances when EPA
      is the permitting authority.      '     -
  124.64  Appeals of variances.
  124.65  Special procedures for discharge  into
      marine waters under.section 301(h). •  ,
  124.66  Special procedures for decisions on  '
      thermal variances under section 316{a).  ,
  Subpart E—Evidentiary Hearing for EPA-
  Issued NPDES Permits and EPA-Terminated
  RCRA Permits
  124.71   Applicability.
  124.72   Definitions.
  124.73   Filing and submission of documents.
 124.74   Requests for evidentiary .hearing.
  124.75   Decision on request for a hearing.
 124.76   Obligation to submit evidence and
     raise issues before a final permit is
   .  Issued.                  '
 124.77   Notice of hearing.  .
 124.78   Ex parts communications.
 124.79   Additional parties and issues.
 124.60   Filing and service.  •
 124.81  .Assignment of Administrative Law
     Judge.
 124.82  .Consolidation and severance.
 124.83  Preheating conferences.
 124:84  Summary determination.
 124.85  Hearing procedure.
 124.88  Motions.
 124.87  Record of hearings.
 124.88.  Proposed findings .of fact and
     conclusions; brief.
 124.89  Decisions.
 124.90  Interlocutory appeal.
 124.91  Appeal to the Administrator.
                       Subpart F—Non-Adversary Panel
                       Procedures    .-  •   -.;:
                       124.111  Applicability.          ..'•-'
                       124.112  Relation to other Subparts.
                      ' 124.113  Public notice of draft permits and
                           public comment period.
                       124.114  Request for hearing.  • .
                       124.115  Effect of denial of or absence of
                           request for hearing.             •
                       124.116  Notice of hearing.            .
                       124.117  Request to participate in hearing.  ,
                      ' 124.118  Submission of written comments on
                           draft permit . :  _ ,  .          •   '   .'
                      . 124.119  Presiding Officer.
                       124.120* Panel hearing.         •  .
                       124.121  Opportunity for cross-examination.
                       124.122  Record for final permit.
                       124.123  Filing of brief, proposed findings of
                           fact and conclusions of law and
                       ,    proposed modified permit        ,
                       124.124 .Recommended decision.
                       124.125  Appeal from or review of
                           recommended  decision.
                       124,128  Final decision.
                       124.127  Final decision if there is no review.
                       .124.128  Delegation of authority; time
                           limitations.
                        Appendix A to Part 124—Guide to
                      Decisionmaking under Part 124.
                        Authority: Resource Conservation and
                      Recovery Act 42 U.S.C. § 6901 et seq: Safe
                      Drinking Water Act 42 U.S.C. J 300(1) et seq:
                      Clean Water Act 33 U.S.C 5 1251 et seq: and
                      Clean Air Act, 42 U.S.C } 1857 et seq.

                      Subpart A—General Program
                      Requirements
                      §124.1  Purpo»« and scope.
                        (a) This Part contains EPA procedures
                      for issuing, modifying, revoking and
                      reissuing, or terminating all RCRA, UIC.
                      PSD and NPDES "permits" other than
                      RCRA and UIC "emergency permits"
                      (see SS 122.27 and 122.40) and RCRA
                      "permits by rule" (§ 122.28). The latter
                      kinds of permits are governed by
                      Subpart A of Part 122. RCRA interim
                      Status and UIC authorization by rule are
                      not "permits" and are covered,by
                      specific provisions  in Subpart A of Part
                      122. This Part also does not apply to

                           Hearings Available Under This Part
                              permits issued, modified, revoked and
                              reissued of terminated by the Corps of
                              Engineers. Those procedures are
                              .specified in 33 CFR Parts 320-327.
                                 (bJPart',124 is organized into six
                              subparts. Subpart A contains general
                              procedural requirements applicable to
                              all permit programs covered by these
                             . regulations. Subparts B through F
                              supplement these general  provisions
                              with requirements that apply to only one
                              or more of the programs. Subpart A   '   •
                              describes the steps EPA will follow in
                              receiving permit applications, preparing
                              draft permits,  issuing public notice.
                              inviting public comment and holding
                              public hearings oh draft permits.
                              Subpart A also covers assembling an
                              administrative record, responding to
                              comments, issuing a final permit
                              decision, and allowing  for"  ••  ".   •
                              administrative appeal of the final permit
                            •  decision. Subpart B is reserved for
                              specific procedural requirements  for
                              RCRA permits. There are none  of these
                              at present but they may be added in the
                              future. Subpart C contains definitions
                              and specific procedural requirements for
                              PSD permits. Subpart D applies to
                              NPDES permits until an evidentiary
                              hearing begins, when Subpart E
                            •  procedures take over for EPA-issued
                              NPDES permits and EPA-terminated
                              RCRA permits. Subpart F, which  is
                              based oh the "initial licensing"
                              provisions of the Administrative
                              Procedure Act (APA), can be used
                              instead of Subparts A through E in
                              appropriate cases.              .  .
                                (c) Part 124 offers an  opportunity for.
                              three kinds of hearings: a public hearing
                              under Subpart A, an evidentiary hearing  ,
                              under Subpart E, and a  panel hearing
                            .  under Subpart F. This chart describes
                              when these hearings are available for •
                              each of the five permit programs.
. • 	 '„... ., ' ' - ! ', Subpart ! ! '. r ' ' 	
. Proo>»m» (A) •
• . Putosc twing
(E)
• Evidentiary heanng
'. . '. ' (F> .-"'.„
, Panel hearing
 RCRA...
UC...
PSD—'__-,
NPDES (other than general
  permit).
NPOES (general permit) __

404.
                        On draft perm*, at Director's discretion or on r*.
                          quest (1124.12).
                        On draft perm*, at Director's discretion or on re-
                          quest (| 124.12).
 On draft permit at Director's discretion or on re-
   quest (} 124.12). '   .          ......

 On draft permit, at Director's discretion or on 're-
  .quest (| 124.12).
. On draft permit, at Director's discretion or on re-
   quest (} 124.12).        '         .   •
 On draft permit or on application when no draft
   permit, al Director's discretion or on  request
   (5 124.12).
                                     (1) Permit termination (RCRA section 3008)	;.....„
                                     (2) With NPOES evidently hearing")} 124.74(61(2))


                                     With NPOES evidentiary hearing (| 124.74(b)(2)).;....
                                                           Not available (5124 7l(c»..
(1) On request to cfiait.ert/je any .permit condition or
  variance (5 124.74).  "    ,
(2) At  RA's discretion lor- any 301(h) request.
  8 I24.64(b».
Not available (5,124.71)(a)	

Not available (J124.71)..........
(1) At RA's discretion in  lieu of public heanng
  (H 124.12 and 124.111(al(3)|.
(2) When consolidated with NPOES'draft permit
  processed under Subpart F (f 124.111(a)(1))i).
(1) At RA's, discretion in  lieu of public hearing
  (99 124.12 and 124.111(a)(3)). •
(2) When consolidated ninth NPOES draft permit
  processed under Subpart F (} 124.111(a)(1)(i).
When consolidated with NPOES draft permit proc- '
  essed under. Subpart F if R A determines that CAA
  one year deadline will not be violated.
(1) At RA's discretion when first decision, on permit
  or variance request (J 124.111).
(2) At RA's discretion when request for evidentiary
  heanng   is  granted  'under   5 124.7S(a)K)'
  (91124.74(c)(8) and 124.111
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                 Federal Renter / Vol. 45. No.  98 / Monday.  May 19. 1980 / Rules and  Regulations
33486
      fd) This Part is designed to allow  ,
   -permits for a given facility under two or
    more of the listed programs to be
    processed separately or together at the
    choice of the Regional Administrator.
    This allows EPA to combine the
    processing of permits only when
    appropriate, and not necessarily in ail
    cases. The Regional Administrator may
  • consolidate pennit processing when the
    permit applications are submitted, when
   draft permits are prepared, or when final
   permit decision? are issued. This Part
   also allows camroHdated permits to be
   subject to a aingfe public hearing trader
   1124J2, a single evidentiary hearing
   under § 124.7$ or a single non-
   adveraary pane! hearing under f 124.120.
   Permit applicants may recommend  •    •
   whether or not their applications should
   be consolidated in any given case.
    (e) Certain  procedural requirements
   set forth in Part 124 must be adopted by
   States in order to gain EPA approval to
   operate RCRA, UIC. NPDES. and 404
   permit programs. These requirements
  are listed in 5123.7 and signaled by the
  following words at the end of the
  appropriate Part 124 section or
  paragraph heading: (applicable to Staff
  programs, sire 5123.7], Part 124 does not
  apply to PSD permits issued  fay an
  approved State.
    (f) To coordinate dedsionmaking
  when different permits will be issued by
  EPA and approved State programs, this
  Part allows applications to be jointly
  processed, Joint comment periods and
  hearings to be held, and final permits to
,  be issued oh a cooperative basis
  whenever EPA and a State agree to take
  such steps in general or in individual
  cases. These joint processing
  agreements may be provided in the
 Memorandum of Agreement developed
 under S 123.8.

  1124.2 Definitions.
    (a) The definitions in Part 122 apply to
  this Part except for PSD permits which
 are governed by the definitions in
  § 124.41.
    (b) For the purposes of Part 124. the
 term "Director" means the State
 Director or Regional Administrator and  •
 Is used when the accompanying
 provision is required of EPA
 administered programs and of State
 programs under 112OT. The term
                                       "Regional Administrator" is used when
                                      •the accompanying provision applies
                                       exclusively to EPA-issued permits and is
                                      not applicable to State programs under
                                       § 123.7. While States are not required to
                                      implement these latter provisions, they
                                      are not precluded from doing so.
                                      notwithstanding use of the term
                                      "Regional Administrator."
                                        (c) The term "formal hearing" means
                                      any evidentiary hearing under Subpart E
                                      or any panel hearing under Subpart F
                                      but does hot mean a public hearing
                                      conducted under & 124.12. ,
                                       	  Appffcatfon for a permit
                                       (a) (Applicable to State programs, see
                                      5 123.7]. (1) Any person who requires a
                                      permit under the RCRA, UIC NPDES. or
                                      PSD programs shall complete, sign, and
                                      submit to the Director an application for
                                      each pennit required under 55 122.21
                                      (RCRA). 122JJ1 (UIQ, 40 CFR 52J1
                                      (PSD), and 122.51 (NPDES). Applications
                                      are not required for RCRA permits by
                                      rule (§ 122.28), underground injections
                                      authorized by rule (5 122J7J^jipDES'
                                     general permits (5 172,59] and 4O4
                                     general permits (J 123-95).
                                       (2) The Director shall not begin tha
                                     processing of a permit until the
                                     applicant has fully complied with the
                                     application requirements for that permit.
                                     See 5 § 122.4.122.22 (RCRA). 122.38
                                     (UIC). 40 CFR 5£21 (PSDL and 137,53
                                     (NPDES).                         '
                                       (3) Pennit application* (except for
                                     PSD permits) must comply with the
                                     signature and certification requirenunU
                                     of 5 122.6.
                                      (b) In the ease of a PSD pennit issued
                                     to a facility or activity which 40 CFR
                                     5 52.a(k) exempt* from the
                                     requirements of § 52J1 (1). (a}, and (p).
                                     no proceedings under this Part shall be
                                     held to the extent that the Regional
                                    Administrator determines that
                                    proceedings providing the public with at
                                    least as much participation a* this Part
                                    in the material determinations involved
                                    have already, been held in the process of
                                    granting construction approval under the
                                    applicable State implementation plan.
                                    The Regional Administrator shall briefly
                                    document that finding and make it
                                    available to any member of the public
                                    upon request The Regional   :
                                    Administrator shall prepare a draft
                                    permit under § 124.6 and follow the
   applicable procedures under this 1
   the extent he or she is unable to t|'
   finding under this subparagraph. iffr
     (c) The Regional Administrator shall
   review for completeness every
   application for an EPA-issued pennit.
   Each application for an EPA-issued
   permit submitted by a new HWM
   facility, a new UIC injection well, a
   major PSD stationary source or major
   PSD modifica tion, or an NPDES new
   source or NPDES new discharger should
   be reviewed for completeness by-the
  Regional  Administrator within 30 days
  of its receipt. Each application for an
  EPA-issued permit submitted by an
  existing IfWM facility {both Parts A and
  B of the application), existing injection
  well or existing NPDES source should be
  reviewed for completeness within 60
  days of receipt. Upon completing the
  review, the Regional  Administrator shall
  notify the applicant in writing whether
  the application is complete. If the
  application is incomplete, the Regional
  Administrator shall list the information
  necessary to make the application
  complete. When the application is for an
  existing HWM facility, an existing UIC
  injection well or an existing NPDES
  source, the Regional Administrator shall
  specify in  the notice of deficiency a date
  for submitting the necessary -     j^fck
  information. The Regional AdminisjfHi
  shall notify the applicant that the  '^M^
  application is complete upon receiving""
  this information. After the application is
 completed, the Regional Administrator
 may request additional information from
 an applicant but only  when necessary to
 clarify, modify, or supplement
 previously submitted material. Requests
 for such  additional information will not
 render an application  incomplete.
   (d) If an  applicant fails or refuses to
 correct deficiencies in the application,
 the permit  may be denied and
 appropriate enforcement actions may be
 taken under the applicable statutory
 provision including RCRA section 3008.
 SOW A sections 1423 and 1424, CAA
 section 167, and CWA sections 308. 309,
 402(h), and 402(k).
   (e) If the  Regional Administrator.
 decides that a site visit is necessary for.
 any reason in conjunction with the
 processing of an application, he or  she
 shall notify the applicant and a date
shall be scheduled.

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                Federal Register •/ VoL 45. No. 98 /Monday. May19.' 198O, / Rules  and Regulations       334ST
     (f) The effective date of ah application
   is the date on which the Regional     '
   Administrator notifies the applicant that
   the application is complete as provided
   in paragraph (c) of this, section.
     [g] For each application from a major
   new HWM facility, major new UIC
•   injection well, major NPDES new
   source, or major NPDES new discharger.
   the Regional Administrator shall no
   later than the effective date of the
   application, prepare and mail to the
   applicant a project decision schedule.
   (This paragraph does not apply to PSD
   permits.) The schedule shall apecify
   target dates by which the Regional
   Administrator intends to:
    (1) Prepare a draft permit;
    (2) Give public notice:            .
    (3) Complete the public .comment
   period, including any public he'aring;
    (4) Issue a final permit; and
    (5) In the case of an NPDES permit,
   complete any formal proceedings .under'
   Subparts E or F.

   9124.4  Consolidation of p«rmtt
  processing.    .   .
    (a)(i) Whenever a facility or activity
  requires a permit under more than one
  statute covered by these regulations,
  processing of two or more applications
  for those permits may be consolidated.
  The first step in consolidation is to
  prepare each draft permit at the same
  time. .•'.".  •         '.  -
  f [2] VVhenever draft permits are
  prepared at the same time, the
  statements of basis (required under
  S 124.7 for EPA-issued permits only) or
  fact sheets (J 124.8), administrative
  records (required under 5 124.9 for EPA-
  issued permits only), public comment
  periods (512440), and any public
  hearings (§ 124.12) on those permits
  should also be consolidated. The final
  pejjnits may be issued together.They
  need not be issued together if in the
  judgment of the Regional Administrator
  or State Director(s). joint processing
  would result in unreasonable, delay in
  the issuance of one or more p'ermits.
   (b) Whenever an exisiting facility or
  activity requires additional permits
  under one or more of the statutes
  covered by these regulations, the
  permitting authority may  coordinate the
  expiration date(s) of the new permit(s)
  with the expiration date(s) of the
  existing permit(s) so that all permits
  expire simultaneously. Processing of the
  subsequent applications for renewal
  permits may then be consolidated.
   (c) Processing of permit applications
  under paragraphs (a) or (b) of this
  section may be consolidated as follows:
   (1) The Director may consolidate
 permit processing at his or her
 discretion whenever a facility or activity
  requires all permits either from EPA or
  from an approved State.
    (2) The Regional Administrator and
  the State Directors) may agree to
  consolidate draft permits whenever a
  facility or activity requires permits from
  both EPA and an approved State.  ~
    (3) Permit applicants may recommend
  whether or not the processing of their
  applications should be consolidated.
    (d) VVhenever permit processing is
  consolidated and the Regional
  Administrator invokes the "initial
  licensing" provisions of Subpart F for an
  NPDES, RCRA. or UIC permit any
  permits) with which that NPDES. RCRA
  or UIC permit was consolidated shall
  likewise t» processed under Subpart F.
    (e) Except with the written consent of
  the permit applicant, the Regional
  Administrator shall not consolidate
  processing a PSD permit with any other
  permit under paragraphs (a) or (b) of
  this section or process a PSD permit
  under Subpart F as provided in
  paragraph (d)  of this section when to do
  so would delay issuance of the PSD
  permit more than one year from the
  effective date  of the application under
  Sl24.3(f).          •             ,

  §1245  Modification, revocation and
  relMtiance, or termination of permits.
    (a) (Applicable to State programs, see
  5 '123.7}. Permits (other than PSD
  permits) may be modified, revoked and
  reissued, or terminated either at the
  request of any interested person
  (including the permittee) or upon the
  Director's initiative. However, permits
 "may only be modified, revoked and
  reissued, or terminated for the reasons
  specified in f§ 12245 or 12246. All
  requests shall be in writing and shall   -
  contain facts or reasons supporting the
.  request
   (b) If the Director decides the request
  is not justified, he or she shall send the
  requester a brief written response giving
__  a reason for the decision. Denials of
 requests for modification, revocation
 and reissuance. or termination are not
.subject to public notice, comment or
 hearings. Denials by the Regional
 Administrator may be informally
 appealed to the Administrator by a
 letter briefly setting forth the relevant
 facts. The Administrator may'direct the
.Regional Administrator to begin
 modification, revocation and reissuance,
 or termination proceedings under
 paragraph (c) of this section. The appeal
 shall be considered denied if the
 Administrator takes no action on the
 letter within 60 days after receiving it.
This informal appeal is, under 5 U.S.C.
 § 704i a prerequisite to seeking judicial
review of EPA action in denying a
   request for modification, revocation and
   reissuance, or termination.
     (c) (Applicable to State programs, see
   S 123.7). (1) If the Director-tentatively
 . -decides to modify or revoke and reissue
   a permit under § 122.15. he or she shall
   prepare a draft permit under § 124.6
   incorporating the proposed changes. The
   Director may request additional
  .information and. in the case of a
   modified permit, may require the
•   submission of an updated permit
   application. In the case of revoked and
   reissued permits, the Director shall
   require the submission of a new
   application.        ,
   - (2) In a permit modification under thia
   section, only those conditions to be
  .modified shall be reopened when a new
   draft permit is prepared. All other
   aspects of the existing permit shall
   remain in effect for the duration  of the
   unmodified permit When a permit is
  revoked and reissued under this  section,
  the entire permit is reopened just as if
   the permit had expired and was being
  reissued. During any revocation and
  reissuance proceeding the permittee
  shall comply with all conditions of the
  existing permit until a new final permit
  is reissued.          . •   .   .
    (3) "Minor modifications!' as defined
  hi 5 12247 are not subject to the
  requirements of this,section.
    (d) [Applicable to State programs, see
  5 123.7). If the Director tentatively
  decides to terminate a permit under
  $12246, he or she shall issue a notice of
  intent to terminate. A notice of intent to
  terminate is a type of draft permit which
,  follows the same procedures as any
  draft permit prepared under § 124.8. In
 •the case of EPA-issued permits, a notice
  of intent to terminate shall not be issued
  if the Regional Administrator and the
  permittee agree to termination in the
  course of transferring permit
  responsibility to an approved State
  under § 123.6(b)(l).
   =(e) When EPA is the permitting
  authority, all draft permits (including
  notices of intent to terminate) prepared
  under this section shall be based on the
  administrative record as defined  in
  S 124.9.  .       ,'.-•'        '••••.
    (f) (Applicable to State programs, see
  § 123.7). Any request by the permittee
 for modification to an existing 404
 permit (other than a request for a minor
 modification as defined in. § 122.17) shall
 be treated as a permit application and '
 shall be processed in accordance with
 all requirements of § 124.3."
    (g)(l) [Reserved for PSD Modification
 Provisions]
    (2) PSD permits may be terminated
 only by rescission under $ 52.21(w) or
 by automatic expiration under S 52J21(s).
 Applications for rescission shall be

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   33488       Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules and Regulations
   procesied under § 5Z21(w) .and are not
   subject to this Part.
   5124.6  Oratt permits.
     (a] [Applicable to Stale programs, see
   i 123.7}. Once an application is
   complete, the Director shall tentatively
   dedde whether to prepare a draff permit
   (except in the case of State section 404
   permits for which no draft permit is
   required under { 123.100] or to deny the
   application.
     (b) If the Director tentatively decides
   to deny the permit application, he or she
   shall issue a notice of intent to deny. A
•  notice of intent to deny the permit
   application Is a type of draft permit
   which follows the same procedures as
   any draft permit prepared under this
   section. See § 124.6{e). If the Director's
   final decision (| 124.15] is that the
   tentative decision to deny the permit
   application was incorrect he or she
   shall withdraw the notice of intent to
  deny and proceed.to prepare a draft
  permit under paragraph (d) of this
  section.
    (cj (Applicable to Stale programs, see
  1123.7}. If the Director tentatively
  decides to issue an NPDES or 404
  general permit, he or she shall prepare a
  draft general permit under paragraph (d)
  of this section.
    (d] [Applicable to State programs, see
  9 123.7}. If the Director decides to
  prepare a draft permit, he or she shall
  prepare a draft permit that contains the
  following information:
    (1) All conditions under § 5 122.7 and
  122.8 (except for PSD permits);
    (2] All compliance schedules under
  1122.10 (except for PSD permits);
    (3) All monitoring requirements under
  § 122.11 (except for PSD permits); and
   (4) For
   (i) RCRA permits, standards for
 treatment, storage, and/or disposal and
 other permit conditions under § 122.28;
   (ii) UIC permits, permit conditions   '
 under 1122.42;
   (lii) PSD permits, permit conditions
 under 40 CFR § 52^1;
   (iv) 404 permits, permijt conditions
 under H123.97 and 123.98;
   (v) NPDES permits, effluent
 limitations, standards, prohibitions and
 conditions under 5 § 122.60 and 122.61. .
 including when applicable any •
conditions certified by a State agency
under 3124.55, and all Variances that
are to bo included under § 124.63.
   (e) [Applicable to State programs, see
 § 123.7}. All draft permits prepared by
EPA under this section shall be
accompanied by a statement of basis
(§ 124.7) or fact sheet (§ 124.8). and shall
be based on the administrative record
(§ 124.9). publicly noticed (5 124.10) and
Jnada available for public comment
  (5 124.11). The Regional Administrator
  shall give notice of opportunity for a
  public hearing {§ 124.12), issue a final
  decision (§ 124.15) and respond to
  comments (| 124.17). For RCRA. UIC or
  PSD permits, an appeal may be taken
  under 5 124.19 and. for NPDES permits.
  an appeal may be taken under §,124.74."
  Draft permits prepared by a State shall
  be accompanied by a fact sheet if
  required under § 124.8.

  S 124.7 Statement of baste.
    EPA shall prepare a statement of
  basis for every draft permit for which a
  fact sheet under S 124.8 is not prepared.
  The statement of basis shall briefly
  describeJhe derivation of the conditions
  of the draft permit and the reasons for <
  them or. in the case of notices of intent
  to deny or terminate, reasons supporting
  the tentative decision. The statement of
  basis shall be sent to the applicant and.
  on request, to any other person.

• S 1243  Fact theot
   [Applicable to State programs, see
  1123.7.)
   (a) A fact sheet shall be prepared for
 every draft permit for a major HWM,
 UIC, 404. or NPDES facility or activity.
 for every 404 and NPDES general permit
 (§§ 123.95 and 122.59). for every NPDES
 draft permit that incorporates a variance
 or requires an explanation under
 S 124.56(b). and for every draft permit
 which the Director finds is the subject of
 widespread public interest or raises
 major issues. The fact sheet shall briefly
 set forth the principal facts and the
 significant factual, legal, methodological
 and policy questions considered in
 preparing the draff permit. The Director
 shall send this fact sheet to the
 applicant and, on request,  to any other
person.
   (b) The fact sheet shall include, when
applicable:
   (1) A brief description of the type of
facility or activity which is the subject
of the draft permit;
  (2) The type and quantity of wastes,
fluids, or pollutants which are proposed
to be or are being treated, stored.
disposed of. injected; emitted, or
discharged.
  (3) For a PSD permit, the degree of
increment consumption expected to
result from operation of the facility or
activity.
  (4) A brief summary of the basis for
the draft permit conditions including
references to applicable statutory or
regulatory provisions and appropriate
supporting references to the
administrative record required by
S 124.9 (for EPA-issued permits);
     (5) Reasons \vhy any requested
   variances or alternatives to requij
   standards do or do not appear jt
     (6) A description of the procedflJUplor
   reaching a final decision on the draft
   permit including:
     (i) The beginning and ending dates of
   the comment period under § 124.10 and  ,
   the address where comments will be
   received;
     (ii) Procedures for requesting a
   hearing and the nature of that hearing;
   and     -,
     (ill) Any other procedures by which
   the public may participate in the final
   decision..
    (7) Name and telephone number of a
  person to contact for additional
  information.
   • (8) For NPDES permits, provisions
  satisfying the requirements of § 124.56.

  5 124.9  Administrative record for draft
  permits when EPA Is the permitting
  authority.
    (a) The provisions of a draft  permit
  prepared by EPA under  § 124.6 shall be
  based on the administrative record
  defined in this section.
    (b) For preparing a draft permit under
  9 124.6, the record shall consist of:
    (1) The application, if required, and
  any supporting data furnished by the
  applicant;
   (2) The draft permit or notice oL
  to deny the application or to term!
  the permit;
   (3) The statement of basis (§  124.7) or
  fact sheet (9 124.8);
   (4) All documents cited in the
  statement of basis or fact sheet; and
   (5) Other documents contained in the
  supporting file for the draft permit.
   (6) For NPDES new source draft
..permits only, any environmental.
 assessment, environmental impact
 statement (EIS). finding of no significant
 impact, or environmental information
 document and any supplement to an EIS
 that may have been prepared. NPDES
 permits other than permits to new
 sources as well as all RCRA, UIC and
 PSD permits are not subject to the
 environmental impact statement
 provisions of section 102{2)(C) of the
 National Environmental Policy Act, 42
 U.S.C.4321.
   (c) Material readily available at the
 issuing Regional Office or published
 material that is generally available, and
 that is included in the administrative
 record.under paragraphs  (b) and (c) of
 this section, need not be physically
 included with the rest of the record as
 loqg as it is specifically referred to in  the
 statement of basis or the fact sheet
   (d) This section applies to all dn
 permits when public notice was gi

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                t           .. _    ,"•--•...,      "'•",''   -  "      '          '' '-        •       •     '    -       *
                Federal Register / Vol. 45. No. 98 / Monday. May 19.  1986 /Rales and  Regulations       35463
   after the effective date of these
   regulations.                  .  "

   | 124.10 • Public notice of permit actions
   and public comment period.
     (a) Scope.  .      ,          •   ,
     (1 j The Director shall .give public   ;
   notice'that the following actions have
   occurred:        - ,'.   .
     (i) A permit application has been
   tentatively denied under J 124.6(b):
     (if) (Applicable to Slate programs, see
   S 123.7}. A draft permit has been
   prepared under S 124J5(d);
     (iii) (Applicable to State programs, see
   S 123.7}. A hearing has been scheduled
   under § 124.12. Subpart E. or Subpart F;
     (iv) An appeal has been granted nnrfer
 -5l24.19(c): •..-'.
     (v) (Applicable ta.State programs, see
   § 123.7}. A State section 404 application
   has been received in cases when no
   draft permit will be prepared (see
   5 123.100); or
     (vi) An NPDES new source
   determination has been made under
   S 122.66.
     (2)  No public notice is required when
   a request for permit modification.
   revocation and reissuance. or
   termination is denied under § 124.5{b).
;   Written notice of that  denial shall be
   given to the requester and to the
   permittee.
    (3) Public notices may describe more
   than one permit or permit action.     .  •
    (b)  Timing (applicable to State    '   ,
  programs, see i 123.7). (1) Public notice
   of the preparation of a draft permit
   (including a notice of intent to deny •
   permit application) required under
   paragraph (a) of this section shall allow ,
   at least 30 days for public comment. For
   EPA-issued permits, if the Regional
  Administrator determines under 40 CFR
   Part 6. Subpart F that an Environmental
   Impact Statement (EIS) shall be
  prepared for an NPDES new source.
  public notice of the draft permit shall
  not be given until after a draft EIS is
  issued          ',             «
    (2) Public notice of a public hearing
  shall be given at least 30 days before the
  hearing. (Public notice of the hearing
  may be given at the same time as public
  notice of the draft permit and the two
  notices may be combined.)
    (c) Methods (applicable to State
  programs, see § 123.7). Public notice of
  activities described in  paragraph (aJ(l)
  of this section shall be given by the
  following methods:
    (1) By mailing a copy of a  notice to the
  following persons (any-person otherwise
,  entitled to receive notice under this'
  paragraph may waive his or her rights to
 , receive notice for any classes and
  categories of permits):       '
    (i) The applicant (except for NPDES
,  and 404 general permits, when there is'.
  no'applicant):
  .. .(ii) Any other agency which the
  Director knows has issued or is required
  to issue a RCRA. UIC, PSD. NPDES or
  404 permit for,the same facility or
  activity (including EPA when the draft
'  permit is prepared by the State);  .
   (iii) Federal and State agencies with
  jurisdiction over fish, shellfish, and
  wildlife resources and over coastal zone
  management plans, the Advisory
  Council on Historic Preservation. State
  Historic Preservation Officers, and other
  appropriate government authorities.
  Including any affected States;
   (ivj Foe NPDES and 404 permit* only.
  any  Slate agency responsible for plan
  development under CWA section
  208(b](2J. 206(b)(4) or 303(ej and the U.S.
.  Army Corps of Engineers, the LLS. Fish
  and Wildlife Service and the National
  Marine Fisheries Service;   •
   (v) For NPDES permits only, any user
.identified in the permit application of a
  privately owned treatment works;
   (vi) For 404 permits only, any
  reasonably ascertaihable owner of
  properly adjacent to the regulated
  facility or activity and the Regional
  Director of the Federal Aviation
  Administration if the discharge involves
  the construction of structures which may
  a'ffcct aircraft operations or for purposes
  associated with seaplane operations:
   (vii) For PSD-permits only, affected
,  State and local air pollution control
  agencies, the chief executives of the city
  and county where the major stationary
  source or major modification would be
  located, any comprehensive regional
  land use planning agency and any State.
  Federal Land Manager, or Indian
  Governing Body whose lands may be
  affected by emissions from the regulated
  activity:
   (viii) Persons on a mailing list
  developed by:           '
   (A) Including those who request in
  writing to be on the list;
   (B) Soliciting persons for "area lists"  .
 from participants in past permit   "
 proceedings in. that area: and
   (C) Notifying the public of the
 opportunity to be put on the mailing list
 through periodic publication in the
 public press and in such publications as
Regional and State funded newsletters,  .
 environmental bulletins, or State law
journals. (The Director may update the
mailing list from time to time by     -
requesting written indication of
continued interest from those listed. The
Director may delete from the list the
name of any person who fails to respond
.to such a request)
   (2) For major permits and NPDES and
404 general permits, publication of a
 notice in a daily or weekly newspaper
 within the area affected by the facility,
 or activity; and for EPA-issaed NPDES
.general permits, in Jhe Federal Register:
   INpte.—The Director is, encouraged to ,
 provide as much notice as possible of the
, NPDES or 404 draft gsneral pennil to the
 facilities or activities to be covered by 'he
 general permit)

   (31 When the program is being
 administered by an approved State, in a
 manner constituting legal notice to the
 public under State law; and
   (4) Any other method reasonably
 calculated to give actual notice of the
 action in question to the persons
potentially affected by it, including   .
press releases or any other forum or
medium to elicit public participation.
   (d) Contents (applicable to State
programs, see § 123.7). (1) All public
notices. All public notices issued under  .
this Part shall contain the following
minimum information:                 •
   (i) Name and address of the  office
processing the permit action for which
notice is being given:-
 .  pi) N«ae and address of the permittee
or permit applicant and, if different, of
the facility or activity regulated by the
permit, except in the case of NPDES and
404 draft general permits under
;| 5 122,59 ami 123.95:
   (iii) A brief description of the business
conducted'at the facility oractivity
described in the permit application or
the draft permit, for NPDES or  404
general permits-when there is no
application.
•   (iv) Name, address and telephone
number of a person from whom    >
interested persons may obtain  further
information, including copies-of the draft
permit or draft general permit,  as the
case may be, statement of basis or fact  '
sheet, and the application; and
   (v)rA brief description of the  comment
procedures required by § § 124.11 and  •
124112 and the time and place of any
hearing that will be held, including a
statement of procedures torequest a  '
hearing (unless a hearing has already
been scheduled) and other procedures
by which the public may .participate in
the final permit decision.
   (vi) For EPA-issued permits,  the
location of the administrative record
required by § 124.9, the times at Which
the record will be open for public
inspection, and a statement that all data
submitted by the applicant is available
as part of the administrative record. •   •
   (vii) For NPDES permits only,,a
general description of the location of
each existing or proposed discharge
point and the name of the receiving     '
water. For draft general permits, this
requirement will be satisfied by a map

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    33490
Federal  Register / Vol. 45. No. 98 / Monday.  May 19. 1980 /  Rules and Regulations
    or description of the permit area. For
    EPA-issued NPDES permits only, if the
    discharge is from a new source, a •
    statement as to whether an
    environmental impact statement will be
    or has been prepared.
      (viii) For 404 permits only.
      (A) The purpose of the proposed
    activity (including, in the case of fill
    material, activities intended to be
    conducted on the fill), a description of
    the type, composition, and quantity of
    materials to be discharged and means of
    conveyance: and any proposed
    conditions and limitations on the
    discharge;
     (B) The name and water quality
   standards classification, if applicable, of
   the receiving waters into which the
   discharge ia proposed, and a general
   description of the site of each proposed
   discharge and the portions of the site
«   and the discharges which are within
   State regulated waters:
     (C) A description of the anticipated
   environmental effects of activities
   conducted under the permit:
     (D) References to applicable statutory
   or regulatory authority; and
     (E) Any.other available information
   which may assist the public in
   evaluating the likely impact of the
  proposed activity upon the integrity of
   the receiving water.
    fix) Any additional information
  considered necessary or proper.
    (2) Public notices for hearings. In
  addition to the general public notice
  described in paragraph (d)[l) of this
  section, the public notice of a hearing
  under § 124.12, Subpart E, or Subpart F
  shall contain the following information:
    (i) Reference to the date of previous
  public notices relating to the permit;
    (H) Date, time, and place of the
  hearing:           '
    (iii) A brief description of the nature
  and purpose of the hearing, including the
  applicable rules and procedures; and
    (iv) For 404 permits only, a summary
  of major Issues raised to date during the
  public comment period.
    W (Applicable to State programs, see
  § 123.7). In addition to the general public
 notice described in paragraph (d)(l) of
 this section, all persons identified in
 paragraphs (c)(l) (i), (ii). (iii). and (iv) of
 till section shall be mailed a copy of the
 fact sheet or statement of basis (for
 EPA-issued permits), the permit
 application (if any) and the draft permit
 (if any).

 § 124.11  Public comments and reauesU
 for public hearings.
   (Applicable to State programs, see
 1123.7J
   During the public comment period
provided under § 124.10, any interested
                          person may submit written comments on
                          the draft permit or the permit
                          application for 404 permits when no
                          draft permit is required (see § 123.100)
                          and may request a public hearing, if no
                          hearing has already been scheduled. A
                          request for a public hearing shall be in
                          writing and shall state the nature of the
                          issues proposed to be raised in the
                          hearing. AJ1 comments shall be
                          considered in making the final decision
                          and shall be answered as provided in
                          S 124.17.

                          §124.12  Public hearings.
                           (a) (Applicable to State programs, see
                          S 123.7.) The Director.shall hold a public
                         hearing whenever he  or she finds, on the
                         basis of requests, a significant.degree of
                         public interest in a draft permit(s). The
                         Director also may hold a public hearing
                         at his or her discretion, whenever, for
                         instance, such a hearing might clarify  •
                         one or more issues involved in the
                         permit decision. Public notice of the
                         hearing shall be given as specified in '
                         §124.10.
                          (b) Whenever a public hearing will be
                         held and EPA is the permitting authority,
                         the Regional Administrator shall
                         designate a Presiding Officer for the
                         hearing who shall be responsible for Its
                         scheduling and orderly conduct.
                          (c) Any person may submit oral or
                         written statements and data concerning
                         the draft permit. Reasonable limits may
                         be set upon the time allowed for oral
                         statements, and the submission of
                         statements in writing may be required.
                        The public comment period under
                         S 124.10 shall automatically be extended
                       , to the close of any public hearing under
                        this section. The hearing officer may
                        also extend the comment period by so
                        stating at the hearing.
                          (d) A tape recording  or written
                        transcript of the hearing shall be made
                        available to the public.
                          (e) At his or her discretion, the
                        Regional Administrator may specify that
                        RCRA and UIC permits be processed
                        under the procedures in Subpart F.

                        § 124.13  Obligation to raise Issues and
                        provide Information during the public
                        comment period.
                          All persons, including applicants, who
                       believe any condition of a draft permit is
                       inappropriate or that the Director's
                       tentative decision to deny an
                       application, terminate a permit, or
                       prepare a draft permit is inappropriate,
                       must raise all reasonably ascertainable
                       issues and submit all reasonably
                       available arguments and factual grounds
                       supporting their position, including all
                       supporting material, by  the close of the
                       public comment period (including any
                       public hearing) under § 124.10. All
   supporting materials shall be inclu£
   full and may not be incorporatec
   reference, unless they are alread-
   .of the administrative record in th!
   proceeding, or consist of State  or
   Federal statutes and regulations, EPA
   documents of general applicability, or
   other generally available reference
   materials. Commenters shall make
   supporting material not already included
   in the administrative record available to
   EPA as directed by the Regional
   Administrator. (A comment period
   longer than 30 days will often be
   necessary in complicated proceedings to
   give commenters a reasonble
   opportunity  to comply with the
   requirements of this section.
   Commenters may request longer
  comment periods and they should be
  freely established under § 124.10 to the
  extent they appear necessary.)

  § 124.14 Reopening of the public
  comment period.             '
    (a) If any data information or
  arguments submitted during the .public
  comment period,.including information
 -or arguments required under § 124;i3,
  appear to raise substantial new
  questions concerning a permit, the
  Regional Administrator may take one or
  more of the following actions:
   (1) Prepare a new draft permit,
  appropriately modified, under §  \\
   (2) Prepare a revised statement V,
  basis under § 124.7. a fact sheet or."
  revised fact sheet under § 124.8 and
  reopen the comment period under
  5 124.14; or
   (3) Reopen or extend the comment
 period under  § 124.10 to give interested
 persons an opportunity to comment on
 the information or arguments submitted.
   (b) Comments filed during the
 reopened comment period shall 'be
 limited to the  substantial new questions
 that caused its reopening. The public
 notice under 5 124.10 shall define the -
 scope of the reopening.
   (c) For RCRA. UIC, or NPDES permits,
 the Regional Administrator may also, in
 the circumstances described above,
 elect to hold further proceedings under
 Subpart F. This decision may be
 combined with any of the actions
 enumerated in paragraph (a) of this
 section.
   (d) Public notice of any of the above
 actions shall be issued under § 124.10.
§ 124.15  Issuance and effective date of
permit
  (a) After the close of the public  .
comment period,under § 124.10 on a
draft permit the Regional Administrate!:
shall issue a final permit decision.,5
Regional Administrator shall notif
applicant and each person who has'

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               Federal Register / VoL 45. No. 98 / Mpnday. May 19.1980 /Rules  and Regulations
                                                                        33491
  submitted written comments or
  requested notice of the final permit
  decision. This notice shall include
  reference to the procedures for
  appealing a decision on a RCRA. UIC.br
  PSD permit or for contesting a decision
  on an NPDES permit or a decision to -
  terminate a RCRA.permit For the
  purposes of this section, a final permit
  decision means a final decision to issue.
  deny, modify, revoke and reissue, or
  terminate a permit
    (b) A final permit decision shall
  become effective 30 days after the
  service of notice of the decision under
  paragraph (a) of this section, unless:
    (1) A later effective date is specified
  in the decision; or  ' '
    (2) Review is requested under j 124.19
  {RCRA. UIC. and PSD permits) or an
  evidentiary hearing is requested under
  5  124.74 {NPDES permit and RCRA
  permit terminations); or       .     .
    (3) No comments requested a change
  in the draft permit in which case the
  permit shall become effective
  immediately upon issuance.

  S 124.16  Stays of contested permits
  conditions.
    (a) Stays,  (1) If a request for review of
.  a RCRA or UIC permit under 5 124.19 or
  an NPDES permit under 5 124.74 or
  S 124.114 is granted or if conditions of a
  RCRA or UIC permit are consolidated
  for reconsideration in an evidentiary
  hearing on an NPDES permit under
"  55 124.74.124.82 or 124.114, the effect of
  the contested permit conditions shall be
 stayed and shall not be  subject to
 judicial  review pending final agency
 action. (No stay of a PSD permit is
 available under this section.) If the
 permit involves a new facility or new
 injection well, new source, new
 discharger or a recommencing
 discharger, the applicant shall be
 Without  a permit for the proposed new
 facility, injection well, source or
 discharger pending final agency action.
 See also J 124.60.
  (2) Uncontested conditions which are
 not severable from those contested shall
 be  stayed together with  the contested
 conditions. Stayed provisions of permits
for existing facilities, injection wells.
and sources shall be identified by the
Regional Administrator. All other
provisions of the permit  for the existing
facility, injection well, or source shall
remain fully effective and enforceable;
  (b) Stays based on cross effects. (1) A
stay may be granted based on the
grounds that an appeal to the
Administrator under § 124.19 of one
permit may result in changes to another
EPA-issued permit only when each of
the permits involved has been appealed
  to the Administrator and he or she has
  accepted each appeal.             <
    (2) No stay of an EPA-issued RCRA.
  UIC. or NPDES.permit shall be granted
  based on the staying of any State-issued
  permit except at the discretion of the
  Regional Administrator and only upon
  written request from the State Director.
    (c) Any facility or activity holding an
  existing permit must:          :
    (1) Comply with the conditions of that
  permit during any modification or
  revocation and reissuance proceeding
  under S 124.6; and
    (2) To the extent conditions of any
  new permit are stayed under this
  section, comply with the conditions of
  the existing permit which correspond to
  the stayed conditions, unless
  compliance with the existing conditions
  would be technologically incompatible5
  with compliance with other conditions
  of the new permit which have not been
  stayed.

  5124.17  Response to comments.
 .  (a) (Applicable to State programs, see
  S 123.71. At th6 time that any finalpermit
  decision is issued under S 124.15, the
  Director shall issue a response to
  comments. States are only required to
  issue a response to comments when a
  final permit is issued. This response
  shall: .      .            .'..,"•
   (1) Specify which provisions, if any, of
  the draft permit have been changed in
 the final permit decision, and the
 reasons for the change; and  '.   .
   (2) Briefly describe and respond to all
 significant comments on the draft permit
 or the permi.t application (for section 404
 permits only) raised during the public
 comment period, or during any hearing.
   (b) For EPA-issued permits, any
 documents cited in the response to
 comments shall be included in the
 administrative record for the final
 permit decision as defined in S 124.18. If
 new points are raised or new material-
 supplied during the public comment
 period, EPA may document its response
 to those matters by adding new
 materials to the administrative record.
  (c) (Applicable to State programs, see
 5 123.7). The response to comments shall
 be available to the public.

 5 124.18  Administrative record for final    v
 permit when EPA Is the permitting
 authority.             .   .         -
  (a) The' Regional Administrator shall
 base final permit decisions under
 §.124.15 on the,administrative record  •-.
 defined in this section.      ..-'•'
  (b) The administrative record for any
final permit shall consist of the
administrative record for the'draft
permit and: .-.' , '                 '.
    (1) All comments received during the
  public comment period provided under
  § 124.10 (including any extension or
  reppening under § 124.14);
    (2) The tape or transcript of any
  hearing(s) held under § 124.12:
    (3) Any written materials submitted at
  such a hearing;
    (4) The response to comments
  required by § 124.17 and any new
  material placed in the record under that'
,  section:          ...
    (5) For NPDES new source permits
  only, any final environmental impact
  statement and any supplement to the
  final EIS;
    (6) Other documents contained in the
  supporting file for the permit; and
    (7) The final permit.       "  '.
    (c) The additional documents required
  underparagraph (b) of this^ection
  should be added to the record as soon
  as possible after their receipt or
  publication, by the Agency. The record ,
  shall be complete on the datejhe final
  permit is issued.
    (d) This section applies to all final
  RCRA. UIC, PSD, and NPDES permits
  when the draft permit was subject to the
  administrative record requirements  of
  5 124.9 and to all NPDES permits when
  the draft permit was included in a public
  notice after October 12,1979.
  - (e) Material readily available at the
  issuing Regional Office, or published
  materials which are generally available
 and which are included in the
 administrative record under the
 standards of this section or of 5 124.17
 ("Response to comments"), need not be
 physically included in the same file as
 the rest of the record as long as it is
 specifically referred to in the statement
 of basis or fact sheet or in the response
 to comments.

 5 124.19 Appeal of RCRA, UIC, and PSD
 permits.               •        '
   (a) Within 30 days after a RCRA. UIC.
 or PSD final permit decision has been
 issued under § 124^15. any person who
 filed comments on that draft permit or
 participated in the public hearing may
 petition the Administrator to review any
 condition of the permit decision. Any
 person who failed to file comments or
 failed to participate in the public hearing
 on the draft permit may petition for
 administrative review only to the extent
 of the changes from the draft to the final
 permit decision. T^ie 30-day period
 within'which a person may request
 review under this section begins with
 the service of notice of the Regional
 Administrator's action unless a later
 date is specified in that notice. The
 petition shall include a statement of the
 reasons supporting that review,
 including a demonstration that any

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  33492       Federal Register / VoL 45. No. 98 / Monday, May 19. 1980 / Rnlea and Regulations
  issues being raised were raised during
  the public comment period (including
  any public hearing) to the extent
  required by these regulations and when
  appropriate, a showing that the
  condition in question ia based on:   ,
    (1) A finding of fact or conclusion of
  law which is dearly erroneous, or
    (2) An exercise of discretion or an
  important policy consideration which
  the Administrator should, in his or her
  discretion, review.
    (b) The Administrator may also
  decide on his or her initiative to review
  any condition of any RCRA. U1C. or PSD
  permit Issued under this Part The
  Administrator must act under this
  paragraph within 30 days of the service
  date, of notice of the Regional
  Administrator's action.
    (c) Within a reasonable time following
  the filing of the petition for review, the
  Administrator shall issue an order either
  granting or denying the petition for
  review. To the extent review is denied.
  the conditions of the final permit
  decision become final agency action.
  Public notice of any grant of review by
  the Administrator under paragraph (a)
  or (b) of this section shall be given as
  provided in §124.10. Public notice shall
  set forth a briefing schedule for the
  appeal and shall state that any
  Interested person may file an amicus
  brief. Notice o"f denial of review shall be
  sent only to the pcrson(s)  requesting-
  review.
  . (d) The Administrator may defer
  consideration of an appeal of a RCRA or
  UIC permit under this section until the
  completion of formal proceedings under
  Subpart E or F relating to an NPDES
  permit issued to the same  facility or
  activity upon concluding that:
   (1) The NPDES permit is likely to raise
 issues relevant to a decision of the
 RCRA or UIC appeals;   *
   (2) The NPDES permit is likely to be
 appealed: and
   (3} Either: (i) The interests of both the
 facility or activity and the public are cot
 likely to be materially adversely
 affected by the deferral; or
   (11) Any adverse effect is outweighed
 by the benefits likely to result from a
 consolidated decision on appeal
   (e) A petition to the Administrator
 under paragraph {a] of this section is.
 under 5U.&C. § 704. a prerequisite to
 the seeking of judicial review of the final
 agency action.
   (0(1) For purposes of judicial review
 under the appropriate Act, final agency
 action occurs when a final RCRA. UIC,
 or PSD permit is issued or denied by
 EPA and agency review procedures are
 exhausted. A final permit decision shall
 be Issued by the Regional
Administrator: (1) When the
  Administrator issues notice to the
  parties that review has been denied; (ii)
  when the Administrator issues a
  decision on the merits of the appeal and
  the decision does hot include a remand
  of the proceedings: or (Hi) upon the'
  completion of remand proceedings if the
  proceedings are remanded, unless the
  Administrator's remand order     .  '
  specifically provides that appeal of the
  remand decision will be required to
  exhaust administrative remedies.
    (2) Notice of any final agency action
  regarding a PSD permit shall promptly
  be published in the Federal Register.

  S 124120   Computation of Urn*.
    (a) Any time period scheduled to  '
  begin on the occurrence of an act or
  event shall begin on the day after the act
  or event.                  ,   ,
   (b) Any time period scheduled to
  begin before the occurrence of an act or
  event shall be computed so that the
  period ends on the day before the act or
  event.
   (c) If the final day of any time period
  falls on a weekend or legal holiday, the
  time period shall L« extended to. the
 • next working day.
   (d) Whenever a part}- or interested
  person has the right or is required to act
  within a prescribed period after the
  service of notice or other paper upon
  him or her by mail. 3 days shall be
  added to the prescribed time.

  S 124.21  Effective data of Part 124.
   (a) Except for paragraphs (b) and (c)
  of this section. Part 124 will become
  effective July 18.19CO. Because this
  effective date will precede the
  processing of any RCRA or UIC permits.
  Part 124 will apply in its entirety to all
  RCRA and UIC permits.
   (b) All provisions of Part 124
 pertaining to the RCRA program will
 become effective on November 13,1080.
   (c) All provisions of Part 124
 pertaining to the UIC program will
 become effective July 18,1980, but shall
 not be implemented until the effective
 date of 40 CFR Part 148.
   (d) This Part does not significantly
 change the way In which NPDES permits
 are processed. Since October 12.1979,
 NPDES permits have been the subject to
 almost identical requirements in the
• revised NPDES regulations.which were
 promulgated on June 7,1979. See 44 FR.
 32948. To the extent this Part changes
 the revised NPDES permit regulations,
 those changes will take effect as to all
 permit proceedings in progress on July 3,
 1980.
   (e) This Part also does not
 significantly change the way in which
 PSD permits are processed. For the most
 part, these regulations will also.apply to
  PSD proceedings in progress on July 18.
  1980. However, because it would I
  disruptive to require retroactive!^
  formal administrative record for 1-^pr-
  permits issued without one, §§ 124.9 and
  124.18 will apply to PSD permits for
  which draft permits were prepared after
•  the effective date of these regulations.

  Subpart B—Specific Procedures.
  Applicable to RCRA Permits
  [Reserved]

  Subpart C—Specific Procedures
  Applicable to PSD Permits

  S 124.41  Definition* applicable to PSD
  permits.
   Whenever PSD permits are processed
  under this Part, the following terms shall
  have the following meanings:
   "Administrator," "EPA," and
  "Regional Administrator" shall have the
  meanings set forth in § 122.3, except
  when EPA has delegated authority to
  administer those regulations to another
  agency under the  applicable subsection
  of 40 CFR § 52.21, the term "EPA" shall.
  mean the delegate agency and the term
  "Regional Administrator" shall mean
  the chief administrative officer of the
 .delegate agency.
   "Application" means an application
  for a PSD permit              .    ,
   "Appropriate Act and Regulati
  means the Clean Air Act and apP
  regulations promulgated under it
   ."Approved-program" means a Slate
 implementation plan providing for  •
 issuance of PSD permits which has been
 approved by EPA  under the Clean Air
 Act and 40 CFR Part 51. An "approved
 State" is one administering an
 "approved program;" "State Director" as
 used in § 124.4 means the person(s)
 responsible for issuing PSD permits
 under an approved program, or that
 person's delegated representative.
   "Construction" has the meaning given
 in 40 CFR § 52^L
   "Director" means the Regional
 Administrator.
   "Draft permit" shall have the meaning
 set forth in 5 122.3.
   "Facility or activity" means a "major
PSD stationary source" or "major PSD
modification."
  "Federal Land Manager" has the
meaning given in 40 CFR 5 52.21.
  "Indian Governing Body" has the
meaning given in 40 CFR § 52.21.
  "Major PSD modification" means a
"major modification" as defined in 40
CFR § 52.21.
  "Major PSD stationary source" means
a "major stationary source" as defined
in 40 CFR  | 52,21(b)(l).
  "Owner or operator" means the
or operator of any facility or activi

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               federal Register / Vol. 45. No. 98 / Monday. May 19. I960  /  Rules and Regulations       33493
  subject to regulation under 40 CFR
  5 5Z21 or by an approved State,
    "Permit" or "PSD permit" means a
  permit issued under 40 CFR § 52.21 or by
.  an approved State.
    "Person" includes an individual.
 .corporation, partnership, association.
  State, municipality, political subdivision
  of a State, and any 'agency, department,
  or instrumentality of the United State*   .
 . and any officer, agent or employee
  thereof.              /
  - "Regulated activity" or "activity
  subject to regulation" means' a "major
  PSD stationary source" or "major PSD
  modification."
 ,  "Site" means the land or water area
  upon which a "major PSD stationary
  source'' or "major PSD modification" is
  physically located or conducted.
•  including but not limited to adjacent
  land used for utility systems: as repair,
  storage, shipping or processing areas; or
  otherwise in connection with the "major1
  PSD stationary source" or "major PSD
  modification.".
    "State" means a State, the District of
  Columbia, the Commonwealth of Puerto
  Rico, the Virgin Islands. Guam, and
  American Samoa and includes the
  Commonwealth of the Northern Mariana
 Islands.

  5 124.42 Additional procedures for PSO
 permit* affecting Class I areas.
    (a) The Regional Administrator shall
 provide notice of any; permit application
 for a proposed major PSD stationary
 .source or major PSD modification the
 emissions from which would'affect a • •
 Class I area to the Federal Land
 Manager, and the Federal official
 charged with direct responsibility for
 management of any lands within such
 area. The Regional Administrator shall
 provide such notice promptly after
 receiving the application.       .
    (b) Any demonstration which the
 Federal Land Manager wishes to present
 under 40 CFR § 52.21(qJ(3). and any
 variances sought by an owner or
 operator under § 52.21(q)(4) shall be
 requested in writing, together with any
 necessary'supporting analysis, b'y the
 end of the "public comment period under
 5 § 124.10 or 124.118. (40 CFR
 § 52.21f.qH3) provides for denial of a  PSD
 permit to a facility or activity when the
 Federal Land Manager demonstrates
 that its emissions would adversely
 affect a Class I area even though the  "•
 applicable increments would not be
 exceeded. 40 CFR § 52^1(q}(4)
 conversely authorizes EPA. with the
 concurrence of the Federal Land
 Manager and State responsible, to grant
 certain variances from the otherwise
 applicable emission limitations to a   "
 facility or activity whose emissions
 would affect a Class I area.)
   (c) Variances authorized by 40 CFR
 § 5Z21{qj(5) through (q)(7) shall be
 handled as specified in those
 subparagraphs and shall not be subject
 to this Part. Upon receiving appropriate,
 documentation of a variance properly
 granted under any of these provisions'.
 the Regional Administrator shall enter
 the variance in the administrative
 record. Any decisions later made in
 proceedings under this Part concerning
 that permit shall be consistent with the
 conditions of that variance.

 Subpart D—Specific Procedure*
 Applicable to NPDES Permits

 5 124£1  Purpose and scope.
 ' (a) This Subpart sets forth additional
 requirements and procedures for
 decisionmaking for the NPDES program.
   (b) Decisions on NPDES variance
 requests ordinarily will be made during
• the permit issuance process; Variances
 and other changes in permit conditions
 ordinarily will be decided through the
 same notice-and-comment and hearing  •
 procedures as the basic permit

 5 124.52 Permits required on a case-by*
 casebasls.     ,              -
   (a) Various sections of Part 122,
 Subpart D allow  the Director to
 determine, on a case-by-case basis, that
 certain concentrated  animal feeding
 operations ($ 122.54). concentrated
 aquatic animal production facilities
 (S 122.55), separate storm sewers
 (5 122.57), and certain other facilities
 covered by general permits (5 122.59)
 that do not generally  require an
 individual permit'may be required to
 obtain ah individual permit because of
 their contribution to water pollution.
   (b) Whenever the Regional      -  -   .
 Administrator decides thatrari individual
 permit is required under  this section, the
 Regional Administrator shall notify the
 discharger in writing  of that decision
•and the reasons for it, and shall send an
 application form  with the notice. The
 discharger must apply for a permit under
 § 122.53 within 60 days of notice. The
 question whether the initial designation
 was proper will remain open for
 consideration during  the public
 comment period under 5  124.11 or
. § 124.118 and in any subsequent hearing.

 §124.53  State certification.
  (a) Under CWA section 401(a)(l), EPA
 may not issue a permit until a
 certification is granted or waived in
 accordance with  that section by the
 State in which the discharge originates
 or will originate.       ,
  (b) Applications received without a
 State certification shall be forwarded by
 the Regional Administrator to the
 certifying State agency with a request *
 that certification be granted or denied.
   (c) If State certification has not been
 received by the time the draft permit is
 prepared. >the Regional Administrator
 shall send the certifying State agency:
   (1) A copy of a draft permit:
   (2) A statement that EPA cannot issue
 or deny -the permit until the certifying
 State agency has granted or denied
 certification under § 124.55. or waived
 its right to certify; and
 '  (3) A statement that the State will be  .
 deemed to have waived its right to
 certify unless that right is exercised
 within a specified reasonable time not
, to exceed 60 days from the date the
 draft permit is mailed to the certifying
 State agency unless  the Regional
 Administrator finds  that unusual
• circumstances require a longer  time.
   (d) State certification shall be granted
 or denied within the reasonable time
 specified under paragraph (c){3) of this
 section. The State shall send a notice of
 its action, including  a copy of any
 certification, to  the applicant and the
 Regional  Administrator.
   (e) State certification shall be in
 writing and shall include:
   (1) Conditions which are necessary  to
 assure compliance with the applicable
 provisions of CWA sections 208(e). 301.
 302. 303. 306, and 307 and with
 appropriate requirements of State law;
   (2) When the State certifies a draft
 permit instead of a permit application.
 any conditions more stringent than •
 those in the draft permit which  the State
 finds necessary to meet the
 requirements listed in paragraph (e)(l)
 of this section. For each more stringent
 condition, the certifying State agency
 shall cite  the CWA or.State law
 references upon which that condition is.
 based. Failure to provide such a citation.
 waives the right to certify with respect
 to that condition; and           , .
   (3) A statement of .the extent to which
each condition of the draft permit can  be
made less stringent without violating the
requirements of State law, including
water quality standards. Failure to  •
provide this statement for any condition
waives the right to certify or object to
any .less stringent condition  which may •
be established during the EPA permit
issuance process.

§ 124.54  Special provisions for State
certification and concurrence on .
applications for section 301(h) variances.
   (a) When an application for a permit
incorporating a variance request under
CWA section 301 (h)  is submitted to a
State, the appropriate State official shall
either:              '            ;  .

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   33493       Federal Register / Vol. 45. No. 98 / Monday. May 19° 1980  / Rules and Regulations
     (1) Deny the request for the CWA
   section 301(h) variance (and so notify
   the applicant and EPA] and. if the State
   is an approved NPDES State and the
   permit is due for reissuance, process the.
   permit application under normal
   procedures; or                     .
     (2) Forward a certification meeting the
   requirements of § 124-53 to the Regional
   Administrator.  •
     (b) When EPA issues a tentative
   decision on the request for a variance
   tinder CWA section 301(h). and no
   certification has been received ander
   paragraph (a) of this section, the
   Regional Administrator shall forward
   the tentative decision to the State in
   accordance with, f 124.53(b) specifying a
  reasonable tima for State certiCcatioa
•   and concurrence. If the State fails to
  deny or grant certification and
  concurrence under paragraph (a) of this
  section within such reasonable time.
  certification shall be waived and the
  State shall be deemed to have concurred
  in the Issuance of a CWA section 301(h)
  variance.
    (c) Any certification provided by a
  Slat* under paragraph (a)(2) of this
  section shall constitute the State's
  concurrence (as required by section
  301(h)) In the issuance of the permit
  incorporating a section 301(h) variance
  subject to any conditions specified
  therein by the State. CWA section 301(h)
  certification and concurrence under this
  section will not be forwarded to the
  State by EPA for recertification after the
  permit issuance process; States must   '
  specify any conditions required by State
  law, including water quality standards.
  In the initial certification.

