United States Environmental Protection Agency
Region III, Removal Branch
Removal Enforcement and Oil Section (3HW32)
841 Chestnut Building
Philadelphia, PA 19107

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                     MANUAL ORGANIZATION


SECTION 1:      SPILL PREVENTION, CONTROL AND COUNTERMEASURE
              (SPCC)
              Information Guide

SECTION 2:      SPCC/FRP OUTREACH CONTACT NUMBERS

              MOST COMMONLY USED CWA-OPA-SPCC ACRONYMS

              SPCC IMPORTANT DEFINITIONS

SECTION 3:      SPCC COURSE SLIDES

SECTION 4:      WHAT TO EXPECT DURING AN SPCC INSPECTION
              ACKNOWLEDGEMENT AND RECORD OF SPCC/FRP
              INSPECTION/PLAN REVIEW

SECTION 5:      FACT SHEET:  OPA Q's & A's

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SPILL PREVENTION, CONTROL, AND
    COUNTERMEASURE (SPCQ)
      INFORMATION GUIDE
EMERGENCY
RESPONSE
' . TEAM ,
         SECTION 1

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                           TABLE OF CONTENTS


TABLE OF CONTENTS	i	   i

FOREWORD	iii

KEY POINTS OF PREVENTION REGULATION	   1

ELEMENTS OF AN SPCC PLAN 	   5

QUESTIONS FREQUENTLY ASKED	   9


   Appendix A, Example SPCC Plan	(7 Pages)

   Appendix B, Dike Designs	(1 Pages)

   Appendix C, 40 CFR 109
   Criteria for State, Local, and Regional Oil Removal Contingency Plans ...  (2 Pages)

   Appendix D, 40 CFR 110
   Discharge of Oil	'••••.	(3 Pages)

   Appendix E, 40 CFR 112
   Oil Pollution Prevention	(10 Pages)

   Appendix F, 33 CFR PART 153.201
   Notice of the Discharge of Oil or a Hazardous Substance	(5 Pages)

   Appendix G, 40 CFR 114
   Civil Penalties	(4 Pages)

   Appendix H, Notice of Proposed Rule Making SPCC Revision for
   40 C.F.R. Part 112 dated October  22, 1991	(14 Pages)

   Appendix I, Interim Final Rule for 40 C.F.R. Part 112
   dated November 4,  1992 . ;	(4 Pages)

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                                FOREWORD
This document has been prepared by Region HI of the U.S. Environmental Protection
Agency as an informational and educational guide, and may be used in developing Spill
Prevention, Control, and Countermeasure (SPCC) Plans as required under Title 40, Code of
Federal Regulations, Part 112 (40 CFR 112). The information contained in this manual has'
been compiled from existing regulations, EPA documents, and other guidance documents. .
This document should not be relied upon as the sole source in developing a site-specific
SPCC Plan; it is intended to be used only as a  guide in explaining the SPCC regulations. 40
CFR 112, which is included in Appendix E, is the standard against which SPCC Plans are
judged and should be used as the primary guide in developing SPCC Plans.

For additional information concerning SPCC regulations, call or write the SPCC Coordinator
as follows:
      Regina A. Starkey, SPCC Coordinator
      U.S. Environmental Protection Agency
      Region III, Removal Branch
      Removal Enforcement and Oil Section (3HW32)
      841 Chestnut Building
      Philadelphia, PA  19107

      (215)5663292

Should the SPCC Coordinator be unavailable to answer questions, please leave a message on
the voice mail system.
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                IV

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                   KEY POINTS OF PREVENTION REGULATION
       The Environmental Protection Agency (EPA) Oil Pollution Prevention Regulation,
Title 40, Code of Federal Regulations, Part 112 (40 CFR 112), addresses non-transportation-
related facilities.  The main .requirement of facilities subject to the regulation is the
preparation and implementation of a Plan to prevent any discharge of oil into waters of the
United States. Such a Plan is referred to as a Spill Prevention, Control, and Countermeasure
(SPCC) Plan.

       The main thrust of the SPCC regulation is "prevention" of a discharge as opposed to
"after-the-fact" (or "reactive") clean-up measures commonly described in spill contingency
plans.  The regulation applies to any facility engaged in drilling, producing, gathering,
storing, processing, refining, transferring or consuming oil and oil products, providing that
all three of the following conditions are met:

       •  The facility is non-transportation-related (see definition of "non-transportation" in
          Appendix E).

       •  The aboveground storage capacity of single container is in excess of 660 gallons,
          or the aggregate aboveground storage capacity is greater than 1,320 gallons,  or the
          total underground  storage capacity  is greater than 42,000 gallons.

       •  Due to its loqation, oil spilled at the facility could reasonably be expected to reach
          waters of the United States.

       Facilities that are subject to 40 CFR 112 must prepare and implement an SPCC Plan
in accordance with guidelines outlined in the regulation.  The persons actually responsible for
preparing and implementing the Plan are owners or operators of facilities subject to
regulation, including persons in charge of departments, agencies, and instrumentalities of the
Federal or state governments.

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GENERAL REQUIREMENTS OF THE SPCC PLAN

       There is no rigid format for an SPCC Plan.  The guidelines in 40 CFR 112 state that
the SPCC Plan must be carefully thought out, prepared in accordance with good engineering
practices,  and approved by management at a level with the authority to commit the resources
necessary  to implement the Plan.

The SPCC Plan should clearly address three areas:

       •  Operating procedures to prevent the occurrence of oil spills.

       •  Control measures to prevent a spill from entering navigable waters.

       •  Counter-measures to contain, clean up and mitigate the effects of an oil spill that
          impacts navigable water.

SPILL PREVENTION

       An essential element of an SPCC Plan is a description of measures  designed to
prevent operational error and equipment failure, which cause most spills.      Operational
errors can be minimized through training programs to maintain a high level of personnel
efficiency and awareness of the importance of spill prevention.  Equipment failures can be
minimized through proper initial selection and construction of processing and storage vessels
and pipelines.  Regular maintenance of structural integrity and function, and frequent
inspections (visual and mechanical) to detect leaks around tank seams, gaskets, rivets and
bolts, flange joints, expansion joints, valves, catch pans, and so forth should be conducted.

       While personnel training and equipment maintenance programs are based on industry
standards and sound engineering practices, the full support of management is essential to
develop and  implement effective facility-specific programs for training and maintenance.

SPILL CONTROL

       Another important element of the SPCC Plan is spill control.  EPA Region HI is
generally concerned with prevention of spills from facilities where positive containment
devices and systems are practicable and effective.  Dikes, retaining walls, curbing, spill
diversion ponds, sumps, etc., fall into the category of positive containment.  Only where it
is not practicable to provide positive containment does the facility have the option of taking
the "contingency" plan approach to spill control.  In such a case, the facility owner/operator
must clearly  demonstrate the impracticability of providing positive containment.  The
owner/operator must also provide a strong Oil Spill Contingency Plan following the provision
of 40 CFR 109 (see Appendix C) and a written commitment of personnel,  equipment, and
materials required to expeditiously control  and remove any harmful quantity of oil
discharged.

       "Impracticability" pertains mainly to those cases where severe space limitations may
preclude installation of structures or equipment to prevent oil from reaching water.
Demonstrating "impracticability" on the basis  of financial considerations is unacceptable

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because the commitment of resources required to control, remove, and dispose of spilled oil
expeditiously would not normally offer any significant economic advantage over providing
positive containment.

SPILL COUNTERMEASURES

       Contingency plans are considered "reactive"  in nature in that they generally describe'
after-the-fact actions (spill countermeasures) that when properly performed can be expected
to mitigate the effects of a spill after it occurs.  The aim of the SPCC regulation is to keep
spills from occurring, therefore, spill prevention and spill control measures must be given
first priority consideration in the preparation of the SPCC Plan.

AMENDMENTS TO THE  SPCC PLAN

       Once an SPCC Plan has been developed, it may be amended by the U.S. EPA
Regional Administrator under certain  circumstances  or by the facility owner or operator.
The Regional Administrator may require amendments to the Plan following a single
discharge at the facility in excess of 1,000 gallons, or following two discharges in "harmful
quantities" that occur within any twelve-month period and are reportable under the Federal
Water Pollution Control Act.

       The SPCC regulation requires the owner or operator to  amend the Plan whenever
there is a change in facility design,  construction, operation, or  maintenance that materially
affects the facility's potential for discharging oil.  Such amendments must be fully
implemented not later than six months after the change occurs.  The regulation also requires
the owner or operator to review and evaluate the SPCC Plan every three years, and
amending the Plan  may be part of this review.  Within six months following the review, the
owner or operator may amend the Plan to incorporate more effective control and prevention
technology if the technology will significantly reduce the likelihood of a release, and the
technology has been field proven at the time of the review.

       All amendments must be certified by a registered professional engineer per Section
112.3 (d) of the SPCC regulation.

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                           ELEMENTS OF AN SPCC PLAN
       While each SPCC Plan is unique, there are certain elements that must be included
almost without exception to make the SPCC Plan comply with the provisions of 40 CFR 112.
These elements include, but may not be limited to, the following:

1.      Name of Facility - The name of the facility may be different from the name of the
       company that the facility operates under.  Include both names if they are different.

2.      Type of Facility - Describe briefly the purpose of the facility and the type of activities
       conducted  there.

3.      Date of Initial Operation - Provide the date that the facility began operation.

4.      Location of the  Facility - Provide either a description of the location or an address
       that can be supported by area maps.  Location and topographic maps should be
       included in the Plan as they can be critical in determining the adverse consequences of
       an oil spill.  Sources for such maps include:  the  U.S. Geological Survey, state
       highway department, county  highway engineer, local land surveys, and city engineer.

5.      Name and Address of Owner - The address of the owner may  be the same as or
       different from the facility location.

6.      Designated Person Responsible for Oil Spill Prevention - Provide the name and  title
       of the person with overall responsibility for the facility's spill prevention program.
       This person should be thoroughly familiar with the SPCC regulation and with the
       facility's SPCC  Plan.

7.      Oil Spill History - Provide a detailed history of significant spill events, if any, that
       occurred in the  twelve-month period (from January  10, 1973 to January 10, 1974)
       prior to the effective date of the regulation.  For  each spill that occurred within the
       period, include  the following information:

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       a.  Type and amount of oil spilled.
       b.  Location, date and time of spill(s).
       c.  Watercourse affected.
       d.  Description of physical damage.
       e.  Cost of damage.
       f.  Cost of clean-up.
       g.  Cause of spill.
       h.  Action taken to prevent recurrence.

8.     Management Approval - Provide a statement about the facility's commitment to the .
       Plan, signed by a person with the authority to commit management to implementation
       of the SPCC Plan.

9.     Certification - Provide a statement of SPCC Plan certification under the seal and
       signature of a registered professional engineer.  The state of registration and the
       registration number of the certifying engineer must also be provided. The certifying
       engineer is not required to be registered in the state in which the facility is located.

10.    Facility  Analysis - Describe the facility operation and indicate the largest magnitude
       of spill possible.  The  description should include a discussion of the amount and type
       of storage, normal increments of transfer or patterns of usage, distribution, processes,
       etc. In the analysis the direction of flow of spilled oil should be indicated along with
       any factors that are pertinent or influence spill potential.  It is appropriate to support
       this type of information by charts, tables, plot plans, etc., to aid clarity or promote
       brevity.             ,

11.    Facility  Inspection - Incorporate an up-to-date inspection report covering the facility
       in terms of equipment, containment, operation, drainage,  security, etc., if available.
       An inspection report would best serve more complex facilities and is not necessarily
       considered an element common to all SPCC Plans.

12.    Review of the SPCC Plan -  Provide documentation of Plan reviews conducted by the
       owner or operator. The facility owner or operator must review  the SPCC Plan at
       least once every three years. These reviews must be documented.

13.    Amendments to the SPCC Plan - Make amendments of the completed Plan as required
       by  the SPCC regulation.

       The complete SPCC Plan, which must follow the sequence outlined in Section 112.7
of the regulation,  must include a discussion  of the facility's site-specific conformance with
the relevant guidelines in'the regulation.  The SPCC Plan  must be certified by a registered
professional engineer.

       A copy of the entire SPCC Plan must be maintained at the facility if the facility is
normally attended at least eight hours per day, or at the nearest field office if the facility is
not so attended. The SPCC Plan must be made available to the EPA Regional
Administrator, or to a duly authorized  representative,  for on-site review during normal
working hours.

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SPCC PLAN GUIDELINES

       Several industrial trade associations have developed suggested guidelines for use by
their members in preparing SPCC Plans. Generally,  such guidelines are available for
particular types of facilities and may be very helpful. For example, the American Petroleum
Institute has prepared a bulletin entitled "Suggested Procedure for Development of Spill
Prevention  Control and Countermeasure Plans"  (API Bulletin D 16).  This bulletin, designed
primarily for oil production facilities, may be used in addition to the regulations and other
guidance documents to develop an SPCC Plan.  Care should be taken, however, to not rely
completely  on any standardized format. Each SPCC Plan must be unique to the facility.
Development of a unique Plan requires detailed knowledge of the facility and of the potential
impact that any spill may have.

       An example SPCC Plan for a modest-sized oil storage facility is  included as Appendix
A.

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                        QUESTIONS FREQUENTLY ASKED
What is the U.S. Environmental Protection Agency's Oil Pollution Prevention
Regulation?

       It is a regulation that tries to prevent a discharge of oil into or upon the navigable
       waters of the United States by establishing certain  requirements for owners or
       operators of facilities that drill, produce, gather, store, process, refine, transfer, or
       consume oil.  The text of the regulation is found in Tide 40 of the Code of Federal
       Regulations, Part 112 (40 CFR 112).

What does the regulation require a facility to do?

       The regulation requires that all subject facilities have a fully prepared and
       implemented Spill Prevention Control and Countermeasure (SPCC) Plan. Facilities in
       existence at the time the regulation went into effect in 1974 were required to have a
       Plan prepared within six months of the effective date of the regulation, and to have
       implemented the Plan within one year of the effective date of the regulation. New
       facilities must prepare  an SPCC Plan within six months of the date they commence
       operations; they must implement the Plan within one year of the date operations
       begin.

What constitutes an SPCC Plan?

       An SPCC Plan is a detailed, site-specific written description of how a facility's
       operation complies with the guidelines in the regulation (Section 112.7).

Who is required to prepare  an SPCC Plan?

       The owner or operator of the facility subject to regulation is required to prepare a
       written SPCC Plan,  which must be certified by a registered professional engineer.

When did this regulation go into effect?

       The regulation was promulgated on  December 11, 1973, and went into effect on
       January 10, 1974.

Which facilities are subject to the regulation?

       A facility is subject to the regulation if it is a non-transportation-related facility (either
       onshore or offshore), if due to its location it could^ reasonably be expected to
       discharge oil into waters of the United States if alpill should occur and if it has:

       1.  Total aboveground oil storage capacity in excess of 1,320 gallons or a single
          container (tank, drum, transformer, etc.) in excess of 660 gallons; or

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       2.  Total underground oil storage capacity in excess of 42,000 gallons.

       The facility must address all aboveground and underground storage capacities once
       subject to 40 GFR 112.

       A facility may be exempt from the regulation if due to its location it could not
       reasonably be expected to discharge oil into or upon the navigable waters of the
       United States.  The exemption determination is based on consideration of such
       geographical aspects of the facility as proximity to navigable waters, land contour,
       drainage, and so forth. The determination must exclude consideration of man-made
       features such as dikes, equipment,  or other structures that would inhibit a discharge
       from reaching  navigable waters.

What is a non-transportation-related facility?

       (1)  Onshore or offshore well drilling facilities;

       (2)  Onshore or offshore mobile well drilling platforms, barges,  trucks or other
           mobile facilities when in the fixed position for drilling operations;

       (3)  Onshore or offshore oil production facilities, fixed or mobile,  including all
           equipment and appurtenances  such as wells, wellhead separators, and storage
           facilities;

       (4)  Oil refining facilities, including all equipment and appurtenances such as
           processing units, storage units, piping, drainage systems, and waste treatment
           units;

       (5)  Oil storage facilities, including all equipment and appurtenances, such as bulk
           storage, terminal oil storage, consumer storage, pumps and drainage systems
           used in the storage of oil;

       (6)  Industrial facilities which store oil;

       (7)  Commercial facilities which store oil;

       (8)  Agricultural facilities which store oil;

       (9)  Public facilities which store oil;

       (10) Waste treatment facilities, including in-plant pipelines, effluent discharge lines,
           and storage tanks.

What is a transportation related facility?

       (1)  Onshore and offshore terminal facilities, including transfer  hoses, loading  arms,
           and other equipment and appurtenances  used for the purpose of handling or
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           transferring oil in bulk (including oily ballast or tank washings) to or from a
           vessel;

       (2)  Interstate and intrastate, onshore and offshore, pipeline systems;

       (3)  Highway vehicles and railcars used for the transport of oil interstate or intrastate
           commerce.

Can a facility be both transportation and non-transportation related?

       Yes.  Part of a facility's operation may be transportation-related and part may be non-
       transportation-related. Those parts that are non-transportation-related are, subject to
       the SPCC regulation.

What determines the reasonability of a discharge to navigable waters?

       Reasonability is determined on the basis of the location of the facility in relation to a
       stream, ditch,  or storm sewer; the volume of material likely to be spilled; drainage
       patterns;  soil conditions; and so forth. The presence of manmade structures that
       would inhibit the flow of oil is not considered when making the determination.

Is a facility still subject to the regulation if it is located in such  a manner that any spill
that may occur would not be expected to discharge into the waters of the United States?

       No.  However, the determination of exemption should be made very carefully.  If any
       oil could reach a sewer line, drainage ditch,  etc., that discharges into navigable
       waters, either  directly or indirectly,  then the facility is subject to the regulation.

Who determines whether or not a facility would reasonably be expected to discharge oil
into navigable waters?

       The facility owner or operator makes the determination.

What if the  owner or operator decides the facility is exempt from the regulation and the
decision is wrong?

       The facility could be subject to the penalty provisions of the regulation for failure to
       comply.

What are the requirements  for certifying the Plan by a registered professional engineer
(P.E.)?

       The engineer should be familiar with the provisions of 40 CFR 112, must have
       examined the facility and be a registered professional engineer in at least one state.
       The engineer need not be registered in the state in which the facility is located.  The
       engineer's name, registration number, and state' of registration must be included as
       part of the SPCC Plan (Section 112.3).  In addition, the engineer's seal  must be
       affixed to the Plan as part of the certification.

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When the SPCC Plan is completed and certified, is it sent to EPA for review?

      No. A certified copy of the SPCC Plan is required to be available at the facility for
      EPA on-site review if the facility is attended at least eight hours a day.  If the facility
      is attended less than eight hours a day, then the SPCC Plan must be  kept at the
      nearest company office.  However, if the facility has a single discharge of more than
      1,000 gallons or two discharges of harmful quantities in any twelve month period, the
      Plan must be sent to the EPA for review.

Who reviews the SPCC Plan and how often is the SPCC Plan reviewed?

      The owner or operator is required to review the SPCC Plan at least once every three
      years.   The review must be documented.

Who can amend an SPCC Plan?

      The owner or operator of a facility may amend an SPCC Plan to include updated
      information and to reflect changes in procedure.  In certain cases, the EPA Regional
      Administrator may require the amendment of a facility's SPCC Plan.

When must an SPCC Plan be amended by the facility operator?

      The regulation requires the owner or operator to amend the Plan within six months
      following a review to incorporate more effective control and prevention technologies
      if the technology will significantly reduce the likelihood of a release, and the
      technology has been field proven at the time of the review.  The owner or operator
      must also amend the SPCC Plan whenever there is a change in the facility design,
      construction, operation or maintenance that materially affects the facility's potential
    .  for discharge into navigable waters of the United States or  adjoining  shorelines
      (Section 112.5). Such amendments must be fully implemented no later than six
      months after the change occurs.

      Amendments must be certified by a registered professional  engineer in accordance
      with Section 112.3 of the regulation.

When might an SPCC Plan be amended by the EPA?

      The U.S. EPA Regional Administrator may amend the Plan following a single
      discharge at the facility in excess of 1,000 gallons, or following two discharges within
      any twelve-month period that are in "harmful quantities" and are reportable under the
      Federal Water Pollution Control Act.  Within 60 days following such a discharge(s),
      the facility owner or operator must submit the SPCC Plan to the Regional
      Administrator and to the state agency  in charge of water pollution control activities.
      The owner or operator must also submit a description of the causes of the spill and
      the corrective actions taken.  Additional information pertaining to the Plan or spill
      event that the Regional Administrator may reasonably require must also accompany
      the Plan.
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       After review of the SPCC Plan, the Regional Administrator may inform the facility
       owner or operator that amendments to the Plan are proposed as deemed necessary to
       prevent any future discharges.  Within 30 days of notification of the Regional
       Administrator's decision, the owner or operator may submit written information,
       views, and arguments on the proposal.  The Regional Administrator will consider this
       new information and may either notify the owner or operator of any amendments
       required or rescind the original proposal. Any required amendments must become
       part of the facility's SPCC Plan within 30 days after notification and must be
       implemented within six months after the amendments become part of the Plan.

       Amendments made in this manner must also be certified by a registered professional
       engineer in accordance with Section 112.3 of the regulation.

When a production lease,consists of several operations, such as wells, oil/water
separators, collection systems,  tank batteries,  etc., does each operation require a
separate SPCC Plan?

       No. One SPCC Plan may include all operations within a single geographical area;
       however, each  operation  must be addressed in the SPCC Plan.

Is every loss  of oil or oil product subject to a  penalty?

       A discharge is  defined in the Federal Water Pollution Control Act as including, but
       not limited to,  any spilling, leaking, pumping, pouring, emitting, emptying, or
       dumping that enters the waters of the U.S. or the  adjoining shorelines  in harmful
       quantities.  If a discharge occurs and enters  the water, a penalty may be assessed.

       Penalties are determined  using the following factors:

       •   seriousness of violation.
       •   economic benefit to violator resulting from violation.
       •   degree of culpability involved.
       •   penalties for same incident from other agencies.
       •   violation history.
       •   efforts by the violator to minimize effects of discharge.
       •   economic impact of the penalty on violator.
       •   any other matters as justice may require.

What is considered to be a harmful quantity?

       A harmful quantity of oil is a discharge  that results  in a violation of applicable water
       quality standards; causes a film or sheen upon the water or adjoining shorelines;
       discolors the water or adjoining shorelines or causes an emulsion or sludge to be
       deposited beneath the surface of the water or upon adjoining shorelines.
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What are considered navigable waters?

       Navigable waters of the U.S. are defined in Section 502(7) of the Federal Water
       Pollution Control Act (FWPCA), and include:

           1)   All navigable waters of the U.S., as  defined in judicial decisions prior to
                the passage of the 1972 amendments to the FWPCA, and the tributaries of
                such waters;

           2)   Interstate waters, including interstate wetlands;

           3)   Intrastate lakes, rivers,  and streams which are utilized by interstate travelers
                for recreational or other purposes; and

           4)   Intrastate lakes, rivers,  and streams from which fish or shellfish are taken
                and sold in interstate commerce.

What penalties are assessed for failure to comply with the regulation?

       40 CFR 112.6 authorizes the U.S. EPA Regional Administrator to assess civil
       penalties.

       The guidance for determining penalties is addressed in 40 CFR 114.

When should the National Response Center (800-424-8802, toll free)  be called?

       Any discharge of oil involving U.S.  waters must be reported to the National Response
       Center by the person in charge of the vessel, facility or  vehicle from which the
       discharge occurs.  Threats of discharges or releases should also be reported. The
       procedures for such notifications are set forth in 33 CFR  153, 40 CFR 110, 40 CFR
       112 and the National Oil and Hazardous Substances Pollution Contingency Plan
       (NCP), 40 CFR 300.

Does a state spill plan meet the requirements of a Federal SPCC Plan?

       Not necessarily.  If the state  spill plan is intended to be  used as the Federal SPCC
       Plan, it must meet or exceed all  the requirements under  40 CFR  Part 112.   The state
       spill plan must express clearly that it addresses both the state and Federal regulations.

What counts toward storage capacity?

       Storage capacity includes the capacity of all containers such as tanks, portable tanks,
       transformers, 55-gallon drums, 5-gallon buckets, etc.  The capacity of any empty
       containers that may be used to store oil and are not permanently  taken out of service
       are also counted in the facility total storage capacity.
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Does the term "oil" include vegetable oil, transformer oil, and other non-petroleum
based oil?

       Yes.  "Oil" is defined in 40 CFR 112.2 as oil of any kind or in any form, including,
       but not limited to, petroleum, fuel oil, sludge, oil refuse and oil mixed with wastes
       other than dredged spoil.  This definition has been interpreted to include vegetable
       oil, mineral oil, transformer oil and other oils.

Are transformers covered under SPCC regulation?

       Electrical transformers and similar equipment are covered by the SPCC regulation
       provided that they contain sufficient quantities of oil, and, due to location, can
       reasonably be expected to spill their oil into navigable waters or adjoining shorelines.

If the drainage from a facility discharges into a sewer system, is this facility required to
have an SPCC Plan?

       If the sewer is a storm sewer or combined sewer and the spill could reasonably be
       expected to reach navigable waters, a Plan would be required.   If the flow from the
       sewer is entirely treated in the facility's sewage treatment plant, then an engineering
       assessment should be made by the owner or operator as to whether or not the
       treatment system could handle the maximum possible volume of oil without exceeding
       the permitted amount at the plant.  If the system could not handle the oil, then an
       SPCC Plan would be required.

Are SPCC Plans required for hazardous substances or hazardous wastes?

       Only in the event that the hazardous substances or hazardous wastes are mixed with
       oil.

Must secondary containments be provided for transfer operations (i.e., for a tanker
truck loading/unloading fuel at a facility)?

       Yes.  The secondary containment system should be designed to hold at least
       maximum capacity of any single compartment of a tank car or tank truck loading or
       unloading at the facility. This is not to say that a truck must park within a diked area
       for loading/unloading.  The regulation allows flexibility here for diversion structures
       such as curbing or  diking to channel a potential spill to a secondary containment
       structure. Transfer of oil to water transportation vessels is not covered  under the
       SPCC regulations.

If a tank is taken out of service, what measures must a facility take in order to be
exempt from SPCC regulations?

       Any tank taken out of service must have all pipes and fittings sealed in order to  be
       excluded from facility storage capacity calculations.  If, after the tanks are taken out
       of service, the facility storage capacity is below regulatory amounts then the facility
       will be exempt from the SPCC regulations.

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Do the SPCC regulations spell out design requirements for diking, curbing, etc?

      The SPCC regulations require diked areas for storage tanks to be sufficiently
      impervious to contain any spilled oil. All bulk storage tank installations should be
      constructed so that a secondary means of containment is provided for the entire
      contents of the largest single tank plus sufficient freeboard to  allow for precipitation.
      Containment curbs and pits are sometimes used as secondary containments, but they
      may not always be appropriate.

Are double walled tanks and other alternative aboveground storage tanks satisfactory to
meet the secondary  containment requirements for SPCC?

      Double walled tianks may provide adequate secondary containment; however, the
      valving must be designed so that accidental release from the inner tank (from such
      occurrences as an inadvertent valve opening or a failure) are completely contained
      within the outer tank.  The inner tank should be an Underwriters' Laboratory-listed
      steel tank, the outer wall should be constructed in accordance with nationally accepted
      industry standards (e.g., those codified by the American Petroleum Institute, the Steel
      Tank Institute, and American Concrete Institute), the tank should have an overfill
      alarm  and an  automatic flow restrictor or flow shut-off, and all product transfers
      should be constantly monitored.

      Other "alternative aboveground storage tanks,"  such as small  tanks with an attached
      shop-fabricated containment dike, with capacities less than 12,000 gallons, may be
      satisfactory in meeting the secondary containment requirements for SPCC.  If
       "alternative aboveground storage tanks" are utilized,  an SPCC Plan must still be
      prepared  and  certified by a registered professional engineer.  If the engineer does  not
      certify that these tanks will provide adequate secondary containment, other
      containment systems must be implemented.

Must each tank, drum, or other oil storage container have individual secondary
containment?

      Not necessarily.  A single dike may be used for a group of containers.  A dike for a
      tank battery is required to contain the volume of the largest single tank within  the
      battery plus sufficient freeboard to allow for precipitation.   The dike should be
      sufficiently impervious to contain any spilled oil from the tank battery.

Should tanks be inspected by the facility?

      Yes.  All aboveground tanks should be subject  to periodic integrity testing, taking into
      account tank design and using such techniques as hydrostatic testing, visual inspection
      or a system of non-destructive shell thickness testing.  Tank supports and foundations
      should be included in these inspections.

      Buried storage tanks represent a potential for undetected spills.  A new buried
      installation should be protected from corrosion  by coatings. Buried tanks should at
      least be subject to regular pressure testing.

	;	;	.   16   	;	,	

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Is a partially buried tank or a tank in an underground basement or vault considered to
be underground storage?

      No. To qualify as buried storage, a tank must be completely covered by earth.  Tanks
      that are in an underground basement or vault and those that are partially buried do not
      qualify as underground storage. Buried tanks have inherent release protection from
      the containing action of the surrounding earth, whereas vaulted and partially buried
      tanks do not.

What authorities do states have under SPCC regulation?

      Section 311 of the Glean Water Act does not permit EPA to delegate the SPCC
      Program to the states. States may perform SPCC inspections at the request of the
      EPA;  however, the overall review process of the inspection is the responsibility of the
      EPA.  This review process is handled within the Regional EPA office.

Where can I get additional information concerning SPCC regulations?

      Call or write the SPCC Coordinator as follows:
              Regina A. Starkey, SPCC Coordinator - 3HW32
              U.S. Environmental Protection Agency, Region III
              841 Chestnut Building
              Philadelphia, PA 19107
                         \
              (215) 566 3292
      Should the SPCC Coordinator be unavailable to answer questions,  please leave a
      message on the voice mail system.
                                       17

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               18

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  APPENDIX A



EXAMPLE SPCC PLAN

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THIS PAGE INTENTIONALLY LEFT BLANK

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                                SAMPLE
        SPILL PREVENTION, CONTROL, AND COUNTERMEASURE PLAN
                     TEX'S BULK STORAGE TERMINAL
                            lOOEverspill RoadC
                           Post Office Box 311 (K)\
                            Oily City,
                             SJ Oil C^pany) }
                             P.O. Box^QfJI
                           CrudeXity, v)
                                 T^^ility Manager

                  \ \. "\'vx, '
CERTIFICATION: I herib>sceftify"|haj I have examined the facility and, being familiar with
the provisiops^pf 40 CFRVlpart 1 iX attest that this SPCC Plan has been prepared in
	,—x...:x^—d engi^ering practices.
.^™^x
fitimons
   / I
                       V
Engineer:

Signature:

Registration Number:  98765

State: Commonwealth of Virginia

Date:  June 11, 1974
 *^
JT
                            Eric Sim7£ons

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INTRODUCTION
Spill  Prevention, Control, and  Countermeasure (SPCC) plans for facilities are prepared  and
implemented as required by U.S. Environmental Protection Agency (U.S. EPA) regulations contained
in Title 40, Code of Federal Regulations, Part 1 12 (40 CFR 112). A non-transportation related facility
is subject to SPCC regulations if:  the capacity of any aboveground  storage tank exceeds  660
gallons; or the total aboveground storage capacity exceeds 1,320 gallons;  or the underground
storage capacity exceeds 42,000 gallons; and if,  due to its location, the facility could reasonably be
expected to discharge oil into or upon the navigable waters of the United States.

The SPCC plan is not required to be filed with U.S. EPA, but a copy must be available for on-site
review by the regional administrator during  normal working hours.  The/|iPCC plan must be
submitted to the U.S. EPA Region III regional administrator and the state agefiey* along with the other
information specified in §1 12.4 if either of the following occurs:      / ,/
                                                                         navigate waters

                                                                            'twelve month
    1   The facility discharges more than 1,000 U.S. gallons of oil into or upbn'thi
       of the United States or adjoining shorelines in a single event;       \""
    2   The facility discharges oil in harmful quantities in tweNspill events withi
       period.                                         \\
                                                        \""-
                                                          ••:,
Spill information must be reported to U.S. EPA Regjorvj.il and tfiVs|ateXgeficy within 60 days if
either of the above thresholds are reached. The/ep0rtts.^tc; contain'thV|pflowing information:
                                           -' (     \ \         V"
                                                                    ^
                                                                   '
                                                       and normal daily throughput;
                                                  diagrams, and topographical map;
       Name of the facility;
       Name(s) of the owner or operator;
       Location of the facility;
       Date and year of initial facility oper
       Maximum storage or handli
       Description of the facility,
       A complete copy of the
       The cause(s)  of such spill(s),
       failure occurredi/x.^
   9   The corrective acy;6^j&^tncj/or counteVJeasures taken, including an adequate description of
       equipment repairs\a"nd/&£rfeplacements;
   10 Additional  preventiv^^/n'ea'stt^ taken or contemplated to minimize  the possibility of

   11  Such^otfreM'hformation as^the regional administrator may reasonably require that is pertinent
      . to ih^ plan.pr~sp.jll evenK,)'
                                              ilure analysis of system or subsystem in which
The SPCC pliTTsfiall be}agnended within six months whenever there is a change in facility design,
construction, ope|atiojv^!>friaintenance that materially affects the facility's spill potential.  The plan
must be reviewed ^aWeast once every three years and amended to include more effective prevention
and control technology, if such technology will significantly reduce the likelihood of a spill event and
has been proven in the field. All changes must be certified by a registered professional engineer.

Owners and operators failing or refusing to comply with these federal regulations are liable to a civil
penalty of not more  than $5,000 for each day that such  violation continues.   The  regional
administrator may assess and compromise such civil penalty:

If the owners and operators of a facility required to prepare an SPCC plan are not required to submit
a facility response plan, the SPCC plan should include a signed certification form,  Attachment A,
contained in Appendix C to Part 112.

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FACILITY INFORMATION,

Facility Name:       Tex's Bulk Storage Terminal
Mailing Address:
Street Address:
Owner:
Contact Name:
Other Personnel:
Location:
                    P.O. Box 311 (K)
                    Oily City, VA 12345

                    100 Everspill Road
                   . Oily City, VA 12345
                    Telephone:  (123) 222-2222

                    SJ Oil Company
                    P.O. Box 00002
                    Crude City, VA 77000
                    Telephone:  (123) 222-3333

                    Steve Doe, Facility Manager
                    505 Oil Road
                    Oily City, VA 12345
                    Telephone:  (123) 222-4444

                    Secretary-Bookkeeper
                    Dispatcher
          river
                                              *** IWVV.I % ^•'1 I T ^1    '.,

                                              ilivery fr|rsonnel (3)/
Facility Description:
                    The facility is located^n North-VyfestCounty, Virginia approximately 250 yards
                    west of Carol Credk,. ^The facilrty^iSsbordered to the north by Everspill Road
                    and to the west by th^^gina Expressway.  Approximate facility coordinates
                    are latitude/<4Q°;00'-OiQ^>k{'1*land longitude 77°-00'-00" west.

                    Tex's Bulk Str^iinaK
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TEX'S BULK STORAGE TERMINAL
         SJ OIL COMPANY
      jli)0 EVERSPILL ROAD
        OIL CITY, VA 12345
                                    LEGEND
                                      n
                                       EMERGENCY
                                         SPILL
                                       EQUIPMENT
                                            DIKE
                                           CURBING
                                           DRAINAGE
                                            FENCE
                                            GATE
                                            LIGHT
                                            WATER
TRUCK
RACK r-i
                                      OT TO SCALE)
o
£
o
-*1
(D
ttf T]
go
co m
3" -*
(Q
(D
(D
                                                         Q)

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SPCC PLAN REVIEW - 40 CFR 112.5(b)
The owner or operators must complete a review and evaluation of the SPCC plan at least once every
three years.  Evidence of these reviews shall be recorded in the plan.