  §124.55  Effect of SUt* ccrtiflcatJon,
   (a) When certification is required
  under CWA section 401(a)(l) no final
  permit shall be Issued: •
   (1) If certification is denied, or
   (2) Unless the final permit
  Incorporates the requirements specified
 In the certification under § 124.53 (d)(l)  •
 and (2).                 •  .
   [b) If there fs a change in the State
 law or regulation -upon which a
 certification is based, or if a court of
 competent jurisdiction or appropriate
 State board or agency stays, vacates, or
 remands a certification, a  State which
•has Issued a certification under § 124.53
 may issue a modified certification or
 notice of waiver and forward it to EPA.
 If the, modified certification is received
 before final agency action on the permit,
 the permit shall be consistent with the
more stringent conditions which are
based upon State law identified in such
certification. If the certification or notice
of waiver is received after final agency
action on the permit, the Regional
  Administrator may modify the permit on
  request'of the permittee only to the
  extent necessary to delete any
  conditions based on a condition in a
  certification invalidated by a court of
  competent jurisdiction or by an
  appropriate State board or agency.
    (c) A State may not condition or deny
  a certification on' the grounds that State
  law allows a less stringent permit
  condition. The Regional Administrator
  shall disregard any such certification  •
 ' conditions, and shall consider those
  conditions -or denials as waivers of
  certification.
    (d) A condition in a draft permit may
  be changed during agency review in  any
  manner consistent with a certification
  meeting the requirements of § I24.53(dj.
  No such changes shall require EPA to
  submit the permit to the State for  •
  recertification.
    (e) Review and appeals of limitations
  and conditions attributable to State
  certification shall be  made through the
  applicable procedures of the State and
  may not be made through the
 procedures in this Part
    [f) Nothing in this section shall affect
 EPA's obligation to .comply with
  S 122.12. See CWA section 301{b)(l)(q.
 9 124.56
   (Applicable to State programs, see
 1 123.7.)
   In addition to meeting the
 requirements of \ 124.8. NPDES fact
 sheets shall contain the following:
   (a) Any calculations or other
 necessary explanation of the derivation
 of specific effluent limitations and
 conditions, including a citation to the
 applicable effluent limitation guideline
 or performance standard provisions as
 required under 5 122.52 and reasons
 why they are applicable or an
 explanation of how the altema le
 effluent-limitations were developed;
   (b)(l) When the draft permit contains
 any of the following^conditions, an
 explanation of the reasons why such
 conditions are applicable:
  . (i) Limitations to control toxic
 pollutants under 5 12Z£2(e);
   (II) Limitations on internal
 wastestreams under J 122,63(i); or
   (iii) Limitations on indicator
 pollutants under 1 12&3(g).
   (2) For every permit to be issued to a
 treatment works owned by a person
 other than a State or municipality, an
 explanation of the Director's decision on
 regulation of users under 5 122.62(m).
  (c) When appropriate,  a sketch or
 detailed description of the location of
 the discharge described in the
application: and  .     ,
     (d) For EPA-issued NPDES pe;
   the requirements of any State
   certification under § 124.53.

   § 124.57  Public notice.
     (a) Section 316(a) requests (applicable
.   to State programs, see § 123.7). In
   addition to the information required •
   under § 124.10(d)(l), public notice pf an
   NPDES draft permit for a discharge
  .where a CWA section 316(a) request has
   been filed under § 122.53(i) shall include:
    (1) A statement that the thermal
   com'p'onent of the discharge is subject to
   effluent limitations under CWA sections
   301 or 306 and a brief description,
   including a quantitative statement of
   the thermal effluent limitations proposed
  under section 301 or 306; and
    (2) A statement that a section 316{a)
  request has been filed and  that
  alternative less stringent effluent
  limitations may be imposed on the
  thermal component of, the discharge
  under section 316(a) and a brief
  description, including a quantitative
  statement, of the alternative effluent
  limitations, if any, included in  the
  request
    (3) If the applicant has filed an early
  screening request under 5 125.72 for a
  section 316(a) variance, a statement that
  the applicant has submitted such a plan.
    (b) Evidentiary hearings under  4&K\
  Subpart E. In addition to the infoiwHt
  required under § 124.10(d)(2), pubfi|HjP<
  notice of a hearing under Subpart  E shall
  include:
    (1) Reference to any public hearing
  under § 124.12 on the disputed  permit;
    (2) Name and address of the person(s)
  requesting the evidentiary hearing;
   (3) A statement of the following
  procedures:  . -
   (i) Any person seeking to  be a party
  must file a request to be admitted as a
  party to the hearing within IS.days of
  the date of publication of the notice;
   (ii) Any person  seeking to be a party
  may, subject to the requirements of
  § 124.76, propose material issues of fact
  or law not already raised by the original
  requester or another party;
   (iii) The conditions of the  permit(s) at
  issue may be amended after the
 evidentiary hearing and any .person
 interested in those permit(s) must
 request to be a party in order to
 preserve any right to appeal or
 otherwise contest the final
 administrative decision.
   (c} Non-adversary panel procedures
 under Subpart F. (1) In addition to  the
 information required under   •
 § 124.10(d)(2). mailed public notice of a
 draft permit to be processed under
 Subpart F shall include a statemen
 any hearing shall be held under Sd
,F (panel hearing).

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                Federal Register / VoL 45. No. 98 / Monday. May 19.  isao / Rules and Regulations
                                 33495
     (2) Mailed public notice of a panel
   hearing under Subpart F shall include:
     (i) Name and address of the person  "
   requesting the hearing, or a statement
   that the hearing is being held, by order of
   the Regional Administrator, and the
   name and address of each known party
   to the hearing:
     (ii) A statement whether the
•   recommended decision will be issued by
   the Presiding Officer or tyy the Regional
   Administrator;
     (iii) The due date for filing a written
   request to participate in the hearing
   under 5124.117; and
     (iv) The due date for filing commento :
   under £ 124,113.

   5 124.51  Special procedures for EPA-:
   issued general permfts for point •oarcc*
   other than separate storm sewers.
     (a) The Regional Administrator shall
   send a copy of the draft general permit
   and the  administrative record to the
   Deputy Assistant Administrator for
   Water Enforcement during the public
  comment period. .         .
    (b) The Deputy Assistant
  Administrator for  Watcx Enforcement
  shall have 30 days from receipt of the
  draft general permit or shall have until
.  the end of Ihe public comment period;
  whichever is later, to comment upon. '
 .object to, or make recommendations •
  with rospec! to the draft general permit.
   '(c) If the Deputy Assistant
 Administrator for Water Enforcement
 objects to a draft general permit within
 the period specified in paragraph (b) of
 this section, the Regional Administrator
 shall not issue the final general permit
 until the  Deputy Assistant
 Administrator for Water Enforcement
 concurs in writing with the conditions of
 the general permit                  .

 §124.59  Conditions requested by trio
 Corps of Engineers and other .government
 agencies.       x
   {Applicable to State programs, see
   (a) If during the comment period for
. an NPDES draft permit, the District
 Engineer advises the Director in writing
 that anchorage and navigation of any of
 the %yaters of the United States would
 be substantially impaired by the
 granting of a permit, the permit shall be
 denied and the applicant so notified. If
 the District Engineer advised the ' .•'
 Director that imposing specified
 conditions upon the permit is necessary
 to avoid any substantial impairment of
.anchorage or navigation, then the
 Dhector shall include the specified
conditions in the permit. Review or
appeal of denial of a permit or of
conditions specified by the District
Engineer shall be made through the
   applicable procedures of the Corps of
   Engineers, and may not be made through
   the procedures provided in this Part. If
   the conditions are stayed by a court of
  .competent jurisdiction or by applicable'
   procedures of the Corps of Engineers,
   those conditions shall considered stayed
   in the NPDES'permit for the duration of
   that stay. .                      •
    (b) If.during the comment period the
   U.S. Fish and Wildlife Service, the
  National Marine Fisheries Service, or
  any other State or Federal agency with
  jurisdiction over fish, wildlife, or public
  health advises the Director in writing
  that the imposition of specified
  conditions upon the. permit is necessary
  'to avoid substantial impairment of fish.
  shellfish, or wildlife resources, the
  Director may include the specified
  conditions in the permit to the extent
  they are determined necessary to carry
  out Jhe. provisions of J 122.12 and of the
  CWA.
    (c) In appropriate cases the-Director
  may consult with one or more of the
•  agencies referred to in thjs section
  before issuing a draft permit and may
  reflect their views in the statement of
  basis, the fact sheet or the draft permit

  § 124 JO  Is5uanct and effective datt and
  Stay* of NPDES permits.
    In addition.to-the requirements of  .
•  f 124.15. the following provisions apply
  to NPDES.permits and to RCRA or UIC
  permits tor the extent those permits may
  have been consolidated with an NPDES
  permit in a formal hearing: •"
   (a)(lj If a request for a formal hearing
  is grauted.uader 8124.75 or $ 124.114
  regarding the initial permit issued fora
  new source, a new. discharger, or a
,recommencing discharger, or if a  ;
  petition,for review of the denial of a
 request for a formal hearing with respect
  to such a permit is timely filed with.the   •
 Administrator under J 124 Jl. the
•applicant shall be without a permit
pending final Agency action under
 5124.91.
   (2) Wherever a source subject to this
paragraph has received a final permit
under § .124.15 which is the subject of- a
hearing request under £ 124.74 or a
formal hearing under § 124.75. the
Presiding Officer, on motion by the
source, may issue an order authorizing it
to begin operation before final agency
action if it complies with all conditions
of that final permit; duririg the period
untjl final agency action. The Presiding
Officer may grant such a motion in any
case where no party opposes it or, if a
party opposes the motion, where the
source demonstrates that [if it is likely
to prevail on  the merits: (if} irreparable
harm to the environment will not result
pending final agency action if it is   '  '
   allowed to commence operations before
   final agency action; and (iiij the'public
   interest requires that the source be
   allowed to commence operations. AH
   the conditions of any permit covered by
   that order shall be fully effectivfi and
   enforceable.
    (b) The Regional Administrator, at
   any time prior to the rendering of an
   initial decision in a formal hearing on a
   permit, may withdraw the permit and
   prepare a new draft permit under § 124.8
   addressing the portions so withdrawn.
   The new draft permit shall proceed
   through the same process of public
   comment and opportunity for.a public
  hearing as would apply to any other
  draft permit subject to this Part. Any
  portions of the permit which are not
  withdrawn and which are not stayed
  under this.section shall remain  in'effect
    (c)(l) If a request for a formal hearing
 • is granted in whole or in part under
.  § 124.75 regarding a permit for an
  existing source, or if a petition tor
  review c-f the denial of a request for a
  formal hearing with respect to that
  permit is timely filed with the
  Administrator under § 124.91, the force
  and effect of the contested Conditions of
  the final permit shall be slaved. The
  Regional Administrator shall notify, in
  accordance with § 124.75, the discharger
 .and all parties of the uncontested
  conditions of the final permit that are
  enforceable obligations of the
  discharger.           ,   ,   •
   (2) When effluent limitations are
  contested, but the underlying control
  technology is not, the notice shall
  identify the installation of the
  technolp.'jy in accordance with the - •''•
 permit compliance schedules [if
 uncontested) as an uhcontestiid.
 enforceable obligation of the permit. .
   (3) When a combination of
 technologies is contested, but a portion
 of the combination is riot conieyied, that
 portion shall be identified as
 uricontested if compatible with (he
 combination of technologies proposed
 by the requester.
   (4) Uncontested conditions, if
 inse\'erable from a contested condition.
 shall be considered contested.
   (5) Uncontested conditions shall
 become enforceable  30 days after the
 date of notice under paragraph (cj(l) of
 this section granting the request If,
 however, a request for a formal hearing
 on a condition wds denied and the   .
 denial, is appealed under .§ 124.91, then
 that condition shall become enforceable •
 upon the date of the notice of the
 Administrator's decision on the appeal if
 the denial is affirmed, or shall be stayedj
 in accordance with this section, if the
 Administrator reverses the denial and
grants the evidentiary hearing.

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  33496    .   Federal Register  / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
    (US) Uncontested conditions shall
  include:
    (i) Preliminary design and engineering
  studies or other requirements necessary
  to achieve the final permit conditions
  which do not entail substantial
  expenditures;
    (ii) Permit conditions which will have
  to be mel regardless of which party
  prevails at the evidentiary hearing;
    (iii) When the discharger proposed a
  less stringent level of treatment than
  thai contained in the final permit, any
  permit conditions appropriate to meet
  tha levels proposed by the discharger, if
  the measures required to attain that less
  stringent level of treatment are
  consistent with the measures required to
  attain the limits proposed by any other
  party; and
    (iv) Construction activities, such as
  segregation of waste streams or
  installation of equipment, which would
  partially meet-the final permit
  conditions and could also be used to
  achieve the discharger's proposed
  alternative conditions.
    (d) If at any time after a hearing is
  granted and after the Regional
  Administrator's notice under paragraph
  (c)(l) of this section it becomes-clear
  that« permit requirement is no longer
  contested, any party  may request the
  Presiding Officer to issue an order
  identifying the requirements as
  uncontested. The requirement identified
  in such order shall become enforceable
 30 days after the issuance of the order.
   (e) When a formal hearing is granted
 under § 124.75 on an application for a
 renewal of an existing permit, all
 provisions of the existing permit as well
 as uncontested provisions of the new
 permit, shall continue fully enforceable
 und effective until final agency action
 under § 124.91. (See § 122.5) Upon
 written request from the applicant, the
 Regional Administrator may delete
 requirements from the existing permit
 which unnecessarily duplicate
 uncontested provisions of the new
 permit
   (f) When issuing a finally effective
 NPDES permit the conditions of which
 were the subject of a formal hearing
 under Subparts E or F. the Regional
 Administrator shall extend the permit
 compliance schedule to the extent
 required by a stay under this section
 provided that no such extension shall be
 granted which would:
   (1) Result in the violation of an
 applicable statutory deadline: or
   (2) Cause the permit to expire more
 than 5 years after issuance under
 i 124.15{a}.
  [Noie.—Extensions of compliance >
schedules undwr 5124.60{f)(2) will not
  automatically be granted for a period equal to
  the period the stay is in effect for an effluent
  limitation. For example, if both the Agency
  and the discharger agree that a certain
  treatment technology is required by the CWA
  where guidelines do not apply, but a hearing
,  is granted to consider the effluent limitations
  which the technology will achieve. -
  requirements regarding installation of the
  underlying technology will not be stayed
  during the hearing. Thus, unless the hearing
  extends beyond the final compliance date in
  the permit it will not ordinarily be necessary
  to extend the compliance schedule. However.
  when application of an underlying technology
  is challenged, the stay for installation
  requirements relating to that technology
  would extend for the duration of the hearing.]

   (g)  For purposes of judicial review.
  under CWA section 509{b). final agency
  action on a permit'does not occur unless
  and until a party has exhausted its
  administrative remedies under Subparts
  E and F and 5 124.91. Any party which
  neglects or fails to seek review under
  § 124.91 thereby waives its opportunity
  to exhaust available agency remedies.

  J 124.61   Final environmental Impact .,
  statement,
   No  final NPDES permit for a new
 source shall be issued until at least 30
 days after the date of issuance of a final
 environmental impact statement if one
 is required under 40 CFR J 6.305.  •

 } 124.62   Decision on variances.
  • (Applicable to State programs, see
 S 123.7.}
   (aj The Director may grant or deny
 requests for the following variances
 (subject to EPA objection under § 123.75
 for State permits):
   (1) Extensions under CWA section
 SOlfj)  based on delay in completion of a
 publicly owned treatment works:
   (2) After consultation with the
 Regional Administrator, extensions
 under CWA section 301(k) based on the
 use of innovative technology; or
   (3) Variances under CWA section
316(a)  for thermal pollution.
   (b) The State Director may deny, or
forward to the Regional Administrator
with a written concurrence, or submit to
EPA without recommendation a
completed request fon
,   (1) A variance based on the presence
of "fundamentally different factors"
from those on which an effluent
limitations guideline was based;
  (2) A variance based on the economic
capability of the applicant under CWA
section 301 (c);
  (3) A variance based upon certain
water quality factors under CWA
section 301(g): or
  (4) A variance based on water quality
related effluent limitations under CWA
section 302(b)(2).
    (c) The Regional Administrates!
  deny, forward, or submit to the EL_
  Deputy Assistant Administrator fop
  Water Enforcement with .a
  recommendation for approval, a request
  for a variance listed in paragraph (b) of
  this section that is forwarded by the
  State Director, or that is submitted to
  the Regional Administrator by the
  requester where EPA is the permitting
  authority. , •
    (d) The EPA Deputy Assistant
  Administrator for Water Enforcement
  may approve or deny any variance
  request submitted'under paragraph (c)
  of this section. If the Deputy Assistant
  Administrator approves the variance.
  the Director may prepare a draft permit
  incorporating the variance. Any public
  notice of a draft permit for which a
  variance or modification has been
  approved or denied shall identify the
  applicable procedures for appealing that
  decision under § 124.54.

  §124.63   Procedures for .variances when
  EPA Is the permitting authority.
   (a) In States where EPA is the permit
  issuing authority and a' request for a
  variance i» filed as required by 5 122.53,
  the request shall be processed as
 follows:                           • •
  • (1) If at the time that a request.
 variance is submitted the Regions
 Administrator has received an      _
 application under § 124.3 for issuance or
 renewal of that permit but has not yet
 prepared a draft permit under 5 124.6
 covering the discharge in question, the
 Regional Administrator, after obtaining
 any necessary concurrence of the EPA
 Deputy Assistant Administrator for
 Water Enforcement under 5 124.62. shall
 give notice of a tentative decision on the
 request at the time the notice'of the draft
 permit is prepared as specified in
 5 124.10, unless this would significantly
 delay the processing of the  permit. In
 that case the processing of the variance
 request may be separated from the
 permit in accordance with paragraph
 (a)(3) of this section, and the processing
 of the permit shall proceed without
 delay.             '               -,
  (2) If at the time that a request for a
 variance is filed the Regional
 Administrator has given notice under
 § 124.10 of a draft permit covering the
 discharge in question, but tfiat permit
 has not,yet become final, administrative
 proceedings concerning that permit may
 be stayed and the Regional
Administrator shall prepare  a new draft
permit including a tentative decision on
the request, and the fact sheet requjj
by § 124.8. However, if this will   ,
significantly delay the processing L_
existing draft permit or the Regional
Administrator, for other reasons.

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                         -.Federal Register /  Vol. 45.  No. 98  /Monday.  May 19. 1980 / Rules  and Regulations
                                 33497
*
   considers combining th'e variance
   request and the existing draft permit
   inadvisable, the request may be
   separated from the permit in accordance
   with paragraph (a)[3) of this section, and
 •  the administrative disposition o'f the
   existing.draft permit shall proceed
   without delay.    -'-..'•  "
    . (3) If the permit has become final and
   no application under § 124.3 concerning
   it is pending or if the variance request
   lias been separated from a draft permit
   as described in paragraphs (a) (1) and
   (2) of this section, the Regional
   Administrator may prepare a new draft
•'  permit and give notice of"it under
   S 124.10. This draft peoait shall be
   accompanied  by the fact sheet required
   by 1124.8 except that the  only ma tiers
   considered shall relate to  the requested
   variance.                         ;

   S 124.64  Appeals of variances.
    (a) When a State issues a permit on
   which EPA has made a variance
   decision, separate appeals of the State
   permit and of the EPA variance decision
   are possible..If the owner o'r operator is
   challenging the same issues in both
   proceedings, the Regional Administrator
   will decide, in consultation with State
   officials, which case  will be heard, first'
    (b) Variance decisions made by EPA
   may be appealed under either Subparts
   E or F, provided the requirements of the
   applicable Subpart are met. However.
   whenever the basic permit decision is
   eligible only for an evidentiary hearing
   under Subpart E while the variance
   decision is eligible only for. a panel
   hearing under Subpart F. the issues
  relating to both the basic permit
   decision and the variance decision shall
  be considered in the Subpart E
  proceeding. No Subpart F hearing may
  be held if a Subpart E hearing would be
  held in addition. See 5 124.11l(bJ.
'   , {c} Stays for section 30l(g) variances.
  If a request for an evidentiary hearing is
  granted on a variance requested under
  CWA section 301{g). or if a petition for
  review of the denial .of/a request for the
  hearing is filed under S 124.91, any
  otherwise applicable standards and
  limitations uad.er CWA section 301 shall
  not be stayed unless:
   (1) In the judgment of the Regional
  Administrator, the stay or the variance
  sought will rot result in the discharge of
  pollutants in-quantities which may
  reasonably be,anticipated to pose an
  unacceptable risk to human health or
  the environment because of
  bioaccumulatioh. persistency in the
 environment acute toxiciry, chronic
  toxicity, or synergistic propensities; .and
   (2) In the judgment of the  Regional
 Administrator, there is a substantial
   likelihood that the discharger will
   succeed on the merits of .its appeal: and
     (3) The' discharged files a bond or
  , other appropriate security which .is
   required, by the Reg-dnal Administrator
   to assure  timely,compliance with the
.   requirements from which a yariar.ee is
   sought in  the event that the appeal" is
  ' unsuccessful
   . (d) Stays for variances other than
   section 301 (g) are governed by § 124.60.

  5124.65. Special procedures for discharge*
  Into marine wattrs section 301(h).
    (a) Where it is clear on the face of a
  section 301 (h) request that the
  discharger is not entitled to a variance.
  the request shall be denied.
    (b) In the case  of all other section
  301(h)requests the Administrator, or a
  person designated by the Administrator.
  may either
   ' (1) Give written authorization to a
  requester 1o,submit information required
  by Part 125. Subpart G or the final
  request by a date certain, not to exceed-
  9 months, if:           •    ••  •
    (i) The requester  proposes to submit
  new or additional infprmation and the
  request demonstrates that:
    (A) The requester made consistent
  and diligent efforts  to obtain such
  information prior to submitting the final
  request;           "
  , {BJ The failure to  obtain such
  information was due to circumstances
  beyond the control of the requester; and
\   (C) Such information can be submitted
  promptly; or                .
   (ii) The requester proposes to submit
  minor corrective information and such
  information can be submitted promptly;
  or                 .
   (2) Make a written request of a.
  requester to submit  additional
  information by a certain date, not to
  exceed 9 months, if such information is
 necessary to issue.a tentative decision
 under §  124.62(a)(l).
   All additional information submitted
 under this paragraph which is timely
 received, shall be considered part of the
 original-request.
   (c) The otherwise  applicable sections
 of this Part  apply to  draft permits
 incorporating section 301(h) variance,
 except that  because  301(h] permits may
 only b.e issued by EPA. the terms
 "Administrator or  a person designated
 by the Regional Adrninis Ira tor" shall be .*•
 substituted  for the term "Director" as
 appropriate. .-•-.'
   (d) No permit subject  to a 301 (h)
 variance shall be issued unless the
 appropriate State officials have
concurred or waived concurrence  ••
pursuant to  § 124.54. In the case of a
permit issued to a requester in-an
approved State, the State Director may:
    . (1) Revoke any ex:sting,pennit as of
  the effective date of the EPA-issued
  permit subject to a 301(h) variance: and
    [2) Co-sign the permit subject to the -•
  3,01 (h) variance, if the Director has
  indicated an intent to do so in the  ••
  written coacurrence

  § 124.66  Special procedures for decisions.
  on thermal variances under section 316(a).
    (a) Except as provided in § 124.65.  the
  only issues connected with issuance  of a
  particular permit on which EPA will   •
  make a final Agency decision before  the
  final permit is issued under 5 § 124.15
  and 124.60 are whether alternative
  effluent limitations  would be justified
  under CWA section 316(a) and whether
  cooling water intake structures will use
  .the best available technology under
  section 316(b). Pe'fmit-applicants who
  wish an early decision on these issues
  should request it and furnish supporting
  reasons at the time  their permit
  applications are filed under § 122.53.
  The Regional Administrator will the.n
  decide whether or not to make an early
  decision. If it is granted, both the.early
  decision on CWA section 516 (a)'.'or (b)
  fssues and the grant of the balance of
  the permit shall be considered permit
  issuance under these regulations, and
  shall be subject to the same     '
  requirements of public notice and   "
 comment and the same opportunity for
 an evidentiary or panel hearing under
 Subparts E or F.               •
   (bj If the Regional Administrator, on
 review of the administrative record,
 determines that the information
 necessary to decide  whether or not the
 CWA section 316(a)  issue is not likely to
 be available in time  fora decision  on
 permit issuance, the  Regional
 Administrator may-issue a permit under
 5 124.15 for a term up to 5 years. This
 permit shall require achievement of the
 effluent limitations initially proposed for
 the thermal component of the discharge
 no later than the date otherwise
 required by law. However, the permit
 shall also afford the permittee an
 opportunity to file a demonstration
 under CWA section 3i6(a) after .
 conducting such studies as are required
 under 40 CFR Part 125.  Subpart 11. A
 new discharger may not exceed .the
 thermal effluent limitation which is
 initially proposed unless and until its
 CWA section 316fa) variance request is
 finally approved.
  (c) Any proceeding held under
 paragraph (a) of this section shall be
 publicly noticed as required by § 124.10
 and shall be conducted at a 'time
 allowing  the permittee to take necessary
measures to meet the final compliance
date in the event its request-for
modification of thermal limits is denied.

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   3349B       Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
   ^—•		 .
     (d) Whenever the Regional
.  Administrator defers the decision under
   CWA section 316{a). any decision under
   section 31E(bj may be deferred.

   Subpart E—Evidentiary Hearings for
   EPA-lssued NPDES Permits and EPA-
   Terminated RCRA Permits

   5124.71 Applicability.
     (a) The regulations in this Subpart
   govern all formal hearings conducted by
   EPA under CWA section 402. except for
   those conducted under Subpart F. They
   also govern all evidentiary hearings
   conducted under RCRA section 3008 in
   connection with the termination of a
   RCRA permit This includes termination
   of interim status for failure to furnish
   information needed to made a final
   decision. A formal hearing is available
   to challenge any NPDES permit issued
   under § 124.15 except for a general
   permit. Persons affected by a general
   permit may not challenge the conditions
   of a general permit as of right in further
   agency proceedings*. They may'instead
   either challenge the general permit in
   court, or apply for an individual NPDES
   permit under § 122.53 as authorized in
   1122J59 and then request a formal
   hearing on the issuance or denial  of an
   individual permit. (The Regional
   Administrator also has the discretion to
   use the procedures of Subpart F for
  general permits. See 5 124.111.)
    (b) In certain cases, evidentiary
  hearings under this Subpart may also be
  held on the conditions of UIC permits, or
  of RCRA permits which are being
  issued, modified, or revoked and
  reissued, rather than terminated or
  suspended. This will occur when the
  conditions of the UIC or RCRA permit in
  question are closely linked with the
  conditions of an JNPDES permit as to
  which an evidentiary hearing has been
  granted. See 5124.74(bH2). Any
  interested person may challenge the
  Regional Administrator's initial new
  source determination by requesting an
  evidentiary hearing under this Part. See
  §122.68.
   (c) PSD permits may never be subject
  to an evidentiary hearing under this
  Subpart. Section 124.74(b)(2)(iv)
  provides only for consolidation of PSD
  permits with other permits subject to a .
  panel hearing under Subpart F.
.  §124.72  Definitions:
   For the purpose of this Subpart. the
 following definitions are applicable:
   "Hearing Clerk" means The Hearing
 Clerk. U.S. Environmental Protection
 Agency, -101M Street, S.W..
 Washington. D.C. 204BO.
   "Judicial Officer" means a permanent
 or temporary employee of the Agency
   appointed as a Judicial Officer by the
   Administrator under these regulations
   and subject to the following conditions:
     (a) A judicial Officer shall be a
   licensed attorney. A Judicial Officer
   shall not be employed in the Office of
   Enforcement or the Office of Water and
   Waste Management, and shall not  '
   participate in the consideration or  •
   decision of any case in which he or she
   performed investigative or prosecutorial
   functions, or which is factually related
   to such a case.
    (b) The Administrator may delegate
   any authority to act in an appeal of a
   given case under this Subpart to a
   Judicial Officer who, in addition, may
   perform other duties for EPA, provided
   that the delegation shall notpreclude-a  •
  Judicial Officer from referring any
  motion or case to the Administrator
  when the Judicial Officer decides such
  action would be appropriate. The
. Administrator, in deciding a case, may
  consult with and assign the drafting of •
  preliminary findings of fact and
  conclusions and/or a preliminary
  decision to any Judicial Officer.
    "Party" means the EPA trial staff
  under 5 124.78 and any person whose
  request for a hearing under 5 124.74 or
  whose request to be admitted as a party "
  or to intervene under § 124.79 or
  § 124.117 has been granted.
    "Presiding Officer" for the purposes of
  this Subpart means an Administrative
  Law Judge appointed under 5 U.S.C.
  3105 and designated to preside at the
  hearing. Under Subpart F other persons
  may also serve as hearing officers. See
  5 1241119.
    "Regional Hearing Clerk" means an
  employee of the Agency designated by a
  Regional Administrator to establish a
  repository for all books, records.
  documents, and other materials relating
  to hearings under this Subpart.

  § 124.73   Filing and submission of
  documents.
   (a) All submissions authorized or
 required to be filed with the Agency
 under this Subpart shall be filed with
 the Regional Hearing Clerk, unless
 otherwise provided by regulation.
 Submissions shall be considered filed on
 the date on which they are mailed or
 delivered in person to the Regional
 Hearing Clerk.
-  (b) All submissions shall be signed by
 the person making the submission, or by
 an attorney or other authorized agent or
 representative.
   (c)(l) All data and information
 referred to or in any way relied upon in
 any submission shall be included in full
 and may not be incorporated by
 reference, unless previously submitted
 as part of the administrative record in
  the same proceeding. This require;,
  does not apply to State or Federal
  statutes and regulations, judicial
  decisions published in a national
  reporter system, officially issued EPA
  documents of general applicability, and
  any other generally available reference
  material which may be incorporated by
  reference. Any party incorporating
  materials by reference shall provide
  copies upon request by the Regional
  Administrator or the Presiding Officer.
    (2) If any part of the material
  submitted is in a foreign language, it
  shall be accompanied by an English
  translation Verified under oath to be
  complete and accurate, together with the
  name, address, and a brief statement.of
  the qualifications of the person making
 . the translation. Translations of literature
  or other material in a foreign language
  shall be accompanied by copies of the
  original publication.
   (3) Where relevant data or
  information is contained in a document
  also containing irrelevant matter, either
  the irrelevant matter shall be deleted or
 'the relevant portions shall be indicated.
   (4) Failure to comply with the
 requirements  of th^s section or any other
 requirement in this Subpart may result
 in the noncomplying portions.of the ,
 submission being excluded from
 consideration. If the Regional      _.
 Administrator or the Presiding Office??
 on motion by any party or sua sponte.
 determines that a submission fails to •
 meet any requirement of this Subpart,
 the Regional Administrator or Presiding
 Officer shall direct the Regional Hearing
 Clerk to return the submission, together
 with a reference to the applicable
 regulations. A party whose materials
 have been rejected has 14 days to
'correct the errors and resubmit, unless
 the Regional Administrator or the
 Presiding Officer finds good cause to
 allow a longer time.   .
   (d) The filing of a submission shall not
 mean or imply that it in fact meets all
 applicable requirements or that it
 contains reasonable grounds for the
 action requested or that the action
 requested is in accordance with law.
  (e) The original of all statements and
 documents containing factual material.
 data, or other information shall be
 signed in ink and shall state the name,
 address, and the representative capacity
 of the person making the submission,   .

 § 124.74 Requests for evidentiary hearing.
  (a) Within 30 days following the
service of notice of the Regional
Administrator's final permit-decision
under § 124.15. any interested pcr
may submit a request to the Regi
Administrator under paragraph (b) of
this section for an evidentiary hearing to

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                Federal Register /  Vol. 45. No. 98 / Monday. May 19.  1980 / Rules and Regulations
                                                                         33499
  reconsider or contest that decision. If
  such a request is submitted by a person
  other than the permittee, the person'
 •. shall simultaneously serve a copy of the
  request on the permittee.
    (b)(l) In accordance with § 124.78.
  such requests shall state each legal or
  factual question alleged to be at issue.
  and their relevance to the permit
  decision, together with a designation of
  the specific factual areas to be
  adjudicated and the hearing time
  estimated to be necessary for
  adjudication. Information supporting the
  request or other written documents
  relied upon to support the request shall
  be submitted as required by j 124.73
  unless they are  already part of the
  administrative record required by
.. 5124.18.
    [Note.—This paragraph allows the
 ' submission of requests for evidentiary  ,
  hearings even though both legal and factual
  issues may be raised, or only legal issues
  may be raised. In  the latter case, because no
  factual issues were raised, the Regional'
 Administrator would be required to deny the^.
 request. However.' on review of the denial the
 Administrator is authorized by $ 124.91(a)(l)
 to review policy or legal conclusion* of the
 Regional Administrator. EPA is requiring an
 appeal to the Administrator even of purely
 legal issues involved in a permit decision to
 ensure that the Administrator will have an
 opportunity to review any permit before it
 will be final and subject to judicial review.]
   (2) Persons requesting an evidentiary
 hearing on an NPDES permit under this
 section may also request ah evidentiary
 hearing on a RCRA or UIC permit. PSD
 permits may never be made part of an
 evidentiary hearing under Subpart E.
 This request is subject to all the       '
 requirements of paragraph (b)(l) of this
 section and in addition will be granted
 only if:
   (i) Processing' of the RCRA or UIC  •
 permit at issue was consolidated with
 the processing of the NPDES permit as
 provided in 5124.4;        v
   (ii) The standards for granting a
 hearing on the NPDES permit are met;
   (iii) The resolution of the NPDES
 permit issues is likely to make necessary
 or appropriate modification of the RCRA
 or UIC permit; and    "       . '      .
   (M If a PSD permit is involved, a
 permittee who is eligible for an
 evidentiary hearing under Subpart E on
 his or her NPDES permit requests that
 the formal hearing be conducted under
 the procedures of Subpart F and the
 Regional Administrator finds that
 consolidation is unlikely to delay final
 permit issuance beyond the PSD one-
 year statutory deadline.
  (c] These requests shall also contain:
  (1) The name, mailing address, and
 telephone number of the person making
 such request;
    (2) A clear, and concise factual
 . statement of the nature and scope of the
  interest of the requester            '
    (3) The names and addresses of all
  persons whom the requester represents;
  and
    (4) A statement by- the requester that.
  upon .motion of any party granted Tjy the
  Presiding Officer, or upon order of the
  Presiding Officer sua spoate without
  cost or expense to any other party* the
  requester shall make available to appear
  and testify, the following:
    (i) The requester  •
    fit) All persons represented by the  .
  requester, and
    (iii) All officers, directors, employees,
  consultants, and agents of the requester
  and the persons represented by the1
  requester.
;'   (5) Specific references to the
  contested permit conditions, as well as
  suggested revised or alternative permit
  conditions (including permit denials)
  which, in the judgment of the requester,
  would be required to implement the  •
- purposes and policies of the CWA.
    (6) In the case of challenges to the
 application of control or treatment
 technologies identified in the statement
 of basis or fact sheet, identification of
 the basis for the objection, and  the
 alternative technologies or combination .
 of technologies which the requester
 believes are necessary to meet the
 requirements of the CWA.           ;
    (7) Identification of the permit
 obligations that are contested or are
 inseverable from contested conditions
 and should be.stayed if the request is
 granted by reference to the particular
 contested conditions warranting the  -
 stay.
    (8) Hearing requests also may ask that
 a formal hearing be held under the
 procedures set forth in Subpart F. An
 applicant  may make such a request even
 if the proceeding does not constitute
 "initial licensing" as defined in
 5124.111.
   (d) If the Regional Administrator
 grants an evidentiary hearing request, in
 whole or in part, the Regional
 Administrator shall identify the permit
 conditions which have been contested
 by the requester and for which the
 evidentiary hearing has been granted.
 Permit conditions which are not  .
 contested or for which the Regional
 Administrator has denied the hearing
 request shall not be affected by,  or
 considered at. the evidentiary hearing.
 The Regional Administrator shall
 specify these conditions in writing in
 accordance with § 124.60(c).
  (e) The Regional Administrator must
grant or deny all requests for an
 evidentiary hearing ori a particular
permit All requests'that are granted for
 .a particular permit shall be combined in
  a single evidentiary hearing,
   . (f) The Regional Administrator (upon
  notice to all persons who have already
  submitted hearing requests) may extend
  the time allowed for submitting hearing
  requests under this section for good
  cause.                 .

  § 124.75  Decision on request for a
  hearing.
    (a)(l) Within 30 days following the
  expiration of the time allowed by
  5124.74 for submitting an evidentiary.
  hearing request, the Regional          '
  Administrator shall decide the extent to
  which, if at all. the requestshall be   te
  granted, provided that,the request
  conforms to the requirements of
  5 124.74, and sets forth material issues
  of fact relevant to the; issuance of the  .
  permit.                          •
   (2) When an NPDES permit for which
•  a hearing request has been granted
  constitutes "initial licensing" under •
  § 124.111, the Regional Administrator
  may elect to hold a formal hearing  under
  the procedures of Subpart F rather than
 under the procedures of this Subpart
 even if no person has requested that
 Subpart F be applied. If the Regional
 Administrator makes such a decision, he
 or she shall issue a notice of hearing  -
 under 5 124.118. All subsequent
 proceedings shall then be governed by
 5 § 124.117 through 124.121, except that
 any reference to a draft permit shall
 mean the final permit.
   (3) Whenever the Regional
 Administrator grants a request made
 under  § 124.74(c)(8) for a formal hearing
 under Subpart F on an NPDES permit.,
 that does not constitute an initial license
 under § 124.111. the Regional .'•",:
 Administrator shall issue a notice of
 hearing under § 124,116 including a
 statement that the permit will be
 processed under the procedures of     ;
 Subpart F unless a written objection is
 received within 30 days.'If no valid
 objection is received, the application   '
 shall be processed in accordance with
, 55 124.117 through 124.121. except that
 any reference to a draft permit shall
 mean the final permit. If a valid
 objection is received, this Subpart shall
 be applied instead.
   (b) If a request .for a hearing is denied
 in whole or in part, the Regional
 Administrator shall briefly state the
 reasons. That denial is subject to review
 by the Administrator under § 124.91.

 §124.76 Obligation to submit evidence
 and raise Issues before a final permit Is
 Issued.
  No evidence shall be submitted by
. any party to a hearing under this
Subpart that was not submitted to the

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  33500   '    Federal Register /  Vol. 45. No. 98 / Monday. May 19/1980 /.Rules  and Regulations
   administrative record required by
   i 124.18 as part of the preparation of
   and comment on a draft permit, unless
   good causer is shown for the failure to
   submit it. N'o issues shall be raised by
   any party that were not submitted to the
   administrative record required by
   § 124.18 as part of the preparation of
   and comment on a draft permit unless
   good cause is shown for the failure to
   submit them. Good cause includes the
   case where the party seeking to raise
   the new issues or introduce new
   information shows that it could not
   reasonably have ascertained the issues
   or made the information available
   within the time required by §'124.15; or
   that it could not have reasonably
   anticipated the relevance or materiality
   of the information sought to be
  introduced. Good cause exists for the
  introduction of data available on
  operation authorized under
  § 124.60{a](2).

  1124.77 Nolle* of hearing.  '
    Public notice of the grant of an
  evidentiary hearing regarding a permit
  shall be given as provided in § 124.S7(b)
  and by mailing a copy to all persons
  who commented on the draft permit,
  testified at the public hearing, or
  submitted a request for a hearing. Before
  the issuance of the notice, the Regional
  Administrator shall designate the
  Agency trial staff and the members of
  the decisional body (as defined in
  1124.78).

  I 124.71  Ex partt communication*.
    (a) For purposes of this section, the
  following definitions shall apply:
    (1) "Agency trial staff means those
  Agency employees, whether temporary
  or permanent, who have been
  designated by the Agency under § 124.77
  or § 124.116 as available to investigate,
  litigate, and present the evidence.
  arguments, and position of the Agency
  In the evidentiary hearing or
  nonadveraary panel hearing.
 Appearance as a witness does not
 necessarily require a person to be
 designated as a member of the Agency
 trialstafft                       '
'   (2) **Dedsional body" means any
 Agency employee who is or  may
 reasonably be expected to be involved
 in the decisional process of the
 proceeding Including the Administrator.
 Judicial Officer. Presiding Officer, the
 Regional Administrator (if he or she
 does not designate himself or herself as
 a member of the Agency trial staff], and
 any of their staff participating in the
 decisional process. In the case of a non-
 adversary panel hearing, the decisional
 body shall also include the panel
  members, whether or not permanently
  employed by the Agency:
    (3) "Exports communication" means
 - any communication, written or oral.
  relating to the merits of the proceeding
  between the decisional body and an
  interested person outside the Agency or
  the Agency trial staff which was not.
  originally filed or stated in the
  administrative record or in the hearing.
  Ex parle communications do not
  include:
    (i) Communications between Agency
  employees other than between the
  Agency trial staff and the members of
  the decisional body;
    (ii) Discussions between the
  decisional body and either......	
    (A) Interested persons outside the
  Agency, or
    (B) The Agency trial staff. //all parties
  have received prior written notice of the
  proposed communications and have  .
  been given the opportunity to be present
  and participate therein.
    (4) "Interested person outside the
  Agency" includes the permit applicant.
  any person who filed written comments
  in the proceeding, any person who
  requested the hearing, any person who
  requested to participate or intervene in
  the hearing, any participant in the
  hearing and any other interested person
  not employed by the Agency at the time
  of the communications, and any
  attorney of record for those persons.
   (b)(l) No interested person outside the
 Agency or member of the Agency trial
-  staff shall make or knowingly cause to .
 be made to any members of the
 decisional body, an ex parte
 communication on the merits of the
 proceedings..
   (2) No member of the decisional body
 shall make or knowingly cause to be
 made to any interested person outside
 the Agency or member of the Agency
 trial staff, an ex parte communication on
 the merits of the proceedings.
   (3) A member of the decisional body
 who receives or who makes or who
 knowingly causes to be made a
 communication prohibited by this
 subsection shall file with the Regional
 Hearing Clerk all written
 communications or memoranda stating
 the substance of all oral
 communications together with all
 written responses and memoranda
 stating the substance of all oral
 responses.
  (c) Whenever any member of the
 decisionmaking body receives an ex
parte communication knowingly made
 or knowingly caused to be made by a
 party or representative of a party in
 violation of this section, the person
 presiding at the stage of the hearing then
 in progress may. to the extent consistent
  with justice and the policy of the .
  require the party to show cause wl,
  claim or interest in the proceedings
  should not be dismissed, denied.
  disregarded, or otherwise adversely
  affected on account of such violation.
    (d) The prohibitions of this section
•  begin to apply upon issuance of the
  notice of the grant of a hearing under
•  § 124.77 or § 124.116. This prohibition
  terminates at the date of final agency
  action.

  S 124.79  Additional parties and Issues.
    (a) Any person may submit a request
  to be admitted as a party within 15  days
  after the date of mailing, publication, or
  posting of notice of the grant of an
  evidentiary hearing, whichever occurs
  last. The Presiding Officer shall grant
  requests that meet the requirements of
  5 § 124.74 and 124.76.
    (b) After the expiration of the time
  prescribed in paragraph  fa) of this
 •section any person mayTile a motion for
  leave to intervene as a party. This • '
  motion must meet the  requirements  of
  51124.74 and 124.7lTahd set forth the
  grounds for the proposed intervention.
  No factual  or legal issues, besides those
  raised by timely hearing requests, may
  be proposed except for good cause.  A
  motion for leave to intervene must,.
  contain a verified statement showiijj
  good cause for the failure to file a til _
  request to be admitted as a party. The"
  Presiding Officer shall grant the motion
  only upon an express finding on the
  record that                      •"
   (1) Extraordinary circumstances
  justify granting the motion;
   (2) The intervener has consented to be
'  bound by:
   (i) Prior written agreements and
 stipulations by and between the existing
 parties; and
   (ii) All orders previously entered in
 the proceedings; and
   (3) Intervention will not cause undue
 delay or prejudice the rights of the
 existing parties.       '

 S 124.80 Filing and service.
 _ (a) An original and one (1) copy of all
 written submissions relating to an
 evidentiary hearing filed after the notice
 is published shall be filed with the
 Regional Hearing Clerk.
   (b) The party filing any submission
 shall also serve a copy of each
 submission  upon the Presiding Officer
and each party of record. Service shall
be by mail or personal delivery.
   (c) Every submission shall be
accompanied by an acknpwledgemenj
of service by the person served or ai
certificate of service citing the date.C
place, time,  and manner of service at
the names of the persons served.

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               Federal Register / Vol. 45. No.  98 / Monday. May 19. 1980 / Rules  and Regulations
                                                                        33S01
    (d) The Regional Hearing Clerk shall
  .maintain and furnish a list containing
  the name, service address, and
  telephone number of all parties and their
 • attorneys or duly authorized
  representatives to any person upon
  request           .

  5 124.81  Assignment of. Administrative
 . Law Judge.              .         •
    No later than the date of mailing.
  publication, or posting of the notice of a
  grant of an evidentiary hearing,
 * -whichever occurs last, the Regional
  Administrator shall refer the proceeding
  to the Chief Administrative Law Judge
  who shall assign an Administrative Law
  Judge to serve as Presiding Officer for
  the hearing. •.

  §124.82  Consolidation and severance.
   (a] The Administrator, Regional
  Administrator,  or Presiding. Officer has
  the discretion to consolidate, in.whole  .
,  or in'part, two or more proceedings to be
 •held under this Subpart. whenever it
  appears that a joint hearing on any or all
  of fhe matters in isgue would expedite or
  simplify consideration of the issues and
  that no party would be prejudiced
  thereby. Consolidation shall not affect
  tHe right of any party to raise issues that
 •might have been raised had there been
  no consolidation.                    •
   (b) If the Presiding Officer determines.
  consolidation is not conducive to an
  expeditious, full, and fair hearing, any
 party or issues may be severed and
 heard in a separate proceeding.     '

 5124.83 Prehearlng conferences.
   (a) The Presiding Officer, sua spqnte,
 or at the request of any party, may
 direct the parties or their attorneys or
 duly authorized representatives to
 appear at a specified  time and place for
 one or more conferences before or
 during a hearing, or to submit written
 proposals or correspond for the purpose
 of considering any of  the matters set
 forth in paragraph (c) of this section.  '
   (b) The Presiding Officer shall allow a
 reasonable period before the hearing
. begins for the orderly completion of all
 prehearing procedures and for the
 submission and disposition of all
 prehearing motions. Where the
 circumstances warrant, the Presiding
 Officer may call a prehearing conference
 to inquire into the use of available     '.
 procedures contemplated by the parties
 and the. time required  for their-
 completion, to establish a schedule for
 their completion, and to set a tentative
 date for beginning the hearing.
   (c] In conferences held, or in
 suggestions submitted, under paragraph
 (a) of this section, the  following matters
 may be considered:
    (1) Simplification, clarification.
  Amplification, or limitation of the issues.
    (2) Admission of facts-and 6f the
  genuiness of documents, and
  stipulations of facts. .
    (3) Objections to the introduction into
  evidence at the hearing of any written
  testimony, documents, papers, exhibits,
  or other submissions proposed by a
  party, except that the administrative
  record required by § 124.19 shall be
  received in evidence subject to the
  provisions of § 124.85(d)(2). At any time
  before the end of the hearing any party
  may make, and the Presiding Officer
  shall consider and rule upon, motions to
 'strike testimony or other evidence other.
  than the administrative record on the
  grounds of relevance, compe tency, or
  materiality.
    (4) Matters subject to official notice
  may be taken.
    (5) Scheduling as many of the  '
  following as are  deemed necessary and
  proper by the Presiding Officer
    (i) Submission of narrative statements
  of position on each factual issue in
  controversy;
  ;  (ii) Submission of written testimony
  and documentary evidence (e.g.,
  affidavits, data, studies, reports, and
  any other type of written material) in
  support of those  statements; or
    (Hi) Requests by any party for the
 production of additional documentation,
 data, or other information relevant and
 material to the facts in issue.
    (6) Grouping participants with
 substantially similar interests to   .
 eliminate redundant evidence, motions,
 and objections/
   (7) Such Other matters that may
 expedite the hearing or aid in the
 disposition of the matter.
  . (d) At a prehearing conference or at
 some other reasonable time set by the '  •
 Presiding Officer, each party shall make
 available to all other parties the names
 of the expert and other witnesses it
 expects to call. At its discretion or at the
 request of the Presiding Officer, a party
 may include a brief narrative summary  '
 of any witness's anticipated testimony.
 Copies of any written testimony,
 documents, papers, exhibits, or
 materials which a party expects to
 introduce into evidence, and the
 administrative record required by
 § 124.18 shall be marked for
 identification as ordered by the
 Presiding Officer. Witnesses, proposed
 written testimony, and other evidence
- may be added or amended upon order of
 the Presiding Officer for good'cause
 shown. Agency employees and
 consultants shall be made available as
 witnesses by the Agency to the same
 extent that production of such witnesses
  is required of other parties under
  § 124.74(0(4). (See also § 124.85(b)(16J.)
    (e) The Presiding Officer shall prepare
  a written prehearing order reciting the
  actions taken at each prehearing
  conference and setting forth the
  schedule for the hearing, unless a, !
  transcript has been taken and
  accurately reflects these matters. The
  order shall include a written statement
  of the areas of factual agreement and
  disagreement and of the methods and
  procedures to be used in developing the
  evidence and the respective duties of
  the parties in connection therewith. This
  order shall control the subsequent
  course of the hearing unless modified by
  the Presiding Officer for good cause
  shown.        '    .   '--..-•

  §124.84  Summary determination.
   (a) Any party to an evidentiary
,  hearing may move with or without '
 1 supporting affidavits and briefs for a
  summary'determination in its favor
  upon any of the issues being adjudicated
 'on'the basis that there is no genuine
  issue of material fact for determination.
 This motion shall be filed at least 45
  days before the date set for the hearing,
 except that upon good cause shown the
 motion may be filed at any time before
 the close of the  hearing.
   (b) Any other p.arty may, within 30  •.'•
 days after service of the motion, file and
 serve a response to it or a'.      ,    .
 counter-motion for summary
 determination. When a motion for
 summary determination is made and
 supported, a party opposing the motion
 may not rest upon mere allegations or   .
 denials but must show, by affidavit or
 by other materials subject to  -
 consideration by the Presiding Officer,
 that there is a genuine issue of material
 fact for determination at the hearing.
   (c) Affidavits shall be made on
 personal knowledge, shall set forth facts
 that would be admissible in evidence,
 and shall show affirmatively that'the
.affiant is competent to testify to the
matters stated therein.
   (d) The Presiding Officer may set the
matter for oral argument arid, call for the
submission of proposed findings,
conclusions, briefs, or. memoranda of
law. The Presiding Officer shall rule on
the motion not more than 30 days after
the date responses to the motion are
filed under paragraph (b) of this section.
   (e) If all factual issues are decided by
summary determination, no hearing will
be held and the Presiding Officer shall
prepare an initial decision under
§ 124.89. If summary determination is
denied or if partial summary
determination is granted, the Presidinn
•Officer shall issue a memorandum
opinion and order, interlocutory in

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                                                              . •'               •             *

   335D2       Federal Register / Vol. 45. No.  98 / Monday.  May 19. 1980 / Rules  and Regulations
   character, and the hearing will proceed
   on the remaining issues. Appeals from
   interlocutory rulings are governed by
   §124.90.
     (f) Should it appear from the affidavits
   of a party opposing a motion for
   summary determination that he or she
   cannot for reasons stated present, by
   affidavit or otherwise, facts essential to
   Justify his or her opposition, the
   Presiding Officer may deny the motion
   or order a continuance to allow
   additional affidavits or other
   information to be obtained or may make
   such other order as is just and proper.

   § 124.85  Hearing procedure.
     (a)(l) The permit applicant always
   bears the burden of persuading the
   Agency that a permit authorizing-
   pollutants to be discharged should be
   Issued and not denied. This burden does
   not shift
    [Note.—In many cases th« documents
   contained In the adminlitrnUva record, in
   particular tha fact sheet or statement of basil
   and (he response to comments, should
   •dcquilely discharge this burden.]       ~
    (2) The Agency has the burden of
  going forward to present an affirmative
  case in support of any challenged
  condition of a final permit
   - (3) Any hearing participant who, by
  raising material issues of fact, contends:
    (i) That particular conditions or
  requirements in the permit are improper
  or invalid, and who desires either
    (A) The inclusion of new or different
  conditions or requirements: or
    (B) The deletion of those conditions or
  requirements; or
   ' (II) That the denial or issuance of a
  permit is otherwise improper or invalid,
  shall have the burden of going forward
  to present an affirmative case at the
  conclusion of the Agency case on the
  challenged requirement
    (b) The Presiding Officer shall conduct
  a fair and impartial hearing, take action.
  to avoid unnecessary delay in the
  disposition of the proceedings, and
  maintain order. For these purposes, the
 ' Presiding Officer may:
   (1) Arrange and issue notice of the
  date. time, and place of hearings and
  conferences;
   (2] Establish the methods and
  procedures to be used in the
  development of the evidence:'
   (3) Prepare, after considering,the
• views of the participants, written
 statements of areas of factual
  disagreement among the participants;
  ^ (4) Hold conferences to settle,
 simplify, determine, or strike any of the
 issues in a hearing, or to consider other
 matters that may facilitate the
 expeditious disposition of the hearing;
   (5) Administer oaths and affirmations}
     (6) Regulate the course of the hearing
   and govern the conduct of participants:
     (7) Examine witnesses;
     (8) Identify and refer issues for
   interlocutory decision under § 124.90;
     (9) Rule on, admit, exclude, or limit
   evidence:
     (10) Establish the time for filing
   motions, testimony, and other written
   evidence, briefs, findings, and other
   submissions; •
     (11) Rule on motions and other
  procedural matters pending before him,
  including but not limited to motions for
  summary determination in accordance'
.  with i 124.84:
   • (12) Order that the hearing be
  conducted in stages whenever the
  number of parties is large or the issues
  are numerous and. complex^.
    (13) Take any action not inconsistent
  with the provisions of this Subpart for
  the maintenance of order at the hearing
  and for the expeditious, fair, and
  impartial conduct of the proceeding;
    (14) Provide for the testimony of
  opposing witnesses to be heard
  simultaneously or for such witnesses  to
  meet outside the hearing to resolve or
 ' isolate issues or conflicts;
    (IS) Order that trade secrets be
  treated as confidential business
  information in accordance with § 122.19
  and 40 CFR Part 2: and
   (16) Allow such cross-examination as
  may be required for a full and true
  disclosure of the facts. No cross-
  examination shall be allowed on
  questions of policy except to the extent
  required to disclose tha factual basis for
  permit requirements, or on questions of
  law, or regarding matters (such as the
  validity of effluent limitations
  guidelines) that are not subject to
  challenge in an evidentiary hearing. No
  Agency witnesses shall be required to
  testify or be made available for cross-
  examination on such matters. In
  deciding whether or not to allow cross-
  examination, the Presiding Officer shall
 consider the likelihood of clarifying or
 resolving a disputed issue of material
 fact compared to other available
* methods. The party seeking cross-
. examination has the burden of
 demonstrating that this standard has
 been met           .
   (c) All direct and rebuttal evidence at
 an evidentiary hearing shall be
 submitted in written form, unless, upon
 motion and good cause shown, the
 Presiding Officer determines that oral
 presentation of the evidence on any'
 particular fact will materially assist in
 the  efficient identification and
 clarification of the issues. Written
 testimony shall be prepared in narrative
form. •     '
    (d)(l) The Presiding Officer shall,
  admit all relevant, competent. ana
  material evidence, except evidenL
  is unduly repetitious. Evidence may ,
  received at any hearing even though
  inadmissible under the rules of evidence
  applicable to judicial proceedings. The
  weight to be given evidence shall be
  determined by its reliability and
  probative value.
    (2) The administrative record required
  by § 124.18 shall be admitted and
  received in evidence. Upon motion by
  any party the Presiding Officer may
  direct that  a witness be provided to     '
  sponsor a portion or portions of the
  administrative record. The Presiding
  Officer, upon finding that the standards
  in 5 124.8S(b)(3) have been met. shall
  direct the appropriate party to produce
  the witness for cross-examination. If a '
  sponsoring witness cannot be provided,
  the Presiding Officer may reduce the
  weight accorded the appropriate portion
  of the record.
   [Note.—Receiving the administrative
  record Into evidence automatically serves
  several purposes: (I) it documents the prior
  course of the proceeding; (2) it provides a
  record of the views of affected persons for
  consideration by the agency decisionmaken
  and (3) it provides factual material for use by
  the derisiotunaker.) .            '

   (3) Whenever any evidence or
 testimony is excluded by the Pres*
 Officer as Inadmissible, all such
 evidence or testimony existing in
. written form shall remain a .part of the
 record as an offer of proof. The party
 seeking the admission of oral testimony
 may make an offer of proof, by means of
 a brief statement on the record
 describing the testimony excluded.
   (4) When two or more parties have
 substantially similar interests and
 positions, the Presiding Officer may
 limit the number of attorneys or other
 party representatives-who will be
 permitted to cross-examine and to make
 and argue motions and objections on.
 behalf of those parties. Attorneys may,
 however, engage in cross-examination
 relevant to matters not adequately
 covered by previous cross-examination.
  (5) Rulings of the Presiding Officer on
 the admissibility of evidence or
 testimony, the propriety of cross-
 examination, and other procedural
 matters shall appear in the record and
 shall control further proceedings, unless
 reversed as  a result of an interlocutory
 appeal taken under § 124.90.
  (6) All objections shall be made
 promptly or  be deemed waived. Parties
 shall be presumed to have taken
 exception to an adverse ruling. N<;
 objection shall be deemed waived—
 further participation in the hearing?

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               Federal Register / Vol.  45. No. 98 /  Monday.  May 19, I960 /Rules  and Regulations       33503
  5124.86 Motions^
  .  (a) Any party may file a rnoUon
  [including a motion to dismiss a
  particular claim on a contested issue).
  With the Presiding Officer on any matter
  relating to the proceeding. All  motions
  shall be 5n writing and served  as
  provided in 1124.00 except those made
 . oh the record during an oral hearing
  before the.Presiding Officer. •>
    (bj Within 10 days after service of any
  written motion, any part to the   '
  proceeding may file « response to, the
  motion. The time for response  may be
  shortened to 3 days or extended for an
  additional 10 days by the Presiding
  Officer for good cause shown.
    
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     335P4       Federal Register / Vol. 45. No
     ^		
           98  / Monday.  May 19. 1980  / Rules and Regulations
       fj) A finding of fact or conclusion of
     law which is clearly erroneous, or
       (ii) An exercise o'f discretion or policy
     u-hich la important and which the
     Administrator should review.
       (2) Within 15 days after service of a
     petition for review under paragraph
     (aj{l) of this section, any other party to
     the proceeding may file a responsive
     petition.
      (3) Policy decisions made or legal
     conclusions drawn in the course of
     denying a request for an evidentiary
 ^  hearing may be reviewed and changed
    by the Administrator, in an appeal under
    this section.
      (b) Within 30 days of an Initial
    decision or denial of a request for an
    evidentiary hearing the Administrator
    may, sua sponte, review such decision.
    Within 7 days after the Administrator
    hns decided under this section to review
    an inilial decision or the denial of a
    request for an evidentiary hearing,
    notice of that decision shall be served
    by mail upon all affected parties and the
    Regional Administrator.
     (cj(l) Within a reasonable time
   following the filing of the petition for
   review, the Administrator shall issue an
   order either granting or denying the
   petition for review. When the
   Administrator grants a petition for
   review or determines under paragraph
   (b) of this section to review a decision,
   the Administrator may notify the parties
   that only certain issues shall be briefed.
     (2) Upon granting a petition for
   review, the Regional Hearing Clerk shall
   promptly forward a copy of the record to
   the Judicial Officer and shall retain a
   complete duplicate copy of the record in
   the Regional Office.
     (dj Notwithstanding the grant of a
   petition for review or a determination
   under paragraph (b) of this section to
   review a decision, the Administrator
•  may summarily affirm without opinion
  an initial decision or the denial of a
  request for an evidentiary hearing.
    (e) A petition to the Administrator
  under paragraph fa) of this section for
  review of any initial decision or the   .
  denial of an evidentiary hearing is,
  under S U.S.C. § 7O4. a^rcrequisite to
  the seeking of Judicial review of the final
 decision of the Agency.
    (f) Ifa party timely files a petition for
 review or if the Administrator sua
 sP°nt* ortjcrs review, then, for purposes
 of judicial review, final Agency action
 on an issue occurs as follows:
    (I) It the Administrator denies review
 or summarily affirms without opinion as
 provided in 5124.91(d), then the initial
 decision or denial becomes the final
 Agency action and occurs upon the
 service of notice of the Administrator's
 action..  •
      (2) If the Administrator issues a
    decision without remanding the
    proceeding then the final permit.
    redrafted as required by the
    Administrator's original decision, shall
    be reissued and served upon all parties
    to the appeal.       <
      (3) If the Administrator issues a
    decision remanding the proceeding, then
    final Agency action occurs, upon
    completion of the remanded proceeding,
    including any appeals to the
   Administrator from the results of the
   remanded proceeding.  '
     fg) The petitioner may file a brief in
   support of the petition within 21 days
   after the Administrator has granted a
   petition for review. Any other party may
   file a responsive brief within 21 days of
   service of the petitioner's brief. The
   petitioner then may file a reply brief
   within 14 days of service of the
   responsive brief. Any  person may file an
   amicus brief (or the consideration of the
   Administrator within the same time
   periods that govern reply briefs. If the
   Administrator determines, sua sponte, to
   review an initial Regional
   Administrator's decision or the denial of
   a request for an evidentiary hearing, the
  Administrator shall notify the parties of
  the schedule for filing briefs.
    (h) Review by the Administrator of an
  initial decision or the denial of an
  evidentiary hearing shall be limited  to
  the issues specified under paragraph (a)
  of this, section, except that after notice
  to all. parties, the Administrator may
  raise and decide other matters which he
  or she considers material on the basis of .
  the record.
 Subpart F—Non-Adversary Panel
 Procedures
,'5124.111  Applicability.
   (a) Except as set forth in this Subpart,
 this Subpart applies in lieu'of, and to
 complete exclusion of. Subparts A
 through E in the following cases:
   (l)(i) In any proceedings for the
 issuance of any NPDES permit which
 constitutes "initial licensing" under the
 Administrative Procedure Act. when the
 Regional Administrator elects to apply
 this Subpart and explicitly so states in
 the public notice of the draft permit
 under § 124.10 or in a supplemental
 notice under 5 124.14. If an NPDES draft
 permit is processed under this Subpart. '
 any other draft permits which have been
 consolidated with the NPDES draft
 permit under § 124.4 shall likewise be
 processed under this Subpart. except for
 PSD permits when the Regional  ,
 Administrator makes a finding under
 § 124.4(e) that consolidation would be
likely to result in missing the one year
    statutory dea'dline for issuing a f
    PSD permit under the CAA.
      (ii) "Initial licensing" includes
    the first decision on an NPDES permit
    applied for by a discharger that has not
    previously held one and the first
    decision on any variance requested bv a
    discharger.
     (iii) To the extent this Subpart is used
    to process a request for a variance
   under CWA section 301(h). the term
   "Adminstrator or a person designated
   by the Administrator" shall be
   substituted for the term "Regional
   Administrator".
    • (2) In any proceeding for which a
   hearing under this Subpart was granted
   under 5 124.75 following a request for a
   formal hearing under 5 124.74. See
   §§124.74(c)(8)andl24.75(a)(2).  -
     (3) Whenever the.Regional
   Administrator determines as u matter of
   discretion that the more .formalized
   mechanisms of this Subpart should be   .
   used to process 'draft NPDES general
 .  permits (for which evidentiary hearings
   are unavailable under § 124.71). or draft
   RCRA  or draft UIC permits.
    (b) EPA shall not apply these •
  procedures to a decision on a variance
  where Subpart E proceedings are  '
  simultaneously pending on the other
  conditions of the permit. See § 124jflttih

  § 124.112  Relation to other subpartBHjf
    The following provisions of SubparTd
  A through E apply to proceedings under
  this Subpart:
    (a)(l) §5 124.1 through 124.10.
    (2) § 124.14 "Reopening of comment
 period."
    (3) § 124.16 "Stays of contested permit
 conditions."
    (4) § 124.20 "Computation of tim«."
   (b)(l) § 124.41 "Definitions applicable
 .to PSD permits."
   (2) § 124.42 "Additional procedures for
 PSD permits affecting Class I Areas "
   (c)(l)§§ 124.51 through 124.56.
   (2) § 124.57 (c) "Public notice."
   (3) §§ 124.58 through 124.66.
   (d)(l)  § 124.72 "Definitions." except
 for the definition of "Presiding Officer "
 see § 124.119.
   (2) § 124.73 "Filing."
   (3)§ 124.78 "Exparte
 communications."
   (4) § 124.80 "Filing and service "
.   (5) § 124.85(a) (Burden of proof)
   (6) § 124.86 "Motions."
   (7) § 124.87 "Record of hearings."
   (3) § 124.90 "Interlocutory appt-al."
   (e) In the case of permits to which this
Subpart is made applicable after a Final
permit has been issued under § 124.
either by the grant under § 124.75 o
hearing request under § 124.74. or bj
notice of supplemental proceedings

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                Federal Register /Vol. 45, No. 98 / Monday. May 19. 1980 / Rules, and  Regulations        33505
  under 1124.14. § 5 124.121 and 124.76
  shall also apply.            .  '

  § 124.1,13  Public notice of draft permits
  and pu&iic comment period.
    Public notice of a draft penr.it under
  this Subpart shall be aivcn -as provided '
  in § 3 124.10 and 124,57. At the discretion
 , of the Regional Administrator, the public
  comment period specified in this notice
  may include an opportunity for a public"
  hearing under § 124.12.            .  :

  5 124.114  Request for hearing.
    (a) By the close of the'comment period
  under S 124.113. any person may request
  the Regional Administrator to hold a
  panel hearing on the .draft'permit by
,  submitting a written request containing ,•
  the following:        .••'.'•
    (1) A brief statement of the interest of
 . the person requesting the, hearing:
    (2} A statement of any objections to
  the draft permit;
    (3) A statement of the issues which
  such person proposes to  raise for
  consideration at the hearing; and
    (4) Statements meeting the
  requirements of 5 124.74(c]'l)-{5).
    (b) Whenever (1) a written request
  satisfying the requirements of paragraph
  (a) of this section has been received and
 presents genuine issues of material fact.
 or (2) the Regional Administrator
 determines sua sponle that a hearing
 under this  Subpart is necessary or
 appropriate, the Regional Administrator '
 shall notify each person requesting the
 hearing and the applicant, and shall
 provide public notice under 5 124.57(c).
 If the Regional  Administrator •
 determines that a request does not  meet'
 the requirements of paragraph (a) of this
 section or does not present genuine
 issues of fact the Regional
 Administrator may deny  the request for
 the hearing and shall serve written
 notice of that determination on all
 persons requesting the hearing.
    (q) The Regional Administrator may
 also decide before a  draft permit is
 prepared under § 124.8 that a hearing
 should be held under this section. In
 such cases, the1 public notice.of the  draft
 permit shall explicitly so state and shall
 contain the information required by   '
 § 124.57{c). This notice may also provide
 for a hearing under § 124.12 before a
 hearing is conducted under, this section.

 § 124.115 Effect of denial of or absence of
 request for hsaring.
   If no request for a hearing is niade
 under S-124,114. or if all such request are
 denied under that section, the Regional
 Administrator shall then prepare a
 recommended decision under § 124.124.
 Any. person whose hearing request has
 been denied may then appeal that
  recommended decision to-the
  Administrator as provided in § 124.91.  •

  1124;116  Notice.of Jhearing.
    (a) Upon granting a request for a
  .hearing under § 124.114 the Regional
  Administrator shall promptly publish a.
  notice of the hearing as required under '
  5 124.57(c). The mailed notice shall
  include a statement which indicates
  whether the Presiding Officer or the
  Regional Administrator will issue the
  Recommended decision. The mailed
  notice shall also allow the participants
  at least 30 days to submit written
  comments a» provided under J 124.118.
   (b) The Regional Administrator may
  also give notice of a hearing under this
  section at the same, time as notice of a
  draft permit under § 124.113. In that case
  the. comment periods under 55 124.1-13
.  and 124.118 shall be merged and held as
  a single public comment period. •
   ,{c) The Regional Administrator may
 • also give notice of hearing under this
  section in response to a hearing request '
  under 5 124.74 as provided in 5 124.75.

  $124.117 Request to participate In
  hearing.
   (a) Persons desiring to participate in
  any hearing noticed under this section,
  shall file a request to participate with
  the Regional Hearing Clerk before the
 'deadline set forth in the notice of the
 grant of the hearing. Any person filing
  such a request becomes a party to the
 proceedings within the meaning of the
 Administrative Procedure Act. The
 request shall include:
   (1) A brief statement of the interest of
 the  person in,the proceeding;
   (2) A brief outline of the points to be
 addressed;
   (3) An estimate of the  time required;
 and    '   .     .                     .
   (4] The requirements of 5 124.74(c)(I}-
 (5).
   (5} If the request is submitted by an
 organization, a nonbinding list of the •
 persons to take part in'the presentation..
   (b) As soon as-practicable, but in no
 event later than 2 weeks before the
 scheduled date of the hearing, the
 Presiding Officer shall make a hearing
'.schedule available to the public and    '
 shall mail it to each person who
 requested Ib participate in the hearing.

 §12*.118 Submission of written
comments on draft permit.   .
   (a) No later than 30 days before the
scheduled start of the hearing (or such
other date as may be set forth in the  '
notice of hearing), each party shall file-
all of its comments on the draft permit,
based on information in the
administrative record and any other
information which is or reasonably
  could have been available to that party.
  All comments shall include any
 ' affidavits, studies, data, tests, or other
  materials relied upon for making any
  factual statements in the comments*"
    (b)(l) Written comments filed under
  paragraph (n) of this section shall   ..
  constitute the bulk of the eviderice
  submitted at the hearing. Oral
  statements at the hearing should be  ,
  brief and in the nature of argument.  ,
  They shall be restricted either to points
  that could not have been made in
  written comments, or to emphasize
•  points which are made in the comments,
  but which the party believes can more
  effectively b,e argued in the hearing  '
•  context.
    (2) Notwithstanding the foregoing,
,  within-two weeks prior to the deadline
  specified in paragraph (a).of this section
  for the filing of comments, any party
  may move to submit all or part of its
  comments orally at the hearing in lieu of
  submitting written comments and the
 .Presiding Officer shall/within one week.
  grant such motion if the Presiding
  Officer finds that the party will be
  prejudiced if required to submit the
  comments in written form.
    (c) Parties to any hearing may submit
  written material in response to the
 comments filed by other parties under
 paragraph (a) of this section at the time
  they appear at the panel stage of the
 hearing under § 124.120.°  '             •

 § 124.11?  Presiding Officer.
  . .(aKl)(i) Before giving notice of a
 hearing under this Subpart in a
 proceeding involving an NPDES permit,
 the Regional Administrator shall request
; thaUhe Chief Administrative Law Judge
 assign an Administrative-Law Judge as
 the Presiding Officer. The Chief
 Administrative Law Judge shall ihon  •
 make the assignment.              •  •
   (ii)'If all parties to such a henring
 waive in writing their statutory right to
 have an Administrative Law.Judge
 named as the Presiding Officer in a
 hearing subject to this subparagraph the
 Regional Administrator may name a
 Presiding Officer under paragraph
 (a)(2)(ii) of this section.
   (2) Before giving notice of a hearing
 under this Subpart in a proceeding'     '
 which does not involve an NPDES
 permit or a RCRA permit  termination.
 thri Regional Administrator shall either:
   (i) Request that the Chief
 Administrative Law Judge assign an  .
 Administrative Law Judga"as the
'Presiding Officer. The Chief
 Administrative Law, Judgs may
 thereupon make such an iassignment if  •
 he concludes that the other duties of his
 office allow, or      .     •   ...  '

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   33506       Federal Register / Vol.  45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
     (ii) Name a lawyer permanently or
   temporarily employed by the Agency
   and without prior connection with the
   proceeding to serve as Presiding Officer:
     (Hi) If the Chief Administrative Law
   Judge declines to name an
   Administrative Law Judge as Presiding
   Officer upon receiving a request under
   aubparagraph (2)(i) of this section, the
   Regional Administrator shall name a
   Presiding Officer under paragraph
   M(2P) of this section.              "
     (fa] It shall be the duty of the Presiding
   Officer to conduct a fair and impartial
   hearing. The Presiding Officer shall have
   the authority:
     (1) Conferred by § 124.85(b)(lHl5).
   § 124,83(b) and (cj. and;
     (2) To receive relevant evidence.
   provided that all comments under"
   §§ 124.113 and 124.118. the record of the
   panel hearing under § 124.120. and the
   administrative record, as defined in
   § 124.9 or in §-124.18 as the case may be
   shall be received in  evidence, and
    (3) Either upon motion or sua sponle.
  to  change the date of the hearing under*
   § 124.120. or to recess such a hearing
  until a future date. Jn any such case the
  notice required by §  124.10 shall be
  given.

  §124.120  P«msl hearing.
   (a) A Presiding Officer shall preside at
  each hearing held under this Subpart.
  An EPA panel shall also lake part in the
  hearing. The panel shall consist of three
  or'more EPA temporary or permanent
  employees having special expertise or
  responsibility in areas related to the
  hearing issue, at least two or whom
  shall  not have taken part in writing the
  draft  permit. If appropriate for the
  evaluation of new or different issues
  presented at the hearing, the panel
  membership, at the discretion of the
 Regional Administrator, may change or
 may include persons not employed by
  **
   tb) At the time of the hearing notice
 under § 124.118. the Regional
 Administrator shall designate the
 persons who shall serve as panel  '
 members for the hearing and the
 Regional Administrator shall file with
 the Regional Hearing Clerk the name
 and address of each person so
 designated. The Regional Administrator
 may also designate EPA employees who
 •Witt, provide staff support to the panel
 but who may or may not serve as panel
 members. The designated persons shall
 be subject to the exparte rules in
 § 124.78. The Regional Administrator
may also designate Agency trial staff as '
defined in § 124.78 for the hearing.
  fc) At any time before the close of the
hearing the Presiding Officer, after
consultation xvith the panel, may request
    that any person having knowledge
    concerning the issues raised in the
    hearing and not then scheduled to
    participate therein appear and testify at
    the hearing.
     (d) The panel members may question
    any person participating in the panel
   hearing. Cross-examination by persons
   other than panel members shall not be
   permitted at this stage of the proceeding
   except when the Presiding Officer
   determines, after consultation with the
   panel that the cross-examination would
   expedite consideration of the issues.
   However, the parties may submit
 .  written questions to the Presiding
   Officer for the Presiding Officer to ask
   the participants, and the Presiding
   Officer may, after consultation with the
   panel, and at his or, her sole discretion,
   ask these questions.
    (e)i At any time before the close of the
   hearing, any party may submit to the
   Presiding Officer written questions
   specifically directed to any person
   appearing or testifying in  the hearing.
  The Presiding Officer, after consultation
  with the panel  may. at his sole
  discretion, ask the written question so
  submitted.
    (f) Within 10 days after  the close of
  the hearing, any party shall submit such
  additional written testimony, affidavits,
  information, or material as they consider
  relevant or which the panel may
  request. These additional submissions
  shall be filed with the Regional Hearing
  Clerk and shall be a part of the hearing
  record.
  $124.121  Opportunity for crou-
  examlnatlon.
   (a) Any party to a panel hearing may
  submit a written request to cross-
  examine any issue of material /act.'The
  motion shall be submitted to the
  Presiding Officer within 15 days after a
  full transcript of the panel hearing is
  filed with the Regional Hearing Clerk
 and shall specify:
   (1) The disputed issue(s} of material
 fact. This shall include an explanation
 of why the questions at issue are factual
 rather than of an analytical or  policy
 nature, the extent to which they are in
 dispute in light of the then-existing
 record, and the extent to which they are
 material to the decision on the
 application: and
   (2) The person(s) to be cross-
 examined, and an estimate of the time
 necessary to conduct the cross-
 examination. This shall include a
.statement explaining how the cross-
 examination will resolve the disputed
 issues of material fact.  ; •
  (b) After receipt of all motions for
 cross-examination under paragraph (a)
 of this section, the Presiding Officer.
   after consultation with the hearing
   panel, shall promptly issue an ordiL.
   either granting or denying each requi
   Orders granting requests for cross-
   examination shall be served on all
   parties and shall specify:
     (1) The issues on which cross-
   examination is granted:  '
     (2) The persons to be'cross-examined
   on each issue;
     (3) The persons allowed to conduct
   cross-examination;
     (4) Tune limits for the examination of
   witnesses by each cross-examiner; and
     (5) The date. time, and place of the
   supplementary hearing at which cross-
   examination shall take place.
     (c) In issuing this order, the Presiding
   Officer may determine that two or more
   parties have the same or similar
   interests and that to prevent unduly
   repetitious cross-examination, they
   should be required to choose a single
   representative for purposes of cross-
   examination. In that case, the order
   shall simply assign time for cross-
   examination without further identifying
   the representative. If the designated
  parties fail  to choose a single
  representative, the Presiding Officer •
  may divide the assigned time among the
  representatives or issue any other order
  which justice may require.
    (d) The Presiding Officer and. to ,.
  extent possible, the members of the T
•  hearing panel shall be present at the
  supplementary hearing. During the
  course of the hearing, the Presiding
  Officer shall have authority to modify
  any order issued under paragraph (b) of
  this section. A record will be made
  under § 124.87.
   (e)(l) No later than the time set for
  requesting cross-examination, a party
  may request that alternative methods of
  clarifying the record (such as the
  submission of additional written
  information) be used in lieu of or in
  addition to cross-examination. The
 Presiding Officer shall issue an order
 granting or denying this request at the
 time he or she issues (or would have
 issued) an order granting or denying a
 request for cross-examination, under
 paragraph (b) of this section. If the
 request for an alternative method is
 granted, the order shall specify the
 alternative and any other relevant
 information (such as the due date for
 submitting written information).
   (2) In passing on any request for
 cross-examination submitted under
 paragraph (a) of this section, the
 Presiding Officer may, as a precondition
 to ruling on the merits of the request,
require alternative means of clarifyiq
the record to be used whether or not\
request to do so has beeri made. The
party requesting cross-examination shall
L4A«4WA«,

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Federal Register / Vol.  45. No. 98  /Monday. May 19. 1980 / Rules and Regulations
                                                                                                                   33507
   have one week to comment on-the'
   results of using the alternative method.
   After considering these comments the
   Presiding Officer shall issue an order
   granting or denying the re.quest for.'
   cross-examination.
     (f) The provisions of 5 124.85[dj(2)
   •apply to. proceedings under this Subpart

   9124.122 Record for final permit
     The record on which the final permit
   shall be based in any proceeding under
   this Subpart consists of:
     (a) The administrative record
   compiled under { § 124.9 or 124.18 as the
   case may be;                 .
     (b) Any material submitted under
   9124.78 relating to ex parts contacts;
     (c) All notices issued under § 124.113;
     (d) All requests for hearings..and
   rulings on those requests, received or
   issued under § 124.114;
     (e) Any notice of hearing issued under
 ,'  §24.116;  •  •     . '
     (f) Any request to participate in the
   hearing received under § 124.117;
     (g)'All comments submitted under
   § 124.118, any motions made under that
   section and the rulings on them, and any
   comments filed under S 124.113;
     (h) The full transcript and other
   material received into the record of the
  -panel hearing under .§-124.120:
     (i) Any motions for, or rulings on.
  •cross-examination filed or issued under
   5124.121;
    (j) Any motions for, orders for. and the
  results of, any alternatives to cross-
  examination under § 124.121; and
   1 (k) The full transcript of any cross-
  examination held.                    ;

  §124.123  Filing of brief, proposed
  findings of fact and conclusion* of law and
  proposed modified permit
    Unless otherwise ordered by the
  Presiding Officer, each party may.
  within 20 days after all requests for
  cross-examination are denied or after a
  transcript of the full hearing including
  any cross-examination becomes  ,
  available, submit proposed findings of
  fact; conclusions regarding material
  issues of law. fact, or discretion; a
  proposed modified permit (if .such   ,
  person is urging that the draft or final  •
  permit be modified); and a brief in
  support thereof; together with references
  to relevant pages of transcript and to
  relevant exhibits. Within 10 days
  thereafter each party may file a reply
  brief concerning matters contained in
  opposing briefs and containing
  alternative findings of fact; conclusions
:  regarding material issues of law, fact, or
  discretion; and a proposed modified
 permit where appropriate-Oral
 argument may be held at the discretion
                           of the Presiding Officer on motion of any
                           party or sua sponte. •' •           '    '

                           § 124.124  Recommended decision.
                            The person named to prepare the
                           decision shall, as soon as practicable
                           after the conclusion of the hearing,
                           evaluate the record of the hearing and
                          .prepare arid file a recommended
                           decision with the Regional Hearing
                         m. Clerk. That person may consult with.
                         *  and receive assistance from, any '
                           member of the hearing panel in drafting
                           the recommended decision, and may  '
                           delegate the preparation of the
                           recommended decision to.the panel or to
                           any member or members of it This   .
                           decision shall contain findings of fact
                          Conclusions regarding all material issues
                          of law, and a recommendation as to
                          whether and in  what respect the draft or
                          final permit should be modified. After
                          the  recommended decision has been
                          filed, the Regional Hearing Clerk shall
                          serve a copy of  that decision on each
                          party and upon  the Administrator.

                          § 124.125  Appeal from  or review of
                          recommended decision.
                            (a](l) Within 30 days after service  of
                          the recommended decision, any party ,
                          may take exception to any matter set
                          forth in that decision or to any adverse
                          order or ruling of the Presiding Officer to
                          which that party objected, and may
                          appeal those exceptions to the
                         Administrator as provided in § 124.91.
                         . except that references  to "initial
                         decision" will mean recommended
                         decision under § 124.124.

                         §124.126  Final decision.
                           As soon as practicable after all appeal
                         proceedings have been'completed, the
                         Administrator shall issue a final
                         decision, That final decision shall
                         include findings  of fact; conclusions
                         regarding material issue of law, fact, or
                         discretion, as well as reasons therefore;
                         and a modified permit to the extent
                         appropriate. It may accept or reject all
                         or part of the recommended .decision.
                         The Administrator may delegate some
                         or all of the work of preparing this
                         decision to a person or persons without
                         substantial prior connection with the
                        . matter. The Administrator or his or her
                         designee may consult with the Presiding
                         Officer, members of the hearing panel,
                         or any other EPA employee other than
                         members of the Agency Trial Staff under
                         § 124.78 in preparing the final decision.
                         The Hearing Clerk  shall file a copy of
                         the decision on all parties.

                         §124.127  Final decision if there Is no
                         review.
                           If ho party appeals a recommended
                         decision to the Administrator, and if the
                         Administrator does not elect to review
   it. the recommended decision becomes
   the final decision of the Agency upon
   the expiration of the time for filing any
   appeals.                 '

   § 124.128  Delegation of authority; time
   limitations.      •'

  . (a) The Administrator may delegate to
   a Judicial Officer any or all of his or her
   authority under this Subpart.       • .
    (b) The failure of the Administrator,
  Regional Administrator, or Presiding
  Officer to do any act within the time
  periods specified under  this Part shall ,
  not waive or diminish-any right, power,
  or authority of the United States
  Environmental Protection Agency.
   . (c) Upon a showing by any^party that
  it has been prejudiced by a failure of the
  Administrator, Regional Administrator,
  or Presiding Officer to do any act within
  the time periods specified under this
  Part the Administrator, Regional
  Administrator, or Presiding Officer, as
  the case may,be, may grant that party
  such relief of a procedural nature
  (including extension of any time for
  compliance or other action) as may be
  appropriate.         .     .  • •  •     -

  Appendix A to Part 124—Guide to
  Detisioiimaking Under Part 124.
   This Appendix is designed to assist in
  reading the procedural requirements set out  ,
  in Part 124. It consists of two flow charts.
   Figure 1 diagrams the more conventional
  sequence of procedures EPA expects to  .
•  follow in processing permits under this Part.
  It outlines how a permit will be applied for.
  how a draft permit will be prepared and
  publicly noticed for comment, and how a
  final permit will be issued under the
'  procedures in Subpart A.         '
   This permit-may then be appealed to the
  Administrator, as specified both in Subpart A
  (for P.CRA, UIC, or PSD permits), or Subpart
  E or F (for NPDES  permits). The first flow
  chart also briefly outlines which p«rmit
  decisions are eligible for which types qf   '.
  appeal.   '          '          . '  "
   Part 124 also contains special "non-
  adversary panel hearing" procedures based
  on the "initial licensing" provisions of the
 Administrative Procedure Act. These
 procedures are set forth in Subpart F. In some
 cases:EPA may only decide"to make those,
 procedures applicable after it has gone
  through the normal Subpart A procedures on
 a draft permit. This process is also
 diagrammed in Figure 1.
   Figure 2 sets forth the general procedure to
 be followed where these Subpart F
 procedures  have been made  applicable to a
 permit from the beginning.
   Both flow charts outline a  sequence of
 events directed by arrows.'The boxes set
 forth elements of the permit process; and 'the •
diamonds indicate  key decisionmakjng points
in the permit process.         •
   The charts are discussed in more detail
below.

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    33503
Federal  Register  / Vol.  45. No. 98 /  Monday.  May 19. 1930 / Rules  and Regulations
    Figure 1—Conventional EPA Permitting
    Procedures
      This chart outlines the procedures for
    issuim?,perrmts whenever EPA does not make '.
    use of the special "panel hearing" procedures
   ' in Subpart F. The major steps depicted on
    this chart are as follows:
      l.The permit process can begin in any one
    of the following ways:
      a. Normally, the process win begin when a
    person applies for a permit under I § 122.4
    andJ24J.
      b. In other case*. EPA may decide to take
    •ctioa oa its own initiative to change a
    permit or Jo issue • general permit This lends
    directly to preparation of a draft permit under
    1124,8.                           .
      c. In addition, the permittee or any
    Interested person (other than for PSD
    permits) may. request modification.
    revocation juid reissuance or termination of a
   permit under f f 122.15.122.16 and 124.5.
     Thosa requests can be handled in either of
   two ways:
     I. EPA may tentatively decide to grant the
   request and issue a new draft permit for
   public comment, either with or without
   requiring a new application.
     II. If the request is denied, an Informal
   appeal to the Administrator is available.
    2, Thanext major step in the permit
   process is tha preparation of a draft permit
   A* the chart indicates, preparing a  draft
   permit also require* preparation of either a
   slatemcnl of basis (| 124.7J. a fact sheet
   (1124 J) or. compilation of an "administrative
   record" (J 124,8), and public notice (i 124.10).
    3. The next stage is the public comment
   period (i 124.17). A public hearing under
   i 124.12 may be requested before the close of
   the public comment period.
    EPA has the discretion to hold a public
  hearing, even if there were no requests during
  (he public comment period. If EPA decides to
  schedule one. the public comment period will
  be extended through the dose of the hearing.
  EPA alto has the discretion to conduct the
  public bearing under Subpart F panel
  procedure*. (See Figure 2.)
    The regulations provide that all arguments
  and factual materials that a person wishes
  EPA to consider in connection with a
  particular permit must be placed in the record
'  by the close of the public comment period

    4. Section 124.14 state* that EPA. at any
  time before issuing • final permit decision
  may decide to eHber reopen or extend the
_ comment period, prepare a new draft permit
 and begin th* proces* again from that point
 or for RCRA and UIC permits, or for NPDES
 permiu that constitute-initial licensing1*, to
 begin "panel hearing- proceeding* under
 Subpart F. These various results are shown
 schematically.
   5. The public coment period and any public
 hearing will be followed by issuance of a
 final permit decision (i J24.1S). As the chart
 shows, the final permit must be accompanied
 by a response to comment* (| 124.17) and be
cased on the administrative record (1124.18).
   8. After the final permit is issued, it may be
appealed to higher agency authority. The
exact form of the appeal depend* on the type
of permit involved.                  ,
                               a. RCRA.UIC or PSD permits standing
                             alone will b'e appealed directly to the
                             Administrator under § 124.19.
                               b. NPDES permits which do not involve
                             "initial licensing" may be appealed in an
                             evidentiary hearing under Subpart E. The
                             regulations provide (| 124.74) that if such a
                             hearing is granted for an NPDES permit and if
                             RCRA or UIC permits have been consolidated
                             with that permit under i 124.4 then closely
                           •  related condition* of those RCRA or UIC
                             permit* may be reexamined in an evidentiary
                            hearing. PSD permit*, however, may never be
                            reexamined in a Subpart E hearing.
                              c. NPDES permit* which do involve "initial
                            licensing" may be appealed in a panel
                            hearing under Subpart F. The regulation*
                            providethat if such a hearing is granted for
                            an NPDES permit consolidated RCRA. UIC.
                            or PSD permiU may. al*o be reexamined in.  -
                            the same proceeding.
                              As discussed below, thi* i* only one of
                            several way* the panel hearing procedures
                            may be used under these regulations.
                              7. This chart does not show EPA  appeal   '
                           procedures in detail. Procedures for appeal to
                           the Administrator under 5 124.19 are self-
                           explanatory. Subpart F procedures  are
                           diagrammed in Figure 2: and Subpart  EI
                           procedures are basically theaame lna' would
                           apply in any evidentiary hearing.
                             However, the chart at this stage does
                           reflect the provision* of ! I24.80(b). which
                           allow* EPA, even after a formal hearing has
                           begun, to "recycle- a permit back to the draft
                           permit stage at any time before that hearing
                           has resulted in an initial decision.

                           Figure 2—Non-Adversary Panel Procedures
                            , This chort outlines the procedures for
                           processing permit* under the special "panel
                           hearing" procedure* of Subpart F. These
                           procedure* were designed for making
                           decisions that involve "Initial licensing"
                           NPDES permits. Those permits include the
                           first decisions on an NPDES permit applied
                           for by any discharger that has not previously
                           held one. and the first decision on any   •
                           statutory variance. In addition, these
                          procedure*  will be used for any RCRA. UIC.
                          or PSD permit which ha*  been consolidated
                          with such an NPDES permit and may be
                          used, if the Regional Administrator so
                         .chooses, for the issuance of individual  RCRA
                          or UIC permits. The steps depicted on this
                          chart are a* follows;
                            1. Application for a. permit These
                          proceeding* will generally begin with an
                          application, since NPDES initial licensing
                          always will begin with an applica tion.  '
                            2. Preparation of a draft permit This  i*
                          identical to the similar step in Figure 1.
                            3. Public comment period. .This again is
                          identical to the similar step in Figure L.The
                          Regional Administrator has the opportunity
                          to schedule an informal public hearing under
                          1124.12 during this period.
                           4. Requests for a  panel hearing must be
                        . received by the end of the public comment
                         period under § 124.113. See § 124.114. ,
                           If
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           Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations       33509
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 33510
            Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
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          Figure 2-Non-Adversary Panel Procedures
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 33512,
              Federal Register / Vol. 45.. No. 98 / Monday. May 19. 1980 / Rule. .«,
 PART 125— CRITERIA AND
 STANDARDS FOR THE NATIONAL
 POLLUTANT DISCHARGE
 ELIMINATION SYSTEM

   A. Section 125.2 is revised to read as
 follow*:
                                        different factors variances from these
                                        effluent limitations under § 122.53 and
                                        Subpart D of this Part.
                                       '•'
                                       •  f4) Limitations developed under
                                       paragraph (c)(2) of this section majrbe
                                       expressed, where appropriate, in terms
                                       of toxiciry (e.g., "The LC 50 for fat head
                                       minnow of the effluent from outfall 001
                                       shall be greater than 2595"), provided
                                       that is shown that the limits reflect the
£..<«.« 10 me ACT shall mean the      feffio^"^™^ (f°r e,xamPle'

SKKMffiBSSSSr   ESSSSSSSSr**-
1*22- 123 anrl 194 M***.!.. ft. at.;- n. .
 11253  Definitions.
  For the purposes of thf« Part, any
 reference to "the Act" shall mean the
              ,       nons n
122, 123 and 124 apply to this Part
  B. Section 12&3 is amended by:
  1. Revising the introductory text of
paragraphs (aj. (a)(2), (b)(i) and (b](2},
           1
        * Tj  * ljara8rapn icjllj.
     2. Adding paragraphs (c)(4) and (g).

   §125.3  Technology-bated treatment
   requirements In permits.
     (a) General. Technology-based
   treatment requirements under section
   301(b) of the Act represent the minimum
   level of control that must be imposed in
   a permit Issued under section 402 of the
   Act. (See §5122.60.122.81 and 122.82 for
   a discussion of additional or more
   stringent effluent limitations and
   conditions.) Permits shall contain the
   tollowing technology-based treatment
   requirements in accordance with the
   following statutory deadlines:
   •    «...
    (2) For dischargers other than POTWs
  except as provided in § 122.87(d),
  effluent limitations requiring:

    (b) Statutory variances and
  extensions. (1) The following variances
  irom technology-based treatment
  requirements are authorized by the Act
  «nd may be applied for under 5 122.53;

   (2) The following extensions of
  deadlines for compliance with
  technology-based treatment
  requirements are authorized by the Act
  and may be applied for under 5 122.53-
  **"«•«

   (1J Application of EPA-promulgated
 effluent limitations developed under
 section 304 of the Act to dischargers by
 S^J?°.F °r 3ubcateS°ry. These effluent
 limitations are not applicable to the
 SHIS'lhal *ey-h«v« been remanded or
 withdrawn. However. In the case of a
 court remand, determinations
 underlying effluent limitations shall be
 binding in permit issuance proceedings
 where  those determinations are not
required to bereexamlned fay a court
remanding the regulations. In addition,
dischargers may seek fundamentally
                                        Cg)(l) The Director may set a permit
                                      limit for a conventional pollutant at a
                                      level more stringent than the best
                                      conventional pollution control
                                      technology (BCT); or a limit for a
                                      nonconventional pollutant which shall
                                      not be subject to modification under
                                      •"VSaoi'W or (g) of the Act where:
                                        (i) Effluent limitations guidelines
                                      specify the pollutant as an indicator for
                                      a  toxic pollutant, or
                                        (»J(A) The Hmitalion reflects BAT-
                                      level control of discharges of one or
                                      more toxic pollutants which are present
                                      In the waste stream, and a specific BAT
                                      limitation upon the toxic pollutant(s) is
                                      not feasible for economic or technical
                                      reasons:
                                       (B) The permit  identifies which toxic
                                     pollutants are intended to be controlled
                                     by use of the limitation: and
                                       (C) The fact sheet required by 5 124 56
                                     sets forth the basis for the limitation.
                                      ncluding a finding that compliance with
                                     the limitation will result in BAT-level
                                     control of the toxic pollutant discharges
                                      dentified In paragraph (g)(l)(ii)(B) of
                                     uus section, and a finding that it would
                                     be economically or technically
                                   , infeasible to directly limit the toxic
                                     pollutant(s).
                                      (2) The Director may set a permit limit
                                     for a conventional pollutant at a level
                                    m?,7!,?£in8ent than BCT whei«
                                      (i) Effluent limitations guidelines
                                    specify the pollutant as an indicator for
                                    a hazardous substance. or~"
                                      (ii)(A) The limitation reflects BAT-
                                    level control of discharges (or an     '.
                                    appropriate level determined under
                                   ' 8ecti°n 301W or (g) of the Act) of one or
                                    more hazardous substance(s) which are
                                    present in the waste stream, and a
                                    specific BAT (or other appropriate)
                                    limitation upon the hazardous
                                   substance(s) is not  feasible for economic
                                   or technical reasons;
                                     (B) The permit identifies which
                                   hazardous substances are intended to
                                   be controlled by use of the limitation;
                                   and               •
                                     (C) The fact sheet required by § 124 58
                                   sets forth the basis for the limitation.
     including a finding that compliance •
     the limitations will result in BAT-lt^
     (or other appropriate level) control!!
     the hazardous substances dischargesT
     identified in paragraph (g)(2)(ii)(B) of
     this section, and a finding that it would
     be economically or technically
    infeasible to directly limit the hazardous
    substance(s).
      (iii) Hazardous substances which are
    also toxic pollutants are subject to
    Pa,ra££pfl feKl) of this section.
     J3J The Director may not set a more
    stringent limit  under the preceding
    paragraphs if 'the method of treatment
    required tocomply with the limit differs
    from that which would be required if the
    toxic pollutantfs) or hazardous
    substance(s) controlled by the limit
    were limited directly.
     (4) Toxic pollutants identified under
   paragraph (g)(l) of this section remain
   subject to the requirements of
   §122.ei(a)(l) (notification of increased
   discharges of toxic pollutants above
   levels reported  in the application form).
     C. Section 125.30 is amended by
   revising paragraph (b) to read as  .
   follows:

   5 125.30  Purpose and scope.
   •   •    •    .     .

     (b) In establishing national limits,- EPA
   takes into account all the informationJlK
  can collect, develop and solicit     'flli
  regarding the factors listed in sectionHV'
  304{b), 304{g) and 307(b) of the Act. In ""
  some cases, however, data which could
  affect these national  limits as they apnlv
  to a particular discharge may not be
  available or may not  be considered
  during their development. As a result, it
  may be necessary on a case-by-case
  basis to adjust the national limits, and
  make them either more ot less stringent
  as they apply to certain dischargers
  within an industrial category or
  subcategory. This will only be done if
  data specific to that discharger indicates
 It presents factors fundamentally
 different from those considered by EPA
 in developing the limifat issue. Any
 Interested person believing that factors
 relating to a discharger's facilities,
 equipment, processes or other facilities
 related to the discharger are      <
 fundamentally different .from the factors
 considered during development of the
 national limits may request a
 fundamentally different factors variance
 under § 122.53 (i)(l). In addition, such a
 variance may be proposed by the
 Director in the draft permit.
  D. Section 125.72 is amended by
revising paragraph (f) to read as follows:

                                   "
                                                                                ,       8freenl"3 of application*
                                                                          for Section 316(a) variances.
                                                                          *    • ' •.  *   :

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               Federal Register- / Vol. 4S. No. 98 / Monday. May 19, 1980 f Rules and Regulations
                                                                         33513
    (f) If an applicant desires a ruling on a
  section 316(a) application .before the   .,
  ruling on any other necessary permit
  terms and conditions, (as provided by
  § 124.65), it shall so request upon filing
  its application under paragraph (a) of  •
  this section. This request shall be
  granted or denied at the discretion of the
  Director.
    [Note.—At the expiration of the permit,  any
  discharger holding a section 316{a) variance - •
  should be prepared to support the
  continuation of the variance with studies
  based on the discharger's actual operation
  experience.] •    .     .
  • /   •    •     •'    •  '•     ,  •' . •
    E. Section 125.92 is revised to read as'
  follows:  ,

  $125.92 -Requests for p«rmlt modification
  and Issuance under section 301(1X1) of the
  Act '  '     .-•'•.   '        ,    ..  • •
    Any owner or operator of a publicly
  owned treatment works (POTVV) that
  requires construction to achieve
  limitations under sections 301(b)(l)(B) or
  301(b)(l)(C] of the Act may request
  modification or  issuance of a permit
  extending the date for compliance with
  these limitations in accordance with the
  provisions of  5 122.53(j).
    F. Section 125.95 is revised to read as
'  follows:

  5 125.95  Requests for permit modification
  or Issuance under section 301(1X2) of the
  Act.
'.   Any owner or operator of a point
  source other than a POTW that will not
  achieve the requirements of sections
  301(b){l)(A) and 301(b)(I)(C) of the Act
  because it was scheduled to discharge
  into a POTW that is presently unable  to
•accept the discharge without
  construction, may request modification
•  or issuance of a  permit extending the
-  date of compliance with these
  limitations in accordance with the
  provisions of § 122-53{i)»         > ' •.
    G. Section 125.104 is amended by
  revising paragraph (c) to read as
  follows:      "     .

  S 125.104  Best management practices
  programs.           .
  •    •    «     «,.'•'        •  .•  .
    (c)(l) The BMP program must be
  clearly described and submitted as part
  of the permit application. An application
  which does not contain a BMP'program
  shall be considered incomplete. Upon
  receipt of the application, the Director
  shall approve or modify the program in
•accordance with the'requirements of
  this SubparL The BMP program as
  approved or modified shall be included
 in the draft permit (§ 124.6). The BMP
 program shall be subject to the
 applicable permit issuance  requirements
 of Part 124. resulting in the incorporation "
 of the program (including any
 modifications of the program resulting
 from the permit issuance procedures)
, into the final permit..     •
   (2) Proposed modifications to the BMP
. program which affect the discharger's
 permit obligations shall be submitted to
 the Director for approval. If the Director
 approves the proposed BMP program
 modification, the permit shall be
 modified in. accordance with § 122.15,
 provided that the Director may waive
 the requirements for public notice and
 opportunity for hearing on such
 modification if he or she determines that
 the modification is not significant. The
 BMP program, or modification  thereof,
 shall be fully implemented as soon as .
 possible but not later than one year after
 permit issuance, modification, or
 revocation and reissuance unless the
 Director specifies a later date in the
 permit.            -
 •  [Note.—A later dale may be specified in
 the permit, for example, to enable
 coordinated preparation of the BMP program
 required under these regulations and the
 SPCC plan required under 40 CFR Part 151 or
 to allow for the completion of construction
 projects related to the facility's BMP or SPCC'
 program.)
 •     •    •    ' *    •

 IFRDoc.aa-luizFilcdS-ia-nta4S.imi       "  .
 BIUJNQ COOe (MO-Ot-M

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m
                                Monday
                                May 19, 1980
                                Part XI



                                Environmental

                                Protection Agency

                                Consolidated Permit Application Forms
                                for EPA Programs

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    33518
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rule3 and Regulationg
    ENVIRONMENTAL PROTECTION
    AGENCY

    40 CFR Parts 122,123, 124, and 125
    IFRt-1453-41

    Consolidated Permit Application
    Forms for EPA Programs

    AGENCY: Environmental Protection
    Agency.
    .ACTION: Publication of consolidated
    permit application forms.

    SUMMARY: Elsewhere in today's Federal
    Register, EPA has published final
    consolidated regulations for several
    permit programs adminstered by the
    Agency. As part of its consolidation of
    permit programs, EPA is also developing
   « set of consolidated application forms
   for several of its permit programs.
     The complete set of consolidated
   application forms will consist of a brief
   general form requesting information
 .  common to all the consolidated permit
   programs (including an identification of
   the facility and a general description of
   the various pathways by which the
   facility releases pollutants to the
   environment) and several supplemental
   program-specifid forms. Several of these
   forms, drafts of which were published
  for public comment on June 14,1979 (44  .
  FR 34346). are now available for use and
  are published in this notice. These are:
    Form 1—the general form for all
  applicants.
    Form 2b—a supplemental form for
 concentrated animal feeding operations
 and aquatic animal production facilities "
 applying for National Pollutant
 Discharge Elimination System (NPDES)
 permits under the Clean Water Act.
    Form 2c—a supplemental form for
   Form 3—-a supplemental form for
 hazardous waste management facilities
 applying for hazardous waste treatment
 storage, or disposal permits under the
 Resource Conservation and Recovery
 Act.                            '
 :  Additional forms will be developed in
 the future, as explained in the
 Supplementary Information section
 below.
   The consolidated application forms
 have been designed for use by
 applicants for EPA permits. States with
 EPA-approved permit programs may
 adopt the EPA format in dovelopin"
 tholr own forms, or they may develop
 forms \vhich differ from EPA's. provided
 that their forms require submission of
 the information required by 40 CFR Part
122 of the consolidated permit
regulations. EPA encourages States to  •
consolidate their application forms in a
                        manner which will. like EPA's
                        consolidated form, provide complete
                        summaries cf facilities' total releases of
                        pollutants, to the environment.
                          The Supplementary Information '•
                        below discusses extensively the NPDES
                        permitting strategy and related
                        regulations, as well as the application
                        forms. Drafts of the forms and proposed
                        regulations and discussion of the  .
                        permitting strategy were published
                        together in Part III of the June 14.1979
                        Federal Register (44 FR 34346). Today.
                        the final regulations are published as
                        part of the consolidated regulations.
                       However, the regulations relating to the
                       application requirements and permitting
                       strategy are discussed here rather than
                       in the preamble to the consolidated
                       regulations to again allow  a unified.
                       detailed discussion of the future
                       direction of the NPDES program.
                       DATES: Forms 1. 2b. 2c, and 3 must be
                       used in accordance with the following
                       schedule:
                        1. New concentrated animal feeding
                       operations and aquatic ariimal
                       production facilities applying to EPA for
                       NPDES permits must submit Forms 1
                       (EPA Form 3510-1. OMB No. 1S8-RO175)
                       and 2b (EPA Form 3510-2b. OMB No
                      158-RO174). EPA Form 755O-7 (OMB No.
                      158-RO103) will be superseded. Any
                      existing facility applying for a 'new
                      permit must submit Forms 1 and 2b.      '
                      unless its permit expires on or before
                      November 30.1980 and it has already
                      submitted EPA Form 7550-7. See 40 CFR
                      12Z53(c) (published elsewhere in
                      today's Federal Register) for information
                      on deadlines for submission.
                        2. Any existing industrial
                      (manufacturing, commercial, mining or
                      silvicultural) facility applying to EPA for
                      an NPDES permit must submit Forms 1
                      and 2c (EPA Form 3510-2c. OMB No.
                     158-RO173),  unless its permit expires on
                     or before November 30.1980 arid it has
                     already submitted EPA Forms 7550-8,
                     7550-9 or 7550-23. Forms 7550-8. -9. and .
                     -23 are superseded for all such
                     dischargers applying after May 19,1980.
                     However, they must still be used by
                     NPDES new sources and new
                     dischargers until Form 2d is made
                     available. See 40 CFR 122.53(c) for
                     information on deadlines for
                    •submission.
                       3. Hazardous waste management"
                     facilities must submit Forms 1 and 3
                     (EPA Form 3510-3. OMB No 158-
                     S30004) to EPA no later than 180 days
                     after promulgation of 40 CFR  Part 261.
                     (These facilities must also submit brief
                    notification forms to EPA no later than
                    90 days after promulgation of 40 CFR
                    Part 261. See 45 FR 12746. February 28
                    1980.)              .
    FOR FUHTHE.T INFORMATION CONTACT:
    1. Forms 1. 2b, and 2c: Fanny Knov 01
    Dov Weitman. Permits Division (E.\'-«
    336).'Envircnmer.tal Protection Acenc?
    401 M Street SW. Wfishington. D.C.
    204CO (202) 426-roiO.
      2. porn 3: Art Giazcr or Allen Pnnr.-o
    Office of Solid Waste (WH.-363).
    Environmental Protection Agency. 401 M
    Street SW, Washington. D. C. 20460
    (202)755-9150.
    SUPPLEMENTARY INFORMATION:
     Contents of this Preamble:
    I. Overview of Consolidated Application
     Forms
    II. General Application Requirements for
     AH Permit Programs: § 122.4 and Form

   III. NPDES Forms 2b and 2c and Related
     NPDES Regulations
   A. Introduction
   1. Overview of this Preamble Discussion
   2. Use of a Single Form for all Existing
     Industrial Dischargers
   B. Strategy for Issuing Permits to Cunlroi
     Discharges of Toxic Pollutants
   1. General Approach to Permit Writing
   2. New Regulations 1o Insure the Control
     of Toxic Pollutants
   a. Summary of Requirements
   i. Requirement to Control all Significant
    Discharges .of Toxic Pollutants
    through Permit Limits: § I22.62(e)
   ii. Regulation of Toxic Pollutants not
•    Limited in Permits                .
  (A) Notification of Increased Discharges
    of Toxic Pollutants: §  122.61(a)
  (B) Modification of Permit to Control
    Increased Discharges  of Toxic
    Pollutants: §  122.15(a)(5)(viii)-(x)
  b. Discussion of Changes from Proposed
    Requirements
  3. Toxicity-based Limits: § 125.3(o)(4)
  4. Indicator Limits to Control Toxic
    Pollutants or Hazardous Substances-
    §125.3(g).
  C. NPDES Application Requirements for
    Concentrated Animal Feeding
    Operations and'Aquatic Animal
    Production Facilities: § 122.53(e) and
   Form 2b
 D. NPDES Application Requirements for
   Existing Industrial Dischargers:
   § 122.53(d) and Form 2c
•1. General Discussion of Requirements:
   Public Availability of Information
 2. Required Analyses and Estimates of
   Pollutant Discharges
 a. Toxic Pollutants: § 122.53(dj(7)(ii) and
   (v) and item V-C
 b. Othc-r Pollutants
 i. Required Analyses: § 122.5.'3ldjf7)(i)
.   and item V-A
ii. Required Reporting of Presence or
   Absence and, if Present. Required
  Analyses: § 122.53{dJ(7J(iii) and item

iii. Required Reporting of Presence or '
  absence of Asbestos and Hazardous-

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               Federal Register /Vol.  45. No. 98 / .Monday. May 19. 1980  /Rules and Regulations       33517-
    Substances: | 122.53{d)(7)(iv} and item
    v-p
  c. General Concerns in Sampling.
    Arwlysisand Reporting of Testing  i •
    Results                .
  i. Sampling Requirements
  ii. Reporting of Analytical Testing
    Results
  CAJ Detection Limits             .
  (B) Miscellaneous
'  d. Response to Comments Advocating
    Biological Monitoring for NPDES
    Permit Applications     -•.
  3. Other Application Requirements
  a. Qutfall Location: 512Z53(d)(l) and
•  ileml       ••
  b. Flows. Sources of Pollution and
   Treatment Technologies:
    § 122.53(d)l2H4) and item H   .
  c. Maximum Production:  5 122.53(d)(5)
  1 and item III         >   ' ' '
  d. Currently Required Construction.
   Upgrading or Operation of Waste
   Treatment Equipment:  S 122.53(d)(e)
  •. and item' IV
  e. Potential Discharges of Toxic
   Pollutants .;-..'.-
  i. Toxic Pollutants Used'or Produced by
   "the Applicant: 5 122.53(d)(9) and.item
   VI-A
  ii. Predicted Potential Increases in       .
  .Discharges of Pollutants:
   § 122.53(d)(10) and.item VI-B and C
 f. Results of Previous Biomoni taring:
   § 122.53(d)(ll) and item VII
 8- Laboratory Conducting Analyses:
   S 12Z53(d)(12) and item VIII
 h. Other Information Required by the
   Director on a Case-by-Case Basis:
   S 122.53(d)(13)
'4. Proposed Application Requirements
   Deleted from the Final Regulations
   and Form
 a. Optional Reporting of Discharges of .
   Hazardous. Substances   '
Jb. Submission of Data on Additional
   Pollutants   '•'-...'','   v
 c. Ancillary Activities which May Result
   in Discharges of Toxic Ppllutants or
   Hazardous Substances—Best
   Management Practices  Programs
E. Monitoring Requirements
I/Chemical Monitoring  _>
2. Biological Monitoring "
F. Economic and Resource Impacts.
1. Unit Costs of Sampling and Analysis
2. Unit Reporting Costs
3..TotaMncremental Costs
4. Economic Impact Upon Selected
  ' Industries                ',    '
5. Impact Upon Independent Laboratory
   Capacity •..''.           .
6. Small Business Exemption
a. Central
b. Coal Mines
IV. Part A of Hazardous Waste     '   '  "
   Application Requirements: § 122.24
  and Form 3
  I. OVERVIEW OF CONSOLIDATED
  APPLICATION fORMS
   Today EPA is publishing in final form,
  the first major regulatory products of its
  permits consolidation efforts. These.
  products, which were proposed on June
  14.1979 (44 FR 34244 and 44 FR 34346).
  are consolidated permit regulations and
  a consolidated set of permit application
  forms.
   The consolidated permit regulations*
  are designed to promote consistency in •'
  several of EPA's established and newly.
  developed permit programs. The
  regulations are promulgated as 40 CFR ,
  Parts 122-124 elsewhere  in today's
  Federal Register. They apply to five
.permit programs:           '
   (1) The Hazardous Waste permit
  program under section 3005. of the
  Resource Conservation and Recovery
  Act(RCRA);
   (2) The Underground Injection Control
  (UIC) permit program under Part C of
  the Safe Drinking Water Act (SOWA):
   (3) The National Pollutant Discharge
 Elimination System (NPDES) permM—
 program dnder section 402 of the Clean
 Water Act (CWA);
   (4) The Dredged or Fill Material
 permit prograrn under section 404 of
 CWA: and
•   (5) The Prevention of Significant
 Deterioration (PSD) permit program
 under Part C of the Clean Air Act    '
 (CAA).
   The EPA consolidated  application
 forms will be used by applicants for
 EPA-issued permits .under the above
 permit programs. However, since EPA
 does not issue any permits under %the
 dredged or fill material program, i%t is not
 developing a form for that program.
 (These permits are issued by the U.S.
 Army Corps of Engineers and by States
 approved by EPA.)      . ,     "
   The consolidated application forms
 will, when complete, consist of the
 following:
   Form 1—General Information (all
 permits).          . '   ,            ,
   Form 2—Discharges to  Surface Water
 (NPDES permits).
   a. Publicly Owned Treatment Works.
   b. Concentrated Animal Feeding
 Operations and Aquatic Animal
 Production Facilities.  .         •  .
   c. Existing Manufacturing/
 Commercial. Mining ar.d Silvicultural
 Operations.'
   d. New Manufacturing,  Commercial.  .
 Mining and Silvicultural Operations.
   Form 3—Hazardous Waste
 Information Summary (RCRA permits).
   Form 4—Underground Injection of -
 Fluids (UIC permits).     '•-  ,'•
   Form 5—Air Emissions in or near
 Attainment Areas (PSD permits).
.   '' The above organization differs slightly
   from that set out in the June 14 notice. In
   that notice, EPA proposed to combine •
   all application requirements for.
 .  proposed facilities into a single form.
   Upon reconsideration. EPA has
   determined that, apart from the common
   elements consolidated in Form 1. the
   informational needs of the various .
   programs differ significantly for
   proposed sources as well as existing .
.  sources. Thus it makes sense to keep
   them separate, as outlined above.
    This notice contains Forms 1.2b. 2c.
  and 3. which must be used as set forth
  above under "Dates." As mentioned in
  the June J4 preamble at page 34347. EPA
  had hoped to publish drafts of Forms 2a.
  2d (proposed Form S), and 5 in
  December 1979. Forms 2a and 2d have
  been delayed somewhat due to the need
  to concentrate Agency resources on
  finalizing Forms 1. 2b, 2c, and 3, .and on
  promulgating final, consolidated
  regulations. Development of Form o has
  been delayed as a result of Alabama
  Power v. Costle (D.C. Cir.. 1979), which
  required EPA to substantially revise
  several major aspects of the PSD
  program regulations. EPA currently
  anticipates that drafts of Forms 2a. 2d,
  and 4 will be published in June 1980. The
  date for publication, of a draft of Form 5
  is currently uncertain, Applicants for
  PSD permits should .contact their local
  EPA Regional offices for information .on
  how to applyfor PSD permits pending
  availability of Form S.               .
   The set of consolidated application
  forms are required to be used only for
  applications to EPA. Where approved
  States have permit-issuing authority,
  they may use.their own forms. These
  forms must, however, require at least
  the information required by .the
 application requirements contained in 40
 CFR Part 122. In addition. States may
 require information beyond that
 required by EPA. EPA encourages States
 to consolidate their programs and forms
 and hopes that the EPA consolidated
 application forms will provide a useful
• model to the States.
   Or course, States may choose to use
 EPA's forms. EPA has in the'past
 provided NPDES forms to States Cashing
 . to use EPA forms. This practice will
 continue in the future for all of the
 consolidated permit'application forms.
•  States may be-able to consolidate  .
 State permit application forms for
 permit programs other than those
• covered by EPA's consolidated forms.
 such as State dredged or fill material
 application forms. Combination of forms  .
 for PSD and nonattainment permit
 applications under Parts C and D of the
 Clean Air Act might prove particularly
 useful.             /

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    33518
Federal Register / VoL 45. No. 98 / Monday. May 19. lfl80 / Rule9  and Regulations
      One commenter suggested that EPA
    require Slates to use the same form as
    EPA, This sujjsestion has not been
    adopted, because States are allowed by
    the applicable laivs to have more
    stringent application requirements than
    EPA. In addition, EPA sees no
    compelling need to require a uniform
    application form in all States. Inclusion
    of uniform minimum application
    requirements fn 40 GFR Part 122,
 .   coupled with EPA approval of State
    program forma under 40 CFR 123.4(dl.
    will provide sufficient nnifonnity to
   .meet program needs.
     EPA was pleased la receive generally
    favorable comments from the public on
    the conwpl of consolidating the
    application forms. As Citizens for a
   Better Environment pointed ont. this
   consolidation will not only reduce
   paperwork but \viJl nlso provide a
   "concise an.d clear record of the ultimate
   fate of ail of the pollutants p.nncratcd by
   a facility, whether these pollutants are
   discharscd to ajr. water or land." States
   were also supportive of EPA's effort.
    Some industry commenters did.
   however, express two major concerns.
   nllhough in general they did not object
   to the concept of consolidating
   application forms.
    The  first concern expressed by
  Industry was an extension of the general
   concerns raised about the consolidated
  permits reflations: that application and
  permit  requirements of one program
  should not be  applied to another
  program and that application procedures
  under one program should not be
 allowed to delay procedures tinder
 another program. EPA agrees that
 consolidation should not affect
 substantive requirements of applicable
 law and that consolidated procedures
 should be used to expedite rather than
 delay permit issuance;. The preamble to
 Parts 122 and 124 of the consolidated
 regulations discusses these issues in
 detail. The important point is  that
 different program-specific application
 forms (e.g.. Forms 2c and 3) may be
 submitted separately and. if necessary
 to avoid delay, processed separately.
   The second concern expressed by
 coramenlere from several industries '
 [particularly farming and coal mining,
 but also oil and gas producing, steam
 electric generating, and cement and
 concrete industries] was that industry-
 specific forms should be developed for •
 each industry, resulting in simplification
 lor applicants. EPA agrees  that
 development of industry-specific forms
 may be useful in certain situations.
 although administrative resource
 constraints generally preclude such
 development for each regulated
Industry. JEPA has been able to take
                          steps to develop specific requirements
                          for the farming and coal mining
                          industries. EPA has separated
                          agricultural and aquatic operations from
                          all other dischargers of pollutants by-
                          developing Form 2b. Similarly. EPA is
                          working with the Department of the
                          Interior's Office of Surface Mining to
                       \  develop a consistent set of specific   •
                          application requirements' for the coal
                         mining Industry (see section III.F.e.b of
                         this preamble; see also 44 FR 55322,
                         September 2S. 1979).