   Signature
             'oe
          oLJ
          oiJ
MANAGEMENT APPROVAL - 40 CFR 1
This SPCC plan is fully approved
implemented as described.
6/10/77
6/03/80
6/01/83
5/21/86
5/15/89
./\
//
\V
5/13/92 V
5/1 1/9$\
'"""-. \ /\
~~~v, \\ y >
'"~S\ '
V/
Steve Doe - Facility
                       Vs  //X\.
PAST SPILL EX^ERIENCEy^ CFR>f 2.7(a)
                                          of Tax's Bulk Storage Terminal and has been
                                              6/11/74
                                              Date
                         \\
   Written Description of Spills \Corrective Actions Taken
                          - V
          -,  —  ^
   On 5/17/SMrTe oil/v^ajer
   separator ma]^jricti0hjld,
   allowing 3 to^S^alTpns of
   oil to enter Carol Creek.
   On 11/7/91, tank 3 was
   overfilled during refilling
   after the visual level gauge
   failed.  Approximately 300
   gallons were spilled.
                          A boom was placed on
                          Carol Creek immediately
                          after the malfunction
                          was discovered.
                          No. 2 fuel spilled within
                          secondary containment
                          and was cleaned-up using
                          absorbent.  Contaminated
                          soil was removed.
Plan for Preventing Recurrence

The oil/water separator was
repaired. Inspection and
maintenance of the separator
was improved to minimize the
chances of future recurrence.

High level alarms were installed
on all aboveground tanks in
addition to the 100,000-gallon
tanks.  The level indicators and
alarms  are regularly tested to ensure
proper  operation.

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POTENTIAL EQUIPMENT FAILURES - 40 CFR 112.7(b)

   Potential Event      Spill Direction        Volume Released
                       East or north to
                       Carol Creek or the
                       oil/water separator

                       North to the oil/
                       water separator
Complete failure
of a full tank

Partial failure
of a full tank
Tank overfill


Pipe failure
   Leaking pipe or
   valve packing

   Tank truck leak or
   failure

   Hose leak during
   truck loading

   Pump rupture or
   failure
   Oil/water separator   East to Ca
   malfunction
                       East to Carol Creek   100,000 gallons
1 .to 99,000 gallons
1 to many gallons
                      Spill Rate

                      Instantaneous
    Gradual to
    instantaneous
         1 gallon
   "*pe*r minute
   jf     f-
                       North or east to the   Up to 20,000 gallons
                       oil/water separator
                       or Carol Creek
                                                    <\
                    North or east to the   Several ounces,
                    oil/water separator    to several
                    Northeast to the oil/
                    water separator
                      Up to 1 'gallon
                       fr minute
                    Northeast to thevpil/   1 t
                    water separatoV vx-
                    North oi
                    oil/wat
  fp^X)u\gallons
        ral gallons
 io several gallons
                                         to several gallons
           to
*v>*  instantaneous

    Up to 1 gallon
    per minute

    Up to 1 gallon
    per minute

    Up to 1 gallon
    per minute
CONTAINMENT AND DIVERSIONARY STRUCTURES - 40 CFR 112.7(c)(1)
                       \vxx<>
   i    Dikes/are-provided aWhd tanks 1, 2, 3, 4 and 5, which store oil products.
             ~^

                         .                                        .
   ii   Th$ Ibading^rxivunloadinQ^rea for tank trucks is curbed to provide secondary containment.
   iii  Surface" drainage at the facility is engineered so that oil spilled outside of diked or curbed
       areas at trreJaeflity will drain into the oil water separator.
               X. — y
   iv  Weirs, booms, or other barriers are available from the local clean-up contractor.

   vii  Sorbent materials are provided in emergency spill equipment lockers located strategically
       through out the facility.

DEMONSTRATION OF PRACTICABILITY - 40 CFR 1 1 2.7(d)

Facility management has determined that use of the containment and diversionary structures or-
readily available equipment to prevent discharged oil from reaching navigable waters is practical and
effective at this facility.

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FACILITY DRAINAGE -40 CFR 112.7(e)(1)

   i    Drainage from diked storage areas is  restrained by valves  to prevent a spill or other
       excessive leakage of oil into the facility's drainage system.

   ii   Gate valves are used to drain diked areas.

   iii  In the event of a spill from a tank, the oil should be contained within a dike.  If a spill occurs
       during  transfer or in a manner that cannot be contained in  a dike,  the material is in a
       drainage area, as indicated  in Figure 1.  Facility drainage from undiked areas with the
       potential of receiving spilled oil terminates at the oil water separator.
   v   Facility drainage systems are adequately engineered to prevent ojHrpfh reaching navigable
       water in the event of equipment failure or human error.       / /     ^

BULK STORAGE TANKS - 40 CFR 1 1 2.7(e)(2)
   i   Each aboveground tank is of UL-142 construction and^SNCompatible with tfte^bljs'lhey contain
       and conditions of storage.
                                                       •
   ii   All aboveground tanks have concrete dikes fopsecondary cdhla^nrnenl^ith a volume greater
       than 110 percent of the largest single l&nj/xf /~~*\\       NX/*''

   iii  Drainage of rainwater from diked areas, bypasspig/reatment, is accomplished if:

       A  The bypass valve is normally 'seaited closed
                                      \K\
       B  Run-off rainwater is jtfSflected\&tXnsjure compliance with applicable water quality
          standards and will
       C  The bypass valve is openeck^nd repealed under supervision.

       D  Records are\Sbt3Mrainage events on the form shown in Attachment C.
   iv  The underground stb^age^aliRSs^ated and cathodically protected to prevent an undetected
       spill. ^,Tbe4>uried tanki^also subject to regular pressure testing.
       Thfere are po~partially betted tanks at the facility and should be avoided in the future.
   vi  Aboveground tanks)are periodically tested using a system of non-destructive shell thickness
       testing,  G^rapansfbn records are maintained. Visual inspections are performed according
       to  the prcJeeckfre located  in Section XIII and  include inspection  of tank supports and
       foundations.

   vii  There are no internal heating coils at this facility.

   viii Each  tank is  equipped with a direct-reading level gauge. The 100,000-gallon tanks are
       equipped with high-level alarms.  Venting capacity is suitable for the fill and withdrawal rates.

   ix  Plant effluent discharged into Carol Creek is observed frequently to detect possible upsets
       in the oil water separator.

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   x   Oil leaks which result in a loss of oil from tank seams, gaskets, rivets, and bolts are promptly
       corrected.

   xi  The portable oil tank and other mobile oil storage, such as 55-gallon drums, will be located
       to prevent spilled oil from reaching navigable water, provided with secondary containment,
       and located where they will not be subject to periodic flooding.

TRANSFER OPERATIONS, PUMPING, AND IN-PLANT PROCESSES - 40 CFR 112.7(e)(3)

   i   Buried piping is coated and cathodicalty protected as warranted to protect against corrosion.
       If a section of buried line is exposed, it is carefully examined for deterioration.  If corrosion
       damage is found, additional examination and corrective action will be^ken as indicated by
       the magnitude of the damage.
       Pipelines not in service or on standby for an extended period arevbagpe^pvor blank flanged
       and marked as to their origin.
                                                                     \ \ &  /
       All pipe supports are properly designed to minimize abcasion and corrosroH"a.n6 to allow for
       expansion and contraction.                      ""•••
    iv  All aboveground pipelines and valves are^exafqjned -mon.fhlv tp/ajssess their condition.
       Pressure testing for piping is conducted as'vya'ff&rited.
                                           '  '"     ) }
    v   Warning signs are posted as needed tore^ve/if/tfehicles from damaging aboveground
       pipelines.

TANK CAR AND TANK TRUCK LOADINGtOADINGsRACK - 40 CFR 112.7(e)(4)
    i   The tank truck loading anU.i^&adjngxJsfol^fyires meet the minimum requirements of the
       U.S. Department of

    ii   Curbing is instated,, at the vehicteNoading/unloading rack and holds the  single largest
       compartment of Xf^Citek.xused at tfteJfecility.

    iii   Warning signs ano^fehocK"b1«.QJfs are provided at the loading/unloading rack to prevent
       prernatwe.,vehicular'8efi'arture.                     .

    iv   The (jower>mosjtv drained  all  outlets on tank trucks  are inspected  prior to filling and
INSPECTIONS ANCLR^jpfORDS - 40 CFR 1 1 2.7(e)(8)
Daily visual inspections consist of a complete walk through of the facility property to check for tank
damage or leakage, stained or discolored soils, excessive accumulation of water in diked areas,
plant effluent discharged from the oil water separator, and to ensure the dike drain valves are
securely closed.

The checklist provided in Attachment B is used  during monthly inspections. These inspections are
performed in accordance with  written procedures such  as API  standards  and engineering
specifications. Written inspection procedures and monthly inspections are signed by the inspector
and are maintained in the office for three years.

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SECURITY - 40 CFR 11 2.7(e)(9)
   i    The facility is surrounded by steel security fencing and the entrance gates are locked when
       the facility is unattended.

   ii   The master flow and drain valves are locked in the closed position when in non-operating or
       non-standby status.

   iii   The electrical starter controls for the oil pumps are located in the office, which is locked when
       the pumps are not in use.
iv  The loading and unloading connections of oil pipelines are cappe
   when in standby service for and extended time.
v  Two area lights are located in such a position so as to illumin
   areas.  Consideration was given to discovering spills at night and
   through vandalism.
                                                            pr
                                                                       n not in service or
                                                                         ice and storage
                                                                         spij^'pccurring
                                                                            /
iii  Yearly spill prevention briefings a
   ensure adequate understanding of
   events or failures and rece^tlyeve
   on oil  spill prevention,  conf
   vehicular spill has been cx>nduct
PERSONNEL, TRAINING, AND SPILL PREVENTION PROGfBURES - 40 CFR T12.7(e)(10)

   i    Facility personnel have been instructed by
       of oil pollution prevention equipment and

 .  ii   The facility manager, Steve Doe, is accoun
       Terminal.
                                                ment irHrve opjef^iton and maintenance
                                                  ntrol laws aatfYegulations.

                                             fpf'ofl spill prevention at Tex's Bulk Storage
                                           ided bynagement for operating personnel to
                                               plan. These briefings highlight any past spill
                                                utionary measures. Training has been held
                                                eval methods.  A simulation of an on-site
                                              exercises shall be periodically held to prepare
       for possible spill response. Records.   these briefings and spill prevention training are kept
       on the form showV^^achment D. Instructions and phone numbers regarding the reporting
       of a spill to the NaJfpnaT-^sponse Center and the state are listed below and have been
       publicized and           '
                    ures

   1.  FaciliJafager, Steve Doe

   2.  National Response Center

   3.  State Emergency Response Commission

B. Clean-up Contractors

   1.  E-Z Clean Environmental

   2   O.K. Engineers,  Inc.
                                                  (123)222-3333

                                                  (800) 424-8802

                                                  (123) 555-2221



                                                  (123)222-3038

                                                  (123) 222-2207

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C. Supplies and Equipment



   1.  Oil City Equipment Co.



   2.  Northwestern Sorbent Co.
(123) 222-8372




(123)222-9217
                                     10

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             CERTIFICATION OF SUBSTANTIAL HARM DETERMINATION FORM

Facility Name:       Tex's Bulk Storage Terminal	
Facility Address:     100 Everspill Road
                      Oil City. VA 12345
       Does the facility transfer oil over water to or from vessels and does the facility have a total oil storage
       capacity greater than or equal to 42,000 gallons?
                             YES
                                                  NO
2.
Does the facility have a total oil storage capacity greater than or equal to 1 million gallons and does
the facility lack secondary containment that is sufficiently large to contain the^capacity of the largest
aboveground oil storage tank plus sufficient freeboard to allow for precipitatiofijwithiri any aboveground
storage tank area?
                             YES
                                                  NO
       Does the facility have a total oil storage capacity greater than or equal to 1 milfoiv.ga'llons and is the
       facility located at a distance (as calculated using the appropriate formula in Attachment C-lll to this
       appendix or a comparable formula1) such that a discharge fcprn. the facility could cause injury to fish
       and wildlife  and sensitive environments?  For further descriptidn^of fish and wildlife and sensitive
       environments, see Appendices I, II, and III to DOC/N0Ws,"GuidancXfo|; Facility' and Vessel Response
       Plans: Fish and Wildlife and Sensitive Envirofl'ipe"nfe\(&ee ApperiUqc^E^tf) this part, section 10, for
       availability) and the applicable Area Contingency Plan..}  ]
                                                           \/
                             YES
                                                           X
                                oil
Does the facility have a total
facility located at a distance
appendix or a comparable foi
drinking water intake2?
                      YES
capacity greatexthan or equal to 1 million gallons and is the
      iqg the appropriate formula in Attachment C-lll to this
  , .   Discharge from the facility would shut down a public
\v\  \>
                                                         NO
5.
                                        \>
Does the facility have^JoiEaf.Q!l storage capacity greater than or equal to 1 million gallons and has the
facility experienced aVepprf^bte^olr^pill in an amount greater than or equal to 10,000 gallons within
                                                         NO
                                                           X
CERTIFICATION"''    }^
I certify under pena^y of lav^that I have personally examined and am familiar with the information submitted
in this document, aru^flERat-based on my inquiry of those individuals responsible for obtaining this information,
I believe that the submitted information is true, accurate, and complete.
           oe
                                                      Facility Manager
Signature

Steve Doe
                                              Title
Name (please type or print)
                                                     /.  1994
                                               Date
1  If a comparable formula is used documentation of the reliability and analytical soundness of the comparable
formula must be attached to this form.
2  For the purposes of 40 CFR part 112, public drinking water intakes are analogous to public water systems
as described at 40 CFR 143.2(c).
                                    Attachment A, Page 11

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                           FACILITY INSPECTION CHECKLIST

Instructions: This inspection record will be completed every month. Place an X in the appropriate box for each
item. If any response requires elaboration, do so in the Descriptions and Comments space provided. Further
descriptions or comments should be attached on a separate sheet of paper if necessary.
Tank surfaces show signs of leakage

Tanks are damaged, rusted, or deteriorated

Bolts, rivets, or seams are damaged

Tank supports are deteriorated or buckled

Tank foundations have eroded or settled

Level gauges or alarms are inoperative

Vents are obstructed

Valve seals or gaskets are leaking
Dike drainade val.
                                               Yes   No     Descriptions and Comments
Pipelines or supports are damaged or deteriorated

Buried pipelines are exposed

Loading/unloading area is damaged ofti|

Connections are not

                        \ v /   "x/
Secondary containment is damaged or stained

                          •\\
                        oen v
                       open
Oil/water separatpnsjufiptioning property

Oil/water separator effluent has a sheen

Fencing, gates or lighting is non-functional

Remarks: 	•
Signature:
                                                  Date:
                                  Attachment B, Page 12

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                               RECORD OF DIKE DRAINAGE

Instructions: This record will be completed when rainwater from diked areas is drained into a storm drain or
into an open water course, lake, or pond, and bypasses the in-plant treatment. The bypass valve'normally
should be sealed closed and only opened and resealed following drainage under responsible supervision.

Diked Area    Date   Presence of Oil  Time Started  Time Finished  Signature
                                   Attachment C, Page 13

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                        RECORD OF SPILL PREVENTION BRIEFINGS

Instruction:  Briefings will be scheduled and conducted by the owner or operators for operating personnel at
intervals frequent enough to assure adequate understanding of the SPCC plan for this facility. These briefings
should also highlight and describe known spill events or failures, malfunctioning components, and recently
developed precautionary measures. Personnel will also  be instructed in operation and maintenance of
equipment to prevent the discharges of oil and applicable pollution control laws, rules, and regulations.  During
these briefings there will be an opportunity for facility operators and other personnel to share recommendations
concerning health, safety, and environmental issues encountered during operation of the facility.

Date:
Attendees:
Subjects at)dJ
Recommendations
and Suggestions:
                                    Attachment D, Page 14

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APPENDIX B



DIKE DESIGNS

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                     SAMPLE DIKE HEIGHT CALCULATION
                      50,000
20,000
10,000
Calculations for this example:

a)     minimum containment volume (mcv) = to capacity of largest tank in a tank
       installation, in this example 50,000 gallons,  mcv = 50000 x 0.1337 cu. ft/gal. =
       6.685 cu. ft.

           * factor in freeboard per local requirements.
                                                   o
b)     dike area (proposed) Length x Width

c)     dike height (proposed)

d)     dike volume (dike area x dike height)
    \
e)     displacement volume (tank(area x tank height of dike wall)

           * Volume of tank (cylinder) = irfh

f)     effective secondary  containment
       dike volume - displacement volume =  x

       1)   if x is greater than the mvc then the secondary containment may be adequate,  if
           sufficient freeboard for precipitation is factored in

       2)   if x is less than mcv, adjust the dike area n dike height accordingly, the
           recalculate.

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APPENDIX C



40 CFR PART 109

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 Environmental Protection Agency
                       §109.4
 PART  109—CRITERIA  FOR  STATE,
   LOCAL  AND  REGIONAL OIL RE-
   MOVAL CONTINGENCY PLANS

 Sec.
 109.1 Applicability.
 109.2 Definitions.
 109.3 Purpose and scope.
 109.4 Relationship to Federal response ac-
    tions.
 109.5 Development  and  Implementation
    criteria for State, local and regional oil
    removal contingency plans.
 109.9 Coordination.

  AUTHORITY: Sec. 1KJX1XB), 84 Stal 96. 33
 UJS.C. 118KJX1XB).
  SOURCE 36 FR 22485. Nov. 25.1971. unless
otherwise noted.

§109.1  Applicability.
  The criteria in this part are provided
to assist State, local and regional agen-
cies in the development of  oil removal
contingency plans for the <"ianri navi-
gable waters of the United States and
all areas  other than  the  high seas;
coastal and  contiguous zone waters,
coastal and  Great Lakes  ports and
harbors and such other, areas as may
be agreed upon between the Environ-
mental Protection Agency and the De-
partment of Transportation in accord-
ance with  section 1KJK1KB) of the
Federal  Act. Executive  Order No.
11548  dated July 20.  1970 (35 FR
11677)  and 9 306.2 of the National Oil
and Hazardous  Mp^j»rta.i«  Pollution
Contingency Plan (35 FR 8511).

§109.2  Definitions.
  As used in these guidelines, the fol-
lowing terms shall have the meaning
Indicated below:
  (a) Oil means oil of any kind or in
any form, including,  but not limited
to.  petroleum,  fuel  oil.  sludge,  oil
refuse,  and  oil  mixed with wastes
other than dredged spoil.
  (b) Discharge includes,  but is not
limited to. any spilling, leaking, pump-
ing, pouring, emitting, emptying,  or
dumping.
  (c) Remove or removal refers to the
removal of the oil from the water and
shorelines or the taking of  such other
actions as may be necessary to  mini-
mize or mitigate damage to the public
health  or welfare, including, but not
limited to. fish, shellfish, wildlife, and
public  and  private  property, shore-
lines, and beaches.
   (d) Major disaster means any hurri-
 cane.  tornado,  storm,  flood,  high
 water, wind-driven water, tidal wave.
 earthquake, drought, fire, or other ca-
 tastrophe in any part of the United
 States which, in the determination of
 the President.  Is  or  threatens  to
 become of sufficient severity and mag-
 nitude to warrant disaster
 by the Federal Government to supple-
 ment  the efforts  and  available  re-
 sources  of  States  and  local govern-
 ments and relief organizations in alle-
 viating the damage, loss, hardship; or
 suffering caused thereby.
  (e) United States means the States.
 the  District of Columbia, the Com-
 monwealth of Puerto Rico, the Canal
 Zone,  Guam.  American Samoa,  the
 Virgin Islands, and the Trust  Terri-
 tory Of the Pacific Talnnria
  (f) Federal Act means the Federal
 Water  Pollution   Control  Act,  as
 amended. 33 U.S.C. 1151. et seq.

 § 109.3 Purpose and scope.
  The guidelines in thfat  part establish
 minimum criteria for the development
     implpmpntntlon of  State, local,
     regional  contingency plans  by
 State nr"^ local governments in roTvnil*
 tation with private interests to  insure
 timely, efficient, coordinated and  ef-
 fective action to tn
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 §109.5
   40 CFR Ch. I (7-1-91 Edition)
 charger or non-Federal entities,  the
 Federal on-scene commander will take
 control of the response activity In ac-
 cordance with section IKcXl) of the
 Federal Act.
 §109.5  Development  and imp!
  (2) An estimate of the equipment,
          and supplies which would be
    criteria for State, local and regional oil
    removal contingency plans.
  Criteria for the development and im-
 plementation of State, local  and re-
 gional oil removal contingency plans
 are:
  (a) Definition of the authorities, re-
 sponsibilities and duties of all persons,
 organizations or agencies which are to
 be  involved  or could be involved in
 planning or directing oil removal oper-
 ations, with particular care to clearly
 define the authorities, responsibilities
 and duties of State and  local govern-
 mental agencies to avoid unnecessary
 duplication of  contingency planning
 activities and to minimi*.**  the poten-
 tial for  conflict and confusion  that
 could be generated  in an  emergency
 situation as a  result of such duplica-
 tions.
  (b) Establishment  of  notification
 procedures for the purpose of early de-
 tection MM!. timely notification of an
 oil discharge including:
  (1) The  identification  of  critical
 water use areas to  facilitate  the re-
 porting  of  and  response  to  oil dis-
 charges.
  (2) A  current list of  names,  tele-
 phone numbers and  addresses of the
 responsible persons and alternates on
 mil to receive notification of an oil dis-
 charge as well as the names, telephone
 numbers and addresses of the organi-
 zations and  agencies to be  notified
 when an oil discharge is discovered.
  (3) Provisions for access to a reliable
 communications system for t^mgly no-
 tification of an oil discharge and incor-
 poration   in   the   communications
 system of the capability  for intercon-
 nection with the «*
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APPENDIX D



40 CFR PART 110

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 Environmental Protection Agency
                               § 110.1
    PART 110—DISCHARGE OF OIL

Sec.
110.1  Definitions.
110.2  Applicability.
110.3  Discharge into navigable waters  of
  -  such quantities as may be harmful.
110.4  Discharge into contiguous  zone  of
    such quantities as may be harmful.
110.5  Discharge beyond contiguous zone of
    such quantities as may be harmful.
110.6  Discharge prohibited.
110.7  Exception for vessel engines.
110.8  Dlspersants.
110.9  Demonstration projects.
110.10  Notice.
110.11  Discharge at deepwater ports.
  AUTHORITY: Sees. 311 (b>(3) and (b)(4) and
SOl(a). Federal  Water  Pollution  Control
Act. as amended (33 U.S.C.  1321 (b)(3) and
(b)(4)  and 1361(a)); sec. 18(m)(3) of the
Deepwater Port Act of 1974 (33 U.S.C.
1517: E.O. 11735. 38 PR 21243. 3 CFR
Parts 1971-1975 Comp.. p. 793.
  SOURCE 52 FR 10719. Apr. 2. 1987. unless
otherwise noted.

§ 110.1 Definitions.
  As used In  this part, the following
terms shall  have  the meaning indicat-
ed below:
  Act means the Federal Water Pollu-
tion  Control  Act, as amended.  33
TLS.C. 1251  et seq., also known as the
Clean Water Act;
  Administrator means the  Adminis-
trator of the  Environmental Protec-
tion Agency (EPA):
  Applicable water Quality standards
means State water quality standards
adopted by the State pursuant to sec-
tion 303 of the Act or  promulgated by
EPA pursuant to that section:
  Contiguous  zone means  the entire
zone established  or to be  established'
by  the United States under article 24
of the Convention on the Territorial
Sea and the Contiguous Zone;
  Deepwater port means an offshore.
facility as defined in section (3X10) of
the Deepwater Port Act of 1974 (33
U.S.C. 1502(10));
  Discharge, when used in relation to
section 311 of the Act. includes, but is
not limited to, any spilling,  leaking.
pumping, pouring, emitting, emptying,.
or  dumping,  but  excludes  (A)  dis-
charges in compliance with  a permit
under section 402 of the Act. (B)  dis-
charges resulting from circumstances
identified and reviewed and  made a
part of the  public record with respect
to a permit issued or  modified under
section 402 of the Act.  and subject to a
condition in such permit, and (C) con-
tinuous  or  anticipated intermittent
discharges from a point source, identi-
fied in a permit or permit application
under section 402 of the Act, that are
caused by events occurring within the
scope of relevant operating or treat-
ment systems:
  MARPOL  73/78 means the Interna-
tional Convention for the Prevention
of Pollution from Ships. 1973, as modi-
fied by the Protocol  of  1978 relating
thereto. Annex I. which regulates pol-
lution from oil and which entered into
 force on October 2. 19B3;
   Navigable waters means the waters
 of the United States, including the ter-
 ritorial seas. The term includes:
   (a) All  waters  that  are currently
 used, were used in the past, or may be
 susceptible to use in interstate or for-
 eign commerce, including all waters
 that are subject to the ebb and flow of
 the tide:
   (b)  Interstate   waters,  including
 interstate wetlands;
   (c) All other waters such as  intra-
 state lakes,  rivers,  streams (including
 intermittent streams), mudflats, sand-
 flats, and wetlands, the  use, degrada-
 tion, or destruction  of  which would
 affect or could affect  interstate or for-
 eign commerce including  any  such
 waters:
   (1) That are or  could be used by
 interstate or foreign travelers for rec-
 reational or other purposes:
   (2) From which fish or shellfish are
 or could be taken and sold In  inter-
 state or  foreign commerce:
   (3) That are used or  could be used
 for industrial purposes by industries in
 interstate commerce;
   (d) All impoundments of waters oth-
 erwise   defined  as navigable  waters
 under this section;
   (e) Tributaries of waters identified
 in paragraphs (a) through (d) of this
 section,  including adjacent wetlands;
 and
   (f) Wetlands adjacent to waters iden-
 tified in paragraphs (a) through (e) of
 this section:  Provided,  That  waste
 treatment systems (other than cooling
 ponds meeting  the  criteria  of this
 paragraph)  are  not  waters  of  the
 United States;
   NPDES  means  National Pollutant
 Discharge Elimination System;
   Offshore facility means any facility
 of any  kind located in,  on. or under
 any of  the  navigable waters of the
 United States, and any facility of any
 kind that is subject to the jurisdiction
 of the United States and is located in.
 on.  or under any other waters,  other
 than a vessel or a public vessel;
   Oil, when used in relation to section
 311 of the Act, means oil of any kind
 or  in any form,  including, but not
 limted to, petroleum, fuel  oil. sludge.
 oil refuse, and oil mixed with wastes
 other than  dredged spoil. Oil,  when
 used in  relation to section  18(m)(3) of
 the Deepwater Port Act of 1974, has
 the meaning provided in section  3(14)
'of the Deepwater Port Act of 1974;
   Onshore facility means any facility
 (including, but not limited to, motor
 vehicles and rolling stock) of any kind
 located  in,  on, or under  any  land
 within the United States,  other  than
 submerged land;
   Person includes an  individual,  firm.
 corporation, association, and  a  part-
 nership:
   Public vessel means a  vessel owned
 or bareboat chartered and operated by
 the United States, or by a State or po-
 litical subdivision thereof, or by  a for-

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 §110.2
                                                       40 CFR Ch. I (7-1-91 Edition)
 eign nation, except when such vessel is
 engaged in commerce:
   Sheen means an iridescent appear-
 ance on the surface of water:
   Sludge means an aggregate of oil or
 oil and other matter  of  any kind in
 any form other  than dredged  spoil
 having  a  combined specific  gravity
 equivalent to or greater than water
   United States means the States, the
District of  Columbia,  the Common-
wealth  of Puerto Rico,  Guam, Ameri-
can Samoa, the Virgin Islands, and the
Trust Territory of the Pacific Islands;
   Vessel means every  description of
watercraft or other artificial contriv-
ance used, or capable of being used, as
a  means  of  transportation on water
other than a public vessel; and
   Wetlands means those areas that are
inundated or  saturated by surface or
ground water at a frequency or dura-
tion sufficient  to support, and  that
under  normal circumstances £o  sup-
port, a prevalence of vegetation  typi-
cally adapted  for life in saturated soil
conditions. Wetlands generally include
playa  lakes, swamps,  marshes,  bogs
and similar areas such as sloughs,  prai-
rie  potholes,   wet meadows, prairie
river overflows, mudflats, and natural
ponds.

§110.2   Applicability.
  The regulations of this part apply to
the discharge  of oil prohibited by sec-
tion 311(b)(3) of the Act. This includes
certain discharges  into or upon  the
navigable waters of the United States
or adjoining shorelines or into or upon
the waters of the contiguous zone, or
in connection with activities under the
Outer Continental Shelf Lands Act or
the  Deepwater  Port Act of 1974, or
that may affect natural resources be-
longing to, appertaining to, or under
the  exclusive  management authority
of the  United  States  (including re-
sources under the Magnuson Fishery
Conservation  and Management Act).
The regulations  of  this  part  also
define  the term "discharge" for pur-
poses of section 18(m)(3) of the Deep-
water Port  Act of 1974.  as provided
under § 110.11 of this part.

§ 110.3   Discharge into navigable waters of
   such quantities as may be harmful.
  For purposes of section 311(b) of the
Act,  discharges of oil into or upon the
navigable waters of the United States
or adjoining shorelines in such quanti-
ties that, it has been determined may
be harmful to  the  public  health or
welfare of the United States, except as
provided in § 110.7 of this part. Include
discharges of oil that:
  (a) Violate applicable water quality
standards, or
  (b) Cause  a film or sheen upon or
discoloration  of the  surface  of  the
water or adjoining shorelines or cause
a sludge or emulsion to be deposited
beneath the surface of the water or
upon adjoining shorelines.
 § 110.4  Discharge into contiguous zone of
    such quantities as may be harmful.
  For purposes of section 311(b) of the
 Act, discharges of oil into or upon the
 waters  of the contiguous zone in such
 quantities that it has been determined
 may  be harmful to the public health
 or welfare of the United States, except
 as  provided  in  §  110.7,  include  dis-
 charges of oil that:
  (a)  Violate  applicable water quality
 standards, or
  (b)  Cause a film or sheen  upon  or
 discoloration  of the  surface  of  the
 water or adjoining  shorelines or cause
 a sludge or emulsion  to  be deposited
 beneath the surface of the water  or
 upon adjoining shorelines.

 § 110.5  Discharge beyond contiguous  zone
    of such quantities as may be harmful. '
  For purposes of section 311(b) of the
 Act,  discharges of  oil into or upon
 waters seaward of the contiguous zone
 in connection with activities under the
 Outer Continental Shelf Lands Act  or
 the Deepwater  Port Act of  1974,  or
 that  may affect natural resources be-
 longing to,  appertaining  to, or  under
 the exclusive management authority
 of  the  United  States  (including re-
 sources under the  Magnuson Fishery
 Conservation and Management Act)  in
 such  quantities that it has been deter-
 mined may be harmful to  the public
 health or welfare of the United States,
 except  as provided in § 110.7, include
 discharges of oil that:
  (a)  Violate applicable water quality
 standards, or
  (b)  Cause a film or sheen  upon  or
 discoloration  of  the surface of  the
 water or adjoining shorelines or cause
 a sludge or emulsion to  be deposited
 beneath the surface of the water  or
 upon  adjoining shorelines.

 9 110.6 Discharge prohibited.
  As  provided in section 311(b)(3)  of
 the Act, no person shall  discharge  or
cause or permit to  be discharged into
or upon the navigable waters of  the
United  States or adjoining  shorelines
or into or upon the waters of the con-
tiguous  zone or into or upon waters
seaward of the contiguous zone in con-
nection   with  activities  under   the
Outer Continental Shelf Lands Act or
 the Deepwater Port Act of 1974. or
that may affect natural resources be-
longing to, appertaining to, or under
the exclusive management authority
of the  United States  (including re-
sources  under the Magnuson Fishery
Conservation  and  Management  Act)
any oil  in such quantities as may be
harmful as  determined  in {§ 110.3.
110.4. and 110.5, except as the same
may  be permitted  in  the contiguous
zone and seaward under MARPOL 73 /
78,  Annex I,  as provided in 33 CFR
151.09.

§ 110.7  Exception for vessel engines.
  For purposes of section 311(b) of the
Act. discharges of oil from a properly

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 Environmental Protection Agency
                            § 110.10
 functioning  vessel  engine  are  not
 deemed to be harmful, but discharges
 of such  oil accumulated in a vessel's
 bilges shall not be so exempt.

 §110.8 Dispersants.
   Addition of dispersants or emulsifi-
 ers to oil to be discharged that would
 circumvent the provisions of this part
 is prohibited.

 § 110.9 Demonstration projects.
   Notwithstanding  any  other provi-
 sions of this pan.  the Administrator
 may permit the discharge of oil, under
 section 311 of the  Act. in connection
 with research, demonstration projects.
 or studies relating  to  the  prevention.
 control, or abatement  of ail pollution.

 §110.10  Notice.
   Any person in charge of a vessel or
 of an  onshore  or offshore facility
 shall, as soon as he or she has knowl-
 edge of any discharge of oil from such
 vessel or facility in violation of § 110.6,
 immediately  notify the National  Re-
 sponse Center (NRC) (800-424-8802; in
 the   Washington.  DC  metropolitan
 area. 426-2675). If direct reporting to
• the  NRC  is  not practicable, reports
 may be made to the Coast Guard or
EPA  predesignated On-Scene Coordi-
nator (OSC)  for the geographic area
where the discharge occurs. All such
reports shall be  promptly relayed to
the NRC. If it is not possible to notify
the NRC or the predesignated OCS
immediately, reports may be made im-
mediately to the nearest Coast Guard
unit,  provided  that  the  person  in
charge of the vessel or onshore or off-
shore facility notifies the NRC as soon
as possible. The reports shall be made
in accordance with such procedures as
the Secretary of Transportation may
prescribe.  The  procedures , for such
notice are set  forth  in  U.S. Coast
Guard regulations,  33 CFR part 153.
subpart B and in the National Oil and
Hazardous Substances Pollution Con-
tingency , Plan. 40 CFR part  300. sub-
part E. (Approved by the Office of
Management and Budget  under  the
control number 2050-0046)

§ 110.11  Discharge at deepwater ports.
  (a) Except as provided in paragraph
(b) below, for  purposes  of section
18(m)(3) of the Deepwater  Port Act of
1974,  the term  "discharge"  shall in-
clude but not be  limited to, any spill-
ing, leaking, pumping, pouring,  emit-
ting,  emptying, or  dumping  into  the
marine  environment of quantities of
oil that:
  (1) Violate  applicable water quality
standards, or
  (2) Cause a film  or sheen upon or
discoloration  of  the  surface of  the
water or adjoining shorelines or  cause
a sludge or emulsion  to be deposited
beneath the surface of the.water or
upon adjoining shorelines.
  (b) For purposes of section 18(m)(3)
of the Deepwater Port Act of 1974, the
term "discharge" excludes:
  (1) Discharges of oil from a properly
functioning  vessel engine, (including
an engine on a public vessel), but not
discharges of such oil accumulated in
a vessel's bilges (unless in compliance
with MARPOL 73/78. Annex I); and
  (2) Discharges of oil permitted under
MARPOL 73/78, Annex I.

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APPENDIX E



40 CFR PART 112

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 40 CFR Ch. I (7-1-91 Edition)
      PART 112— OIL POLLUTION
             PREVENTION

 Sec.
 112.1  General applicability.
 112.2  Definitions.
 112.3  Requirements lor preparation  and
    Implementation of Spill Prevention Con-
    trol and Countermeasure Plans.
 112.4  Amendment at SPCC Plans by Re-
    gional Administrator.
 .112.5  Amendment of Spill Prevention Con-
    trol  and  Countermeasure Plans  by
    owners or operators.
 112.8  Civil penalties for violation of oil pol-
    lution prevention regulations.
 112.7  Guidelines for the preparation  and
    Implementation  of  a Spill Prevention
    Control and Countermeasure Plan.
        — MZMORAITDUH or DmnssTAinnfc
    Brrwmt THZ SECKEXASY or TRAKSFOHTA-
    •now AMD THE ADxnnsxsATOR or TRZ En-
    vutoicioirrAi. PHOTZRTOIC AcBtcr
  AUTHORITY: Sees. 31KJK1KC), 31KJK2),
 5pl(a). Federal Water Pollution Control Act
 (sec. 2. Pub. L. 92-500. 86 SUt. 816 et seq.
 (33 U.S.C. 1251  et seq.)): sec. 4(b). Pub. L.
 92-500. 86 SUt. 897: 5 U.S.C. Reorg. Plan of
 1970 No. 3 (1970). 35 PR 15623. 3 CFR 1966-
 1970 Comp.: E.O. 11735. 38  PR  21243.  3
 CFR.
  Sotntcc 38 FR 34185. Dec. 11. 1973. unless
 otherwise noted.

 0 112.1  General applicability.
  (a) This  part establishes procedures,
 methods and equipment and other re-
 quirements for equipment to  prevent
 the discharge  of oil  from non-trans-
 portation-related  onshore  and  off-
 shore facilities into or upon the navi-
 gable waters of the United States or
 adjoining shorelines.
  (b) Except as provided in paragraph
 (d) of this section, this part applies to
 owners or operators of non-transporta-
 tion-related onshore and offshore fa-
 cilities engaged in drilling, producing.
 gathering,  storing,  processing, refin-
 ing. transferring, distributing  or  con-
 suming  oil  and oil products,  and
 which, due to their location, could rea-
 sonably be expected to discharge oil in
 harmful quantities,  as defined in  part
 110 of this chapter, into or upon the
 navigable waters of the United States
 or adjoining shorelines.
  (c) As provided in section 313  (86
 Stat. 875)  departments, agencies, and
 instrumentalities of the Federal  gov-
 ernment are subject to these regula-
 tions  to  the  same  extent  as  «"y
 person, except for  the provisions of
 1112.6.
 -:
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               Protection Agoncy
 ty of any kind located in. on. or under
 any land  within the United  States.
 other than submerged lands, which is
 not a transportation-related facility.
   (d) Offshore facility means any facil-
 ity of any kind located in. on. or under
 any of the navigable waters  of  the
 United States, which is not a transpor-
 tation-related facility.
   (e) Owner  or  operator means  any
 person owning or operating  an  on-
 shore  facility or an offshore facility.
 and in the case of any abandoned off-
 shore  facility, the person who owned '
 or operated such facility immediately
 prior to such abandonment.
   (f)  Person  includes an Individual.
 firm, corporation, association, and a
 partnership.
   (g) Regional Administrator, means
 the Regional Administrator of the En-
 vironmental Protection Agency, or his
 designee.  in and for  the Region in
 which the facility is located.
   (h) Transportation-related and non-
 transportatian-related as applied to an
 onshore or offshore facility,  are  de-
 fined In the Memorandum of Under-
 standing  between  the  Secretary  of
 Transportation and  the Administrator
 of  the  Environmental   Protection
 Agency, dated November 24.  1971, 36
 FR 24080.
   u) Spill event means a discharge of
 oil into or upon  the navigable waters
 of the United  States  or adjoining
 shorelines  in harmful quantities,  as
 defined at 40 CFR part 110.
  (J) United States means the States,
 the  District of  Columbia,  the Com-
 monwealth  of Puerto Rico, the Canal
 Zone.  Guam.  American  Samoa,  the
 Virgin Islands, and the Trust Terri-
 tory Of the Pacific Tslnnria
  (k) The term navigable waters of the
 United States means navigable voters
 as defined  in section 502(7)  of  the
 FWPCA. and includes:
  (1)  All   navigable waters   of  the
 United States, as defined In judicial
 decisions prior to passage of the 1972
Amendments to the FWPCA (Pub. L.
 92-500),  and  tributaries  of such
waters;
  (2) Interstate waters;
  (3)  Intrastate  lakes,   rivers,  and
streams which are  utilized by inter-
state  travelers  for  recreational  or
 other purposes: and
  (4) .-Intrastate  lakes,   rivers,  and
streams from which fish or shellfish
are taken and sold in  interstate com-
merce.
  (1) Vessel means every description of
watercraf t  or other  artificial contriv-
ance used, or capable of being used as
a  means of transportation  on water,
other th«T* a public vessel
0 11Z3  Requirement* for preparation and
   implementation  of  Spill  Prevention
   Control and Coantermesrore Plan*.
  (a) Owners or operators of  onshore
and offshore facilities in operation on
or before the  effective  date of this
part that have discharged or,  due to
their location, could reasonably be ex-,
pected to  discharge  oil  in harmful
quantities,  as defined in 40 CFR pan
110. into or upon the navigable waters
of the  United  States or adjoining
shorelines,  shall prepare  a Spill Pre-
vention  Control and Countermeasure
Plan  (hereinafter "SPCC Plan").  In
writing and in accordance with  { 112.7.
Except as  provided for in paragraph
(f) of this section, such SPCC  Plan
shall  be  prepared within six months
after the effective date of this part
and shall be fully implemented as soon
as possible, but not later than one
year after the effective date  of this
part.
  (to) Owners or operators of onshore
and  offshore facilities  that become
operational after the effective  date of
this pan. and that have discharged or
could reasonably  be expected  to dis-
charge oil in harmful quantities, as de-
fined in 40 CFR pan 110. into or upon
the  navigable  waters  of the  United
States or  adjoining shorelines,  shall
prepare an SPCC Plan in accordance
with S 112.7. Except as provided for in
paragraph  (f)  of this section,  such
SPCC Plan shall  be prepared within
six months after the date such  facility
begins operations and  shall be  fully
implemented as soon as possible, but
not later than one year after such fa-
cility begins operations.
  (c) Owners or operators of onshore
and offshore mobile or portable facili-
ties, such as onshore drilling or wor-
kover rigs, barge  mounted offshore
drilling or  workover rigs, and portable
fueling facilities shall prepare and im-
plement  an SPCC Plan as required by
paragraphs (a), (b) and (d) of this sec-
tion. The owners or operators of such
facility need not prepare  a new SPCC
Plan each time the facility is moved to
a new site. The SPCC Plan may be a
general plan,  prepared in accordance
with  {112.7. using good engineering
practice. When the mobile or portable
facility  is  moved, it must be  located
and  Installed using the spill preven-
tion practices  outlined in the SPCC
Plan  for the facility.  No  mobile or
portable facility subject to this regula-
tion shall  operate unless the SPCC
Plan  has  been  implemented.  The
SPCC Plan shall only apply while the
facility  is  in a fixed (non-transporta-
tion) operating mode.
  (d) No SPCC Plan shall be effective
to satisfy  the  requirements  of  **>\K
pan unlejg it has been reviewed by a
Registered Professional Engineer and
certified to by such Professional Engi-
neer. By means of this certification
the engineer, having examined the fa-
cility and being *"*«<»*»• with the pro-
visions of  this part, shall attest that
the SPCC  Plan has been prepared in
accordance with  good   engineering
practices.  Such certification shall in
no way relieve the owner or operator
of an onshore or offshore facility of

-------
 §112.4
          40 CFR Ch. I (7-1-91 Edition)
 his duty to  prepare  and fully imple-
 ment  such Plan  in  accordance  with
 ! 112.7. as required by paragraphs (a),
 (b) and (c) of this section.
  (e) Owners or operators of a facility
 for which an SPCC  Plan is required
 pursuant to paragrapr. < a), (b) or (c) of
 this section shall maimain a complete
 copy of the Plan at such facility if the
 facility is normally attended at least 8
 hours  per day, or at  the nearest  field
 office if the facility is not so attended.
 and shall make such Plan available to
 the Regional Administrator for on-site
 review during normal  working hours.
  (f) Extensions of time.
  (1) The Regional Administrator may
 authorize an extension of time for the
 preparation and  full implementation
 of an SPCC "Ian beyond the time per-
 mitted for ,:ie preparation and imple-
 mentation  of an SPCC Flan pursuant
 to paragraph (a), (b) or (c) of this sec-
 tion where he finds that the owner or
 operator of a facility subject to para-
 graphs (a), (b) or (c) of this section
 cannot fully  comply with the require-
 ments of this part as a result of either
 nonavailability of qualified  personnel,
 or delays in construction or equipment
 delivery beyond the control and with-
 out the fault of such owner or opera-
 tor or  their respective agents or em-
 ployees.
  (2) Any owner or operator seeking
 an extension of time pursuant to para-
 graph (f )(l) of this section may submit
 a letter of request to the Regional Ad-
 ministrator. Such letter shall Include:
  (i) A complete copy  of the SPCC
 Plan, if completed:
  (11) A full explanation of the cause
 for any such delay and the specific as-
 Pecta of the SPCC Plan affected by
 the delay;
  (ill) A full discussion of actions being
 taken or contemplated to minimize or
mitigate such delay;
  (Iv) A proposed time  schedule  for
the Implementation of any corrective
actions being taken or contemplated,
 including interim dates for completion
 of tests or studies, installation »*"* op-
 eration of any necessary equipment or
 other preventive measures.
 In addition,  such owner or operator
 may present additional oral or written
 statements in support of his letter of
 request.
  (3) The submission  of a letter of re-
 quest for extension of  time pursuant
 to paragraph (f)(2)  of this section
 shall In no way relieve the owner or
 operator from his obligation to comply
 with the requirements of 9 112.3 (a).
 (b) or (c). Where an extension of time
 is authorized by the Regional Admin-
 istrator for  particular equipment or
 other  specific  aspects  of the SPCC
 Plan, such extension shall  in no way
 affect the owner's or operator's obliga-
 tion to comply with the requirements
 of {112.3 (a), (b) or (c) with respect to
 other equipment or other specific as-
 pects of the SPCC Plan for which an
extension  of  time has  not been ex-
pressly authorized.
C38 FR 34165. Dec. 11. 1973. as amended at
41 FR 12657. Mar. 26. 19761

8 112.4 Amendment of SPCC Plans by Re-
    gional Administrator.
  (a)   Notwithstanding   compliance
with  5 112.3. whenever a facility sub-
ject to § 112.3 (a), (b) or (c) has:  Dis-
charged  more than  1.000 U.S. gallons
of  oil into  or  upon  the navigable
waters of the United States or adjoin-
ing shorelines in a single spill event, or
discharged oil  in harmful  quantities.
as defined  in 40 CFR pan 110. into or
upon  the  navigable  waters  of  the
United States or adjoining shorelines
in two spill events, reportable under
section 311(b)(5) of the FWPCA, oc-
curring  within  any  twelve  month
period, the owner or operator of such
facility shall submit to the Regional
Administrator,  within  60  days from
the time such facility becomes subject
to this section, the following:
  (1) Name of the facility;
  (2) Name
-------
 Environmental Protection Agency
                                                                         §112.4
cility.
  (d) Alter review of the SPCC Plan
lor a facility subject to paragraph (a)
of this section, together with all other
Information submitted by the owner
or operator of such facility, and by the
State agency  under paragraph (c)  of
this section, the Regional Administra-
tor may require the owner or operator
of such facility to amend the SPCC
Plan If he finds that the Plan does not
meet the requirements of this part or
that the  nnmnrimgnt of  the PI*" is
necessary to prevent and to contain
discharges of oil from such facility.
  (e) When the Regional Administra-
tor proposes to require an amendment
to the SPCC Plan, he shall notify the
facility  operator by certified mn» ad-
dressed to. or by  personal delivery to,
the facility owner or operator, that he
proposes to require an amendment to
the  Plan, and shall specify the terms
of such amendment. If  the facility
owner or  operator is a corporation, a
copy of such notice  shall  also  be
mailed to the registered agent, if any,
of such corporation in the State where
such facility is located. Within 30 days
from receipt of such notice, the facili-
ty owner or operator may^submlt writ-
ten information, views, and arguments
on the amendment. After considering
all  relevant material presented, the
Regional  Administrator shall  notify
the  facility owner or operator  of any
amendment required or  shall rescind
the  notice.  The amendment  required
by the  Regional  Administrator shall
become  part of the Plan 30 days after
such notice. "niP«s the Regional Ad-
ministrator.  for   good   cause.  shall
specify  another  effective  date.  The
owner or operator of the facility shall
implement  the amendment  of  the
Flan as soon as possible, but  not later
     six months after the gtT"*n>*
becomes part of the Plan. i™i»«g the
Regional  Administrator  specifies an-
other date.
  (f ) An owner or operator may app-Al
a decision made by the Regional Ad-
ministrator  requiring an am»nrimi»T»t
to an SPCC Flan. The appeal shall be
made  to  the Administrator  of the
United States Environmental Protec-
tion Agency and must be made in writ-
ing within 30 days of receipt of the
notice from the Regional Administra-
tor requiring the amendment. A com-
plete copy of the appeal must be sent
to the Regional Administrator at the
time the  appeal is made. The appeal
shall contain a clear and concise  state-
ment of the issues and points of fact
in the case. It may also contain addi-
tional information from the owner or
operator,  or from any  other person.
The  Administrator  or his  design ee
may  request  additional  Information
from the owner or operator, or from
any  other person. The Administrator
or his designee shall render a decision
within 60 days of receiving the appeal
and  "hnii  notify the owner or operator
of his decision.
C38 FR 34165. Dec. 11. 1973. as amended at
41 FR 12658. Mar. 26. 1976]

8112-5 Amendment of Spill  Prevention
   Control and. Countcrmeasure Plans by
   owner* or operators.
  (a) Owners or operators of facilities
subject to  $ 112.3 (a),  or (c) shall
amend the SPCC Flan for such facility
in accordance with  § 112.7  whenever
there is a change in facility design.
construction,  operation  or mainte-
nance which materially  affects the fa-
cility's potential for the discharge of
oil into or upon the navigable waters
of the United  States  or  adjoining
shore lines. Such amendments shall be
fully implemented as soon as possible.
bi:t not later than six months after
such change occurs. .
  (b)   Notwithstanding  compliance
with  paragraph (a) of  this section.
owners and operators of facilities sub-
ject to $ 112.3 (a), (b) or (c) shall com-
plete  a review and evaluation of  the
SPCC Plan at least  once every three
years from the date such facility be-
comes subject to this part. As a result
of this review  and  evaluation,   the
owner or operator shall amend  the
SPCC Plan within six months of  the
review to  include more effective  pre-
vention and control technology if: (1)
Such   technology  will  significantly
reduce the likelihood of a spill event