                       : n. GENERAL APPLICATION
                         REQUIREMENTS FOR ALL PERMIT
                         PROGRAMS: 5 122.4 AND FORM 1

                           Form 1 of the consolidated application
                         forms requires identification of the ..
                         applicant and general information
                         showing' the various pathways by which
                         the facility releases pollutants lo the
                        environment.  This information is used
                        by the applicant to determine what
                        permits are needed by the facilily and
                        which supplemental forms must U '
                        submitted in addition to Form 1. Most of
                        the requirements of Form 1 also appear
                        in § 122.4 of the consolidated
                        regulations.
                          The June 14  draft of Form 1 has been
                        changed in some'minor respecU in the
                        final version. In addition, the
                       instructions have been shortened and
                       clarified by deleting reptitious
                       information and making appropriate
                       editorial changes. The instructions have
                       also been amended to reflect program
                       changes in the  final consolidated (and
                       °tker program) regulations and to reflect
                       the changes in  the PSD program required
                       by Alabama Power v. Costle.
                         Divergent philosophical viewpoints
                       were expressed in comments by...
                       industry and environmental groups.
                       Several industry commenters referring   "
                       to Items II (draft item I) and XI fdraft
                       item X) questioned EPA's authority to
                       require information not directly related
                       to the applied-for permits. Itom II
                     .  requires a facility applying for a'permit
                       under one program to state whether or
                       not it engages in any activity regulated
                       under any of the other consolidated EPA
                       permit programs/Item XIrequires
                       submission of a map showing the
                       various types of wastes which the
                       facility releases to the environment and
                       the various ways those \vastes are
                      released. For example, a facility needing
                      an NPDES permit must also state
                      whether it treats, stores or disposes of
                      hazardous waste and. if so. must shoxv
                      on a map  where it does so.
                        Environmentalists argued to the
                     contrary that Form 1 should require
                     much more detailed information
                     showing the movement of all waste
                     stream components in an industrial
•aw
m
    process, from the introduction of raw
    materials through processing to ultit
    release.  '                 ,     i
      EPA has concluded, after considdm
    both the industrial and environmental
    arguments, that the middle course which
    it adopted in draft Form 1 should be
    retained as {he most suitable one for {he
    form's purposes. EPA believes that  .
    responsible environmental management
    requires a unified examination of a
    facility's total residual waste stream. In
    recent years,  the interrelation of various
    environmental programs has become
    increasingly clear. See. for example.
    section 1006 of RCRA. requiring EPA to
    integrate all provisions of RCRA. for
   purposes of administration and
   enforcement, with the appropriate
   provisions of the Clean Air Act. Clean
   Water Act. Safe Drinking Water Act.
   and certain other environmental !;nvs
   administered by EPA.
     EPA is responding to this need
   through its consolidated permit
   regulations and through its const?!i.J.,!i.d
 .  application forms, particularly Fora i.
   Ducause the burden on aJaiility to list
   and to indicate on a map its releases of
   pollutants to the environment is
   mir.imal. the environmental benefit of
   providing this information is not
   countervailed by a substantial burdc-n
   on industry.
    However, because of the differing 'j
  informational needs of the various
  consolidated programs, the detailed
  fnformation desired by the
. environmental  commenters U not
  required by Form 1. Rather, any detailed
  jnformation.required to make permit
  issuance decisions under a particular
  program should be requested in that
  program's supplemental form. Form 1
  thus functions as a "road map." loading
  the applicant to the detailed
  informational requirements relevant fo
  its operation.  .
   ^Specific items on Form 1 which were
 of interest to commenlers are discussed
 below:                          '
   Item I (item II in the June 14 draft of
 Form 1): EPA has renamed the "Facility
 ID Number" it will now be referred to
 as "EPA ID Number." In response to
 comments (particularly from farmers
 and oil and gas producers) that Dunn
 and Bradstreet (DUNS) numbers have
 not been assigned to certain facilities
 and are difficult  to obtain, EPA has
 decided to provide DUNS numbers to
 facilities before they fill out their
 applications. In many instances, the ID
number (which will be obtained by EPA
from Dunn.and Bradstraet where none
has existed previously) will be on a
preprinted label mailed to the applic
which contains items I, III (facility   j
name), V (facility mailing address), ant

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                             '              •     •'..''   '.'•-••              '•        •         .   .

              Federal Register / Vol. 45. No. 98  /  Monday.  May 19. 1980 / Rules and Regulations       33519
 VI (facility location). In other instances.
 EPA will indicate the ID number on the
 outside of the envelope used to mail the
 application form to the applicant.
   Item H (item I m the June 14 draft):,A
 third column has been  added to this
 item, as requested by some commenters.
 for applicants to indicate which     .
 supplemental forms are being submitted
 in addition to Form 1. EPA has also
 adopted a comment requesting that the
 instructions state that a facility which
 answers yes to a question but which
 already has a permit covering that
 activity need not file a new application.
 unless the applicant is filing for a permit
 renewal Some commenters correctly
 noted that question E.was overly broad.
 Questions E through H have been
 redrafted to clarify that only information
 related to the facility seeking a permit is
 requested and not, for example.
 information concerning hazardous waste
 disposed of by the same owner or
 operator at a different facility in a
 distant location.
   Item IV: Two environmental
 commenters requested that each
 applicant be required to list a telephone
 number at which a technically
 competent person could be reached 24
 hours a day. EPA believes this is        '
 unnecessary. It is true that the
 Hazardous Waste Permit Program
 appropriately requires each facility that.
 treats, stores or disposes of hazardous
 waste to have an emergency coordinator
 present or on call (40 CFR Part 284).
 However, different people are likely to
 function as emergency coordinators at
 different times; thus the identification of
 a single person or phone number in the
 application is likely to  become obsolete
 soon after the application is filed. In the
 event of an emergency needing
 immediate attention by the permittee
 during non-business hours, high-level
 officials of the permitted facility may
 generally be contacted immediately
 without difficulty. Moreover, the  '-
 National Responses Center may be
 reached 24 hours a day at 800-424-8802
 to respond to emergencies requiring
 immediate assistance or advice.     :
   Item.VIL Several commenters
• requested clarification concerning SIC
 codes. The purposes of requesting SIC
 codes are: (1) to provide permit writers''
 with an additional means of checking
 whether wasted or pollutants listed on a
 supplemental form include all of those
 xvhich the applicant might be expected
 to release; (2) to'provide one .means for
 NPDES and PSD.permit writers to  -
 determine whether a particular industry
 guideline or standard applies; and (3) to
 provide a data base to assist EPA in
 correlating industrial subcategories
(indicated in Item VII) to types of
wastes or pollutants being released to
.the environment (indicated in Item II). .
EPA recognizes that determining SIC
codes is an imprecise exercise and
requires simply that each applicant use
its best Judgment to list at most four SIC
codes, in order of priority, which most
accurately define goods (final or   '
intermediate) and services created or
produced by the applicant Applicants
needing assistance in answering the
question are now directed by the
instructions, as suggested by one
commenter. to contact their EPA
Regional offices.
  Two commenters noted that off-site *
hazardous waste management facilities
have ho specific SIC code: in such cases,
SIC code 9999 ("nonclasslfiable   .
establishments") would apply. The
number 9999, together with the
applicant's responses to item I. Question
E and item XII will indicate that the
facility is an off-site HWM facility.  ,
  Item VIII: Commenters correctly noted
that  facilities may be operated and-
applications may be submitted by
persons who a're not owners. Form 1  '
now presumes that the applicant is the
operator of the facility. It should be
noted that 40 CFR 122.8. which applies,
to the NPDES. Hazardous Waste and
UIC  programs, provides: "Where a'
facility or activity is owned by one
person but is operated by another
person, it is the operator's duty to obtain
a permit*' An additional question has
been added to determine whether the
operator/applicant is also the owner of
the facility.
  Item IX: A new item asks whether  the
facility is located on Indian lands. The.
significance of this question is
jurisdictional: see 40 CFR 123.1(f) and
the accompanying preamble discussion.
A reference in draft item VIII-C to
Indian lands was deleted, since that  •
item is designed to identify the status of
the operator, not of the land itself.
  Item X (draft item IX): One commenter
questioned the need for more than one
permit number per  facility. EPA does
intend in the  future to use a common
number for each permit issued to a
particular facility (except for a one-letter
prefix indicating under which program
the permit has been issued). However,  •
existing NPDES and PSD permits as well
as future permits under "other" permit  :
programs, necessitate provision in the
form for insertion of permit numbers:
.  A few commenters objected to this
item and suggested that only Federal
permits or only permits relevant to the
one  applied for be required. However,
EPA believes that identification of the
various environmental permits issued to
the facility will promote cooperation  .
 among various agencies and offices in
 regulating the facility and will ultimately
 benefit the facility as well.
   Item XI (draft item X): Several
 .commenters objected to the requirement
 that the map extend at least one mile
 beyond the facility boundaries.
 However, this requirement has -been
 .retained; since the disposal or discharge
 of wastes is likely to pollute the •
 adjacent environment through such
 means as surface or ground water
 movement   ;
   Several other commenters correctly,
 noted that U.S. Geological Service
 topographic maps at appropriate scale
 are unavailable for certain regions of the
 United States. The instruction to this
 item have therefore been modified to
 allow the use of a plat map or other
 appropriate map where an appropriately
 sized topographic map is unavailable. ,
   Several commenters suggested that
 applicants not be required to show
 certain items on the map (e.g., rivers
 .which do not receive any discharge, and
 rivers, wells and springs uphill of a
 facility). EPA notes, however, that these
 features are often relevant to an
. understanding of the geological and  .
 hydrological consequences of a
 discharge or disposal at the site.
 Futhermore.-most of this information is
 generally indicated on U.S.G.S.  maps
 and requires no work by applicants.
   Several commenters (particularly oil
 and gas  producers) correctly pointed out
 that an instruction to this item was,
 overly broad in requiring identification
 on a map of all wells contained within
 one mile of the facility's property
 boundaries. The requirement is  now
 limited to drinking water wells
 identified in the public record or
 otherwise known to  the applicant.
   Some  commenters suggested further
 ' that the  map should only show such
 wells within, V* mile of the facility. EPA
 has accepted this suggestion. In light of
 the slow movement of groundwater, this
 information should be sufficient to
 prevent  well contamination in cases
 where the groundwater becomes- •
 contaminated through faulty waste
 disposal or other practices.          .  . •
   Item XIII (draft item XII): See 40 CFR
 122.6 arid the accompanying preamble,
 published elsewhere in today's Federal
 Register, for a discussion of certification
 and signatory requirements.
   Several environmental- commenters
 requested that latitude and longitude
 information be required on Form 1. EPA
 has decided to require this information
 on appropriate program-specific forms.
 Forms 2c and 3, published today, require
 this information. By using the program-
 specific forms to require latitude and
 longitude, EPA obtains more precise'

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   33520
Federal Register / Vol. 45. No. 98 / Monday.  May 19. 1980  / Rules and Regulations
                             ™*^i—————_
   coordinates when wastewater
   dischargers and hazardous waste
   disposal facilities are several miles
   apart,
   HI. NPDES FORMS 2b AND 2c AND
   RELATED NPDES REGULATIONS
   A. Introduction
   J. Overview of This Preamble
   Discussion
    The NPDES regulations on application
   requirements for existing Industrial
   discharger and the new EPA application
   form for those dischargers (Form 2c)
   have been developed primarily to help  •
   Implement the Agency's strategy for the
   control of discharges of toxic pollutants
   designated under section 307[a) of the
   Clean Water Act in  the next round of
   permit reissuances. Because the
   application requirements and permitting
   strategy are closely related, the
   application form and regulations were
  published together as Part III of the June
  14.1979 Federal Register (44 FR 34393}.
  The proposed regulations and draft
  Form 2c were prefaced by a lengthy
  preamble, which explained the context
  In which the NPDES application and
  related requirements were developed.
  The discussion covered the need for a
  cnse-by-case determination of limits in
  the absence of effluent limitations
  guidelines, the use of limits on toxicity
  and indicator parameters, the
  requirement to analyze for the 129 toxic
  pollutants, the purpose of application-
  based limits, some suggested monitoring
  schemes to be required by permits, and
  the economic and resource impacts  of
  the reporting requirements.
   The regulations which were proposed
 In Part III of the June 14.1979 Federal
 Register are published in final form
 elsewhere in today's Federal Register as
 part of EPA's consolidated permit
 program regulations. This is being done
 10 that all program regulations may be
 read In one place. However, this
 preamble, rather than the preamble to
 those regulations, will discuss the topics
 and regulations relating to the NPDES
 application requirement and-permitting
 strategy to explain the final regulations
 in a unified manner and to respond to
 comments received on the proposal.
   The following regulations *vhich are
 promulgated as part of the consolidated
 permit regulations are discussed in this
 preamble instead of in the preamble  to
 the consolidated permit regulations:
   1. § 122.53(d); Application
 requirements for existing industrial
 dischargers (paralleling Form 2cJ.
  2. Sl22.53(e): Application
requirements for concentrated animal
feeding operations and aquatic animal
                          productidn'facilities (paralleling Form
                          2b).
                            3. § 122.61(a): Application-based
                          notification requirements for toxic
                          pollutants.
                            4. § 122.15(a)(5)(viiiHx): Modification
                          of permits to address toxic pollutant
                          discharges not anticipated in
                          applications or permits.
                            5. § 122.62(e): Requirement to set case-
                          by-case limits to control significant
                          discharges of toxic pollutants.
                            8. § 12SJ(c}(4): Toxicity-based limits.
                            7. J 125.3(gJ: Indicator limits.

                         2. Use of a Single Form for all Existing
                         Industrial Dischargers
                           Some commenters expressed concern
                         that existing Short Forms C and D for
                         simple discharges are not being replaced
                         by new short forms; rather Form 2c must
                         be used.^The reason is that determining
                         "simple" discharges is complex, given
                         the new emphasis on toxic pollutants.
                         Many factors would be relevant in
                         determining "simplicity," such as size of
                         flow, toxicity of discharge, and type of   .
                         operations producing discharges.
                         Factors relevant to the need to respond
                         to one application requirement may not
                         be relevant to another. For example,
                         although flow was used as a criterion
                         for determining who must fill out Short
                         Forms C and D, the new form  requires a
                         primary industry discharger with a small
                         flow to test for toxic pollutants, while a
                         secondary industry discharger with a
                        large flow may not need to do so.
                          EPA has  simplified Form 2c and.
                        clarified the instructions to assist
                        applicants in completing the form
                        rapidly. Some of the more burdensome
                        requirements will immediately be
                        understood not to apply to simple non-
                        toxic discharges and therefore may be
                        marked Not Applicable. For example,
                        any secondary industry discharger
                        which' does  not discharge any- toxic
                        pollutants or hazardous substances need
                        not test for pollutants in item V-C. list
                        toxic pollutants in item VI-A or
                        hazardous substances in item V-D, or
                        predict future increases of toxic
                        pollutant discharges in item VI-B and C.
                        Similarly, many of the remaining
                        questions also apply  only to certain
                        applicants. Item II-C applies only to
                        applicants with intermittent or seasonal
                        discharges. Item III applies only to
                        applicants whose discharges are
                        covered by effluent guidelines.  Item IV  '
                        applies only to applicants subject to
                        waste treatment construction schedules.
                        Item'VII applies only  to applicants .who
                       have conducted biological monitoring
                       tests.                    ' •  »
                         A few commenters  suggested that
                       Form 2c require only minimal
                       information,  with the permit writer able
   to go back to the applicant to ask for,
   any additional information. Howevei,
   this would impose too great a burden un
   the permit writer. It also would result in
   the imposition of unequal burdens on
   similar applicants.

   B. Strategy and Regulations for Issuing
   Permits To Control Discharges of Toxic
   Pollutants

   1. General Approach to Permit Writing
     The 1977 Amendments to the Clean
   Water Act placed a new emphasis on.
   the control of toxic pollutants in the
   NPDES  program. EPA is implementing
   the Amendments by developing effluent
   limitations guidelines, water quality
   criteria, and test methods for these
   pollutants. EPA will soon begin applying
   the new'statutory and regulatory
  standards to specific dischargers
  through  the issuance of NPDES permits
  requiring dischargers  to control toxic
  pollutants in accordance with limits
  reflecting the best available technology
  economically achievable (BAT), as soon
  as possible but no later than the
  statutory deadline of July 1,1984.
    The new permit writing strategy will
  be an extension of that used in issuing
. first-round NPDES permits. As before.   •
  permits must contain limitations
  reflecting the most stringent of
  technology-based, water quality-biise
  or other standards required by CWA
  (such as  criteria for ocean discharges
  under section 403 and  toxic standards or
  prohibitions under section 307(a)J. For
  most organic toxic pollutants, however,
  numerical State water quality standards
  generally will not have been set by the
  time that the next round of permits are
 reissued. (Permits are issued for
 maximum terms of five years as
 required by CWA. and permits may not
 be reopened solely to incorporate new
 State water quality standards unless
 requested by the permittee.) Thus
 technology-based limitations will
 generally be the chief standard for
 setting permit limits on most toxic
 pollutants during the next round of
 permit reissuance.        '
   The rules for setting technology-based
 limitations are set forth in 40 CFR 125.3
 Technology-based limitations are
 generally  established on the basis of
 effluent limitations guidelines
 promulgated under section 304 qf CWA.
 As in the past, permit writers must set
 limits on a case-by-case basis under
 section 402(a)(l) of CWA to control
 discharges, which are not covered by
effluent guidelines. This will occur in
two types  of situations: (1) when new
BAT effluent guidelines addressing to
pollutants in the applicant's industrial
category have not been promulgated or

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               Federal Register  /  Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules and Regulations       33521
  have been withdrawn or remanded: or ,
  (2) when the applicant has certain
  discharges which are not covered by an
'  otherwise applicable guideline.
   The Agency has been developing new
  effluent limitations guidelines for toxic
  pollutants in accordance with the NROC
  Settlement Agreement (Natural   •
  Resource* Defense Council. 8.E.R.C,
  2120 (D.D.C 1976). modified 12 E.R.C.
  1833 (D.D.C. 1979)) and with the 1977
  Amendments to the Clean Water Act
  To focus EPA's resources on the more
  widespread and significant toxic*
  problems. Paragraph 8 of the NRDC
  Settlement Agreement allows the
  Agency to exclude certain categories of
  industries and certain types of
  pollutants from coverage under national
  effluent guideline regulations. For
  example, pollutants which have been
  found at only one or two plants in an
.  industrial category need not be included
  in the guidelines for that category, and
  pollutants which are in general (though
  hot always) adequately controlled by
  guideline limitations on other pollutants
  need not be explicitly {united in   ,  .
  guidelines.             .
   As recognized in Paragraph 8,of the
  NRDC Settlement Agreement and
  demonstrated in EPA and State
 experience in issuing NPDES permits,
  even if a discharger's category is
 covered by promulgated effluent
 limitations guidelines, the discharger    •
 may be discharging pollutants not
 adequately covered by those guidelines.
 A major feature of the Agency's NPDES
  permitting strategy is the development
  of ways to identify and address
 situations in which significant
  discharges of toxics are not covered by
 guidelines and thus must be controlled
 on a case-by-case basis.
   Permit writers will use'several sources
  of information to determine appropriate
 BAT limits in the absence of guidelines.
 These sources' include development ,!
 documents for effluent guidelines in
 draft or final versions, a treatability
 manual prepared by EPA. and any other
 information available to the permit
 writer (including information provided
 by the permit applicant).The treatability
 manual is a five-volume compilation of.
 historical data on the levels of
.reductions of toxic pollutants achievable
 by various types of treatment equipment
 or methods, together with associated . . . .
 costs. The manual is being developed
 with the participation of several EPA
 offices, including the Effluent Guidelines
 Division. Thus, the information it
 contains should be consistent with that
 used to develop proposed effluent
 limitations guidelines. The manual will
 be continsoSy updated to reflect any.
 new or newly discovered data on-  "    •
 technologies and associated costs.
.. ,  It would be inappropriate to
 promulgate the treatability manual as a
 regulation, as requested by several
 commenters. because the manual.
 contains no requirements. Rather, it
 compiles and summarizes historical
.data: it does not state conclusions based
 on the data. Futhermore. EPA expects to
 continually update the manual to
 incorporate new or newly-discovered
 data. Any rulemaking proceeding would
 thus be endless,           .       '
   EPA plans to publish a Federal
 Register notice announcing availability
 of the treatability manual in June 1980.
 Comments are welcome and will, where .
 appropriate, be incorporated into future
 editions of the manual More important;
 EPA emphasizes that the manual is not
 a binding document (unlike, for
 example, a promulgated effluent
 limitations guideline) but is merely one
 source of relevant information. The
 permit writer's case-by-case
 development of permit limits, based on
 information contained in the manual or
elsewhere, remains subject to challenge
under the appropriate procedures of 40
CFR Part 124.
   EPA agrees with several commenters
who advocated national uniformity of
permit limitations for similar discharges.
Promulgated effluent guidelines will
guarantee uniformity for commonly-
occurring discharges. Even when plant-
specific discharges require
individualized permit limits, the manual
and other guidance developed by EPA
should further promote national
consistency. Of course, the. very,       ,
existence of plant-specific discharges
implies a need to set permit limits for
such plants which differ from those set
for other plants within the same
industrial category.

Z New Regulations To Insure the
Control of Discharges of Toxic
Pollutants
  a. Summary of Requirements. Today's
regulations provide that permit writers
must set permit limits to control all
significant discharges of toxic
pollutants. Such a requirement is
already implicit in section 301(b) of the
Clean Water Act However, today's
regulations specify certain steps to see
that this is done. The approach is two-
fold, as follows:
  (i) Requirement To Control all
Significant Discharges of Toxic ~ '  •
Pollutants Through Permit Limits:
§ 122.62fe). Significant discharges of
toxic pollutants must be limited in the
permit either directly or through the use
of limits on other parameters which
assure control of the toxic pollutants.
 "Significant" pollutants are defined to
 include: . •
   • Pollutants reported in the permit
 application at levels exceeding the level
 which the permit writer determines
 could be achieved by BAT: or
   • Pollutants'used or manufactured or
 expected to-be used or manufactured as
 intermediate or final products or
 byproducts.
   The fact sheet for each permit (see 40
 CFR 124.56) must explain how the
. permit limits comply with this      .
 requirement
   (ii) Regulation of Toxic Pollutants Not
 Limited in Permits. All non-"significant"
 pollutants (i.e., those considered not
 likely to be discharged above BAT
 levels based upon  the levels reported in
 the application or upon expected use or
 manufacture at the facility) need not be
 specifically controlled in the permit
 (although the permit writer retains
 authority to do so under. § 125.3), This
 will allow permitting authorities to focus
 their resources on  significant discharges
 of toxic pollutants. To prevent future
 significant discharges of non-limited
 pollutants, two regulatory requirements
 have been established:

 (A) Notification of Increased Discharges
 of Toxic Pollutants: 5 122.61 (a)
   A permittee must notify the permitting
 authority as soon as it becomes aware
 that:
   • Some activity  has occurred or will ,
 occur to cause it to discharge a toxic
 pollutant at more than the greatest of '
 100 jig/1 (or 500 ug/1 for 2.4   •'
 dinitrophenol and 2-niethyl-4,8- '
 dinitrophenol. 200 ftg/1 for acrolein and
 acrylonitrile. and 1 mg/i for antimony)
 or 5 times the maximum concentration
 reported for that pollutant in the permit
 application (or a different notification
 level established by the Director); or
   • It has been begun or will begin to
use or manufacture a toxic pollutant as
an intermediate or final product or
byproduct. • -

(B) Modification of Permit to Control
Increased Discharges of Toxic
Pollutants: 8122.15(a)(5)(viii)-{x).
   The permit may be modified to control
a toxic pollutant when:
   • The permittee  discharges or expects
to discharge the pollutant at a level
higher than can be achieved by BAT; or
   • The permittee  begins or expects to
begin to use the pollutant or to
manufacture it as an intermediate or
final product or byproduct ,
  .In developing the concept of
significance for determining when       '
permit limits should be set for toxic
pollutants, when notification should be
required, and when permits may be

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     modified. EPA considered commenters'
     suggestion that toxicity be used as a
     criterion. 1PA has not accepted the
     suggestion: all pollutants listed as toxic
     under section 307(a) of the.Clean Water
     Act must be controlled by BAT. The
     concept of significance is used only to
 •   °el"nnine wh«ch pollutants are likely to
     be discharged at levels greater than
     achievable by BAT and thus must be
     limited in the permit An assessment of
 _    toxicity does not pertain to this '
     determination.
      b. Discussion of Changes from
    Proposed Requirements. This section
    discusses the proposed "application-
    based limJU" regulation (proposed
    1122.68{a)). its deletion from the final
    regulation in response to comments, and
    ttm Agency's rethinking which led to the
    regulations discussed in section fa)
    above.                           '
     In the June 14 proposal. EPA did not
    provide guidance on when toxic
    pollutants should be limited.  While the
    Preamble noted that "significant" toxics
   should be limited in permits,  the
   proposed regulations did not  contain the
   specific requirements promulgated today
   in f 122.82(e). On the other hand, the
   regulations and preamble focused upon
   Uie control of all present-and  future
   discharges not specifically limited
   through effluent guidelines or by setting
   case-by-cose limits. The Agency
   proposed in § 12£68{a) a stringent
   fPPfoach of application-based limits:
   the discharge of any pollutant would
  have been limited to 5 times (or a higher
  multiplier if a  certain showing could be
  made by a permit applicant) the level
  reported in the application (or to 5 times
  the pollutant's detection limit,  if a zero
  discharge was reported), unless the
  pollutant was limited directly.
    The proposed application-based limit
 was Intended to serve two purposes.
 First, it would have assured some
 control over significant discharges
 identified in the permit application
 which were for any reason not
 otherwise controlled in the permit
 Second, it would have assured  control of
 future significant discharges of
 pollutants which were discharged at
 insignificant levels at the time of the
 permit application and thus were not
 specifically limited in the permit
   Commenters almost unanimously
 criticized proposed § 122.68(a). although
 a few industrial commenters stated that
 the proposed approach was reasonable
 and several environmental groups
 supported it with reservations. Most
 commenters argued that the proposed
regulation would not contribute any
substantial environmental benefits
Justifying the significant burden on all '
permittees and that it was insupportable
      legally and technically. Some
      commenters suggested that EPA could
      better achieve its stated goals by
      focusing more closely at the permit-
      writing stage on those pollutants which
      are likely to be discharged at significant
      levels and by using notification
      requirements for other pollutants which
      first become significant after the permit
      is issued.
       These comments, some of which were
     quite detailed and lengthy, convinced
     pA that the imposition of application-
     based limits could not be supported at
     present and assisted the Agency in
     rethinking its approach to the problem
     of controlling discharges which are not
     covered sufficiently by effluent
     guidelines. The major comments are
     summarized below: -
    SUMMARY OF COMMENTS ON
    PROPOSED 1122.68(a) (APPLICATION.
    BASED LIMITS)

      (1) The value* reported in the permit
    application may not be representative of   '
    existing or future discharges of pollutants.
    both because of normal random fluctuation*
    in concentration and because of future
    changei in procestet or operations which
    were not anticipated In the permit application
    or which result in discharge! not easily
    predicted. Insufficient data exist to select •
    multiplier which is adequate to relate the
    results of one sample to future discharges. If
    such data did exist, it would show that an
    appropriate multiplier would be much higher
    than five. Further variability is Introduced by
    errors In sampling and analysis, variations of
   poHutant levels in intake water, and the use
   of batch processes which result in continually
   changing levels of pollutants. To avoid
   liability based upon an unduly low multiplier.
   applicants would have to spend a great deal
   of money for alternate testing to be eligible
   for a higher multiplier under proposed
   112Z58(a)(3). and even then they could not
   be completely assured of compliance with
   that multiplier.
   • (2) Setting permit limits on all reportable
  pollutants is an inappropriate and Unduly
  costly way to regulate permittees-
  discharges. Permittees could often be
  subjected to liability for minor violations
  [e.g.. discharges at SO jig/I). As a result.
  permittees would either have to spend a great
  deal  of money on compliance monitoring to
  assure that they were complying with all
  application-based limits, or they would have
  to rely on assurances that, under EPA's  "
  enforcement discretion, only large violations
  would be prosecuted. It would be unfair to
  impose near-certain liability on dischargers
  on the assurance that they will riot be
  enforced against except for significant
  violations. It would be particularly unfair
  when analysis of a pollutant had not been
  required or when the pollutant had not been
  detected in the sample(s) analyzed and thus
  had been reported as absent in the
  application.
   (3) Application-based limits are illegal
• -.  u C.lean Water Act requires permit limits
  to be based on technology-based, water
     quality-based, or certain other stand
     application-based limits are not aut]
   •  by any of these standards. In particu|
     application-based limits which are loweF"
     than the levels achievable by BAT (which
     would often occur where a pollutant was
     reported as zero in the application) are
     improper.
      (4) Pollutants of concern should be limited
    directly using technology-based limits, rather
    than indirectly using application-based
    limits. EPA should focus on limiting
    significant discharges. Monitoring and
    reporting requirements should be relied upon
   . to assure the discovery and subsequent
    control of new significant discharges
    occurring after the permit is issued.
     (5) Existing NPDES regulations already
   Provided sufficient controls over large
   potential discharges of pollutants not limited
   in the permit, because (a) substantial changes
   in production were required to be reported
   and were grounds for permit modification.
   and (b) large discharges of pollutants not
   limited in the permit would have occurred
   only when permit limits on other pollutants
   would have been violated.
     (8) Application-based limits, if used at all
   in the final regulations, should be based on a
   multiple of the amount of discharged
   pollutants rather than on concentrations of
   the pollutants. Otherwise, EPA would
   discourage desirable flow reduction
   practices.          .
     (7) Application-based limits could result in
   differing limits for dischargers in the same
   industrial subcatcgory.       .      •*•
     EPA does' not agree with all  of t
   above comments. In particular, EPwspp-
  continues to believe that an application-
  based limit is legal if the multiplier
  accurately reflects waste stream
  variability. Any limit currently  being
  achieved by a discharger is obviously no
  more stringent than the best available
  technology economically achievable.
  Thus if a  variability-based multiplier
  times a reported value is the maximum
  level currently being discharged, if
  clearly .may be adopted as BAT.
   However. EPA is persuaded by the
  comments, considered collectively, that
  its proposed approach must be revised.
  In particular. EPA agrees with the
 commenters that the insufficiency of
 data on waste stream variability and the
 problem of continually changing
 feedstocks and batch processes  both   •
 present severe technical difficulties for
 the concept of across-the-board
 application-based limits. Similarly.-EPA
 acknowledges that the proposed   '
 approach had'the potential for imposing
 unduly severe monitoring costs upon
 applicants wishing to demonstrate that a
 multiplier higher than 5 shoujd be used
 and upon permittees wishing to assure
 that they are complying with
application-based limits. Finally,
agrees that a better-focused alterna
exists to address most of EPA's
concerns.

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Federal Register / Vol. 45. No.  98 / Mondayv *fray 19. 1980 / Rules and Regulations        33523
     The revised approach, as outlined
   above, focuses the permit writer's
   attention (in J I22.62(e)) more clearly
   than before on the specific control of all
   significant discharges of toxic pollutants
   by specifying various factors (reported
   discharge levels and the use or
   manufacture of toxic pollutants)
   indicating significance. The possibility
_ , that currently insignificant discharges of
   certain pollutants may be transformed
   later into significant-discharges is
   addressed through notification   ;•
   requirements (J12Z61(a)) and through
   an authorization to modify permits to
   address such problems            •
   (§122.15(a)(5)(viiiHx)).
     The multiplier used in $ 122.81(a) as
   one means to trigger the notification
   requirement is still set at five, despite
   the comments criticizing it The Agency
   believes that  the.available data supports
   a value of five to distinguish between
   random fluctuations and significant
   increases, at least for the purposes of a
   notification requirement If the Director
   ' becomes aware of sampling or analysis ,
   errors, or fluctuations in pollutants in
   the intake water, the Director may
   modify the permit to establish a higher
  . notification level to account for these
   fluctuations, as provided in $ 122-Q2(f).
   Increases from other causes are exactly
   what this requirement was designed to
   regulate.
     Two changes have been made.
   however, in the way the multiplier of
   five will operate in the notification
   requirement   >  .
     First, the lower threshold for
   notification has been raised to 100 ng/1
   (and higher for several pollutants which
   have high detection limits). Multiples of
   detection limits are not used as a basis
   for application-based notification.
     Second, the multiplier applies to the ••
   maximum, rather than the average value
   reported in the application, of either the
   tested or the predicted value. This
   approach was suggested by. some
   commenters. Of course, when only one
   sample is tested for toxic pollutants  .
   (which is all that is required), maximum
   and average values are indenticaL
   However, the. maximum value has been
   defined to,include values predicted by
   the applicant under § 122.53(d)(10) and
   item VI of Form 2c (discussed below in
   section III.D.3.e.ii). This change
   responds to several comments noting
   /the difficulties in applying the proposed
   regulation to batch discharges and other
   nonrandom changes. Applicants are
   discouraged from reporting-            .
   unrealistically high values in item VI by •
   % 122.62(e). which requires that their
   permits contain limits to control toxic
   pollutants reported at levels greater than
   BAT under 112Z53(d)(10) and item VI.
                          Any variations in levels of pollutants
                          which cannot be predicted at the time of
                          the application will be subject to the
                          notification requirements in § 122.81(a).
                           • The requirement to submit 10 samples
                          to get a higher multiplier has been
                          deleted. The Director may set a higher
                          notification level based on a higher .
                          maximum value, not a higher multiplier.
                          Thus several comments received on the
                          alternate multiplier provision (proposed
                          S 122.88{a)(3)) no longer apply.
                          .  EPA recognizes that the revised
                          approach falls short of the proposal in
                          some respects. There is still some
                          possibility (though less likely as the
                          result of S 122.82(e)J that a permittee
                          may discharge a large amount of a	  .
                          pollutant not limited la its permit, and
                          EPA will not be able to take
                          enforcement action against the
                          permittee as long as the permittee
                          complies with the notification
                          requirements of § 122.61{a). Although
                          EPA will now have authority under
                          i 122.15(a)(5)(viiiHx) to modify (or
                          revoke" and reissue) the permit  to require
                          control of the pollutant permit .
                          modification can be a lengthy process.
                            EPA will continue to examine the
                          problem of pollutants which are not  .
                          limited in permits arid to seek solutions
                          to what it still considers to be a
                          regulatory gap, although the gap is made
                          smaller by the regulations published
                          today. EPA welcomes suggestions on
                          how best to develop a technically and
                          legally supportable approach. In
                          addition, the final regulations control
                          discharges only of the pollutants listed
                          in the permit application, which consist
                          primarily of the listed toxic pollutants
                          and designated hazardous substances.
                          (Proposed § 122.68(a) also was  limited to
                          the pollutants listed in the application
                          form.) This list is by no means
                         .exhaustive of all chemicals which may
                          be discharged.   .  .          '  '
                            EPA intends to continue to study other
                          pollutants, to make appropriate    •   "
                          additions to the toxic pollutant and
                          hazardous substance lists and to
                          consider appropriate technological
                          controls in the development of future
                          effluent guidelines. Some of this work
                          has already begun. However, some will,
                          not begin until currently listed toxics
                          and hazardous pollutants are fully
                          addressed...
                            Even at present, however, permit
                          writers may set limits on  any pollutant
                          believed to be of concern. In certain
                          cases, bioassays and further toxicity
                          testing may result in the identification
                          and control of additional  harmful  .
                          pollutants (see sections III.D.2.d and E.2
                          of this preamble).
                            The new authorities provided to EPA
                          under the Toxic Substances Control Act
 (TSCA) may help further to reduce
 threats of toxic discharges. Under
 TSCA. EPA may regulate the      / -. !
 manufacture, use and disposal of toxic -
 substances. Regulation under TSCA
 may indirectly (or, in certain instances,
 directly) result in the reduction or
 elimination of particular pollutants from
 discharges.                    ;

 & § 125.3(c)(4): Toxicity-Based Limits

   $ 125.3(c)(4) provides that permit
 limits may be expressed in terms of
 effluent toxicity if they reflect the
 appropriate requirements of the Clean
 Water Act such as technology-based or
 water quality-based standards.'This
 aspect of the regulations is essentially
 .unchanged -from the proposal.
   Several minor, editorial changes have
 been made, including the elimination of
 the reference to subparagraph (c)(2),
 which implied  that  toxicity.-based limits
 may be used only on a-case-by-case  • «
 basis. The regulation now provides that
 toxicity-based  limits may also be
 applied in effluent guidelines, provided
 the requirements of subparagraph (c)(4)
 are otherwise met. At this time,'      '
 however, EPA .does not contemplate
 including toxicity-based limitations in
 forthcoming effluent guidelines.
   Many comments  were received
 concerning the issue of establishing '
 .toxicity-based  permit limits. Many
 commenters expressed unqualified
 support for bipmonitoring and toxicity-
 based permit limits, arguing that
 chemical limits alone are insufficient to
 control the many unknown toxic
 chemicals and the results of their ,
 interactions. Indeed, this issue was of
 great interest to many private citizens.
 Several other commenters agreed that
 toxicity-based  limits are appropriate in
 certain situations but, because of the
 expense and delay  involved in
 determining and enforcing such limits,
, argued that they should be used only for
 demonstrated toxic discharges when
 other limits are inadequate or
 unavailable. EPA agrees and is
 recommending that toxicity, limits be
 used when (1) it is suspected that the
 discharge is toxic based on ongoing or
 previous toxicity testing or a history of
 fish kills or related toxicity problems,
 and (2) effluent, guidelines are either
 absent, or it is  believed that significant
 toxicity will remain in an effluent after
 the appropriate guidelines control
• technology is installed. Thus, toxicity-,
 based limits should be used when the
 chemical limits approach is inadequate.
 Examples of such situations include
 primary industry discharges when the'
 listed toxic,pollutants are not found but
 serious toxicity problems exist, and

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    33524
Federal  Register / VoL 45. No. 98  /  Monday. May 19. 1980 / Rules and Regulations
    secondary industry discharges when
    chemical analyses are not required.
      Several commenfers expressed
    concern over the determination of
 *  toxicity limits by permit writers. They
    argued that toxicity-based limits should
    reflect BAT as defined in the Clean
    Water Act Other commenters opposed
    rigid protocols, advocating instead that
    the most appropriate type of toxicity.
    based limits should be worked out
    between the perraittea and permit writer
    to correspond to the particular situation,
    EPA agree* that toxldty-based limit*
    must reflect BAT or other requirement*
    of the Clean Water Act EPA also agrees
    that consMerajjIa flexibility should be
  m allowed the permit writer to determine
   the permit limit* most appropriate for a
   particular situation.
     There are two approaches foe
   determining toxidty-bascd permit limits.
   The first approach is based on State
   water quality standards. All State
   standards include a statement to the
   effect that no toxic substances may be
   discharged In toxic amounts.
  Additionally, many States such as
  California and Arizona specify acute or
  chronic levels which are not to be
  exceeded, and define methods of
  measurement and reporting. The second
  approach la technology-based; the
  permit writer makes a case-by-case
  determination of BAT or other
  appropriate technological standard.
  using hjs or her best professional
  Judgment Such determinations must be
  based on an evaluation of the available
  technology to achieve a  particular
  toxicity reduction. For example, when
  information on treatability is lacking.
  studies can be conducted to assess the
  reduction in toxicity resulting from
  various treatment systems or process
  alternatives. Technology-based limits
  using toxidty units may  then be set
  based on this data. EPA recognizes the
 significant cost of this procedure and
 recommends that it be used only when it
 la not possible to adequately control
 toxic chemicals using appropriate
 chemical limits.
  • Several commenters argued that
 because too much discretion was being
 allowed permit writers in setting toxidty
 limits, non-uniformity would result EPA
 recognizes that some non-uniformity Is
 inherent In a case-by-case approach.
 whether that approach uses chemically-
 based or toxldty-based permit limits. As
 discussed in section III£.1 of this
 preamble, case-by-case limits are a
 necessary approach when applicable
 guidelines are not available or do not
 result in the installation of BAT for all
pollutants. To assist the permitting
authorities and to promote uniformity.
                          EPA has distributed the May 1.1973.
                          draft Biomonitoring Protocol Guidance
                          for the XPDES Permits Program, which
                          discusses the use of toxicity-based
                          permit limits. In addition, a guidance
                          document entitled Use of Biological
                          Toxicity Testing in the Second Round of
                          t\PDES Permit issuance is being
                          developed and will be available in mid-
                          1980.
                           EPA Is continuing at present to rely  .
                         primarily on chemical limits to control
                         toxicity; therefore, toxidty-based limits
                         will be employed only when these
                         chemical limits are inadequate. The '
                         Agency believes, however, that toxicity
                         testing and toxicity-based permit limits
                         must play an eveMncreasin'g role in
                        • order to address the problems of toxic •
                         pollutant control

                         * Indicator Limits To Control Toxic
                         Pollutants and Hazardous Substances
                          § 125.3(8). Proposed S'l25.3(g). which
                        established certain criteria for the use of
                       .limits on indicator parameters to control
                        toxic pollutants, has been retained in
                        the final regulations. However, a
                        provision has been added In paragraph
                        (g)(3) to preserve the discharger's ability
                        to determine the most cost-effective
                        method for reducing its discharges of
                        toxic pollutants. In addition, paragraph
                        (g)(2} has been added to provide for the
                        yse of Indicator parameters to control
                        hazardous substances,  as proposed on
                       August 29.1973 (44 FR 50780). The use of
                       Indicators and final § 125.3(g) are
                       discussed below. While the discussion
                       below focuses on the control of toxic
                       pollutants, most of the discussion
                       pertains to hazardous substances as
                       well
                         a. Outline of Strategy. EPA generally
                       will use the word "Indicator" to refer to
                       conventional and nonconventional
                       pollutants used as authorized in
                       S I25.3(g). Several commenters pointed
                       out the BAT limits on toxic pollutants.
                       BCT limits on conventional pollutants
                       and modified [e.g., to BPT levels] limits
                       on nonconventional pollutant* may. in
                       appropriate circumstances, be used as
                       "indicator" pollutants. EPA agrees.
                       However, the use of such pollutants as
                       indicators does not require any new
                       regulations.
                        As described above in section III.B.l
                       of this preamble, permit  writers must set
                       technology-based limits  to control
                       pollutants by applying guidelines or. in
                       the absence of applicable guidelines, by
                       setting case-by-case limits under section
                       402(a)(l) of CWA. In some cases, it is
                       not feasible to set limits on each
                       discharged pollutant. This is particularly
                       true in the case of organic pollutants.
                      because they can be expensive to  .
                      sample and analyze and because there
    is relatively limited experience and
    historical data demonstrating
    achievable levels of removals by v
    types of technology.
      EPA believes that the most
    appropriate way to regulate toxic
    pollutants is to limit toxic pollutants. As
    discussed in section III.B.l of this
    preamble. EPA has prepared a five-
    volume treatability manual, compiling
    data on treatability levels of specific
    toxic pollutants which have been  •
   achieved by particular technologies, to
   help permit writers to limit toxic
   pollutants directly when guidelines do
   not apply.
     However, as noted above, direct
   limitation of all toxic pollutants in a
   waste stream is not always feasible. In
   such cases, limiting indicator pollutants
   (or selected toxic pollutants) is
   sometimes an appropriate alternative.
   When'a certain treatment system is the
   most cost-effective method for limiting
   toxic pollutants, and where limits on
   certain other pollutants (e.g.. BOD, COD.
   chromiurn and total phenols) found in
   the discharge would require installation
   of the treatment system, then those
   other pollutants are referred to as
   "Indicator" pollutants.
    The term "indicator" is not intended
   to denote a  statistical relationship  •
  between the limited pollutants and ti
  nonlimited toxic pollutants. It means
  simply that the limits on the indicator
  will reflect (i.e.. result in installation of)
  the best available technology
  economically achievable to reduce
  discharges of the toxic pollutants. Note
  that the identification of BAT
  technology for the toxic pollutants does
  not require precise knowledge of the
  numerical levels of those pollutants to
  be achieved by installation of that
  technology. Of course, to be defensible
  as BAT, the general effectiveness of the
  technology as compared to alternative
  technologies must be known. Such
 qualitative relationships  are more easily
 discerned and agreed-upon. based on
 existing treatability data, than-the actual
 numbers which may be achieved to a
 desired confidence interval by the
 compared technologies.
   An approach similar to the indicator
 approach was used frequently in
 developing existing BPT guidelines.    '
 although the term "indicator" was not
 used. Such guidelines include various
 mining (coal, ore, mineral) and metals
 industries. A typical example la the use
 of limits on pH, TSS, and one or two
 metals to assure the precipitation not
 only of the limited metals, but of others
 as well.
   If a pollutant is used as an indicator-
 for toxic pollutants, its limit must refld
BAT for those toxic pollutants. This is

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               Federal Register /  Vol. 45.  No. 98 /  Monday. May 19. 1980  / Rules and Regulations       33525
 . ciearly required by section 301(b) of
«• CWA. which states that limits to control
  toxic pollutants must reflect BAT.
  Therefore. S 125.3 (g) provides that, for
  conventional pollutants listed under
 . section 304(a)(4) of CWA which are
  used as indicators for toxic pollutants.
  the Director may set limits at levels
  which are more stringent than the best
  conventional pollutant control
  technology (BCT). Similarly, for    .
  nonconventional pollutants (those not
  listed as either conventional or toxic  '
 . pollutants) which are used .as indicators
  for toxic pollutants, the Director may set
  limits which are not subject to
  modification under sections 301 (c) or (g)
  of CWA. (As one commenter pointed
  out and as directly acknowledged in
  5 125.3(g)(2). noncenventional pollutants
  used as indicators for hazardous
  substances not listed as .toxic under
  section 307(a) of CWA are subject to
  requests for 301 (c) and (g)    •  '
  modifications.)
    EPA stresses that the Director may
  invoke § 125.3(g) only after establishing
 " that direct limitation of the toxic
  pollutant is not feasible for economic or,  .
  technical reasons and that limitation of
  the indicator will result in BAT-level
  control of the toxic pollutant discharges.
' Tne permit applicant may challenge the
 use of an indicator and offer evidence to
  support direct limitations of toxic.
 pollutants. EPA intends to apply the
 indicator strategy reasonably, with toxic
 limits remaining the preferred approach
 whenever feasible.
    b. Response to Comments. EPA
 .received many comments on proposed
  S 125.3{g). The comments almost
 uniformly favored the  use of indicators
 in appropriate circumstances when
 agreed upon by both the permitting
 authority and permit applicant. Several
 industries strongly encouraged the use
 of indicators. However, most
 commenters expressed reservations'
 concerning the scope of proposed
 S 125J(g).
   Several  commenters were concerned
 that proposed'! 125J(g) might authorize
 the Director to impose indicator limits •
 which would require the discharger to
 control discharges of toxic pollutants in
 a cost-ineffective manner by requiring
 too stringent control of the indicator. For
 example, segregation of toxic waste
 streams, process changes and raw   .
 materials substitutions are possible
 means of controlling particular toxic
 pollutant discharges without controlling
 any parameter intended to serve as  an
 indicator.                '•
   EPA agrees that limits on indicators  •
 should not be used1 to require greater or
 more expensive effluent control  than
 would be required if all pollutants were
 regulated directly. § 125.3(g) has
 therefore been amended by the addition
 of a requirement that the Director may
 not impose a more stringent limit on a
 pollutant intended to be. used .as an
 indicator when the limit would     •
 effectively require the permittee tb.use a
 method of treatment which differs from
 that which would be required if the toxic
 pollutants were limited directly. In the
 event that the Director uses an indicator
 limit in the draft or final permit that the
 discharger believes would preclude the
 use of more cost-effective measures to
 regulate the indicated toxic pollutants,
 the discharger can make appropriate
 objections challenging the limits under
 the procedures in 40 CFR Part 124.
   Several commenters requested rthat  •
 the concurrence of the permittee be
 obtained before an indicator limit is set
 in the permit Another requested simply
 that the permittee be given an
 opportunity to comment on the proposed
 use of indicator limits. EPA believes that
 it is administratively infeasible to-obtain
 the permittee's concurrence in each  '
 situation before setting indicator limits.
 However, the procedures in 40 CFR Part
 124. which include opportunities for
 permittees to comment on the draft
 permit, request an evidentiary hearing •
aftet the permit is issued (unless an
 expanded non-adversary hearing has
 been held during the comment period
 under Part 124. Subpart F) and appeal to
 the Administrator, will afford significant
 opportunity for permit writers and
 permittees to resolve disagreements.
 The strict restrictions  placed by  .
 S 125.3(g} upon the use of indicators.
 together with the possibility of
 administrative and judicial review, will
 insure that permit writers do not use
 indicators improperly.
  Some commenters argued that the
limitation of conventional  indicators
beyond BCT and the denial of variance
opportunities for nonconventional
indicators is contrary to the
requirements of CWA. EPA disagrees.
When limits on indicators  are used as a
means to control toxic pollutants, they.
must reflect the best available
technology economically achievable
(BAT) to control the toxic pollutants. As
long as the requirements of § 125.3(g>-
are met (i.e.. that indicators be used only
where direct limitation-of toxic
pollutants is infeasible and that
indicators not be used to require control
technology which  is not needed to
control the toxic pollutants), discharges
will effectively be subject to precisely
those  technology-based requirements •'
required by section 301 of CWA.
  Many commehters expressed concern
over the possible lack  of correlation
  between levels of indicators and the
  controlled toxic pollutants. The
  commenters noted that certain
  indicators may be present in
  concentrations several orders of
  magnitude greater than thejoxic
  pollutant. This comment was most
  imaginatively expressed by the
  Chemical Manufacturers Association.
  which stated: 'To select an 'indicator'
 'controlled to concentrations several
  orders of magnitude greater than the
  toxics indicated is almost like trying to
  determine the weight of a flea by
  weighing a dog with and without the.
  flea." Still other commenters attempted
  to support their objections by submitting
  charts demonstrating, the poor
  correlation between what they termed
  an indicator and a specific pollutant
  (e.g.. total suspended solids and zinc) in
.  their discharges.  .
   EPA believes that the above
  commenters have misconstrued the
  "indicator" concept and regulation. EPA
  does not assert that indicators and
  specific toxic pollutants controlled ,^_
  through the indicator limits must be or
 are likely to be statistically correlated.
 Nor does it assert that any pollutant
 used as  a measure of a class of
 compounds will necessarily be
 statistically correlated to each or any
 compound in that  class. Rather, the
 function of an indicator limit is to assure
 the installation and maintenance of BAT
 controls for toxic pollutants. Sufficiently
 low limits on one or more indicators
 may require installation of treatment
 equipment known to constitute BAT for
 'certain toxic pollutants. In  that case   .
 (and only in that case), the indicator
 limits will have served their purpose of  '.
 assuring BAT control of the toxic
 pollutants, whether or not a correlation  .
 exists between the indicators and"
 toxic's.  "
   Two commenters urged the use of
 bioassays instead  of indicators.or to
 calibrate indicators. The use of
 bioassays is discussed below in sections
 ffl.D.2.d  and III.E.2 of this preamble. It is
 noted here, however, that bioassays and
 indicators generally serve different
 purposes and are not generally        •
 substitutable for each other.
  .. Some industrial  commenters argued
 that if the indicator concentrations are
 not statistically correlated with the toxic
 concentrations, a violation  of an
 indicator limit may occur even when the
 indicated toxics are not being
 discharged at signficant levels. EPA   .
 does not expect this to be a problem;
 Indicators will be used only where  •
 necessary  to control discharges of toxic
 pollutants. If a toxic, pollutant will not
 be'discharged at levels above those

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    33526'
Federal  Register / VoL 45. No. 98  / Monchy. May 19. 1980 / Rules ajid Regulations
    ^^—
    achievable by BAT. then an indicator
    limit will not be authorized by § 122.3(g)
      If an Indicator limit is violated fay the
    permittee, this demonstrates improper
    operation or maintenance by the
    permittee of its treatment system. In
    such a situation, the violation may
    properly result in an enforcament action,
    Of course, a situation may arise where
    indicator limits are set to control toxic
    pollutants which are discharged above
    BATlevels at the time of permit
   application, but which are later no
   longer prasent at levels requiring
   control.
     In that case, the permittea may apply
   for a permit modification to eliminate
   the Indicator limit or to modify it to a.
 .  less stringent level authorized by law.
     Some environmental groups used
   similar logic to that used In the
   preceding comment by industrial
   commenters and argued that If indicator
   concentrations are not correlaled wilh
   toxic pollutant concentrations, a "
   significant discharge of toxic pollutants
   may not result In a violation of the
   indicator limit EPA agrees, as it
   acknowledged in the June 14 preamble.
   lhat this is a possibility In some cases.
  However, tho proper selection of
  Indicators should assure that violation
  of the indicator limits wUl occur
  whenever the treatment system is no"t
  properly operated or maintained. When ,
  the system is properly operated or
  maintained, the indicated toxics should
  generally be reduced to levels below
  BAT. Furthermore, as noted above, the
  regulations allow the use of Indicators  •
  only where the direct limitation of toxic
  pollutants is infeasible. -
    EPA also notes that occasional
 monitoring of specific toxic pollutants as
 required by the permitting authority
 would reveal whether an indicated toxic
 Is being discharged at high levels. If so,
 the application-based notification
 requirements of § 122,Bl(a) would be
 triggered The permitting authority could
 then, if necessary and feasible, modify
 the permit to limit the toxic directly.
 EPA has rejected the suggestion by one
 environmental commenter lhat EPA
 specify technology In conjunction wilh
 the use pf indicators. Such an approach
 Is inconsistent with the general statutory
 approach that, except for the
 specification of best management
 practices In certain instances (see
 1122.B2(k)J. permits should specify
 effluent limitations rather than
 technologies or control practices.
   Some commenters suggested that
 indicators be used only for monitoring
purposes. EPA disagrees. Although'
direct limitation of toxic pollutants is
required whenever feasible, indicators
may be necessary as permit limits in
                          certain situations. However, indicators
                          may be used for frequent monitoring
                          purposes when toxics are limited
                          directly. In such situations, the
                          indicators would be monitored
                          frequently, and the toxics would be
                          monitored less frequently to reduce
                          monitoring costs.
                           Some environmentral commenters  '
                          suggested that any violation of an
                          indicator limit should,trigger automatic
                          monitoring of the Indicated toxics, as
                          was suggested In the preamble. Such
                         monitoring will often bs appropriate
                       ' > when Indicator limUs are violated.
                         However, in many instances, the source
                         of the violation may be discerned and
                         corrected without such testing.
                         Therefore, EPA has .rejected this
                         suggestion. The Director thus retains the
                         flexibility to take the moat appropriate
                         approach to discover and remedy the
                         cause of the violation. In addition, the
                         final consolidated regulations (in
                         5 122.62(g))Teqnire permits to specify
                         that violations of maximum daily
                         discharge limitations on indicators, as
                         well as limitations on toxic pollutants
                        and hazardous substances, must be
                        reported within 24 hours, to that the
                       1 Director may talca appropriate action.
                          One commenter noted that the
                        statutory deadlines for an indicator and
                        the indicated pollutants may differ in
                        certain cases under section 301(b) of the
                        Clean Water Act. When a parameter is
                        used as an indicator, any earlier
                        statutory deadline for the indicated
                        pollutant controls.
                          Finally, some commenter* argued that
                        application-based limits (propoied
                        5 122.68(8)) should not apply to
                       Indicated toxic pollutants. As explained
                       in section IUJ3.1 of this preamble. EPA
                       has deleted its proposed application-
                       based limits from the final regulations.
                       Thus, under the final rule, indicated
                       toxics will not be subject to application-
                       based limits. They wilt however, be
                       subject to the much less burdensome
                       application-based notification
                       requirements in § 122.Bl(a).

                       C. NPDES Application Requirements for
                       Concentrated Animal Feeding
                       Operations and Aquatic Animal
                       Production Facilities: § 122.S3(e) and
                       Form 2b
                         The requirements for applications
                       from concentrate'd animal feeding
                       operations and aquatic animal
                       production facilities appear in
                       § 122.53(e) of the final regulations and in
                       Form 2b. Although these requirements
                       were inadvertently omitted from the
                       proposed regulations, draft Form 2b was
                       published in the June 14,1979 Federal
                       Register (44 FR 34393) and was the
                       subject of several comments.
      The State of Nebraska expressed
    approval of Form 2b and noted its
    Similarity to the form used by their
    State. The American Farm Bureau   i
    two suggestions which were adopted.
    First, the question on the location of the .
    operation has been changed to require a
•    detailed description of the location only
    if the answer to item VI of.Form 1 was
    not sufficient. Second, the question
    about the number of acres available for
    manure disposal has been omitted; EPA
    agrees that it  was not relevant to the
   NPDES program. The Department of
   Water Resources of Texas stated that •
   the form was  too technical and
   crowded, but  suggested that questions
   should be added requiring a description
   of the method for disposing
   contaminated runoff, the  water
   detention facilities, the pesticides used.
   and the plans  for constructing a runoff
   control system. These suggestions have
   not been adopted, because the Agency
   has dccidod lhat the suggested
   additional information is  not routinely
   needed to set appropriate permit  limits
   for these facilities. Of course, Texas and
   other States may require this •
   information on their application forms.

   D. Minimum NPDCS Application
   Requirements for Existing Industrial
   Dischargers: 5  J22.S3(d) and Form 2c

   /. General Discussion of Requirement!
  Public A vailability of Information
    On June 14.1979, EPA proposed new
  application requirements and a new
  Form 2c to be used by existing industrial
  dischargers. Consistent with the Clean
  Water Act's mandate that  EPA focus
  upon the control of toxic pollutants and
  with EPA's new permitting strategy for
  toxic pollutants in response to that
  mandate, EPA proposed that existing
  industrial dischargers be required  to
  submit in their NPDES permit
  applications, in addition to other
  information, detailed information
  concerning discharges of toxic (and
  certain other) pollutants.
.   The requirements reflect the Agency's
 belief (which was supported by many
 commenters) that dischargers have a "
 duty to be aware of any significant
 pollutant levels  in their discharge. In
 addition, they serve two specific •
 purposes. Most important, they provide
 the information which permit writers
need to determine what pollutants are
likely to be discharged in significant
amounts and to set appropriate permit
limits. Second, they will be  used as a
basis for application-based  notification
requirements under §.122.61(a). ,
   The final regulations retain  the
essential components of the proposed
application requirements of June 14.

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               Federal Register /Vol. 45. No. 98 / Monday. May 19. 198O /  Rules  and Regulations       335ZT
  1979. .Some testing requirements were .
  modified for'certain industries based on
  EPA's continuing review of data on
  those industries' discharges. In addition.
  certain requirements were added with
  respect to hazardous substances •
  designated under section 311 of CWA,
  based on EPA*s August 29.1979
  proposal (44 FR 50760} responding to the
  1978 Amendments to section 311 (a)(2).
    Dischargers will generally be required
  to submit'applications in three
  situations: when an initial permit is
  needed, when an existing permit will
  soon expire and a new permit will thus
  be needed and when a permit is being
  revoked and reissued under 40 CFR
  122.15. However. 1124.5 provides that
  an application may also be required, if
  specifically requested by the permitting
  authority, when grounds for permit
  modification exist This requirement
  was also contained in previous NPDES
  regulations in f122.l4(e) (44 FR 32905}.
  A more extensive requirement in • J
  § 122.10(b), that new applications be
  submitted for certain types of
  modifications, has been deleted in
  response to comments pointing out that
  a new application is not always
  necessary in such situations.
   The new application requirements and
  Form 2c apply only to existing
  dischargers. Until Form 2d is developed.
  EPA Forms 7550-8.-9 and-23 should
  continue to be used by new sources and
  new dischargers as well as by existing
  facilities which will first begin to
.  discharge through particular outfalls in
,  the future.                   .
   Applicants should note that section
  402(j) of CWA requires that any
  information contained in a NPDES
  permit application must be made
  available to the public., (This rule set
  forth in 40 CFR 122.19 and is highlighted
  in the instructions to Form 2c.)
  Therefore, EPA has not accepted the
  suggestion by some commenters that
  certain portions of the application be
  confidential. However. EPA has
 attempted to address this potential
  concern by minimizing requests for
 information which may be regarded by
 certain applicants as sensitive.
   First, information on the applicant's
. volume of production (or other measure;
 of total operation] is requested only of
 applicants who are subject to
 production-based effluent limitation
 guidelines; Applicants subject only,to
 concentration-based guidelines or to    '""
 case-by-case development of
 individualized permit limits (when no
guidelines apply), for example, need not
submit such information. Second, all
effluent discharge reporting-
requirements ask only for end-of-pipe
effluent data, rather than in-process
  waste stream data. While permit writers
  may request additional information not
•• required in the EPA application form
  (under § 122.53(d)(13), discussed below
  in section III. D.3.i of this preamble),
  such information is subject to the
  protections afforded by 40 CFR .Part 2.
    Some industrial commenters argued
  that product information submitted by.
  applicants subject to production-based
  guidelines should be held confidential
  Some argued that if all application
  information must be available to the
  public, then product information should..
  be deleted as an application
  requirement and obtained by permit
  .writers on a case-by-case basis.- such as
  under the authority of section 308 of
  CWA.
    EPA must reject the. above-suggestion
  for several reasons. First, it is not
  administratively feasible to require
"  permit writers to individually request
  many thousands of permit applicants to
  submit such information separately from
  the standard application process. While
.  permit writers will in some instances
  need to request information in addition
  to that required in the application form,
  they cannot be expected to do so on a
  regular basis for routine information.
  This would result in unacceptable
  delays in issuing permits..           •  .
   Second, much of the information  in
  the permit application is "effluent data"
  within the meaning of 40 CFR 2L302(d)(2)
  and  therefore would have to be '
  disclosed under section 308 of CWA. For
  example, if the applicant'is subject  to an
  effluent limitations guideline of 7 pounds
  of BOD per 1000 pounds of product
  produced, a production figure is
  necessary to determine the amount of
  BOD discharge authorized  by the
  applicable limitation. Even if the
  production figure could be protected
  from public disclosure; the figure could
  easily be calculated from the permit
  limitation.            • . •' .
   Third arid most important. EPA
 believes that the requested product
 information is not sensitive. Applicants
  are requested in the instructions to the
 form to report product information
 based on past production, such as
 highest month of the past year or the
 monthly average of the highest year of
. the past five years. (This reflects the
 requirements of 40 CFR 122.63(b}.) The
 applicant need not identify in  the
 application which basis was used to
 determine production volume. Moreover,
 the reported information does not
 indicate the applicant's estimate .of  -
 future product demand or its anticipated
: future production.
   The final application, requirements
 include one new item which might be
 regarded as touching upon sensitive
  data. Applicants are no'w required to list
  any toxic pollutants which they use or,
  manufacture as intermediate or final
  products or byproducts. EPA has tried to
  minimize the possibility that reporting
  this information will result in revelation
  of trade secrets. First, applicants need
  not indicate on this list the Specific-basis
  for listing any particular pollutant; the
  basis will be assumed to be one of the
  above factors. Second, applicants need
  not list the amount used or
  manufactured.                      •
   •Certain wording changes have been
  made in response to comments in'other
  questions on Form 2c to minimize the
  amount of potentially sensitive
  information required. These changes are
  discussed in more detail in section
  III.D.3 of this preamble.

 2. Required Analyses and Estimates of
 Pollutant Discharges          •  .'  •-"
   a. Toxic Pollutants: § 122.53(d)(7)(ii)
, and item V-C. The chief innovation of
' the new NPDES application
 requirements is that applicants must
 report discharges of toxic pollutants.
 The proposal required applicants in 38
 industries (the 34 primary industries
 listed in the modified NRDC Settlement
 Agreement, plus the Asbestos and'
 Ferroalloys industries) to test for all
 toxic pollutants (except for asbestos-and
 TCDD, which are discussed below). The
 final regulations have modified this
 requirement for certain industries.
   The reporting requirements for toxic
 pollutants may be summarized as
 follows:   •'••'-.'         •
   (1) All applicants in the 34 primary
 industries listed in (he NRDC Consent
 Decree must analyze their process     —
• was tewater outfalls and report
 quantitative results for the 13 metals on
 the toxic pollutant-list and for cyani'de
•and total phenols.
   (2) All applicants in the 34 primary
 industries must analyze their process
 wastewater outfalls and report
 quantitative results for some or all of the
 114 organic toxic pollutants. The organic
 toxic pollutants have been grouped into
 the four fractions which are used in the
gas chromatography/mass spectrometry
(GC/MS) analytical test method. The
regulations and Form 2c each contain
 tables showing the fractions w.h'ich'
applicants in each of the 34 industries
must test for.    - -
   (3) All applicants must indicate the
presence of any toxic pollutants which
they know or have reason  to believe are
or will be discharged from any outfall.
They are required to analyze only for
those pollutants which they know or
have reason to believe are currently
discharged.

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     33528
Federal Register / Vol. 45.  No. 98 / Monday. May 19. 1980 / Rule8 and Regulations
       An exemption from the second and
     third requirements listed above is
     provided for small businesses whose
     average annual gross sales total less
     lhan S100.000 (or, in the case of coal
     mines, those whose average annual
     production is less than 100.000 tons of
     coal). See section IILF.S.b of this •  '
     preamble.
      The proposed requirement that
     applicants In the 38 Industries analyze
     for tho 129 toxic pollutant* wai heavily
     commented upon. Environmental groups.
    many private citizen*, and some State
    agencies expressed strong support for
    tie analysis of the 129 toxic pollutant!
    at a minimum requirement. (Many of
    these commenters argued, In fact, that
    the requirement is Insufficient In Itself
    and should be supplemented by
 *  btomonitoringrequirements.-See
    discussion In section III.D.2.d of this
    preamble.) On the other hand, many
    Industrial commenters argued that the.
    requirement was too broad, imposing
    significant costs to sample and analyze
   Jor pollutants which may be absent from
    applicants' waste streams. In particular,
   comraenters from certain Industries
   (pulp and paper, mining, oil and gas
   extraction, metal finishing, steam
   electric generating plants, textiles,
   rubber processing, and laundries)
   argued for full or partial exemptions for
   their Industries or for all industries.
     In the June 14 preamble. EPA stated in
   support of its proposed reporting
   requirements that although EPA has
   sampled plants in each industrial
   category as part of the effluent
   guidelines development process, plant-
   unique situations could be discovered
   only through waste stream analysis by
   each discharger. As described today in
   section HLB of this preamble. EPA needs
   to be aware of those specific situations
   to write adequate permits. The Agency
  restricted its proposed requirements to
   the 38 Industries which EPA concluded
  were likely to discharge at least some
  toxic pollutant*. The Agency noted,
  however, that It would continue to
  Investigate existing data and would add
  or delete requirements to ensure that
.  waste streams be analyzed only for
  pollutants which may be discharged.   '
    In response to EPA's specific request   '
  for comments on this Issue, several
  suggestions were received. The
  comments and EPA's responses are set
  forth below:
    1. Comment: EPA'should require
  applicants to test only for the pollutants
  regulated In the relevant effluent
  limitations guidelines. Response: EPA
  has not adopted this approach because
  It-Ignores the diversity among plants
 which the application requirements are
 designed to address. Ifalso would
                          require EPA to wait for guidelines to be
                          finally promulgated before setting
                          application requirements. That approach
                          would delay the permitting process and
                          possibly result in failures to meet the
                          statutory 1984 deadline.
                           2. Comment: EPA should require
                          applicants to test only for those toxic
                          pollutants which they know or have  •
                          reason to believe are present in their
                          discharges. Response: EPA has not
                         adopted this approach for primary   '
                         Industries because, as EPA has learned
                         during its industry sampling efforts. It
                         can be difficult to predict what toxic
                         pollutants will  be discharged from an
                         outfall However, this approach is being
                         used for secondary industries and for
                         primary industries' non-process  	
                         wastewater outfalls, since their
                         discharges are much less likely to be
                         toxic.              _
                          3. Comment: EPA should leave the
                        .application requirements to be       •
                         determined on a case-by-case basis by
                         the Director or should allow the Director
                         to waive requirements on a case-by-case
                         basis. ResponsezEPA has not adopted
                         either approach. EPA is required by
                         section 304(i) of CWA to develop
                        "uniform application forms and other
                        minimum requirements." While this
                        does not preclude EPA from making
                        valid distinctions among industries with
                        differing discharges. EPA should not
                        burden .permit writers with  the
                       .obligation of determining the pollutants
                        which each particular applicant must
                        test for. Indeed, as noted in the
                        preceding paragraph, it would be
                        difficult for permit writers and
                        applicants to determine whether certain
                        toxic pollutants will be discharged by
                        the applicant without testing the
                       discharge. Furthermore, allowing
                       application requirements to  be
                       established on-a  case-by-case basis
                       would result in unfairly disparate
                       application requirements for similar
                       applicants. (Note that, EPA does not bar
                       permit writers from requesting further
                       information where appropriate for a
                       particular discharge. However, the
                       minimum requirements should be
                       uniform as required by law.)
                         4. Comment: EPA should allow the
                       substitution of biomonitoring for
                       chemical monitoring. Response:
                       Although biomonitoring provides
                       information on the toxicity of a
                       discharge, it does not identify particular
                       pollutants which may be causing the
                       toxicity (certain biological methods of
                       identifying specific chemicals are in the
                       development stage, however). To control
                       the toxicity, it is important to identify
                       and address the sources of that toxicity.
                      Thus biomonitoring is not a suitable
   replacement for chemical monitoring,
   although it may be a useful supplem
   in certain situations (see discussion
   section III.D.2.d and III.E.2 of (His
   preamble).
     S. Comment: Toxic pollutants in
   certain effluents may be better
   controlled through Best Management
   Practices programs: thus testing is not
   necessary. Response: Regardless of the
   appropriate method of control, one first
   needs to identify the toxic pollutants
   being discharged arid the means of the
   discharge. Furthermore. Best
   Management Practices will be used to
   regulate process wastewater discharges
   through outfalls only in relatively few
   circumstances (see § 122.62(k)); end-of-
   pipe BAT controls generally will be used
   for such discharges.
    8. Comment: Applicants should be
   required to test only for those pollutants
   detected or likely to be .detected at
   significant levels, based on data
   available to EPA. such as from its
   industry sampling efforts. Response:
   While EPA has not  selected precisely
   this approach, the final regulation
  (described immediately below) takes a
  similar approach and imposes similar
  costs.
    EPA has decided  to use different
  approaches for the metals and the
  organic chemicals on the toxic pollutan
  list.   .
   All applicants in the primary
  industries (the 34 NRDC Consent Dec
  industries) must test their process
  wastewater discharges for all the toxic
  metals, because almost all primary
  industry applicants discharge some
  metals and because  the incremental cost
  of testing for all 13 toxic metals over the
  cost of testing for a few metals is
  relatively small. On December 3,1979
  (44 FR 69464). EPA proposed a new
 method for testing metals in addition to
 those already promulgated in 40 CFR
 Part 138. The method is ICP (inductively
 coupled plasma optical emission
 spectroscopy), which provides a
 simultaneous determination of several
 metals in a sample. When this method is
 promulgated, it may make the cost of
 testing for all 13 toxic metals
 comparable to testing for fewer metals
 using other methods.
   All applicants in primary industries
 must also test their process wastewater
 discharges for cyanide and total phenol.
 The proposed requirement that all
 applicants test all discharges for these
 pollutants has been deleted, as several
 commenters suggested, because they are
 not likely to be found in most discharges-
.other than primary industry process
 wastewater discharges. However,    /
 applicants must test for them whenev
 they expect them to be discharged.

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      -        •'.""-'    ,''- r .... •'•""'',       -    ,                       ' •     o '_   • -    -            "

Federal Register / Vol. 45, No. 98 / Monday, May 19, 1980 / Rules and Regulations       33529
    "Process wastewater" is defined in
  the Glossary of the instructions to the
  consolidated application forms. In 'cases
  of uncertainty in applying the definition,
  applicants should contact their
  permitting authorities...
  '  EPA has modified its proposed
.  requirements for 'organic toxic pollutants
  by exempting certain industries from
  testing for certain pollutants. The
  approach used by EPA applies two  '
  factors. First, as suggested in the sixth
  comment listed above, is the likelihood
  that an applicant may discharge a
 •particular pollutant Second is the extent
 •tp which deletion of a toxic pollutant or
  group of toxic pollutants from the list of
  reportable pollutants results in cost
  savings.      .              .
    EPA has determined the likelihood of
  discharge by using an approach
  suggested by many commenters. EPA
  decided  that any pollutant which has
  been detected at greater than 10 pg/1
  (different cutoffs arp used  for several .
  pesticides) in one or more  samples in an
  industry should be tested for by all
  applicants in the industry. This
  approach has been selected because, in
  most industries, EPA ha* sampled only a
•  small percentage of the plants. Thus.the
  appearance of a pollutant in the data
  base for  an industry impliesfhat it may
  be discharged by several plant* in that
  industry.
    In analyzing the costs  of various  •
  levels of testing requirements. EPA
  considered both sampling and analytical
  costs. (Detailed derivations of costs.
  assumed in this discussion are
. contained below in section ELF of this
 'preamble.) Sampling costs for one
  outfall (31,550) are not affected by the
  number of pollutants analyzed. Thus,
  the cost of collecting a sample to
  analyze for all 114 organic toxic
  pollutants is equivalent to  the cost of
  sampling for only a few of them.
  Analytical costs, however, are
  somewhat dependent on the number of
  pollutants analyzed Using gas
  chromatography/mass spectrpmetry
  (GC/MS). pollutants are grouped into
  four fractions which are  based upon
  similar chemical and physical
 properties. Within a fraction, virtually
 identical analytical costs are incurred
 whether one pollutant or all pollutants
 in a fraction are tested. Moreover, since
 pollutants in the same fraction share
 similar chemical and physical
 properties, the presence of a pollutant in
  a discharge indicates some likelihood
  that other pollutants in the fraction may
 also be discharged. However,   •*•
 elimination of entire fractions from
  testing requirements can reduce costs.
 Thus, assuming that testing for all four
                          fractions may cost 52,000. deletion of
                          one fraction may save S150 to S500.
                        ,  depending on the fraction deleted.     •
                            Based on the reasoning outlined
                          above. EPA has decided to require
                          applicants in each primary industry to
                          test process wastewater for any
                          pollutant which has been  found in
                          discharges from plants in  that industry,  '
                         .plus any other pollutants which are
                          contained in the same GC/MS fraction
                          as that pollutant (since this additional
                          analysis is virtually costless and may
                          yield further information of   :
                         . significance). .(Applicants  with sales of
                          less than $100,000 per year, or
                          production of less than 100,000 tons per
                          year in the case of coal mines, are
                          exempt from testing for organic toxic
                         'pollutants under J 122.53(d)(8). See the
                          discussion in section ID.F.6 below.)
                          When no pollutants of a particular
                          fraction have been detected in any
                          sampled plant in an industry, that
                          fraction has been deleted  as a
                          requirement for applicants in that
                          industry.
                            After formulating the rule/for testing
                          requirements as outlined above, the
                          Agency reviewed the  data which has
                          been generated in its effluent guidelines
                          sampling  efforts to determine which
                          pollutants have been found in each of
                          the 34 primary industries.  The Agency
                          recognizes the technical problems in its
                          approach. Most important. EPA's data
                          base, the most comprehensive data base
                          available, is to some extent subject to
                          errors in sampling, analysis and       '
                        - reporting. On one hand, there is some.
                          possibility that a pollutant shown by the
                          data to,have been found in a plant's-
                          discharge was not actually present On
                          the other hand, it is possible that a
                          pollutant which was present in a     '
                          discharge will be shown in the data to
                          be absent Another problem is that there
                          is limited  data for certain categories .and
                          especially for subcategories.  .
                            Given the shortcomings  in the
                          Agency's  data base, it became
                          necessary to decide whether to base
                          testing requirements for a  GC/MS
                          fraction on a single detection of a  -
                          pollutant in the fraction, a greater
                          number of detections, or upon some
                          minimum  ratio of detections to samples.:
                         The Agency decided to adopt the
                          approach  of one detection at
                          concentrations above  10 ug/1. First, this
                          approach  is less arbitrary  than the
                          alternatives, which would have required
                          a judgment without any technical basis
                          that some other number correctly •
                         represents the degree  of error in the data-
                        :' base. The selection of a single detection
                          as a criterion acknowledges the , -•*
                          difficulty of making such a judgment and
relies rather on the assumption that a
detection indicates a reasonable
likelihood of actual presence of a toxic
pollutant in a discharge.
  Second, as noted above, the cost
savings of deleting a particular fraction
from the testing requirements for a
particular industry are only a small part
of the remaining sampling and analysis
costs. Therefore, it is appropriate to
require testing of a fraction whenever a
reasonable likelihood exists that a
pollutant in the fraction is being
discharged. :
  Third, the adopted approach is the
most environmentally protective'
alternative to EPA's proposed approach:
requiring testing for all four fractions
without exception. Any further    •    :
relaxation of the proposal would result  •
in a higher probability that some'plants
would not be required to test for-certain
toxic pollutants which- they discharge.
  The need for. stringent testing
requirements is particularly strong in
light of the Agency's decision not to
require biomonitoring for  toxic effects
on a uniform basis. As noted elsewhere
in the preamble, many private citizens •
as well'as environmental  groups have
urged .that EPA require biomonitoring.
EPA's chief argument for not requiring
biomonitoring at this time is that it js  ..
more appropriate to focus the testing
requirements at this stage upon
monitoring of specific.toxic pollutants.'
This argument would be weakened
substantially by a further relaxation of
the toxic'pollutant testing requirements.
 • The final toxic pollutant testing
requirements for primary industries
strike a reasonable balance between the
competing considerations of cost and
environmental protection  by exempting
industries from testing those GC/MS
fractions in which toxic pollutants have
not been found. This criterion has
resulted in the exemption of 16 out of
the 34 primary industries from testing
for the, pollutants in  the pesticide
fraction.  In addition, 3 industries are
exempted from testing for pollutants in
the acid fraction, 1 industry is exempted
from testing for the pollutants in the
volatile fraction, and! industry is -
exempted from testing for pollutants in
the base/neutral fraction. See Part 122,
Appendix D. Table I, and Table 2c-2 of
the instructions to Form 2c.
  EPA has deleted the proposed
requirement that applicants in the
Ferroalloys and Asbestos Manufacturing
industries test for all toxic pollutants.
EPA's industry toxic pollutant sampling
efforts covered only the primary
industries. EPA thus lacks the data to
support a. supposition that secondary
industries are discharging toxic
pollutants. Thus secondary industries,

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                 Federal Register / Vol. 45. No. 98 / Monday; May 19. 1980 / Rules and Regulations
33530
    Including the Ferroalloys and Asbestos
    industries, are exempted from
    mandatory testing for toxic pollutants.
      However, in addition to the testing •
    requirements specified for process
    wastewater discharges from primary
    Industries, all applicants are required to
    report discharges of any toxic pollutant
    which they know or have reason to
    believe may be discharged  through any
    outfalLThJs requirement includes
    pollutants in GC/MS fractions not
  • marked In Table 2c-2 of the instruction
    to Form 2c, pollutant! discharged by
   primary Industrie! through nonprocesa
   wastewater outfalli, and pollutant!
   discharged by secondary Industrie!
   through any outfall This requirement is
  . similar to the proposal, with one change.
   The proposal allowed applicant! to
   estimate such discharges. The final
   regulation allows estimation of presence
   Or absence; however, applicants are
   now required to test for any pollutant
   known or believed to be present in the
  discharge.
    EPA has decided to require testing for
  one toxic pollutant for which the
  proposal allowed estimates:  TCDD'
  (2.3,7,8-Tetrachlorodibenzo-p-dIoxin).
  Testing for TCDD wai excluded from
  the proposal because the routine
  shipping and use of analytical standards
  of TCDD needed to perform quantitative
  analyses would endanger the public due
  to the extreme toxidty of TCDD. The
  National Wildlife Foundation correctly
  noted that due to TCDD's toxlclty,
  "added rather than lessened precautions
  must be taken to avoid its undetected
  discharge into the environment"
  Accordingly. EPA will require certain   '
  dischargers to screen for TCDD in a
  manner which does not require the
  ahipping of analytical standards.
   Applicants who produce or use the
  following compounds must screen  for
 TCDD:
 2,4,5-lrichtorophenoxy acetic acid
   (2,4,5-T)
 2-(2.4.5-trichlorophenoxy) propanoic
   add (Silvex 2,4.5-TPj
 2-f.2,4,5-trichlorophenoxy) ethyl 2.2-
   dichloropropionate (Erbon)
 O.Odimelhyl O-(2.4.S-trichlorophenyl)
   phosphorothinate (Ronnel)
 Hexacblorophene (HCP)
 2.4.5-Trichlorophenol (TCP)
 This list Is based upon a recent draft
 study conducted by EPA's Office of
 Toxic Substances: DIoxins: Sources.
 Transport, Exposure and Control (April
 1979). These studies indicate that TCDD
 Is likely to be a contaminant in the six
 compounds listed above.
  TCDD screening will be done by the
use of GC with an electron capture
detector. This method will reveal the
                                      presence of dioxin but will not separate
                                      its isomers. However, positive results
                                      may then be used by the permit writer
                                      as a basis for requiring the use of GC/
                                      MS and a TCDD standard to identify
                                      and quantify TCDD (see-method 613.
                                      proposed in 40 CFR136 on Decembers.
                                      19/9. 44 FR at 69528).
                                        EPA is retaining the proposed
                                      exemption from testing for one other
                                      toxic pollutant asbestos. Due to the lack
                                      of a suitable test method for asbestos.
                                      applicants are required only to indicate
                                      whether asbestos is expected to be
                                      discharged and. if so. to describe the
                                      source of the discharge and to submit
                                      any available analytical data.
                                       Applicants whose outfalls were
                                      analyzed by EPA during EPA's industry
                                      sampling program may submit
                                     quantitative data generated by EPA
                                    • rather than retest their discharges, if the
                                     data is less than three years old and
                                     remains representative of the present
                                     discharge. When data has not been
                                     developed by EPA for a particular
                                    pollutant, the exemption does not apply
                                     to that pollutant The exemption should
                                    affect at least 100 applicants. The June
                                    14 proposal required data to be no more
                                    than two years old: commenters pointed
                                    out that more than two years will
                                    generally have elapsed since EPA tested
                                    the applicant's effluent In response.
                                    EPA has changed the time to three
                                    years. (This period is consistent with
                                    regulations requiring permittees to
                                    retain monitoring records for three
                                    years.)                              '
                                      For the applicants who are required to
                                    test their waste streams_EPA has
                                    reduced its sampling requirements from
                                    the proposed 72-hour single flow
esults m a
?Aqfflhk
HP.
                                       « — •	-— - ™ -«W»«L* u***£4w 41 wr»
                                    proportional composite sample to a 24-
                                    hour sample. This change was adopted
                                    In response to comments and after
                                    reconsideration of the relative costs and
                                    benefits of using 24-hour samples and
                                    72-hour samples.
                                     The Agency has used 24-. 48-. and 72-
                                    hour samples in its data collection
                                    efforts. Although a 72-hour sample may
                                    in some instances be more
                                    representative of a discharge than a 24-
                                    hour sample, other factors such as the
                                    retention times of treatment facilities
                                    would have to be considered in each
                                    instance to determine the most
                                    appropriate sampling time. Furthermore.
                                   preserving a 72-hour sample may
                                   introduce errors which cancel the
                                   benefits of the longer time period.
                                     Although the incremental benefits of
                                   using a 72-hour sample instead of a 24-
                                   hour sample are questionable, the cost
                                   savings of using a 24-hour sample are
                                   substantial. The cost of sampling a
                                   single outfall for 72 hours is estimated to
                                   be $2.500. while the cost for 24 hours is
    Sl.550: thus a 24-hour sample results in a
    savings of Sl.OOO per outfall. EPA i   """""
    conclude that the benefits of usir
    hour sample justify the costs.      ^,
      Several commenters objected to the
    lack of standard EPA-approved
    sampling methods. However, as
    discussed in the June 14.1979 preamble.
    the art of sampling is dependent on
    experience and often not amenable to
    standardization of methods.
    Accordingly, only general guidance on
    sampling is given in the instructions to
    Form 2c. Sampling should be supervised
    by an experienced contractor, as
   assumed  by EPA in its sampling cost
   estimates (section III.F.l below).
   (Certain sampling issues are discussed
   later in this section of the preamble.)
     Many comments were received
   concerning the lack of promulgated
   methods for the analysis of the organic
   toxjc pollutants. EPA proposed methods
   for analysis of the organic toxic
.   pollutants on December 3,1979 (44 FR
   69464). The comment period on 'the •
   methods, which include GC. HPLC, and
   GC/MS. was extended to April 28,1980.
   (See 45 FR 15950. March 12.1980.)
   Comments on the adequacy of the test
   methods will be considered in that
   rulemaking proceeding and will not be
   addressed here, except to note that the
   elimination of proposed application-
   based limit requirements has reduci
   the importance of high precision aria
  accuracy in data  reported in NPDES
  applications.
    Because the comment period for the
  teat methods for organic toxic pollutants
  was extended, the methods may not be
  promulgated in 40 CFR Part 138 by the
  .time that some applicants test their
  waste streams. As. a result, EPA will
  allow applicants to use any suitable
  method to test for any pollutant for
  which Part 136 methods do not exist. To
  assure quality control, applicants will be
  required in such cases to describe the
  method used, including sample.
  preservation techniques. When an
  independent laboratory conducts the
  analysis, the applicant should request  '•
  this information so that it may be
  included in the application. Applicants
  are encouraged (but not required) to Use
  the December 3.1979 proposed methods
 for organic toxic pollutants until the  "
 final methods are promulgated in Part
 136.
   b. Other Pollutants. In addition to the
 toxic pollutants, all applicants will be
 required to report other pollutants in all
 types of discharges. Some of these
 pollutants are conventional and
 nonconventional (pollutants not listed
 as toxic under section 307(a) or
 conventional under section 304(b))
pollutants which have traditionally

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             'Federal Register / Vol. 45. No. 98  / Monday. May 19. 1980 / Rules and Regulations  .     33531
 of concern in the NPDES program, and
 others are nonconventional pollutants
 which have not generally been regulated
 before, such as certain hazardous
. substances. Fewer commenters
 addressed these requirements than the
 requirements for testing of toxic
 pollutants, perhaps because of the
 relatively smaller costs.
   There are three groups of pollutants,  .
 other than toxic pollutants, with
 differing reporting requirements:  .     ••
   (1) AU applicants must test all their
 discharge* for the first group of
 pollutants.    •   .      ..  -     -
   (2) All applicants must indicate
 whether they know or have reason to
 believe that any of a second group of  •
 pollutants is present in any discharge.
 They must then test for any of those
 pollutants known or believed to be
 discharged.                •
   (3) All applicants must indicate
 whether they know or have reason to
 believe that any of a third group of
 pollutants is  present in any discharge.
 They must then describe the source of
 any pollutant known or believed to be
 discharged and provide any analytical
 data which they possess.
   These requirements are discussed
 immediately  below.
   (i) Required Analyses: { 122.53(d)(7j(i)
 and.item V-A. All applicants must
 analyze for three conventional
 pollutants (BOD, TSS, AND pH) and
 four nonconventional .pollutants
 (temperature, COO. TOG, and
 ammonia].
 •  Certain minor revisions have been
 made from the proposed requirements.
   First, the toxic pollutants cyanide and
 total phenols have been moved from this
 list to item V-C. Thus  applicants other
 than primary industries, which must test
 their process wastewater outfalls, are
 not required to  test for cyanide and total
 phenols unless  they expect them to be
 present. This change, advocated by
 several commehters, was made because
 these two pollutants are less likely to be
 discharged by secondary industries or
 from non-process wastewater outfalls
 than the other parameters in item V-A.
   Second, the required measure of
 nitrogen compounds in item V-A has
 been changed from total Kjeldahl
 nitrogen (TKN) to ammonia. Ammonia is
• the nitrogen'compound of most concern
 in terms  of water quality. EPA has
 recently proposed to add ammonia to
 the section 307(a) list of toxic pollutants
 (45 FR 803. January 3,1980). Total
 organic nitrogen, which measures
 nitrogen  compounds, which are
 generally nutrients, is now required in
 item V-B. (Total Kjeldahl nitrogen is the
 sum of ammonia nitrogen and total
 organic nitrogen.)
   Some commenters requested deletion
  or selected waiver of the uniform testing
  requirements, the development of
  industry-specific requirements, or the
  addition of pollutants (total oxygen
  demand and total organic halogen). EPA ,
  believes that the requirements of item
  V-A are generally .appropriate for two,
  reasons. First, the parameters in item V-
  A are commonly found in many different
  types of discharges. Second, taken
  together they are generally indicative of
  the nature of a discharge, in addition.
  the testing costs are small However, in '
  response to comments, the regulations
  have been modified to provide that the
  Director may waive testing
  requirements, on a case-by-case basis,  •
  for one or more pollutants in item V-A.
  This selected waiver is reasonable in
  light of the substantial experience which
  permit writers have  in regulating the
  parameters included in item V-A.
   (ii) Required Reporting of Presence or
 Absence and, if Present, Required
 Analysis: i 122.53(d)(7)(iii) and item V-
 B. All applicants must indicate expected
 presence or absence of discharges of 2
 conventional pollutants (fecal cdliform
  and oil and grease) and 23
 nonconventional pollutants and report
 at least one analysis for each pollutant
 expecte&present These pollutants
 either are of less significance or are less
 likely to be found than toxic pollutants
 or the pollutants in item V-A. for which
 testing is automatically required.
 Commenters on the proposal made
 many of the same general criticisms and
 suggestions as on item V-A. EPA has
 not made changes in response to these
 general comments (although some
 specific comments were adopted, as
 discussed below), particularly because
 the required level of reporting presents
. minimal burdens; actual testing is
 required only where the applicant
 knows or has reason to believe that it is
 discharging a pollutant. Furthermore,
 testing costs are relatively inexpensive.
 As noted earlier in this preamble, permit
 writers need to know what pollutants
 are present in an effluent to determine
 appropriate permit limits in the absence
 of applicable effluent guidelines.
 Therefore. EPA does not feel it is   .
 appropriate to make the requirements of
 item V-B any less stringent.
   One significant change has  been made
 from the proposal, which allowed
 applicants to estimate the levels of
 pollutants known or believed  to be
 discharged. The final regulations and .
 item V-B require applicants to test for
 all such pollutants. This change was
 made because EPA felt that the
 increased reliability  of a test over an
 estimate justifies the increased cost in
  those cases xyhere one or more of these
  pollutants is expected to be discharged.
  The change also responds to industry
  comments pointing out that providing a
  quantitative estimate is technically ,
  difficult and to one comment suggesting
  that EPA require analysis of expected
  pollutants,      •.
    Other changes have been made in
  response to suggestions by commenters.
  The pesticides required tote reported in
  proposed.item .Vi*C are now listed
  specifically in item V-D (discussed
  below). Radioactivity has been
  subdivided into alpha,.beta, radium and
  radium 228. Nitrate and nitrite have
  been combined as a single pollutant, in
  accordance with the usual practice of
  measuring their sum. Finally, the form's
  instructions and the regulations specify •
  that applicants need not test for
  pollutants expected to be present solely
  as a result of their presence in intake
  water, but need only indicate that-they
  are expected to be present.
    EPA rejected certain other     /
  suggestions. EPA.has retained the use "of
  total residual chlorine (rather than the-
  suggested free available chlorine)
•  because it measures both free available •
  chlorine and chlorinated amines,
  because most existing toxicity data is in
  terms of residual chlorine, and because "
  EPA expects to use total residual
  chlorine as a pollutant measure in
  forthcoming new effluent guidelines for
  the Steam Electric Power Generating
  Industry. Aluminum has been retained,
  despite one commenter's argument that
  aluminum has low toxicity and  ,
  solubility, because aluminum remains of
  sufficient concern to require limitations
  in some cases (see, e.g., 40 CFR 421.32
  and 404.32).
    (Hi) Required Reporting of Presence or
 Absence of Asbestos and Hazardous
 Substances: § 122.53(d)(7)(iv) and item
  V-D. All applicants must indicate
 expected presence or absence, and
 briefly describe the source (or, levels,'if
 data is available) if present, of
 discharges of pollutants listed in item V-
 D. These pollutants include  one toxic
,. pollutant (asbestos) and 79
 nonconventional pollutants  which have
 been designated as hazardous
 substances under section 311 of the
 Clean Water Act but not listed as toxic
 pollutants and reportable in item V-C
 and which retain their undissociated
, form in water.       .'•  -   '            .
   The proposed requirement for
 asbestos was controversial and has
-been changed; Applicants must now
 state briefly the source of any discharge
 of asbestos instead of testing or
 estimating the level of discharge.
.However, if they have,analytical data

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    33532
Federal Register /  Vol. 45. No. 98 /.Monday.  May 19. 1980 / Rules and Regulations
    on any such discharges, applicants must
    report them.
      Proposed item V-C required
    applicants to estimate or test for certain
    pesticides for which EPA had developed
    (Interim] test methods. In response to
    comments, EPA has now listed
    specifically (in item V-D) each pesticide
    required to be reported. EPA has
    decided to list only those pesticides
    which have been designated as
    hazardous substances. These pesticides
    are contained in the list of 79 hazardous
    substance* required by item V-D, EPA
    feels that focusing attention on
    pesticides formally recognized as
    hazardous m water is a realistic
    approach at this time.
     Reporting requirements for the
   hazardous substances (other than those
   also listed as toxic pollutants] evolved
   out of 1978 Amendments to  the Clean
   Water Act, which changed the
   relationship between the NPDES
   program amd section 311 of CWA.
   Proposed § 12ZB4(d)(19) and item IX of
   tho draft application form provided to
   permit applicants the option of
   submitting information on discharges of
   hazardous substances designated under
   section 311 of CWA to obtain exclusion
   of those discharges from the various
  requirements of section 311. The
  proposal reflected proposed 40 CFR
  117.12 (44 FR10271. February 16.19791 in
  which EPA tentatively interpreted the
  3978 amendments to section 311(a](2) to
  grant exclusions for continuous or
  Intermittent discharges which are
  caused by events occurring within the
  scope of relevant operating or treatment
  systems ody if certain Information
  Identifying those discharges is submitted
  to the permitting authority. In the final
  regulations (40 CFR 117.12.44 FR 50768,.
  August 29,1979), EPA revised § 117.12 to
  acknowledge that such discharges by
  permittees or permit applicants are
  exempt from section 311 even when
 Information on the discharges is not
 •ubmitted to the NPDES perraittina
 authority.
 ^Concurrently with promulgating 40
 CFR 117.12 on August 29.1979. EPA
 published a notice  (44 FR 50780)
 modifying the June 14 proposed
 application requirements by adding a
 requirement concerning the reporting of
 certain discharges of hazardous
 lubstances In NPDES applications. This
 action was taken in recognition of
 Congressional intent that continuous or
 anticipated Intermittent discharges of
 hazardous substances are appropriately
 rcgulated'under the NPDES program
 rather than under section 311. The new
                         June 14 proposal's requirement that
                         hazardous substances which are on the
                         section 307(a) toxic pollutant list must
                         be reported) and of seven dissociation
                         products of hazardous substances. The
                         proposal required each applicant to
                         report any of these pollutants which it
                         knows or has reason to believe it is '
                         discharging. In addition, all applicants in
                         38 industries were  required to test for
                         vanadium.       -
                           Estimates were permitted except for '
                         IB substances (13 pesticides, 2
                         chlorinated hydrocarbons and
                         vanadium) for which official EPA test
                         methods had already been developed:
                         actual testing was required for these if
                         expected present
                          Commenters generally supported the
                         approach of requiring reporting of a
                         hazardous substance discharge only
                         where the applicant knows or has
                        reason to believe it  is discharging the
                        substance. This is a less stringent
                        approach than used for toxic pollutants
                        for several reasons. First, toxic
                        pollutants are required to receive the
                        closest possible scrutiny in the NPDES
                        program under the 1977 Amendments to
                        CWA; thus they may reasonably be
                        distinguished from hazardous
                        substances in formulating application
                        requirements at this time. Second, test
                        methods are lacking for most of the
                        hazardous substances listed in the •"
                        August 29 propoaaLThird, most of the
                        hazardous substances for which interim
	—•—•**•**«•* o^ouuu dAx. ine ne
proposal required reporting of 73
hazardous substances (In addition to
                the-
  ..o^atuuua Buusiances lor wmcn interim
  test methods exist are highly unlikely to
  be discharged except by a few
  Industries (most notably, the Pesticides
  Industry), Thus a more relaxed uniform
  reporting requirement for hazardous
  substances makes sense.
   Several commenters contended that
  the test methods for 14 of the 18
 hazardous substances for which EPA
 claims to have published lest methods
 have not been properly promulgated in
 40 CFR 138 under section 304 of CWA
 and that EPA is therefore barred from
 requiring any such analysis. They
 argued that the published methods had
 not been property incorporated by
 reference in Part 138. EPA believes it
 has legal authority to require testing for
 those substances, whether by use of the
 Part 138 methods or by allowing'
 applicants to choose any appropriate   -
 method. However, commenters further
 argued that the methods for pesticides
 havti been less widely tested  than the
 methods for toxic pollutants. EPA agrees
 with those commenters.
  In response to the above  comments.
 the proposed requirements  have been
 modified. Applicants are now required
 only to indicate the source of  the
discharges for all hazardous substances -
unless they have analytical data. Of
    course, as always, the permit writer may
    require further testing if necessry.
    feels this more individualized appr
    makes sense at this stage of the N
    program, since less is known about
    analysis and treatability of many of
    these pollutants in discharges than is
    known for other pollutants to be
    regulated in the next round of permit
    issuance.
     In response to EPA's request for
   comments on the list of hazardous
   substances for which application
   reporting was proposed one commenter
   suggested that vanadium and uranium
   be omitted, and one commenter
   suggested that dicamba (a pesticide) be
   omitted. EPA was not persuaded by
•   these comments. All of these pollutants
   have been designated by EPA as
   hazardous substances, which are
   designated to a large extent on the basis
   of toxicity criteria. Certain hazardous
   substances, such as acetic acid, are
   omitted from reporting requirements
   because they are toxic only in cases of
   spills causing shock effects: they are not
   toxic at the concentrations generally
  found in qontinous discharges. However,
  vanadium, uranium and dicamba are of
  sufficient concern in continous ,
  discharges to require reporting. The
  burden of such reporting is minimd.
  since the reporting is based on the
  inexpensive estimation of presence q
  absence rather than on more expensr
  testing.
    c. Genera/ Concerns in Sampling..
  Analysis and Reporting of Testing   ..
  Results. Several additional aspects of
  the sampling of waste streams and the
  reporting of analytical results were of
  concern to commenters and are
  discussed below.
    (i) Sampling Requirements. The
  instructions to item V of Form 2c include
  some  general requirements about when
 samples should be collected. (Not all.
 aspects of these instructions are set
 forth in the regulations.) The. proposed
 instructions included the statement that
 samples should be representative of the
 previous twelve months of operation.
 Several commenters pointed out that
 this requirement was incompatible with
 the minimum requirement of testing one
 sample. Based on the comments, this
 statement has been deleted from the
 final instructions. The instructions retain
 the statement that applicants should
choose sampling times which are
representative of their normal
operations. If operations are so variable
that no representative time can De-
selected, as claimed, by a few
commenters, applicants may describe \t
item VI of Form 2c any types of .
discharges which differ from those

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                '  '  '   "'"    . • .      -   ' ' '      •       ' "   '        '"      "    '' '    ' ' • ''   . '  ° .-,. •-   • ".    •.,''.   '' '  •    ' V
               Federar Register / Vol. 45. No. 98 / Monday. May 19, 1980 / Rules  and Regulations       33533
  tested {see section III.D.3.6 of this
  preamble).          ,            ;'.
    Two commenters objected to the
  requirement that all composite samples
  be flow-proportional,and suggested that
  time-proportional samples be allowed
  when retention times are long enough.
  This suggestion has not been adopted
  because flow proportional samples give
  a more accurate measurement of the
 . total mass discharged when flows are
  not constant When flows are constant,
  there is no difference between flow-
  proportional and time-proportional
  samples. One'of these commenters .also
  requested clarification of the definitions
  of grab and composite samples; this has
  been done.  ,    .. .,-. ,  .. '
    Several commenters pointed out that
  the proposed requirement that all
  samples be preserved by cooling to 4*
  Celsius was unnecessary for some
  pollutants, paticularly metals. This
,  requirement has been deleted from the
  instructions, but applicants  must comply
  with specific requirements for individual
  pollutants covering sampling containers,
- holding times, and preservation
  procedures when they are promulgated
  (proposed at 44 FR 694S4. December 3,
11979). Until these requirements are
  promulgated, applicants must describe
  the holding limes and preservation
  procedures which they use.
    (ii)  Reporting of Testing Results.
    [A]. Detection Limits. The proposal
 required applicants to report detection
 limits for all pollutants in draft item V-C
 found to be not present. This
 requirement has been deleted because
 the proposed application-based limits
 have been deleted and the promulgated
 application-based notification
 requirements of  122.61(a) are not based
 upon  multiples of detection  limits.
 Therefore, the comments which were
 received on reporting of detection limits
 are no longer relevant, arid  the table in
 the proposed instructions setting forth
 detection limits has been deleted. -
   (B) Miscellaneous Issues.  One        •:
 commenter pointed but that  reporting of
 flow was required in both draft items V-
 A and V-B. The purpose was to have the
 applicant report the flow once to
 correspond to the concentration levels.   •
 reported for the toxic pollutants, and a
 second time to indicate the average and
 maximum flow over the course of one ,
 year. Flow is now reported only once
 because of reorganization of the form, as
 described in the next paragraph.
 • EPA'has adopted certain suggestions
 by environmental groups advocating
 more detailed presentation of analytical
 results. Both concentration and mass-of
 pollutant loadings must be reported in
 the application. In addition, pollutant
  loadings must now be reported as
  maximum daily value and as maximum
  30-day value and long-term average
  value, if available. This change does not
  require any additional testing but does
  require additional calculations.  •
  "Maximum daily value", "maximum 30-
  day value" and :"long-term average .
  value" are explained in the instructions'
  to Form 2c. Requirements for types of
  samples (grab or composite) are now
  specified in the instructions; therefore.
  they no longer have to be specified in
  item V of the form.  -
   The application form-does not: require
  applicants'to analyze intake water, but
  they may do so if they wish to be
  eligible for net limitations under
  }122.63(h).
   In response to a comment, a provision
  has been added to the final regulation
  allowing the Director to limit testing of
  substantially identical outfalls to a
  single outfall. The applicant must state
  in the application which outfalls were
  actually tested and which were not and
  explain why the outfalls are considered
  substantially identical.
   Pollutants required to be reported in
  item V are listed on separate sheets at
  the end of Form 2c, numbered V-l to
  V-9. In order to provide applicants with
•  some flexibility in reporting, the
  instructions state that applicants may
 submit some or all of the required
 information on separate sheets instead
 of filling but pages V-i to V-9. if they
 provide all the required information in
 the same format (to allow EPA to
 computerize the data). For example.
 applicants (or laboratories conducting
 analyses for applicants) may program
 GC/MS data systems'to print the data in
 the required format, eliminating the
 need to copy the information onto a
 form,  •'.             \
•  • d. Response to Comments Advocating
 Biological Monitoring for NPDES Permit
 Applications. The final regulations, like
 the proposed regulations, do not require
 biomonitoring of effluents as part of the
 application process. However, as
 discussed in the preamble to the  ' .
 proposal at 44 FR 34400, the permitting
 authority is encouraged to require
 toxicity testing when the information is
 needed to assess the toxicity of a
 present discharge. Toxicity information
 may be necessary, for example. (1) when
 BAT is basically equivalent to BPT (that
 is, no treatment beyond BPT is
.necessary to control 307{a) toxic
 pollutants); (2) when guidelines for BAT
 are absent and permit limits will be
 case-by-case; or (3) when pollutants will
not be chemically analyzed (e.g.,
secondary industries or non-process
wastewater) but toxicity is suspected.
The results of such tests would then
  allow the permit writer to decide :\
  \vhether to require a process evaluation
  to determine whether_additional
  treatment is required. The option of
  using toxicity tests also provides the
  permitting authority with the flexibility
 , to respond to specialized cases when
  the source of toxicity is something other  .
  than the listed toxic pollutants.
  Permitting authorities have the authority
  to require acute biological toxicity
  testing when toxic conditions have
  occurred in the past, when toxicity
  information is needed for establishing
  priorities for permit issuance, or when
  reported effluent data is insufficient.
  This authority is clearly provided in
  section 308 of CWA. which lists
 , biological monitoring as an available
  method for the purpose of developing
  permit limitations.    '           :
   A significant  number of comments
  were received, particularly from private
  citizens and public interest groups,
  strongly supporting toxicity testing as a
  mandatory permit application
  requirement. At a minimum, most of
 these commenters wanted all Group I
  industries (defined in the proposal as
  the primary industries plus the
 Ferroalloys and Asbestos Manufacturing
 categories) to perform a two-tiered
 testing program consisting of: (1) a 96-
 hour, acute, static LC50 toxicity test on
 .several appropriate species; and (2)  ,
 persistency testing by sediment uptake-
 of priority pollutants or bioaccumulation
 test of animal tissues. Commenters
 argued that such .a testing program
 would not be an overly-restrictive
 burden on Group I industries. EPA
 disagrees and feels that these suggested
 requirements are inappropriate at this
 time. Toxicity. testing is not being
 required of all applicants because, in
 many cases, additional or modified
 treatment will be required by'BAT limits
 for specific pollutants. In these       '
 situations, the results of toxicity, testing
 may not be relevant because specific
 poljutants which are sources of p'ossible  :
 tpxicity will be identified chemically
 and permittees will be required to
 reduce the concentration of these
 pollutants. When specific toxic
 pollutants'are identified in-the permit
 application, it may be assumed that the
 effluent has acute or chronic toxicity.
 which would make biomonitoring
 duplicative. EPA believes, therefore,
 that biomonitoring currently should b'e
.required on a case-byrcase basis by the
 permitting authority in.situations such
 as those indentified above/where the
 information is needed to make a      ,   .
 permitting decision. However, after
 installation of BAT treatment,

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                 Federal Register / Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules and Regulations
    bfomonitoring will play an increasingly
    important role in the NPDES program.
      Several commenters argued that EPA
    cannot require biomoniloring for
    pollutants other than those regulated by
    a discharger's NPDES permit, apparently
    misunderstanding that biomonitoring
    does not test for specific pollutants. One.
    of the advantages of biomonitoring ia
    that total toxirity is measure regardless
    of the interactions of the constituents
    contributing to that toxidty. Therefore,
    toxlcity tests measure the effects of
    chemical mixtures which cannot
    otherwise be limited in a permit
      One commenter argued that the
    Agency, not the regulated industry.
    should bear the burden of data gathering
    unrelated lo determining permit  ,   •
    compliance. EPA disagrees. Section 308 '
    of CWA requires the discharger, not the
    permitting authority, to provide any
   information necessary to determine
   permit limits.
     Some commenters argued that the
   cost of toxidty testing is prohibitive.
   Although testing for chronic toxidty and
   bloaccumulation can be expensive, the
   cost of acute toxidty testing is not
   prohibitive. Many Industries have In-
   house testing capability and many
   companies have already generated
   toxidty information on their discharges.
   In addition, a substantial number of
   laboratories, including many
   environmental engineering firms.
   perform toxidty testing on a contract
   basis at competitive prices. The -
   following table represents typical
  present-day costs of several types of
  acute toxidty tests:
        e_   siocwoo   KOODOO 12.000-3,000
  MIVSU*:     S200-HO  UOO-ZSOO H.OOO-8.00O
  Mtv
              w»-«oo
                             SUOO-MLOOO
    Other commenters suggested that no
  biomonitoring be required until EPA •
  publishes biomonitoring protocols.
  Several comments were directed at the  •
  lack of standardized test methods,
  particularly for chronic toxidty testing.
  Standardized test methods for acute
  toxidty testing are available (see
  Methods for Measuring the-Acute
  Toxidty of Effluents to Aquatic
•  Organisms. EPA-600/4-78-012) and EPA
  will soon propose formal rules under  '
  section 304(h) of CWA to include these
  acute toxidty test methods in 40 CFR
  Part 138. However, test methods for
  chronic toxidty and bioaccumulation
 are less standardized. In particular, tests
 used for the analysis of carcinogenic.
   mulagenic, and teratogenic properties of
   pollutants are still undergoing
   development and evaluation. Therefore.
   test results on these-measures should be
   carefully evaluated before they are used
   in the NPDES permit program.
    Although biological toxicity testing
   will be used only on a case-by-case
   basis during the next round of permit
   issuance. EPA believes that biological
   testing must play a major role in future
   toxic pollutant control strategy.
   Therefore. EPA will propose rules in the
   near future to require all dischargers in
   selected subcategories to evaluate their
   effluents after BATtreatment processes
   are in operation using a standard
   biological screening protocol The
  screening protocol will be relatively.  .,- ..
  Inexpensive and will identify effluents
  still containing significant toxidty.
  Further testing and preparation of a
  toxicity reduction plan may be required
  if screening reveals significantly toxic
  discharges. In cases where severe
  toxidty problems remain, the permit
  may be reopened and modified
  accordingly under J 122.15(a)(2). Data
  thus generated will also be used to
  assess problems associated with
  spedfic discharge types or chemical
  classes which could be involved in
  human health problems. The information
  will identify those instances where the
  magnitude of discharge would pose
  particularly hazardous and long term
  problems.
   EPA expects that many post-BAT
  discharges will not have the acute
  toxidty problems which have been
  assodated with Industrial dischargers in
  the past Of Increasing importance in
 future pollution control will be problems
 Involving chronic toxirity.. persistence.
 and bloaccumulation. EPA plans to
 incorporate the developing technology in
 these area into future biomonitoring
 requirements.
 3. Other Application Requirements
   a. Outfall Location: 5122.53(d)(l) and
 Item /. A new requirement has been
 added that applicants list the latitude
 and longitude and the name of the
 receiving water for each outfall.
 Applicants should be able to generate
 this information easily from the map
 provided in Form 1. This information,
 suggested by environmental groups, will
 be useful to EPA and States in water
 quality studies and planning activities.
, b. Flows, Sources of Pollution, and
 Treatment Technologies: § 122.53(d) (2J~
(4) and Item II. The major change from
 the proposal is that, in response to
comments, information required on a
line drawing and in tabular form are
better coordinated.The line drawing
now must show average flows for all
 •  types of wastewater. and item V-A
   requires reporting of the maximum.^
   total flow from each outfall (as we
   average flows).                  ^^^
 .   The information in item 0 is useful to
   the permit writer because it reveals
   what processes use or contribute
   pollutants to water in the facility, and
   what kinds of treatment wastewater
   currently receives. Therefore, comments
   suggesting that these requirements be
   deleted as unnecessary and.burdensome
   have been rejected. EPA has also
   rejected the suggestion of environmental
   groups that all flows should be  ,
   measured, not estimated. Estimated
   average flows are sufficient to give the
  'permit writer a general picture of the
-   fadlity's water use. However, when
   actual flow measurements already exist,
   they must be reported.
    All sources of flow to an outfall .must
  be identified in the line drawing.
  including cooling water, sanitary
  wastewater, and stormwater runoff. The
  instructions have been modified to     .
  emphasize that similar processes or
  operations may be shown on the line
  drawing as a single unit, labeled to
 correspond to the more detailed  listing
• in item n-B. This responds to comments
 objecting that extensive reporting of
 flows between many individual
 processes would be burdensome.
   The National Coal  Assodation
 commented that the requirement to'
 provide a line drawing is not
 appropriate for coal mines. In response.
 the question allows the applicant, when
 a water balance is not possible, to
 describe the source of the water (e.g.,
 active surface mine, regraded area, or
 preparation plant) and its route before
 being discharged.
   Average flows contributed by each
 operation to an outfall must now  be
 reported in 5 122.53(d){3) and item II-B
 to enable the permit writer to determine
 the proportion of the total flow
 contributed by operations which are
 covered by an effluent guideline.
   Identification of treatment systems is
 now requested in a coded form which
 will allow loading of this information
 into an automated data system. The
 appropriate codes are listed in the
 form's instructions.
   The instructions have been modified
In several other ways. First, processes
and operations may be described in
general terms, in response to
commenters who feared that this
requirement would reveal trade secrets.
This general identification of processes
contributing to wastewater effluent is
necessary to identify the standards and
limitations applicable to the dischar;  "
Second, any reasonable measure of Im
flow contributed by stormwater. suchi

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              Federal Register / Vol. 45, No. 98 / Monday. May 19, 1980 / Rules and Regulations       33535
 duration or frequency of storm events.
 may be iised. This responds to  -
 comments pointing out the difficulties of
 predicting flows resulting from, rainfall.
 Finally, a description of the final.
 disposal of any solid or liquid waste
 other than by discharge is required, so
 that the permit writer may determine the.
 amount of the effluent discharged and
 identify the fate of all wastes.
   Other suggestions nude by
 commenters have not been adopted.  '
 One commenter suggested that
 estimates of future increased flows be
 allowed in calculating permit limits.
 However., the general policy of,the
 NPDES program is to base present limits
 on present operation, rather than on    •
 potential increases. Another commenter .
 stated that the question should not ask
 for the design flow of the treatment
• units, because the method of treatment
 may change. However, the description
 in the permit application is not binding.
 'but simply must be representative of the
 facility at that time. Permittees may
 meet their permit limits by selecting any
 appropriate treatment equipment or
 methods.
   The question requiring additional
 description of discharges which are
 intermittent or seasonal (J 12±53(d)(4}
 and item 1I-Q has been modified
 slightly. Columns for outfall and
 contributing operation have been
 separated; and the column for volume of
 flow has been expanded to allow
 reporting of flow rate and duration if
 applicable.
   c. Measure of Maximum Production:
 5 12ZS3(d)(5) and fiem III. Applicants
 must report maximum production when
 production-based guidelines apply to
 their discharges. This requirement has
 been changed slightly from the proposal.
 Applicants .must now report only a   '
 maximum measure of their actual
 production.'not an average measure as
 well. The instructions have been
 modified to give examples of guidelines
 expressed in terms of production or
 other measures of operation. They state
 that an applicant that discharges only
 non-process wastewater is not covered
 by a guideline and thus need not
 complete this item. .Another
 modification is that applicants now must
 indicate which outfalls are affected.  . -
   d. Currently Required Construction,
 Upgrading or Operation of Waste
 Treatment Equipment:  § 122.53(d)(6) and
 item IV. Applicants must report any  -
 current requirements for construction of
 waste treatment equipment. The
 proposed requirement to describe non-
 required projects proposed by the
 applicant is now optional.           ' '
   One environmental group wanted item
 IV expanded to require listing all interim
 dates in the construction schedule (as
 proposed § 122.64(d)(15) required).
 However, the Agency has decided that
 the application is not an appropriate
 mechanism to collect this information.
 which is usually publicly available     :
 anyway. The final compliance date is
 required to enable the permit writer to
 determine how soon the discharge will'
 be affected or to decide whether to
- check other records for more
 information.
   Item IV-B, which asks about planned
 projects, was made optional in response
 to several comments noting that the
 applicant's tentative project plans are
 an internal matter. Thus, applicants may
 report any projects they have in
 planning stages if they feel that this
 information will assist'the permit-writer •
 in developing permit conditions;
 however, applicants are not required to
 reveal their plans.
   e. Potential Discharges of Toxic
 Pollutants: § J2Z53(d)(9H 10) and item
 VI. Certain information on toxic
 pollutants must be reported in addition
 'to the testing  discussed above in section
 IIIJ3.2 of this preamble. This additional
 information will help identify any toxic
 pollutants which may be discharged
 from the applicant's facility and thus    i
 should be controlled through permit
 limits. It will also be used as one basis
 for application-based notification
 requirements. (See section UIJ3.2~a.iii of
 this preamble.)
   (i) Toxic Pollutants Used or Produced
 by the Applicant 5 12Z53(d}(9) and item
 VI-A. Applicants must identify toxic
 pollutants which they use or
 manufacture as intermediate or final
 products or byproducts. This
 requirement supports § 122.62(e), which
 requires that permits be written to
 control toxic pollutants which are used
 or manufactured by the applicant
 Several commenters noted that  '  ,
 pollutants which are used or
 manufactured at a facility are likely to
 be discharged by the facility. In   -
 addition, several commenters (including
 an environmental group and State
 permit-issuing authorities) suggested
 that the application form include a
 requirement for an inventory of raw
 materials and products. This item -
 responds to the above comments.
   The Agency considered excluding
 from this application requirement those
 pollutants which are used or   ,
 manufactured in small amounts. This
 approach requires a determination of
 cutoff levels of use or manufacture.
 However, because even relatively small
 amounts of a toxic pollutant can.be of
 substantial concern in certain'
 circumstances, the cutoff levels would.
 have to be quite low. The Agency
' concluded, therefore, not to use a cutoff
 but rather to uniformly require   .'•••-
 submission of information identifying
 any toxic pollutant used or     •
 manufactured by the applicant.
   (ii) Predicted Potential Increases in
 Discharges of Pollutants: § 122.53(d)(10)
 and item VI-B and C. Applicants must •
 describe and explain the causes of  .' -
 discharges of pollutants which may
 during the next five years exceed two
 times the maximum levels reported in
 waste stream analyses. This information
 will be used by permit writers to
 identify any pollutants which are
 expected to be discharged at significant
 levels and thus require control under
 S 125-3 (see section III.B.Z.a.i of this
 preamble.) In addition. § 122.61(a)
 requires notification of future discharges
 at levels exceeding five times any levels
 reported in this question (see IlI.B.Z.a.ii
 of this preamble.)
   Items VI-B and C are essentially the
 same  as the draft items VI-A, B, and C.
 except that the applicant is now
 required to report any discharges
 expected to exceed two times the
 maximum level reported in item V'.
 instead of five times the average level.
   One commenter argued that since the
 Director may modify a permit if the
 discharge exceeds five times the  .' .
 reported level after the permit is issued,
 information on expected increases
. should be optional This -suggestion was
 rejected. It is appropriate to identify
 future discharges in the application and
 to set appropriate limits in the permit
 This will help insure the installation of
 any equipment necessary to treat the
 potential discharges prior to
/commencement of the discharges.
 Reliance.on future reporting and permit
 modification would result in delays in
 control and should be used only to
 control discharges which are not
 foreseeable at the time of permit,
 issuance. .
   Some commenters contended that this
 question would be difficult or impossible
 to answer. However, the question  *
 requires only that predictable '
 discharges or fluctuations be identified.
 When applicants have no reason to
 believe that such discharges or         '
 fluctuations wilt occur, they may answer
 "No" to item VI-B. If discharges or
 fluctuations are not predicted in item
 VI-B but later do occur, they will trigger
 application-based notification. When  '
• applicants believe that fluctuations may
 occur but cannot predict their degree,, • -'
. they should state their reasons for
 believing that the fluctuations may
 occur; the permit writer will then
 determine whether more information is
 necessary.