from the facility,  and (2) if such tech-
nology has been field-proven at  the
time of the review.
  (c) No amendment to an SPCC Plan
shall  be effective to satisfy the re-
quirements of  this  section  unless it
has been  certified by a Professional
Engineer    in    accordance    with
5112.3(d).

9 112.6  Civil penalties  for violation of oil
   pollution prevention regulations.
  Owners or operators of facilities sub-
ject to § 112.3 (a), (b) or (c) who vio-
late the requirements of this pan 112,
by failing or refusing to comply with
any of the provisions of  § 112.3. § 112.4
or g112.5 shall be liable for a civil pen-
alty of not more than S5.000 for each
day  such  violation  continues.  Civil
penalties shall be imposed in accord-
ance with procedures set out in  pan
114 of this siibchapter D.
(Sees. 311CJ). SOl(a). Pub. L. 92-500. 88 Stat.
868. 885 (33 U.S.C. 1321CJ). 1361(a)»
[39 FR 31602. AUK. 29.19741

S 112.7  Guidelines for the preparation and
    implementation of a Spill Prevention
    Control and Counterraeaaare Plan.
 The SFCC Flan shall be a carefully
thought-out plan, prepared in accord-
ance with good engineering practices.
and which has the full  approval of
management at a level with authority
to  commit the necessary resources. If
the plan "*"« for additional facilities

-------
                                                      40 CFR Ch. I (7-1-91  Edition)
 or procedures, methods, or equipment
 not  yet fully operational, these items
 should be discussed in separate para-
 graphs, and  the details of installation
 and operational start-up should be ex-
 plained   separately.   The  complete
 SPCC Plan shall follow the sequence
 outlined below, and include a discus-
 sion of the facility's conformance with
 the appropriate guidelines listed:
  (a) A facility which has experienced
 one  or more  spill events within twelve
 months prior to the effective  date of
 this part should Include a written de-
 scription of each such spill, corrective
 action taken and plans for preventing
 recurrence.
  (b)  Where experience  indicates a
 reasonable  potential  for  equipment
 failure (such as tank  overflow,  rup-
 ture, or leakage), the  plan should in-
 clude  a  prediction of the direction.
 rate of flow, and total quantity of oil
 which  could be discharged from the
 facility as a result of each major type
 of failure.
  (c) Appropriate containment and/or
 diversionary  structures or  equipment
 to prevent discharged oil from reach-
 ing a navigable water course should be
 provided. One of the following  preven-
 tive  systems  or its equivalent should
 be Used as a minitnnnr
  (1) Onshore facilities:
  (i) Dikes, berms  or retaining walls
 sufficiently  impervious  to   contain
 spilled oil:
  (11) Curbing;
  (ill)  Culverting.  gutters or other
 drainage systems:
  (iv) Weirs, booms or other barriers:
  (v) Spill diversion ponds:
  (vi) Retention ponds;
  (vii) Sorbent materials.
  (2) Offshore facilities:
  (1) Curbing, drip pans:
  (11) Sumps and collection systems.
  (d) When it is determined that the
 Installation of structures or equipment
 listed  in   S112.7(c) to  prevent  dis-
 charged oil from reaching the  naviga-
 ble waters is not practicable from any
 onshore or offshore facility, the owner
 or  operator  should  clearly   demon-
 strate  such impracticability and  pro-
 vide  the following:
  (1) A strong oil spill  contingency
 plan following the provision of 40 CFR
 part 109.
  (2) A written commitment of man-
 power, equipment  and materials  re-
 quired to  expeditiously  control  and
 remove any  harmful quantity of oil
 discharged.
  (e) In addition to the minimal  pre-
 vention   standards   listed   under
 { 112.7(c). sections of the Plan should
 include a  complete discussion  of con-
 formance  with the following applica-
 ble guidelines, other effective spill pre-
vention and  containment procedures
(or. if more stringent, with State rules.
regulations and guidelines):
  (1) Facility drainage {onshore): (ex-
cluding  production   facilities}.   (i)
Drainage  from diked  storage areas
should be restrained by valves or er'ier
positive means to  prevent  a spill or
other excessive leakage of oil into the
drainage  system  or inplant effluent
treatment system, except where plan
systems are designed to handle  such
leakage. Diked areas may be emptied
by pumps or ejectors:  however, chese
should be manually activated and the
condition  of the accumulation  should
be examined before starting to be sure
no  oil will be discharged  into  the
water.
  (11) Flapper-type drain valves should
not  be used  to   drain  diked areas.
Valves used for the drainage of diked
areas should, as far as practical, be of
manual, open-and-closed design. When
plant drainage drains directly  into
water courses and not into wastsw&ter
treatment  plants,  retained  storm
water should be inspected as provided
in paragraphs  (eX2)(lil) (B). (C) and
(D) of this section before drainage.
  (ill) Plant drainage systems from un-
diked areas should, if  possible,  flow
into   ponds,  lagoons  or  catchment
basins, designed to retain oil or return
it to  the facility.  Catchment basins
should not be located in areas subject
to periodic flooding.
  (Iv) If  plant drainage is  not engi-
neered as  above, the final discharge of
all in-plant ditches should be equipped
with a diversion system that could, in
the event of  an  uncontrolled spill,
return the oil to the plant.
  (v) Where drainage waters are treat-
ed in more than  one treatment  unit.
natural hydraulic flow should be used.
If pump transfer is needed, two "lift"
pumps should be provided, and at least
one of the pumps should be perma-
nently installed when such  treatment
is continuous. In any event, whatever
techniques are used facility drainage
systems should be adequately engi-
neered to prevent  oil from reaching
navigable  waters in the event of equip-
ment  failure or human error at the fa-
cility.
  (2) Bulk storage tanks (onshore); (.ex-
cluding production facilities),  (i) No
tank should be used for the  storage of
oil unless its material and construction
are  compatible  with  the ' material
stored and conditions of storage such
as pressure and temperature, etc.
  (11)  All  bulk storage  tank installa-
tions  should be constructed so that a
secondary  means  of  containment is
provided for the entire contents of the
largest single tank plus sufficient free-
board to allow for precipitation. Diked
areas  should  be sufficiently impervi-
ous to contain spilled oil. Dikes, con-
tainment curbs, and pits are common-
ly employed for this purpose, but they
may not always be appropriate. An al-
ternative  system  could consist of  a
complete  drainage trench  enclosure
arranged so that a spill could termi-
nate and  be safely confined in an in-
plant  catchment  basin  or  holding
pond.

-------
 Environmental Protection Agency
                             §112.7
  (111) Drainage of rainwater from the
 diked area into a storm drain or an ef-
 fluent discharge that empties into an
 open water course, lake, or pond, and
 bypassing   the  In-plant   treatment
 system may be acceptable if:
  (A) The  bypass  valve is  normally
 sealed closed.
  (B) Inspection of the run-off rain
 water  ensures  compliance  with appli-
 cable water quality standards and will
 not cause a  harmful discharge as de-
 fined in 40 CFR part 110.
  (C) The bypass valve is opened, and
 reseated following drainage  under re-
 sponsible supervision.
  (D) Adequate records are kept of
 such events.
  (iv) Burled metallic  storage tanks
 represent a  potential  for  undetected
 spills. A new buried installation should
 be protected from  corrosion by coat-
 ings, cathodic protection or other ef-
 fective methods compatible with local
 soil  conditions.  Such  buried  tanks
 should at least be subjected to regular
 pressure testing.
  (v) Partially buried metallic tanks
 for the storage of oil should be avoid-
 ed. »m«««  the buried section  of the
 shell is adequately coated, since par-
 tial burial in damp earth <•-»" cause
 rapid corrosion of metallic surfaces.
 especially at the earth/air interface.
  (vi) Aboveground  tanks should  be
subject to periodic  integrity testing.
taking Into account tank design (float-
 ing roof, eta) and  using  such -tech-
niques as hydrostatic testing, visual in-
spection  or  a system of non-destruc-
tive shell thickness  testing.  Compari-
son records  should  be kept where ap-
propriate, and tank supports  and foun-
dations should be included in these in-
spections. In addition, the outside of
the  tank should frequently  be ob-
served  by  operating  personnel for
signs  of  deterioration,  leaks   which
might cause a spill, or accumulation of
oil inside diked areas.
  (vii) To control leakage through de-
fective internal heating  coils, the fol-
lowing factors should  be considered
and applied, as appropriate.
  (A) The steam return  or exhaust
lines from Internal heating coils which
discharge into an open water  course
should be  monitored  for  contamina-
 tion,  or passed through a settling
 tank skimmer, or other separation or
retention system.
  (B) The  feasibility of installing an
external heating system should also be
considered.
  (vlll) New and old tank installations
should, as far as practical, be fail-safe
 engineered or updated into a fail-safe
 engineered installation to  avoid spills.
 Consideration should be given  to pro-
 viding one or more of the following de-
 vices:
  (A) High liquid level alarms  with an
 audible or visual signal at  a constantly
 manned operation  or surveillance sta-
 tion: in  smaller plants an audible air
vent may suffice.
  (B) Considering size and complexity
of the facility, high liquid level pump
cutoff devices set to stop flow at a pre-
determined tank content level.
  (C) Direct  audible or code  signal
communication   between  the  tank
gauger and the pumping station.
  (D) A fast response system for deter-
mining  the  liquid  level of each bulk
storage tank  such  as digital comput-
ers,  telepulse, or direct vision gauges
or their equivalent.
  (E)  Liquid level  sensing  devices
should  be  regularly  tested to  Insure
proper operation.
  (ix) Plant  effluents which are dis-
charged into navigable waters should
have disposal facilities  observed fre-
quently  enough  to detect  possible
system  upsets that could cause an oil
spill event.
  (x) Visible oil leaks which result in a
loss  of  oil  from  tank seams, gaskets.
rivets and  bolts  sufficiently large to
cause the accumulation of oil in diked
areas should be promptly corrected.
  (xi) Mobile or portable oil  storage
tanks (onshore) should be positioned
or located so  as to prevent spilled oil
from reaching navigable waters. A sec-
ondary means of containment,  such as
dikes or catchment basins, should be
furnished for the  largest  single com-
partment or tank.  These  facilities
should  be  located where they  will
not be subject to periodic flooding or
washout.
  (3)  Facility   transfer  operations,
pumping, and in-plant process (on-
shore);  (.excluding  production facili-
ties), (i) Buried piping  installations
should have a protective wrapping and
coating and  should be  cathodically
protected if soil conditions warrant. If
a section of buried line is  exposed  for
any  reason, it should be carefully  ex-
amined for  deterioration.  If  corrosion
damage is found, additional  examina-
tion and corrective action should be
taken as indicated by  the magnitude
of the damage. An alternative would
be the  more  frequent use of exposed
pipe corridors or galleries.
  (11) When a. pipeline is not in service.
or in standby service for an extended
time the terminal connection  at  the
transfer point should  be capped or
blank-flanged,  and  marked   as  to
origin.
  (ill) Pipe supports should be proper-
ly designed to minimize abrasion and
corrosion and allow for expansion and
contraction.
  (iv) All aboveground valves and pipe-
lines should  be  subjected to  regular
examinations by operating  personnel
at which time the general  condition of
Items, 'such as flange joints, expansion
joints, valve glands and bodies, catch
pans,  pipeline  supports,  locking of
valves,  and metal  surfaces should be
assessed. In addition, periodic pressure
testing may be warranted for piping in
areas where facility drainage  is such
that a failure might lead to a spill

-------
§112.7
         40 CFR Ch. I (7-1-91 Edition)
event.
  (v) Vehicular traffic granted entry
into the facility should be warned ver-
bally or by appropriate signs  to  be
sure  that the  vehicle, because  of  its
size,  will not endanger above ground
piping.
  (4) Facility tank car and tank truck
loading/unloading  rack (onshore),  (i)
Tank car and tank truck loading/un-
loading procedures should  meet the
P»
-------
  Environmental Protection Agency
                              §112.7
  a blowout prevention (BOP) assembly
  and well control system should be in-
  stalled that is capable of controlling
  any well head pressure that is expect-
  ed to  be encountered while that BOP
  assembly is on the  well.  Casing and
  BOP installations should be in accord-
  ance with State regulatory agency re-
  quirements.
   (7) OtZ drilling, production, or work-
  over facilities (offshore). (1) Definition:
  "An oil drilling,  production  or wor-
  kover  facility (offshore)" may  include
  all drilling  or  workover  equipment.
  wells,  flowlines. gathering lines, plat-
  forms, and  auxiliary nontransporta-
  tion-related  equipment and facilities
  in a single geographical oil or gas field
  operated by a single operator.
   (11)  Oil  drainage  collection equip-
  ment  should be  used to prevent and
  control  small  oil  spillage   around
  pumps, glands, valves, flanges, expan-
  sion joints, hoses, drain lines,  separa-
  tors, treaters. tanks,  and allied equip-
  ment.  Drains on the facility should be
  controlled and directed toward a cen-
  tral collection sump or equivalent col-
  lection system sufficient  to  prevent
  discharges  of oil into the navigable
  waters of the United States.  Where
  drains and  sumps are not practicable
  oil  contained in collection equipment
  should be removed as often as neces-
  sary to prevent overflow.
   (Hi) For facilities employing  a sump
  system,  sump and drains should  be
.  adequately sized and a spare pump or
  equivalent method should be available
  to remove liquid from the sump and
  assure that oil does not escape.  A regu-
  lar  scheduled preventive maintenance
  inspection and testing program should
  be  employed to assure reliable oper-
  ation of the liquid removal system and
  pump   start-up  device.   Redundant
  automatic sump pumps and control de-
  vices may be required on some instal-
  lations.
   (iv) In areas where separators and
  treaters   are  equipped  with   dump
  valves  whose predominant mode  of
  failure is in the closed position and
  pollution risk  is  high, the   facility
  should  be specially equipped  to pre-
  vent the escape of oil. This could be
  accomplished by  extending the  flare
  line to a diked area if the separator is
  near shore, equipping it with  a high
  liquid  level  sensor that will automati-
  cally shut-in wells producing  to the
 separator,  parallel redundant dump
 valves, or other feasible alternatives to
 prevent oil discharges.
   (v) Atmospheric storage or  surge
 tanirc should be  equipped with high
 liquid level sensing devices or other ac-
 ceptable alternatives to prevent oil'dis-
 charges.
   (vi)  Pressure   tanks   should   be
 equipped with high and low pressure
 sensing devices to  activate an alarm
 and/or control the flow or other ac-
 ceptable alternatives to prevent oil dis-
 charges.
   (vil) Tanks should be equipped with
 suitable corrosion protection.
  (viii) A written procedure  for in-
 specting and testing  pollution preven-
 tion equipment and systems should be
 prepared  and maintained at the facili-
 ty. Such  procedures should be includ-
 ed as part of the SPCC Plan.
  (ix)  Testing and inspection of  the
 pollution  prevention  equipment  and
 systems at the facility should be  con-
 ducted by the owner or operator on a
 scheduled periodic  basis  commensu-
 rate with the complexity, conditions
 and circumstances of the facility or
 other appropriate regulations.
  (x)  Surface  and  subsurface  well
 shut-in valves and devices in use at the
 facility should  be  sufficiently   de-
 scribed to determine method of activa-
 tion or control,  e.g., pressure differen-
 tial, change in fluid or flow conditions.
 combination  of pressure  and flow.
 manual  or  remote  control  mecha-
 nisms. Detailed records  for each well.
 while not necessarily pan of the plan
 should be kept by the owner or opera-
 tor.
  (xl) Before drilling  below any casing
 string, and during workover operations
 a blowout preventer  (BOP) assembly
 and well control system should be in-
 stalled that  is capable  of controlling
 any well-head pressure that Is expect-
 ed to be encountered while that BOP
 assembly  is on  the well.  Casing  and
 BOP Installations should be in accord-
 ance with State regulatory agency re-
 quirements.
  (xil)  Extraordinary   well  control
 measures  should  be  provided should
 emergency conditions, including fire.
 loss  of control and  other  abnormal
 conditions, occur. The degree of con-
 trol  system redundancy should vary
 with  hazard exposure  and probable
 consequences  of failure. It  is recom-
 mended that surface shut-in systems
 have redundant or "fail close" valving.
 Subsurface safety valves may not be
 needed in  producing wells that will not
 flow but  should  be  Installed as  re-
 quired by  applicable State regulations.
  (xiii) In order that  there will be no
 misunderstanding  of  joint and sepa-
 rate duties and obligations to perform
 work  in  a  safe  and pollution free
 manner, written instructions should be
 prepared by the owner or operator for
 contractors   and  subcontractors   to
 follow whenever contract activities in-
 clude servicing a well or systems ap-
 purtenant to a well or pressure vessel.
Such   instructions  and  procedures
should be maintained at the offshore
 production facility. Under  certain cir-
 cumstances  and conditions such con-
 tractor activities may  require the pres-
 ence at the facility of an authorized
 representative of the  owner or opera-
 tor who would intervene when neces-
sary to prevent a spill  event.
  (xiv) All manifolds (headers) should
be equipped with chr'Ji valves on indi-
vidual flowlines.
  (xv)  If the shut-in  well  pressure is
greater than the working  pressure of

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 §11Z7
          40 CFR Ch. I (7-1-91 Edition)
 the flowline and manifold valves up to
 and including the header valves associ-
 ated with that individual flowline. the
 flowline  should be equipped with  a
 high pressure sensing device and shut-
 in valve at the wellhead unless provid-
 ed with a pressure relief system to pre-
 vent over pressuring.
   (xvi) All pipelines appurtenant  to
 the facility should be protected from
 corrosion. Methods used, such as pro-
 tective coatings or cathodic protection.
 should be discussed.
   (xvii) Sub-marine pipelines appurte-
 nant to  the  facility should be  ade-
 quately protected against environmen-
 tal stresses and other activities such as
 fishing operations.
   (xvili) Sub-manne pipelines appurte-
 nant to the facility should be in good
 operating condition at all t<™«« nnrf in.
 spected on a scheduled  periodic basis
 for  failures. Such  inspections should
 be documented and maintained at the
 facility.
   (8) Inspections and records. Inspec-
 tions required by this pan should te
 in accordance  with written procedures
 developed for the facility by the owner
 or operator. These written procedures
 and a record of the inspections, signed
 by the appropriate  supervisor or in-
 spector. should be  made part of the
 SPCC  Flan and  maintained,  for  a
 period of three years.
  (9) Security  (.excluding oil produc-
 tion facilities), (i) All plants handling.
 processing,  and storing  oil should be
 fully  fenced,   and   entrance  gates
should be locked and/or guarded when
 the plant is not In production or is un-
 attended.
  (11) The master flow and drain valves
 and  any other valves that will permit
 direct outward flow of the tank's con-
tent to the surface should be securely
locked in the closed position  when in
non-operating or non-standby status.
  (ill) The  starter control on all oil
 pumps  should  be locked in the "off"
 position or located at ajite accessible
 only to authorized personnel when the
pumps  are in a non-operating or non-
standby status.
  (iv) The >»"<<"g/MP^n^f**Tig connec-
tions of oil pipelines should be secure-
ly capped or blank-flanged when not
in service or standby service for an ex-
tended  time.  This  security  practice
should also apply to pipelines that are
emptied  of  liquid content either by
draining or by inert gas pressure.
  (v) Facility lighting should be com-
mensurate with the type and location
of the facility. Consideration should
be .given to:  (A) Discovery  of spills oc-
curring during hours of darkness, both
by operating personnel, if present, and
by non-operating personnel (the  gen-
eral  public, local  police,  etc.) and (B)
prevention of spills occurring through
  (10)  Personnel,  training and spill
prevention  procedures,  (i) Owners  or
operators are responsible for properly
instructing  their personnel in  the op-
eration and maintenance of equipment
to prevent  the discharges of oil and
applicable pollution control laws, rules
and regulations.
  (11)  Each  applicable facility should
have  a designated person who is ac-
countable for oil spill prevention and
who reports to line management.
  (ill)  Owners  or  operators  should
schedule  and conduct spill prevention
briefings  for their operating personnel
at Intervals frequent enough to assure
adequate understanding of the SFCC
Flan  for  that facility. Such briefings
should highlight and  describe known
spill events or failures, malfunctioning
components,  and recently developed
precautionary measures.
APPENDIX—MEMORANDUM   OF  DNDEB-
    sTAiroraG BETWEEN THE SCCBEXART
    or TBANSPOBTATXON  AND  THE  Ao-
    HmZSTBATOB OP THE ENVIHOWMZIf-
    TAL PROTECTION AGENCY

         SECTION n—Donrrnoiia

  The  Environmental  Protection  Agency
and  the Department of  Transportation
agree that  for the purposes of  Executive
Order 11548. the term:
  (1)  "Non-transportation-related onshore
and offshore faculties" means:
  (A) Fixed onshore and offshore oil  well
drilling  facilities including  m** equipment
and appurtenances related thereto  used in
drilling operations for exploratory or devel-
opment  wells, but excluding any terminal
facility, unit or process integrally associated
with, t*«i» handllng-or transferring of 011 in
bulk to or from a vessel.
  (B) Mobile onshore *nfl offshore  oil  well
drilling platforms, barges, trucks, or other
mobile f»**?i*tlff including all equipment •*"*
appurtenances related  thereto when such
mobile facilities are fixed  In position for the
purpose of drilling operations for explorato-
ry or development wells, but excluding any
terminal  faculty, unit or  process integrally
associated with the *""'"|"tr or transferring
of oil In bulk to or from a vessel.
  
-------
  Environmental Protection Agency
                          Pt.  112, App.
 or from a vessel.
   (F) OH'  storage  facilities  including  all
 equipment and appurtenances related there-
 to as well as fixed bulk plant storage, termi-
 nal oil storage facilities.- consumer storage.
 pumps and drainage systems used in the
 storage of oil. but excluding inline or break-
 out storage tanks needed for the continuous
 operation of a pipeline system and any ter-
 minal facility, unit or process integrally as-
 sociated  with  the handling or transferring
 of oil in bulk to or from a vessel.
    Industrial, commercial, agricultural or
 public facilities which use and store oil. but
 excluding any terminal  facility,  unit  or
 process integrally associated with the han-
 dling or  transferring of oil in bulk to or
 from a vessel.
   (E) Waste  treatment  facilities including
 in-plant pipelines, effluent discharge lines.
 and  storage  tanks,  but  excluding  waste
 treatment facilities  located  on vessels and
 terminal  storage  tanks  and appurtenances
 for  the reception of oily ballast water or
 tank washings from  vessels and associated
 systems used for off-loading vessels.
   (I) leading racks, transfer hoses, loading
 anna and other equipment which are appur-
 tenant to a nontransportation-related facili-
 ty or terminal faculty and which are used to
 transfer oil In bulk to or from highway vehi-
 cles or railroad cars.
   (J) Highway vehicles  and railroad cars
 which are used for the transport of oil ex-
 clusively within the confines of a nontrans-
 portation-related facility and which are not
 intended  to  transport oil in  interstate  or
 Intrastate commerce.
  (K) Pipeline systems which  are used for
 the  transport of oil exclusively within the
 confines of  a nontransportation-related fa-
 cility or terminal facility and which are not
 Intended  to transport oil In interstate or
 intnstate commerce, but excluding pipeline
 systems used  to  transfer oil in bulk  to or
 from a vessel.
 • (2) "Transportation-related onshore and
 offshore facilities" means:
  (A) Onshore and offshore terminal facili-
 ties  including transfer hoses, loading arms
 and  other equipment "»«*  appurtenances
 used for the purpose of  hailing or trans-
 ferring oil In bulk to or from a vessel as well
 as storage tanks and appurtenances for the
reception  of oily ballast water or tank wash-
 Ings from vessels, out excluding terminal
waste treatment  facilities and terminal oil
storage facilities.
  (B) Transfer hoses,  loading  arms  and
 other equipment appurtenant to  a non-
 transportation-related facility which is used
 to transfer oil in bulk to or from a vessel.
  (C) Interstate and intrastate onshore and
 offshore pipeline  systems including pumps
 and  appurtenances related  thereto  as well
 as in-line  or breakout storage tanks needed
 for the continuous operation of a pipeline
 system, and pipelines from onshore and off-
 shore oil production facilities, but excluding
 onshore and offshore piping from wellheads
 to oil separators  and pipelines which  are
 used for  the  transport of  oil exclusively
 within the confines of a nontransportation-
 related  facility  or  terminal  facility and
 which are not intended  to  transport  oil In
 interstate or  intrastate  commerce  or  to
 transfer oil in bulk to or from a vessel.
   (D) Highway vehicles and railroad cars
 which are used for the  transport of  oil in
 interstate or  intrastate  commerce and the
 equipment and appurtenances related there-
 to, and equipment used for the fueling of lo-
 comotive  units, as well as the  rights-of-way
 on which they operate. Excluded are high-
way  vehicles and railroad cars and  motive
power used exclusively within the confines
of a nontransportation-related  facility  or
terminal facility and which are not Intended
for use in interstate or intrastate commerce:

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  APPENDIX F



33 CFR PART 153.201

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33 CFR Ch. I (7-1-92 Edition)
  Subport B—Notice of the Discharge
   of Oil or a Hazardous Substance

6153.201 Purpose.
  The  purpose  of this subpart is to
prescribe  the manner  in which  the
notice required  in section 311(b)(5) of
the Act is  to be given and to list the
government  officials  to receive  that
notice.

§ 151203 Procedure for the notice of dis-
    charge.
  Any person in charge of a vessel or
of  an  onshore  or  offshore facility
shall, as soon as they have knowledge
of any discharge of oil or a hazardous
substance from such vessel or facility
in violation of section 311(b)(3) of the
Act,  Immediately notify the National
Response  Center (NRC).  U.S.  Coast
Guard,  2100  Second  Street.   SW..
Washington. DC 20593. toll free tele-
phone number 800-424-8802 (in Wash-
ington.  DC  metropolitan  area, (202)
267-2675).  If direct  reporting  to the
NRC is not practicable, reports may be
made to the  Coast Guard or EPA pre-
designated OSC  for the  geographic
area where the  discharge occurs. All
such reports shall be promptly relayed
to  the NRC. If it  is not possible to
notify the  NRC or the predesignated
OSC  immediately,   reports  may  be
made  immediately  to  the  nearest
Coast Guard unit, provided  that the
person in  charge of the vessel or on-
shore or offshore facility notifies the
NRC as soon as possible.

  Norr Geographical jurisdiction of Coast
Guard and EPA OSC's are specified in the
applicable Regional Contingency Plan. Re-
gional Contingency Plans are  available  at
Coast Guard District Offices and EPA Re-
gional Offices as indicated in Table 2. Ad-
dresses and telephone numbers for these of-
fices are listed in Table 1.
CCGD 84-067. 51 FR 17966. May 16. 1986. as
amended by  CGD 88-052. S3 FR 25121. July
1.19881

§ 153.205 Fines.
  Section  311(b)(5)  of the  Act pre-
scribes that  any  person who fails to
notify  the  appropriate agency of the
United States Government immediate-
ly of a discharge is. upon  conviction.
subject  to  a fine of not more  than
$10.000. or  to  imprisonment  of not
more than one year, or both.
TABLE 1—ADDRESSES AND TELEPHONE NUM-
  BERS OF COAST GUARD DISTRICT' OFFICES
  AND EPA REGIONAL OFFICES

                               Telephone
             EPA Regional Offices
Region:
I 	

II 	

III 	

IV.. „

V 	

VI 	

VII ._

VIII ...

IX —

X 	


John F. Kennedy Federal 8Mg..
Boston. MA 02203.
26 Federal Plaza. New York. NY
10278.
841 Chestnut Street. Philadel-
phia. PA 19107.
345 Couroand Street. NE. Atlan-
ta. GA 30365.
230 S. Oearoom Street. 13m
Floor. Chicago. IL 60604.
1445 Ross Ave.. 12th Floor.
Suite 1200. Dallas. TX 75202.
726 Minnesota Avenue. Kansas
City. KS 66101.
999 18m St. Suite 500. Denver.
CO 80202-240S.
215 Fremont Street S*n Fran-
osco. CA 94105.
1200 6tn Avenue. Seatta. WA
98101.

617-565-3715

212-264-2525

215-597-9800

404-347-4727

312-353-2000

214-655-6444

913-238-2600

303-293-1603

415-974-8071

206-442-5810

           Coast Guard Oiatnet Offices
Dinner


   2nd...

   5th_

   7m.


   8tn_
   inn.


   13m

   i4m.


   17m.
408 Aflame Aw,.. Boston. MA  617-223-8444
 02110-2209.
1430 Olive SL.  SI Louis. MO  314-425-4655
 •63103.
Federal BkJg.. 431 Crawford SL.  604-398-6638
 Portsmouth. VA 23705-5004.
Federal Bklg.. Room 1221.  51  305-536-5651
 S.W.  1st  Ave..  Miam.  FL
 33130.
Hale Boggs Federal BMg.. 500 i 504-589-6901
 Camp SL.  New Oneans.  LA {
 70130-3396.            I
1240 East 9tn  SL. Cleveland.  216-522-3919
 OH 44199.
unon Bank BMg.. 400 Ocean-  213-499-5330
 gate. Long Beech. CA 90822-
 5399.
Federal BWo, 915 Second Ave..  206-442-5850
 Seattle. WA 98174.
Prince  KaUnaneoie   Federal  808-541-2114
 Bug.. 300  Ala Moana Blvd.
 9th Floor. Honolulu. HI 96850.
P.O Bo> 3-5000. Juneau.  AK  907-586-7195
 99802.
TABLE  2—STANDARD  ADMINISTRATIVE  RE-
  GIONS  OF STATES  AND CORRESPONDING
  COAST GUARD DISTRICTS AND EPA REGIONS
         States and EPA region
Regan I:
   Maine..
      All euaot Northwestern i
      Northwestern ponon.
   Masaacnusens	
   Cumiectii. ut	
   Rhode island...
flagon II:
   New York:
      Coastal area and Eastern portion	
      Great Lakes area and other portions..
   New Jersey:
      Upper portion	_		
      Lower portion..
                            Coast
                            Guard
                            duuici
                           1st
                           1st

                           1st
                           1st
                           1st
                           1st
                           1st
                                                                                   1st
                                                                                   9 in
                                                                                   1st
                                                                                   Stn

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TABLE   2—STANDARD  ADMINISTRATIVE   RE-
   GIONS  OF  STATES  AND  CORRESPONDING
   COAST  GUARD  DISTRICTS AND  EPA  RE-
   GIONS—Continued
          SUtta and EPA region
                                    Coast
                                    Guard
                                    district
    Virgin nund*
H«gion III:
   Duma at Common
RcajonlV:
   Kwnuay
      Soutnam.
   GrulLajiOTi
   Inunanwrai
   GnMIUM*!
   Inland nv«ra I
Men
   Gnat UMaaraa.
   Great U*aai
   in
ONtr
R«ojonVI:
   OHa
   Anura
   Loiaa
KMVM.
  irtnOi
   Soutt) Ouiott
   Ncvwu.
                                      8m
                                      2nd
                                      9th
                                      2nd

                                      Bin
                                      2nd
                                      em

                                      9th
                                      2nd

                                      9tft
                                      2nd

                                      9th
                                      2nd
                                   em
                                 .. sm
                                  J 2na
                                  J2nd
                                  j em
                                      2nd
                                      2nd
                                      2nd
                                      2nd
                                      13m
                                      2nd
                                      tun
                                      2nd
                                      2nd
                                      2nd
                          	J
   Guam—;	-,--,„__
   Anwncan Samoa..___«
   Trust Territory ot in* Pacrhc Ilianot..
   Nonmm Manana imwnom.
negonX:
   Waaftno^tonmjm_i^  .......,n..
   O»gon._
   Idaho..
   Alawa	
   lim
   11th
   11tn
 ..I um
 ,.| i4tn
 ..I 14m
,...1 14m
   14m
                                   13th
                               _....! I3tn
                                 ,...! 13m
                                 ...4 17m
[CGD 84-067. 51 FR 17967. May 16. 1986. as
amended by CGO 88-052. 53 FR 25121. July
1. 1988)

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APPENDIX G



40 CFR PART 114

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THIS PAGE INTENTIONALLY LEFT BLANK

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PART  114—CIVIL   PENALTIES   FOR
  VIOLATION  OF   OIL  POLLUTION
  PREVENTION REouiAfiONS
Now -TaAiraroBttnoir RBJLXZD OITSHOU AMD
Sec.
114.1
1112
114.3
114.4
114.6
1 14.7
114.8
114.9
114.10
114.11
      General applicability.
      Violation.
      Oetenninuion of penalty.
      Notice ot Violation.
      Request (or hearing.
      Presiding Officer.
      Consolidation.
      Preneanng conference.
      Conduct of hearing.
      Decision.
      Appeal to Administrator.
  AOTHOMTT: Sees. 31KJ). SOl(a). Pub. L.
92-500. 86 Stat. 868. 888 (33 U.S.C. 132KJ),
 SOURCE 39 PR 31602. Aug. 29. 1974. unlea
otherwise noted.
    NOIT-TKAHSPORTATXOir RzLAXTD
  ONSHORE AND OITSHOBX F&cmnxa
 S 114.1  General applicability.
  Owners or operators of facilities sub-
 ject to 5112.3 (a), (b) or (c) of this sub-
 chapter who violate the requirements
 of  Part 112 of this Subchapter O by
 failing or refusing to comply with any
 of  the  provisions of 5 1123. 112.4. or
 112.5 of this subchapter shall be liable
 for a civil  penalty of not more  than
 $5.000 for each day such violation con-
 tinues. Civil penalties shall be assessed
 and compromised in accordance with
 this pan. No penalty shall be assessed
 until the owner or operator shall have
 been given  notice and an opportunity
 for hearing in  accordance with  this
 part.

 § 114.2  Violation.
  Owners  or operators  of facilities
 shall be liable for  a civil penalty for
 noncompilance with the requirements
 of  Pan 112 of this subchapter. includ-
 ing but not  limited to failure to:
  (a) Prepare a Spill Prevention Con-
 trol and Countermeasure (SFCC) plan
 in  accordance with § 112.3 of this sub-
 chapter
         40 CFR Ch. I (7-1-90 Edition)

  (b) Have a SFCC plan certified by a
Registered  Professional .Engineer as
required by 3 112.3 of this subchapter:
  (c) Implement the SPCC plan as re-
quired by J 112J3 of this subchapter;
  (d) Submit information after a spill
as required by } 112.4 of this subchap-
ter:
  (e)  Amend plan as required  by
$ 112.4 of this subchapter;
  (f)  Implement  *rn»m+mfnT. . as  re*
quired by i 112.4 of this subchapter:
  (g) Amend plan after change in facil-
ity design as required by 1 112.6 of this
subchapter:
  (h) Review plan every three years as
required by i 1KL5 of this subchapter
  (i) Amend plan after review as  re-
quired by $ 112.5; or
  (J) Have «m«Hiriffl»flr. certified as re-
                                       quired  by $ 112J of this subchapter
                                       and Implemented.

                                       §1143  Determination of penalty.
                                        (a) In determining the amount of
                                       the penalty to be amemnd the follow-
                                       ing factors shall be considered:
                                        (1) Gravity of the violation: and
                                        (2) Demonstrated good faith efforts
                                       to achieve rapid compliance after noti-
                                       fication of a violation.
                                        (b) The amount of the civil penalty
                                       to be assessed may be settled by com-
                                       promise at any stage of the proceed-
                                       ings.
                                        (c) Civil penalties may be assessed by
                                       the  Regional  Administrator  where
                                       there is no request for a hearing pur-
                                       suant to $ 114.5.

                                       §114.4  Notice of Violation.
                                        The Notice of Violation shall be sent
                                       to the person charged with a violation
                                       and shall specify the:
                                        (a) Date of issuance:
                                        (b) Nature of violation, including the
                                       law or regulation that  he is  charged
                                       with violating;
                                        (c) Amount of the t*nnr
-------
Environmental Protection Agency
                              §114.9
  (f) Manner of the paysrr-.t c.' siiy
money which may  be paid  to the
United States:
  (g) Right to request a hearing; and
  (h) The procedures for requesting a
hearing including the right to be rep-
resented by counsel.

§ 114.5  Reoaest for hearing.
  Within thirty (30) days of the date
of receipt of a Notice of Violation, the
person named in the Notice may re-
quest a hearing by submitting a writ-
ten request signed by or on behalf of
such person by a duly authorized offi-
cer.  director,  agent, or  attorney-in-
f act. to the Regional Administrator.
  (a) Requests for hearings shall:
  (1) State the name and address of
the person requesting the hearing;
  (2) Enclose a copy of the Notice of
Violation: and
  (3)  State  with  particularity the
issues to be raised by such person at
the hearing.
  (b)  After  a request  for  hearing
which complies with the requirements
of paragraph  (a) of this section has
been filed, a hearing shall be sched-
uled for the earliest practicable date.
  (c) Tfrg**Tyi°T"' of the time for the
rmTiTT<»Tir»ni»r|r- of the hearing may be
granted for good cause shown.

9 114.6  Preridin* Officer.
  The hearing shall be conducted by
the Presiding Officer. The Regional
Administrator ™«y designate «"y at-
torney in the Environmental Protec-
tion Agency to act as the Presiding Of-
ficer. No person shall serve as a Pre-
siding Officer where he has any prior
connection with  the case including
without limitation the performance of
investigative or prosecuting functions
or any other such functions. The Pre-
siding  Officer appointed shall  have
the full authority to conduct the hear-
ing. decide issues  and to assess a civil
penalty as appropriate.

9 114.7  Consolidation.
  The Presiding Officer may. in his
discretion, order r^ny?HH*stion of any
hearings held under t-h<« part and aris-
ing within one Region whenever he de-
termines that consolidation will  expe-
dite or simplify  the consideration of
the Issues presented.- The  Adminlstra-
tor rr.ay. in his discretion, order con-
solidation.  and designate one  Region
to be responsible -for the conduct of
any  hearings  held unaer tnis part
which arise in different Regions when-
ever he determines that consolidation
will expedite or simplify the consider-
ation of the issues presented. Consoli-
dation-shall not affect the right. of «my
person to raise issues that could have
been  raised if consolidation h<"< not
occurred.  At  the conclusion  of  the
hearing the  Presiding  Officer shall
render a separate  decision  for each
separate civil penalty case.

9 114JJ Preheating; conference.
  The Presiding Officer may hold one
or more preheanag  conferences  and
may  issue  a  hearing  agenda  which
may include, without limitation, deci-
sions with regard to any or all the fol-
lowing:
  (a) Stipulations and a^n^t-orio^**
  (b) Disputed Issues of fact:
  (c)  Hearing procedures  including
submission of oral or written t^tttmn.
ay and the time allotted for oral argu-
ments; ftrirt
  (d) Any other matter which may ex-
pedite the hearing or aid in disposition
of any issues raised  therein.

§ 114S Conduct of hearing.
  The hearing shall be held in the gen-
eral location  of the facility where the
alleged violation occurred or as agreed
to by EPA and  the person charged.
The Presiding Officer shall  have the
duty  to conduct  a  fair and  impartial
hearing, to take action to avoid unnec-
essary delay in the disposition of pro-
ceedings. and to  maintain order. The
person charged with the violation may
offer relevant facts, atammnnty, expla-
nations. ^T"*  other items which such
person feels  should be considered in
defense to the charges, bearing on the
person's efforts to achieve compliance
after notification of  the violation or
which may bear  upon the penalty to
be assessed. The  EPA or other appro-
priate Agency personnel  shall  have
the opportunity  to offer facts, state-
ments. explanations and other Items
including testimony of other appropri-
ate Agencies  personnel  in order for
the Presiding Officer to be fully in-

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 §114.10

 formed.  In  the  event,  me  matter
 cannot be resolved by settlement the
 person charged with  the  violation
 shall be informed in writing, of the de-
 cision  of the  Presiding  Officer  and
 shall be advised of his right to appeal.

 §114.10 Decision.
  Within  thirty (30) days after  the
 conclusion of the hearings, the Presid-
 ing Officer shall Issue findings with re-
 spect to  the matter, including, where
 appropriate to  the amount of the civil
 penalty. In assessing the  civil penalty
 the  Presiding  Officer shall consider
 the factors set  forth in § 114.3. A copy
 of  the Presiding  Officer's decision
 shall be sent to the person charged in
 the Notice of Violation. The decision
 of the Presiding Officer shall become
 the final decision of the Environmen-
 tal Protection  Agency  "nie^p;  within
 fifteen (15) days from the date of re-
 ceipt of such decision, the person as-
 sessed  the penalty appeals the deci-
 sion to the Administrator, or unless
 the Administrator shall  have  stayed
 the effectiveness of the decision pend-
 ing review.

 § 114.11  Appeal to Administrator.
  (a) The person assessed  a penalty in
 the Presiding  Officer's  determination
 shall have the  right to appeal an ad-
 verse decision  to  the  Administrator
 upon filing a written Notice of  Appeal
 In the  form required by paragraph, (b)
 of this section within fifteen (15) days
 of the  date the receipt  of the  Presid-
 ing Officer's decision.
  (b) The Notice of Appeal shall-
  (1) State the name and address of
 the person filing the Notice of Appeal:
  (2) Contain a concise statement of
 the facts on which the person relies:
  (3) Contain a concise statement of
 the legal  basis  on which the  person
 relies: and
  (4) Contain a concise statement  set-
 ting forth the action which the person
 proposed that the Administrator take.
  (c) The Administrator may delegate
 this authority to act in a given case.
  (d)   The  Administrator,  after  a
 Notice  of  Appeal in proper form  has
 been filed, shall render a decision with
 respect to the appeal promptly. In ren-
dering  his decision, the Administrator
may adopt, modify, or set aside  the de-
         40 CFR Ch. I (7-1.90 EdHien)

cision of the Presiding Officer in any
respect and shall Include In his deci-
sion a concise statement of the basis
therefore. The decision of the Admin-
istrator on  appeal shall be effective
when rendered.

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             APPENDIX H

Notice of Proposed Rule Making SPCC Revision for
   40 C.F.R. Part 112 dated October 22, 1991

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                                    Tuesday
                                    October 22, 1991
                                    Part  II



                                    Environmental

                                    Protection  Agency

                                    40CFR Part 112
                                    Oil Pollution Prevention; Non-
                                    transportation-related Onshore and
                                    Offshore Facilities; Proposed Rules
                                                       Printed on Recycled Paper
S-310999
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 54612
Federal  Register / Vol. 56, No. 204 / Tuesday, October 22, 1991  / Proposed  Rules
 ENVIRONMENTAL PROTECTION
 AGENCY

 40 CFR Part 112

 [SW H-FRL-3671-4]

 RIN 20SO-AC62

 OH Pollution Prevention; Non-
 transportation-related Onshore and
 Offshore Facilities

 AGENCY: Environmental Protection
 Agency (EPA).
 ACTION: Proposed rule.

 SUMMARY: The U.S. Environmental
 Protection Agency is proposing to revise
 the Oil Pollution Prevention regulation
 (40 CFR part 112) promulgated under
 section 311(j)(l)(C) of the Clean Water
 Act (CWA), as amended by the Oil
 Pollution Act of 1990. This proposed rule
 establishes requirements for Spill
 Prevention, Control, and
 Counter-measures (SPCC). Plans to
 prevent spills of oil by non-
 transportation-related onshore and
 offshore facilities into the waters of the
 United States or adjoining shorelines.
 The proposed revision involves changes
 in the applicability of the regulation and
 the required procedures for the
 completion of SPCC Plans,  as well as
 the addition of a facility notification
 provision. The proposed rule also
 reflects changes in the jurisdiction of
 section 311 of the CWA made by 1977
 and 1978 amendments to the CWA.
 DATES: EPA will consider comments
 submitted on or before December 23,
 1991.
 ADDRESSES:
  Comments: Comments should be
 submitted in triplicate to: Emergency
 Response Division, Attention: Superfund
 Docket Clerk, Docket Number SPCC-lP,
 Superfund Docket, room M2427, U.S.
 Environmental Protection Agency, 401M
 Street, SW., Washington. DC 20460.
  Docket: Copies of materials relevant
 to this rulemaking are contained in the
 Superfund Docket, room M2427 at the   '
 U.S. Environmental Protection Agency,
401 M Street. SW.. Washington, DC
 20460 (Docket Number SPCC-lP]. The
 docket is available for inspection
 between the hours of 9 a.m. and 4 p.m.,
Monday through Friday, excluding
Federal holidays. Appointments to
 review the  docket should be made by
calling 1-202/260-3046. The public may
copy a maximum of 267 pages from any
regulatory docket at no cost. If the
 number of pages copied exceeds 267,
however, a charge of 15 cents will be
incurred for each page after 100 pages.
FOR FURTHER INFORMATION  CONTACT:
Monica L. McEaddy, Response

 S-310999   0002(OOX21-OCT-9I-13:48:49)
                         Standards and Criteria Branch,
                         Emergency Response Division (OS-210),
                         U.S. Environmental Protection Agency,
                         401 M Street, SW., Washington. DC
                         20460 at 1-202-260-1358 or Bobbie
                         Uvely-Diebold at 1-703-356-8774: the
                         ERNS/SPCC Information line at 1-202^
                         260-2342: or RCRA/Superfund Hotline
                         at 1-800-424-9346 (in the Washington,
                         DC metropolitan area, 1-703-920-9810).
                         The Telecommunications Device for the
                         Deaf (TDD) Hotline number is 1-800-
                         553-7672 (in the Washington, DC
                         metropolitan^ area. 1-703-486-3323).
                         SUPPLEMENTARY INFORMATION: The
                         contents of today's preamble are listed
                        • in the following outline:
                         I.  Introduction
                           A.  Statutory Authority
                           B.  Background of this Rulemaking
                           C. The Oil Pollution Act of 1990 (OPA)
                         II.  General Issues
                           A.  Notification
                           B.  Contingency Planning '
                           C.  New Discretionary Provisions
                         III.  Proposed Changes in Each Section of 40
                             CFR Part 112
                           A.  Section 112.1—General Applicability
                             and Notification
                           B.  Section 112.2—Definitions
                           C.  Section 112.3—Requirements to
                             Prepare and Implement a Spill
                             Prevention, Control, and
                             Countermeasures Plan
                           D.  Section 112.4—Amendment of SPCC
                             Plans by Regional Administrator
                           E  Section 112.5—Amendment of SPCC
                             Plans by Owners or Operators
                           F.  Section 112.6—Civil Penalties for
                             Violation of the Oil Pollution Prevention
                            Regulation
                           G.  Section 112.7—Spill Prevention.
                            Control, and Countermeasures Plan
                            General Requirements
                           H.  Section 112.8—Spill Prevention.
                            Control, and Countermeasures Plan
                            Requirements for Onshore Facilities
                            (Excluding Production Facilities)
                           I. Section 112.9—Spill Prevention.
                            Control, and Countermeasures Plan
                            Requirements for Onshore Oil Production
                            Facilities
                           ). Section 112.10—Spill Prevention.
                            Control, and Countermeasures Plan
                            Requirements for Onshore Oil Drilling
                            and Workover Facilities
                           K.  Section 112.11—Spill Prevention.
                            Control, and Countermeasures Plan
                            Requirements for Offshore Oil Drilling,
                            Production, or Workover Facilities
                         IV.  Relationship to Other Programs
                           A.  Underground Storage Tanks
                           B.  State Programs
                           C.  Superfund Amendments and
                            Reauthorization Act of 1986 (SARA) Title
                            III Integration With Local Emergency
                            Planning
                           D.  Wellhead Protection
                           E.  Flood-Related Requirements
                           F. Occupational Safety and Health
                            Administration
                         V. Request for Comments
                         VI.  Regulatory Analyses
                           A.  Economic Analyses
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   B.  Executive Order No. 12291
   C.  Regulatory Flexibility Act
   D.  Paperwork Reduction Act
 List of Subjects

 I. Introduction

 A. Statutory Authority

  " Section 311(j)(l)(C) of the Federal
 Water Pollution Control Act, 33 U.S.C.
 1.251 et-seq.. also known as the Clean
 Water Act (CWA). authorizes the
 President to issue regulations
 establishing procedures, methods.    ,
 equipment, and other requirements to
 prevent discharges of oil from vessels
 and facilities and to contain such
 discharges. The authority to regulate
 non-transportation-related onshore and
 offshore facilities under section
 311(j)(l)(C) of the CWA was delegated
 by the President to the Administrator of
 the U.S. Environmental Protection
 Agency (EPA or the Agency) by
 Executive Order 11735. In this same
 Executive Order, authority over onshore
 and offshore transportation-related
 facilities  and vessels was delegated to
 the department in which the U.S. Coast
 Guard (USCG) is operating (currently.
 the U.S. Department of Transportation).
 A Memorandum of Understanding
 (MOU) between the Secretary of
 Transportation and the EPA
 Administrator, dated November 24,1971
 (36 FR 24080), establishes the
 responsibilities of EPA and the
 Department of Transportation for
 purposes of administering their
 respective spill prevention programs.
 The definitions set forth in this MOU
 (i.e., the definitions of "non-
 transportation-related  onshore and
 offshore facilities" and "transportation-
 related onshore and offshore facilities")
 are included as an appendix to 40 CFR
 part 112.
 B. Background of This Rulemaking

  The Oil Pollution Prevention
 regulation, also known as the Spill
 Prevention, Control, and
 Countermeasures (SPCC) regulation,
 was originally promulgated on
 December 11.1973 (38 FR 34164), under
 the authority of section 311(j)(l)(C) of
 the CWA. The  regulation established
 spill prevention procedures, methods.
 and equipment requirements for non-
 transportation-related  facilities with
 aboveground (non-buried) oil storage
 capacity greater than 1,320 gallons (or
 greater than 660 gallons aboveground in
•a single tank) or buried underground oil
 storage capacity greater than 42.000
 gallons. Regulated facilities were also
 limited to those that, because of their
 location, could reasonably be expected
 to discharge oil into the navigable

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               Federal  Register / Vol. 56. No.  204 / Tuesday, October  22. 1991 / Proposed Rules	54613
              ^••^—    •            	    		— -    -       	       	    	
 waters of the United States or adjoining
 shorelines.
   In addition to the Oil Pollution
 Prevention regulation, EPA has
 promulgated related regulations defining
 oil discharges that may be harmful (40
 CFR part 110)  and procedures for
 imposing the civil penalties provided for
 in the Oil Pollution Prevention
 regulation (40  CFR part 114). As
 described below, penalty provisions
 have been revised by the Oil Pollution
 Act of 1990 (OPA). The USCG has
 promulgated regulations on oil pollution
 prevention for vessel transfer facilities
 (the USCG regulations do not apply to
 pipelines or other modes of
 transportation) (33 CFR part 154).
 pursuant to the November 24.1971,
 MOU described above. The USCG also
 has promulgated requirements for the
 reporting of oil discharges (33 CFR part
 153). and regulations relating to
 discharges from ships (33 CFR part 155).
  Two previous revisions have been
 made to  the Oil Pollution Prevention
 regulation. On August 29.1974, the
 regulation was amended (39 FR 31602) to
 set out the Agency's policy on civil
 penalties for violation of the CWA
 section 311 requirements. On March 26,
 1976,40 CFR part 112 was again
 amended (41 FR 12567), primarily to
 clarify the criteria for determining
 whether  or not a facility is subject to the
 regulation. Other revisions made in the
 March 26,1976, rule clarified that SPCC
 Plans must be  in written form and
 specified the procedures for
 development of SPCC Plans for mobile
 facilities.
  Implementation of the regulation since
 the 1976 revisions has indicated a need
 for other changes, primarily for purposes
 of clarification and simplification.
 Changes in 40 CFR part 112 also have
 been made necessary by amendments to
 CWA section 311.
  On May 20,1980 (45 FR 33814), EPA
proposed revisions to the Oil Pollution
Prevention regulation similar to
revisions proposed today. These
proposed revisions would have reflected
changes in the jurisdiction of CWA
section 311 made by the 1977 CWA
amendments. Also proposed were
requirements concerning new facilities,
the content of SPCC Plans, the
availability of SPCC Plans for review by
EPA personnel, and the review of SPCC
Plans by  owners or operators.
  One of the revisions proposed on May
20,1980, was a clarification that certain
"guidelines" in 8 112.7 are mandatory
rather than discretionary. Based on a
subsequent decision by the Agency that
the proposed modifications to 40 CFR
part 112 were not required at that time,
the revisions proposed on May 20,1980,
 were not finalized. As described below,
 however, continuing experience with
 administering this program
 demonstrates a need for the
 clarifications to 40 CFR 112.7.
 Accordingly, the Agency is proposing
 certain changes to 40 CFR 112.7 that are
 similar to those proposed on May 20,
 1980.
  On January 2,1988, the collapse of a
 four-million-gallon aboveground storage
 tank owned by the Ashland Oil
 Company in Floreffe. Pennsylvania,
 resulted in a spill of approximately 3.8
 million gallons of diesel fuel. Of this
 amount, approximately 750,000 gallons
 of diesel fuel were released into the
 Monongahela River. This event led to
 the formation of an Oil Spill Prevention,
 Control, and Countermeasures Program-
 Task Force (the SPCC Task Force) to
 examine Federal government regulations'
 governing spills of oil from aboveground
 storage tanks. The SPCC Task Force
 was composed of senior personnel from
 EPA Headquarters, Regional offices,
 other Federal agencies, and State offices
 with significant oil spill response
 responsibilities. The Task Force issued
 its findings and recommendations in a
 May 13,1988, report.1 The Task Force
 report focused on the prevention of large
 catastrophic spills, but made
 recommendations on many aspects of ~
 the Federal oil spill prevention, control,
 and countermeasures program.
  The SPCC Task Force recommended
 that EPA clarify that certain provisions
 described in the Oil Pollution Prevention
 regulation in terms that could be
 interpreted as guidelines are required
 practices. The Task Force also
 recommended that EPA establish
 additional technical requirements for all
 facilities subject to the regulation, and
 that EPA expand the scope of the
 regulation to include requirements for
 facility-specific oil spill contingency
 planning. The Task Force further found
 that EPA does not have an adequate
 inventory of facilities subject to the
 regulation and recommended that EPA
gather specific information about these
facilities (e.g., the number of
aboveground storage tanks at a facility).
The Task Force also recommended
strengthening the facility inspection
program to  better identify violations  and
enforce compliance. A subsequent
General Accounting Office (GAO) report
contained similar recommendations.2
  1 U.S. Environmental Protection Agency, "The Oil
Spill Prevention. Control, and Countermeasuret
Program Task Force Report" Interim Final Report.
May 13.1988. This document ii available for
inspection at the Super-fund Docket room M2427.
U.S. EPA. 401 M Street. SW., Washington. DC 20480.
  * General Accounting Office. "Inland Oil Spills:
Stronger Regulation and Enforcement Needed to
As a result of major oil spills such as the
Ashland Oil Company spill discussed
previously and the findings from the
SPCC Task Force and the GAO reports.
EPA is today proposing revisions to 40
CFR part 112.
  EPA has decided to address the SPCC
Task Force findings and
recommendations, together with OPA
requirements, in two phases. A two-
phase approach has been chosen  .
because several  of the Task Force
recommendations require further
information gathering and analysis
before determining specific additional
changes to the existing regulation,
whereas other recommendations can be
implemented more readily. Phase One
revisions, which include provisions that
generally do not require substantial
additional Agency data gathering (e.g.,
technical amendments to clarify
regulatory language, notification
requirements), are being proposed
today.'Phase Two revisions, which will
be addressed in a separate rulemaking
and proposed at a later date, will
address other, more substantive
regulatory recommendations, such as
facility-specific contingency planning
and aboveground storage tank integrity
testing requirements. Phase Two will
also implement applicable requirements
of the OPA. For further discussion of the
Phase Two revisions as they relate to
the OPA. see Section I.C. of this
preamble.
  After consideration of comments
received in response to this proposed
rule, a final rule will be promulgated. In
addition to a general request for
comments, the Agency requests
comments on specific proposed
revisions throughout the preamble. The
provisions are also summarized in
Section V of this preamble. If the
comments received indicate sufficient
need, the Agency will consider holding a
public hearing on the proposed revisions
to permit further expression of views
prior to the final  rulemaking. EPA will
publish a notice of its intent to hold any
such public hearing in the Federal
Register. Any statements made at such a
hearing would be included in the public
record of the rulemaking.

C. The Oil Pollution Act of 199O (OPA)

  The OPA was signed into law by the
President on August 18,1990. The OPA
contains significant modifications to
many of the provisions of section 311 of
the CWA. including section 311(j). The
Avoid Future Incident!." February 1989 (GAO/
RCED-88-65). This document ii available for
inspection at the Superfund Docket, room M2427.
U.S.EPA. 401 M Street. SW.. Washington. DC 20460.
S-310999    0003(OOX21-OCT-9I-13:48:53)
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 54614        Federal Register / Vol. 56. No. 204 / Tuesday.  October 22. 1991  /  Proposed Rules
 specific language of section 311(j)(l)(C),
 however, is not changed. The principal
 provisions of the OPA that will impact
 the SPCC program are summarized
 below.
   Section 1004 of the OPA sets a
 number of limits on liability of owners
 or operators of vessels and facilities for
 oil spills to U.S. waters. The liability
 limits include $350 million for onshore
 facilities and deepwater ports; $75
 million plus removal costs for offshore
 facilities: and $1,200 per gross ton or up
 to $10 million, whichever is greater, for
 tank vessels. The President must report
 to the Congress on the desirability of
 adjusting these liability limits, and EPA
 is addressing this issue for onshore, non-
 transportation-related facilities. There is
 no liability limit when spills are caused
 by willful misconduct or gross
 negligence or by violation of Federal
 safety, construction, or operating
 regulations; or in cases of failure or
 refusal  to report the discharge, failure to
 cooperate in oil removal actions, or
 comply with orders issued by the
 Federal agency in charge of cleanup.
   Under OPA section 1002, the scope of
 damages for which oil dischargers may
 be liable is expanded to include
 damages for injury to, or loss of   '
 subsistence use of, natural resources;
 damages for injury to property; loss of
 revenues, profits, or earning capacity;
 and costs of public services during or
 after oil removal activities.
   The OPA establishes that the Oil Spill
 Liability Trust Fund under section 9509
 of the Internal Revenue Code of 1986
 shall be used to pay for removal costs
 and damages not recovered from
 responsible parties. The existing fund
 under CWA section 311(k) and other oil
 spill compensation and liability funds
 are dissolved: the assets and liabilities
 of these funds are consolidated in the
 Oil Spill Liability Trust Fund.
  Section 4113 of the OPA requires the
 President to conduct a study on whether
 liners or other secondary means of
 containment  should be used to prevent
 or help detect leaks from onshore bulk
 oil storage facilities. EPA is currently
 undertaking such a study and will
 prepare a Report to Congress on the
 results.
  Under OPA section 4201(a), Federal
authority under the CWA for the
removal of oil and hazardous
 substances defined under the CWA is
 expanded; for example, the Federal
government is required to direct removal
actions for discharges posing a
substantial threat to the  public health or
welfare of the U.S. Also, new
 discretionary authority to direct the
spiller's removal actions under other

 S-310999    0004
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               Federal Register / Vol.  56. No. 204  /  Tuesday. October 22. 1991  / Proposed Rules         54615
 characteristics. Partially buried tanks
 and bunkered tanks, as defined in
 proposed § 112.2, are included in
 determining the capacity of
 aboveground storage, and facilities with
 such tanks are subject to the notification
 requirement. In addition. EPA is
 proposing that all facilities that become
 subject to this regulation in the future by
 virtue of their aboveground oil storage
 capacity must notify the Agency prior to
 beginning operations at the facility.
 Many facilities subject to the Oil
 Pollution Prevention regulation by virtue
 of their underground storage capacity
 are already subject to notification
 requirements under the Underground
 Storage Tank (UST) program (40 CFR
 part 280). and EPA is proposing to
 exempt many such UST-regulated
 facilities from the Oil Pollution
 Prevention regulation. The remaining
 SPCC-regulated facilities with only
 underground storage tanks, as defined in
 proposed § 112.2(v), would  not be
 subject to the proposed notification
 requirement. The proposed notification
 provision in § 112.1(e) would require
 that facility owners and operators
 furnish their names; the name and
 address of the facility; the number and
 size of aboveground oil storage tanks at
 the facility; the facility's total
 aboveground oil storage capacity; the
 distance of the facility to the nearest
 navigable waters; the facility's Dun &
 Bradstreet D-U-N-S number, if available:
 and the facility's primary Standard
 Industrial Classification, if applicable
 and available. This information is to be
 supplied using a proposed standard
 form, which is included as appendix B of
 today's proposed regulation. In addition,
 the Agency is considering requiring
 information on the latitude  and
 longitude of the facility, location of
 environmentally sensitive areas and
 potable water supplies, presence of
 secondary containment, spill history,
 leak detection equipment and alarms,
 age of tanks, and potential for adverse
 weather. This additional information
 would,assist in implementing the facility
 response plan requirements that are
 mandated by the OPA. The facility
 response plan requirements will be
 proposed in the Phase Two rulemaking.
 Specifically, the information may be
 useful in determining which facilities
could reasonably be expected to cause
 "substantial harm" or "significant and
 substantial harm" by discharging into
 the navigable waters, adjoining
 shorelines, or the exclusive economic
zone and,  therefore, must submit their
facility response plan. EPA  requests
comments on collecting this additional
information through the notification

S-310999    0005(OOX21-OCT-91-13:48:59)
 form. EPA also requests comments on
 additional information that could be
 used in developing Area Plans or in
 implementing the community right-to-
 know program described in section IV.C
 of this preamble.
  The Agency proposes that the owner
 or operator of the facility would  '
 complete and send the form to the SPCC
 program office at EPA Headquarters
 within two months of the effective date
 of the final rule. The proposed
 notification would be a one-time
 requirement: a facility would not be
 required to notify EPA of changes in
 owner(s), operator(s), or the other
 required information elements. Any
 owner or operator who fails to'notify or
 knowingly submits false information in
 a notification would be subject to a civil
 penalty. The  Agency specifically
 requests comment on the proposed
 notification requirement and the
 proposed notification form.
  The Agency expects to use data
 collected under the proposed
 notification requirement to develop a
 data base of facility-specific
 information. This data base may  also
 include information on  spills (obtained
 from spill reports submitted by facilities
 or from the Emergency Response
 Notification System (ERNS)) and
 various other types of information. The
 Agency will use the information in the
 data base to more effectively allocate
 SPCC program resources by prioritizing
 inspections and enforcement efforts and
 by determining the need for additional
 prevention requirements for certain
 categories of facilities (such as facilities
 with the potential to threaten major
 drinking water supplies or sensitive
 ecosystems).
  The Agency is particularly interested
 in comment on alternate methods of
 facility notification. In particular. EPA is
 aware  that facilities may already be
 required to submit Material Safety Data
 Sheets (MSDSs) and other information
 to State Emergency Response
 Commissions (SERCs). Local Emergency
Planning Committees (LEPCs), and local
 fire departments under sections 311 and
 312 of Title III of the Superfund
Amendments and Reauthorization Act
 of 1986 (SARA Title III). Comments are
 solicited concerning ways that these
 data submissions may be used to
 establish an inventory of facilities
 subject to this proposed rule.
B. Contingency Planning
  EPA believes that facility-specific
contingency planning in coordination
with local authorities is an important  •
part of any spill related preparedness
program. The SPCC Task Force
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 recommended that the Oil Pollution
 Prevention regulation be revised to
 require the inclusion of contingency
 plans in facility SPCC Plans, and that
 these plans be coordinated with existing
 State and local contingency planning
 groups.
   EPA believes that, in general, a
 facility-specific contingency plan should
 contain provisions for discovery of a
 spill, emergency notification procedures.
 the name of the spill response
 coordinator, procedures for identifying •
 personnel and equipment that may be
 needed, available equipment lists.
 available personnel lists, an
 identification of hazards, a vulnerability
 analysis, and an event and fault tree
 analysis.
   The vulnerability analysis identifies
 areas of immediate concern following a
 spill event and provides an estimate of
 the area most likely to be affected.
 Examples of areas to be identified  in the
 vulnerability analysis include, but are
 not limited  to, population centers.
 wetlands, wellhead protection areas,
 and areas that may be inhabited by-
 endangered species. In addition, the
 vulnerability analysis should identify
 sensitive ecosystems requiring special
 protection and drinking water suppliers
 who must be notified if a release occurs.
   An  event and fault tree analysis  will
 identify potential spill scenarios. It is
 usually based on prior spills at the
 facility and can be used to estimate
 possible sources of leaks, spill sizes.
 pathways, and causes of spills at other
 facilities. Case studies of major spills
 show  that close attention should be paid
 to the methods by which equipment and
 personnel may be obtained. Finally, the
 contingency plan should address
 disposal of  recovered oil, used sorbents.
 and other materials. The Agency's
 experience  at various spill sites also
 demonstrates the importance of
 addressing  the location of off-site spill
 pathways in the contingency plan.
 Above all, a contingency plan needs to
 be workable and easy to follow in
 emergency situations. Facility personnel
 should be trained in the contingency
 plan procedures to improve  their
 understanding of the plan and ensure
 that it is properly followed in
 emergencies.
   The Agency is proposing in today's
• notice only  to require elementary
 contingency planning steps that are
 currently included in most existing
 SPCC Plans, such as the inclusion in a
 facility's Plan of a list of contacts (e.g.,
 the facility response coordinator, the
 National Response Center (NRQ). EPA
 is also proposing to clarify an existing
 requirement that facilities without

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  54616        Federal Register / Vol.  56. No. 204  /  Tuesday. October 22. 1991 / Proposed  Rules
  secondary containment or diversionary
  measures complete a site-specific
  contingency plan. Because as part of
  •Phase Two EPA is currently considering
  requirements for more comprehensive
  facility-specific contingency plans in
  response to the recommendations of the
  Task Force and the requirements of the
  OPA. the Agency wishes to provide an
  opportunity for commenters to submit
  additional information and
  recommendations on contingency
  planning during the development of such
  requirements. Therefore.  EPA is
  requesting comments and supporting
  data on oil spill contingency planning
  needs.

  C. New Discretionary Provisions
   In addition to proposing changes- to
  clarify and strengthen the Oil Pollution
  Prevention regulation, EPA is proposing
  a number of provisions as
  recommendations. These new provisions
  are described individually in Section III
  of this preamble. Among  the new
  recommendations are the following two
  provisions:
   • Proposed § 112.B(d)(4). It is
  recommended that facilities have all
  buried piping 3 tested for integrity and
  leaks annually or have buried piping
  monitored monthly in accordance with
  the provisions of 40 CFR part 280. In
  addition, it is recommended that records
  of the testing or monitoring be kept for
  five years (does not apply to offshore
  facilities or production facilities).
   • Proposed § 112.8(d)(5). It is
  recommended that facilities post vehicle
  weight restrictions to prevent damage to
  underground piping (does not apply to
  offshore facilities or production
  facilities).
•  EPA is proposing these two provisions
 and other provisions as
 recommendations rather than
 requirements. The Agency is concerned
 that these provisions may not for all
 facilities  achieve the standard of
 provisions based on good engineering
 practice,  which is the basic standard of
 the regulation. EPA, however believes
 that implementation of these provisions
 at most facilities would contribute to the
 facilities' overall effort to prevent oil
 discharge and to mitigate those spills
 that may occur. Consequently, EPA is
 proposing these discretionary provisions
 so that the owners and operators of
 facilities  subject to the Oil Pollution
 Prevention Regulation can decide  '
 whether the suggested practices are
  * The change from the use of "pipeline" lo
 "piping" is to eliminate any possible confusion
 between the regulation's use of "pipeline", and
 "pipelines" regulated by DOTs Office of Pipeline
 Safely.


 S-310999    0006(OOX21-OCT-91-13:49:03)
 warranted under the existing regulatory
 requirements. At many facilities the
 proposed provisions are consistent with
 the general requirement that the SPCC
 Plan be prepared in accordance with
 good engineering practices. At the same
 time, the Agency recognizes that for
 some facilities implementation of these
 provisions is inappropriate for
 technological or other reasons or is not
 necessary because of other facility-
 specific practices or circumstances. For
 such facilities, not implementing these
 discretionary provisions would be
 consistent with the existing requirement
 concerning good engineering practices.
  The Agency requests comments and
 supporting data (including information
 on likely environmental impacts or
 benefits) regarding whether these
 discretionary provisions should be made
 requirements. EPA is particularly
 interested in receiving comments and
 information on the advisability of  .
 establishing the two provisions as
 requirements for large facilities, but as
 recommendations for small facilities.
 This is consistent with the SPCC Task
 Force recommendation that EPA
 regulate larger facilities more stringently
 than smaller facilities. EPA considered
 defining a "large facility" for this
 specific purpose as a facility with more  ,
 than 42,000 gallons of SPCC-regulated
 storage capacity. The Agency believes
 that larger volumes of oil stored at a
 facility increases the chances of a spill
 occurring, and that spills from large-
 capacity facilities may be greater in
 magnitude than those from smaller
 facilities, thus posing a greater potential
 threat to the waters of the United States.
 Section 311(j)(l)(C) of the CWA.
 however, does not explicitly authorize
 differential requirements based on
 facility size. EPA is also requesting
 comment on the option of applying these
 provisions as requirements to all sizes of
 SPCC-regulated facilities under
 §311(j)(l)(i)oftheCWA.
  In addition, EPA is requesting
 comments on two other practices that
 are not included in the proposed
 revisions. These practices are:
  • That owners and operators of
 facilities affix a signed and dated
 statement to the SPCC Plan indicating
 that the revision has taken place and
 whether or not amendment of the Plan is
 required.
  • That owners and operators of
 onshore facilities other than production
facilities state the design capabilities of
 their drainage system in the SPCC Plan
if the system is relied upon to control
spills or leaks.
EPA believes that these practices may
improve the quality of a facility's SPCC
                                             4701.FMT...[16,30]...12-28-90
Plan and may be appropriate to include
in the Oil Pollution Prevention
regulation as discretionary practices.
The Agency has not included these
practices in the proposed rule because
of the lack of data for the benefits likely
to result from these practices. EPA
specifically requests comments
regarding the extent to which these
provisions would further improve the
effectiveness of the Oil Pollution
Prevention regulation.

III. Proposed Changes in Each Section of
40 CFR Part 112

  In this section, the principal changes
and clarifications being proposed today
to each of the sections of 40 CFR part
112 are discussed and explained. Minor
grammatical and editorial changes also
have been made to the text of the
proposed rule.To more effectively
organize § 112.7, it has been divided into
five separate sections (proposed
§§ 112.7.112.8,112.9,112.10, and 112.11).
based on facility type. This
reorganization will aid in the
clarification of SPCC Plan requirements
for different types of facilities.
A. Section 112.1—General Applicability
and Notification

  The geographic scope of the
applicability of the Oil Pollution
Prevention regulation, which is stated in
paragraphs (a),  (b). and (d) of § 112.1. is
proposed to be extended to conform
with the 1977 CWA amendments that
extended the geographic scope of EPA's
authority under CWA section 311. CWA
section 311(b)(l) as amended in 1977.
establishes a national policy prohibiting
discharges of oil or hazardous
substances into or upon the navigable
waters of the United States or adjoining
shorelines, or into or upon the waters of
the contiguous zone,  or in connection
with activities under the Outer
Continental Shelf Lands Act or the
Deepwater Port Act of 1974, or that may
affect natural resources belonging to,
appertaining to, or under the exclusive
management authority of the United
States (including resources under the
Magnuson Fishery Conservation and
Management Act). As a result, the
applicability of the SPCC regulations as
stated in paragraphs (a) and (b) of
§ 112.1 and in subsequent paragraphs of
the rule is proposed to be revised to
reflect the statutory language.
  In light of amendments to the CWA in
1978, EPA is revising the phrase
"harmful quantities"  in § 112.1(b). The
revised phrase—"quantities that may be
harmful, as described in part 110"—
includes oil discharged in quantities that
violate applicable water quality

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               Federal Register / Vol. 56. No.  204 / Tuesday.  October 22.  1991 /  Proposed Rules
                                                                       54617
 standards, cause, a film or sheen upon or
 discoloration of the surface of the water
 or adjoining shorelines, or cause a
 sludge or emulsion to be deposited
 beneath the surface of the water or upon
 adjoining shorelines (40 CFR 110.3).4
  Since the implementation of the SPCC
 regulation in 1973. EPA has received
 numerous questions concerning the
 scope of the definition of oil. Section
 311(a){l) of the CWA defines "oil" as
 "oil of any kind or in any form,
 including, but not limited to, petroleum,
 fuel oil. sludge, oil refuse, and oil mixed
 with wastes other than dredged spoil."
'EPA interprets this definition to include
 crude oil and refined petroleum products
 as well as non-petroleum oils such as
 vegetable and animal oils. The Agency
 solicits comments on the
 appropriateness of this interpretation for
 the SPCC program.
  The facilities, equipment, and
 operations that are exempt from this
 regulation are described in § 112.1(d).
 EPA is proposing several changes  to this
 section. In proposed paragraph (d)(l)(i),
 a reference to proposed § 112.1(b)(l),
 which delineates the scope of the Oil
 Pollution Prevention rule, has been
 added.
  To  avoid duplicative and
 unnecessarily burdensome regulation,
 the Agency is proposing in the new
 § 112.1(d)(4) to exempt underground
 storage tanks (defined by proposed
 § 112.2(v)) that are now subject to the
 technical requirements of EPA's
 Underground Storage Tank (UST)
 program (40 CFR part 280). In addition,
 EPA is proposing in § 112.1(d)(2)(i) to
 exclude the capacity of UST-regulated
 underground storage tanks from the
 calculation of underground oil storage
 capacity made to determine whether a
 facility is  subject to this regulation.
 Under proposed § 112.7(a)(3), however,
 any facility subject to this regulation
 must have the location and contents of
 all tanks marked on the facility diagram
 for  informational purposes.
  Notwithstanding differences in the
 scope and focus of the SPCC and UST
 programs. EPA believes that the UST
 technical requirements codified in 40
 CFR part 280 are consistent with the
 underlying regulatory purposes of the
 SPCC program and are equally
 protective for purposes of preventing
 discharges of oil into waters of the
 United States.  For example, under the
 UST program, new and existing tanks
 must meet specific corrosion protection
 requirements, be equipped with
  4 Amendments to the CWA made by the OPA in
1990 broaden the concept of quantities that may be
harmful to include not only "the public health or
welfare" but also "the environment."
catchment basins, automatic shutoff
devices, and alarms, and be subjected to
periodic tank tightness testing. These
requirements achieve a level of
protection needed to ensure that a
discharge of oil will not reach bodies of
water protected by the CWA.
  It is important to note that the
proposed  § 112.1(d)(2)(i) and
§ 112.1(d)(4) exemptions apply only to
UST-regulated tanks that meet the
definition of "underground storage tank"
proposed in § 112.2(v). The proposed
rule makes this clear in § 112.1(b)(3), by
providing  that "bunkered tanks" and
"partially  buried tanks" (defined by the
proposed § 112.2(c) and § 112.2(n),
respectively), as well as tanks in
subterranean vaults, are considered
aboveground storage tanks for the
purposes of this regulation and are
subject to  the requirements of the
regulation. Compared to completely
buried tanks, spills from these tanks are
more likely to enter surface waters
regulated under the CWA. For further
discussion of the relationship of the
SPCC program to the UST program, see
Section IV.A. of this preamble.
  EPA is proposing in both § 112.1(d)(2)
(i) and (ii) to exempt from the
calculation of storage capacity, tanks
and facilities that are "permanently
closed," as defined in the proposed
§ 112.2(oj. This  proposed approach
results from experience gained by EPA
in administering the SPCC program,
which indicates that tanks and facilities
properly closed on a permanent basis
need not continue maintaining  current
SPCC Plans. Such tanks and facilities
cannot reasonably be expected to
discharge  oil in quantities that may be
harmful in the manner described in the
proposed § 112.1(b)(l). Therefore, the
Agency is proposing to exempt oil
storage tanks meeting the criteria for
being "permanently closed" in  proposed
§ 112.2(o) and facilities at which all
tanks are permanently closed. The
Agency has considerable experience
with applying the criteria to show that
they are appropriate for defining SPCC-
regulated facilities that do not represent
a significant threat of a discharge of oil
in quantities that may be harmful.
However,  the Agency specifically
solicits comments on the
appropriateness of these criteria,
including supporting data and
descriptions of suggested alternative
criteria for defining "permanently
closed" tanks.
  Facilities with some permanently
closed tanks, where other tanks contain
sufficient capacity and  are not
permanently closed, remain subject to
this regulation unless otherwise
  exempted under § 112.1(d). The Agency
  Has also found that, in contrast to
  facilities and tanks that are permanently
  closed, facilities and tanks used for
  standby storage, seasonal storage, or
  temporary storage can reasonably be
  expected to discharge oil as described in
  proposed § Il2.1(b)(l). EPA is, therefore.
  clarifying in  proposed § 112.1(b)(2) that
  such facilities and tanks are not
  considered permanently closed.
    To avoid redundancy with the
  requirements of the U.S. Department of
  the Interior's Minerals Management
  Service (MMS), the Agency is proposing
  in § 112.1(d)(3) to exempt from this
.  regulation offshore oil production or
  exploration facilities subject to MMS
  Operating Orders, notices, and
  regulations. This proposal is based on
  analysis of the MMS Operating Orders
  and the conclusion that they require
  adequate spill prevention, control, and
  countermeasures practices that are
  directed more specifically to the
  facilities subject to these requirements.
    As described in section ILA of this
  preamble, EPA is proposing a new
  facility notification requirement  as
  § 112.1(e). Notification would be
  provided to EPA on a standard form;
  which is proposed as appendix B of 40
  CFR part 112.
    EPA is proposing to amend current
  § 112.1(e) (redesignated as proposed
  § 112.1(f)) to  clarify that adherence to
  the SPCC regulation does  not relieve
  facility owners and operators from
  complying with applicable local, State,
  and Federal regulations. These
  regulations include, but are not limited
  to, those issued by the USCG, the
  Occupational Safety and Health
  Administration (OSHA), the Federal
  Emergency Management Agency
  (FEMA), and EPA's UST program. The
  Agency is also proposing that owners
  and operators consider current
  applicable regulations, standards, and
  codes, including certain standards and
  recommended practices established by
  the American Petroleum Institute  (API)
  (series 12, 620,  and 650). the National
  Fire Protection Association (NFPA) (30
  and 30A), the American Society of
  Mechanical Engineers (ASME)
  Standards, the National Association of
  Corrosion Engineers (NACE) Standards.
  American National Standards Institute
  (ANSI) (B31.3), and Underwriters
  Laboratories (UL) Standards, in
  determining practices that may be
  required for particular facilities by the
  requirement  that all SPCC Plans be
  prepared in accordance with good
  engineering practice.  The  standard of
  good engineering practice, which applies
  to all SPCC Plans, will require that
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 54618	Federal Register  / Vol.  56.  No. 204 / Tuesday. October 22. 1991  / Proposed Rules
 appropriate provisions of applicable
 codes, standards, and regulations be
 incorporated into the SPCC Plan for a
 particular facility.

 B. Section 112.2—Definitions

   Definitions for the following terms
 have been proposed to be revised,
 added or modified as follows:
   • A definition of "discharge" has been
 revised to reflect changes to the definition in
 the 1978 amendments to the CWA.
 Discharges in compliance with a permit under
 section 402 of the CWA are not considered a
 discharge for the purposes of this part.
   • A definition of "navigable waters" has
 been revised to conform with revisions to the
 regulation on the discharge of oil (40 CFR
 part 110).
   • A definition of "offshore facility" has
 been revised to conform with the CWA and
 the March 8.1990. revisions to the NCP.
 Offshore facilities are any facility of any kind
 located in. on, or under any of the navigable
 waters of the United States, and any facility
 of any kind that is subject to the jurisdiction
 of the United States and is located in. on, or
 under any other waters.
   • A definition of "United States" has been
 revised to conform with revisions to the
 definition of the United States in the 1978
 amendments to the CWA. The
 Commonwealth of the Northern Mariana
 Islands has been added to the definition.
  • A definition of "contiguous zone" has
 been added to conform with the amendments
 to the CWA in 1978 and the March 8.1990.
 revisions to the NCP.
  • A definition of "wetlands" has been
 added to define the  term as used in the
 definition of "navigable waters." The
 definition conforms  with the definition in the
 oil discharge regulation (40 CFR part 110).
  • Definitions for the terms "breakout tank"
 and "bulk storage tank" have been added to
 clarify the distinction between facilities
 regulated by DOT and EPA. EPA regulates
 facilities with bulk storage tanks. Breakout
 tanks are used to compensate for pressure
 surges or control and maintain pressure
 through pipelines. These tanks are frequently
 in-line and are regulated by DOT:
  • A definition of "bunkered tank" has been
 added to clarify that bunkered tanks are a
 subset of "partially buried tanks." Bunkered
 tank means-a tank constructed of placed in
 the ground by cutting the earth and
 recovering in a manner whereby the tank
breaks the natural grade of the land. As such,
bunkered tanks are subject to the provisions
 of 40 CFR part 112 as aboveground tanks.
  • A definition of "facility" has been added
based on the MOU between the Secretary of
Transportation and the EPA Administrator '
 dated  November 24.1971 (36 FR 24080). More
detailed discussion of the  types of facilities
covered is in Appendix A.
  • Definitions of "oil production facilities
(onshore)" and "oil drilling, production, or
workover facilities (offshore)" have been
moved from existing § 112.7(e)(S)(i) and
 § 112.7(e)(7)(i), respectively.
  • A definition of "partially buried tank"
has been added to clarify the distinction
between partially buried tanks and
underground storage tanks, the latter being
defined in this proposed rulemaking for SPCC
purposes as those tanks completely covered
with earth. Partially buried tanks are subject
to the provisions of 40 CFR part 112 as
aboveground tanks.
  • A definition of "permanently closed"  -
was added to clarify the scope of facilities
and tanks excluded from coverage by this
part. EPA solicits comments on the
requirement to ensure that tank vapors
remain below the lower explosive limit.
  • A definition of "SPCC Plan" has been
added to further explain its purpose and
scope. The Plan provides a written
explanation of a facility's compliance with
the requirements of the regulation, including
equipment, manpower, procedures, and steps
to prevent, control, and provide adequate
counter-measures to an oil spill.
  • The definition of "spill event" was
modified to correspond to the changes
described in the applicability section of this
rule relating to the expanded scope of CWA
jurisdiction.
  • A definition for "storage capacity" has
been added to clarify that it includes the total
capacity of a tank or container capable of
storing oil or oil mixtures. Because the
percentage of oil in a mixture is determined
by the operator and can be changed at will,
the total capacity of a tank or container is
considered in determining applicability under
this part, regardless of whether the tank or
container is filled with oil or a mixture of oil
and another substance, as long as the mixture
would violate standards in 40 CFR part 110.
  • A definition of "underground storage
tank" has been added. The SPCC program
defines the term more narrowly than the UST
program under RCRA Subtitle 1. Under the
SPCC program. EPA proposes to regulate  any
tanks that are not completely buried as
aboveground tanks, because tanks with
exposed surfaces exhibit a potential to •
discharge into navigable waters and
adjoining shorelines. See also the discussion
in the preamble regarding the relationship
between the SPCC and the UST programs.
  ,EPA is not proposing any changes to
the definition of "oil" (except its
redesignation from §  112.2(a) to
§ 112.2(i)).

C. Section 112.3—Requirement to
Prepare and Implement a Spill
Prevention. Control, and
Countermeasures Plan
  This section describes the
requirements for the preparation and
implementation of SPCC Plans. Most of
the proposed modifications to § 112.3
have been provided for clarification.
However, in paragraph (b) of the current
rule, a new facility is required to prepare
a Plan within six months after
operations begin and to implement the
Plan within one year. In proposed
paragraph (b). a new facility is required
to prepare and fully implement a Plan
before beginning operations, unless an
extension has been granted by the
Regional Administrator (proposed
§ 112.5(a) requires that Plans be
amended before any change is made
that materially affects the facility's
potential for. discharge of oil into the
waters of the United States). Experience
with the implementation of this
regulation shows that many types of
failures occur during or shortly following
facility startup and that virtually all
prevention, containment, and
countermeasures practices  are a part of
the facility design or construction.
Therefore, the Agency believes that new
facilities should be required to plan and
execute the provisions governing spill
prevention prior to starting operations.
EPA assumes for the purpose of this
proposed provision that all existing
facilities subject to this rule have had
their SPCC Plans prepared  since the
regulation was issued, therefore, only
new facilities would be affected by this
proposed change in timing for the
submittal of their Plans.
  EPA also assumes in § 112.3(c) that
owners/operators of existing onshore
and offshore mobile or portable facilities
have prepared and implemented a
facility SPCC Plan as required by
§ 112.3(b); therefore, only new facilities
are affected by the change in timing for,
the submission of the SPCC Plans.
  Additional requirements  concerning
Plan certification by a Registered
Professional Engineer are specified in
§ 112.3(d). The existing language states
that "no SPCC Plan shall be effective to
satisfy the requirements of  this part
unless it has been reviewed by a
Registered Professional Engineer and
certified to by such Professional
Engineer: By means of this certification
the engineer, having examined the
facility and being familiar with the
provisions of this part, shall attest  that
the SPCC Plan has been prepared in
accordance with good engineering
practices. Such certification shall in no
way *  * *."
  This existing language states that the
Professional Engineer (PE) must only be
certified. The Agency  is soliciting
comments on the advantages and
disadvantages associated with the PE
being registered in the State in which
the facility is located and the additional
requirement that this PE should not be
an employee of the facility  or have any
other direct financial interest in the
facility
  The U.S. General Accounting Office
(GAO), in a 1989 report, "Inland Oil
Spills: Stronger Regulation  and
Enforcement Needed to Avoid Future
Incidents" (GAO/RCED-89-65),   *
recommended that EPA evaluate the
advantages and disadvantages of
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               Federal  Register / Vol. 56. No. 204  / Tuesday. October 22. 1991  /  Proposed Rules         54619
 requiring facilities to obtain certification
. from independent engineers.
   The Agency notes that not having the
 PE otherwise associated with the facility
 may avoid any potential conflicts of
 interest or appearance of conflicts of
 interest that could arise from allowing
 an employee of a regulated party to
 certify a SPCC Plan. The Agency also
 notes that a requirement that a PE be
 licensed in the State in which the facility
 is located would allow the State
 licensing board to more easily address
 the actions of the PE under its
 jurisdiction, and that the PE may have
 greater familiarity with the State and
 local requirements related to the facility
 under review.
   The Agency notes that disadvantages
associated with the above approaches
have been expressed by several
organizations, who object to such *
requirements as challenging the integrity
of professional engineers. They also
point out that these requirements would
impose substantial costs without
enhancing the integrity of the
certification process.
  To assist the Agency in addressing the
GAO and Task Force recommendations
cited above, EPA specifically solicits
comments or data regarding the
ramifications of requiring that the
certifying professional engineer not be
an employee of the owner or operator.
  In addition, under the proposed rule,
the Engineer must attest that required
testing has been completed and that the
Plan meets the requirements of
regulation for the facility. These
revisions promote the Agency's intent in
the original promulgation of §  112.3(d)
that SPCC Plans be certified by a
Registered Professional Engineer
exercising independent judgment. The
Agency intends these new requirements
to be met when a new Plan is prepared
after promulgation of this proposed rule,
or an existing Plan is amended, pursuant
to § 112.5. During inspections for
compliance with the current SPCC
requirements, some facility owners and
operators have argued that they have
not interpreted the current regulatory
language to require that the certifying
Engineer physically visit the facility EPA
believes the current regulatory language
(e.g., requiring the engineer to  examine
the facility) clearly requires the
certifying Engineer to visit the facility
prior to certifying the SPCC Plan. The
proposed change clarifies this  .
requirement by specifying that the
Professional Engineer must be
physically present to examine the
facility.
  As described in paragraph (e), the
SPCC Plan must be available at a
facility if the facility is normally

S-310999    0009(OOX21-OCT-9I-I3:49:14)
 attended eight hours per day. Some
 owners or operators at facilities
 operating one shift per day have
 interpreted this requirement as not
 applying to a facility that is in operation
 only seven and one half hours per day,
 deducting a half hour for lunch. The
 Agency strongly believes that to be most
 useful in preventing and mitigating
 discharges, the SPCC Plan must be an
 integral part of manned facility
 operations. Therefore, the Agency has
 chosen a four-hour minimum attendance
 requirement in the proposed rule to
 ensure that facilities operating one shift
 per day are required to maintain SPCC
 plans at the facility.
  In paragraph (f), the owner or operator'
 of new facilities described in paragraph
 (b) may in defined circumstances apply
 for an extension of time to comply with
 the requirements of this part. Existing
 facilities described in paragraphs (a)
 and (c) have had since 1973 to comply
 with the requirement and have their
 SPCC Plans in place, and therefore, this
 provision does not apply to those
 facilities.

 D. Section 112.4—Amendment of SPCC
 Plans by Regional Administrator
  This section describes the review of a
 Plan by the Regional Administrator in
 the event of certain types of spills and
 procedures for requiring an amendment
 to the Plan. In proposed paragraph
 (a)(4), owners or operators are required
 to provide the Regional Administrator
 with information on the name and
 address of any registered agent. In some
 instances, a registered agent of the
 owner or operator may have information
 needed by the Regional Administrator.
 The Regional Administrator may also
 need to contact the agent with further
 questions or transmit his review of the
 Plan back to the agent.
  In proposed paragraph (a)(10),
 information on the nature and volume of
 oil spilled is required, in addition to the
 information currently required.
 Information on the nature and volume of
 oil spilled provides the Agency with
 additional information to identify select
 problem areas where additional
 regulatory emphasis may be needed.
 EPA also believes that this information
 will assist the Regional Administrator in
 determining if amendment of the SPCC
 Plan is necessary and in determining
 future oil pollution prevention policies.
  In proposed paragraph (b),  the
 references to § 112.3{a), (b), and (c) have
 been deleted because the times allowed
 in these paragraphs  for the preparation
 and implementation of the Plan are
proposed for deletion.
  Paragraph (c) of the current rule
requires that a complete copy of all
                                            4701.FMT...[16.30]...12-28-90
information provided to the Regional
Administrator be provided to the State
agency in charge of water pollution
control activities in which the facility is
located. Proposed paragraph (c) would
require that the information be sent to
the State agency in charge of oil
pollution control activities. The EPA is
proposing this change because it is the
appropriate agency to contact in many
States.
  In proposed § 112.4(d). a sentence has
been added that discusses the review by
the Regional Administrator of materials
submitted under proposed § 112.7(d).
Proposed § 112.7(d) requires, among
other things, the owner or operator to
submit to the Regional Administrator
certain materials, such as a contingency
plan, if the installation of structures or
equipment listed in § 112.7(c) is not
practicable.
E. Section 112.5—Amendment of SPCC
Plans by Owners or Operators
  EPA is proposing to revise S 112.5(a)
to require that Plans be amended before
any change is made in facility design,
construction, operation, or maintenance
affecting the facility's potential for
discharge of oil into waters of the
United States unless an extension has
been granted by the Regional
Administrator. This provision is
consistent with the provision proposing
that SPCC Plans for new facilities be
prepared and implemented before
facility operations begin. EPA is also
proposing to clarify which changes
require Plan amendments by listing the
following types of changes as examples:
(1) Commission or decommission of
tanks; (2) replacement, reconstruction,
or movement of tanks; (3) •
reconstruction, replacement, or
installation of piping systems; (4)
construction or demolition that might
alter secondary containment structures:
or (5) revision of standard operation or
maintenance procedures at a facility.
These examples are not an exclusive list
of changes that require a Plan
amendment.
  The owner or operator of a facility
subject to $ 112.3(a), (b), or (c) is
required by the current § 112.5(b) to
review and evaluate the facility SPCC
Plan at least every  three years, and to
amend the Plan within six months to
include more effective prevention and
control technology  if: (1) Such
technology will significantly reduce the
likelihood of a spill from the facility; and
(2) the technology has been field-proven
at the time of the review.
  The current $ 112.5(c) states that, to
be effective, all amendments to a
facility's Plan must be certified by a

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 54620	Federal Register / Vol. 56. No. 204 / Tuesday.  October 22.  1991 /  Proposed Rules
 Professional Engineer in accordance
 with § 112.3(d). EPA is proposing an
 exception to this provision for any
 changes to the SPCC Plan emergency
 contact list (required by the proposed
 § 112.7(a)(3)(ix)). This change does not
 affect the technical/engineering aspects
 of the SPCC Plan, or the characteristics
 of the facility and, therefore, does not
 require certification by a Professional
 Engineer. It is important that the SPCC
 Plan emergency contact list be current in
 order to rapidly respond to spills.

 F. Section 112.6—Civil Penalties for
 Violation of Oil Pollution Prevention
 Regulation
   This section describes the penalties
 associated with failure to comply with
 certain listed sections of the rule. In this
 proposed rule. §§ 112.1(e), 112.7.112.8,
 112.9,112.10, and 112.11 are added to the
 list of required provisions.
   The OPA changes the penalty
 structure under the CWA (see Section
 I.C. of this preamble, Oil Pollution Act of
 1990, for changes in liability limits and
 penalties). All violations of this
 regulation on or after August 18,1990
 are subject to the procedures set out in
 section 311 of the CWA as amended by
 the OPA. The Agency is reviewing the
 need for clarifying changes to § 112.6
 and to 40 CFR part 114 in light of the
 OPA amendments.

 G. Section 112.7—Spill Prevention.
 Control, and Couniermeasures Plan
 General Requirements
  The Agency is proposing to separate
 existing provisions of 40 CFR 112.7 into
 five sections (§§ 112.7,112.8.112.9,
 112.10. and 112.11) based on facility
 type. Proposed § 112.7 provides general
 requirements for preparing SPCC Plans
 while §§ 112.8,112.9,112.10, and 112.11
 address detailed Plan requirements for
 onshore facilities (excluding production
 facilities); onshore production facilities;
 onshore oil drilling and workover
 facilities; and offshore oil drilling,
 production, and workover facilities.
 respectively. The purpose of the
 reorganization of the current § 112.7 is
 for clarity and ease in using the
regulation but is not intended to make
substantive changes to the regulation;
the new regulatory citations created by
the reorganization do not by themselves
require rewriting or recertification of
SPCC Plans.
  Section 112.3(a) of the current rule
requires that SPCC Plans be prepared in
accordance with § 112.7. The Agency
believes, however, that clarification of
the existing regulation is necessary
because of confusion on the part of
some owners or operators who have,
interpreted the current rule's use of the

S-310999    OOIO(OOX21-OCT-9I-I3:49:17)
 words "should" and "guidelines" as
 indications that compliance with
 applicable provisions of § 112.7 is
 optional. The current regulation requires
 that all SPCC Plans be prepared in
 accordance with good engineering
 practice. The Agency originally
 promulgated § 112.7 (now reorganized
 as proposed  §5 112.7.112.8.112.9.112.10,
 and 112.11) to require that SPCC Plans
 be prepared in accordance with the
 appropriate provisions in that section in
 the belief that such practices are good
 engineering practice for facilities
 described in  the regulation. However,
 the regulatory language "should" was
 used in most provisions to provide
 flexibility for facilities with unique
 circumstances that could show that such
 practices do not represent good
 engineering practice.
   To eliminate any misunderstanding,
 the words "requirements" and "shall"
 have generally been substituted for the
 words "guidelines" and "should" in the
 proposed revisions to § § 112.7,112.8,
 112.9.112.10,  and 112.11.
   Nevertheless,  because of the
 differences in facility design, the Agency
 continues to recognize that it is not
 always feasible or consistent with good
 engineering practice to mandate the
 same requirements for every facility to
 prevent and to contain oil spills. Thus,
 the Agency has reviewed each of the
 provisions of proposed Si 112.7,112.8,
 112.9,112.10.  and 112.11 and. where
 appropriate, is proposing the provision
 as a recommendation for consideration
 by facility owners or operators in
 evaluating the requirements of good
 engineering practice.
   Furthermore, as is the case in the
 current regulation,  the proposed revision
 continues to provide for deviation from
 the requirements of $ 112.7 where  the
 owners or operators cannot meet the
 specific requirements set forth in the
 rule. A new proposed technical waiver
 in § 112.7(a)(2) allows for the owner or
 operator to provide equivalent alternate
 protection that is not specified in
 §§ 112.7(c), 112.8,112.9.112.10, and
 112.11. EPA. in the exercise of its
 authority to inspect facilities and SPCC
 plans, of course,  retains the authority to
 find that such alternative methods of
 protection do not provide equivalent
protection.
  In addition to clarifying language, the
Agency has proposed in today's rule two
other series of changes. First, the
Agency has specified many of the
inspection and monitoring time periods
referred to in  SS  112.7,112.8.112.9.
112.10.  and 112.11. In the current rule,
many time periods  are determined by
the owner or operator and listed in the
SPCC Plan, in accordance with good
                                            4701.FMT...[16,30j...l2-28-90
 engineering practice. The Agency is
 proposing to define most of the time
 periods, while leaving only a few to
 interpretation by the owner or operator.
 By specifying time periods based on
 engineering practice, the Agency intends
 to provide the regulated community with
 greater certainty concerning its
 .obligations. However, because of the
 diversity of facilities subject to this
, regulation, not all time periods can be
 standardized based on engineering   •
 practice.
   Second, in various places in §§ 112.8
 and 112.9 of the proposed rule.
 recommendations have been added to
 follow relevant industry standards or
 recommended practices, such  as API
 series 12.620.650. and 2000; ASME
 B31.3, B96.1, and section VIII; NFPA 30,
 31, and 31a: and UL142. While the
 proposed rule does not specifically
 incorporate these standards, the Agency
 believes that adherence  to appropriate
 industry standards is, in most  cases,
 strong evidence of adherence to good
 engineering practice. The Agency
 recommends that these publications and
 others on recommended practices and
 procedures be consulted when
 developing a Plan.
   The following discussion focuses on
 revised provisions, new requirements,
 and new recommendations in  each
 paragraph in proposed § 112.7.
   In 5 112.7(a) of the current rule.
 facilities are required to  include in the
 Plan information about spill events
 occurring prior to the effective date of
 the original Oil Pollution Prevention rule
 (1973). Because such information has
 little current relevance, the provision is
 proposed to be deleted. Proposed
 paragraph (a) includes a general
 description of the SPCC Plan, which is in
 the introductory text of § 112.7 of the
 current rule. Four new paragraphs have
 been proposed for addition to  paragraph
 (a).
   In proposed paragraph (a)(2),
 deviation from the requirements of
 paragraph (c) of this section and the