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    33538
Federal Register /  Vol. 45. No. 98 / Monday. May 19. 1980 /Rules and'Regulations
      One commenter requested that some
    provision be made to exempt applicants
    from liability for false reporting if the
    estimates reported in item VI turn out
    later to be inaccurate. No such provision
    is necessary because applicants would
    not be liable to prosecution for incorrect
    estimates mada in good faith.
      f. Results of Previous Biomonitoring:
   , S 122S3fdJ{llJ and item VII. Each
   applicant must indicate whether or not
   biological tests for acute or chronic-
   toxlcity have been performed on its
   discharge and describe the results of
   Those tests. The proposed requirement
   that the test results be reported has
   been deleted, . •
     Two commenten strongly opposed -
   the requirement to report the results of
   previous biological toxicity testing
   because the data in many cases would
   have been developed by EPA in
   cooperation with the industries to assist
   in effluent guidelines development
   Another commenter suggested that the
   proposed reporting requirement unfairly
   penalized industries who have been
   diligent in their cleanup efforts and
   would create serious legal or public
   relations problems for  those dischargers
   who in the past have had effluent
  quality problems but have now Installed
  extensive treatment facilities.
    EPA agrees that requiring dischargers
  who have voluntarily conducted
  biomonitoring toxicity tests in the past
  to report the results could be unfair.
  particularly if their cleanup efforts have
  resulted in substantial toxicity
  reductions. The Agency has eliminated  .
  the requirement to provide the results of
  such testing on the application form.
  Instead, item VII requires applicants to
  report whether orjiot biological tests for
  acute or chronic toxidty have been
  performed on (he discharge or on the
  receiving water in close proximity to the
  outfall. When the results of such tests
  are likely to indicate the present
 *ituation (e.g.. when no new treatment
 system has been installed or when no
 production and process  changes have
 occurred sfnco the tests  were
 conducted}, the permit writer can review
 these factors and decide whether or not
 to request further information relating to

   g. laboratory Conducting Analyses:
 Sl2ZS3(dJ(J2f and item  VIII. If any rf
 the analyses reported on the application
 form were performed by contract
 laboratory or consulting  firm, applicants
 must identify each laboratory and the
 analyses which itperformed. In the
proposal, applicants were not required
 to identify which analyses were
performed by which laboratories. This
requirement was added in response to   "
the single comment received on this
                          question. It imposes only a minimal
                          reporting burden, while providing useful
                          information for quickly following up on
                          problems relating to the data.
                           h. Other Information Required by the.
                         Director on a Case-by-Case Basis:
                          S 122.53(d)(13). In addition to complying
                         with specific information requirements
                         on the application form, the applicant
                         must provide such other information as
                         may reasonably be required to assess
                       .  the discharges of the facility and to
                         determine whether to issue an NPDES
                         permit This information may include
                         additional quantitative data and
                         bioassays to assess the relative toxicity
                         of discharges to fish and.other aquatic
                         life, and requirements to determine the
                         cause of such toxicity. This regulation is
                         essentially the same as proposed
                         § 122.64(d)(20}. except for mirror
                         changes. The word "reasonably" has
                         been added as suggested by one
                         commenter. In addition, the sentence
                        concerning bioassays. which appeared
                        as a comment in the proposal, now has
                        been incorporated into the regulation,
                        with chemical analysis also mentioned
                        explicity.
                          Several commenters stated that
                        permit writers were being given too
                        much discretion to ask applicants to
                        generate new and costly data, and that
                        the regulation was too open ended and
                        should be deleted. One commenter
                        suggested that the specific informational
                        requirements were so complete that this
                       regulation was unnecessary. Another
                       suggested that EPA develop a list of
                       pollutants of concern by industry
                       category, and limit requirements to that
                       list None of these suggestions was
                       adopted, however, except for addition of
                       the word "reasonably." which should
                       provide protection against unreasonable
                       requests for information. The need for
                        'other information" on a case-by-case
                       basis for certain discharges has been
                       demonstrated by prior .experience in the
                       NPDES program. While the uniform
                       requirements should suffice for most
                       applicants, the flexibility to request
                       further information in appropriate  •
                       circumstances must be retained.
                        Proposed Application Requirements
                      Deleted From the Final Regulations and
                      Form
                        a. Optional Reporting Requirements-
                      for Hazardous Substances. Proposed
                      S 122.B4(d)(19) gave applicants the
                      option of submitting information on  ,
                      discharges of hazardous substances
                      designated under Section 311 of CWA to
                      allow them to apply for exclusions of
                      those discharges from the requirements
                      and penalties of secion 311. Item IX of
                      the draft NPDES application form
                      contained a format for submitting such
    optional information to EPA. Both the_
    regulation and item have been, dele
    from the final regulation and form
      EPA has deleted this question be^s
    it is unnecessary, in accordance with 40
    CFR 117.12 (44 FR 50768. August 29.
    1979) which states that to obtain
    exclusions from section 311. applicants '
    need not report in their applications any
    information concerning continuous or
    anticipated intermittent discharges of
   hazardous substances which are caused
   by events occurring within the scope of
   relevant operating or treatment systems.
   (See section IH.D.2.b.iii of this preamble
   for further background.)
     Certain discharges by NPDES
   permittees or permit applicants, such as
   spills, remain subject to section 311
   coverage absent the submission of
   appropriate information to the NPDES
   permitting authority and coverage in the
  . NPDES permit. However, since this
   information may be submitted at an
   applicant's option under 40 CFR
   117.12(a)(2) (dealing with "exclusion 2").
   no regulatory requirement is needed in
   § 122.53(d). Furthermore, no single
   format will serve the-purposes of each
   applicant seeking to exclude potential
   spills from section 311 coverage under
   exclusion 2. Instead, the instructions to
  Form 2c direct applicants seeking such
  exclusions to attach the information /
  required by 5 117.12(c)(l) to their
  application forms on additional she
  of paper.
    Information on continuous or
  anticipated intermittent discharges of
  many hazardous substances is now
  routinely required of certain applicants
  by § 122.53(d)(7)(iv) and item V-D of
  Form 2c. These requirements reflect
  Congressional intent that such
  discharges  be regulated under the
  NPDES program rather than under
  section 311 of CWA.
   b. Submission of Data on Additional
 Pollutants. The proposed application
 form contained a question requiring
 applicants to report data on any
 pollutants in addition to those  reported
 in item V (proposed 5 122.64(d)(18) and
 draft item VIII). This requirement has
 been deleted from the final form. The
 deletion is in response to several
 comments objecting that the proposal
 was burdensome and required reporting
 of data that was inaccurate and not
 useful. The Agency agrees that  the
 information would generally not be
 useful to permit writers in this round of
 permit issuances.
   An environmental group suggested   •
 that EPA require applicants to submit or
 to keep on file any GC and GC/MS
profiles they generate to provide
information on additional pollutants '
EPA considered establishing such a

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                   Federal Register/  Vol. 45.  No. 98 / Monday. May 19,  1980 / Rules and Regulations       33537
      requirement: however, investigation
      revealed several drawbacks. Only a
      computer-readable form of the raw data:
      (that is, nine-track magnetic tape) would
      provide data on additional pollutants.
      and the cost of storing data in this form
      can be significant. The cost of
      reanalyzing the tapes ranges up to half
      of the cost of analyzing a new sample.
      Therefore, potential cost savings are not
      great and do not outweigh the
      advantages of conducting new sampling
      and analyses, when necessary, rather
      th'an retaining raw data on a routine
      basis. The retained data would be less
      current and would reveal only a limited
    ,  number of additional pollutants.
        c. Ancillary-Activities Which may
      Result in Discharges of Toxic Pollutants
      or Hazardous Substances—Best
      Management Practices Programs.   • ,
      Proposed  §§ 122.64(d) (11)  and (13) and
      draft items III-B and II1-C of Form 2c
      required each applicant .to  describe-any
      actual  or potential discharges of toxic
      pollutants or hazardous substances from
      ancillary activities and to attach a copy
      of its Best Management Practices (BMP)
      program for controlling these discharges.
      The requirement to develop a BMP
      program was contained in Part 125,
      Subpart K of the final NPDES
      regulations published on June 7,1979 (44
"     FR 32854.32954). The effective date of
      Part 125, Subpart K was deferred on   '
      August 10,1979 (44 FR 47063) pending
      the availability of a BMP guidance
      document On March 20.1980 (45 FR
      17997)  the guidance document was made
      avai)able for a 45-day public comment
      ending May 5,1980 (see 45,FR 21635;
      April 2,1980). Therefore, at this time 40
      CFR Part 125, Subpart K is not yet
      effective.   ' '        .
       In light of thia timing problem, EPA
      decided to omit the requirement to
      submit a BMP program from Form 2c at
      this time. When Part 125, Subpart K
     becomes effective Form 2c  will be
      amended as appropriate. This will allow
    'EPA to make any adjustments to the
     requirements necessary to respond to
      public comments on the BMP manual as
     well as those previously submitted on
      proposed <§ § 122-64(d) (11) and (13) and
     draft items III-B and IH-C  In particular. ,
     EPA is'considering comments submitted
      on the draft form which suggested that a
     summary of the SKIP program, rather.
     than the entire program, be included
     with the application, and that thjt_,,
     description of actual and potential^* .  •
     discharges (draft item III-B) be
     combined with this summary.
 E. Monitoring Requirements

 1. Chemical Monitoring             ' ''
   ' Specific monitoring requirements for
 an individual permittee are established
 by the permit writer when the permit is
 issued. § 122.11 (b) requires that permits
 contain monitoring requirements which
 are sufficient to yield data
 representative of the monitored activity:
 However, it does not establish any
 specific-requirements for monitoring
 type and frequency, but rather leaves
* that to the judgment of the permit writer.
 This case-by-case approach to setting
 monitoring requirements, .which has  .
 been used in the past in the NPDES
 program, reflects the need to consider  •
 outfall-specific factor*.such as the flow
 rate, the types  of pollutants discharge.-
 the nature of the receiving water, and
 the existence of downstream intakes for
 drinking water.    •          •• - -
   Because monitoring requirements are
 related to many of the issues in the
 application form and permit regulations.
 the preamble to the proposed
 regulations contained (at 44 FR 34407;
 June 14,1979) a description of  a typical
 monitoring scheme under the new
 toxics-oriented permitting strategy. The
 scheme depicted the usual frequent
 monitoring for pollutants limited in the
 permit as well as periodic monitoring for
 some or all of the toxic pollutants and.
 in some cases,  periodic biological    .
 monitoring. In addition, the proposed
 regulations included a provision
 (proposed § 122-71(a){l)J allowing
 monitoring requirements to be set for
 pollutants controlled by the proposed
 application-based limits regulations,
 although, again, no frequency was
 specified. The preamble also discussed _
 the costs which might be associated
 with particular compliance monitoring
 requirements.  •   '
   Two major differences between the
 final regulations and the proposal affect
 monitoring requirements.
   First, the proposal on application-
 based limits has been deleted, and the
 final regulations contain an application-
 based notification requirement and a .  ,
 provision authorizing permit
• modification when a toxic pollutant is
 discharged at a level exceeding that
 achievable by BAT. Although
 application-based limits might, as some
 commenters argued, have forced
 permittees to monitor their discharges
 frequently to ensure that the limits
 would not be violated and that the
 permittees would not be subject to
 enforcement actions, application-based
'notification requirements do not impose
 similar burdens. Notification is required
 only when the permittee knows or has
 reason to believe that some activity has
 occurred or will occur which would
 result in increased discharges. No
 obligation is imposed by the regulation
 to monitor for pollutants which are not
 expected to be present. Of course.
 permits for discharges of toxic
_ pollutants are likely to require some
' testing for toxic pollutants during the life
 of the permit to determine whether
 significant amounts of toxics are being
 discharged. See § 122.62(l)(i)(4). which
 allows permit writers to require
 monitoring for pollutants not limited in
 the permit.        .     ,
   Second, the final regulations
 (8 122.62(e)) require that permits contain
 limits to control all toxic pollutants
 which are used  or manufactured by
 applicants or which are reported at high
 levels. These limits will include limits on
 specific toxic pollutants unless the
 permit.writer determines that the
 discharge of the toxics will be
 adequately controlled by limits on other
 pollutants. Limit's on individual toxics
 will require compliance monitoring for
 'the toxics, which could be expensive in
 some instances. However, this follows
 inevitably from  the statutory
 requirements that permits assure
 installation of BAT-level treatment to
 control discharges of toxic pollutants.
 5 122.82(e) merely provides certain
 criteria governing which loxic.pollutants
 may be discharged in significant
 amounts. EPA expects that where toxics
 testing would be very expensive, the use
 of indicator limits or indicator
 monitoring may help alleviate this
 problem.

 2. Biological Monitoring
   In the preamble to the proposed
 regulations, one of the options presented
 for cbmpliance'monitoring and reporting
 was the use of toxicity tests in addition
 to chemical analyses. Under this
 strategy, toxicity tests  would
 supplement chemical analyses so that
 chemical testing would be required
 "sparingly" and acute toxicity tests "on
 a more frequent basis." EPA reasoned   :
 that because toxicity, tests are generally
 less expensive than chemical analyses
 and may lead to the^detection of
 additional sources o'f toxicity not
 controlled by the permit, a useful check
 on wastestream toxicity could be
 economically provided as part of the
 compliance monitoring requirements.
   Several .commenters, however, argued.
 that biological toxicity information1 is  ,
 not relevant or necessary when a permit •
 is based solely on chemical limits and
 when chemical monitoring is required. '
 Several other commenters favored'
 biomonitoring but objected to
 performing both chemical and biological'
 testing. The Agency agrees that in most

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    33538
Federal Register  /  Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
    cases where the permit contains only   •
    chemical limitations, toxicity tests
    should not be required for the purpose of
    compliance monitoring. However, there
    may be circumstances where
    considerable doubt exists concerning
    the adequacy of the chemical limits
    employed as permit limits to control all
    sources of toxicity. In these cases..
    toxicity tests should be required as part
    of the monitoring plan not to test for
   compliance, but to trigger investigations
.   of the cause of remaining toxicity. The
   investigations could lead to the
   reopening of the permit to control the
   newly-found problem. Of course,  when  *
   toxicity limits are specified in tha •
   permit, the appropriate toxicity tests are
   necessary to ensure compliance.
     Several commenters suggested  that
   biomonitoring could completely replace.
   chemical analysis and serve as a
   compliance indicator to trigger more
   expensive chemical analysis. However.
   toxicity testing alone is inadequate
   because many toxic pollutants are not
   acutely toxic but bioaccumulate or are
   carcinogenic or mutagenic. It is
   Important to know whether those
   pollutants are being discharged. These
  pollutants would often be discharged
  below the levels of acute toxicity and
  not be adequately monitored by acute
  toxlclty tests; long-term threats would
  thus remain undiscovered. Therefore.
  toxidty tests should not be used
  exclusively for compliance monitoring in
  these cases.
    EPA intends to continue to rely on
  chemical testing to Insure compliance
  with permit limits for specific pollutants.
  However, the Agency believes that
  biological toxicity testing  is useful  to
  help determine whether the toxicity of
  discharges in compliance  with BAT
. permit limits has been adequately
  reduced to assure achievement of
  fishable and swimmable waters as
  required by Section 101 of CWA.
  Therefore, EPA will soon enter into a
  rulcmaklng proceeding to require
  toxidty screening testa for certain
 dischargers after they have installed
 BAT.
 F. Economic and Resource Impacts of
 Application Reporting Requirements
 1, Unit Costs of Sampling and Analysis
   The Incremental costs {over those
 associated with existing application
 requirements) Imposed by the new
 sampling and analysis requirements
 consist of the following two elements:
 (1) costs Imposed by the new
 requirement that certain appliqants
 sample and analyze certain waste
 streams for some or all of the organic
 toxic pollutants; and (2) costs imposed
                          by the revision of current reporting .
                          requirements for pollutants other than
                          the organic toxics, including additions to
                          and deletions from the current list of
                          pollutants which must be reported and
                          changes in the nature of reporting for
                          certain pollutants retained on the list.
                           a. Sampling and analysis of organic
                          toxics. For the purpose of calculating a
                         probable cost impact the Agency is
                         assuming that sampling consists of 24-
                         hour composites (a change from the
                         proposed requirement of 72-hour
                         composites). Analysis is assumed to
                         consist of GC/MS quantification.  •
                      • • Applicants may use any method of
                         analysis before the publication of final
                         304(h) test methods, but the Agency
                         expects that GC/MS will  be used most
                         often because of the designation of
                         testing requirements by GC/MS fraction.
                          Cost data to support the proposal
                         were developed from a variety of
                         sources, which yielded figures over a
                         relatively  large range. These data were '
                         published in the proposal's preamble
                         and comments were received. The
                        Agency verified the data with additional
                        checking, but some uncertainties remain,
                        including the effect of laboratories'
                        increased use of and familiarity with the
                        analytical  methods, the Impact of the •
                        entry of new laboratories into the
                        market, and the level of quality
                        assurance/quality control  (QA/QC)
                       .which will be required by final
                        regulations under 40 CFR Part 136, The
                        following cost estimates represent
                        conservatively high judgments based
                      , upon unit prices as of Fall 1979.
                          Th.e Agency received comments from
                        a number of sources on the unit cost of
                        sampling and analysis in the preamble
                        loathe proposal. These comments ranged
                        from one which indicated that the
                       Agency cost estimate of $4500 was an
                       overestimate by $2.000 of the cost of
                       sampling and analysis to one which
                       suggested that the Agency figure was an
                      . underestimate of that cost by a factor of
                       two. Several commenters remarked that
                       the Agency estimates for the cost of
                       sampling and for the cost of GC/MS
                       screening were correct; another
                       commenter confirmed the overall
                       Agency cost estimate. The cost of GC/
                       MS quantification was viewed as an
                       underestimate by several commenters
                       because of their expectations about the
                       cost of quality assurance procedures.
                       However, it was unclear from these
                       comments what the commenters
                       assumed about the nature of the QA/QC
                      procedures to be employed.
                         Among the comments on the  unit cost
                      of sampling  and analysis, only those
                      concerning the cost of quality assurance
                      procedures specified the manner in
                      which EPA-assumed unit costs  were
   regarded as underestimates. The .
   recognizes that GC/MS costs var
   the QA/QC procedures used but ^,
   that today's cost estimates reflect a
   reasonable upper limit on the cost of the
   QA/QC procedures which will be used
   in performing CC/MS analysis.
    A second group of comments received
   by the Agency concerned the        l
   assumptions about the number of
   samples which will be taken by permit
   applicants. One commenter from the
   coal mining industry argued that the
   overall cost calculation was an
   underestimate because some plants in
   its industry have as many as 10 outfalls.
 '  The Agency acknowledges that fhe total
   cost for some applicants will be several
   times the average cost figure, but also
  emphasizes that the figures are used to
  calculate the total incremental cost for
  the average plants. In addition, it is
  noted that today's regulations provide
  for testing exemptions for identical
  outfalls, which should reduce individual
  impacts in some cases.
    Some commenters regarded the one-
  sample assumption as an underestimate
  because of the requirement in the
  proposal that the sample be
  representative of the operations of the
  plant for the previous 12 months.  In
. response to these comments,  the   '
 requirement in today's instructions!
 that the time for sampling be      l'
 representative of the applicant's normal
 operations. This modification means
 that the instructions no longer
 potentially require multiple sampling.
 but only a somewhat careful choice of
 sampling time.
   The application-based limits provision
 has been replaced by an application-
 based reporting requirement in •
 § I22.61(a). This change from the
 proposal strengthens the likelihood that
 each applicant will need to collect and
 analyze only one sample. It makes the
 potential cost of the application-based
 limit provision a moot issue.
   (i) Sampling Costs. Sampling costs  "
 will vary significantly, depending on the
 extent to which the applicant has to rely
 on an independent contractor rather
 than in-house personnel to perform the
 sampling. The instructions state that
 sampling should be supervised by an
 experienced supervisor. The sampling
 costs will also depend on the degree to
 which the costlier, manual [rather than
automated) sampling must be used. The
analysis below assumes that the
sampling will be performed manually,
although either sampling method is
allowed.
  As noted above, this anlaysis ref
the change from the proposed
requirement for a 72-hour sample to a

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Federal Register / Vol. 45. No> 98 / Monday. May 19. 198O / Rules and Regulations       33539
   24-hour sample, resulting in substantial.
   cost reductions.
     Using current prices, the approximate
   sampling cost breakdown in the case of
   Complete reliance upon independent
   contractors (assuming the use of a 4-
   person sampling team for a 2-day
   sampling trip] is as follows:            •
.   Technicians @ S80/day, X3 sampling
    «hiftS-S240X2=S480          .
   Supervisor @$120yday$120x2-S240
   Reports (1 person-day, supervisor) -5120
  .Overhead on contract salaries (150%] -S1.280
   Equipment set up on site. 2 man-days«$l60
   Disposable equipment, sample container
    preparation—$130
   Sample air transport »$100
 .  Subtotal less personnel air fares, local travel
    and per diem«$2.490     .  .
   Personnel air fare (estimated average]—$200/
    ea.-S800
   Personnel per diem/local travel—SSO/day/.
  •  person-$400             •
  Tolal»$3.690
    Costs in a number of these categories,
   such as salaries, overhead rates, and air
   fare may vary significantly. However.
  the Agency believes that S3.690 is a
  reasonable estimate of the discharger's
  cost to have an independent 4-person
  team to undertake a 2-day sampling trip.
    The situation described above is the  '
  •most expensive case. By using an
  experienced contract supervisor and
  possibly contract sampling equipment,
  together with in-house technicians,  .
  sampling costs may be reduced by
  approximately $1850 because overhead.
  travel, and salary expenses associated
  with the three contractor technicians are'
  eliminated This leaves a net sampling
  cost of approximately $1625 per 24-hour
  composite sample collected manually.
    If a sampling team can sample at least
  two outfalls simultaneously, additional
  savings can be achieved because
  personnel-related costs need not be
  duplicated. The cost of a two outfalls
  sample is $2,520; $1260 per outfall. The
.  increase in cost of nearly $700 is due to
  additional expenditures' for report
  preparation, overhead, equipment,
  sample transport and equipment set-up.
    For computing the total incremental   •
  cost of complying with the application
 requirements (section F(3) below), an
  average sampling cos.t of $1.550 per,
 •outfall, which is halfway between $1,260
 and $1,825. will be assumed.
    (ii) Cost of 'Analysis by GC/MS
  Quantification* For the purpose of
 determining the cost of GC/MS testing,
 it is assumed that applicants will
* forward their samples to independent
 laboratories for analysis/The Agency
 has received data on GC/MS costs from
- several sources, including Agency
 experience with effluent guidelines .
 development, industry, independent  '
                          laboratories, and GC/MS equipment
                          manufacturers. •/
                            The data from thesesources. together
                          with the fact that increased volume and
                          improved technology have been steadily
                          reducing costs, indicate that a
                          reasonable estimate of GC/MS testing
                          costs (with some QA/QC) is $1,500 .to
                          $2,000. This estimate does not take into
                          account that applicants in more thari
                          half of the industries can omit analysis
                          of at least one GC/MS fraction, and is
                          thus an, overestimate of the total cost
                          The potential for savings from this
                          exclusion is-up to $500 per applicant For
                          purposes of computing the total
                          incremental cost of complying with the
                          application requirements, the Agency is
                          assuming the cost of GC/MS testing is
                          $2,000. Adding $2,000 for analysis to the
                          assumed average sampling cost of    ;
                         , $1.550. the average cost of sampling and
                          analyzing the toxic organics is estimated
                          to be $3.550 per outfall.
                            b. Sampling and analysis of pollutants
                          other than the organic toxic pollutants.
                          The methods for analyzing for most of
                          the pollutants other than the organic
                         • toxics (e.g..  metals, ammonia, and other
                          inorganic pollutants) are well
                          established. Cost data for these
                          pollutants are therefore more certain
                          than the cost data for organic pollutants.
                            Section IU.D.2.B of this, preamble
                         discusses the new requirements and
                         indicates changes from the June 14.
                         proposal. The modifications in the
                         testing requirements from  the proposal
                         will result in little or no change in cost
                         from those assumed in. the proposal.
                         Little or no change in sampling costs
                         will result froth today's requirements.
                         Analytical cost will increase slightly.
                            The Agency-estimates that
                         Incremental sampling and  analysis costs
                         ' for pollutants other than the organic
                         toxics will range between $180 to $400.
                         For purposes of computing the total
                         incremental economic impacts in section •
                         III.F.3 below, an incremental cost of $300
                         is assumed.                          .

                         2, Unit Reporting Costs
                            The preparation of-the information
                         which is required by ! 12Z53(d)
                         (discussed in section UI.D of this
                         preamble) will require stafftime,
                         resulting in costs in addition to the
                         -analytical testing costs. These reporting
                         costs include data development;
                         collection* and compilation by various
                         levels :of the applicant's staff (clerical,
                         administrative and professional); and
                         review by legal advisors, professional
                         supervisors, and managers.      .  •  .
                            Unit reporting cost are summarized in
                         TableV. •-••':
                            Table V reflects two modifications in
                         the Agency analysis made since the
 proposal. One is the elimination of the
 item requiring attachment of a BMP
 program. The other modification is the
 result of a change in reporting
 requirements for section 311 discharges.
 In the proposal an applicant had the    ,
 option of reporting discharges of
 hazardous substance in order to claim
 exemption from section 311
 requirements. The final Agency
 regulations (44 FR 50766: August 29,
 1979) provide that an applicant need not
 report hazardous substances discharges
 as part of its NPDES application to
 obtain a section 311 exclusion if the
 discharges have otherwise been made a
 part of the public record. Therefore, the
 'costs to prepare this information have.
 been 0'mitted from Table V. (For the
 remaining application requirement on ' ,*
 hazardous substances see item V-D of
 Form 2c.) The net result of these
 modifications is a significant reduction  ,
 in unit reporting costs.  '               '   '•'.
   The unit reporting costs will vary
 depending on the nature and extent of'
 the applicant's relevant activities and on
 the applicability of various reporting
 requirements to the applicant. The1
 Agency chose in the proposal to
 calculate total costs by examining  the  '
 burden for a typical plant in each of four
 categories: primary major* primary
 minor, secondary major, secondary
 minor. Costs are highest for primary
 majors and lowest for secondary minors.
   The chief assumptions underlying the
 calculations are:
   1. Primary industry dischargers will in
 general expend greater effort to study
 waste stream variability for toxic  ,
 pollutants (including an examination of
 processes and raw materials] than
 secondary industry dischargers.
   2. Major dischargers will generally
 have more complex operations than      '
 minor dischargers. For major  '       '    ,
.dischargers, large numbers of different'     \.
. processes may create complex waste
 streams which are then discharged
 through several outfalls. These
 considerations will require major
 dischargers to expend significantly more
 resources than minor dischargers..
   The unit reporting cost of the new
 application form,' on which no   .
 substantive comments were received,
 are summarized in Table V.
 Tabto V.—Unit Reporting Costs of New Application
           Form (Hours/Source)
     Type of question
   industry     Industry
   discharger   discharger

. - Major Minor Major Minor
Gerwnl Momutionu._...._.
Environment*! engineering
     3

    22
                                3

                               16

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    TabJ» V.—lint Reporting Costs ol New Apphcahon
              Form (Hours/Source)
               hour). (No adjustments for inflation have
               been made in the compensation levels
               since the proposal.)
                 Based on the above, the incremental
               unit reporting cost of the new form is
               presented in Table VII.
           20
     To assess the Incremental reporting
   Impact of the new form over the old
   form, the total unit reporting coata of the
   old form were also assessed. It should
   be noted that the reporting coat
   assessments performed for Office of
   Management and Budget on the original
   NPDES application form Indicated an  -
   unusually low unit coat of completing
   that form. Thia low original baseline
   cost !i attributable to the fact that a
   large portion of the NPDES application
   requirements were fulfilled in many
   cases by submitting applications
   completed under the old Refuse Act
   Permit Program (RAPP) administered by
   the U.S. Army Corps of Engineers. When
   the NPDES program came into being.
   these RAPP applications were often
   accepted as NPDES applications, so that
   the reporting costs of the original form
  were reported as incremental costs. For
  this reason, the total cost of the old form
  was recalculated.-
    These recalculated unit reporting
  costs are summarized in Table VL
                                             T»M> VIL—Incremental Unit Costs of New
                                                      Application Form
                                   Mutty
                                            industry
               C*J Form QMtl
               NOT Fan Co*.
                            . SIMS . S785- S1S20
                              2715 1S09  1790
                                    teas
                                     77$
                                  seao MOO .s
                                                »,io
                Table Vn illustrates that while the
             " unit reporting cost of the new form is
              greater than the cost for. the old form.
              the new form focuses reporting
              requirements on those  industries with
              the greatest potential for toxic
              discharges (primary industries). Note.
              however, that the incremental cost
              shown above for secondary industry
              minor dischargers  is probably
              understated since some of these
              dischargers completed  a special "short
              form" rather than the complete NPDES
              application form analyzed in Table VI
              above.
            Form (Hom/Sotrc*)
                      17
                       4
7
4
14
 4
                                     2

                                    IS
                      6*
                          31   S7
   The reporting burdens imposed by the
 new application requirements are
 comparable to those imposed by the
 expiring form. A number of unnecessary
 arad burdensome requirements in the
 expiring application form have been
 deleted, but these deletions are largely
 offset by expanded and new
 Requirements.
 _ "[ho hourly reporting costs shown in
 Tables V and VI were translated into
 dollars by determining the time spent
 answering each type of question shown
 In those tables fay three levels of
 personnel: administrative and clerical
 (assumed to be SlO/hour): mid-level
business and technical (S25/hourJ: and
professional, legal and managerial (SSO/
  3. Total Incremental Costa of Complying
  With the Proposed Application
. Requirements
   This section discusses the total
  additional coats imposed by the
  application requirements of 58 12&53(d]
  and 122.4(d) over those imposed by
  existing requirements. The Agency has
  computed the total incremental costs.of
  its new requirements during fiscal years
  1981-1985 (the period for which the new
  application requirements will be
  effective) by multiplying the unit costs
 derived above by the number of
 applicants or activities which are
 expected to incur those costs during the
 period FY 1981-FY 1985. The facts.
 estimates and assumptions used to
 compute the total incremental costs of
 the form are summarized in Table VTJL
  a. Number of applicants. The number
 of existing industrial dischargers who
 will use the new application form during
 FY 1981-FY 1985 is based upon the
 Agency's records of dischargers who
 currently have permits and may be
 expected to reapply upon permit
 expiration.
  It should be noted that some
 dischargers will have had their effluents
 tested by EPA as part of EPA's effluent
guidelines development program. In
general, those test results may be
reported and the applicant need not
perform the sampling and analysis. It is
estimated that approximately 100
   applicants will be able" to take
   advantage of this provision. Howevj
   the analysis below assumes that a.V
   applicants will do their own testing™
   the estimated total cost is probably a!
   overestimate.                   .
     b. Number of outfalls per applicant.
   The Agency has estimated the average
   number of outfalls per discharger, based"
   upon information received from EPA's
   Regional offices and from State offices.
   Due to information received from the
   Regional offices since the proposal, the
   estimated average number of non-
   process wastewater outfalls per major
   discharger has been reduced. Major
   dischargers  are now assumed  to average
   one and a half non-process wastewater
   outfalls and one and a half process
   wastewater outfalls each. Minor
   dischargers are assumed to average one
   non-process wastewater outfall and one
   half of a process wastewater outfall
   each. These  are averages used for
   computation of total impacts; particular
  plants may differ significantly. For
  example, as some commente'rs stated.
  certain major dischargers have as many
  as 10 process wastewater  outfalls.
  However, these situations are balanced
.  by those in which dischargers have no   .
  process wastewater outfaSs.
    c* Number of intakes to be tested by
  applicants. In addition to .sampling and
  analyzing outfalls, some applicants v
  be testing their intakes to obtain crel
  for pollutants in their intakes under •
  CFR 122.63(h).
   EPA took several  factors into account
  in coming up  with its estimate that one-
  third of all applicants will test one
  intake point. First, credit is available   -
  only under Certain circumstances. For
  example, the intake  source must be the
  same body of surface water (as opposed
  to a well, piped-in supply or other
  source) that receives the  discharge for
 which the credit is sought. Also, plants
 with many outfalls generally have only
 one source of surface water influent   '
 (e.g., a single adjacent stream or lake).
 Furthermore, the elimination of
 application-based limits from the
regulations will reduce the number of
analyses below the number
contemplated  in the proposal.
   Based on the number of dischargers,
tested intakes, process wastewater
outfalls and nonprocess wastewater
outfalls summarized below, Table IX
sets forth subtotals and totals of the
costs imposed by the regulations during
FY 1981-1985.
   The total incremental cost of
complying with the application
requirements over a five year period is
approximately $51 million. More than
three-fourths of that cost will be faor
by primary industry applicants.

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               Federal Register / Vol. 45, No. 98 / Monday, May 19, 1980 / Rules and Regulations
                                                                        33541.
" Approximately 45^ of this primary  -
  industry cost will be incurred between
  April 1980 and June 1981: more than a
  third of this cost will be borne between
  July 1981 and June 1984. therefore,
  calculation of a meaningful annualized
  cost figure presents difficulties. Because
  the total cost over five years is less than
  $100 million (the threshold for a
  regulatory analysis), the annualized cost
  clearly would not exceed the threshold
  no matter how the annualized cost is
  calculated.            •    '  .  •
    The Agency believes that the
  aggregate cost figure overestimates the
  impact of the application requirements
  for several reason*. Most Important,
  some primary industry applicants whose
  permits expire prior to December 1.1980
  are not required to submit the  new
 . application forms. (See discussion in
  preamble to the consolidated regulations
  found elsewhere in today's Federal
  Register, at 40 CFR 122.53(c).)
  Approximately one-sixth of the primary
  industry applicants and probably a
  similar portion of the secondary
  industry applicants fall  into this
• category. (However, if issued short-term
  permits, they will be required  to reapply
  before June 1981, using the new
  application form.)
    Second, the Agency .Is assuming that
  each applicant will hire an independent
  contractor to perform sampling and that
  each applicant will send its samples to
  an independent laboratory for analysis.
  To the extent that applicants can
  perform the sampling and analysis
  internally, substantial savings can be
  achieved.         ;
  •  Third, the Agency's assumptions
  about the number of pipes per plant and
about the number of intake pipes which
will be tested are probably high.
  .Fourths- the cost figure does not take
into account that applicants in-more
than half of the primary industries will
not have to test for certain GO/MS
fractions when analysing their samples.
This could result in savings of up to.a
fourth of the analytical costs in these
industries.
  Fifth, the aggregate cost figure does
not reflect the savings which will result
from the general small business •
exemption and from the small coal mine ,
exemption (discussed in section UI.F.B
below). These savings could be
substantial for the coal mine exemption
because several thousand applicants are
involved.'    ..'    •
  The Agency is assuming that there
will.be no cost for .secondary industry
applicants to sample and analyze for
organic toxics. However, secondary
industry applicants are required to test
for those organic toxic pollutants which
they know or have reason to believe are
presenliii their discharge. Therefore,
some secondary industry applicants will
test for some of the organic toxics if they
know or have reason to believe that
they are discharging those toxics.
However, the Agency believes that the
'above assumption results .in only a slight
underestimate because these applicants
are unlikely to have to test for many
organic toxic'pollutants because of the
nature of their discharges. The Agency
believes that any underestimate is
compensated for by overestimates
elsewhere and has not attempted to
quantify the amount of additional
testing, because little or no information
is available (none was supplied by   ,
commenters).    -
                      Tabta VtH.—Basis tor Calculating Incremental Costs

                              .  [For Kecal yean) 1M1-451
                                  Ptimary Muetry docharger Secondary Indutoy decharger
                                                                         Total
                                   Major
                                                      Major,
M-mt^^A^-ti^^.
Number of «nakei (MM*
Number o« proce«a w«»tew«<«r outflH ' ;
Number o< nonfvoceu waslewater outfal* ___
1,500
500
Z2M
4250
MOO
2.100
3.1SO
6.300
700
230
1.050
1,050
. 18.100
5.370
. 8.050
16.100
24.600
• 6.200
14.500
25.700
                   Tabt* IX.—Total Incremental Costs ot New Application Form
                         .     (Rounded to the nearest thousand!
                                 •Primary 'industry Discharger  Secondary industry discharger
                                                                         Total
                                   Major
                                             Minor
                                                      Major
                                                                Minor
  Cost o< Sampling  and Analyzing lor Organic
  Incremental Cost of Sampling and Analypng tor
   Pollutant* Other Than Organic TCJUCJ_ __ •
  Incremental Reporting Co*t._ _ '
S9.763.000  $18,638.000

 i.softoo
 1.290.000
                                                                     0,  $28:401,000
   3.465.000
   5.040.000
$699.000
 189.000
$8.856.000
 1,771,000
14,520.000
 8,290.000
      Total Incremental Cost..
                                                                         51.211.000
 4. Economic Impacts Upon Selected
 Industries     ,   .         ,
  "The Agency conducted an analysis of .
 the economic impact of the revised
 application reporting requirements upon
. primary industry dischargers with  •
 process wascewater discharges (upon
 whom the chief burden of the new  •
 requirements falls). The analysis
 focused primarily oh those facilities
 which will be most affected: marginal,
 small volume facilities in primary    ' .
 industries. The analysis was conducted
 for five industries—leather tanning,
 wood preserving,.electroplating,
 foundries, and iron and steel. The first
 four industries were selected because
 many of the plants are small and thus
 more sensitive to newly imposed cost
 burdens than other industries. The iron
 and steel industry was selected to
 examine the analytical costs for a
 typical plant which contains a large
 number of process wastewater outfalls, •'
' resulting in correspondingly large
 analytical costs. No industry was
 discovered which consisted
 predominantly of small firms with more
 than one process wastewater outfall.
   Costs vary significantly from plant to
 plant depending on the number of
 outfalls at a particular plant. The
 combined analytical and reporting costs
 for a plant with one process wastewater
 outfall will be small, on the order of
 $5,000. while  the cost to a steelmaking
 facility with 10 proce'ss wastewater
 outfalls may be as high as $35,000.
   The impact on prices, profits, and
 plant closures should be small for most
' industries although impacts, may be
 significant in individual cases. Although
 the Agency has concluded that the
 application requirements will not force
 closures, small businesses with highly
 toxic, variable, or complex discharges
••. may find the  requirements burdensome.
 In an effort to minimize this burden, the
 Agency is including a small business
 exemption in the testing requirements
 (see section III.E.6 below).  >
   The key economic indicators
 examined to estimate economic impacts
 are the ratios of testing costs to sales, to
 profits,  and to total pollution control
• investment. The ratio of testing cost to
 sales indicates impact on price         :
 increases while the ratio of testing cost
 to profit provides a rough indication of •
 impact on profits and of the possibility.
 of closures. Table X summarizes the
 results for average small plants in each
 industry analyzed during the year that
 the permit application is submitted.  '.
 These results represent changes from
 Table X in the proposal due to the
 decrease in the estimated testing costs.1'

-------
    33542       Federal Register
                                   Monday. May 19. 1980 / Rules and Regulation
     Fora more detailed analysis of the
   impact of the regulation on'ebch of the
   five Industries, the reader is referred to
   the preamble of the proposed regulation
   {44 FR 34393 at 34412-3, June 14.1979).
   That discussion should be read with the
   modifications in Table X below in mind.
   The Agency received no comments on
   that portion of the analysis.
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  5. Impact of Reporting Requirements
  Upon Independent Laboratory
  Capability
    The Agency received several.
  comments on the proposed regulation
  which suggested that the-NPDES
  analytical requirements would exceed
  laboratory capacity for GC/MS analysis.
  One commentcr noted that GC/MS
  Instruments are very expensive and that
  many applicants will not be able to
  obtain one. The analysis of demand for
  Independent laboratory GC/MS
  analyses Is based on the assumption
  that all analyses will be done by
  Independent laboratories and not by the
 applicants themselves. To the extent
 that industry associations and
 Individual applicants possess laboratory
 capacity for  these analyses, the estimate
 of demand for independent lab
 capability below is an overestimate.
   The impact of other Agency programs'
 has been included in the discussion
 below In response- to a comment
 Although it is expected that regulation
 of toxic pollutants will result in some
 increase,in monitoring requirements for
 toxic pollutants (see section ffl.E.1 of
 this preamble), the Agency has not
 Included the effect of monitoring on the
 demand for laboratory capacity, as
 suggested by one commenter. because it
 anticipates that any increase in
 monitoring requirements would occur
 aflcr the period during which lab
 demand will be at its peak due to the
application requirements. In addition.
monitoring may in some cases be
conducted for a selected group of
pollutants by  use of GC rather than GC/
    After reevaluation. the Agency has
  concluded that GC/MS laboratory
  capacity should be sufficient to meet
  expected demand, although some delays
  in obtaining analytical services may
  .occur during the peak period from April
  1980 to June 1981.
    The Agency evaluated expected
  demand on GC/MS capacity from the
  application form testing requirements by
  assuming that all required analyses will
  b« done using GC/MS and that, on
  average, one analysis will require two
  runs through the machine..Since the
  number of process wastewater outfalls
  and intakes to be tested for the primary
  industry applicants is estimated to be
  MOO. the number;of GC/MS runs should
  be between aOOO and 18,000.    - •  •
   Analysis of the permit expiration
  dates for the primary  industry
  applicants indicates that about 45% of
  GC/MS  tests will be performed between
 April 1980 and June 1981. The range of
 demand for GC/MS tests is projected to
 be between 24O and 480 analyses per
 month during-this peak period.  Demand
 for GC/MS capacity from other
 programs within EPA during the same
 period is expected to be 650-850
 analyses per month.
  Agency information and a recent
 manufacturers survey  of available
 laboratories identified 86 laboratories
 with 129  GC/MS systems capable of
 performing the required analyses.
 (These figures represent increases from
 those reported in the proposal)  Current
 laboratory experience  indicates that
 larger laboratories (with 3 or more GC/
 MS systems and an independent data
 system) are capable of analyzing 60-80
 samples per month. The smaller
laboratories are capable of performing
20-25 analyses per month.
                   Approximately one quarter of
                   laboratories are of the larger type. A
                   conservatively low estimate of current
                   laboratory capacity, with a 25%
                   allowance for machine failure, appears
                   to be 2,000 analyses per month on a
                   single shift basis and 4,000 analyses per
                   month on a double shift basis. This
                   capacity is in addition to the in-house
                   GC/MS capacity which many industries
                   and universities have for research and
                   other purposes. Some growth in capacity
                   can be anticipated; GC/MS capability in
                   service laboratories doubled over the
                   two years prior to Summer 1979. This
                   increase is a reflection of how rapidly
                   additional laboratory capacity becomes
                   available to meet demand.
                    Thus, sufficient capacity appears to
                   exist, especially if the existing
                                                            equipment is used on a double shi
                                                            basis.
   6. Small Business Exemption
     a. General EPA is exempting any
   business with annual sales less than
   $100,000 (in second quarter 1980 dollars)
   from the requirement to test for the
   organic toxic pollutants. To qualify for
   the exemption the permit applicant must
   submit to the permitting authority
   annual sales figures for the most recent
   three years. The average of those three
   years must be less than $100,000 for the
   applicant to qualify.
    In developing the $100.000 ceiling for
   this exemption, the Agen.cy used as a
   guideline its final report implementing
   Executive Order 12044 (44 FR 30988,
   May 29.1979). This report indicates that
   an analysis of the potential economic
   impact should be conducted when the
   additional costs of a regulation exceed
   5% of a product's selling price. In this
   instance, the Agency ia using 575 of
  annual sales as an indicator that the
  reporting requirements may have an
  adverse impact on a firm.
    As noted above, the average costs of
  the application requirements are $3.550
  for sampling and analysis of organic
  toxic pollutants. The incremental unit
  reporting costs for primary industry
  minor dischargers. $1,250 (see Table
  above), are expected to be more t
  of the small business firm than the
  reporting costs of the primary industf
  major discharger. The sum of these
  analytical and reporting costs is
  approximately $5,000. This would
  exceed 5% of annual sales if a firm has
  annual sales of $100,000 or less.
   Based on data secured by the Agency
  during the development of effluent
 guidelines, the Agency estimates that
 between 2 and 5% of primary industry
 applicants will be eligible, for the
 exemption from the sampling and
 analysis requirements for the organic
 toxic pollutants in process wastewater.
 The typical savings for the individual
 applicant are expected to be on the
 order of $4.100. which is the sum of the
 cost of analysis for, organic toxics and
 the reporting costs associated with
 managing the organic toxics data. The
 estimated total savings from this
 exemption are expected to be between
 $1 million and $2 million/These
 reductions in the total number of
 applicants performing the sampling and
 analysis of discharges for the organic
 toxic pollutants have  not been taken   '
 into account in the calculation of the
*ptal incremental cost of this regulation.
   It should be noted that this exempt,
does not preclude  the permitting    J'

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Federal Register / Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules and Regulations       33543
   authority from exercising any of its' • '
   options to obtain information on organic
   toxic pollutants under section 308 of
   CWA. However, the Agency expects
   that permitting authorities will need to
   exercise those options in a small
   numberof cases, because these
   applicants generally exert a minor
   environmental impact.    '
     b. Coal Mines. EPA has,fashioned a
   separate exemption for small coal mines
   which is somewhat analogous to the
   general small business exemption
   discussed in the preceding section. Coal
   mines which are likely to produce less
   than ir&OOO tons of coal per year, based
.   on predicted or historical production
   figures, are not required to test for
   organic toxic pollutants. •
     In section 507 of the Surface Mining
   Control and Reclamation Act of 1977 :
   (SMCRA). Congress established a
   substantial set of application
   requirements for coal mines, including in
   part a description of mining methods; •
   maps of land to be affected-
   identification'of affected watersheds: a
   determination of probable hydrologic
   consequences of mining and reclamation
   operations; results of test borings or
   case samplings: analyses of chemical
   properties of the coal; the sulfur content
   of coal seams; chemical analyses of
   potentially acid or, toxic forming.
  sections of the overburden: and
  chemical analyses of the stratum
  immediately underneath the coal to be
  mined.
 .   Due to the appropriately extensive
  application requirements of SMCRA.  ;
  EPA is seeking to minimize' its requests
 . for either duplicative or overly
  burdensome information. This is part of
  the broad efforts by EPA and the
  Department of Interior's Office of
.  Surface Mining (OSM). which regulates
  coal mines under SMCRA (see 30 CFR
  Chapter VII), to coordinate their
  permitting, and other activities. See. e.g..
  44 FR 55322. September 25,1979
  (announcing  the availability for public
,  comment of a draft Memorandum of  •
  Understanding on permit coordination
  between EPA and OSM). EPA has
  therefore decided to require testing for
  organic toxic pollutants only in the case
  of large coal mines, whose discharges, if
  toxic, are likely to have more significant
  impact on receiving waters than those of
  small mines. In addition, they should
 generally be able to afford both to
 provide the information required under   '
.  SMCRA and to test for the organic toxic
 pollutants.
    In selecting 100,000 tons annual
 production as the criterion for •
 distinguishing large coal mines from
 small ones; EPA was guided by sections
 502(c) and 507(c) of SMCRA. Section
                          507(c) provides that certain hydrological
                          .and other information shall, upon
                         . written request of the operator of a
                          small coal mine, be developed by a  "
                          laboratory and paid for by the regulating
                          authority rather than by the coal mine.
                          The cutoff used in that section is 100.000
                          tons annual production. Section 502(c)
                          uses the same cutoff to provide small
                          coal mines with an extended transition
                          period to comply with the initial'
                          regulatory program under SMCRA. EPA
                          feels that the cutoff selected by
                          Congress in sections 502(c) and 507(c) of
                        . SMCRA is similarly appropriate here. .
                          * EPA expects that the exemption for
                          small coal mines will exempt
                          approximately 80% of all coal mine
                          applicants. Because these' small coal
                          mines produce only about 20% of all coal
                          produced in the United States.
                        .' discharges from larger mines producing
                          60% of our nation's  coal will remain
                          subject to the organic toxic pollutant
                         testing requirements. (Percentages
                         stated in this paragraph are based upon
                         Figures 2 and 3 on pages 8 and 7 of
                         OSM's Final Regulatory Analysis. OSM-
                         RA-1.March 1979.) the estimated total
                         savings from this exemption are
                         expected to be approximately $8 million.
                         .which was not taken into account in
                         Table IX.

                         IV. PART A OF HAZARDOUS WASTE
                         APPLICATIONS REQUIREMENTS:
                         S 12224 AND FORM 3
                          The RCRA permit program differs
                         from the other permit programs covered,
                         by these Consolidated Application
                         Forms in providing for an application in
                         two stages. Six months after the
                         promulgation of regulations setting up
                        , the RCRA program in its initial form.
                         every facility which is treating, storing.
                         or disposing of hazardous waste must
                         file Part A of the permit application
                         form. These initial regulations are being .
                         promulgated today. Part A of the permit
                         application consists of Forms 1
                         (discussed in Section II of this preamble)
                         and 3 of the Consolidated Permit
                         Application Forms. Form 3 tracks the
                         regulatory requirements of 40 CFR
                         122.24. Upon filing a Part A permit
                         application in satisfactory form, a
                         hazardous waste management facility
                         (HWM facility) becomes entitled to
                         '.'interim status," which means that it is
                         not subject to enforcement for opera'ting .
                         without a permit  .  .
                          About a year from now the full RCRA
                         permit program will  become, effective.
                         Facilities may then be required by the
                         permitting authority to complete their
                         permit applications by submitting Part B
                         of the permit application. Part B will
                         also be submitted by persons wishing to
                         construct and operate new HWM
  facilities. The permitting authority will
  then proceed to process the application
  and issue a permit. Part B will be
  submitted as a narrative: EPA is not
  promulgating a form for it.
    Only limited portions of the
  requirements for Part B of the permit
  application are being promulgated
  today. They are/set forth at 40 CFR
:  122^5. The remaining portions will be
  promulgated with the rest of the initial
  set of RCRA requirements in the fall of
  1980.    \       .
    Form 3 is required to be used
  presently by all existing HWM facilities
  and by new HWM facilities seeking EPA
 . permits. Under RCRA. States may in the
  future operate the permit program.
  Although EPA encourages States with
  approved RCRA permit programs to use
  the Federal application forms, or forms
  as similar to those forms as possible, it
  is not requiring the use of EPA forms.
  Slates may use their own forms, subject
  to EPA approval, provided that those
  forms incorporate the'application
  requirements of 40 CFR Part 122,
•  Subpart B.
   The above is a simple sketch of the
  basic features of the RCRA permit
  program. A far more detailed description
  is contained in 40 CFR Parts 122,123 and
  124. and  the preambles to them,
•  published elsewhere in today's Federal
  Register. The general outlines of the
  program will not be discussed further
  here.                              .
   Instead, the balance of this preamble
  discusses the comments received on the
  Part A application .requirements which
  are specific to RCRA. namely the
 comments on Form 3 of the
 Consolidated Application Forms (Part
 A). Comments on the provisions of 40
 CFR 122.24. which discusses Part A. are
 also discussed. However, comments on
 Part B application requirements are
 discussed in Part 122 and not here, both
 because there is no set "form" for Part B
 and because the complete requirements'
 have not yet been promulgated.
.  Probably the single point most
 emphasized in the comments on Form 3
 was that it was too long and
 cumbersome to fill out. Commenters
 stressed that EPA would be receiving
 many thousands of these forms in a very
 short time, at the same time that other
 aspects of the RCRA program were
 starting up. Therefore, commenters felt.
EPA would probably not have the time
 to review extensive forms in detail; thus
 the information.would not serve a
significant regulatory purpose and
would be in conflict with Congressional
intent that interim status be relatively
easy to apply for.
  EPA agrees with these comments and
has accepted many of them. Specifically:

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    33544
Federal Register / Vol. 43. No. 98 / Monday. May-19. 1980 /.Rules.and Regulations
      3. EPA has reduced the specificity
    •with which waste must be described.
    The proposal would have required the
,    DOT shipping name, the EPA-assigned
    hazardous waste number, and the
    common name for all wastes. In the final
  • version, EPA will require the EPA
   number only.
     2. The proposal would have required a
   listing of the exact quantity of each type
   of waste to be handled at the facility. In
   response to comments, this has been
   changed to an estimate of the quantities.
     3. The requirements for submitting "all
   available" drawings and specifications
   relating to a HWM/acility, contained In
 . the proposal, has been greatly cut back.
   All that will now be required is a scale
   drawing and photographs of the existing
   structures. EPA agreed with the
   commentera that argued that the
   proposed requirements could have
  resulted in the submission of vast
  quantities of paper that would have had
  little practical regulatory us«.
    4. The requirement to submit the
  zoning status of the site set forth in the
  proposal has been dropped, as  some
  commenters suggested. EPA assumes
  that as a general rule existing facilities
  conform to the applicable zoning
  requirements and that applications for
  new facilities as a practical matter will
  only be filed for locations where the
  local land use laws would permit it.
  Accordingly, no general regulatory
  purpose would be served by requiring
  this information to be listed in all cases.
  EPA acknowledges that there may be
  cases where zoning questions may
  become extremely important to a
  decision on an individual facility, and
  where questions of Federal pre-emption
 may arise. The preamble to the Part 123   .
 regulations discusses some of the points
 involved. However, those instances
 should be rare enough to permit the
 necessary information to be gathered on
 a case-by-case basis.
   S. There will no longer be special
 requirements for experimental or health
 care facilities since those special permit
 categories have been dropped from the
 final regulations.
   However. EPA has not accepted all
 the suggestions for simplification and in
aome cases has added items to the form
as proposed or has changed items while-
leaving basic substantive requirements
In place.
   Specifically, EPA will still require a
list of the exact wastes that will be
handled in each facility, broken down
by EPA code number, and a list of the
treatment, storage, and disposal
methods that will be used. The latter
requirement replaces the one in the
proposal for listing a "handling code."
                            This information is needed to
                          establish how the existing pattern of
                          HWM facilities deals with the national
                          "universe" of hazardous wastes which
                          will have been defined at the same time.
                          That information will tell EPA which   •
                          facilities are most in need of regulatory
                          attention (for example, because they .are
                          dealing with large quantities of wastes,
                          or because the wastes they deal with
                          are particularly hazardous, orbecause
                          their treatment, storage, or disposal
                          methods from the description given :
                          seem open to question):
                            In addition to the above, several less
                          significant changes have been made in
                          Form 3:
                            1. A listing of the latitude and
                          longitude of each facility is now
                          required. This will furnish EPA-with  '
                          more precise  data on the location of
                          HWM  facilities.
                           2. The proposed form would have
                         required applicants to specify whether
                         the facility was existing, proposed, or' .
                         under construction. This requirement
                         has been replaced in the final form with
                         a requirement to list whether the facility
                         is new  or existing, whether the permit
                         application is new or revised, and
                         whether the facility has a RCRA permit
                         or interim status. These are the
                         permitting categories which the statute
                         and the implementing regulations lay
                         down, and to require the forms to reflect
                         them will make it easier to handle those
                         forms and assign, the action required
                         under them to its proper category.
                          3. Applicants with existing facilities
                         are now required to indicate the date
                         that operation began or the date
                         construction commenced at their
                         facility. This information will help EPA
                       .  verify that the  facility qualifies for
                         interim status. For new facilities,
                        applicants are  required to provide the
                        date that operation is expected to begin.
                        This information will assist EPA in
                        setting priorities for processing
                        applications for new facilities.
                          4. As discussed in the preamble to
                        Part 122. RCRA permits bind both the
                        owner and the  operator of HWM
                        facilities where those two persons are
                        different Accordingly, the form provides
                        for the signature of both these persons,
                          Impact of Form 3 reporting
                        requirements.'H is estimated that
                        approximately 26,400 owners and
                        operators of hazardous waste
                        management facilities will be required
                        to complete and submit Form 3. The  '
                        estimated workload and economic
                        burden on these applicants is
                        summarized in Table XI.
                       Table XI.—Summary of Form 3 Impact
                       Number of respondents	28.400
                       Frequency of response	,	once
   Work hours to prepare response...!S.l

   Cost to prepare response..... $472 per

   Evaluation Plan.

     EPA will review the usefulness and
   continued need for the consolidated
   application forms no later than 5 years
   from their effective date. The review
   will consider the effectiveness of the
   consolidated format: the usefulness of
   the required information in issuing
   permits and meeting other program
   needs; the need to change certain  •
   requirements to reflect statutory and
   regulatory changes and changing
   program priorities'; financial and
   administrative burdens placed upon
   EPA, State agencies,  and the regulated
   community; and any  more effective or
•   less costly alternative, to fulfill the
   purposes intended by the current
   application requirements. The review
   will be conducted, as the present
  requirements have been developed,
  through various means calculated to
  encourage participation by all .interested
  members of the public as well as  by
  permit writers and permittees.
   Note.—Executive Order 11821, as amended
  by Executive Order 11949. arid OMB Circular
  A-197 require the preparation of economic
  impact statements for major regulations
  defined as those with incremental annui
  impacts exceeding one hundred million
  dollars. As demonstrated In this preamble
  the Environmental Protection Agency has
  examined cost* and economic impacts as
  part of .Its decision-making process. It  has
  determined, based on this analysis, that this
  document does not constitute a major
  regulation requiring the preparation of a
  separate economic impact statemement.
  However, it believes that the detailed
  analysis contained in section III-F of this
  preamble compiles with the spirit and
 purpose of the executive  orders and OMB
 circular.
   Dated: May 2,1980.
 Douglas M. Costle,        . .
Administrator.

Instructions for Consolidated Permit
Application Forms
   The Consolidated Permit Application
Forms are:
Form 1—General Information   • •  .  '
Form 2—Discharges to Surface Water
   (NPDES Permits)
   a. Publicly Owned Treatment Works
    [Reserved]  '         ,      .
   b. Concentrated Animal Feeding:
    Operations arid Aquatic Animal
    Production Facilities
  c. Existing Manufacturing; Commercial,
   Mining, and Silvicultural Operations
  d. New Manufacturing. Commercial, Mining
   and Silvicultural Operations [Reserved*
Form 3—Hazardous Waste Application Fi "
  (RCRA Permits)
Form 4—Underground Injection of Fluids
  (UIC Permits) [Reserved)

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Federal Register /.Vol. 45. No. 98 /Monday. May 19. 1980 /  Rules  and "Regulations
                                  33545
  •  . Form &—.Air Emissions in Attainment Areas
       (PSD permits) (Reservedl
     Tabln of Contents of This Packet
     A. General Instructions
   ,  B. Instructions for,Form 1
   .  C; Activities Which Do Not Require Permits
     D. Glossary               •
     E.Fom>1     .;  -    \

     Instructions for Consolidated Permit
     Application Form*

    Section A. General Instructions    '
     Who Must Apply?   :
      With the exceptions described in
    section C of these instruction*. Federal
    laws prohibit you from conducting any
    of the following activities without a
   ' .permit.         ,              .  , -
      NPDES (National Pollutant Discharge
    Elimination System under the Clean
    Water Act 33 U.S.C, 1251). Discharge of
    pollutants into the waters of the United
    States.
      nCRA (Resource Conservation and
    Recovery Act. 42 U.S.C. 6901).
    Treatment storage, or disposal of
    hazardous wastes,  .      ,             •
      UIC (Underground Injection Control
    under the Safe Drinking Water Act 42
    U.S.C 300f). Injection of fluids
    underground by gravity flow or
    pumping.
      /^{Prevention of Significant
B    Deterioration under the Clean Air Act
.    72 U.S.C. 7401). Emission of an air
    pollutant by a new or modified facility
    in or near an area which has attained  •
    the National Ambient Air Quality
    Standards for that pollutant.
     Each of the above permit programs is
    operated in any particular State by
    either the United States Environmental
    Protection Agency (EPA) or by an
    approved State agency. You  must  use
    this application form to apply for a
    permit for those programs administered
  ,  by EPA. For those programs
    administered by approved States,
   contact thjg State environmental agency
   for the proper forms.
 ',    If you have any questions about    '
   whether you need a permit under any-of
   the above programs, or if you need
   information as to whether a particular
   program is administered by EPA or a
   State agency or if you need to obtain
   application forms, contact your EPA -
   Regional office (listed in Table 1)..
     Upon your request, and based upon
  (information supplied by you.  EPA  will
   determine whether you are required to
   obtain a permit for a particular facility.
   Contact your EPA Regional office (listed
   in Table!}. Be sure to contact EPA if
   you have a question, because Federal
   laws provide that yo«/may be heavily
  penalized if you do hot apply fora
  permit when a permit is required.
                              Form' 1 of the EPA consolidated
                           application forms'(attached to these.
                          • instructions) collects general
                           information applying to all programs.
                           You must fiU'out Form 1 regardless of
                           which permit you are applying for'. In
                           addition, you must fill out one of the
                           supplementary forms (Forms 2-5) for
                           each permit needed under each of .the
                           above programs. Item II of Form 1 will
                           guide you to the appropriate
                           supplementary forma.
                             You should note that there are certain
                           exclusions to the permit requirements
                          . listed above. The exclusions are
                           described in detail in section C of these
                           instructions. If your activities are
                           excluded from permit requirements then
                           you do not need to complete and return
                           any forms.
                             Note:Certain activities not listed
                           above also are subject to EPA-
                           administered environmental permit
                           requirements. These include permits for
                          ^ocean dumping, dredged or fill material
                           discharging, and certain types of air
                           emissions. Contact your EPA Regional
                           office for further information.

                           T»M«1   1\ltM*n>t EPA Reyomt Paces and
                                  Siitot mtun Jl*r Jurisdiction
                          Reg/our
                          Permit Contact. Environmental and Economic
                            Impact Office..U.S. Environmental
                            Protection Agency, John F. Kennedy
                            Building, Boston. Massachusetts 02203.
                            (617) 223-4035. FTS 223-4635.'Connectfcut.
                            Maine. MamrhmctU. New Hampahire.
                            Rhode Island, Vermont
                          RegfaaU
                          Permit Contact. Permits Admlnistratiorr
                            Branch. Room 432. U.S. Environmental
                            Protection Agency. 28 Federal Plaza. New
                            York. New York 10007. (212) 254-9680, FTS
                            284-8880. New Jersey. New Yprk. Virgin
                            Islands, Puerto Rico.
                          Region III
                          Permit Contact (3 EN 23), U.S. Environmental
                           Protection Agency, 6th & Walnut Streets.
                           Philadelphia, Pennsylvania 19108. (215)    .
                           597-^818, FTS. 597-8816. Delaware. District
                           of Columbia. Maryland. Pennsylvania.
                           Virginia. We«l Virginia.
                          Region IV
                          Permit Contact Permits Section, U.S.
                           Environmental Protection Agency. 34S
                           Courtland Street. N.E.. Atlanta.,Georgia
                           30363. (404) 881-2017. FTS 257-2017..
                           Alabama; Florida, Georgia. Kentucky.
                           Mississippi. North Carolina. South
                           Carolina. Tennessee.      .   •          .
                          Region V         '
                         -Permit Contact (SEP). U.S. Environmental
                           Protection Agency. 230 South Dearborn
                           Street Chicago, Illinois 60604. (312) 353-
                           2105. FTS 353-2105. Illinois, Indiana.
                           Michigan. Minnesota. Ohio, Wisconsin.
  Region VI                 •  '
  Permit Contact (6AEP). U.S. Environmental
    Protection Agency. First International
    Building. 1201 Elm Street. Dallas. Texas
  .  73270, (214) 767-2765. FTS 729-2763.
    Arkansas. Louisiana. New Mexico.' ' .
    Oklahoma. Texas.            ...
  Region Vll
  Permit Contact. Permits Branch. U.S.
    Environmental Protection Agency. 324 East
    llth Street Kansas Cjty. Missouri 64106.
    (816) 758-5955, FTS 758-5955. Iowa.
    Kansas, Missouri. Nebraska.
  Region V211  '    .
• Permit Contact (8E-WE). Suite 103, U.S.
    Environmental Protection Agency. 1818
    Lincoln Street. Denver, Colorado 80203.
    (303) 837-1901. FTS 837-4901. Colorado.
•    Montana. North Dakota. South Dakota.
    Utah. Wyoming.
  RegionIX. .'"        .        '  •  ;.
  Permit Contact Permits Branch (E-4). U.S.
    Environmental Protection Agency, 215
    Freemont Street. San Francisco. California
    94105, (415) 558-3450. FTS 536-3450.  .
  •  Arizona. California, Hawaii. Nevada.
  „  Cuam. American Samoa. Trust Territories.
  Region X   ..    •-• •
  Permit Contact (M/S 521), U.S.        •
    EnTkonmental Protection Agency, 1200 6th
    Avenue. Seattle. Washington 98101. (206)
  .442-7176. FTS 399-W8. Alaska. Idaho,
  :  Oregon. Washington.