 requirements of §§ 112.8.112.9,112.10,
 and 112.11, which apply to a specific
 facility and which include specific
 provisions for structures and equipment,
 is allowed, as long as that equivalent
 protection is provided by other means.
 This provision is intended to provide
 much of the flexibility to incorporate
 differences in a diverse regulated
 community that was previously intended
 by the use of the regulatory language
 "should." Taken together with
 provisions clearly defined as
 requirements, this provision provides a
 clearer description of the Agency's

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               Federal Register /  Vol. 56.  No. 204 / Tuesday. October  22, 1991 / Proposed Rules
                                                                        54621
 expectations for the purposes of Plan
 preparation.
   Proposed paragraph (a)(3) clarifies the
 characteristics of a facility that must be
 described in the Plan, including unit-by-
 unit storage capacity, type and quantity
 of oil stored, estimates of quantity of
 oils potentially discharged, possible spill
 pathways, spill prevention measures,
 spill control measures, spill
 counter-measures, provisions for
 disposal of recovered materials, and a
 contact list with appropriate phone
 numbers. The description of the
 facility's physical plant must also
 include a facility diagram on which the
 location and contents of all tanks must
 be marked, regardless of whether the
 tanks are subject 'to all the provisions of
 40 CFR part 280. A complete facility
 diagram will assist  in response actions.
   Proposed paragraph (a){4) requires
 documentation in the Plan to enable a
 person reporting a spill to provide
 essential information (based on Agency
 experience) to organizations on the
 contact list. As the result of Agency
 experience during emergency
 conditions, proposed paragraph (a)(5)
 requires that portions of the Plan
 describing procedures to be used in
 emergency circumstances be organized
 in a manner to make them readily
 useable in an emergency.
   Paragraph (b) of the proposed rule
 (§ 112.7(b) of the current rule) changes
 the "should" to "shall" for purposes of
 clarification. Section 112.7(c) of the
 current rule lists appropriate
 containment and diversionary structures
 and requires that dikes, berms, or
 retaining walls be sufficiently
 impervious to  contain spilled oil. A
 proposed revision to this paragraph
 clarifies that the entire containment
 system, including walls and floor, must
 be impervious to oil for 72 hours. EPA
 believes that the specificity of a 72-hour
 standard provides the regulated
 community with greater clarification
 and flexibility than  the phase
 "sufficiently impervious" currently in
 the regulation.
  The Agency recognizes that spills
 occur while facilities are unattended;
however, EPA believes that most
facilities are attended at some time
during a 72-hour period. Therefore, a
containment system that is impervious
 to oil for 72 hours will allow time for
discovery and removal of an oil spill in
most cases. This requirement is
consistent with the provision for diked
areas surrounding bulk storage tanks in
proposed § 112.8(c)(2). Another
proposed revision to this paragraph
clarifies and further defines the phrase
 "containment system that is impervious
 to oil" as being a system constructed so

 S-310999    0011(OOX21-OCT-9I-13:49:21)
 that spills will not permeate, drain or
 infiltrate or otherwise escape to surface
 waters before cleanup occurs.
  The Agency is aware that for certain
 facilities, such as some electrical
 substations that have gravel beds
 surrounding equipment to prevent
 electrical and fire hazards, compliance
 with proposed § 112.7(c) may  not be
 practicable. For these facilities,
 § 112.7(d) of the current rule describes
 the procedures for facilities where the
 installation of structures and equipment
 listed in paragraph (c) is not practicable.
 The Agency believes that the  alternative
 requirements of § 112.7(d) provide the
 regulated community with additional
 flexibility on complying-with-the Oil
 Pollution Prevention regulation while
 fulfilling the intent of the CWA.
  The proposed rule would add several
 new requirements. First, facilities would
 be required to conduct integrity testing
 of tanks every five years at a minimum.
 This is in contrast to the proposed
 requirement in § 112.8(c)(6) for integrity
 testing of tanks every ten years at
 facilities, that are able to incorporate
 secondary containment features. In
 addition, the proposed rule would
 require facilities without secondary
 containment to conduct integrity and
 leak testing of the valves and  piping
 every year at a minimum. Annual testing
 has been proposed because valve and
 piping system failures are a major
 contributor to oil spills.5.
  The current § 112.7(d) requires that a
 strong oil spill contingency plan and a
 written commitment of manpower,
 equipment, and materials for spill
 control and removal be provided for
 facilities without secondary
 containment. Since these facilities do
 not have oil spill technology that uses
 secondary containment, prevention and
 countermeasures become of primary
 importance and these measures will
 have to be implemented immediately to
prevent spills from reaching navigable
waters. Proposed paragraph (d) clarifies
 that the contingency plan must be
 provided to the Regional Administrator.
In addition, proposed paragraph (d)
 references proposed § 112.4(d), allows
 the Regional Administrator to approve
 the Plan or require amendment of the
Plan.
  The contingency plan is a subsection
 of an SPCC Plan. An SPCC Plan can be
divided into two major concepts: (1)
Design, operation, and maintenance
procedures to prevent and control spills,
and (2) how a facility's personnel are to
  • Twelve percent of all release! are caiued by
pipe leaki and valve failures. "Aboveground
Storage Tank Incident Information Project." API,
Washington. DC. December 20.1988.
                                             4701.FMT...[16.301...17,-?.H-on
respond to a discharge. The contingency
plan is designed to deal with the second
concept. It is proposed that the
contingency plan shall be a separate
section of the SPCC Plan because it
would be more accessible during
emergencies.
  One of the first steps in developing a
contingency plan is to define the
potential hazard. Requirements to define
a hazard are in § 112.7(b). Typically, to
determine the potential hazard, the
following would be examined: Potential
failures, the size of a spill resulting from
each type of failure, how fast and long
the spill event would take to occur, and
what the spill might impact. To
determine what the spill may impact,
the potential spill size, rate of flow, and
direction of travel needs to be analyzed.
The OPA requires facilities that pose a
substantial threat or harm (e.g.,  facilities
without secondary containment) to the
navigable waters to prepare a facility
specific response plan. This requirement
will be addressed in Phase II revisions
to the SPCC regulation.
  Paragraph (d)(l) of the  current rule
states that an oil contingency plan must
follow the provisions of 40 CFR part 109.
The proposed paragraph no longer refers
to 40 CFR part 109, but, specifies basic
requirements for an oil contingency
plan. The proposed revisions to this
paragraph would require that the Plan
include a description of response plans,
personnel needs, methods of mechanical
containment, removal of spilled oil, and
access and availability of sorbents,
booms, and other equipment. Proposed
paragraph (d)(l) would require that the
Plan not rely upon response methods
other than containment and physical
removal of oil from the water, unless
such response methods have been
approved for the contingency plan by
the Regional Administrator. The
additional approval for the  actual use of
dispersants and other chemicals to
respond to oil spills in navigable waters
would continue to be governed by 40
CFR part 300, subpart) of the National
Contingency Plan.
  Proposed paragraph (d)(2) contains a
recommendation that the facility owner
or operator consider factors such as
financial capability in making the
written commitment of manpower,
equipment, and materials.
  Section 112.7(e) of the existing
regulation lists the provisions specific to
various types of facilities. This section
has been reorganized and divided into
J5 112.8.112.9.112.10. and 112.11. The
remaining paragraphs in proposed in
§ 112.7 are discussed below.
  Proposed Section 112.7(e): Inspection.
tests and records. This is §  112.7(e)(8) in

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 54622        Federal  Register / Vol. 56. No.  204 / Tuesday.  October 22.  1991 / Proposed Rules
 the current regulation. A facility should
 continually conduct self-inspections and
 regular maintenance on its equipment.
 In the proposed rule, all records of
 inspections and tests are to be
 maintained with the  SPCC Plan because
 these records need to be readily
 accessible to EPA personnel and the
 certifying PE. The proposed rule changes
 from three to five years the period for
 which records of inspections and all test
 results (along with the written
 procedures for performing the
 inspections and tests) must be
 maintained with the  SPCC Plan. The
 records of tests, inspections, and
 maintenance should  be updated
 continuously. If these records were part
 of the Plan, as stated in the existing rule,
 the Plan would need to be amended
 each time old records were removed and
 new records added. The use  of
 "maintained with" is intended to
 eliminate this problem.
  The proposed rule change  from three
 to five years for retention of  records of
 inspections, test results, and written
 procedures for performance is consistent
 with the Federal statute of limitations on
 assessment of civil penalties for SPCC
 regulatory violations. Extending this
 requirement to five years will ensure
 that facility owners or operators have
 records needed to establish compliance
 with the Oil Pollution Prevention
 regulation. The provision requiring
 inclusion of all records of test results is
 a clarification of what inspections
 include.
  Proposed § H2.7(f): Personnel.
 training, and spill prevention
procedures. Thft section is § 112.7(e)(10)
 in the current regulation. Included in this
 section are requirements for training
 facility personnel. A new
 recommendation that training exercises
 be conducted yearly and that new
 employees be trained within their first
week of work is proposed in
 ! 112.7(f)(l). A high percentage of spills
 are caused by operator error, therefore,
training and briefings are important for
 the safe and proper functioning of a
facility. Training encourages  up-to-date
planning for the control and response to
a spill. Training courses help sharpen
operating and response skills, introduce
the latest ideas and techniques,  and
promote contact with the emergency
response organization and familiarity
with the SPCC Plan. Refresher training
must be carried out in a  consistent and
regular manner to ensure currency and
capability of employees. New •
employees may have a higher
probability for operation errors and,
therefore, need training as  soon  as
possible after their employment. Facility

S-310999    0012(OOX21-OCT-9I-I3:49:24)
training in emergency response
operations could be held in conjunction
with local contingency planning efforts
in accord with SARA Title III
requirements.
  Proposed § 112.7(g): Security
(excluding oil production facilities).
This section is § 112.7(e)(9) in the
current regulation. Requirements for
fencing, locks, lighting, and other
security measures at facilities are
described in this section.
  Vandalism is a  factor  in many spills
from facilities, therefore, there is a need
for adequate and effective security to
prevent access to the site by
unauthorized persons and to prevent
tampering with equipment and tanks.
Paragraph (e)(9)(ii) of the current rule
requires that master flow and'drain
valves be securely locked in the closed
position-when in non-operating or non-
standby status. Because of changes in
technology and the use of manual and
electronic valving. the Agency believes
that this provision should be clarified to
require closure of valves: however, the
method of securing valves is left to the
discretion of the facility and good
engineering practice, as  described in
proposed § 112.7(g)(2).
  Paragraph (e)(9)(iv) of the current rule
requires that the loading/unloading
connections of oil pipelines be securely
capped or blank-flanged when not in
service or stand-by service for an
extended time. Proposed paragraph
(g)(4) clarifies "an extended time" to be
a time greater than "six  months:" This
time period is based on experience in
the Regions. Regional personnel found
that some spills were caused by loading
or unloading oil through the wrong
pipeline or turning the wrong valve
when the pipeline in question was
actually out-of-service. Since this rule
applies to facilities and tanks operating
seasonally and since a number of
loading/unloading connections are used
seasonally, a period of six months is
proposed.  .
  Proposed § 112.7(h): Facility tank car
and tank truck loading/unloading rack
(excluding offshore facilities). This
section is § 112.7(e)(4) in the current
regulation. Because many onshore
facilities subject to the SPCC regulation
have tank car and tank truck loading/
unloading racks, this paragraph  was
kept in the general applicability section.
  Proposed § 112.7(i). This section
references conformance  with the
applicable provisions in  proposed
§§ 112.8,112.9.112.10. and 112.11 and if
more stringent, with State rules,
regulations, and guidelines.
                                            4701.FMT...[16.301...12-2R-flO
H. Section 112.8: Spill Prevention.
Control, and Countermeasures Plan
Requirements for Onshore Facilities
fExcluding Production Facilities)

  This section combines §§ 112.7(e)(l).
112.7(e)(2), and 112.7(e)(3) of the current
regulation. The word "plant" is changed
to "facility"  to clarify EPA's intent.
Current § 112.7(e)(l) discusses facility
drainage systems and is proposed to'be^
renumbered as paragraph (b).
  Proposed  § 112.8(b)(3) clarifies that
only undiked areas of a facility's
property that are located such that they
have a reasonable potential to be
contaminated by an oil spill are required
to drain into a pond, lagoon, or
catchment basin. A good SPCC Plan
should seek  to separate reasonably
foreseeable  sources of contamination
and non-contamination.
  In proposed § 112.8(b)(4), "plant
drainage" is changed to "facility
drainage"; "ditches" is changed to
"drainage" to clarify the meaning of the
section. It is proposed that spilled oil
shall be retained in the plant rather than
returned to the plant. This change
follows the spill prevention and control
intent of this rule. Furthermore, it should
be easier to  retain spilled oil rather than
retrieve oil that has been spilled and
discharged from  the facility. This should
enhance, efforts to prevent the discharge
from reaching navigable waters.
  Current §  112.7(e)(i)(v) is proposed as
S 112.8(b)(5) and has been reworded to
improve its clarity.
  Proposed  S 112.B(b)(6) includes a
clarification that compliance with the
SPCC regulation does not preclude the
need for owners  or operators to comply
with the requirements of Federal, State
and local agencies such as those for
facilities in areas subject to flooding.
The Plan should  address these
additional measures related to flooding.
This is consistent with the FEMA
promulgated requirements in 44 CFR
part  60 for aboveground storage tanks
located in flood hazard areas. For
further discussion of FEMA's flood plain
management requirements, see section
IV.E. of this  preamble.
  Current §  112.7(e)(2) discusses bulk
storage containers and is proposed to be
renumbered  as § 112.8(c). Proposed
§ 112.8(c)(l)  contains a new
recommendation that tanks conform
with relevant industry standards as
"good engineering practice". Paragraph
(e)(2)(ii) of the current rule requires that
tank installations include a secondary
means of containment for the contents
of the largest single tank and sufficient
freeboard to allow for precipitation.
Although the current rule and the

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               Federal Register /  Vol.  56.  No. 204 / Tuesday. October 22.  1991 / Proposed Rules        54623
 proposed revisions do not set a standard
 for "sufficient" freeboard, EPA
 recommends freeboard sufficient to
 contain a 25-year storm event. Certain
 facilities may have equipment such as
 electrical transformers that contain
 significant quantities of oil for
 operational purposes rather than storage
 purposes. EPA has determined for safety
 and other considerations that such oil
 filled equipment should not be subject to
 the provisions of proposed § 112.8(c) or
 § 112.9(d) addressing bulk storage
 containers at onshore facilities because
 the primary purpose of this equipment is
 not the storage of oil in bulk.
 Consequently, facilities with equipment
 containing oil for ancillary purposes do
 not need to provide secondary
 containment for this equipment nor
 implement the other provisions of
 proposed § 112.8(c) or § 112.9(d). Oil-
 filled equipment must meet other
 applicable SPCC requirements including
 the general requirements and the
 requirements of § 122.7, including
 § 112.7(c), to provide appropriate
 containment and or diversionary
 structures to prevent discharged oil from
 reaching a navigable water course. The
 general requirement for secondary
 containment, which can be provided by
 various means including drainage
 systems, spill diversion ponds, etc.. will
 provide for safety and also meet the
 goals of section 311(j)(l)(c) of the CWA.
 The oil storage capacity of the
 equipment, however, must be included
 in determining the  total storage capacity
 of the facility, which determines
 whether a facility is subject to the Oil
 Pollution Prevention regulation. The
 Agency believes that this interpretation
 will ensure that facilities containing oil
 storage capacity above the quantity cut-
 offs prepare SPCC Plans while, at the
 same time, recognizing that certain
 types of equipment use oil in specialized
 ways for which the provisions of
 proposed § 112.8(c) or § 112.9(d) are not
 necessary.
  The SPCC Plan, however, will not
require that specific oil spills prevention
 measures designed for storage tanks, '
such as dikes, be installed. EPA also
 solicits comments and data that might
identify operational rather than storage
uses of oil, other than electrical
 transformers, for facilities that may not
currently use secondary'containment as
 a common industry practice.
  The current rule  also requires that
diked areas must be sufficiently
 impervious to contain spilled oil. The
proposed § 112.8(c)(2) clarifies that
 these diked areas must be able to
 contain spilled oil for at least  72 hours

 S-310999    OOU(OOX21-OCT-91-13.49:28)   ,
 (see previous discussion of § 112.7(c) in
 this preamble).
  Current paragraph (e)(2)(iv) addresses
 underground metallic storage tanks and
 is proposed to be renumbered as
 § 112.8(c)(4). Because tanks currently
 subject to the technical requirements of
 the UST regulation (40 CFR part 280)
 would be generally exempted from
 SPCC requirements under proposed
 § 112.1(d)(4), proposed § 112.8(c)(4)
 would only apply to tanks not covered
 by the UST requirements.
  Paragraph (e)(2)(iv) in the current rule
 requires buried tanks to be subjected to
 regular pressure testing. Under proposed
 § 112.8(c)(4), regular leak testing is
 recommended for such tanks. Leak
 testing is specified, rather than pressure
 testing, in order to be consistent with
 many State regulations. The Agency is
 not proposing to require leak testing
 under the. Oil Pollution Prevention rule
 until further data are generated. The
 Agency is aware that this technology is
 evolving rapidly with new volumetric
 testing designs, acoustic detection
 methods, and tracer gas techniques in
 various stages of commercial
 development. EPA's Office of
 Underground Storage Tanks will be /
 reviewing these new techniques and
 subsequently may issue technical
 requirements for tanks for which
 technical provisions under 40 CFR part
 280 are currently deferred. These
 technical provisions may be
 incorporated into this regulation.
  Under § 112.7(e)(2)(v) of the current
 rule, partially buried metallic tanks are
 to be avoided unless the shell is coated.
 Under proposed §  112.8(c)(5), it is
 recommended that partially buried or
 bunkered metallic tanks be avoided
 altogether. If such  tanks are used,
 however, they must be protected from
 corrosion by coatings, cathodic
 protection, or other methods. This
proposed provision is consistent with
 the requirements for completely buried
 tanks.
  Paragraph (e)(2)(vi) of the current rule
 requires that aboveground tanks be
subject to periodic integrity testing and
 lists suggested testing techniques.
Proposed § 112.8(c)(6) specifies that the
 testing must be performed  every ten.
years and when material repairs are
conducted. An example of such testing
 is a full hydrostatic test performed when
a tank is reconstructed or when the tank
has undergone major repairs or major
alterations. A major repair or alteration
may include removing or replacing the
annular plate ring, replacement of the
tank bottom, or jacking of a tank shell.
EPA believes that a ten-year testing
interval is standard industry practice
                                            4701.FMT...[16,30)...12-28-90
although many types of tanks, such as
those storing types of crude oil, may
require more frequent testing. In
addition to hydrostatic testing, visual
testing, and a system of non-destructive
shell testing, as listed in the current rule.
the Agency recommends such
techniques as radiographic, ultrasonic.
or acoustic emissions testing for testing
the integrity of aboveground tanks. The
Agency does not believe that visual
tests alone are  sufficient for an integrity
test, and that they should be used in
combination with the aforementioned
techniques.
  Studies of the Ashland oil spill
suggest that the tank collapse resulted
from a brittle fracture in the shell of the
tank. Adequate fracture toughness of the
base metal of existing tanks is an
important consideration in  spill
prevention, especially in  cold weather.
Although no definitive non-destructive
test exists for testing fracture toughness,
the API 650 standard establishes
material  toughness criteria  that reduce
the risk of brittle fracture; therefore, the
Agency recommends that this standard
be used as a starting point.
  Section 112.7(e)(2)(vii) of the current
rule discusses the factors to be
considered to control leakage from
defective internal heating coils. Under
paragraph (e)(2)(vii)(A) of the current
rule, steam return or exhaust lines from
internal heating coils that discharge into
an open water course must  be monitored
or passed through a settling tank,
skimmer, or other separation or
retention system. In proposed
§ 112.8(c)(7)(i),  the Agency recommends
that these systems be designed to hold
the entire contents of the affected tank.
be of sufficient  size to contain a spill
that may occur  when the system is not
being monitored, or have fail-safe oil
leakage detectors. The revision in
proposed § 112.8(c)(7)(ii)  clarifies that
consideration of the feasibility of
installing an external heating system is
a discretionary provision.
  Paragraph (e)(2)(viii) of the current
rule lists  several devices  to  ensure that
new and old tank installations are fail-
safe engineered: one or more of these
devices is required at  a-facility. Testing
frequency of these devices may vary
depending on the type of sensor and the
manufacturer. The Agency is not
specifying a time frame for  testing
sensing devices, but recommends
regular testing in accordance with
manufacturer specifications and
schedules. Proposed § 112.8(c)(8)(v)
allows for the use of other newly
developed sensing devices if these
devices will provide equivalent
protection consistent with § 112.7(a).

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 54624	Federal Register / Vol.  56. No. 204 / Tuesday.  October 22, 1991  /  Proposed Rules
   Paragraph (e)(2)(x) of the current rule
 requires that oil leaks from tank seams,
 gaskets, rivets, and bolts sufficiently
 large to cause accumulation of oil in
 diked areas be promptly corrected.
 Proposed § 112.8(c)(10) adds a
 requirement that the accumulated oil or
 oil-contaminated materials must be
 removed within 72 hours from the time
 the spill event occurs. This time frame is
 consistent with the requirement for
 diked areas as specified in proposed
 § 112.7(c).
   Paragraph  (e)(2)(xi) of the current rule
 discusses the requirements for mobile or
 portable oil storage tanks. In proposed
 § 112.8(c)(ll), it is recommended that
 these systems have a secondary means
 of containment for the largest container.
 Since many mobile and portable tanks
 are sited for a short duration at
 construction sites and moved frequently
 from location to location, EPA
 recognizes that it will not always be
 feasible to have secondary containment.
 If it is not technically feasible, the SPCC
 plan should include a complete
 discussion of why it is not feasible, and
 state the countermeasures to be used in
 case of a spill.
  Section 112.7(e)(3) of the current
 regulation discusses facility transfer
 operations, pumping, and in-plant
 process and is proposed to be
 renumbered § 112.8(d). The current
 § 112.7(e)(3)(i) requires that buried
 piping installations have a protective
 coating and be cathodically protected if
 soil conditions warrant. Proposed
 § 112.8(d)(l) requires protective coating
 and cathodic protection for new or
 replaced buried piping, regardless of soil
 conditions. Based on EPA experience.
 the Agency believes that all soil
 conditions warrant protection of buried
 piping. However, the Agency is not
 requiring currently in-place buried
 piping to have a protective wrapping
 and be cathodically protected. The
 owner or operator of a facility in the
 past may have determined that soil
 conditions  do not warrant these
 protection methods. Further, the Agency
 also believes  that the activities
 associated with replacing all
 unprotected buried piping would
 possibly cause more spills than it would
 prevent. The proposed paragraph would
allow facilities the option of complying
with other corrosion protection
 standards for piping specified in 40 CFR
 part 280.
  In proposed § 112.8(d)(l), it is
recommended that piping installations
shall be placed aboveground whenever
possible. The Agency encourages the
placement of these installations in leak-
 proof galleys that feed to the facility's

 S-310999    0014
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               Federal Register / Vol.  56. No. 204 / Tuesday.  October 22.  1991 / Proposed Rules	54625
 facilities. EPA suggests that monthly
 examinations are appropriate for most
 facilities.

 /. Section 112.10: Spill Prevention,
 Control, and Countermeasures Plan
 Requirements for Onshore Oil Drilling
 and Workover Facilities
  This section is § 112.7(e)(6) in the
 current rule and includes requirements
 for onshore oil drilling  and workover
 facilities. Paragraph (e)(6)(i) of the
 current rule requires that mobile drilling
 or workover equipment be located so as
 to prevent spilled oil from reaching
 navigable waters.
  Proposed § 112.10(d) requires that
 "when necessary," a blowout prevention
 assembly and well control system be
 installed that is capable of controlling
 any anticipated wellhead pressure that
 is expected to be encountered while that
 blowout assembly is on the well. EPA
 recognizes that a blowout prevention
 assembly is not necessary where
 pressures are not great enough to cause
 a blowout (gauge negative) and need not
 be required in all cases. However, a
 gauge negative reading must be
 evaluated in conjunction with an
 examination of the known history of the
 pressures encountered  when drilling on
 the oil reservoir. The history of the
 reservoir may indicate  that a blowout
 prevention assembly and well control
 system is needed. Where the history of
 the reservoir is not known, then a
 blowout prevention assembly and well
 control system must be installed.

 K. Section 112.11: Spilt Prevention,
 Control, and Countermeasures Plan
 Requirements for Offshore Oil Drilling,
 Production, or Workover Facilities
  This section is § 112.7(e)(7) in the
 current regulation and includes the
 requirements for offshore oil drilling,
 production, and workover facilities. The
 definition of these facilities has been
 moved to § 112.2 (j). Numerous other
editorial changes have been made to
 clarify the intent of this section.
  As indicated in § 112.11(b) of this
 proposed regulation, offshore oil drilling,
 production, and workover facilities that
 are subject to the Operating Orders,
notices, and regulations of the MMS are
 not subject to this part. Paragraph
 (e)(7)(ii) of the current rule requires
removal of oil in collection equipment as
often as necessary to prevent overflow.
The proposed § 112.11(c) has been
amended to require removal of collected
oil at least once a year. EPA believes
 that yearly oil removal  will prevent
buildup of accumulated oils. A
protracted removal period could lead to
an accidental excess buildup and
resultant overflow.

S-310999    0015(00X21-OCT-9M 3:49:35)
   Paragraph (e)(7)(iii) of the current rule
 requires a regularly scheduled
 maintenance program for the liquid
 removal and pump start-up device.
 Because offshore facilities have less
 ability to control spills in navigable
 waters than onshore facilities, their
 containment devices are particularly
 important, in the proposed § 112.11(d),
 "regularly scheduled" is clarified as
 "monthly."
   With regard to corrosion protection in
 proposed § 112.11(h), the Agency
 recommends that the appropriate NACE
 standards be followed in determining
 suitable corrosion protection for tanks.
 Proposed § 112.11(j) cites simulated spill
 testing as a preferred method to test and
 inspect oil spill prevention equipment
 and systems. Experience has
 demonstrated that properly maintained
 and functioning pollution prevention
 equipment is the most cost-effective
 way to control oil spills. These systems
 are crucial at offshore oil drilling,
 production, and workover facilities
 where a reduced ability to prevent oil
 from reaching navigable waters exists.
 Therefore, proposed § 112.11(j) has also
 been revised to require scheduled
 periodic testing and inspection of
 pollution prevention equipment not less'
 than monthly.
   Paragraph (e)(7)(x) of the current rule
 requires the owner or operator to
 describe well shut-in valves and devices
 and to keep detailed records for each
 well. Proposed § 112.11(k) clarifies that
 this documentation must be maintained
 at the facility for a period of no less that
 five years (see Section III.G. and
 § 112.7(e)).
   Paragraph (e)(7)(xii) of the current rule
 describes extraordinary well control
 measures for emergency conditions. In
 proposed § 112.11(m), such measures are
 restated as recommendations. Further
 measures will be examined in the
 context of spill contingency planning.
 Contingency planning will be a major
 topic of the Phase Two rulemaking and
 the provisions in this proposed
 paragraph will be reviewed at that time.
   The order of sections in the current
 § 112.7(e)(7)(xiii) has been changed for
 clarity. Section 112.7(e)(7)(xiii) of the
 current rule is proposed to be
 renumbered as § 112.11(s). and
 paragraphs (e)(7)(xiv) through
 (e)(7)(xviii) of the current rule  are
 proposed to be renumbered as § 112.11
 (n) through (r), accordingly.
 IV. Relationship to Other Programs

A. Underground Storage Tanks
  A number of underground and
 aboveground petroleum storage  tanks
 (as defined by the proposed revisions to
                                            4701.FMT...[16,30]...12-28-90
40 CFR part 112) are subject to both the
Oil Pollution Prevention regulation and
the UST regulation (40 CFR part 280)
issued under subtitle I of the Resource
Conservation and Recovery Act
(RCRA).
  A goal of both the SPCC and UST
programs is to prevent releases of
petroleum, although there are
differences in applicability, approach,
and the regulated community. For
example, the current Oil Pollution
Prevention regulation is applicable to
the owners or operators of facilities: (1)
Possessing either underground storage
capacity greater than 42,000 gallons of
petroleum (or any other oil), or total
aboveground storage capacity greater
than 1,320 gallons of oil (or greater than
660 gallons of oil in a single
aboveground tank): and (2) that, because
of their location, could reasonably be
expected to discharge oil into  or upon
the navigable waters of the United
States or adjoining shorelines. The UST
regulations apply to owners or operators
of underground petroleum tank systems
(as  defined in 40 CFR part 280) that have
a volume at least ten percent beneath
the surface of the ground. (The UST
program also regulates underground
storage tanks containing hazardous
substances as defined by the
Comprehensive Environmental
Response, Compensation, and Liability
Act. as amended (CERCLA)).
  In addition, the SPCC program is
designed to protect surface waters,
whereas the UST program under RCRA
subtitle I is intended, in part, to provide
protection for ground water. Finally, the
regulatory focus of the SPCC and UST
programs currently differs significantly
as they relate to underground  storage
tanks. The  SPCC program regulates
facilities with relatively large
underground storage capacity, whereas
the  bulk of the currently regulated
universe under the UST technical
standards (40 CFR part 280) is small-
capacity USTs at facilities such as
gasoline filling stations. Because EPA
believes that the UST program offers
equivalent  protection, EPA is proposing
to exclude from SPCC coverage (with
two limited exceptions described below)
underground storage tanks that are
covered by all  of the UST program
provisions in 40 CFR part 280.
  It is important to note that application
of the technical standards under the
UST regulation has been deferred for
several types of UST systems, including
systems with field-constructed tanks (40
CFR 280.10(c)(5)). Therefore, such
systems are not "subject to all of the
UST provisions" and, thus, are subject
to SPCC requirements under this

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 54626        Federal Register  /  Vol. 56.  No. 204 / Tuesday.  October 22.  1991 / Proposed Rules
 proposal. Further, this exclusion from
 SPCC coverage for underground storage
 tanks subject to all UST program
 provisions is limited to USTs meeting
 the proposed SPCC regulation definition
 of an underground storage tank, i.e., a
 tank completely covered with earth. The
 definition used in the UST program, 40
 CFR part 280, is broader and includes
 partially buried tanks. The SPCC
 program proposes to regulate any tanks
 that are not completely buried because
 tanks with exposed surfaces exhibit a
 greater potential to discharge into
 navigable waters of the United States
 and other surface waters. Thus, a
 facility may have some tanks that are
 exempt from SPCC requirements and
 some tanks that are not exempt.
   The applicability of 40 CFR part 112 is
 limited to facilities with underground or
 aboveground capacity as previously
 outlined  (i.e., facilities possessing
 underground oil storage capacity greater
 than 42,000 gallons, total aboveground
 oil storage capacity greater than 1.320
 gallons, or oil storage capacity greater
 than 660 gallons in a single aboveground
 tank). As a result of the proposed
 exclusioafrom SPCC program coverage
 for tanks currently subject to all UST
 program provisions in 40 CFR part 280.
 the calculation of a facility's
 underground storage capacity should
 not include those tanks.
   Finally, there is a qualification in this
 proposed rule that affects the general
 exclusion for USTs currently regulated
 under 40 CFR part 280. Although an UST
 may be exempt from the SPCC
 requirements, if the facility has non-
 exempt tanks for which it must prepare
 a facility SPCC Plan, the location and
 contents of the exempt tanks must be
 marked on the  facility diagram. All
 tanks must be marked on the facility
 diagram so that response personnel are
 able to easily identify dangers from
 either fire or explosion, or physical
 impediments during spill response
 activities. In addition, facility diagrams
 may be referred to in the event of design
 modifications.
B. State Programs
  State and local governments are
 encouraged to supplement the Federal
SPCC program using their own
 authorities. An increasing number of
 States have established or are
 considering State-authorized oil
pollution prevention programs. Some of
 the State programs have imposed
requirements more stringent than the
Federal requirements  or have added
new requirements, such as tank
 licensing, tank  standards, and location
 specifications.  In addition, many States
 are currently assessing the adequacy of

 S-310999    0016
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                Federal Register  /  Vol. 56,  No. 204  /  Tuesday,  October 22, 1991  /  Proposed Rules
                                                                      54627
 EPA, a WHP program that, at a
 minimum:
    •  Specifies the duties of State
 agencies, local government entities, and
 public water supply systems with
 respect to the development and
 implementation of programs;
    •  For each wellhead, determines the
 wellhead protection area (WHPA), as
 defined in section 1428(e), based on all
 reasonably available hydrogeologic
 information;
    •  Identifies within each WHPA  all
 potential anthropogenic sources of
 contaminants that may have adverse
- effects on human health:
    •  Describes a  program that contains,
 as appropriate, technical and financial
 assistance, implementation of control
 measures, education, training, and
 demonstration projects to protect the
 water supply within WHPAs from
 contaminants:
    •  Includes contingency plans for the
 provision of alternative drinking water
 supplies in the event of contamination;
    •  Includes a requirement to consider
 all potential sources of such
 contaminants within the expected
 wellhead area of a new water well,
 which serves a public water supply
 system: and
   • Includes a requirement for public
 participation in the development of the
 WHP program.
 At this time. EPA has received WHP
 submittals for review from 30 States.
 This proposed rule indicates  that
 owners and operators must comply with
 both the State WHP program and the
 SPCC regulations. Meeting the
 requirements of the SPCC program does
 not necessarily ensure compliance with
 a State WHP program.

 E. Flood-Related Requirements
   In  § 112.8(b)(6) and § 112.9(c)(3) of the
 proposed rule, it  is recommended, in
 accordance with  Executive Order 11988,
 Floodplain Management, that the SPCC
 Plan address precautionary measures
 for facilities in locations subject to
 flooding. The National Flood Insurance
 Program (NFIP) definition of structures
 includes aboveground oil storage tanks.
 At a  minimum, acceptable mitigation
 measures are specified in Executive
 Order 11988 and  reference the NFIP's
 flood loss reduction standards; those
 standards should be addressed in the
 SPCC Plan for aboveground storage
 tanks located in a flood hazard area.
 Standards for newly constructed or
 substantially improved aboveground
 storage tanks are contained in 44 CFR
 60.3.
   NFIP requires,  among other things,
 that  tanks be designed so that the

 S-310999    0017(OOX21-OCT-9I-I3:49:42)
lowest floor is elevated to or above the
base flood level or be designed so that
the structure below the base level is
watertight with walls substantially
impermeable to° the passage of water.
with structural components having the
capability of resisting hydrostatic and
hydrodynamic loads, and with the
capability to resist effects of buoyancy.
For structures that are intended to be
made watertight below the base flood
level, a Registered Professional Engineer
must develop and/or review the
structural design, specifications, and
plans for construction, and certify that
they have been prepared in accordance
with accepted standards of practice.
  Additionally, the NFIP has specific
standards for coastal high hazard areas.
Existing tanks located in coastal high
hazard areas will be subject to high
velocity waters, wave action, and the
accompanying potential for severe
erosion and scour. Retrofitting measures
for tanks should be tailored to the
unique hazards of the coast and may
include flood protection works,
floodproofing. and other modifications
to facilities that will reduce the damage
potential. In complying with the
requirements of the SPCC regulation   '
while developing a SPCC Plan, owners
or operators are encouraged to consider
and comply with the requirements in 44
CFR 60.3.

/. Occupational Safety and Health
. .dministration
  A number of aboveground storage
tanks are subject to OSHA requirements
under 29 CFR 1910.106. OSHA regulates
occupational settings where flammable
and combustible liquids are present.
Requirements for tanks and ancillary
equipment, secondary containment!
inspections and testing, and contingency
planning are set forth in the OSHA.
regulations.
  OSHA requires tanks to be spaced
three to 20 feet apart, and proper venting
and fire resistant supports to be
installed. API 620 and 2000, the ASME
Boiler and Pressure Code. ANSI 31. and
UL standards are incorporated into
OSHA guidelines. Dikes must be able to
contain 100 percent of each tank's
capacity, the dike walls must average
six feet in height, and earthen dikes
must be more than three feet in height
and two feet in width at the top. OSHA
requires only a one-time test (including
hydrostatic testing) for strength and
tightness: however, compliance with
ASME, API, or UL standards .must be
marked on all tanks prior to use.
  OSHA requirements outlined in 29
CFR 1910.106 are important to good spill
prevention programs and'should be
incorporated into SPCC Plans whenever
                                             4701.FMT...[16,30]...12-28-90  ,
doing so represents good engineering
practice.

V. Request For Comments

  As discussed in section II of this
preamble, the Agency is soliciting
comments and data on the proposed
notification requirements, spill
contingency planning needs, the
discretionary nature of certain
provisions, and the possibility of making
certain provisions requirements only for
large facilities. Also in Section II of the
preamble, EPA requests comments on
other practices that are not proposed at
this time, including: (1) That owners or
operators attach a signed  and dated
statement to the SPCC Plan upon
completion of Plan review; and (2) that
owners or operators of onshore facilities
other than production facilities  describe
the design capabilities of their drainage
systems in the SPCC Plan. Section III of
the preamble contains a request for
comments on the advantages and
disadvantages associated with  the
professional engineer being registered in
the State in which the facility is located
and the  additional requirement that the
professional engineer not  be an
employee of the facility or have any
direct financial ties to the facility. EPA
also solicits comments and data on
criteria for defining "permanently
closed"  tanks.
  In addition to the specific requests
described  above, EPA solicits comments
and information on several other issues.
One particular issue involves facilities
with equipment, such_as electrical
transformers, that contain significant
quantities of oil used for operational
purposes. As described in section III.H,
the Agency has determined that such
equipment is not subject to the
provisions addressing bulk storage
containers. EPA solicits comments on
whether there are examples of other
facilities with similar equipment
containing oil for ancillary purposes that
should not be subject to the proposed
bulk storage provisions. Also. EPA
solicits comments from owners or
operators of facilities with SPCC plans
currently in place as to whether they
believe existing plans would be
adequate to meet the requirements of
the regulation, as proposed. In particular
the Agency would like comments on this
issue from owners and operators of
farms, electrical facilities, and facilities
storing food oils. Including information
as to the extent to which the proposed
requirements may impose new
compliance costs.

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 54628        Federal Register / Vol.  56. No. 204  /  Tuesday. October 22. 1991  / Proposedjtules^
 VI. Regulatory Analyses

 A. Economic Analyses
   EPA has prepared two preliminary
 economic analyses to support today's
 proposed rule; an initial economic
 impact analysis and a supplemental
 cost /benefit analysis. Both analyses
 estimate the societal benefits resulting
 from fewer oil spills, and the economic
 effects on the SPCC-regulated
 community on the following proposed
 revisions: (1) The proposed one-time
 notification form: (2) The proposed
 regulatory language modifications; and
 (3) two new proposed discretionary
 practices. However, these two analyses
 differ primarily in assumptions
 regarding how the regulated community
 would interpret certain proposed
 revisions, and, therefore, how the
.behavior of SPCC-regulated facilities
 would change.
   The initial economic impact analysis
 developed cost estimates only for the
 proposed notification form. No costs or
 benefits were estimated for the
 proposed changes in regulatory language
 and the two new proposed discretionary
 practices because these were assumed
 not to alter significantly the behavior of
 the SPCC-regulated community. Based
 on the findings of the initial economic
 impact analysis, the proposed rule
 would be expected to be non-major
 because the economic effects would
 result in estimated costs of
 approximately $9.9 million during the
 first year the rule is in effect and
 approximately $200,000 in each
 subsequent year. The present value of
 the cost, discounting at 10-percent over
 a 10-year period, is about $10 million.
   EPA performed an additional analysis
 to estimate the economic effects of the
 proposed rule based on alternative
 expectations about how the regulated
 community would interpret certain
 proposed revisions. Specifically, a
 supplemental cost/benefit analysis was
 performed  to estimate the economic
 effects of: (1) Certain proposed revisions
 (described  in Section III of the
 preamble) to the regulatory language
 based on the assumption that a
 substantial proportion of the regulated
 community would need to change their
 behavior to comply with these
 provisions; and (2) two new proposed
 discretionary provisions (described in
 Section II:C of the preamble) based on
 the assumption that a substantial
 proportion  of the regulated community
 would need to change their behavior as
  a result of these new requirements. The
  estimated cost and benefits of the
  proposed notification form as calculated
  in the initial analysis also were
  presented. Based on this supplemental
  analysis, the proposed rule would be a
  major rule as defined by Executive
  Order No. 12291, because the annualized
  estimated cost (based on a 10-year time
  horizon and a 10-percent discount rate)
  is about $145 million. Both the
  "Economic Impact Analysis of the *
  Proposed Revisions to the Oil Pollution
  Prevention Regulation" and the
  "Supplemental Cost/Benefit Analysis of
  the Proposed Revisions to the Oil
  Pollution Prevention Regulation" are
  available for inspection as part of the
  administrative record for this proposed
  regulation (Docket Number SPCC-lP).
  This record is available to the public in
  room M2427 at the U.S.  Environmental
  Protection Agency, 401 M Street. SW..
  Washington, DC 20460. The estimated
  cost and benefits of the three groups of
1  proposed revisions are summarized
  below.
   The present and annualized value of
  the cost and benefit estimates of the
  proposed notification form, based on a
  10-year time horizon and a 10-percent
  discount rate, are presented in Table 1.
                                      TABLE 1.—PROPOSED NOTIFICATION PROVISION

Present Value 	 	 	
Annualized 	

Benefits'



Costs

$1 6 million • 	

Net benefits
$16 million
$2 6 million

    1 The monetized benefits as a result ol the proposed notification form were estimated in the supplemental cost/benefit analysis. The methodology used to
estimate these benefits is included in appendix 2-A and 2-B of the Supplemental Cost/Benefit Analysis of the Proposed Revisions to the Oil Pollution Prevention
Regulation. EPA invites comment on both the methodology used and the results obtained, especially information which might indicate that substantial benefits or
costs have been included.
  Tables 2 and 3 show the present and
annualized value of the cost and benefit
estimates of the proposed regulatory  . .
language changes and the two new
proposed discretionary provisions.
These estimates were developed in the
supplemental cost/benefit analysis,
based on assumptions about how the
 behavior of the regulated community
 would change as a result of interpreting
 these proposed revisions as substantive
 changes in required conduct.
                                TABLE 2.—PROPOSED CHANGES IN REGULATORY LANGUAGE

Present Value 	 .' 	 ; ...
Annualized.,......'. 	 „ 	 	 .llt w^... .

Bonefils
$1.000 million
$162.8 million 	

Costs
$441 million 	
$71 8 million 	 '. 	

Net benefits
$559 million
$91.0 million.

  The cost estimates for the proposed
changes in regulatory language
presented above are based on a detailed
analysis of six of approximately 60
changes in regulatory language
("should" to "shall" changes). These
major provisions are expected, to
generate the largest total costs and.
therefore, are expected to capture
virtually all compliance cost for all
SPCC-regulated facilities to comply with
all the "should" to "shall" regulatory
changes. The methodology used to
estimate these costs is included in
appendix l-C of the Supplemental Cost/
Benefit Analysis of the Proposed
 Revisions to the Oil Pollution Prevention
 Regulation. EPA invites comment on
 both the methodology used and the
 results obtained, especially information
 which might indicate that substantial
 benefits or costs have been included.
S-310999    0018C01X2I-OCT-91-13:5I:06)
                                            4701.FMT...[16.30)...12-28-90

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               Federal Register  /  Vol. 56.  No. 204  / Tuesday, October 22. 1991  / Proposed Rules
                                                                      54629
                                   TABLE 3.—PROPOSED DISCRETIONARY PROVISIONS '

Upper Bound:
Present value ....: 	
Annualized 	
Lower Bound:
Present Value 	
Annualized 	 _ 	

Benefits
$495 million 	
$80 5 million...
$248 million 	
$40.4 million 	 '. 	

Costs
$441 million 	
$71 8 million 	
$441 million . 	
$71.8 million 	

Net benefits
$54 million.
$8.7 million.
$-193 million.
$-31.4 million.

    1 While upper and tower bound monetary benefit estimates were developed in the supplemental cost/benefit analysis, upper and lower bound cost estimates for
these two new proposed discretionary provisions were not developed in the initial economic analysis.
  In addition, EPA is soliciting
comments on two other practices that
are not included in today's proposed
revisions but are described in section
II.C of this preamble. Specifically, these
two provisions are: (1) A statement by
the facility owner or operator that the
SPCC Plan review has occurred; and (2)
a statement to be included in the SPCC
Plan that addresses the design
capabilities of a  facility's drainage
system to control oil spills or leaks. By
recommending that facility owners or
operators state that a triennial review
has been performed. EPA would expect
to increase the degree to which upper
management takes an active role to
ensure that the Oil Pollution Prevention
regulation is fully implemented at the
facility. Increased managerial oversight
may improve the overall quality and
effectiveness of SPCC Plans; thereby
reducing the number and severity of Ci
spills from SPCC-regulated facilities.
Similarly, by including in the Plan a
written statement indicating the
adequacy of the  facility's drainage
system in handling leaking oil, those
facility personnel responsible for
drafting this statement could be
encouraged to take a more active role to
ensure that these existing systems are
adequately designed to control oil leaks.
While cost estimates were developed for
these two practices, monetized benefit
estimates were not developed because
these two provisions involve paperwork
activities and no data or case  studies
are available to adequately analyze the
degree to which their implementation
will lead to avoided oil spills.  EPA
requests data and analysis indicating
the extent to which these   '
recommendations would further
improve the effectiveness of the Oil
Pollution Prevention regulation, as well
as data and analysis concerning
appropriate analytical methods to
estimate these benefits and costs.
especially information indicating how
the Agency could improve its analytical
methods prior to promulgation of the
final rule. The present value of the cost
of these two provisions is estimated at
$128 million.

S-310999    OOI9(OIX21-OCT-91-13:5I.-09)
  In summary, the present value of the
cost of the proposed rule based on the
results of the supplementaLcost/benefit
analysis for the proposed notification
form, the proposed changes in regulatory
language, and the two new proposed
discretionary provisions is estimated at
about $892 million, while the present
value of the monetized benefits range
from $1.3 billion to $1.5 billion. Based on
these preliminary analyses, the present
value of the monetized benefit estimate
exceeds the cost by about $382 to $539
million. In addition, quantified estimates
of the benefits associated with the
proposed revisions analyzed include
only two benefits associated with
reducing the number of oil spills:
avoided cleanup costs and the value of
the lost product (i.e., the value of the
product in commerce prior to being lost
in a spill). In addition, society is
expected to gain other benefits in the
form of avoided losses to  commercial
and recreational fishing and other
resource damages, avoided lost
recreational opportunities including
beach use, boating, and waterfowl.
hunting, avoided damage  to private
property, and avoided public health
risks, among others. EPA invites
comments oh the methodology used to
estimate these benefits  and costs,
especially information indicating how
the Agency could improve its analytical
method prior to promulgation of the final
rule.
B. Executive Order No.  12291

  Executive Order (EO.) No. 12291
requires that regulations be classified as
major or non-major for purposes of
review by the Office of Management
and Budget (OMB). According to E.O.
No. 12291, major rules are regulations
that are likely to result in:
  (1) An annual effect on  the economy
of $100 million or more; or
  (2) A major increase in costs or prices
for consumers, individual industries.
Federal, State, or local government
agencies, or geographic regions; or
  (3) Significant adverse effects on
competition employment,  investment,
productivity, innovation, or on the
                                            47m FMT '1C onl in 10
ability of United States-based
enterprises to compete with foreign-
based enterprises in domestic or export
markets. Based on the assumption that
regulated parties interpret both the
proposed changes in regulatory language
and the two new proposed
recommendations as requiring
substantive changes in conduct, the
results of economic analyses performed
by the Agency indicate that the
proposed rule is expected to be major
rule because the annual estimated costs
would exceed $100 million. Specifically,
the upper bound annualized value of the
cost of the proposed rule is estimated to
be $145 million and the annualized value
of the benefit estimate is expected to
range from $207 million to $248 million.
This proposed rule has been submitted