 Where To File             •   •   .   -   .

    The application forms should be;
 mailed to the EPA Regional office whose
 Region includes the State in which the
 facility is located (see Table 1).
    If the State in which the facility is •
 located administers a Federal permit
 program under which you need a permit, .
 you should contact the appropriate State
 agency for the correct forms. Your EPA
 Regional Office (Table 1) can tell you to
 whom to apply and can provide the
 appropriate address and phone number.

 When To File                    ,   .

   Because of statutory requirements, the
•deadlines for filing applications vary.
 according to the type of facility you
 operate and the type of permit you need.
These deadlines are. as follows: '
 •     t Tabte'2.—Filing Dates for Permits
 Formttwmil)                 WheritoH*.
2« (NPDES)...

2b (NPDES)	'.—
180 days before your present
 NPDES permit expire*
ISO days before your present
 NPDES permit exp»os-. or
 180 days prior to startup if
 you are a new facility
  1 Please note that some of thcie fomw ore not yet
 available for use and ant listed as "Reserved" at tha
 beginning of these instructions. Contact your EPA RojionaJ-
 office far information on current application reqorrementa
 and forms.

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                Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulation
335-38
     Tttrf* 3,—FSng Dates for Permits—Continued
        Form rtxrmtj
                           wtunton*
                      ICO diyt (wfora your preMfli
                       NPOES P*TTM «s>«*<
                      180 city* pnor to surbp
                      Erasng laotty: 1»0 day*
                                 Doo of
                     .  ntavaout wut*«
                     MM tacttr: 180 dty* twtor*
                     A ntfcntit tmt prior to
    * ff>»«r ptrwol pcnrit ttphm ea «r War* NevMbv X.
  im U* mia» itlt U tlw dito o« whidi yaw p«rmH nptrM.
t  U your ftnait rq*m durtrg lW prrtod D«c«mb«f t,
  1MO.M.X n. 1««. Ik. fllln« 
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                Federal Register / Vol. 45. No. 98 / Monday. May  19. 198Q / Rules and Regulations       33547
    Fossil fuel boilers (or combination
   thereof) totaling more than 220 million
   BTU per hour heat input
    Petroleum stor.iee and transfer units
   with a total storage capacity exceeding
.   300.000 barrels             .
   . Taconite ore processing plants       ;
    Class fiber processing plants
    Charcoal production plants.
    Item ///. Enter the facility's official or
  legal name. Do not use a colloquial
  name.
    Item TV. Give the name, title, and
  work telephone number of a person who
  is thoroughly familiar with the operation
  of the facility and with the facts
  reported in this application and who can
  be contacted by reviewing.offices if
  necessary. ,      •
   . Item V,  Give the  complete mailing
•  address of the office where       -
  correspondence should be sent This
  often is not the address used  to
  designate  the location of the facility or
  activity.
    Item  VI. Give the address or location
  .of the facility identified in Item III of this
  form. If the facility lacks a street name
 . or route number, give the most accurate
  alternative geographic information (e.g.,
 "section number, quarter section number,
  or description).
   Item  VII. List, in  descending order of
  significance, the four 4-digit standard
  industrial classification (SIC)  codes
  which best describe your facility in
  terms of the principal products or
  services you produce or provide. Also,
  specify each classification in words.
  These classifications may differ from the
  SIC codes  describing the operation
  generating the discharge, air emissions.
  or hazardous wastes.
   SIG code numbers are descriptions
  which may be found in the "Standard
 Industrial Classification Manual"
  prepared by the Executive Office of the
 President. Office'of Management and
 Budget, which is available from .the '
. Government Printing Office,
 Washington. D.C. Use the current
 edition of the manual. If you have any   '
 questions concerning the appropriate
 SIC code for your facility, contact your
 EPA Regional office {see Table 1).
   Item VIII-A. Give the name, as it is
 legally referred to. of the person, firm.
 public organization, or^any other entity
 which operates the facility described in
 this application. JMsw&y or may not be
 the same name as the facility.  The
 operator of the facility « -Hie legal entity
 which controls the facility's operation
 rather than the plant or site manager. Do
 not use a colloquial name.
   Item VIII-B. Indicate whether the
 entity which operates the facility also-
 owns it by marking the appropriate box.
  i  Item VIII-C. Enter.the appropriate
  letter to indicate the legal status of the
  operator o'f the facility; Indicate "public"
  for a facility solely owned by local, •'
  government(s) such as a city. town.
  county, parish, etc.
    Items VIII-D-H. Enter the telephone
  number and address of the operator
  identified in item VJII-A.            .'  .
    Item IX. Indicate whether the facility
  la located on Indian lands.
    •Item X. Give the number of each
  presently effective permit issued to the
  facility for each program or. if you have
  previously filed an application but have
  not yet received a permit, give the
  number of the application, if any. Fill in
  the unshaded area only. If you have  .
  more than one currently effective permit
  for your facility  under a particular
  permit program, you may list additional
  permit numbers  on a separate sheet of
  paper. List any relevant environmental
.  Federal (e.g.. permits under the  Ocean
  Dumping  Act. section 404 of the Clean
  Water Act or the Surface Mining Control
  and Reclamation Act). Slate (e.g.. State
  permits for new  air emission sources in
  nonattoinment areas under Part D of the
  Clean Air Act or State permits under
  section 404 of the Clean Water Act) or
  local permits or applications under
  "other."  .- * ;      .
    Item XL Provide a topographic map or
  maps of the area extending at least to
 •one mile beyond the property '
  boundaries of the facility which clearly
  show the following:
    • The legal boundaries of the facility;
    • The location and serial number of
  each of your existing and proposed
  intake and discharge structures;
    • All hazarous waste  management
  facilities:      -       -   '
    • Each  well where you inject fluids
  underground: and        .
    • AH springs and surface water -
  bodies in the area, plus all drinking
  water wells within V« mile of the facility
  which  are identified in the public record
  or otherwise known to you.
   If an intake or discharge structure. •
 hazardous waste disposal site, or
 injection well associated with the       '
 facility is located more than one mile
 from the plant, include it on the map. if
 possible. If not. attach additional sheets
 describing the location of the structure,
 disposal site, or well, and identify the
 U.S. Geological Survey (or other) map
 corresponding to the location.
   On each map, include the map scale, a .
 meridian arrow showing north, and
. latitude and longitude at the nearest
 whole second. On all maps of rivers,
 show'the direction of the current, and in
 tidal waters, show the directions of the
 ebb and flow tides. Use &7Vz minute
 series map published by  the U;S.
 Geological Survey, which may be
 obtained through the U.S. Geological
 Survey'. Offices in Washington. D.C.. .
 Denver. Colorado, or Anchorage.
 Alaska. If a 7'.4 minute series map has
 not been published for your facility site,
 then you may use a 15 minute series
 map from the U.S. Geological Survey. If
 neither a 71A nor 15 minute series map
 has been published for your facility site,
' use a plat map or other'appropriate map,
 including all the requested information:
 in this case, briefly describe land uses in
 the map area (e.g.; residential.
 commercial).      .
   You may trace your map from a
 geological survey chart, or other map
 meeting the above specifications. If you
 do. your map should bear a note
 showing the number or title of the map
 or chart it was traced from. Include the
 names of nearby towns, water bodies,
 and other prominent points. An example
 of an acceptable location map is shown
 in Figure A of these instructions.
   (Note—Figure A is provided for
 purposes of illustration only,  and does
 not represent any actual facility.)
 BIU.INQ CODE 656O-01-4J

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                                    USGS Mip Ctntral City. Ohio
                                       Locitlon Mip
                                       Cintral Procoulng Co.
                                       Central City, Ohio

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               Federal Register /Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations       33549
    Item XII. Briefly .describe the nature of
  your business (e.g.. products produced
  or services provided).        ,
    Item XIII. Federal statues provide for
  severe penalties for submitting false
  information on this application form.
  ,18 U.S.C. section 1001 provides that
  "Whoever, in any matter within the
  jurisdiction of any department or agency
  of the United States knowingly and
  willfully falsifies, conceals or covers up
  by any trick, scheme, or device a
  material fact, or makes or uses any false
 . writing or document knowing same to
  contain any false, fictitious or fraudulent
  statement or entry, shall be fined  not
•  more than $10.000 or imprisoned not
  more than five years, or both."
    Section 309(c)(2) of the Clean Water
  Act and section 113(c)(2) of the Clean
  Air Act each provide that "Any person
  who knowingly makes any. false
 'statement, representation, or
  certification in any application.
  shall upon conviction, be punished by  a
'_ fine of no more than $10,000 or by
 • imprisonment for not more than six
  months,, or both."                 ' .
    In addition, section 3008(d)(3) of the
  Resource Conservation and Recovery.
  Act provides for a fine up to $25.000 or
  imprisonment up to one year for a first
  conviction for making a false statement
  In any application under the Act, and for
  double these penalties upon subsequent
  convictions.  • ».
   Federal regulations require this
 application  to be signed as follows:
   (1) For a corporation, by a principal
 executive officer of a least the level of
 vice president. However, if the only
 activity in item II which is marked "yes"
 is Question G. the officer may authorize
 a person having responsibility for-the
 overall operations of the well or well
 field to sign the certification. In that
 case, the authorization must be written
 and submitted to the permitting
 authority.                         ''
   (2) For partnership or sole
 proprietorship, by a general partner or
 the proprietor, respectively; or     .
   (3) Fora municipality. State. Federal
 or other public facility, by either a
 principal executive officer or ranking
 elected official.     .             '

 Section C. Activities Which Do Not
 Require Permits
   \. National Pollutant Discharge
 Elimination  System Permits under the
 Clean Water Act. You are not required
 to obtain an NPDES permit if your
 discharge is-in.one of the following
 categories, as provided by the Clean
 Water Act (CWA) and by the NPDES
 regulations (40 CFR Parts 122-125).
 However, under section 510 of CWA a
 discharge exempte.d from the federal
 NPDES requirements may still be
 regulated by a State authority: contact
 your State environmental agency to \   .
 determine whether you need a State
 permit.           •      ,''.-••:
  . A. Discharges from Vessels.
 Discharges of sewage from vessels,
 effluent from properly functioning ;
 marine engines. laundry, shower, and'
, galley sink wastes, and any other
 discharge incidental to the normal
 operation of a vessel do not require
 NPDES permits. However, discharges, of
 rubbish, trash, garbage, or other such
 materials discharged overboard require
 permits, and so. do other discharges
 when the vessel is operating in a
 capacity other than as a means of -   .
 transportation, such as when the vessel
 is being used as an energy or mining
 facility, a storage facility, or a seafood
 processing facility, or is secured to the •
 bed of the ocean, contiguous zone, or -
 waters of the United States for the
 purpose of mineral or oil exploration or
 development;..
   B. Dredged or Fill Material.
 Discharges of dredged or fill material
 into waters of the United States dq not
 need NPDES permits if the dredging or
 filling is authorized by a permit  issued
 by the U.S. Army Corps of Engineers or
 an EPA-approved State under section
 404 of CWA.
  C. Discharges into Publicly Owned
 Treatment Works (POTW}. The
 introduction of sewage, industrial
 wastes, or other pollutants into a POTW
 does hot need an NPDES permit. You
 must comply with all applicable
 pretreatment standards promulgated
 under section 307(bj of CWA, which
 may be included in the permit issued to
 the POTW. If you have a plan or an
 agreement to switch to a POTW in the
 future, this does not relieve you of the"
obligation to apply for and receive an
.NPDES permit until you have stopped .
discharging pollutants into waters of the
United States.
  [Note: Dischargers into privately
owned treatment works do not have to
.apply for or obtain NPDES permits
except as otherwise required by the EPA
Regional Administrator. The owner or
operator of the treatment works itself,
however, must apply for a permit and
identify all users in its application.
Users so identified will receive public
notice of actions taken on the permit for
the treatment works.]
  D, Discharges from Agricultural and
Silvicultural Activities. Most discharges
from agricultural and silvicultural
activities to waters of the United States
do not require NPDES permits. These
include runoff .from orchards, cultivated
crops, pastures, range lands, and forest
lands. However, the discharges listed
  below do require NPDES permits.
  Definitions of the terms' listed below are
  contained in the Glossary section of
 -these instructions.          •
    (1) Discharges from Concentrated
  Animal Feeding Operations..(See.
  Glossary for definitions of "animal
  feeding operations" and "concentrated
  animal feeding operations." Only the
  latter require permits.)
   '(2) Discharges from Concentrated
  Aquatic Animal Production Facilities.
  (See Glossary for size cutoffs.)
    (3) Discharges associated with
  approved Aquaculture Projects.
    (4) Discharges from Silvicultural Point
. -Sources. (See Glossary for the definition
  of "silvicultural point source."! Non-
  point source silvicultural activities are
  excluded fro'm NPDES permit
  requirements. However, some of these
 •activities, such as stream crossings for
.  roads, may involve point source
  discharges of dredged or fill material
  which  may require a section 404 permit.
  See 33 CFR 209.120.
    E. Discharges in Compliance with an
  On-Scone Coordinator's Instructions.
    II. Hazardous Waste Permits under
  the Resource' Conservation and
 Recovery Act. You may be excluded
 from the requirement to obtain a permit
 under this program if you fall .into one of
  the following categories.  ,
    Generators who accumulate their own
 hazardous  waste on-site for less than 90
 days; '      '
    Certain small generators?*
    Owners or operators of totally
 enclosed treatment facilities: or
    Farmers who dispose of waste
 pesticide from their own use.
    Check with your Regional office for
• details. Please note that even if you are.
 excluded from permit requirements, you
 may be'required by Federal regulations
 to handle your waste in a particular
 manner.    • •   •                .
   HI. Underground Injection Control
 Permits under the Safe Drinking Water
 Act. You are not required to obtain a
 permit under this program if you:
   Inject into existing wells used  to
 enhance recovery of oil and gas or to
 store hydrocarbons (note, however, that
 these .underground injections are
 regulated by Federal rules); or
  " Inject into or above a stratum which.
 contains, within V4 mile of  the well bore
 an underground source of drinking
 water (unless your injection isHhe type
 identified in item II-H, for which you do:
 need a permit)! However, you must      -
 notify EPA of your injection and submit
 certain required information on forms
 supplied by the Agency, and your
 operation may be phased out if you are
 a generator of hazardous wastes or a
, hazardous waste management facility

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   33550
Federal Register /  Vol. 45.No. 98 / Monday. May 19. 1980  / Rules and Regulations
   which uses wells or septic tanks to
   dispose of hazardous waste.
     IV. Prevention of Significant
   Deterioration Permits under the Clean
   Air Act. The PSD program applies to
   newly constructed or modified facilities
   tboth of which are referred to as "new
   sources") which increase air emissions.
   The Clean Air Act Amendments of 1977
   exclude small new source* of air
   emissions from the PSD review program.
   Any new source in «n industrial
   category listed in Table 3 of these
   instructions whose potential to emit Is
   less than 100 tons per year is not
   required to get a PSD permit In
   addition, any new source in an
   industrial category not listed In Table 3
   whose potential to emit is less than 250
   Ions per year is exempted from the PSD
   requirements.
    Modified sources which Increase their
   net emissions {the difference between
,   the total emission increases and  total
   emission decreases at  the source) less
   than the significant amount set forth in
   EPA regulations are also exempt from
   PSD requirements. Contact your EPA
   Regional office (Table 1) for further
  information.

  Section D. Glossary
    Note: This Glossary Includes terms
  used In the instructions and in Forms 1,
  2b, Zc. and 3. Additional terms will be
  included in  the future when other forma
  are developed to reflect the
  requirements of other parts of the
  consolidated permit program. If you
  have any questions concerning the
  meaning of any of these terms, please
  contact your EPA Regional office  (Table

   "Aliquot" means a sample of specified
  volume used to make up a total
  composite sample.
   "Animal feeding operation" means a
  lot or facility (other than an aquatic
  animal production facility) where the
  following conditions are met
   1. Animals (other than aquatic
  animals) have been, are. or will be
  stabled or confined and fed or
  maintained for * total of 45 daya or more
 In any 12-month period, and
   2. Crops, vegetation, forage growth, or
 post-harvest residues are not sustained
 In the normal growing season over any
 portion of the lot or facility.
   Two or more animal feeding
 operations under common ownership
 are a single animal feeding operation if
 they adjoin each other or if they use a
 common area or system  for the disposal
 of wastes.
   "Animal unit" means a unit of
measurement for any animal feeding
operation calculated by adding the
following numbers: the number of
                          slaughter and feeder cattle multiplied by
                          1.0. plus the number of mature dairy
                          cattle multiplied by 1.4. plus the number
                          of swine weighing over 25 kilograms
                          (approximately 55 pounds} multiplied by
                          0.4. plus the number; of sheep multiplied
                          by 0.1. plus the number of horses
                          multiplied by 2.0.
                           "Application" means the EPA
                          standard national forms for applying for
                          a permit, including any additions,
                          revisions, or modifications to the forms;
                         or forms approved by EPA for use in
                         approved States, including any
                         approved modifications or revisions. For
                         RCRA. "application" also means
                         "Application. Part B."
                           "Application, Part A" means that part
                         of the consolidated permit application
                         forms which a RCRA permit applicant*  <
                         must complete to qualify for interim
                         status under section 3005(e) of RCRA  •
                         and for consideration for a permit. Part
                         A. consists of Form 1 (General
                         Information) and Form 3 (Hazardous
                         Waste Application Form).
                          "Application, Part B~. means that part
                         of the application which a RCRA permit
                         applicant must complete to be issued a
                         permit (Note: EPA is not developing a
                         specific form for Part B of the permit
                         application, but an instruction booklet
                         explaining what information must be
                         supplied is available from the EPA
                         Regional office.)
                          "Approved program" or "approved
                        State" means a State program which baa
                        been approved or authorized by EPA
                        under 40 CFR-Part 123.
                          "Aquaculture project" means a
                        defined managed water area which uses
                        discharges of pollutants into that
                        designated area for the maintenance or
                        production of harvestable freshwater,
                        estuarine. or marine plants or animals.
                        "Designated area" means the portions of
                        the waters of the United States within
                        which the applicant plans to confine the
                        cultivated species, using a method of
                        plan or operation (including, but not
                        limited to, physical confinement] which,
                        on the basis of reliable scientific
                        evidence, is expected to ensure the
                        specific individual organisms comprising
                        an aquaculture crop will enjoy increased
                        growth attributable to the discharge of
                        pollutants and be harvested within a
                        defined geographic area.
                          "Aquifer" means a geological     ' '  '
                        formation, group of formations, or part
                        of a formation that is capable of yielding
                        a significant amount of water to a well
                        or spring.
                          "Area of review" means the area
                       surrounding an injection well which is
                       described according to the criteria set
                       forth in 40 CFR § 146.08.      »
                         "Area permit" means a UIC permit
                       applicable to all or certain wells within
  a geographic area, rather than to a
  specified well, under 40 CFR § 122.
    "Attainment area" means, for an
  pollutant, an area which has been
  designated under sectio'n 107 of the
  Clean Air Act as having ambient air
  quality levels better than any national
  primary or secondary ambient air  ..
  quality standard for that pollutant.
  Standards have been set for sulfur
  oxides, participate matter, nitrogen
  dioxide, carbon monoxide, ozone, lead
  and hydrocarbons. For purposes of the
  Glossary, "attainment area" also refers
 , to "undassifiable area." which means,
  for any pollutants, an area designated
  under section 107 as undassifiable with
  respect to that pollutant due to
  insufficient information.
   "Best Management Practices"
  ("BMP") means schedules of activities.
  prohibitions of practices,  maintenance
  procedures, and other management '
  practices to prevent or reduce the
  pollution of waters of the United Stales.
  BMPs include treatment requirements.
  operating procedures, and practices to
  control plant site runoff, spillage or
  leaks, sludge or waste disposal, or
  drainage from raw material storage.
   "Biological monitoring test" means
  any test which includes the use of
  aquatic algal, invertebrate, or vertebr
  species to measure acute or chronic
  toxicity, and any biological or chem'i
 . measure* of bioaccumulution.
   "Bypass" means the intentional
  diversion of wastes from any portion of
 a treatment facility.
   "Concentrated animal feeding
 operation" means an animal feeding
 operation which meets the criteria set
 forth in either (1) or (2) or which the
 Director designates as such on a case-
 by-case basis:
   1. More than 'the numbers of animals
 specified in any of (he following
 categories are confined:
   (A) 1,000 slaughter or feeder cattle,
   (B) 700 mature dairy cattle (whether
 milked or dry cows).
   (C) 2.500 swine each weighing over 25
 kilograms (approximately 55 pounds).
  (D) 500 horses.
  (E) 10,000 sheep or lambs,
  (F) 55,000 turkeys,
  (G) 100.000 laying hens or broilers (if
 the facility has a continuous overflow
 watering)
  (H) 30.000 laying hens or broilers (if
 the facility has a liquid manure handling
 system).
  (I) 5,000 ducks, or
  (I) 1,000 animal units: or
  2. More than the fallowing numbers
and types of animals are confined:
  (A) 300 slaughter or feeder cattle,
  (B) 200 mature dairy cattle (wheth
milked or dry coWs),

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Federal Register / Vol. 45. No. 98 / Monday. May 19. 1960  f Rules and Regulations       33551
      (C) 750 swine each weighing over 25
    kilograms (approximately 55 pounds).
      (D) 150 horses.
      (E) 3.000 sheep or lambs.
      (F) 1O500 turkeys.           ,
      (G) 30,000 laying hens or broilers (if
  •  the facility has continuous'overflow
    watering).
      (H) 9.000 laying hens or broilers (if the
    facility has a liquid manure handling
    system).'              •.<••'
      (I) 1,500 ducks, or
      (J) 300 animal units;     .     ,
    and either one of the following  '
  • conditions .are met: pollutants are
    discharged into waters of the United
    States through a manmade ditch.
    flushing system or other similar ...
    manmade device  ("manmade" means
    constructed by man and used for the
    purpose of transporting wastes); or
    pollutants are discharged directly into
    waters of the United States which
    originate outside of and pass over. -
    across, or through the facility or
    otherwise come into direct contact with
    the animals confined in the operation.
     Provided, however, that no animal.
    feeding operation is a concentrated
    animal feeding operation as-defined
    above if such animal feeding operation
    discharges only in the event of a 25 year,
   24 hour storm event
     "Concentrated aquatic animal   .  .
   production fa'cility" means a hatchery,
   fish farm, or other facility which
   contains, grows or holds aquatic    '
   animals in either of the following,
   categories, or which the Director
   designates as such on a case-by-case
   basis:
     1. Cold water fish species or other
   cold water aquatic animals including.
   but not limited to.  the Salmonidae
   family of fish (e.g.. trout and salmon) in
   ponds, raceways or other similar
   structures which discharge at least 30
   days per year but does not include:
     (a) Facilities which produce less than
   9,090 harvest weight kilograms
   (approximately 20.000 pounds) of
   aquatic animals per year; and'   '
     (b) Facilities which feed less than
   2.272 kilograms (approximately 5,000
   pounds) of food during the calendar •
  , month of maximum feeding. •
     2. Warm water fish species or other
   warm water aquatic animals including.
   but not limited to,  the Ameiuridae,
   Cetrarchidae. and Cyprinidae families
   of fish (e.g.. respectively, catfish, sunfish
   and minnows) in ponds, raceways, or
  ' other similar structures which discharge
   at least 30 days per year, but does not
  include:                   '  •   .
     (a) Closed ponds which discharge
  only during periods of excess runoff: or
)    (b) Facilities which produce less than
  45,454 harvest weight kilograms
                          (approximately 100,000 pounds) of.
                          aquatic animals per year.    .    •
                          •  "Contact cooling water" means water
                          used to reduce temperature which
                          comes into contact with a raw material,
                          intermediate product, waste product
                          other than heat, or finished product.
                            "Contiguous zone" means the/entire
                          zone established by the United States
                          under article 24 of the convention of the .
                         • Territorial Sea and the Contiguous Zone.
                            "CWA" means the Clean Water Act
                          (formerly referred to the Federal Water
                          Pollution Control Act) Pub. L 92-500, as
                          amended by Pub. L. 95-217 and Pub. L.
                          95-578.33 U.S.C. 1251 et seq.
                            "Direct discharge" means the
                          discharge of a pollutant as defined
                          below.          . '   '       .
                            "Director" means the EPA Regional
                          Administrator or the State Director as
                          the context requires.
                            "Discharge (of a pollutant)" means:
                            (1) Any addition of any pollutant or
                          combination of pollutants to waters of.
                          the United States from'any point source.
                          or
                            (2) Any addition of any pollutant or
                          combination of pollutants to the waters
                          of the contiguous zone or the ocean from
                          any point source other than a vessel or
                          Other floating craft which is being used
                          as a means of transportation.
                          •  This definition includes discharges
                          into waters of the United States from:
                          surface runoff which is collected or
                          channelled by man: discharges through
                          pipes, sewers, or other conveyances
                          owned by a State, municipality, or other
                          person which do not lead to POTWs;
                          and discharges through pipes, sewers, or
                          other conveyances, leading into"
                          privately owned treatment works. This
                          term does not include an addition of
                          pollutants by any indirect discharger.
                           "Disposal" (in the RCRA program)
                          means the discharge, deposit, injection,
                          dumping, spilling, leaking, or placing of
                          any hazardous waste into or on any
                          land or water so that .the hazardous
                          waste or any constituent of it may enter
                          the environment or be emitted into the
                         air or discharged into any waters,
                         including ground water.
                           "Disposal facility" means a facility or
                         part of a facility at which hazardous
                         waste is intentionally placed into or on
                         land or water, and at which hazardous
                         waste will remain after closure.
                           "Effluent limitation" means any
                         restriction imposed by the Director on
                         quantities, discharge rates, and
                         concentrations of pollutants which are
                         discharged from point sources into
                         waters of the United States, the waters
                         of the contingupus zone, or the ocean.
                          "Effluent limitation guideline" means
                         a regulation published by the
                         Administrator under section 304(b) of
 the Clean Water Act to adopt or revise
 effluent limitations.
   "Environmental Protection Agency"
 ("EPA") means the United States •
 Environmental Protection Agency.
   "Exempted aquifer" means an aquifer
 or its portion that meets the criteria in
 the definition of USDW. but which has
 been exempted according to the
 procedures in 40 CFR § 122.35(b).
   "Existing HWM facility" means a
 Hazardous Waste Management facility
 which was in operation, or for which
 construction had commenced, on or
 before October 21.1976. Construction
 had commenced ,if (1) the owner or
 operator had obtained ail necessary
 Federal. State and local preconstruction
 approvals or permits, and  either (2a) a
 continuous on-site; physical
 construction program had  begun, or (2b)
 the owner or operator had entered into
 contractual obligations, which could not
 be cancelled or modifed without
 substantial loss, for construction of the
 facility to be completed within a
 reasonable.time.             . '
 [Note: This definition reflects the literal
 language of the statute. However. EPA
 believes that amendments to RCRA now
 in conference will shortly be enacted
 and will change the date for determining
 when a facility is an "existing facility"
 to one no earlier than May of 1980;
.indications are the conferees are
 considering October 30,1980.
 Accordingly, EPA encourages every
 owner or operator of a  facility which
 was built or under construction as of the
 promulgation date of the RCRA program
 regulations to file Part A of its permit  •
 application so that it can be quickly
 processed for interim status when the
 change in the law takes effect When
 those amendments are  enacted, EPA
 will amend this definition.]
  "Existing source" or "existing
 discharger" (in the NPDES program)
 means any source which is not a hew
 source or a new discharger.
  "Existing injection well" means an
 injection well other than a  new injection
 welL
 , "Facility" means any HWM facility,
 UIC underground injection well. NPDES
 point source. PSD stationary source, or
 any other facility or activity (including
 land or appurtenances thereto) that is
subject to. regulation under the RCRA.
UIC, NPDES or PSD programs.
  "Fluid" means material or substance
which flows or moves whether in a
semisolid. liquid; sludge, gas. or any
other form or state.
  "Generator" means any person by site
location, whose act or process produces
hazardous waste identified or listed in
40 CFR Part 261.

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    33552
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules  and Regulations
      "Groundwater" means wafer below
    Ihe land surface in a zone of saturation.
      "Hazardous substance" means any of
    the substances designated under 40 CFR
    Part 130 pursuant to .section 311 of '
    CWA. [TVbte.* These substances are
    listed in Table 2c-4 of the instructions to
    FormZaJ
     "Hazardous waste" means a
    hazardous waste as defined in 40 CFR
    S281J.
     "Hazardous waste management
   factory" ("HWM facility") means all
   contiguous land, structure*,
   appurtenances, and improvements on
   the land, used for treating, storing, or
   disposing of hazardous wastes. A
   facility may consist of several treatment,
   storago or disposal operational units (for
   example, one or more landfills, surface
   impoundments, or combinations of
   them).
     "In operation" means a facility which
   Js treating, storing, or disposing of
   hazardous waste.
     "Indirect discharger" means a non-
   domestic discharger introducing
  pollutants to a publicly owned treatment
  works.
    "Infection well" means a well into
  which fluids are being injected.
    "Interim authorization" means
  approval by EPA of a State hazardous
  waste program which has met the
  requirements of section 3006(c) of RCRA
  and applicable requirements of 40 CFR
  Part 123, Subparts A, B, and F.
 '   "Listed State" means a State listed by
  the Administrator under section 1422 of
  SDWA as needing a State UIC program.
    "MGD" means millions of gallons per-
  day.
    "Municipality" means a city, village,
  town, borough, county, parish, district,
  association, or othor public body
'  created by or under State law and
  having Jurisdiction over disposal of
  sewage, industrial wastes, or other
  wastes, or an Indian triba or an
 authorized Indian tribal organization, or
 a designated and approved managment -
 agency under section 208 of CWA.
   "National PollutantDischarge
 Elimination System" ("NPDES") means
 the national program for issuing.
 modifying, revoking and reissuing.
 terminating, monitoring, and enforcing
 permits and imposing and enforcing-
 pretrcatment requirements, under
 sections 307,318,402 and 405 of CWA. .
 The term includes an approved program.
   "New discharger" means any building.
 structure, facility, or installation: (1)
 from which there is or may be a new or
 additional discharge of pollutants at a
 site at which oh October 18,1972. it had
 never discharged pollutants; (2) which
 has never received a finally effective
NPDES permit for discharges at that site;
                          and (3) which is not "new source." This
                          definition includes an indirect'
                          discharger which commences
                          discharging into waters of the United
                          States. It also includes any existing
                          mobile point source, such as an offshore
                          oil drilling rig. seafood processing
                          vessel, or aggregate plant that begins
                          discharging at a location for which it
                          does not have an existing permit
                           "New HWM fatility'/means a
                         Hazardous Waste Management facility
                         which began operation or for which
                         construction commenced after October
                         21,1978.
                         x "New injection well" means a well
                         which begins injection after a UIC
                         program for the State in which the well
                         is located is approved.
                           "New source" (in the NPDES program)
                         means any building, structure, facility,
                         or installation from  which.there is or
                         may be a discharge  of pollutants, the
                         construction of which commenced:
                         -  (i) After promulgation of standards of
                         performance under section 306 of CWA
                         which are applicable to such source, or
                          (ii) After proposal of standards of
                         performance in accordance with section
                         308 of CWA which are applicable to
                         such source, but only if the standards
                         are promulgated in accordance with
                         section 308 within 120 days of their
                        proposal.
                          "Non-contact cooling water" means
                        water used to reduce temperature which
                        does not come into direct contact with
                        any raw material, intermediate product.
                        waste product (other than heat), or
                        finished product
                          "Off-site" means any site which is not
                        "on-site."
                          "On-site" means on the same or
                        geographically contiguous property
                        which may be divided by public or
                        private right(s)-of-way. provided the
                        entrance and exit between the
                        properties is at a cross-roads
                        intersection, and access is by crossing
                        as opposed to going along, the right(s)-
                        of-way. Non-Contiguous properties
                        owned by the same person, but
                        connected by a right-of-way which the
                       person controls and to which the public
                       does not have access, is also considered
                       on-site property.
                         ("Outfall" means a point source.
                         "Permit" means an  authorization,
                       license, or equivalent control document
                       issued by EPA or an approved State to
                       implement the requirements of 40 CFR
                       Parts 122.123. and 124.
                         "Physical construction" (in the RCRA
                       program) means excavation, movement .
                       of earth, erection of forms or structures,
                       or similar activity to prepare a HWM
                       facility to accept hazardous waste.
                         "Point source" means any discernible,
                       confined, and discrete conveyance,  •
   including but not limited to any pi
   ditch, channel, tunnel, conduit. we
   discrete fissure, container, rolling s*^,
   concentrated animal feeding operation,
   vessel or other floating craft from which
   pollutants are or may be discharged.
   This term does not include return flows
   from irrigated agriculture.             ' •
     "Pollutant" means dredged spoil, solid
   waste, incinerator residue, filter
   backwash, sewage, garbage, sewage
   sludge, munitions, chemical waste,
   biological materials, radioactive
   materials (except  those regulated under
   the Atomic Energy Act of 1954, as
   amended (42 U.S.C. § 2011 et seq.)).
   heat wrecked or discarded equipment,
   rocks, sand,  cellar dirt and industrial,
   municipal, and agriculture waste
   discharged into water. It does not mean:
    (1) Sewage from vessels; or
    (2) Water,  gas. or other material which
  is injected into a well to facilitate
  production of oil or gas, or water
  derived in association with oil and gas
  production and disposed of in a well, if
  the well used either to facilitate
  production or for disposal purposes is
  approved by  authority of the State in
  which the well is located, and if the
  State determines that the injection or
  disposal will  not result in the-
  degradation of ground or surface
  resources.                  •
   [Note: Radioactive materials
  by the Atomic Energy Act are those
 "encompassed in its definition of source,
  byproduct or special nuclear materials.
  Examples of materials not covered
  include radium and accelerator
 produced isotopes.  See Train v.
 Colorado Public Interest Research
 Croup. Inc., 428 U.S. 1 (1976).]
   "Prevention of significant
 deterioriation" (PSD) means the national
 permitting program  under 40 CFR 52.21
 to prevent emissions of certain
 pollutants regulated under the Clean Air
 Act from significantly deteriorating air
 quality in attainment areas.
.   "Primary industry category" means
 any industry category listed in the
 NRDC Settlement Agreement (Natural
Resources Defense Council v. Train, 8
ERG 2120 (D.D.C. 1976), modified 12 ERC
1833 (D.D.C, 1979)).
   "Privately owned-treatment works"
means any device Or system which is (1)
used to treat wastes from any facility
whose operator is not the operator of the
treatment works and (2) not a POTW.
   "Process wastewater" means any
water which, during  manufacturing or
processing, comes into direct contact
with or results  from  the production 05
use of any raw material, .intermediafe
product, finished product, by-product?
waste product,
:e wajidik
    w
covet99fr

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                YederaV Register / Vol. 45, No. 98  / Monday.  May 19. 1980 /Rules and Regulations    "  33553
     "Publicly owned treatment works" or
   "POTW means any device or system
   used in the storage, treatment recycling.
  • and reclamation of municipal sewage or
   industrial waste of a liquid nature which
   is owned by a State or municipality.
   This" definition includes any-sewers that
   convey wastewater to a POTW. but
   does not include pipes, sewers, or other
   conveyances not connected to a POTW.
  .   "Rent" means use of another's
   property in return for regular payment
     "RCRA" means the Solid Waste
   Disposal Act as amended by the
   Resource Conservation and Recovery
   Act of 1870 (Pub. L. 94-580. as amended
   by Pub. L. 95-609.42 U.S.C. § 6901 et
                 •
     "Rock crushing arid gravel washing *
   facilities" are facilities which process
   crushed and broken stone, gravel, arid
   riprap (see 40 CFR Part 438. Subpart B.
   and the effluent limitations guidelines
   for these facilities).
     "SDWA" means the Safe Drinking
   Water Act (Pub. L. 95-523, as amended
   by Pub. L. 95-1900, 42 U.S.C. § 300(f) et
  seq.).
     "Secondary industry category" means
   any industry category which is not a
  primary industry category..,'•
     "Sewage from vessels" means human
  body wastes and the wastes from toilets
  and other receptacles intended to
  receive or retain body wastes that are
  discharged from vessels and regulated
  under section 312 of CWA; except that
  with respect to commercial vessels on
  the Great Lakes this term includes       >
  graywater. For the purposes of this
  definition, "graywater" means galley,  '
  bath, and shower water.
    "Sewage sludge" means the solids.
  residues, and precipitate separated from
  or. created in sewage by the unit
  processes of a POTW. "Sewage" as
  used in this definition means any
  wastes, including wastes from humans.
  households, commercial establishments,
  industries, and storm water runoff, that
  are discharged to or otherwise enter a
  publicly owned treatment works.
    "Silvicultural point source" means
  any discernable, confined, and discrete
  conveyance related to rock crushing.
  gravel washing, log sortingi orjog_   '
  storage facilities which are operated in
  connection with silvicultural activities
  and from which pollutants are
  discharged into waters of the United
  States. This term does not ihe^de nori-  •
  point source silvicultural activities such
  as nursery operations, sitA.greparation.
  reforestation and subsequent cultural
  treatment thinning, prescribed burning,
  pest and fire control, harvesting
p operations, surface drainage,  or.road
Isconstruction and maintenance from ',
 "which there is natural runoff. However.
  some of these activities (such as stream
  crossing for roads) may involve po'int -
  source discharges of dredged or fill
  material which may require a CWA
  section 404 permit "Log sorting arid log
  storage facilities" are facilities whose
 .discharges result from the holding of
  unprocessed wood, e.g., logs or
  rouridwood with bark or after removal
  of bark in self-contained bodies of water
  (mill ponds or log ponds) or stored on
  land where water is applied
  intentionally on the logs (wet decking).
  (Sea 40 CFR Part 429. Subpart J. and the
  effluent limitations guidelines for these
  facilities.)
    "81818" means any of the 50 States.
,  the District of Columbia, Guam, the  !
 Commonwealth of Puerto Rico, the
 Virgin Islands, American Samoa, the
 Trust Territory of the Pacific Islands
 (except in the case of RCRA). and the
 Commonwealth of the Northern Mariana
 Islands (except in the case of CWA).
   "Stationary source" (in the PSD
 program) means  any building, structure.
 facility, or installation which emits or
 may emit any air pollutant regulated
 under the Clean Air Act "Building.
 structure, facility, or installation" means
 any grouping of pollutant-emitting
 activities which are located on one or .
 more contiguous  or adjacent properties "
 and which are owned or operated by the
 same person (or by persons under
 common control).
   "Storage" (in the RCRA program)  .
 means the holding of hazardous waste
 for a temporary period at the end of
 which the hazardous waste is treated.
 disposed, or stored elsewhere.
   '^Storm water runoff' means water
 discharged as a result of rain. snow, or*
 other precipitation..   '
   'Toxic pollutant" means any pojlutant
 listed as toxic under section 307(aj(l) of
 CWA              "     .
   'Transporter" (in the RCRA program)
 means a person engaged in the off:site
 transportation of hazardous waste by
 air, rail, highway, or water.
   "Treatment" (in the RCRAprogram)
means any method, technique, of
process, including neutralization,
designed to change the physical.
chemical, or biological character or
composition of any hazardous waste so  '
as to neutralize such waste, or so as to
recover energy or material resources
from the waste, or so as to render1 such
waste non-hazardous, or less hazardous:
safer.to transport, store, or dispose of; or
amenable for recovery, amenable for
storage, or reduced in volume.
  "Underground injection" means 'well
injection,  >
 , "Underground source of drinking
water" or "USD W" means an aquifer or
 . its portion which is not an exempted
  aquifer and:                       '
    (1) Which supplies drinking xvater for
  human consumption, or      ...
    (2) In which the ground water
  contains fewer than 10.000 mg/1 total
 .dissolved solids.
    "Upset" means an exceptional
  incident in which there is unintentional
  and temporary noncompliance with
  technology-based permit effluent    .
  limitations because of factors beyond
  the reasonable control of the permittee.
  An upset does not include
  noncompliance to the extent caused by
  operational error, improperly designed
  treatment facilities, inadequate
  treatment facilities,- lack of preventive
  maintenance, or careless or improper
  operation.
    "Waters of the United States" means:
    1. All waters which are currently
  used, were used in the past, or may be
  susceptible to use In interstate or foreign
  commerce, including all waters'which
  are subject to the ebb and flow of the
  tide:                          •
    2. All interstate waters, including
  interstate wetlands;
    3. All other waters such as intrastate
.  lakes, rivers, streams (including
  Intermittent streams), mudflats.
  sandflats, wetlands, sloughs, prairie •
 potholes, wet meadows, playa lakes,
 and natural ponds, the; use, degradation,
 or destruction of which would or could
 affect interstate or foreign commerce
 Including any such waters:
  . (a) Which are or could be.used by
 interstate or foreign travelers for ,
 recreational or other purposes;
   (b) From which fish or shellfish are or
 could be taken and sold in interstate or
 foreign commerce;  .
   (c) Which are used or could be used
 for industrial.purposes by industries in
 interstate commerce;
   4. All impoundments of waters
 otherwise defined as waters of the
 United States under this definition;
   5. Tributaries of waters  identified in
 paragraphs (l)-{4) above;,
   6. The territorial sea; arid
   7. Wetlands adjacent to waters (other
 than waters that are themselves
 wetlands) identified in paragraphs (1)-
 (6) of this definition.
   Waste treatment systems, .including
 treatment ponds or lagoons designed to
 meet requirement of CWA (other than
 cooling ponds as defined in 40 CFR
 § 423,li(m) which also meet the criteria
 of this definition) are not waters of the
 United States. This exclusion applies
 only.to manmade bodies of water which
 neither were originally created in waters
 of.the United States (such  as a disposal
 area in wetlands) nor resulted from the

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  33554
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
. impoundments of waters of the United
  States.
    "Well injection" or "underground
  injection" means the subsurface
  emplacement of fluids through a bored.
  drilled, or driven well: or through a dug
  well,-where the depth of the dug well is
  greater than the largest surface
  dimension.
   '"Wetlands" means those areas that
  are Inundated or saturated by surface or
  ground water at a frequency and
  duration sufficient to support, and that
  under normal circumstances do support,  •
 a prevalence of vegetation typically
•adapted for life in saturated soil
 conditions. Wetlands generally include
 swamps, marshes, bogs, and similar
 areas.
 attUHO CODE «M(MIt-M

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                    federal Reginter /  Vol. 45. No. 98 /  Monday. May 19.1980  /  Rules and Regulations          33555
 Plena print or type in the unihaded anna only
 (till-in irra in totctd for elitt tvo*. i.*.. 12 clarxten/iaeftl.
  GENERAL
                                                                                                  Form Aoerond OMB Ho. HS-ROI75
                                           GENERAL INFORMATION
                                              Contolid*t*d Pirmia Progfrn   .
                                      IH»»d rne "Cin»r»l Imtruetrant" 6*rbn> rnrtinn.I
  I. CPA I.O. NUMBER
  \   \  \   \  \  \  \
 111. FACILITY N
   • MAILING AOOKCM
  \  \  X V\
 ^\Y\
 VI1.OCATIONk  \ \  >
  ii. POLLUTANT CHARACTERISTICS'
                                             (•LACE LABEL IN THIS SP
                                                                                                 I. EPA-1.0.
                                 •GCNCItAL. INSTRUCTIONS
                        It • preprinted label ha been provided, affix
                        It in tfi« designated |o»c». Review ttie inform-
                        ation carefully: if any of it ii  incorrect, croo
                        through it *nd enter the correct .data  in the
                        appropriate fill-in ana below.  Alto, if any of
                        the preprinted data ta abunt Ittn am ro tfii
                        toft of On ItiMl aaec* Hit*  erw infotmta'oa
                        Mat tfiouia appear/, please provide it in the
                        proper  fill-in  araaM below.   If  the label it
                        complete and correct, you need not complete
                        Itema  I. III. V. and VI tttctet Vl-e  which
                        mutt t» camplttMt  regentf/eeri. Complete ell
                        item* it no label hat been provided. Refer to
                        the  Inttructiona  for 'detailed item  detcrip-
                        ttont and  tor the legal authorization!  under
                        which thii data it collected.  •'
  INSTRUCTIONS: Compltti A throujh J tt dettrmint whether you n*et »tubmit my ptrmit «pplieation. formrto tht EPA. If you antwer "yet" to any
  Queitun,, you mutt tubmit this form tod tht Mppltmtntal form litttd in th« parmrhitii followinf tht quajtion. Mirk "X" In tht box in tht third eblumn
  if tnt wppltmentil form It tttachid. If you tntww rno" tatteh qutttioo. you need not tubmit tny of thta formi. You mty intwer  "no" if your tetivity
  it txcludtd from permit rtquirtmtntt: tee SKtion C of tht inttructiom, SM t(*o. Section 0 of tht initruetion* for difinitiont of-bold-faced termt.
                 pceinc OUXSTIONS
 A. It thtt  facility.I publicly owned «raetm«m
    which 'retultt in  a dtacnarte to watan rl
    (FORM2AI
 It tnu a facility which currently rttuitt in iitcharg
 to watart of the U.S. other than thoee datcrib
 A or B 'above? (FORM 2C)
 E. Doe* or will  thla facility  mat. nore. or dlepbee of
    hMarooue oartaa? (FORM 3)      .
 CTBo
TTB
       you or will you intact at thia tacility any produced
    water or other HUM* which .are brought to the turtac*
    In connection with conventiona4 oil or natural gaa pro-
    duction, inject fluid! uted for enhanced recovery of
    oil or natural gat. or Inject tluidi for storage of'liquid
    hydreeerboni? (FORM 4)
   thu facilny a propped aauonary e»ure» which le
one of the 28 InduetrM catagorlea littad In the In-
nructloni  and which will potentially emit 100 tone
per year of any air pollutant  regulated under the
Clean Ak  Act and may  affect  or let located In an
en.lnm«m-^? (FORMS)      ,-       	

                             •i^^^^^B^BM^H
                                                                     ,  Doee or will thit facility feftfter txittinj at proeatfdl
                                                                       Include • eoomiUeted animal faeding operation  or
                                                                       aquatic animal production facility which  multi in a
                                                                       di«J»ar«a to watam of tha U.S.? (FORM 281
                                                                         , It thia a propotad facility (otftff cfttn tftoie dttcrittKi
                                                                          In A or I too**! which will retult in a diacharge to
                                                                          watare ot tfte U.S.? (FOHU ?DI
                                                                            i you or will
                                                                                    you intact at thit facility Induitrtal or
                                                                               effluent below the lowermott ttretum con-'
                                                                                    one quarter mile of the well bore,
                                                                                     ~ea of drinking weter?   (FORM 41
                                                                                           • it trflt facility fluWi for ipe-
                                                                                                of tulfur by the Fratch
                                                                                                   '•It, In titu combue-
                                                                                                    '•"•thermal energy?
U tht» l4>atitv <
NOT on* of th* 28 induiTi
                                                                                                 vtaiioft«ry aouna* whicn it
                                                                                                 'rial ca'egoriea lined in the
                                                                          Inetructlona and which will Dtu-itially emit 250 ton*
                                                                         .per year of any air pollutant regulated under the Clean
                                                                          Air Act and may affect or be located In an nudimmu
                                                                                                       '                 '
IV. FACILITY CONTACT
                            A. NAMK • TtTLC tlatt. lint, t tllltt
                                                                                                PHONC (area codr A no.t
                                        . I  I  I  I  I   I   I   I   1   1  I  III  I
V. FACILITY MAILING AOOBF&f
                                  i  i  i  i—n—i   i   i   i—r~i—i  i'  i  i
VI. FACILITY LOCATION
                 H^^MM>4

                 A. STHCCT. MOUTK NO. OH OTHER SPCCIPIC lOCNTIFICM
                                          '   I   I   I   I   I  I  I  I  I  I	1   i   |   I
                           •. COUNTY NAME
                       .'  I'  I  I   I   1   I   1   1   I  I.I  II  1
                                                                                                                  CONTINUE ON REVERSE

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    33556        Federal Register /  Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
    CSNTIKUtO EHOM THg
    VIII, OPERATOR INFORMATION
                                                     I  I  '  '  >  '  I  I  I  \   I  I  I   I  i. I  I  |   1  1
                                      fpnpn*tr Irtttr into Hit mniwrr box. If "Other
                                 '  I  I  '  '  I  i  I  I  I  I   I  I  I  I  I  I
                                                                                    U tn« facility located on lnd>jn
                                                                                          YES   •  a NO
       *. Hrott IDachtrtn to Surface k'ttrrl  '
  XII. MATURE OF BUSINESS tpnnd» i tout Onenouonf
 XIII, CEHTIFICATIONI i*n i
                                                                                   :>^^~&-i*d^wtfW'-&J&Sfov&
                                                                           " "Dining th. inform,tion contained in the
 COMMENTS FOB OFFICIAL USE ONLY
EPA Form 3SIO-K&40)    REVERSE
*UJNO COW U40-OT-C

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    ' •'•'.'"-.          .''         "'        •"' ,    '    =                 °'         .       "•'•."'

Federal  Register / Vol. 45. No. 98  / Monday.  May 19.  1980  /  Rules and Regulations       33557
  Instructions.—Form 2b—Application for
  Permit To Discharge Wastewater

  Concentrated Animal Feeding :
  Operations and Aquatic Animal
  Production Facilities

    This form must be completed by all
  applicants who check "yes " to item II-B
  in Form 1. Not all animal feeding
  operations or fish farms are required to
  obtain NPDES permits. Exclusions are
  based on size and occurrence of
  discharge. See the description of these
  statutory and regulatory exclusions the
  General Instructions which accompany
  Form 1. In particular, for animal feeding
  operations, the size cutoffs depend on,,  ,
  whether or not pollutants are discharged
  through a man-made device or by direct
  contact with the facility of animals. A
  facility for laying hens or broilers is not
  required to have a permit unless it has a '
  liquid manure handling system or
  continuous overflow-watering. Also.
  facilities which discharge only in the
  case of a 25 year, 24 hour storm event
  are not required to have a permit
    For aquatic animal production
  facilities, the size cutoffs are based on
  whether the species are warm water or
  cold water, on the production weight per
 year in harvestable pounds, and on the
  amount of feeding in pounds of food (for
 cold water species). Also, facilities
 which discharge less than 30 days per
 year, or only during periods of excess
 runoff .(for warm water fish) are not
 required to have a permit
   Item I-A. See the note above and the •
 General Instructions which accompany
 Form 1 to be sure that your facility is i
 "concentrated."
   Item I-B. If your answer  to item VI of
 Form 1 does not give a complete legal
 description of your facility's location.
 use this space to provide a  complete
 description, such as quarter, section.
 township, and range.
   Item-I-C. Check "proposed" if your
 facility is not now in operation, or not
 now "concentrated" under  the definition
 in the glossary found in the General
 Instructions which accompany Form i.
   Item II. Supply ail information in item
 U if you checked (1) in item I-A,
   Item II-A. Give the maximum nu'mber
 of each type of animal in open  ..   .
 confinement or housed under roof
 (either partially or totally) which are
 held at your facility for a total of 45 days
 or more in any 12 month period.
   Use the following categories for type
 of animals:
   Slaughter Cattle: Feeder'cattle:
 Mature Dairy Cattle (milked or dry);
-Swine (each weighing over  55 pounds);
                          Horses: Sheep: Lambs: Turkeys: Laying
                          Hens:' Broilers:."* Ducks.
                          '  Hem II-B. Give only the area used for
                          the animal confinement or feeding
                          facility. Do not include any area used for
                          growing or operating feed.
                            Item II-C. Check "yes" if any system
                         • for collection of runoff has been
                          constructed. Supply the information
                          tinder (1), (2), and (3) to the best of your
                          knowledge.
                            Item III. Supply all information in item
                          ID if you checked (2) in item I-A.
                            Item III-A. Outfalls should be
                          numbered to correspond with the map
                          submitted in item XI of Form 1. Values
                          given for flow should be representative
                          of your normal operation.*The maximum •
                          daily flow .is the maximum measured
                          flow occurring over a calendar day. The
                          maximum 30-day flow is the average of
                          measured daily flows over the calendar
                          month of highest flow. The long-term  '
                          average flow is the average of measured
                          daily flows over a calendar year.
                            Item IlI-B. Give the total number of
                          discrete ponds or raceways in your
                          facility. Under "other," give a
                          descriptive name of any structure which
                          is not a pond or a raceway but which
                          results in discharge to waters of the
                          United States.
                            Item 1II-C. Use names for the
                          receiving water and source of water
                          which correspond to the map submitted
                          in item XI of Form i.
                            Item III-D. The names for fish species
                          should be proper, common, or scientific
                          names as given in special Publication
                          No. 8 of the American Fisheries Society,
                          "A List of Common and Scientific
                          Names of Fishes from the United States
                          and Canada." The values given for total
                          weight produced by your facility per
                          year and the maximum weight present
                          at any one time should be representative
                          of your normal operation.
                           'Item Ili-E. The value given for
                          maximum monthly pounds of food
                          should be representative of your normal
                         operation.
                           Item /V. The Clean Water Act
                         provides for severe penalties*for
                         submitting false information on this
                         application form.
                           Section 309(c)(2) of the Clean Water
                         Act provides that "Any person who
                         knowingly makes any false statement.
                         representation, or certification in any
                         application..  . . shall upon conviction,
                         be punished by a fine of no more than
                         $10,000 or by imprisonment for not more
                         than six months, or both."
                           Federal'-regulations require the .
                         certification to be signed as follows:
  [I] For corporation, by a principal
executive officer of at least the level of
vice president:   ''-,."'
  (2) For a partnership or sole
proprietorship, by a general partner or '
the. proprietor, respectively; or
  (3) For a municipality. State. Federal,
or other public facility, by either a
principal executive or ranking elected
official.
MUJNC COOt 6MO-01-M '      *  '
                           'A permit is not required unless the facility has a
                         liquid manure handling system or continuous
                         overflow watering.

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                 Federal Register  / Vol. 45. No. 98  / Monday. May 19.1980 / Rules and Regulations
                                           rr» i.o. MUMBCH (eofy from lum loft
                                                    ~.«- *~• numMr of KIM of contributing   I "^
 III. CONCENTRATED AQUATIC ANIMAl PROOUCTION
                                                                       toui numMf ol ponui. f«:iivjy>, »nj wniltr itrucluttt in
                                                                          ol !h«/V^vinfl M4i« «>d me Hxirc* of wanr uud by
                                                                          ». WAftM WATCR SFCCIC9
                                                                                       siit&i^^fra&ijftirfgfru^fffiyXZ
                                                                          .
tSz
/^

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                                             1    •             -     ..        • «

Federal Register / VpL 45.  No. 98 / Monday. May 19. 1980 / Rules and Regulations
                                                                                                               33559
   Instructions.—-Form 2c—Application for,
   Permit To Discharge Wastewater

   .ExistingManufacturing, Commercial,
   Mining, and Silviculture! Operations
     This form must be completed bv all
   applicants who check "yes" to item ll-C
   af'fona'l.  -        •
     Public Availability of Submitted
   Information. Your application will not
   be considered complete unless you
   answer every question on this form and
   on Form 1. If an item does not apply to
   you. enter "NA" (for not applicable) to
   show that you considered the question.
     You may not claim as confidential any
   information required by this form or
   Form 1. whether the information Is
   reported on the forms or in ah
   attachment This Information will be
   made available to the public upon
   request;         ,
    Any information you submit to EPA
   which goes beyond that required by this
  - form and Form 1 you may claim as
   confidential, but claims for information
   which is effluent data will be denied. If
   you do not assert a claim of
   confidentiality at the time of submitting
   the information. EPA may make the
  information public without further
  notice to you. Claims of confidentiality
  will be handled in accordance with
  EPA's business confidentiality
  regulations at 40 CFR Part 2.
    Definitions. All significant terms used
'  jn these instructions and in the form are
  defined in the glossary found in the
  General Instructions which accomnahv
  Form I.                        v  *
   EPAJJ). Number. Fill in your EPA
  Identification Number at the top of each
  page of Form 2c. You may copy this
  number directly from item I pf Form 1.
   Hem /.'You may use the map you
  provided for item XI of Form 1 to
  determine the latitude and longitude of
  each of your outfalls and the name of
  the receiving water.
   Item II-A. The line drawing should
 show generally the route taken by water '
 in your facility from intake to discharge.  ,
 Show all operations contributing
 wastewater, including process and
 production areas, sanitary flows, cooling  •
 water, and stormwater runoff. You may
 group similar operations into a single
 unit, labeled to correspond to the more
 detailed listing in item II-1B. the water
• balance should show average flows.
 Show all significant losses of water to
 products, atmosphere, and discharge.
 You should use actual measurements
 whenever available: otherwise use your
 best estimate. An example of an
 acceptable line drawing appears in
Figure 2c-l to these instructions.
   Heu>II-B. Ust all sources of
u-astewater to each outfall. Operations
                          may be described in general terms (for
                         • example, "dye-making reactor" or
                        ,  "distillation tower"). You may estimate
                          the flow contributed by each source if
                          no data is available, and for stormwater.
                          you may use any reasonable measure of
                          duration, volume, or frequency. For each
                          treatment unit, indicate its size, flow  ;
                          rate, and retention time, and describe
                          the ultimate disposal of any solid or
                          liquid wastes not discharged. Treatment
                          units should be listed in order and you
                          should select the proper code from   '
                         Table 2c-l to fill in column 3-b for each
                         treatment unit Irisert "XX" Into column
                         3-b if no code corresponds to a
                         treatment unit you list           •
                           -If you are applying for a permit for a .
                         privately owned treatment works/you
                         must also identify all of your
                         qontributors in an attached listing.
                         StUJNO CODE (S40-01-U       -          -

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                                        LINE DRAWING
                         BLUE RIVER

                             1 90,000 GPD
              MUNICIPAL
            WATER SUPPLY
     RAW
  MATERIALS
  10.000 GPO
SOLID WASTE
                   > 45,000 GPO
45.000 GPO
                    40.000 GPO
                 BLUE RIVER

1 30.000 GPO           1
        10.000
         GPD
            fc
10.000 GPO
COOLING WATER
                                                                              DRYING
                                                                        10.000 GPD
 4,000 GPO
                                                                   WASTE
                                                                 TREATMENT
                                                                  PLANT * 2
  STORMWATER
  MAX: 20,000 GPO
                                                                        OUTFALL 002
                                                                         50.000 GPO
                70.000 GPD + STORMWATER
                                               OUTFALL 001
                                                                SCHEMATIC OF WATER FLOW
                                                                BROWN MILLS. INC. '
                                                                CITV. COUNTY. STATE
                                         FIGURE 2c-l
                                                     TO ATMOSPHERE
                                                     ~  6.000 GPO
                                                                                       TO PRODUCT
                                                                                         5,000 GPD
  BILUNO CODE tMO-01-C

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               Federal Register /'Vol. 45.  No. 98  / Monday. May  19. 1980 /Rules and Regulations       33561
  Table 2c-l.—Codes for Treatment 'Units

  Physical Treatment Pmcnsst's
  1—A—Ammonia Stripping
  1-B—Dialysis
  1-C—Diatoinaceous Earth Filtration .
  1-D—Distillation
  1-E—Eluctrodialysis    -  '
 ' 1-F—Evaporation   ,.        ,     '
  1-G—Flocculatkm
  1-H—Flotation              •••..'
  1-1—Foam Fractionation
  1-J—Freezing
  J-K-^Cai-Pnase Separation
  1-L—Crinding {Comminnlon).
  1-M—Grit Removal  .   -- .
  1-N—Microstraining              .
 l-O—Mixing                     .
  1-P—Moving Bed Filter*
 1-Q—Multimedia Filtratio*
 1-R—Rapid Sand Filtration   :
 1-S—Reverse Osmosis (Hyperfiltration)
 1-T—Screening          r
 IrU—Sedimentation (Settling)
 1-V—Slow Sand Filtration
 1-W— Solvent Extraction
 1-X—Sorplion ,

 Chemical Treatment Processor
 2-A—Carbon Adsorption
 2-B—Chemical Oxidation
 2-^C—Chemical Precipitation
 2-D—Coagulation
 2-E—Dcchlorination  •'       '  •.
 2-F—Disinfection (Chlorine)
 2-G—Disinfection (Ozone)
 2-H—Disinfection (Other)
 2-1—Electrochemical Treatment
 2-f—Ion Exchange
 2-K—Neutralization      ' ,   '  '• .
 2-L—Reduction     •       -

 Biological Treatment Procesise*
 3-A—Activated Sludge
 3-B—Aerated .Lagoons
 3-Cr-Anaerobic Treatment
 3-D—Nitrification-Denttrificauan
 3-E—Pre-Aeration
 3-F—Spray Irrigation/Land Application
 3-G—-Stabilization Ponds
 3-H—Trickling Filtration  ,
 Other Processes
 +-A—Discharge to Surface Water
 4-B—Ocean Discharge Through Outfall
 4-C—Reuse/Racyle of Treated EOfeent
 4-D—Underground Injection

 Sludge Treatment and Disposal Processes
 S-A—Aerobic Digestion
 S-B—Anaerobic Digestion
 5-C—Belt Filtration   .
 5-D—Centrifugufion
'5-E—Chemical Conditioning
 5-F—-Chlorine Treatment
 5-G—Composting
• 5-H—Drying Beds   '          -:'
 5-1—Elutriation
 5^J—Flotation Thickening     .
5-K—Freezing    '   -,-.-„
 5-L—Gravity Thickening
 5-M—Heat Drying
 5-N—Heat Treatment           •
 5-O—Incinceratioh
5-P—Land Application         '....-
 5-Q—Landfill.
S-R—Pressure Filtration   ; •
  5-S—Pyfblysis      ,   ' .
  5-T—SJadge Laeoons
  5-U—Vacuum Filtration      • •   •'  •
  5-V—Vibration -   •               ,
  5-W—Wet Oxidation
    Item ll-C. A discharge is intermittent
  unless it occurs without interruption  ..'
  during the operating hours of the facility.
  except for infrequent shutdowns for
  maintenance. process7 changes, of other
  similar activities. A discharge is .
  seasonal if it occurs only during certain
  parts of the year. Fill in every applicable
  column in this item far each source of
  intermittent or seasonal discharges.
 ." Base you/answers on actual data
  whenever available; otherwise, provide
  your best estimate. Report the highest
  daily value for flow rate and total
  volume in the "Maximum Daily"
  columns (columns 4-«-2 and 4-b-2).
  Report the average of all daily values *
„ measured during days when discharge
  occurred within the last year in the
  "Long Term Average" columns (columns
  4-a-l«nd4-b-l).
   item Ilf-A. All effluent guideline*
  promulgated by EPA appear in the
  Federal Resistor and are .published
  annually in 40 CFR SubchapterN. A
  guideline applies to you if you have any
  operations contributing process
  wastewater in any suocategory covered
  by a BPT. BCT. or BAT guideline. If yon
  are unsure whether you are covered by
  a promulgated effluent guideline, check
  with your EPA Regional office (Table 1).
  You must check "yes" if ah applicable
  effluent guideline has been promulgated.
  even if the guideline limitations are
  being contested in court. If you believe '
  that a promulgated effluent guideline
 . has been remanded for reconsideration
  by a court and does not apply to yonr
 'operations, you may check "no,"
   Item IU-B. An effluent guideline is
  expressed in terms of production (or
  other measure of operation) if the
  limitations are expressed a* mass of
  pollutant per operational parameter: for
  example, "pounds of BOD per cubic foot
  of logs from which bark is removed." or
  "pounds of TSS per megawatt hour of
  electrical energy consumed by smelting '
  furnace." An example of a guideline not
  expressed in terms of a measure of
 operation is one which limits the
•.concentration of pollutants.
   Item IU-C. This item must be
 completed only if you checked "yes" to
; item I1I-B. The production information   '
 requested here is necessary to  apply
 effluent guidelines ,to your facility and
 you may not claim it as confidential.
 However, you dp not hax'e to indicate
 how the reported information was
 calculated.   •        .
   Report quantities in the units of
 measurement used in the applicable
  effluent guideline. The figures provided
  must be a measure of actual operation
  over a one-month period, such as the
  .production for the highest month during
  the last twelve months, or the monthly
  average production for the highest year
 ' of the last five years, or other
 ' reasonable measure of actual operation.
  but may not be based on design   ,
  capacity or on predictions of future
  increases in operation.
   •ritem IV-A. If you check "yes" to this
  question, complete ail parts of the chart
  or attach a copy of any previous
  submission you have made to EPA
  containing the same information.
    Item IV-B. You are not required to
  submit a description of'future pollution
  control projects if you do not wish to or
  if none is planned.
    Item V-A. B, C.and D. These items
  require you to collect and report data on
 > the pollutants discharged from each of
 yotir outfalls. Each part of this item
 addresses a different set of pollutants
 and must be completed in accordance
 • with the specific instructions for that
 part. The following general instructions
 apply to the entire item.
    General Instructions: Part A requires
 you to report at least one analysis for
 each pollutant listed. Parts B and C
• require you to report analytical data in
 two ways. For some pollutants, you may
 be required to mark "X" in the "Testing
 Required" column (Column 2-a, Part C).
 and test (sample and analyze) and
 report the levels of the pollutants in your
 discharge whether or not you expect
 them to be present in your discharge.
 For all others', you must mark "X" in
 either the "Believe Present" column or  •
 the "Believe Absent" column (columns
 2-a or 2-b. Part B, and columns Z-b or 2-
 c. Part C) based on your best estimate,
 and test for those which you believe to
 be present Part D requires you to list
 any of a group of pollutants which you
 believe to be present with a brief
 explanation of why you believe it to be
 present (See specific instructions on the
 form and below for Parts A through D.j
   Base your determination that a .
 pollutant is present in or absent from -
 your discharge on your knowledge  of
 your raw materials, maintenance
• chemicals, intermediate and final
 products and byproducts, and any
 previous analyses  known to you of your
 effluent or of any similar effluent. (For
 example, if you manufacture pesticides,
 you should expect those pesticides to be
 present in contaminated stormwater
 runoff.) If you would expect a pollutant
 to be present solely as a result of its .
 •presence in your intake water, you must
 mark "Believe Present" but you are not
 required to analyze for that pollutant.

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    335B2       Federal Register  /  Vol. 45.  No. 98 / Monday. May 19. 1980 / Rules  and Regulations
    Instead, mark an "X" in the "Intake"
    column.
      a. Reporting. All levels must be
    reported as concentration and aa total
    mass. You pay report some or all of the
    required data by attaching separate
    sheets of paper instead of filling out
    pngcs V-1 to V-9 if the  separate sheets
    contain all the required information in a
    format which is consistent with pages
    V-1 to V-9 in spacing and in
    identification of pollutants and columns.
    (For example, the data system used in
    your CC/MS analysis may be able to.
    print data in the proper  format) Use the
,    following abbreviations in the columns
   headed "Units" [column 3, Part A. and
   column 4, Parts B and C).
       Concentmtipa'            Maa
   ppro—parti per million    It*—pounds '
   m*/J—mill!w«mjprrlHer  ton—(ont [Engllih tons)
   ppb—p«rt» ptr bUllon     mg—milligrams
   us/I—ralcrnjirami per    g—gram*
    I'lw               kg—kilogram*
             "        T—{oruict (metric loni)
     If you measure only one daily value.
   complete only the "Maximum Daily
   Values" columns'and insert "1" into the
 , "Number of Analyses" columns
 * [columns 2-a and 2-d. Part A, and
   columns 3-a and 3-d; Parts. B and C).
   The permitting authority may require .
   you to conduct additional analyses to
   further characterize your discharges. For
   composite samples, the daily value is
   the total mass or average concentration
   found Jn a composite sample taken over
   the operating hours of the facility during
   a 24-hour period: for grab samples, the
  daily value is the arithmetic'or flow-
.  weighted total mass or average
  concentration found in a  series of at
  least four grab samples taken over the
  operating hours of the facility during a
  24-hour period.
    If you measure'more than one daily
  value for a pollutant, determine the
  average of. all values within the last year
  and report the concentration and mass
  under the "Long-term Average Values"
  columns (column 2-c, Part A. and
  column 3-c. Parts B and C). and the total
  number of daily values under the  .
  "Number of Analyses" columns (column
 2-d. Part A. and column 3-d. Parts B and
  C)..Also. determine the average of all
 daily values taken during each calendar
 month, and report the highest average
 under the "Maximum 30-day Values"
 columns (column 2-c. Part A, and
 column 3-b, Parts B and C).
    a. Samph'ng:The collection.of the
 samples for the reported analyses
. should be supervised by a person
 experienced in performing sampling of
 Industrial wastewater. You may contact'
 your EPA or State permitting authority
 for detailed guidance on sampling
 techniques and for answers to specific •
  questions. Any specific requirements
  contained in the applicable analytical
  methods should be followed for sample
  containers, sample preservation, holding
  times, the collection of duplicate
 -samples, etc. The time when you sample
  should be representative of your normal
  operation, t.o the extent feasible, with all
  processes which contribute wastewater
  in normal operation, and with your
  treatment system operating properly
  with no system upsets. Samples should
  be collected from the center of the flow
  channel, where turbulence is at a
  maximum, at a site specified in your
 . present permit, or at any site adequate
 ' for the collection of a representative
  sample.
    Grab and composite samples are •• - >  •
  defined as follows:
    Crab sample: An individual sample of
  at least 100 milliliters collected at a
  randomly-selected time over a period
  not exceeding 15 minutes.
    Composite sample: A combination of
  at least 8 sample aliquots of at least 100
  milliliters. collected at periodic intervals
 during the operating hours of a  facility
 over a 24 hour period. For volatile"  •
 pollutants, aliquots must be-combined in
 the laboratory immediately before
 analysis. The composite must be flow
 proportional: either the time interval
 between each aliquot of the volume of   ,
 each aliquot must be proportional to
 either the stream flow at the time of
 sampling or the  total stream flow since
 the collection of the previous aliquot.
 Aliquots may be collected manually or
 'automatically.
   c. Analysis: You must use test
 methods promulgated in 40 CFR Part
 138; however, if  none has been
 promulgated for a particular pollutant.
 you may use any suitable method for
 measuring the level of the pollutant in
 your discharge provided that you submit
 a description of the method or a
 reference to a published method. Your
 description should include the sample
 holding times, preservation techniques,
 and the quality control measures which
 you used. If you have two or more
 substantially identical outfalls, you may
 request permission from your permitting
 authority to sample and analyze only
 one outfall and submit the results of the
 analysis for other substantially identical
 outfalls. If your request is granted by the
 permitting authority,  on a separate sheet
 attached to the application form identify
 which outfall you did test, and describe
 why the outfalls which you djd not test
 are substantially identical to the outfall
 which you did test.
  d. Reporting of Intake Data: You are
not required to report data under the
"Intake" columns unless you wish to
demonstrate your eligibility for a "net"
  effluent limitation for one or more.
  pollutants, that is. an effluent limjf
  adjusted by subtracting the aver$L,
  level of the pollutant(s) present in yi_.
  intake water. NPDES regulations allow
  net limitations only in certain
  circumstances. To demonstrate your
  eligibility, under the "Intake" columns
  report the average of the results of
  analyses on your intake water [if your
  water is treated before use. test the
  water after it is treated),  and attach a
  separate sheet containing the following
  for each pollutant:
    1. A statement that the intake water is
  drawn from the body of water into
  which the discharge is made.
  (Otherwise, you are not eligible for net
  limitations.)
    2. A statement of the extent to which
  the level of the pollutant is reduced by
  treatment of your wastewater. (Your
  limitations will be adjusted only to the
  exten) that the pollutant is not
  removed.}
    3. When applicable (for example.
  when the pollutant represents a class of
  compounds), a demonstration of the
  extent to which the  pollutants in the
  intake vary physically, chemically, or
  biologically from the pollutants
 •contained in your discharge. (Your
.  limitations will be adjusted only to
  extent that the intake pollutants dq
 vary from the discharged pollutar
   Part V-A. Part V-A must be   >.
 completed by all applicants for  all*
 outfalls, including outfalls containing
 only noncontact cooling water or storm
 runoff. However, at your request, the
 permitting authority may waive the
 requirements to test for one or more of
 these pollutants, upon a determination
 that testing for the ppllutant(s) is not
 appropriate for your effluents.
   Use composite samples  for all
 pollutants in this Part, except use grab
 samples for pH and temperature. See
 discussion in General Instructions to
 item V for definitions of the columns in
 Part A. The "Long Term Average
 Values" column (column 2-c) and
 "Maximum 30-day Values" column  '
 (column 2-b) are not compulsory but
 should be filled out if data is available.
  Part V-B. Part V-B must be completed
 by all applicants for all outfalls,
 including outfalls containing only
 noncontact cooling water or storm
 runoff.
  Use composite-samples for all
 pollutants you analyze for  in this Part,
 except use grab samples for residual
 chlorine, oil and grease, and fecal
coliform. The "Long-term Average
Values" column (column 3-c) and
"Maximum 30-day Values1' column]
(column 3-b) are not compulsory bo-
should be. filled out if data is availab!

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               Federal Register /  Vol. 45. No. 98 /Monday. May 19. 1980  / Rules  and Regulations        33563
   Part V-C. Table 2c-2 lists the 34
  "primary" industry categories in the left-
  hand column. For each outfall, if any of
  your processes which contribute
  wastewater fails into one of those
  categories, you must mark "X" in
 '"Testing Required" column (column 2-a),
  and test for (1) all of the.toxic metals.
  cyanide, and total phenols, and (2) the
  organic toxic pollutants contained in the
  gas chromotography/mass spectrometry
  (GC/MSJ fractions indicated in Table
  2c-2 as applicable to your category.
 unless you qualify as a small business
  (see below). The organic toxic pollutants
  are listed by GS/MS fractions on pages
  V-4 to V-9 in Part V-C. For example,
  the Organic Chemkmls Industry baa an
  asterisk in all four fractions; therefore,
  applicants in this category must test for '
  all organic toxic pollutants in Part V-C.
 Jf you are applying for a permit for a
 privately owned treatment works,
 determine your testing requirements on  '
 the basis of the industry .categories of
 ,yqur contributors. When you determine
 which industry category you are in to
 find your testing requirements, you are
 not determining your' category for any
 other purpose and you are not-giving up •
 your right tp_challenge your inclusion in .
 that categr y'(for example, for deciding
 whether an effluent guideline is
 applicable) before your permit is issued.
  • For all other cases (secondary
 industries, non-process wastewater
 outfalls, and non-required CC/MS
 fractions)! you must mark "X" In either
 the "Believed Present" column (column
 2-b) or the "Believed Absent" column
 (column 2-c) for each pollutant, and test
 for those you believe present, (those    •
 marked "X",in column 2-b). If you
 qualify as a small business (see below)
 you are exempt from testing for the
. organic toxic pollutants, listed on pages
 V-4 tp V-9 in Part C. For pollutants in
' intake -
. n
n
n
o
n
n
~nT
n
n
"ri —
(*)
n
n —
C)
n -
n —
._4
C)
"n.

      industry category
                         GC/MS fraction i
                     VoiaM* Acid Bu«/ Pest*
                        .    '  neutral. cxtt
Efectnc and «t«ctror.*c
  compounds..
 ifecsbcistiog...
Eipkmves manufacturing
Foundries .™_.^_-_	
Gum and mood cnemeal*—.
Inorganc cnamcala  '

torn and steal manufactumo.-
Leather tamng and f;nurf^ig.'-
Mecfiertcal proOucts
  manulacwing..
Nonfenous cnetats
    C)
    {•}

-   O
                            n
                            <•)
                            n
                            n
•o
 n.
 n.
 n.
                                      n
                            n    o
    p   P
    p   p
    r>   n
n.
o
                       n    o   p.
 Organic ctiemicais
   manufacturing....—
 Part and rk lormuuilon..
Photogrtpnc eovcmeni and

PtasK and flmn*tie maiarula

Pla«ie procaung	,; . ..,
Porc«la« enarrwtng ...	
Pming and pi.t*»f»ng	•
Pulp and paperooard mAs,
    rp>ocete>ig
                      n.
                      n
                       n
         n
         n
         n
         n
         n
n
n
o
o
o
o.
                            D   n
                            o   o
                                      ri
                                      n
 Soap and Detergent
                 —    n
        —   n
         o.   n
         o   n
         n   n.
                                      o
                                      o
                                      o
Steam electric peeer plants—
Timftaf products pr.ocoutf^.«
n
n n ~
n • «•>
n n
n
C)
  1 Th» poUiXanta in aacti fraction art kind in rum V-C.
   You are required to mark "Testing  -
 Required" for dioxin if you use or
. manufacture one of the following
 compounds: (a) 2.4.5-trichlorophenoxy
 acetic acid. (2,4.5-T); (b) 2-(2.4i5-
 trichlorophenoxy) propanoic acid,
 (Silvex. 2.4.5-TP); (c) 2-{2,4.5-
 trichlorophenoxy) ethyl 2,2-
 dichloropropionate, (Erbon); (d) O,O-
 dimethyl Oi(2.4.5-trichlorophenyl)
.phosphprothioate. (Ronnel); (e) 2.4,5-
 trichlorophenol, (TCP); or (f)
shexachlorophene. (HCP). If you mark
 "Testing Required" or "Believe Present."
 you must perform a screening analysis
 for dioxins, using gas chromotography
 with an electron capture detector. A
 TCDD standard for quantitation is hot
 required. Describe .the results of this
 analysis in the space provided: for
 example, "no measurable baseline
 deflection at the retention time of
 TCDD" or "a measurable peak within
 the tolerances of the retention time of
 TCDD." The permitting authority may
 require you to perform a quantitative  .
 analysis if you report a positive result.
   The Effluent Guidelines Division of
 EPA has collected and analyzed
 samples from some plants for the
 pollutants listed in Part C in the course
 of its BAT guidelines development
 program. If your effluents were sampled
  and analyzed as part of this program in
  the last three years, you'may use this
  data to answer Part C provided that the
  permitting authority approves; and
  provided that no process change or
  change in raw materials or operating
  practice.3 has occurred since the samples
 _ were taken that would make the
  analyses unrepresentative of your
  current discharge.
    Small Business Exemption.. If you
  qualify as a "small business," you are
  exempt from the reporting requirements
  for the organic toxic pollutants, listed on
  pages V-4 to V-9 in Part C. If your
  facility is a coal mine, and if your
  probable total  annual production is less
  than 100,000 tons per year, you may
  submit past production data or
  estimated future production (such as a
  schedule of estimated  total production
  under 30 CFR $ 795.14(c)) instead of
  conducting analyses for the organic
  toxic pollutarits.'lf your facility is not a
  coal mine, and if your gross total annual
  sales for the most recent three years •
  average less than S100.000 per year (in-
  second quarter 1980 dollars), you may
  submit sales data for those years
  instead of conducting analyses for the
  organic toxic pollutants.
    The production or sales data must be .
  for the facility which is the source of the
  discharge. The data should not be
  limited to production or sales for the
  process or processes which contribute to
  the discharge, unless those are the only
  processes at your facility. For sales
  data, in situations involving intra-
  corporate transfers of goods and
  services, the transfer price per unit
  should approximate market prices for
  those goods and services us closely as
  possible. Sales figures  for years after
  1980 should be  indexed to the second
  quarter of 1980 by using the gross'
 .national product price  deflator (second
 quarter of 1980=100). This index is
 available in National Income and
., Product Accounts of the United States
 (Department of Commerce, Bureau of
 Economic Analysis);
 .  Part V-D, List any pollutants in Table
 2c-3 that you believe to be present and
 explain why you believe them to be
 present. No analysis is required, but if '
 you have analytical data, you, must
 'report it.                  ,   .
   •Note: Under 40 CFR 117.12(a)(2),
 certain discharges of hazardous
 substances (listed in Table 2c-4 of these
 instructions) may be exempted from the
 requirements of section 311 ofCWA,
 which establishes reporting   ''..'.
 requirements, civil penalties, and
 liability for clean-up costs for spills of
 oil and hazardous substances. A
 discharge of a particular substance may
 be exempted if the origin, source and

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   33564       Federal Register / Vol. 45. No. 98 / Monday. May 19.  198O / Rules and Regulations
   •mount of the discharged substance are
   identified in the NPDES permit ,
   application or in the permit, if the permit
   contains a requirement for treatment of
   the discharge, and if the treatment is in
   place. To apply for an exclusion of the
   discharge of any hazardous substance
   from the requirements of section 311.
   attach additional sheets of paper to your
   form, setting forth the following:
   information:
    3. The •ubstancs and the amount of
   each substance which, may be
   discharged.  •
    2. The origin, and source of the
   discharge of the substance.
    3. Tho-treatment which is to be  •
  provided for the discharge byi
    a. An on-site treatment system
  separate from any treatment system
  treating your normal discharge;
    b. A treatment system designed to
  treat your normal discharge and which
  Is additionally capable of treating the
  amount of the substance identified
  under paragraph 1 above; or
    c. Any combination of the above.
    See 40 CFR | llZ12(aJl2J and (cj.
  published on-August 23.1373. in 44 FR
  50768, or contact your Regional office
  (Table 1). for futher information on
  exclusions from section 311.
  Tkbl* 2c-X—T
  2,4.5-TP |2-(2.4.S:Trich!orophenoxy)
   propanoic acid]
  TricMorofon
  Triethylamine
  Trimethyramtne
  Uranium
  Vanatnisin
  Vinyl acet»t«
  Xylene
  Xylenol
  Zirconium

   Item Vf-A. You may not claim this
  information as confidential: however,
  you do not have to distinguish between
  use or production of the pollutants or list
  the amounts. Under NPDES regulations
  your permit will contain limits to control
  all pollutants yon report in- answer to
  this question. a» weU as all pollutants
  reported In Hem V or VI-B at levels
  exceeding the technology-based limits
  appropriate to your facility. Your permit
  will also- require you to report to EPA if
  you fa the future begin or expect that
 you win begin to use or manufacture as
  an intermediate or final product or
 byproduct any toxic pollutant which you
 did not report here, and your permit may
 be modified  at that time if necessary to
 control that pollutant
   Item VI-B. For this item, consider only
 those  variations which may result in
 concentrations of pollutants in effluents
 which may exceed two  times the
 maximum values you reported in item V.
 These variations may be part of your
   routine operations, or part of your
   regular cleaning cycles:    -
     Under NPDES regulations your j
   will contain limits to control any
  , pollutant you report in answer to this
   question at levels exceeding the
   technology-based limits appropriate to
  .your facility. Your permit will  also
   require you to report to EPA if you know
   or have reason to believe that any
   activity has occurred or wjll occur
   which would make your discharge of
   any toxic pollutant five times the
   maximum values reported in item V-C or
   hi this item, and your permit may be
   modified'at that time if necessary to  •
   control the pollutant.  •
     Do not consider variations which are
   the result of bypasses or upsets.
   Increased levels of pollutants which are
   discharged as a result of.bypasses or
   upsets are regulated  separately under  '
   NPDES regulations.
     Item  VI-C.  Examples of the types of
'   variations to be described here include:
     Changes in raw or intermediate •
  materials;           .    '
     Changes in process equipment  or
  materials;
     Changes m product lines;
     Significant chemical reactions
  between pollutants in waste streams:
  and     .'•;•'             f •
     Significant variation in removal
  efficiencies of pollution control
  equipment.                        .  „
     You may Indicate other types of
  variations as  well, except those which
  are the result of bypasses or upsets. The
  permitting authority may require you to
  further investigate or document
  variations you report  here.
    Base you prediction of expected levels
  of these pollutants upon your knowledge
  of your processes, raw materials,  past
  and projected product ranges, etc.. or
  upon any testing conducted upon  your
  effluents which, indicates the range of
  variability that can be expected in your
  effluent over the next five years.
    Example: Outfall 001 discharges water
  used to clean six 500-gallon tanks. These
  tanks are used for formulation of
  dispersions of synthetic resins in water
  (adhesives). Use of toxic pollutants
  which can be expected in the next 5
  years is:                •
   1. Copper acetate inhibitor. Vfe Ib. per
  tank
   2. Dibutyl phthalate, 50 Ibs. per tank
   3. Toulene, S Ibs. per tank         .
   4. Antimony oxide, 1 Ib. per tank.
   Based on normal cleaning, an average
  of 1%  and a maximum of 3% of the
  contents  of each tank is collected an<;
  discharged once every two weeks  ii
 150 gallons of water used for clean!...
 Treatment (pH adjustment, flocculatic
m

-------
Federal Register  / Vol.  45. No.  98 /Monday.  May  19. 1980 /Rules  and Regulations       33563
       filtration) removes 8575 of mstals and
       30?S of organic compounds.
         Item V1L Self explanatory. The
       permitting authority may ask you. to  '
       provide additional details after your
       application is received.  .
         Item VIII. Self explanatory.
         Item IX. The Clean Water Act
       provides for severe penalties for  L
       submitting false information on this
       application form.
         Section 309(c)(2) of the Clean Water
       Act provides that "Any person who
       knowingly makes any false statement,
       representation, or certification in any
       application. . . . shall upon conviction.
       be punished by a fine of no more than
       $10,000 or by imprisonment for not more
       than six months, or both."

       Federal Regulations Require the
       Certification  To Be Signed as Follows:
        (1) For a corporation, by a principal
      executive officer of at least the level of
      vice president:
        (2) For a partnership or sole
     • proprietorship, by a general partner or
      the proprietor, respectively; or
        (3) For a municipality. State. Federal.
      or other public facility, by either a
      principal executive officer or ranking
      elected official                  •  '   . "
      Table 2c-l.—Hazardous Substances
      1.  Acetaldehyde   '
f)-    2.  Acetic acid   .   _
      3.  Acetic anhydride*
     4.  Acetone cyanohydrin
      5.  Acetyl bromide
     6.  Acetyl chloride        ..
   ,  7.  Acroiein
     8.  Acrylonitrile           •
  •   9.  Adipic acid
     10. Aldriii
     11. Allyl alcohol
   '  12. .Allyl chloride
     13. Aluminum suifate
     14. Ammonia
     15. Ammonium acetate  -'•''•
     16. Ammonium benzoate
     17. Ammonium bicarbonate
     18. Ammonium bichromate
     19. Ammonium bifluoride              >
     20. Ammonium bisulfite
     21. Ammonium carbamate
     22;  Ammonium carbonate
     23.  Ammonium chloride
     24. .Ammoniumchromate
     25.  Ammonium citrate
     26.  Ammonium fluoroborate  .
     27.  Ammonium fluoride
     28. - Ammonium hydroxide
     29.  Ammonium oxalate     '
     30.  Ammonium silicofluoride
     31.  Ammonium sulfamate  ., ,
     32.  Ammonium sulfide
     33.  Ammonium sulfite
     34.  Ammonium tartrate;
     35.  Ammonium  thiocyanate
     36.  Ammonium  thiosulfate
    37.  Amyl acetate   '
     38. Aniline       '.-...      . .
   .39.- Antimony pentachloride  •
                             40.  Antimony potassium tartrate '.'
                             41.  Antimony tribromide.
                             42.  Antimony trichloride  -
                             43.  Antimony tnfluoride
                             44.  Antimony trioxide
                             45.  Arsenic disulfide
                             46.  Arsenic pentpxide
                             47. . Arsenic trichloride
                          .   48.  Arsenic trioxide                .   ..
                             49.  Arsenic trisulfide
                             50.  Barium cyanide
                             51.  Benzene  . ,
                             52.  Benzoicacid
                            S3.  Benzonitrile :
                            54.  Benzoyi chloride
                            55.  Benzyl chloride
                            56. Beryllium chloride                  '
                            57. Beryllium fluoride         •
                            58. Beryllium nitrate             .
                          ,59. Butylacetate .••   ,-.'•'       •     "
                            60. n-Bulylphthalate   ."•.'.       .
                          ." 01. Butylamine
                            62, Butyric acid
                            63.  Cadmium acetate                .
                          .64.  Cadmium bromide  '  •
                            65.  Cadmium chloride
                            66.  Calcium arsenate
                            67.  Calcium araenite
                            68.  Calcium carbide      '   '
                            69.  Calcium chromate
                            70.  Calcium, cyanide
                            71., Calcium do'decylbenzenesulfonale
                            72,  Calcium hypochlorite
                            73.  Captan
                            74.  Carbaryl
                            75.  Carbofuran      •         '..-.'
                            76,  Carbon disulfiile
                           77.  Carbon tetra<:hlori
-------
    33S6B       Federal Register / Vol. 4g. No. 98 / Monday. May 19; 1980  /  Rules and  Regulations
    188.  Monoethylamine
    189.  Monomclhvlamine
    190.  N'rflud
    191.  Naplh;tlcne
    192.  Napthcnicadd
    393.  Nickel ammonium sulfale
    134.  Nickel chloride
    195.  Nickel hydroxide
    ISO,  Nickel nitrate
    187.  Nickel sulfate
    ISO.  Nitric acid
    109.  Nitrobenzene
    200.  Nitrogen dioxide-
    201.  Nltrophenol
   202.  Nitrotolueno       »
   203.  Paraformaldehyde-
   204.  Parathion
   205.  Pcntachlorophenol
   206.  Phenol
   207.  Phosgena
   206.  Phosphoric acW          ,
   200.  Pho*phoru»
   21 a Phosphorus oxychluride
   211. Phosphorus pentasulfida
   212. Phosphorus trichloride
   213.  Polychloriny led blphcnyl* (PCS)
   214.  Potassium unenattt
   215.  Potassium nrscnile
   210.  Potassium bichromtiU
   217.  Potassium cbronuile
   216,  Potassium cyanide
   210.  Polasiium hydroxide
   22a  Potassium permangimiUa
   221.  Prop»rgile
   222.  Proplonic acid
   223;  Proplonic anhydride
   224.  Propytcne oxide
   225,  Pyrelhrini
   220.  Quinoline
   227.  Resorcinol
   22A.  Selenium oxide
   229.  Silver nllrata
  220,  Sodium
*  231.  Sodium arsenale
  232.  Sodium anenile
  233.. Sodium blchromuU
  234.  Sodium bifluoride
  235.  Sodium biiulille
  230.  Sodium chroma te
  237.  Sodium cyanide
  236.  Sodium dodecylbenzenesulfonalt
  239. Sodium fluoride
  240. Sodium hydrosulfide
  24L Sodium hydroxide
  242. Sodium hypochlorite
  243.  Sodium melnylate
  244.  Sodium nitrite
  245.  Sodium phoaphate (dfEiancJ
  248.  Sodium phoiphate (tribasic)
  247.  Sodium selenite
  244.  Strontium chromate
  248.  Strychnine  .
  250.  Styrene
  231.  Sulfuricadd
  252.  Sulfur monochloride
  253.  2.4^-T add (2.4.5-
    Trichlorophenoxyacrtic acid)
  254.  2,4.5-T amine* (2.4.5-Trichiorophenoxy
    acetic add amines)
 355.  2,4.5-T e»ler»(2..J.5-Trichlorophenoxy
    acetic add eaten)
 258.  2.4,5-T salts {2.4.5-Trichtorophenoxy
    acetic add salts)
 257.  Z43-TPadd(2.*5-Trichtorophenoxy
    propanoic acid)
 258.  Z4^-TP add esters (2.4.5-
   Trichlorophenoxy propanoic acid esters)
 259.  TDK (Tetrachlorodiphenyl ethane!
 260.  TetraetKyl lead
 261.  Tetraethyl pyrophosphate
 262.  Thallium sulfate ,
 263.  Toluene
 264.  Toxaphene
 265.  Trichlorofon
 266.  Trichloroethylene          •  '   •
 267.  Trichlorophenol
 263.  Triethanolamine
   dodecylbcnzencsulfonate
 289.  Triethylamine
 27a  Trimethylamine
 271.  Uranyt acetate
.272.  Uranyt nitrate           '.  "
 273.  Vanadium pentoxide
 274.  Vanadyl sulfate
 275.  Vinyl acetate
 278. Vinylidene chloride
 277. Xylene
 278.  Xylenol
 279.  Zinc acetate  •
 280.  Zinc ammonium chloride
 281.  Zinc borute
 282.  Zinc bromide
 283.  Zinc carbonate
 284.  Zinc chloride  ,             '   '
 285. ' Zinc cyanide
 288.  Zinc fluoride
287.  Zinc formate
288.  Zinc hydrosulfonale
289.  Zinc nitrate
290.  Zinc phenolsuITonate
291.  Zinc phosphide
292.  Zinc silicofluoride
293.  Zinc sulfale
294.  Zirconium nilrnte
295.  Zirconium potassium flouride
296.  Zirconium sulfute
297.  Zirconium tetrachloride
MLUNQ COOC SMO-01-M
li

-------
Federal Register / VoL 45. No. 98 / Monday. May 19, i960 / Rules and Regulations
33SR7
• . . ' fc7^ror>NUM*«itfccp9 from ItrnmToiTofv^T^ • .. • • '
Pfero orint w tvt» Tn tftn unv--»tf»d »r«a« o«iv |* -'''<- j Form Apprvvvd OMB No. 158-80773
FORM
2G
NTOES
f\ T"f3A . APPLICATION FOH .PERMIT TO DISCHARGE WASTEWATER ,
SVCTVA EXISTING MANUFACTURING. COMMERCIAL; MINING AND SILVICULTURAL OPERATIONS
Cofitoftdttffd Pvffnits Progrwn
1, OUTFALL LOCATION^
f tn^tifliB^^HBiMBBffia. jjjJii'miF^j JiajutJiig*iaejaK6aaihMRiaaMaik»»iaaaB5Ba^a»!
For «•<*> ouifcll. Iwt th« iMituo* «nd lonj'tua* o< •« location to ttwnwmt 15 Meonoi and th« n*ni« ofth* netting Mtcr. • ' •






, . -
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IL FLOW, SOURCES OF POLLUTION. AND TREATMENT TECHNOLOGIES ?BB8HniB!!fl31^^nSSB&&BRBE9!BB9HRi8mQ
A. Attach • lin» dnwing the
•nd trwtnwnt units l*b*»
flow* tatmin Inokv. op
p>ctOfM dncriptiofl of ttit
Mnnf ,tt>« wrar How tftrough ttw taetttty. Indicvt* KM
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PAGE 1 OF 4 ' ' CONTINUE 6N ftev^ftSfi '

-------
  33568
                        Z. OPERATION/!,/  .
                     CONTRIBUTING FLOW
                              (tail

                                        \*"  ***&
leiNTiriCATIOM O^ CONDITION
                                                                • a. mmtmr OMCKIPTIOH or PKOJECT
                                                   'ION OP ADDITIONAL. CONTROL. V*

                                                    PACE 2 OF 4  .
       >at pro/tea which m»y affect
       . and indican your actual or
a ATTACHED	•           I

           CONTINUE ON PAGE 3

-------
                Federal Register / VoL 45. No. 98  / Monday. May 19.1980  / Rules and Regulations           33S6g -
CONT1NUEO f BOM PAGE 2
                                                                                        Form Aoommi OMB No. 158-80173
 V. INTAKE AND EFFLUENT CHARACTERISTICS
                                      ~ ^°T.!!I! '"*• «" of«"".f«" •"* ~rt»« - *""««• *• outfall numtMf in th«
                                         nduoad on Mparata tftMti numtarad V-1 throuc* V-a
               ar.    rf.r^^fr"*" "*,"  fJ?     °* ** in"~«ion». -*"* vou know or hav, ,.«on to teli«v, i< diwhHrgid or may be
             from any. outta.l. For tv«ry pollutant you l,n. bnafly onaiba tha nmora you baliava'it to b* prnant and r.pbn any analylieaidata inVour
                                                             ««»;•« you<*o or axaact tnat you wll ovar tna naxt 6 yaan uw or manulactu
                                 l *U wen poU,<»(. Wfa.
                               "-Z^JSZZZZEftStS? '~0~'>ly **»«•« «•**.- «« V- d*^* pouutan,. may during
                                                                                                                   -
                                                      PACE 3 OF 4
                                                                                                      CONTINUE ON REVERSE
       •-f,-

-------
 VIIICONTBACT ANALYSS INFORMATION
   W*» my erf U>« wuiyM* rtpomd In Iwm V pwlornwd by • contnct!»«»;
«n familiar with tht information tubmintd in tfii* application and all

   tignifieam pfnattia* for submitting falst information, including tht
fomw/oa it tn». *
P<&Wityoffin**o
-------
- > • - «'* l.o. NUMBER (copy from Him 1 ot form II
PLEASE PHINT OH TYPE IN THE UNSHADED AREAS ONLY. You ™yr.port wen* or •« of - . . . '""""""
thil Infomullon on Motnte kheeU tun tin imt format/ IratMd ol competing thtte MOM.
SEE INSTRUCTIONS. • • ' _ • . .
-
• • "'•••"'•.'





. . • _; . - -

V. INTAKE AND EFFLUENT CHARACTMItTICS fconrftnm* from p*. J ol fom ^^^j^jj^-^^^^^^^^^^^^B
___Jfg»m ApnromlOMB A/g 158 HOI f3
Jf3BjKHIBTfly>)li«'j| "rTrri ' "n
PART A • You must provide the results of at least one analysis for every pollutant in th.s table. Complete one tibia lor each "outfall.' See kxtructioot lor additional demit 	 ~
1. POL.LUTA
Oxygon Dvnar*
IKODI
NT

d"
O»VD*I> Owntnd
(COD)
Carbon (TOO
Solkli fnsi
*. Arnmbnl* la Nl
(.Flow
winter;
h. T*mp*r>tur«
utmmtrl
1.PH




1*1





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PART B • Mark "X" In column
detailt and requlremer
I. POLLUT-
ANT AND
CAS NO.
. Bromld.
24969-6781
. Chloflnl.
Totil Rmdutl
. Color '
Colilorm
16984-4881
Nltnt*-
NltrlU (at N)
I. MARK '*•
blk V
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MAXIMUM
2-* for each pollutant you know m r

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PACEV-I CONTINUE ON REVERSE
• | . ,-''•;''",'. ^ ••'...•' • . _ ' , , • » - '
• • ' .•'-'.•-•• '-.-.-'.'' : -''"'" . -,'- ' ""•.,,' ''''••'*'.? : -' ' ,
Federal Register / Voi- 4S, No. 98 / Monday. May 19, 198O / Rules and Kegu/ations 33571 -

-------
                          ^"                   i                          i
33572        Federal Register /. Vol. 45. No. 98 / Monday. May 19.1980 / Rulea and Regulati


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-------
CONTINUED FROM PAOE 3 OF FORM 2-C
PARTC-lfyo
for. 1
colur
! to be
suits
See ir
{.POLLUTANT
AND CAS '
NUMBER
(It *vtitablt)
METALS. CYANIC
IM. Antimony,
Toul (7440.38-0)
(7440-38-2)
3M. Beryllium.
Toul, 7440-41-7)
4M. Cadmium.
Tout (7440-43 D)
bM. Chromium.
Toul (7440-47-3)
6M. Coppw. Toul
(76SO-60-8I
7M. Lwd. TOUl
(7438971,1
8M. Mftrcury, Toll)
(743887*1
9M. Nkk.l. Toul
(7440-02-0)
1OM. S*l«nlum.
Toul (7782-49-2)
11M. Silver, Tout
(7440 22-4)
ISM. Thulium
Tol«l (7440 28 01
I3M. Zinc. Toul
(744066-6)
I4M. Cy«nld«.
lol.l (57-12-5)
ISM. PhlnolL,
Toul
DIOXIN
2.3.7.8T«r.-
chlolodiuim/o-P-
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t «. MAXIMUM









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*r>A l.o. NUMBCH (copr tnm Htm I of farm It OUTFALL NuuB(V~l
• •• .- • :.' • : f ' " ' -'- ^ :''.
^rr'/i^>If^Pf0^U «"««w*jf. refer to Table 2c-2 ft, the instructions to determina wh
wen GC/MS fractions thit apply to your industry and for ALL toxic metals cvanibes. and total
lumn 2-c for each pollutant you believe to be absent If you mark either
pollutant. Note that there art seven pages to this part; please review each c
ind requirements. ' .
». EFFLUENT
DAILY VALUB *• MAJ"*(HMuJrfa&},Y "*LU* C.Lon« TIMM fi\l<&- k/ALU(








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Complete one table fa//
4. UNITS




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you art not
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————•»
MS you must test
required to mark
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st provide the re-
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33574
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Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations

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Federal-Register /Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Rejzulations
33577


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33578        Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations

-------
Federal Register /  Vol. 45. No. 98  / Monday. May 19. i960 / Rules and Regulations

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    33588
                          ™ °          ,                                       o

Federal  Register / VoL 45.No. 98 / Monday. May 19. ,1980 / Rules  and Regulations
    Instructions-—Tom 3—RCRA
    Hazardous Waste Permit Application
      Tin's form must be Completed bv all
   applicants who check "yes" to hem II-E
   in Form J.

   Gnnerdl Ins tractions
     Permit Application Process.—There
   are two part* to a RCRA permit
   application—Part A and Part B. Part A
   consists of this form and Form 1 of the
   Consolidated Permit Application. Part B
 ,  requires detailed site-specific
   Information such  as geology, hydrology,
   and engineering data. 40 CFR 122.25
   specifies the Information that will be
   required from hazardous waste
   management facilities in Part E  -
     RCRA established a procedure for
   obtaining "interim status" which allows
   existing hazardous waste management
   facilities to continue their operations
   until a final hazardous waste permit is
   issued. In order to qualify for interim
   status, existing hazardous waste
  management facilities must submit Part
  A of the permit application to EPA
  wTTttn six months after the promulgation
  of regulations under section 3001 of
  RCRA (40 CFR Part 281).  In order to
  receive a hazardous waste permit
  existing facilities must submit a
 complete Part B within six months after
 it Is requested by EPA. New facilities
 must submit both Part A and Part B to
 EPA at least 180 days before physical
 construction is expected to commence.
    Operation During Interim Status.—As
 provided In 40 CFR 122.23(b), Part A of
 the permit application defines the
 processes to be used for treatment.
 storage, and disposal of hazardous
 wastes; the design  capacity of such
 processes: and the  specific hazardous
 wastes to be handled at a facility during
 the interim status period. Once Part A is'
 submitted  to EPA. changes in the
 hazardous wastes handled, changes in
 design capacities, changes in processes,
 and changes In ownership or operational
 control at • facility during the interim
 status period may only be  made in
 accordance with the procedures in 40
 CFR 123.23(c). Changes In  design
 capacity and changes In processes
 require prior EPA approval. Changes in
 the quantity of waste handled at a
 facility during Interim status can be
 made without submitting a revised Part
 A provided the quantity does not exceed
 the design capacities of the processes
 specified In Part A of the permit
 application. Failure  to furnish all
 Information required to process a permit
 application Is grounds for termination of
 Interim status.
  Confidential Information.—Ml
Information submitted in this form will
                          be subject to public disclosure, to the
                          extent provided by RCRA and the
                          Freedom of Information Act. 5 U.S.C.
                          Section 552. and EPA's Business
                          Confidentiality Regulations. 40 CFR Part
                          2 (see especially 40 CFR 2.305). Persons
                          filing this form may make claims of
                          confidentiality. Such claims must be
                          clearly indicated by marking
                          "confidential" on the specific
                          information on the form for which  '
                          confidential treatment is requested or on
                          any attachments, and must be
                          accompanied, at the time of filing, by a
                        'written substantiation of the claim, by
                         answering the following questions:
                           1. Which portions of the information
                         do you claim are entitled to confidential
                         treatment?	,
                          2. For how long is confidential
                         Treatment desired for this information?
                          3. What measures have you taken to
                        guard against undosired disclosure of
                        the information to others?
                          4. To what'extent has the information
                        been disclosed to others, and what  •
                        precautions have been taken in
                        connection with  that disclosure?
                          5. Has EPA or any other Federal  "
                        agency made a pertinent confidentiality
                        determination? If so. include a copy of
                        such determination or reference to it, if
                        available.
                          6. Will disclosure of the information
                        be likely to result in substantial harmful
                        effects on your competitive position? If
                        so. what would those harmful effects be
                        and why should they be viewed as
                        substantial? Explain the causal
                        relationship between disclosure and the
                        harmful effects.
                          Information covered by a
                        confidentiality claim and the above
                        substantiation will be disclosed by EPA
                        only to the extent and by means of the
                        procedures set forth in 40 CFR Part 2.
                          If no claim of confidentiality or no
                        substantiation accompanies the
                        information when it is submitted. EPA
                        may make the information available to
                        the public without further notice to the
                        submitter.                 '          -
                          Definitions.—Terms used  in these
                        Instructions and in this form are defined
                        in the Glossary section of these
                        instructions. For additional definitions
                       and procedures to use in applying for a
                       permit for a hazardous waste
                       management facility, refer tp the
                       regulations promulgated under Section
                       3005 of RCRA and published in 40 CFR
                       Parts 122 and 124.
                       Line by Line Instructions
                       ,  Completing this form. Please type or
                       print in the unshaded areas only. Some
                       items have small graduation marks or
                       boxes in.the fill in spaces. These marks
   indicate the number of characters tfr
   may be inputted into our data sysj "
   The marks are spaced at !•«" interl
   which accommodate elite type (12
   characters per inch—one space between
   letters). If you dp not have a typewriter
   with elite type then please print, placing
   each character between the marks.
   Abbreviate if necessary to stay within
   the number of characters allowed for
   each item. Use one space for breaks
   between words, but not for punctuation
   marks unless the space is needed to
 .  clarify your information.
    Item I. Existing hazardous waste
   management facilities should enter their
   EPA Identification Number (if known).
   New facilities should leave this item
   blank.
    Item II. A. First Application.—It this is
   the first application that is being filed
   for the facility place an "X" in either the
   Existing Facility box or the New Facility
   box.
   • 1. Existing Facility.—Existing
   facilities are:
    (1) Those facilities which received
  hazardous waste for treatment, storage.
  and/or disposal on or before October 21.
  1976. or
    (2) Those facilities for which
  construction had commenced on or
f before October 21,1978. Construction^
  had-"commenced" only if:
    (a) The owner or operator had    -,
  obtained all necessary Federal, Stater
  and local pre-construction approvals or
  permits; and
   (bl) A  continuous physical, on-site
  construction program had begun (facility
  design or other preliminary non-physical
  and non-site specific preparatory
 activities do not constitute an ori-site
 construction program), or
   (b2) The owner or operator had
 entered into contractual obligations
 (options to purchase or contracts for
 feasibility^ engineering, and design
 studies do not constitute contractual
 obligations) which could not be
 cancelled or modified without
 substantial loss. Generally, a loss is
 deemed substantial if the amount an
 owner or operator must pay to cancel
 construction agreements or stop
 construction exceeds 10% of the total
 project cost.
   (Note—This definition of "existing
 facility" reflects the literal language of
 the statute. However, EPA believes that
 amendments to RCRA now in
conference will shortly be enacted and
will change the date for determining
when a facility is an "existing facility"
to one no earlier than May of 1980;
indications are the conferees are
considering October 30.1980. When
.those amendments are enacted, EPA

-------
                Federal Register  /  Vol..45. No. 98 / Monday. May .19.  I960 /Rules and Regulations
                                                                        33581
   will amend the definition of "existing
   facility."          .
     Accordingly, EPA encourages every
.   facility built or'under construction on
   the promulgation date of the RCRA
   program regulations to notify EPA and
   file Part A of the permit application so
   that it can be quickly processed for
   interim status when the change in the
   law takes effect)      •
  -   Existing Facility Date.—If the Existing
   Facility box is marked, enter the date
   hazardous waste operations began (i.e..
   the date the facility began treating.
   storing, or disposing of hazardous
   waste] or the date construction
   commenced.        .             •
i     2. New Facility.—New facilities are
  all facilities for which construction
   commenced, or will commence, after
  October 21.1976.
     New Facility Date.—-If the New
  Facility box is marked, enter the date
  that operation began or is expected to
  begin.                           •
     B. Revised Application.—If this is a   •
.  subsequent application that is being
  filed to amend data filed in a previous
  application, place an "X" in the
  appropriate box to indicate whether the
.  facility has interim status or a permit.
    1. Facility Has Interim Status.—Place
  an "X" in this box if this is a revised
  application to make changes at a facility
  durins the interim status period.,
    2. Facility Has a Permit.—Place an
  "X" in this box if this is a revised
  application to make changes at  a facility
  for which a permit has been issued.
    (Note—When submitting a revised
  application, applicants must resubmit in
  their entirety each item on the
  application fo* which changes are
  requested. In addition, items I and IX
  (and item X if applicable) must be
  completed. It is not necessary to
  resubmit information for other items
  that will not change).  •     ,
   Item III. The information in item III
 describes all the processes that  will be
 used to treat, store, or dispose of
 hazardous waste at existing facilities
 during the .interim status period, and at
 new facilities after a permit is issued
the design capacity of each process      -
 must be provided as part of the
 description. The design capacity of
 injection wells and landfills at existing
 facilities should be measured as the
remaining, unused capacity. See the  •
form for the detailed instructions to item

   Item IV. The information in item IV
describes all the hazardous wastes that
will be treated, stored, or disposed at
existing facilities during the interim
status period; and at hew facilities after
a permit is issued. In addition, the
processes that will be used, to treat.
  store, or dispose of each waste and the
 , estimated annual quantity of each waste
  must be provided. Se,e the form for the
  detailed  instructions to item IV.
   •Item V. All existing facilities must
  include^a drawing showing the general
  layout of the facility during interim
  status. This drawing should be
  approximately to scale and fit  in the
  space provided on the form. This
  drawing should show the following:
   • The property boundaries of the
 facility;   -"               «
   • The areas occupied by all storage.
 treatment, or disposal operations that
 will be used during interim status;
   • The name of each operation.
 (Example-multiple hearth incinerator. •
 drum storage area, etc.):
„  • Areas of past storage, treatment, or
 disposal operations:
   • Areas of future storage, treatment,
 or disposaloperations: and
  • ».Tne approximate dimensions of the
 property boundaries and all areas
   See Figure 3-1 for an example of a
 facility draxving. New facilities  do not
 have to complete this  item.
 WILING COOC IS40-01-*              ..'•'•

-------
V. f ACIUTY DRAWING (sie pafe 4; '


         EXAMPLE
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               7f FT.
                                    4.00 FT
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                                                                         U!
                                                                         a
                                                                            s i
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   asjO-3 (S4K}|
                                      PAGE S OF S

-------
                         Federal Register / Xro>.  45.  No. 98  /  Monday. May 19. 1960 / Rules and Regulations        33583
             .Item VI. All existing facilities must
            include photographs that clearly
            delineate o//> existing structures: ail
            existing areas for storing, treating, or
            disposing of hazardous waste; and ait
            known sites of future storage, treatment.
            or disposal operations. Photographs may
            be color or black and white, ground-
            level or aerial Indicate the date the
            photograph was taken on the back of
            each photograph..
             Item VII. Enter the tettnde and
            longitude of tb» facility in> degrees.
            minutes, and seconds. For larger
           , facilities, enter thelatitude and
            longitude at die approximate mid-point
            of the facility. You- may as* the map you
            provided for Item XT of Form 1 to
            determine latitude and  longitude.'
            Latitude and longitude information is
            also available from Regional Offices of
            the U.S. Department of Interior.
            Geological Survey: from State Agencies.
            such as the Department of Natural
            Resources: and from the National
            Cartographic Information Center. U.S.
            Geological Survey. 12202 Sunns* Valley
            Dr., Reston. VA. 22092.
             Item VIH. See the form for the
            instructions to item VIII.
             Item IX and ItemX. All facility    >
           owners must sign Item IX If the facility
           will be operated by someone other than
           the owner, then the operator must sign
           Item X. Federal regulations require the
           certification to be signed as follows.
             (1) For a corporation, by a principal
           executive officer at least the level of
           vice president:
             (2) For a partnership or sole      .
           proprietorship, by a general partner or
           the proprietor, respectively, or
             (3) For a municipality. Slate, Federal .
           or other public facility, by either a
           principal executive officer or ranking
           elected official'
             The Resource Conservation and
           Recovery Act provides for severe
           penalties for submitting false
           information on this application form.    •
             Section 3008(d) of the Resource
           Conservation and Recovery Act
           provides that "Any person who-
           knowingly makes any false statement or
           representation in any
           application.. . .  shall upon conviction
           be subject to a fine of not more than
           S25.000 for each day of violation, or to
           imprisonment not to exceed  one year, or
           both."   .
               I CODE CSCO-01-M
*

-------
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      HAZARDOUS WASTE PERMIT APPLICATION
                  ContolidJMd femia Progrtm
        r7"il» information ti n>iulrr4 uitrfrr Sretien JOnj of KCH.A I
                                                                                Form Approved OMB Ho. ISS-SIOOOi
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-------
                  Federal Register /  Vol. 45. No. 98 / Monday. May 19. i960 /  Rules  and Regulations
                                                                                                                                    3358S
           rom the front. -.
                                                                         ESSES icou« "Tut"), rom EACH PROCESS CNTERCO wens
 !V. DESCRIPTION OF HAZARDOUS WASTES ^_ , .

 ' Z*"™™*" .*"'>• *°W" Vin~^rb?.i~~'IS'n *° ^"' ^^ ° '<" ~ft "«* ^^^...VOuwM-^nd^Uyou
                                mI^S~^2 Cf"lSubpM D> ""^ •** h>"-d^« numb*^ from 40 CFR. Subpart C that da*criba« tha charactari*.
   ESTIMATED ANNUAL QUANTITY - For aach U«W <
                                                          »d in column A
   bam. F« aach charactariadc or ta*k mntamiiiajai amarad m balumn A aaBrnaw ih«
   whicfipotatH that charactarntic or contaminant.   '

C i^ll °' UEASUIU ~ f<* •** 0«ntitY ant»r«l In column 8 an«ar the unrt'of


                  jSHUMiTnpur»q.ne
                                                                                      irtv «f th« \nmtt irwt mil b« handltd on in annual
                                                                                    nity al «• in* non-liiMd wntifrj thn'will b» h«ndl«d
                                                                                       of
                                                                                                which mutt t» UM«| tnd th« «pp
                 m. KSTIMATKO ANNUAL
                  QUANTITY OF WASTK.
                                                                                               i. mocua ocicnipT
                                                                                             (If
                                                                                                * cod* <• not «nt«™d (
                                                                                               included with above
                                                         PAGE 2 OF 9
                                                                                                             CONTINUE ON PAGE 3

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33588       Federal Register / Vol. 45. No. 98 / Monday. May 19.1980 / Rules and Regulations
Connnurd from p*g< 2.
NOTE: ffiotxarr jr>« ptyt btfon eomgltting if you />«<
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                                Federal Register /  Vol. 45. No. 98 / Monday. May 19.1980 / Rules .and Regulations          33587
*
                Cohtmutd from the front.
                IV. DESCRIPTION OF HAZARDOUS WASTES /continued;

                 C. USE THIS STACK TO. LIST ADDITION At. PROCESS CODES FROM ITEM B(l| ON PACE S.
                 DA. if'the facility owner ie alaa the lacMIty operator el lined in Section VrOr form I. -General Information", place an -X" in the bo» to the left »ne!
                      •kip to Section IX betaw.. •       '     '•   ,                    .                    .-••"-.              .

                         V                                     :  •             -                          .       '               '       !  •
                    •. M the facility owner ie not the facility oparator^iiiitd IB SKtnn VIII on Form t. comoiete the followino, item..
                V. FAC1UTY DRAWING
                   utotlni  mutt includ* m it>< to*c* ptomfed on p*g« 5 •
                                                                               g ol in« laciliiv rktr 'V'-'-T'tvT* for mirtdf full.
                VI. PHOTOGRAPHS
                All existing facilities must include photographs (aerial oryround-level) thit clearly dehneat* ill existing structures; existing storage.
                treatment »rtd disposal areas: and sites of future storage, treetment or disposal trees Itre instruction* for more detail).
                VII. FACILITY GEOGRAPHIC LOCATION
                VIII. FACILITY OWNER
                IX. OWNER CERTIFICATE
                I certify under penalty of la*                                           _  			
                documents, and that bated o\grfip4uty kf those individual* immediately responsible for obtaining the information, I believe thai the
                eubmined information It true^eiuratf/aAd complete. I am evert that there are significant penalties for submitting false information.
                including the potabilityoffine r-f^-7—	'-
                                                                                                                C. OAT« SIONCO
                X. OPERATOR CERTIFICATION
               I certify under penalty of It* that I have personally examined and am familiar with the information submitted in thi* and all attached
                 °^*^'- ,     • ***** °° my '"WifYof those individuals Immediately responsible for obtaining the information, I believe that the  •
               submitted information it true, accurate, and complete. I am aware that there are significant penalties for submitting false information,
               including the possibility of fine and imprisonment.        •
                       C (pnnt or f»p«<
                   Farm 36104 (MOI
                                                                 . •ICNATUKC
                                                                                                                C. OATK XICMCO
PAGE 4 OF 9
                                                    CONTINUE ON PAGE 5

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33588
Federal Register / Vol. 45. No. 98 / Monday. May 19. 1980 / Rules and Regulations
  V  FACILITY ORAV.INC nrf raff 4,
A F.nnaSJO-a (540)
                                          PAGE 3 OF S

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  Advance Orders are now Being 'Accepted for Delivery in About 6
                                                                      Weeks
  Quantity   -Volume
                       CODE OF FEDERAJL REGULATIONS
                                  {Revised as of April i, 1980)
                                                                                Price^      Amount
                                                        '      '  '  '.   .',  ":-.••', ..  $5.50   •$_______
                                                                                  5.50	
               Title 21-Pood and Drugs
                 (Parts 800 to 1299)
                                                                        Total Order   $.
                                              '
                                          ,„
                                       PLEASE DO NOT DETACH
   MAIL ORDER FORM To:                  •    » '                    '
  ^Superintendent of Documents, Government Printing Office, Washington, D:C  20402
Enclosed fi*J $....	 (cbtek or monty ,
PIt*ttstnA me ...	 topift of:
UKASE fll.1. IN MAILINK LABEL Ntm> 	•
                        Screcc addnx
                        Ocy tad Scat* _
                                                                ZIP Code.
                                                                                     fORUSCOFSUPT.DOCS.
                                                                                     ._.Erclo«td	.	;
                                                                                        1'ti be mailed
                                                                                     ....Subtcriptinn.	„	...
                                                                                       Refund	,.*.
                                                                                       Pii.tJije-..^—r—-
                                                                                     .  " ForeiKn hindling	,
..-..-.--.....'	...-™..^.P!.S"'.P.MEN.T.'.r1:^?^E..'^.NT ^.^f! *°DRE5S °N LABEL BELOW' iNCtUOING YOUR V* COPE
 SL'Pl-RINTESDFNT OK lww-tlwrv,T»                    '     -•••-rr-----.---	w  	...„		  .
 SL'J>l:RINTtNDFNT OF
>.'.S. GOVERNMENT PUNTING OFFICK
  _ WASHINGTON, D.C.  20-102
    OFFICIAL BUSINESS
                       Sttttt

                       City aad SUM .
                                                               ZIP Code.
                                                                                 POSTAGE AND FEES PAID '
                                                                             U.S. GOVERNMENT PRINTING OFFICn
                                                                            '   -;       '  375  :
                                                                               SPECIAL FOURTH-CLASS RATK
                                                                                       BOOK

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