to OMB for review as required by EO.
No. 12291.

C. Regulatory Flexibility Act

  The Regulatory Flexibility Act of 1980
requires that a Regulatory Flexibility
Analysis be performed for all rules that
are likely to have a "significant impact
on a substantial number of small
entities." To determine whether a
Regulatory Flexibility Analysis was
necessary for this proposed rule, a
preliminary analysis was conducted.
The results of Regulations, Chapter 6.
January 1991, available for inspection in
Room M2427 at the U.S Environmental
Protection Agency, 401 M Street SW..
Washington, DC 20460). Therefore,
because this proposed rule is not
expected to have a significant impact on
small entities, EPA certifies that no
Regulatory Flexibility Analysis is
necessary.

D. Paperwork Reduction Act

  The information collection
requirements in this proposed rule will
be submitted for approval to OMB as
required by the Paperwork Reduction
Act 44 U.S.C. 3501 et seq. A draft
Information Collection Request (ICR)
document has been prepared by EPA
(ICR No. 1548.01) and a copy may be
obtained from Sandy Fanner,
Information Policy Branch (PM-223Y).

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 54630        Federal Register /  Vol.  56.  No. 204  / Tuesday. October  22. 1991 / Proposed Rules
 U.S. Environmental Protection Agency.
 401 M Street. SW.. Washington. DC
 20460 or by calling 1-202-260-2740:
   Public reporting burden for the
 proposed notification form affecting all
 SPCC-reguiated facilities is estimated to
 range from one half hour to 1.5 hours per
 response, and the reporting burden for
 the recommended recordkeeping
 provision affecting medium and large
 SPCC-regulated facilities is estimated to
 range from 5 hours to 10 hours annually.
 Overall, the public reporting burden for
 both proposed provisions is estimated to
 range from one half an hour to 11.5
 hours with an average reporting burden
 of approximately 1.9 hours per response.
 These reporting burden estimates
 include the time required for reviewing
 instructions, searching existing data
 sources, gathering and maintaining the
 data needed, storing the data, estimating
 the information required, and
 completing and reviewing the collection
 on information.
   Send comments regarding the burden
 estimate or any other aspect of this
 collection of information, including
 suggestions for reducing this burden, to
 Chief, Information Policy Branch (PM-
 223), U.S. Environmental Protection
 Agency, 401 M Street. SW., Washington.
 DC 20460: and to the Office of
 Information and Regulatory Affairs,
 Office of Management and Budget,
 Washington. DC 20503. marked
 "Attention: Desk Officer for EPA." The"
 final rule will respond to any OMB or
 public comments on the information
 collection requirements contained in this
 proposal.

 List of Subjects in 40 CFR Part 112

  Fire prevention, Flammable materials.
 Materials handling and storage, Oil
 pollution. Petroleum, Tanks. Water
 pollution control, Water resources.
  Dated: October 3,1991.
William K. Reilly,
Administrator.
  For the reasons set out in the
preamble, title 40, chapter I. part 112 of
the Code of Federal Regulations, is
proposed to be amended as set forth
below.
  1. Part 112 is revised to read as
follows:

PART 112-OIL POLLUTION
PREVENTION

Sec.
112.1  General applicability and notification.
112.2  Definitions.  .
112.3  Requirement to prepare and
    implement a Spill Prevention, Control,
    and Countermeasures Plan.
Sec.
112.4  Amendment of Spill Prevention.
    Control, and Countermeasures Plan by
    Regional Administrator.
112.5  Amendment of Spill Prevention,
    Control, and Countermeasures Plan by
    owners or operators.
112.6  Civil penalties for violation of the Oil
    Pollution Prevention regulation.
112.7  Spill Prevention, Control, and
    Countermeasures Plan general
    requirements.
112.8  Spill Prevention, Control, and
    Countermeasures Plan requirements for
    onshore facilities (excluding production
    facilities).
112.9  Spill Prevention, Control, and
    Countermeasures Plan requirements for
    onshore oil production facilities.
112.10  Spill Prevention. Control, and
    Countermeasures Plan requirements for
    onshore oil drilling and workover
    facilities.
112.11  Spill Prevention. Control, and
    Countermeasures Plan requirements for
    offshore oil drilling, production, or
    workover facilities.
Appendix A—Memorandum of
Understanding Between the Secretary of
Transportation and the Administrator of the
Environmental Protection Agency. Section
II—Definition*
Appendix B—Notification Form for Oil
Storage Tanks
  Authority: 33 U.S.C. 1321 and 1361: E.O.
11735. 38 FR 21243. 3 CFR 1971-1975 Comp., p.
791.

PART 112—OIL POLLUTION
PREVENTION

§112.1   Owwral •ppHcaMNty and
notification.
  (a) This part establishes procedures.
methods, equipment, and other
requirements to prevent the discharge of
oil from non-transportation-related  ,
onshore and offshore facilities into or
upon the navigable waters of the United
States or adjoining shorelines, or into or
upon the waters of the contiguous zone,
or in connection with activities under
the Outer Continental Shelf Lands Act
or the Deepwater Port Act of 1974. or
that may affect natural resources.
belonging to. appertaining to, or under
the exclusive management authority of
the United States (including resources
under the Magnuson Fishery
Conservation and Management Act).
  (b) Except as provided in paragraph
(d) of this section:
  (1) This part applies to owners or
operators of non-transportation-related
onshore and offshore facilities engaged
in drilling, producing, gathering, storing,
processing, refining, transferring.
distributing, or consuming oil and oil
products, which due to their location
could reasonably be expected to
discharge oil in quantities that may be
harmful, as described in part 110 of this
chapter, into or upon the navigable
waters of the United States or adjoining
shorelines, or into or upon the waters of
the contiguous zone, or in connection
with activities under the Outer
Continental Shelf Lands Act or the
Deepwater Port Act of 1974, or that may
affect natural resources belonging to,
appertaining to, or under the exclusive
management authority of the United
States (including resources .under the
Magnuson Fishery Conservation and
Management Act).
  (2) This part applies to facilities
having containers that are used for
standby storage, for seasonal storage, or
for temporary storage, or not otherwise
considered "permanently closed" under
§ 112.2(o).
  (3) This part applies to facilities
having "bunkered tanks" and "partially
buried tanks" as defined in § 112.2(c)
and § 112.2(n), respectively, as well as
tanks in subterranean vaults, all of
which are considered aboveground
storage containers for the purposes of
this part.
  (c) As provided in section 313 of the
Clean Water Act (CWA), departments.
agencies, and instrumentalities of the
Federal government are subject to these
regulations to the same extent as any
person, except for the provisions of
§ 112.6.
  (d) Except as provided in paragraph
(e) of this section and the first sentence
of S 112.7(a){3), this part does not apply
to:
  (1) Facilities, equipment, or operations
that are not subject to the jurisdiction of
the Environmental Protection Agency
(EPA) under section 311(j)(l)(C) of the
CWA. as follows:
  (i) Onshore and offshore facilities
that, due to their location, could not
reasonably be expected to discharge oil
as described in 5 112.1(b)(l) of this part.
This determination shall be based solely
upon a consideration of the geographical
and location aspects of the facility (such
as proximity to navigable waters or
adjoining shorelines, land contour,
drainage, etc.), and shall exclude
consideration of manmade features such
as dikes, equipment or other structures,
which may serve to restrain, hinder.
contain, or otherwise prevent a
discharge of oil from reaching navigable
waters of the United States or adjoining
shorelines; and
  (ii) Equipment or operations of vessels
or transportation-related onshore and
offshore facilities that are subject to
authority and control of the Department
of Transportation, as defined in the
Memorandum of Understanding
between the Secretary of Transportation
S-310999    002
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               Federal Register /  Vol. 56.  No. 204 / Tuesday. October  22. 1991 / Proposed Rules         54631
 and the EPA Administrator, dated
 November 24,1971, 36 FR 24080.
   (2) Those facilities that meet both of
 the following requirements:
   (i) The underground storage capacity
 of the facility is 42.000 gallons or less of
 oil. For purposes of this exemption, the
 underground storage capacity of a
 facility does not include the capacity of
 underground storage tanks, as defined in
 § 112.2(v), that are currently subject to
 the technical requirements of 40 CFR
 part 280. The underground  storage
 capacity of a facility does not include
 the capacity of underground storage
 tanks that are "permanently closed," as
 defined in § 112.2(o).
   (ii) The aboveground storage capacity
 of the facility is 1.320 gallons or less of
 oil. provided no single container has
 capacity in excess of 660 gallons. For
 purposes of this exemption, the
 aboveground storage capacity of a
 facility does not include the capacity of
 tanks that are underground storage
 tanks as defined in § 112.2(v) or that are
 "permanently closed" as defined in
 § 112.2(0).
   (3) Offshore oil drilling, production, or
 workover facilities that are subject to
 the Operating Orders, notices, and
 regulations of the Minerals Management
 Service.
   (4) Underground storage  tanks, as
 defined in § 112.2(v), at any facility,
 where such tanks are subject to the
 technical requirements of 40 CFR part
 280.
   (e) Notification requirements. (1)
 Notification must be provided  by the
 owner or operator of facilities  that are
 subject to EPA jurisdiction under the
 CWA and have total aboveground
 storage capacities greater than 1,320
 gallons of oil or aboveground storage in
 a single container greater than 660
 gallons of oil. The owner or operator of
 these facilities must  submit a written
 notice to EPA by (Insert date two
 months after date of publication of the
final rule). This notice is required on a
 one-time basis for current facility
 owners or operators. Owners or
 operators of facilities that begin
 operations or who increase storage
 capacity so as to comply under the
 jurisdiction of this rule after (Insert date
 60 days after date of publication of the
final rule] also must  notify  the Regional
 Administrator before beginning facility
 operations.
   (2) The written notice shall include the
 following: (i) The name of the owner
 and/or operator of the facility;
   (ii) The name, address, and zip code
 of the facility; and
   (iii) A listing of the total number and
 size of aboveground  tanks at the facility,
 total aboveground storage capacity of

 S-310999   002I(OIX21-OCT-91-13:5I:15)
the facility, distance to the nearest
navigable waters, and where applicable
and available, the facility's primary Dun
& Bradstreet number and the primary
Standard Industrial Classification.
  (3) The notice does not require
information concerning the number and
size of underground storage tanks
defined in § 112.2(v).
  (f) This part provides for the
preparation and implementation of Spill
Prevention, Control, and
Counter-measures (SPCC) Plans
prepared in accordance with §§ 112.7,
112.8,112.9,112.10, and 112.11 designed
to complement existing laws,
regulations, rules, standards, policies.
and procedures pertaining to safety
standards, fire prevention, and pollution
prevention rules, to form a
comprehensive balanced Federal/State
spill prevention program to minimize the
potential for oil discharges. The SPCC
Plan shall address all relevant spill
prevention, control, and
countermeasures necessary at the
specific facility. Compliance with this
part does not in any way relieve the
owner or operator of an onshore or an
offshore facility from compliance with
other Federal, State, or local laws.

§112J  DcfMtiora.
  For the purposes of this part: (a)
Breakout tank means a container that is
part of a pipeline facility regulated by
the Department of Transportation and is
used solely for the purpose of
compensating for pressure surges or to
control and maintain the flow of oil
through pipelines. Such tanks are
frequently in-line.
  (b) Bulk storage tank means any
container used to store oil. These tanks
are used for purposes including, but not
limited to. the storage of oil prior to use,
while being used, or prior to further
distribution in commerce.
  (c) Bunkered tank means a storage
tank constructed or placed in the ground
by cutting the earth and recovering in a
manner whereby the tank breaks the
natural grade of the land.
  (d) Contiguous zone means the zone
established by the United States under
Article 24 of the Convention of the
Territorial Sea and Contiguous Zone,
that is contiguous to the territorial sea
and that extends nine miles seaward
from the outer limit of the territorial
area.
  (e) Discharge includes, but is not
limited to. any spilling, leaking,
pumping, pouring, emitting, emptying, or
dumping, but excludes discharges in
compliance with a permit under section
402 of the CWA; discharges resulting
from circumstances identified, reviewed,
and made a part of the public record
                                             4701.FMT...[16,30]... 12-28-90
with respect to a permit issued or
modified under section 402 of the CWA.
and subject to a condition in such
permit; or continuous or anticipated
intermittent discharges from a point
source, identified in a permit or permit
application under section 402 of the
CWA, that are caused by events
occurring within the scope of relevant
operating or treatment systems. For
purposes of this part, the term
"discharge" shall not include any
discharge of oil that is authorized by a  .
permit issued pursuant to section 13 of
the River and Harbor Act of 1899 (30
Stat. 1121, 33 U.S.C. 407).
  (f) Facility means any mobile or fixed.
onshore or offshore building, structure,
installation, equipment, pipe, or pipeline
used in oil well drilling operations, oil
production, oil refining, oil storage, and
waste treatment, as described in
Appendix A to this part. The boundaries
of a facility may depend on several site-
specific factors, including, but not
limited to, the  ownership or operation of
buildings, structures, and equipment on
the same site and the types of activity at
the site.
  (g) Navigable waters means the
waters of the United States, including
the territorial seas. The term includes:
  (1) All waters that are currently used.
were used in the past, or may be
susceptible to  use in interstate or foreign
commerce, including all waters 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. wetla'nds, sloughs, prairie
potholes, wet meadows, playa lakes/or
natural ponds, the use, degradation, or
destruction of which could affect
interstate or foreign commerce including
any such waters:
  (i) That are or could be used by
interstate or foreign travelers for
recreational or other purposes; or,
  (ii) From which fish or shellfish are or
could be taken and sold in interstate or
foreign commerce; or,
  (iii) That 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 section;
  (5) Tributaries of waters identified in
paragraphs (g)(l) through (4) of this
section;
  (6) The territorial sea: and
  (7) Wetlands adjacent to waters
(other than waters that are themselves
wetlands) identified in paragraphs (g)(l)
through (6) of this section.

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 54832        Federal Register / Vol.  56, No. 204  /  Tuesday. October 22. 1991  /  Proposed Rules
 Waste treatment systems, including
 treatment ponds or lagoons designed to
 meet the requirements of the CWA
 (other than cooling ponds as defined in
 40 CFR 123.11(m) which also meet the
 criteria of this definition) are not waters
 of the United States.
   (h) Offshore facility means any
 facility of any kind (other than a vessel '
 or public vessel) located in, on, or under
 any of the navigable waters of the
 United States, and any facility of any
 kind that is subject to the jurisdiction of
 the United States and is located in. on,
 or under any other waters.
   (i) Oil means oil of any kind or in any
 form, including, but not limited to,
 petroleum, fuel oil, sludge, oil refuse,
 and oil mixed with wastes other than
 dredged spoil.
   (j) Oil drilling, production, or
 workover facilities (offshore) may
 include all drilling or workover
 equipment, wells, flowlines. gathering
 lines, platforms, and auxiliary non-
 transportation-related equipment and
 facilities in a single geographical oil or
 gas field operated by a single operator.
   (k) Oil production facilities (onshore)
 may include all wells, flowlines,
 separation equipment, storage facilities.
 gathering lines, and auxiliary non-
 transportation-related equipment and
 facilities in a single geographical oil or
 gas field operated by a single operator.
   (1) Onshore facility means any facility/
 of any kind located in, on, or under any
 land within the United States, other than
 submerged lands.
   (m) Owner or operator means any
 person owning or operating an onshore
 facility or an offshore facility, and in the
 case of any abandoned offshore facility,
 the person who owned or operated or
 maintained such facility immediately
 prior to such abandonment.
  (n) Partially buried tank means a
 storage tank that is partially inserted or
constructed in the ground, but not fully
covered with earth.
  (o) Permanently closed is any tank or
facility that has been closed in the
following manner:
  (1) All liquid and sludge must be
removed from each tank and connecting
lines. Any waste products removed must
be disposed of in accordance with all
applicable State and  Federal            '
requirements.
  (2) Each tank must  be rendered free of
explosive vapor by testing the tank with
a combustible gas indicator, or
explosimeter, or other type of
atmospheric monitoring instrument in
order to determine the lower explosive
limit (LEL). The EPA and Occupational
Safety and Health Administration
standard for a hazardous atmosphere,
based on extensive industrial

 S-310999    0022(01X2I-OCT-9I-I3:5I:I8)
  experience, is one that contains a
  concentration of combustible gas, vapor,
  or dust greater than 25 percent of the
  LEL of the material. Provisions must be
« made to eliminate the danger imposed
  by the tank as a safety hazard due to the
  presence of flammable vapors. Facilities
  are to ensure that closure is permanent.
  and that the tank vapors remain below
  the LEL.
   (3) All connecting lines must be
  blanked off, and valves are to be closed
  and locked. Conspicuous signs are to be
  posted on the tank warning that it is a
  permanently closed tank and that
  vapors above the i-Ri- are not present.
   (p) Person includes an individual,
  firm, corporation, association, or a
  partnership.
   (q) Regional Administrator means the
  EPA Regional Administrator or a
  designee of the Regional Administrator.
  in and for the Region in which the
  facility is located.
   (r) SPCCPlan or Plan means the
  document required by § 112.3 of this part
  that details the equipment, manpower,
  procedures, and steps to prevent,
  control, and provide adequate
  countermeasures to an oil spill. The Plan
  is a written description of the facility's
  compliance with the procedures in this
  part.
   (s) Spill event means a discharge of
  oil as described in § 112.1(b)(l] of this
  part.
   (t) Storage capacity of a tank or
  container, for purposes of determining
  the applicability of this part,  means the
  total capacity of the tank or container.
  whether the tank or container is filled
  with oil or a mixture of oil and other
  substances.
   (u) Transportation-related and non-
  transportation-related, as applied to an
  onshore or offshore facility, are defined
  in Appendix A of this part, the
  Memorandum of Understanding
  between the Secretary of Transportation
  and the EPA Administrator, dated
  November 24,1971, 36 FR 24080.
   (v) Underground storage tank means
  any tank completely covered with earth.
 Tanks in subterranean vaults, bunkered
  tanks, or partially buried tanks are
  considered aboveground storage
  containers for the purpose of this part.
   (w) United States means the States,
 the District of Columbia, the
 Commonwealth of Puerto Rico, the
 Commonwealth of the Northern Mariana
 Islands, Guam, American Samoa, the
 U.S. Virgin Islands, and the Pacific
 Island Governments.
   (x) Vessel means every description of
 watercraft or other artificial contrivance
 used, or capable of being used, as a
 means of transportation on water, other
 than a public vessel.
                                            4701.FMT...[16,30]...12-28-90
  (y) Wetlands means those areas that
are inundated or saturated by surface or
ground water at a frequency or 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
playa lakes, swamps, marshes, bogs,
and similar areas such as sloughs,
prairie potholes, wet meadows, prairie
river overflows, mudflats, and natural
ponds.

§ 112.3  Requirement to prepare and
ImptefiMiit a Spill Prevention, Control, and
CountMTiMMurM Plan.
  (a) Owners or operators of onshore
and offshore facilities in operation on or
before [Insert date 60 days after date of
publication of the final rule) that have
discharged or, due to their location.
could reasonably be expected to
discharge oil as described in
§ 112.1(b)(l) of this part, shall maintain
a prepared and fully implemented
facility SPCC Plan in writing and in
accordance with § 112.7, and in
accordance with §§ 112.6,112.9,112.10.
and 112.11 as applicable to the facility.
  (b) Owners or operators of onshore
and offshore facilities that become
operational after (Insert date 60 days
after date of publication of the final
rule], and could reasonably be expected
to discharge oil as described in
§ 112.1(b)(l) of this part, shall prepare a
facility SPCC Plan in accordance with
§ 112.7, and in accordance with any of
the following sections that apply  to the
facility: §§ 112.8.112.9,112.10, and
112.11.The Plan shall be prepared and
fully implemented before a facility
begins operations, unless an extension
has been granted by the Regional
Administrator as provided for in
paragraph (f) of this section.
  (c) Owners or operators of onshore •
and offshore mobile or portable
facilities, such as onshore drilling or
workover rigs, barge mounted offshore
drilling or workover rigs, and portable
fueling facilities shall prepare,
implement, and maintain a facility SPCC
Plan as required by paragraph (a), (b),
and (d) of this section. The owners or
operators of such facility need not
prepare a new Plan each, time the
facility is moved to a new site. The Plan
may be a general plan, prepared in
accordance with § 112.7, and in
accordance with §§  112.10 and 112.11
where applicable to the facility, using
good engineering practice. When  the
mobile or portable facility is moved,  it
must be located and installed using the
spill prevention practices outlined.in the
Plan for the facility. No mobile or

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               Federal  Register / Vol. 56. No.  204 / Tuesday.  October 22. 1991 / Proposed Rules	54633
 portable facility subject to this
 regulation shall operate unless the Plan
 has been implemented. The Plan shall
 only apply while the facility is in a fixed
 (non-transportation) operating mode.
  (d) No SPCC Plan shall be effective to
 satisfy the requirements of this part
 unless it has been reviewed by a
 Registered Professional Engineer and
 certified by the Registered Professional
 Engineer. By means of this certification.
 the Engineer shall attest: (1) That the
 Engineer is familiar with the
 requirements of this part; (2) that the
 Engineer has visited and examined the
 facility; (3) that the Plan has been
 prepared in accordance with good
 engineering practice and with the
 requirements of this part; (4) that
 required testing has been completed;
 and, (5) that the Plan is adequate for the
 facility. Such certification shall in no
 way relieve the owner or operator of an
 onshore or offshore facility of the duty
 to prepare and fully implement such
 Plan in accordance with § 112.7; in
 accordance with §§ 112.8,112.9,112.10,
 and 112.11 where applicable: and as
 required by  paragraphs (a), (b), and  (c)
 of this section.
  (e) Owners and operators of a facility
 for which a facility SPCC Plan is
 required pursuant to paragraph (a), (b),
 or (c) of this section shall:
  (1) Maintain a complete copy of thr
 Plan at the facility if the 'facility is
 normally attended at least four hours
 per day, or at the nearest field office it
 the facility is not so attended; and
  (2) Have the Plan available for the
 Regional Administrator or authorized
 representative for on-site review during
 normal working hours
  (f) Extensions of time.
  (1) The Regional Administrator may
 authorize an extension of time for the
preparation and full implementation of a
Plan beyond the time permitted for the
 preparation and implementation of a
 Plan pursuant to paragraph (b) of this
 section where it is determined that the
 owner or operator of a facility subject to
paragraph (b) of this section cannot  fully
 comply with the requirements of this
part as a result of either nonavailability
of qualified personnel, or delays in
 construction or equipment delivery
 beyond the control and without the fault
of such owner or operator or their
respective agents or employees.
  (2) Any owner or operator seeking an
extension of time pursuant to paragraph
(f)(l) of this  section may submit .a letter
of request to the Regional
Administrator. Such letter shall include:
  (i) A copy of the Plan, if completed;
  (ii) A  full explanation of the cause for
any such delay and the specific aspects
of the Plan affected by the delay;
  (iii) A full discussion of actions being
taken or contemplated to minimize or
mitigate such delay;
  (iv) A proposed time schedule for the
implementation of any corrective
actions being taken or contemplated,
including interim dates for completion of
tests or studies, installation and
operation of any necessary equipment,
or other preventive measures. In
addition, such owner or operator may
present additional oral or written
statements in support of the letter of
request.
  (3) The submission of a letter of
request for extension of time pursuant to
paragraph (f)(2) of this section shall in
no way relieve the owner or operator
from the obligation to comply with the
requirements of §  112.3(b). Where an
extension of time is authorized by the
Regional Administrator for particular
equipment or other specific aspects of
the Plan, such extension shall in no way
affect the owner's or operator's
obligation to comply with the
requirements of §  112.3(b) with respect
to other equipment or other specific
aspects of the Plan for which an
extension has not been expressly
authorized.

§ 112.4 Amendment of Spill Prevention,
Control, and Countermeaaures Plan by
Regional Administrator.
  (a) Notwithstanding compliance'with
§ 112.3, whenever a facility subject to
§ 112.3(a), (b) or (c) has discharged, in a
single spill event, more than 1,000 U.S.
gallons of oil as described in § 112.1(a),
or discharged oil as described in
§ 112.1(b)(l) in two spill events
occurring within any consecutive twelve
month period, the owner or operator of
such facility shall submit to the Regional
Administrator, within 60 days from the
time such facility becomes subject to
this section, the following:
  (1) Name of the facility;
 ' (2) Name(s) of the owner or operator
of the facility:
  (3) Location of the facility;
  (4) Name and address of the
registered agent of the owner or
operator, if any;
  (5) Date and year of initial facility
operation;
. (6) Maximum storage or handling
capacity of the facility and normal daily
throughput:
  (7) Description of the facility,
including maps, flow diagrams, and
topographical .maps;
  (8) A complete copy of the Plan with
any amendments;
  (9) The cause(s) of such spill,
including a failure analysis of the
system or subsystem in which the
failure occurred;
  (10) Exactly what and how much was
spilled;
  (11) The corrective actions and/or
countermeasures taken, including an
adequate description of equipment
repairs and/or replacements;
  (12) Additional preventive measures
taken or contemplated to minimize the
possibility of recurrence; and
  (13) Such other information as the
Regional Administrator may reasonably
require pertinent to the Plan or spill
event.
  (b) Section 112.4 shall not apply untij
the expiration of the time permitted for
the preparation and implementation of
the Plan pursuant to § 112.3(f).
  (c) The owner or operator shall send
to the agency in charge of oil pollution
control activities in the State in which
the facility is located a  complete copy of
all information provided to the Regional
Administrator pursuant to paragraph (a)
of this section. Upon receipt of such   .
information such State agency may
conduct a review and make
recommendations to the Regional
Administrator as to further procedures,  •
methods, equipment, and other
requirements for equipment necessary to
prevent and to contain discharges of oil
from such facility.
  (d) After review of the SPCC Plan for
a facility subject to paragraph (a) of this
section, together with all other
information submitted by the owner or
operator of such facility, and by the
State agency under paragraph (c) of this
section, the Regional Administrator may
require the owner or operator of such
facility to amend the Plan if she/he finds
that the Plan does not meet the
requirements of this part or that
amendment of the Plan is necessary to
prevent and to contain discharges of oil
from such facility. After review of the
materials submitted by the owner or
operator of a facility as required in
§ 112.7(d), the Regional Administrator
may approve the Plan or require
amendment of the Plan.
  (e) When the Regional Administrator  '
proposes to require an amendment to
the SPCC Plan, the facility operator shall
be notified by certified mail addressed
to, or by personal delivery to, the facility
owner or operator, that the Regional
Administrator proposes to require an
amendment to the Plan, and the terms of
such amendment shall be specified. If
the facility owner or operator is a
corporation, a copy of such  notice also
shall be mailed to the registered agent, if
any, of such corporation in the State
where such facility is located. Within 30
days from receipt of such notice,  the
facility owner or operator may submit
written information, views,  and
S-3I0999    0023(OI)(21-OCT-91-U:51:22)
                                              TO1 T71 IT"
                                                        t i !-> ortl

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 54634
Federal  Register / Vol. 56, No.  204 / Tuesday,  October 22,  1991  /  Proposed Rules
 arguments on the amendment. After
 considering all relevant material
 presented, the Regional Administrator
 shall notify the facility owner or
 operator of any amendment required or
 shall rescind the notice. The amendment
 required by the Regional Administrator
 shall become part of the Plan 30 days
 after such notice, unless the Regional
 Administrator, for good cause, specifies
 another effective date. The owner or
 operator of the facility shall implement
 the amendment of the Plan as soon as
 possible, but not later than six months
 after the amendment becomes  part of
 the Plan, unless the Regional
 Administrator specifies another date.
   (f) An owner or operator may appeal a.
 decision made by the Regional
 Administrator requiring an amendment
 to the SPCC Plan. The appeal shall be
 made to the EPA Administrator and
 must bernade in writing within 30 days
 of receipt of the notice from the Regional
 Administrator requiring the amendment.
 A complete copy of the appeal must be
 sent to the Regional Administrator at
 the time the appeal is made. The appeal
 shall contain a clear and concise
 statement of the issues and .points of
 fact in the case. It also may contain
 additional information from the owner
 or operator, or from any other person.
 The EPA Administrator or her/his
 designee may request additional
 information from the owner or  operator,
 or from any other person. The EPA
 Administrator or her/his designee shall
 render a decision within 60 days of
 receiving the appeal and shall notify the
 owner or operator of the decision.

 § 112.5  Amendment of Spill Prevention,
 Control, and Countermeasures Plan by
 owners or operator*.
  (a) Owners or operators of facilities
 subject to § 112.3 (a), (b), or (c) shall
 amend the SPCC Plan for such  facility in
 accordance with § 112.7, and with
 §§ 112.8.112.9.112.10, and 112.11 where
 applicable, when there is a change in
 facility design, construction, operation,
 or maintenance that materially affects
 the facility's potential to discharge oil as
described in §  112.1(b)(l) of this part.
Changes requiring amendment  of the
Plan include, but are not limited to:
Commission or decommission of tanks;
replacement, reconstruction, or
movement of tanks; reconstruction.
replacement, or installation of piping
systems; construction or demolition that
might alter secondary containment
structures; or revision of standard
operation or maintenance procedures at
a facility.
  (b) Notwithstanding compliance with
paragraph (a) of this section, owners
and operators of facilities subject to

S-310999    0024(01X21-OCT-91-13:51:25)
                         § 112.3 (a), (b), or (c) shall complete a
                         review and evaluation of their
                         respective Plans at least once every
                         three years from the date such facility
                         becomes subject to this part. As a result
                         of this review and evaluation, the owner
                         or operator shall amend the SPCC Plan
                         within six months of the review to
                         include more effective prevention and
                         control technology if: (1) Such
                         technology will significantly reduce the
                         likelihood of a spill event from the
                         facility; and (2) such technology has
                         been field-proven at the time of the
                         review.
                           (c) Except for changes to the contact
                         list required by § 112.7(a)(3)(ix), no
                         amendment to a Plan shall be effective
                         to satisfy the requirements of this
                         section unless it has been certified by a
                         Registered Professional Engineer in
                         accordance with § 112.3(d).

                         §112.6  civil penalties for violation of the
                         Oil Pollution Prevention regulation.
                           Owners or operators of facilities
                         subject to § 112.3 (a),  (b), or (c) who
                         violate the requirements of part 112 by
                         failing or refusing to comply with any of
                         the provisions of §§ 112.1(e), 112.3,112.4.
                         112.5,112.7,112.8,112.9.112  10, or 112.11
                         shall be liable for a civil penalty in    :
                         accordance with the CWA, as amended
                         by the OPA of 1990.

                         § 112.7  Spill Prevention, Control, and
                         Counternteasures Plan general
                         requirements.
                           (a) The SPCC Plan shall be a carefully
                         thought-out written description of the
                         facility's compliance with the
                         requirements of all applicable elements
                         of §§ 112.7.112.B, 112.9.112.10. and
                         112.11 and shall be prepared in
                         accordance with good engineering
                         practice. The Plan shall have the full
                         approval of management at a level with
                         authority to commit the  necessary
                         resources to fully implement the Plan.
                          .(1) The complete Plan shall follow the
                         sequence outlined below, and include a
                         discussion of the facility's conformance
                         with the requirements listed.
                           (2) The Plan may deviate from the
                         requirements in paragraph (c) of this
                         section and §§ 112.8.112.9.112.10, and
                         112.11. where applicable to a specific
                         facility provided equivalent protection is
                         provided by some other means of spill
                         prevention, control, or countermeasures.
                         Where the Plan does not conform to the
                         applicable requirements of paragraph (c)
                         of this section or §| 112.8,112.9.112.10,
                         and 112.11, the Plan shall state the
                         reasons for non-conformance and
                         describe in detail alternate methods and
                         how equivalent protection will be
                         achieved. The Regional  Administrator
                         can overrule the waiver/equivalent
                                            4701.FMT...[16.30]...12-28-90
alternative measure if it is not
adequately protective.
  (3) The complete Plan must describe
the facility's physical plant and include
a facility diagram, which must have the
location and contents of all tanks
marked. The Plan must also address the
following:
  (i) Unit-by-unit storage capacity;
  (ii) Type and quantity of oil stored:
  (iii) Estimates of quantity of oils
potentially discharged:
  (iv) Possible spill pathways;
  (v) Spill prevention measures,
including procedures for routine
handling of products (loading,
unloading, and facility transfers, etc.);
  (vi) Spill controls such as secondary
containment around tanks and other
structures, equipment, and procedures
for the control of a discharge;
  (vii) Spill countermeasures for'spill
discovery, response, and cleanup
(facility's capability and those that
might be required of a contractor);
  (viii) Disposal of recovered materials
in accordance with applicable  legal
requirements; and
  (ix) Contact list and phone numbers
for the facility response coordinator.
National Response Center, cleanup
contractors, fire departments. Local
Emergency Planning Committee. State
Emergency Response Commission, and
downstream water suppliers who must
be contacted in case of a discharge to
navigable waters.
  (4) Documentation in the Plan shall
enable a person reporting a spill to
provide information on the exact
address and phone number of the
facility, the spill date and time, the type
of material spilled, estimates of the total
quantity spilled, estimates of the
quantity spilled into navigable water.
the source of the spill, a description of
the affected medium, the cause of the
spill, any damages or injuries caused by
the spill, actions being used to stop.
remove, and mitigate the effects of the
discharge, whether an evacuation may
be needed, and the names of individuals
and/or organizations who have also
been contacted.
  (5) Portions of the Plan describing
procedures to be used in emergency
circumstances shall be organized in a
manner to make them readily useable in
an emergency with appropriate
supporting material included as
appendices.
  (b) Experience has indicated that a
reasonable potential for oil discharge
from tank overflow, rupture, or leakage,
and faulty ancillary equipment exists.
Therefore, the Plan shall include a
prediction of the direction, rate of flow.
and total quantity of oil that could be

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               Federal Register /  Vol.  56.  No. 204  /  Tuesday. October  22. 1991 / Proposed Rules         54635
 discharged from the facility as a result
 of each major type pf failure.
  (c) Appropriate containment and/or
 drainage control structures or equipment
 to prevent discharged oil from reaching
 a navigable water course shall be
 provided. The entire containment
 system, including walls and floor, shall
 be impervious to oil for 72 hours and
 shall be constructed so that any
 discharge from a primary containment
 system, such as a tank or pipe, will not
 permeate, drain, infiltrate, or otherwise
 escape to surface waters before cleanup
 occurs. One or more of the following
 prevention systems or  its equivalent
 shall be used as a minimum:
  (1) Onshore facilities:
  (i) Dikes, berms. or retaining walls:
  (ii) Curbing;
  (iii) Culverting, gutters, or other
 drainage systems:   '
  (iv) Weirs, booms, or other barriers:
  (v) Spill diversion ponds:
  (vi) Retention ponds: or
  (vii) Sorbent materials
  (2) Offshore facilities:
  (i-) Curbing, drip pans: or
  (ii) Sumps and collection systems.
  (d) When it is determined that the
 installation of structures or equipment
 listed in § 112.7(c) to prevent discharged
 oil from reaching the navigable waters is
 not practicable from any onshore or
 offshore facility, the owner or operator
 shall clearly demonstrate such
 impracticability; conduct integrity
 testing of tanks every five years at a
 minimum: conduct integrity and leak
 testing of the valves and piping every
 year at a minimum; and provide the
 Regional Administrator for approval
 under § 112.4(d) the following:
  (1) An oil spill contingency plan that
 must include, at a minimum..a
 description of response plans, personnel
 needs, and methods of mechanical
 containment; steps to be taken for
 removal of spilled oil; access and
 availability of sorbents. booms, and
 other equipment: and such other
 information as required by the Regional
 Administrator. The oil spill contingency
 plan is part of the Plan and, therefore,  is
 subject to  review and approval by the
Regional Administrator. The oil spill
 contingency plan shall  be a stand-alone
section of the SPCC Plan. Oil  spill
contingency plans provided to satisfy
the provisions of this paragraph shall
not rely in whole or in part upon the use
of dispersants and other chemicals
 listed under subpart) of the National
Contingency Plan (NCP) (40 CFR part
300)  unless the Regional Administrator
explicitly approves the inclusion of such
methods in the contingency plan. A
separate and additional approval is  -
required by subpart J of the NCP for the

 S-310999    0025(OIX21-OCT-91-I3:51:29)
 use of such dispersants and other
 chemicals.
   (2) A written commitment of
 manpower, equipment, and materials
 required to control expeditiously and
 remove any quantity of oil that may be
 discharged. It is recommended that the
 owner or operator consider factors such
 as financial capability in making a
 written commitment of manpower,
 equipment, and materials.
   (e) Inspection, tests, and records.
 Inspections and tests required by this
 part shall be in accordance with written
 procedures developed for the facility by
 the owner or operator or the certifying
 engineer. These written procedures and
 a record of the  inspections and tests,
 signed by the appropriate supervisor or
 inspector, shall be maintained with the
 SPCC Plan and maintained for a period
 of five years.
   (f) Personnel, training, and spill
prevention procedures. (1) Owners or
 operators are responsible for properly
 instructing their personnel in the
 operation and maintenance of.
 equipment to prevent discharges of oil
 and in applicable pollution control laws,
 rules, and regulations. Training
 exercises should be conducted at least
 yearly for all personnel,  and training
 should be given to new employees
 within one week of beginning work.
  (2) Each applicable facility shall have
 a designated person who is accountable
 for oil spill prevention and who  reports
 to line management.
  (3) Owners or operators shall
 schedule and conduct spill prevention
 briefings for their operating personnel at
 least once a year to assure adequate
 understanding of the SPCC Plan for that
 facility. Such briefings shall highlight
 and describe known spill events or
 failures, malfunctioning components,
 and recently developed precautionary
 measures.
  (g) Security (excluding oil production
facilities).
  (1) It is recommended  that all  plants
handling, processing, and storing oil be
fully fenced and when fenced, entrance
gates shall be locked and/or guarded
 when the plant  is not in production or is
 unattended.
  (2) The master flow and drain valves
 and any other valves permitting direct
outward flow of the tank's contents to
the surface shall have adequate security
measures to 'ensure that  they remain in
the closed position when in non-
operating or non-standby status.
  (3) The starter control on all pumps
shall be locked  in the "off position and
be located at a  site accessible only to
authorized personnel when the pumps
are in a non-operating or non-standby
status.
                                             4701.FMT...[16.30]...12-28-90
  (4) The loading/unloading connections
of oil piping shall be securely capped or
blank-flanged when not in service or
when in standby service for a period of
six months or more. This security
practice also shall apply to piping that is
emptied of liquid content either by
draining or by inert gas pressure.
  (5) It is recommended that facility
lighting be commensurate with the type
and location of the facility.
Consideration shall be given to: (i)
Discovery of spills occurring during
hours of darkness, both by operating
personnel, if present, and by non-
operating personnel (the general public.
local police, etc.) and (ii) prevention of
spills occurring through acts of
vandalism.  •
  (h) Facility tank car and tank truck
loading/unloading rack (excluding
offshore facilities). (1) Tank car and
tank truck loading/unloading
procedures shall meet the minimum
requirements and regulations
established by State or Federal law.
  (2) Where rack area drainage does not
flow into a  catchment basin or treatment
facility designed to handle spills, a quick
drainage system shall be used for tank
truck loading and unloading areas. The
containment system shall be designed to
hold at least the maximum capacity of
any single compartment of a tank car or
tank truck loaded or unloaded in the
plant.
  (3) An interlocked warning light or
physical barrier system, or warning
signs, shall be provided in loading/
unloading areas to prevent vehicular
departure before complete
disconnection of flexible or fixed
transfer lines.
  (4) Prior to filling and departure of any
tank car or tank truck, the lower-most
drain and all outlets of such vehicles
shall be closely examined for leakage.
and. if necessary, tightened, adjusted, or
replaced to prevent liquid leakage while
in transit.
  (i) In addition to the minimal
prevention  standards listed under
§ 112.7 (c), (e), (f), (g). and (h), sections
of the Plan shall include a complete
discussion of conformance with the
applicable requirements and other
effective spill prevention and
containment procedures listed in
§§ 112.8,112.9,112.10, and 112.11 (or, if
more stringent, with State rules,
regulations, and guidelines).

§ 112.8 Spill Prevention, Control, and
Countermeasures Plan requirement* for
onshore facilities (excluding production
facilities).
  (a) In addition to the specific spill
prevention  and containment procedures .

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 54636	Federal Register  /  Vol. 56,  No. 204  / Tuesday.  October 22,  1991 /  Proposed Rules
 listed under this section, onshore
 facilities (excluding production
 facilities) must also address the general
 requirements listed under § 112.7 in the
 SPCC Plan.
   (b) Facility drainage (onshore);
 (excluding production facilities). (1)
 Drainage from diked storage areas shall
 be restrained by valves or other positive
 means to prevent a spill or other
 excessive leakage of oil into the
 drainage system or in-plant effluent
 treatment system, except where facility
 systems are designed to handle such
 leakage. Diked areas may be emptied by
 pumps or ejectors; however, these shall
 be manually activated and the condition
 of the accumulation shall be examined
 lief ore starting to ensure no oil will be
 discharged into the water.
   (2) Flapper-type drain valves shall not
 be used to drain diked areas. Valves
 used for the drainage  of diked areas
 shall, as far as practical, be of manual,
 open-and-closed design. When facility
 Jrainage drains directly into water
 courses and not into wastewater
 •reatment plants, retained storm water
 shall be inspected as provided in
 paragraphs (c)(3) (ii), (iii), and (iv) of this
 section before drainage.      -
  (3) Facility drainage systems from
 undiked areas with a potential for oil
 spill contamination shall flow into
 ponds, lagoons, or catchment basins
 designed to retain  oil or return it to the
 facility. It is recommended that
 catchment basins not  be located in
 areas subject to periodic flooding.
  (4) If facility drainage is not
 engineered as above, the final discharge
 if all in-plant drainage shall be
 •quipped with a diversion system that
 .vould. in the event of an uncontrolled
3pill. retain oil in the facility.
  (5j Where drainage  waters are  treated
.n more than one treatment unit, it is
 ecommended that natural hydraulic
flow be used. If pump  transfer is needed,
• wo "lift" pumps shall be provided, and
 t least one of the pumps shall be
provided, and at least one of the pumps
 :hall be permanently installed when .
 •uch treatment is continuous. Whatever
•echniques are used, facility drainage
systems shall be adequately engineered
so that, in the event of equipment failure
;>r human error at the facility, oil .will be
prevented from reaching navigable
 vaters of the United States, adjoining
.-horelines, or other waters that would
be affected by discharging oil as
described in § 112.1(b)(l) of this part.
  (6) For facilities in locations subject to
Hooding, it is recommended that the
SPCC Plan address additional
requirements for events that occur
•luring a period of flooding.

N-310999    0026(OI)(2I-OCT-9I-13:51:321
   (c) Bulk storage containers (onshore);
 (excluding production facilities). (1) No
 tank shall be used for the storage of oil
 unless its material and construction are
 compatible with the material stored and
 conditions of storage such as pressure.
 temperature, etc. It is recommended that
 the construction, materials, installation,
 and use of tanks conform with relevant
 portions of industry standards such as
 API, NFPA. UL, or ASME standards,
 which are required in the application of
 good engineering practice for the
 construction and operation of the tank.
   (2) All bulk storage tank installations
 shall be constructed so that a secondary
 means of containment is provided for
 the entire contents of the largest single
 tank and sufficient freeboard to allow
 for precipitation. Diked areas shall be
 sufficiently impervious to contain spilled
 oil for at least 72 hours. Dikes,
 containment curbs, and pits are
 commonly employed for this purpose,
 but they may not always be appropriate.
 An alternate system could consist of a
 complete drainage trench enclosure
 arranged so that a spill could terminate
 and  be safely confined in an in-plant
 catchment basin or holding pond.
   (3) Drainage of rainwater from the
 diked area into a storm drain or an
 effluent discharge emptying into an open
 watercourse, lake, or pond, and
 bypassing the in-plant treatment system
 may be acceptable if:
   (i) The bypass valve is normally
 sealed closed.
   (ii) Inspection of the run-off rainwater
 ensures compliance with applicable
 water quality standards and will not
 cause a discharge that may be harmful,
 as described in 40 CFR part 110.
   (iii) The bypass valve is opened, and.
 resealed following draining under
 responsible supervision.
   (iv) Adequate records are kept of such
 events.
   (4) Underground metallic storage
 tanks represent a potential for
 undetected spills. A new buried
 installation shall be protected from
 corrosion by coatings, cathodic
 protection, or other effective methods
 compatible with local soil conditions. It
 is recommended that such buried tanks
 at least be subjected to regular leak
.testing.
   (5) It is recommended that partially
 buried or bunkered metallic tanks be
 avoided, since partial burial in earth can
 cause rapid corrosion of metallic
 surfaces, especially at the earth/air
 interface. Partially buried and bunkered
 tanks shall be protected from corrosion
 by coatings, cathodic protection, or
 other effective methods compatible with
 local soil conditions.
                                             4701.FMT...[16,30]...12-28-90
    (6) Aboveground tanks shall be
  subject to integrity testing every ten
  years and when material repairs, etc.
  are done, taking into account tank
  design (floating roof, for example) and
  using such techniques or combinations
  of such techniques as hydrostatic
  testing, radiographic testing, visual
  inspections, ultrasonic testing, acoustic
  emissions testing, or a system of non-
  destructive shell testing. Comparison
  records shall be kept, and tank supports
  and foundations shall be included in
  these inspections. In addition, the
.  outside of the tank shall frequently be
  observed by operating personnel for
  signs of deterioration, leaks, or
  accumulation of oil inside diked areas.
    (7) To control leakage through
  defective internal heating coils:
    (i) The steam return or exhaust lines
  from internal heating coils, which
  discharge into an open water course.
  shall be monitored for contamination, or
  passed through a settling tank, skimmer.
  or other separation or retention system.
  It is recommended that  these systems be
  designed to hold the entire contents of
  the affected tank, be of  sufficient size to
  contain a spill that may occur when the
  system is not being monitored or
  observed, or have fail-safe oil leakage
  detectors.
    (ii) It is recommended that the
  feasibility of installing an external
  heating system also be considered.
    (8) New and old tank  installations
  shall, as far as practical, be  fail-safe
  engineered or updated into a fail-safe
  engineered installation to avoid spills.
  One or more of the following devices
  shall be provided:
    (i) High liquid level alarms with an
  audible or visual signal  at a constantly
  manned operation or surveillance
  station: in smaller plants an audible air
  vent may suffice.
    (ii) Considering size and complexity of
  the facility, high liquid level pump cutoff
  devices set to stop flow at a
  predetermined tank content level.
    (iii) Direct audible or  code signal
  communication between the tank gauger
  and the pumping station.
    (iv) A fast response system for
  determining the liquid level  of each  bulk
  storage tank, such as digital computers.
  telepulse. or direct vision gauges or  their
  equivalent.
    (v) Other devices can be considered
  for installation as alternate
  technologies, as allowed under
  § 112.7(a)(2).
    (vi) Liquid level sensing devices shall
  be regularly tested to ensure proper
  operation.
    (9) Effluents that are discharged into
  navigable waters shall have disposal

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                Federal  Register / Vol. 56, No. 204 / Tuesday.  October 22.  1991 /  Proposed Rules
                                                                        54637
 facilities observed frequently enough to
 detect possible system upsets that could
 cause an oil spill event.
   (10) Visible oil leaks, which result in a
 loss of oil from tank seams, gaskets,
 rivets, and bolts sufficiently large to
 cause the accumulation of oil in diked
- areas, shall be promptly corrected.  .
 Accumulated oil or oil contaminated
 materials resulting from such discharge
 shall be completely removed within 72
 hours from the time the spill event
 occurs.
   (11) Mobile or portable oil storage
 tanks (onshore) shall be positioned or
 located so as to prevent oil discharges.
 It is recommended that a secondary
 means of containment, such as dikes or
 catchment basins, be furnished for the
 largest single compartment or tank. It is
 recommended that these facilities be
 located where they will not be subject to
 periodic flooding or washout.
   (d) Facility transfer operations,
 pumping, and in-plant process (onshore)
 (excluding production facilities), (1) It is
 recommended that all piping shall be
 placed aboveground, where possible.
 New or replaced buried piping
 installations shall have a protective
 wrapping and coating and shall be
 cathodically protected or otherwise
 satisfy the corrosion protection
 standards for piping in 40 CFR part 280.
 If a section of buried  line is exposed for
 any reason; it shall be carefully
 examined for deterioration. If corrosion
 damage is found, additional
 examination and corrective action shall
 be taken  as indicated by the magnitude
 of the damage. It is recommended that
 buried piping installations comply to the
 extent applicable with all of the relevant
 provisions in 40 CFR  part 280.
   (2) When piping is not in service or in
 standby service for six months or more,
 the terminal connection at the transfer
 point shall be capped or blank-flanged.
 and marked as to origin.
   (3) Pipe supports shall be properly
 designed to minimize abrasion and
 corrosion and allow for expansion and
 contraction.
   (4) All aboveground valves, piping,
 and appurtenances shall be subjected to
 monthly examinations by operating
 personnel, at which time the general
 condition of items such as flange joints,
 expansion joints, valve glands and
 bodies, catch pans, pipe supports,
 locking of valves, and metal surfaces
 shall be assessed. In addition, it is
 recommended that facility owners or
 operators conduct annual integrity and
 leak testing of buried piping or monitor
 buried  piping on a monthly basis.
 Records of such testing or monitoring
 shall be maintained for five years. It is
 recommended that all valves, pipes, and

 S-310999    0027(OIX2I-OCT-91-13:51:36)
 appurtenances conform to relevant
 industry codes such as ASME
 standards.
   (5) Vehicular traffic granted entry into
 the facility shall.be warned orally or by
 appropriate signs to be sure that the
 vehicle, because of its size, will not
 endanger aboveground piping or other
 oil transfer operations. It is
 recommended that weight restrictions
 be posted, as applicable, to prevent
 damage to' underground piping.

 § 112.9 Spill Prevention, Control, and
 CountermeaMires Plan requirements for
 onshore oil production facilities.
   (a) In addition to the specific spill
 prevention and containment procedures
 listed under this section, onshore
 production facilities must also address
 the general requirements listed under
 § 112.7 in the SPCC Plan.
   (b) Onshore oil production facilities
 are defined in § 112.2(k).
  ' (c) Oil production facility (onshore)
 drainage. (I) At tank batteries and
 central treating stations where an
 accidental discharge of oil would have a
 reasonable possibility of reaching
 navigable waters, the dikes or
 equivalent measures required under
 § 112.7(c)(l) shall have drains closed
 and sealed at all times, except when
 rainwater is being drained. Prior to
 drainage, the diked area shall be
 inspected and actions taken as provided
 in §~112.8{c)(3) (ii). (iii), and (iv).
 Accumulated oil on the rainwater shall
 be removed and returned  to storage or
 disposed of in accordance with
 approved methods.
   (2) Field drainage ditches, road
 ditches, and oil traps, sumps, or
 skimmers, if such exist, shall be
 inspected at regularly scheduled
 intervals for accumulation of oil or oil-
 contaminated soil that may have
 escaped from small leaks. Any such
 accumulations shall be removed within
 72 hours.
   (3) For facilities in locations subject to
 flooding, it is recommended that the
 SPCC Plan address additional
 requirements for events that occur
 during a period of'flooding.
   (d) Oil production facility (onshore)
- bulk storage tanks. (1) No tank shall be
 used for the storage of'oil unless its
 material and construction are
 compatible with the material stored and
 the conditions of storage. It is
 recommended that the construction,
 materials, installation, and use of new
 tanks conform with relevant portions of
 industry standards, which are required
 in the application of good engineering
 practice for the construction and
 operation of the tank.
                                             4701.FMT...[16,30]...12-28-90
  (2) All tank battery and central
treating plant installations shall be
provided with a secondary means of
containment for the entire contents of
the largest single tank in use and
sufficient freeboard to allow for
precipitation, if feasible, or alternate
systems, such as those outlined in
§ 112.7(c)(l). Drainage from undiked
areas showing a potential for
contamination shall be safely confined
in a catchment basin or holding pond.
  (3) All tanks containing oil shall be
visually examined for deterioration and
maintenance needs at least once a year.
Such examination shall include the
foundation and supports of tanks above
the ground surface. The schedule and
records for examinations of tanks shall
be maintained by the owner or operator
for a period of five complete calendar
years irrespective of changes in
ownership.
  (4) It is recommended that new and
old tank battery installations, as far as  ,
practical, be fail-safe engineered or
updated into a fail-safe engineered
installation to prevent spills. It is
recommended that appropriate API.
NFPA, and ASME standards be
referenced. Consideration shall be given
to providing one or more of the
following:
  (i) Adequate tank capacity to assure
that a tank will not overfill if a pumper/
gauger is delayed in making regular
rounds.
  (ii) Overflow equalizing lines between
tanks so that a full tank can overflow to
an adjacent tank.
  (iii) Adequate vacuum protection to
prevent tank collapse during a pipeline
run.
  (iv) High level sensors to generate and
transmit an alarm signal to the computer
where facilities are a part of a computer
production control system.
  (e) Facility transfer operations, oil
production facility (onshore). (I) All
aboveground valves and piping shall be
examined monthly for general condition
of items such as flange joints, valve
glands and bodies, drip pans, pipe
supports, pumping well polish rod
stuffing boxes, bleeder and gauge
valves. The schedule of examinations
shall be included in the SPCC Plan and
records of the examinations shall be
maintained for a period of five years.
  (2) Salt water (oil field  brine) disposal
facilities shall be examined often,
particularly following a sudden change
in atmospheric temperature, to detect
possible system upsets capable of
causing an oil discharge.
  (3) Production facilities shall have a
program of flowlinc maintenance to
prevent spills from this source.'It is

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 54638
Federal  Register / Vol. 56. No. 204 / Tuesday.  October 22, 1991  /  Proposed Rules
 recommended that the program include
 monthly examinations, corrosion
 protection, flowline replacement, and
 adequate records.

 §112.10 Spill Prevention, Control, and
 Countermeasurm Plan requirements tor
 onshore oil drilling and workover facilities.
   (a) In addition to the specific spill
 prevention and containment procedures
 listed under this section, onshore oil
 drilling and workover facilities must
 also address the general requirements
 listed under § 112.7 in the SPCC Plan.
   (b) Mobile drilling or workover
 equipment shall be positioned or located
 so as to prevent spilled oil discharges.
   (c) Depending on the location.
 catchment basins or diversion structures
 may be necessary to intercept and
 contain spills of fuel, crude oil, or oily
 drilling fluids.
   (d) Before drilling below any casing
 string or during workover operations, a
 blowout prevention (BOP) assembly and
 well control system shall be installed,
 when necessary, that is capable of    <
 controlling any well-head pressure
 expected to be encountered while that
 BOP assembly is on the well. Casing  and
 BOP installations shall be in accordance
 with State regulatory agency
 requirements.

 § 112.11  Spill Prevention, Control, and
 Countermeasures Plan requirements for *
 offshore oil drilling, production, or
 workover facilities.
   (a) In addition to the specific spill
 prevention and containment procedures
 listed under this section, offshore oil
 drilling, production or workover
 facilities must also address the general
 requirements listed under § 112.7 in the
 SPCC Plan.
   (b) Offshore oil drilling, production,
 and workover facilities are defined in
 § 112.2(j). As provided in § 112.1(d)(3),
 such facilities that are subject to the
 Operating Orders, notices, and
 regulations of the Minerals Management
 Service are not subject to this part.
   (c) Oil drainage collection equipment
 shall be used to prevent and control
 small oil spillage around pumps, glands,
 valves, flanges, expansion joints, hoses,
.drain lines, separators, treaters, tanks,
 and allied equipment. Facility drains
 shall be controlled and directed toward
 a central collection sump or equivalent
 collection system sufficient to prevent
 the facility from  discharging oil as
 described in § 112.1(b)(l) of this part.
 Where drains and sumps are not
 practicable, oil contained in collection
 equipment shall  be removed as often  as
 necessary to prevent overflow, but not
 less than once a  year.
   (d) For facilities employing a sump
 system, the sump and drains shall be

 S-310999   0028(01X21-OCT-91-13:51:39)
                         adequately sized and a spare pump or
                         equivalent method shall be available to
                         remove liquid from the sump and assure
                         that oil dqes not escape. A monthly
                         preventive maintenance inspection and
                         testing program shall be employed to
                         assure reliable operation of the liquid
                         removal system and pump start-up
                         device. Redundant automatic sump
                         pumps and control devices may be
                         required on some installations.
                           (e) At facilities with areas where
                         separators and treaters are equipped
                         with dump valves for which the
                         predominant mode of failure is in the
                         closed position and pollution risk is
                         high, the facility shall be specially
                         equipped to prevent the escape of oil.
                         Prevention of escaped oil can be
                         accomplished by extending the flare line
                         to a diked area if the separator is near
                         shore, equipping the separator with a
                         high liquid level sensor that will
                         automatically shut-in wells producing to
                         the separator, installing parallel
                         redundant dump valves, or using other
                         feasible alternatives to prevent oil
                         discharges.
                           (f) Atmospheric storage or surge
                         containers shall be equipped with high
                         liquid level sensing devices or other
                         acceptable alternatives to prevent oil
                         discharges.
                           (g) Pressure tanks shall be equipped
                         with high and low pressure sensing
                         devices to activate an alarm and/or
                         control the flow or with other
                         acceptable alternatives to prevent oil
                         discharges.
                           (h) Tanks shall be equipped with
                         suitable corrosion protection. It is
                         recommended that appropriate National
                         Association of Corrosion Engineers
                         standards for corrosion protection be
                         followed.
                           (i) A written procedure for inspecting .
                         and testing pollution prevention
                         equipment and systems shall be
                         prepared and maintained at the facility.
                         Such procedures shall be included as
                         part of the SPCC.Plan.
                           (j) Testing and inspection of the
                         pollution prevention equipment and
                         systems at the facility shall be
                         conducted by the owner or operator on a
                         scheduled periodic basis, but not less
                         than monthly, commensurate with the
                         complexity, conditions, and
                         circumstances of the facility or other
                         appropriate regulations. Simulated spill
                         testing shall be the method used for
                         testing and inspecting human and
                         equipment pollution control and
                         countermeasures systems unless the
                         owner or operator demonstrates that
                         another method provides equivalent
                         alternative protection.
                           (k) Surface and subsurface well shut-
                         in valves and devices in use at the
                                             4701.FMT...[16,30)...12-28-90
 facility shall be sufficiently described to
 determine their method of activation or
 control, e.g., pressure differential,
 change in fluid or flow conditions.
 combination of pressure and flow,
 manual or remote control mechanisms.
 Detailed records  for each well, while not
 necessarily part of the Plan, shall be
 kept by the owner or operator for a
 period of not less than five years.
   (1) Before drilling below any casing
 string and during workover operations, a
 BOP preventer assembly and well
 control system shall be installed that is
 capable of controlling any well-head
 pressure expected to be encountered
 while that BOP assembly  is on the well.
 Casing and BOP installations shall be in.
 accordance with  State regulatory agency
 requirements.
   (m) It is recommended that
 extraordinary well control measures be
 provided if emergency conditions,
 including fire, loss of control and other
 abnormal conditions, occur. It is
 recommended that the degree of control
 system redundancy vary with hazard
 exposure and probable consequences of
 failure. It is recommended that surface
 shut-in systems include redundant or
 "fail close" valving. Subsurface safety
 valves may not be needed in producing
 wells that will not flow, but they should
 be installed as required by applicable
 State regulations.
   (n) All manifolds (headers) shall be
 equipped with check valves on         <.
 individual flowlines.
   (o) If the shut-in well pressure is
 greater than the working pressure of the
 flowline and manifold valves up to and
 including the header valves associated
 with that individual flowline. the
 flowline shall be  equipped with a high
 pressure sending  device and shut-in
 valve at the wellhead unless provided
> with a pressure relief system to prevent
 over-pressuring.
   (p) All piping appurtenant to the
 facility shall be protected from        ,
 corrosion. It is recommended that the
 method used, such as protective
 coatings or cathodic protection, be
 discussed.
   (q) Sub-marine piping appurtenant to
 the facility shall be  adequately
 protected against environmental
 stresses and other activities, such as
 fishing operations.
   (r) Sub-marine  piping appurtenant to
 the facility shall be  in'good operating
 condition at all times and inspected on a
 scheduled periodic basis for failures.
 Such inspections  shall be  documented
 and maintained at the facility for a
 period of five years.
   (s) To prevent misunderstanding of
 joint and separate duties and

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                 Federal  Register /  Vol. 56.  No. 204 / Tuesday. October 22. 1991  / Proposed Rules          54639
 obligations for performing work in a safe
 and pollution-free manner, it is
 recommended that written instructions
 be prepared by the owner or operator
 for contractors and subcontractors to
 follow whenever contract activities
 include servicing a well or systems
 appurtenant to a well or pressure vessel.
 Such instructions and procedures shall
 be maintained at the offshore
 production facility. Under certain
 circumstances and conditions, such
 contractor activities may require the
 presence at the facility of an authorized
 representative of the owner  or operate;
 who would intervene when necessary to
 prevent a spill event.

 Appendix A—Memorandum of
 Understanding Between the Secretary of
 Transportation and the Administrator of the
 Environmental Protection Agency.
 Section II—Definitions
  The Environmental Protection Agency and -
 the Department of Transportation agree that
 for the purposes of Executive Order 11548.
 the term:
  (1) Non-transportation-related onshore and
 offshore facilities means:
  (A) Fixed onshore and offshore oil well
 drilling facilities including all equipment and
 appurtenances related thereto used in drilling
 operations for exploratory or development
 wells, but excluding any terminal facility,
 unit or process integrally associated with the
 handling or transferring of oil in bulk to or
 from a  vessel.
  (B) Mobile onshore and offshore oil well
 drilling platforms, barges, trucks, or other
 mobile facilities including all equipment and
 appurtenances related thereto when such
mobile facilities are fixed in position for the
purpose of drilling operations for exploratory
 or development wells, but excluding any
 terminal facility, unit or process integrally
associated with the handling or  transferring
of oil in bulk to or from a vessel.
  (C) Fixed onshore and offshore oil
production structures, platforms, derricks.
and rigs including all equipment and
appurtenances related thereto, as well as
completed wells and the wellhead separators,
oil separators, and storage facilities used in
the  production of oil. but excluding  any.
terminal facility, unit or process integrally
associated with the handling or transferring
of oil in bulk to or from a vessel.
  (D) Mobile onshore and offshore oil
production facilities including all equipment
and appurtenances  related thereto as well as
completed wells and wellhead equipment,
piping from wellheads to oil separators, oil
separators, and storage facilities used in the
production of oil when such mobile facilities
are fixed in position for the purpose of oil .
production operations, but excluding any
terminal facility, unit or process integrally
associated with the handling or transferring
of oil.in bulk to or from a vessel.
  (E) Oil refining facilities including all
equipment and appurtenances related thereto
as well as in-plant processing units, storage
units, piping, drainage systems and waste
treatment units used in the refining of oil, but
excluding any terminal facility, unit or
process integrally associated with the
handling or transferring of oil in bulk to or
from a vessel.
  (F) Oil storage facilities including all
equipment and appurtenances related thereto
as well as fixed bulk plant storage, terminal
oil storage facilities, consumer storage,
pumps and drainage systems used in the
storage of oil, but excluding inline or
breakout storage tanks needed for the
continuous operation of a pipeline system
and any terminal facility, unit or process
integrally associated with the handling or
transferring of oil in bulk to or from a vessel.
  (G) Industrial, commercial, agricultural, or
public facilities which use and store oil, but
excluding  any  terminal facility, unit or
process integrally associated with the
handling or transferring of oil in bulk to or
from a vessel.
  (H) Waste treatment facilities including in-
plant pipelines, effluent discharge lines, and
storage tanks,  but excluding waste treatment
facilities located on vessels and terminal
storage tanks and appurtenances for the
reception of oily ballast water or tank
washings from vessels and associated
systems used for off-loading vessels.
  (I) Loading racks, transfer hoses, loading
arms and other equipment which are
appurtenant to a non-transportation-related
facility or terminal facility and which are
used to transfer oil in bulk to or from
highway vehicles or railroad cars.
  (I) Highway  vehicles and railroad cars
which are used for the transport of oil
exclusively within the confines of a non-
 transportation-related facility and which are
 not intended to transport oil in interstate or
 intrastate commerce.
   (K) Pipeline systems which are used for the
 transport of oil exclusively within the
 confines of a non-transportation-related
 facility or terminal facility and which are not
 intended to transport oil in interstate or
 intrastate commerce, but excluding pipeline
 systems used to transfer oil in bulk to or from
 a vessel.
   (2) Transportation-related onshore and
 offshore facilities means:
   (A) Onshore and offshore terminal
 facilities including transfer hoses, loading
 arms and other equipment and appurtenances
 used for the purpose of handling or
 transferring oil in bulk to or from a vessel as
 well as storage tanks and appurtenances for
 the reception of oily ballast water or tank
 washings from vessels, but excluding
 terminal waste treatment facilities and
 terminal oil storage facilities.
   (B) Transfer hoses, loading arms and  other
 equipment appurtenant to a non-
 transportation-related facility which is used
 to transfer oil in bulk to or from a vessel.
   (C) Interstate and intrastate onshore and
 offshore pipeline systems including pumps
 and appurtenances related thereto as well as
 in-line or breakout storage tanks needed for
 the continuous operation of a pipeline
 system, and pipelines from onshore and
 offshore oil production facilities, but
 excluding onshore and offshore piping from
 wellheads to oil separators and pipelines
 which are used for the transport of oil
 exclusively within the confines of a non-
 transportation-related facility or terminal
 facility and which are not intended to
 transport oil in interstate or intrastate
 commerce or to transfer oil in bulk to or from
 a vessel.
  (D) Highway vehicles and railroad cars
 which are used for the transport of oil in
'interstate or intrastate commerce end the
 equipment and appurtenances related
 thereto, and equipment used for the fueling of
 locomotive units, as well as the rights-of-way
 on which they operate. Excluded are highway
 vehicles and railroad cars and motive power
 used exclusively within the confines of  a non-
 transportation-related facility or terminal
 facility and which are not intended for use in
 interstate or intrastate commerce.

 MLUNO CODE 65M-5O-M
S-310999    0029(01X2I-OCT-91-U:5I:43)
                                                  4701.FMT...[16,30]...12-28-90

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           APPENDIX I
                         i

         Interim Final Rule for
40 C.F.R. part 112 dated November 4, 1992

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Wedntsday
Novambtr 4, 1992
Part  V



Environmental

Protection Agency

40 CFR Pvt 112, et aL
CtvU Ptnatty Provisions for trie Oil
Pollution Prtvention Rtgutatlons, Cltan
Wattr Act Notification Proviaion and
Prohibition Against Unauthorized
Dlachargaa of Oil and Hazardous
Substancat; Intarim FInai Rula

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S2T04  Federal Regiitar / Vol. 37.  No.'214 / Wedneaday. November 4.  1992 / Roi«»  and Regulation*
EMYIMONMCNTAk WWTECTtON
AGENCY :•;••
 40 CFR fun 112, ,114 and ttT
CMI Penalty ProvttJont tor the Oil
Pollution Prevention Refutations,
Clem Wster Act Notfflcstton Provision
and PronibMon Aasinst Uneutrw
Dlachsretsof Oi and Heaardou*
AoiNCv: Environmental Protection
Agency.
ACTIO* Interim final rule.  _

sumiAiir. The Envlronmt nui Protection
Agency (EPA) todiy publishes tn
interim final rule which limits the
applicability of the administrative
penalty assessment prov1»toni of tht
Agency's regulation* on oil pollution
prevention and reportable quantities for
hizardon* substance*. ThiM provision*
•re being amended in light of new
authoritiM for the aiuMtnent of civil
adminiitrative and judicial panaltie*
under the Oil Pollution Act (OPA).
OATS» Effective data; The interim fl«**'
rule shall be effective November 4. 1991
Comment*: EPA will accept poet-
publlcatioo comments until December 4.
1992.
AOOMSSCK Peraon* may mail two
copies of all comment* on this interim
final rule to Cecilia L Smith. Office of
Watte Program* Enforcement (OS-BM),
Environmental Protection Agency, 401 M
SirtfltSW.Washinglea,DC 20460. Tbs  •
adminlairetlva ncocd of this *M'»'"-tttoit
it available and persons may inipect
comment* at the above addrets:
POW PUNTO4BI CsYQSSJStlCSf COSmCTS.'
Cecilia L^DjtluOtDca. of Waste .  .
PrognmrEBJoieenutSSUG.  • • •  •
Environmental Prnsertlnn Afency. 401 M
Street 3W, Washington, DC 20480. (703)
003-88*3.
I. Preamble

Oil Pollution Prevention Regulation!
  The civil penalty provision of the oil_
pollution prevention regulation* (40 CFR
U2.0). and the related civil penalty
provision* and procedural at 40 CFR
pan 1T4 wan promulgated in 1974
pursuant to lection 5ll()) of the Federal
Water Pollution Control Act 33 U.S.C
1321. alio known at the Clean Water
Act (CWA) (39 FR 31002. August 29.
1974). Part 112 *ats out for onshore and
offshore non-tranaportation-retated
UctiitiM. requirement* designed to
prevent dt*charge* of oil into "navigable
waters and adjoining shorelines." 40
CFR ltt*)«*ilM4 each provide: that -
vioartflOftoiths-oJi pollution prtrvdeiT
r»ful«tloa* may result in the a*aea**s*nt •
of an adminlstrativtj penalty of netsjorsr
than S&OOO per day of violation. 4S*C9R ••':'
112.fi aad 114.1 are bated on authority ia
CWA section 31l(j){2). which, bcteo it* ,
araendment by the Oil Pollution Act of •
1990 (OPA). limited civil penalties ~«v.:
at*e**ed for violation* of regulations
iatued under tection 3il(j) to "not more r
than SSJOO for each »uch violation.1' - . *
  The OPA repealed CWA section
311HH2) and amended CWA Mcdon
3ll(bKa) to provide that violaton of  '
CWA section 311(j) may be asaeaaeoj a
Cla** 1 penalty of up to glOUMO per /
violation (up to- a maximum assaMaieat .•
of 123.000). or a Cl*»»  U penalty of up to
S10.000 per day of violation (up to »
maximum a**at*ment of S12SJQO).'. .
Further. Mction 311(b)(6) now provides  '
for different •dministrativt proceedtaf*
for these two ciasaes of peasitias.
Respondent* in Class  i case* are -given a
reasonable opportunity to be heard aad .
to preaent evidence, but the hearing
need not matt tht requirements of the
Administrative Procedure Act (APA) for
formal adludication* (5 U.S.C.5M).  •
Clasa 0 hearings, however, are OB the
raeordand subject to 6 U.9.C. SS4.
  As • muH of th» savings proviajoetta .
section 0001 of the OPA. 1 1 iiuand
114.1 continue in effect until repealed.
amended or superseded. Today's
regulation, "nt*"** 40  ^J~H HZA aod
114J. by swknf them  applicable eohr to
violations occurring prior to August U, -
1900, tiw date of enactment of the) Oil
PoUafeetAet
  His OPA alao amended CWA sectioD
3ll(b) to provide for the judicial .
assttemtBt of dril penalties of vp to
         both." A* a rtsuliof the .
        provision in section 6001 of the
 OPA. 40 CFR 117.32U) continues in
 tffeet until repealed, amended or    • . .
 •aptneileil Today's regulation amends
 I lW22ta) by makiafit applicable only
 ta violation* occurring prior to Augu*t
 Is. 1990, the data of enactaunt of the Oil
 PeBstion Act.
r-JbMbttien
  40 CFR 117 gentrally eitabliibas the
reportablt quantities for hazardov*  "
aobstanees-dasiffaated under 40CF1I11A.
for puraetas of CWA section 31L 40  •
CFK UTA Mts out the notification
tequdmuent for olfcharget of daelgnaiaii
hasardoua ntbatance* pursuant to CWA
•action 311(b)(5). 40 CFR 117 J2(a).V-  "
provides that violatlon(s) of the
notification requirement may ranh fas •
fine of not more than S10.000 or .
Imprisonment for not more thaaoe*
year, or both, 40 CFR ll7.22(a) i* baaed
on language In former CWA lectioa
311(bU5). which wai lattr amended by
the OPA. Section 4301 of the OPA
amended CWA *actlon 3ll(b)(S) to
provide that any criminal penalty for •
violation of the notification requirameoi
In CWA aection 3ll(b)(S] be "tn
accordance with title 18. United State*
Cod*, or impriionad for not more tha«S
                   Unauthorizid
  '4O CFR ll?J2(b) provide* that an
• owner, operator or a person in charge of
 a vessel or facility that has discharged a
 designated hazardou* sufastaace
- sxettdtof tha reportabl* quantity may
 bs fubfecs to a civil administrative
 penalty assessment of up to $9.000 par
. viboitioo. The regulation also states that
 tha Agency may pursue a judicial civil
 pensity action, seeking up to SBO.OOO per
 notation: whin tht discharge resulted
 from willful negligence or willful
: misconduct tht maximum judicial civil
 penalty is 1250000. 40 CFR 117.22( b| is
 bated on language in former CWA
 section 311(b)(8)(A). which was
 amended by the OPA.
   Section 4301 of OPA repealed CWA
. section 3ll(b)(0} and replaced it with s
 ntw penalty assessment framework. '
 CWA section 311(b)(0) now provides
 that violator* of the prohibition agamit
 unauthorized discharges In section
.atUbXI tuy be assessed a Class I
 peajstrjrof up to Siaooo per violation (up
 to a maximum assessment of S23.000) or
 a Clasa 0 penalty of up to S10.000 per
 day of violation (up to a maximum
 asaeeameat of 5125.000).
   As a result of the saving* provision in
        0001 of the OPA. 40 CFR 117.22
 continue* in effect until repealed.
 amended or superseded. Today's
 revelation amend* 40 CFR 117.22 by
 making it applicable only to violations
 aeeumng prior to August IB. 1990. the
 data of enactment of the Oil Pollution
 ACL
   Section 4301 of OPA al*o added CWA
 **cnoB*ll(b)(7), which provides for the
 fodidslesaeument of civil peneluei for
 violatioss of CWA section 311(b)(3) of
 up to "32&000 per day of violation' or
 vp to "gl.OOO per barrel of oil or unit of
 reportable quantity of hazardous
 .substance*." For violation* of section
 312{b)(3) that are a re*ult of gross
 negligence or willful mltconduct. the
 violator now I* subject to a civil penalty
 of "not lee* than $100.000 and not more
 than $3.000 per barrel or oil or unit  of
 repoftabt* quantity or hasardous
           diarharvad."

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         Fedauai Regiatar / Vol. 57. No.  214 / Wgdne«ay. November 4. 1892 / Rdea and S^aiatioirt S27QS
 vioJidasai of tesrtl potation pnveatton
 viol* tioaa> of I
 unauthortasi dtadwsjv tat aacrim
 3tt{bB3).oaaBtapaibB the OPA's
 I !•••§• atosjttbs>e»ty«g to a motr
   BBW plSflSBtp ftRBBSTWOfSt toajl>
 previous*? me the CAM. Paidufaaure.
 tht OPA establishes procedure* that
 differ boa* due* ML forth in 40 CFB. U4.
 The Agency's, iaiaat uodw 40 CFR puts
 112, 114 aad.117 ha*aiway» bam lo
 alias* civil pessaky aa»essEaaal»up to
 th§ BuudausjkanauBi allowed under thai
 sututa.laUtMdf the racmtsUtaiory
 chang* to that Buudsuon amount of civil
 pnatteapmrlded tor-violation* of
 CWA section 3tt(tf regulation* CWA
 section WfbRff •»<* CWA •action
 3:i(bK3T. fhe Agency's existing
 reguiitiont air thfr matter need to b*
 changed" to conform to tha otatutory
 amendments, The Agency believes that
 t uch a conforming change reflecting.
 explicit Congressional inlent doaa not
 warrant notice and opportunity for
 comment under tha Adminiitratlva
 Procedure Act and that thert ir good
 cause for publishing thferat* In Interim
 final form. For tha tame reason, the
 Agency beliavei there i» good causa for
'making the rule effective immediately.
 Consequently, this rule is published at
 an interim final rule amending 40 CFR
 1118.114.1 and 117.22 with regard to
 any violations occurring after tha data of
 the OPA's enactment (August 18.1900).
 40 CFR 112.8.114.1 and 117.22 still apply,
 however, to violation! that occurred
 pnor to August 18.1980.
 Interim Procedures
   Ae a reiult of today's Interim final
 rule, there will be no promulgated ruiea
 containing procedures for assessing
 administrative penalties for CWA
 Section 311 regulatory violations or
 violations of flection 3ii(b)(3) occurring
 after August 18.1060. The Agency,
 however, will use two existing sets  of
 procedures as guidance until it
^completes a rulemaking to implement
 the new CWA penalty provisions. For
 Class I penalties, the Agency will follow
 generally the procedures set forth In the
 recently proposed 40 CTR 28. Non-APA
 Consolidated Rules of Practice for
 Administrative Assessment of Civil
 Pensltiee (58 FR 29996. July  1.1991).
 These procedures will be used as
 guidanoe until the regulation ID
 published in the Federal Register as
 final, at which time they wUl have the
 force of law. For the assessment of
 CWA section 311 Class II penalties, the
Agency intends to use a* guidance- the
Consolidated Rules of Practice-
Governing the. Administrative
Asuaaaatu of Civil Pe&aUiee. and be
Revocattioivor Suepeas too. of Permits at
40 CFR 22. 40 CFR 22 satltftet the
taq*i»BiBeat» ai the APA for
AgaaKfistanda te tfc« Bear futore &»
araeactajs) CFft 2X&» bxocponta. m«
OPA Amandmaaa ta the CWA.

IL Pracarfiiisjl HaqidramaaU
A /forfew Ifnt/ffrSxvtuarv Order tZZH

  Executtv* Ordtt Nix 12291 requires
that «U Proposed- end final reguiattofta
be classified M aafor or non-malor
rules. The Agency has determined thai
this; final rule to cot* matorrai* tmdar
Executive Order 12291 becaoa* it wlit
not result in any of the impact*
delineated ta tha Exeeutiv* Order.

&. Rtviiw Uadtr tttt Rtyalatoty
Flexibility Act
  The Regulatory Flexibility Act of 1980.
5 U.3^. BOi et S9 (» VXC. 1291 et sea..)*
sea «bk Pob. 1. tt-tto. as 9tat arts UAC
Reer» Wen ef WO Now 3 (1070L 3S FKliftaa.
2 CFR 19*8-1970 Cflmpj B.0. 11731 » FR
3i:4S. 3 CFR. superseded by E.0. 12777. Jfl FR
54797.

  2. Section 112.6 is revised to read •>
follows:

} 1 12.8  Ctvfl peraWee «or xiortiipn or »u
pollution prevention rtgutaflona.
  (a) Applicability of lection. This
section snail apply to violations
specified in paragraph (b) of this section
which occurred prior to August 18. 1990.
  (b) Owners or operators of facilities
subject to 1 112.3 (a), (b) or (c) who
violate the requirements of this part n:
by failing or refusing to comply with any
of the provisions of 1 112.3. i 112.4 or
i 112.5 shall be liable for a civil penalty
of not more than §6.000 for each day
such violation continues. Civil penalties
shall be imposed in accordance with
procedures set out In pan 114 of this
subchapter D.

PART 114— CIVIL PENALTIES FOR
VIOLATION OF OIL POLLUTION
PREVENTION REGULATIONS

  1. The  authority citation for par: n* i»
revised to read as follows:
  Authority: Stcs. 311. M'.U). feb. U 92-500.
aeSiit. aaa. aas (33 U.3.C. 13:1. neiMn

  2. Section 114.1 is revised  10 read js
follows:

( m.i  General appMeabUlty.
  (a) Applicability of section. This
section shall apply to violations
Specified in paragraph (b) of this secnon
which occurred pnor to August 18. 1990.

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527D6  Federal RefJitar /  Vol. 57.  No. 214  /  Wednesday,  Novembtr 4. 1992 / Rules  and Regulation!
  (b) Ownen or operators of fadlities
•ubleet to 11124 (•). (b) or (e) of thU
lubchapter who violate the
requirements of parfll2 of thir
(ubchepter D by failiag-or refusing to   -
comply with any of the provisions of
||1124.ll2.4.oriiUofthia  '•
lubchepttr shall be Uible for • dvil   .
penalty of cot mere- thaa g&OOO for each
day such violation continues. Civil
penaJtiee ihall be suessed and
compromised in accordance with thia
pert No penalty shall be eeaeeaed until
the owner or operator shall have been
given notice end an opportunity for
healing in accordance with *Hf pert*

PART 117-OrrWJUNATJON OP
RiPORTABLE QUAWTTTOt FOR
HAZARDOUS SUBSTANCES

  1. The authority citation for part 117 It
revised to reed ae follower
  Autboritr See*. «l tad Wl(e). Federal
Water Pollution Control Act (» UAC. 1291 tt
1*4.). ("the Act") and Bxeratrv* Order tins,
lupeneded by Exacottvt Order 1V77.36 PR
54757.

  2. Section 117.22 la revised to reed es
follows;
1117.22
  (a) Applicability of section. This
section shall apply to violation!
specified in paragraphs (b) and (e) of
this- section whroh oeeorred prior to --••
August 18.19001
  (b) Any person in charge of a veasel or
an onshore or offshore facility who fails
to notify the United States Government '
of e prohibited discharge pursuant to •••
{ 117.21 (except in the ease of a .
discharge beyond the contiguous tone.
where the person In charge of e vessel is
not otherwise subject to the jurisdiction
of the United States) shall be subject to
a fine of not more than 110.000 or
imprisonment for not more than one
yeer. or both; pursuant to section
  (c) The owner, operator or person in
charge of a veeaei or aa onshore or
offshore facility from which is
discharged e haiardpue substuca-
designated in 40 CPR part 118 in a
quantity eonol to or exceeding in any 24-
hour period, the reperteble quantity
established In this part (except in the
case of a discharge beyond the
contiguous zone, where the person in
charge of e vessel la not otherwise
subject to the jurisdiction of the United
States, shall be assessed a dvil penalty
of- up to S&OOO per violation under
section 311(b)(B|(A). Alternatively, upon
a determination by the Administrator, s
dvil action will be -commenced undtr ..
lection m(b)(6)(B) to Impose e penelty .
not to exceed MftOOO unless such  •
discharge ie the result of willful
negligence or willful misconduct within
the privity and knowledge of .the owner.
operator, or person in charge, in which . .
Case-the penalty shall not exceed
  NeteiTfie Administrator wUl uke into .
accent the eravtty of the offense and the
standard of eere eunlfest by the owner.
operator, or penoota charge in determhime  •
whether e civil ectieo will be oonBWDctd
under seottea 3U(bMaNB). The eievMy of the
offtase will be tetarptwed »o ladade the itxa
of the dtschaita, the decree of dealer or harm
to the petite beetle, safety, or the
•nvtrenmant. utdadiiuj ceaaidereitoa of
texidty, dsfredaUUtir. and dispersal
characteristics of the eubaUnoe, previous
ipUl history, sad previous vtoiattoa of any
iptll prevention regulations. Particular.  .
emphasis will be pieced an the standard of
care sad the extern of mini atioo efforts
, manifest by the own;*, operator, or person hi
charge.    '                         •
[PR Doc 82-20081 /Ued ll-Wfc tM am)

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           SECTION 2
* SPCC/FRP OUTREACHTCONTACT NUMBERS

* MOST COMMONLY USED^ C WA-OPA-SPCC
  ACRONYMS

* SPCC IMPORTANT DEFINITIONS

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                SPCC/FRP OUTREACH
                       for
SPILL PREVENTION CONTROL AND COUNTERMEASURE PLANS
           AND FACILITY RESPONSE PLANS
Oil Program Phone Numbers (Area Code 215)
Who Can You Call?
FRP Infoline
SPCC/OPA Hotline
EPA Region III FAX
Name
Karen Melvin
Linda Ziegler
Regina Starkey
Robert Sanchez
Michael Welsh, P.E.
Paula Curtin
(Wheeling Office)
Frank Cosgrove
Bernie Stepanski
Title
Chief, Removal
Enforcement Branch
Oil Program/ FRP
Coordinator
Oil/SPCC Enforcement
Coordinator
SPCC/FRP Inspector
SPCC/FRP Inspector
Oil Enforcement
Specialist
SPCC Inspector
Investigator
Present
597-9562
(202)
260-2342
597-8138

597-8751
597-1395
597-1395
597-1357
597-3251
(304)
234-0256
597-1399
597-3184
After
5/20/96
566-3452
SAME
566-3254

566-3275
566-3277
566-3292
566-3451
566-3285
SAME
566-3284
566-3288

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                COMMONLY USED CWA-OPA-SPCC ACRONYMS
ACP
AST
CERCLA

CWA
DOJ
DOT
EPA
ERNS
FRP
MOU
NCP
NPDES
NRC
NRT
OPA
PE
RA
RCP
RCRA
RQ
SIC
SPCC
USCG
UST
WHPA
Area Contingency Plan
Aboveground Storage Tank
Comprehensive Environmental Response,
Compensation, & Liability Act of 1980
Clean. Water Act
Department of Justice  ,
Department of Transportation
United State Environmental Protection Agency
Emergency Response Notification System
Facility Response Plan
Memorandum of Understanding
National Contingency Plan
National Pollutant Discharge Elimination System
National Response Center
National Response Team
Oil Pollution Act of 1990
Professional Engineer
Regional Administrator
Regional Contingency Plan
Resource Conservation  & Recovery Act
Reportable Quantity
Standard Industrial Classification (Code)
Spill Prevention Control and Countermeasure (Plan)
United States Coast Guard
Underground Storage Tank
Wellhead Protection Area

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                   IMPORTANT SPCC DEFINITIONS
Oil is defined as "oil of any kind or in any form, including but not limited to
petroleum, fuel oil, sludge, oil refuse, and oil mixed with wastes other than dredge
spoil."  Interpretations of this definition include non-petroleum oils such as vegetable
and animal oils.

Discharge involves but is not limited to, any spilling, leaking, pumping, pouring,
emitting, emptying or dumping of a material. However, some "discharges" are
allowed as authorized by a permit issued under to section 13 of the River and Harbor
Act of 1899, or section 402 or 405 of the Federal Water Pollution Control  Act
(FWPCA) Amendments of 1972.

Spill Event  is a discharge of in a harmful quantity into the navigable waters of the
US or the adjoining shorelines.

RQ or Reportable Quantity is established under the Superfund,  Emergency
Planning,  and Community Right-To-Know Program (40 CFR Part 302) as the quantity
of a given material, which when released by an owner or operator, requires
notification of the National Response Center.

Harmful Quantity is a quantity of oil which
(1)  Violates applicable water quality standards;  or
(2)  Causes a film or sheen upon or discoloration of the surface of the water or
     adjoining shorelines; or
(3)  Causes a sludge or emulsion to be deposited beneath the surface of the water or
     upon adjoining shorelines.
     * - Discharges from  properly operating vessel engines are exempted.           f

Applicable Water Quality Standards are water quality standards adopted  by a state
pursuant to Section 303 of the FWPCA or promulgated by the EPA pursuant to that
section.

Navigable waters of the United Stated are defined in section 502(7) of the FWPCA,
and includes:
(1)  All navigable waters of the United  States, as defined in judicial decisions prior to
     passage of the 1972 Amendments to the FWPCA,  and tributaries of such waters;
(2)  Interstate waters, including interstate wetlands;
(3)  Intrastate lakes, rivers, and streams which are utilized by interstate travelers for
     recreational or other purposes; and
(4)  Intrastate lakes, rivers, and streams from which fish or shellfish are taken and
     sold in  interstate commerce.

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       Owner or operator means any person owning or operating an onshore or an offshore
       facility, and in the case of an abandoned offshore facility, the person who owned or
       operated the facility immediately prior to abandonment.

       Non-transportation related facility is defined in the Memorandum of Understanding
       between the Secretary of Transportation and the Administrator of the EPA,  as all
       fixed facilities, including support equipment, but excluding interstate pipelines,
       railroad tank cars en route, transport trucks en route, and terminals associated with
       the transfer of bulk oil to and from a  water transportation vessel.  The term also
       includes mobile or portable facilities such as onshore drilling or workover rigs, barge-
       mounted offshore drilling or workover rigs, and portable fueling facilities while they
       are in a fixed, operating mode.

       Onshore facility means any facility of any kind located in,  on, or under any land
       within the United States, other than submerged lands, which is not a transportation-
       related facility.

       Offshore facility is defined as any facility  of any kind located in, on or under any of
       the navigable waters of the United States, which is not a transportation-related
       facility.
Source: 40 CFR Part 112 (7-1-90)

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   SECTION 3
* SPCC COURSE SLIDES

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  History/Background
        Information
                                                 Notes
     Sources of Oil Spills

Transportation    Non-Transportation
     Breakdown of Oil Spill Reports
       Region III - Fiscal Year 1992
   IOOC
     .PA  VA   WV  MD  DC   DE


Sou'ca: flscxrai ^esaonsa Car.ier (Six faa: Trencst

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       Inland  Spill Classification
                                                                  Notes
    < 1,000 gallons     —>  MINOR

  1,000 -10,000 gallons ->  MEDIUM

    > 10,000 gallons     —>  MAJOR
           Source: 40 CFFt 300.5 (NCP)
SPCC HISTORY
Oil Pollution Prevention Regulation ,
iiltftli
     Spill Prevention. Control and Counter-
     measures (SPCC), became effective January
     10,1974.
       >• Derives authority from Section
         311 of the Clean Water Act
         (CWA).
SPCC HISTORY
Memorandum of Understanding (MOD)
      Developed between the EPA and DOT to
      clarify the meanings of "Transportation and
      Non-Transportation-Related Facilities".


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                                                                         Notes
SPCC HISTORY
Amendments to SPCC Regulation
    '&  August 29, 1974:
        »• Set forth EPA's policy .on civil penalties
          for violating Section 311 of CWA.

    »  March 26,1976:
        •• Clarified SPCC applicability criteria.
        » Specified that SPCC plans must be
          written.
        » Outlined procedures for developing an
          SPCC plan for mobile facilities.
                                        BKCHtaxy
SPCC HISTORY
       Major Oil Spill - January 2, 1988

        •• 4 million gallon AST collapsed and
          spilled 3.8 million gallons of diesel
          fuel.
        •• Approximately 750,000 gallons entered
          into the Monongahela River.
        * Affected the water supplies of 70
          communities across 3 States.
SPCC HISTORY
SPCC Task Force Report
   'A  Focused on prevention of large catastrophic
      spills.

   a  Made recommendations regarding the
      Federal SPCC program.
                                        SKCHMxy

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SPCC HISTORY
PROPOSED RULE
       October 22, 1991:
        »• Developed to clarify that certain  .
          provisions in the regulation are
          mandatory.
        > May require facilities to notify
          EPA for the purpose of developing
          a comprehensive inventory of SPCC-
          regulated facilities.
                                                                   Notes
                                     WCCMuxy
SPCC HISTORY
OPA-1990
       Signed into law on August 18, 1990.

       Made significant modifications to Section
       311ofCWA.
                                     SPCCHWoiy
         OPA KEY PROVISIONS
    Expands Federal Role In Response

    Establishes Oil Spill Liability Trust Fund

    Requires Contingency Planning (FRP)

    Requires Double Hulls

    Provides For Research And Development

    Increases Liabilty For Spills

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                                    OPA-1990
Liability Caps Can Be Broken
 1. Spill was caused by gross negligence, willful
   misconduct or the violation of federal safety,
   construction, or operating regulations.

 2, Failure to report a known spill.

 3. Failure or refusal to cooperate with removal actions.

 4. Failure to comply with an order issued under the
   CWA or the Intervention on the High Seas Act.
                                                                      Notes
                 112.1

   General  Applicability
SPCC applies to:
                                 Section 112.1
    Non-transportation-related facilities 'that:

     •• Due to their location, could reasonably be
       expected to discharge oil into or upon the
       navigable waters of the U.S. or adjoining
       shorelines.
     *• Have a total underground storage capacity
       > 42,000 gallons, or
     *• Have a total aboveground storage capacity
       > 1,320 gallons, or
     - Have a single, aboveground storage tank
       with a capacity > 660 gallons.

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                             Section 112.1
The SPCC regulation
   Establishes procedures, methods, and equipment
   to prevent oil discharges into or upon the navigable
   waters of the U.S. or adjoining shorelines.

   Does not relieve the owner/operator from
   compliance with other existing Federal,
   State, and Local laws.
   Concentrates on prevention, not response to
   discharges of oil in 'harmful quantities".

   Complements existing laws, regulations, rules,
   standards, polices and procedures.
                             Section H2.1
General Information
  Organizations that should be considered for current
  regulations, standards and codes:

    •  American Petroleum Institute (API)

    •  National Fire Protection Association (NFPA)

    •  American Society of Mechanical Engineers
      (ASME)

    •  American National Standards Institute (ANSI)

    •  Underwriters Laboratory (UL)
                                                              Notes
            112.2

    Definitions

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Important Definitions
       Section 112.2
Source: 40 Cffl 7 JO. 7 * 772.2
    8 Oil
    & Discharge; Spill Event
    « Harmful Quantity; Applicable Water Quality
      Standards
    K Navigable Waters; Adjoining Shorelines
    » Owner or Operator
    in Non-Transportation Related Facility
    » Onshore and Offshore Facility
                                                                      Notes
                   112.3
    Requirements for Preparation and
    Implementation of Spill.Prevention
  Control and Countermeasures Plans
                                 Section 112.3
Time Requirements
         Facilities are required to:
          • develop a plan within 6 months of
           starting operations.
          • fully implement the plan within
           1 year of starting operations.

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                                                                          Notes
                                   Section 112.3
Mobile Facilities
      Must have an SPCC plan prepared in
      accordance with 40 CFR Part 112.7

      No mobile facility can legally operate without
      having an SPCC plan implemented.
Other Requirements
                                   Section 112.3
      The SPCC plan must be reviev/ed and   |p
      certified by a PE. and                  ||

      Must be available to the RA for review during
      normal working hours.
                                   Section 112.3
Extensions of Time
      Can be granted by the RA because of the
      non-availability of qualified personnel or
      delays in construction or equipment delivery,
      beyond the control of the owner/operator.

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                                                                       Notes
               '     112.4

  Amendment of SPCC Plans  by the
         Regional Administrator
                                 Section 112.4
Submitting Plans to EPA
  jSSSBaB
    «s Inspector requests a copy, or

    « Oil is discharged into or upon the navigable
      waters of the U.S. or adjoining shorelines:
          • at > 1,000 U.S. gallons in a single spill
           event, or
          • in 'harmful quantities' in two spill
           events in any 12 month period.
                                  Section 112.4
Written Reports Include:
  %. Copy of SPCC plan.

  & Facility name

  s* Owner/operator name.

  w Location of facility.

  s* Date of initial operation.

  « Maximum oil storage capacity and average daily
    throughput.

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Section 112.4
Written Reports (cont.)
UIM-i

3 Facility description
& Cause(s) of the spill(s).
'& Corrective measures taken.
& Additional preventative measures.
a Other information requested by the RA. ;
•tS.4 ^A PUr AT.f.^omdru
t
                                                                           Notes
                                   Section 112.4
If the RA Proposes Amendment(s)
         The owner/operator will be notified via |j
         certified mail, and must              
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                 112.5

  Amendment of SPCC Plans by
        Owners or Operators
                                                              Notes
Section 112.5
Owner/Operator Amendments


8 The owner or operator must review the
facility's SPCC plan every 3 years.
a The plan shall be amended within 6 months
of the review to include a more effective
technology if:
-
>• The technology significantly reduces the
likelihood of a spill event at the facility.
» The technology has been field-proven.
e^f~fX-?&&.-if.v7.-yfys.<-7'??K-AS'fcKy&-ys&-ff-'?y-<-~*''-'&

\
1
i
««-' '
1 12-i 0*w CC«rator ?te» A
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                                 Section 112.5
Examples of changes:
   & Commission or decommission of tanks.

   a Replacement, reconstruction, or movement of
     tanks.

   a Replacement, reconstruction, or installation of
     piping systems.

   8 Construction or demolition that might alter
     secondary containment structures.

   K Revision of standard operation or maintenance
     procedures at a facility:
                                                                     Notes
                   112.7

   Guidelines for the Preparation
  and Implementation of a SPCC
                   Plans
General Information
                                 Section 112.7
      SPCC plans should be prepared using good
      engineering practices, and

      Have the full approval of management with *
      the authority to commit the necessary    Vn
      resources.                         "$
                                    ««Tian G-jt=*tlnM

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                                     Section 112.7
General Information (cont.)
                                                                             Notes
          An SPCC plan includes:
           •• Predictions of equipment failure.
           > Appropriate containment or
             diversionary structures.
                                     Section 112.7
Containment or Diversionary Structures

       a For onshore facilities:
          -  Dikes, berms or retaining walls
             sufficiently impervious to contain
             the spilled oil.
          -  Curbing.
          -  Culverting, gutters or other drain-
             age systems.
          -  Weirs, booms or other barriers.
          -  Retention ponds.
          -  Sorbent materials.  *
          -  Vaulted  and  doubled walled tanks.
                                II?.7 -(an v-foZ'3'K'r
                                    Section 112.7
Containment or Diversionary Structures
         a For offshore facilities:
            •• Curbing, drip pans.
            »• Sumps and collection systems.  ><


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                                      Section 112.7
Containment or Diversionary Structures
                                                                               Notes
       If installing structures or equipment is not
       practicable, you must:

       »•  Maintain a written spill contingency plan
          (40CFR109), and
       »•  Have a written commitment of equipment
          and materials to contain and abate a
          spill.
                                      Section 112.7
Guidelines
        Facility drainage; onshore. *

        Bulk storage tanks, onshore. *

        Facility transfer operations, pumping, and
        in-plant processes. *

        Facility tank car and tank truck loading/
        unloading, onshore.

        Inspection and records.

              * Excludes production facilities
Guidelines (cont.)
                                     Section 112.7
     ;.:.  Security.*

     ~.  Personnel training and spill prevention
  ]      procedures.

  i   5.  Oil production facilities, onshore.

  '   3  Oil drilling and workover facilities, onshore.

  >  :c  Oil drilling, production, or workover
  '•      facilities, offshore.

               * Excludes production facilities

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                                     Action 112.7
* Facility Drainage - Onshore
  | »  Drainage from diked storage areas
  I     >• Should have positive restraint.
  j     - Should be manually activated.
       •• Should be inspected.

      Drainage from undiked areas
       •• Should flow to a containment area
         a diversionary system.

      Treatment systems                         !
       »• Should be engineered to prevent overflow,  j
                                                                            Notes
                                    Section 112.7
* Bulk Storage Tanks - Onshore
      Tanks must be made of materials compatible
      with the oil to be stored.

      There must be secondary containment for all
      tanks.
         \L
                   Oil Storage
                                    Section 112.7
* Bulk Storage Tanks - Onshore (cont.)
    Rainwater from a diked area may bypass in-plant
    treatment if:
        > The bypass is normally kept in the closed
         position.
        »• The discharge is inspected prior to
         release.
        >• The .discharge does not violate applicable   ,
         water quality standards.
        >• The valve is opened and resealed under    i
         proper supervision.                      !
        »• Proper records are kept.                  :

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                                     Section 112.7
* Bulk Storage Tanks - Onshore (cont.)
                                                                             Notes
        Buried metallic tanks
          > Protect from corrosion
          •• Pressure test regularly

        Partially buried metallic tanks
          »• Should be avoided unless the buried
           portion is protected from corrosion.
                                     Section 112.7
* Bulk Storage Tanks - Onshore (cont.)

    it AbovegrounC tanks
        •• Periodic integrity testing.
        »• Frequent visual inspections.

    K Internal heating coils
        »• Exhaust should be monitored or treated.
              K'ssss^^^^^^^
                                     Section112.7
* Bulk Storage Tanks - Onshore (cont.)
    "  New and old tanks should be fail safe.

    "  Leaking tanks should be repaired promptly.

    *  Portable oil tanks need secondary
       containment.
                                112.7 "ten 5-w?mi.(or. Uyreat

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                                                                             Notes
                                     Section 112.7
* Transfer Operations, Pumping, & In-Plant
Process - Onshore

 »  Buried pipes should be protected from corrosion..

 »  Out-of-service or standby status pipes should be
    capped or blank flanged.

 »  Pipe racks should be designed to account for
    expansion and minimize corrosion.

 •  Aboveground piping and valves should be
    inspected regularly.

 »  Warnings must be posted to warn traffic of
    aboveground piping.
Mtr-ll
                                Ti 2.7 Plan PreDftMlts" n
                                    Section 112.7
Tank Car & Tank Truck Loading/Unloading racks
- Onshore

 *  Facilities must meet the minimum DOT standards.

 *  Rack areas snould have secondary containment to
    handle a spill from the largest tank compartment
    filled at that location.

 *  A system should be established to prevent vehicle
    departures before disconnecting.

 *  All tank car and tank truck openings should be
    inspected for leaks before and after loading.
                               M2.7 Plan. Putpivail
                                    Section 112.7
Inspections and  Records
      Inspections should be performed in
      accordance with a written procedure.

      Inspection records should be signed by an
      appropriate supervisor or inspector.

      Both the written procedures and the
      inspection records should be made part of
      the facility's SPCC plan for a period of 3
      years.


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                                     Section 112.7
* Security
                                                                              Notes
    %  Facilities should be fenced with entrance sb
       gates locked and/or guarded.           f f?

    %  Master flow and drain valves, pump controls,
       and loading/unloading connections should
       be protected when not in use.

    »  Facility lighting should aid in spill detection
       as well as deter vandals.
                                     Section 112.7
Personnel Training and Spill Prevention
Procedures
       Owners and operators are responsible for
       proper instruction of personnel.

       Each facility should designate an individual
       to be accountable for spill prevention.

       Operational personnel should be briefed
       regularly to assure that the facility SPCC
       plan is adequately understood.
                                • -.2.7 PUr Pfscjrvloi G*i3»Hr.es
                                     Section  H2.7
Oil Production Facilities - bnshore

  «  Drainage:
     + Dikes must be sealed closed except when
       being drained.
     > Drainage ditches should be checked regularly
       for accumulation of oil.

  &  Bulk storage tanks:
     > Must be compatible with the oil to be stored.
     »• Must have secondary containment.
     > Undiked areas should flow to a catchment
       basin or holding pond.
     » Must be visually inspected on a regular
       basis.

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                                    Section 112.7
Oil Production Facilities: Bulk Storage Tanks -
Onshore
         Tanks should be fail-safe engineered,
         including:
           »• Adequate tank capacities.

           > Overflow equalizing lines installed
            between tanks.

           c Vacuum protection.

           »• Level sensor alarm
                                                                           Notes
                                    Sec:ionl12.7
Oil Production Facilities: Facility Transfer
Operations - Onshore
       Abovegrouna pipes must be examined
       periodically.

       Frequent examination of saltwater disposal
       facilities must be conducted.

       The facility must maintain a program of
       flowline maintenance.
                                    Section 112.7
Drilling and Workover Facilities - Onshore
      Mobile equipment must be positioned so as
      to prevent a spill into the water.

      Blowout prevention assemblies and well
      controls should be used.


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                                    Section 112.7
Drilling, Production, or Workover Facilities -
Offshore
  & Surface and sub-surface snut-in valves should be •
    easily Identifiable.

  a Prior to drilling, a blowout prevention assembly   ;
    and well control system should be installed.      ;

  «s Extra-ordinary well control measures should be in j
    place In case of emergencies.                  '

  8 Sub-marine pipelines should be protected from   j
    environmental stress and other activities.
                                                                            Notes
                               1 S2.7 Pbn rTtcvatfcn GdU
     Evaluation of the Plan/Program
       Is your plan current and effective?

       Do your people know what to do when a
       spill occurs?

       Does the equipment work?

       Can your people use the equipment
       safely and  effectively?

       Do they know who to call for help?

PROPOSED RULE
Revision of Section 112.7
  • Section 112.7 • SPCC plan general requirements.
  • Section 112.8 - SPCC plan requirements for
    onshore facilities (excluding production
    facilities.
  • Section 112.9 - SPCC plan requirements for
    onshore oil production facilities.
  • Section 112.10- SPCC plan requirements for
    onshore drilling and workover facilities.
  •• Section 112.11 - SPCC plan requirements for
    offshore oil drilling, production, or workover
    facilities.

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                                                       Notes
  What to Expect During
    an SPCC  Inspection
Who is present at an inspection:
• Facility

   - Facility representatlve(s) responsible for
     maintaining the SPCC Plan.

• EPA

   - EPA OSC
   - EPA SPCC Program Representative, or
   - Designated EPA Contractor
When can a facility be inspected:
   - Facility's may be Inspected because of:

       • Spill history,
       • Complaints
       • Official request (State, Local), or
       • Without advanced notification

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                                                             Notes
 What will be done at the inspection:

':. Complete and sign Acknowledgement and
  Record of SPCC Inspection/Plan Review.

2. Verify RE. Certification (signature, reg. #, seal).

3. Verify 3-year Plan review and/or amendment
  re-certlflcatlon, If applicable.

4, Site tour/evaluation of effectiveness of the
  SPCC Plan.

K. Other site-specific Information (site maps, list
  of tanks and storage capacity, route of entry
  to nearest waterway, storm sewers, photo
  documentation, etc.).
                112.6
                        i
  Civil Penalties for Violation
  of Oil Pollution  Prevention
            Regulations
EPA's Goal:
          COMPLIANCE I

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Civil Penalties
    Penalties are determined using the following
    factors:
     - seriousness of violation.
     - economic benefit to violator resulting from
       violation.
     - degree of culpability involved.
     - penalties for same incident from other agencies.
     - violation history.
     - efforts by the violator to minimize effects of
       discharge.
     - economic Impact of the penalty on violator.
     - any other matters as justice may require.
                                                                                Notes
                                      Section 112.6
Civil Penalties
      The November 4, 1992 Interim Rule amends
      both Section 112.6 and 114.1.

         •• These sections are now only applicaole
          to violations occurring  prior to 8/18/90.

         »• Violations occurring after 8/18/90 will be
          subject to either a Class  I or Class II civil
         j penalty, as outlined in  Section 3l1(b)(6)
          of the OPA amended CWA.
                                         ! 12 -. ,"'.* -:••::•»«•;
Types of Civil Penalties
                                      Section 112.6
       Class I Penalties:
        »• Can not exceed $10,000 per violation.
        •• Maximum penalty of S25.000.
       Class II Penalties:
        •• Can not exceed $10,000 per day for each
          day the violation continues.
        »• Maximum penalty of $125,000.

       DOJ referrals

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CamptntfX
NUMBER OF VIOLATIONS
TYPE
STORAGE CAPACITY
SPILL HISTORY
DISTANCE TO WATERWAY
POTENTIAL THREAT
FACILITY TYPE
LENGTH OF VIOLATION
PROPOSED PENALTY
1 VIOLATION
FAILURE TO PREPARE PLAN (112J)
1. OVER 1 MILLION (M)(4M GALLONS)
2. ALL ABOVE GROUND
1 MINOR SPU.
LESS THAN 25 YARDS
SURFACE WATERS
1. ON-SHORE
2. OIL STORAGE AND COMMERCIAL
0. WASTE TREATMENT
4. PIPELINES
5. VEHICLES 4 RAIL CARS
5 YEAR STATUTORY LIMIT
114,400


Notes
-
— 1-^ _-„ »* I
wsropeuy T 1
NUMBER OF VIOLATIONS
TYPE
STORAGE CAPACITY
. i
I
SPILL HISTORY
DISTANCE TO WATERWAY
POTENTIAL THREAT
FACILITY TYPE
LENGTH OF VIOLATION
PROPOSED PENALTY
1 VIOLATION '
FAILURE TO PREPARE PLAN (112J) j
i
1 1
1. LESS THAN 60,000 GALLONS AST j
2. LESS THAN 42,000 GALLONS UST \
NONE 1
25 TO 50 YARDS
SURFACE WATERS/SHORELINE ;
1. ON-SHORE
2. COMMERCIAL i
5 YEAR STATUTORY LIMIT
$4.500


| ©smpau^Z '
NUMBER OF VIOLATIONS
TYPE
i
STORAGE CAPACITY
SPILL HISTORY
DISTANCE TO WATERWAY
| POTENTIAL THREAT
FACILITY TYPE
LENGTH OF VIOLATION
PROPOSED PENALTY
1 VIOLATION j
FAILURE TO PREPARE PLAN (112J) j
138,000 GALLONS AST {
i
HONE i
200 YARDS I
SURFACE WATERS
1. ON-SHORE i
2. INDUSTRIAL !
a. COMMERCIAL
4. VEHICLES * RAIL CARS
5 YEAR STATUTORY LIMIT •
*17,500 •!


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Recap of Penalties for Companys X, Y & 2


PROPOSED
PENALTY


COMPANY
X
$14,400
;
PENALTY ' S12QSQ
PAID S12'960

Y . • Z
!
$4,500 •• $17,500
:
52,000 , 514,040


Notes

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    SECTION 4
WHAT TO EXPECT DURING AN
SPCC INSPECTION

ACKNOWLEDGEMENT AND RECORD
OF SPCC INSPECTION/PLAN REVIEW

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           WHAT TO EXPECT DURING AN SPCC INSPECTION
       When an SPCC inspector visits your facility, there are a few tips that can
make the inspection proceed smoothly. The inspector will announce him/herself
and ask for the person responsible for the facility SPCC plan.  The inspector
should be directed to a person who can present the inspector with the written
SPCC plan and answer questions about the plan.  The inspection will start with
the completion of a form called an Acknowledgement and Record of SPCC
Inspection/Plan Review.  Important information for the completion of this form
includes the  facility address and phone number, owner or operator address and
phone number if different, a company contact and a brief synopsis of the facility
operations.  The facility contact will be asked to sign the acknowledgement form,
and a copy will be given to him/her as a  record of the inspection.

       The inspection is an evaluation of the effectiveness of your written SPCC
plan  and the application of that plan at your facility. The SPCC plan must have
been reviewed and certified by a professional engineer, and the inspector will
want to see the PE's registration number, signature and seal on the plan.  The
plan  must also contain documentation verifying that the Plan was reviewed every
three years.   In addition, the inspector will want to verify if the Plan has been
amended as required and that the amendments were certified by a registered PE.

       After reviewing the written plan, the inspector will conduct a site tour and
ask specific questions regarding the implementation of the facility Plan.  Other
information that will be helpful include a site map, a list of tanks and their storage
capacity, and the location of the nearest navigable waters, storm sewers etc.  Any
questions regarding  the inspection can be posed to the OSC in charge of the
inspection.

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY - REGION III
                                          841 Chestnut Building
                                     Philadelphia, Pennsylvania 19107

           ACKNOWLEDGEMENT AND RECORD OF SPCC/FRP INSPECTION/PLAN REVIEW
SPCC CASE NUMBER:                    FRP REGIONAL ID#:	      DATE:	
TO:        Regina A Starkey, SPCC Coordinator (3HW32)
CC;        Linda J. Ziegler, FRP Coordinator (3HW32) (only if FRP applicable)
       Inspector's Printed Name/Sfgnature:

       Inspection Team Members: -  	

       Name/Location of Facility:

       Address:
       City:                       'County::                         State:            Zip:
       Facility Contact/Title:

       Telephone Number:
       Name of Owner/operator:

       Address:
                                                 State:                      Zip:
       Telephone Number:
                              * *  See pages 12 to 14 for FRP only information

       Synopsis of business operations:
       Route of entry and estimated distance to waterway:
     .  Acknowledgement::'        ?

          I acknowledge that an SPCC/FRP inspection of this facility was conducted on the          day of

     __	         .'•  ,r  '  -T9	.    . -     ..

       Facility Rsprss«ntativ« Printed Nama/Signature:                       :
NOTE:      During this inspection the owner/operator of the facility was asked to provide an extra copy of the SPCC
           Plan, which will be submitted with this report to the SPCC Coordinator.   An extra copy of the SPCC Plan  '
           was provided to the inspector (Y/N). If no, the owner/operator of the facility has been asked to send a
           copy of the SPCC Plan, if available, via certified mail, return receipt requested, within 14 days of the date
           of this inspection to the SPCC Coordinator (mail code  3HW32) at the address on this letterhead  (Y/N).

                    [original of this page to SPCC coordinator, copy to facility representative ]


                                                                                             18/12/941

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      SECTION 5
* FACT SHEET:  OPA Q's & A's

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  vvEPA
                            United States
                            Environmental Protection
                            Agency
                         Office of
                         Solid Waste and
                         Emergency Response
Publication 9360.8-01 FS

       December 1991
OPAQ's&A's:
Overview of  the Oil  Pollution
Act  of  1990
  Office of Emergency and Remedial Response
  Emergency Response Division        OS-210
                                                Quick Reference Fact Sheet
   Thousands of oil spills occur in the United States each year.  Over the three-year period from 1988 through 1990, the
Federal government received 42,000 notifications of oil discharges -an average of 15,000 per year, or about 40 notifications
per day. In 1990 alone, there were 24 oil spills  that exceeded 100,000 gallons, five of which were greater than 1 million
gallons.  In 1989, 38 oil spills exceeded 100,000 gallons, including the devastating Exxon Valdez spill in Alaska's Prince
William Sound.  In response to the new public awareness of the damaging effects of major oil spills, Congress unanimously
enacted tougher oil spill legislation and, on August  18,  1990, the President signed into law the Oil Pollution Act of 1990
(OPA or the Act).
   On October 18,1991, the President issued Executive Order 12777, delegating the authority for implementing provisions
of the OPA to several Federal agencies and  departments, including the U.S. Environmental Protection Agency (EPA) and
the U.S. Coast Guard (USCG).  These "OPA  Q's &  A's" are part of a series of  fact  sheets that provide up-to-date
information on EPA's implementation of the OPA  This first fact sheet provides an overview of the various provisions of
the OPA and the Agency's responsibilities under the new law.

General Overview

Q2. How does the OPA affect existing laws and
regulations?
Q1.  What is the OPA?

A.   The OPA (Pub. L.  101-380) is  a comprehensive
     statute designed to expand oil spill prevention, pre-
     paredness, and response capabilities of the Federal
     government and industry. The Act establishes a new
     liability and compensation regime for oil pollution
     incidents in the aquatic environment  and provides
     the resources necessary for the removal of discharged
     oil.  The OPA consolidates several existing oil spill
     response funds into the Oil Spill Liability Trust
     Fund, resulting in a Si-billion fund to be used  to
     respond to, and provide compensation for damages
     caused by, discharges of oil.  In addition, the OPA
     provides new requirements for contingency planning
     both by government and industry and establishes new
     construction,  manning, and licensing  requirements
     for tank vessels.  The OPA also increases penalties
     for regulatory noncompliance, broadens the response
     and enforcement authorities of the Federal govern-
     ment, and preserves State authority to establish laws
     governing oil  spill prevention and response.
                               The OPA amends section 311 of the Federal Water
                               Pollution Control Act (the Clean Water Act or
                               CWA, 33 U.S.C. 1321 et seq), to clarify Federal
                               response authority,  increase penalties  for spills,
                               establish USCG response organizations, require
                               tank vessel and facility response plans, and provide
                               for contingency planning in designated areas. Many
                               of the statutory changes will require corresponding
                               changes  to the National  Oil and  Hazardous Sub-
                               stances Pollution Contingency Plan (NCP), codified
                               at 40 CFR Part 300. In addition, the OPA repeals
                               the following statutory provisions and merges  the
                               funds established under these  laws with the Trust
                               Fund: (1) CWA section 311(k); (2) Title III of the
                               Outer Continental Shelf Lands Act Amendments of
                               1978 (43 U.S.C.  §1811 et seq); (3) section 18(0 of
                               the Deepwater Port Act of 1974 (33 U.S.C. §1502 et
                               seq); and (4) section 204(c) of the Trans-Alaska
                               Pipeline Authorization Act (43  U.S.C. §1651 etseq),
                               except for amounts necessary to pay  remaining
                               claims.   The  OPA also  makes  the Trust  Fund
                               available for actions taken in accordance with  the
                               Intervention on the High Seas Act  (33 U.S.C. §1486
                               et seq).  The  OPA, however,  does not preempt
                               States' rights to impose additional liability or other

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      requirements with respect  to  the  discharge of oil
      within  a  State  or to  any removal  activities  in
      connection with such a discharge.

03.   Which Federal agencies are responsible for
      implementing the OPA?

A:    On October  18,1991, the President issued Executive
      Order 12777, delegating authority to implement the
      OPA to various Federal agencies and  departments,
      including  EPA  and  the  USCG  (via  the  U.S.
      Department  of Transportation or DOT).   Forth-
      coming memoranda of understanding between EPA
      and the USCG will address how the  two agencies
      will  interact  in  carrying  out  their   respective
      responsibilities.  In general, EPA is responsible for
      oil spill  prevention,  preparedness, and  response
      activities associated with non-transportation-related
      onshore facilities.  The Agency  has lead responsi-
      bility for implementing many of the OPA provisions
      in  the inland zone, including revising  the  NCP,
      developing   non-transportation-related   facility
      response plan regulations, reviewing and approving
      facility response plans, designating areas, appointing
      Area Committee members, and establishing require-
      ments for Area Contingency Plans.

      In  addition, the DOT (including, in some cases, the
      USCG) generally is responsible for oil spill planning
      and response activities  for tank vessels, transpor-
      tation-related onshore facilities, and deepwater ports.
      The  U.S. Department of Interior  generally  is
      responsible  for  oil  spill  planning and  response
      activities for offshore  facilities  except  deepwater
      ports. Under the  OPA. the National Oceanic and
      Atmospheric  Administration  is developing regula-
      tions for natural resource trustees to assess damages
      to  natural  resources caused by oil discharges.

Q4.   How are the EPA program offices carrying out
      their responsibilities under the OPA?

A.    Most OPA provisions delegated  to EPA are being
      implemented  by  EPA's  Emergency   Response
      Division (ERD), a part of the Office of  Emergency
      and Remedial Response within the Office of Solid
      Waste and Emergency Response.  Within ERD, the
      newly created Oil  Pollution Response and Abate-
      ment Section will play a major role in carrying out
      the  Agency's responsibilities  under   the OPA,
      Moreover, to coordinate the many efforts required
      under the  Act. EPA formed the  OPA Implementa-
      tion Workgroup, chaired by the Director of ERD. A
      variety of Headquarters and Regional  offices  are
      represented  on  this workgroup;  EPA  Region 2
      currently  participates  as   the  lead   Regional
      representative.   Within the overall workgroup, a
      number  of  other workgroups  are  implementing
      specific OPA provisions (see Highlight 1).
             Highlight 1:  EPA Workgroups
                 to Implement the OPA

        The Regional Implementation workgroup is
        developing recommendations on EPA's expanded
        role and responsibilities in preventing and
        responding to oil spills.

        The Area Contingency Plans workgroup is
        studying issues associated with designating areas
        for which Area Committees and Area
        Contingency Plans are to be established.

        The Facility Response Plans workgroup, which
        has been incorporated into the existing Spill
        Prevention, Control, and Countermeasures
        (SPCC) Phase Two Workgroup, is developing
        regulations for facility response plans, as well as
        interim guidance for reviewing such plans.

        The NCP Revisions workgroup is developing the
        1 revisions to the NCP required by the OPA. A
        subworkgroup has been established to focus on
        revising Subpart J to establish procedures tor
        using chemical agents to respond to oil spills.

        The Enforcement workgroup is reviewing EPA
        enforcement responsibilities in light of the new
        penalty provisions added by the OPA.

        The Liner Study workgroup is preparing a report
        to Congress on whether liners or secondary
        containment should be used to prevent discharges
        from onshore facilities.

        The Research and Development workgroup is
        coordinating EPA's program of oil pollution
        research and technology development and
        demonstration.
             Federal and State Roles
Q5.   What is the Federal government's role when
     ' responding to releases of oil?
A.    Under section 311(c) of the CWA, as amended by
      section   4201 (a)   of  the  OPA,   the  Federal
      government  must   ensure  the   effective   and
      immediate  removal of a discharge (or a substantial
      threat of a discharge) of oil or hazardous substance:
      (1)  into or  on navigable waters  and  adjoining
      shorelines;  (2) into or on the waters of the exclusive
      economic zone; or  (3)  that  may  affect  natural
     .resources of the U.S. In carrying out this provision,
      the Federal  government  may:   (1)  remove or
      arrange  for the removal of a discharge, subject to
      reimbursement from the responsible party; (2) direct
      or monitor all Federal, State, and private actions to
      remove a discharge; or (3) remove and. if necessary,

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      destroy  a  vessel  discharging,  or  threatening to
      discharge.   If the  discharge  is of  such size or
      character as to pose a substantial threat to the public
      health  or  welfare, the  Federal  government  is
      required to direct all public and private efforts to
      remove the discharge.  For all other discharges, the
      Federal government has the discretion to take action,
      direct,  or  monitor public  or  private actions to
      remove the discharge.  To facilitate and expedite
      emergency  responses  to  discharges  that pose  a
      substantial threat  to the public health or welfare,
      OPA section 4201 amends the CWA to exempt the
      Federal  government from certain  laws governing
      contracting procedures and  the  employment of
      personnel.   In addition, an amendment to section
      311(c) of  the CWA provides  an  exemption  from
      liability for response costs and damages which result
      from actions  taken, or not  taken,  by a  person
      rendering care, assistance, or advice consistent with
      the NCP.  This exemption does not apply:  (1)  to a
      responsible party;  (2)  to a  response  conducted
      pursuant  to  the   Comprehensive  Environmental
      Response.  Compensation, and Liability Act of 1980
      (42 U.S.C.  9601 et seq.)\ (3) with respect to personal
      injury or wrongful death;  or (4)  if the person  is
      grossly negligent  or engages  in willful misconduct.
      The intent of the  OPA is  to  enable the Federal
      government  to  direct  responses  that  are  both
      immediate and effective.

Q6.   Many States  have laws governing oil spill
      prevention and response.  Does the OPA
      preempt State laws?

A.    No; section I018(a) of the OPA specifically provides
      that the Act does not preempt State law. States may
      impose  additional  liability  (including  unlimited
      liability),  funding  mechanisms, requirements for
      removal  actions,   and  fines  and  penalties  for
      responsible parties.  Section  1019  of the OPA
      provides States  the authority  to  enforce, on the
      navigable waters of the State, OPA requirements for
      evidence of financial responsibility. States are also
      given access to Federal funds (up to $250,000 per
      incident)  for  immediate  removal, mitigation,  or
      prevention of a discharge, and may be reimbursed by
      the Trust Fund for removal  and monitoring costs
      incurred during oil spill response and cleanup efforts
      that are consistent with  the NCP.
     Liability and Financial Responsibility     I
Q7.   What provisions for oil spill liability does the
      OPA establish?

A.    Title  I  of the OPA contains liability  provisions
      governing oil spills modeled after CERCLA and sec-
      tion 311 of the CWA. Specifically, section 1002(a)
      of the OPA provides that the responsible party for
      a vessel or  facility from which oil is discharged, or
      which poses a substantial threat of a discharge, is
      liable for:  (1) certain specified damages resulting
      from  the discharged oil;  and  (2)  removal costs
      incurred  in a manner consistent  with  the NCP.
      Highlight 2 identifies the types of "damages" that
      responsible parties are potentially liable for under
      the OPA.   Section 1002(d) also provides that if a
      responsible party can establish  that the removal
    .  costs and damages resulting from an incident were
      caused solely by an act or omission of a third party,
      the third party will be held liable for such costs and
      damages. In these cases, however, the responsible
      party is still required to  pay the removal costs and
      damages resulting from the  incident, but is entitled
      by subrogation  to recover  all costs and damages
      from the third party or the  Trust Fund.
       Highlight 2: Damages for Which Responsible
             Parties Are Potentially Liable

  The scope of damages for  which oil dischargers may be
  liable under section 1002 of the OPA includes:

    •   Natural resource damages, including the reasonable
        costs of assessing these damages;

    •   Loss of subsistence use of natural resources:

    •   Real or personal property damages;

    •   Net.loss of tax and other revenues;

    • '  Loss of profits or earning capacity; and

    •   Net  cost  of  additional public services  provided
        during or  after removal actions.
Q8.   Does the OPA provide defenses to its oil spill
      liability provisions?

A.    Yes; section 1002(c) of the OPA provides excep-
      tions to  the statute's liability  provisions.   The
      exceptions include: (1) discharges of oil authorized
      by a permit under Federal, State, or local law; (2)
      discharges of oil from a  public vessel; or (3) dis-
      charges of oil from onshore facilities covered by the
      liability  provisions of the Trans-Alaska  Pipeline
      Authorization Act.

      In addition, section 1003 of the OPA provides the
      responsible party with defenses to liability imposed
      under section  1002 of the Act if the responsible
      party establishes that the spill was caused solely by:
      (1) an act of God; (2) an act of war; (3) an act or

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      omission of a third party; or (4) any combination of
      these events. To prevail in a third-party defense, the
      responsible party must prove that it took due care in
      handling the oil and took  precautions against  any
      foreseeable  acts of  the  third   party  and   any
      foreseeable consequences of those actions. However,
      the defenses  contained in section  1003 are  not
      available to responsible parties that:  (1) do  not
      report an incident of which they are aware; (2) do
      not cooperate with response officials during removal
      actions;   or (3)  without  sufficient cause,  do  not
      comply with an order issued under section 311 of the
      CWA, as amended, or the Intervention on the High
      Seas Act.

Q9.   Does the OPA establish limits on liability?

A.    Yes; the OPA establishes significantly higher limits
      of liability for tank vessels, facilities, and deepwater
      ports than existed previously  under section 311 of
      the CWA.   Specifically,  section 1004 of the OPA
      increases the liability for tank vessels larger than
      3,000 gross tons to $1,200 per gross ton or  SlO
      million,  whichever is greater. Responsible parties at
      onshore facilities and deepwater ports are liable for
      up to S350 million per spill;  holders of leases or
      permits   for offshore  facilities, except deepwater
      ports, are liable for up to S75  million per spill, plus
      removal  costs.   Section  1004(d)(l) of the OPA,
      however, provides the Federal  government with the
      authority to adjust, by regulation, the 5350-million
      liability   limit  established  for onshore  facilities,
      "taking  into  account  size, storage  capacity,  oil
      throughput, proximity to sensitive areas, type of oil
      handled, history of discharges, and other factors
      relevant to risks posed by the class or category of
      faciliiy."   The  Agency  is  currently assessing  the
      desirability of adjusting the liability limit for onshore
      non-transportation-related facilities based on  these
      factors.

      In addition,  the OPA establishes  the following
      conditions under which liability would be unlimited:
      (1)  discharges caused by  gross negligence, willful
      misconduct,  or  violation  of   Federal   safety,
      construction, or operating regulations; (2) failure to
      report  a  known spill;  (3) failure  or  refusal 'to
      cooperate in  a  removal  action; or  (4) failure or
      refusal to comply with an order issued under section
      311 of the CWA. as amended, or the Intervention on
      the High Seas  Act.   In  addition,  the  owner or
      operator of an Outer  Continental  Shelf facility, or
      vessel carrying oil as cargo from such a facility, is
      required to pay for all removal costs incurred by the
      U.S.  Government or any State or local agency in
      connection with a discharge, or substantial threat of
      a  discharge, of oil.
Q10. What penalties are responsible parties
      subject to under the OPA?

A.    Section 4301 (a) of the OPA amends the CWA to
      increase the criminal penalties for failure to notify
      the appropriate Federal  agency of a discharge.
      Specifically, the fine is increased from  a maximum
      of $10,000 to  a  maximum  of $250,000  for  an
      individual, or $500,000 for an organization.  The
      maximum prison term is also increased from one
      year to five years.

      In addition, section 4301(b) of the OPA amends the
      CWA to authorize  a  civil penalty  of  $25,000 for
      each day of violation or $1,000 per barrel of oil
      discharged. These penalties are higher in cases-of
      gross  negligence or  willful misconduct.  Failure to
      comply with a Federal removal order can result in
      civil  penalties of up  to  525,000 for each day of
      violation or three times the resulting costs incurred
      by the Trust  Fund.  Under section OPA 4301(c),
      criminal penalties can range up to $250,000 and 15
      years in prison.  EPA and the USCG also have the
      authority to administratively assess civil penalties of
      up to $125,000 against violators of the Oil Pollution
      Prevention Regulations (40 CFR Part 112) or those
      responsible for the discharge of oil or hazardous
      substances.

Q11. Are all parties regulated under the OPA
      required to provide evidence of financial
      responsibility?
A.    No; owners and operators of onshore facilities are
      not required to  maintain  financial assurance mech-
      anisms.  Owners and operators of offshore facilities,
      certain vessels, and deepwater ports, however, must
      provide  evidence  of  financial   responsibility.
      Specifically, section  1016 of the OPA requires that
      offshore  facilities maintain evidence   of financial
      responsibility of  S150  million  and   vessels  and
      deepwater ports must  provide evidence of financial
      responsibility up to the maximum applicable liability
      limitation amount.    Any  vessel subject  to  this
      requirement  that   cannot   produce evidence  of
      financial responsibility is  not allowed to operate in
      U.S.   waters.    Methods  of  assuring  financial
      responsibility under the OPA include  evidence of
      insurance, surety bond, guarantee, letter of credit, or
      qualification as a  self-insurer.  Also, OPA section
      1016(f) provides that claims for  removal costs and
      damages may  be  asserted  directly   against the
      guarantor   providing    evidence   of  financial
      responsibility.
Q12. Are there funds available if cleanup costs and
      damages cannot be recovered from responsible
      parties?
A.    Yes; the OPA authorizes the expenditure of funds
      from the Oil Spill Liability Trust Fund, established

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      under section 9509 of the Internal  Revenue Act of
      1986 (26 U.S.C 9509),  to  pay for removal  costs
      and/or damages resulting from discharges of oil into
      U.S. waters  or supplement existing  sources  of
      funding. The Trust Fund, which is  administered by
      the USCG,  is  based  on  a   five-cent-per-barrel
      environmental fee on domestic and  imported oil.
      The OPA  amends  section  9509  of  the  Internal
      Revenue Act of 1986 to consolidate  funds estab-
      lished under other statutes and to increase permitted
      levels of expenditures. Specifically, section 9001(a)
      of the OPA consolidates the assets and liabilities
      remaining with, and  the penalties paid pursuant  to,
      the funds established under:  (1) section 311 of the
      CWA; (2) section I8(f) of the Deepwater Port Act of
      1974; (3) Title  III of the Outer Continental  Shelf
      Lands Act of 1978; and (4) section 204 of the Trans-
      Alaska Pipeline Authorization Act (after settlement
      of existing claims).  The  OPA amends the resulting
      Trust Fund by expanding permissible  expenditures
      from S500 million per incident, and  a separate S250-
      million per incident limit on natural resource claims,
      to Si  billion  per incident and  a S500-million per
      incident spending limit on natural resource damages.
      In addition, the OPA increases  the Trust   Fund
      borrowing limit from S500 million to Si billion.
     Oil Spill Preparedness and Prevention
Q13. How will implementation of the OPA help oil
      spill planning and prevention efforts?

A.    Section 4202 of the OPA strengthens planning and
      prevention  activities by:   (1) providing for the
      establishment of spill contingency plans for all  areas
      of the U.S.;  (2)  mandating the development of
      response plans for individual tank vessels and certain
      facilities;  and (3)  providing  requirements for spill
      removal equipment and periodic inspections. These
      efforts are intended to result in more  prompt and
      effective cleanup or containment of oil spills, thereby
      preventing spills from becoming larger and reducing
      the amount of damage caused by oil spills.

      The development of Area Contingency Plans will
      assist  the Federal  government in planning response
      activities. In addition, owners and operators of tank
      vessels, offshore facilities, and any onshore facilities
      that because of their location could cause substantial
      harm  to the environment from a discharge, are re-
      quired to prepare and submit to the Federal govern-
      ment plans for responding to discharges, including a
      worst case discharge  or a threat of such discharge.
      If response plans are not developed and approved as
      required  by  section 311(j)(5) of  the CWA, as
      amended  by the OPA, the tank vessel or facility will
      be prohibited from handling, storing, or transporting
      oil unless the tank vessel or facility submits a plan
      to the Federal government and receives temporary
      approval to continue operations (see Question #16
      of.this fact sheet). In addition, containment booms.
      skimmers,  vessels, and other  major  spill  remo%'al
     . equipment must be  inspected periodically;  tank
      vessels must carry removal equipment that  uses the
      best  technology economically  feasible  and   is
      consistent with the safe operation of the vessel.

      Moreover, the higher limits on liability  and the
      broader scope of damages for which dischargers may
      be liable  under the OPA should  serve as added
      incentives for facilities and vessels to prevent spills.
      In addition, EPA is  taking the lead or participating
      in several  studies and research and development
      efforts that will aid  in  spill  prevention. . Other
      requirements of the OPA being implemented by the
      USCG— such as establishing a National Response
      Unit and. District   Response  Groups and  new
      standards  for  tank  vessel  construction,  crew
      licensing, and manning -  also will  help to prevent
      or mitigate spills.

Q14. What are Area Committees and Area Contin-
      gency Plans?

A.    Area Committees,  to be  composed  of  qualified
      Federal, State, and local officials, will be created to
      develop Area Contingency Plans.  At a minimum,
      Area Contingency Plans are intended to ensure the
      removal of a worst  case discharge, and to mitigate
      or prevent a substantial threat of such a discharge,
      from a vessel or facility in or near the area covered
      by the plan.   In the case of ah onshore facility, a
      worst case scenario  is  defined  as  the largest
      foreseeable  discharge  under  adverse  weather
      conditions.  Area Contingency Plans will  describe
      areas of special environmental importance, outline
      the  responsibilities  of government  agencies  and
      facility or vessel operators in  the event of a  spill,
      and  detail procedures on  the  coordination  of
      response plans and equipment. In accordance with
      Executive  Order 12777,  EPA is  responsible for
      reviewing and approving Area Contingency Plans for
      the  inland zone, whereas  the USCG  has similar
      responsibilities for the coastal zone.

Q15. Does the OPA require onshore facilities to
      prepare and submit a facility response plan?

A.    Yes; section  4202  of the OPA amends section
      311(j)(5)  of the CWA to require the owner or
      operator  of  a tank vessel, offshore facility,  and
      certain onshore facilities to prepare and submit  to
      the Federal government a plan for responding,  to
      the maximum extent practicable, to a worst case
      discharge, or substantial threat of such a discharge,
      of oil or hazardous  substances.  Specifically, OPA

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      section 4202(a)(6) revises CWA section 311(j)(5) to
      require the owner or operator of an onshore facility
      that,  because of its location, could reasonably be
      expected  to  cause  "substantial- harm"  to   the
      environment as the result of an  oil discharge,  to
      submit a response plan to the Federal government.
      The OPA revisions to CWA section 311(j)(5)  also
      require the Federal government to review and either
      approve, or  require amendments  to, the response
      plans of tank vessels, offshore facilities, and those
      onshore facilities that could reasonably be expected
      to cause  significant  and  substantial harm  to  the
      environment from a  discharge.   Under Executive
      Order  12777,  the  President  has  delegated   the
      authority to review and approve response plans for
      non-transportation-related onshore facilities to EPA.

 Q16. What deadlines does the  OPA place on  the
      preparation and submission of facility response
      plans?
, A.   Section 4202(b) of the OPA establishes deadlines for
      the preparation  and  approval of facility response
      plans. Regulations addressing facility response plans
      are required  to be promulgated 24 months after the
      date  of enactment of  the  OPA  (i.e., August  18,
      1992).  Owners and operators of  affected facilities
      are required to -prepare and submit their plans 30
      months after the date of enactment (i.e., February
      18, 1993).  Section 4202(b)  of the OPA also states
      that if the owner or operator of a facility required to
      submit a plan has not done  so by the deadline, that
      facility must  stop handling,  storing, or transporting
      oil. Furthermore, a facility required to  prepare and
      submit a response plan may not  handle, store, or
      transport oil  unless:  (1) the plan has been approved
      (when plan approval is required); and (2) the facility
      is operating in compliance with the plan. EPA may
      authorize  a facility which has submitted a plan  to
      operate without approval for up to two years if the
      owner  or  operator  certifies  the  availability  of
      personnel and equipment necessary to  respond to a
      worst case discharge or the substantial threat of such
      a discharge.

 Q17. What types  of information must facility
      response plans include?

 A.   The OPA requires owners or operators of a facility
      to submit a  response  plan  that is:  (1) consistent
      with  the  NCP and Area Contingency Plans;  (2)
      updated periodically;  and . (3)   resubmitted   for
      approval with each significant change.  Highlight 3
      provides  additional  information  that  must  be
      included in the facility response plan. In conjunction
      with  the SPCC  Phase  II workgroup,  the Facility
      Response Plans workgroup is making preparations to
      meet   with   trade  associations  representing   the
      regulated  community  to  provide  information  and
      seek comments on the possible contents, the level of
          Highlight 3: Information That Must be
           Included  in Facility Response Plans

   OPA section 4202(a) requires that each facility  response
   plan, at a minimum:

   •      Identify the  individual with  full  authority  to
         implement removal actions, and requires immediate
         communications  between   thai individual,  the
         appropriate  Federal official,  and those providing
         response personnel and equipment;

   •      Identify and  ensure  the  availability .of private
         personnel and equipment necessary to remove to
         the maximum  extent  practicable  a worst  case
         discharge (including a discharge resulting from fire
         or  explosion),  and  to mitigate or  prevent  a
         substantial threat of such a discharge; and

   •      Describe the training,  equipment testing, periodic
         unannounced drills, and response actions of persons
         on the vessel or at the facility, to be carried out
         under the plan to ensure the safety of the vessel or
         facility and to mitigate  or prevent the discharge, or
         the substantial threat of a discharge.
      detail,  and  guidance  that  may  be  useful  for
      preparing response plans.

Q18. Does the OPA contain provisions that address
      tank vessel  construction?

A.    Yes; a major  spill prevention feature of the OPA is
      the requirement that tank vessels be equipped with
      double hulls.  Specifically, under section 4115 of the
      OPA,  newly  constructed  tank  vessels  must  be
      equipped with double hulls, with the exception of
      vessels used only to respond to discharges of oil or
      hazardous  substances.     In   addition,  newly
      constructed tank vessels less than 5,000 gross tons
      are exempt from the double-hull requirement if they
      are equipped with a double  containment  system
      proven to be as effective as a  double hull  for the
      prevention of a  discharge of oil. Existing tankers
      without double hulls are to be phased out by size,
      age, and design beginning in 1995, and are required
      to be escorted by two  towing vessels in specially
      designated high-risk areas.  Most tankers without
      double hulls will be banned by 2015.

Q19. What other OPA requirements are designed to
      prevent oil spills from tank vessels?

A.    The OPA  contains additional  provisions that are
      intended  to   prevent  tank  vessel  spills  from
      occurring,  including:   (1)  strict licensing require-
      ments; and (2) manning and safety standards.

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      To ensure that the USCG can identify vessel per-
      sonnel with motor vehicle offenses related to the use
      of alcohol and drugs, OPA section 4101  requires
      anyone applying for a license, certificate of registry,
      or merchant mariners' document to provide a copy
      of their driving record obtained from the National
      Driver Registry.  This requirement is intended to
      provide background information on potential vessel
      personnel with motor vehicle offenses related to the
      use of alcohol  and  drugs.  Applicants  must also
      submit to drug testing.  Further, OPA section 4103
      provides additional authority  for  the expeditious
      suspension of licenses and documents of merchant
      mariners suspected of alcohol or drug abuse. OPA
      section  4104 provides  authority  for  the  orderly
      removal or relief of a vessel master of individual in
      charge of the vessel suspected of being  under the
      influence of alcohol or  a dangerous drug.  The
      inclusion of these provisions reflects the concern that
      alcohol or drug impairment are serious  threats to
      safe vessel operation.

      Section 4114 of the OPA also requires that new tank
      vessel manning standards  be set, both for U.S. and
      foreign tank vessels.  For  U.S. tank vessels, licensed
      seamen are not permitted  to work more  than  15
      hours in any 24-hour period, or more than 36 hours
      in any 72-hour period. Forthcoming regulations will
      designate the conditions  under which tank vessels
      may  operate  with  the autopilot  engaged  or the
      engine room unattended.  Crew members also must
      be trained in maintenance of the navigation and
      safety features of the tank vessel.  For foreign tank
      vessels, a USCG review will determine whether tank
      vessel safety practices are at least the equivalent of
      U.S. requirements.  Tank  vessels that do not satisfy
      this standard will be prohibited from entering U.S.
      waters.  These new requirements, emanating from
      issues raised in the investigation of the Exxon Valdez
      spill, should  lead to better trained and more well-
      rested crews on  tank vessels.
Other Provisions

Q20. What oil pollution research and development
      efforts are mandated by the OPA?

A.    Section   7001  of the  OPA  requires  that an
      interagency committee be established to coordinate
      the establishment of a program for conducting oil
      pollution research,  technology development, and
      demonstration. This program is specifically required
      by the statute to provide research, development, and
      demonstration in a number of areas, including:

      •  Innovative  oil  pollution  technologies  (e.g.,
         development of improved tank vessel design or
         improved mechanical, chemical, or  biological
         systems or processes);

      •  Oil  pollution  technology evaluation  (e.g.,
         controlled  field  testing and development of
         testing protocols and standards);

      •  Oil pollution effects research (e.g., development
         of improved fate and transport models);

      •  Marine  simulation  research  (e.g.,  use  and
         application of geographic and vessel response
         simulation models); and

      •  Simulated environmental testing (e.g., use of the
         Oil  and  Hazardous   Materials   Simulated
         Environmental Test Tank).

Q21.  What provisions are included in the OPA to
      protect Alaska's Prince William Sound?

A.    Title V of the OPA contains several provisions
      aimed at preventing future spills in Prince William
      Sound. Specifically,  the OPA:  (1) authorizes  the
      Prince  William Sound Oil  Recovery Institute in
      Cordova,  Alaska;   (2)  establishes  Oil  Terminal
      Oversight and Monitoring  Committees for Prince
      William Sound and Cook Inlet; (3) authorizes and
      appropriates funds for construction of a navigation
      light on Bligh Reef; and (4)  requires all tank vessels
      in  Prince William Sound to be under the direction
      and control of a pilot, who  cannot be a member of
      the crew of the tank vessel, licensed by the Federal
      government and the  State of Alaska.  In addition,
      section 8103 of the OPA establishes a Presidential
      Task Force on  the Trans-Alaska Pipeline System.
      The Task Force will conduct a comprehensive audit
      of the  pipeline system (including the terminal in
      Valdez, Alaska)  to   assess  compliance  with
      applicable  laws.

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